A2 Finance

JPMorgan Elect Dividend 2024

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Summary News
JPE:LSE
Div.Rating 3.2
Dividend Yield Trailing
0.01%
Dividend Yield Forward
0.01%
Payout Ratio
31.46 %
Average Yield, 5y
142.95%
Payout Stability
100 %
Payout Growth Stability
0 %
JPEI:LSE
Div.Rating 3.0
Dividend Yield Trailing
0.03%
Dividend Yield Forward
0.01%
Payout Ratio
8.90 %
Average Yield, 5y
355.33%
Payout Stability
80 %
Payout Growth Stability
0 %

Latest updated dividend data: 24 Nov 22:51

Dividend History

JPE:LSE

Statistics for 5 years: 2017-2022

  • £0.0365263157894737 Average Dividend
  • £0.1388 Average Dividends per Year
  • 0.44% Average Dividend Yield
  • 142.95% Average Annual Dividend Yield
  • 4.0 Frequency of payments, how many times a year
  • 0.0 Duration of growth, number of years
  • 100 % Payout Stability
  • 0 % Payout Growth Stability
  • 17.27 % Dividend Growth, Simple
  • 3.24 % Dividend Growth, CAGR
  • £0.0255 (2017-02-16) Minimum
  • £0.0545 (2020-02-13) Maximum
Ex-Dividend Date Payout Amount Yield Pay Date Declared Date Record Date Source
2022-11-17 £0.06 0.62% 2022-12-07 2022-11-10 2022-11-17 EOD
2022-08-11 £0.05 0.51% 2022-09-19 2022-08-04 2022-08-11 EOD
2021-08-12 £0.0445 0.43% 2021-09-20 2021-08-05 2021-08-12 EOD
2021-05-13 £0.03 0.3% 2021-06-18 2021-05-06 2021-05-13 EOD
2021-02-11 £0.0545 0.58% 2021-03-19 2021-02-04 2021-02-11 EOD
2020-11-19 £0.031 0.35% 2020-12-23 2020-11-12 2020-11-19 EOD
2020-08-13 £0.0475 0.59% 2020-09-21 2020-08-06 2020-08-13 EOD
2020-05-14 £0.03 0.42% 2020-06-19 2020-05-06 2020-05-14 EOD
2020-02-13 £0.0545 0.6% 2020-03-20 2020-02-06 2020-02-13 EOD
2019-11-21 £0.035 0.41% 2019-12-20 2019-11-14 2019-11-21 EOD
2019-08-15 £0.0349 0.42% 2019-09-19 2019-08-08 2019-08-15 EOD
2019-05-23 £0.0445 0.54% 2019-06-21 2019-05-09 2019-05-23 EOD
2019-02-14 £0.0411 0.52% 2019-03-21 2019-02-07 2019-02-14 EOD
2018-11-22 £0.0345 0.46% 2018-12-21 2018-11-14 2018-11-22 EOD
2018-08-23 £0.039 0.46% 2018-09-21 2018-08-14 2018-08-23 EOD
2018-05-17 £0.035 0.42% 2018-06-21 2018-05-10 2018-05-17 EOD
2018-02-15 £0.028 0.36% 2018-03-21 2018-02-08 2018-02-15 EOD
2017-11-23 £0.029 0.37% 2017-12-20 2017-11-08 2017-11-23 EOD
2017-08-24 £0.03 0.4% 2017-09-20 2017-08-10 2017-08-24 EOD
2017-05-18 £0.0255 0.35% 2017-06-14 2017-05-11 2017-05-18 EOD
2017-02-16 £0.0255 0.36% 2017-03-22 2017-02-06 2017-02-16 EOD
2016-11-24 £0.029 0.44% 2016-12-21 2016-10-20 2016-11-24 EOD
2016-08-25 £0.0315 0.49% 2016-09-23 2016-08-10 2016-08-25 EOD
2016-05-19 £0.015 0.26% 2016-06-24 2016-05-11 2016-05-19 EOD
2016-02-18 £0.015 0.27% 2016-03-23 2016-02-11 2016-02-18 EOD
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JPEI:LSE

Statistics for 5 years: 2017-2022

  • £0.0117 Average Dividend
  • £0.043875 Average Dividends per Year
  • 1.18% Average Dividend Yield
  • 355.33% Average Annual Dividend Yield
  • 3.0 Frequency of payments, how many times a year
  • 0.0 Duration of growth, number of years
  • 80 % Payout Stability
  • 0 % Payout Growth Stability
  • Dividend Growth, Simple
  • Dividend Growth, CAGR
  • £0.0105 (2018-02-15) Minimum
  • £0.0145 (2021-08-12) Maximum
Ex-Dividend Date Payout Amount Yield Pay Date Declared Date Record Date Source
2022-11-17 £0.011 1.13% 2022-12-07 2022-11-10 2022-11-17 EOD
2022-08-11 £0.015 1.51% 2022-09-19 2022-08-04 2022-08-11 EOD
2021-08-12 £0.0145 1.36% 2021-09-20 2021-08-05 2021-08-12 EOD
2021-05-13 £0.011 1.11% 2021-06-18 2021-05-06 2021-05-13 EOD
2021-02-11 £0.011 1.21% 2021-03-19 2021-02-04 2021-02-11 EOD
2020-11-19 £0.011 1.28% 2020-12-23 2020-11-12 2020-11-19 EOD
2020-08-13 £0.014 1.64% 2020-09-21 2020-08-06 2020-08-13 EOD
2020-05-14 £0.011 1.41% 2020-06-19 2020-05-06 2020-05-14 EOD
2020-02-13 £0.011 1.01% 2020-03-20 2020-02-06 2020-02-13 EOD
2019-11-21 £0.011 1.06% 2019-12-20 2019-11-14 2019-11-21 EOD
2019-08-15 £0.0135 1.33% 2019-09-19 2019-08-08 2019-08-15 EOD
2019-05-23 £0.011 1.05% 2019-06-21 2019-05-09 2019-05-23 EOD
2019-02-14 £0.011 1.06% 2019-03-21 2019-02-07 2019-02-14 EOD
2018-11-22 £0.011 1.08% 2018-12-21 2018-11-14 2018-11-22 EOD
2018-08-23 £0.0135 1.19% 2018-09-21 2018-08-14 2018-08-23 EOD
2018-05-17 £0.0105 0.9% 2018-06-21 2018-05-10 2018-05-17 EOD
2018-02-15 £0.0105 0.97% 2018-03-21 2018-02-08 2018-02-15 EOD
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Historical Annual Dividends

JPE:LSEJPMorgan Elect
Year Amount Yield (at avg price) Avg. Stock Price Last Stock Price Yield (at last price) EPS Payout Ratio
2022 £0.1 1.13 % GBX975 GBX965 1.14 %
2021 £0.13 10.19 % GBX127 GBX1,110 1.16 % £0.4 31 %
2020 £0.16 201.27 % GBX8.1 GBX9.4 172.94 % -£0.1 -204 %
2019 £0.16 187.83 % GBX8.3 GBX9.0 172.30 % -£0.1 -311 %
2018 £0.14 168.50 % GBX8.1 GBX7.3 187.63 % £0.3 41 %
2017 £0.1 146.98 % GBX7.5 GBX8.1 136.65 % £0.5 20 %
2016 £0.091 145.74 % GBX6.2 GBX6.9 131.30 % £0.3 32 %
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JPEI:LSEJPMorgan Elect
Year Amount Yield (at avg price) Avg. Stock Price Last Stock Price Yield (at last price) EPS Payout Ratio
2022 £0.03 2.60 % GBX100 GBX99 2.64 % £0.0
2021 £0.037 30.62 % GBX12 GBX109 3.36 % £0.4 9 %
2020 £0.05 532.34 % GBX0.88 GBX0.9 505.38 % -£0.1 -59 %
2019 £0.047 445.49 % GBX1.0 GBX1.1 420.81 % -£0.1 -93 %
2018 £0.046 412.85 % GBX1.1 GBX0.97 471.50 % £0.3 14 %
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Stock Price Recovery History

JPE:LSEStock Price Recovery History, JPMorgan Elect
Ex-Dividend Date Payout Amount Stock Price Days for Stock Price to Recover
2022-11-17 £0.06 GBX970 -
2022-08-11 £0.05 GBX985 1
2021-08-12 £0.0445 GBX10.45 12
2021-05-13 £0.03 GBX9.9 1
2021-02-11 £0.0545 GBX9.425 1
2020-11-19 £0.031 GBX8.8 5
2020-08-13 £0.0475 GBX8.1 55
2020-05-14 £0.03 GBX7.15 1
2020-02-13 £0.0545 GBX9.075 1
2019-11-21 £0.035 GBX8.475 1
2019-08-15 £0.0349 GBX8.275 8
2019-05-23 £0.0445 GBX8.275 18
2019-02-14 £0.0411 GBX7.925 1
2018-11-22 £0.0345 GBX7.55 1
2018-08-23 £0.039 GBX8.525 1
2018-05-17 £0.035 GBX8.3 1
2018-02-15 £0.028 GBX7.8 1
2017-11-23 £0.029 GBX7.9 1
2017-08-24 £0.03 GBX7.47 1
2017-05-18 £0.0255 GBX7.38 4
2017-02-16 £0.0255 GBX7.16 1
2016-11-24 £0.029 GBX6.6 1
2016-08-25 £0.0315 GBX6.485 1
2016-05-19 £0.015 GBX5.87 1
2016-02-18 £0.015 GBX5.525 1
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JPEI:LSEStock Price Recovery History, JPMorgan Elect
Ex-Dividend Date Payout Amount Stock Price Days for Stock Price to Recover
2022-11-17 £0.011 GBX97.5 1
2022-08-11 £0.015 GBX99.5 4
2021-08-12 £0.0145 GBX1.065 13
2021-05-13 £0.011 GBX0.995 1
2021-02-11 £0.011 GBX0.91 8
2020-11-19 £0.011 GBX0.86 1
2020-08-13 £0.014 GBX0.855 88
2020-05-14 £0.011 GBX0.78 1
2020-02-13 £0.011 GBX1.085 1
2019-11-21 £0.011 GBX1.035 1
2019-08-15 £0.0135 GBX1.015 18
2019-05-23 £0.011 GBX1.045 1
2019-02-14 £0.011 GBX1.035 4
2018-11-22 £0.011 GBX1.015 6
2018-08-23 £0.0135 GBX1.135 1
2018-05-17 £0.0105 GBX1.17 1
2018-02-15 £0.0105 GBX1.08 1
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