A2 Finance

JPMorgan Japanese Investment Trust Dividend 2024

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Summary
Div.Rating 3.5
Dividend Yield Trailing
0.01%
Dividend Yield Forward
0.01%
Payout Ratio
3.04 %
Average Yield, 5y
66.91%
Payout Stability
100 %
Payout Growth Stability
60 %

Latest updated dividend data: 28 Dec 22:44

Dividend History

Statistics for 5 years: 2018-2023

  • £0.0532 Average Dividend
  • £0.0532 Average Dividends per Year
  • 0.88% Average Dividend Yield
  • 66.91% Average Annual Dividend Yield
  • 1.0 Frequency of payments, how many times a year
  • 3.0 Duration of growth, number of years
  • 100 % Payout Stability
  • 60 % Payout Growth Stability
  • 24.00 % Dividend Growth, Simple
  • 4.40 % Dividend Growth, CAGR
  • £0.05 (2018-11-22) Minimum
  • £0.062 (2022-12-22) Maximum
Ex-Dividend Date Payout Amount Yield Pay Date Declared Date Record Date Frequency Source
2023-12-21 £0.065 1.36% 2024-02-05 2023-12-06 2023-12-21 Final EOD
2022-12-22 £0.062 1.36% 2023-02-03 2022-12-14 2022-12-22 Final EOD
2021-12-30 £0.053 0.01% 2022-01-28 2021-12-06 Final EOD
2020-12-24 £0.051 0.71% 2021-01-26 2020-12-09 2020-12-24 Final EOD
2019-12-24 £0.05 1.06% 2020-01-24 2019-12-16 2019-12-24 Final EOD
2018-11-22 £0.05 1.26% 2018-12-21 2018-11-13 2018-11-22 Final EOD
2017-11-23 £0.05 1.19% 2017-12-22 2017-11-14 Final EOD
2016-11-24 £0.0365 1.1% 2016-12-28 Final EOD
2015-11-26 £0.028 0.99% 2015-12-29 2015-11-06 Final EOD
2014-11-27 £0.028 1.22% 2014-12-23 2014-11-12 Final EOD
2013-11-27 £0.028 1.17% 2013-12-23 2013-11-14 Final EOD
2012-11-28 £0.0365 2.36% 2012-12-21 Final EOD
2011-11-30 £3.3 207.55% EOD
2010-12-01 £2.8 162.79% EOD
2009-12-02 £2.8 194.44% EOD
2008-11-19 £2.8 218.32% EOD
2007-11-28 £2.8 143.77% EOD
1993-11-01 £0.45 0.21% EOD
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Historical Annual Dividends

Year Amount Yield (at avg price) Avg. Stock Price Last Stock Price Yield (at last price) EPS Payout Ratio
2023 £0.07 1.37 % GBX474 GBX488 1.33 %
2022 £0.06 1.29 % GBX481 GBX456 1.36 % £0.0
2021 £0.05 6.91 % GBX77 GBX665 0.80 % £0.0
2020 £0.05 95.77 % GBX5.3 GBX7.3 69.77 % £1.7 3 %
2019 £0.1 116.97 % GBX4.3 GBX4.6 109.29 % -£0.2 -29 %
2018 £0.1 113.61 % GBX4.4 GBX3.7 133.69 % £1.1 4 %
2017 £0.1 134.60 % GBX3.7 GBX4.4 114.09 % £0.4 13 %
2016 £0.037 118.94 % GBX3.1 GBX3.3 111.03 % £1.0 4 %
2015 £0.03 101.46 % GBX2.8 GBX3.0 93.72 %
2014 £0.03 126.74 % GBX2.2 GBX2.4 118.14 %
2013 £0.03 127.84 % GBX2.2 GBX2.4 114.99 %
2012 £0.037 226.93 % GBX1.6 GBX1.7 220.88 %
2011 £3.3 19309.54 % GBX1.7 GBX1.6 20370.37 %
2010 £2.8 17047.18 % GBX1.6 GBX1.9 14953.27 %
2009 £2.8 19789.38 % GBX1.4 GBX1.5 18300.65 %
2008 £2.8 17170.54 % GBX1.6 GBX1.5 18887.02 %
2007 £2.8 12448.87 % GBX2.2 GBX1.9 14893.62 %
1993 £0.5 20.80 % GBX216 GBX216 20.80 %
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Previous / Next Dividends

On this page, you can find information about the latest dividend payment by JPMorgan Japanese Investment Trust company and the forthcoming one. Sometimes the information about the future might be not yet available since the dividends have not been declared or approved. In this case, we will share a forecast — but only if we have such data (you can also check this information in the DivPort section). In the right part, you can calculate how much you would earn in dividends if you had a certain number of shares.

Previous Next
Status Paid Forecast
Frequency Final Final
Dividend 0.07 GBP 0.07 GBP
Declared Date 2023-12-06 -
Ex-Dividend Date 2023-12-21 2024-12-22

*The forecast is calculated using a simple algorithm. Please bear in mind that the A2 Finance team is a one-man operation.

Previous Next
Dividend 0.07 £ 0.07 £
× ×
Shares
=
Earnings 6.50 £ 6.50 £

Stock Price Recovery History

Stock Price Recovery History, JPMorgan Japanese Investment Trust
Ex-Dividend Date Payout Amount Stock Price Days for Stock Price to Recover
2023-12-21 £0.065 GBX478 1
2022-12-22 £0.062 GBX457.5 7
2021-12-30 £0.053 GBX664 1
2020-12-24 £0.051 GBX7.16 5
2019-12-24 £0.05 GBX4.725 146
2018-11-22 £0.05 GBX3.98 4
2017-11-23 £0.05 GBX4.205 1
2016-11-24 £0.0365 GBX3.31 4
2015-11-26 £0.028 GBX2.835 1
2014-11-27 £0.028 GBX2.29 1
2013-11-27 £0.028 GBX2.4 1
2012-11-28 £0.0365 GBX1.5475 1
2011-11-30 £3.3 GBX1.59 1
2010-12-01 £2.8 GBX1.72 1
2009-12-02 £2.8 GBX1.44 1
2008-11-19 £2.8 GBX1.2825 2
2007-11-28 £2.8 GBX1.9475 1
1993-11-01 £0.45 GBX216.375 10248
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