Jupiter Fund Management Plc

Symbol
JUP.L
Exchange
London Stock Exchange
Next Ex-Div Date
21 Apr 2024
Previous Dividend Calculator
ExDivDate: 3 Aug 2023
Amount: 0.064 GBP
You get

0.064 GBP

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Status Declaration Date Ex-div Date PaymentDate Currency Amount Change
Estimated - 1 Aug 2024 23 Aug 2024 GBP 0.0689 + 3345.00%
Estimated - 21 Apr 2024 20 May 2024 GBP 0.002 -96.88%
Confirmed 27 Jul 2023 3 Aug 2023 1 Sep 2023 GBP 0.064 + 1180.00%
Confirmed 24 Feb 2023 20 Apr 2023 19 May 2023 GBP 0.005 -93.67%
Confirmed 29 Jul 2022 11 Aug 2022 31 Aug 2022 GBP 0.079 -14.13%
Confirmed 25 Feb 2022 21 Apr 2022 20 May 2022 GBP 0.092 + 16.46%
Confirmed 30 Jul 2021 12 Aug 2021 1 Sep 2021 GBP 0.079 -35.25%
Confirmed 26 Feb 2021 15 Apr 2021 14 May 2021 GBP 0.122 + 54.43%
Confirmed 29 Jul 2020 6 Aug 2020 26 Aug 2020 GBP 0.079 -14.13%
Confirmed 28 Feb 2020 12 Mar 2020 9 Apr 2020 GBP 0.092 + 16.46%
Confirmed 30 Jul 2019 8 Aug 2019 28 Aug 2019 GBP 0.079 -61.65%
Confirmed 1 Mar 2019 14 Mar 2019 11 Apr 2019 GBP 0.206 + 160.76%
Confirmed 27 Jul 2018 9 Aug 2018 29 Aug 2018 GBP 0.079 -69.38%
Confirmed 27 Feb 2018 8 Mar 2018 6 Apr 2018 GBP 0.258 + 279.41%
Confirmed 26 Jul 2017 3 Aug 2017 30 Aug 2017 GBP 0.068 -70.04%
Confirmed 24 Feb 2017 9 Mar 2017 7 Apr 2017 GBP 0.227 + 404.44%
Confirmed 27 Jul 2016 4 Aug 2016 26 Aug 2016 GBP 0.045 -79.07%
Confirmed 29 Feb 2016 10 Mar 2016 8 Apr 2016 GBP 0.215 + 437.50%
Confirmed 29 Jul 2015 6 Aug 2015 28 Aug 2015 GBP 0.04 -65.22%
Confirmed 26 Feb 2015 19 Mar 2015 21 Apr 2015 GBP 0.115 + 210.81%
Confirmed 30 Jul 2014 6 Aug 2014 29 Aug 2014 GBP 0.037 -59.34%
Confirmed 27 Feb 2014 9 Apr 2014 27 May 2014 GBP 0.091 0.00%