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BMO

Stock
Stock
ISIN: CA0636711016
Ticker: BMO
CA0636711016
BMO

Price

Dividend metrics

Annual payout (TTM) 
€4.136
Yield (TTM) 
3.764%
Payout ratio 
59.34%
Payout frequency 
Quarterly
Dividend growth (3Y) 
13.18%
Next payment 
€0.994

Dividend history & forecast

€1.673

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
4.24%
-1.23%
€4.079
Announced
30.10.2025
26.11.2025
0.91%
-1.77%
€0.994
Paid
30.07.2025
26.08.2025
1.05%
-0.34%
€1.012
Paid
29.04.2025
27.05.2025
1.2%
-3.99%
€1.015
Paid
30.01.2025
26.02.2025
1.09%
+0.62%
€1.058
2024
4.83%
+4.46%
€4.13
Paid
30.10.2024
26.11.2024
1.2%
+1.99%
€1.051
Paid
30.07.2024
27.08.2024
1.28%
+1.13%
€1.031
Paid
26.04.2024
28.05.2024
1.19%
-0.97%
€1.019
Paid
29.01.2024
27.02.2024
1.16%
+4.47%
€1.029
2023
6.02%
-0.47%
€3.954
Paid
27.10.2023
28.11.2023
2.02%
-1.4%
€0.985
Paid
27.07.2023
28.08.2023
1.75%
+2.08%
€0.999
Paid
27.04.2023
26.05.2023
1.18%
-1.22%
€0.979
Paid
27.01.2023
28.02.2023
1.07%
-0.54%
€0.991
2022
4.1%
+39.44%
€3.972
Paid
31.10.2022
28.11.2022
1.11%
-6.9%
€0.996
Paid
29.07.2022
26.08.2022
1.09%
+10.29%
€1.07
Paid
29.04.2022
26.05.2022
0.99%
+3.63%
€0.97
Paid
31.01.2022
28.02.2022
0.91%
+27.91%
€0.936
2021
3.58%
+1.94%
€2.849
Paid
29.10.2021
26.11.2021
0.77%
+2.95%
€0.732
Paid
30.07.2021
26.08.2021
0.85%
-0.81%
€0.711
Paid
30.04.2021
26.05.2021
0.89%
+4.01%
€0.717
Paid
29.01.2021
26.02.2021
1.08%
+0.86%
€0.689
2020
5.23%
+2.23%
€2.795
Paid
30.10.2020
26.11.2020
1.21%
+0.3%
€0.683
Paid
31.07.2020
26.08.2020
1.42%
-2.74%
€0.681
Paid
30.04.2020
26.05.2020
1.57%
-4.01%
€0.70
Paid
31.01.2020
26.02.2020
1.03%
+3.63%
€0.73
2019
4.08%
+10.01%
€2.734
Paid
31.10.2019
26.11.2019
1.03%
+0.72%
€0.704
Paid
31.07.2019
27.08.2019
1.05%
+5.32%
€0.699
Paid
30.04.2019
28.05.2019
0.96%
-0.45%
€0.664
Paid
31.01.2019
26.02.2019
1.04%
+4.34%
€0.667
2018
3.75%
+3.36%
€2.485
Paid
31.10.2018
27.11.2018
0.97%
+0.62%
€0.639
Paid
31.07.2018
28.08.2018
0.93%
+3.18%
€0.635
Paid
30.04.2018
28.05.2018
0.93%
+3.39%
€0.616
Paid
31.01.2018
27.02.2018
0.92%
+0.45%
€0.595
2017
3.63%
+2.75%
€2.404
Paid
31.10.2017
28.11.2017
0.91%
-1.39%
€0.593
Paid
28.07.2017
28.08.2017
0.95%
+2.71%
€0.601
Paid
27.04.2017
26.05.2017
0.89%
-6.42%
€0.585
Paid
30.01.2017
28.02.2017
0.89%
+3.52%
€0.625
2016
4.24%
+2.17%
€2.34
Paid
28.10.2016
28.11.2016
1.01%
+2.15%
€0.604
Paid
27.07.2016
26.08.2016
1.02%
+2.45%
€0.591
Paid
28.04.2016
26.05.2016
1.05%
+1.73%
€0.577
Paid
28.01.2016
26.02.2016
1.15%
-2.44%
€0.567
2015
4.27%
+8.67%
€2.29
Paid
29.10.2015
26.11.2015
1.09%
+6.79%
€0.581
Paid
29.07.2015
26.08.2015
1.12%
-8.12%
€0.545
Paid
29.04.2015
26.05.2015
1.02%
+3.69%
€0.593
Paid
29.01.2015
26.02.2015
1.04%
+3.14%
€0.572
2014
4.01%
-1.31%
€2.108
Paid
30.10.2014
26.11.2014
0.96%
+2.49%
€0.554
Paid
30.07.2014
26.08.2014
0.96%
+5.35%
€0.541
Paid
29.04.2014
27.05.2014
1.01%
+2.76%
€0.513
Paid
30.01.2014
26.02.2014
1.08%
-3.43%
€0.499
2013
4.5%
-2.61%
€2.136
Paid
30.10.2013
26.11.2013
1.04%
-1.88%
€0.517
Paid
30.07.2013
27.08.2013
1.15%
-4.88%
€0.527
Paid
29.04.2013
28.05.2013
1.18%
+3.16%
€0.554
Paid
30.01.2013
26.02.2013
1.14%
-4.16%
€0.537
2012
4.82%
+8.26%
€2.193
Paid
30.10.2012
28.11.2012
1.22%
-0.69%
€0.561
Paid
30.07.2012
28.08.2012
1.22%
+3.61%
€0.564
Paid
27.04.2012
28.05.2012
1.2%
+4.14%
€0.545
Paid
30.01.2012
28.02.2012
1.19%
+2.95%
€0.523
2011
4.68%
-1.91%
€2.025
Paid
28.10.2011
28.11.2011
1.2%
+3.51%
€0.508
Paid
28.07.2011
26.08.2011
1.18%
-3.05%
€0.491
Paid
28.04.2011
26.05.2011
1.13%
-2.68%
€0.506
Paid
28.01.2011
28.02.2011
1.17%
+0.42%
€0.52
2010
4.74%
+16.02%
€2.065
Paid
28.10.2010
26.11.2010
1.16%
-0.58%
€0.518
Paid
28.07.2010
26.08.2010
1.16%
-3.19%
€0.521
Paid
29.04.2010
26.05.2010
1.12%
+10.4%
€0.538
Paid
28.01.2010
26.02.2010
1.3%
+10.48%
€0.488
2009
6.81%
-2.41%
€1.78
Paid
04.11.2009
26.11.2009
1.35%
-1.55%
€0.441
Paid
05.08.2009
27.08.2009
1.35%
-0.39%
€0.448
Paid
29.04.2009
28.05.2009
1.75%
+2.18%
€0.45
Paid
04.02.2009
26.02.2009
2.35%
-0.04%
€0.44
2008
5.86%
-0.99%
€1.824
Paid
29.10.2008
27.11.2008
1.66%
-2.82%
€0.441
Paid
30.07.2008
28.08.2008
1.49%
-0.85%
€0.453
Paid
30.04.2008
29.05.2008
1.43%
-3.29%
€0.457
Paid
30.01.2008
28.02.2008
1.27%
-1%
€0.473
2007
4.07%
+16.08%
€1.842
Paid
31.10.2007
29.11.2007
1.15%
+1.41%
€0.477
Paid
01.08.2007
30.08.2007
1.04%
-0.2%
€0.471
Paid
02.05.2007
30.05.2007
0.97%
+11.82%
€0.472
Paid
31.01.2007
27.02.2007
0.91%
+1.71%
€0.422
2006
3.42%
+28.75%
€1.587
Paid
01.11.2006
29.11.2006
0.9%
-4.87%
€0.415
Paid
02.08.2006
30.08.2006
0.96%
+16.43%
€0.436
Paid
03.05.2006
30.05.2006
0.84%
+3.58%
€0.374
Paid
01.02.2006
27.02.2006
0.72%
+1.61%
€0.362
2005
3.24%
+25.56%
€1.232
Paid
02.11.2005
29.11.2005
0.86%
+12.85%
€0.356
Paid
03.08.2005
30.08.2005
0.77%
+7.6%
€0.315
Paid
04.05.2005
30.05.2005
0.82%
+9.22%
€0.293
Paid
02.02.2005
25.02.2005
0.79%
-4.15%
€0.268
2004
2.91%
+15.54%
€0.982
Paid
03.11.2004
29.11.2004
0.76%
+11.09%
€0.28
Paid
04.08.2004
30.08.2004
0.75%
+5.02%
€0.252
Paid
05.05.2004
28.05.2004
0.77%
+14.42%
€0.24
Paid
04.02.2004
26.02.2004
0.63%
-6.7%
€0.21
2003
1.45%
+4.65%
€0.85
Paid
07.11.2003
27.11.2003
0.7%
+3.68%
€0.225
Paid
01.08.2003
28.08.2003
0.75%
+6.96%
€0.217
Paid
05.05.2003
29.05.2003
-
-1.26%
€0.203
Paid
10.02.2003
27.02.2003
-
+6.93%
€0.205
2002
-
+0.37%
€0.812
Paid
30.10.2002
28.11.2002
-
-1.9%
€0.192
Paid
31.07.2002
29.08.2002
-
-6.13%
€0.196
Paid
01.05.2002
30.05.2002
-
-3.34%
€0.208
Paid
30.01.2002
27.02.2002
-
+8.27%
€0.216
2001
-
+10.14%
€0.809
Paid
31.10.2001
29.11.2001
-
+0.65%
€0.199
Paid
01.08.2001
30.08.2001
-
-6.45%
€0.198
Paid
02.05.2001
30.05.2001
-
+5.72%
€0.212
Paid
31.01.2001
27.02.2001
-
+5.83%
€0.20
2000
-
+11.72%
€0.734
Paid
01.11.2000
29.11.2000
-
-0.11%
€0.189
Paid
02.08.2000
30.08.2000
-
+6.22%
€0.189
Paid
03.05.2000
30.05.2000
-
+0.23%
€0.178
Paid
02.02.2000
28.02.2000
-
+8.19%
€0.178
1999
-
+9.09%
€0.657
Paid
03.11.1999
29.11.1999
-
0%
€0.164
Paid
04.08.1999
30.08.1999
-
0%
€0.164
Paid
05.05.1999
28.05.1999
-
0%
€0.164
Paid
03.02.1999
25.02.1999
-
+9.09%
€0.164
1998
-
+7.32%
€0.603
Paid
04.11.1998
27.11.1998
-
0%
€0.151
Paid
05.08.1998
28.08.1998
-
0%
€0.151
Paid
06.05.1998
28.05.1998
-
0%
€0.151
Paid
04.02.1998
26.02.1998
-
0%
€0.151
1997
-
+10.81%
€0.561
Paid
05.11.1997
27.11.1997
-
+10%
€0.151
Paid
05.08.1997
28.08.1997
-
0%
€0.137
Paid
05.05.1997
29.05.1997
-
0%
€0.137
Paid
05.02.1997
27.02.1997
-
0%
€0.137
1996
-
+8.82%
€0.507
Paid
06.11.1996
28.11.1996
-
+11.11%
€0.137
Paid
06.08.1996
29.08.1996
-
0%
€0.123
Paid
06.05.1996
30.05.1996
-
0%
€0.123
Paid
06.02.1996
28.02.1996
-
+5.88%
€0.123
1995
-
+13.33%
€0.466
Paid
06.11.1995
29.11.1995
-
0%
€0.116
Paid
04.08.1995
30.08.1995
-
0%
€0.116
Paid
03.05.1995
30.05.1995
-
0%
€0.116
Paid
02.02.1995
27.02.1995
-
+13.33%
€0.116
1994
-
+7.14%
€0.411
Paid
02.11.1994
29.11.1994
-
0%
€0.103
Paid
03.08.1994
30.08.1994
-
0%
€0.103
Paid
04.05.1994
30.05.1994
-
0%
€0.103
Paid
02.02.1994
25.02.1994
-
+7.14%
€0.103
1993
-
+3.7%
€0.383
Paid
02.11.1993
29.11.1993
-
0%
€0.0959
Paid
04.08.1993
30.08.1993
-
0%
€0.0959
Paid
04.05.1993
28.05.1993
-
0%
€0.0959
Paid
02.02.1993
25.02.1993
-
+3.7%
€0.0959
1992
-
0%
€0.37
Paid
03.11.1992
27.11.1992
-
0%
€0.0924
Paid
04.08.1992
28.08.1992
-
0%
€0.0924
Paid
04.05.1992
28.05.1992
-
0%
€0.0924
Paid
04.02.1992
27.02.1992
-
0%
€0.0924
1991
-
0%
€0.37
Paid
04.11.1991
28.11.1991
-
0%
€0.0924
Paid
02.08.1991
29.08.1991
-
0%
€0.0924
Paid
02.05.1991
30.05.1991
-
0%
€0.0924
Paid
04.02.1991
27.02.1991
-
0%
€0.0924
1990
-
+100%
€0.37
Paid
31.10.1990
29.11.1990
-
0%
€0.0924
Paid
31.07.1990
30.08.1990
-
0%
€0.0924
Paid
02.05.1990
30.05.1990
-
0%
€0.0924
Paid
31.01.1990
27.02.1990
-
0%
€0.0924
1989
-
-
€0.185
Paid
01.11.1989
29.11.1989
-
0%
€0.0924
Paid
01.08.1989
30.08.1989
-
-
€0.0924

Frequently asked questions

When does BMO pay dividends?

BMO's dividends are paid out in February, May, August, and November.

How often does BMO pay dividends?

On a quarterly basis.

What is the dividend yield of BMO?

The dividend yield is currently 3.76% and distributions have increased by 13.18% in the last 3 years.

When was BMO's last dividend payout date?

The last payment was made on 26.08.2025.

When do you have to have BMO in your portfolio to receive the last dividend?

If you had BMO in your securities account on 30.07.2025, you received the distribution.

How much was BMO's dividend in 2024?

BMO paid out a dividend of €4.13 in 2024.

How much was BMO's dividend in 2023?

BMO paid out a dividend of €3.954 in 2023.

When is the ex-dividend date for the next BMO's dividend?

To receive the next dividend, BMO must be booked in the securities account on 30.10.2025.

What is BMO's next dividend?

On 26.11.2025, €0.994 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 4.46% based on the previous financial year. The average dividend growth over the last 5 years is 8.602%.

1 Year

Moderate growth4.46%

3 Year

Strong growth13.18%

5 Year

Strong growth8.602%

10 Year

Strong growth6.959%

Other top dividend stocks

Real-time data from LSX · Fundamentals & EOD data from FactSet
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