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Imperial Brands

Stock
Stock
ISIN: GB0004544929
Ticker: IMB
GB0004544929
IMB

Price

Dividend metrics

Annual payout (TTM) 
$1.899
Yield (TTM) 
5.824%
Payout ratio 
63.14%
Payout frequency 
Quarterly
Dividend growth (3Y) 
-4.555%
Next payment 
$0.682

Dividend history & forecast

$1.388

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

20255.18%-12.04%$1.689
Announced21.08.202530.09.20251.54%0%$0.504
Announced22.05.202530.06.20251.54%-26.13%$0.504
Announced20.02.202531.03.20252.09%0%$0.682
20246.97%+6.31%$1.92
Announced28.11.202431.12.20242.06%+126.96%$0.682
Paid22.08.202430.09.20241.04%+5.78%$0.30
Paid23.05.202428.06.20241.15%-56.58%$0.284
Paid15.02.202428.03.20242.72%-0.93%$0.654
20236.96%+4.41%$1.806
Paid23.11.202329.12.20232.41%+150.6%$0.66
Paid17.08.202329.09.20231.02%-3.77%$0.263
Paid25.05.202330.06.20231.04%-55.03%$0.274
Paid16.02.202331.03.20232.49%+2.01%$0.609
20227.46%-8.57%$1.73
Paid24.11.202230.12.20222.35%+151.64%$0.597
Paid18.08.202230.09.20221.11%-8.31%$0.237
Paid26.05.202230.06.20221.19%-59.42%$0.259
Paid17.02.202231.03.20222.81%-2.76%$0.637
20219.08%-8.91%$1.892
Paid25.11.202131.12.20213.07%+131.09%$0.655
Paid19.08.202130.09.20211.35%-2.62%$0.284
Paid27.05.202130.06.20211.31%-55.99%$0.291
Paid18.02.202131.03.20213.36%+0.84%$0.662
202010.43%-19.8%$2.077
Paid26.11.202031.12.20203.19%+143.68%$0.656
Paid20.08.202030.09.20201.63%+4.27%$0.269
Paid28.05.202030.06.20201.38%-71.09%$0.258
Paid20.02.202031.03.20204.24%-6.42%$0.893
20199.45%+7.28%$2.59
Paid21.11.201931.12.20194.06%+148.38%$0.955
Paid22.08.201930.09.20191.48%-3.2%$0.384
Paid23.05.201928.06.20191.39%-53.49%$0.397
Paid21.02.201929.03.20192.52%+2.41%$0.854
20186.88%+11.51%$2.414
Paid22.11.201831.12.20182.51%+125.07%$0.834
Paid23.08.201828.09.20181.02%-1.33%$0.37
Paid24.05.201829.06.20181.05%-55.02%$0.375
Paid22.02.201829.03.20182.31%+3.89%$0.835
20174.83%+8.77%$2.165
Paid16.11.201729.12.20171.92%+132.01%$0.804
Paid17.08.201729.09.20170.8%+2.85%$0.346
Paid18.05.201730.06.20170.7%-50.38%$0.337
Paid16.02.201731.03.20171.42%+1.65%$0.679
20164.08%-27.85%$1.991
Paid17.11.201630.12.20161.52%+118.91%$0.668
Paid18.08.201630.09.20160.58%-2.42%$0.305
Paid19.05.201630.06.20160.63%-55.7%$0.313
Paid04.02.201631.03.20161.36%-2.49%$0.706
20155.83%+37.83%$2.759
Paid19.11.201531.12.20151.39%+123.54%$0.724
Paid27.08.201530.09.20150.66%-3.65%$0.324
Paid28.05.201530.06.20150.66%-75.59%$0.336
Paid15.01.201515.02.20153.13%+113.41%$1.376
20145.02%+18.15%$2.002
Paid16.07.201419.08.20141.46%-52.49%$0.645
Paid15.01.201417.02.20143.56%+146.72%$1.357
20134.62%+8.74%$1.694
Paid17.07.201316.08.20131.56%-51.93%$0.55
Paid16.01.201318.02.20133.06%+129.94%$1.144
20124.12%+8.32%$1.558
Paid18.07.201217.08.20121.27%-53.08%$0.498
Paid18.01.201217.02.20122.85%+128.51%$1.061
20114.48%+21.95%$1.438
Paid20.07.201119.08.20111.32%-52.37%$0.464
Paid19.01.201118.02.20113.16%+158.32%$0.974
20103.9%+23.86%$1.18
Paid21.07.201020.08.20101.3%-52.99%$0.377
Paid20.01.201019.02.20102.61%+131.7%$0.802
20093.59%-32.57%$0.952
Paid17.06.200919.08.20091.31%-42.86%$0.346
Paid21.01.200920.02.20092.27%+31.46%$0.606
20083.53%+10.99%$1.412
Paid04.06.200808.08.20081.25%-51.54%$0.461
Paid16.01.200815.02.20082.28%+124.23%$0.951
20073.43%+22.52%$1.272
Paid11.07.200710.08.20071.08%-49.98%$0.424
Paid17.01.200716.02.20072.35%+140.93%$0.848
20063.97%+8.62%$1.039
Paid05.07.200604.08.20061.28%-48.72%$0.352
Paid18.01.200617.02.20062.68%+134.03%$0.686
20054.11%+14.35%$0.956
Paid06.07.200505.08.20051.27%-55.74%$0.293
Paid19.01.200518.02.20052.84%+140.76%$0.663
20044.57%+49.85%$0.836
Paid07.07.200406.08.20041.43%-50.91%$0.275
Paid21.01.200420.02.20043.14%+190.82%$0.561
20031.39%+6.82%$0.558
Paid09.07.200308.08.20031.39%-47.18%$0.193
Paid22.01.200321.02.2003-+99.34%$0.365
2002-+11.84%$0.522
Paid10.07.200209.08.2002--45.99%$0.183
Paid23.01.200222.02.2002-+120.32%$0.339
2001-+3.75%$0.467
Paid11.07.200110.08.2001--50.83%$0.154
Paid22.01.200123.02.2001-+106.06%$0.313
2000-+13.24%$0.45
Paid10.07.200011.08.2000--49.04%$0.152
Paid06.12.199911.02.2000-+109.71%$0.298
1999-+12.84%$0.397
Paid24.05.199913.08.1999--44.3%$0.142
Paid07.12.199812.02.1999-+107.89%$0.255
1998-+202.78%$0.352
Paid01.06.199814.08.1998--46.48%$0.123
Paid08.12.199713.02.1998-+97.22%$0.229
1997--$0.116
Paid02.06.199701.07.1997--$0.116

Frequently asked questions

When does Imperial Brands pay dividends?

Imperial Brands's dividends are paid out in March, June, September, and December.

How often does Imperial Brands pay dividends?

On a quarterly basis.

What is the dividend yield of Imperial Brands?

The dividend yield is currently 5.82% and distributions have decreased by 4.55% in the last 3 years.

When was Imperial Brands's last dividend payout date?

The last payment was made on 30.09.2024.

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

If you had Imperial Brands in your securities account on 22.08.2024, you received the distribution.

How much was Imperial Brands's dividend in 2023?

Imperial Brands paid out a dividend of $1.806 in 2023.

How much was Imperial Brands's dividend in 2022?

Imperial Brands paid out a dividend of $1.73 in 2022.

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

To receive the next dividend, Imperial Brands must be booked in the securities account on 21.08.2025.

What is Imperial Brands's next dividend?

On 30.09.2025, $0.504 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 4.408% based on the previous financial year. The average dividend growth over the last 5 years is -5.639%.

1 Year

Moderate growth4.408%

3 Year

Negative growth-4.555%

5 Year

Negative growth-5.639%

10 Year

Low growth0.641%

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