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3i Group

Stock
Stock
ISIN: GB00B1YW4409
Ticker: III
GB00B1YW4409
III

Price

Dividend metrics

Annual payout (TTM) 
€0.849
Yield (TTM) 
1.803%
Payout ratio 
16.27%
Payout frequency 
Biannually
Dividend growth (3Y) 
17.50%
Next payment 
-

Dividend history & forecast

€0.446

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
1.83%
+18.49%
€0.849
Paid
19.06.2025
25.07.2025
1.01%
+33.9%
€0.486
Paid
28.11.2024
10.01.2025
0.82%
-11.1%
€0.363
2024
2.13%
+17.64%
€0.717
Paid
20.06.2024
26.07.2024
1.11%
+32.49%
€0.408
Paid
30.11.2023
12.01.2024
1.03%
-11.04%
€0.308
2023
2.87%
+10.56%
€0.609
Paid
22.06.2023
28.07.2023
1.3%
+31.92%
€0.346
Paid
01.12.2022
11.01.2023
1.57%
-18%
€0.263
2022
3.73%
+24.74%
€0.551
Paid
16.06.2022
22.07.2022
2.06%
+38.88%
€0.32
Paid
02.12.2021
12.01.2022
1.67%
-5.97%
€0.231
2021
4.15%
+10.73%
€0.442
Paid
17.06.2021
23.07.2021
2.22%
+24.88%
€0.245
Paid
03.12.2020
13.01.2021
1.93%
+2.03%
€0.196
2020
4.18%
+2.6%
€0.399
Paid
11.06.2020
17.07.2020
2.17%
-6.73%
€0.192
Paid
12.12.2019
08.01.2020
2%
-7.28%
€0.206
2019
4.35%
+15.53%
€0.389
Paid
13.06.2019
19.07.2019
2.42%
+33.95%
€0.223
Paid
13.12.2018
09.01.2019
1.93%
-32.48%
€0.166
2018
4.2%
+12.15%
€0.336
Paid
14.06.2018
20.07.2018
3%
+172.22%
€0.246
Paid
14.12.2017
10.01.2018
1.2%
-56.14%
€0.0904
2017
4.47%
+10.1%
€0.30
Paid
15.06.2017
21.07.2017
3.02%
+119.42%
€0.206
Paid
08.12.2016
04.01.2017
1.44%
-50.83%
€0.0939
2016
3.67%
-0.7%
€0.272
Paid
16.06.2016
22.07.2016
2.72%
+134.57%
€0.191
Paid
10.12.2015
06.01.2016
0.95%
-58.83%
€0.0814
2015
3.17%
+10.08%
€0.274
Paid
18.06.2015
24.07.2015
2.22%
+158.3%
€0.198
Paid
11.12.2014
07.01.2015
0.95%
-54.44%
€0.0766
2014
3.17%
+160.45%
€0.249
Paid
18.06.2014
25.07.2014
2.11%
+107.08%
€0.168
Paid
11.12.2013
08.01.2014
1.06%
+29.75%
€0.0812
2013
1.28%
-6.16%
€0.0957
Paid
19.06.2013
26.07.2013
0.86%
+88.76%
€0.0626
Paid
12.12.2012
09.01.2013
0.43%
-52.21%
€0.0331
2012
1.28%
+144.27%
€0.102
Paid
20.06.2012
20.07.2012
0.86%
+112.49%
€0.0694
Paid
07.12.2011
11.01.2012
0.43%
+19.28%
€0.0326
2011
0.57%
+19.58%
€0.0418
Paid
15.06.2011
15.07.2011
0.38%
+90.12%
€0.0274
Paid
08.12.2010
12.01.2011
0.19%
-39.26%
€0.0144
2010
0.48%
-49.97%
€0.0349
Paid
16.06.2010
16.07.2010
0.32%
+111.17%
€0.0237
Paid
09.12.2009
13.01.2010
0.16%
-83.92%
€0.0112
2009
1%
-68.2%
€0.0698
Paid
03.12.2008
07.01.2009
1%
-49.2%
€0.0698
2008
1.88%
-89.87%
€0.219
Paid
18.06.2008
18.07.2008
1.3%
+67.35%
€0.137
Paid
28.11.2007
02.01.2008
0.59%
-54.43%
€0.0821
2007
12.3%
-13.04%
€2.167
Paid
20.06.2007
20.07.2007
0.88%
-90.45%
€0.18
Paid
16.07.2007
17.07.2007
10.83%
+1,763.08%
€1.885
Paid
29.11.2006
03.01.2007
0.59%
-48.77%
€0.101
2006
15.51%
+121.08%
€2.492
Paid
21.06.2006
21.07.2006
1.11%
-90.95%
€0.198
Paid
17.07.2006
18.07.2006
13.73%
+1,866.59%
€2.183
Paid
30.11.2005
04.01.2006
0.67%
-86.39%
€0.111
2005
7.99%
+365.28%
€1.127
Paid
11.07.2005
22.07.2005
5.78%
+307.6%
€0.816
Paid
15.06.2005
15.07.2005
1.35%
+80.17%
€0.20
Paid
01.12.2004
05.01.2005
0.85%
-17.1%
€0.111
2004
1.8%
+4.05%
€0.242
Paid
16.06.2004
16.07.2004
0.99%
+23.8%
€0.134
Paid
03.12.2003
07.01.2004
0.82%
-11.06%
€0.108
2003
1.96%
-3.8%
€0.233
Paid
18.06.2003
18.07.2003
1.05%
+9.53%
€0.122
Paid
04.12.2002
08.01.2003
0.9%
-12.03%
€0.111
2002
1.32%
-2.49%
€0.242
Paid
19.06.2002
19.07.2002
0.75%
+9.16%
€0.126
Paid
28.11.2001
02.01.2002
0.57%
-13.2%
€0.116
2001
0.81%
+5.09%
€0.248
Paid
13.06.2001
13.07.2001
0.45%
+16.02%
€0.133
Paid
04.12.2000
10.01.2001
0.37%
-6.91%
€0.115
2000
0.89%
+10.09%
€0.236
Paid
05.06.2000
21.07.2000
0.43%
+9.46%
€0.123
Paid
06.12.1999
28.01.2000
0.46%
+0.14%
€0.113
1999
1.39%
+9.79%
€0.215
Paid
07.06.1999
23.07.1999
0.62%
+10.46%
€0.113
Paid
07.12.1998
29.01.1999
0.78%
-0.98%
€0.102
1998
1.48%
+11.88%
€0.195
Paid
15.06.1998
24.07.1998
0.69%
+11.35%
€0.103
Paid
08.12.1997
30.01.1998
0.79%
+0.84%
€0.0925
1997
1.49%
+13.48%
€0.175
Paid
16.06.1997
25.07.1997
0.76%
+10.5%
€0.0917
Paid
09.12.1996
31.01.1997
0.72%
+3.17%
€0.083
1996
1.5%
+12.22%
€0.154
Paid
17.06.1996
26.07.1996
0.75%
+9.44%
€0.0804
Paid
11.12.1995
31.01.1996
0.74%
+3.83%
€0.0735
1995
1.66%
-
€0.137
Paid
19.06.1995
28.07.1995
0.82%
+6.62%
€0.0708
Paid
19.12.1994
31.01.1995
0.83%
-
€0.0664

Frequently asked questions

When does 3i Group pay dividends?

3i Group's dividends are paid out in January and July.

How often does 3i Group pay dividends?

Every six months.

What is the dividend yield of 3i Group?

The dividend yield is currently 1.80% and distributions have increased by 17.50% in the last 3 years.

When was 3i Group's last dividend payout date?

The last payment was made on 25.07.2025.

When do you have to have 3i Group in your portfolio to receive the last dividend?

If you had 3i Group in your securities account on 19.06.2025, you received the distribution.

How much was 3i Group's dividend in 2024?

3i Group paid out a dividend of €0.717 in 2024.

How much was 3i Group's dividend in 2023?

3i Group paid out a dividend of €0.609 in 2023.

What is 3i Group's next dividend?

3i Group has not yet announced a next dividend payment yet.

Dividend growth 

The dividend growth is 17.64% based on the previous financial year. The average dividend growth over the last 5 years is 13.01%.

1 Year

Strong growth17.64%

3 Year

Strong growth17.50%

5 Year

Strong growth13.01%

10 Year

Strong growth11.14%

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