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Komatsu

Stock
Stock
ISIN: JP3304200003
Ticker: 6301
JP3304200003
6301

Price

Dividend metrics

Annual payout (TTM) 
€1.164
Yield (TTM) 
4.012%
Payout ratio 
-
Payout frequency 
Biannually
Dividend growth (3Y) 
22.30%
Next payment 
€0.553

Dividend history & forecast

€0.352

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
3.69%
+9.27%
€1.188
Announced
29.09.2025
02.12.2025
1.87%
-13.08%
€0.553
Paid
28.03.2025
20.06.2025
1.82%
+20.22%
€0.636
2024
4.13%
+17.02%
€1.087
Paid
27.09.2024
02.12.2024
2.03%
-5.35%
€0.529
Paid
28.03.2024
20.06.2024
2.11%
+23.98%
€0.559
2023
4.07%
+10.36%
€0.929
Paid
28.09.2023
01.12.2023
1.84%
-5.85%
€0.451
Paid
30.03.2023
22.06.2023
2.23%
+5.83%
€0.479
2022
3.41%
+41.63%
€0.842
Paid
29.09.2022
02.12.2022
1.84%
+16.02%
€0.452
Paid
30.03.2022
22.06.2022
1.57%
+24.5%
€0.39
2021
2.08%
+26.66%
€0.594
Paid
29.09.2021
01.12.2021
1.08%
+11.24%
€0.313
Paid
30.03.2021
21.06.2021
1%
+96.88%
€0.281
2020
1.63%
-50.13%
€0.469
Paid
29.09.2020
01.12.2020
0.49%
-56.21%
€0.143
Paid
30.03.2020
19.06.2020
1.14%
-28.33%
€0.326
2019
4.69%
+22.2%
€0.941
Paid
27.09.2019
02.12.2019
2.41%
-6.25%
€0.455
Paid
27.03.2019
19.06.2019
2.28%
+23.07%
€0.486
2018
2.75%
+53.44%
€0.77
Paid
26.09.2018
29.11.2018
1.51%
+5.11%
€0.395
Paid
28.03.2018
20.06.2018
1.24%
+39.73%
€0.376
2017
2.3%
+4.78%
€0.502
Paid
27.09.2017
30.11.2017
1.26%
+15.23%
€0.269
Paid
29.03.2017
21.06.2017
1.04%
-2.29%
€0.233
2016
3.03%
+11.08%
€0.479
Paid
28.09.2016
01.12.2016
1.21%
-0.72%
€0.239
Paid
29.03.2016
23.06.2016
1.82%
+8.29%
€0.24
2015
2.57%
+6.39%
€0.431
Paid
28.09.2015
01.12.2015
1.41%
+6.06%
€0.222
Paid
27.03.2015
25.06.2015
1.16%
+6.55%
€0.209
2014
2.6%
+2.52%
€0.405
Paid
26.09.2014
02.12.2014
1.18%
-5.98%
€0.196
Paid
27.03.2014
19.06.2014
1.42%
+0.27%
€0.209
2013
2.5%
-8.44%
€0.395
Paid
26.09.2013
29.11.2013
1.36%
+11.42%
€0.208
Paid
27.03.2013
20.06.2013
1.13%
-16.38%
€0.187
2012
2.55%
+13.95%
€0.432
Paid
26.09.2012
30.11.2012
1.61%
+7.41%
€0.224
Paid
28.03.2012
21.06.2012
0.94%
+1.92%
€0.208
2011
1.82%
+61.58%
€0.379
Paid
28.09.2011
25.11.2011
1.07%
+16.94%
€0.204
Paid
29.03.2011
23.06.2011
0.76%
+7.93%
€0.175
2010
1.44%
+19.82%
€0.235
Paid
28.09.2010
26.11.2010
1%
+122.68%
€0.162
Paid
29.03.2010
24.06.2010
0.44%
+17.84%
€0.0727
2009
2.15%
-37.17%
€0.196
Paid
25.09.2009
27.11.2009
0.49%
-53.99%
€0.0617
Paid
26.03.2009
25.06.2009
1.66%
-26.03%
€0.134
2008
1.77%
+34.89%
€0.312
Paid
25.09.2008
28.11.2008
0.93%
+39.04%
€0.181
Paid
26.03.2008
25.06.2008
0.85%
+6.13%
€0.13
2007
1.3%
+51.14%
€0.231
Paid
25.09.2007
30.11.2007
0.57%
+13.53%
€0.123
Paid
27.03.2007
25.06.2007
0.73%
+28.1%
€0.108
2006
1.12%
+50.18%
€0.153
Paid
26.09.2006
01.12.2006
0.63%
+23.48%
€0.0845
Paid
28.03.2006
26.06.2006
0.49%
+20.8%
€0.0684
2005
1.35%
+52.41%
€0.102
Paid
27.09.2005
02.12.2005
0.61%
+25.38%
€0.0566
Paid
28.03.2005
27.06.2005
0.74%
+24.18%
€0.0452
2004
1.43%
+49%
€0.0668
Paid
27.09.2004
03.12.2004
0.81%
+19.58%
€0.0364
Paid
26.03.2004
28.06.2004
0.61%
+32.88%
€0.0304
2003
1.15%
-9.27%
€0.0448
Paid
25.09.2003
05.12.2003
0.47%
+4.35%
€0.0229
Paid
26.03.2003
27.06.2003
0.69%
-8.67%
€0.0219
2002
1.37%
-10.66%
€0.0494
Paid
25.09.2002
06.12.2002
0.72%
-5.4%
€0.024
Paid
26.03.2002
27.06.2002
0.65%
-5.53%
€0.0254
2001
1.33%
-8.68%
€0.0553
Paid
25.09.2001
07.12.2001
0.79%
-5.46%
€0.0269
Paid
27.03.2001
28.06.2001
0.55%
-6.84%
€0.0284
2000
1.12%
+3.9%
€0.0605
Paid
26.09.2000
08.12.2000
0.44%
+1.57%
€0.0305
Paid
28.03.2000
29.06.2000
0.68%
+3.09%
€0.03
1999
0.97%
-25%
€0.0583
Paid
27.09.1999
10.12.1999
0.44%
0%
€0.0291
Paid
26.03.1999
30.06.1999
0.53%
-25%
€0.0291
1998
1.34%
0%
€0.0777
Paid
25.09.1998
10.12.1998
0.67%
0%
€0.0389
Paid
26.03.1998
29.06.1998
0.67%
0%
€0.0389
1997
0.49%
0%
€0.0777
Paid
25.09.1997
10.12.1997
0.49%
0%
€0.0389
Paid
26.03.1997
30.06.1997
-
0%
€0.0389
1996
-
0%
€0.0777
Paid
25.09.1996
10.12.1996
-
0%
€0.0389
Paid
26.03.1996
28.06.1996
-
0%
€0.0389
1995
-
0%
€0.0777
Paid
26.09.1995
08.12.1995
-
0%
€0.0389
Paid
28.03.1995
30.06.1995
-
0%
€0.0389
1994
-
0%
€0.0777
Paid
27.09.1994
09.12.1994
-
0%
€0.0389
Paid
28.03.1994
30.06.1994
-
0%
€0.0389
1993
-
0%
€0.0777
Paid
27.09.1993
10.12.1993
-
0%
€0.0389
Paid
26.03.1993
30.06.1993
-
0%
€0.0389
1992
-
-
€0.0777
Paid
25.09.1992
10.12.1992
-
0%
€0.0389
Paid
26.03.1992
29.06.1992
-
-
€0.0389

Frequently asked questions

When does Komatsu pay dividends?

Komatsu's dividends are paid out in June and December.

How often does Komatsu pay dividends?

Every six months.

What is the dividend yield of Komatsu?

The dividend yield is currently 4.01% and distributions have increased by 22.30% in the last 3 years.

When was Komatsu's last dividend payout date?

The last payment was made on 20.06.2025.

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

If you had Komatsu in your securities account on 28.03.2025, you received the distribution.

How much was Komatsu's dividend in 2024?

Komatsu paid out a dividend of €1.087 in 2024.

How much was Komatsu's dividend in 2023?

Komatsu paid out a dividend of €0.929 in 2023.

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

To receive the next dividend, Komatsu must be booked in the securities account on 29.09.2025.

What is Komatsu's next dividend?

On 02.12.2025, €0.553 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 17.02% based on the previous financial year. The average dividend growth over the last 5 years is 2.929%.

1 Year

Strong growth17.02%

3 Year

Strong growth22.30%

5 Year

Low growth2.929%

10 Year

Strong growth10.37%

Other top dividend stocks

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