Sumitomo Corp logo

Sumitomo Corp

Stock
Stock
ISIN: JP3404600003
Ticker: 8053
JP3404600003
8053

Price

Dividend metrics

Annual payout (TTM) 
€0.798
Yield (TTM) 
3.719%
Payout ratio 
-
Payout frequency 
Biannually
Dividend growth (3Y) 
7.991%
Next payment 
€0.405

Dividend history & forecast

€0.313

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
3.75%
+1.3%
€0.789
Announced
29.09.2025
02.12.2025
1.88%
+5.35%
€0.405
Paid
28.03.2025
23.06.2025
1.87%
-7.22%
€0.384
2024
3.72%
+2.66%
€0.779
Paid
27.09.2024
02.12.2024
2%
+13.53%
€0.414
Paid
28.03.2024
24.06.2024
1.72%
-6.75%
€0.365
2023
4.55%
-11.55%
€0.759
Paid
28.09.2023
01.12.2023
2.04%
+6.45%
€0.391
Paid
30.03.2023
26.06.2023
2.51%
-9.06%
€0.367
2022
5.93%
+38.69%
€0.858
Paid
29.09.2022
01.12.2022
3.09%
-10.92%
€0.404
Paid
30.03.2022
27.06.2022
2.84%
+28.79%
€0.454
2021
4.46%
+8.83%
€0.618
Paid
29.09.2021
01.12.2021
2.51%
+32.3%
€0.352
Paid
30.03.2021
21.06.2021
1.95%
-4.22%
€0.266
2020
5.13%
-16.83%
€0.568
Paid
29.09.2020
01.12.2020
2.39%
-4.25%
€0.278
Paid
30.03.2020
22.06.2020
2.74%
-22.1%
€0.29
2019
4.96%
+23.81%
€0.683
Paid
27.09.2019
02.12.2019
2.55%
+19.98%
€0.373
Paid
27.03.2019
24.06.2019
2.41%
+8.26%
€0.311
2018
3.99%
+34.72%
€0.552
Paid
26.09.2018
03.12.2018
2.06%
+8.27%
€0.287
Paid
28.03.2018
25.06.2018
1.92%
+26.28%
€0.265
2017
3.47%
-4.34%
€0.41
Paid
27.09.2017
01.12.2017
1.79%
+5.01%
€0.21
Paid
29.03.2017
26.06.2017
1.69%
-2.9%
€0.20
2016
4.38%
+15.25%
€0.428
Paid
28.09.2016
01.12.2016
2.27%
-7.49%
€0.206
Paid
29.03.2016
27.06.2016
2.11%
+16.22%
€0.222
2015
3.88%
+8.51%
€0.372
Paid
28.09.2015
01.12.2015
1.96%
+6.23%
€0.191
Paid
27.03.2015
24.06.2015
1.92%
+6.4%
€0.18
2014
3.64%
+4.12%
€0.342
Paid
26.09.2014
01.12.2014
1.85%
-2.17%
€0.169
Paid
27.03.2014
23.06.2014
1.79%
+4.78%
€0.173
2013
1.71%
-33.45%
€0.329
Paid
26.09.2013
02.12.2013
1.71%
+0.92%
€0.165
Paid
27.03.2013
24.06.2013
-
-29.7%
€0.164
2012
-
+22.72%
€0.494
Paid
26.09.2012
03.12.2012
-
-10.92%
€0.233
Paid
28.03.2012
25.06.2012
-
+13.97%
€0.261
2011
-
+43.73%
€0.403
Paid
28.09.2011
01.12.2011
-
+32.27%
€0.229
Paid
29.03.2011
27.06.2011
-
+19.73%
€0.173
2010
-
+54.33%
€0.28
Paid
28.09.2010
01.12.2010
-
+6.97%
€0.145
Paid
29.03.2010
23.06.2010
-
+96.89%
€0.135
2009
-
-35.15%
€0.182
Paid
25.09.2009
01.12.2009
-
-39.04%
€0.0688
Paid
26.03.2009
22.06.2009
-
-29.68%
€0.113
2008
-
+27.64%
€0.28
Paid
25.09.2008
01.12.2008
-
+34.16%
€0.16
Paid
26.03.2008
23.06.2008
-
+7.58%
€0.12
2007
-
+13.52%
€0.219
Paid
25.09.2007
03.12.2007
-
+2.71%
€0.111
Paid
27.03.2007
25.06.2007
-
+11.02%
€0.108
2006
-
+47.97%
€0.193
Paid
26.09.2006
01.12.2006
-
+1.77%
€0.0974
Paid
28.03.2006
26.06.2006
-
+22.94%
€0.0958
2005
-
+118.83%
€0.131
Paid
27.09.2005
01.12.2005
-
+47.84%
€0.0779
Paid
28.03.2005
27.06.2005
-
+80.22%
€0.0527
2004
-
-0.44%
€0.0597
Paid
27.09.2004
01.12.2004
-
-3.95%
€0.0292
Paid
26.03.2004
23.06.2004
-
-0.26%
€0.0304
2003
-
-9.31%
€0.0599
Paid
25.09.2003
01.12.2003
-
+3.73%
€0.0305
Paid
26.03.2003
23.06.2003
-
-8.88%
€0.0294
2002
-
-9.67%
€0.0661
Paid
25.09.2002
02.12.2002
-
-4.49%
€0.0323
Paid
26.03.2002
24.06.2002
-
-5.2%
€0.0338
2001
-
-9.78%
€0.0732
Paid
25.09.2001
10.12.2001
-
-4.94%
€0.0357
Paid
27.03.2001
25.06.2001
-
-7.8%
€0.0375
2000
-
+4.36%
€0.0811
Paid
26.09.2000
08.12.2000
-
+0.67%
€0.0407
Paid
28.03.2000
26.06.2000
-
+4.01%
€0.0404
1999
-
0%
€0.0777
Paid
27.09.1999
10.12.1999
-
0%
€0.0389
Paid
26.03.1999
28.06.1999
-
0%
€0.0389
1998
-
0%
€0.0777
Paid
25.09.1998
10.12.1998
-
0%
€0.0389
Paid
26.03.1998
29.06.1998
-
0%
€0.0389
1997
-
0%
€0.0777
Paid
25.09.1997
10.12.1997
-
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 Sumitomo Corp pay dividends?

Sumitomo Corp's dividends are paid out in June and December.

How often does Sumitomo Corp pay dividends?

Every six months.

What is the dividend yield of Sumitomo Corp?

The dividend yield is currently 3.72% and distributions have increased by 7.99% in the last 3 years.

When was Sumitomo Corp's last dividend payout date?

The last payment was made on 23.06.2025.

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

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

How much was Sumitomo Corp's dividend in 2024?

Sumitomo Corp paid out a dividend of €0.779 in 2024.

How much was Sumitomo Corp's dividend in 2023?

Sumitomo Corp paid out a dividend of €0.759 in 2023.

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

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

What is Sumitomo Corp's next dividend?

On 02.12.2025, €0.405 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 2.661% based on the previous financial year. The average dividend growth over the last 5 years is 2.654%.

1 Year

Low growth2.661%

3 Year

Strong growth7.991%

5 Year

Low growth2.654%

10 Year

Strong growth8.565%

Other top dividend stocks

Real-time data from LSX · Fundamentals & EOD data from FactSet
Join the conversation