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Fujitsu

Stock
Stock
ISIN: JP3818000006
Ticker: 6702
JP3818000006
6702

Price

Dividend metrics

Annual payout (TTM) 
€0.168
Yield (TTM) 
0.841%
Payout ratio 
-
Payout frequency 
Biannually
Dividend growth (3Y) 
1.402%
Next payment 
€0.192

Dividend history & forecast

€0.106

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2027
2.08%
+47.9%
€0.414
Forecasted
29.09.2027
04.12.2027
0.66%
-53.9%
€0.131
Forecasted
30.03.2027
03.06.2027
1.41%
+220.85%
€0.283
2026
1.41%
+66.16%
€0.28
Forecasted
29.09.2026
04.12.2026
0.45%
-53.9%
€0.0883
Announced
30.03.2026
03.06.2026
0.96%
+130.75%
€0.192
2025
0.87%
+2.24%
€0.168
Paid
29.09.2025
04.12.2025
0.42%
-2.82%
€0.083
Paid
28.03.2025
03.06.2025
0.45%
-3.43%
€0.0855
2024
0.74%
+2.42%
€0.165
Paid
27.09.2024
04.12.2024
0.7%
+15.94%
€0.0885
Paid
28.03.2024
03.06.2024
0.04%
-5.27%
€0.0763
2023
0.9%
-0.43%
€0.161
Paid
28.09.2023
30.11.2023
0.44%
+0.29%
€0.0806
Paid
30.03.2023
05.06.2023
0.47%
-4.08%
€0.0803
2022
0.86%
+0.52%
€0.162
Paid
29.09.2022
30.11.2022
0.45%
+7.61%
€0.0838
Paid
30.03.2022
06.06.2022
0.41%
-9.17%
€0.0778
2021
0.83%
-1.93%
€0.161
Paid
29.09.2021
30.11.2021
0.41%
+14.17%
€0.0857
Paid
30.03.2021
07.06.2021
0.42%
-6.59%
€0.0751
2020
1.78%
+23.57%
€0.164
Paid
29.09.2020
25.11.2020
0.75%
-3.84%
€0.0804
Paid
30.03.2020
01.06.2020
1.03%
+25.07%
€0.0836
2019
1.98%
+31.04%
€0.133
Paid
27.09.2019
22.11.2019
0.92%
+1.48%
€0.0668
Paid
27.03.2019
03.06.2019
1.07%
+20.54%
€0.0658
2018
1.76%
+30.13%
€0.101
Paid
26.09.2018
24.11.2018
0.87%
+17.17%
€0.0546
Paid
28.03.2018
04.06.2018
0.89%
+24.08%
€0.0466
2017
1.4%
+17.61%
€0.0778
Paid
27.09.2017
24.11.2017
0.61%
-6.6%
€0.0376
Paid
29.03.2017
05.06.2017
0.79%
+20.66%
€0.0402
2016
1.77%
+10.15%
€0.0662
Paid
28.09.2016
25.11.2016
0.76%
+1.6%
€0.0333
Paid
29.03.2016
06.06.2016
1.01%
+6.9%
€0.0328
2015
1.24%
+7.38%
€0.0601
Paid
28.09.2015
25.11.2015
0.71%
+4.54%
€0.0307
Paid
27.03.2015
01.06.2015
0.53%
+8.09%
€0.0294
2014
1.28%
+46.47%
€0.0559
Paid
26.09.2014
26.11.2014
0.59%
-5.56%
€0.0272
Paid
27.03.2014
02.06.2014
0.69%
-24.67%
€0.0288
2013
1.22%
-61.13%
€0.0382
Paid
27.03.2013
04.06.2013
1.22%
-18.85%
€0.0382
2012
3.02%
+7.98%
€0.0982
Paid
26.09.2012
22.11.2012
1.71%
-8.05%
€0.0471
Paid
28.03.2012
04.06.2012
1.31%
+6.46%
€0.0512
2011
2.23%
+1.77%
€0.091
Paid
28.09.2011
22.11.2011
1.25%
+12.03%
€0.0481
Paid
29.03.2011
01.06.2011
0.99%
-4.47%
€0.0429
2010
1.75%
+97.74%
€0.0894
Paid
28.09.2010
24.11.2010
0.88%
+0.98%
€0.0449
Paid
29.03.2010
31.05.2010
0.87%
+92.03%
€0.0445
2009
1.35%
-38.05%
€0.0452
Paid
25.09.2009
30.11.2009
0.48%
+5.06%
€0.0232
Paid
26.03.2009
01.06.2009
0.87%
-47.77%
€0.022
2008
1.43%
+101.36%
€0.073
Paid
25.09.2008
01.12.2008
0.76%
+37.15%
€0.0422
Paid
26.03.2008
02.06.2008
0.67%
+68.63%
€0.0308
2007
0.76%
-9.44%
€0.0362
Paid
25.09.2007
25.12.2007
0.37%
+1.41%
€0.0182
Paid
27.03.2007
29.06.2007
0.4%
-7.73%
€0.018
2006
0.65%
-8.62%
€0.04
Paid
26.09.2006
04.12.2006
0.31%
-4.96%
€0.0195
Paid
28.03.2006
26.06.2006
0.34%
-2.61%
€0.0205
2005
0.92%
-2.52%
€0.0438
Paid
27.09.2005
05.12.2005
0.46%
-7.3%
€0.0211
Paid
28.03.2005
24.06.2005
0.46%
+3.59%
€0.0227
2004
0.93%
-
€0.0449
Paid
27.09.2004
02.12.2004
0.47%
-4.57%
€0.0219
Paid
26.03.2004
24.06.2004
0.46%
-
€0.023
2002
0.3%
-69.79%
€0.0211
Paid
26.03.2002
26.06.2002
0.3%
-8.74%
€0.0211
2001
0.54%
-32.47%
€0.0698
Paid
25.09.2001
21.11.2001
0.25%
-50.51%
€0.0231
Paid
27.03.2001
27.06.2001
0.29%
-13.29%
€0.0467
2000
0.29%
+6.49%
€0.103
Paid
26.09.2000
22.11.2000
0.17%
+8.76%
€0.0539
Paid
28.03.2000
30.06.2000
0.12%
+2.02%
€0.0495
1999
0.39%
0%
€0.0971
Paid
27.09.1999
01.12.1999
0.13%
0%
€0.0486
Paid
26.03.1999
30.06.1999
0.26%
0%
€0.0486
1998
0.77%
0%
€0.0971
Paid
25.09.1998
01.12.1998
0.4%
0%
€0.0486
Paid
26.03.1998
29.06.1998
0.37%
0%
€0.0486
1997
0.8%
0%
€0.0971
Paid
25.09.1997
01.12.1997
0.35%
0%
€0.0486
Paid
26.03.1997
30.06.1997
0.45%
0%
€0.0486
1996
0.54%
0%
€0.0971
Paid
25.09.1996
02.12.1996
0.54%
0%
€0.0486
Paid
26.03.1996
28.06.1996
-
0%
€0.0486
1995
-
0%
€0.0971
Paid
26.09.1995
01.12.1995
-
0%
€0.0486
Paid
28.03.1995
30.06.1995
-
0%
€0.0486
1994
-
+66.67%
€0.0971
Paid
27.09.1994
01.12.1994
-
0%
€0.0486
Paid
28.03.1994
30.06.1994
-
+66.67%
€0.0486
1993
-
-40%
€0.0583
Paid
27.09.1993
01.12.1993
-
0%
€0.0291
Paid
26.03.1993
30.06.1993
-
-40%
€0.0291
1992
-
-
€0.0971
Paid
25.09.1992
01.12.1992
-
0%
€0.0486
Paid
26.03.1992
29.06.1992
-
-
€0.0486

Frequently asked questions

When does Fujitsu pay dividends?

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

How often does Fujitsu pay dividends?

Every six months.

What is the dividend yield of Fujitsu?

The dividend yield is currently 0.84% and distributions have increased by 1.40% in the last 3 years.

When was Fujitsu's last dividend payout date?

The last payment was made on 04.12.2025.

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

If you had Fujitsu in your securities account on 29.09.2025, you received the distribution.

How much was Fujitsu's dividend in 2025?

Fujitsu paid out a dividend of €0.168 in 2025.

How much was Fujitsu's dividend in 2024?

Fujitsu paid out a dividend of €0.165 in 2024.

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

To receive the next dividend, Fujitsu must be booked in the securities account on 30.03.2026.

What is Fujitsu's next dividend?

On 03.06.2026, €0.192 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 2.236% based on the previous financial year. The average dividend growth over the last 5 years is 0.55%.

1 Year

Low growth2.236%

3 Year

Low growth1.402%

5 Year

Low growth0.55%

10 Year

Strong growth10.87%

Other top dividend stocks

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