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Global Payments

Stock
Stock
ISIN: US37940X1028
Ticker: GPN
US37940X1028
GPN

Price

Dividend metrics

Annual payout (TTM) 
€0.926
Yield (TTM) 
1.102%
Payout ratio 
16.50%
Payout frequency 
Quarterly
Dividend growth (3Y) 
6.765%
Next payment 
€0.227

Dividend history & forecast

€0.238

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
0.98%
-1.8%
€0.912
Forecasted
13.12.2025
27.12.2025
0.22%
0%
€0.227
Forecasted
13.09.2025
27.09.2025
0.23%
0%
€0.227
Forecasted
14.06.2025
28.06.2025
0.27%
-1.02%
€0.227
Paid
14.03.2025
28.03.2025
0.27%
-4.2%
€0.23
2024
0.9%
+0.76%
€0.928
Paid
13.12.2024
27.12.2024
0.22%
+7.09%
€0.24
Paid
13.09.2024
27.09.2024
0.23%
-4.01%
€0.224
Paid
14.06.2024
28.06.2024
0.27%
+0.75%
€0.233
Paid
14.03.2024
29.03.2024
0.19%
+2.36%
€0.231
2023
0.94%
-3.27%
€0.921
Paid
14.12.2023
29.12.2023
0.21%
-4.23%
€0.226
Paid
14.09.2023
29.09.2023
0.21%
+3.12%
€0.236
Paid
14.06.2023
30.06.2023
0.27%
-0.42%
€0.229
Paid
16.03.2023
31.03.2023
0.25%
-1.32%
€0.23
2022
0.85%
+24.87%
€0.952
Paid
15.12.2022
30.12.2022
0.26%
-8.59%
€0.233
Paid
15.09.2022
30.09.2022
0.19%
+7.67%
€0.255
Paid
09.06.2022
24.06.2022
0.2%
+4.04%
€0.237
Paid
10.03.2022
25.03.2022
0.19%
+3.1%
€0.228
2021
0.53%
+12.9%
€0.763
Paid
15.12.2021
30.12.2021
0.18%
+3.5%
€0.221
Paid
09.09.2021
24.09.2021
0.15%
+30.58%
€0.213
Paid
10.06.2021
25.06.2021
0.1%
-1.2%
€0.163
Paid
11.03.2021
26.03.2021
0.09%
+3.26%
€0.165
2020
0.45%
+235.53%
€0.676
Paid
16.12.2020
31.12.2020
0.1%
-4.15%
€0.16
Paid
09.09.2020
24.09.2020
0.11%
-3.89%
€0.167
Paid
11.06.2020
26.06.2020
0.11%
-0.46%
€0.174
Paid
12.03.2020
27.03.2020
0.13%
+0.05%
€0.175
2019
0.13%
+491.99%
€0.201
Paid
12.12.2019
27.12.2019
0.11%
+1,809.56%
€0.175
Paid
12.09.2019
27.09.2019
0.01%
+4.1%
€0.00914
Paid
13.06.2019
28.06.2019
0.01%
-1.39%
€0.00878
Paid
14.03.2019
29.03.2019
0.01%
+1.84%
€0.008904
2018
0.04%
-10.83%
€0.034
Paid
13.12.2018
28.12.2018
0.01%
+1.6%
€0.008742
Paid
13.09.2018
28.09.2018
0.01%
+0.59%
€0.008605
Paid
14.06.2018
29.06.2018
0.01%
+5.45%
€0.008554
Paid
15.03.2018
30.03.2018
0.01%
-2.64%
€0.008112
2017
0.05%
+4.48%
€0.0381
Paid
14.12.2017
29.12.2017
0.01%
-1.52%
€0.008332
Paid
14.09.2017
29.09.2017
0.01%
-28.78%
€0.008461
Paid
07.06.2017
23.06.2017
0.01%
+25.42%
€0.0119
Paid
08.02.2017
24.02.2017
0.01%
+0.36%
€0.00947
2016
0.06%
+0.22%
€0.0365
Paid
08.11.2016
25.11.2016
0.01%
+5.71%
€0.00944
Paid
10.08.2016
26.08.2016
0.01%
-0.76%
€0.008928
Paid
11.05.2016
27.05.2016
0.01%
-1.64%
€0.008997
Paid
10.02.2016
26.02.2016
0.02%
-3.09%
€0.00915
2015
0.07%
+20.53%
€0.0364
Paid
10.11.2015
27.11.2015
0.01%
+5.56%
€0.00944
Paid
12.08.2015
28.08.2015
0.02%
-1.91%
€0.008942
Paid
13.05.2015
29.05.2015
0.02%
+2.06%
€0.00912
Paid
11.02.2015
27.02.2015
0.02%
+11.22%
€0.008933
2014
0.11%
-0.1%
€0.0302
Paid
12.11.2014
28.11.2014
0.02%
+5.48%
€0.008031
Paid
13.08.2014
29.08.2014
0.03%
+3.8%
€0.007614
Paid
14.05.2014
30.05.2014
0.03%
+1.23%
€0.007335
Paid
12.02.2014
28.02.2014
0.03%
-1.53%
€0.007245
2013
0.16%
-3.06%
€0.0303
Paid
13.11.2013
29.11.2013
0.03%
-2.7%
€0.007358
Paid
14.08.2013
30.08.2013
0.04%
-1.63%
€0.007562
Paid
15.05.2013
31.05.2013
0.04%
+0.52%
€0.007687
Paid
13.02.2013
28.02.2013
0.04%
-0.56%
€0.007648
2012
0.18%
+9.2%
€0.0312
Paid
14.11.2012
30.11.2012
0.05%
-3.24%
€0.007691
Paid
15.08.2012
31.08.2012
0.05%
-1.65%
€0.007949
Paid
15.05.2012
31.05.2012
0.05%
+7.93%
€0.008082
Paid
13.02.2012
29.02.2012
0.04%
+0.63%
€0.007488
2011
0.17%
-7.84%
€0.0286
Paid
14.11.2011
30.11.2011
0.04%
+7.14%
€0.00744
Paid
15.08.2011
31.08.2011
0.04%
-0.11%
€0.006944
Paid
13.05.2011
31.05.2011
0.04%
-4.02%
€0.006952
Paid
10.02.2011
28.02.2011
0.04%
-5.78%
€0.007244
2010
0.19%
+8.39%
€0.031
Paid
12.11.2010
30.11.2010
0.05%
-2.44%
€0.007688
Paid
13.08.2010
31.08.2010
0.05%
-2.78%
€0.00788
Paid
13.05.2010
28.05.2010
0.05%
+10.4%
€0.008105
Paid
10.02.2010
26.02.2010
0.04%
+10.16%
€0.007341
2009
0.2%
+3.34%
€0.0286
Paid
12.11.2009
30.11.2009
0.04%
-4.53%
€0.006664
Paid
13.08.2009
31.08.2009
0.05%
-1.4%
€0.006981
Paid
13.05.2009
29.05.2009
0.06%
-10.26%
€0.007079
Paid
11.02.2009
27.02.2009
0.06%
+0.24%
€0.007889
2008
0.2%
-4.97%
€0.0277
Paid
12.11.2008
28.11.2008
0.06%
+15.72%
€0.007871
Paid
14.08.2008
31.08.2008
0.04%
+5.75%
€0.006801
Paid
14.05.2008
30.05.2008
0.04%
-2.34%
€0.006431
Paid
13.02.2008
29.02.2008
0.05%
-3.37%
€0.006585
2007
0.2%
-7.63%
€0.0291
Paid
14.11.2007
30.11.2007
0.05%
-6.99%
€0.006815
Paid
15.08.2007
31.08.2007
0.05%
-1.43%
€0.007327
Paid
15.05.2007
31.05.2007
0.05%
-1.69%
€0.007433
Paid
12.02.2007
28.02.2007
0.05%
+0.14%
€0.007561
2006
0.18%
-2.23%
€0.0315
Paid
14.11.2006
30.11.2006
0.04%
-3.26%
€0.00755
Paid
15.08.2006
31.08.2006
0.05%
+0.13%
€0.007805
Paid
15.05.2006
31.05.2006
0.04%
-7.12%
€0.007795
Paid
10.02.2006
28.02.2006
0.04%
-1.07%
€0.008393
2005
0.24%
+0.91%
€0.0323
Paid
14.11.2005
30.11.2005
0.05%
+4.47%
€0.008484
Paid
15.08.2005
31.08.2005
0.06%
+0.09%
€0.008121
Paid
13.05.2005
31.05.2005
0.06%
+7.55%
€0.008113
Paid
10.02.2005
28.02.2005
0.07%
+0.17%
€0.007544
2004
0.34%
-9.18%
€0.032
Paid
12.11.2004
30.11.2004
0.07%
-8.36%
€0.007531
Paid
13.08.2004
31.08.2004
0.09%
+0.22%
€0.008218
Paid
13.05.2004
31.05.2004
0.08%
+2.19%
€0.0082
Paid
11.02.2004
27.02.2004
0.09%
-3.78%
€0.008024
2003
0.21%
-17.16%
€0.0352
Paid
12.11.2003
28.11.2003
0.1%
-8.46%
€0.008339
Paid
13.08.2003
29.08.2003
0.11%
+7.35%
€0.00911
Paid
14.05.2003
30.05.2003
-
-8.43%
€0.008486
Paid
12.02.2003
28.02.2003
-
-7.91%
€0.00927
2002
-
+25.28%
€0.0425
Paid
13.11.2002
29.11.2002
-
-1.24%
€0.0101
Paid
14.08.2002
30.08.2002
-
-4.86%
€0.0102
Paid
15.05.2002
31.05.2002
-
-7.12%
€0.0107
Paid
12.02.2002
28.02.2002
-
+3.21%
€0.0115
2001
-
-
€0.0339
Paid
14.11.2001
30.11.2001
-
+1.77%
€0.0112
Paid
15.08.2001
31.08.2001
-
-6.73%
€0.011
Paid
15.05.2001
31.05.2001
-
-
€0.0118

Frequently asked questions

When does Global Payments pay dividends?

Global Payments's dividends are paid out in March, June, September, and December.

How often does Global Payments pay dividends?

On a quarterly basis.

What is the dividend yield of Global Payments?

The dividend yield is currently 1.10% and distributions have increased by 6.77% in the last 3 years.

When was Global Payments's last dividend payout date?

The last payment was made on 28.03.2025.

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

If you had Global Payments in your securities account on 14.03.2025, you received the distribution.

How much was Global Payments's dividend in 2024?

Global Payments paid out a dividend of €0.928 in 2024.

How much was Global Payments's dividend in 2023?

Global Payments paid out a dividend of €0.921 in 2023.

What is Global Payments's next dividend?

Global Payments has not yet announced a next dividend payment yet.

Dividend growth 

The dividend growth is 0.758% based on the previous financial year. The average dividend growth over the last 5 years is 35.75%.

1 Year

Low growth0.758%

3 Year

Strong growth6.765%

5 Year

Strong growth35.75%

10 Year

Strong growth40.84%

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LSX Data · Fundamentals & EOD data from FactSet
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