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Global Payments Stock Dividends

StockStock
ISIN: US37940X1028
Ticker: GPN
US37940X1028
GPN

Dividend metrics

Annual payout (TTM)

 
$1.00

Yield (TTM)

 
0.86%

Payout ratio

 
18.88%

Payout frequency

 
Quarterly

Dividend growth (3Y)

 
8.635%

Next payment

 
$0.25

Dividend history & forecast

$0.264

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

20250.9%0%$1.00
Forecasted13.12.202527.12.20250.22%0%$0.25
Forecasted13.09.202527.09.20250.23%0%$0.25
Forecasted14.06.202528.06.20250.27%0%$0.25
Forecasted14.03.202529.03.20250.19%0%$0.25
20240.9%0%$1.00
Announced13.12.202427.12.20240.22%0%$0.25
Paid13.09.202427.09.20240.23%0%$0.25
Paid14.06.202428.06.20240.27%0%$0.25
Paid14.03.202429.03.20240.19%0%$0.25
20230.94%0%$1.00
Paid14.12.202329.12.20230.21%0%$0.25
Paid14.09.202329.09.20230.21%0%$0.25
Paid14.06.202330.06.20230.27%0%$0.25
Paid16.03.202331.03.20230.25%0%$0.25
20220.85%+12.36%$1.00
Paid15.12.202230.12.20220.26%0%$0.25
Paid15.09.202230.09.20220.19%0%$0.25
Paid09.06.202224.06.20220.2%0%$0.25
Paid10.03.202225.03.20220.19%0%$0.25
20210.53%+14.1%$0.89
Paid15.12.202130.12.20210.18%0%$0.25
Paid09.09.202124.09.20210.15%+28.21%$0.25
Paid10.06.202125.06.20210.1%0%$0.195
Paid11.03.202126.03.20210.09%0%$0.195
20200.45%+246.67%$0.78
Paid16.12.202031.12.20200.1%0%$0.195
Paid09.09.202024.09.20200.11%0%$0.195
Paid11.06.202026.06.20200.11%0%$0.195
Paid12.03.202027.03.20200.13%0%$0.195
20190.13%+462.5%$0.225
Paid12.12.201927.12.20190.11%+1,850%$0.195
Paid12.09.201927.09.20190.01%0%$0.01
Paid13.06.201928.06.20190.01%0%$0.01
Paid14.03.201929.03.20190.01%0%$0.01
20180.04%-7.62%$0.04
Paid13.12.201828.12.20180.01%0%$0.01
Paid13.09.201828.09.20180.01%0%$0.01
Paid14.06.201829.06.20180.01%0%$0.01
Paid15.03.201830.03.20180.01%0%$0.01
20170.05%+8.25%$0.0433
Paid14.12.201729.12.20170.01%0%$0.01
Paid14.09.201729.09.20170.01%-24.81%$0.01
Paid07.06.201723.06.20170.01%+33%$0.0133
Paid08.02.201724.02.20170.01%0%$0.01
20160.06%0%$0.04
Paid08.11.201625.11.20160.01%0%$0.01
Paid10.08.201626.08.20160.01%0%$0.01
Paid11.05.201627.05.20160.01%0%$0.01
Paid10.02.201626.02.20160.02%0%$0.01
20150.07%0%$0.04
Paid10.11.201527.11.20150.01%0%$0.01
Paid12.08.201528.08.20150.02%0%$0.01
Paid13.05.201529.05.20150.02%0%$0.01
Paid11.02.201527.02.20150.02%0%$0.01
20140.11%0%$0.04
Paid12.11.201428.11.20140.02%0%$0.01
Paid13.08.201429.08.20140.03%0%$0.01
Paid14.05.201430.05.20140.03%0%$0.01
Paid12.02.201428.02.20140.03%0%$0.01
20130.16%0%$0.04
Paid13.11.201329.11.20130.03%0%$0.01
Paid14.08.201330.08.20130.04%0%$0.01
Paid15.05.201331.05.20130.04%0%$0.01
Paid13.02.201328.02.20130.04%0%$0.01
20120.18%0%$0.04
Paid14.11.201230.11.20120.05%0%$0.01
Paid15.08.201231.08.20120.05%0%$0.01
Paid15.05.201231.05.20120.05%0%$0.01
Paid13.02.201229.02.20120.04%0%$0.01
20110.17%0%$0.04
Paid14.11.201130.11.20110.04%0%$0.01
Paid15.08.201131.08.20110.04%0%$0.01
Paid13.05.201131.05.20110.04%0%$0.01
Paid10.02.201128.02.20110.04%0%$0.01
20100.19%0%$0.04
Paid12.11.201030.11.20100.05%0%$0.01
Paid13.08.201031.08.20100.05%0%$0.01
Paid13.05.201028.05.20100.05%0%$0.01
Paid10.02.201026.02.20100.04%0%$0.01
20090.2%0%$0.04
Paid12.11.200930.11.20090.04%0%$0.01
Paid13.08.200931.08.20090.05%0%$0.01
Paid13.05.200929.05.20090.06%0%$0.01
Paid11.02.200927.02.20090.06%0%$0.01
20080.2%0%$0.04
Paid12.11.200828.11.20080.06%0%$0.01
Paid14.08.200831.08.20080.04%0%$0.01
Paid14.05.200830.05.20080.04%0%$0.01
Paid13.02.200829.02.20080.05%0%$0.01
20070.2%0%$0.04
Paid14.11.200730.11.20070.05%0%$0.01
Paid15.08.200731.08.20070.05%0%$0.01
Paid15.05.200731.05.20070.05%0%$0.01
Paid12.02.200728.02.20070.05%0%$0.01
20060.18%0%$0.04
Paid14.11.200630.11.20060.04%0%$0.01
Paid15.08.200631.08.20060.05%0%$0.01
Paid15.05.200631.05.20060.04%0%$0.01
Paid10.02.200628.02.20060.04%0%$0.01
20050.24%0%$0.04
Paid14.11.200530.11.20050.05%0%$0.01
Paid15.08.200531.08.20050.06%0%$0.01
Paid13.05.200531.05.20050.06%0%$0.01
Paid10.02.200528.02.20050.07%0%$0.01
20040.34%0%$0.04
Paid12.11.200430.11.20040.07%0%$0.01
Paid13.08.200431.08.20040.09%0%$0.01
Paid13.05.200431.05.20040.08%0%$0.01
Paid11.02.200427.02.20040.09%0%$0.01
20030.21%0%$0.04
Paid12.11.200328.11.20030.1%0%$0.01
Paid13.08.200329.08.20030.11%0%$0.01
Paid14.05.200330.05.2003-0%$0.01
Paid12.02.200328.02.2003-0%$0.01
2002-+33.33%$0.04
Paid13.11.200229.11.2002-0%$0.01
Paid14.08.200230.08.2002-0%$0.01
Paid15.05.200231.05.2002-0%$0.01
Paid12.02.200228.02.2002-0%$0.01
2001--$0.03
Paid14.11.200130.11.2001-0%$0.01
Paid15.08.200131.08.2001-0%$0.01
Paid15.05.200131.05.2001--$0.01

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 0.86% and distributions have increased by 8.63% in the last 3 years.

When was Global Payments's last dividend payout date?

The last payment was made on 27.09.2024.

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 13.09.2024, you received the distribution.

How much was Global Payments's dividend in 2023?

Global Payments paid out a dividend of $1.00 in 2023.

How much was Global Payments's dividend in 2022?

Global Payments paid out a dividend of $1.00 in 2022.

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

To receive the next dividend, Global Payments must be booked in the securities account on 13.12.2024.

What is Global Payments's next dividend?

On 27.12.2024, $0.25 per share is to be paid out as a dividend.

Dividend growth 

1 Year

Low growth0.00%

3 Year

Strong growth8.635%

5 Year

Strong growth90.37%

10 Year

Strong growth37.97%

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