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Renasant

Stock
Stock
ISIN: US75970E1073
Ticker: RNST
US75970E1073
RNST

Price

Dividend metrics

Annual payout (TTM) 
$0.88
Yield (TTM) 
2.264%
Payout ratio 
27.01%
Payout frequency 
Quarterly
Dividend growth (3Y) 
0.00%
Next payment 
$0.22

Dividend history & forecast

$0.599

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

20252.74%0%$0.88
Forecasted16.09.202530.09.20250.67%0%$0.22
Forecasted14.06.202528.06.20250.76%0%$0.22
Forecasted14.03.202529.03.20250.72%0%$0.22
Paid18.12.202401.01.20250.59%0%$0.22
20242.8%0%$0.88
Paid16.09.202430.09.20240.67%0%$0.22
Paid14.06.202428.06.20240.76%0%$0.22
Paid14.03.202429.03.20240.72%0%$0.22
Paid15.12.202301.01.20240.65%0%$0.22
20233%0%$0.88
Paid14.09.202329.09.20230.91%0%$0.22
Paid15.06.202330.06.20230.81%0%$0.22
Paid16.03.202331.03.20230.68%0%$0.22
Paid15.12.202201.01.20230.6%0%$0.22
20222.63%0%$0.88
Paid15.09.202230.09.20220.66%0%$0.22
Paid15.06.202230.06.20220.77%0%$0.22
Paid16.03.202231.03.20220.63%0%$0.22
Paid16.12.202101.01.20220.57%0%$0.22
20212.28%0%$0.88
Paid15.09.202130.09.20210.64%0%$0.22
Paid15.06.202130.06.20210.5%0%$0.22
Paid16.03.202131.03.20210.51%0%$0.22
Paid17.12.202001.01.20210.63%0%$0.22
20203.41%+2.33%$0.88
Paid15.09.202030.09.20200.93%0%$0.22
Paid15.06.202030.06.20200.92%0%$0.22
Paid16.03.202031.03.20200.94%0%$0.22
Paid17.12.201901.01.20200.62%0%$0.22
20192.48%+10.26%$0.86
Paid13.09.201930.09.20190.64%0%$0.22
Paid13.06.201928.06.20190.63%+4.76%$0.22
Paid20.03.201929.03.20190.59%0%$0.21
Paid17.12.201801.01.20190.62%+5%$0.21
20181.77%+8.33%$0.78
Paid13.09.201828.09.20180.47%0%$0.20
Paid14.06.201830.06.20180.42%+5.26%$0.20
Paid15.03.201830.03.20180.43%0%$0.19
Paid14.12.201702.01.20180.46%+5.56%$0.19
20171.74%+35.85%$0.72
Paid14.09.201729.09.20170.44%0%$0.18
Paid14.06.201730.06.20170.43%0%$0.18
Paid15.03.201731.03.20170.45%0%$0.18
Paid12.12.201601.01.20170.43%0%$0.18
20161.6%-22.06%$0.53
Paid12.09.201630.09.20160.53%0%$0.18
Paid13.06.201630.06.20160.54%+5.88%$0.18
Paid14.03.201631.03.20160.53%0%$0.17
20152.1%-20%$0.68
Paid15.12.201531.12.20150.48%0%$0.17
Paid15.09.201501.10.20150.51%0%$0.17
Paid15.06.201501.07.20150.54%0%$0.17
Paid16.03.201501.04.20150.57%0%$0.17
20142.95%+66.67%$0.85
Paid15.12.201431.12.20140.59%0%$0.17
Paid15.09.201401.10.20140.61%0%$0.17
Paid13.06.201401.07.20140.59%0%$0.17
Paid14.03.201401.04.20140.59%0%$0.17
Paid13.12.201301.01.20140.56%0%$0.17
20132.13%-40%$0.51
Paid13.09.201301.10.20130.65%0%$0.17
Paid12.06.201301.07.20130.7%0%$0.17
Paid14.03.201301.04.20130.77%0%$0.17
20125.15%0%$0.85
Paid12.12.201231.12.20120.91%0%$0.17
Paid12.09.201201.10.20120.91%0%$0.17
Paid12.06.201202.07.20121.1%0%$0.17
Paid12.03.201201.04.20121.09%0%$0.17
Paid12.12.201102.01.20121.14%0%$0.17
20115.53%+25%$0.85
Paid14.09.201103.10.20111.29%0%$0.17
Paid13.06.201101.07.20111.16%0%$0.17
Paid14.03.201101.04.20111.08%0%$0.17
Paid13.12.201003.01.20111%0%$0.17
Paid13.12.201001.01.20111%0%$0.17
20104.7%0%$0.68
Paid15.09.201001.10.20101.22%0%$0.17
Paid15.06.201001.07.20101.18%0%$0.17
Paid16.03.201001.04.20101.06%0%$0.17
Paid14.12.200904.01.20101.24%0%$0.17
20094.91%0%$0.68
Paid14.09.200901.10.20091.16%0%$0.17
Paid15.06.200901.07.20091.2%0%$0.17
Paid16.03.200901.04.20091.5%0%$0.17
Paid15.12.200802.01.20091.06%0%$0.17
20083.23%+4.62%$0.68
Paid15.09.200801.10.20080.85%0%$0.17
Paid11.06.200801.07.20080.76%0%$0.17
Paid12.03.200801.04.20080.81%0%$0.17
Paid13.12.200702.01.20080.81%0%$0.17
20072.64%+5.98%$0.65
Paid13.09.200701.10.20070.79%+6.25%$0.17
Paid14.06.200702.07.20070.68%0%$0.16
Paid14.03.200702.04.20070.66%0%$0.16
Paid13.12.200602.01.20070.52%0%$0.16
20062.49%+6.96%$0.613
Paid13.09.200602.10.20060.54%+4.37%$0.16
Paid14.06.200603.07.20060.62%-0.02%$0.153
Paid15.03.200603.04.20060.64%+4.54%$0.153
Paid14.12.200502.01.20060.69%-0.02%$0.147
20052.7%+6.2%$0.573
Paid14.09.200503.10.20050.7%0%$0.147
Paid15.06.200501.07.20050.72%+4.79%$0.147
Paid16.03.200501.04.20050.67%0%$0.14
Paid13.12.200402.01.20050.61%0%$0.14
20042.47%+9.87%$0.54
Paid16.09.200401.10.20040.63%+5.03%$0.14
Paid14.06.200401.07.20040.64%0%$0.133
Paid11.03.200401.04.20040.6%0%$0.133
Paid11.12.200302.01.20040.61%+6.55%$0.133
20031.25%+7.86%$0.491
Paid11.09.200301.10.20030.59%0%$0.125
Paid11.06.200301.07.20030.66%+3.73%$0.125
Paid12.03.200301.04.2003-0%$0.121
Paid12.12.200202.01.2003-+3.88%$0.121
2002-+9.68%$0.456
Paid19.09.200201.10.2002-0%$0.116
Paid20.06.200201.07.2002-+3.94%$0.116
Paid14.03.200201.04.2002-0%$0.112
Paid18.12.200102.01.2002-+4.2%$0.112
2001-+6.87%$0.415
Paid19.09.200101.10.2001-0%$0.107
Paid27.06.200102.07.2001-+4.38%$0.107
Paid28.03.200103.04.2001-+4.48%$0.103
Paid21.12.200002.01.2001-0%$0.0983
2000-+6.12%$0.389
Paid21.09.200002.10.2000-0%$0.0983
Paid23.06.200003.07.2000-0%$0.0983
Paid23.03.200003.04.2000-+4.8%$0.0983
Paid22.12.199903.01.2000-0%$0.0938
1999-+22.1%$0.366
Paid23.09.199901.10.1999-0%$0.0938
Paid21.06.199901.07.1999-0%$0.0938
Paid25.03.199901.04.1999-+10.48%$0.0938
Paid18.12.199804.01.1999-+8.57%$0.0849
1998-+20.1%$0.30
Paid01.10.199801.10.1998-0%$0.0782
Paid18.06.199801.07.1998-0%$0.0782
Paid19.03.199801.04.1998-+19.57%$0.0782
Paid29.12.199702.01.1998-0%$0.0654
1997-+15.01%$0.25
Paid18.09.199701.10.1997-0%$0.0654
Paid19.06.199701.07.1997-+9.92%$0.0654
Paid25.03.199701.04.1997-0%$0.0595
Paid19.12.199602.01.1997-+5.31%$0.0595
1996-+8.93%$0.217
Paid19.09.199601.10.1996-0%$0.0565
Paid19.06.199601.07.1996-+8.45%$0.0565
Paid20.03.199601.04.1996-0%$0.0521
Paid20.12.199502.01.1996-0%$0.0521
1995-+10.04%$0.199
Paid21.09.199502.10.1995-0%$0.0521
Paid22.06.199503.07.1995-+9.45%$0.0521
Paid21.03.199503.04.1995-0%$0.0476
Paid19.12.199403.01.1995-0%$0.0476
1994-+5.47%$0.181
Paid19.09.199403.10.1994-+3.93%$0.0476
Paid20.06.199401.07.1994-+4.33%$0.0458
Paid15.03.199401.04.1994-0%$0.0439
Paid17.12.199302.01.1994-0%$0.0439
1993--$0.172
Paid20.09.199301.10.1993-0%$0.0439
Paid16.06.199301.07.1993-+4.52%$0.0439
Paid17.03.199301.04.1993-0%$0.042
Paid16.12.199204.01.1993--$0.042

Frequently asked questions

When does Renasant pay dividends?

Renasant's dividends are paid out in January, March, June, and September.

How often does Renasant pay dividends?

On a quarterly basis.

What is the dividend yield of Renasant?

The dividend yield is currently 2.26% and distributions have increased by 0.00% in the last 3 years.

When was Renasant's last dividend payout date?

The last payment was made on 01.01.2025.

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

If you had Renasant in your securities account on 18.12.2024, you received the distribution.

How much was Renasant's dividend in 2024?

Renasant paid out a dividend of $0.88 in 2024.

How much was Renasant's dividend in 2023?

Renasant paid out a dividend of $0.88 in 2023.

What is Renasant's next dividend?

Renasant has not yet announced a next dividend payment yet.

Dividend growth 

1 Year

Low growth0.00%

3 Year

Low growth0.00%

5 Year

Low growth0.461%

10 Year

Low growth0.347%

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