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Ventas

Stock
Stock
ISIN: US92276F1003
Ticker: VTR
US92276F1003
VTR

Price

Dividend metrics

Annual payout (TTM) 
€1.687
Yield (TTM) 
3.019%
Payout ratio 
581.51%
Payout frequency 
Quarterly
Dividend growth (3Y) 
3.183%
Next payment 
€0.421

Dividend history & forecast

€1.673

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
2.92%
+0.57%
€1.674
Forecasted
01.10.2025
17.10.2025
0.7%
-6.25%
€0.395
Announced
30.06.2025
17.07.2025
0.75%
-0.28%
€0.421
Paid
31.03.2025
17.04.2025
0.7%
-3.38%
€0.422
Paid
31.12.2024
16.01.2025
0.77%
+5.15%
€0.437
2024
3.49%
+0.85%
€1.665
Paid
01.10.2024
17.10.2024
0.7%
+0.62%
€0.415
Paid
01.07.2024
18.07.2024
0.88%
-2.34%
€0.413
Paid
28.03.2024
18.04.2024
1.03%
+2.19%
€0.423
Paid
29.12.2023
18.01.2024
0.88%
-3.17%
€0.414
2023
4.13%
-4.26%
€1.651
Paid
29.09.2023
12.10.2023
1.06%
+6.58%
€0.427
Paid
30.06.2023
13.07.2023
1.03%
-1.59%
€0.401
Paid
31.03.2023
13.04.2023
1.04%
-1.92%
€0.407
Paid
30.12.2022
19.01.2023
1%
-10.26%
€0.415
2022
3.64%
+13.78%
€1.724
Paid
30.09.2022
14.10.2022
1.12%
+3.11%
€0.463
Paid
30.06.2022
14.07.2022
0.88%
+7.93%
€0.449
Paid
31.03.2022
14.04.2022
0.76%
+4.83%
€0.416
Paid
31.12.2021
19.01.2022
0.88%
+2.19%
€0.397
2021
3.32%
-31.45%
€1.515
Paid
30.09.2021
14.10.2021
0.8%
+2.08%
€0.388
Paid
30.06.2021
14.07.2021
0.77%
+1.27%
€0.38
Paid
31.03.2021
14.04.2021
0.82%
+1.1%
€0.376
Paid
31.12.2020
20.01.2021
0.93%
-3.08%
€0.371
2020
6.14%
-21.36%
€2.211
Paid
30.09.2020
13.10.2020
1.04%
-2.82%
€0.383
Paid
30.06.2020
14.07.2020
1.26%
-45.34%
€0.394
Paid
31.03.2020
14.04.2020
2.46%
+1.37%
€0.721
Paid
31.12.2019
13.01.2020
1.37%
-0.9%
€0.712
2019
4.82%
+6.19%
€2.811
Paid
30.09.2019
11.10.2019
1.09%
+2.29%
€0.718
Paid
28.06.2019
12.07.2019
1.15%
+0.28%
€0.702
Paid
29.03.2019
12.04.2019
1.26%
+1.35%
€0.70
Paid
31.12.2018
14.01.2019
1.33%
+1.22%
€0.691
2018
5.75%
+28.52%
€2.647
Paid
28.09.2018
12.10.2018
1.41%
+0.79%
€0.682
Paid
29.06.2018
12.07.2018
1.37%
+5.71%
€0.677
Paid
29.03.2018
12.04.2018
1.59%
-1.04%
€0.641
Paid
29.12.2017
12.01.2018
1.38%
-1.29%
€0.647
2017
3.55%
-23.28%
€2.06
Paid
11.09.2017
29.09.2017
1.17%
-3.26%
€0.656
Paid
02.06.2017
30.06.2017
1.14%
-6.69%
€0.678
Paid
03.03.2017
31.03.2017
1.24%
-1.38%
€0.726
2016
4.75%
-8.6%
€2.685
Paid
16.12.2016
30.12.2016
1.27%
+13.46%
€0.737
Paid
13.09.2016
30.09.2016
1.06%
-1.29%
€0.649
Paid
02.06.2016
30.06.2016
1.07%
+2.52%
€0.658
Paid
03.03.2016
31.03.2016
1.35%
-3.99%
€0.641
2015
5.54%
+28.54%
€2.938
Paid
17.12.2015
30.12.2015
1.35%
+2.25%
€0.668
Paid
11.09.2015
30.09.2015
1.29%
-7.88%
€0.653
Paid
03.06.2015
30.06.2015
1.4%
+31.49%
€0.709
Paid
04.03.2015
31.03.2015
0.89%
+191.28%
€0.539
Paid
20.01.2015
27.01.2015
0.31%
+1.68%
€0.185
Paid
20.01.2015
16.01.2015
0.31%
-72.11%
€0.182
2014
5.16%
+10.91%
€2.285
Paid
18.12.2014
31.12.2014
1.25%
+13.74%
€0.653
Paid
10.09.2014
30.09.2014
1.28%
+8.07%
€0.574
Paid
04.06.2014
27.06.2014
1.29%
+0.76%
€0.531
Paid
05.03.2014
28.03.2014
1.34%
-0.01%
€0.527
2013
4.91%
+8%
€2.06
Paid
12.12.2013
31.12.2013
1.46%
+6.4%
€0.527
Paid
11.09.2013
27.09.2013
1.24%
-3.69%
€0.495
Paid
03.06.2013
28.06.2013
1.11%
-1.7%
€0.514
Paid
06.03.2013
28.03.2013
1.1%
+11.56%
€0.523
2012
4.63%
+14.24%
€1.908
Paid
13.12.2012
28.12.2012
1.1%
-2.75%
€0.469
Paid
07.09.2012
28.09.2012
1.1%
-1.57%
€0.482
Paid
06.06.2012
29.06.2012
1.18%
+5.12%
€0.49
Paid
07.03.2012
29.03.2012
1.26%
+5.03%
€0.466
2011
4.97%
+2.57%
€1.67
Paid
13.12.2011
30.12.2011
1.23%
+32.89%
€0.444
Paid
09.09.2011
30.09.2011
1%
+269.59%
€0.334
Paid
05.07.2011
12.07.2011
0.27%
-77.2%
€0.0904
Paid
08.06.2011
30.06.2011
1.24%
-2.17%
€0.396
Paid
09.03.2011
31.03.2011
1.23%
+0.57%
€0.405
2010
4.98%
+11.63%
€1.628
Paid
15.12.2010
30.12.2010
1.19%
+2.61%
€0.403
Paid
15.09.2010
30.09.2010
1.18%
-10.03%
€0.393
Paid
09.06.2010
30.06.2010
1.27%
+10.22%
€0.436
Paid
10.03.2010
31.03.2010
1.33%
+10.72%
€0.396
2009
7.4%
+5.93%
€1.459
Paid
14.12.2009
30.12.2009
1.35%
+2.14%
€0.358
Paid
09.09.2009
30.09.2009
1.53%
-4%
€0.35
Paid
05.06.2009
30.06.2009
2%
-5.49%
€0.365
Paid
16.03.2009
31.03.2009
2.52%
+6.1%
€0.386
2008
5.9%
-17.51%
€1.377
Paid
17.12.2008
30.12.2008
2.02%
+0.17%
€0.364
Paid
17.09.2008
30.09.2008
1.29%
+11.68%
€0.363
Paid
02.06.2008
27.06.2008
1.25%
+0.12%
€0.325
Paid
04.03.2008
28.03.2008
1.35%
+0.59%
€0.325
2007
6.29%
+33.64%
€1.669
Paid
05.12.2007
28.12.2007
1.25%
-3.22%
€0.323
Paid
13.09.2007
28.09.2007
1.37%
-5.01%
€0.334
Paid
14.06.2007
29.06.2007
1.34%
-1.26%
€0.351
Paid
16.03.2007
30.03.2007
1.25%
+16.31%
€0.356
Paid
28.12.2006
12.01.2007
1.08%
-1.85%
€0.306
2006
5.22%
+11.01%
€1.249
Paid
14.09.2006
29.09.2006
1.15%
-1.02%
€0.312
Paid
05.06.2006
28.06.2006
1.41%
-3.26%
€0.315
Paid
03.03.2006
30.03.2006
1.4%
+9.43%
€0.325
Paid
29.12.2005
13.01.2006
1.26%
-1.2%
€0.297
2005
5.77%
+11.81%
€1.125
Paid
16.09.2005
05.10.2005
1.31%
+0.98%
€0.301
Paid
02.06.2005
29.06.2005
1.46%
+6.36%
€0.298
Paid
22.03.2005
05.04.2005
1.58%
+13.87%
€0.28
Paid
30.12.2004
13.01.2005
1.42%
-5.94%
€0.246
2004
5.78%
+6.57%
€1.006
Paid
16.09.2004
30.09.2004
1.4%
-2.11%
€0.262
Paid
03.06.2004
24.06.2004
1.64%
-0.13%
€0.267
Paid
11.03.2004
25.03.2004
1.42%
+27.47%
€0.268
Paid
30.12.2003
13.01.2004
1.33%
-9.83%
€0.21
2003
3.94%
-10.69%
€0.944
Paid
28.08.2003
25.09.2003
1.85%
+0.2%
€0.233
Paid
29.05.2003
24.06.2003
2.09%
-7.48%
€0.232
Paid
28.02.2003
17.03.2003
-
+10.08%
€0.251
Paid
13.12.2002
03.01.2003
-
-5.19%
€0.228
2002
-
+0.5%
€1.057
Paid
22.08.2002
06.09.2002
-
-4.58%
€0.241
Paid
22.05.2002
04.06.2002
-
-7.75%
€0.252
Paid
20.02.2002
04.03.2002
-
-6.16%
€0.273
Paid
12.12.2001
07.01.2002
-
+21.24%
€0.291
2001
-
+49.69%
€1.052
Paid
19.09.2001
01.10.2001
-
-5.19%
€0.24
Paid
11.07.2001
23.07.2001
-
+0.72%
€0.253
Paid
30.04.2001
14.05.2001
-
-18.03%
€0.252
Paid
27.12.2000
15.01.2001
-
-56.33%
€0.307
2000
-
+81.45%
€0.703
Paid
14.09.2000
28.09.2000
-
+81.45%
€0.703
1999
-
-
€0.387
Paid
27.01.1999
17.02.1999
-
-
€0.387

Frequently asked questions

When does Ventas pay dividends?

Ventas's dividends are paid out in January, April, July, and October.

How often does Ventas pay dividends?

On a quarterly basis.

What is the dividend yield of Ventas?

The dividend yield is currently 3.02% and distributions have increased by 3.18% in the last 3 years.

When was Ventas's last dividend payout date?

The last payment was made on 17.04.2025.

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

If you had Ventas in your securities account on 31.03.2025, you received the distribution.

How much was Ventas's dividend in 2024?

Ventas paid out a dividend of €1.665 in 2024.

How much was Ventas's dividend in 2023?

Ventas paid out a dividend of €1.651 in 2023.

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

To receive the next dividend, Ventas must be booked in the securities account on 30.06.2025.

What is Ventas's next dividend?

On 17.07.2025, €0.421 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 0.849% based on the previous financial year. The average dividend growth over the last 5 years is -9.947%.

1 Year

Low growth0.849%

3 Year

Moderate growth3.183%

5 Year

Negative growth-9.947%

10 Year

Negative growth-3.118%

Other top dividend stocks

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