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Acuity Brands

Stock
Stock
Ticker: AYI
AYI

Price

Dividend metrics

Annual payout (TTM) 
€0.607
Yield (TTM) 
0.194%
Payout ratio 
5.705%
Payout frequency 
Quarterly
Dividend growth (3Y) 
8.403%
Next payment 
€0.158

Dividend history & forecast

€0.468

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2026
0.25%
+4.06%
€0.631
Forecasted
17.10.2026
03.11.2026
0.05%
0%
€0.158
Forecasted
18.07.2026
01.08.2026
0.06%
0%
€0.158
Forecasted
17.04.2026
01.05.2026
0.08%
0%
€0.158
Forecasted
03.02.2026
14.02.2026
0.06%
+6.94%
€0.158
2025
0.23%
+8.96%
€0.607
Paid
17.10.2025
03.11.2025
0.05%
+0.64%
€0.148
Paid
18.07.2025
01.08.2025
0.06%
-2.58%
€0.147
Paid
17.04.2025
01.05.2025
0.07%
-7.06%
€0.151
Paid
03.02.2025
14.02.2025
0.05%
+17.47%
€0.162
2024
0.23%
+15.86%
€0.557
Paid
18.10.2024
01.11.2024
0.05%
-0.85%
€0.138
Paid
18.07.2024
01.08.2024
0.06%
-0.72%
€0.139
Paid
16.04.2024
01.05.2024
0.06%
+0.15%
€0.14
Paid
02.02.2024
14.02.2024
0.06%
+13.69%
€0.14
2023
0.31%
-3.37%
€0.481
Paid
17.10.2023
01.11.2023
0.08%
+4.26%
€0.123
Paid
17.07.2023
01.08.2023
0.09%
-0.4%
€0.118
Paid
14.04.2023
01.05.2023
0.08%
-2.18%
€0.118
Paid
03.02.2023
14.02.2023
0.07%
-7.98%
€0.121
2022
0.3%
+13.78%
€0.497
Paid
14.10.2022
01.11.2022
0.08%
+3.87%
€0.132
Paid
14.07.2022
01.08.2022
0.08%
+2.41%
€0.127
Paid
14.04.2022
02.05.2022
0.07%
+7.27%
€0.124
Paid
19.01.2022
01.02.2022
0.06%
+2.9%
€0.115
2021
0.32%
-4.34%
€0.437
Paid
14.10.2021
01.11.2021
0.06%
+2.36%
€0.112
Paid
15.07.2021
02.08.2021
0.07%
+1.57%
€0.109
Paid
15.04.2021
03.05.2021
0.07%
+0.07%
€0.108
Paid
19.01.2021
01.02.2021
0.11%
-3.53%
€0.108
2020
0.53%
-1.32%
€0.457
Paid
16.10.2020
02.11.2020
0.13%
+1.03%
€0.112
Paid
16.07.2020
03.08.2020
0.14%
-5.68%
€0.111
Paid
16.04.2020
01.05.2020
0.15%
-0.28%
€0.117
Paid
16.01.2020
03.02.2020
0.1%
+1.17%
€0.118
2019
0.4%
+5.78%
€0.463
Paid
17.10.2019
01.11.2019
0.1%
-1.02%
€0.116
Paid
16.07.2019
01.08.2019
0.1%
+1.1%
€0.117
Paid
16.04.2019
01.05.2019
0.09%
+2.29%
€0.116
Paid
17.01.2019
01.02.2019
0.11%
-0.48%
€0.113
2018
0.39%
-5.18%
€0.438
Paid
17.10.2018
01.11.2018
0.1%
+2.28%
€0.114
Paid
17.07.2018
01.08.2018
0.1%
+2.84%
€0.111
Paid
16.04.2018
01.05.2018
0.11%
+4.33%
€0.108
Paid
19.01.2018
01.02.2018
0.08%
-7.05%
€0.104
2017
0.27%
-0.95%
€0.462
Paid
17.10.2017
01.11.2017
0.08%
+1.58%
€0.112
Paid
14.07.2017
01.08.2017
0.07%
-7.65%
€0.11
Paid
12.04.2017
01.05.2017
0.07%
-1.31%
€0.119
Paid
19.01.2017
01.02.2017
0.06%
+2.7%
€0.121
2016
0.22%
-0.3%
€0.466
Paid
14.10.2016
01.11.2016
0.05%
+1.01%
€0.118
Paid
14.07.2016
01.08.2016
0.05%
+3.19%
€0.116
Paid
14.04.2016
02.05.2016
0.06%
-5.52%
€0.113
Paid
15.01.2016
01.02.2016
0.06%
+1.12%
€0.119
2015
0.3%
+19.63%
€0.467
Paid
15.10.2015
02.11.2015
0.07%
-0.53%
€0.118
Paid
16.07.2015
03.08.2015
0.07%
+2.24%
€0.119
Paid
15.04.2015
01.05.2015
0.08%
+1.22%
€0.116
Paid
16.01.2015
02.02.2015
0.09%
+10.15%
€0.115
2014
0.42%
+0.67%
€0.391
Paid
15.10.2014
03.11.2014
0.1%
+7.54%
€0.104
Paid
16.07.2014
01.08.2014
0.12%
+3.28%
€0.0968
Paid
15.04.2014
01.05.2014
0.1%
-2.47%
€0.0937
Paid
16.01.2014
03.02.2014
0.1%
+0.12%
€0.0961
2013
0.66%
-3.79%
€0.388
Paid
16.10.2013
01.11.2013
0.14%
-2.39%
€0.096
Paid
16.07.2013
01.08.2013
0.15%
-0.27%
€0.0983
Paid
15.04.2013
01.05.2013
0.18%
+3.54%
€0.0986
Paid
16.01.2013
01.02.2013
0.19%
-5.2%
€0.0952
2012
0.87%
+9.65%
€0.403
Paid
16.10.2012
01.11.2012
0.21%
-5.25%
€0.10
Paid
16.07.2012
01.08.2012
0.22%
+7.89%
€0.106
Paid
13.04.2012
01.05.2012
0.22%
-0.45%
€0.0983
Paid
13.01.2012
01.02.2012
0.22%
+3.83%
€0.0987
2011
1.04%
-4.25%
€0.368
Paid
14.10.2011
01.11.2011
0.31%
+4.35%
€0.0951
Paid
14.07.2011
01.08.2011
0.27%
+4.02%
€0.0911
Paid
14.04.2011
02.05.2011
0.22%
-6.98%
€0.0876
Paid
13.01.2011
01.02.2011
0.23%
+0.63%
€0.0942
2010
1.23%
+1.77%
€0.384
Paid
13.10.2010
01.11.2010
0.27%
-5.3%
€0.0936
Paid
15.07.2010
02.08.2010
0.32%
+0.32%
€0.0988
Paid
15.04.2010
03.05.2010
0.29%
+5.46%
€0.0985
Paid
14.01.2010
01.02.2010
0.35%
+6.35%
€0.0934
2009
1.77%
+5.57%
€0.378
Paid
14.10.2009
02.11.2009
0.39%
-2.76%
€0.0878
Paid
15.07.2009
03.08.2009
0.47%
-7.81%
€0.0903
Paid
15.04.2009
01.05.2009
0.52%
-3.46%
€0.098
Paid
15.01.2009
02.02.2009
0.39%
-0.94%
€0.101
2008
1.24%
-18.53%
€0.358
Paid
15.10.2008
03.11.2008
0.37%
+22.59%
€0.102
Paid
15.07.2008
01.08.2008
0.29%
-0.54%
€0.0836
Paid
15.04.2008
01.05.2008
0.28%
-4.14%
€0.084
Paid
16.01.2008
01.02.2008
0.3%
-15.59%
€0.0876
2007
1.31%
-8.17%
€0.439
Paid
15.10.2007
01.11.2007
0.38%
-5.4%
€0.104
Paid
12.07.2007
01.08.2007
0.29%
-0.41%
€0.11
Paid
12.04.2007
01.05.2007
0.3%
-4.33%
€0.11
Paid
18.01.2007
01.02.2007
0.34%
-1.96%
€0.115
2006
1.78%
-0.32%
€0.478
Paid
12.10.2006
01.11.2006
0.37%
+0.22%
€0.117
Paid
12.07.2006
01.08.2006
0.45%
-1.59%
€0.117
Paid
11.04.2006
01.05.2006
0.43%
-4.09%
€0.119
Paid
18.01.2006
01.02.2006
0.53%
-0.62%
€0.124
2005
2.67%
-1.85%
€0.48
Paid
13.10.2005
01.11.2005
0.64%
+1.7%
€0.125
Paid
14.07.2005
01.08.2005
0.68%
+5.37%
€0.123
Paid
13.04.2005
02.05.2005
0.73%
+1.36%
€0.117
Paid
12.01.2005
01.02.2005
0.61%
-2.23%
€0.115
2004
2.84%
-9.05%
€0.489
Paid
14.10.2004
01.11.2004
0.68%
-5.55%
€0.118
Paid
15.07.2004
02.08.2004
0.72%
-0.8%
€0.125
Paid
14.04.2004
03.05.2004
0.73%
+4.05%
€0.126
Paid
13.01.2004
02.02.2004
0.71%
-7.63%
€0.121
2003
1.84%
-16.44%
€0.537
Paid
16.10.2003
03.11.2003
0.83%
-2.03%
€0.131
Paid
15.07.2003
01.08.2003
1%
-0.24%
€0.133
Paid
14.04.2003
01.05.2003
-
-4.09%
€0.134
Paid
13.01.2003
03.02.2003
-
-7.35%
€0.139
2002
-
-
€0.643
Paid
10.10.2002
01.11.2002
-
-1.44%
€0.15
Paid
15.07.2002
01.08.2002
-
-7.89%
€0.153
Paid
11.04.2002
01.05.2002
-
-4.76%
€0.166
Paid
15.01.2002
01.02.2002
-
-
€0.174

Frequently asked questions

When does Acuity Brands pay dividends?

Acuity Brands's dividends are paid out in February, May, August, and November.

How often does Acuity Brands pay dividends?

On a quarterly basis.

What is the dividend yield of Acuity Brands?

The dividend yield is currently 0.19% and distributions have increased by 8.40% in the last 3 years.

When was Acuity Brands's last dividend payout date?

The last payment was made on 03.11.2025.

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

If you had Acuity Brands in your securities account on 17.10.2025, you received the distribution.

How much was Acuity Brands's dividend in 2024?

Acuity Brands paid out a dividend of €0.557 in 2024.

How much was Acuity Brands's dividend in 2023?

Acuity Brands paid out a dividend of €0.481 in 2023.

What is Acuity Brands's next dividend?

Acuity Brands has not yet announced a next dividend payment yet.

Dividend growth 

The dividend growth is 15.86% based on the previous financial year. The average dividend growth over the last 5 years is 3.756%.

1 Year

Strong growth15.86%

3 Year

Strong growth8.403%

5 Year

Moderate growth3.756%

10 Year

Moderate growth3.604%

Other top dividend stocks

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