1 Followers LSE:JUP - Jupiter Fund Management PLC Jupiter Fund Management Plc
Sector: Financials, Industry: Asset Management & Custody Banks
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Summary


ExDate Payable Date Type Amount (%)
18 Apr 2025 20 May 2025 Projected GBP 0.034 (4.11%)
3 Aug 2024 1 Sep 2024 Projected GBP 0.064 (7.73%)
18 Apr 2024 20 May 2024 CASH GBP 0.034 (4.11%)
3 Aug 2023 1 Sep 2023 CASH GBP 0.064 (5.73%)
20 Apr 2023 19 May 2023 CASH GBP 0.005 (0.37%)
11 Aug 2022 31 Aug 2022 CASH GBP 0.079 (6.12%)
21 Apr 2022 20 May 2022 CASH GBP 0.092 (4.39%)
12 Aug 2021 1 Sep 2021 CASH GBP 0.079 (2.86%)
15 Apr 2021 14 May 2021 CASH GBP 0.122 (4.23%)
6 Aug 2020 26 Aug 2020 CASH GBP 0.079 (3.43%)
12 Mar 2020 9 Apr 2020 CASH GBP 0.092 (3.71%)
8 Aug 2019 28 Aug 2019 CASH GBP 0.079 (2.27%)
14 Mar 2019 11 Apr 2019 CASH GBP 0.206 (5.64%)
9 Aug 2018 29 Aug 2018 CASH GBP 0.079 (1.82%)
8 Mar 2018 6 Apr 2018 CASH GBP 0.258 (4.97%)
3 Aug 2017 30 Aug 2017 CASH GBP 0.068 (1.27%)
9 Mar 2017 7 Apr 2017 CASH GBP 0.227 (5.31%)
4 Aug 2016 26 Aug 2016 CASH GBP 0.045 (1.10%)
10 Mar 2016 8 Apr 2016 CASH GBP 0.215 (5.30%)
6 Aug 2015 28 Aug 2015 CASH GBP 0.04 (0.85%)
19 Mar 2015 21 Apr 2015 CASH GBP 0.115 (2.70%)
6 Aug 2014 29 Aug 2014 CASH GBP 0.037 (1.01%)
9 Apr 2014 27 May 2014 CASH GBP 0.091 (2.22%)
7 Aug 2013 30 Aug 2013 CASH GBP 0.035 (0.97%)
6 Mar 2013 23 Apr 2013 CASH GBP 0.063 (1.85%)
8 Aug 2012 7 Sep 2012 CASH GBP 0.025 (1.14%)
14 Mar 2012 3 Apr 2012* CASH GBP 0.053 (2.16%)
31 Aug 2011 30 Sep 2011 CASH GBP 0.025 (1.32%)
13 Apr 2011 24 May 2011 CASH GBP 0.047 (1.63%)
*These dividends have unknown paydates and are simply assumed to be 20 days after ExDate

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