ASX Weekly Dividend (13-02-2023)

Upcoming Dividend

Ex-dividend date Payment date Ticker Company Current Price ($) Dividend per share ($) Dividend yield (%) Franking (%) Type Market cap ($m)
20-02-2023 08-03-2023 ZIM Zimplats Holdings Limited $29.6 $1.31 4.43% 0% Result $3,186
22-02-2023 24-03-2023 AGL AGL Energy Limited $7.03 $0.08 1.14% 0% Result $4,729
28-02-2023 21-03-2023 AMC Amcor Plc $16.37 $0.173 1.06% 0% Result $10,674
28-02-2023 15-03-2023 PIA Pengana International Equities Limited $0.985 $0.014 1.37% 100% Result $253
01-03-2023 17-03-2023 PNI Pinnacle Investment Management Group Limited $9.42 $0.156 1.66% 100% Result $1,896
02-03-2023 22-03-2023 ANO Advance ZincTek Limited $2.35 $0.06 2.55% 0% H F Result $144
02-03-2023 17-03-2023 ASH Ashley Services Group Limited $0.81 $0.03 3.7% 100% H F Result $117
02-03-2023 17-03-2023 PNI Pinnacle Investment Management Group Limited $9.42 $0.156 1.66% 100% Result $1,896
06-03-2023 28-03-2023 NCK Nick Scali Limited $10.12 $0.4 3.95% 100% Result $820
06-03-2023 21-03-2023 REA REA Group Ltd $119.86 $0.75 0.63% 100% Result $15,836

ZIM – Zimplats Holdings Limited

Annual Financial Year TTM 2022 2021 2020 2019 2018
Dividend per share ($) $2.91 $2.63 $1.087 $0.616 $1.089 $0
Dividend yield (%) 10.01% 10.92% 9.41% 6.74% 17.25% 0%

Half Financial Year (Ex-dividend date) 20-02-2023 19-08-2022 18-02-2022 19-08-2021 18-02-2021 16-11-2020 11-09-2019 19-02-2019 06-09-2018
Dividend per share ($) $1.31 $1.6 $1.54 $1.09 $0.526 $0.561 $0.616 $0.262 $0.827
Avg price 2 weeks before ex-dividend $29.6 $28.666 $23.96 $24.27 $12.362 $10.88 $9.148 $6.139 $6.375
Dividend yield (%) 4.43% 5.58% 6.43% 4.49% 4.26% 5.15% 6.74% 4.27% 12.98%

AGL – AGL Energy Limited

Annual Financial Year TTM 2022 2021 2020 2019 2018
Dividend per share ($) $0.18 $0.5 $0.92 $1.11 $1.18 $1.04
Dividend yield (%) 2.39% 6.85% 7.07% 5.62% 5.48% 4.5%

Half Financial Year (Ex-dividend date) 22-02-2023 01-09-2022 23-02-2022 25-08-2021 24-02-2021 26-08-2020 26-02-2020 21-08-2019 20-02-2019 22-08-2018 22-02-2018 23-08-2017
Dividend per share ($) $0.08 $0.1 $0.16 $0.34 $0.41 $0.51 $0.47 $0.64 $0.55 $0.63 $0.54 $0.5
Avg price 2 weeks before ex-dividend $7.05 $7.963 $7.217 $7.334 $10.698 $15.774 $20.56 $19.209 $21.721 $21.378 $21.848 $24.594
Dividend yield (%) 1.13% 1.26% 2.22% 4.64% 3.83% 3.23% 2.29% 3.33% 2.53% 2.95% 2.47% 2.03%

AMC – Amcor Plc

Annual Financial Year TTM 2022 2021 2020 2019 2018
Dividend per share ($) $0.54 $0.655 $0.629 $0.692 $0.792 $0.56
Dividend yield (%) 3.13% 3.82% 4.06% 4.74% 5.36% 3.72%

Half Financial Year (Ex-dividend date) 28-02-2023 22-11-2022 07-09-2022 24-05-2022 22-02-2022 23-11-2021 07-09-2021 25-05-2021 23-02-2021 23-11-2020 02-09-2020 27-05-2020 03-03-2020 27-11-2019 10-09-2019 26-04-2019 04-03-2019 07-09-2018 27-02-2018 04-09-2017
Dividend per share ($) $0.173 $0.194 $0.173 $0.167 $0.169 $0.16 $0.159 $0.151 $0.152 $0.166 $0.16 $0.177 $0.171 $0.167 $0.177 $0.168 $0.298 $0.327 $0.262 $0.298
Avg price 2 weeks before ex-dividend $16.4 $17.437 $17.998 $18.272 $16.329 $16.691 $17.476 $15.75 $14.713 $16.125 $15.418 $14.339 $15.167 $14.607 $14.401 $15.625 $14.919 $14.237 $14.138 $16.006
Dividend yield (%) 1.05% 1.11% 0.96% 0.91% 1.03% 0.96% 0.91% 0.96% 1.03% 1.03% 1.04% 1.23% 1.13% 1.14% 1.23% 1.08% 2.0% 2.29% 1.85% 1.86%

PIA – Pengana International Equities Limited

Annual Financial Year TTM 2022 2021 2020 2019 2018
Dividend per share ($) $0.041 $0.054 $0.062 $0.06 $0.07 $0.07
Dividend yield (%) 4.04% 4.13% 5.08% 5.96% 6.04% 9.25%

Half Financial Year (Ex-dividend date) 28-02-2023 30-11-2022 31-08-2022 31-05-2022 28-02-2022 30-11-2021 07-09-2021 28-05-2021 07-04-2021 06-01-2021 08-10-2020 08-04-2020 04-11-2019 11-04-2019 20-09-2018 12-04-2018 21-09-2017
Dividend per share ($) $0.014 $0.014 $0.014 $0.014 $0.014 $0.014 $0.014 $0.013 $0.013 $0.013 $0.025 $0.025 $0.035 $0.035 $0.035 $0.035 $0.035
Avg price 2 weeks before ex-dividend $0.985 $0.951 $1.082 $1.09 $1.315 $1.438 $1.459 $1.239 $1.241 $1.307 $1.185 $0.89 $1.113 $1.123 $1.198 $1.167 $0.56
Dividend yield (%) 1.37% 1.42% 1.25% 1.24% 1.03% 0.94% 0.93% 1.01% 1.01% 0.96% 2.11% 2.81% 3.15% 3.12% 2.92% 3.0% 6.25%

PNI – Pinnacle Investment Management Group Limited

Annual Financial Year TTM 2022 2021 2020 2019 2018
Dividend per share ($) $0.487 $0.345 $0.202 $0.162 $0.131 $0.094
Dividend yield (%) 3.26% 2.71% 2.8% 3.17% 2.16% 2.49%

Half Financial Year (Ex-dividend date) 02-03-2023 01-03-2023 29-08-2022 03-03-2022 30-08-2021 04-03-2021 24-08-2020 05-03-2020 19-09-2019 07-03-2019 20-09-2018 08-03-2018 21-09-2017
Dividend per share ($) $0.156 $0.156 $0.175 $0.175 $0.17 $0.117 $0.085 $0.069 $0.093 $0.061 $0.07 $0.046 $0.048
Avg price 2 weeks before ex-dividend $9.415 NA $10.907 $10.47 $16.407 $9.376 $5.486 $6.01 $4.591 $5.078 $7.27 $4.656 $3.19
Dividend yield (%) 1.66% NA 1.6% 1.67% 1.04% 1.25% 1.55% 1.15% 2.03% 1.2% 0.96% 0.99% 1.5%

ANO – Advance ZincTek Limited

Annual Financial Year TTM 2022 2021 2020 2019 2018
Dividend per share ($) $0.12 $0 $0 $0 $0 $0
Dividend yield (%) 5.35% 0% 0% 0% 0% 0%

Half Financial Year (Ex-dividend date) 02-03-2023 14-10-2022
Dividend per share ($) $0.06 $0.06
Avg price 2 weeks before ex-dividend $2.35 $2.147
Dividend yield (%) 2.55% 2.79%

ASH – Ashley Services Group Limited

Annual Financial Year TTM 2022 2021 2020 2019 2018
Dividend per share ($) $0.06 $0.054 $0.045 $0.027 $0.025 $0
Dividend yield (%) 7.48% 8.83% 10.98% 8.13% 11.43% 0%

Half Financial Year (Ex-dividend date) 02-03-2023 31-08-2022 02-03-2022 01-09-2021 02-03-2021 01-09-2020 27-08-2019 02-08-2018
Dividend per share ($) $0.03 $0.03 $0.03 $0.024 $0.018 $0.027 $0.027 $0.025
Avg price 2 weeks before ex-dividend $0.81 $0.794 $0.741 $0.502 $0.494 $0.368 $0.332 $0.219
Dividend yield (%) 3.7% 3.78% 4.05% 4.78% 3.64% 7.34% 8.13% 11.43%

PNI – Pinnacle Investment Management Group Limited

Annual Financial Year TTM 2022 2021 2020 2019 2018
Dividend per share ($) $0.487 $0.345 $0.202 $0.162 $0.131 $0.094
Dividend yield (%) 3.26% 2.71% 2.8% 3.17% 2.16% 2.49%

Half Financial Year (Ex-dividend date) 02-03-2023 01-03-2023 29-08-2022 03-03-2022 30-08-2021 04-03-2021 24-08-2020 05-03-2020 19-09-2019 07-03-2019 20-09-2018 08-03-2018 21-09-2017
Dividend per share ($) $0.156 $0.156 $0.175 $0.175 $0.17 $0.117 $0.085 $0.069 $0.093 $0.061 $0.07 $0.046 $0.048
Avg price 2 weeks before ex-dividend $9.415 NA $10.907 $10.47 $16.407 $9.376 $5.486 $6.01 $4.591 $5.078 $7.27 $4.656 $3.19
Dividend yield (%) 1.66% NA 1.6% 1.67% 1.04% 1.25% 1.55% 1.15% 2.03% 1.2% 0.96% 0.99% 1.5%

NCK – Nick Scali Limited

Annual Financial Year TTM 2022 2021 2020 2019 2018
Dividend per share ($) $0.75 $0.6 $0.625 $0.45 $0.49 $0.36
Dividend yield (%) 7.29% 4.97% 6.43% 6.02% 8.04% 5.35%

Half Financial Year (Ex-dividend date) 06-03-2023 30-09-2022 04-03-2022 01-10-2021 08-03-2021 05-10-2020 05-03-2020 07-10-2019 05-03-2019 02-10-2018 06-03-2018 03-10-2017
Dividend per share ($) $0.4 $0.35 $0.35 $0.25 $0.4 $0.225 $0.25 $0.2 $0.25 $0.24 $0.16 $0.2
Avg price 2 weeks before ex-dividend $10.12 $10.493 $12.426 $11.591 $10.525 $8.554 $7.603 $7.334 $5.859 $6.357 $7.089 $6.46
Dividend yield (%) 3.95% 3.34% 2.82% 2.16% 3.8% 2.63% 3.29% 2.73% 4.27% 3.78% 2.26% 3.1%

REA – REA Group Ltd

Annual Financial Year TTM 2022 2021 2020 2019 2018
Dividend per share ($) $1.64 $1.47 $1.14 $1.18 $1.17 $0.98
Dividend yield (%) 1.3% 1.03% 0.89% 1.15% 1.42% 1.36%

Half Financial Year (Ex-dividend date) 06-03-2023 25-08-2022 07-03-2022 26-08-2021 08-03-2021 27-08-2020 09-03-2020 29-08-2019 04-03-2019 21-08-2018 01-03-2018 22-08-2017
Dividend per share ($) $0.75 $0.89 $0.75 $0.72 $0.59 $0.55 $0.55 $0.63 $0.55 $0.62 $0.47 $0.51
Avg price 2 weeks before ex-dividend $119.64 $131.784 $134.116 $152.296 $142.952 $116.324 $101.985 $103.923 $78.799 $85.372 $77.928 $67.591
Dividend yield (%) 0.63% 0.68% 0.56% 0.47% 0.41% 0.47% 0.54% 0.61% 0.7% 0.73% 0.6% 0.75%
ASX Weekly Dividend (13-02-2023)
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