Announced | Amount | Yield | Ex-Dividend Date | Record Date | Payable Date |
---|---|---|---|---|---|
05/07/2024 | $0.32 | 3.9% | 05/23/2024 | 05/24/2024 | 06/07/2024 |
01/26/2024 | $0.32 | 3.9% | 02/08/2024 | 02/09/2024 | 02/23/2024 |
10/26/2023 | $0.32 | 3.9% | 11/09/2023 | 11/10/2023 | 11/24/2023 |
07/27/2023 | $0.30 | 3.65% | 08/10/2023 | 08/11/2023 | 08/25/2023 |
05/02/2023 | $0.30 | 3.65% | 05/18/2023 | 05/19/2023 | 06/02/2023 |
01/27/2023 | $0.30 | 3.65% | 02/09/2023 | 02/10/2023 | 02/24/2023 |
10/27/2022 | $0.30 | 3.65% | 11/09/2022 | 11/11/2022 | 11/25/2022 |
07/28/2022 | $0.30 | 3.65% | 08/11/2022 | 08/12/2022 | 08/26/2022 |
05/03/2022 | $0.28 | 3.41% | 05/19/2022 | 05/20/2022 | 06/03/2022 |
01/28/2022 | $0.28 | 3.41% | 02/10/2022 | 02/11/2022 | 02/25/2022 |
10/29/2021 | $0.28 | 3.41% | 11/10/2021 | 11/12/2021 | 11/26/2021 |
07/29/2021 | $0.28 | 3.41% | 08/12/2021 | 08/13/2021 | 08/27/2021 |
05/05/2021 | $0.28 | 3.41% | 05/20/2021 | 05/21/2021 | 06/04/2021 |
01/28/2021 | $0.25 | 3.04% | 02/11/2021 | 02/12/2021 | 02/26/2021 |
10/28/2020 | $0.25 | 3.04% | 11/12/2020 | 11/13/2020 | 11/27/2020 |
07/24/2020 | $0.25 | 3.04% | 08/06/2020 | 08/07/2020 | 08/21/2020 |
05/05/2020 | $0.25 | 3.04% | 05/19/2020 | 05/20/2020 | 06/03/2020 |
01/23/2020 | $0.25 | 3.04% | 02/06/2020 | 02/07/2020 | 02/21/2020 |
10/24/2019 | $0.25 | 3.04% | 11/07/2019 | 11/08/2019 | 11/22/2019 |
07/18/2019 | $0.25 | 3.04% | 08/01/2019 | 08/02/2019 | 08/16/2019 |
05/02/2019 | $0.23 | 2.8% | 05/16/2019 | 05/17/2019 | 05/31/2019 |
01/24/2019 | $0.23 | 2.8% | 02/07/2019 | 02/08/2019 | 02/22/2019 |
10/25/2018 | $0.23 | 2.8% | 11/08/2018 | 11/09/2018 | 11/23/2018 |
07/19/2018 | $0.23 | 2.8% | 08/02/2018 | 08/03/2018 | 08/17/2018 |
05/01/2018 | $0.21 | 2.56% | 05/10/2018 | 05/11/2018 | 05/25/2018 |
01/23/2018 | $0.21 | 2.56% | 02/05/2018 | 02/06/2018 | 02/20/2018 |
10/27/2017 | $0.21 | 2.56% | 11/10/2017 | 11/13/2017 | 11/27/2017 |
07/20/2017 | $0.20 | 2.44% | 08/02/2017 | 08/04/2017 | 08/18/2017 |
05/02/2017 | $0.20 | 2.44% | 05/10/2017 | 05/12/2017 | 05/26/2017 |
01/26/2017 | $0.20 | 2.44% | 02/08/2017 | 02/10/2017 | 02/24/2017 |
10/27/2016 | $0.20 | 2.44% | 11/09/2016 | 11/14/2016 | 11/28/2016 |
07/22/2016 | $0.19 | 2.31% | 08/03/2016 | 08/05/2016 | 08/19/2016 |
05/03/2016 | $0.19 | 2.31% | 05/11/2016 | 05/13/2016 | 05/27/2016 |
01/28/2016 | $0.19 | 2.31% | 02/10/2016 | 02/12/2016 | 02/26/2016 |
10/29/2015 | $0.19 | 2.31% | 11/10/2015 | 11/13/2015 | 11/27/2015 |
07/23/2015 | $0.17 | 2.07% | 08/12/2015 | 08/14/2015 | 08/28/2015 |
04/21/2015 | $0.17 | 2.07% | 05/13/2015 | 05/15/2015 | 05/29/2015 |
01/29/2015 | $0.15 | 1.83% | 02/11/2015 | 02/13/2015 | 02/27/2015 |
10/30/2014 | $0.15 | 1.83% | 11/12/2014 | 11/14/2014 | 11/28/2014 |
07/24/2014 | $0.15 | 1.83% | 08/13/2014 | 08/15/2014 | 08/29/2014 |
A. The current dividend yield for Atlantic Union Bankshares Corporation is 3.84%.
A. The annual dividend for Atlantic Union Bankshares Corporation shares is $1.26.
A. Atlantic Union Bankshares Corporation pays quarterly dividends to shareholders.
A. Atlantic Union Bankshares Corporation's most recent quarterly dividend payment of $0.32 per share was made to shareholders on Friday, June 7th, 2024.
A. Atlantic Union Bankshares Corporation's most recent ex-dividend date was Thursday, May 23rd, 2024.
A. The dividend payout ratio for Atlantic Union Bankshares Corporation is: 54.24%.