Announced | Amount | Yield | Ex-Dividend Date | Record Date | Payable Date |
---|---|---|---|---|---|
06/07/2024 | $1.30 | 5.13% | 06/21/2024 | 06/21/2024 | 07/08/2024 |
03/07/2024 | $1.30 | 5.13% | 03/20/2024 | 03/21/2024 | 04/09/2024 |
12/07/2023 | $1.30 | 5.13% | 12/20/2023 | 12/21/2023 | 01/10/2024 |
09/13/2023 | $1.30 | 5.13% | 09/26/2023 | 09/27/2023 | 10/12/2023 |
06/09/2023 | $1.27 | 5.01% | 06/22/2023 | 06/23/2023 | 07/11/2023 |
03/09/2023 | $1.27 | 5.01% | 03/22/2023 | 03/23/2023 | 04/11/2023 |
12/08/2022 | $1.27 | 5.01% | 12/21/2022 | 12/22/2022 | 01/11/2023 |
09/14/2022 | $1.27 | 5.01% | 09/27/2022 | 09/28/2022 | 10/12/2022 |
06/17/2022 | $1.25 | 4.93% | 06/30/2022 | 07/01/2022 | 07/15/2022 |
03/10/2022 | $1.25 | 4.93% | 03/23/2022 | 03/24/2022 | 04/12/2022 |
12/09/2021 | $1.25 | 4.93% | 12/22/2021 | 12/23/2021 | 01/10/2022 |
09/15/2021 | $1.25 | 4.93% | 09/28/2021 | 09/29/2021 | 10/14/2021 |
06/11/2021 | $1.20 | 4.74% | 06/24/2021 | 06/25/2021 | 07/12/2021 |
03/04/2021 | $1.20 | 4.74% | 03/19/2021 | 03/22/2021 | 04/09/2021 |
12/10/2020 | $1.20 | 4.74% | 12/22/2020 | 12/23/2020 | 01/11/2021 |
09/09/2020 | $1.20 | 4.74% | 09/23/2020 | 09/24/2020 | 10/13/2020 |
06/05/2020 | $1.17 | 4.62% | 06/19/2020 | 06/22/2020 | 07/10/2020 |
03/05/2020 | $1.17 | 4.62% | 03/20/2020 | 03/23/2020 | 04/09/2020 |
12/05/2019 | $1.17 | 4.62% | 12/18/2019 | 12/19/2019 | 01/10/2020 |
09/11/2019 | $1.17 | 4.62% | 09/24/2019 | 09/25/2019 | 10/11/2019 |
06/07/2019 | $1.14 | 4.5% | 06/20/2019 | 06/21/2019 | 07/10/2019 |
03/07/2019 | $1.14 | 4.5% | 03/25/2019 | 03/26/2019 | 04/11/2019 |
12/06/2018 | $1.14 | 4.5% | 12/19/2018 | 12/20/2018 | 01/11/2019 |
09/12/2018 | $1.14 | 4.5% | 09/25/2018 | 09/26/2018 | 10/12/2018 |
06/08/2018 | $1.14 | 4.5% | 06/21/2018 | 06/22/2018 | 07/11/2018 |
03/08/2018 | $1.07 | 4.22% | 03/21/2018 | 03/22/2018 | 04/11/2018 |
12/07/2017 | $1.07 | 4.22% | 12/20/2017 | 12/21/2017 | 01/11/2018 |
09/13/2017 | $1.07 | 4.22% | 09/26/2017 | 09/27/2017 | 10/12/2017 |
06/09/2017 | $1.04 | 4.11% | 06/21/2017 | 06/23/2017 | 07/11/2017 |
03/09/2017 | $1.04 | 4.11% | 03/21/2017 | 03/23/2017 | 04/11/2017 |
12/07/2016 | $1.04 | 4.11% | 12/20/2016 | 12/22/2016 | 01/10/2017 |
09/14/2016 | $1.04 | 4.11% | 09/26/2016 | 09/28/2016 | 10/13/2016 |
06/09/2016 | $1.02 | 4.03% | 06/21/2016 | 06/23/2016 | 07/11/2016 |
03/10/2016 | $1.02 | 4.03% | 03/22/2016 | 03/25/2016 | 04/11/2016 |
12/09/2015 | $1.02 | 4.03% | 12/21/2015 | 12/23/2015 | 01/08/2016 |
09/16/2015 | $1.02 | 4.03% | 09/28/2015 | 09/30/2015 | 10/14/2015 |
06/11/2015 | $1.00 | 3.95% | 06/23/2015 | 06/25/2015 | 07/10/2015 |
03/11/2015 | $1.00 | 3.95% | 03/24/2015 | 03/26/2015 | 04/10/2015 |
12/10/2014 | $1.00 | 3.95% | 12/22/2014 | 12/22/2014 | 01/09/2015 |
09/10/2014 | $1.00 | 3.95% | 09/23/2014 | 09/25/2014 | 10/10/2014 |
A. The current dividend yield for Philip Morris International Inc. is 5.13%.
A. The annual dividend for Philip Morris International Inc. shares is $5.20.
A. Philip Morris International Inc. pays quarterly dividends to shareholders.
A. Philip Morris International Inc.'s next quarterly dividend payment of $1.30 per share will be made to shareholders on Monday, July 8th, 2024.
A. Philip Morris International Inc.'s most recent quarterly dividend payment of $1.30 per share was made to shareholders on Tuesday, April 9th, 2024.
A. Philip Morris International Inc.'s most recent ex-dividend date was Friday, June 21st, 2024.
A. The dividend payout ratio for Philip Morris International Inc. is: 94.83%.