Kelly Partners Group
KPG.AX
#7666
Rank
£0.24 B
Marketcap
£5.44
Share price
2.36%
Change (1 day)
110.04%
Change (1 year)

Dividend history for Kelly Partners Group (KPG.AX)

Kelly Partners Group (stock symbol: KPG.AX) made a total of 55 dividend payments.
The sum of all dividends (adjusted for stock splits) is : £0.17
Dividend yield (TTM) : 0.08% See Kelly Partners Group dividend yield history

Dividend payments for Kelly Partners Group (KPG.AX) from 2017 to 2024

Annual dividend payments

Year Dividend (stock split adjusted) Change
2024 £0.004411-82.54%
2023 £0.02527-25.18%
2022 £0.03377 27.48%
2021 £0.02649 3.84%
2020 £0.02551-1.74%
2019 £0.02596-0.58%
2018 £0.02611 420.00%
2017 £0.005022N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2024-02-20£0.002206N/A
2024-01-19£0.002206N/A
2023-12-19£0.002206N/A
2023-11-21£0.002206N/A
2023-10-20£0.002206N/A
2023-09-20£0.002206N/A
2023-08-22£0.002206N/A
2023-07-20£0.002206 9.99%
2023-06-21£0.002005N/A
2023-05-22£0.002005N/A
2023-04-18£0.002005N/A
2023-03-22£0.002005N/A
2023-02-17£0.002005N/A
2023-01-19£0.002005N/A
2022-12-19£0.002005N/A
2022-11-21£0.002005N/A
2022-10-20£0.002005N/A
2022-09-21£0.002005-65.58%
2022-08-22£0.005826-16.55%
2022-07-27£0.006981 248.11%
2022-07-20£0.002005 10.00%
2022-06-21£0.001823N/A
2022-05-20£0.001823N/A
2022-04-19£0.001823N/A
2022-03-22£0.001823N/A
2022-02-17£0.001823N/A
2022-01-19£0.001823N/A
2021-12-22£0.001823N/A
2021-11-19£0.001823-54.63%
2021-10-20£0.004018 120.39%
2021-09-21£0.001823N/A
2021-08-23£0.001823-46.62%
2021-08-16£0.003415 87.33%
2021-07-21£0.001823 10.00%
2021-06-21£0.001657N/A
2021-05-20£0.001657N/A
2021-04-21£0.001657N/A
2021-03-22£0.001657N/A
2021-02-17£0.001657N/A
2021-01-21£0.001657-75.19%
2020-12-21£0.006679N/A
2020-09-22£0.006679 9.92%
2020-06-23£0.006077N/A
2020-03-24£0.006077N/A
2019-12-19£0.006077N/A
2019-09-19£0.006077 120.00%
2019-09-06£0.002762-50.00%
2019-06-20£0.005524N/A
2019-03-20£0.005524N/A
2018-12-20£0.005524N/A
2018-10-22£0.005524 10.00%
2018-07-05£0.005022N/A
2018-05-09£0.005022N/A
2018-02-09£0.005022N/A
2017-11-08£0.005022N/A