Fidelity National Information Services
FIS
#446
Rank
HK$350.96 B
Marketcap
HK$651.93
Share price
-0.29%
Change (1 day)
40.55%
Change (1 year)

Dividend history for Fidelity National Information Services (FIS)

Fidelity National Information Services (stock symbol: FIS) made a total of 87 dividend payments.
The sum of all dividends (adjusted for stock splits) is : HK$299.38
Dividend yield (TTM) : 1.28% See Fidelity National Information Services dividend yield history

Dividend payments for Fidelity National Information Services (FIS) from 2003 to 2024

Annual dividend payments

Year Dividend (stock split adjusted) Change
2024 HK$8.40-48.08%
2023 HK$16.17 10.64%
2022 HK$14.62 20.51%
2021 HK$12.13 11.43%
2020 HK$10.88N/A
2019 HK$10.88 9.37%
2018 HK$9.95 10.34%
2017 HK$9.02 11.54%
2016 HK$8.08N/A
2015 HK$8.08 8.33%
2014 HK$7.46 9.09%
2013 HK$6.84 10.00%
2012 HK$6.22 300.00%
2011 HK$1.55N/A
2010 HK$1.55N/A
2009 HK$1.55-98.80%
2008 HK$129.83 8,250.00%
2007 HK$1.55-94.94%
2006 HK$30.71 1,875.00%
2005 HK$1.55N/A
2004 HK$1.55 100.00%
2003 HK$0.78N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2024-09-10HK$2.80N/A
2024-06-10HK$2.80N/A
2024-03-07HK$2.80-30.77%
2023-12-07HK$4.04N/A
2023-09-07HK$4.04N/A
2023-06-08HK$4.04N/A
2023-03-09HK$4.04 10.64%
2022-12-08HK$3.65N/A
2022-09-15HK$3.65N/A
2022-06-09HK$3.65N/A
2022-03-10HK$3.65 20.51%
2021-12-10HK$3.03N/A
2021-09-09HK$3.03N/A
2021-06-10HK$3.03N/A
2021-03-11HK$3.03 11.43%
2020-12-11HK$2.72N/A
2020-09-10HK$2.72N/A
2020-06-11HK$2.72N/A
2020-03-12HK$2.72N/A
2019-12-12HK$2.72N/A
2019-09-12HK$2.72N/A
2019-06-13HK$2.72N/A
2019-03-14HK$2.72 9.37%
2018-12-13HK$2.49N/A
2018-09-13HK$2.49N/A
2018-06-14HK$2.49N/A
2018-03-15HK$2.49 10.34%
2017-12-14HK$2.25N/A
2017-09-14HK$2.25N/A
2017-06-14HK$2.25N/A
2017-03-15HK$2.25 11.54%
2016-12-14HK$2.02N/A
2016-09-14HK$2.02N/A
2016-06-14HK$2.02N/A
2016-03-15HK$2.02N/A
2015-12-14HK$2.02N/A
2015-09-14HK$2.02N/A
2015-06-12HK$2.02N/A
2015-03-13HK$2.02 8.33%
2014-12-12HK$1.87N/A
2014-09-12HK$1.87N/A
2014-06-12HK$1.87N/A
2014-03-13HK$1.87 9.09%
2013-12-12HK$1.71N/A
2013-09-12HK$1.71N/A
2013-06-12HK$1.71N/A
2013-03-13HK$1.71 10.00%
2012-12-12HK$1.55N/A
2012-09-12HK$1.55N/A
2012-06-13HK$1.55N/A
2012-03-14HK$1.55 300.00%
2011-12-14HK$0.39N/A
2011-09-14HK$0.39N/A
2011-06-14HK$0.39N/A
2011-03-15HK$0.39N/A
2010-12-15HK$0.39N/A
2010-09-14HK$0.39N/A
2010-06-14HK$0.39N/A
2010-03-12HK$0.39N/A
2009-12-14HK$0.39N/A
2009-09-14HK$0.39N/A
2009-06-12HK$0.39N/A
2009-03-12HK$0.39N/A
2008-12-11HK$0.39N/A
2008-09-11HK$0.39-99.70%
2008-07-03HK$128.27 32,900.00%
2008-06-11HK$0.39N/A
2008-03-11HK$0.39N/A
2007-12-11HK$0.39N/A
2007-09-11HK$0.39N/A
2007-06-12HK$0.39N/A
2007-03-12HK$0.39N/A
2006-12-12HK$0.39N/A
2006-09-12HK$0.39N/A
2006-06-13HK$0.39N/A
2006-03-16HK$0.39-98.67%
2006-02-01HK$29.15 7,400.00%
2005-12-28HK$0.39N/A
2005-09-28HK$0.39N/A
2005-06-29HK$0.39N/A
2005-03-30HK$0.39N/A
2004-12-29HK$0.39N/A
2004-09-29HK$0.39N/A
2004-06-29HK$0.39N/A
2004-03-30HK$0.39N/A
2003-12-29HK$0.39N/A
2003-09-29HK$0.39N/A

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