Dividend history for Unilever Indonesia (UNVR.JK)
Unilever Indonesia (stock symbol: UNVR.JK) made a total of 41 dividend payments. The sum of all dividends (adjusted for stock splits) is : $0.15 Dividend yield (TTM) : 3.61% See Unilever Indonesia dividend yield history
Dividend payments for Unilever Indonesia (UNVR.JK) from 2003 to 2022
Annual dividend payments
Year
Dividend (stock split adjusted)
Change
2022 $0.01011 -7.83% 2021 $0.01097 -14.43% 2020 $0.01281 -19.50% 2019 $0.01592 31.69% 2018 $0.01209 5.17% 2017 $0.01149 8.89% 2016 $0.01056 5.41% 2015 $0.01001 7.21% 2014 $0.009340 6.48% 2013 $0.008772 11.41% 2012 $0.007874 0.34% 2011 $0.007847 48.87% 2010 $0.005271 24.69% 2009 $0.004227 22.14% 2008 $0.003461 21.86% 2007 $0.002840 7.50% 2006 $0.002642 N/A 2005 $0.002642 N/A 2004 $0.002642 185.71% 2003 $0.0009248 N/A
List of all dividend payments
Date
Dividend (stock split adjusted)
Change
2022-11-30 $0.004558 -17.86% 2022-06-24 $0.005549 27.27% 2021-11-30 $0.004360 -34.00% 2021-06-08 $0.006605 14.94% 2020-12-01 $0.005747 -18.69% 2020-08-05 $0.007068 24.42% 2019-12-03 $0.005681 -44.52% 2019-05-31 $0.01024 89.02% 2018-11-16 $0.005416 -18.81% 2018-06-04 $0.006672 23.17% 2017-11-30 $0.005416 -10.87% 2017-07-06 $0.006077 22.67% 2016-12-06 $0.004954 -11.56% 2016-06-22 $0.005601 23.98% 2015-12-02 $0.004518 -17.79% 2015-06-16 $0.005496 23.81% 2014-12-03 $0.004439 -9.43% 2014-06-27 $0.004901 12.42% 2013-12-03 $0.004360 -1.20% 2013-07-01 $0.004412 11.33% 2012-12-11 $0.003963 1.35% 2012-06-28 $0.003910 18.40% 2011-12-07 $0.003303 -27.33% 2011-06-28 $0.004545 244.00% 2010-11-29 $0.001321 -66.56% 2010-06-29 $0.003950 199.00% 2009-11-26 $0.001321 -54.55% 2009-06-29 $0.002906 131.58% 2008-11-27 $0.001255 -43.11% 2008-06-27 $0.002206 85.56% 2007-11-29 $0.001189 -28.00% 2007-06-25 $0.001651 56.25% 2006-11-30 $0.001057 -33.33% 2006-06-23 $0.001585 100.00% 2005-12-06 $0.0007927 -25.00% 2005-07-11 $0.001057 33.33% 2005-03-07 $0.0007927 -14.29% 2004-12-02 $0.0009248 -12.50% 2004-07-16 $0.001057 60.00% 2004-02-18 $0.0006605 -28.57% 2003-11-13 $0.0009248 N/A