¥617.00
0.48%
Tokyo, Oct 01, 03:18 pm JST. Closed.
ISIN
JP3922100007
Symbol
4765

Sbi Global Asset Management Co.,ltd. Dividend history 24 years

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Dividend Analysis of the Sbi Global Asset Management Co.,ltd. Stock

Current dividend yield 2.72 %
Dividendenrendite 5 Jahre 2.61 %
Dividend Yield 10Y 4.58 %
Payout 3Y 7.91 %

When does Sbi Global Asset Management Co.,ltd. pay a dividend?

The Sbi Global Asset Management Co.,ltd. stock dividend is paid 2 times a year. In order to receive a dividend, you should generally own the Sbi Global Asset Management Co.,ltd. stock before the ex-dividend date. The Dividend Calendar shows that the ex-day dates were last at March and September .

Year Dividend Ex-day &
Payday
Frequency
Fiscal Year Dividend per Share Ex-Day Payday Payment frequency
2027
¥9.5
¥9.5
Sep 29 2026
Sep 29 2026
Sep 29 26
semi annual
semi-annual
2026
¥13.75
¥13.75
Mar 30 2026
Mar 30 2026
Jun 01 2026
Mar 30 26
Jun 01 26
Jun 01 2026
semi annual
semi-annual
2026
¥9
¥9
Sep 29 2025
Sep 29 2025
Dec 01 2025
Sep 29 25
Dec 01 25
Dec 01 2025
semi annual
semi-annual
2025
¥13.25
¥13.25
Mar 28 2025
Mar 28 2025
Jun 02 2025
Mar 28 25
Jun 02 25
Jun 02 2025
semi annual
semi-annual
2025
¥8.75
¥8.75
Sep 27 2024
Sep 27 2024
Dec 02 2024
Sep 27 24
Dec 02 24
Dec 02 2024
semi annual
semi-annual
2024
¥13
¥13
Mar 28 2024
Mar 28 2024
Jun 03 2024
Mar 28 24
Jun 03 24
Jun 03 2024
semi annual
semi-annual
2024
¥8.5
¥8.5
Sep 28 2023
Sep 28 2023
Dec 01 2023
Sep 28 23
Dec 01 23
Dec 01 2023
semi annual
semi-annual
2023
¥3
¥3
Mar 30 2023
Mar 30 2023
Jun 01 2023
Mar 30 23
Jun 01 23
Jun 01 2023
Special dividend
Special div.
2023
¥9.75
¥9.75
Mar 30 2023
Mar 30 2023
Jun 01 2023
Mar 30 23
Jun 01 23
Jun 01 2023
quarterly
quarterly
2023
¥8.2002
¥8.2
Sep 29 2022
Sep 29 2022
Dec 01 2022
Sep 29 22
Dec 01 22
Dec 01 2022
semi annual
semi-annual
2022
¥8.9457
¥8.95
Mar 30 2022
Mar 30 2022
Jun 01 2022
Mar 30 22
Jun 01 22
Jun 01 2022
semi annual
semi-annual
2022
¥7.9517
¥7.95
Sep 29 2021
Sep 29 2021
Dec 01 2021
Sep 29 21
Dec 01 21
Dec 01 2021
semi annual
semi-annual
2021
¥8.4487
¥8.45
Mar 30 2021
Mar 30 2021
Jun 01 2021
Mar 30 21
Jun 01 21
Jun 01 2021
semi annual
semi-annual
2021
¥7.4547
¥7.45
Sep 29 2020
Sep 29 2020
Nov 16 2020
Sep 29 20
Nov 16 20
Nov 16 2020
semi annual
semi-annual
2020
¥7.9517
¥7.95
Mar 30 2020
Mar 30 2020
Jun 01 2020
Mar 30 20
Jun 01 20
Jun 01 2020
semi annual
semi-annual
2020
¥6.9577
¥6.96
Sep 27 2019
Sep 27 2019
Nov 15 2019
Sep 27 19
Nov 15 19
Nov 15 2019
semi annual
semi-annual
2019
¥7.4547
¥7.45
Mar 27 2019
Mar 27 2019
Jun 03 2019
Mar 27 19
Jun 03 19
Jun 03 2019
semi annual
semi-annual
2018
¥6.4608
¥6.46
Sep 26 2018
Sep 26 2018
Dec 03 2018
Sep 26 18
Dec 03 18
Dec 03 2018
semi annual
semi-annual
2018
¥0.994
¥0.99
Mar 28 2018
Mar 28 2018
Jun 01 2018
Mar 28 18
Jun 01 18
Jun 01 2018
Special dividend
Special div.
2018
¥9.9396
¥9.94
Mar 28 2018
Mar 28 2018
Jun 01 2018
Mar 28 18
Jun 01 18
Jun 01 2018
semi annual
semi-annual
2017
¥8.4487
¥8.45
Mar 29 2017
Mar 29 2017
Jun 02 2017
Mar 29 17
Jun 02 17
Jun 02 2017
semi annual
semi-annual
2016
¥6.9577
¥6.96
Mar 29 2016
Mar 29 2016
Jun 02 2016
Mar 29 16
Jun 02 16
Jun 02 2016
semi annual
semi-annual
2015
¥0.497
¥0.5
Mar 27 2015
Mar 27 2015
Jun 02 2015
Mar 27 15
Jun 02 15
Jun 02 2015
Special dividend
Special div.
2015
¥4.9698
¥4.97
Mar 27 2015
Mar 27 2015
Jun 02 2015
Mar 27 15
Jun 02 15
Jun 02 2015
semi annual
semi-annual
2014
¥4.1746
¥4.17
Mar 27 2014
Mar 27 2014
Jun 03 2014
Mar 27 14
Jun 03 14
Jun 03 2014
semi annual
semi-annual
2013
¥993.9638
¥993.96
Mar 27 2013
Mar 27 2013
Jun 03 2013
Mar 27 13
Jun 03 13
Jun 03 2013
semi annual
semi-annual
2012
¥894.5674
¥894.57
Mar 28 2012
Mar 28 2012
Jun 01 2012
Mar 28 12
Jun 01 12
Jun 01 2012
semi annual
semi-annual
2011
¥745.4728
¥745.47
Mar 29 2011
Mar 29 2011
May 31 2011
Mar 29 11
May 31 11
May 31 2011
semi annual
semi-annual
2010
¥596.3783
¥596.38
Mar 29 2010
Mar 29 2010
Jun 04 2010
Mar 29 10
Jun 04 10
Jun 04 2010
semi annual
semi-annual
2009
¥546.6801
¥546.68
Mar 26 2009
Mar 26 2009
Jun 03 2009
Mar 26 09
Jun 03 09
Jun 03 2009
semi annual
semi-annual
2008
¥546.6801
¥546.68
Mar 26 2008
Mar 26 2008
Jun 20 2008
Mar 26 08
Jun 20 08
Jun 20 2008
-
-
2007
¥248.4909
¥248.49
Dec 26 2006
Dec 26 2006
Mar 24 2007
Dec 26 06
Mar 24 07
Mar 24 2007
Special dividend
Special div.
2007
¥248.4909
¥248.49
Dec 26 2006
Dec 26 2006
Mar 24 2007
Dec 26 06
Mar 24 07
Mar 24 2007
-
-
2006
¥397.5855
¥397.59
Dec 27 2005
Dec 27 2005
Mar 24 2006
Dec 27 05
Mar 24 06
Mar 24 2006
-
-
2005
¥447.2837
¥447.28
Dec 27 2004
Dec 27 2004
Mar 25 2005
Dec 27 04
Mar 25 05
Mar 25 2005
-
-
2004
¥447.2837
¥447.28
Dec 25 2003
Dec 25 2003
Mar 26 2004
Dec 25 03
Mar 26 04
Mar 26 2004
-
-
2003
¥447.2837
¥447.28
Dec 25 2002
Dec 25 2002
Mar 20 2003
Dec 25 02
Mar 20 03
Mar 20 2003
-
-

How much dividend does Sbi Global Asset Management Co.,ltd. pay?

Sbi Global Asset Management Co.,ltd. most recently paid a dividend of ¥9.50. Sbi Global Asset Management Co.,ltd. paid a Dividend of ¥22.75 Per Share in the financial year 2026. With a stock price of ¥620.00 at Sep 30 2026, the current dividend yield is 3.67% (calculation: ¥22.75 / ¥620.00 = 3.67%). No special dividend was paid.

Use the StocksGuide screener to find the stocks with the highest dividend yields. Here you will find, for example, the 100 largest dividend stocks in the world:

What is the Sbi Global Asset Management Co.,ltd. Dividend Yield and payout ratio?

The average Sbi Global Asset Management Co.,ltd. dividend yield over the last 5 years is 3.53% and the average over the last 10 years is 3.51%.

The payout ratio of Sbi Global Asset Management Co.,ltd. in relation to the last financial year is 80.39%. The payout ratio smoothed over 3 years is 102.89%. The calculation is based on the sum of all dividend payments divided by the cumulative earnings per share(EPS).

Metric Sbi Global Asset Management Co.,ltd.
Current dividend yield 3.67%
Dividend Yield 5Y 3.53%
Dividend Yield 10Y 3.51%
Payout 1Y 80.39%
Payout 3Y 102.89%

Is the Sbi Global Asset Management Co.,ltd. dividend safe? Continuity & Dividend Growth

Is the Sbi Global Asset Management Co.,ltd. dividend safe?

Sbi Global Asset Management Co.,ltd. has been paying a dividend for 24 years and has not lowered the dividend for 7 years (dividend continuity). As a result, the dividend was recently increased 7-times.

The Dividend Growth in relation to the previous financial year amounts to 3.41%. The average Sbi Global Asset Management Co.,ltd. Dividend Growth over the last 5 years is 7.42%. The average for the last 10 years is 12.58%.

Metric Sbi Global Asset Management Co.,ltd.
Increased 7 Years
Continuity 7 Years
Paid 24 Years
Growth 1Y 3.41%
Growth 5Y 7.42%
Growth 10Y 12.58%

Continuity

Sbi Global Asset Management Co.,ltd. has been paying a dividend for 24 years and has not lowered the dividend for 7 years (dividend continuity). As a result, the dividend was recently increased 7-times.

Dividend Growth

The Dividend Growth in relation to the previous financial year amounts to 3.41%. The average Sbi Global Asset Management Co.,ltd. Dividend Growth over the last 5 years is 7.42%. The average for the last 10 years is 12.58%.

With the Stock Screener, you can search for the best Dividend Aristocrats in indices such as the DAX or NASDAQ.

Sbi Global Asset Management Co.,ltd. Stock Forecast 2026

On the stock exchange, the Sbi Global Asset Management Co.,ltd. stock (ISIN: JP3922100007) is not traded as a top scorer in September 2026 according to the dividend strategy.

The stock price of Sbi Global Asset Management Co.,ltd. 1.97% has risen since the beginning of the year 2026. However, the return generated in the past says nothing about the future return. You can find the Sbi Global Asset Management Co.,ltd. stock price in real time at the top of the page.

Sbi Global Asset Management Co.,ltd. (symbol: 4765) is valued at a Price / Earnings Ratio (P/E ratio) of 21.68 and a price/sales ratio (P/S ratio) of 2.27 valued.

Metric Sbi Global Asset Management Co.,ltd.
Dividend Score ??/15
Performance 2026
1.97%
P/E TTM 21.68
P/S TTM 2.27

Sbi Global Asset Management Co.,ltd. (symbol: 4765) is valued at a Price / Earnings Ratio (P/E ratio) of 21.68 and a price/sales ratio (P/S ratio) of 2.27 valued.

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