AvalonBay Communities
AVB
#673
Rank
HK$227.99 B
Marketcap
HK$1,601
Share price
-0.01%
Change (1 day)
8.35%
Change (1 year)
AvalonBay Communities, Inc. is an American real estate investment trust (REIT) that invests in apartments.

Dividend history for AvalonBay Communities (AVB)

AvalonBay Communities (stock symbol: AVB) made a total of 108 dividend payments.
The sum of all dividends (adjusted for stock splits) is : HK$910.13
Dividend yield (TTM) : 3.32% See AvalonBay Communities dividend yield history

Dividend payments for AvalonBay Communities (AVB) from 1998 to 2025

Annual dividend payments

Year Dividend (stock split adjusted) Change
2025 HK$13.58-74.26%
2024 HK$52.75 3.03%
2023 HK$51.20 3.77%
2022 HK$49.34N/A
2021 HK$49.34N/A
2020 HK$49.34 4.61%
2019 HK$47.17 3.40%
2018 HK$45.62 3.52%
2017 HK$44.07 5.19%
2016 HK$41.89 8.00%
2015 HK$38.79 7.76%
2014 HK$36.00 8.41%
2013 HK$33.20 10.31%
2012 HK$30.10 8.62%
2011 HK$27.71N/A
2010 HK$27.71N/A
2009 HK$27.71-33.59%
2008 HK$41.73 58.21%
2007 HK$26.38 8.97%
2006 HK$24.21 9.86%
2005 HK$22.03 1.43%
2004 HK$21.72N/A
2003 HK$21.72N/A
2002 HK$21.72 9.37%
2001 HK$19.86 14.29%
2000 HK$17.38 8.74%
1999 HK$15.98 34.64%
1998 HK$11.87N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2025-03-31HK$13.58 2.94%
2024-12-31HK$13.19N/A
2024-09-30HK$13.19N/A
2024-06-28HK$13.19N/A
2024-03-27HK$13.19 3.03%
2023-12-28HK$12.80N/A
2023-09-28HK$12.80N/A
2023-06-29HK$12.80N/A
2023-03-30HK$12.80 3.77%
2022-12-29HK$12.34N/A
2022-09-29HK$12.34N/A
2022-06-29HK$12.34N/A
2022-03-30HK$12.34N/A
2021-12-30HK$12.34N/A
2021-10-01HK$12.34N/A
2021-06-29HK$12.34N/A
2021-03-30HK$12.34N/A
2020-12-30HK$12.34N/A
2020-09-29HK$12.34N/A
2020-06-29HK$12.34N/A
2020-03-30HK$12.34 4.61%
2019-12-30HK$11.79N/A
2019-09-27HK$11.79N/A
2019-06-27HK$11.79N/A
2019-03-28HK$11.79 3.40%
2018-12-28HK$11.40N/A
2018-09-27HK$11.40N/A
2018-06-28HK$11.40N/A
2018-03-28HK$11.40 3.52%
2017-12-28HK$11.02N/A
2017-09-28HK$11.02N/A
2017-06-28HK$11.02N/A
2017-03-29HK$11.02 5.19%
2016-12-28HK$10.47N/A
2016-09-28HK$10.47N/A
2016-06-28HK$10.47N/A
2016-03-29HK$10.47 8.00%
2015-12-29HK$9.70N/A
2015-09-28HK$9.70N/A
2015-06-26HK$9.70N/A
2015-03-27HK$9.70 7.76%
2014-12-29HK$9.00N/A
2014-09-26HK$9.00N/A
2014-06-26HK$9.00N/A
2014-03-27HK$9.00 8.41%
2013-12-27HK$8.30N/A
2013-09-26HK$8.30N/A
2013-06-26HK$8.30N/A
2013-03-26HK$8.30 10.31%
2012-12-27HK$7.53N/A
2012-09-26HK$7.53N/A
2012-06-27HK$7.53N/A
2012-03-28HK$7.53 8.62%
2011-12-28HK$6.93N/A
2011-09-28HK$6.93N/A
2011-06-28HK$6.93N/A
2011-03-30HK$6.93N/A
2010-12-28HK$6.93N/A
2010-09-29HK$6.93N/A
2010-06-28HK$6.93N/A
2010-03-29HK$6.93N/A
2009-12-29HK$6.93N/A
2009-09-24HK$6.93N/A
2009-06-26HK$6.93N/A
2009-03-30HK$6.93-66.93%
2008-12-24HK$20.95 202.35%
2008-10-01HK$6.93N/A
2008-06-26HK$6.93N/A
2008-03-28HK$6.93 5.06%
2007-12-27HK$6.59N/A
2007-09-26HK$6.59N/A
2007-06-27HK$6.59N/A
2007-03-29HK$6.59 8.97%
2006-12-27HK$6.05N/A
2006-09-28HK$6.05N/A
2006-06-28HK$6.05N/A
2006-03-29HK$6.05 9.86%
2005-12-28HK$5.51N/A
2005-09-29HK$5.51N/A
2005-06-28HK$5.51N/A
2005-03-30HK$5.51 1.43%
2004-12-29HK$5.43N/A
2004-09-29HK$5.43N/A
2004-06-29HK$5.43N/A
2004-03-30HK$5.43N/A
2003-12-29HK$5.43N/A
2003-09-29HK$5.43N/A
2003-06-27HK$5.43N/A
2003-03-28HK$5.43N/A
2002-12-27HK$5.43N/A
2002-09-27HK$5.43N/A
2002-06-26HK$5.43N/A
2002-03-27HK$5.43 9.37%
2001-12-27HK$4.97N/A
2001-09-27HK$4.97N/A
2001-06-27HK$4.97N/A
2001-03-28HK$4.97 14.29%
2000-12-27HK$4.34N/A
2000-09-27HK$4.34N/A
2000-06-28HK$4.34N/A
2000-03-30HK$4.34 7.69%
1999-12-29HK$4.03N/A
1999-09-28HK$4.03 1.96%
1999-06-28HK$3.96N/A
1999-03-30HK$3.96N/A
1998-12-29HK$3.96N/A
1998-09-28HK$3.96N/A
1998-06-26HK$3.96N/A

Dividend payments for similar companies or competitors

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