Intact Financial
IFC.TO
#535
Rank
HK$277.65 B
Marketcap
HK$1,557
Share price
-1.75%
Change (1 day)
23.69%
Change (1 year)

Dividend history for Intact Financial (IFC.TO)

Intact Financial (stock symbol: IFC.TO) made a total of 76 dividend payments.
The sum of all dividends (adjusted for stock splits) is : HK$250.60
Dividend yield (TTM) : 1.68% See Intact Financial dividend yield history

Dividend payments for Intact Financial (IFC.TO) from 2005 to 2025

Annual dividend payments

Year Dividend (stock split adjusted) Change
2025 HK$7.19-72.52%
2024 HK$26.16 10.00%
2023 HK$23.78 10.00%
2022 HK$21.62 17.65%
2021 HK$18.37 2.41%
2020 HK$17.94 9.21%
2019 HK$16.43 8.57%
2018 HK$15.13 9.37%
2017 HK$13.83 10.34%
2016 HK$12.54 9.43%
2015 HK$11.46 10.42%
2014 HK$10.38 9.09%
2013 HK$9.51 10.00%
2012 HK$8.65 8.11%
2011 HK$8.00 8.82%
2010 HK$7.35 112.50%
2009 HK$3.46-48.39%
2008 HK$6.70 14.81%
2007 HK$5.84 8.00%
2006 HK$5.40 513.50%
2005 HK$0.88N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2025-03-14HK$7.19 9.92%
2024-12-16HK$6.54N/A
2024-09-13HK$6.54N/A
2024-06-14HK$6.54N/A
2024-03-14HK$6.54 10.00%
2023-12-14HK$5.94N/A
2023-09-14HK$5.94N/A
2023-06-14HK$5.94N/A
2023-03-14HK$5.94 10.00%
2022-12-14HK$5.40N/A
2022-09-14HK$5.40N/A
2022-06-14HK$5.40N/A
2022-03-14HK$5.40 9.89%
2021-12-14HK$4.92 9.64%
2021-09-14HK$4.49N/A
2021-06-14HK$4.49N/A
2021-03-12HK$4.49N/A
2020-12-14HK$4.49N/A
2020-09-14HK$4.49N/A
2020-06-12HK$4.49N/A
2020-03-13HK$4.49 9.21%
2019-12-13HK$4.11N/A
2019-09-13HK$4.11N/A
2019-06-13HK$4.11N/A
2019-03-14HK$4.11 8.57%
2018-12-13HK$3.78N/A
2018-09-13HK$3.78N/A
2018-06-14HK$3.78N/A
2018-03-14HK$3.78 9.37%
2017-12-14HK$3.46N/A
2017-09-14HK$3.46N/A
2017-06-13HK$3.46N/A
2017-03-13HK$3.46 10.34%
2016-12-13HK$3.13N/A
2016-09-13HK$3.13N/A
2016-06-13HK$3.13N/A
2016-03-11HK$3.13 9.43%
2015-12-11HK$2.86N/A
2015-09-11HK$2.86N/A
2015-06-11HK$2.86N/A
2015-03-12HK$2.86 10.42%
2014-12-11HK$2.59N/A
2014-09-11HK$2.59N/A
2014-06-12HK$2.59N/A
2014-03-13HK$2.59 9.09%
2013-12-12HK$2.38N/A
2013-09-12HK$2.38N/A
2013-06-12HK$2.38N/A
2013-03-12HK$2.38 10.00%
2012-12-12HK$2.16N/A
2012-09-12HK$2.16N/A
2012-06-13HK$2.16N/A
2012-03-13HK$2.16 8.11%
2011-12-13HK$2.00N/A
2011-09-13HK$2.00N/A
2011-06-13HK$2.00N/A
2011-03-11HK$2.00 8.82%
2010-12-13HK$1.84N/A
2010-09-13HK$1.84N/A
2010-06-11HK$1.84N/A
2010-03-11HK$1.84 6.25%
2009-12-10HK$1.73N/A
2009-03-12HK$1.73 3.23%
2008-12-11HK$1.68N/A
2008-09-11HK$1.68N/A
2008-06-12HK$1.68N/A
2008-03-12HK$1.68 14.81%
2007-12-12HK$1.46N/A
2007-09-12HK$1.46N/A
2007-06-13HK$1.46N/A
2007-03-13HK$1.46 8.00%
2006-12-13HK$1.35N/A
2006-09-13HK$1.35N/A
2006-06-13HK$1.35N/A
2006-03-13HK$1.35 53.37%
2005-12-13HK$0.88N/A