British American Tobacco Berhad (4162.KL) Dividend: History, Dates & Yield - 2024
Dividend History
British American Tobacco Berhad announced a quarterly dividend of RM0.22 per ordinary share, payable on , with an ex-dividend date of 2024-11-15. British American Tobacco Berhad typically pays dividends four times a year, compared to RM0.59 in 2024.
Find details on British American Tobacco Berhad's dividend performance with a comprehensive history of past and upcoming payments.
Ex-Div date | Dividend amount | Dividend type | Pay date |
---|---|---|---|
2024-11-15 | RM0.22 | quarterly | |
2024-08-07 | RM0.12 | quarterly | |
2024-06-06 | RM0.10 | quarterly | |
2024-02-20 | RM0.15 | quarterly | |
2023-11-10 | RM0.19 | quarterly | |
2023-08-09 | RM0.16 | quarterly | |
2023-06-14 | RM0.13 | quarterly | |
2023-02-22 | RM0.21 | quarterly | |
2022-11-10 | RM0.25 | quarterly | |
2022-08-04 | RM0.25 | quarterly |
Dividend Increase
British American Tobacco Berhad's dividend growth over the last five years (2020-2024) was -14.48% per year, while over the last ten years (2015-2024), it was -14.78% per year. In comparison, Celcomdigi Berhad has seen an average growth rate of -5.03% over the past five years and Carlsberg Brewery Malaysia Berhad's growth rate was 17.17%.
By comparing British American Tobacco Berhad's dividend growth to other companies, investors can gain insight into how consistent its dividend strategy is and what that means for future payouts. However, dividend growth is just one factor to consider. Investors should also evaluate other metrics, such as earnings growth, payout ratio, and overall financial health, to get a full picture of Walmart's dividend sustainability and potential.
Dividend Yield
British American Tobacco Berhad's current trailing twelve-month (TTM) dividend yield is 8.17%. Over the last 12 months, British American Tobacco Berhad has maintained this yield, but how does it compare to similar stocks? For example, Celcomdigi Berhad offers a yield of 3.79%, while Carlsberg Brewery Malaysia Berhad provides a yield of 4.77%. Comparing similar stocks can help investors assess British American Tobacco Berhad's yield and make more informed decisions.
Company | Dividend Yield | Annual Dividend | Stock Price |
---|---|---|---|
British American Tobacco Berhad (4162.KL) | 8.17% | RM0.59 | RM7.22 |
Celcomdigi Berhad (6947.KL) | 3.79% | RM0.14100000000000001 | RM3.72 |
Carlsberg Brewery Malaysia Berhad (2836.KL) | 4.77% | RM0.96 | RM20.12 |
Dividend Yield Calculator
Interested in purchasing British American Tobacco Berhad stock? Use our calculator to estimate your expected dividend yield and see how Walmart's consistent payouts could contribute to your long-term investment goals. Understanding your potential returns can help you make an informed decision.
Payout Ratio
British American Tobacco Berhad has a payout ratio of 0.78%. In comparison, Celcomdigi Berhad has a payout ratio of 0.98%, while Carlsberg Brewery Malaysia Berhad's payout ratio is 0.85%.
It's important to note that the payout ratio is just one of many metrics investors use to assess a company's dividend sustainability and growth potential. It should be considered alongside other financial indicators such as earnings, cash flow, and debt levels to gain a complete picture of the company's financial health.
About British American Tobacco Berhad
Frequently Asked Question
1. Growth opportunities: Companies, especially in fast-growing industries like technology, reinvest earnings into expansion, R&D, or acquisitions to fuel future growth and increase company value.
2. Tax implications: Not paying dividends can reduce the tax burden on shareholders, who may prefer to defer taxes until selling shares and realizing capital gains.
3. Investor preferences: Some investors prefer companies to reinvest profits for higher long-term returns, particularly those seeking capital appreciation over income.
4. Capital allocation priorities: Companies may allocate cash to pay down debt, fund share buybacks, or invest in projects with higher returns than dividends.
5. Market expectations: In certain sectors, like technology, reinvesting profits for growth and innovation is often prioritized over distributing dividends to shareholders.
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