Nippon Concept Corporation provides liquid cargo logistics solutions in Japan and internationally. The company transports liquid goods through ISO and mini tank containers. It is also involved in the international multimodal transportation of liquid and gas; storage, heating, and decanting of liquid cargo; collection, recycling, and destruction of chlorofluorocarbon; and inspection, storage, cleaning, and maintenance of ISO tank containers. The company was founded in 1994 and is headquartered in Tokyo, Japan.
Nippon Concept Dividend Announcement
• Nippon Concept announced a semi annually dividend of ¥30.00 per ordinary share which will be made payable on 2025-03-01. Ex dividend date: 2024-12-27
• Nippon Concept annual dividend for 2024 was ¥55.00
• Nippon Concept annual dividend for 2023 was ¥50.00
• Nippon Concept's trailing twelve-month (TTM) dividend yield is 2.82%
• Nippon Concept's dividend growth over the last five years (2018-2023) was 10.76% year
• Nippon Concept's dividend growth over the last ten years (2013-2023) was 5.24% year
Nippon Concept Dividend History
Ex-Div date | Dividend amount | Dividend type | Pay date |
---|---|---|---|
2024-12-27 | ¥30.00 | semi annually | 2025-03-01 |
2024-06-27 | ¥25.00 | semi annually | 2024-09-02 |
2023-12-28 | ¥25.00 | semi annually | 2024-03-28 |
2023-06-29 | ¥25.00 | semi annually | 2023-08-28 |
2022-12-29 | ¥17.50 | semi annually | 2023-03-29 |
2022-06-29 | ¥17.50 | semi annually | 2022-08-29 |
2021-12-29 | ¥15.00 | semi annually | 2022-03-31 |
2021-06-29 | ¥15.00 | semi annually | 2021-08-30 |
2020-12-29 | ¥15.00 | semi annually | 2021-03-29 |
2020-06-29 | ¥15.00 | semi annually | 2020-08-31 |
2019-12-27 | ¥15.00 | semi annually | 2020-03-27 |
2019-06-26 | ¥15.00 | semi annually | 2019-09-02 |
2018-12-26 | ¥15.00 | semi annually | 2019-03-29 |
2018-06-27 | ¥15.00 | semi annually | 2018-09-03 |
2017-12-27 | ¥15.00 | semi annually | 2018-03-29 |
2017-06-28 | ¥15.00 | semi annually | 2017-09-04 |
2016-12-28 | ¥15.00 | semi annually | |
2016-06-28 | ¥15.00 | semi annually | |
2015-12-28 | ¥11.00 | semi annually | |
2015-06-26 | ¥27.00 | semi annually | |
2014-12-26 | ¥54.00 | semi annually | |
2014-06-26 | ¥30.00 | semi annually | |
2013-12-26 | ¥30.00 | semi annually |
Nippon Concept Dividend per year
Nippon Concept Dividend growth
Nippon Concept Dividend Yield
Nippon Concept current trailing twelve-month (TTM) dividend yield is 2.82%. Interested in purchasing Nippon Concept stock? Use our calculator to estimate your expected dividend yield:
Nippon Concept Financial Ratios
Nippon Concept Dividend FAQ
Other factors to consider when evaluating Nippon Concept as a dividend stock include its dividend yield, dividend growth, payout ratio, and the sustainability of its dividend payments given its earnings and cash flow. These factors can provide insight into the company's ability to maintain or increase its dividend in the future.
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1. Determination of Dividend: Nippon Concept's board of directors reviews the company's financial performance, cash flow, future investment needs, and other relevant factors to determine the amount and timing of dividend payments.
2. Dividend Declaration: Once the board approves a dividend, Nippon Concept publicly announces the dividend amount, currency, and the ex-dividend date. The ex-dividend date is the date on or after which the buyer of the stock will not be eligible to receive the upcoming dividend payment.
3. Record Date: The record date is the date on which the company checks its records to identify shareholders who are eligible to receive the dividend. Only shareholders on record as of this date will receive the dividend.
4. Payment Date: On the designated payment date, Nippon Concept distributes the dividend to eligible shareholders. The dividend is usually paid in the form of cash directly into the shareholder's brokerage account or through other designated payment methods.
5. Tax Implications: Dividends received from Nippon Concept are generally taxable as income. Shareholders may need to report dividend income on their tax returns and pay applicable taxes according to their jurisdiction's tax regulations.
1. Record Date: Nippon Concept sets a record date, which is the date on which the company checks its records to determine the eligible shareholders. Only those who are shareholders on record as of this date will receive the dividend.
2. Payment Date: On the designated payment date, Nippon Concept distributes the dividend to eligible shareholders. The payment is usually made electronically, directly into the shareholder's brokerage account or bank account.
3. Currency: Nippon Concept declares the currency in which the dividend will be paid. Depending on the shareholder's location and the currency election made by the shareholder, the dividend will be converted to the appropriate currency during the payment process.
To assess the safety of Nippon Concept's dividend, it is crucial to analyze the company's financial health, debt levels, cash flow generation, and ability to sustain dividend payments over the long term. Additionally, monitoring the company's future earnings, cash flow projections, and management's commitment to dividend policies can provide valuable insights.
It is recommended to review Nippon Concept's financial reports, official announcements, and consult with financial advisors or experts who have access to the most current and comprehensive information about the company's financial situation.