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Dividend History for Philip Morris International, Inc. (PM)

  |   Expand Research on PM
Price: 90.79  |   Annualized Dividend: $2.56  |   Dividend Yield: 2.8%
Ex-Div. Date Amount Type Yield Change Decl. Date Rec. Date Pay. Date Details
6/21/2011 $0.64 Quarter 2.8% N/A 6/8/2011 6/23/2011 7/11/2011 Details
3/23/2012 $0.77 Quarter 3.5% N/A 3/14/2012 3/27/2012 4/12/2012 Details
11/30/-0001 $0.77 Quarter 3.4% +20.3% 9/14/2011 9/27/2011 10/11/2011 Details
12/20/2011 $0.77 Quarter 3.4% N/A 12/7/2011 12/22/2011 1/10/2012 Details
6/25/2012 $0.77 Quarter 3.7% N/A 6/13/2012 6/27/2012 7/12/2012 Details
9/25/2012 $0.85 Quarter 3.8% +10.4% 9/12/2012 9/27/2012 10/11/2012 Details
12/24/2012 $0.85 Quarter 4.1% N/A 12/12/2012 12/27/2012 1/11/2013 Details
3/26/2013 $0.85 Quarter 3.7% N/A 3/13/2013 3/28/2013 4/12/2013 Details
6/25/2013 $0.85 Quarter 3.9% N/A 6/12/2013 6/27/2013 7/12/2013 Details
12/23/2013 $0.94 Quarter 4.4% N/A 12/11/2013 12/26/2013 1/10/2014 Details
9/24/2013 $0.94 Quarter 4.3% +10.6% 9/11/2013 9/26/2013 10/11/2013 Details
3/25/2014 $0.94 Quarter 4.7% N/A 3/12/2014 3/27/2014 4/11/2014 Details
6/24/2014 $0.94 Quarter 4.2% N/A 6/11/2014 6/26/2014 7/11/2014 Details
12/22/2014 $1.00 Quarter 4.8% N/A 12/10/2014 12/24/2014 1/9/2015 Details
6/23/2015 $1.00 Quarter 4.9% N/A 6/11/2015 6/25/2015 7/10/2015 Details
9/23/2014 $1.00 Quarter 4.8% +6.4% 9/10/2014 9/25/2014 10/10/2014 Details
3/24/2015 $1.00 Quarter 5.2% N/A 3/11/2015 3/26/2015 4/10/2015 Details
9/28/2015 $1.02 Quarter 5.2% +2% 9/16/2015 9/30/2015 10/14/2015 Details
3/22/2016 $1.02 Quarter 4.2% N/A 3/10/2016 3/25/2016 4/11/2016 Details
12/21/2015 $1.02 Quarter 4.7% N/A 12/9/2015 12/23/2015 1/8/2016 Details
6/21/2016 $1.02 Quarter 4% N/A 6/9/2016 6/23/2016 7/11/2016 Details
3/21/2017 $1.04 Quarter 3.7% N/A 3/9/2017 3/23/2017 4/11/2017 Details
6/21/2017 $1.04 Quarter 3.5% N/A 6/9/2017 6/23/2017 7/11/2017 Details
9/26/2016 $1.04 Quarter 4.2% +2% 9/14/2016 9/28/2016 10/13/2016 Details
12/20/2016 $1.04 Quarter 4.6% N/A 12/7/2016 12/22/2016 1/10/2017 Details
12/20/2017 $1.07 Quarter 4.1% N/A 12/7/2017 12/21/2017 1/11/2018 Details
9/26/2017 $1.07 Quarter 3.8% +2.9% 9/13/2017 9/27/2017 10/12/2017 Details
3/25/2019 $1.14 Quarter 5.2% N/A 3/7/2019 3/26/2019 4/11/2019 Details
6/21/2018 $1.14 Quarter 5.7% +6.5% 6/8/2018 6/22/2018 7/11/2018 Details
12/19/2018 $1.14 Quarter 6.3% N/A 12/6/2018 12/20/2018 1/11/2019 Details
6/20/2019 $1.14 Quarter 5.9% N/A 6/7/2019 6/21/2019 7/10/2019 Details
9/24/2019 $1.17 Quarter 6.5% +2.6% 9/11/2019 9/25/2019 10/11/2019 Details
12/18/2019 $1.17 Quarter 5.5% N/A 12/5/2019 12/19/2019 1/10/2020 Details
3/20/2020 $1.17 Quarter 7.7% N/A 3/5/2020 3/23/2020 4/9/2020 Details
6/19/2020 $1.17 Quarter 6.5% N/A 6/5/2020 6/22/2020 7/10/2020 Details
12/22/2020 $1.20 Quarter 5.8% N/A 12/10/2020 12/23/2020 1/11/2021 Details
9/23/2020 $1.20 Quarter 6.4% +2.6% 9/9/2020 9/24/2020 10/13/2020 Details
3/19/2021 $1.20 Quarter 5.4% N/A 3/4/2021 3/22/2021 4/9/2021 Details
6/24/2021 $1.20 Quarter 4.8% N/A 6/11/2021 6/25/2021 7/12/2021 Details
3/23/2022 $1.25 Quarter 5.5% N/A 3/10/2022 3/24/2022 4/12/2022 Details
9/28/2021 $1.25 Quarter 5.1% +4.2% 9/15/2021 9/29/2021 10/14/2021 Details
12/22/2021 $1.25 Quarter 5.4% N/A 12/9/2021 12/23/2021 1/10/2022 Details
6/30/2022 $1.25 Quarter 5.1% N/A 6/17/2022 7/1/2022 7/15/2022 Details
12/21/2022 $1.27 Quarter 5.1% N/A 12/8/2022 12/22/2022 1/11/2023 Details
9/27/2022 $1.27 Quarter 5.8% +1.6% 9/14/2022 9/28/2022 10/12/2022 Details
3/22/2023 $1.27 Quarter 5.5% N/A 3/9/2023 3/23/2023 4/11/2023 Details
6/22/2023 $1.27 Quarter 5.3% N/A 6/9/2023 6/23/2023 7/11/2023 Details
3/20/2024 $1.30 Quarter 5.6% N/A 3/7/2024 3/21/2024 4/9/2024 Details
9/26/2023 $1.30 Quarter 5.7% +2.4% 9/13/2023 9/27/2023 10/12/2023 Details
12/20/2023 $1.30 Quarter 5.7% N/A 12/7/2023 12/21/2023 1/10/2024 Details