Dividends for American International in 2026 (Updated Date)
American International logo
American International
Price 79.04USD
-0.07 (-0.08%)
Dividend Yield 2.53%
Payout Ratio 31.69%
Dividend Growth 1 years
ISIN US0268747849
Ticker AIG
Sector Financial Services
Industry Insurance - Diversified
Index S&P 500
Updated: Jul 10, 2026, 4:53:20 PM (UTC)

American International Dividends

Time for the next dividend:
00 D
:
00 H
:
00 M
:
00 S
Confirmed
Calculator
Dividend/share amount Ex-dividend Date Payment Date Dividend Yield
Next Dividend $0.5 6/15/26 6/29/26 N/A
Last Dividend $0.5 6/15/26 N/A 0.67%

American International Dividend Calendar

Event Day
Last trading date June 12, 2026
Ex-date June 15, 2026
Record date June 15, 2026
Payable date June 29, 2026

*Dividend data confirmed by the company
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American International dividend history

Ex-DateAmountVariationDiv. Yield
2026$0.95 45.71% 1.25%
6/15/26$0.50.67%
3/16/26$0.450.59%
2025$1.75 12.18% 2.13%
12/16/25$0.450.53%
9/16/25$0.450.59%
6/13/25$0.450.53%
3/17/25$0.40.48%
2024$1.56 11.43% 2.12%
12/16/24$0.40.55%
9/16/24$0.40.55%
6/14/24$0.40.54%
3/13/24$0.360.48%
2023$1.4 9.37% 2.38%
12/13/23$0.360.54%
9/14/23$0.360.59%
6/15/23$0.360.64%
3/16/23$0.320.64%
2022$1.28 0.00% 2.24%
12/14/22$0.320.51%
9/15/22$0.320.59%
6/15/22$0.320.61%
3/16/22$0.320.54%
2021$1.28 0.00% 2.46%
12/15/21$0.320.59%
9/15/21$0.320.59%
6/14/21$0.320.63%
3/15/21$0.320.66%
2020$1.28 0.00% 3.94%
12/11/20$0.320.82%
9/16/20$0.321.07%
6/12/20$0.320.97%
3/13/20$0.321.12%
2019$1.28 0.00% 2.51%
12/11/19$0.320.63%
9/16/19$0.320.57%
6/13/19$0.320.60%
3/14/19$0.320.73%
2018$1.28 0.00% 2.57%
12/11/18$0.320.87%
9/14/18$0.320.60%
6/13/18$0.320.59%
3/14/18$0.320.58%
2017$1.28 0.00% 2.08%
12/7/17$0.320.54%
9/14/17$0.320.54%
6/12/17$0.320.50%
3/13/17$0.320.51%
2016$1.28 58.02% 2.23%
12/6/16$0.320.50%
9/13/16$0.320.55%
6/9/16$0.320.57%
3/10/16$0.320.62%
2015$0.81 62.00% 1.38%
12/3/15$0.280.45%
9/10/15$0.280.48%
6/9/15$0.1250.21%
3/10/15$0.1250.23%
2014$0.5 150.00% 0.92%
12/2/14$0.1250.23%
9/9/14$0.1250.23%
6/6/14$0.1250.23%
3/7/14$0.1250.24%
2013$0.2 98.39% 0.41%
12/3/13$0.10.21%
9/10/13$0.10.20%
2008$12.4 15.07% 1.81%
9/3/08$4.40.97%
6/4/08$40.56%
3/5/08$40.45%
2007$14.6 15.87% 1.11%
12/5/07$40.34%
9/5/07$40.31%
5/30/07$3.30.23%
2/28/07$3.30.25%
2006$12.6 14.55% 0.97%
11/29/06$3.30.24%
8/30/06$3.30.26%
5/31/06$30.25%
3/1/06$30.23%
2005$11 89.66% 0.89%
11/30/05$30.22%
8/31/05$30.25%
6/1/05$2.50.22%
3/2/05$2.50.19%
2004$5.8 29.46% 0.41%
12/1/04$1.50.12%
9/1/04$1.50.11%
6/2/04$1.50.10%
3/3/04$1.30.09%
2003$4.48 24.44% 0.40%
12/3/03$1.30.11%
9/3/03$1.30.11%
6/4/03$0.940.08%
3/5/03$0.940.10%
2002$3.6 13.92% 0.28%
12/4/02$0.960.08%
9/4/02$0.940.08%
6/5/02$0.860.07%
2/27/02$0.840.06%
2001$3.16 12.32% 0.19%
12/5/01$0.840.05%
8/7/01$0.840.05%
5/30/01$0.740.05%
2/28/01$0.740.05%
2000$2.813334 11.29% 0.18%
11/29/00$0.740.04%
8/30/00$0.740.04%
5/31/00$0.6666670.04%
3/1/00$0.6666670.06%
1999$2.528 9.72% 0.20%
11/30/99$0.6666670.05%
9/1/99$0.6666670.05%
6/2/99$0.5973330.05%
3/3/99$0.5973330.05%
1998$2.304 11.21% 0.26%
12/2/98$0.6186670.06%
9/2/98$0.6186670.07%
6/3/98$0.5333330.06%
3/4/98$0.5333330.06%
1997$2.071703 18.11% 0.31%
12/3/97$0.5333330.07%
9/3/97$0.5333330.08%
6/4/97$0.5309630.08%
3/5/97$0.4740740.08%
1996$1.754074 11.45% 0.37%
12/4/96$0.4740740.09%
9/4/96$0.4740740.11%
6/5/96$0.4029630.09%
3/6/96$0.4029630.09%
1995$1.573926 15.81% 0.42%
12/6/95$0.4029630.09%
9/6/95$0.4029630.11%
5/26/95$0.4045430.11%
2/27/95$0.3634570.11%
1994$1.359012 11.21% 0.47%
11/28/94$0.3634570.12%
8/29/94$0.3634570.12%
5/27/94$0.3160490.11%
2/28/94$0.3160490.11%
1993$1.222056 6.42% 0.44%
11/29/93$0.3160490.12%
8/30/93$0.3160490.10%
5/28/93$0.2949790.11%
3/1/93$0.2949790.12%
1992$1.148311 12.37% 0.57%
11/30/92$0.2949790.12%
8/31/92$0.2949790.15%
6/1/92$0.2949790.16%
3/2/92$0.2633740.14%
1991$1.021892 13.96% 0.55%
12/2/91$0.2633740.14%
8/30/91$0.2633740.15%
6/3/91$0.2633740.14%
3/4/91$0.231770.12%
1990$0.896739 15.65% 0.56%
12/3/90$0.231770.15%
8/31/90$0.231770.16%
6/4/90$0.2309270.13%
3/5/90$0.2022720.12%
1989$0.775376 31.43% 0.51%
12/4/89$0.2022720.11%
9/1/89$0.2022720.13%
5/26/89$0.2022720.14%
2/27/89$0.168560.14%
1988$0.58996 22.38% 0.59%
11/28/88$0.168560.16%
8/29/88$0.168560.16%
5/27/88$0.126420.14%
2/29/88$0.126420.13%
1987$0.482081 25.99% 0.40%
11/30/87$0.126420.13%
9/1/87$0.1045070.08%
8/31/87$0.042140.03%
6/1/87$0.1045070.10%
3/2/87$0.1045070.08%
1986$0.382631 3.18% 0.36%
12/1/86$0.1045070.10%
8/29/86$0.0927080.08%
6/2/86$0.0927080.09%
3/3/86$0.0927080.09%
1985$0.370832 300.00% 0.52%
12/2/85$0.0927080.11%
8/30/85$0.0927080.13%
6/3/85$0.0927080.13%
3/4/85$0.0927080.15%
1984$0.0927080.18%
12/3/84$0.0927080.18%

American International Dividend Analysis

Yield last year
2.38%
0/3
Growth last year
9.38%
2/3
Years in a row paying
12
1/3
Yield Last 5 years
2.71%
2/3
Growth last 5 years
1.81%
1/3
Consecutive years of rising dividends
1
0/3
Yield last 10 years
2.27%
2/3
Growth last 10 years
21.48%
3/3
Payout Ratio
28.11%
3/3
Final Score
14/27

American International FAQ

Holders of American International shares will receive a dividend of $0.5 per share, with a yield of 0.00%.

American International (AIG) has scheduled June 29, 2026 as the day for dividend payment, with $0.5 being the amount per share for those holding shares until June 15, 2026.

The most recent dividend from American International stood at $0.5 per share, offering a yield of 0.67%.

For investors in American International, dividends are paid in the months of March, June, September, and December, quarterly.

For the last year, American International (AIG) had a dividend yield of 2.38%, with an average yield of 2.71% over the last 5 years and 2.27% over the past decade.

American International's payout ratio in the last fiscal year, established at 28.11%, confirms that profits are adequate for dividend payments.

American International does not have a growing dividend at the moment.