Dividends for American International in 2025 (Updated Date)
American International logo
American International
Price 74.34USD
-2.06 (-2.70%)
Dividend Yield 2.15%
Payout Ratio 38.33%
Dividend Growth 1 years
ISIN US0268747849
Ticker AIG
Sector Financial Services
Industry Insurance - Diversified
Index S&P 500
Updated: Feb 14, 2025, 9:00:02 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 $0.4 3/17/25 3/31/25 0.53%
0.02%
Last Dividend $0.4 12/16/24 12/30/24 0.55%
Logo de American International Price
American International Price-

American International Dividend Calendar

Event Day
Last trading date March 14, 2025
Ex-date March 17, 2025
Record date March 17, 2025
Payable date March 31, 2025

*Dividend data confirmed by the company
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American International dividend history

Ex-DateAmountVariationDiv. Yield
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 $0.4 per share, with a yield of 0.53%.

American International (AIG) has scheduled March 31, 2025 as the day for dividend payment, with $0.4 being the amount per share for those holding shares until March 17, 2025.

American International, offering a yield of 0.55%, paid a dividend of $0.4 per share on December 30, 2024.

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.