Dividends for AON in 2026 (Updated Date)
AON logo
AON
Price 320.90USD
7.26 (2.32%)
Dividend Yield 1.05%
Payout Ratio 16.36%
Dividend Growth 4 years
ISIN IE00BLP1HW54
Ticker AON
Sector Financial Services
Industry Insurance Brokers
Index S&P 500
Updated: Jun 23, 2026, 7:57:45 PM (UTC)

AON 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 $0.82 5/1/26 5/15/26 0.26%
0.26%
Last Dividend $0.745 2/2/26 2/13/26 N/A
Logo de AON Price
AON Price-

AON Dividend Calendar

Event Day
Last trading date April 30, 2026
Ex-date May 1, 2026
Record date May 1, 2026
Payable date May 15, 2026

*Dividend data confirmed by the company
Source: AON
Powered by

AON dividend history

Ex-DateAmountVariationDiv. Yield
2026$0.82 62.12% 0.26%
5/1/26$0.820.26%
2025$2.165 17.99% 0.60%
8/1/25$0.7450.21%
5/1/25$0.7450.21%
2/3/25$0.6750.18%
2024$2.64 9.77% 0.83%
11/1/24$0.6750.19%
8/1/24$0.6750.21%
4/30/24$0.6750.24%
1/31/24$0.6150.21%
2023$2.405 9.82% 0.76%
10/31/23$0.6150.20%
7/31/23$0.6150.19%
4/28/23$0.6150.19%
1/31/23$0.560.18%
2022$2.19 10.05% 0.77%
10/31/22$0.560.20%
7/29/22$0.560.19%
4/29/22$0.560.19%
1/31/22$0.510.18%
2021$1.99 11.80% 0.77%
10/29/21$0.510.16%
7/30/21$0.510.20%
4/30/21$0.510.20%
1/29/21$0.460.23%
2020$1.78 3.49% 0.91%
10/30/20$0.460.25%
7/31/20$0.440.21%
4/30/20$0.440.25%
1/31/20$0.440.20%
2019$1.72 12.24% 0.96%
10/31/19$0.440.23%
7/31/19$0.440.23%
4/30/19$0.440.24%
1/31/19$0.40.26%
2018$1.96 39.01% 1.35%
10/31/18$0.40.26%
8/9/18$0.40.28%
7/31/18$0.40.28%
4/30/18$0.40.28%
1/31/18$0.360.25%
2017$1.41 9.30% 1.10%
10/31/17$0.360.25%
7/28/17$0.360.26%
4/27/17$0.360.30%
1/30/17$0.330.29%
2016$1.29 12.17% 1.26%
10/28/16$0.330.30%
7/28/16$0.330.30%
4/28/16$0.330.32%
1/28/16$0.30.35%
2015$1.15 24.32% 1.19%
10/29/15$0.30.32%
7/30/15$0.30.29%
4/29/15$0.30.31%
1/29/15$0.250.27%
2014$0.925 35.43% 1.11%
10/30/14$0.250.30%
7/30/14$0.250.29%
4/29/14$0.250.30%
1/30/14$0.1750.22%
2013$0.683 9.46% 1.03%
10/30/13$0.1750.22%
7/30/13$0.1750.26%
4/29/13$0.1750.29%
1/30/13$0.1580.27%
2012$0.624 4.00% 1.23%
10/31/12$0.1580.29%
7/30/12$0.1580.32%
4/27/12$0.1580.31%
1/30/12$0.150.31%
2011$0.6 0.00% 1.22%
10/28/11$0.150.31%
7/28/11$0.150.30%
4/28/11$0.150.28%
1/28/11$0.150.33%
2010$0.6 0.00% 1.50%
10/28/10$0.150.37%
7/29/10$0.150.41%
4/29/10$0.150.34%
1/28/10$0.150.38%
2009$0.6 0.00% 1.50%
10/29/09$0.150.36%
7/30/09$0.150.38%
4/29/09$0.150.36%
1/29/09$0.150.40%
2008$0.6 0.00% 1.39%
10/30/08$0.150.39%
7/30/08$0.150.33%
4/29/08$0.150.33%
1/30/08$0.150.35%
2007$0.6 0.00% 1.50%
10/30/07$0.150.33%
7/30/07$0.150.37%
4/27/07$0.150.38%
1/30/07$0.150.42%
2006$0.6 0.00% 1.63%
10/30/06$0.150.43%
7/28/06$0.150.44%
4/28/06$0.150.36%
1/30/06$0.150.42%
2005$0.6 0.00% 2.33%
10/28/05$0.150.44%
7/29/05$0.150.59%
4/29/05$0.150.72%
2/1/05$0.150.66%
2004$0.6 0.00% 2.46%
10/29/04$0.150.73%
7/30/04$0.150.57%
4/30/04$0.150.58%
2/6/04$0.150.61%
2003$0.6 27.27% 2.79%
10/31/03$0.150.68%
8/1/03$0.150.64%
4/29/03$0.150.68%
2/10/03$0.150.81%
2002$0.825 7.82% 3.00%
11/6/02$0.150.82%
7/30/02$0.2250.96%
4/30/02$0.2250.63%
2/8/02$0.2250.69%
2001$0.895 2.87% 2.48%
10/30/01$0.2250.56%
7/31/01$0.2250.63%
5/1/01$0.2250.67%
2/6/01$0.220.63%
2000$0.87 6.97% 2.66%
10/31/00$0.220.53%
7/28/00$0.220.63%
4/28/00$0.220.81%
2/4/00$0.210.77%
1999$0.813334 10.91% 2.14%
10/29/99$0.210.59%
7/30/99$0.210.56%
4/30/99$0.2066670.45%
2/5/99$0.1866670.56%
1998$0.733334 7.84% 1.75%
10/30/98$0.1866670.45%
8/3/98$0.1866670.41%
5/1/98$0.1866670.44%
2/6/98$0.1733330.46%
1997$0.679999 7.75% 2.09%
10/31/97$0.1733330.48%
8/1/97$0.1733330.48%
4/29/97$0.1733330.59%
2/7/97$0.160.56%
1996$0.631111 5.97% 2.68%
10/15/96$0.160.65%
7/30/96$0.160.74%
4/30/96$0.160.67%
2/6/96$0.1511110.62%
1995$0.595555 6.35% 3.58%
10/31/95$0.1511110.83%
7/28/95$0.1511110.89%
4/26/95$0.1511110.93%
2/3/95$0.1422220.95%
1994$0.559999 6.78% 3.95%
10/26/94$0.1422221.01%
7/27/94$0.1422220.96%
4/28/94$0.1422221.05%
2/2/94$0.1333330.93%
1993$0.524443 6.63% 3.41%
10/27/93$0.1333330.88%
7/28/93$0.1333330.83%
4/28/93$0.1333330.86%
1/28/93$0.1244440.84%
1992$0.491851 5.06% 3.67%
10/28/92$0.1244440.84%
7/29/92$0.1244440.93%
4/29/92$0.1244440.96%
1/30/92$0.1185190.95%
1991$0.46815 6.04% 4.35%
10/30/91$0.1185191.07%
7/31/91$0.1185191.05%
5/1/91$0.1185191.08%
1/31/91$0.1125931.16%
1990$0.441483 8.76% 4.29%
10/31/90$0.1125931.21%
8/1/90$0.1125931.09%
5/2/90$0.1125931.08%
2/1/90$0.1037040.94%
1989$0.405927 8.73% 4.14%
11/1/89$0.1037040.97%
8/2/89$0.1037040.96%
5/3/89$0.1037041.12%
2/2/89$0.0948151.13%
1988$0.373334 63.64% 4.93%
11/2/88$0.0948151.13%
8/3/88$0.0948151.17%
4/27/88$0.0948151.31%
1/27/88$0.0888891.34%
1984$0.228148 23.00% 4.84%
7/26/84$0.0770371.87%
4/26/84$0.0770371.56%
2/3/84$0.0740741.47%
1983$0.2962966.18%
10/27/83$0.0740741.38%
7/28/83$0.0740741.63%
5/3/83$0.0740741.50%
1/28/83$0.0740741.71%

AON Dividend Analysis

Yield last year
0.76%
0/3
Growth last year
9.82%
2/3
Years in a row paying
37
2/3
Yield Last 5 years
0.83%
0/3
Growth last 5 years
4.18%
2/3
Consecutive years of rising dividends
4
0/3
Yield last 10 years
1.02%
1/3
Growth last 10 years
13.41%
3/3
Payout Ratio
19.22%
1/3
Final Score
11/27

AON FAQ

AON (AON) has opted to pay a dividend of $0.82 per share, reflecting a yield of 0.26%.

AON has scheduled the dividend payment of $0.82 per share for May 15, 2026, applicable to shareholders who hold shares until April 30, 2026.

In its latest dividend payment, AON provided $0.745 per share with a yield of 0.00% on February 13, 2026.

Dividends in AON are awarded in the months of February, May, and August, following a scheme of quarterly payments.

Last year, the dividend yield of AON (AON) reached 0.76%, with an average of 0.83% over the last 5 years and 1.02% over the last 10 years.

AON's payout ratio in the last fiscal year, established at 19.22%, confirms that profits are adequate for dividend payments.

In the last 37 years, AON has increased its dividends for 4 consecutive years. The dividend growth was 9.82% last year.