Dividends for AON in 2025 (Updated Date)
AON logo
AON
Price 390.38USD
0.33 (0.08%)
Dividend Yield 0.69%
Payout Ratio 21.14%
Dividend Growth 4 years
ISIN IE00BLP1HW54
Ticker AON
Sector Financial Services
Industry Insurance Brokers
Index S&P 500
Updated: Mar 19, 2025, 8:00:02 PM (UTC)

AON Dividends

Time for the next dividend:
00 D
:
00 H
:
00 M
:
00 S
Confirmed
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Dividend/share amount Ex-dividend Date Payment Date Dividend Yield
Next Dividend $0.675 2/3/25 2/14/25 N/A
Last Dividend $0.675 11/1/24 11/15/24 0.19%
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AON dividend history

Ex-DateAmountVariationDiv. Yield
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 $0.675 per share, reflecting a yield of 0.00%.

AON has scheduled the dividend payment of $0.675 per share for February 14, 2025, applicable to shareholders who hold shares until January 31, 2025.

In its latest dividend payment, AON provided $0.675 per share with a yield of 0.19% on November 15, 2024.

As part of its dividend strategy, AON makes payments in the months of January, April, August, and November, each quarter.

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.