AG

Avangrid IncNYSE AGR Stock Report

Last reporting period 30 Sep, 2024

Updated 13 Nov, 2024

Last price

Market cap $B

13.859

Large

Exchange

XNYS - New York Stock Exchange, Inc

View Section: Cash Flow Statement

Avangrid Dividends

AG

Avangrid dividend yield is 4.88%

The annual dividend is 1.76 USD

AGR dividend metrics

Payout ratio
60.76%
Dividend yield
4.88%
Annual dividend
1.76
Dividend streak
9 years
Average dividend yield over 3 years
5.24%
Average dividend yield over 5 years
4.69%

Dividend per share

1y
3y
5y
All time
By years
By payments
This ticker has no dividend history

AGR dividend history

Ex-dividend date

Amount

Share price

Yield

02 December 2024

0.44

36.10

1.22 %

30 August 2024

0.44

35.99

1.22 %

03 June 2024

0.44

36.01

1.22 %

29 February 2024

0.44

31.43

1.40 %

30 November 2023

0.44

31.34

1.40 %

31 August 2023

0.44

35.12

1.25 %

31 May 2023

0.44

37.20

1.18 %

28 February 2023

0.44

39.96

1.10 %

30 November 2022

0.44

41.96

1.05 %

01 September 2022

0.44

49.40

0.89 %

02 June 2022

0.44

47.72

0.92 %

28 February 2022

0.44

44.93

0.98 %

10 December 2021

0.44

49.19

0.89 %

02 September 2021

0.44

55.32

0.80 %

03 June 2021

0.44

53.14

0.83 %

04 March 2021

0.44

45.98

0.96 %

10 December 2020

0.44

45.97

0.96 %

31 August 2020

0.44

48.57

0.91 %

01 June 2020

0.44

44.48

0.99 %

05 March 2020

0.44

53.92

0.82 %

11 December 2019

0.44

48.97

0.90 %

05 September 2019

0.44

51.89

0.85 %

06 June 2019

0.44

51.67

0.85 %

07 March 2019

0.44

48.50

0.91 %

10 December 2018

0.44

52.08

0.84 %

06 September 2018

0.44

50.36

0.87 %

07 June 2018

0.43

50.44

0.86 %

08 March 2018

0.43

48.26

0.90 %

08 December 2017

0.43

52.09

0.83 %

07 September 2017

0.43

47.93

0.90 %

07 June 2017

0.43

45.85

0.94 %

08 March 2017

0.43

42.85

1.01 %

08 December 2016

0.43

36.65

1.18 %

07 September 2016

0.43

42.49

1.02 %

08 June 2016

0.43

43.95

0.98 %

08 March 2016

0.43

39.20

1.10 %

View Section: Other Information