Year | Payment date | Dividend per share in euros | Adjusted net income distribution rate |
2016 | 12 July 2017 | 0.31 € | 35% |
2017 | 20 June 2018 | 0.44 € | 35% |
2018 | 4 July 2019 | 0.47 € | 35% |
2019 | - | - | - |
2020 | 7 July 2021 | 0.30 € | 34% |
2021 | 11 June 2022 | 0.55 € | 36% |
2022 | 7 July 2023 | 0.30 € | 37% |
See also in the section "Maisons du Monde stock":