Amundi Funds European Equity Sustainable Income - A2 EUR DIS Logo
LU1883311570
A2PCPN

Amundi Funds European Equity Sustainable Income - A2 EUR DIS

Dividend yield TTM
3.34%
€2.06/unit
Dividend growth (CAGR 5Y)
0.16%
Next dividend
The next dividend is expected in September.

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Historical dividends

In 2026, Amundi Funds European Equity Sustainable Income - A2 EUR DIS has already paid €1.44 in dividends. The last payout was in August.

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Dividend metrics Metrics

All metrics All
Metric Value
Price
€61.38
Yield
3.34%
Interval
Monthly
CAGR 3Y
4.37%
CAGR 5Y
0.16%
CAGR 10Y
-

All dividend data

So far in 2026, €1.44 per unit has been distributed. In 2025, Amundi Funds European Equity Sustainable Income - A2 EUR DIS distributed €1.92. The dividend yield is currently 3.34%, and distributions have increased by 4.37% over the last 3 years. The ETF pays out every month.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2026 €1.44 25.00% 2.29%
26/08/2026 28/08/2026 €0.18
28/07/2026 30/07/2026 €0.18
25/06/2026 29/06/2026 €0.18
26/05/2026 28/05/2026 €0.18
27/04/2026 29/04/2026 €0.18
26/03/2026 30/03/2026 €0.18
24/02/2026 26/02/2026 €0.18
27/01/2026 29/01/2026 €0.18
2025 €1.92 5.88% 3.42%
23/12/2025 25/12/2025 €0.16
25/11/2025 27/11/2025 €0.16
28/10/2025 30/10/2025 €0.16
25/09/2025 29/09/2025 €0.16
26/08/2025 28/08/2025 €0.16
28/07/2025 30/07/2025 €0.16
25/06/2025 27/06/2025 €0.16
26/05/2025 28/05/2025 €0.16
25/04/2025 29/04/2025 €0.16
26/03/2025 28/03/2025 €0.16
25/02/2025 27/02/2025 €0.16
28/01/2025 30/01/2025 €0.16
2024 €2.04 41.67% 3.88%
23/12/2024 25/12/2024 €0.17
26/11/2024 28/11/2024 €0.17
28/10/2024 30/10/2024 €0.17
25/09/2024 27/09/2024 €0.17
27/08/2024 29/08/2024 €0.17
26/07/2024 30/07/2024 €0.17
25/06/2024 27/06/2024 €0.17
28/05/2024 30/05/2024 €0.17
25/04/2024 29/04/2024 €0.17
25/03/2024 27/03/2024 €0.17
26/02/2024 28/02/2024 €0.17
26/01/2024 30/01/2024 €0.17
2023 €1.44 13.25% 2.97%
22/12/2023 26/12/2023 €0.12
27/11/2023 29/11/2023 €0.12
26/10/2023 30/10/2023 €0.12
26/09/2023 28/09/2023 €0.12
28/08/2023 30/08/2023 €0.12
26/07/2023 28/07/2023 €0.12
27/06/2023 29/06/2023 €0.12
25/05/2023 29/05/2023 €0.12
25/04/2023 27/04/2023 €0.12
28/03/2023 30/03/2023 €0.12
23/02/2023 27/02/2023 €0.12
26/01/2023 30/01/2023 €0.12
2022 €1.66 12.16% 4.00%
27/12/2022 29/12/2022 €0.14
25/11/2022 29/11/2022 €0.14
26/10/2022 28/10/2022 €0.14
27/09/2022 29/09/2022 €0.14
26/08/2022 30/08/2022 €0.14
26/07/2022 28/07/2022 €0.14
27/06/2022 29/06/2022 €0.14
25/05/2022 27/05/2022 €0.14
26/04/2022 28/04/2022 €0.14
28/03/2022 30/03/2022 €0.14
23/02/2022 25/02/2022 €0.14
26/01/2022 28/01/2022 €0.12
2021 €1.48 24.87% 2.96%
28/12/2021 30/12/2021 €0.12
25/11/2021 29/11/2021 €0.12
26/10/2021 28/10/2021 €0.12
27/09/2021 29/09/2021 €0.12
26/08/2021 30/08/2021 €0.12
27/07/2021 29/07/2021 €0.12
25/06/2021 29/06/2021 €0.12
26/05/2021 28/05/2021 €0.12
27/04/2021 29/04/2021 €0.12
26/03/2021 30/03/2021 €0.12
23/02/2021 25/02/2021 €0.12
26/01/2021 28/01/2021 €0.16
2020 €1.97 24.52% 4.72%
28/12/2020 30/12/2020 €0.16
25/11/2020 27/11/2020 €0.16
27/10/2020 29/10/2020 €0.16
25/09/2020 29/09/2020 €0.16
26/08/2020 28/08/2020 €0.16
28/07/2020 30/07/2020 €0.16
25/06/2020 29/06/2020 €0.16
26/05/2020 28/05/2020 €0.16
27/04/2020 29/04/2020 €0.16
26/03/2020 30/03/2020 €0.16
25/02/2020 27/02/2020 €0.16
28/01/2020 30/01/2020 €0.21
2019 €2.61 26.48% 5.60%
23/12/2019 25/12/2019 €0.21
26/11/2019 28/11/2019 €0.21
28/10/2019 30/10/2019 €0.21
25/09/2019 27/09/2019 €0.21
27/08/2019 29/08/2019 €0.21
26/07/2019 30/07/2019 €0.21
25/06/2019 27/06/2019 €0.21
16/05/2019 20/05/2019 €0.21
16/04/2019 18/04/2019 €0.21
18/03/2019 20/03/2019 €0.21
18/02/2019 20/02/2019 €0.21
16/01/2019 18/01/2019 €0.30
2018 €3.55 29.09% -
18/12/2018 20/12/2018 €0.30
16/11/2018 20/11/2018 €0.30
16/10/2018 18/10/2018 €0.30
18/09/2018 20/09/2018 €0.30
17/08/2018 21/08/2018 €0.30
17/07/2018 19/07/2018 €0.30
18/06/2018 20/06/2018 €0.30
16/05/2018 18/05/2018 €0.30
17/04/2018 19/04/2018 €0.30
16/03/2018 20/03/2018 €0.30
16/02/2018 20/02/2018 €0.30
16/01/2018 18/01/2018 €0.25
2017 €2.75 0.00% -
18/12/2017 20/12/2017 €0.25
16/11/2017 20/11/2017 €0.25
17/10/2017 19/10/2017 €0.25
18/09/2017 20/09/2017 €0.25
17/08/2017 21/08/2017 €0.25
18/07/2017 20/07/2017 €0.25
16/06/2017 20/06/2017 €0.25
16/05/2017 18/05/2017 €0.25
19/04/2017 21/04/2017 €0.25
16/03/2017 20/03/2017 €0.25
16/02/2017 20/02/2017 €0.25

Frequently asked questions

What percentage of dividends does Amundi Funds European Equity Sustainable Income - A2 EUR DIS pay?

The dividend yield is currently 3.34%, and payouts have increased by 4.37% over the past 3 years.

When were the most recent dividend payment dates for Amundi Funds European Equity Sustainable Income - A2 EUR DIS?

The most recent payment was made on 28/08/2026. Previous payments were made on: 30/07/2026, 29/06/2026 and 28/05/2026.

When did you need to hold Amundi Funds European Equity Sustainable Income - A2 EUR DIS in your portfolio to receive the latest dividend?

If you held Amundi Funds European Equity Sustainable Income - A2 EUR DIS in your portfolio on 26/08/2026, you received the payout.

How much was the dividend from Amundi Funds European Equity Sustainable Income - A2 EUR DIS in 2025?

In 2025, Amundi Funds European Equity Sustainable Income - A2 EUR DIS paid €1.92 in dividends.

How much was the dividend from Amundi Funds European Equity Sustainable Income - A2 EUR DIS in 2024?

In 2024, Amundi Funds European Equity Sustainable Income - A2 EUR DIS paid €2.04 in dividends.

When is the next dividend from Amundi Funds European Equity Sustainable Income - A2 EUR DIS expected?

Amundi Funds European Equity Sustainable Income - A2 EUR DIS is expected to pay the next dividend in September.

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