CANADIAN GENERAL INVESTMENTS Logo
CA1358251074
894616
CGI.TO

CANADIAN GENERAL INVESTMENTS

Dividend yield TTM
2.36%
€0.75/share
Dividend growth (CAGR 5Y)
4.49%
Next dividend
The next dividend is expected in December.

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Historical dividends

In 2026, CANADIAN GENERAL INVESTMENTS has already paid €0.58 in dividends. The last payout was in September.

Dividend metrics Metrics

All metrics All
Metric Value
Price
€31.70
Yield
2.36%
Interval
Quarterly
CAGR 3Y
0.50%
CAGR 5Y
4.49%
CAGR 10Y
2.59%

All dividend data

So far in 2026, €0.58 per share has been distributed. In 2025, CANADIAN GENERAL INVESTMENTS distributed €0.68. The dividend yield is currently 2.36%, and distributions have increased by 0.50% over the last 3 years. CANADIAN GENERAL INVESTMENTS pays dividends quarterly in March, June, September and December.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2026 €0.58 14.71% 1.85%
31/08/2026 15/09/2026 €0.19
29/05/2026 15/06/2026 €0.19
27/02/2026 15/03/2026 €0.20
2025 €0.68 0.00% 2.30%
28/11/2025 15/12/2025 €0.17
29/08/2025 15/09/2025 €0.17
30/05/2025 15/06/2025 €0.17
28/02/2025 15/03/2025 €0.17
2024 €0.68 3.03% 2.50%
29/11/2024 15/12/2024 €0.17
30/08/2024 15/09/2024 €0.17
31/05/2024 15/06/2024 €0.17
28/02/2024 15/03/2024 €0.17
2023 €0.66 0.00% 2.85%
29/11/2023 15/12/2023 €0.16
30/08/2023 15/09/2023 €0.17
30/05/2023 15/06/2023 €0.17
27/02/2023 15/03/2023 €0.16
2022 €0.66 10.00% 3.03%
29/11/2022 15/12/2022 €0.16
30/08/2022 15/09/2022 €0.17
30/05/2022 15/06/2022 €0.17
25/02/2022 15/03/2022 €0.16
2021 €0.60 9.09% 1.93%
29/11/2021 15/12/2021 €0.15
30/08/2021 15/09/2021 €0.15
28/05/2021 15/06/2021 €0.15
25/02/2021 15/03/2021 €0.15
2020 €0.55 1.85% 2.44%
27/11/2020 15/12/2020 €0.14
28/08/2020 15/09/2020 €0.13
28/05/2020 15/06/2020 €0.14
27/02/2020 15/03/2020 €0.14
2019 €0.54 8.00% 3.06%
28/11/2019 15/12/2019 €0.14
29/08/2019 15/09/2019 €0.14
30/05/2019 15/06/2019 €0.13
27/02/2019 15/03/2019 €0.13
2018 €0.50 3.21% 3.82%
29/11/2018 15/12/2018 €0.13
30/08/2018 15/09/2018 €0.13
30/05/2018 15/06/2018 €0.12
27/02/2018 15/03/2018 €0.12
2017 €0.52 3.44% 3.30%
20/12/2017 27/12/2017 €0.0266
29/11/2017 15/12/2017 €0.12
29/08/2017 15/09/2017 €0.12
29/05/2017 15/06/2017 €0.12
24/02/2017 15/03/2017 €0.13
2016 €0.54 3.46% 3.89%
20/12/2016 28/12/2016 €0.085
28/11/2016 15/12/2016 €0.12
29/08/2016 15/09/2016 €0.11
27/05/2016 15/06/2016 €0.11
25/02/2016 15/03/2016 €0.11
2015 €0.52 1.71% 4.15%
21/12/2015 29/12/2015 €0.13
26/11/2015 15/12/2015 €0.0933
27/08/2015 15/09/2015 €0.0938
27/05/2015 15/06/2015 €0.10
25/02/2015 15/03/2015 €0.10
2014 €0.53 0.30% 3.60%
19/12/2014 29/12/2014 €0.20
26/11/2014 15/12/2014 €0.0828
27/08/2014 15/09/2014 €0.0839
28/05/2014 15/06/2014 €0.0817
26/02/2014 15/03/2014 €0.0777
2013 €0.53 9.95% 4.25%
19/12/2013 27/12/2013 €0.34
27/11/2013 15/12/2013 €0.055
28/08/2013 15/09/2013 €0.0435
29/05/2013 15/06/2013 €0.0442
26/02/2013 15/03/2013 €0.045
2012 €0.59 1.56% 4.89%
20/12/2012 28/12/2012 €0.40
10/12/2012 15/12/2012 €0.0463
10/09/2012 15/09/2012 €0.0471
08/06/2012 15/06/2012 €0.0464
08/03/2012 15/03/2012 €0.0462
2011 €0.60 20.66% 4.93%
20/12/2011 28/12/2011 €0.42
08/12/2011 15/12/2011 €0.0446
08/09/2011 15/09/2011 €0.0439
08/06/2011 15/06/2011 €0.0433
08/03/2011 15/03/2011 €0.0435
2010 €0.75 55.73% 5.17%
20/12/2010 24/12/2010 €0.57
08/12/2010 15/12/2010 €0.045
08/09/2010 15/09/2010 €0.0449
08/06/2010 15/06/2010 €0.0474
08/03/2010 15/03/2010 €0.043
2009 €0.48 216.56% 4.44%
22/12/2009 30/12/2009 €0.33
08/12/2009 15/12/2009 €0.0389
08/09/2009 15/09/2009 €0.038
08/06/2009 15/06/2009 €0.0384
09/03/2009 15/03/2009 €0.0365
2008 €0.15 86.20% 0.77%
26/11/2008 15/12/2008 €0.0357
27/08/2008 15/09/2008 €0.0397
28/05/2008 15/06/2008 €0.038
27/02/2008 15/03/2008 €0.0388
2007 €1.10 11.69% 5.61%
19/12/2007 28/12/2007 €0.94
28/11/2007 15/12/2007 €0.0406
29/08/2007 15/09/2007 €0.042
29/05/2007 15/06/2007 €0.0421
26/02/2007 15/03/2007 €0.0385
2006 €0.99 10.74% -
19/12/2006 29/12/2006 €0.82
28/11/2006 15/12/2006 €0.0396
29/08/2006 15/09/2006 €0.0423
29/05/2006 15/06/2006 €0.0427
24/02/2006 15/03/2006 €0.0431
2005 €0.89 72.41% -
16/12/2005 30/12/2005 €0.73
28/11/2005 15/12/2005 €0.0433
29/08/2005 15/09/2005 €0.0414
27/05/2005 15/06/2005 €0.0399
24/02/2005 15/03/2005 €0.0373
2004 €0.52 39.25% -
16/12/2004 31/12/2004 €0.37
26/11/2004 15/12/2004 €0.0365
27/08/2004 15/09/2004 €0.038
27/05/2004 15/06/2004 €0.036
25/02/2004 15/03/2004 €0.0368
2003 €0.37 131.75% -
17/12/2003 31/12/2003 €0.22
25/11/2003 15/12/2003 €0.0371
27/08/2003 15/09/2003 €0.0389
28/05/2003 15/06/2003 €0.0379
26/02/2003 15/03/2003 €0.0376
2002 €0.16 54.16% -
27/11/2002 15/12/2002 €0.0377
28/08/2002 15/09/2002 €0.0388
29/05/2002 15/06/2002 €0.041
26/02/2002 15/03/2002 €0.0428
2001 €0.35 78.09% -
13/12/2001 31/12/2001 €0.11
28/11/2001 15/12/2001 €0.11
29/08/2001 15/09/2001 €0.0415
29/05/2001 15/06/2001 €0.0456
26/02/2001 15/03/2001 €0.0426
2000 €1.60 543.89% -
14/12/2000 30/12/2000 €1.42
28/11/2000 15/12/2000 €0.0441
29/08/2000 15/09/2000 €0.0471
29/05/2000 15/06/2000 €0.0427
25/02/2000 15/03/2000 €0.0423
1999 €0.25 26.33% -
14/12/1999 30/12/1999 €0.0684
26/11/1999 15/12/1999 €0.0394
27/08/1999 15/09/1999 €0.0479
27/05/1999 15/06/1999 €0.0482
24/02/1999 15/03/1999 €0.044
1998 €0.34 82.73% -
14/12/1998 30/12/1998 €0.11
26/11/1998 15/12/1998 €0.0388
27/08/1998 15/09/1998 €0.0405
12/06/1998 30/06/1998 €0.0589
27/05/1998 15/06/1998 €0.0431
25/02/1998 15/03/1998 €0.0452
1997 €1.95 1,194.68% -
12/12/1997 30/12/1997 €1.17
26/11/1997 15/12/1997 €0.0441
27/08/1997 15/09/1997 €0.0452
12/06/1997 30/06/1997 €0.60
28/05/1997 15/06/1997 €0.0447
26/02/1997 15/03/1997 €0.0445
1996 €0.15 4.59% -
27/11/1996 15/12/1996 €0.0378
28/08/1996 15/09/1996 €0.0374
28/05/1996 15/06/1996 €0.0379
26/02/1996 15/03/1996 €0.0374
1995 €0.14 8.69% -
28/11/1995 15/12/1995 €0.0367
01/09/1995 15/09/1995 €0.0373
25/05/1995 15/06/1995 €0.0353
22/02/1995 15/03/1995 €0.0346
1994 €0.16 18.68% -
24/11/1994 15/12/1994 €0.0381
25/08/1994 15/09/1994 €0.0386
25/05/1994 15/06/1994 €0.0391
25/02/1994 15/03/1994 €0.0193
10/02/1994 25/02/1994 €0.0225
1993 €0.19 36.10% -
24/11/1993 15/12/1993 €0.0665
25/08/1993 15/09/1993 €0.0412
25/05/1993 15/06/1993 €0.0422
22/02/1993 15/03/1993 €0.0439
1992 €0.14 0.00% -
24/11/1992 15/12/1992 €0.0621
25/08/1992 15/09/1992 €0.0391
25/05/1992 15/06/1992 €0.0412

Frequently asked questions

When does CANADIAN GENERAL INVESTMENTS pay dividends?

CANADIAN GENERAL INVESTMENTS pays dividends in December, March, June and September.

How often does CANADIAN GENERAL INVESTMENTS pay dividends?

CANADIAN GENERAL INVESTMENTS pays dividends quarterly.

What percentage of dividends does CANADIAN GENERAL INVESTMENTS pay?

The dividend yield is currently 2.36%, and payouts have increased by 0.50% over the past 3 years.

When were the most recent dividend payment dates for CANADIAN GENERAL INVESTMENTS?

The most recent payment was made on 15/09/2026. Previous payments were made on: 15/06/2026, 15/03/2026 and 15/12/2025.

When did you need to hold CANADIAN GENERAL INVESTMENTS in your portfolio to receive the latest dividend?

If you held CANADIAN GENERAL INVESTMENTS in your portfolio on 31/08/2026, you received the payout.

How much was the dividend from CANADIAN GENERAL INVESTMENTS in 2025?

In 2025, CANADIAN GENERAL INVESTMENTS paid €0.68 in dividends.

How much was the dividend from CANADIAN GENERAL INVESTMENTS in 2024?

In 2024, CANADIAN GENERAL INVESTMENTS paid €0.68 in dividends.

When is the next dividend from CANADIAN GENERAL INVESTMENTS expected?

CANADIAN GENERAL INVESTMENTS is expected to pay the next dividend in December.

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