Federal Realty Investment Trust Aktie Logo
US3137451015
A3DB2A
FRT

Federal Realty Investment Trust Aktie

Dividend yield TTM
4.04%
€3.89/share
Dividend growth (CAGR 5Y)
1.21%
Next dividend
€1.01 on 15/10/2026

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Historical dividends

In 2026, Federal Realty Investment Trust Aktie has already paid €2.92 in dividends. The last payout was in July.

Dividend metrics Metrics

All metrics All
Metric Value
Price
€96.25
Yield
4.04%
Interval
Quarterly
CAGR 3Y
1.08%
CAGR 5Y
1.21%
CAGR 10Y
2.21%

All dividend data

So far in 2026, €2.92 per share has been distributed. The next dividend of €1.01 will be paid on 15/10/2026. In 2025, Federal Realty Investment Trust Aktie distributed €3.96. The dividend yield is currently 4.04%, and distributions have decreased by 1.08% over the last 3 years. Federal Realty Investment Trust Aktie pays dividends quarterly in January, April, July and October.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2026 €3.93 0.76% 3.02%
01/10/2026
A
15/10/2026 €1.01
01/07/2026 15/07/2026 €0.99
01/04/2026 15/04/2026 €0.96
02/01/2026 15/01/2026 €0.97
2025 €3.96 1.98% 4.61%
01/10/2025 15/10/2025 €0.97
01/07/2025 15/07/2025 €0.95
01/04/2025 15/04/2025 €0.97
02/01/2025 15/01/2025 €1.07
2024 €4.04 1.51% 3.75%
01/10/2024 15/10/2024 €1.01
21/06/2024 15/07/2024 €1.00
12/03/2024 15/04/2024 €1.03
29/12/2023 16/01/2024 €1.00
2023 €3.98 2.69% 4.27%
21/09/2023 16/10/2023 €1.03
21/06/2023 17/07/2023 €0.96
10/03/2023 17/04/2023 €0.99
30/12/2022 17/01/2023 €1.00
2022 €4.09 13.93% 4.34%
21/09/2022 17/10/2022 €1.10
21/06/2022 15/07/2022 €1.06
15/03/2022 15/04/2022 €0.99
31/12/2021 18/01/2022 €0.94
2021 €3.59 3.75% 2.99%
21/09/2021 15/10/2021 €0.92
21/06/2021 15/07/2021 €0.90
15/03/2021 15/04/2021 €0.89
31/12/2020 15/01/2021 €0.88
2020 €3.73 2.19% 5.34%
21/09/2020 15/10/2020 €0.91
19/06/2020 15/07/2020 €0.92
13/03/2020 15/04/2020 €0.96
31/12/2019 15/01/2020 €0.94
2019 €3.65 8.96% 3.18%
20/09/2019 15/10/2019 €0.95
20/06/2019 15/07/2019 €0.91
13/03/2019 15/04/2019 €0.90
31/12/2018 15/01/2019 €0.89
2018 €3.35 5.37% 3.27%
20/09/2018 15/10/2018 €0.88
21/06/2018 16/07/2018 €0.85
13/03/2018 16/04/2018 €0.81
29/12/2017 16/01/2018 €0.81
2017 €3.54 3.21% 3.20%
21/09/2017 16/10/2017 €0.85
20/06/2017 17/07/2017 €0.85
10/03/2017 17/04/2017 €0.92
29/12/2016 17/01/2017 €0.92
2016 €3.43 7.86% 2.54%
20/09/2016 17/10/2016 €0.89
20/06/2016 15/07/2016 €0.85
16/03/2016 15/04/2016 €0.83
30/12/2015 15/01/2016 €0.86
2015 €3.18 33.61% 2.37%
18/09/2015 15/10/2015 €0.83
18/06/2015 15/07/2015 €0.79
18/03/2015 15/04/2015 €0.81
30/12/2014 15/01/2015 €0.75
2014 €2.38 5.78% 2.17%
18/09/2014 15/10/2014 €0.68
19/06/2014 15/07/2014 €0.57
19/03/2014 15/04/2014 €0.56
28/12/2012 15/01/2014 €0.57
2013 €2.25 2.74% 3.04%
19/09/2013 15/10/2013 €0.58
19/06/2013 15/07/2013 €0.56
12/03/2013 15/04/2013 €0.56
19/12/2012 15/01/2013 €0.55
2012 €2.19 13.47% 2.78%
19/09/2012 15/10/2012 €0.56
20/06/2012 16/07/2012 €0.56
15/03/2012 16/04/2012 €0.53
29/12/2011 17/01/2012 €0.54
2011 €1.93 0.52% 2.76%
20/09/2011 14/10/2011 €0.50
21/06/2011 15/07/2011 €0.47
15/03/2011 15/04/2011 €0.46
30/12/2010 18/01/2011 €0.50
2010 €1.94 2.65% 3.32%
21/09/2010 15/10/2010 €0.48
22/06/2010 15/07/2010 €0.51
15/03/2010 15/04/2010 €0.49
30/12/2009 15/01/2010 €0.46
2009 €1.89 13.86% 4.00%
21/09/2009 15/10/2009 €0.44
22/06/2009 15/07/2009 €0.46
17/03/2009 15/04/2009 €0.49
30/12/2008 15/01/2009 €0.50
2008 €1.66 2.92% 3.73%
19/09/2008 15/10/2008 €0.48
20/06/2008 15/07/2008 €0.38
17/03/2008 15/04/2008 €0.39
28/12/2007 15/01/2008 €0.41
2007 €1.71 12.50% 3.05%
19/09/2007 15/10/2007 €0.43
20/06/2007 16/07/2007 €0.42
09/03/2007 16/04/2007 €0.42
28/12/2006 16/01/2007 €0.44
2006 €1.52 18.72% 2.36%
20/09/2006 16/10/2006 €0.46
21/06/2006 17/07/2006 €0.44
10/03/2006 30/03/2006 €0.16
29/12/2005 16/01/2006 €0.46
2005 €1.87 16.15% 3.64%
23/11/2005 20/12/2005 €0.17
21/09/2005 14/10/2005 €0.46
21/06/2005 15/07/2005 €0.46
14/03/2005 15/04/2005 €0.39
30/12/2004 17/01/2005 €0.39
2004 €1.61 8.52% 4.20%
22/09/2004 15/10/2004 €0.41
22/06/2004 15/07/2004 €0.40
22/03/2004 15/04/2004 €0.41
30/12/2003 15/01/2004 €0.39
2003 €1.76 14.56% 5.78%
23/09/2003 15/10/2003 €0.42
23/06/2003 15/07/2003 €0.43
25/03/2003 15/04/2003 €0.45
30/12/2002 15/01/2003 €0.46
2002 €2.06 2.37% 7.68%
24/09/2002 15/10/2002 €0.49
21/06/2002 15/07/2002 €0.48
21/03/2002 15/04/2002 €0.55
28/12/2001 15/01/2002 €0.54
2001 €2.11 8.76% 8.14%
03/10/2001 15/10/2001 €0.53
21/06/2001 16/07/2001 €0.55
21/03/2001 16/04/2001 €0.53
28/12/2000 15/01/2001 €0.50
2000 €1.94 19.02% 9.61%
28/09/2000 16/10/2000 €0.55
22/06/2000 14/07/2000 €0.48
22/03/2000 14/04/2000 €0.47
30/12/1999 14/01/2000 €0.44
1999 €1.63 5.84% 8.76%
04/10/1999 15/10/1999 €0.41
23/06/1999 15/07/1999 €0.43
23/03/1999 15/04/1999 €0.41
30/12/1998 15/01/1999 €0.38
1998 €1.54 4.76% 7.61%
23/09/1998 15/10/1998 €0.36
23/06/1998 15/07/1998 €0.39
23/03/1998 15/04/1998 €0.39
30/12/1997 15/01/1998 €0.40
1997 €1.47 11.36% 6.31%
23/09/1997 15/10/1997 €0.38
23/06/1997 15/07/1997 €0.38
21/03/1997 15/04/1997 €0.37
30/12/1996 15/01/1997 €0.34
1996 €1.32 6.45% 6.08%
24/09/1996 15/10/1996 €0.34
26/06/1996 15/07/1996 €0.33
21/03/1996 15/04/1996 €0.33
28/12/1995 12/01/1996 €0.32
1995 €1.24 7.46% 6.94%
21/09/1995 13/10/1995 €0.32
23/06/1995 14/07/1995 €0.30
20/03/1995 14/04/1995 €0.30
27/12/1994 13/01/1995 €0.32
1994 €1.34 2.29% 7.90%
20/09/1994 14/10/1994 €0.32
21/06/1994 15/07/1994 €0.32
21/03/1994 15/04/1994 €0.35
28/12/1993 14/01/1994 €0.35
1993 €1.31 11.02% 5.85%
20/09/1993 15/10/1993 €0.33
21/06/1993 15/07/1993 €0.34
09/03/1993 15/04/1993 €0.32
28/12/1992 15/01/1993 €0.32
1992 €1.18 3.28% 5.66%
21/09/1992 15/10/1992 €0.29
19/06/1992 15/07/1992 €0.28
23/03/1992 15/04/1992 €0.31
26/11/1991 01/02/1992 €0.30
1991 €1.22 7.96% 8.60%
19/09/1991 15/10/1991 €0.32
25/06/1991 15/07/1991 €0.32
25/03/1991 15/04/1991 €0.30
26/12/1990 15/01/1991 €0.28
1990 €1.13 0.00% 10.76%
19/09/1990 15/10/1990 €0.27
19/06/1990 16/07/1990 €0.28
20/03/1990 16/04/1990 €0.29
27/12/1989 16/01/1990 €0.29

Frequently asked questions

When does Federal Realty Investment Trust Aktie pay dividends?

Federal Realty Investment Trust Aktie pays dividends in October, January, April and July.

How often does Federal Realty Investment Trust Aktie pay dividends?

Federal Realty Investment Trust Aktie pays dividends quarterly.

What percentage of dividends does Federal Realty Investment Trust Aktie pay?

The dividend yield is currently 4.04%, and payouts have decreased by 1.08% over the past 3 years.

When were the most recent dividend payment dates for Federal Realty Investment Trust Aktie?

The most recent payment was made on 15/07/2026. Previous payments were made on: 15/04/2026, 15/01/2026 and 15/10/2025.

When did you need to hold Federal Realty Investment Trust Aktie in your portfolio to receive the latest dividend?

If you held Federal Realty Investment Trust Aktie in your portfolio on 01/07/2026, you received the payout.

How much was the dividend from Federal Realty Investment Trust Aktie in 2025?

In 2025, Federal Realty Investment Trust Aktie paid €3.96 in dividends.

How much was the dividend from Federal Realty Investment Trust Aktie in 2024?

In 2024, Federal Realty Investment Trust Aktie paid €4.04 in dividends.

When is the ex-dividend date for the next Federal Realty Investment Trust Aktie dividend?

To receive the next dividend, Federal Realty Investment Trust Aktie must be in your portfolio on 01/10/2026.

How much is the next dividend from Federal Realty Investment Trust Aktie?

On 15/10/2026, €1.01 per share is expected to be paid as a dividend.

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