Titan International Logo
US88830M1027
886485
TWI

Titan International

Dividend yield TTM
0.00%
€0.00/share
Dividend growth (CAGR 5Y)
-
Next dividend
It is unlikely that any further dividends will be paid.

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Historical dividends

In 2020, Titan International has already paid €0.00907 in dividends. The last payout was in April 2020.

Tools for dividend investors

Dividend metrics Metrics

All metrics All
Metric Value
Price
€6.15
Yield
0.00%
Interval
None
CAGR 3Y
-
CAGR 5Y
-
CAGR 10Y
-

All dividend data

Titan International has not paid a dividend in the last 3 years. It is therefore likely that no further dividends will be paid.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2020 €0.00907 48.96% 0.23%
30/03/2020 15/04/2020 €0.00459
30/12/2019 15/01/2020 €0.00448
2019 €0.0178 6.41% 0.55%
27/09/2019 15/10/2019 €0.00453
27/06/2019 15/07/2019 €0.00444
28/03/2019 15/04/2019 €0.00442
28/12/2018 15/01/2019 €0.00438
2018 €0.0167 7.22% 0.41%
27/09/2018 15/10/2018 €0.00432
28/06/2018 16/07/2018 €0.00427
28/03/2018 16/04/2018 €0.00404
28/12/2017 16/01/2018 €0.00407
2017 €0.018 0.55% 0.17%
28/09/2017 13/10/2017 €0.00423
28/06/2017 14/07/2017 €0.00436
29/03/2017 14/04/2017 €0.00471
28/12/2016 13/01/2017 €0.0047
2016 €0.0181 0.89% 0.17%
28/09/2016 14/10/2016 €0.00456
28/06/2016 15/07/2016 €0.00453
29/03/2016 15/04/2016 €0.00443
29/12/2015 15/01/2016 €0.00458
2015 €0.0179 20.48% 0.49%
28/09/2015 15/10/2015 €0.00439
26/06/2015 15/07/2015 €0.00457
27/03/2015 15/04/2015 €0.00468
29/12/2014 15/01/2015 €0.0043
2014 €0.0149 1.46% 0.17%
26/09/2014 15/10/2014 €0.0039
26/06/2014 15/07/2014 €0.00369
27/03/2014 15/04/2014 €0.00362
27/12/2013 15/01/2014 €0.00368
2013 €0.0151 3.82% 0.12%
26/09/2013 15/10/2013 €0.0037
26/06/2013 15/07/2013 €0.00383
26/03/2013 15/04/2013 €0.00383
27/12/2012 15/01/2013 €0.00375
2012 €0.0157 9.55% 0.10%
26/09/2012 15/10/2012 €0.00386
27/06/2012 16/07/2012 €0.00408
28/03/2012 16/04/2012 €0.00382
28/12/2011 16/01/2012 €0.00395
2011 €0.0143 1.92% 0.10%
28/09/2011 15/10/2011 €0.00361
28/06/2011 15/07/2011 €0.00353
29/03/2011 15/04/2011 €0.00346
29/12/2010 14/01/2011 €0.00374
2010 €0.0146 0.90% 0.10%
28/09/2010 15/10/2010 €0.00357
28/06/2010 15/07/2010 €0.00388
29/03/2010 15/04/2010 €0.00369
29/12/2009 15/01/2010 €0.00348
2009 €0.0145 8.38% 0.26%
28/09/2009 15/10/2009 €0.00335
26/06/2009 15/07/2009 €0.00354
27/03/2009 15/04/2009 €0.00379
29/12/2008 15/01/2009 €0.00381
2008 €0.0134 9.11% 0.23%
26/09/2008 15/10/2008 €0.00369
26/06/2008 15/07/2008 €0.00314
27/03/2008 15/04/2008 €0.00317
27/12/2007 15/01/2008 €0.00337
2007 €0.0147 8.97% 0.09%
26/09/2007 15/10/2007 €0.00352
27/06/2007 16/07/2007 €0.00363
28/03/2007 16/04/2007 €0.00369
27/12/2006 12/01/2007 €0.00387
2006 €0.0162 1.06% 0.13%
27/09/2006 16/10/2006 €0.00399
28/06/2006 14/07/2006 €0.00395
29/03/2006 17/04/2006 €0.00409
28/12/2005 13/01/2006 €0.00413
2005 €0.016 1.36% 0.14%
28/09/2005 14/10/2005 €0.00414
28/06/2005 15/07/2005 €0.00415
29/03/2005 15/04/2005 €0.00388
29/12/2004 14/01/2005 €0.00382
2004 €0.0162 10.54% 0.18%
28/09/2004 15/10/2004 €0.00401
28/06/2004 15/07/2004 €0.00405
29/03/2004 15/04/2004 €0.00418
29/12/2003 15/01/2004 €0.00397
2003 €0.0181 15.29% 0.93%
26/09/2003 15/10/2003 €0.00429
26/06/2003 15/07/2003 €0.00446
27/03/2003 15/04/2003 €0.00463
27/12/2002 15/01/2003 €0.00474
2002 €0.0214 51.34% 2.10%
26/09/2002 15/10/2002 €0.0051
26/06/2002 15/07/2002 €0.00498
26/03/2002 15/04/2002 €0.00568
27/12/2001 15/01/2002 €0.00563
2001 €0.044 31.31% 1.03%
26/09/2001 15/10/2001 €0.0055
27/06/2001 13/07/2001 €0.00586
28/03/2001 12/04/2001 €0.0168
27/12/2000 12/01/2001 €0.0158
2000 €0.064 6.79% 1.77%
27/09/2000 13/10/2000 €0.0175
28/06/2000 14/07/2000 €0.016
29/03/2000 14/04/2000 €0.0157
29/12/1999 14/01/2000 €0.0148
1999 €0.0599 40.19% 1.16%
28/09/1999 15/10/1999 €0.0138
28/06/1999 15/07/1999 €0.0147
28/06/1999 13/07/1999 €0.00983
29/03/1999 15/04/1999 €0.0112
29/12/1998 15/01/1999 €0.0104
1998 €0.0427 1.74% 0.66%
28/09/1998 15/10/1998 €0.00985
26/06/1998 15/07/1998 €0.0109
27/03/1998 15/04/1998 €0.0109
29/12/1997 15/01/1998 €0.0111
1997 €0.042 9.68% 0.29%
26/09/1997 15/10/1997 €0.0107
26/06/1997 15/07/1997 €0.0109
26/03/1997 15/04/1997 €0.0106
27/12/1996 15/01/1997 €0.00982
1996 €0.0383 14.02% 0.47%
26/09/1996 15/10/1996 €0.00963
26/06/1996 15/07/1996 €0.00955
27/03/1996 15/04/1996 €0.00968
27/12/1995 15/01/1996 €0.00945
1995 €0.0336 86.46% 0.33%
27/07/1995 15/09/1995 €0.0119
28/06/1995 14/07/1995 €0.0113
09/02/1995 15/03/1995 €0.00611
23/12/1994 16/01/1995 €0.00429
1994 €0.018 297.79% 0.22%
26/09/1994 14/10/1994 €0.00424
24/06/1994 15/07/1994 €0.00431
11/04/1994 15/04/1994 €0.00469
27/12/1993 14/01/1994 €0.00478
1993 €0.00453 0.00% 0.06%
15/10/1993 14/10/1993 €0.00453

Frequently asked questions

When were the most recent dividend payment dates for Titan International?

The most recent payment was made on 15/04/2020. Previous payments were made on: 15/01/2020.

When did you need to hold Titan International in your portfolio to receive the latest dividend?

If you held Titan International in your portfolio on 30/03/2020, you received the payout.

When is the next dividend from Titan International expected?

As Titan International has not paid a dividend in the last 3 years, it is unlikely to pay another dividend.

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