American International Group (NYSE: AIG) currently pays an annual dividend of $2.05 per share, offering a dividend yield of 2.13%. The next payout of $0.45 per share is set for 06/27/2025, with shareholders needing to own the stock before the ex-dividend date on 06/13/2025 to qualify.
With 2 consecutive years of dividend growth, American International Group has steadily increased its payout at an average annual rate of 11.49%, demonstrating a consistent commitment to rewarding investors.
Ex-Dividend Date |
Amount |
Adj. Amount |
Record Date |
Pay Date |
06/13/2025 |
$0.45
|
$0.45
|
06/13/2025 |
06/27/2025 |
03/17/2025 |
$0.40
|
$0.40
|
03/17/2025 |
03/31/2025 |
12/16/2024 |
$0.40
|
$0.40
|
12/16/2024 |
12/30/2024 |
09/16/2024 |
$0.40
|
$0.40
|
09/16/2024 |
09/30/2024 |
06/14/2024 |
$0.40
|
$0.40
|
06/14/2024 |
06/28/2024 |
03/13/2024 |
$0.36
|
$0.36
|
03/14/2024 |
03/28/2024 |
12/13/2023 |
$0.36
|
$0.36
|
12/14/2023 |
12/28/2023 |
09/14/2023 |
$0.36
|
$0.36
|
09/15/2023 |
09/29/2023 |
06/15/2023 |
$0.36
|
$0.36
|
06/16/2023 |
06/30/2023 |
03/16/2023 |
$0.32
|
$0.32
|
03/17/2023 |
03/31/2023 |
12/14/2022 |
$0.32
|
$0.32
|
12/15/2022 |
12/29/2022 |
09/15/2022 |
$0.32
|
$0.32
|
09/16/2022 |
09/30/2022 |
06/15/2022 |
$0.32
|
$0.32
|
06/16/2022 |
06/30/2022 |
03/16/2022 |
$0.32
|
$0.32
|
03/17/2022 |
03/31/2022 |
12/15/2021 |
$0.32
|
$0.32
|
12/16/2021 |
12/30/2021 |
09/15/2021 |
$0.32
|
$0.32
|
09/16/2021 |
09/30/2021 |
06/14/2021 |
$0.32
|
$0.32
|
06/15/2021 |
06/29/2021 |
03/15/2021 |
$0.32
|
$0.32
|
03/16/2021 |
03/30/2021 |
12/11/2020 |
$0.32
|
$0.32
|
12/14/2020 |
12/28/2020 |
09/16/2020 |
$0.32
|
$0.32
|
09/17/2020 |
09/30/2020 |
06/12/2020 |
$0.32
|
$0.32
|
06/15/2020 |
06/29/2020 |
03/13/2020 |
$0.32
|
$0.32
|
03/16/2020 |
03/30/2020 |
12/11/2019 |
$0.32
|
$0.32
|
12/12/2019 |
12/26/2019 |
09/16/2019 |
$0.32
|
$0.32
|
09/17/2019 |
09/30/2019 |
06/13/2019 |
$0.32
|
$0.32
|
06/14/2019 |
06/28/2019 |
03/14/2019 |
$0.32
|
$0.32
|
03/15/2019 |
03/29/2019 |
12/11/2018 |
$0.32
|
$0.32
|
12/12/2018 |
12/26/2018 |
09/14/2018 |
$0.32
|
$0.32
|
09/17/2018 |
09/28/2018 |
06/13/2018 |
$0.32
|
$0.32
|
06/14/2018 |
06/28/2018 |
03/14/2018 |
$0.32
|
$0.32
|
03/15/2018 |
03/29/2018 |
12/07/2017 |
$0.32
|
$0.32
|
12/08/2017 |
12/22/2017 |
09/14/2017 |
$0.32
|
$0.32
|
09/15/2017 |
09/29/2017 |
06/12/2017 |
$0.32
|
$0.32
|
06/14/2017 |
06/28/2017 |
03/13/2017 |
$0.32
|
$0.32
|
03/15/2017 |
03/29/2017 |
12/06/2016 |
$0.32
|
$0.32
|
12/08/2016 |
12/22/2016 |
09/13/2016 |
$0.32
|
$0.32
|
09/15/2016 |
09/29/2016 |
06/09/2016 |
$0.32
|
$0.32
|
06/13/2016 |
06/27/2016 |
03/10/2016 |
$0.32
|
$0.32
|
03/14/2016 |
03/28/2016 |
12/03/2015 |
$0.28
|
$0.28
|
12/07/2015 |
12/21/2015 |
09/10/2015 |
$0.28
|
$0.28
|
09/14/2015 |
09/28/2015 |
06/09/2015 |
$0.13
|
$0.13
|
06/11/2015 |
06/25/2015 |
* Amounts are shown in the stock exchange currency (USD) for convenience