Dividend overview
Last dividend:
GBX 7.1 (30/04/2026)
Dividend yield:
7.13%
Next dividend:
GBX 7.1 (31/07/2026)
Ex-Dividend date:
02/07/2026
ISIN:
GB0030738271
Benchmark:
FTSE All Share
Trading on:
London Stock Exchange
Opening price:
510.00 p
Previous close:
510.00 p
Day High / Low:
510.00 p - 491.04 p
52 week High / Low:
578.00 p - 450.00 p
Volume:
26,714.00
Market capitalisation:
£ 364,486,476.98
Total assets:
N/A
Published NAV:
699.67 p
Premium + / Discount – (%):
-27.11%
Gross gearing:
19.52%
Last dividend:
GBX 7.1 (30/04/2026)
Dividend yield:
7.13%
Next dividend:
GBX 7.1 (31/07/2026)
Ex-Dividend date:
02/07/2026
Investing for longer increases the likelihood of positive returns. Over a period of 5 years or more, investments usually give you a higher return compared to cash savings. But investments can go down as well as up in value. So you could get back less than you put in.
Last dividend:
GBX 7.1 (30/04/2026)
Dividend yield:
7.13%
Next dividend:
GBX 7.1 (31/07/2026)
Ex-Dividend date:
02/07/2026
| Year End | Amount | Payment Date | Ex-Div Date | Record Date |
|---|---|---|---|---|
| 31-Dec-2026 | GBX 7.1 | 31-Jul-26 | 02-Jul-26 | N/A |
| GBX 7.1 | 30-Apr-26 | 09-Apr-26 | N/A | |
| GBX 14.02 | 30-Jan-26 | 02-Jan-26 | N/A | |
| 31-Dec-2025 | GBX 7.01 | 31-Oct-25 | 02-Oct-25 | N/A |
| GBX 7.01 | 31-Jul-25 | 03-Jul-25 | N/A | |
| GBX 7.01 | 30-Apr-25 | 10-Apr-25 | N/A | |
| GBX 7.01 | 31-Jan-25 | 02-Jan-25 | N/A | |
| 31-Dec-2024 | GBX 7.01 | 31-Jul-24 | 04-Jul-24 | N/A |
| GBX 7.01 | 30-Apr-24 | 11-Apr-24 | N/A | |
| GBX 7.01 | 31-Jan-24 | 04-Jan-24 | N/A | |
| 31-Dec-2023 | GBX 7.01 | 31-Oct-23 | 05-Oct-23 | N/A |
| GBX 6.95 | 31-Jul-23 | 06-Jul-23 | N/A | |
| GBX 6.79 | 28-Apr-23 | 06-Apr-23 | N/A | |
| GBX 6.62 | 31-Jan-23 | 05-Jan-23 | N/A | |
| 31-Dec-2022 | GBX 6.31 | 31-Oct-22 | 06-Oct-22 | N/A |
| GBX 6.05 | 29-Jul-22 | 07-Jul-22 | N/A | |
| GBX 5.65 | 29-Apr-22 | 07-Apr-22 | N/A | |
| GBX 0.527 | 28-Jan-22 | 06-Jan-22 | N/A | |
| 31-Dec-2021 | GBX 4.77 | 29-Oct-21 | 07-Oct-21 | N/A |
*This is an indication based on the market average. The fund’s actual transaction cost will be shown before you place a trade.
Account charges are not included
FE fundinfo Rating:
N/A
Share type:
Income
Dividend frequency:
No dividends
12 month dividend yield:
7.13%
Ex-Dividend date:
02/07/2026