Home Stocks Navin Fluorine International Ltd. Dividend

Navin Fluorine International Ltd. Dividend

NAVINFLUOR LOGO
Latest Dividend: NAVINFLUOR has declared an Interim Dividend of Rs. 5.00 for the financial year 2021-22. The Record Date for determining entitlement of shareholders to dividend is November 02, 2021.

Dividend Info

Navin Fluorine International Ltd. has a good dividend-paying record. The company typically pays two dividends per year (excluding specials), and it has consistently declared dividends for the last five years.

On October 19, 2021, NAVINFLUOR, declared an Interim Dividend of Rs. 5.00 per share on the equity shares of the face value of Rs. 2/- each for the fiscal year 2021-22.

The Record Date for determining the entitlement of shareholders to the dividend is November 02, 2021. Additionally, the Dividend payment would be made on/or before November 18, 2021.

Key Metrics

The below chart shows the full dividend history for Navin Fluorine International Ltd.

Below are the historical dividend data for NAVINFLUOR since 2001

AnnouncementEx-DateTypeDividendDividend %Remarks
07/05/200428/06/2004Final2.0020.00Right Issue of Equity Shares
30/05/200524/06/2005Final2.0020.00AGM
24/05/200626/05/2006Final3.0030.00
04/05/200714/06/2007Final4.0040.00AGM
05/05/200812/06/2008Final4.0040.00AGM
22/10/200806/11/2008Interim5.0050.00
04/05/200904/06/2009Final5.0050.00
27/10/200912/11/2009Interim6.5065.00
29/04/201011/06/2010Final7.5075.00
20/10/201011/11/2010Interim6.5065.00
29/04/201114/06/2011Final8.5085.00
19/10/201102/11/2011Interim8.5085.00
30/04/201207/06/2012Final6.6566.50
15/10/201229/10/2012Interim7.5075.00
30/04/201313/06/2013Final7.5075.00
23/10/201307/11/2013Interim7.5075.00
28/04/201412/06/2014Final8.5085.00
20/10/201405/11/2014Interim7.5075.00
28/04/201519/06/2015Final8.5085.00
27/10/201506/11/2015Interim10.00100.00
02/05/201615/07/2016Final11.00110.00
21/10/201604/11/2016Special7.5075.00Special Dividend
24/10/201604/11/2016Interim11.00110.00
02/05/201716/06/2017Final13.00130.00
27/10/201708/11/2017Interim3.40170.00
08/05/201813/07/2018Final3.60180.00
09/05/201813/07/2018Special3.00150.00Special Dividend
30/10/201814/11/2018Interim3.80190.00
06/05/201907/06/2019Final4.00200.00
23/10/201905/11/2019Interim4.00200.00
25/02/202005/03/2020Interim4.00200.00
16/06/202007/08/2020Final3.00150.00
28/10/202010/11/2020Interim5.00250.00
07/05/202109/07/2021Final6.00300.00
19/10/202101/11/2021Interim5.00250.00
∑ = 213.45

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