FY230.855p£10.2M paidFY22No dividend declaredFY210.36p£36.0M paidFY20—£0.0 paidFYInterimFinal (proposed)Total declaredCash paidSourceFY230.855p—0.855p£10.2MFY22No dividend declared—No dividend declared—FY21——0.36p£36.0MFY20———£0.0
Quarterly—XD: 12/07/2024Quarterly0.2565pXD: 11/07/2024Pay: 02/08/2024Quarterly0.2565pXD: 11/04/2024Pay: 03/05/2024Quarterly0.2565pXD: 18/01/2024Pay: 09/02/2024Quarterly0.2565pXD: 12/10/2023Pay: 27/10/2023Special0.171pXD: 25/05/2023Pay: 16/06/20230.171pXD: 20/04/2023Pay: 12/05/20230.171pXD: 23/03/2023Pay: 14/04/20230.171pXD: 16/02/2023Pay: 10/03/20230.171pXD: 16/02/2023Pay: 10/03/20230.171pXD: 19/01/2023Pay: 10/02/20230.171pXD: 05/01/2023Pay: 27/01/20230.171p0.1425pXD: 10/11/2022Pay: 02/12/20220.1425pXD: 13/10/2022Pay: 04/11/20220.1425pXD: 15/09/2022Pay: 07/10/20220.1425pXD: 11/08/2022Pay: 02/09/20220.1425pXD: 14/07/2022Pay: 05/08/20220.1425pXD: 16/06/2022Pay: 08/07/20220.1425pXD: 19/05/2022Pay: 10/06/20220.105pXD: 14/04/2022Pay: 06/05/20220.105pXD: 17/03/2022Pay: 08/04/20220.105pXD: 17/02/2022Pay: 11/03/2022—1.05pInterim0.2pXD: 07/10/2021Pay: 29/10/2021Ex-dividendPayment dateAmountType12/07/2024TBA—Quarterly11/07/202402/08/20240.2565pQuarterly11/04/202403/05/20240.2565pQuarterly18/01/202409/02/20240.2565pQuarterly12/10/202327/10/20230.2565pQuarterly25/05/202316/06/20230.171pSpecial20/04/202312/05/20230.171p—23/03/202314/04/20230.171p—16/02/202310/03/20230.171p—16/02/202310/03/20230.171p—19/01/202310/02/20230.171p—05/01/202327/01/20230.171p—TBATBA0.171p—10/11/202202/12/20220.1425p—13/10/202204/11/20220.1425p—15/09/202207/10/20220.1425p—11/08/202202/09/20220.1425p—14/07/202205/08/20220.1425p—16/06/202208/07/20220.1425p—19/05/202210/06/20220.1425p—14/04/202206/05/20220.105p—17/03/202208/04/20220.105p—17/02/202211/03/20220.105p—TBATBA——TBATBA1.05p—07/10/202129/10/20210.2pInterim
FY230.855p£10.2M paidFY22No dividend declaredFY210.36p£36.0M paidFY20—£0.0 paidFYInterimFinal (proposed)Total declaredCash paidSourceFY230.855p—0.855p£10.2MFY22No dividend declared—No dividend declared—FY21——0.36p£36.0MFY20———£0.0
Quarterly—XD: 12/07/2024Quarterly0.2565pXD: 11/07/2024Pay: 02/08/2024Quarterly0.2565pXD: 11/04/2024Pay: 03/05/2024Quarterly0.2565pXD: 18/01/2024Pay: 09/02/2024Quarterly0.2565pXD: 12/10/2023Pay: 27/10/2023Special0.171pXD: 25/05/2023Pay: 16/06/20230.171pXD: 20/04/2023Pay: 12/05/20230.171pXD: 23/03/2023Pay: 14/04/20230.171pXD: 16/02/2023Pay: 10/03/20230.171pXD: 16/02/2023Pay: 10/03/20230.171pXD: 19/01/2023Pay: 10/02/20230.171pXD: 05/01/2023Pay: 27/01/20230.171p0.1425pXD: 10/11/2022Pay: 02/12/20220.1425pXD: 13/10/2022Pay: 04/11/20220.1425pXD: 15/09/2022Pay: 07/10/20220.1425pXD: 11/08/2022Pay: 02/09/20220.1425pXD: 14/07/2022Pay: 05/08/20220.1425pXD: 16/06/2022Pay: 08/07/20220.1425pXD: 19/05/2022Pay: 10/06/20220.105pXD: 14/04/2022Pay: 06/05/20220.105pXD: 17/03/2022Pay: 08/04/20220.105pXD: 17/02/2022Pay: 11/03/2022—1.05pInterim0.2pXD: 07/10/2021Pay: 29/10/2021Ex-dividendPayment dateAmountType12/07/2024TBA—Quarterly11/07/202402/08/20240.2565pQuarterly11/04/202403/05/20240.2565pQuarterly18/01/202409/02/20240.2565pQuarterly12/10/202327/10/20230.2565pQuarterly25/05/202316/06/20230.171pSpecial20/04/202312/05/20230.171p—23/03/202314/04/20230.171p—16/02/202310/03/20230.171p—16/02/202310/03/20230.171p—19/01/202310/02/20230.171p—05/01/202327/01/20230.171p—TBATBA0.171p—10/11/202202/12/20220.1425p—13/10/202204/11/20220.1425p—15/09/202207/10/20220.1425p—11/08/202202/09/20220.1425p—14/07/202205/08/20220.1425p—16/06/202208/07/20220.1425p—19/05/202210/06/20220.1425p—14/04/202206/05/20220.105p—17/03/202208/04/20220.105p—17/02/202211/03/20220.105p—TBATBA——TBATBA1.05p—07/10/202129/10/20210.2pInterim