Principal Financial Group...

85.11
0.74 (0.88%)
At close: Apr 01, 2025, 3:59 PM
85.30
0.22%
After-hours: Apr 01, 2025, 06:36 PM EDT

Dividends

PFG has a dividend yield of 3.55% and paid $3.6 per share in the past year. The dividend is paid once per quarter and the last ex-dividend date was Mar 12, 2025.
3.55%
3.6
Mar 12, 2025
Quarterly
53.89%
8.7%

Dividends History

Ex-Dividend Date Cash Amount Declaration Date Record Date Pay Date
Mar 12, 2025 $0.750 Feb 6, 2025 Mar 12, 2025 Mar 28, 2025
Dec 2, 2024 $0.730 Oct 23, 2024 Dec 2, 2024 Dec 18, 2024
Sep 5, 2024 $0.720 Oct 23, 2024 Sep 5, 2024 Dec 18, 2024
Jun 3, 2024 $0.710 Apr 25, 2024 Jun 3, 2024 Jun 27, 2024
Mar 11, 2024 $0.690 Feb 9, 2024 Mar 12, 2024 Mar 28, 2024
Nov 30, 2023 $0.670 Oct 26, 2023 Dec 1, 2023 Dec 20, 2023
Sep 6, 2023 $0.650 Jul 27, 2023 Sep 7, 2023 Sep 29, 2023
May 31, 2023 $0.640 Apr 27, 2023 Jun 1, 2023 Jun 30, 2023
Mar 14, 2023 $0.640 Jan 30, 2023 Mar 15, 2023 Mar 31, 2023
Nov 30, 2022 $0.640 Oct 27, 2022 Dec 1, 2022 Dec 19, 2022
Sep 7, 2022 $0.640 Aug 8, 2022 Sep 8, 2022 Sep 30, 2022
Jun 1, 2022 $0.640 Apr 28, 2022 Jun 2, 2022 Jun 24, 2022
Mar 9, 2022 $0.640 Feb 7, 2022 Mar 10, 2022 Mar 25, 2022
Nov 30, 2021 $0.640 Oct 26, 2021 Dec 1, 2021 Dec 21, 2021
Aug 31, 2021 $0.630 Jul 27, 2021 Sep 1, 2021 Sep 24, 2021
Jun 2, 2021 $0.610 Apr 26, 2021 Jun 3, 2021 Jun 25, 2021
Feb 26, 2021 $0.560 Jan 28, 2021 Mar 1, 2021 Mar 26, 2021
Dec 1, 2020 $0.560 Oct 26, 2020 Dec 2, 2020 Dec 21, 2020
Aug 31, 2020 $0.560 Jul 27, 2020 Sep 1, 2020 Sep 25, 2020
May 29, 2020 $0.560 Apr 24, 2020 Jun 1, 2020 Jun 26, 2020
Feb 28, 2020 $0.560 Jan 28, 2020 Mar 2, 2020 Mar 27, 2020
Dec 2, 2019 $0.550 Oct 23, 2019 Dec 3, 2019 Dec 27, 2019
Sep 4, 2019 $0.550 Jul 24, 2019 Sep 5, 2019 Sep 27, 2019
May 31, 2019 $0.540 Apr 25, 2019 Jun 3, 2019 May 7, 2019
Mar 1, 2019 $0.540 Jan 28, 2019 Mar 4, 2019 Mar 29, 2019
Nov 30, 2018 $0.540 Oct 24, 2018 Dec 3, 2018 Dec 28, 2018
Sep 5, 2018 $0.530 Jul 24, 2018 Sep 6, 2018 Sep 28, 2018
Jun 1, 2018 $0.520 Apr 25, 2018 Jun 4, 2018 Jun 29, 2018
Mar 2, 2018 $0.510 Jan 26, 2018 Mar 5, 2018 Mar 29, 2018
Dec 1, 2017 $0.490 Oct 25, 2017 Dec 4, 2017 Dec 28, 2017
Aug 30, 2017 $0.470 Jul 28, 2017 Sep 1, 2017 Sep 29, 2017
Jun 1, 2017 $0.460 May 2, 2017 Jun 5, 2017 Jun 30, 2017
Mar 2, 2017 $0.450 Jan 31, 2017 Mar 6, 2017 Mar 31, 2017
Dec 1, 2016 $0.430 Oct 28, 2016 Dec 5, 2016 Dec 27, 2016
Aug 31, 2016 $0.410 Jul 29, 2016 Sep 2, 2016 Sep 30, 2016
Jun 2, 2016 $0.390 Apr 28, 2016 Jun 6, 2016 Jun 24, 2016
Mar 3, 2016 $0.380 Feb 1, 2016 Mar 7, 2016 Mar 25, 2016
Dec 3, 2015 $0.380 Oct 22, 2015 Dec 7, 2015 Dec 28, 2015
Sep 2, 2015 $0.380 Jul 23, 2015 Sep 4, 2015 Sep 25, 2015
Jun 4, 2015 $0.380 Apr 24, 2015 Jun 8, 2015 Jun 26, 2015
Mar 5, 2015 $0.360 Jan 30, 2015 Mar 9, 2015 Mar 27, 2015
Dec 4, 2014 $0.340 Oct 24, 2014 Dec 8, 2014 Dec 26, 2014
Sep 4, 2014 $0.340 Jul 25, 2014 Sep 8, 2014 Sep 26, 2014
Jun 5, 2014 $0.320 Apr 25, 2014 Jun 9, 2014 Jun 27, 2014
Mar 6, 2014 $0.280 Feb 3, 2014 Mar 10, 2014 Mar 28, 2014
Dec 5, 2013 $0.260 Oct 25, 2013 Dec 9, 2013 Dec 27, 2013
Sep 3, 2013 $0.260 Jul 26, 2013 Sep 5, 2013 Sep 27, 2013
May 30, 2013 $0.230 Apr 25, 2013 Jun 3, 2013 Jun 28, 2013
Mar 7, 2013 $0.230 Feb 4, 2013 Mar 11, 2013 Mar 29, 2013
Dec 6, 2012 $0.210 Oct 25, 2012 Dec 10, 2012 Dec 28, 2012
Sep 4, 2012 $0.210 Aug 21, 2012 Sep 6, 2012 Sep 28, 2012
May 31, 2012 $0.180 May 23, 2012 Jun 4, 2012 Jun 29, 2012
Mar 8, 2012 $0.180 Mar 1, 2012 Mar 12, 2012 Mar 30, 2012
Nov 8, 2011 $0.700 Oct 28, 2011 Nov 10, 2011 Dec 2, 2011
Nov 17, 2010 $0.550 Nov 3, 2010 Nov 19, 2010 Dec 3, 2010
Nov 10, 2009 $0.500 Oct 27, 2009 Nov 13, 2009 Dec 4, 2009
Nov 12, 2008 $0.450 Oct 13, 2008 Nov 14, 2008 Dec 5, 2008
Nov 14, 2007 $0.900 Oct 29, 2007 Nov 16, 2007 Dec 7, 2007
Nov 20, 2006 $0.800 Nov 7, 2006 Nov 22, 2006 Dec 15, 2006
Nov 15, 2005 $0.650 Nov 2, 2005 Nov 17, 2005 Dec 16, 2005
Nov 9, 2004 $0.550 Oct 22, 2004 Nov 12, 2004 Dec 17, 2004
Nov 5, 2003 $0.450 Oct 24, 2003 Nov 7, 2003 Dec 8, 2003
Nov 6, 2002 $0.250 Oct 25, 2002 Nov 8, 2002 Dec 9, 2002
* Dividend amounts are adjusted for stock splits when applicable.