Yum! Brands Inc.

151.16
2.87 (1.94%)
At close: Feb 20, 2025, 3:59 PM
150.96
-0.13%
After-hours: Feb 20, 2025, 06:30 PM EST

Dividends

Yum! Brands Inc. has an annual dividend of $2.84 per share, with a forward yield of 1.92%. The dividend is paid every 3 months and the last ex-dividend date was Feb 21, 2025.
1.92%
2.84
Feb 21, 2025
Quartely
54.41%
17.36%

Dividends History

Ex-Divid. Date Cash Amount Record Date Pay Date
Feb 21, 2025 0.710 Feb 21, 2025 Mar 7, 2025
Dec 2, 2024 0.670 Dec 2, 2024 Dec 13, 2024
Aug 27, 2024 0.670 Aug 27, 2024 Sep 6, 2024
May 24, 2024 0.670 May 28, 2024 Jun 7, 2024
Feb 20, 2024 0.670 Feb 21, 2024 Mar 8, 2024
Nov 27, 2023 0.605 Nov 28, 2023 Dec 8, 2023
Aug 28, 2023 0.605 Aug 29, 2023 Sep 8, 2023
May 26, 2023 0.605 May 30, 2023 Jun 9, 2023
Feb 21, 2023 0.605 Feb 22, 2023 Mar 10, 2023
Nov 23, 2022 0.570 Nov 25, 2022 Dec 9, 2022
Aug 26, 2022 0.570 Aug 29, 2022 Sep 9, 2022
May 26, 2022 0.570 May 30, 2022 Jun 10, 2022
Feb 17, 2022 0.570 Feb 18, 2022 Mar 11, 2022
Nov 24, 2021 0.500 Nov 26, 2021 Dec 10, 2021
Aug 26, 2021 0.500 Aug 27, 2021 Sep 10, 2021
May 27, 2021 0.500 May 28, 2021 Jun 11, 2021
Feb 11, 2021 0.500 Feb 12, 2021 Mar 12, 2021
Nov 24, 2020 0.470 Nov 25, 2020 Dec 11, 2020
Aug 25, 2020 0.470 Aug 26, 2020 Sep 11, 2020
May 28, 2020 0.470 May 29, 2020 Jun 12, 2020
Feb 13, 2020 0.470 Feb 14, 2020 Mar 6, 2020
Nov 20, 2019 0.420 Nov 21, 2019 Dec 6, 2019
Aug 16, 2019 0.420 Aug 19, 2019 Sep 6, 2019
May 15, 2019 0.420 May 16, 2019 Jun 7, 2019
Feb 13, 2019 0.420 Feb 14, 2019 Mar 8, 2019
Nov 23, 2018 0.360 Nov 26, 2018 Dec 7, 2018
Aug 17, 2018 0.360 Aug 20, 2018 Sep 7, 2018
May 15, 2018 0.360 May 16, 2018 Jun 8, 2018
Feb 13, 2018 0.360 Feb 14, 2018 Mar 9, 2018
Nov 14, 2017 0.300 Nov 15, 2017 Dec 8, 2017
Jul 12, 2017 0.300 Jul 14, 2017 Aug 4, 2017
Apr 11, 2017 0.300 Apr 14, 2017 May 5, 2017
Jan 11, 2017 0.300 Jan 13, 2017 Feb 3, 2017
Oct 17, 2016 0.367 Oct 19, 2016 Nov 4, 2016
Jul 13, 2016 0.331 Jul 15, 2016 Aug 5, 2016
Apr 13, 2016 0.331 Apr 15, 2016 May 6, 2016
Jan 13, 2016 0.331 Jan 15, 2016 Feb 5, 2016
Oct 14, 2015 0.331 Oct 16, 2015 Nov 6, 2015
Jul 15, 2015 0.295 Jul 17, 2015 Aug 7, 2015
Apr 8, 2015 0.295 Apr 10, 2015 May 1, 2015
Jan 14, 2015 0.295 Jan 16, 2015 Feb 6, 2015
Oct 15, 2014 0.295 Oct 17, 2014 Nov 7, 2014
Jul 9, 2014 0.266 Jul 11, 2014 Aug 1, 2014
Apr 9, 2014 0.266 Apr 11, 2014 May 2, 2014
Jan 15, 2014 0.266 Jan 17, 2014 Feb 7, 2014
Oct 9, 2013 0.266 Oct 11, 2013 Nov 1, 2013
Jul 10, 2013 0.241 Jul 12, 2013 Aug 2, 2013
Apr 10, 2013 0.241 Apr 12, 2013 May 3, 2013
Jan 9, 2013 0.241 Jan 11, 2013 Feb 1, 2013
Oct 10, 2012 0.241 Oct 12, 2012 Nov 2, 2012
Jul 11, 2012 0.205 Jul 13, 2012 Aug 3, 2012
Apr 11, 2012 0.205 Apr 13, 2012 May 4, 2012
Jan 11, 2012 0.205 Jan 13, 2012 Feb 3, 2012
Oct 12, 2011 0.205 Oct 14, 2011 Nov 4, 2011
Jul 13, 2011 0.180 Jul 15, 2011 Aug 5, 2011
Apr 13, 2011 0.180 Apr 15, 2011 May 6, 2011
Jan 12, 2011 0.180 Jan 14, 2011 Feb 4, 2011
Oct 13, 2010 0.180 Oct 15, 2010 Nov 5, 2010
Jul 14, 2010 0.151 Jul 16, 2010 Aug 6, 2010
Apr 14, 2010 0.151 Apr 16, 2010 May 7, 2010
Jan 13, 2010 0.151 Jan 15, 2010 Feb 5, 2010
Oct 14, 2009 0.151 Oct 16, 2009 Nov 6, 2009
Jul 15, 2009 0.137 Jul 17, 2009 Aug 7, 2009
Apr 7, 2009 0.137 Apr 10, 2009 May 1, 2009
Jan 14, 2009 0.137 Jan 16, 2009 Feb 6, 2009
Oct 15, 2008 0.137 Oct 17, 2008 Nov 7, 2008
Jul 9, 2008 0.137 Jul 11, 2008 Aug 1, 2008
Apr 9, 2008 0.108 Apr 11, 2008 May 2, 2008
Jan 9, 2008 0.108 Jan 11, 2008 Feb 1, 2008
Oct 10, 2007 0.108 Oct 12, 2007 Nov 2, 2007
Jul 11, 2007 0.108 Jul 13, 2007 Aug 3, 2007
Mar 7, 2007 0.108 Mar 9, 2007 Mar 30, 2007
Jan 10, 2007 0.054 Jan 12, 2007 Feb 2, 2007
Oct 11, 2006 0.054 Oct 13, 2006 Nov 4, 2006
Jul 12, 2006 0.054 Jul 14, 2006 Aug 4, 2006
Apr 11, 2006 0.041 Apr 14, 2006 May 5, 2006
Jan 11, 2006 0.041 Jan 13, 2006 Feb 3, 2006
Oct 12, 2005 0.041 Oct 14, 2005 Nov 4, 2005
Jul 13, 2005 0.041 Jul 15, 2005 Aug 5, 2005
Apr 13, 2005 0.036 Apr 15, 2005 May 6, 2005
Jan 12, 2005 0.036 Jan 14, 2005 Feb 4, 2005
Oct 13, 2004 0.036 Oct 15, 2004 Nov 5, 2004
Jul 14, 2004 0.036 Jul 16, 2004 Aug 6, 2004
* Dividend amounts are adjusted for stock splits when applicable.