Realty Income Corporation (FRA:RY6)
Germany flag Germany · Delayed Price · Currency is EUR
56.42
-0.31 (-0.55%)
Last updated: Mar 5, 2026, 9:32 AM CET

Realty Income Dividend Information

Realty Income has an annual dividend of €2.80 per share, with a yield of 4.93%. The dividend is paid every month and the last ex-dividend date was Feb 27, 2026.

Dividend Yield
4.93%
Annual Dividend
€2.80
Ex-Dividend Date
Feb 27, 2026
Payout Frequency
Monthly
Payout Ratio
275.92%
Dividend Growth
-4.94%

Dividend History

Ex-Div Date AmountRecord DatePay Date
2026-02-27€0.228912026-02-272026-03-13
2026-01-30€0.226292026-01-302026-02-13
2025-12-31€0.229532025-12-312026-01-15
2025-11-28€0.232362025-11-282025-12-15
2025-10-31€0.233062025-10-312025-11-14
2025-10-01€0.229692025-10-012025-10-15
2025-09-02€0.229862025-09-022025-09-15
2025-08-01€0.235162025-08-012025-08-15
2025-07-01€0.229052025-07-012025-07-15
2025-06-02€0.236632025-06-022025-06-13
2025-05-01€0.236662025-05-012025-05-15
2025-04-01€0.248422025-04-012025-04-15
2025-03-03€0.257572025-03-032025-03-14
2025-02-03€0.253992025-02-032025-02-14
2025-01-02€0.2552025-01-022025-01-15
2024-12-02€0.249752024-12-022024-12-13
2024-11-01€0.242682024-11-012024-11-15
2024-10-01€0.236252024-10-012024-10-15
2024-09-03€0.23772024-09-032024-09-13
2024-08-01€0.243012024-08-012024-08-15
2024-07-01€0.245462024-07-012024-07-15
2024-06-03€0.242052024-06-032024-06-14
2024-04-30€0.239862024-05-012024-05-15
2024-03-28€0.237522024-04-012024-04-15
2024-02-29€0.236752024-03-012024-03-15
2024-01-31€0.236672024-02-012024-02-15
2023-12-29€0.231572024-01-022024-01-12
2023-11-30€0.233422023-12-012023-12-15
2023-10-31€0.241282023-11-012023-11-15
2023-09-29€0.242282023-10-022023-10-13
2023-08-31€0.233682023-09-012023-09-15
2023-07-31€0.231712023-08-012023-08-15
2023-06-30€0.234682023-07-032023-07-14
2023-05-31€0.237862023-06-012023-06-15
2023-04-28€0.231362023-05-012023-05-15
2023-03-31€0.233842023-04-032023-04-14
2023-02-28€0.240222023-03-012023-03-15
2023-01-31€0.228642023-02-012023-02-15
2022-12-30€0.233092023-01-032023-01-13
2022-11-30€0.239842022-12-012022-12-15
2022-10-31€0.249412022-11-012022-11-15
2022-09-30€0.25392022-10-032022-10-14
2022-08-31€0.247082022-09-012022-09-15
2022-07-29€0.243562022-08-012022-08-15
2022-06-30€0.236392022-07-012022-07-15
2022-05-31€0.229092022-06-012022-06-15
2022-04-29€0.234722022-05-022022-05-13
2022-03-31€0.221312022-04-012022-04-15
2022-02-28€0.218792022-03-012022-03-15
2022-01-31€0.220842022-02-012022-02-15
2021-12-31€0.217712022-01-032022-01-14
2021-11-30€0.218282021-12-012021-12-15
2021-11-01€0.204092021-11-022021-11-15
2021-09-30€0.203152021-10-012021-10-15
2021-08-31€0.199562021-09-012021-09-15
2021-07-30€0.19812021-08-022021-08-13
2021-06-30€0.19782021-07-012021-07-15
2021-05-28€0.19272021-06-012021-06-15
2021-04-30€0.193952021-05-032021-05-14
2021-03-31€0.200382021-04-012021-04-15
* Dividend amounts are adjusted for stock splits when applicable.

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