Iberdrola, S.A.

BME: IBE.MC

Stock price

19.43 EUR

(+Infinity%) NaN day

Diversified Utilities

Financial Performance

Share

5Y price score: 90

Help
The price score is a basic measure of the stock's performance
against the S&P 500 Index over a five-year period.
A score of 100 indicates that the stock did as well as the S&P 500 Index.
A score below 100 means the stock underperformed the index,
while a score above 100 means it outperformed the S&P 500.

10Y return: 281.6%

DATE RANGE:
Latest quarterly dividend amount:0.253
Current annual dividend yield:3.43%

%

EUR Per
Share

    15.0

    52-week range

    20.6

    19.435

    Set price notification

    Stock Splits

    DateNumeratorDenominatorSplit Type
    Jan 12, 20267473stock-split
    Jan 11, 201821stock-split
    Jan 12, 201621stock-split
    Jul 01, 201312stock-split
    Oct 08, 200741stock-split

    Latest Dividends

    Previous dividend
    Next dividend
    Status
    Paid
    Declared
    Type
    Semi-Annual
    Special
    Per share
    0.3
    0
    Declaration date
    Help
    Date when the company officially announced the dividend.
    -
    -
    Ex-dividend date
    Help
    Shown from the source record date field used for this dividends dataset.
    Tue, Jan 13, 2026
    Fri, May 29, 2026
    Pay date
    Help
    Date when the dividend is paid or scheduled to be paid to shareholders.
    Mon, Feb 02, 2026
    Mon, Jun 01, 2026

    Valuation

    Free Cash Flow Yield

    Help
    FCF Yield TTM = Trailing Twelve Months free cash flow per share / current market price per share

    1.4 %

    Dividend Yield TTM

    3.4 %

    Market cap

    131,339

    Price / Earnings TTM

    Help
    P/E TTM = current market price per share / Trailing Twelve Months diluted earnings per share

    20.7

    Price / Book TTM

    2.6

    PEG TTM

    Help
    Price/Earnings-to-Growth ratio = P/E TTM divided by most recent annual diluted earnings per share growth rate

    2.6

    Dividend History

    Declaration date
    Record date
    Payment date
    Adj. dividend
    Dividend
    Type
    Yield
    01
    -
    Fri, May 29, 2026
    Mon, Jun 01, 2026
    0
    0
    Special
    3.46%
    02
    -
    Fri, May 22, 2026
    Mon, Jun 01, 2026
    0
    0
    Irregular
    3.43%
    03
    -
    Tue, Jan 13, 2026
    Mon, Feb 02, 2026
    0.3
    0.3
    Semi-Annual
    3.62%
    04
    -
    Mon, Jul 07, 2025
    Thu, Jul 24, 2025
    0.4
    0.4
    Monthly
    3.86%
    05
    -
    Fri, May 23, 2025
    Mon, Jun 02, 2025
    0
    0
    Semi-Annual
    1.27%
    06
    -
    Mon, Jan 13, 2025
    Fri, Jan 31, 2025
    0.2
    0.2
    Semi-Annual
    3.85%
    07
    -
    Fri, Jul 05, 2024
    Mon, Jul 29, 2024
    0.3
    0.3
    Semi-Annual
    4.08%
    08
    -
    Wed, Jan 10, 2024
    Wed, Jan 31, 2024
    0.2
    0.2
    Semi-Annual
    3.89%
    09
    -
    Mon, Jul 10, 2023
    Fri, Jul 28, 2023
    0.3
    0.3
    Semi-Annual
    3.87%
    10
    -
    Fri, Apr 21, 2023
    Tue, May 02, 2023
    0
    0
    Special
    3.39%
    11
    -
    Mon, Jan 09, 2023
    Tue, Jan 31, 2023
    0.2
    0.2
    Semi-Annual
    3.64%
    12
    -
    Mon, Jul 11, 2022
    Tue, Aug 02, 2022
    0.2
    0.3
    Semi-Annual
    3.92%
    13
    -
    Fri, Jun 10, 2022
    Mon, Jun 20, 2022
    0
    0
    Special
    1.43%
    14
    -
    Tue, Jan 11, 2022
    Tue, Feb 01, 2022
    0.1
    0.2
    Semi-Annual
    3.66%
    15
    -
    Fri, Jul 09, 2021
    Thu, Jul 29, 2021
    0.2
    0.3
    Semi-Annual
    3.58%
    16
    -
    Wed, Jan 13, 2021
    Tue, Jan 26, 2021
    0.1
    0.2
    Semi-Annual
    2.88%
    17
    -
    Thu, Jul 09, 2020
    Wed, Jul 22, 2020
    0.2
    0.2
    Semi-Annual
    3.23%
    18
    -
    Fri, Jan 10, 2020
    Thu, Jan 23, 2020
    0.1
    0.2
    Semi-Annual
    3.61%
    19
    -
    Fri, Jul 05, 2019
    Thu, Jul 18, 2019
    0.2
    0.2
    Semi-Annual
    3.48%
    20
    -
    Thu, Jan 10, 2019
    Wed, Jan 23, 2019
    0.1
    0.2
    Semi-Annual
    4.25%