Albany International Corp. (AIN)

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88.91 +0.425 (0.48%)

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AIN Dividends

Albany International Corp. has an annual dividend yield of 1.14%, the payout is currently $1.04 per share. The dividend is paid out quarterly, every three months. The most recent ex-dividend date is Mar 14, 2024.

Dividend Yield (TTM)

1.14%

Annual Dividend (FWD)

$1.04

Ex Dividend Date

Mar 14, 2024

Payment Frequency

Quarterly

Dividend Growth

22 Years

Payout Ratio

28.04%

Dividend History

Ex-Dividend DatePayment AmountPayment Date
Mar 14, 2024$0.26Apr 05, 2024
Dec 18, 2023$0.26Jan 08, 2024
Sep 01, 2023$0.25Oct 06, 2023
Jun 06, 2023$0.25Jul 10, 2023
Mar 16, 2023$0.25Apr 10, 2023
Dec 23, 2022$0.25Jan 09, 2023
Sep 02, 2022$0.21Oct 07, 2022
Jun 06, 2022$0.21Jul 08, 2022
Mar 18, 2022$0.21Apr 07, 2022
Dec 27, 2021$0.21Jan 10, 2022
Sep 03, 2021$0.20Oct 07, 2021
Jun 04, 2021$0.20Jul 08, 2021
Mar 18, 2021$0.20Apr 08, 2021
Dec 21, 2020$0.20Jan 08, 2021
Sep 04, 2020$0.19Oct 07, 2020
Jun 04, 2020$0.19Jul 10, 2020
Mar 19, 2020$0.19Apr 08, 2020
Dec 20, 2019$0.19Jan 08, 2020
Sep 06, 2019$0.18Oct 07, 2019
Jun 06, 2019$0.18Jul 08, 2019
Mar 15, 2019$0.18Apr 05, 2019
Dec 24, 2018$0.18Jan 08, 2019
Sep 07, 2018$0.17Oct 05, 2018
Jun 06, 2018$0.17Jul 09, 2018
Mar 16, 2018$0.17Apr 06, 2018
Dec 22, 2017$0.17Jan 08, 2018
Sep 08, 2017$0.17Oct 06, 2017
Jun 05, 2017$0.17Jul 10, 2017
Mar 16, 2017$0.17Apr 07, 2017
Dec 22, 2016$0.17Jan 09, 2017
Sep 16, 2016$0.17Oct 07, 2016
Jun 03, 2016$0.17Jul 08, 2016
Mar 17, 2016$0.17Apr 07, 2016
Dec 18, 2015$0.17Jan 08, 2016
Sep 10, 2015$0.17Oct 07, 2015
Jun 03, 2015$0.17Jul 08, 2015
Mar 19, 2015$0.16Apr 07, 2015
Dec 19, 2014$0.16Jan 08, 2015
Sep 04, 2014$0.16Oct 07, 2014
Jun 04, 2014$0.16Jul 08, 2014
Mar 20, 2014$0.15Apr 07, 2014
Dec 20, 2013$0.15Jan 08, 2014
Sep 05, 2013$0.15Oct 07, 2013
Jun 05, 2013$0.15Jul 08, 2013
Mar 05, 2013$0.14Apr 05, 2013
Dec 12, 2012$0.14Dec 21, 2012
Sep 06, 2012$0.14Oct 05, 2012
Jun 05, 2012$0.14Jul 09, 2012
Mar 01, 2012$0.13Apr 06, 2012
Dec 29, 2011$0.13Jan 10, 2012
Sep 06, 2011$0.13Oct 07, 2011
Jun 03, 2011$0.13Jul 08, 2011
Mar 02, 2011$0.12Apr 07, 2011
Dec 30, 2010$0.12Jan 10, 2011
Sep 09, 2010$0.12Oct 07, 2010
Jun 03, 2010$0.12Jul 08, 2010
Mar 03, 2010$0.12Apr 07, 2010
Dec 24, 2009$0.12Jan 08, 2010
Sep 03, 2009$0.12Oct 07, 2009
Jun 04, 2009$0.12Jul 08, 2009
Mar 12, 2009$0.12Apr 07, 2009
Dec 30, 2008$0.12Jan 08, 2009
Sep 04, 2008$0.12Oct 07, 2008
Jun 04, 2008$0.12Jul 08, 2008
Mar 12, 2008$0.11Apr 07, 2008
Dec 05, 2007$0.11Jan 08, 2008
Sep 06, 2007$0.11Oct 05, 2007
Jun 05, 2007$0.11Jul 09, 2007
Feb 27, 2007$0.10Apr 06, 2007
Dec 05, 2006$0.10Jan 08, 2007
Sep 06, 2006$0.10Oct 06, 2006
Jun 05, 2006$0.10Jul 10, 2006
Mar 10, 2006$0.09Apr 07, 2006
Dec 05, 2005$0.09Jan 09, 2006
Sep 06, 2005$0.09Oct 07, 2005
Jun 03, 2005$0.08Jul 08, 2005
Mar 10, 2005$0.08Apr 05, 2005
Nov 30, 2004$0.08Jan 05, 2005
Sep 01, 2004$0.08Oct 05, 2004
Jun 02, 2004$0.07Jul 06, 2004
Mar 04, 2004$0.07Apr 05, 2004
Dec 03, 2003$0.07Jan 05, 2004
Sep 03, 2003$0.07Oct 03, 2003
Jun 04, 2003$0.055Jul 03, 2003
Mar 06, 2003$0.055Apr 03, 2003
Dec 04, 2002$0.055Jan 03, 2003
Sep 04, 2002$0.05Oct 03, 2002
Jun 05, 2002$0.05Jul 03, 2002
Mar 07, 2002$0.05Apr 03, 2002
Dec 05, 2001$0.05Jan 04, 2002
Mar 11, 1998$0.100-
Dec 03, 1997$0.100-
Sep 03, 1997$0.100-
Jun 04, 1997$0.100-
Feb 19, 1997$0.100-
Dec 04, 1996$0.095-
Sep 04, 1996$0.095-
Jun 05, 1996$0.095-
Mar 13, 1996$0.095-
Nov 29, 1995$0.095-
Aug 30, 1995$0.095-
May 26, 1995$0.095-
Mar 14, 1995$0.084-
Nov 28, 1994$0.084-
Aug 29, 1994$0.084-
May 27, 1994$0.084-
Mar 08, 1994$0.083-
Dec 06, 1993$0.083-
Aug 30, 1993$0.083-
May 28, 1993$0.083-
Mar 09, 1993$0.083-
Dec 07, 1992$0.083-
Aug 31, 1992$0.083-
Jun 01, 1992$0.083-
Mar 10, 1992$0.083-
Dec 04, 1991$0.083-
Sep 03, 1991$0.083-
Jun 03, 1991$0.083-
Mar 04, 1991$0.083-
Dec 05, 1990$0.083-
Aug 31, 1990$0.083-
Jun 04, 1990$0.083-
Mar 05, 1990$0.083-
Dec 04, 1989$0.083-
Sep 01, 1989$0.071-
Jun 05, 1989$0.076-
Mar 06, 1989$0.076-
Dec 06, 1988$0.076-
Sep 02, 1988$0.063-
Jun 06, 1988$0.063-
Mar 04, 1988$0.063-
Dec 02, 1987$0.063-

* Priced have been adjusted for splits

Dividend Price and Growth Charts

Frequently Asked Questions

52 Week Price Range78.2 - 99.41
5 Year Yield Range0.88 - 1.94%
Forward Dividend Yield1.16%
3 Year Dividend Growth9.47%
5 Year Dividend Growth7.92%
10 Year Dividend Growth5.52%
Earnings Per Share3.55
PE Ratio25.04
ExchangeNYSE
CurrencyUSD
Volume77,946
Years Paying Dividends23 years