Purpose Global Bond Class (TSX: IGB)
Canada flag Canada · Delayed Price · Currency is CAD
18.31
+0.05 (0.27%)
Dec 24, 2024, 12:47 PM EST

IGB Dividend Information

Purpose Global Bond Class has an annual dividend of 0.87 CAD per share, with a yield of 4.75%. The dividend is paid every month and the next ex-dividend date is Dec 27, 2024.

Dividend Yield
4.75%
Annual Dividend
0.87 CAD
Ex-Dividend Date
Dec 27, 2024
Payout Frequency
Monthly
Payout Ratio
n/a
Dividend Growth
16.66%

Dividend History

Ex-Div Date AmountRecord DatePay Date
Nov 27, 20240.086 CADNov 27, 2024Dec 3, 2024
Oct 29, 20240.086 CADOct 29, 2024Nov 4, 2024
Sep 26, 20240.086 CADSep 26, 2024Oct 2, 2024
Aug 28, 20240.086 CADAug 28, 2024Sep 4, 2024
Jul 29, 20240.086 CADJul 29, 2024Aug 2, 2024
Jun 26, 20240.0729 CADJun 26, 2024Jul 3, 2024
May 29, 20240.0729 CADMay 29, 2024Jun 4, 2024
Apr 25, 20240.0729 CADApr 26, 2024May 7, 2024
Mar 25, 20240.0729 CADMar 26, 2024Apr 5, 2024
Feb 26, 20240.0729 CADFeb 27, 2024Mar 7, 2024
Jan 26, 20240.0729 CADJan 29, 2024Feb 7, 2024
Dec 22, 20230.0729 CADDec 27, 2023Jan 8, 2024
Nov 27, 20230.0678 CADNov 28, 2023Dec 7, 2023
Oct 26, 20230.0678 CADOct 27, 2023Nov 7, 2023
Sep 26, 20230.0678 CADSep 27, 2023Oct 10, 2023
Aug 28, 20230.0678 CADAug 29, 2023Sep 8, 2023
Jul 26, 20230.0678 CADJul 27, 2023Aug 8, 2023
Jun 27, 20230.0678 CADJun 28, 2023Jul 10, 2023
May 26, 20230.0678 CADMay 29, 2023Jun 7, 2023
Apr 25, 20230.0678 CADApr 26, 2023May 5, 2023
Mar 28, 20230.0678 CADMar 29, 2023Apr 10, 2023
Feb 23, 20230.0678 CADFeb 24, 2023Mar 7, 2023
Jan 26, 20230.0678 CADJan 27, 2023Feb 7, 2023
Dec 23, 20220.0602 CADDec 28, 2022Jan 9, 2023
Nov 25, 20220.0602 CADNov 28, 2022Dec 7, 2022
Oct 26, 20220.0602 CADOct 27, 2022Nov 7, 2022
Sep 27, 20220.0602 CADSep 28, 2022Oct 7, 2022
Aug 26, 20220.0602 CADAug 29, 2022Sep 8, 2022
Jul 26, 20220.0602 CADJul 27, 2022Aug 8, 2022
Jun 27, 20220.0602 CADJun 28, 2022Jul 8, 2022
May 26, 20220.0602 CADMay 27, 2022Jun 7, 2022
Apr 26, 20220.0602 CADApr 27, 2022May 6, 2022
Mar 28, 20220.0602 CADMar 29, 2022Apr 7, 2022
Feb 23, 20220.0602 CADFeb 24, 2022Mar 7, 2022
Jan 26, 20220.0602 CADJan 27, 2022Feb 7, 2022
Dec 24, 20210.0602 CADDec 29, 2021Jan 10, 2022
Nov 25, 20210.0602 CADNov 26, 2021Dec 7, 2021
Oct 26, 20210.0602 CADOct 27, 2021Nov 5, 2021
Sep 24, 20210.0602 CADSep 27, 2021Oct 7, 2021
Aug 26, 20210.0602 CADAug 27, 2021Sep 8, 2021
Jul 27, 20210.0602 CADJul 28, 2021Aug 9, 2021
Jun 25, 20210.0602 CADJun 28, 2021Jul 8, 2021
May 26, 20210.0602 CADMay 27, 2021Jun 7, 2021
Apr 27, 20210.0602 CADApr 28, 2021May 7, 2021
Mar 26, 20210.0602 CADMar 29, 2021Apr 8, 2021
Feb 23, 20210.0602 CADFeb 24, 2021Mar 5, 2021
Jan 26, 20210.0602 CADJan 27, 2021Feb 5, 2021
Dec 24, 20200.0602 CADDec 29, 2020Jan 8, 2021
Nov 24, 20200.0602 CADNov 25, 2020Dec 7, 2020
Oct 27, 20200.0602 CADOct 28, 2020Nov 6, 2020
Sep 25, 20200.0602 CADSep 28, 2020Oct 7, 2020
Aug 26, 20200.0602 CADAug 27, 2020Sep 8, 2020
Jul 28, 20200.06021 CADJul 29, 2020Aug 10, 2020
Jun 25, 20200.0602 CADJun 26, 2020Jul 8, 2020
May 26, 20200.0602 CADMay 27, 2020Jun 5, 2020
Apr 27, 20200.0527 CADApr 28, 2020May 7, 2020
Mar 26, 20200.0527 CADMar 27, 2020Apr 7, 2020
Feb 25, 20200.0527 CADFeb 26, 2020Mar 6, 2020
Jan 28, 20200.0527 CADJan 29, 2020Feb 7, 2020
* Dividend amounts are adjusted for stock splits when applicable.

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