Regency Centers
REG
#1622
Rank
C$18.11 B
Marketcap
C$98.43
Share price
-1.22%
Change (1 day)
-5.11%
Change (1 year)
Regency Centers Corporation is an American real estate investment (REIT) trust that operates of shopping centers.

Dividend history for Regency Centers (REG)

Regency Centers (stock symbol: REG) made a total of 128 dividend payments.
The sum of all dividends (adjusted for stock splits) is : C$92.51
Dividend yield (TTM) : 3.99% See Regency Centers dividend yield history

Dividend payments for Regency Centers (REG) from 1994 to 2025

Annual dividend payments

Year Dividend (stock split adjusted) Change
2025 C$3.92 5.71%
2024 C$3.71 3.63%
2023 C$3.58 3.76%
2022 C$3.45 4.77%
2021 C$3.30 1.26%
2020 C$3.25 1.71%
2019 C$3.20 5.41%
2018 C$3.04 5.71%
2017 C$2.87 5.00%
2016 C$2.73 3.09%
2015 C$2.65 3.19%
2014 C$2.57 1.51%
2013 C$2.53N/A
2012 C$2.53N/A
2011 C$2.53N/A
2010 C$2.53-12.39%
2009 C$2.89-27.10%
2008 C$3.97 9.85%
2007 C$3.61 10.92%
2006 C$3.25 8.18%
2005 C$3.01 3.77%
2004 C$2.90 1.92%
2003 C$2.84 1.96%
2002 C$2.79 2.00%
2001 C$2.73 4.17%
2000 C$2.63 4.35%
1999 C$2.52 4.55%
1998 C$2.41 4.76%
1997 C$2.30 3.70%
1996 C$2.22 2.53%
1995 C$2.16 14.91%
1994 C$1.88N/A

List of all dividend payments

Date Dividend (stock split adjusted) Change
2025-12-15C$1.03 7.09%
2025-09-11C$0.96N/A
2025-06-11C$0.96N/A
2025-03-12C$0.96N/A
2024-12-16C$0.96 5.22%
2024-09-12C$0.92N/A
2024-06-12C$0.92N/A
2024-03-12C$0.92N/A
2023-12-13C$0.92 3.08%
2023-09-13C$0.89N/A
2023-06-13C$0.89N/A
2023-03-14C$0.89N/A
2022-12-15C$0.89 4.00%
2022-09-14C$0.85N/A
2022-06-14C$0.85N/A
2022-03-14C$0.85N/A
2021-12-15C$0.85 5.04%
2021-09-14C$0.81N/A
2021-06-14C$0.81N/A
2021-03-12C$0.81N/A
2020-12-15C$0.81N/A
2020-08-13C$0.81N/A
2020-05-15C$0.81N/A
2020-02-21C$0.81 1.71%
2019-11-08C$0.80N/A
2019-08-09C$0.80N/A
2019-05-10C$0.80N/A
2019-02-22C$0.80 5.41%
2018-11-13C$0.76N/A
2018-08-14C$0.76N/A
2018-05-15C$0.76N/A
2018-02-16C$0.76 4.72%
2017-11-14C$0.72N/A
2017-08-14C$0.72N/A
2017-05-18C$0.72 3.92%
2017-02-22C$0.70 2.00%
2016-11-14C$0.68N/A
2016-08-15C$0.68N/A
2016-05-16C$0.68N/A
2016-02-18C$0.68 3.09%
2015-11-16C$0.66N/A
2015-08-17C$0.66N/A
2015-05-18C$0.66N/A
2015-02-19C$0.66 3.19%
2014-11-17C$0.64N/A
2014-08-18C$0.64N/A
2014-05-19C$0.64N/A
2014-02-20C$0.64 1.51%
2013-11-08C$0.63N/A
2013-08-12C$0.63N/A
2013-05-20C$0.63N/A
2013-02-11C$0.63N/A
2012-11-09C$0.63N/A
2012-08-13C$0.63N/A
2012-05-14C$0.63N/A
2012-02-13C$0.63N/A
2011-11-14C$0.63N/A
2011-08-15C$0.63N/A
2011-05-16C$0.63N/A
2011-02-14C$0.63N/A
2010-11-15C$0.63N/A
2010-08-16C$0.63N/A
2010-05-17C$0.63N/A
2010-02-12C$0.63N/A
2009-11-16C$0.63N/A
2009-08-17C$0.63N/A
2009-05-18C$0.63-36.14%
2009-02-13C$0.99N/A
2008-11-17C$0.99N/A
2008-08-18C$0.99N/A
2008-05-19C$0.99N/A
2008-02-15C$0.99 9.85%
2007-11-09C$0.90N/A
2007-08-13C$0.90N/A
2007-05-14C$0.90N/A
2007-02-12C$0.90 10.92%
2006-11-13C$0.81N/A
2006-08-14C$0.81N/A
2006-05-15C$0.81N/A
2006-02-13C$0.81 8.18%
2005-11-10C$0.75N/A
2005-08-12C$0.75N/A
2005-05-16C$0.75N/A
2005-02-11C$0.75 3.77%
2004-11-08C$0.72N/A
2004-08-09C$0.72N/A
2004-05-10C$0.72N/A
2004-02-09C$0.72 1.92%
2003-11-17C$0.71N/A
2003-08-22C$0.71N/A
2003-05-19C$0.71N/A
2003-02-14C$0.71 1.96%
2002-11-15C$0.70N/A
2002-08-19C$0.70N/A
2002-05-09C$0.70N/A
2002-02-08C$0.70 2.00%
2001-11-07C$0.68N/A
2001-08-09C$0.68N/A
2001-05-09C$0.68N/A
2001-02-08C$0.68 4.17%
2000-11-09C$0.66N/A
2000-08-09C$0.66N/A
2000-05-10C$0.66N/A
2000-02-09C$0.66 4.35%
1999-11-08C$0.63N/A
1999-08-10C$0.63N/A
1999-05-10C$0.63N/A
1999-02-10C$0.63 4.55%
1998-11-06C$0.60N/A
1998-08-10C$0.60N/A
1998-05-12C$0.60N/A
1998-02-10C$0.60 4.76%
1997-11-07C$0.57N/A
1997-08-08C$0.57N/A
1997-05-12C$0.57N/A
1997-02-10C$0.57 3.70%
1996-11-06C$0.55N/A
1996-08-08C$0.55N/A
1996-05-09C$0.55N/A
1996-02-08C$0.55 2.53%
1995-11-08C$0.54N/A
1995-08-09C$0.54N/A
1995-05-08C$0.54N/A
1995-02-07C$0.54N/A
1994-11-04C$0.54 5.33%
1994-08-08C$0.51N/A
1994-05-09C$0.51 63.04%
1994-02-07C$0.31N/A

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