SMT · FTSE 100

Scottish Mortgage Investment Trust

Scottish Mortgage Investment Trust's most recent dividend was 2.97p per share, its final dividend, paid on 10 Jul 2026. Scottish Mortgage Investment Trust usually pays two dividends a year, in July and December. No further dividend has been declared yet — this page updates when the next one is filed.

Data updated

Scottish Mortgage Investment Trust dividends by year

What Scottish Mortgage Investment Trust paid in each of its own financial years, on the basis the company reports. A company’s year and the dates its dividends reach shareholders do not always line up, so a dividend can sit under a different year here than on the payment-dates view. Scottish Mortgage Investment Trust’s financial year ends 31 Mar.

Total dividend per share for each financial year, as stated by the company, since 2016. Hover a bar for its value; the table below is the full record, each row linked to its source filing.
Year endedTotalChangeInterimFinalSource
31 Mar 2027In progressNothing declared yetPayments above
31 Mar 20264.57p+4.3%1.6p2.97pFiling ↗
31 Mar 20254.38p+3.3%1.6p2.78pFiling ↗
31 Mar 20244.24p+3.4%1.6p2.64pFiling ↗
31 Mar 20234.1p+14.2%1.6p2.5pFiling ↗
31 Mar 20223.59p+5.0%1.52p2.07pFiling ↗
31 Mar 20213.42p+5.2%1.45p1.97pFiling ↗
31 Mar 20203.25p+3.8%1.39p1.86pFiling ↗
31 Mar 20193.13p+2.0%1.39p1.74pFiling ↗
31 Mar 20183.07p+2.3%1.39p1.68pFiling ↗
31 Mar 20173p+1.4%1.39p1.61pFiling ↗
31 Mar 20162.96p1.38p1.58pFiling ↗

Each year’s total is the figure Scottish Mortgage Investment Trust itself published, linked to the announcement it appeared in, and every payment behind it has been checked against that total. Scottish Mortgage Investment Trust’s financial year ends 31 Mar.

Every annual total above is the figure Scottish Mortgage Investment Trust published in its own results announcement, filed under UK listing rules, and links back to it. This is general information, not investment advice — always confirm against the company’s announcement before acting. Figures are shown in the currency the company declared.