PZU
POWSZECHNY ZAKŁAD UBEZPIECZEŃ GPW LISTED

Dividends

source: current reports and AGM resolutions · 1 year in history

PER SHARE · FOR 2025
4.80 zł
payment October 08, 2026
DIVIDEND YIELD
6.63%
approximate, against the mid price
PAID IN 12M
no payouts this or last year
NEXT EVENT
October 08, 2026
Dzień wypłaty dywidendy

Payout history

1 record in the database all amounts in PLN · from AGM resolutions and current reports
2025 4.80 zł
YIELD*
6.63%
VALUE
4 144 910 400.00 zł
RECORD DATE
September 17, 2026
PAYMENT DATE

* approximate yield — each year computed against today's mid price, not the price on the dividend date

Payout calendar for 2025

September 17, 2026
Dzień dywidendy — ostatni dzień nabycia z prawem
October 08, 2026 planned
Wypłata na rachunki akcjonariuszy

Payout by the numbers

Net income for 2025
no reporting data in the database
Dividend approved
4 144 910 400.00 zł
Number of shares
863,523,000
Years with a payout in the database
1

How we calculate this

Dividend yield — Dividend per share divided by the mid price (market cap / shares outstanding), not the price on the dividend date — an approximate figure.

Paid in 12M — Sum of payouts in the current calendar year to date.

Record date — The date entitlement is set by the AGM resolution.

Dividend policy

The company does not publish a formalized dividend policy as structured data — the general meeting decides on profit distribution each time, on the board's motion.