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Monday, April 13th, 2026
Stock Profile: K6S
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Prudential plc (K6S)

Prudential plc Stock Price

Last Done: SGD 9.39
+0.12 (+1.31%) • Login required for live price
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📊 Statistics





💰 Dividend History


Current year to date yield: 1.50%

2026 — Total Amount: $0.188900 | Total Yield: 1.50%
Ex Date: 2026-03-26

Amount: $0.188900

Yield: 1.50%

Pay Date: 2026-05-20

Details: Declared Rate: USD 0.1889 per security/unit

2025 — Total Amount: $0.240000 | Total Yield: 2.69%
Ex Date: 2025-09-04

Amount: $0.077100

Yield: 0.76%

Pay Date: 2025-10-23

Details: Declared Rate: USD 0.0771 per security/unit

Ex Date: 2025-03-27

Amount: $0.162900

Yield: 1.94%

Pay Date: 2025-05-21

Details: Declared Rate: USD 0.1629 per security/unit

2024 — Total Amount: $0.210500 | Total Yield: 2.21%
Ex Date: 2024-09-05

Amount: $0.068400

Yield: 0.79%

Pay Date: 2024-10-30

Details: Declared Rate: USD 0.0684 per security/unit

Ex Date: 2024-04-01

Amount: $0.142100

Yield: 1.42%

Pay Date: 2024-05-23

Details: Rate: USD 0.1421 Per Security

2023 — Total Amount: $0.193000 | Total Yield: 1.93%
Ex Date: 2023-09-07

Amount: $0.062600

Yield: 0.63%

Pay Date: 2023-10-26

Details: Rate: USD 0.0626 Per Security

Ex Date: 2023-03-23

Amount: $0.130400

Yield: 1.30%

Pay Date: 2023-05-22

Details: Rate: USD 0.1304 Per Security

2022 — Total Amount: $0.176000 | Total Yield: 1.14%
Ex Date: 2022-08-18

Amount: $0.057400

Yield: 0.42%

Pay Date: 2022-10-04

Details: Rate: USD 0.0574 Per Security

Ex Date: 2022-03-24

Amount: $0.118600

Yield: 0.73%

Pay Date: 2022-05-20

Details: Rate: USD 0.1186 Per Security

2021 — Total Amount: $0.161000 | Total Yield: 1.01%
Ex Date: 2021-09-01

Amount: -

Yield: -

Pay Date: -

Details: Rate: NA NA

Ex Date: 2021-08-19

Amount: $0.053700

Yield: 0.30%

Pay Date: 2021-10-05

Details: Rate: USD 0.0537 Per Security

Ex Date: 2021-03-25

Amount: $0.107300

Yield: 0.72%

Pay Date: 2021-05-21

Details: Rate: USD 0.1073 Per Security

2020 — Total Amount: $0.313400 | Total Yield: 1.63%
Ex Date: 2020-08-20

Amount: $0.053700

Yield: 0.28%

Pay Date: 2020-10-05

Details: Rate: USD 0.0537 Per Security

Ex Date: 2020-03-26

Amount: $0.259700

Yield: 1.35%

Pay Date: 2020-05-22

Details: Rate: USD 0.2597 Per Security

2019 — Total Amount: $0.501300 | Total Yield: 3.98%
Ex Date: 2019-08-22

Amount: $0.164500

Yield: 1.97%

Pay Date: 2019-10-03

Details: Rate: GBP 0.1645 Per Security

Ex Date: 2019-03-28

Amount: $0.336800

Yield: 2.01%

Pay Date: 2019-05-24

Details: Rate: GBP 0.3368 Per Security

2018 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2018-08-21

Amount: -

Yield: -

Pay Date: 2018-10-04

Details: GBP 0.1567 TAX EXEMPT

Ex Date: 2018-03-29

Amount: -

Yield: -

Pay Date: 2018-05-25

Details: GBP 0.325 ONE-TIER TAX

2017 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2017-08-23

Amount: -

Yield: -

Pay Date: 2017-10-05

Details: GBP 0.145 TAX EXEMPT

Ex Date: 2017-03-29

Amount: -

Yield: -

Pay Date: 2017-05-26

Details: GBP 0.3057 TAX EXEMPT

2016 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2016-08-24

Amount: -

Yield: -

Pay Date: 2016-10-06

Details: GBP 0.1293 TAX EXEMPT

Ex Date: 2016-03-24

Amount: -

Yield: -

Pay Date: 2016-05-27

Details: GBP 0.2647 TAX EXEMPT

2015 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2015-08-19

Amount: -

Yield: -

Pay Date: 2015-10-01

Details: GBP 0.1231

Ex Date: 2015-03-25

Amount: -

Yield: -

Pay Date: 2015-05-28

Details: GBP 0.2574 TAX EXEMPT

2014 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2014-08-20

Amount: -

Yield: -

Pay Date: 2014-10-02

Details: GBP 0.1119

Ex Date: 2014-03-26

Amount: -

Yield: -

Pay Date: 2014-05-29

Details: GBP 0.2384

2013 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2013-08-21

Amount: -

Yield: -

Pay Date: 2013-10-03

Details: GBP 0.0973

Ex Date: 2013-03-28

Amount: -

Yield: -

Pay Date: 2013-05-30

Details: GBP 0.2079

2012 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2012-08-22

Amount: -

Yield: -

Pay Date: 2012-10-04

Details: GBP 0.084

Ex Date: 2012-03-28

Amount: -

Yield: -

Pay Date: 2012-05-31

Details: GBP 0.1724

2011 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2011-08-17

Amount: -

Yield: -

Pay Date: 2011-09-29

Details: GBP 0.0795

Ex Date: 2011-03-30

Amount: -

Yield: -

Pay Date: 2011-06-02

Details: GBP 0.1724

2010 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2010-08-18

Amount: -

Yield: -

Pay Date: 2010-09-30

Details: SCRIP DIV ALT GBP 0.0661



📅 SGX Earnings Announcements for K6S


Date of Broadcast Title Financial Year Ended
2025-08-27 06:07 Half Yearly Results 2025/06/30
2025-08-14 17:38 Notification of Results Release 2025/06/30
2025-03-20 06:11 Full Yearly Results 2024/12/31
2025-03-07 18:31 Notification of Results Release 2024/12/31
2024-08-28 12:02 Half Yearly Results 2024/06/30
2024-08-15 19:33 Notification of Results Release 2024/06/30
2024-03-20 12:07 Full Yearly Results 2023/12/31
2024-03-07 17:06 Notification of Results Release 2023/12/31



Prudential plc (K6S)

Market: SGX | Currency: USD

Address: One International Financial Centre

Prudential plc, through its subsidiaries, provides life and health insurance, and asset management solutions to individuals in Asia and Africa. It offers savings and investments products; wealth, health, and protection products; and foreign exchange services. The company was founded in 1848 and is headquartered in Central, Hong Kong.




📈 Prudential plc Historical Chart




🧾 Recent Financial Statement / Corporate annoucement / News


🔎 View more in SGX corporate News 🔎 View more in SGX Financial statements




📰 Research Reports


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