Kimberly-Clark Corp. (KMB) Dividends

Kimberly-Clark Corp. (KMB): $133.55

0.49 (-0.37%)

POWR Rating

Component Grades

Momentum

D

Stability

B

Sentiment

Quality

B

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Industry: Consumer Goods

Industry

C

Ranked

#22 of 56

in industry
KMB Ex-Dividend Date
KMB Dividend Yield
3.64%
KMB Annual Dividend
$5.04
KMB Payout Ratio


KMB Dividend History

Ex-Dividend Date Type Payout Amount Change
2025-06-06Dividend$1.26--
2025-03-07Dividend$1.26+3.28%
2024-12-06Dividend$1.22--
2024-09-06Dividend$1.22--
2024-06-07Dividend$1.22--
2024-03-07Dividend$1.22+3.39%
2023-12-07Dividend$1.18--
2023-09-07Dividend$1.18--
2023-06-08Dividend$1.18--
2023-03-09Dividend$1.18+1.72%
2022-12-08Dividend$1.16--
2022-09-08Dividend$1.16--
2022-06-09Dividend$1.16--
2022-03-03Dividend$1.16+1.75%
2021-12-09Dividend$1.14--
2021-09-09Dividend$1.14--
2021-06-03Dividend$1.14--
2021-03-04Dividend$1.14+6.54%
2020-12-03Dividend$1.07--
2020-09-03Dividend$1.07--
2020-06-04Dividend$1.07--
2020-03-05Dividend$1.07+3.88%
2019-12-05Dividend$1.03--
2019-09-05Dividend$1.03--
2019-06-06Dividend$1.03--
2019-03-07Dividend$1.03+3.00%
2018-12-06Dividend$1.00--
2018-09-06Dividend$1.00--
2018-06-07Dividend$1.00--
2018-03-08Dividend$1.00+3.09%
2017-12-07Dividend$0.97--
2017-09-07Dividend$0.97--
2017-06-07Dividend$0.97--
2017-03-08Dividend$0.97+5.43%
2016-12-07Dividend$0.92--
2016-09-07Dividend$0.92--
2016-06-08Dividend$0.92--
2016-03-02Dividend$0.92+4.55%
2015-12-02Dividend$0.88--
2015-09-02Dividend$0.88--
2015-06-03Dividend$0.88--
2015-03-04Dividend$0.88+4.76%
2014-12-03Dividend$0.84--
2014-09-03Dividend$0.84--
2014-06-04Dividend$0.84--
2014-03-05Dividend$0.84+3.70%
2013-12-04Dividend$0.81--
2013-09-04Dividend$0.81--
2013-06-05Dividend$0.81--
2013-03-06Dividend$0.81+9.46%
2012-12-05Dividend$0.74--
2012-09-05Dividend$0.74--
2012-06-06Dividend$0.74--
2012-03-07Dividend$0.74+5.71%
2011-12-07Dividend$0.70--
2011-09-07Dividend$0.70--
2011-06-08Dividend$0.70--
2011-03-02Dividend$0.70+6.06%
2010-12-08Dividend$0.66--
2010-09-08Dividend$0.66--
2010-06-02Dividend$0.66--
2010-03-03Dividend$0.66+10.00%
2009-12-02Dividend$0.60--
2009-09-02Dividend$0.60--
2009-06-03Dividend$0.60--
2009-03-04Dividend$0.60+3.45%
2008-12-03Dividend$0.58--
2008-09-03Dividend$0.58--
2008-06-04Dividend$0.58--
2008-03-05Dividend$0.58+9.43%
2007-12-05Dividend$0.53--
2007-09-05Dividend$0.53--
2007-06-06Dividend$0.53--
2007-03-07Dividend$0.53+8.16%
2006-12-06Dividend$0.49--
2006-09-06Dividend$0.49--
2006-06-07Dividend$0.49--
2006-03-08Dividend$0.49+8.89%
2005-12-07Dividend$0.45--
2005-09-07Dividend$0.45--
2005-06-08Dividend$0.45--
2005-03-02Dividend$0.45+12.50%
2004-12-08Dividend$0.40-62.62%
2004-12-01Dividend$1.07+167.50%
2004-09-08Dividend$0.40--
2004-06-02Dividend$0.40--
2004-03-03Dividend$0.40+17.65%
2003-12-03Dividend$0.34--
2003-09-03Dividend$0.34--
2003-06-04Dividend$0.34--
2003-03-05Dividend$0.34+13.33%
2002-12-04Dividend$0.30--
2002-09-04Dividend$0.30--
2002-06-05Dividend$0.30--
2002-03-06Dividend$0.30+7.14%
2001-12-05Dividend$0.28--
2001-09-05Dividend$0.28--
2001-06-06Dividend$0.28--
2001-03-07Dividend$0.28+3.70%
2000-12-06Dividend$0.27--
2000-09-06Dividend$0.27--
2000-06-07Dividend$0.27--
2000-03-08Dividend$0.27+3.85%
1999-12-08Dividend$0.26--
1999-09-08Dividend$0.26--
1999-06-02Dividend$0.26--
1999-03-03Dividend$0.26+4.00%
1998-12-02Dividend$0.25--
1998-09-02Dividend$0.25--
1998-06-03Dividend$0.25--
1998-03-04Dividend$0.25+4.17%
1997-12-03Dividend$0.24--
1997-09-03Dividend$0.24--
1997-06-04Dividend$0.24+100.00%
1997-04-03Split2-1-for-1 Stock SplitN/A
1997-03-05Dividend$0.24+4.35%
1996-12-04Dividend$0.23--
1996-09-04Dividend$0.23--
1996-06-05Dividend$0.23--
1996-03-06Dividend$0.23+2.22%
1995-12-06Dividend$0.23--
1995-09-06Dividend$0.23--
1995-06-06Dividend$0.23--
1995-03-06Dividend$0.23+2.27%
1994-12-05Dividend$0.22--
1994-09-02Dividend$0.22--
1994-06-06Dividend$0.22--
1994-02-28Dividend$0.22+2.33%
1993-12-06Dividend$0.22--
1993-09-03Dividend$0.22-0.46%
1993-05-28Dividend$0.22+5.37%
1993-03-01Dividend$0.21--
1992-11-30Dividend$0.21--
1992-08-31Dividend$0.21--
1992-06-01Dividend$0.21--
1992-03-02Dividend$0.21--
1991-12-02Dividend$0.21+10.81%
1991-08-30Dividend$0.19--
1991-06-03Dividend$0.19--
1991-03-04Dividend$0.19+8.82%
1990-12-03Dividend$0.17--
1990-08-31Dividend$0.17--
1990-06-04Dividend$0.17--
1990-03-05Dividend$0.17+4.62%
1989-12-04Dividend$0.16--
1989-09-01Dividend$0.16--
1989-06-05Dividend$0.16--
1989-03-06Dividend$0.16+62.50%
1988-12-05Dividend$0.10--
1988-09-02Dividend$0.10--
1988-06-06Dividend$0.10--
1988-02-29Dividend$0.10+11.11%
1987-11-30Dividend$0.09--


KMB Dividends vs. Peers

KMB's dividend yield currently ranks #61 of 91 vs. its peers in the Consumer Goods category.
Rank Symbol Name Dividend Yield
1 VVNT Vivint Smart Home 0.00%
2 SSDOY Shiseido Co. Ltd. ADR 0.00%
3 AATP Agape ATP Corporation 0.00%
4 KSRYY KOSÉ Corporation 0.00%
5 KCDMY Kimberly-Clark de México, S. A. B. de C. V. 0.00%
6 HENKY Henkel AG & Co. KGaA ADR 0.00%
7 PPRUY Kering ADR 0.00%
8 FRG Franchise Group, Inc. 0.00%
9 PGENY PIGEON CORPORATION 0.00%
10 PANDY Pandora A/S 0.00%
11 NTCO Natura & Co. Holding S.A. ADR 0.00%
12 UNICY Unicharm Corp. ADR 0.00%
13 SWGAY Swatch Group AG ADR 0.00%
14 BICEY Société BIC SA 0.00%
15 BDRFY Beiersdorf Aktiengesellschaft 0.00%
16 BBIG Vinco Ventures, Inc. 0.00%
17 AQB AquaBounty Technologies, Inc. 0.00%
18 MTTRY CECONOMY AG 0.00%
19 LVMUY LVMH Moet Hennessy Louis Vuitton ADR 0.00%
20 LRLCY L'Oreal S.A. ADR 0.00%
21 LRENY Lojas Renner S.A. 0.00%
22 ACOPY The a2 Milk Company Limited 0.00%
23 LAZY Lazydays Holdings, Inc. 0.00%
24 UTME UTime Ltd. 0.00%
25 BOF BranchOut Food Inc. 0.00%
26 FLYE Fly-E Group Inc. 0.00%
27 DSY Big Tree Cloud Holdings Ltd. 0.00%
28 BSDGY Bosideng International Holdings Ltd. ADR 0.00%
29 AREB American Rebel Holdings Inc. 0.00%
30 JRSH Jerash Holdings (US) Inc. 0.00%
31 AMPG Amplitech Group Inc. 0.00%
32 EWCZ European Wax Center, Inc. 0.00%
33 BODY The Beachbody Company, Inc. 0.00%
34 SKIN Beauty Health Co. 0.00%
35 HNST The Honest Company, Inc. 0.00%
36 YAMCY YAMAHA CORPORATION 0.00%
37 EM Smart Share Global Ltd 0.00%
38 DSEY Diversey Holdings, Ltd. 0.00%
39 HAYW Hayward Holdings, Inc. 0.00%
40 NAKD Naked Brand Group Ltd. 0.00%
41 PLBY PLBY Group, Inc. 0.00%
42 RLX RLX Technology Inc. ADR 0.00%
43 EZGO EZGO Technologies Ltd. 0.00%
44 PUMSY Puma SE 0.00%
45 RBGLY Reckitt Benckiser Group PLC ADR 0.00%
46 POSH Poshmark, Inc. 0.00%
47 UL Unilever PLC ADR 0.00%
48 OBCI Ocean Bio-Chem, Inc. 0.00%
49 NVFY Nova Lifestyle, Inc 0.00%
50 MTEX Mannatech, Incorporated 0.00%
51 KOSS Koss Corporation 0.00%
52 IKNX Ikonics Corporation 0.00%
53 HELE Helen of Troy Limited 0.00%
54 FORD Forward Industries Inc. 0.00%
55 FARM Farmer Brothers Company 0.00%
56 CTHR Charles & Colvard Ltd. 0.00%
57 CPSH CPS Technologies Corp. 0.00%
58 UN Unilever NV 0.00%
59 SENEA Seneca Foods Corp. - 0.00%
60 PG Procter & Gamble Co. 0.00%
61 KMB Kimberly-Clark Corp. 0.00%
62 IFF International Flavors & Fragrances Inc. 0.00%
63 EPC Edgewell Personal Care Company 0.00%
64 EBF Ennis, Inc. 0.00%
65 CLX Clorox Co. 0.00%
66 CL Colgate-Palmolive Co. 0.00%
67 CHD Church & Dwight Co. 0.00%
68 ACCO Acco Brands Corporation 0.00%
69 TIS Orchids Paper Products Company 0.00%
70 CHWY Chewy Inc. Cl A 0.00%
71 YUEIY Yue Yuen Industrial (Holdings) Limited 0.00%
72 DQWS Dswiss Inc. 0.00%
73 JUPW Jupiter Wellness Inc. 0.00%
74 VMAR Vision Marine Technologies 0.00%
75 DOGZ Dogness (International) Corp. Cl A 0.00%
76 REYN Reynolds Consumer Products Inc. 0.00%
77 PTON Peloton Interactive Inc. 0.00%
78 DOYU DouYu International Holdings Limited - ADS 0.00%
79 TBLTU ToughBuilt Industries, Inc. - Unit 0.00%
80 MWK Mohawk Group Holdings, Inc. 0.00%
81 ACU Acme United Corporation. 0.00%
82 RVLV Revolve Group, Inc. 0.00%
83 GHSI Guardion Health Sciences, Inc. 0.00%
84 levi Levi Strauss & Co 0.00%
85 dsw DSW Inc. 0.00%
86 YETI YETI Holdings, Inc. 0.00%
87 ROKU Roku Inc. Cl A 0.00%
88 WOOF Petco Health and Wellness Company, Inc. 0.00%
89 VIRC Virco Manufacturing Corporation 0.00%
90 UG United-Guardian, Inc. 0.00%
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