Dividends

CaixaBank dividends plan

Financial year 2024

In accordance with the dividend plan for this year approved in February 2024, the Board of Directors resolved on 29 January to propose, to the 2025 Annual General Meeting, the distribution of a final cash dividend of €0.2864 gross per share, charged to 2024 earnings and to be paid in April 2025. Together with the interim dividend paid out in November 2024, shareholder remuneration for the 2024 financial year will be equivalent to 53.5% of consolidated net profit (€0.4352 gross per share).

Financial year 2025

Payout of between 50% and 60% of consolidated net profit, through two cash payments in line with the current policy:

50%-60%
consolidated net profit
November 20251
April 20262

1Interim dividend to be paid in November 2025, amounting to between 30% and 40% of consolidated net profit for the first half of 2025.

2Final dividend to be paid in April 2026, subject to final approval at the 2026 Annual General Meeting.


See Dividends Policy in the section on Corporate policies and other corporate documents.

Table of dividends

Payment date Gross amount  Net amount (1)

Date

ex-dividend (2)

Type Class
07-11-2024 0.1488 0.1205 05-11-2024 Interim Ordinary
24-04-2025 (3) 0.2864 0.2319 (4) 22-04-2025 Final Ordinary


(1) Estimated using tax rate of 19% for year 2024. The specificities of beneficiaries residing in provincial territories or in territories with Agreements to avoid Double Taxation, nor for legal entities with significant participations, are not contemplated.
(2) Date from which the shares are traded without dividend entitlement.
(3) Proposal of a final dividend payment charged to 2024 earnings, subject to final approval at the Annual General Meeting.
(4) Estimated using tax rate of 19% for year 2025. The specificities of beneficiaries residing in provincial territories or in territories with Agreements to avoid Double Taxation, nor for legal entities with significant participations, are not contemplated.

Payment date Gross amount  Net amount (1)

Date

ex-dividend (2)

Type Class
03-04-2024 0.3919 0.3174 28-03-2024 Final Ordinary


(1) Estimated using tax rate of 19% for year 2024.
(2) Date from which the shares are traded without dividend entitlement.

Payment date Gross amount  Net amount (1)

Date

ex-dividend (2)

Type Class
12-04-2023 0.2306 0.1867 06-04-2023 Final Ordinary

(1) Estimated using tax rate of 19% for year 2023.
(2) Date from which the shares are traded without dividend entitlement.
Payment date Gross amount  Net amount (1)

Date

ex-dividend (2)

Type Class
20-04-2022 0.1463 0.1183 14-04-2022 Final Ordinary

(1) Estimated using tax rate of 19% for year 2022.
(2) Date from which the shares are traded without dividend entitlement.
Payment date Gross amount  Net amount (1)

Date

ex-dividend (2)

Type Class
24-05-2021 0.0268 0.0217 20-05-2021 Final Ordinary

(1) Estimated using tax rate of 19% for year 2021.
(2) Date from which the shares are traded without dividend entitlement.
Payment date Gross amount  Net amount (1)

Date

ex-dividend (2)

Type Class
15-04-2020 0.07 0.0567 09-04-2020 Interim Ordinary

(1) Estimated using tax rate of 19% for year 2020.
(2) Date from which the shares are traded without dividend entitlement.
Payment date

Gross amount

Net amount (1)

Date

ex-dividend (2)

Type Class
15-04-2019 0.10 0.081 11-04-2019 Final Ordinary
05-11-2018 0.07 0.0567 01-11-2018 Interim Ordinary

(1) Estimated using tax rate of 19% for years 2019 and 2018.
(2) Date from which the shares are traded without dividend entitlement.
Payment date Gross amount Net amount (1)

Date

ex-dividend (2)

Type Class
13-04-2018 0.08 0.0648 11-04-2018 Final Ordinary
02-11-2017 0.07 0.0567 31-10-2017 Interim Ordinary

(1) Estimated using tax rate of 19% for years 2018 and 2017.
(2) Date from which the shares are traded without dividend entitlement.
Payment date (1) Gross amount Net amount (2)

Date

ex-dividend (3)

Type Class
13-04-2017 0.06 0.0486 11-04-2017 Final Ordinary
19-12-2016 0.04 (4) 0.0324 22-11-2016 CaixaBank Scrip Dividend Program (5)
30-09-2016 0.03 0.0243 27-09-2016 Interim Ordinary

(1) For the CaixaBank's flexible shareholder remuneration program (scrip dividend scheme), this date refers to the date on which the new shares are admitted for trading.
(2) Estimated using tax rate of 19% for years 2017 and 2016.
(3) Date from which the shares are traded without dividend entitlement.
(4) The price that CaixaBank paid free allocation rights.
(5) For this payment, shareholders are offered the choice of receiving the company shares or cash out, in line with the CaixaBank Scrip Dividend program.
Payment date (1) Gross amount Net amount (2)

Date 

ex-dividend (3)

Type Class
01-06-2016 0.04 0.0324 27-05-2016 Final Ordinary
01-04-2016 0.04 (4) 0.0324 01-03-2016 CaixaBank Scrip Dividend Program (5)
24-12-2015 0.04 0.032 24-12-2015 Interim Ordinary
02-10-2015 0.04 (4) 0.032 08-09-2015 CaixaBank Scrip Dividend Program (5)

(1) For the CaixaBank's flexible shareholder remuneration program (scrip dividend scheme), this date refers to the date on which the new shares are admitted for trading.
(2) Estimated using tax rate of 19% for year 2016 and estimated tax rate of 19.5% for year 2015.
(3) Date from which the shares are traded without dividend entitlement.
4) The price that CaixaBank paid free allocation rights.
(5) For this payment, shareholders are offered the choice of receiving the company shares or cash out, in line with the CaixaBank Scrip Dividend program.

For more information on Dividends, refer to the Remuneration of Shareholders, and the sections Insider Information and Other Relevant Information.