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Koninklijke KPN N.V.

Koninklijke KPN N.V.

KPN.ASAEX
4,11 €
Dividend yield2,65 %
Continuity24 yr
Dividend0,11 €
DiviScore
70SCOREGood
Performance21/35
Dividend Quality29/35
AGM Date
Ex-Date
17.04.2026
Payment
CAGR 3Y
+7.8%
CAGR 5Y
+8.2%
CAGR 10Y
+3.4%

€10,000 invested in 2016 · with dividend reinvestment

+112%
End Value
21.190,18 €
Total Return
+111.9%
Annual Return
7.8% p.a.
Dividends Received
5.697,48 €

Dividend history

24 years continuous
YearAmountDividend yieldAGM dateEx-datePayment dateChange
20260,11 €17.04.2026-37.7%
20250,18 €25.07.2025+5.4%
20240,17 €26.06.202426.07.202425.08.2024+12.9%
20230,15 €26.06.202326.07.202325.08.2023+5.8%
20220,14 €29.06.202229.07.202228.08.2022+5.3%
20210,13 €29.06.202129.07.202128.08.2021+4.8%
20200,13 €29.06.202029.07.202028.08.2020+3.3%
20190,12 €26.06.201926.07.201925.08.2019-3.2%
20180,13 €30.06.201830.07.201829.08.2018+4.1%
20170,12 €28.06.201728.07.201727.08.2017-65.9%

About Koninklijke KPN N.V.

KPN, based in Rotterdam, is the Netherlands' leading telecom operator, running the country's mobile and fibre broadband networks for consumers and businesses. Steady investment in fibre and a strong home-market position produce dependable, predictable cash flow from an essential service. KPN is a classic income telecom, paying a high dividend that it has grown steadily and backs with buybacks, funded by reliable network cash flow. A generous, dependable yield with defensive characteristics defines its appeal for income investors.

Frequently Asked Questions

The next payment date is not yet announced.
Koninklijke KPN N.V. has a DiviScore of 70/100. DiviScore rates dividend stocks based on price performance, dividend quality, fundamentals, and stability.
Koninklijke KPN N.V.'s current dividend yield is 2.65% based on the latest dividend.
Koninklijke KPN N.V. (KPN.AS) is a member of AEX. Current data including price, dividend, and DiviScore is updated daily.
DiviScore is a proprietary 100-point rating based on four pillars: Performance (35 pts), Dividend Quality (35 pts), Fundamentals (15 pts), and Stability (15 pts). It simulates a 10-year investment with automatic dividend reinvestment.