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Dividend Forecast Schedule

Index Cash CFD Dividends

Symbols

27/10/2025

28/10/2025

29/10/2025

30/10/2025

31/10/2025

AUS200     0.44    
CN50 1.29 1.63      
EU50   0.87   3.64  
FRA40          
GER40          
HK50       5.92 0.81
JPN225          
SGFREE          
UK100       0.29  
US30          
US500 0.04 0.03 0.04 0.04 0.50
USTECH   0.33 0.21   2.47
NETH25 0.07 0.30      
SPA35        44.08  
SWI20           
IT40           

 

Symbols

03/11/2025

04/11/2025

05/11/2025

06/11/2025

07/11/2025

AUS200 0.03        
CN50          
EU50     2.54    
FRA40          
GER40          
HK50       15.88  
JPN225          
SGFREE          
UK100       9.34  
US30          
US500 0.44 0.07 0.03 0.05 0.72
USTECH   0.30     0.51
NETH25       1.13  
SPA35      36.07    
SWI20           
IT40           

 

*Important Notice:* The information supplied serves as a guide only and is subject to change without notice. It is not intended to be trading or investment advice. AXI cannot be held accountable for inaccuracies or any losses incurred as a result of this information.

Shares CFDs

Date Symbol Points Currency
14-Oct-25 Vinci 1.05 EUR
14-Oct-25 Hormel Foods Corp 0.29 USD
14-Oct-25 McCormick & Company Inc 0.45 USD
14-Oct-25 PNC Financial Services Group Inc 1.7 USD
15-Oct-25 Abbott Labs 0.59 USD
15-Oct-25 Abb Vie 1.64 USD
15-Oct-25 Freeport-McCoRan 0.15 USD
15-Oct-25 Mid America 1.52 USD
16-Oct-25 Delta Airlines 0.19 USD
16-Oct-25 Diageo 0.47 GBP
16-Oct-25 Dubai Electricity 0.06 AED
16-Oct-25 ITV 0.02 GBP
16-Oct-25 Persimmon 0.2 GBP
16-Oct-25 Smiths Group 0.32 GBP
17-Oct-25 Colgate-Palmolive 0.52 USD
17-Oct-25 Emirates Central 0.04 AED
17-Oct-25 EOG Resources 1.02 USD
17-Oct-25 Healthpeak 0.1 USD
17-Oct-25 Revvity 0.07 USD
17-Oct-25 Williams Sonoma 0.66 USD
20-Oct-25 Caterpillar 1.51 USD
20-Oct-25 GE Vernova 0.25 USD
21-Oct-25 Dell 0.53 USD
22-Oct-25 Apache 0.25 USD
22-Oct-25 Clorox 1.24 USD
22-Oct-25 Lowes 1.2 USD
23-Oct-25 BAE Systems 0.14 GBP
23-Oct-25 CVS Health 0.67 USD
24-Oct-25 GE Health 0.04 USD
24-Oct-25 Pentair PLC 0.25 USD
24-Oct-25 Procter & Gamble 1.06 USD
27-Oct-25 Bank NY 0.53 USD
28-Oct-25 Fastenal 0.22 USD
29-Oct-25 ASML Holding NV 1.86 USD
29-Oct-25 Carrier Global Corp 0.23 USD
29-Oct-25 Citizens Financial Group Inc 0.46 USD
30-Oct-25 Banco Santander 0.12 EUR
30-Oct-25 Bank of Montreal 1.16 USD
30-Oct-25 Conagra Brands 0.35 USD
30-Oct-25 Constellation 1.02 USD
30-Oct-25 INDITEX 0.84 EUR
30-Oct-25 Whitbread 0.36 GBP
31-Oct-25 AES Corp 0.18 USD
31-Oct-25 Alliant Eng 0.51 USD
31-Oct-25 Ally Financial 0.3 USD
31-Oct-25 AO Smith 0.36 USD
31-Oct-25 Costco 1.3 USD
31-Oct-25 Lamb Weston 0.37 USD
31-Oct-25 Morgan Stanley 1 USD
31-Oct-25 Ni Source 0.28 USD
31-Oct-25 Realty Income 0.27 USD
31-Oct-25 Targa Resources 1 USD
31-Oct-25 Texas Instrument 1.42 USD
31-Oct-25 Zoetis 0.5 USD
03-Nov-25 AON 0.75 USD
03-Nov-25 Blackstone 1.29 USD
03-Nov-25 Citigroup 0.6 USD
03-Nov-25 Kinder Morgan 0.29 USD
03-Nov-25 NRG Energy 0.44 USD
03-Nov-25 ONE OK Inc 1.03 USD
03-Nov-25 Pinnacle West 0.91 USD
04-Nov-25 Alcoa 0.1 USD
04-Nov-25 Baker Hughes 0.23 USD
04-Nov-25 LV Sands 0.25 USD
04-Nov-25 Met Life 0.57 USD

What are dividends?

Dividends are a distribution of a portion of a company’s earnings to its shareholders. Dividends can be issued as cash payments, shares of stock or other equivalent property.

How do they impact your positions?

A dividend causes the share price to fall, as the company is moving money from itself to its shareholders. Dividend payouts from the constituent shares of an index will generally cause the index price to fall. This is because the value of an individual share tends to drop on its ex-dividend date by the amount of the declared dividend. Positive or negative adjustments are applied on Cash Index CFD products to neutralize the impact of the drop in the index price.

Dividend Credits / Debits

How they are calculated?

If you are long then your account will be credited and for short positions your account will be debited.

The dividend is calculated as follows:

Number of CFDs x gross points

Please note: Some exchanges require a withholding tax to be applied to dividend pay-outs. These will be passed on to you, details below:

 

Country

% paid on long positions

% paid on short positions

France 85 100
Germany 73.625 100
Spain 85 100
Switzerland 65 100
UK 100 100
US 70 100

Important Notice:

The above adjustments are based on index points. For details of each Index Cash CFD product, kindly refer to our Product Schedule.
The information supplied serves as a guide only and is subject to change without notice. It is not intended to be trading or investment advice. Axi cannot be held accountable for inaccuracies or any losses incurred as a result of this information.

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