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UNIVERSAL INSURANCE HOLDINGS, INC. (UVE) Dividend

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UNIVERSAL INSURANCE HOLDINGS, INC. Dividend

A dividend is the cash a company pays its shareholders for each share they own, and the dividend yield is that payment as a percentage of the share price. Each row pairs a dividend per share with the split-adjusted closing price on its ex-dividend date, the first day a new purchaser is no longer entitled to that payment; the yield divides the dividend by that same-day close, never today's price. A higher yield means more cash paid per dollar of share price for that single payment. The annual view adds up the payments in each year and shows the latest yield.

  • UNIVERSAL INSURANCE HOLDINGS, INC. dividend per share for the quarter ending 2026-07-31 was $0.16, a 0.00% change year-over-year.
  • UNIVERSAL INSURANCE HOLDINGS, INC. dividend per share for the quarter ending 2026-05-08 was $0.16, a 0.00% change year-over-year.
  • UNIVERSAL INSURANCE HOLDINGS, INC. dividend per share for the quarter ending 2026-03-06 was $0.16, a 0.00% change year-over-year.
  • UNIVERSAL INSURANCE HOLDINGS, INC. dividend per share for the quarter ending 2025-12-05 was $0.29, a 0.00% change year-over-year.
Available history
2007 to 2026-07-31
Data captured

Historical Dividend

DateDividend per shareDividend Yield
2026-07-31$0.160.37%
2026-05-08$0.160.41%
2026-03-06$0.160.45%
2025-12-05$0.290.93%
2025-08-01$0.160.70%
2025-05-09$0.160.62%
2025-03-07$0.160.76%
2024-12-06$0.291.33%
2024-08-02$0.160.83%
2024-05-09$0.160.79%
2024-03-07$0.160.82%
2023-12-07$0.291.75%
2023-08-03$0.161.08%
2023-05-11$0.161.01%
2023-03-08$0.160.84%
2022-12-08$0.292.64%
2022-08-01$0.161.31%
2022-05-12$0.161.29%
2022-03-09$0.161.30%
2021-12-09$0.291.86%
2021-07-30$0.161.13%
2021-05-13$0.161.11%
2021-03-10$0.161.01%
2020-12-10$0.291.97%
2020-07-30$0.160.91%
2020-05-13$0.160.98%
2020-03-11$0.160.74%
2019-12-12$0.291.02%
2019-07-02$0.160.56%
2019-05-02$0.160.54%
2019-03-08$0.160.51%
2018-11-26$0.290.67%
2018-06-29$0.160.46%
2018-04-26$0.140.44%
2018-02-27$0.140.46%
2017-11-24$0.271.03%
2017-09-11$0.140.70%
2017-06-12$0.140.54%
2017-02-15$0.140.52%
2016-11-29$0.271.10%
2016-09-08$0.140.55%
2016-06-13$0.140.76%
2016-02-16$0.140.80%
2015-11-27$0.271.33%
2015-09-21$0.120.43%
2015-06-16$0.120.49%
2015-02-13$0.120.52%
2014-12-03$0.251.28%
2014-09-19$0.100.78%
2014-06-17$0.100.73%
2014-02-14$0.100.86%
2013-12-11$0.231.85%
2013-09-19$0.101.32%
2013-05-30$0.081.12%
2013-03-12$0.081.77%
2012-12-12$0.081.83%
2012-09-24$0.082.07%
2012-06-22$0.082.41%
2012-03-26$0.102.54%
2011-12-19$0.144.03%
2011-09-14$0.081.99%
2011-03-09$0.101.71%
2010-10-20$0.102.15%
2010-06-15$0.102.22%
2010-03-17$0.122.26%
2009-11-12$0.203.34%
2009-09-01$0.122.51%
2009-04-07$0.123.10%
2009-02-10$0.102.87%
2008-11-28$0.207.66%
2008-09-30$0.102.87%
2008-07-07$0.102.89%
2008-03-06$0.091.50%
2007-09-25$0.081.17%
2007-07-18$0.071.22%

Annual Dividend

DateDividend per shareDividend Yield
2026$0.480.37%
2025$0.770.93%
2024$0.771.33%
2023$0.771.75%
2022$0.772.64%
2021$0.771.86%
2020$0.771.97%
2019$0.771.02%
2018$0.730.67%
2017$0.691.03%
2016$0.691.10%
2015$0.631.33%
2014$0.551.28%
2013$0.491.85%
2012$0.341.83%
2011$0.324.03%
2010$0.322.15%
2009$0.543.34%
2008$0.497.66%
2007$0.151.17%

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