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FTS Dividend History

FTS Dividend History lookup to find the FTS ex-dividend date, payout ratio, yield, and growth rate for the FTS stock. Fortis Inc pays a quarterly dividend of $0.47 per share with a yield of 3.29%. The next FTS ex-dividend date is May 15, 2026 with payout date set for June 1, 2026.

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Last update date: May 19, 2026

FTS Ex-Dividend Date, Yield & Payout Ratio

FTS - Fortis Inc (NYSE)
FTS Stock Price - $55.87
FTS Dividend Payout - $0.47 Per Share
FTS Annual Dividend - $1.84 Per Share
FTS Dividend Payout Ratio - 75.53%
FTS Dividend Yield - 3.29%

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[Free Download] Top 7 Dividend Stocks
Ex-Dividend Date Period Dividend Change Declaration Date Record Date Payout Date
05/15/2026 Quarterly $0.46700 +0.21% 02/11/2026 05/15/2026 06/01/2026
02/17/2026 Quarterly $0.46900 +1.08% 12/04/2025 02/17/2026 03/01/2026
11/17/2025 Quarterly $0.45440 11/04/2025 11/17/2025 12/01/2025
08/19/2025 Quarterly $0.44500 +1.05% 07/31/2025 08/19/2025 09/01/2025
05/16/2025 Quarterly $0.44100 +1.43% 02/13/2025 05/16/2025 06/01/2025
02/18/2025 Quarterly $0.43400 -0.98% 12/04/2024 02/18/2025 03/01/2025
11/18/2024 Quarterly $0.43700 +1.13% 09/26/2024 11/18/2024 12/01/2024
08/20/2024 Quarterly $0.43300 -0.13% 07/30/2024 08/20/2024 09/01/2024
05/16/2024 Quarterly $0.43400 -0.96% 02/08/2024 05/17/2024 06/01/2024
02/15/2024 Quarterly $0.43600 +1.77% 12/06/2023 02/16/2024 03/01/2024
11/16/2023 Quarterly $0.43100 +3.06% 09/19/2023 11/17/2023 12/01/2023
08/18/2023 Quarterly $0.41700 -0.59% 08/01/2023 08/21/2023 09/01/2023
05/16/2023 Quarterly $0.42000 -0.39% 02/09/2023 05/17/2023 06/01/2023
02/14/2023 Quarterly $0.42400 -0.45% 11/17/2022 02/15/2023 03/01/2023
11/16/2022 Quarterly $0.42600 +2.77% 09/30/2022 11/17/2022 12/01/2022
08/18/2022 Quarterly $0.41400 -1.21% 07/27/2022 08/19/2022 09/01/2022
05/16/2022 Quarterly $0.41400 -0.72% 02/10/2022 05/17/2022 06/01/2022
02/14/2022 Quarterly $0.42000 -1.15% 11/18/2021 02/15/2022 03/01/2022
11/16/2021 Quarterly $0.42800 +7.60% 09/29/2021 11/17/2021 12/01/2021
08/18/2021 Quarterly $0.40000 -5.56% 07/28/2021 08/19/2021 09/01/2021
05/14/2021 Quarterly $0.41500 +4.99% 02/11/2021 05/17/2021 06/01/2021
02/12/2021 Quarterly $0.39800 +2.99% 11/18/2020 02/16/2021 03/01/2021
11/17/2020 Quarterly $0.38600 +6.63% 09/24/2020 11/18/2020 12/01/2020
08/18/2020 Quarterly $0.36100 +7.01% 07/29/2020 08/19/2020 09/01/2020
05/14/2020 Quarterly $0.33900 -5.93% 02/12/2020 05/15/2020 06/01/2020


02/14/2020 Quarterly $0.36000 -0.16% 11/20/2019 02/18/2020 03/01/2020
11/18/2019 Quarterly $0.36100 +6.80% 09/10/2019 11/19/2019 12/01/2019
08/19/2019 Quarterly $0.33900 +1.09% 07/31/2019 08/20/2019 09/01/2019
05/16/2019 Quarterly $0.33500 -1.50% 05/03/2019 05/17/2019 06/01/2019
02/14/2019 Quarterly $0.34000 -0.05% 10/16/2018 02/15/2019 03/01/2019
11/19/2018 Quarterly $0.34200 +4.10% 10/16/2018 11/20/2018 12/01/2018
08/20/2018 Quarterly $0.32500 -1.20% 08/23/2018 08/21/2018 09/01/2018
05/17/2018 Quarterly $0.33200 -2.90% 02/16/2018 05/18/2018 06/01/2018
02/14/2018 Quarterly $0.33800 +2.29% 12/11/2017 02/15/2018 03/01/2018
11/17/2017 Quarterly $0.33300 +4.44% 10/17/2017 11/20/2017 12/01/2017
08/17/2017 Quarterly $0.31700 +7.71% 08/07/2017 08/21/2017 09/01/2017
05/17/2017 Quarterly $0.29533 -3.59% 03/06/2017 05/19/2017 06/01/2017
02/14/2017 Quarterly $0.30600 +3.53% 12/08/2016 02/16/2017 03/01/2017
11/16/2016 Quarterly $0.29700 +1.68% 10/26/2016 11/18/2016 12/01/2016
08/17/2016 Quarterly $0.29200 07/28/2016 08/19/2016 09/01/2016
05/16/2016 Quarterly $0.29000 +7.90% 02/17/2016 05/18/2016 06/01/2016
02/12/2016 Quarterly $0.26900 -3.85% 12/17/2015 02/17/2016 03/01/2016
11/16/2015 Quarterly $0.28100 +8.01% 09/29/2015 11/18/2015 12/01/2015
08/17/2015 Quarterly $0.26000 -8.40% 05/06/2015 08/19/2015 09/01/2015
05/14/2015 Quarterly $0.28400 -2.91% 02/18/2015 05/19/2015 06/01/2015
02/12/2015 Quarterly $0.29200 +2.38% 12/17/2014 02/17/2015 03/01/2015
10/22/2014 Quarterly $0.28500 -2.60% 08/14/2014 10/24/2014 12/01/2014
08/13/2014 Quarterly $0.29300 -0.37% 05/13/2014 08/15/2014 09/01/2014
05/14/2014 Quarterly $0.29400 +0.93% 03/13/2014 05/16/2014 06/01/2014
02/12/2014 Quarterly $0.29100 -1.56% 12/09/2013 02/14/2014 03/01/2014
11/13/2013 Quarterly $0.29580 -1.53% 09/23/2013 11/15/2013 12/01/2013
08/14/2013 Quarterly $0.30040 -1.41% 05/08/2013 08/16/2013 09/01/2013
05/15/2013 Quarterly $0.30470 -1.46% 03/20/2013 05/17/2013 06/01/2013
02/12/2013 Quarterly $0.30920 +3.38% 12/11/2012 02/14/2013 03/01/2013
11/14/2012 Quarterly $0.29910 -1.38% 11/16/2012 12/01/2012
08/15/2012 Quarterly $0.30330 +1.40% 08/17/2012 09/01/2012
05/15/2012 Quarterly $0.29910 -0.33% 05/17/2012 06/01/2012
02/13/2012 Quarterly $0.30010 +5.41% 02/15/2012 03/01/2012
11/09/2011 Quarterly $0.28470 -2.70% 11/14/2011 12/01/2011
08/10/2011 Quarterly $0.29260 +0.90% 08/12/2011 09/01/2011
05/11/2011 Quarterly $0.29000 -0.62% 05/13/2011 06/01/2011
02/09/2011 Quarterly $0.29180 +4.07% 02/11/2011 03/01/2011
11/09/2010 Quarterly $0.28040 +2.00% 11/12/2010 12/01/2010
08/04/2010 Quarterly $0.27490 +0.77% 08/06/2010 09/01/2010
05/05/2010 Quarterly $0.27280 -2.57% 05/07/2010 06/01/2010
02/03/2010 Quarterly $0.28000 +14.47% 02/05/2010 03/01/2010
11/04/2009 Quarterly $0.24460 +0.87% 11/06/2009 12/01/2009
08/05/2009 Quarterly $0.24250 +9.68% 08/07/2009 09/01/2009
05/06/2009 Quarterly $0.22110 +4.69% 05/08/2009 06/01/2009
02/04/2009 Quarterly $0.21120 -1.31% 02/06/2009 03/01/2009
11/05/2008 Quarterly $0.21400 -10.31% 11/07/2008 12/01/2008
08/06/2008 Quarterly $0.23860 -3.75% 08/08/2008 09/01/2008
05/07/2008 Quarterly $0.24790 -0.12% 05/09/2008 06/01/2008
02/06/2008 Quarterly $0.24820 +10.36% 02/08/2008 03/01/2008
11/07/2007 Quarterly $0.22490 +12.34% 11/09/2007 12/01/2007
08/08/2007 Quarterly $0.20020 +5.70% 08/10/2007 09/01/2007
05/02/2007 Quarterly $0.18940 +17.57% 05/04/2007 06/01/2007
01/31/2007 Quarterly $0.16110 -4.22% 02/02/2007 03/01/2007
11/01/2006 Quarterly $0.16820 +18.62% 11/03/2006 12/01/2006
08/02/2006 Quarterly $0.14180 -2.00% 08/04/2006 09/01/2006
05/03/2006 Quarterly $0.14470 +3.14% 05/05/2006 06/01/2006
02/01/2006 Quarterly $0.14030 -74.17% 02/03/2006 03/01/2006
11/02/2005 Quarterly $0.54310 +363.00% 11/04/2005 12/01/2005
08/03/2005 Quarterly $0.11730 +2.87% 08/05/2005 09/01/2005
05/04/2005 Quarterly $0.11403 -1.14% 05/06/2005 06/01/2005
02/02/2005 Quarterly $0.11535 +4.58% 02/04/2005 03/01/2005
11/03/2004 Quarterly $0.11030 +7.58% 11/05/2004 12/01/2004
08/04/2004 Quarterly $0.10253 08/06/2004 09/01/2004

FTS Dividend FAQs

What is the dividend yield for FTS?

- The dividend yield for FTS is 3.29% as of May 19, 2026.

When is the next ex-dividend date for FTS?

- The next ex-dividend date for FTS is on May 15, 2026.

When is the next dividend payout date for FTS?

- The next dividend payout date for FTS is on June 1, 2026.

What is the dividend payout ratio for FTS?

- The dividend payout ratio for FTS is 75.53%.

When did FTS begin paying dividends?

- FTS began paying dividends in 2004.