REN.AS
Relx PLC
Also listed on: REL.LSE (GBP)
Price history
Key metrics
Relx PLC has paid a dividend for 36 consecutive years and currently yields 2.64%, above its five year average. Its payout ratio is 67%. Dividend Health rates it Safe at 78 out of 99, with high confidence.
Data as of 22 Aug 2026
Dividend
Valuation
Market
Next dividend
Per share
£0.48
Frequency
Final
Declared
—
Ex-date
8 May 2027
in 259 days
Pay date
10 Jun 2027
in 292 days
Dividend health
Confidence High · Standard profile · as of 22 Aug 2026
About Relx PLC
RELX PLC, together with its subsidiaries, provides information-based analytics and decision tools for professional and business customers in North America, Europe, and internationally. It operates through four segments: Risk; Scientific, Technical & Medical; Legal; and Exhibitions. The Risk segment offers information-based analytics and decision tools that combine public and industry specific content with technology and algorithms to assist clients in evaluating and predicting risk, as well as a portfolio of commercial healthcare products. Its Scientific, Technical & Medical segment provides scientific and medical information and data sets for science and healthcare. The Legal segment provides legal, regulatory, and business information and analytics. Its Exhibitions segment combines digital tools and data to help customers connect in-person and online, discover new markets, source products, generate leads, and transact. The company was formerly known as Reed Elsevier PLC and changed its name to RELX PLC in July 2015. RELX PLC was incorporated in 1903 and is headquartered in London, the United Kingdom.
Annual dividends per share
Dividends paid in GBP while REN.AS is listed in EUR · based on REN.AS's fiscal years ending in December
Dividend Policy
The dividend policy of RELX PLC is, over the longer term, to grow dividends broadly in line with adjusted earnings per share paying out approximately half of adjusted earnings in dividend each year.
Dividend History
| Ex-Date | Amount | Status |
|---|---|---|
| 04 Aug 272027-08-04 | €0.2440 | Estimated |
| 08 May 272027-05-08 | €0.5605 | Estimated |
| 06 Aug 262026-08-06 | €0.2441 | Pending |
| 07 May 262026-05-07 | €0.5548 | Paid |
| 07 Aug 252025-08-07 | €0.2247 | Paid |
| 08 May 252025-05-08 | €0.5286 | Paid |
| 01 Aug 242024-08-01 | €0.2149 | Paid |
| 02 May 242024-05-02 | €0.4884 | Paid |
| 03 Aug 232023-08-03 | €0.1975 | Paid |
| 27 Apr 232023-04-27 | €0.4408 | Paid |
| 04 Aug 222022-08-04 | €0.1864 | Paid |
| 28 Apr 222022-04-28 | €0.4212 | Paid |
| 05 Aug 212021-08-05 | €0.1683 | Paid |
| 29 Apr 212021-04-29 | €0.3842 | Paid |
| 30 Jul 202020-07-30 | €0.1503 | Paid |
| 24 Apr 202020-04-24 | €0.3669 | Paid |
| 01 Aug 192019-08-01 | €0.1489 | Paid |
| 02 May 192019-05-02 | €0.3463 | Paid |
| 02 Aug 182018-08-02 | €0.1393 | Paid |
| 26 Apr 182018-04-26 | €0.3186 | Paid |
| 03 Aug 172017-08-03 | €0.1295 | Paid |
| 27 Apr 172017-04-27 | €0.3050 | Paid |
| 04 Aug 162016-08-04 | €0.1207 | Paid |
| 28 Apr 162016-04-28 | €0.3030 | Paid |
| 06 Aug 152015-08-06 | €0.1011 | Paid |
| 30 Apr 152015-04-30 | €0.2596 | Paid |
| 06 Aug 142014-08-06 | €0.0956 | Paid |
| 30 Apr 142014-04-30 | €0.2452 | Paid |
| 07 Aug 132013-08-07 | €0.0908 | Paid |
| 01 May 132013-05-01 | €0.2322 | Paid |
| 08 Aug 122012-08-08 | €0.0820 | Paid |
| 25 Apr 122012-04-25 | €0.2172 | Paid |
| 03 Aug 112011-08-03 | €0.0772 | Paid |
| 20 Apr 112011-04-20 | €0.2049 | Paid |
| 04 Aug 102010-08-04 | €0.0738 | Paid |
| 28 Apr 102010-04-28 | €0.2049 | Paid |
| 05 Aug 092009-08-05 | €0.0738 | Paid |
| 22 Apr 092009-04-22 | €0.2049 | Paid |
| 06 Aug 082008-08-06 | €0.0724 | Paid |
| 30 Apr 082008-04-30 | €0.1858 | Paid |
| 07 Jan 082008-01-07 | €1.2940 | Paid |
| 01 Aug 072007-08-01 | €0.0710 | Paid |
This page is for informational purposes only and does not constitute investment advice. Past dividend payments are not a guarantee of future payments. All data is sourced from public market data and may be delayed. Always do your own research before making any investment decisions.
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