Shareholders and investors

General Information

Remuneration and dividends

In this section we describe the various remunerations that Sacyr has carried out.

Regarding the tax implications of the 'scrip dividend' (flexible dividend), they are as well detailed depending on the options available to our shareholders upon remuneration, after the execution of the capital increase (charged to reserves and executed in accordance with prevailing Spanish legislation).

Taxation about Sacyr Flexible dividend - 98 Kb

Charged to 2022 profits
Payment date Valuation date Gross amount Net amount* Concept
06/07/2023 (1) 13/07/2023 0.078 0.063 Scrip Dividend
31/01/2024 (2) 07/02/2024 0.062 0.05 Scrip Dividend

*Applying 19% withholding

(1) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 38 in circulation.

Charged to 2021 profits
Payment date Valuation date Gross amount Net amount* Concept
21/06/2022 (1) 29/06/2022 0.066 0.057 Scrip Dividend
31/01/2023 (2) 08/02/2023 0.058 0.047 Scrip Dividend

*Applying 19% withholding

(1) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 39 in circulation.

(2) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 45 in circulation.

Charged to 2020 profits
Payment date Valuation date Gross amount Net amount* Concept
01/02/2022 (2) 09/02/2022 0.049 0.040 Scrip Dividend
29/06/2021 (1) 07/07/2021 0.054 0.044 Scrip Dividend

*Applying 19% withholding

(1) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 40 in circulation.

(2) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 45 in circulation.

Charged to 2019 profits
Payment date Valuation date Gross amount Net amount* Concept
(2) 25/01/2021 10/02/2021 0.042 0.034 Scrip Dividend
(1) 27/11/2020 04/12/2020 0.026 0.021 Scrip Dividend

*Applying 19% withholding

(1) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 54 in circulation.

(2) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 47 in circulation.

Charged to 2018 profits
Payment date Valuation date Gross amount Net amount* Concept
(2) 30/01/2020 19/02/2020 0.056 0.045 Scrip Dividend
(1) 04/07/2019 30/07/2019 0.054 0.043 Scrip Dividend

*Applying 19% withholding

(1) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 39 in circulation.

(2) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 46 in circulation.

Charged to 2017 profits
Payment date Valuation date Gross amount € Net amount* Concept
30/01/2019 20/02/2019 0.051 0.041 Scrip Dividend
11/07/2018 02/08/2018 0.051 0.041 Scrip Dividend

*Applying 19% withholding

(1) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 48 in circulation.

(2) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 35 in circulation.

Charged to 2016 profits
Payment date Valuation date Gross amount € Net amount* Concept
09/02/2018 28/02/2018 0.052 0.042 Scrip Dividend

*Applying 19% withholding

(1) Cash amount paid to shareholders who opted not to receive new freely allotted shares at a proportion of 1 new share for every 48 in circulation.

Charged to 2015 profits
Payment date Valuation date Net amount* Concept
15/09/2015 0.050 0.040 A cuenta 2015

*Applying 19,50% withholding

Charged to 2011 profits
Payment date Valuation date Net amount* Concept
24/05/2011 0.100 0.081 A cuenta 2011

*Applying 19% withholding

Charged to 2008 profits
Payment date Valuation date Net amount* Concept
04-11-08 0.300 0.246 1º y 2º a cuenta, acc. ampl. capital
31-10-08 0.150 0.123 2º a cuenta
10-07-08 0.150 0.123 1º a cuenta

*Applying 18% withholding

Charged to 2007 profits
Payment date Valuation date Net amount* Concept
08-04-08 0.150 0.123 4º a cuenta
11-01-08 0.150 0.123 3º a cuenta
11-10-07 0.150 0.123 2º a cuenta
17-07-07 0.150 0.123 1º a cuenta

*Applying 18% withholding

Charged to 2006 profits
Payment date Valuation date Net amount* Concept
13-04-07 0.185 0.185 4º a cuenta
16-01-07 0.105 0.08610 3º a cuenta
13-10-06 0.105 0.08925 2º a cuenta
21-07-06 0.105 0.08925 1º a cuenta

*Applying 18% withholding

Charged to 2005 profits
Payment date Valuation date Net amount* Concept
12-04-06 0.12 0.102 Complementario
13-01-06 0.10 0.085 3º a cuenta
14-10-05 0.10 0.085 2º a cuenta
29-07-05 0.10 0.085 1º a cuenta

*Applying 15% withholding

Charged to 2004 profits
Payment date Valuation date Net amount* Concept
15-04-05 0.135 0.115 Complementario
14-01-05 0.075 0.064 3º a cuenta
15-10-04 0.075 0.064 2º a cuenta
28-07-04 0.077 0.065 1º a cuenta

*Applying 15% withholding

Charged to 2003 profits
Payment date Valuation date Net amount* Concept
29-06-04 0.075 0.064 Complementario
09-01-04 0.075 0.064 3º a cuenta
16-10-03 0.120 0.102 Extr. Fusión
15-10-03 0.075 0.064 2º a cuenta
14-07-03 0.075 0.064 1º a cuenta

*Applying 15% withholding

Charged to 2002 profits
Payment date Valuation date Net amount* Concept
10-04-03 0.075 0.064 Complementario
31-01-03 0.075 0.062 3º a cuenta
30-10-03 0.075 0.062 2º a cuenta
27-07-02 0.075 0.062 1º a cuenta

*Applying 15% withholding

Related Documentation

 

02/09/2020

Execution of the capital increase (“scrip dividend”) agreement

02/09/2020

The company announces resolutions adopted at the Annual General Meeting of Shareholders

02/09/2020

The company announces changes to the Appointments and Remunerations Committee

This website uses its own and third-party cookies to improve the user experience and analyze their behavior in order to improve the service offered.
You can consult additional information about the cookies installed on our Cookies policy.

Cookie Settings

Cookie declaration

TECHNICAL

These cookies are exempt from compliance with article 22.2 of the LSSI in accordance with the recommendations indicated by the European authority on privacy and cookies. In accordance with the above and although configuration, acceptance or denial is not possible, the editor of this website offers information about them in an exercise of transparency with the user.

  • Name: LFR_Session_STATE_*, Provider: Liferay, Purpose: Manages the session as a registered user , Expiration: Session, Type: HTTP

  • Name: GUEST_LANGUAGE_ID, Provider: Liferay, Purpose: Determines the language with which you access , to show the same in the next session, Expiration: 1 year, Type: HTTP

  • Name: ANONYMOUS_USER_ID, Provider: Liferay, Purpose: Manages the session as an unregistered user , Expiration: 1 year, Type: HTTP

  • Name: COOKIE_SUPPORT, Provider: Liferay, Purpose: Identifies that the use of cookies for the operation of the portal, Expiration: 1 year, Type: HTTP

  • Name: JSessionID, Provider: Liferay, Purpose: Manages login and indicates who is using the site, Expiry: Session, Type: HTTP

  • Name: SACYRGDPR, Supplier: Sacyr, Purpose: Used to manage the cookie policy , Expiration: Session, Type: HTTP