Payable Exdate Amount
per share
(Ch$)
No. of
outstanding
shares
Total amount
(Ch$ million)
Type (a) Type (b)
28-10-21 25-10-21 3.00 4,035,418,919 12,106 Interim Regular Cash
28-10-21 25-10-21 2.50 4,035,418,919 10,089 Final Regular Cash
16-04-21 12-04-21 5.25 4,042,332,010 21,222 Final Regular Cash
29-10-20 24-10-20 2.75 4,017,243,347 11,047 Final Regular Cash
29-10-20 24-10-20 0.75 4,017,243,347 3,013 Interim Regular Cash
20-04-20 15-04-20 7.45 3,695,000,000 27,528 Final Regular Cash
10-25-19 10-20-19 2.60 3,695,000,000 9,607 Final Regular Cash
10-25-19 10-20-19 2.20 3,695,000,000 8,129 Interim Regular Cash
05-10-19 05-05-19 7.45 3,695,000,000 27,528 Final Regular Cash
10-25-18 10-18-18 2.60 3,695,000,000 9,607 Final Regular Cash
10-25-18 10-18-18 1.90 3,695,000,000 7,021 Interim Regular Cash
04-23-18 04-17-18 7.25 3,695,000,000 26,789 Final Regular Cash
11-03-17 10-26-17 2.60 3,683,019,437 9,576 Final Regular Cash
11-03-17 10-26-17 1.75 3,683,019,437 6,445 Interim Regular Cash
05-08-17 05-02-17 7.75 3,258,363,592 25,252 Final Regular Cash
11-07-16 10-29-16 2.25 3,258,363,592 7,331 Final Regular Cash
11-07-16 10-29-16 2.00 3,258,363,592 6,517 Interim Regular Cash
05-09-16 05-03-16 7.25 3,258,363,592 23,623 Final Regular Cash
10-30-15 10-24-15 2.00 3,258,363,592 6,517 Final Regular Cash
10-30-15 10-24-15 2.00 3,258,363,592 6,517 Interim Regular Cash
04-29-15 04-23-15 6.75 3,242,722,621 21,888 Final Regular Cash
10-24-14 10-18-14 1.50 3,228,567,947 4,843 Interim Regular Cash
10-24-14 10-18-14 2.00 3,228,567,947 6,458 Final Regular Cash
04-28-14 04-22-14 5.00 3,183,676,610 15,918 Final Regular Cash
11-20-13 11-14-13 1.50 3,183,674,667 4,776 Final Regular Cash
11-20-13 11-14-13 1.00 3,183,674,667 3,184 Interim Regular Cash
05-30-13 05-24-13 7.00 2,882,258,605 20,176 Final Regular Cash
10-25-12 10-19-12 2.25 2,882,258,605 6,485 Final Regular Cash
10-25-12 10-19-12 1.00 2,882,258,605 2,882 Interim Regular Cash
04-09-12 03-31-12 6.75 2,882,258,605 19,455 Final Regular Cash
10-20-11 10-14-11 2.25 2,882,258,605 6,485 Final Regular Cash
10-20-11 10-14-11 1.00 2,882,258,605 2,882 Interim Regular Cash
04-04-11 03-29-11 6.50 2,550,000,000 16,575 Final Regular Cash
10-21-10 10-15-10 1.00 2,550,000,000 2,550 Interim Regular Cash
10-21-10 10-15-10 2.00 2,550,000,000 5,100 Final Regular Cash
05-07-10 04-30-10 5.00 2,550,000,000 12,750 Final Regular Cash
10-16-09 10-09-09 1.50 2,550,000,000 3,825 Final Regular Cash
10-16-09 10-09-09 1.00 2,550,000,000 2,550 Interim Regular Cash
04-17-09 04-09-09 4.25 2,201,000,000 9,354 Final Regular Cash
10-15-08 10-09-08 0.50 2,201,000,000 1,101 Interim Regular Cash
10-15-08 10-09-08 1.50 2,201,000,000 3,302 Final Regular Cash
04-17-08 04-11-08 4.80 2,201,000,000 10,565 Final Regular Cash
10-30-07 10-24-07 1.10 2,201,000,000 2,421 Final Regular Cash
10-30-07 10-24-07 1.70 2,201,000,000 3,742 Interim Regular Cash
04-23-07 04-17-07 4.15 2,201,000,000 9,134 Final Regular Cash
10-16-06 10-10-06 1.15 2,201,000,000 2,531 Final Regular Cash
10-16-06 10-10-06 1.00 2,201,000,000 2,201 Interim Regular Cash
04-21-06 04-13-06 3.75 2,201,000,000 8,254 Final Regular Cash
10-17-05 10-11-05 0.75 2,040,264,415 1,530 Interim Regular Cash
10-17-05 10-11-05 1.00 2,040,264,415 2,040 Final Regular Cash
04-25-05 04-19-05 3.30 2,040,264,415 6,733 Final Regular Cash
10-07-04 10-01-04 0.50 1,751,470,139 876 Interim Regular Cash
10-07-04 10-01-04 1.00 1,751,470,139 1,751 Final Regular Cash
05-07-04 04-30-04 3.15 1,654,721,054 5,212 Final Regular Cash
10-20-03 10-14-03 0.74 1,654,721,054 1,228 Final Regular Cash
10-20-03 10-14-03 0.76 1,654,721,054 1,254 Interim Regular Cash
05-08-03 05-02-03 2.60 1,654,721,000 4,302 Final Regular Cash
10-17-02 10-10-02 0.27 1,654,721,054 448 Interim Regular Cash
10-17-02 10-10-02 0.33 1,654,721,054 546 Final Regular Cash
05-07-02 04-30-02 2.20 1,654,721,054 3,640 Final Regular Cash
10-23-01 10-17-01 0.40 1,654,721,054 662 Final Regular Cash
10-23-01 10-17-01 0.60 1,654,721,054 993 Final Regular Cash
04-30-01 04-24-01 2.00 1,654,721,054 3,309 Final Regular Cash
10-27-00 10-21-00 1.00 1,654,721,054 1,655 Final Regular Cash
10-27-00 10-21-00 0.25 1,654,721,054 414 Interim Regular Cash
04-17-00 04-11-00 2.75 1,654,721,054 4,550 Final Regular Cash
10-20-99 10-14-99 1.00 1,654,721,054 1,655 Final Regular Cash
10-20-99 10-14-99 0.50 1,654,721,054 827 Interim Regular Cash
04-12-99 04-06-99 2.00 1,654,721,054 3,309 Final Regular Cash
10-14-98 10-07-98 1.00 1,654,721,054 1,655 Interim Regular Cash
10-14-98 10-07-98 4.50 1,654,721,054 7,446 Final Regular Cash
05-11-98 05-05-98 1.50 1,654,721,054 2,482 Final Regular Cash
11-20-97 11-14-97 1.00 1,654,721,054 1,655 Interim Regular Cash
07-01-97           7-for-1 Stock Split
05-08-97 05-02-97 14.00 236,388,722 3,309 Final Regular Cash
05-09-96 05-03-96 11.00 236,388,722 2,600 Final Regular Cash
03-03-95 02-25-95 12.36 170,827,056 2,111 Interim Regular Cash
Year Total Amount
(Ch$ Million)
Profit of the year Payout Ratio*
2021 45,264 88,603 51%
2020 41,676 65,146 64%
2019 45,264 81,156 56%
2018 43,416 80,548 54%
2017 41,273 74,708 55%
2016 37,471 74,522 50%
2015 34,922 65,022 54%
2014 27,219 61,010 45%
2013 28,136 49,843 56%
2012 28,822 46,561 62%
2011 25,942 41,883 62%
2010 20,400 40,852 50%
2009 15,729 29,986 52%
2008 14,968 17,785 84%
2007 15,297 32,018 48%
2006 12,986 26,746 49%
2005 10,303 20,210 51%
2004 7,839 15,506 51%
2003 6,784 14,110 48%
2002 4,634 7,344 63%
2001 4,964 8,852 56%
2000 6,619 9,919 67%
1999 5,791 9,901 58%
1998 11,583 13,618 85%
1997 4,964 8,694 57%
1996 2,600 7,887 33%
1995 2,111 7,191 29%

(*) Payout ratio: Dividends payed on year x / Year x profit