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Two Lilly scientists working in the lab checking results

Investment Calculator

Investment Calculator

Table showing investment value for Lilly shares based on chosen parameters. The table includes: investment date, original number of shares, original value, current number of shares, current value, percent return, split adjustment factor and the current share price
Investment Date Original Shares Original Value Current Shares Current Value % Return Split Adjustment Current Price
January 2, 2014 1,000.00 $50,730.00 1,249.71 $994,359.51 1860.1% 1 $795.67

Adjustments

Table showing adjustments made to the investment value for Lilly shares. The table includes: date, reason for adjustment, split adjustment factor, number of shares, price per share, total value of share, and percent return
Date Reason Factor Shares Price Value %
January 2, 2014 Initial Investment 1,000.00 $50.73 $50,730.00 0%
February 12, 2014 Dividend 0.490 1,009.19 $53.32 $53,810.00

6.07%

May 13, 2014 Dividend 0.490 1,017.43 $60.04 $61,086.26

20.41%

August 13, 2014 Dividend 0.490 1,025.65 $60.59 $62,144.38

22.5%

November 12, 2014 Dividend 0.490 1,033.11 $67.40 $69,631.66

37.26%

February 11, 2015 Dividend 0.500 1,040.50 $69.95 $72,782.64

43.47%

May 14, 2015 Dividend 0.500 1,047.62 $73.06 $76,538.83

50.87%

August 12, 2015 Dividend 0.500 1,053.90 $83.38 $87,874.04

73.22%

November 10, 2015 Dividend 0.500 1,060.48 $80.06 $84,902.04

67.36%

February 10, 2016 Dividend 0.510 1,067.88 $73.07 $78,030.13

53.81%

May 11, 2016 Dividend 0.510 1,075.02 $76.31 $82,034.69

61.71%

August 11, 2016 Dividend 0.510 1,081.82 $80.56 $87,151.78

71.8%

November 10, 2016 Dividend 0.510 1,088.87 $78.34 $85,301.86

68.15%

February 13, 2017 Dividend 0.520 1,096.15 $77.77 $85,247.42

68.04%

May 11, 2017 Dividend 0.520 1,103.25 $80.22 $88,502.98

74.46%

August 11, 2017 Dividend 0.520 1,110.32 $81.15 $90,102.69

77.61%

November 14, 2017 Dividend 0.520 1,117.32 $82.49 $92,167.89

81.68%

February 14, 2018 Dividend 0.563 1,125.48 $77.03 $86,695.81

70.9%

May 16, 2018 Dividend 0.563 1,133.28 $81.18 $91,999.64

81.35%

August 14, 2018 Dividend 0.563 1,139.50 $102.44 $116,730.63

130.1%

November 14, 2018 Dividend 0.563 1,145.34 $109.81 $125,769.74

147.92%

February 14, 2019 Dividend 0.645 1,151.46 $120.75 $139,038.49

174.08%

May 16, 2019 Dividend 0.645 1,157.82 $116.73 $135,152.33

166.41%

August 14, 2019 Dividend 0.645 1,164.59 $110.29 $128,442.76

153.19%

November 14, 2019 Dividend 0.645 1,171.33 $111.39 $130,474.97

157.19%

February 13, 2020 Dividend 0.740 1,177.45 $141.80 $166,962.05

229.12%

May 14, 2020 Dividend 0.740 1,182.95 $158.38 $187,355.44

269.32%

August 13, 2020 Dividend 0.740 1,188.77 $150.46 $178,861.86

252.58%

November 12, 2020 Dividend 0.740 1,195.00 $141.03 $168,531.48

232.21%

February 11, 2021 Dividend 0.850 1,200.02 $202.58 $243,099.76

379.2%

May 13, 2021 Dividend 0.850 1,205.25 $194.94 $234,951.63

363.14%

August 12, 2021 Dividend 0.850 1,209.14 $263.47 $318,571.95

527.98%

November 12, 2021 Dividend 0.850 1,213.10 $259.65 $314,980.80

520.9%

February 14, 2022 Dividend 0.980 1,218.16 $234.69 $285,890.72

463.55%

May 13, 2022 Dividend 0.980 1,222.26 $291.63 $356,446.73

602.63%

August 12, 2022 Dividend 0.980 1,226.14 $308.08 $377,750.67

644.63%

November 14, 2022 Dividend 0.980 1,229.52 $356.06 $437,782.71

762.97%

February 14, 2023 Dividend 1.130 1,233.52 $347.56 $428,721.16

745.1%

May 12, 2023 Dividend 1.130 1,236.73 $434.43 $537,270.65

959.08%

August 14, 2023 Dividend 1.130 1,239.32 $538.00 $666,755.81

1214.32%

November 14, 2023 Dividend 1.130 1,241.62 $610.82 $758,403.75

1394.98%

February 14, 2024 Dividend 1.300 1,243.75 $757.31 $941,902.14

1756.7%

May 15, 2024 Dividend 1.300 1,245.80 $787.02 $980,470.74

1832.72%

August 15, 2024 Dividend 1.300 1,247.54 $931.58 $1,162,183.35

2190.92%

November 15, 2024 Dividend 1.300 1,249.71 $746.20 $932,536.18

1738.23%

December 24, 2024 Current Investment 1,249.71 $795.67 $994,359.51

1860.1%

Return calculations do not include reinvested cash dividends.

Minimum 15 minutes delayed. Source: LSEG