0Q8P: Dividend & History, Ex Date, Yield for Prosegur
Advertising

Prosegur Dividend 2024

0 rated
Google Play A2 Dividens Summary
Div.Rating 4.3
Dividend Yield Trailing
3.03%
Dividend Yield Forward
3.03%
Payout Ratio
0.68 %
Average Yield, 5y
1.08%
Payout Stability
100 %
Payout Growth Stability
20 %

Latest updated dividend data: 26 Dec 22:49

Dividend History

Statistics for 5 years: 2018-2023

Frequency of payments, how many times a year 4.0
Duration of growth, number of years 1.0
Payout Stability 100 %
Payout Growth Stability 20 %
Dividend Growth, Simple 10718.75 %
Dividend Growth, CAGR 155.17 %
Average Dividend £0.00514
Average Dividends per Year £0.021588
Average Dividend Yield 0.29%
Average Annual Dividend Yield 1.08%
Minimum £0.00024 (2018-01-16)
Maximum €0.05314 (2022-12-23)
Prosegur
Ex-Dividend Date Record Date Pay Date Payout Amount Yield Source
2023-12-19 €0.05354 3.03% EOD
2022-12-23 €0.05314 3.01% EOD
2022-10-25 €0.02511 1.49% EOD
2022-07-19 €0.02511 1.53% EOD
2022-04-26 £0.00025 0.01% EOD
2022-01-21 £0.00025 0.01% EOD
2021-10-18 £0.00025 0.01% EOD
2021-07-16 £0.00025 0.01% EOD
2021-04-16 £0.00025 0.01% EOD
2021-01-26 £0.00025 0.01% EOD
2020-10-23 £0.00027 0.01% EOD
2020-07-20 £0.00027 0.01% EOD
2020-04-28 £0.00027 0.01% EOD
2020-01-13 £0.00027 0.01% EOD
2019-10-10 £0.00026 0.01% EOD
2019-07-05 £0.00026 0.01% EOD
2019-04-04 £0.00026 0.01% EOD
2019-01-14 £0.00026 0.01% EOD
2018-10-09 £0.00024 0.0% EOD
2018-07-10 £0.00024 0.0% EOD
2018-04-09 £0.00024 0.0% EOD
2018-01-16 £0.00024 0.0% EOD
2017-12-22 £0.00368 0.05% EOD
2017-10-12 £0.00022 0.0% EOD
2017-07-11 £0.00022 0.0% EOD
2016-07-12 £0.00022 0.0% EOD
2016-04-15 £0.00022 0.0% EOD
2016-01-15 £0.00022 0.01% EOD
2015-07-17 £0.00021 0.0% EOD
2015-04-17 £0.00021 0.0% EOD
2015-01-19 £0.00021 0.0% EOD
2014-10-16 £0.00021 0.0% EOD
2014-07-17 £0.00021 0.0% EOD
2014-04-22 £0.00021 0.01% EOD
2014-01-20 £0.00021 0.01% EOD
2013-10-18 £0.00021 0.01% EOD
2013-07-19 £0.00021 0.01% EOD
Expand

Historical Annual Dividends

Year Last Stock Price Avg. Stock Price Amount Yield (at avg price) Yield (at last price) EPS Payout Ratio
2023 £1.8 £1.7 £0.054 3.08 % 3.03 %
2022 £1.8 £2.0 £0.10 5.26 % 5.87 %
2021 £2.6 £2.7 £0.00 0.04 % 0.04 % 0.1471 1 %
2020 £2.5 £2.5 £0.001 0.04 % 0.04 % 0.1265 1 %
2019 £3.7 £4.1 £0.001 0.03 % 0.03 % 0.1383 1 %
2018 £4.4 £5.7 £0.0010 0.02 % 0.02 % 0.0106 9 %
2017 £6.6 £6.0 £0.004 0.07 % 0.06 % 0.475 1 %
2016 £5.9 £5.4 £0.0007 0.01 % 0.01 % 0.147 0 %
2015 £4.2 £4.8 £0.0006 0.01 % 0.01 % 0.2288 0 %
2014 £4.8 £4.9 £0.0008 0.02 % 0.02 % 0.2633 0 %
2013 £5.0 £4.3 £0.0004 0.01 % 0.01 % 0.1033 0 %
Expand

Stock Price Recovery History

Prosegur
Ex-Dividend Date Payout Amount Stock Price Days for Stock Price to Recover
2023-12-19 €0.05354 £1.769 1
2022-12-23 €0.05314 £1.766 5
2022-10-25 €0.02511 £1.683 1
2022-07-19 €0.02511 £1.652 6
2022-04-26 £0.00025 £1.931 2
2022-01-21 £0.00025 £2.6002 3
2021-10-18 £0.00025 £2.564 1
2021-07-16 £0.00025 £2.8 10
2021-04-16 £0.00025 £2.817 3
2021-01-26 £0.00025 £2.392 9
2020-10-23 £0.00027 £2.05 11
2020-07-20 £0.00027 £2.187 9
2020-04-28 £0.00027 £1.9795 1
2020-01-13 £0.00027 £3.691 1
2019-10-10 £0.00026 £3.28 1
2019-07-05 £0.00026 £4.025 5
2019-04-04 £0.00026 £4.9 1
2019-01-14 £0.00026 £4.889 8
2018-10-09 £0.00024 £4.9655 93
2018-07-10 £0.00024 £5.4375 1
2018-04-09 £0.00024 £6.4225 1
2018-01-16 £0.00024 £6.7525 1
2017-12-22 £0.00368 £6.9534 1439
2017-10-12 £0.00022 £6.5496 1
2017-07-11 £0.00022 £5.5197 1
2016-07-12 £0.00022 £5.4882 6
2016-04-15 £0.00022 £4.87 3
2016-01-15 £0.00022 £3.92 3
2015-07-17 £0.00021 £5.15 3
2015-04-17 £0.00021 £5.325 3
2015-01-19 £0.00021 £4.765 2
2014-10-16 £0.00021 £4.61 6
2014-07-17 £0.00021 £5.475 216
2014-04-22 £0.00021 - -
2014-01-20 £0.00021 - -
2013-10-18 £0.00021 - -
2013-07-19 £0.00021 - -
Expand