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Prosegur

Stock
Stock
ISIN: ES0175438003
Ticker: PSG
ES0175438003
PSG

Price

Dividend metrics

Annual payout (TTM) 
€0.159
Yield (TTM) 
6.162%
Payout ratio 
78.20%
Payout frequency 
Annually
Dividend growth (3Y) 
-5.639%
Next payment 
€0.166

Dividend history & forecast

€0.118

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2027
6.23%
+5.11%
€0.174
Forecasted
02.12.2027
04.12.2027
6.23%
+5.11%
€0.174
2026
5.93%
+4.21%
€0.166
Forecasted
02.12.2026
04.12.2026
5.93%
+4.21%
€0.166
2025
5.69%
+4.6%
€0.159
Paid
02.12.2025
04.12.2025
5.69%
+4.6%
€0.159
2024
7.8%
+130.41%
€0.152
Paid
02.12.2024
04.12.2024
7.8%
+130.41%
€0.152
2023
3.6%
-65.14%
€0.0661
Paid
19.12.2023
21.12.2023
3.6%
+0.76%
€0.0661
2022
10.33%
+52.9%
€0.19
Paid
23.12.2022
28.12.2022
3.71%
+111.61%
€0.0656
Paid
25.10.2022
27.10.2022
1.82%
0%
€0.031
Paid
19.07.2022
21.07.2022
1.89%
0%
€0.031
Paid
26.04.2022
28.04.2022
1.58%
0%
€0.031
Paid
21.01.2022
25.01.2022
1.33%
0%
€0.031
2021
4.68%
-6.06%
€0.124
Paid
18.10.2021
20.10.2021
1.22%
0%
€0.031
Paid
16.07.2021
20.07.2021
1.09%
0%
€0.031
Paid
16.04.2021
20.04.2021
1.14%
0%
€0.031
Paid
26.01.2021
28.01.2021
1.24%
-6.06%
€0.031
2020
5.6%
+10%
€0.132
Paid
23.10.2020
27.10.2020
1.54%
0%
€0.033
Paid
20.07.2020
22.07.2020
1.51%
0%
€0.033
Paid
28.04.2020
30.04.2020
1.67%
0%
€0.033
Paid
13.01.2020
15.01.2020
0.89%
+10%
€0.033
2019
3.05%
0%
€0.12
Paid
10.10.2019
14.10.2019
0.92%
0%
€0.03
Paid
05.07.2019
09.07.2019
0.8%
0%
€0.03
Paid
04.04.2019
08.04.2019
0.66%
0%
€0.03
Paid
14.01.2019
16.01.2019
0.67%
0%
€0.03
2018
2%
-78.95%
€0.12
Paid
09.10.2018
11.10.2018
0.6%
0%
€0.03
Paid
10.07.2018
12.07.2018
0.52%
0%
€0.03
Paid
09.04.2018
11.04.2018
0.46%
0%
€0.03
Paid
16.01.2018
18.01.2018
0.43%
-93.33%
€0.03
2017
8.7%
+159.09%
€0.57
Paid
22.12.2017
28.12.2017
6.69%
+1,400%
€0.45
Paid
12.10.2017
16.10.2017
0.46%
0%
€0.03
Paid
11.07.2017
13.07.2017
0.52%
0%
€0.03
Paid
10.04.2017
12.04.2017
0.51%
0%
€0.03
Paid
13.01.2017
17.01.2017
0.52%
-70%
€0.03
2016
4.05%
+100%
€0.22
Paid
08.12.2016
12.12.2016
1.71%
+233.33%
€0.10
Paid
12.10.2016
14.10.2016
0.47%
0%
€0.03
Paid
12.07.2016
15.07.2016
0.54%
0%
€0.03
Paid
15.04.2016
15.04.2016
0.57%
0%
€0.03
Paid
15.01.2016
15.01.2016
0.75%
0%
€0.03
2015
2.29%
-8.33%
€0.11
Paid
16.10.2015
16.10.2015
0.71%
0%
€0.03
Paid
17.07.2015
17.07.2015
0.6%
0%
€0.03
Paid
17.04.2015
17.04.2015
0.56%
+50%
€0.03
Paid
19.01.2015
19.01.2015
0.41%
-33.33%
€0.02
2014
2.5%
0%
€0.12
Paid
16.10.2014
16.10.2014
0.63%
0%
€0.03
Paid
17.07.2014
17.07.2014
0.58%
0%
€0.03
Paid
22.04.2014
22.04.2014
0.65%
0%
€0.03
Paid
20.01.2014
20.01.2014
0.64%
0%
€0.03
2013
2.8%
0%
€0.12
Paid
18.10.2013
18.10.2013
0.71%
0%
€0.03
Paid
19.07.2013
19.07.2013
0.74%
0%
€0.03
Paid
18.04.2013
18.04.2013
0.7%
0%
€0.03
Paid
17.01.2013
17.01.2013
0.66%
0%
€0.03
2012
3.07%
+20%
€0.12
Paid
18.10.2012
18.10.2012
0.76%
0%
€0.03
Paid
19.07.2012
19.07.2012
0.73%
0%
€0.03
Paid
17.04.2012
17.04.2012
0.7%
0%
€0.03
Paid
19.01.2012
19.01.2012
0.89%
0%
€0.03
2011
2.69%
+25%
€0.10
Paid
17.10.2011
17.10.2011
0.89%
0%
€0.03
Paid
14.07.2011
14.07.2011
0.85%
+50%
€0.03
Paid
15.04.2011
15.04.2011
0.48%
0%
€0.02
Paid
18.01.2011
18.01.2011
0.46%
0%
€0.02
2010
2.17%
0%
€0.08
Paid
15.10.2010
15.10.2010
0.46%
0%
€0.02
Paid
16.07.2010
16.07.2010
0.52%
0%
€0.02
Paid
19.04.2010
19.04.2010
0.58%
0%
€0.02
Paid
18.01.2010
18.01.2010
0.61%
0%
€0.02
2009
3.37%
+14.29%
€0.08
Paid
16.10.2009
16.10.2009
0.72%
0%
€0.02
Paid
14.07.2009
14.07.2009
0.83%
0%
€0.02
Paid
20.04.2009
20.04.2009
0.96%
0%
€0.02
Paid
15.01.2009
15.01.2009
0.87%
0%
€0.02
2008
2.87%
+16.67%
€0.07
Paid
14.10.2008
14.10.2008
0.94%
+100%
€0.02
Paid
14.07.2008
14.07.2008
0.35%
-50%
€0.01
Paid
14.04.2008
14.04.2008
0.74%
0%
€0.02
Paid
15.01.2008
15.01.2008
0.84%
0%
€0.02
2007
2.21%
+200%
€0.06
Paid
11.10.2007
11.10.2007
0.76%
0%
€0.02
Paid
12.07.2007
12.07.2007
0.7%
+100%
€0.02
Paid
16.04.2007
16.04.2007
0.35%
0%
€0.01
Paid
12.01.2007
12.01.2007
0.4%
0%
€0.01
2006
0.93%
-50%
€0.02
Paid
11.10.2006
11.10.2006
0.42%
0%
€0.01
Paid
12.07.2006
12.07.2006
0.51%
-50%
€0.01
2005
2.05%
+100%
€0.04
Paid
15.09.2005
15.09.2005
0.98%
0%
€0.02
Paid
05.07.2005
05.07.2005
1.07%
+100%
€0.02
2004
1.54%
0%
€0.02
Paid
16.09.2004
16.09.2004
0.78%
0%
€0.01
Paid
05.05.2004
05.05.2004
0.76%
0%
€0.01
2003
0.73%
0%
€0.02
Paid
15.09.2003
15.09.2003
0.73%
0%
€0.01
Paid
07.05.2003
07.05.2003
-
0%
€0.01
2002
-
-
€0.02
Paid
16.09.2002
16.09.2002
-
0%
€0.01
Paid
25.04.2002
25.04.2002
-
-
€0.01
2000
-
-
€0.01
Paid
04.07.2000
04.07.2000
-
-
€0.01

Frequently asked questions

When does Prosegur pay dividends?

Prosegur's dividends are paid out in December.

How often does Prosegur pay dividends?

Annually

What is the dividend yield of Prosegur?

The dividend yield is currently 6.16% and distributions have decreased by 5.64% in the last 3 years.

When was Prosegur's last dividend payout date?

The last payment was made on 04.12.2025.

When do you have to have Prosegur in your portfolio to receive the last dividend?

If you had Prosegur in your securities account on 02.12.2025, you received the distribution.

How much was Prosegur's dividend in 2025?

Prosegur paid out a dividend of €0.159 in 2025.

How much was Prosegur's dividend in 2024?

Prosegur paid out a dividend of €0.152 in 2024.

What is Prosegur's next dividend?

Prosegur has not yet announced a next dividend payment yet.

Dividend growth 

The dividend growth is 4.596% based on the previous financial year. The average dividend growth over the last 5 years is 3.831%.

1 Year

Moderate growth4.596%

3 Year

Negative growth-5.639%

5 Year

Moderate growth3.831%

10 Year

Moderate growth3.773%

Other top dividend stocks

Real-time data from LSX · Fundamentals & EOD data from FactSet
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