Caseys General logo

Caseys General

Stock
Stock
ISIN: US1475281036
Ticker: CASY
US1475281036
CASY

Price

Dividend metrics

Annual payout (TTM)

 
€1.724

Yield (TTM)

 
0.42%

Payout ratio

 
13.07%

Payout frequency

 
Quarterly

Dividend growth (3Y)

 
9.787%

Next payment

 
€0.413

Dividend history & forecast

€0.48

Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
0.54%
+3.6%
€1.786
Forecasted
01.11.2025
15.11.2025
0.13%
0%
€0.48
Forecasted
01.08.2025
15.08.2025
0.13%
+16.28%
€0.48
Forecasted
30.04.2025
15.05.2025
0.13%
0%
€0.413
Forecasted
31.01.2025
15.02.2025
0.16%
-12.93%
€0.413
2024
0.54%
+15.29%
€1.724
Paid
01.11.2024
15.11.2024
0.13%
+4.08%
€0.474
Paid
01.08.2024
15.08.2024
0.13%
+15.34%
€0.456
Paid
30.04.2024
15.05.2024
0.13%
-1.01%
€0.395
Paid
31.01.2024
15.02.2024
0.16%
+0.69%
€0.399
2023
0.69%
+8.04%
€1.496
Paid
31.10.2023
15.11.2023
0.17%
+0.52%
€0.396
Paid
31.07.2023
15.08.2023
0.19%
+12.84%
€0.394
Paid
28.04.2023
15.05.2023
0.17%
-1.67%
€0.349
Paid
31.01.2023
15.02.2023
0.16%
-3.12%
€0.355
2022
0.71%
+19.7%
€1.384
Paid
31.10.2022
15.11.2022
0.16%
-1.9%
€0.367
Paid
29.07.2022
15.08.2022
0.19%
+11.53%
€0.374
Paid
29.04.2022
16.05.2022
0.17%
+8.79%
€0.335
Paid
31.01.2022
15.02.2022
0.19%
+0.09%
€0.308
2021
0.68%
+2.32%
€1.156
Paid
29.10.2021
15.11.2021
0.18%
+6.68%
€0.308
Paid
30.07.2021
16.08.2021
0.17%
+3.22%
€0.289
Paid
30.04.2021
17.05.2021
0.15%
-0.21%
€0.28
Paid
29.01.2021
15.02.2021
0.17%
+3.86%
€0.28
2020
0.77%
+3.43%
€1.13
Paid
30.10.2020
16.11.2020
0.18%
+0.14%
€0.27
Paid
31.07.2020
17.08.2020
0.19%
-8.87%
€0.269
Paid
30.04.2020
15.05.2020
0.21%
+0.15%
€0.296
Paid
31.01.2020
17.02.2020
0.19%
+1.98%
€0.295
2019
0.83%
+16.32%
€1.093
Paid
31.10.2019
15.11.2019
0.19%
+0.62%
€0.29
Paid
31.07.2019
15.08.2019
0.19%
+11.2%
€0.288
Paid
30.04.2019
15.05.2019
0.22%
+0.8%
€0.259
Paid
31.01.2019
15.02.2019
0.22%
+0.25%
€0.257
2018
0.97%
+5.93%
€0.939
Paid
31.10.2018
15.11.2018
0.23%
+0.16%
€0.256
Paid
31.07.2018
15.08.2018
0.26%
+16.29%
€0.256
Paid
30.04.2018
15.05.2018
0.26%
+5.77%
€0.22
Paid
31.01.2018
15.02.2018
0.23%
-5.77%
€0.208
2017
0.65%
+6.85%
€0.887
Paid
31.10.2017
15.11.2017
0.23%
-0.35%
€0.221
Paid
28.07.2017
15.08.2017
-
+1.31%
€0.221
Paid
27.04.2017
15.05.2017
0.21%
-3.45%
€0.219
Paid
30.01.2017
15.02.2017
0.21%
+1.14%
€0.226
2016
0.77%
+9.84%
€0.83
Paid
28.10.2016
15.11.2016
0.21%
+4.28%
€0.224
Paid
28.07.2016
15.08.2016
0.18%
+10.35%
€0.215
Paid
28.04.2016
16.05.2016
0.19%
-1.37%
€0.194
Paid
28.01.2016
15.02.2016
0.19%
-4.25%
€0.197
2015
0.87%
+31.99%
€0.756
Paid
29.10.2015
16.11.2015
0.2%
+3.67%
€0.206
Paid
30.07.2015
17.08.2015
0.22%
+13.54%
€0.199
Paid
29.04.2015
15.05.2015
0.23%
-0.73%
€0.175
Paid
29.01.2015
16.02.2015
0.22%
+9.69%
€0.176
2014
1.07%
+10.18%
€0.572
Paid
30.10.2014
17.11.2014
0.24%
+7.62%
€0.161
Paid
30.07.2014
15.08.2014
0.3%
+13.71%
€0.149
Paid
29.04.2014
15.05.2014
0.27%
-0.05%
€0.131
Paid
30.01.2014
17.02.2014
0.27%
-1.53%
€0.131
2013
1.09%
+4.82%
€0.52
Paid
30.10.2013
15.11.2013
0.24%
-1.17%
€0.133
Paid
30.07.2013
15.08.2013
0.27%
+5.57%
€0.135
Paid
29.04.2013
15.05.2013
0.28%
+3.56%
€0.128
Paid
30.01.2013
15.02.2013
0.3%
-4.44%
€0.123
2012
1.16%
+20.85%
€0.496
Paid
31.10.2012
15.11.2012
0.34%
-3.82%
€0.129
Paid
30.07.2012
15.08.2012
0.28%
+14.26%
€0.134
Paid
27.04.2012
15.05.2012
0.26%
+2.48%
€0.118
Paid
30.01.2012
15.02.2012
0.28%
+3.36%
€0.115
2011
1.32%
+32.94%
€0.41
Paid
28.10.2011
15.11.2011
0.33%
+6.7%
€0.111
Paid
28.07.2011
15.08.2011
0.34%
+9.27%
€0.104
Paid
28.04.2011
16.05.2011
0.35%
-4.88%
€0.0952
Paid
28.01.2011
15.02.2011
0.32%
+0.76%
€0.10
2010
1.1%
+33.43%
€0.309
Paid
28.10.2010
15.11.2010
0.32%
+27.35%
€0.0993
Paid
29.07.2010
16.08.2010
0.27%
+13.3%
€0.078
Paid
29.04.2010
17.05.2010
0.23%
+10.17%
€0.0688
Paid
28.01.2010
15.02.2010
0.28%
+10.04%
€0.0625
2009
1.2%
+17.71%
€0.231
Paid
29.10.2009
16.11.2009
0.27%
-5.95%
€0.0568
Paid
30.07.2009
17.08.2009
0.31%
+8.68%
€0.0604
Paid
29.04.2009
15.05.2009
0.28%
-5.21%
€0.0555
Paid
29.01.2009
16.02.2009
0.35%
-0.86%
€0.0586
2008
1.1%
+17.26%
€0.196
Paid
30.10.2008
17.11.2008
0.27%
+15.77%
€0.0591
Paid
30.07.2008
15.08.2008
0.28%
+21.49%
€0.051
Paid
29.04.2008
15.05.2008
0.29%
-5.13%
€0.042
Paid
30.01.2008
15.02.2008
0.25%
-0.33%
€0.0443
2007
0.86%
+10.86%
€0.168
Paid
30.10.2007
15.11.2007
0.23%
-7.91%
€0.0444
Paid
30.07.2007
15.08.2007
0.24%
+31.12%
€0.0483
Paid
27.04.2007
15.05.2007
0.19%
-3.27%
€0.0368
Paid
30.01.2007
15.02.2007
0.19%
-2.5%
€0.038
2006
0.81%
+10.07%
€0.151
Paid
30.10.2006
15.11.2006
0.21%
-0.3%
€0.039
Paid
28.07.2006
15.08.2006
0.22%
+11.5%
€0.0391
Paid
27.04.2006
15.05.2006
0.21%
-7.27%
€0.0351
Paid
30.01.2006
15.02.2006
0.18%
-1.62%
€0.0379
2005
0.88%
+14.53%
€0.137
Paid
28.10.2005
15.11.2005
0.21%
+5.73%
€0.0385
Paid
28.07.2005
15.08.2005
0.22%
+14.91%
€0.0364
Paid
28.04.2005
16.05.2005
0.23%
+2.98%
€0.0317
Paid
28.01.2005
15.02.2005
0.22%
-0.49%
€0.0308
2004
0.87%
+13.1%
€0.12
Paid
28.10.2004
15.11.2004
0.22%
-4.62%
€0.0309
Paid
29.07.2004
16.08.2004
0.24%
+11.22%
€0.0324
Paid
29.04.2004
17.05.2004
0.21%
+6.18%
€0.0291
Paid
29.01.2004
16.02.2004
0.2%
-7.78%
€0.0274
2003
0.46%
-0.44%
€0.106
Paid
30.10.2003
17.11.2003
0.23%
-4.32%
€0.0298
Paid
30.07.2003
15.08.2003
0.24%
+42.12%
€0.0311
Paid
29.04.2003
15.05.2003
-
-5.95%
€0.0219
Paid
30.01.2003
17.02.2003
-
-6.24%
€0.0233
2002
-
+18.97%
€0.106
Paid
30.10.2002
15.11.2002
-
-2.61%
€0.0248
Paid
30.07.2002
15.08.2002
-
-7.41%
€0.0255
Paid
29.04.2002
15.05.2002
-
-3.99%
€0.0275
Paid
30.01.2002
15.02.2002
-
+26.33%
€0.0287
2001
-
+16.32%
€0.0895
Paid
30.10.2001
15.11.2001
-
+3.44%
€0.0227
Paid
30.07.2001
15.08.2001
-
-3.7%
€0.0219
Paid
27.04.2001
15.05.2001
-
+3.07%
€0.0228
Paid
30.01.2001
15.02.2001
-
-5.24%
€0.0221
2000
-
+29.1%
€0.0769
Paid
30.10.2000
15.11.2000
-
+6.44%
€0.0233
Paid
28.07.2000
15.08.2000
-
+33.35%
€0.0219
Paid
27.04.2000
15.05.2000
-
+7.47%
€0.0164
Paid
28.01.2000
15.02.2000
-
+2.6%
€0.0153
1999
-
0%
€0.0596
Paid
28.10.1999
15.11.1999
-
0%
€0.0149
Paid
29.07.1999
16.08.1999
-
0%
€0.0149
Paid
29.04.1999
17.05.1999
-
0%
€0.0149
Paid
28.01.1999
15.02.1999
-
0%
€0.0149
1998
-
+9.09%
€0.0596
Paid
29.10.1998
16.11.1998
-
0%
€0.0149
Paid
30.07.1998
17.08.1998
-
0%
€0.0149
Paid
29.04.1998
15.05.1998
-
0%
€0.0149
Paid
29.01.1998
16.02.1998
-
0%
€0.0149
1997
-
+10%
€0.0546
Paid
30.10.1997
17.11.1997
-
0%
€0.0149
Paid
30.07.1997
15.08.1997
-
+20%
€0.0149
Paid
29.04.1997
15.05.1997
-
0%
€0.0124
Paid
30.01.1997
17.02.1997
-
0%
€0.0124
1996
-
+11.11%
€0.0497
Paid
30.10.1996
15.11.1996
-
0%
€0.0124
Paid
30.07.1996
15.08.1996
-
0%
€0.0124
Paid
29.04.1996
15.05.1996
-
0%
€0.0124
Paid
30.01.1996
15.02.1996
-
0%
€0.0124
1995
-
+14.21%
€0.0447
Paid
30.10.1995
15.11.1995
-
0%
€0.0124
Paid
28.07.1995
15.08.1995
-
+25%
€0.0124
Paid
25.04.1995
15.05.1995
-
0%
€0.00993
Paid
26.01.1995
15.02.1995
-
0%
€0.00993
1994
-
+16.57%
€0.0391
Paid
26.10.1994
15.11.1994
-
0%
€0.00993
Paid
26.07.1994
15.08.1994
-
0%
€0.00993
Paid
26.04.1994
16.05.1994
-
+6.38%
€0.00993
Paid
26.01.1994
15.02.1994
-
0%
€0.00934
1993
-
+12.67%
€0.0336
Paid
26.10.1993
15.11.1993
-
0%
€0.00934
Paid
27.07.1993
16.08.1993
-
+25.33%
€0.00934
Paid
27.04.1993
17.05.1993
-
0%
€0.007449
Paid
26.01.1993
15.02.1993
-
0%
€0.007449
1992
-
+8.7%
€0.0298
Paid
27.10.1992
16.11.1992
-
0%
€0.007449
Paid
28.07.1992
17.08.1992
-
0%
€0.007449
Paid
27.04.1992
15.05.1992
-
0%
€0.007449
Paid
28.01.1992
17.02.1992
-
0%
€0.007449
1991
-
+119.05%
€0.0274
Paid
28.10.1991
15.11.1991
-
0%
€0.007449
Paid
26.07.1991
15.08.1991
-
+19.05%
€0.007449
Paid
25.04.1991
15.05.1991
-
0%
€0.006257
Paid
28.01.1991
15.02.1991
-
0%
€0.006257
1990
-
-
€0.0125
Paid
26.10.1990
15.11.1990
-
0%
€0.006257
Paid
26.07.1990
15.08.1990
-
-
€0.006257

Frequently asked questions

When does Caseys General pay dividends?

Caseys General's dividends are paid out in February, May, August, and November.

How often does Caseys General pay dividends?

On a quarterly basis.

What is the dividend yield of Caseys General?

The dividend yield is currently 0.42% and distributions have increased by 9.79% in the last 3 years.

When was Caseys General's last dividend payout date?

The last payment was made on 15.11.2024.

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

If you had Caseys General in your securities account on 01.11.2024, you received the distribution.

How much was Caseys General's dividend in 2023?

Caseys General paid out a dividend of €1.496 in 2023.

How much was Caseys General's dividend in 2022?

Caseys General paid out a dividend of €1.384 in 2022.

What is Caseys General's next dividend?

Caseys General has not yet announced a next dividend payment yet.

Dividend growth 

The dividend growth is 8.044% based on the previous financial year. The average dividend growth over the last 5 years is 9.746%.

1 Year

Strong growth8.044%

3 Year

Strong growth9.787%

5 Year

Strong growth9.746%

10 Year

Strong growth11.15%

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