Genesis Energy Units Class A logo

Genesis Energy Units Class A

Stock
Stock
Ticker: GEL
GEL

Price

Dividend metrics

Annual payout (TTM) 
€0.603
Yield (TTM) 
4.671%
Payout ratio 
-44.94%
Payout frequency 
Quarterly
Dividend growth (3Y) 
4.111%
Next payment 
€0.142

Dividend history & forecast

€1.203

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2026
4.83%
-3.76%
€0.566
Forecasted
31.10.2026
14.11.2026
1.1%
0%
€0.142
Forecasted
31.07.2026
14.08.2026
1%
0%
€0.142
Forecasted
30.04.2026
15.05.2026
1.15%
0%
€0.142
Forecasted
31.01.2026
14.02.2026
1.57%
-0.33%
€0.142
2025
4.84%
+3.11%
€0.588
Announced
31.10.2025
14.11.2025
1.11%
+0.26%
€0.142
Paid
31.07.2025
14.08.2025
1.01%
-3.93%
€0.142
Paid
30.04.2025
15.05.2025
1.15%
-6.19%
€0.147
Paid
31.01.2025
14.02.2025
1.58%
+0.33%
€0.157
2024
4.8%
+3.16%
€0.571
Paid
31.10.2024
14.11.2024
1.27%
+15.02%
€0.157
Paid
31.07.2024
14.08.2024
1.05%
-1.18%
€0.136
Paid
29.04.2024
15.05.2024
1.21%
-1.43%
€0.138
Paid
30.01.2024
14.02.2024
1.26%
+1.43%
€0.14
2023
5.6%
-2.68%
€0.553
Paid
30.10.2023
14.11.2023
1.34%
+0.24%
€0.138
Paid
28.07.2023
14.08.2023
1.53%
-0.27%
€0.138
Paid
27.04.2023
15.05.2023
1.38%
-1.3%
€0.138
Paid
30.01.2023
14.02.2023
1.35%
-3.88%
€0.14
2022
5.38%
+12.4%
€0.568
Paid
28.10.2022
14.11.2022
1.29%
-0.54%
€0.145
Paid
28.07.2022
12.08.2022
1.5%
+1.43%
€0.146
Paid
28.04.2022
13.05.2022
1.28%
+8.6%
€0.144
Paid
28.01.2022
14.02.2022
1.31%
+1.22%
€0.133
2021
6.73%
-43.81%
€0.506
Paid
28.10.2021
12.11.2021
1.3%
+3.09%
€0.131
Paid
29.07.2021
13.08.2021
1.75%
+2.95%
€0.127
Paid
29.04.2021
14.05.2021
1.59%
-0.26%
€0.124
Paid
28.01.2021
12.02.2021
2.09%
-2.29%
€0.124
2020
12.16%
-54.33%
€0.90
Paid
29.10.2020
13.11.2020
3.19%
+0.06%
€0.127
Paid
30.07.2020
14.08.2020
2.51%
-8.62%
€0.127
Paid
30.04.2020
15.05.2020
2.76%
-72.7%
€0.139
Paid
30.01.2020
14.02.2020
3.7%
+1.75%
€0.508
2019
10.31%
+9.89%
€1.97
Paid
30.10.2019
14.11.2019
2.73%
+1.12%
€0.499
Paid
30.07.2019
14.08.2019
2.42%
+0.57%
€0.494
Paid
30.04.2019
15.05.2019
2.48%
+0.79%
€0.491
Paid
30.01.2019
14.02.2019
2.68%
+2%
€0.487
2018
9.21%
-24.15%
€1.793
Paid
30.10.2018
14.11.2018
2.33%
+2.21%
€0.477
Paid
30.07.2018
14.08.2018
2.33%
+6.23%
€0.467
Paid
30.04.2018
15.05.2018
2.43%
+7.53%
€0.44
Paid
30.01.2018
14.02.2018
2.12%
-3.53%
€0.409
2017
8.78%
-3.35%
€2.364
Paid
30.10.2017
14.11.2017
2.18%
-30.89%
€0.424
Paid
27.07.2017
14.08.2017
2.35%
-6.44%
€0.613
Paid
26.04.2017
15.05.2017
2.28%
-2.31%
€0.656
Paid
27.01.2017
14.02.2017
1.97%
+3.05%
€0.671
2016
8.04%
+10.54%
€2.446
Paid
26.10.2016
14.11.2016
2.03%
+5.37%
€0.651
Paid
27.07.2016
12.08.2016
1.82%
+3.92%
€0.618
Paid
27.04.2016
13.05.2016
1.96%
+2.2%
€0.595
Paid
27.01.2016
12.02.2016
2.24%
-2.06%
€0.582
2015
5.64%
+31.88%
€2.213
Paid
28.10.2015
13.11.2015
1.58%
+5.62%
€0.594
Paid
29.07.2015
14.08.2015
1.41%
+5.45%
€0.563
Paid
29.04.2015
15.05.2015
1.27%
+2.11%
€0.533
Paid
29.01.2015
13.02.2015
1.37%
+12.82%
€0.522
2014
4.25%
+10.28%
€1.678
Paid
29.10.2014
14.11.2014
1.21%
+9.51%
€0.463
Paid
30.07.2014
14.08.2014
1.04%
+5.43%
€0.423
Paid
29.04.2014
15.05.2014
1%
+2.65%
€0.401
Paid
29.01.2014
14.02.2014
0.99%
+0.63%
€0.391
2013
4.22%
-15.6%
€1.521
Paid
30.10.2013
14.11.2013
1.04%
+0.95%
€0.388
Paid
30.07.2013
14.08.2013
1%
-0.21%
€0.385
Paid
29.04.2013
15.05.2013
0.98%
+6.16%
€0.385
Paid
30.01.2013
14.02.2013
1.21%
-2.14%
€0.363
2012
7.27%
+51.51%
€1.803
Paid
30.10.2012
14.11.2012
1.41%
0%
€0.371
Paid
31.10.2012
14.11.2012
1.41%
-0.57%
€0.371
Paid
30.07.2012
14.08.2012
1.49%
+5.82%
€0.373
Paid
27.04.2012
15.05.2012
1.46%
+5.28%
€0.353
Paid
30.01.2012
14.02.2012
1.51%
+6.81%
€0.335
2011
6.21%
+4.59%
€1.19
Paid
01.11.2011
14.11.2011
1.63%
+7.63%
€0.314
Paid
03.08.2011
12.08.2011
1.68%
+1.14%
€0.291
Paid
29.04.2011
13.05.2011
1.45%
-2.98%
€0.288
Paid
31.01.2011
14.02.2011
1.46%
+4.94%
€0.297
2010
7.04%
+15.41%
€1.138
Paid
29.10.2010
12.11.2010
1.56%
-3.7%
€0.283
Paid
30.07.2010
13.08.2010
1.81%
-0.89%
€0.294
Paid
30.04.2010
14.05.2010
1.83%
+12.07%
€0.296
Paid
03.02.2010
12.02.2010
1.82%
+11.74%
€0.264
2009
10.32%
+15.44%
€0.986
Paid
29.10.2009
13.11.2009
2.12%
-2.53%
€0.237
Paid
31.07.2009
14.08.2009
2.34%
-2.83%
€0.243
Paid
30.04.2009
15.05.2009
2.89%
-2.48%
€0.25
Paid
30.01.2009
13.02.2009
2.98%
+1.35%
€0.256
2008
7.2%
+26.36%
€0.854
Paid
31.10.2008
14.11.2008
2.59%
+19.11%
€0.253
Paid
05.08.2008
14.08.2008
1.75%
+9.47%
€0.212
Paid
07.05.2008
15.05.2008
1.52%
-0.43%
€0.194
Paid
05.02.2008
14.02.2008
1.34%
+5.8%
€0.195
2007
3.69%
+14.8%
€0.676
Paid
02.11.2007
14.11.2007
1.06%
+8.56%
€0.184
Paid
02.08.2007
14.08.2007
0.73%
+4.72%
€0.17
Paid
03.05.2007
15.05.2007
0.84%
+1.15%
€0.162
Paid
01.02.2007
14.02.2007
1.07%
+2.61%
€0.16
2006
5.36%
+19.65%
€0.589
Paid
31.10.2006
14.11.2006
1.18%
+4.47%
€0.156
Paid
27.07.2006
14.08.2006
1.25%
+6.35%
€0.149
Paid
28.04.2006
15.05.2006
1.49%
-1.67%
€0.14
Paid
01.02.2006
14.02.2006
1.44%
+4.3%
€0.143
2005
5.89%
+2.23%
€0.492
Paid
02.11.2005
14.11.2005
1.56%
+13.55%
€0.137
Paid
27.07.2005
12.08.2005
1.45%
+1.54%
€0.121
Paid
28.04.2005
13.05.2005
1.64%
+2.68%
€0.119
Paid
27.01.2005
14.02.2005
1.24%
0%
€0.116
2004
5.38%
+268.16%
€0.481
Paid
01.11.2004
12.11.2004
1.26%
-4.85%
€0.116
Paid
28.07.2004
13.08.2004
1.27%
-3.84%
€0.122
Paid
28.04.2004
14.05.2004
1.44%
+7.52%
€0.126
Paid
28.01.2004
13.02.2004
1.42%
+176.56%
€0.118
2003
1.39%
-33.24%
€0.131
Paid
29.10.2003
14.11.2003
0.58%
-4.33%
€0.0425
Paid
29.07.2003
14.08.2003
0.81%
+1.55%
€0.0444
Paid
28.04.2003
15.05.2003
-
-77.65%
€0.0438
2002
-
-78.1%
€0.196
Paid
03.12.2002
16.12.2002
-
-13.61%
€0.196
2001
-
-68.04%
€0.894
Paid
29.10.2001
14.11.2001
-
+2.16%
€0.227
Paid
27.07.2001
14.08.2001
-
-2.59%
€0.222
Paid
26.04.2001
15.05.2001
-
+4.62%
€0.228
Paid
29.01.2001
14.02.2001
-
-27.88%
€0.218
2000
-
+40.8%
€2.797
Paid
14.12.2000
28.12.2000
-
+0.18%
€0.302
Paid
14.12.2000
26.12.2000
-
-48.34%
€0.301
Paid
27.10.2000
14.11.2000
-
+5.45%
€0.583
Paid
27.07.2000
14.08.2000
-
+1.02%
€0.553
Paid
27.04.2000
15.05.2000
-
+7.42%
€0.548
Paid
27.01.2000
14.02.2000
-
+2.65%
€0.51
1999
-
0%
€1.986
Paid
27.10.1999
15.11.1999
-
0%
€0.497
Paid
28.07.1999
13.08.1999
-
0%
€0.497
Paid
28.04.1999
14.05.1999
-
0%
€0.497
Paid
27.01.1999
12.02.1999
-
0%
€0.497
1998
-
+20.48%
€1.986
Paid
28.10.1998
13.11.1998
-
0%
€0.497
Paid
29.07.1998
14.08.1998
-
0%
€0.497
Paid
28.04.1998
15.05.1998
-
0%
€0.497
Paid
28.01.1998
13.02.1998
-
0%
€0.497
1997
-
-
€1.649
Paid
29.10.1997
14.11.1997
-
0%
€0.497
Paid
29.07.1997
15.08.1997
-
-24.24%
€0.497
Paid
28.04.1997
15.05.1997
-
-
€0.655

Frequently asked questions

When does Genesis Energy Units Class A pay dividends?

Genesis Energy Units Class A's dividends are paid out in February, May, August, and November.

How often does Genesis Energy Units Class A pay dividends?

On a quarterly basis.

What is the dividend yield of Genesis Energy Units Class A?

The dividend yield is currently 4.67% and distributions have increased by 4.11% in the last 3 years.

When was Genesis Energy Units Class A's last dividend payout date?

The last payment was made on 14.08.2025.

When do you have to have Genesis Energy Units Class A in your portfolio to receive the last dividend?

If you had Genesis Energy Units Class A in your securities account on 31.07.2025, you received the distribution.

How much was Genesis Energy Units Class A's dividend in 2024?

Genesis Energy Units Class A paid out a dividend of €0.571 in 2024.

How much was Genesis Energy Units Class A's dividend in 2023?

Genesis Energy Units Class A paid out a dividend of €0.553 in 2023.

When is the ex-dividend date for the next Genesis Energy Units Class A's dividend?

To receive the next dividend, Genesis Energy Units Class A must be booked in the securities account on 31.10.2025.

What is Genesis Energy Units Class A's next dividend?

On 14.11.2025, €0.142 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 3.161% based on the previous financial year. The average dividend growth over the last 5 years is -21.95%.

1 Year

Moderate growth3.161%

3 Year

Moderate growth4.111%

5 Year

Negative growth-21.95%

10 Year

Negative growth-10.22%

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Fundamentals & EOD data from FactSet
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