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Primoris Serv

Stock
Stock
Ticker: PRIM
PRIM

Price

Dividend metrics

Annual payout (TTM) 
€0.218
Yield (TTM) 
0.191%
Payout ratio 
5.74%
Payout frequency 
Quarterly
Dividend growth (3Y) 
2.996%
Next payment 
€0.0689

Dividend history & forecast

€0.173

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2026
0.48%
+15.04%
€0.329
Forecasted
30.09.2026
15.10.2026
0.07%
0%
€0.0824
Forecasted
30.06.2026
15.07.2026
0.12%
0%
€0.0824
Forecasted
31.03.2026
15.04.2026
0.17%
0%
€0.0824
Forecasted
31.12.2025
15.01.2026
0.12%
+19.63%
€0.0824
2025
0.4%
+29.55%
€0.286
Announced
30.09.2025
15.10.2025
0.06%
-0.11%
€0.0689
Paid
30.06.2025
15.07.2025
0.1%
-2.73%
€0.0689
Paid
31.03.2025
15.04.2025
0.14%
-8.84%
€0.0709
Paid
31.12.2024
15.01.2025
0.1%
+41.86%
€0.0777
2024
0.55%
+0.6%
€0.221
Paid
27.09.2024
11.10.2024
0.1%
-0.49%
€0.0548
Paid
28.06.2024
15.07.2024
0.12%
-2.48%
€0.0551
Paid
27.03.2024
15.04.2024
0.15%
+3.18%
€0.0565
Paid
28.12.2023
12.01.2024
0.18%
-4.08%
€0.0547
2023
0.93%
-4.11%
€0.22
Paid
28.09.2023
13.10.2023
0.19%
+6.96%
€0.0571
Paid
29.06.2023
14.07.2023
0.22%
-1.29%
€0.0533
Paid
30.03.2023
14.04.2023
0.25%
-2.28%
€0.054
Paid
29.12.2022
13.01.2023
0.27%
-10.37%
€0.0553
2022
1.12%
+13.27%
€0.229
Paid
29.09.2022
14.10.2022
0.36%
+3.74%
€0.0617
Paid
29.06.2022
15.07.2022
0.28%
+7.27%
€0.0595
Paid
30.03.2022
14.04.2022
0.24%
+5.5%
€0.0554
Paid
30.12.2021
14.01.2022
0.24%
+1.6%
€0.0526
2021
0.82%
-4.84%
€0.202
Paid
29.09.2021
15.10.2021
0.23%
+1.83%
€0.0517
Paid
29.06.2021
15.07.2021
0.21%
+1.33%
€0.0508
Paid
30.03.2021
15.04.2021
0.18%
+0.88%
€0.0501
Paid
30.12.2020
15.01.2021
0.2%
-3.05%
€0.0497
2020
1.34%
-0.31%
€0.213
Paid
29.09.2020
15.10.2020
0.31%
-2.47%
€0.0513
Paid
29.06.2020
15.07.2020
0.36%
-4.49%
€0.0526
Paid
30.03.2020
15.04.2020
0.4%
+2.27%
€0.055
Paid
30.12.2019
15.01.2020
0.27%
-1.06%
€0.0538
2019
1.17%
+6.3%
€0.213
Paid
27.09.2019
15.10.2019
0.3%
+2.06%
€0.0544
Paid
27.06.2019
15.07.2019
0.31%
+0.38%
€0.0533
Paid
28.03.2019
15.04.2019
0.27%
+0.97%
€0.0531
Paid
28.12.2018
15.01.2019
0.28%
+1.48%
€0.0526
2018
0.91%
-18.47%
€0.201
Paid
27.09.2018
15.10.2018
0.24%
+0.91%
€0.0518
Paid
28.06.2018
13.07.2018
0.22%
+5.54%
€0.0513
Paid
28.03.2018
13.04.2018
0.23%
-0.53%
€0.0486
Paid
28.12.2017
15.01.2018
0.22%
+5.12%
€0.0489
2017
1.1%
+23.62%
€0.246
Paid
28.09.2017
14.10.2017
0.19%
-3.02%
€0.0465
Paid
13.07.2017
15.07.2017
0.22%
0%
€0.048
Paid
28.06.2017
14.07.2017
0.22%
-7.44%
€0.048
Paid
29.03.2017
15.04.2017
0.24%
-0.11%
€0.0518
Paid
28.12.2016
16.01.2017
0.23%
+3.48%
€0.0519
2016
1.05%
+16.81%
€0.199
Paid
28.09.2016
14.10.2016
0.27%
+0.59%
€0.0501
Paid
28.06.2016
15.07.2016
0.29%
+2.24%
€0.0498
Paid
29.03.2016
15.04.2016
0.23%
-3.28%
€0.0487
Paid
29.12.2015
15.01.2016
0.25%
+4.25%
€0.0504
2015
0.98%
+57.73%
€0.17
Paid
28.09.2015
15.10.2015
0.29%
-3.76%
€0.0483
Paid
26.06.2015
15.07.2015
0.28%
+34.07%
€0.0502
Paid
27.03.2015
15.04.2015
0.22%
+8.91%
€0.0375
Paid
29.12.2014
15.01.2015
0.18%
+10.27%
€0.0344
2014
0.51%
+42.8%
€0.108
Paid
26.09.2014
15.10.2014
0.15%
+20.95%
€0.0312
Paid
26.06.2014
15.07.2014
0.12%
+1.81%
€0.0258
Paid
27.03.2014
15.04.2014
0.12%
-1.52%
€0.0253
Paid
27.12.2013
15.01.2014
0.11%
-0.55%
€0.0257
2013
0.44%
-35.27%
€0.0757
Paid
26.09.2013
15.10.2013
0.14%
-3.51%
€0.0259
Paid
26.06.2013
15.07.2013
0.17%
+16.61%
€0.0268
Paid
26.03.2013
15.04.2013
0.14%
+1.33%
€0.023
2012
1.06%
+55.15%
€0.117
Paid
14.12.2012
26.12.2012
0.21%
-2.06%
€0.0227
Paid
27.09.2012
15.10.2012
0.22%
-5.3%
€0.0232
Paid
27.06.2012
16.07.2012
0.25%
+6.76%
€0.0245
Paid
28.03.2012
16.04.2012
0.19%
-3.24%
€0.0229
Paid
28.12.2011
16.01.2012
0.2%
+9.4%
€0.0237
2011
0.95%
+3.13%
€0.0754
Paid
28.09.2011
14.10.2011
0.26%
+22.52%
€0.0216
Paid
28.06.2011
15.07.2011
0.19%
+2.01%
€0.0177
Paid
29.03.2011
15.04.2011
0.23%
-7.48%
€0.0173
Paid
29.12.2010
14.01.2011
0.27%
+4.83%
€0.0187
2010
1.43%
+0.84%
€0.0731
Paid
28.09.2010
15.10.2010
0.41%
-7.87%
€0.0179
Paid
28.06.2010
15.07.2010
0.4%
+5.12%
€0.0194
Paid
29.03.2010
15.04.2010
0.31%
+6.04%
€0.0184
Paid
29.12.2009
15.01.2010
0.31%
+3.71%
€0.0174
2009
1.81%
+96.28%
€0.0725
Paid
28.09.2009
15.10.2009
0.35%
-5.32%
€0.0168
Paid
26.06.2009
15.07.2009
0.36%
-6.48%
€0.0177
Paid
27.03.2009
15.04.2009
0.64%
-0.56%
€0.0189
Paid
19.12.2008
15.01.2009
0.46%
-48.41%
€0.019
2008
0.65%
-
€0.0369
Paid
19.09.2008
15.10.2008
0.65%
-
€0.0369

Frequently asked questions

When does Primoris Serv pay dividends?

Primoris Serv's dividends are paid out in January, April, July, and October.

How often does Primoris Serv pay dividends?

On a quarterly basis.

What is the dividend yield of Primoris Serv?

The dividend yield is currently 0.19% and distributions have increased by 3.00% in the last 3 years.

When was Primoris Serv's last dividend payout date?

The last payment was made on 15.07.2025.

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

If you had Primoris Serv in your securities account on 30.06.2025, you received the distribution.

How much was Primoris Serv's dividend in 2024?

Primoris Serv paid out a dividend of €0.221 in 2024.

How much was Primoris Serv's dividend in 2023?

Primoris Serv paid out a dividend of €0.22 in 2023.

When is the ex-dividend date for the next Primoris Serv's dividend?

To receive the next dividend, Primoris Serv must be booked in the securities account on 30.09.2025.

What is Primoris Serv's next dividend?

On 15.10.2025, €0.0689 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 0.595% based on the previous financial year. The average dividend growth over the last 5 years is 0.719%.

1 Year

Low growth0.595%

3 Year

Low growth2.996%

5 Year

Low growth0.719%

10 Year

Strong growth7.421%

Other top dividend stocks

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