SGU

Star Group Units

Stock
Stock
ISIN: US85512C1053
Ticker: SGU
US85512C1053
SGU

Price

Dividend metrics

Annual payout (TTM) 
€0.648
Yield (TTM) 
6.665%
Payout ratio 
44.52%
Payout frequency 
Quarterly
Dividend growth (3Y) 
10.20%
Next payment 
€0.147

Dividend history & forecast

€0.998

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
5.91%
-0.96%
€0.623
Forecasted
28.10.2025
06.11.2025
1.47%
0%
€0.147
Forecasted
29.07.2025
07.08.2025
1.51%
-10.18%
€0.147
Paid
28.04.2025
07.05.2025
1.47%
-1.28%
€0.164
Paid
27.01.2025
05.02.2025
1.46%
+3.11%
€0.166
2024
5.97%
+6.9%
€0.629
Paid
28.10.2024
06.11.2024
1.47%
+1.82%
€0.161
Paid
29.07.2024
07.08.2024
1.51%
-1.61%
€0.158
Paid
26.04.2024
08.05.2024
1.54%
+6.79%
€0.16
Paid
19.01.2024
31.01.2024
1.45%
-1.82%
€0.15
2023
5.1%
+2.8%
€0.589
Paid
19.10.2023
30.10.2023
1.43%
+3.61%
€0.153
Paid
21.07.2023
31.07.2023
1.25%
+0.06%
€0.148
Paid
21.04.2023
02.05.2023
1.23%
+5.14%
€0.148
Paid
20.01.2023
31.01.2023
1.18%
-7.2%
€0.14
2022
6.11%
+21.77%
€0.573
Paid
28.10.2022
08.11.2022
1.78%
+0.75%
€0.151
Paid
22.07.2022
02.08.2022
1.57%
+3.66%
€0.15
Paid
22.04.2022
03.05.2022
1.38%
+14.59%
€0.145
Paid
21.01.2022
01.02.2022
1.38%
+2.85%
€0.126
2021
5.27%
+2.34%
€0.47
Paid
29.10.2021
09.11.2021
1.32%
+2.38%
€0.123
Paid
23.07.2021
03.08.2021
1.29%
+2.32%
€0.12
Paid
30.04.2021
11.05.2021
1.3%
+6.6%
€0.117
Paid
22.01.2021
02.02.2021
1.36%
-1.84%
€0.11
2020
5.95%
+4.69%
€0.46
Paid
30.10.2020
10.11.2020
1.39%
-0.02%
€0.112
Paid
24.07.2020
04.08.2020
1.52%
-8.2%
€0.112
Paid
01.05.2020
12.05.2020
1.73%
+7.94%
€0.122
Paid
24.01.2020
04.02.2020
1.32%
+0.26%
€0.113
2019
5.18%
+12.22%
€0.439
Paid
25.10.2019
05.11.2019
1.34%
+1.18%
€0.113
Paid
26.07.2019
06.08.2019
1.27%
-0.03%
€0.112
Paid
25.04.2019
06.05.2019
1.31%
+8.36%
€0.112
Paid
25.01.2019
05.02.2019
1.26%
+0.25%
€0.103
2018
4.65%
+1.74%
€0.391
Paid
26.10.2018
06.11.2018
1.21%
+1.44%
€0.103
Paid
27.07.2018
07.08.2018
1.21%
+2.92%
€0.101
Paid
26.04.2018
07.05.2018
1.21%
+10.77%
€0.0984
Paid
26.01.2018
06.02.2018
1.02%
-5.89%
€0.0888
2017
4.14%
+6.5%
€0.385
Paid
20.10.2017
31.10.2017
1.03%
+0.88%
€0.0944
Paid
27.07.2017
08.08.2017
1.03%
-7.05%
€0.0936
Paid
26.04.2017
08.05.2017
1.15%
+4.9%
€0.101
Paid
26.01.2017
07.02.2017
0.93%
+2.23%
€0.096
2016
4.66%
+7.46%
€0.361
Paid
27.10.2016
09.11.2016
1.07%
+1.81%
€0.0939
Paid
28.07.2016
09.08.2016
1.16%
+2.57%
€0.0922
Paid
26.04.2016
06.05.2016
1.18%
+5.57%
€0.0899
Paid
28.01.2016
05.02.2016
1.25%
-2.48%
€0.0851
2015
4.85%
+29.62%
€0.336
Paid
26.10.2015
05.11.2015
1.17%
+0.78%
€0.0873
Paid
28.07.2015
07.08.2015
1.03%
+2.22%
€0.0866
Paid
28.04.2015
08.05.2015
1.24%
+9.59%
€0.0847
Paid
28.01.2015
10.02.2015
1.4%
+10.68%
€0.0773
2014
5.6%
+6.38%
€0.259
Paid
06.11.2014
14.11.2014
1.39%
+7.08%
€0.0699
Paid
29.07.2014
08.08.2014
1.39%
+2.59%
€0.0652
Paid
29.04.2014
09.05.2014
1.35%
+5.11%
€0.0636
Paid
28.01.2014
07.02.2014
1.48%
-1.31%
€0.0605
2013
6.68%
+0.91%
€0.244
Paid
06.11.2013
14.11.2013
1.5%
-1.4%
€0.0613
Paid
01.08.2013
13.08.2013
1.65%
-1.4%
€0.0622
Paid
24.04.2013
06.05.2013
1.79%
+10.41%
€0.0631
Paid
24.01.2013
05.02.2013
1.73%
-6.14%
€0.0571
2012
7.29%
+8.01%
€0.241
Paid
01.11.2012
14.11.2012
1.85%
-2.57%
€0.0608
Paid
26.07.2012
07.08.2012
1.83%
+4.88%
€0.0625
Paid
26.04.2012
08.05.2012
1.91%
+1.61%
€0.0595
Paid
26.01.2012
07.02.2012
1.7%
+3.09%
€0.0586
2011
5.95%
+0.94%
€0.224
Paid
02.11.2011
14.11.2011
1.58%
+4.49%
€0.0568
Paid
02.08.2011
12.08.2011
1.51%
-0.69%
€0.0544
Paid
03.05.2011
13.05.2011
1.4%
-4.76%
€0.0548
Paid
02.02.2011
14.02.2011
1.45%
+8.67%
€0.0575
2010
6.42%
+13.43%
€0.221
Paid
02.11.2010
12.11.2010
1.4%
-6.8%
€0.0529
Paid
03.08.2010
13.08.2010
1.65%
-2.88%
€0.0568
Paid
04.05.2010
14.05.2010
1.67%
+9.79%
€0.0585
Paid
02.02.2010
12.02.2010
1.71%
+17.52%
€0.0533
2009
8.44%
-
€0.195
Paid
03.11.2009
13.11.2009
1.74%
-4.61%
€0.0453
Paid
04.08.2009
14.08.2009
1.96%
-4.94%
€0.0475
Paid
05.05.2009
15.05.2009
2%
-4.65%
€0.05
Paid
03.02.2009
13.02.2009
2.73%
-
€0.0524
2004
7.59%
-31.18%
€1.401
Paid
05.08.2004
13.08.2004
2.75%
-3.84%
€0.466
Paid
06.05.2004
14.05.2004
2.52%
+7.52%
€0.485
Paid
05.02.2004
13.02.2004
2.32%
-7.81%
€0.451
2003
5.18%
-16.86%
€2.036
Paid
06.11.2003
14.11.2003
2.51%
-4.33%
€0.489
Paid
07.08.2003
14.08.2003
2.67%
+1.55%
€0.511
Paid
09.05.2003
15.05.2003
-
-5.58%
€0.503
Paid
05.02.2003
14.02.2003
-
-6.8%
€0.533
2002
-
-4.71%
€2.449
Paid
06.11.2002
14.11.2002
-
-2.26%
€0.572
Paid
07.08.2002
14.08.2002
-
-7.55%
€0.585
Paid
02.05.2002
15.05.2002
-
-3.99%
€0.633
Paid
07.02.2002
14.02.2002
-
+1.17%
€0.659
2001
-
+2.23%
€2.57
Paid
01.11.2001
14.11.2001
-
+2.16%
€0.652
Paid
02.08.2001
14.08.2001
-
-2.59%
€0.638
Paid
02.05.2001
15.05.2001
-
+4.62%
€0.655
Paid
01.02.2001
14.02.2001
-
-6.7%
€0.626
2000
-
+11.26%
€2.514
Paid
06.11.2000
14.11.2000
-
+6.51%
€0.671
Paid
02.08.2000
15.08.2000
-
+0.01%
€0.63
Paid
28.04.2000
15.05.2000
-
+7.87%
€0.63
Paid
31.01.2000
11.02.2000
-
+2.22%
€0.584
1999
-
+3.41%
€2.259
Paid
03.11.1999
15.11.1999
-
0%
€0.571
Paid
30.07.1999
13.08.1999
-
0%
€0.571
Paid
30.04.1999
14.05.1999
-
+4.55%
€0.571
Paid
03.02.1999
15.02.1999
-
0%
€0.546
1998
-
0%
€2.185
Paid
30.10.1998
13.11.1998
-
0%
€0.546
Paid
29.07.1998
14.08.1998
-
0%
€0.546
Paid
29.04.1998
14.05.1998
-
0%
€0.546
Paid
29.01.1998
13.02.1998
-
0%
€0.546
1997
-
+27.72%
€2.185
Paid
30.10.1997
14.11.1997
-
0%
€0.546
Paid
30.07.1997
14.08.1997
-
0%
€0.546
Paid
29.04.1997
15.05.1997
-
0%
€0.546
Paid
30.01.1997
14.02.1997
-
0%
€0.546
1996
-
-
€1.711
Paid
30.10.1996
15.11.1996
-
0%
€0.546
Paid
30.07.1996
15.08.1996
-
-11.65%
€0.546
Paid
29.04.1996
15.05.1996
-
-
€0.618

Frequently asked questions

When does Star Group Units pay dividends?

Star Group Units's dividends are paid out in January, May, August, and November.

How often does Star Group Units pay dividends?

On a quarterly basis.

What is the dividend yield of Star Group Units?

The dividend yield is currently 6.67% and distributions have increased by 10.20% in the last 3 years.

When was Star Group Units's last dividend payout date?

The last payment was made on 07.05.2025.

When do you have to have Star Group Units in your portfolio to receive the last dividend?

If you had Star Group Units in your securities account on 28.04.2025, you received the distribution.

How much was Star Group Units's dividend in 2024?

Star Group Units paid out a dividend of €0.629 in 2024.

How much was Star Group Units's dividend in 2023?

Star Group Units paid out a dividend of €0.589 in 2023.

What is Star Group Units's next dividend?

Star Group Units has not yet announced a next dividend payment yet.

Dividend growth 

The dividend growth is 6.897% based on the previous financial year. The average dividend growth over the last 5 years is 7.471%.

1 Year

Strong growth6.897%

3 Year

Strong growth10.20%

5 Year

Strong growth7.471%

10 Year

Strong growth9.277%

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Fundamentals & EOD data from FactSet
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