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Cintas

Stock
Stock
Ticker: CTAS
CTAS

Price

Dividend metrics

Annual payout (TTM) 
€1.448
Yield (TTM) 
0.915%
Payout ratio 
37.39%
Payout frequency 
Quarterly
Dividend growth (3Y) 
23.10%
Next payment 
€0.387

Dividend history & forecast

€0.273

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2026
0.66%
+13.24%
€1.658
Forecasted
14.11.2026
15.12.2026
-
0%
€0.444
Forecasted
15.08.2026
15.09.2026
0.23%
+15.38%
€0.444
Forecasted
15.05.2026
13.06.2026
0.21%
0%
€0.385
Forecasted
14.02.2026
14.03.2026
0.22%
-0.62%
€0.385
2025
0.57%
+8.57%
€1.464
Announced
14.11.2025
15.12.2025
-
+1.28%
€0.387
Paid
15.08.2025
15.09.2025
0.2%
+13.32%
€0.382
Paid
15.05.2025
13.06.2025
0.18%
-5.48%
€0.338
Paid
14.02.2025
14.03.2025
0.19%
-3.82%
€0.357
2024
0.8%
+16.28%
€1.349
Paid
15.11.2024
13.12.2024
0.18%
+5.15%
€0.371
Paid
15.08.2024
03.09.2024
0.2%
+12.15%
€0.353
Paid
14.05.2024
14.06.2024
0.2%
+1.67%
€0.315
Paid
14.02.2024
15.03.2024
0.22%
+0.08%
€0.31
2023
1.07%
+15.8%
€1.16
Paid
14.11.2023
15.12.2023
0.27%
-2.15%
€0.309
Paid
14.08.2023
15.09.2023
0.3%
+20.42%
€0.316
Paid
12.05.2023
15.06.2023
0.24%
-3.39%
€0.263
Paid
14.02.2023
15.03.2023
0.26%
+0.58%
€0.272
2022
1.03%
+38.52%
€1.002
Paid
14.11.2022
15.12.2022
0.26%
-6.12%
€0.27
Paid
12.08.2022
15.09.2022
0.26%
+26.72%
€0.288
Paid
13.05.2022
15.06.2022
0.25%
+4.91%
€0.227
Paid
14.02.2022
15.03.2022
0.25%
+2.93%
€0.217
2021
0.9%
-0.11%
€0.723
Paid
12.11.2021
15.12.2021
0.22%
+4.67%
€0.21
Paid
12.08.2021
15.09.2021
0.24%
+29.96%
€0.201
Paid
13.05.2021
15.06.2021
0.21%
-1.65%
€0.155
Paid
11.02.2021
15.03.2021
0.22%
-78.28%
€0.157
2020
1.04%
+25.6%
€0.724
Paid
05.11.2020
04.12.2020
1.04%
+25.6%
€0.724
2019
0.96%
+28.02%
€0.576
Paid
07.11.2019
06.12.2019
0.96%
+28.02%
€0.576
2018
1.14%
+30.9%
€0.45
Paid
08.11.2018
07.12.2018
1.14%
+30.9%
€0.45
2017
1.08%
+10.35%
€0.344
Paid
09.11.2017
08.12.2017
1.08%
+10.35%
€0.344
2016
1.24%
+29.21%
€0.312
Paid
02.11.2016
02.12.2016
1.24%
+29.21%
€0.312
2015
1.15%
-30.06%
€0.241
Paid
04.11.2015
04.12.2015
1.15%
-30.06%
€0.241
2014
2.38%
+147.01%
€0.345
Paid
05.11.2014
05.12.2014
2.38%
+147.01%
€0.345
2013
1.44%
+13.92%
€0.14
Paid
06.11.2013
11.12.2013
1.44%
+13.92%
€0.14
2012
1.58%
+17.87%
€0.123
Paid
07.11.2012
12.12.2012
1.58%
+17.87%
€0.123
2011
1.87%
-42.31%
€0.104
Paid
08.11.2011
14.12.2011
1.87%
+12.67%
€0.104
2010
3.73%
+96.43%
€0.18
Paid
09.11.2010
15.12.2010
1.8%
+4.95%
€0.0923
Paid
08.02.2010
10.03.2010
1.94%
-4.15%
€0.0879
2009
2.07%
+23.82%
€0.0918
Paid
02.02.2009
11.03.2009
2.07%
+23.82%
€0.0918
2008
1.5%
+0.34%
€0.0741
Paid
04.02.2008
12.03.2008
1.5%
+0.34%
€0.0741
2007
0.95%
+1.37%
€0.0739
Paid
02.02.2007
13.03.2007
0.95%
+1.37%
€0.0739
2006
0.86%
+21.38%
€0.0729
Paid
03.02.2006
14.03.2006
0.86%
+21.38%
€0.0729
2005
0.74%
+1.68%
€0.06
Paid
04.02.2005
15.03.2005
0.74%
+1.68%
€0.06
2004
0.66%
-6.05%
€0.059
Paid
06.02.2004
16.03.2004
0.66%
-6.05%
€0.059
2003
-
-12.02%
€0.0628
Paid
05.02.2003
14.03.2003
-
-12.02%
€0.0628
2002
-
+16.29%
€0.0714
Paid
13.02.2002
08.04.2002
-
+16.29%
€0.0714
2001
-
+88.92%
€0.0614
Paid
31.01.2001
26.03.2001
-
+88.92%
€0.0614
2000
-
+33.88%
€0.0325
Paid
02.02.2000
07.03.2000
-
+33.88%
€0.0325
1999
-
+22.25%
€0.0243
Paid
03.02.1999
03.03.1999
-
+22.25%
€0.0243
1998
-
+140.01%
€0.0199
Paid
04.02.1998
02.03.1998
-
+140.01%
€0.0199
1997
-
+20.04%
€0.008276
Paid
05.03.1997
04.04.1997
-
+20.04%
€0.008276
1996
-
+24.9%
€0.006895
Paid
06.03.1996
02.04.1996
-
+24.9%
€0.006895
1995
-
+17.63%
€0.00552
Paid
06.03.1995
03.04.1995
-
+17.63%
€0.00552
1994
-
+21.4%
€0.004693
Paid
07.03.1994
05.04.1994
-
+21.4%
€0.004693
1993
-
-78.73%
€0.003865
Paid
03.03.1993
02.04.1993
-
-78.73%
€0.003865
1992
-
-13.27%
€0.0182
Paid
03.03.1992
02.04.1992
-
-13.27%
€0.0182
1991
-
-17.58%
€0.021
Paid
11.03.1991
02.04.1991
-
-17.58%
€0.021
1990
-
+35.45%
€0.0254
Paid
12.03.1990
02.04.1990
-
+35.45%
€0.0254
1989
-
+31.25%
€0.0188
Paid
13.03.1989
03.04.1989
-
+31.25%
€0.0188
1988
-
+188%
€0.0143
Paid
14.03.1988
04.04.1988
-
+188%
€0.0143
1987
-
-39.76%
€0.004966
Paid
10.03.1987
02.04.1987
-
-39.76%
€0.004966
1986
-
+23.88%
€0.008243
Paid
10.03.1986
02.04.1986
-
+23.88%
€0.008243
1985
-
+31.37%
€0.006654
Paid
06.03.1985
02.04.1985
-
+31.37%
€0.006654
1984
-
-
€0.005065
Paid
06.03.1984
02.04.1984
-
-
€0.005065

Frequently asked questions

When does Cintas pay dividends?

Cintas's dividends are paid out in March, June, September, and December.

How often does Cintas pay dividends?

On a quarterly basis.

What is the dividend yield of Cintas?

The dividend yield is currently 0.91% and distributions have increased by 23.10% in the last 3 years.

When was Cintas's last dividend payout date?

The last payment was made on 15.09.2025.

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

If you had Cintas in your securities account on 15.08.2025, you received the distribution.

How much was Cintas's dividend in 2024?

Cintas paid out a dividend of €1.349 in 2024.

How much was Cintas's dividend in 2023?

Cintas paid out a dividend of €1.16 in 2023.

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

To receive the next dividend, Cintas must be booked in the securities account on 14.11.2025.

What is Cintas's next dividend?

On 15.12.2025, €0.387 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 16.28% based on the previous financial year. The average dividend growth over the last 5 years is 18.54%.

1 Year

Strong growth16.28%

3 Year

Strong growth23.10%

5 Year

Strong growth18.54%

10 Year

Strong growth14.61%

Other top dividend stocks

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