ABN AMRO BANK N.V., AEGON, Another 4 Companies Have A High Estimated Dividend Yield

(VIANEWS) – ABN AMRO BANK N.V. (ABN.AS), AEGON (AGN.AS), PERNOD RICARD (RI.PA) have the highest dividend yield stocks on this list.

Financial Asset Forward Dividend Yield Updated (EST)
ABN AMRO BANK N.V. (ABN.AS) 9.77% 2024-01-26 08:00:05
AEGON (AGN.AS) 4.91% 2024-01-26 08:00:13
PERNOD RICARD (RI.PA) 3.31% 2024-01-26 09:21:16
OLAV THON EIENDOMS (OLT.OL) 3.25% 2024-01-25 08:41:54
PEUGEOT INVEST (PEUG.PA) 2.9% 2024-01-26 09:21:20
XILAM ANIMATION (XIL.PA) 2.29% 2024-01-26 09:24:43

Several Euronext companies pay out dividends to its shareholders. The dividend yield is a dividend to price ratio showing how much a company pays out in dividends each year.

1. ABN AMRO BANK N.V. (ABN.AS)

9.77% Foward Dividend Yield

ABN AMRO BANK N.V.’s last close was €13.90, 18.24% under its 52-week high of €17.00. Intraday change was 2.23%.

ABN AMRO Bank N.V. provides various banking products and financial services to retail, private, and business clients in the Netherlands and internationally. It operates through three segments: Personal & Business Banking, Wealth Management, and Corporate Banking. The company provides savings and deposits products; investment and insurance products; and consumer, personal, car, and home improvement loan. It also issues, promotes, manages, and processes credit cards; trade finance, international payments, and treasury management; corporate finance and equity capital market; and revolving credit card facilities and pension schemes, as well as consumer credit and mortgages; and life and non-life insurance products. In addition, it offers asset-based solutions, including working capital solutions, equipment leases and loans, and vendor lease services; private banking and wealth-management-related services; and derivatives and equity clearing services. ABN AMRO Bank N.V. was incorporated in 2009 and is headquartered in Amsterdam, the Netherlands. ABN AMRO Bank N.V. operates as a subsidiary of Stichting Administratiekantoor Continuïteit.

Earnings Per Share

As for profitability, ABN AMRO BANK N.V. has a trailing twelve months EPS of €2.75.

PE Ratio

ABN AMRO BANK N.V. has a trailing twelve months price to earnings ratio of 5.09. Meaning, the purchaser of the share is investing €5.09 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 10.81%.

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2. AEGON (AGN.AS)

4.91% Foward Dividend Yield

AEGON’s last close was €5.54, 4.14% higher than its 52-week high of €5.32. Intraday change was 0.25%.

Aegon Ltd. provides insurance, pensions, retirement, and asset management services in the Americas, the Netherlands, the United Kingdom, and internationally. The company offers life, accident, property and casualty, and health insurance; annuities, retirement plans, and mutual funds; mortgage loans; and individual retirement accounts, as well as stable value, investment management, and digital banking solutions. It offers its products under the Aegon and Transamerica brands. The company was founded in 1844 and is headquartered in The Hague, the Netherlands.

Earnings Per Share

As for profitability, AEGON has a trailing twelve months EPS of €-0.69.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is negative -11.52%.

Yearly Top and Bottom Value

AEGON’s stock is valued at €5.57 at 11:50 EST, above its 52-week high of €5.32.

Moving Average

AEGON’s worth is way above its 50-day moving average of €5.06 and way above its 200-day moving average of €4.66.

Volume

Today’s last reported volume for AEGON is 1995060 which is 66.4% below its average volume of 5938570.

Volatility

AEGON’s last week, last month’s, and last quarter’s current intraday variation average was 0.60%, 0.30%, and 0.71%.

AEGON’s highest amplitude of average volatility was 1.59% (last week), 0.82% (last month), and 0.71% (last quarter).

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3. PERNOD RICARD (RI.PA)

3.31% Foward Dividend Yield

PERNOD RICARD’s last close was €156.55, 28.19% below its 52-week high of €218.00. Intraday change was 7.48%.

Pernod Ricard SA produces and sells wines and spirits worldwide. The company offers whiskey, vodka, gin, rum, liqueur and bitters, champagne, tequila and mezcal, and aperitif under the brands 100 Pipers, Aberlour, Absolut, Absolut Elyx, Altos, ARARAT, Augier, Avion, Ballantine's, Becherovka, Beefeater, Blenders Pride, Brancott Estate, Campo Viejo, Ceder's, Chivas, Church Road, Clan Campbell, Del Maguey, George Wyndham, Green Spot, Havana Club, Imperial, Imperial Blue, Italicus, J.P. Wiser's, Jacob's Creek, Jameson, Jefferson's, Kahlúa, Kenwood, KI NO BI, Lillet, Long John, L'Orbe, Lot No. 40, Malfy, Malibu, Martell, Method & Madness, Midleton Very Rare, Minttu, Monkey 47, Mumm, Olmeca, Ostoya, Passport Scotch, Pastis 51, Pernod, Perrier-Jouët, Plymouth Gin, Powers, Rabbit Hole, Ramazzotti, Redbreast, Ricard, Royal Salute, Royal Stag, Scapa, Seagram's Gin, Secret Speyside, Smooth Ambler, Something Special, St Hugo, Stoneleigh, Suze, The Glenlivet, TX, Wyborowa, and Ysios. It also provides non-alcoholic beverages under the brands Ceder's, Suze Tonic 0%, Cinzano Spritz 0%, Pacific, Campo Viejo Sparkling 0%, and Jacob's Creek Unvined. Pernod Ricard SA was founded in 1805 and is headquartered in Paris, France.

Earnings Per Share

As for profitability, PERNOD RICARD has a trailing twelve months EPS of €8.81.

PE Ratio

PERNOD RICARD has a trailing twelve months price to earnings ratio of 17.71. Meaning, the purchaser of the share is investing €17.71 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 13.85%.

Volume

Today’s last reported volume for PERNOD RICARD is 492384 which is 19.21% above its average volume of 413015.

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4. OLAV THON EIENDOMS (OLT.OL)

3.25% Foward Dividend Yield

OLAV THON EIENDOMS’s last close was kr201.00, 2.9% under its 52-week high of kr207.00. Intraday change was 0%.

Olav Thon Eiendomsselskap ASA engages in the property rental business in Norway and Sweden. It is also involved in the property development and management business. The company was founded in 1982 and is based in Oslo, Norway. Olav Thon Eiendomsselskap ASA is s a subsidiary of Olav Thon Group.

Earnings Per Share

As for profitability, OLAV THON EIENDOMS has a trailing twelve months EPS of kr-8.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is negative -2.8%.

Moving Average

OLAV THON EIENDOMS’s value is way higher than its 50-day moving average of kr178.49 and way higher than its 200-day moving average of kr171.43.

Earnings Before Interest, Taxes, Depreciation, and Amortization

OLAV THON EIENDOMS’s EBITDA is -78.84.

Dividend Yield

As claimed by Morningstar, Inc., the next dividend payment is on May 25, 2023, the estimated forward annual dividend rate is 6.5 and the estimated forward annual dividend yield is 3.25%.

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5. PEUGEOT INVEST (PEUG.PA)

2.9% Foward Dividend Yield

PEUGEOT INVEST’s last close was €98.70, 12.19% below its 52-week high of €112.40. Intraday change was 0.41%.

Peugeot Invest Société anonyme operates as an investment company. The firm invests in private equity and real estate funds. The firm also invests in governance, social, and environmental protection. The company was formerly known as FFP Société anonyme and changed its name to Peugeot Invest Société anonyme. Peugeot Invest Société anonyme was incorporated in 1929 and is headquartered in Paris, France.

Earnings Per Share

As for profitability, PEUGEOT INVEST has a trailing twelve months EPS of €11.95.

PE Ratio

PEUGEOT INVEST has a trailing twelve months price to earnings ratio of 8.28. Meaning, the purchaser of the share is investing €8.28 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 6.37%.

Stock Price Classification

According to the stochastic oscillator, a useful indicator of overbought and oversold conditions, PEUGEOT INVEST’s stock is considered to be oversold (<=20).

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6. XILAM ANIMATION (XIL.PA)

2.29% Foward Dividend Yield

XILAM ANIMATION’s last close was €4.85, 86.38% below its 52-week high of €35.60. Intraday change was 2.08%.

Xilam Animation operates as an audiovisual production company in France and internationally. The company creates, produces, and distributes original programs for children and adults. It also broadcasts content on television; subscription video on demand streaming platforms, including Netflix, Disney +, Amazon, and NBC Universal; and advertising video on demand streaming platforms, such as YouTube and Facebook. In addition, the company produces animated, series, mini-series, and feature films. It owns the Oggy, Cockroaches, Zig & Sharko, Chicky, Oggy Oggy in preschool, Oggy Next Gen, Les Tales of Lupin, Moka, Mr Magoo, Trico, and I Lost My Body brands. The company was incorporated in 1999 and is headquartered in Paris, France.

Earnings Per Share

As for profitability, XILAM ANIMATION has a trailing twelve months EPS of €0.08.

PE Ratio

XILAM ANIMATION has a trailing twelve months price to earnings ratio of 61.25. Meaning, the purchaser of the share is investing €61.25 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 1.96%.

Yearly Top and Bottom Value

XILAM ANIMATION’s stock is valued at €4.90 at 11:50 EST, way under its 52-week high of €35.60 and way above its 52-week low of €3.41.

Dividend Yield

As claimed by Morningstar, Inc., the next dividend payment is on Jan 1, 1970, the estimated forward annual dividend yield is 2.29%.

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