(VIANEWS) – WILSON (WILS.OL), NEXITY (NXI.PA), INTERVEST OFF-WARE (INTO.BR) have the highest dividend yield stocks on this list.
Financial Asset | Forward Dividend Yield | Updated (EST) |
---|---|---|
WILSON (WILS.OL) | 13.2% | 2023-03-12 07:32:57 |
NEXITY (NXI.PA) | 10.19% | 2023-03-12 10:00:45 |
INTERVEST OFF-WARE (INTO.BR) | 7.99% | 2023-03-12 09:15:23 |
CBO TERRITORIA (CBOT.PA) | 6.43% | 2023-03-12 09:46:02 |
CRCAM LOIRE HTE L. (CRLO.PA) | 5.26% | 2023-03-12 09:46:48 |
VGP (VGP.BR) | 3.28% | 2023-03-12 09:17:06 |
CORTICEIRA AMORIM (COR.LS) | 3.03% | 2023-03-12 07:16:42 |
CARREFOUR (CA.PA) | 2.86% | 2023-03-12 09:45:54 |
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. WILSON (WILS.OL)
13.2% Foward Dividend Yield
WILSON’s last close was kr68.80, 21.82% below its 52-week high of kr88.00. Intraday change was -0.29%.
Wilson ASA operates as a shipping company in Europe. The company engages in the ship chartering and operation; ship management; marine accounting; crewing; purchasing; legal; and insurance activities. It operates through a fleet of 130 vessels in the range of 1500 to 8500 DWT. The company was founded in 1929 and is headquartered in Bergen, Norway. As of December 6, 2022, Wilson ASA operates as a subsidiary of Skaretreboen As.
Earnings Per Share
As for profitability, WILSON has a trailing twelve months EPS of kr1.95.
PE Ratio
WILSON has a trailing twelve months price to earnings ratio of 35.35. Meaning, the purchaser of the share is investing kr35.35 for every norwegian krone of annual earnings.
The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 44.99%.
Moving Average
WILSON’s worth is higher than its 50-day moving average of kr67.16 and higher than its 200-day moving average of kr66.52.
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2. NEXITY (NXI.PA)
10.19% Foward Dividend Yield
NEXITY’s last close was €24.02, 31.02% below its 52-week high of €34.82. Intraday change was -1.39%.
Nexity SA operates as a real estate company in Europe and internationally. The company operates through Development, Services, and Other Activities divisions. It develops new homes and subdivisions; and new or refurbished office buildings, high-rises, business parks, logistics facilities, retail property, hotels, and other industrial spaces. The company also provides property management services comprising rental management, sales and lettings, and condominium managing agent services, as well as manages serviced residences for students and for seniors; distributes real estate products under the iSelection and PERL brands; offers real estate brokerage, and space planning services; and real estate services, including rental management and property management services. In addition, it engages in the villes and projets, and pre-development urban regeneration project activities; and investment activities, as well as startup in the incubation phase. The company serves individual, commercial, institutional, and local authority clients. Nexity SA was founded in 1995 and is headquartered in Paris, France.
Earnings Per Share
As for profitability, NEXITY has a trailing twelve months EPS of €1.51.
PE Ratio
NEXITY has a trailing twelve months price to earnings ratio of 16.03. Meaning, the purchaser of the share is investing €16.03 for every euro of annual earnings.
The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 10.25%.
Revenue Growth
Year-on-year quarterly revenue growth grew by 7.7%, now sitting on 4.35B for the twelve trailing months.
Volatility
NEXITY’s last week, last month’s, and last quarter’s current intraday variation average was a negative 0.85%, a negative 0.63%, and a positive 1.23%.
NEXITY’s highest amplitude of average volatility was 0.85% (last week), 1.39% (last month), and 1.23% (last quarter).
Sales Growth
NEXITY’s sales growth for the current quarter is negative 3.9%.
Yearly Top and Bottom Value
NEXITY’s stock is valued at €24.20 at 16:50 EST, way under its 52-week high of €34.82 and way higher than its 52-week low of €16.80.
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3. INTERVEST OFF-WARE (INTO.BR)
7.99% Foward Dividend Yield
INTERVEST OFF-WARE’s last close was €19.00, 36.03% below its 52-week high of €29.70. Intraday change was -0.63%.
Intervest Offices & Warehouses nv, (hereinafter Intervest), is a public regulated real estate company (RREC) founded in 1996 of which the shares are listed on Euronext Brussels (INTO) as from 1999. Intervest invests in high-quality Belgian office buildings and logistics properties that are leased to first-class tenants. The properties in which Intervest invests, consist primarily of up-to-date buildings that are strategically located in the city centre and outside municipal centres. The offices of the real estate portfolio are situated in and around centre cities with a large student population such as Antwerp, Mechelen, Brussels and Leuven; the logistics properties are located on the Antwerp – Brussels – Nivelles, Antwerp – Limburg – Liège, and Antwerp – Ghent – Lille axes and concentrated in the Netherlands on the Moerdijk – ‘s-Hertogenbosch – Nijmegen, Rotterdam – Gorinchem – Nijmegen and Bergen-op-zoom – Eindhoven – Venlo axes. Intervest distinguishes itself when leasing space by offering more than square metres only. The company goes beyond real estate by offering ‘turn-key solutions' (a tailor-made global solution for and with the customer), extensive services provisioning, co-working and serviced offices.
Earnings Per Share
As for profitability, INTERVEST OFF-WARE has a trailing twelve months EPS of €1.73.
PE Ratio
INTERVEST OFF-WARE has a trailing twelve months price to earnings ratio of 11.03. Meaning, the purchaser of the share is investing €11.03 for every euro of annual earnings.
The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 8.44%.
Volatility
INTERVEST OFF-WARE’s last week, last month’s, and last quarter’s current intraday variation average was a negative 0.86%, a negative 0.43%, and a positive 1.19%.
INTERVEST OFF-WARE’s highest amplitude of average volatility was 1.32% (last week), 1.08% (last month), and 1.19% (last quarter).
Yearly Top and Bottom Value
INTERVEST OFF-WARE’s stock is valued at €19.04 at 16:50 EST, way below its 52-week high of €29.70 and higher than its 52-week low of €18.36.
Stock Price Classification
According to the stochastic oscillator, a useful indicator of overbought and oversold conditions, INTERVEST OFF-WARE’s stock is considered to be overbought (>=80).
Dividend Yield
As maintained by Morningstar, Inc., the next dividend payment is on May 4, 2023, the estimated forward annual dividend rate is 1.53 and the estimated forward annual dividend yield is 7.99%.
More news about INTERVEST OFF-WARE.
4. CBO TERRITORIA (CBOT.PA)
6.43% Foward Dividend Yield
CBO TERRITORIA’s last close was €3.74, 4.59% below its 52-week high of €3.92. Intraday change was -0.54%.
CBo Territoria SA engages in the urban planning and development, and property development and investment activities in France. The company develops and sells housings, offices, buildings, retail parks, shopping centers, business premises, and warehouses. It is also involved in the leisure, marketing, and coworking businesses. In addition, the company also owns approximately 3,000 hectares of land in Réunion Island. CBo Territoria SA was founded in 2004 and is headquartered in Sainte-Marie, France.
Earnings Per Share
As for profitability, CBO TERRITORIA has a trailing twelve months EPS of €0.36.
PE Ratio
CBO TERRITORIA has a trailing twelve months price to earnings ratio of 10.31. Meaning, the purchaser of the share is investing €10.31 for every euro of annual earnings.
The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 7.52%.
Revenue Growth
Year-on-year quarterly revenue growth declined by 8.4%, now sitting on 82.83M for the twelve trailing months.
Volatility
CBO TERRITORIA’s last week, last month’s, and last quarter’s current intraday variation average was 0.10%, 0.09%, and 0.40%.
CBO TERRITORIA’s highest amplitude of average volatility was 0.17% (last week), 0.40% (last month), and 0.40% (last quarter).
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5. CRCAM LOIRE HTE L. (CRLO.PA)
5.26% Foward Dividend Yield
CRCAM LOIRE HTE L.’s last close was €57.00, 15.43% under its 52-week high of €67.40. Intraday change was -0.7%.
Caisse Régionale de Crédit Agricole Mutuel Loire Haute-Loire Société coopérative provides various banking products and services to individuals, professionals, farmers, business, public community and social housing, and associations in France. It offers accounts and cards; real estate loans and consumer credit; operating cycle, and company equipment and real estate financing; trade and export financing; savings products, such as life insurance, real estate investments, stock exchanges and financial investment, and retirement saving solutions; car and two-wheeler, home, personal, leisure and daily life, borrower, professional premises, professional vehicle, health, employee, activity, agricultural buildings, agricultural equipment and activity, and other insurance products; collection and payment services; cash management, business creation financing, medium-term credit, and leasing products; and treasury services. The company is based in Saint-Étienne, France. Caisse Régionale de Crédit Agricole Mutuel Loire Haute-Loire Société coopérative operates as a subsidiary of Crédit Agricole Group.
Earnings Per Share
As for profitability, CRCAM LOIRE HTE L. has a trailing twelve months EPS of €12.29.
PE Ratio
CRCAM LOIRE HTE L. has a trailing twelve months price to earnings ratio of 4.61. Meaning, the purchaser of the share is investing €4.61 for every euro of annual earnings.
The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 4%.
Yearly Top and Bottom Value
CRCAM LOIRE HTE L.’s stock is valued at €56.60 at 16:50 EST, way below its 52-week high of €67.40 and way above its 52-week low of €48.06.
Volatility
CRCAM LOIRE HTE L.’s last week, last month’s, and last quarter’s current intraday variation average was a positive 0.27%, a negative 0.31%, and a positive 1.14%.
CRCAM LOIRE HTE L.’s highest amplitude of average volatility was 0.85% (last week), 0.85% (last month), and 1.14% (last quarter).
Volume
Today’s last reported volume for CRCAM LOIRE HTE L. is 44 which is 80.18% below its average volume of 222.
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6. VGP (VGP.BR)
3.28% Foward Dividend Yield
VGP’s last close was €78.90, 69.12% below its 52-week high of €255.50. Intraday change was -0.75%.
VGP NV, together with its subsidiaries, develops, owns, and manages logistics and semi-industrial real estate, and ancillary offices. It leases its properties to tenants in the logistic sector, including storing, assembling, re-conditioning, and final treatment of the goods. The company also provides property management services; asset management services related to corporate administration, financing, business planning, reporting, budgeting, management of tax and legal affairs, controlling, etc.; project management and leasing services; and facility management services, such as maintenance, waste management, and greenery maintenance services. It operates in Germany, Spain, France, Italy, the Netherlands, Austria, Portugal, the Czech Republic, Slovakia, Hungary, Romania, Serbia, and Latvia. The company was founded in 1998 and is headquartered in Antwerp, Belgium.
Earnings Per Share
As for profitability, VGP has a trailing twelve months EPS of €18.58.
PE Ratio
VGP has a trailing twelve months price to earnings ratio of 4.26. Meaning, the purchaser of the share is investing €4.26 for every euro of annual earnings.
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 -5.6%.
Volume
Today’s last reported volume for VGP is 10762 which is 63% below its average volume of 29094.
Volatility
VGP’s last week, last month’s, and last quarter’s current intraday variation average was a negative 1.73%, a negative 0.65%, and a positive 2.18%.
VGP’s highest amplitude of average volatility was 2.49% (last week), 1.96% (last month), and 2.18% (last quarter).
Stock Price Classification
According to the stochastic oscillator, a useful indicator of overbought and oversold conditions, VGP’s stock is considered to be overbought (>=80).
Moving Average
VGP’s value is way below its 50-day moving average of €88.82 and way under its 200-day moving average of €112.44.
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7. CORTICEIRA AMORIM (COR.LS)
3.03% Foward Dividend Yield
CORTICEIRA AMORIM’s last close was €9.83, 8.3% below its 52-week high of €10.72. Intraday change was -0.51%.
Corticeira Amorim, S.G.P.S., S.A. manufactures and sells cork and cork related products worldwide. The company operates through Raw Materials, Cork Stoppers, Floor and Wall Coverings, Composite Cork, and Insulation Cork segments. It offers cork raw materials; cork stoppers for sparkling wine, spirit, beer, and cider industries; and cork wall and floor coverings. The company also provides cork composite solutions to use in various applications, such as aerospace, mobility, energy, sealing, construction, sports surfaces, flooring, home, office and leisure goods, footwear, panels, and composites. In addition, it offers insulation cork materials to use in sustainable insulation/construction, and interior and exterior designing. The company was founded in 1870 and is headquartered in Mozelos, Portugal.
Earnings Per Share
As for profitability, CORTICEIRA AMORIM has a trailing twelve months EPS of €0.48.
PE Ratio
CORTICEIRA AMORIM has a trailing twelve months price to earnings ratio of 20.27. Meaning, the purchaser of the share is investing €20.27 for every euro of annual earnings.
The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 16.44%.
Revenue Growth
Year-on-year quarterly revenue growth grew by 15.2%, now sitting on 1.02B for the twelve trailing months.
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8. CARREFOUR (CA.PA)
2.86% Foward Dividend Yield
CARREFOUR’s last close was €18.42, 13.8% under its 52-week high of €21.37. Intraday change was 0.58%.
Carrefour SA operates stores in various formats and channels in France, Spain, Italy, Belgium, Poland, Romania, Brazil, Argentina, and Taiwan. The company operates hypermarkets, supermarkets, convenience stores, cash and carry stores, and hypercash stores; e-commerce sites; and service stations. Its stores offer fresh produce; local products; consumer goods; and non-food products, including electronic and household appliances, textiles, and childcare products. The company is also involved in banking, insurance, property development, and franchise activities; the provision of travel agency services; and the rental of shopping malls. Carrefour SA was founded in 1959 and is based in Massy, France.
Earnings Per Share
As for profitability, CARREFOUR has a trailing twelve months EPS of €1.32.
PE Ratio
CARREFOUR has a trailing twelve months price to earnings ratio of 13.84. Meaning, the purchaser of the share is investing €13.84 for every euro of annual earnings.
The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 12.51%.
Volume
Today’s last reported volume for CARREFOUR is 830059 which is 61.97% below its average volume of 2183140.
Moving Average
CARREFOUR’s value is above its 50-day moving average of €17.33 and higher than its 200-day moving average of €16.65.
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