CBY.FFrankfurt
Community Financial System, Inc.
€54.50
ListedMar 5, 2014
SectorFinancial Services
IndustryBanks — Regional
CountryUnited States
Employees2853
StateNY| CitySyracuse| Address333 Butternut Drive| Phone315 445 2282
Community Financial System, Inc. operates as the bank holding company for Community Bank, N.A. that provides various banking and other financial services to retail, commercial, institutional, and governmental customers. The company operates in four segments: Banking, Employee Benefit Services, Insurance Services and Wealth Management Services. The Banking Segment offers lending and depository-related products and services; treasury management solutions and payment processing services, as well as certain corporate overhead-related expenses to individuals, businesses, and governmental units. The Employee Benefit Segment provides employee benefit trust, collective investment fund, retirement plan and health savings account administration, fund administration, transfer agency, actuarial, health and welfare consulting services and introducing broker-dealer services. The Insurance Services segment offers personal and commercial lines of insurance and other risk management products and services, as well as employee benefit related services. The Wealth Management Services provides wealth management, retirement planning, higher educational planning, fiduciary, risk management, trust services, and personal financial planning services. This segment also offers a range of investment products including stocks, bonds, exchange-traded funds, mutual funds, insurance, and advisory products. Community Financial System, Inc. was founded in 1866 and is headquartered in Syracuse, New York.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
15.4
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Div. Rate
€1.61
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Div. Yield
2.96%
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Payout Ratio
45.39%
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Max Consec. Div. Years
12 years
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Longest Consec. Div.
11 years
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Div. Coverage
100%
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Div. Stability Rate
0.04
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Div. Growth Rate
100.00%
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Score
99

Dividend History

Historical dividend payments by ex-dividend date.

Mar 16, 2026
€ 0.4035
Dec 12, 2025
€ 0.4035
Sep 12, 2025
€ 0.4035
Jun 13, 2025
€ 0.3949
Mar 14, 2025
€ 0.3949
Dec 13, 2024
€ 0.3949
Sep 13, 2024
€ 0.3949
Jun 14, 2024
€ 0.3863
Mar 14, 2024
€ 0.3863
Dec 14, 2023
€ 0.3863
Sep 14, 2023
€ 0.3863
Jun 14, 2023
€ 0.3777
Mar 14, 2023
€ 0.3777
Dec 14, 2022
€ 0.3777
Sep 14, 2022
€ 0.3777
Jun 14, 2022
€ 0.3692
Mar 14, 2022
€ 0.3692
Dec 14, 2021
€ 0.3692
Sep 14, 2021
€ 0.3692
Jun 14, 2021
€ 0.3606
Mar 12, 2021
€ 0.3606
Dec 11, 2020
€ 0.3606
Sep 14, 2020
€ 0.3606
Jun 12, 2020
€ 0.3520
Mar 13, 2020
€ 0.3520
Dec 12, 2019
€ 0.3520
Sep 13, 2019
€ 0.3520
Jun 13, 2019
€ 0.3262
Mar 14, 2019
€ 0.3262
Dec 13, 2018
€ 0.3262
Sep 13, 2018
€ 0.3262
Jun 14, 2018
€ 0.2919
Mar 14, 2018
€ 0.2919
Dec 14, 2017
€ 0.2919
Sep 14, 2017
€ 0.2919
Jun 13, 2017
€ 0.2747
Mar 13, 2017
€ 0.2747
Dec 13, 2016
€ 0.2747
Sep 13, 2016
€ 0.2747
Mar 11, 2016
€ 0.2661
Dec 11, 2015
€ 0.2661
Sep 11, 2015
€ 0.2661
Jun 11, 2015
€ 0.2576
Mar 12, 2015
€ 0.2576
Dec 11, 2014
€ 0.2576
Sep 11, 2014
€ 0.2576
Jun 12, 2014
€ 0.2404

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