DEVL.FFrankfurt
DBS Group Holdings Ltd
€42.20
ListedJan 3, 2000
SectorFinancial Services
IndustryBanks — Regional
CountrySingapore
Employees39721
State-| CitySingapore| AddressCentre Tower 3| Phone65 6878 8888
DBS Group Holdings Ltd provides commercial banking and financial services in Singapore, Hong Kong, rest of Greater China, South and Southeast Asia, and internationally. It operates through Personal Banking; Institutional Banking; and Global Financial Markets segments. The Personal Banking segment offers banking and related financial services, including current and savings accounts, fixed deposits, loans and home finance, cards, payments, investment, and insurance products for individual customers. The Institutional Banking segment provides financial services and products comprise short-term working capital financing and specialized lending; cash management, trade finance, and securities and fiduciary services; treasury and markets products; corporate finance and advisory banking services; and capital markets solutions for bank and non-bank financial institutions, government-linked companies, large corporates, and small and medium sized businesses. The Global Financial Markets segment is involved in the structuring, market-making, and trading in various treasury products. DBS Group Holdings Ltd was founded in 1968 and is headquartered in Singapore.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
16.4
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Div. Rate
€2.18
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Div. Yield
5.16%
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Payout Ratio
79.80%
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Max Consec. Div. Years
16 years
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Longest Consec. Div.
16 years
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Div. Coverage
72%
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Div. Stability Rate
0.41
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Div. Growth Rate
100.00%
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Score
82

Dividend History

Historical dividend payments by ex-dividend date.

May 11, 2026
€ 0.5442
Apr 8, 2026
€ 0.5442
Nov 13, 2025
€ 0.5039
Aug 14, 2025
€ 0.5039
May 16, 2025
€ 0.5039
Apr 7, 2025
€ 0.4031
Nov 14, 2024
€ 0.3628
Aug 15, 2024
€ 0.3628
May 9, 2024
€ 0.3628
Apr 5, 2024
€ 0.3298
Nov 14, 2023
€ 0.2932
Aug 11, 2023
€ 0.2932
May 9, 2023
€ 0.2565
Apr 11, 2023
€ 0.5619
Nov 11, 2022
€ 0.2199
Aug 15, 2022
€ 0.2199
May 11, 2022
€ 0.2199
Apr 8, 2022
€ 0.2199
Nov 12, 2021
€ 0.2016
Aug 13, 2021
€ 0.2016
May 10, 2021
€ 0.1099
Apr 7, 2021
€ 0.1099
Nov 12, 2020
€ 0.1099
Aug 14, 2020
€ 0.1099
May 12, 2020
€ 0.4031
Nov 18, 2019
€ 0.1832
Aug 5, 2019
€ 0.1832
May 17, 2019
€ 0.1832
May 2, 2019
€ 0.3665
Aug 8, 2018
€ 0.3665
May 3, 2018
€ 0.6718
Aug 11, 2017
€ 0.2016
May 4, 2017
€ 0.1832
Aug 15, 2016
€ 0.1832
May 5, 2016
€ 0.1832
Jul 31, 2015
€ 0.1832
Apr 27, 2015
€ 0.1832
Aug 13, 2014
€ 0.1710
May 12, 2014
€ 0.1832
Aug 15, 2013
€ 0.1710
May 13, 2013
€ 0.1710
Aug 15, 2012
€ 0.1710
May 9, 2012
€ 0.1710
Aug 8, 2011
€ 0.1710
May 12, 2011
€ 0.1710
Aug 20, 2010
€ 0.0855
May 20, 2010
€ 0.0855
Nov 7, 2007
€ 0.1222
Aug 7, 2007
€ 0.1222
May 11, 2006
€ 0.1038

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