Healthcare Services Group, Inc. (HCSG) Dividends

Healthcare Services Group, Inc. (HCSG): $14.46

0.14 (+0.98%)

POWR Rating

Component Grades

Momentum

C

Stability

C

Sentiment

Quality

C

Dividend Yield and Dividend History Highlights

  • HCSG has an EBITDA to net debt ratio of 151,039,000; for context, that's better than 89.76% stocks in our set (note that its net debt is negative, meaning it has more cash than debt).
  • To help you reduce price risk in your dividend portfolio, here are the dividend stocks that are least correlated with HCSG's price: DEA, FDBC, STAF, GHM and OFED.
HCSG Ex-Dividend Date
HCSG Dividend Yield
0.00%
HCSG Annual Dividend
$0.86
HCSG Payout Ratio

HCSG Price Forecast Based on Dividend Discount Model

Current PriceDDM Fair Value Target: Forecasted Gain:
$14.46$43.18 131.42%

For dividend yielding stocks, the Dividend Discount Model (DDM) is a common valuation tool; it attempts to extrapolate a fair share price based primarily on the dividend the stock provides relative to a number of other quantiative aspects of its business. In the case of HCSG, the dividend discount model StockNews created for the company implies a positive return of 131.42%. Some interesting points we thought investors may wish to consider regarding the dividend discount model forecast for Healthcare Services Group Inc are:

  • Compared to other US stocks that pay a dividend, Healthcare Services Group Inc's dividend yield of 4.56% is in the top 15.96%.
  • Compared to other dividend issuers in the mid-sized market cap category, HCSG's beta -- a measure of volatility relative to the market at large -- is lower than 75.54% of them.
  • In comparison to other stocks in the mid-sized revenue class, where its estimated gain based on our dividend discount model price relative to its current share price is greater than 78.43% of companies in the same revenue class.


HCSG Dividend History

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Ex-Dividend Date
Type
Payout Amount
Change
2022-11-17Dividend$0.22+0.47%
2022-08-18Dividend$0.21+0.47%
2022-05-19Dividend$0.21+0.95%
2022-02-24Dividend$0.21+0.48%
2021-11-18Dividend$0.21+0.48%
2021-08-19Dividend$0.21+0.97%
2021-05-20Dividend$0.21+0.49%
2021-02-25Dividend$0.21+0.49%
2020-11-19Dividend$0.21+0.49%
2020-08-20Dividend$0.20+0.49%
2020-05-21Dividend$0.20+1.00%
2020-02-27Dividend$0.20+0.50%
2019-11-21Dividend$0.20+0.50%
2019-08-22Dividend$0.20+0.51%
2019-05-23Dividend$0.20+1.02%
2019-02-14Dividend$0.20+0.51%
2018-11-21Dividend$0.20+0.52%
2018-08-23Dividend$0.19+1.04%
2018-05-24Dividend$0.19+0.52%
2018-02-15Dividend$0.19+0.53%
Showing 1 to 20 of 86 rows records per page


HCSG Dividends vs. Peers

HCSG's dividend yield currently ranks #51 of 77 vs. its peers in the Outsourcing - Business Services category.
Rank Symbol Name Dividend Yield
1 VSEC VSE Corporation 0.00%
2 NEWT Newtek Business Services Corp. 0.00%
3 BCO Brinks Company (The) 0.00%
4 MG Mistras Group Inc 0.00%
5 TIRX TIAN RUIXIANG Holdings Ltd 0.00%
6 VVI Viad Corp 0.00%
7 DLX Deluxe Corporation 0.00%
8 BZLFY Bunzl plc 0.00%
9 EDGW Edgewater Technology, Inc. 0.00%
10 MAXR Maxar Technologies Inc. 0.00%
11 LKSD LSC Communications, Inc. 0.00%
12 PRGX PRGX Global, Inc. 0.00%
13 SGC Superior Group of Companies, Inc. 0.00%
14 HHS Harte-Hanks, Inc. 0.00%
15 ALJJ ALJ Regional Holdings, Inc. 0.00%
16 IFJPY Informa plc 0.00%
17 SERV ServiceMaster Global Holdings, Inc. 0.00%
18 WLDN Willdan Group, Inc. 0.00%
19 MMS Maximus, Inc. 0.00%
20 MAGS Magal Security Systems Ltd. - Ordinary Shares 0.00%
21 CNDT Conduent Incorporated 0.00%
22 BV BrightView Holdings, Inc. 0.00%
23 TNET TriNet Group, Inc. 0.00%
24 IKTSY Intertek Group PLC ADR 0.00%
25 NSP Insperity, Inc. 0.00%
26 INTX Intersections, Inc. 0.00%
27 INVE Identiv, Inc. 0.00%
28 INWK InnerWorkings, Inc. 0.00%
29 EXPGY Experian PLC ADR 0.00%
30 MDCA MDC Partners Inc. - Class A Subordinate Voting Shares 0.00%
31 G Genpact Limited 0.00%
32 CTAS Cintas Corp. 0.00%
33 IDI Tiger Media Inc 0.00%
34 FPAY FlexShopper, Inc. 0.00%
35 QUAD Quad Graphics, Inc 0.00%
36 EXLS ExlService Holdings, Inc. 0.00%
37 CRD.A Crawford & Company 0.00%
38 CRD.B Crawford & Company 0.00%
39 FTEO FRONTEO, Inc. 0.00%
40 EJH E-Home Household Service Holdings Ltd 0.00%
41 ARC ARC Document Solutions, Inc. 0.00%
42 GSOL Global Sources Ltd. 0.00%
43 ASFI Asta Funding, Inc. 0.00%
44 SRT StarTek, Inc. 0.00%
45 SP SP Plus Corporation 0.00%
46 SPCB SuperCom Ltd. 0.00%
47 ARMK Aramark 0.00%
48 GFSZY G4S plc 0.00%
49 TDCX TDCX Inc. 0.00%
50 RENX RELX N.V. American Depositary Shares (Each representing One Ordinary Share) 0.00%
51 HCSG Healthcare Services Group, Inc. 0.00%
52 PAYX Paychex Inc. 0.00%
53 ATTO Atento S.A. Ordinary Shares 0.00%
54 CVEO Civeo Corp. 0.00%
55 STN Stantec Inc 0.00%
56 CVG Convergys Corporation 0.00%
57 UNF Unifirst Corporation 0.00%
58 ABCO The Advisory Board Company 0.00%
59 STB Student Transportation Inc - Common shares 0.00%
60 PCO Pendrell Corporation - 0.00%
61 ABM ABM Industries Incorporated 0.00%
62 LABL Multi-Color Corporation 0.00%
63 ACTG Acacia Research Corporation 0.00%
64 RPXC RPX Corporation 0.00%
65 MGIH Millennium Group International Holdings Ltd. 0.00%
66 RRD R.R. Donnelley & Sons Company 0.00%
67 ROL Rollins Inc. 0.00%
68 CBZ CBIZ, Inc. 0.00%
69 VCIG VCI Global Ltd. 0.00%
70 VEC Vectrus, Inc. 0.00%
71 TCJH Top KingWin Ltd. 0.00%
72 PFMT Performant Financial Corporation 0.00%
73 ADP Automatic Data Processing, Inc. 0.00%
74 RCM R1 RCM Inc. 0.00%
75 EVI EVI Industries, Inc. 0.00%
76 CSRA CSRA Inc. 0.00%
77 NCIT NCI, Inc. - 0.00%

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