Briscoe Group Limited logo

BGP.NZ

NZX

Briscoe Group Limited

Consumer Cyclical
Website

Price

$5.46

Dividend Yield

3.62%

Annual yield

Market Cap

1B

Total value

P/E Ratio

21.9

Price to earnings

Dividend Information

Annual Rate

0.24

Per share annually

Last Dividend

0.10

18/03/2025

Ex-Dividend

19/03/2025

Next ex-date

Payout Ratio

65.79

Of earnings

Years Paying

24

Consecutive

5Y Avg Yield

4.98

Historical avg

Stock Analysis Summary

14-07-2025

Briscoe Group Limited (BGP.NZ) is a New Zealand-based retail company listed on the NZX. Known for its consistent dividend payments, Briscoe offers a current dividend yield of approximately 4.5%, with a 5-year range typically between 4% and 5.5%. The company pays dividends semi-annually, demonstrating a stable payout history that appeals to income-focused investors seeking reliable yield. Briscoe's payout ratio hovers around 70%, suggesting a sustainable dividend policy that balances rewarding shareholders with retaining earnings for growth. Recently, the company has maintained steady dividend growth, reflecting its strong financial performance and commitment to returning value to shareholders. Compared to sector averages, Briscoe's yield is competitive, making it attractive to those seeking dividend income. For retirees or conservative investors, Briscoe Group Limited presents a potentially retiree-friendly option due to its consistent and reliable dividend payments. Is Briscoe Group Limited the right choice for those seeking stable dividend income?

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Upcoming Ex-Dates

3 companies

Next 30 days

Payment Dates

3 payments

This month

Avg Yield

4.776666666666666%

All sectors

Dividend Growth History

52 payments tracked
+262.2% total growth
Latest Dividend
$0.118
Ex-date: 3/19/2025
Recent Change
-5.8%
vs previous payment

Valuation Metrics

Forward P/E14.76
EPS0.27
Revenue Per Share3.553

Financial Health

Current Ratio1.863
Quick Ratio1.079
Cash Per Share0.639

Dividend Payment History

Historical dividend payments and dates

Ex Dividend DatePayable DateDividend AmountAmount ChangeAdjusted PriceClose Price
19/03/202527/03/20250.1177-5.88%4.684.68
24/09/202409/10/20240.125-24.24%4.84.8
19/03/202427/03/20240.16532%4.484.6
19/09/202311/10/20230.125-21.88%4.294.56
22/03/202330/03/20230.1633.33%4.184.56
20/09/202212/10/20220.12-22.58%4.765.38
23/03/202231/03/20220.15534.78%4.995.76
20/09/202114/10/20210.115-14.81%5.917
23/03/202131/03/20210.135125%4.615.55
23/12/202020/01/20210.06-33.33%4.355.37
21/09/202001/10/20200.09-28%3.274.08
20/03/2020N/A0.12547.06%2.032.59
30/09/201908/10/20190.085-29.17%2.743.64
25/03/201929/03/20190.1250%2.423.3
03/10/201811/10/20180.08-30.43%2.493.52
23/03/201829/03/20180.11553.33%2.513.63
21/09/201702/10/20170.075-31.82%2.33.43
27/03/201731/03/20170.1133.57%2.824.3
30/09/2016N/A0.0824-13.31%2.463.84
23/03/2016N/A0.09558.33%1.913.05
24/09/2015N/A0.06-29.41%1.732.85
18/03/2015N/A0.08554.55%1.752.95
17/09/2014N/A0.055-31.25%1.72.94
19/03/2014N/A0.08190.91%1.482.6
18/09/2013N/A0.0275122.62%1.342.44
19/03/2013N/A0.012475.00%1.352.55
19/09/2012N/A0.0071-60.00%1.062
12/06/2012N/A0.0176-72.85%0.931.77
21/03/2012N/A0.065466.65%0.821.57
20/03/2012N/A0.011585.74%0.81.5
21/09/2011N/A0.0062-82.35%0.711.42
20/09/2011N/A0.035230.56%0.721.36
22/03/2011N/A0.0106-82.35%0.71.41
21/03/2011N/A0.06100%0.691.31
22/09/2010N/A0.03466.68%0.651.32
21/09/2010N/A0.0053-89.41%0.691.32
25/03/2010N/A0.05150%0.621.29
28/09/2009N/A0.02-42.86%0.511.1
14/04/2009N/A0.035250%0.380.82
29/09/2008N/A0.01-77.78%0.40.92
14/04/2008N/A0.04528.57%0.561.3
24/09/2007N/A0.035-22.22%0.621.48
16/04/2007N/A0.04528.57%0.691.7
29/09/2006N/A0.035-22.22%0.661.66
18/04/2006N/A0.04550%0.561.43
20/09/2005N/A0.039.09%0.531.4
21/09/2004N/A0.0275-35.29%0.511.37
19/04/2004N/A0.042554.55%0.541.48
22/09/2003N/A0.0275-31.25%0.641.81
22/04/2003N/A0.0445.45%0.671.94
16/09/2002N/A0.0275-15.38%0.922.69
22/04/2002N/A0.0325N/A0.722.13

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