Stock profile

Christie Group plc

CTG.LSE LSE GBX ISIN GB0001953156

Market tone: No signal.

Open 144.70p Prev close 142.50p Volume 562
Frequency Semi-annual 2.0 events/year
Trend Growing 2021-2025 payout trend
Volatility 38.49% annual payout CV
Growth 25.74% annualised payout

Recent Dividends

Trade analysis
Dividend0.5pInterim Event yield0.53% - 0.53%declared to ex-div Decl30 Sep Ex-div10 Oct Pay08 Nov
Dividend1.8pFinal Event yield1.09% - 1.63%declared to ex-div Ex-div drop-6.67%price move Decl28 Apr Ex-div12 Jun Pay11 Jul
Dividend0.8pInterim Event yield0.62% - 0.68%declared to ex-div Ex-div drop-2.22%price move Decl29 Sep Ex-div09 Oct Pay07 Nov
Dividend2.8pFinal Event yield1.83% - 1.93%declared to ex-div Decl27 Apr Ex-div11 Jun Pay10 Jul
Price History 03 Sep 2024 to 01 Jun 2026
79.00 100.75 122.50 144.25 166.00 Oct 24 Jan 25 Apr 25 Jul 25 Oct 25 Jan 26 Apr 26 Jul 26 History dividend: 03 Oct 2024 | Declared: 30 Sep 2024 | Dividend: 0.5p | Yield before ex: 0.53% | Ex-drop: 0.00% | Window yield range: 0.53% to 0.53% History dividend: 10 Oct 2024 | Declared: 30 Sep 2024 | Dividend: 0.5p | Yield before ex: 0.53% | Window yield range: 0.53% to 0.53% History dividend: 12 Jun 2025 | Declared: 28 Apr 2025 | Dividend: 1.8p | Yield before ex: 1.17% | Ex-drop: -6.67% | Window yield range: 1.09% to 1.63% History dividend: 09 Oct 2025 | Declared: 29 Sep 2025 | Dividend: 0.8p | Yield before ex: 0.67% | Ex-drop: -2.22% | Window yield range: 0.62% to 0.68% Declared dividend: 11 Jun 2026 | Declared: 27 Apr 2026 | Dividend: 2.8p | Yield before ex: - | Window yield range: 1.83% to 1.93%

News

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Historical Dividends

Total dividends and yield-at-ex-date by year
Payout trend 25.74% Growing · 2021-2025 payout CAGR
Payout volatility 38.49% High variance · std dev / average payout
Peak payout3.6p
Peak annual yield2.69%
2021
0.80%
1.0p
30 Sep 1.0p
2022
2.69%
3.2p
09 Jun 2.0p 06 Oct 1.2p
2023
2.45%
3.0p
08 Jun 2.5p 05 Oct 0.5p
2024
1.44%
1.5p
13 Jun 0.5p 03 Oct 0.5p 10 Oct 0.5p
2025
2.00%
2.5p
12 Jun 1.8p 09 Oct 0.8p
2026 This year
2.51%
3.6p
11 Jun 2.8p 09 Oct 0.8p
2027 Projection
1.46%
2.1p
12 Jun 1.6p 03 Oct 0.5p
YearEx-dateDeclaredRecordPaymentPeriodValue
2026 11 Jun 2026 27 Apr 2026 - 10 Jul 2026 Final 0.0275 GBP
2025 09 Oct 2025 29 Sep 2025 - 07 Nov 2025 Interim 0.0075 GBP
2025 12 Jun 2025 28 Apr 2025 - 11 Jul 2025 Final 0.0175 GBP
2024 10 Oct 2024 30 Sep 2024 10 Oct 2024 08 Nov 2024 Interim 0.0050 GBP
2024 03 Oct 2024 30 Sep 2024 - 01 Nov 2024 Interim 0.0050 GBP
2024 13 Jun 2024 29 Apr 2024 13 Jun 2024 12 Jul 2024 Final 0.0050 GBP
2023 05 Oct 2023 18 Sep 2023 05 Oct 2023 03 Nov 2023 Interim 0.0050 GBP
2023 08 Jun 2023 24 Apr 2023 08 Jun 2023 07 Jul 2023 Final 0.0250 GBP
2022 06 Oct 2022 26 Sep 2022 06 Oct 2022 04 Nov 2022 Interim 0.0125 GBP
2022 09 Jun 2022 25 Apr 2022 09 Jun 2022 08 Jul 2022 Final 0.0200 GBP
2021 30 Sep 2021 20 Sep 2021 30 Sep 2021 29 Oct 2021 Interim 0.0100 GBP
2019 10 Oct 2019 30 Sep 2019 10 Oct 2019 01 Nov 2019 Interim 0.0125 GBP
2019 06 Jun 2019 11 Apr 2019 06 Jun 2019 05 Jul 2019 Final 0.0175 GBP
2018 27 Sep 2018 17 Sep 2018 27 Sep 2018 19 Oct 2018 Interim 0.0125 GBP

Upcoming Dividends

Declared and projected dividend cycle
Ex-dateStatusPeriodDividendEst. yield
11 Jun 2026 Declared Final 0.0275 GBP 1.93%
09 Oct 2026 Predicted Interim 0.0083 GBP 0.58%
12 Jun 2027 Predicted Final 0.0158 GBP 1.11%

Recovery Speed

Recovered by trading week
1w
4 <= 5d trading days
2w
4 <= 10d trading days
3w
4 <= 15d trading days
4w
4 <= 20d trading days
5w
4 <= 25d trading days
6w
4 <= 30d trading days

Recovery Signature

Post ex-div behaviour
Median recovery0dtrading days to regain pre-ex close
Recovered66.67%events recovered inside 6w
Drop capture417.46%ex-drop as share of dividend paid
Score70speed, consistency, and drift blend
+15% +5% 0% -5% -15% Ex 1w 2w 3w 4w 5w 6w
Bold white line = average visible recovery curve 6 events selected