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Univest Financial Corporation

18y streak
US9134561094 · UVSPNASDAQ · US · Financials · Stock

Univest Financial Corporation is a Pennsylvania-based bank holding company that operates primarily through its subsidiary Univest Bank and Trust Co., providing a range of financial services including commercial and retail banking, mortgage banking, and wealth management. The company serves individuals, businesses, and municipalities across southeastern and south-central Pennsylvania as well as parts of New Jersey and Maryland. Univest has been in operation for over a century and is listed on the NASDAQ under the ticker UVSP.

Dividend Yield

TTM · NASDAQ

Last Dividend

0.23

USD · 2026-05-16

5Y Growth

-10.87%

CAGR

Frequency

Quarterly

Years Paid

18

consecutive

Not Cut

consecutive yrs

Grown

consecutive yrs

Listings

Exchange Ticker Currency Yield TTM
NASDAQ primary
UVSP USD

Annual Dividends

2026 USD 0.45
2009
 
2011
 
2013
 
2015
 
2017
 
2019
 
2021
 
2023
 
2025
2026

Annual dividend per share · 18 years of data

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Dividend Yield History

Loading yield history…
0.0%3.3%6.7%10.0%

Dividend History

Ex-Date Pay-Date Amount Type
16.05.202606.06.20260.23 USDOrdinary
14.02.202607.03.20260.22 USDOrdinary
16.11.202507.12.20250.22 USDOrdinary
16.08.202506.09.20250.22 USDOrdinary
16.05.202506.06.20250.22 USDOrdinary
14.02.202507.03.20250.21 USDOrdinary
16.11.202407.12.20240.21 USDOrdinary
16.08.202406.09.20240.21 USDOrdinary
16.05.202406.06.20240.21 USDOrdinary
15.02.202407.03.20240.21 USDOrdinary
16.11.202307.12.20230.21 USDOrdinary
16.08.202306.09.20230.21 USDOrdinary
16.05.202306.06.20230.21 USDOrdinary
14.02.202307.03.20230.21 USDOrdinary
16.11.202207.12.20220.21 USDOrdinary
16.08.202206.09.20220.21 USDOrdinary
16.05.202206.06.20220.21 USDOrdinary
14.02.202207.03.20220.20 USDOrdinary
16.11.202107.12.20210.20 USDOrdinary
16.08.202106.09.20210.20 USDOrdinary
16.05.202106.06.20210.20 USDOrdinary
14.02.202107.03.20210.20 USDOrdinary
16.11.202007.12.20200.60 USDOrdinary
16.08.202006.09.20200.20 USDOrdinary
16.05.202006.06.20200.20 USDOrdinary
15.02.202007.03.20200.20 USDOrdinary
16.11.201907.12.20190.20 USDOrdinary
16.08.201906.09.20190.20 USDOrdinary
16.05.201906.06.20190.20 USDOrdinary
14.02.201907.03.20190.20 USDOrdinary
16.11.201807.12.20180.20 USDOrdinary
16.08.201806.09.20180.20 USDOrdinary
16.05.201806.06.20180.20 USDOrdinary
14.02.201807.03.20180.20 USDOrdinary
16.11.201707.12.20170.20 USDOrdinary
16.08.201706.09.20170.20 USDOrdinary
16.05.201706.06.20170.20 USDOrdinary
14.02.201707.03.20170.20 USDOrdinary
16.11.201607.12.20160.20 USDOrdinary
16.08.201606.09.20160.20 USDOrdinary
16.05.201606.06.20160.20 USDOrdinary
15.02.201607.03.20160.20 USDOrdinary
16.11.201507.12.20150.20 USDOrdinary
16.08.201506.09.20150.20 USDOrdinary
16.05.201506.06.20150.20 USDOrdinary
14.02.201507.03.20150.20 USDOrdinary
16.11.201407.12.20140.20 USDOrdinary
16.08.201406.09.20140.20 USDOrdinary
16.05.201406.06.20140.20 USDOrdinary
14.02.201407.03.20140.20 USDOrdinary
16.11.201307.12.20130.20 USDOrdinary
16.08.201306.09.20130.20 USDOrdinary
16.05.201306.06.20130.20 USDOrdinary
14.02.201307.03.20130.20 USDOrdinary
16.11.201207.12.20120.20 USDOrdinary
16.08.201206.09.20120.20 USDOrdinary
16.05.201206.06.20120.20 USDOrdinary
15.02.201207.03.20120.20 USDOrdinary
16.11.201107.12.20110.20 USDOrdinary
16.08.201106.09.20110.20 USDOrdinary
16.05.201106.06.20110.20 USDOrdinary
14.02.201107.03.20110.20 USDOrdinary
16.11.201007.12.20100.20 USDOrdinary
16.08.201006.09.20100.20 USDOrdinary
16.05.201006.06.20100.20 USDOrdinary
16.11.200907.12.20090.80 USDOrdinary