July 20, 2026 a 03:30 am

CHRW: Dividend Analysis - C.H. Robinson Worldwide, Inc.

C.H. Robinson Worldwide, Inc. company image

C.H. Robinson Worldwide, Inc. demonstrates a stable dividend profile with a dividend yield of 1.36%. With a history of 30 years of consistent dividend payments, the company showcases resilience. Despite current modest dividend growth, its strong market position aids in maintaining steady investor returns.

📊 Overview

The sector information and dividend metrics are indicators of the company's ability to generate shareholder value. A dividend history without recent cuts signifies consistent performance.

Metric Value
Sector Industrials
Dividend yield 1.36%
Current dividend per share 2.51 USD
Dividend history 30 years
Last cut or suspension None

🗣️ Dividend History

A robust dividend history serves as a confidence marker for investors, showing the company's commitment to returning capital. This history establishes trust and reliability in investor circles.

Dividend history chart
Year Dividend Per Share (USD)
2026 1.26
2025 2.49
2024 2.46
2023 2.44
2022 2.26

📈 Dividend Growth

The growth in dividends over recent years highlights the company's expansion capability and its ability to generate increasing returns for shareholders. The sustained growth reflects ongoing financial health.

Time Growth
3 years 3.28%
5 years 4.07%

The average dividend growth is 4.07% over 5 years. This shows moderate but steady dividend growth.

Dividend growth chart

⚠️ Payout Ratio

The payout ratio is critical in assessing dividend sustainability. A low ratio suggests a higher buffer for the company to sustain or increase payouts even if earnings fluctuate.

Key figure Ratio
EPS-based 50.13%
Free cash flow-based 34.45%

With an EPS payout ratio of 50.13% and a free cash flow payout ratio of 34.45%, C.H. Robinson maintains dividends with a solid safety margin.

✅ Cashflow & Capital Efficiency

Cash flow metrics are essential in evaluating a company’s financial health, directly impacting its ability to pay dividends, invest in growth, and manage debts efficiently.

Metrics (Yearly) 2025 2024 2023
Free Cash Flow Yield 4.63% 3.93% 6.33%
Earnings Yield 3.04% 3.76% 3.17%
CAPEX to Operating Cash Flow 2.15% 4.45% 11.49%
Stock-based Compensation to Revenue 0.49% 0.48% 0.33%
Free Cash Flow / Operating Cash Flow Ratio 97.85% 95.55% 88.51%
Return on Invested Capital 19.58% 15.36% 11.99%

The data reflects efficient capital allocation and cash flow robustness, suggesting strong capacity for dividend coverage and reinvestment opportunities.

✅ Balance Sheet & Leverage Analysis

Analyses of leverage and balance sheet strength are crucial for understanding the company's financial risk and capital management efficacy.

Metrics (Yearly) 2025 2024 2023
Debt-to-Equity 0.88 1.01 1.38
Debt-to-Assets 0.32 0.33 0.37
Debt-to-Capital 0.47 0.50 0.58
Net Debt to EBITDA 1.53 2.08 2.94
Current Ratio 1.59 1.28 1.40
Quick Ratio 1.53 1.28 1.40
Financial Leverage 2.74 3.08 3.68

The company shows a moderate leverage position with efficient debt management strategies, providing a basis for continued investment and financial resilience.

🗣️ Fundamental Strength & Profitability

Profitability margins and returns on capital highlight the operational efficiency and profit-generating capability of the company, crucial for sustained growth and shareholder wealth.

Metrics (Yearly) 2025 2024 2023
Return on Equity 31.81% 27.04% 22.92%
Return on Assets 11.61% 8.79% 6.22%
Net Margin 3.62% 2.63% 1.85%
EBIT Margin 4.84% 3.78% 2.92%
EBITDA Margin 5.47% 4.32% 3.49%
Gross Margin 8.37% 7.38% 6.47%
R&D to Revenue 0.08% 0.25% -

The metrics illustrate strong operational performance with consistent ROE and expanding margins, indicating robust profitability and competitive positioning.

🔍 Price Development

Stock price development chart

🎯 Dividend Scoring System

Criteria Score (1-5) Bar
Dividend yield 3
Dividend Stability 4
Dividend growth 3
Payout ratio 4
Financial stability 4
Dividend continuity 5
Cashflow Coverage 4
Balance Sheet Quality 4
Total Score: 31/40

📜 Rating

CHRW boasts a commendable dividend history, reflecting strong continuity and solid payout practices. Although the yield is moderate, the stability and growth potential make it an attractive investment for risk-averse, income-focused investors.

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