January 18, 2026 a 11:31 am

RVTY: Dividend Analysis - Revvity, Inc.

Revvity, Inc. Logo

Revvity, Inc. maintains a dividend history of 44 years, showcasing significant stability despite minimal recent growth. The company's conservative payout ratios provide substantial room for future dividend enhancements while maintaining fiscal prudence.

📊 Overview

The overview of Revvity, Inc. highlights its position in a competitive sector with a steady dividend history and solid payout ratios. The modest dividend yield underscores a stable yet potentially conservative approach towards returns to shareholders.

Key Figures Details
Sector Industrials
Dividend Yield 0.25%
Current Dividend per Share 0.28 USD
Dividend History 44 years
Last Cut or Suspension None

🗣️ Dividend History

Revvity's dividend history reveals an enduring tradition of distributions, which instills confidence in the predictability of future payments. Such consistency is crucial for income-focused investors, reassuring them of stable cash inflows.

Dividend History Chart
Year Dividend per Share (USD)
2026 0.07
2025 0.28
2024 0.28
2023 0.28
2022 0.28

📈 Dividend Growth

The lack of recent dividend growth highlights a period of stability rather than aggressive expansion. This has implications for future potential as the company may focus more on financial security rather than dividend increases.

Time Growth
3 years 0%
5 years 0%

The average dividend growth is 0% over 5 years. This shows moderate but steady dividend growth.

Dividend Growth Chart

📉 Payout Ratio

A commendable EPS-based payout ratio of 13.86% implies that Revvity holds a conservative strategy, ensuring ample coverage of its dividend obligations. The FCF-based ratio further underpins the firm’s capacity to maintain its dividend payments amidst differing operating environments.

Key Figure Ratio Percentage
EPS-based 13.86%
Free Cash Flow-based 6.55%

Overall, these ratios are quite conservative, indicating a well-managed dividend strategy that prioritizes sustainability over aggressiveness.

✅ Cashflow & Capital Efficiency

Revvity's financial efficiency and prudent capital allocation strategies underscore the company's sustainable financial model, which supports its operational needs and shareholder payouts.

2024 2023 2022
Free Cash Flow Yield 3.96% 0.07% 3.36%
Earnings Yield 2.17% -0.87% 3.22%
CAPEX to Operating Cash Flow 13.79% 89.15% 12.60%
Stock-based Compensation to Revenue 1.37% 1.51% 1.56%
Free Cash Flow / Operating Cash Flow Ratio 86.21% 10.85% 87.40%

Revvity's ability to generate cash flows efficiently and reinvest wisely enhances its operational resilience and positions it advantageously for future growth.

⚠️ Balance Sheet & Leverage Analysis

A thorough examination of Revvity's balance sheet reveals a robust financial framework with strategically managed debt levels, underscoring the firm’s financial prudence.

2024 2023 2022
Debt-to-Equity 43.38% 51.64% 62.24%
Debt-to-Assets 26.84% 29.97% 32.52%
Debt-to-Capital 30.25% 34.05% 38.36%
Net Debt to EBITDA 2.57 4.42 3.50
Current Ratio 3.60 2.07 2.13
Quick Ratio 3.03 1.77 1.87
Financial Leverage 1.62 1.72 1.91

The figures reflect Revvity's solid leveraging strategy, ensuring it remains agile to seize market opportunities while sustaining financial health.

📈 Fundamental Strength & Profitability

Revvity exhibits fundamental strengths through consistent profitability metrics ensuring shareholder value creation. The firm’s balanced approach to R&D spending suggests an emphasis on innovation.

2024 2023 2022
Return on Equity 3.86% -1.50% 7.71%
Return on Assets 2.39% -0.87% 4.03%
Margins: Net 10.74% -4.30% 17.19%
EBIT 14.97% 10.24% 22.82%
EBITDA 30.50% 25.94% 35.71%
Gross 48.01% 48.07% 53.16%
R&D to Revenue 7.15% 7.87% 6.69%

The persistent returns on equity and assets signify adept fiscal management, while efficient margin control corroborates profitability.

Price Development

Stock Price Development

Dividend Scoring System

Criteria Score Strength Indicator
Dividend Yield 2
Dividend Stability 4
Dividend Growth 1
Payout Ratio 5
Financial Stability 4
Dividend Continuity 5
Cashflow Coverage 4
Balance Sheet Quality 4
Total Score: 29/40

Rating

Revvity, Inc. presents a stable yet conservative dividend profile. With solid financial grounding and low payout ratios, it is well positioned for future dividend enhancements, making it an appealing choice for conservative income-seeking investors.