Stocks Screener

Search any stock or ticker

Internet Computer ICP
Bitcoin Cash BCH
Litecoin LTC
Field stub for analysis

How This Company Makes Money

Dividend Analysis BCV

Max Ratio

Dividend Yield

4.03 %

5Y Dividend Growth

47.00 %

Consecutive Years

5Y Average Payout Ratio

50.45 %

Dividend History BCV

1 year
3 years
5 years
10 years
15 years
11/21/2021 - 11/28/2021
Forward Annual Dividend Yield 4.03 %
Consecutive Years 0
Forward Annual Dividend 0.80 USD
Consistent Years 0
Dividend CAGR 3Y 11.57 %
Continuous Dividends
Dividend CAGR 5Y 8.02 %
Payout Ratio TTM 54.19 %
Dividend CAGR 10Y 9.60 %
Ex Dividend Date 10/01/2025

The 5 Pillars Formula Checklist

The Five-Pillar Secret Formula Checklist is our simple, proven way to separate strong, lasting businesses from the rest. We look at five key pillars—sales growth, profit growth, Net Income, dividend safety, and debt levels. Together with Financial Score, they tell us if a company can keep growing, stay financially solid, and reliably pay dividends for decades.

Sales Growth BCV

Sales Growth – The Foundation of a Strong Business. Consistent revenue growth over the past 10-15 years is a key sign of a thriving company. It shows that demand for its products and services is increasing, allowing it to expand operations, gain market share, and invest in future growth.
1 year
3 years
5 years
10 years

Profit Growth / Profit Margin BCV

The Fuel for Company Growth. Revenue alone isn’t enough—what truly matters is how efficiently a company turns that revenue into consistent, growing profits. Profitability is the foundation of sustainable growth and long-term financial strength.
1 year
3 years
5 years
10 years

Net Income BCV

The True Measure of Financial Strength. Net income is what remains after all expenses, taxes, and costs. This is the company’s real earning power.
1 year
3 years
5 years
10 years

Payout Ratio TTM BCV

Dividend Payout Safety – Protecting Your Passive Income. A high dividend yield is meaningless if the company can’t afford to sustain it. We evaluate payout ratios to ensure the company is not overextending itself. The best companies have a balanced approach—paying generous dividends while still reinvesting in future growth. Dividend safety is crucial for long-term income stability.
1 year
3 years
5 years
10 years
15 years
11/21/2021 - 11/28/2021

Debt Ratio BCV

Debt Burden – Avoiding Financial Traps. Too much debt can cripple a company, even if its revenues and profits look great. We analyze how well a company manages its liabilities, ensuring that debt levels are under control.
1 year
3 years
5 years
10 years
11/21/2021 - 11/28/2021

Full Financial Performance

See how the company makes money over time—revenue, profits, dividends, and more. The charts on the right give you a quick view of growth trends so you can instantly spot consistency or red flags.

CVB Financial Corporation BCV

1 year
3 years
5 years
10 years
Results 2019 Dynamics
* The data for this period has not yet been published

Bottom Line

Valuation Check

Shows if a stock is priced fairly by looking at peers and the company’s own history — a quick way to see if it’s a bargain or overpriced.

Value vs Peers

The company is measured against at least 10 rivals in the same sector. If it earns 25% more profit per share than the average, it’s Undervalued. If it earns 25% less, it’s Overvalued. In short: stronger earnings per share mean you’re getting a bargain, weaker ones mean you’re overpaying.

Value vs Itself BCV

P/E shows how many dollars investors pay in the stock price for each $1 of profit the company earns per share. Today’s P/E is compared with the company’s 10-year average. If the ratio is above that norm, you’re paying up for each dollar of profit. If it’s below, you’re getting more earnings for less.
1 year
3 years
5 years
10 years
11/21/2021 - 11/28/2021
Trailing PE 13.18
Forward PE 11.53
Enterprise Value Revenue 6.61
Price Sales TTM 5.27
Enterprise Value EBITDA
Price Book MRQ 1.20

CVB Financial Corporation Dividends: 4.03 % Yield, History, Payment Schedule

BCV
Current price
16.70 EUR -0.1 EUR (-0.60%)
Last closed 19.96 USD
ISIN US1266001056
Sector Financial Services
Industry Banks - Regional
Exchange Frankfurt Exchange
Capitalization 2 687 443 200 USD
Yield for 12 month -14.67 %
1Y
3Y
5Y
10Y
15Y
BCV
11/21/2021 - 11/28/2021

Check your investment idea

Find the best to beat the market
TSLA TSLA Tesla Motors
AAPL AAPL Apple
MSFT MSFT Microsoft

Advanced Highlights

Current Year

+658 686 000 USD

Last Year

+665 660 000 USD

Current Quarter

+163 118 000 USD

Last Quarter

+158 953 000 USD

Current Year

+480 171 000 USD

Last Year

+545 820 000 USD

Current Quarter

+127 083 000 USD

Last Quarter

+126 352 000 USD
EBITDA
Operating Margin TTM 54.87 %
Price to Earnings 13.18
Return On Assets TTM 1.32 %
PEG Ratio 2.22
Return On Equity TTM 9.16 %
Wall Street Target Price 22.40 USD
Revenue TTM 509 488 000 USD
Book Value 16.60 USD
Revenue Per Share TTM
Dividend Share 0.80 USD
Quarterly Revenue Growth YOY 0.90 %
Dividend Yield 4.03 %
Gross Profit TTM 509 488 000 USD
Earnings per share 1.48 USD
Diluted Eps TTM 1.48 USD
Most Recent Quarter III 2025
Quarterly Earnings Growth YOY 3.60 %
Profit Margin 40.26 %

Technical Indicators BCV

For 52 Weeks

15.69 USD 22.80 USD
50 Day MA 18.94 USD
Shares Short Prior Month 3 240 950
200 Day MA 19.18 USD
Short Ratio 4.45
Shares Short 3 733 567
Short Percent 4.01 %