Münchener Rückversicherungs-Gesellschaft AG/Dividend 2026
Worth a closer look
Limited fundamentals data — score conservatively capped.
The score ranges from 0 to 100. Five factors are weighted: payout ratio (25), free cash flow coverage (25), leverage — net debt / EBITDA (20), increase streak (15), and yield signal — current vs. 5-year average yield (15).
Thresholds are sector-specific. REITs, utilities and banks use different benchmarks because they structurally have higher payout ratios or leverage.
Important: no model can predict dividend cuts. The score shows the factors that historically preceded cuts — it's an aid, not a substitute for your own research.
Sector adjustment was applied to this score.
Methodology: Full description
Dividend Yield
4.66%
€24.00 TTM
Streak
15 yrs
Established
5Jy CAGR
15.33%
Payout Ratio
–
Dividend (TTM)
€24.00
Last Payment
Apr 30, 2026
Next Ex-Date
–
Frequency
Final
How much income does your Munich Re position generate over time?
Prefilled: 5y CAGR 15.3%
Cumulative over 15 years
€134,948.01
In year 15: €20,307.24
This calculation is a model assumption. Actual dividends depend on business performance, taxes, FX rates, and shareholder approval.
Dividend payers in the same sector as Munich Re.