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CVS Health Corporation CVS.F · Stock Open CVS Health Corporation in new tab

78.54 EUR
P/E
23.02
EPS
3.31
Yield
2.88%
P/B
1.40
ROE
6.21
Beta
0.58
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Key Metrics
P/E23.02
EPS3.31
Book Value54.33
Price to Book1.40
Debt/Equity95.50
% Insiders0.063%
Growth
Revenue Growth0.07%
Earnings Growth1.89%
Dividend
Dividend Yield2.88%
Annual dividends2.30 EUR
Ex-Div. DateJuly 23, 2026
Payout70.18%
5y avg Yield3.25%

DCF Valuation

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DCF Result

Fair Value (DCF)
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CVS Health Corporation Logo CVS Health Corporation Analysis (CVS.F)

United States Health Care Official Website Stock

Is CVS Health Corporation a good investment? CVS Health Corporation (CVS.F) is currently trading at 78.54 EUR.

In terms of valuation, the stock trades at a P/E ratio of 23.02. This valuation is generally in line with the broader market.

For income investors, CVS Health Corporation pays a dividend yield of 2.88%. With a payout ratio of 70%, the dividend appears sustainable.

Investor FAQ

Does CVS Health Corporation pay a dividend?

Yes, it pays an annual dividend of 2.30 EUR (2.88% yield).

What asset class is CVS Health Corporation?

CVS Health Corporation is classified as a Stock. You can compare it against 7 other assets in the "Related Symbols" list on this page.

Company Profile

CVS Health Corporation provides health solutions in the United States. The Health Care Benefits segment offers traditional, voluntary, and consumer-directed health insurance products and related services, including medical, pharmacy, dental, and behavioral health plans; medical management capabilities; Medicare Advantage and Medicare Supplement plans; prescription drug plans (PDPs); and Medicaid health care management services. It serves employer groups, individuals, college students, part-time and hourly workers, health plans, health care providers, governmental units, government-sponsored plans, labor groups, and expatriates. The Health Services segment offers pharmacy benefit management solutions, including plan design and administration, formulary management, retail pharmacy network management, specialty and mail-order pharmacy, clinical services, disease management, medical spend management services, and pharmacy and other administrative services. It serves employers, insurance companies, unions, government employee groups, health plans, PDPs, Medicaid managed care plans, CMS, plans offered on public health insurance exchanges, and other sponsors of health benefit plans. The Pharmacy & Consumer Wellness segment sells prescription and over-the-counter drugs, consumer health and beauty products, personal care products, and other general merchandise products. This segment also distributes prescription drugs; and provides related pharmacy consulting and other ancillary services to care facilities and other care settings. It operates online retail pharmacy websites, retail specialty pharmacy stores, and compounding pharmacies, as well as branches for infusion and enteral nutrition services. The company was formerly known as CVS Caremark Corporation and changed its name to CVS Health Corporation in September 2014. CVS Health Corporation was founded in 1963 and is headquartered in Woonsocket, Rhode Island.

Exchange Ticker
FRA (Germany) CVS.F
SGO (Chile) CVS.SN
VIE (Austria) CVS.VI
SAO (Brazil) CVSH34.SA
GER (Germany) CVS.DE
MEX (Mexico) CVS.MX
NYQ (United States) CVS
Trades
Dividend Yield
2.88%
5y avg 3.25%
Annual Dividends
2.30EUR
Next Ex. Div Date
July 23, 2026
Payout Ratio
70.18%
Dividend History paid per year (EUR)
Historical Dividends
Year Total Dividends
2027
1.85 EUR
July 21, 2027 (estimated) 0.6260
April 19, 2027 (estimated) 0.6112
Jan. 19, 2027 (estimated) 0.6081
2026
2.33 EUR
Oct. 20, 2026 (estimated) 0.6094
July 23, 2026 0.5825
April 23, 2026 0.5687
Jan. 22, 2026 0.5658
2025
2.98 EUR
Oct. 23, 2025 0.5670
July 22, 2025 0.5670
April 22, 2025 0.5670
Jan. 23, 2025 0.6650
Jan. 22, 2025 0.6158
2024
5.12 EUR
Oct. 21, 2024 0.6650
Oct. 20, 2024 0.6158
July 22, 2024 0.6650
July 21, 2024 0.6158
April 19, 2024 0.6650
April 18, 2024 0.6158
Jan. 19, 2024 0.6650
Jan. 18, 2024 0.6158
2023
4.66 EUR
Oct. 19, 2023 0.6050
Oct. 18, 2023 0.5602
July 20, 2023 0.6050
July 19, 2023 0.5602
April 20, 2023 0.6050
April 19, 2023 0.5602
Jan. 19, 2023 0.6050
Jan. 18, 2023 0.5602
2022
4.24 EUR
Oct. 20, 2022 0.5500
Oct. 19, 2022 0.5093
July 21, 2022 0.5500
July 20, 2022 0.5093
April 21, 2022 0.5500
April 20, 2022 0.5093
Jan. 20, 2022 0.5500
Jan. 19, 2022 0.5093
2021
3.85 EUR
Oct. 21, 2021 0.5000
Oct. 20, 2021 0.4630
July 22, 2021 0.5000
July 21, 2021 0.4630
April 22, 2021 0.5000
April 21, 2021 0.4630
Jan. 21, 2021 0.5000
Jan. 20, 2021 0.4630
2020
3.85 EUR
Oct. 21, 2020 0.5000
Oct. 20, 2020 0.4630
July 22, 2020 0.5000
July 21, 2020 0.4630
April 22, 2020 0.5000
April 21, 2020 0.4630
Jan. 22, 2020 0.5000
Jan. 21, 2020 0.4630
2019
3.85 EUR
Oct. 23, 2019 0.5000
Oct. 22, 2019 0.4630
July 24, 2019 0.5000
July 23, 2019 0.4630
April 23, 2019 0.5000
April 22, 2019 0.4630
Jan. 24, 2019 0.5000
Jan. 23, 2019 0.4630
2018
3.85 EUR
Oct. 23, 2018 0.5000
Oct. 22, 2018 0.4630
July 24, 2018 0.5000
July 23, 2018 0.4630
April 20, 2018 0.5000
April 19, 2018 0.4630
Jan. 23, 2018 0.5000
Jan. 22, 2018 0.4630
2017
2.89 EUR
Oct. 23, 2017 0.5000
Oct. 22, 2017 0.4630
April 19, 2017 0.5000
April 18, 2017 0.4630
Jan. 20, 2017 0.5000
Jan. 19, 2017 0.4630
2016
3.27 EUR
Oct. 20, 2016 0.4250
Oct. 19, 2016 0.3936
July 19, 2016 0.4250
July 18, 2016 0.3936
April 20, 2016 0.4250
April 19, 2016 0.3936
Jan. 20, 2016 0.4250
Jan. 19, 2016 0.3936
2015
2.70 EUR
Oct. 20, 2015 0.3500
Oct. 19, 2015 0.3241
July 21, 2015 0.3500
July 20, 2015 0.3241
April 22, 2015 0.3500
April 21, 2015 0.3241
Jan. 20, 2015 0.3500
Jan. 19, 2015 0.3241
2014
2.12 EUR
Oct. 21, 2014 0.2750
Oct. 20, 2014 0.2547
July 17, 2014 0.2750
July 16, 2014 0.2547
April 17, 2014 0.2750
April 16, 2014 0.2547
Jan. 21, 2014 0.2750
Jan. 20, 2014 0.2547
2013
1.73 EUR
Oct. 17, 2013 0.2250
Oct. 16, 2013 0.2083
July 18, 2013 0.2250
July 17, 2013 0.2083
April 19, 2013 0.2250
April 18, 2013 0.2083
Jan. 22, 2013 0.2250
Jan. 21, 2013 0.2083
2012
1.25 EUR
Oct. 18, 2012 0.1625
Oct. 17, 2012 0.1505
July 19, 2012 0.1625
July 18, 2012 0.1505
April 19, 2012 0.1625
April 18, 2012 0.1505
Jan. 19, 2012 0.1625
Jan. 18, 2012 0.1505
2011
0.96 EUR
Oct. 19, 2011 0.1250
Oct. 18, 2011 0.1158
July 20, 2011 0.1250
July 19, 2011 0.1158
April 19, 2011 0.1250
April 18, 2011 0.1158
Jan. 19, 2011 0.1250
Jan. 18, 2011 0.1158
2010
0.17 EUR
Oct. 20, 2010 0.0875
Oct. 19, 2010 0.0810
Upcoming Dividends
Name Payment Date Status Amount
CVS Health Corporation Jul 23, 2026 0.58247 EUR
CVS Health Corporation Apr 23, 2026 0.568708 EUR
CVS Health Corporation Jan 22, 2026 0.565782 EUR
CVS Health Corporation Oct 23, 2025 0.566979 EUR
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