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293.38 USD
P/E
12.63
EPS
22.80
Yield
1.09%
Safety Score
77
P/B
1.31
ROE
10.93
Beta
0.84
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Key Metrics
Earnings dateJuly 17, 2026
P/E12.63
EPS22.80
Book Value220.06
Price to Book1.31
% Insiders4.718%
Growth
Revenue Growth-0.31%
Earnings Growth-0.60%
Dividend
Dividend Yield1.09%
Annual dividends3.22 USD
Ex-Div. DateMay 4, 2026
Payout13.97%
5y avg Yield0.96%

DCF Valuation

Tweak assumptions to recompute fair value for Hingham Institution for Savings (HIFS)
Currency: USD
DCF Assumptions
Decimal (e.g., 0.10 = 10%). Range allows declines (−50%) to strong growth (+50%).
Decimal (e.g., 0.30 = 30%).
Decimal (e.g., 0.04 = 4%).
Decimal (e.g., 0.20 = 20%).
Percent number (e.g., 3 = 3%).
Percent number (e.g., 10 = 10%).
Percent number (e.g., 5 = 5%).
DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

Hingham Institution for Savings Logo Hingham Institution for Savings Analysis (HIFS)

United States Financials Official Website Stock

Is Hingham Institution for Savings a good investment? Hingham Institution for Savings (HIFS) is currently trading at 293.38 USD.

In terms of valuation, the stock trades at a P/E ratio of 12.63. This relatively low multiple may signal that Hingham Institution for Savings is undervalued compared to historical market norms.

Earnings Schedule: Hingham Institution for Savings is expected to release its next earnings report on July 17, 2026.

For income investors, Hingham Institution for Savings pays a dividend yield of 1.09%. With a payout ratio of 14%, the dividend appears sustainable.

Investor FAQ

Does Hingham Institution for Savings pay a dividend?

Yes, it pays an annual dividend of 3.22 USD (1.09% yield).

What asset class is Hingham Institution for Savings?

Hingham Institution for Savings is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.

When is the next earnings date?

The next earnings date is projected to be July 17, 2026. The company currently has a trailing EPS of 22.80.

Company Profile

Hingham Institution for Savings provides various financial services to individuals and small businesses in the United States. It offers savings, checking, money market, term certificate, demand, and negotiable order of withdrawal accounts, as well as certificates of deposit. The company provides commercial and residential owner-occupied real estate, construction, home equity, consumer, and commercial loans; and origination of loans. In addition, it offers ATMs, debit cards, and Internet-based banking services. Further, the company invests in short-term income investments, such as U.S. treasury debt securities, U.S. Government-sponsored enterprise debt securities, bank subordinated debt, and FDIC-insured certificates of deposit; and equity investments, corporate bonds, CRA investments, and federal home loan bank stock, as well as bank-owned life insurance. Hingham Institution for Savings was incorporated in 1834 and is headquartered in Hingham, Massachusetts.

Exchange Ticker
NMS (United States) HIFS
Trades
Dividend Yield
1.09%
5y avg 0.96%
Annual Dividends
3.22USD
Next Ex. Div Date
May 4, 2026
Payout Ratio
13.97%
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
1.91 USD
May 12, 2027 (estimated) 0.6632
Jan. 13, 2027 (estimated) 1.2431
2026
3.31 USD
Nov. 11, 2026 (estimated) 0.6686
Aug. 12, 2026 (estimated) 0.6772
May 13, 2026 0.6300
Jan. 14, 2026 1.3300
2025
2.52 USD
Nov. 12, 2025 0.6300
Aug. 13, 2025 0.6300
May 14, 2025 0.6300
Jan. 15, 2025 0.6300
2024
2.52 USD
Nov. 13, 2024 0.6300
Aug. 7, 2024 0.6300
May 15, 2024 0.6300
Jan. 10, 2024 0.6300
2023
3.15 USD
Nov. 8, 2023 0.6300
Aug. 9, 2023 0.6300
May 10, 2023 0.6300
Jan. 11, 2023 1.2600
2022
3.07 USD
Nov. 9, 2022 0.6100
Aug. 10, 2022 0.5900
May 11, 2022 0.5700
Jan. 12, 2022 1.3000
2021
2.70 USD
Nov. 10, 2021 0.5300
Aug. 11, 2021 0.5100
April 21, 2021 0.4900
Jan. 13, 2021 1.1700
2020
2.31 USD
Oct. 14, 2020 0.4500
July 15, 2020 0.4300
April 15, 2020 0.4200
Jan. 15, 2020 1.0100
2019
2.04 USD
Oct. 16, 2019 0.4000
July 17, 2019 0.3900
April 17, 2019 0.3800
Jan. 16, 2019 0.8700
2018
1.73 USD
Oct. 17, 2018 0.3600
July 18, 2018 0.3500
April 18, 2018 0.3400
Jan. 17, 2018 0.6800
2017
1.62 USD
Oct. 18, 2017 0.3400
July 19, 2017 0.3200
April 19, 2017 0.3200
Jan. 18, 2017 0.6400
2016
1.52 USD
Oct. 19, 2016 0.3200
July 20, 2016 0.3000
April 20, 2016 0.3000
Jan. 20, 2016 0.6000
2015
2.14 USD
Oct. 20, 2015 0.3000
July 20, 2015 0.2800
April 20, 2015 0.2800
Jan. 21, 2015 1.2800
2014
1.37 USD
Oct. 20, 2014 0.2800
July 21, 2014 0.2700
April 21, 2014 0.2700
Jan. 21, 2014 0.5500
2013
1.32 USD
Oct. 21, 2013 0.2700
July 22, 2013 0.2600
April 22, 2013 0.2600
Jan. 22, 2013 0.5300
2012
1.28 USD
Oct. 22, 2012 0.2600
July 20, 2012 0.2600
April 20, 2012 0.2500
Jan. 20, 2012 0.5100
2011
1.23 USD
Oct. 21, 2011 0.2500
July 21, 2011 0.2500
April 20, 2011 0.2400
Jan. 20, 2011 0.4900
2010
1.15 USD
Oct. 20, 2010 0.2400
July 20, 2010 0.2300
April 20, 2010 0.2300
Jan. 21, 2010 0.4500
2009
1.07 USD
Oct. 20, 2009 0.2200
July 21, 2009 0.2100
April 21, 2009 0.2100
Jan. 22, 2009 0.4300
2008
1.02 USD
Oct. 20, 2008 0.2100
July 21, 2008 0.2000
April 21, 2008 0.2000
Jan. 22, 2008 0.4100
2007
1.00 USD
Oct. 22, 2007 0.2000
July 20, 2007 0.2000
April 20, 2007 0.2000
Jan. 22, 2007 0.4000
2006
0.80 USD
Oct. 20, 2006 0.2000
July 20, 2006 0.2000
April 20, 2006 0.2000
Jan. 20, 2006 0.2000
2005
0.98 USD
Oct. 21, 2005 0.2000
July 21, 2005 0.2000
April 21, 2005 0.1900
Jan. 20, 2005 0.3900
2004
0.92 USD
Oct. 20, 2004 0.1900
July 20, 2004 0.1800
April 22, 2004 0.1800
Jan. 21, 2004 0.3700
2003
0.88 USD
Oct. 20, 2003 0.1800
July 21, 2003 0.1800
April 21, 2003 0.1700
Jan. 21, 2003 0.3500
2002
0.80 USD
Oct. 21, 2002 0.1700
July 22, 2002 0.1600
April 22, 2002 0.1600
Jan. 22, 2002 0.3100
2001
0.73 USD
Oct. 22, 2001 0.1500
July 20, 2001 0.1500
April 20, 2001 0.1500
Jan. 22, 2001 0.2800
2000
0.64 USD
Oct. 20, 2000 0.1400
July 20, 2000 0.1300
April 20, 2000 0.1300
Jan. 21, 2000 0.2400
1999
0.55 USD
Oct. 22, 1999 0.1200
July 22, 1999 0.1100
April 22, 1999 0.1100
Jan. 22, 1999 0.2100
1998
0.45 USD
Oct. 20, 1998 0.1000
July 20, 1998 0.0933
April 20, 1998 0.0867
Jan. 20, 1998 0.1667
1997
0.35 USD
Oct. 20, 1997 0.0800
July 21, 1997 0.0800
April 21, 1997 0.0667
Jan. 21, 1997 0.1267
1996
0.28 USD
Oct. 21, 1996 0.0600
July 22, 1996 0.0600
April 22, 1996 0.0533
Jan. 22, 1996 0.1067
1995
0.16 USD
Oct. 21, 1995 0.0467
July 21, 1995 0.0467
April 21, 1995 0.0333
Jan. 20, 1995 0.0333
1994
0.08 USD
Oct. 21, 1994 0.0267
July 21, 1994 0.0267
April 21, 1994 0.0267
1990
0.19 USD
Nov. 15, 1990 0.0267
Aug. 15, 1990 0.0533
May 31, 1990 0.0533
Feb. 15, 1990 0.0533
1989
0.15 USD
Nov. 15, 1989 0.0533
Aug. 15, 1989 0.0533
May 15, 1989 0.0467
Upcoming Dividends
Name Payment Date Status Amount
Hingham Institution for Savings May 13, 2026 0.63 USD
Hingham Institution for Savings Jan 14, 2026 1.33 USD
Hingham Institution for Savings Nov 12, 2025 0.63 USD
Hingham Institution for Savings Aug 13, 2025 0.63 USD
Stock Splits
Split Date Split Ratio to 1
Oct. 6, 1998 1.500000
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