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183.37 USD
P/E
16.84
EPS
11.19
Yield
3.06%
Safety Score
82
P/B
1.97
ROE
12.59
Beta
0.67
Target Price
211.33 USD
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Key Metrics
Earnings dateOct. 26, 2026
P/E16.84
EPS11.19
Book Value95.58
Price to Book1.97
% Insiders2.179%
Growth
Revenue Growth0.26%
Earnings Growth0.09%
Estimates
Forward P/E14.24
Forward EPS13.23
Target Mean Price211.33
Dividend
Dividend Yield3.06%
Annual dividends5.62 USD
Ex-Div. DateAug. 21, 2026
Payout50.02%
5y avg Yield3.08%

DCF Valuation

Tweak assumptions to recompute fair value for Park National Corporation (PRK)
Currency: USD
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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.

Park National Corporation Logo Park National Corporation Analysis (PRK)

United States Financials Official Website Stock

Is Park National Corporation a good investment? Park National Corporation (PRK) is currently trading at 183.37 USD. Market analysts have a consensus price target of 211.33 USD. This suggests a potential upside from current levels.

In terms of valuation, the stock trades at a P/E ratio of 16.84. This valuation is generally in line with the broader market.

Earnings Schedule: Park National Corporation is expected to release its next earnings report on Oct. 26, 2026. The market consensus estimate for Forward EPS is 13.23.

For income investors, Park National Corporation pays a dividend yield of 3.06%. With a payout ratio of 50%, the dividend appears sustainable.

Investor FAQ

Does Park National Corporation pay a dividend?

Yes, it pays an annual dividend of 5.62 USD (3.06% yield).

What asset class is Park National Corporation?

Park National Corporation 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 Oct. 26, 2026. The company currently has a trailing EPS of 11.19.

Company Profile

Park National Corporation operates as the bank holding company for Park National Bank that provides commercial banking and trust services in small and medium population areas in the United States. The company offers deposits for demand, savings, and time accounts; trust and wealth management services; cash management services; safe deposit operations; electronic funds transfers; Internet and mobile banking solutions with bill pay service; credit cards; and various additional banking-related services. It also provides commercial loans, including financing for industrial and commercial properties, financing for equipment, inventory and accounts receivable, acquisition financing, and commercial leasing, as well as for consumer finance companies; commercial real estate loans comprising mortgage loans to developers and owners of commercial real estate; originates financing leases primarily for the purchase of commercial vehicles, operating/manufacturing equipment, and municipal vehicles/equipment; consumer loans, such as automobile, recreational vehicle, and watercraft loans; consumer finance services; home equity lines of credit; and residential real estate and construction loans, as well as installment loans and commercial loans. In addition, the company offers aircraft financing services; and ParkDirect, a personal banking application. Park National Corporation was founded in 1908 and is headquartered in Newark, Ohio.

Exchange Ticker
ASE (United States) PRK
Trades
Dividend Yield
3.06%
5y avg 3.08%
Annual Dividends
5.62USD
Next Ex. Div Date
Aug. 21, 2026
Payout Ratio
50.02%
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
2.18 USD
June 10, 2027 (estimated) 1.1106
March 10, 2027 (estimated) 1.0650
2026
5.98 USD
Dec. 10, 2026 (estimated) 2.6828
Sept. 10, 2026 1.1000
June 10, 2026 1.1000
March 10, 2026 1.1000
2025
5.53 USD
Dec. 10, 2025 2.3200
Sept. 10, 2025 1.0700
June 10, 2025 1.0700
March 10, 2025 1.0700
2024
4.74 USD
Dec. 10, 2024 1.5600
Sept. 10, 2024 1.0600
June 10, 2024 1.0600
March 8, 2024 1.0600
2023
4.20 USD
Dec. 8, 2023 1.0500
Sept. 8, 2023 1.0500
June 9, 2023 1.0500
March 10, 2023 1.0500
2022
4.66 USD
Dec. 9, 2022 1.5400
Sept. 9, 2022 1.0400
June 10, 2022 1.0400
March 10, 2022 1.0400
2021
4.52 USD
Dec. 10, 2021 1.2300
Sept. 10, 2021 1.0300
June 10, 2021 1.0300
March 10, 2021 1.2300
2020
4.28 USD
Dec. 10, 2020 1.0200
Sept. 10, 2020 1.0200
June 10, 2020 1.0200
March 10, 2020 1.2200
2019
4.24 USD
Dec. 10, 2019 1.0100
Sept. 10, 2019 1.0100
June 10, 2019 1.0100
March 8, 2019 1.2100
2018
4.07 USD
Dec. 10, 2018 0.9600
Sept. 10, 2018 0.9600
June 8, 2018 1.2100
March 9, 2018 0.9400
2017
3.76 USD
Dec. 8, 2017 0.9400
Sept. 8, 2017 0.9400
June 9, 2017 0.9400
March 10, 2017 0.9400
2016
3.76 USD
Dec. 9, 2016 0.9400
Sept. 9, 2016 0.9400
June 10, 2016 0.9400
March 10, 2016 0.9400
2015
3.76 USD
Dec. 10, 2015 0.9400
Sept. 10, 2015 0.9400
June 10, 2015 0.9400
March 10, 2015 0.9400
2014
3.76 USD
Dec. 10, 2014 0.9400
Sept. 10, 2014 0.9400
June 10, 2014 0.9400
March 10, 2014 0.9400
2013
3.76 USD
Dec. 10, 2013 0.9400
Sept. 10, 2013 0.9400
June 10, 2013 0.9400
March 8, 2013 0.9400
2012
3.76 USD
Dec. 7, 2012 0.9400
Sept. 7, 2012 0.9400
June 8, 2012 0.9400
March 9, 2012 0.9400
2011
3.76 USD
Dec. 9, 2011 0.9400
Sept. 9, 2011 0.9400
June 10, 2011 0.9400
March 10, 2011 0.9400
2010
3.76 USD
Dec. 10, 2010 0.9400
Sept. 10, 2010 0.9400
June 10, 2010 0.9400
March 10, 2010 0.9400
2009
3.76 USD
Dec. 10, 2009 0.9400
Sept. 10, 2009 0.9400
June 10, 2009 0.9400
March 10, 2009 0.9400
2008
4.71 USD
Dec. 10, 2008 0.9500
Sept. 10, 2008 0.9400
June 10, 2008 0.9400
March 10, 2008 0.9400
Jan. 3, 2008 0.9400
2007
3.72 USD
Sept. 7, 2007 0.9300
June 8, 2007 0.9300
March 9, 2007 0.9300
Jan. 3, 2007 0.9300
2006
3.68 USD
Sept. 8, 2006 0.9200
June 9, 2006 0.9200
March 10, 2006 0.9200
Jan. 3, 2006 0.9200
2005
2.70 USD
Sept. 9, 2005 0.9000
June 10, 2005 0.9000
March 10, 2005 0.9000
2004
3.52 USD
Sept. 10, 2004 0.8800
June 10, 2004 0.8800
March 10, 2004 0.8800
Jan. 2, 2004 0.8800
2003
3.32 USD
Sept. 10, 2003 0.8300
June 10, 2003 0.8300
March 10, 2003 0.8300
Jan. 2, 2003 0.8300
2002
3.04 USD
Sept. 10, 2002 0.7600
June 10, 2002 0.7600
March 8, 2002 0.7600
Jan. 2, 2002 0.7600
2001
2.84 USD
Sept. 10, 2001 0.7100
June 8, 2001 0.7100
March 9, 2001 0.7100
Jan. 2, 2001 0.7100
2000
2.60 USD
Sept. 8, 2000 0.6500
June 9, 2000 0.6500
March 10, 2000 0.6500
Jan. 3, 2000 0.6500
1999
2.40 USD
Sept. 10, 1999 0.6000
June 10, 1999 0.6000
March 10, 1999 0.6000
Jan. 4, 1999 0.6000
1998
1.92 USD
Sept. 10, 1998 0.4800
June 10, 1998 0.4800
March 10, 1998 0.4800
Jan. 2, 1998 0.4800
1997
1.60 USD
Sept. 10, 1997 0.4000
June 10, 1997 0.4000
March 10, 1997 0.4000
Jan. 2, 1997 0.4000
1996
1.40 USD
Sept. 10, 1996 0.3500
June 10, 1996 0.3500
March 11, 1996 0.3500
Jan. 2, 1996 0.3500
1995
1.20 USD
Sept. 8, 1995 0.3000
June 9, 1995 0.3000
March 10, 1995 0.3000
Jan. 3, 1995 0.3000
1994
1.13 USD
Sept. 9, 1994 0.2300
June 10, 1994 0.4500
March 10, 1994 0.4500
1993
1.20 USD
Sept. 10, 1993 0.4000
June 10, 1993 0.4000
March 10, 1993 0.4000
1992
1.05 USD
Sept. 10, 1992 0.3500
June 10, 1992 0.3500
March 10, 1992 0.3500
1991
1.31 USD
Sept. 10, 1991 0.3300
June 10, 1991 0.3300
March 11, 1991 0.6500
1990
0.38 USD
Dec. 4, 1990 0.3805
Upcoming Dividends
Name Payment Date Status Amount
Park National Corporation Sep 10, 2026 1.1 USD
Park National Corporation Jun 10, 2026 1.1 USD
Park National Corporation Mar 10, 2026 1.1 USD
Park National Corporation Dec 10, 2025 2.32 USD
Stock Splits
Split Date Split Ratio to 1
May 13, 1991 2:1
Aug. 15, 1994 2:1
Dec. 1, 1999 1.05
Nov. 29, 2004 1.05
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