About Keller Group plc (KLRGF) β Dividend Analysis 2026
Keller Group plc provides geotechnical solutions in North America, Europe, the Middle East, Africa, and the Asia-Pacific. The company offers ground improvement services, grouting, deep foundations, earth retention, marine, and instrumentation and monitoring services. It also provides solutions, such as containment, excavation support, stabilization, marine structures, seepage control, slope stabilisation, remediation, and monitoring, as well as bearing capacity. Keller Group plc provides its services to the construction sector in infrastructure, industrial, commercial, residential, power, and institutional/public projects. The company was founded in 1860 and is headquartered in London, the United Kingdom.
Is KLRGF a good dividend investment in 2026?
KLRGF offers a 2.75% forward yield with a 50% payout ratio. Strand Safety Score: 54/100 (Moderate Risk). The 5-year dividend CAGR of 44.9% demonstrates strong, consistent growth that outpaces inflation.
KLRGF DRIP calculator β what's the difference?
With DRIP on a $10,000 investment over 10 years, your KLRGF portfolio grows to $867.1K vs $742.8K without reinvestment. This is the compound interest effect in action.
KLRGF dividend growth history & forecast
KLRGF has grown its dividend by 0% over the last year and 44.9% annually over 5 years. At this pace, an investor who holds for 10+ years will see their yield on cost grow substantially above the current 2.75%.
FCF data unavailable β payout ratio is moderate β using payout ratio as proxy
Debt Leverage
12 / 30 pts
12/30
Debt/EBITDA data not available for this ticker
Earnings Momentum+0.1B β +0.1B β +0.1B
30 / 30 pts
30/30
Net income grew for 2 consecutive years β strong earnings momentum
OVERALL ASSESSMENT
Dividend at moderate risk β monitor coverage and debt closely.
STRAND SCORE
54
/100
Strand Safety Scoreβ’ is proprietary to DividendFlow. Inputs: FCF, Debt/EBITDA, Net Income from SEC filings via FMP. Not financial advice. N/A for ETFs, pre-revenue companies, and tickers without income statements.
π KLRGF Yield by Country & Account Type
Real after-tax yield depends on where you live and how you hold KLRGF.
Real yield = after-tax yield minus US CPI of 2.8%. 12-month CPI (US BLS via FMP economic-indicators). Click any row to select. US withholding tax (30%, reducible by treaty) applies to non-US residents holding US stocks in taxable accounts.
π― KLRGF Income Goal & Break-Even
Dividend Break-Even
9yr
Years for dividends to fully repay your KLRGF investment of $25.20/share (πΊπΈ US Taxable (15%) Β· 15.00% tax)
$10K invested Β· 10 Years
Dividends earned (DRIP)
$34.1K
Lost to inflation (2.8% CPI)
β$2.5K
Real purchasing power gain
$31.7K
12-month CPI (US BLS via FMP economic-indicators).
How much do I need to invest in KLRGF for:
Shares needed
40,785
Capital required
$1,027,782
Monthly income
$2,000
Based on current dividend of $0.69/share/yr Β· πΊπΈ US Taxable (15%) Β· static projection (no growth assumed).
π KLRGF Dividend Payment Schedule
KLRGF pays quarterly β 4 times per year. Next ex-div: TBD.
Jan
Feb
Mar
π°
Apr
May
Jun
π°
Jul
Aug
Sep
π°
Oct
Nov
Dec
π°
10 shares
$1.47 / payment
$5.88 / year after tax
100 shares
$14.71 / payment
$58.85 / year after tax
1,000 shares
$147.11 / payment
$588.46 / year after tax
π KLRGF vs Industrials Benchmarks
How KLRGF compares to typical Industrials averages.
Benchmark: Industrials
Dividend Yieldβ²+0.55% vs sectorBetter
KLRGF
2.75%
avg
2.20%
5Y Dividend CAGRβ²+37.40% vs sectorBetter
KLRGF
44.90%
avg
7.50%
Payout RatioβΌ+6.00% vs sectorBelow avg
KLRGF
50.00%
avg
44.00%
Benchmarks: S&P 500 sector averages (2024β2026). Sources: Morningstar, Bloomberg, NAREIT. 5Y CAGR for KLRGF sourced from FMP /financial-growth endpoint β real data, not estimates.
ποΈ KLRGF Insider Activity
No recent SEC filings reported in the last 90 days.
π
Next Earnings Report: 2026-08-11(in 132 days)
π¬
Financial Health Scores
Altman Z-Score
4.37
β Safe Zone β low bankruptcy risk
Safe: >3.0 Β· Grey: 1.81β3.0 Β· Distress: <1.81
Piotroski F-Score
8/9
β Strong fundamentals
Strong: 7β9 Β· Moderate: 4β6 Β· Weak: 0β3
Altman Z-Score predicts bankruptcy risk. Piotroski F-Score measures financial strength across 9 criteria. High scores β lower dividend cut risk. Data via FMP financial statements.
π About This Data
Dividend yields, payout ratios, and financial metrics are sourced from Financial Modeling Prep (FMP) and cross-referenced with SEC EDGAR filings. Data is cached and updated every 24 hours via our nightly refresh. DRIP projections are forward-looking estimates, not guarantees.
Educational purposes only. Not financial advice. DividendFlow is not a registered investment advisor. Projections generated by the KLRGF dividend calculator are estimates based on historical data and user inputs. Actual future returns, stock prices, and dividend payments will vary. Dividends can be cut or suspended at any time. All investments carry risk, including the loss of principal. Please consult a qualified financial professional before making any investment decisions. Full disclaimer β