S&P 500Dow JonesNASDAQ 100DAX 40MDAXSDAXTecDAXATXSMICAC 40AEXBEL 20IBEX 35
Home/S&P 500/Exelon
Exelon

Exelon

EXCS&P 500
46,06 $
Dividend yield1,82 %
Continuity54 yr
Dividend0,84 $
DiviScore
76SCOREExcellent
Performance26/35
Dividend Quality35/35
AGM Date
Ex-Date
04.06.2026
Payment
CAGR 3Y
+3.6%
CAGR 5Y
+6.7%
CAGR 10Y
+5.7%

€10,000 invested in 2016 · with dividend reinvestment

+176%
End Value
27.558,25 $
Total Return
+175.6%
Annual Return
10.7% p.a.
Dividends Received
7.715,89 $

Dividend history

54 years continuous
YearAmountDividend yieldAGM dateEx-datePayment dateChange
20260,84 $04.06.2026-47.5%
20251,60 $10.11.2025+5.3%
20241,52 $08.11.2024+5.6%
20231,44 $14.11.2023+6.7%
20221,35 $14.11.2022+23.7%
20211,09 $12.11.2021-34.9%
20201,68 $13.11.2020-5.5%
20191,77 $14.11.2019+5.1%
20181,69 $14.11.2018+5.3%
20171,60 $14.11.2017+3.7%

About Exelon

Exelon is one of the largest regulated electric and gas utilities in the United States, delivering power to millions of customers through subsidiaries including ComEd in Chicago, PECO in Philadelphia and BGE in Baltimore. Since spinning off its generation business, it operates as a pure transmission and distribution company, an inherently stable, rate-regulated model. Counting its long corporate lineage, Exelon and its predecessors have paid dividends for more than half a century. The yield is moderate and supported by predictable regulated earnings, with the company targeting steady annual increases tied to grid investment. The result is a strong, dependable dividend profile characteristic of a large, well-established utility built for consistent income.

Frequently Asked Questions

The next payment date is not yet announced.
Exelon has a DiviScore of 76/100. DiviScore rates dividend stocks based on price performance, dividend quality, fundamentals, and stability.
Exelon's current dividend yield is 1.82% based on the latest dividend.
Exelon (EXC) is a member of S&P 500. Current data including price, dividend, and DiviScore is updated daily.
DiviScore is a proprietary 100-point rating based on four pillars: Performance (35 pts), Dividend Quality (35 pts), Fundamentals (15 pts), and Stability (15 pts). It simulates a 10-year investment with automatic dividend reinvestment.