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Keyera Corp.

Informe acción TSX:KEY

Capitalización de mercado: CA$16.2b

  • Resumen empresa
  • Valoración
  • Crecimiento Futuro
  • Rendimiento pasado
  • Salud Financiera
  • Dividendos
  • Dirección
  • Propiedad
  • Información adicional
  • Comunidad de acciones

Keyera Dividendos y recompras

Dividendo controles de criterios 3/6

Keyera es una empresa que paga dividendos con una rentabilidad actual de 4.13%. La fecha del próximo pago es en 29th September, 2026 con una fecha ex dividendo de 15th September, 2026.

Información clave

4.1%

Rentabilidad por dividendo

-3.7%

Rendimiento de la recompra

Rendimiento total para el accionista0.4%
Rendimiento futuro de los dividendos4.4%
Crecimiento de los dividendos3.4%
Próxima fecha de pago de dividendos29 Sep 26
Fecha ex dividendo15 Sep 26
Dividendo por acciónn/a
Ratio de pago142%

Últimas actualizaciones de dividendos y recompras

Recent updates

User avatar
Actualización de narrativa • Aug 08

KEY: Expanded KAPS Ownership And NGL Acquisition Will Shape Bullish Forward Outlook

Analysts have lifted the Keyera fair value estimate from CA$62.93 to CA$64.36, citing a series of higher CA$60 to CA$70 price targets across the Street that reference recent acquisitions, updated midstream group models and a constructive outlook for the company's marketing business. Analyst Commentary Recent commentary on Keyera points to a cluster of higher price targets in the CA$60 to CA$70 range, with most updates tied to acquisition activity, refreshed midstream models and views on the marketing segment.
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Actualización de narrativa • Jun 30

KEY: KAPS Ownership And Rail Terminal Partnership Will Shape Balanced Forward Outlook

Keyera's fair value estimate has been revised modestly higher to CA$62.93, supported by a series of analyst price target increases into the low to high CA$60s. These reflect updated models, recent equity and acquisition activity around the Key Access Pipeline System, and views that recent results and marketing conditions are constructive for the company.
Artículo de análisis • Jun 19

Keyera (TSX:KEY) Stock Could Be 8% Below Fair Value After Recent Pullback

How Keyera Stock Has Been Performing Keyera (TSX:KEY) has been on the radar for investors after a steady run, with the stock closing at CA$55.96 and showing mixed short term moves alongside stronger longer term total returns. Over the past week, the share price declined about 5%, and it is down roughly 5% over the past month. In contrast, year to date the total return is about 25%, with the past year around 33% and the past 3 years and 5 years each posting very large gains above 7x on a total...
User avatar
Actualización de narrativa • Jun 16

KEY: Plains NGL Deal And Rail Project Will Shape Balanced Future Outlook

Keyera's updated analyst price target edges higher by about CA$0.36 to roughly CA$60.86. Analysts cite stronger recent results, supportive energy infrastructure updates, and positive views on the company’s marketing environment and recent natural gas liquids acquisition.
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Actualización de narrativa • Jun 01

KEY: Recent Acquisition And ACE Rail Project Will Shape Future Upside And Execution Risks

Analysts have lifted their fair value estimate for Keyera to CA$60.50 from CA$56.00. This reflects updated models that incorporate higher price targets from several firms and analyst views on stronger recent results, a supportive marketing backdrop and expected benefits from the recent natural gas liquids acquisition.
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Actualización de narrativa • Apr 23

KEY: Balance Sheet Capacity Will Support Execution And Future Upside Potential

Keyera's updated fair value estimate has risen from CA$54.69 to CA$56.00, reflecting analysts' recent price target increases that highlight factors such as balance sheet capacity and modestly adjusted assumptions for revenue growth, profit margins and future P/E levels. Analyst Commentary Recent Street research on Keyera has focused on a series of higher price targets in the CA$54 to CA$58 range, with several firms reaffirming positive ratings on the shares.
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Actualización de narrativa • Apr 08

KEY: Balance Sheet Capacity And Execution Risk Will Guide Future Fairly Valued Returns

Narrative Update on Keyera The updated analyst price target for Keyera edges higher to CA$54.69 from CA$54.46, reflecting recent target increases across several firms, as analysts point to what they see as underappreciated balance sheet capacity and adjust their P/E and growth assumptions. Analyst Commentary Recent Street research on Keyera clusters around higher price targets, with several firms adjusting their models and only a few trimming expectations.
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Actualización de narrativa • Mar 25

KEY: Balance Sheet Capacity And Execution Risk Will Shape Future Fairly Valued Returns

Keyera's analyst price target is nudged higher as the model fair value edges up to CA$54.46. Analysts generally point to stronger perceived balance sheet capacity and a series of recent price target hikes across major firms.
User avatar
Actualización de narrativa • Mar 11

KEY: Balance Sheet Capacity And Execution Risk Will Guide Balanced Future Returns

Keyera's fair value estimate edges up to about CA$54.31 from CA$54, as analysts lift price targets into the CA$54 to CA$58 range. They cite underappreciated balance sheet capacity and reaffirmed positive ratings across multiple firms.
User avatar
Actualización de narrativa • Feb 24

KEY: Balance Sheet Capacity And Execution Risk Will Shape Future Share Performance

Analysts have nudged their average fair value estimate for Keyera higher to CA$54.00 from CA$51.69, citing a series of recent CA$1 to CA$7 price target increases across major firms that highlight what they see as underappreciated balance sheet capacity. Analyst Commentary Recent research updates show a cluster of price target changes around the low to high CA$50s, with several firms focusing on what they see as Keyera's financial flexibility and execution risk.
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Actualización de narrativa • Feb 09

KEY: Mixed Margin Outlook And Steady Assumptions Will Shape Future Share Performance

Narrative Update on Keyera The analyst price target for Keyera has shifted as recent Street research, including a C$2 reduction at TD Securities, a C$1 increase at Scotiabank, and a move to C$51 from C$54 at BMO Capital, reflects updated views on its profit margin outlook and future P/E assumptions. Analyst Commentary Recent research around Keyera centers on how its profit margins and P/E assumptions line up with current valuation, with some analysts trimming targets and others nudging them higher.
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Actualización de narrativa • Jan 26

KEY: Execution On Projects And Cost Control Will Support Future Share Price Upside

Narrative Update on Keyera Our updated analyst price target for Keyera shifts slightly lower to about C$51.70 from roughly C$51.90. This reflects a mix of recent target cuts and raises from analysts who now factor in modestly adjusted growth, margin, discount rate, and P/E assumptions.
User avatar
Actualización de narrativa • Jan 11

KEY: Revised Cash Flow Outlook Will Support Future Share Price Upside

Analysts have reduced their price target on Keyera to C$51 from C$54, reflecting updated views on fair value, discount rates, revenue growth assumptions and expected P/E levels. Analyst Commentary Recent research updates show that analysts are adjusting their fair value views on Keyera, but still see a supportive backdrop for the stock relative to their rating stance.
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Actualización de narrativa • Dec 25

KEY: Higher Uptime Will Drive Stronger Q3 Earnings And Share Price Upside

Analysts have modestly raised their price target on Keyera by C$3 to C$45, citing expectations for sequentially stronger Q3 earnings and steady growth across the company’s core business. Analyst Commentary Bullish analysts view the higher price target as supported by improving operational performance, particularly the anticipated sequential uplift in Q3 earnings driven by stronger uptime across base assets.
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Actualización de narrativa • Dec 11

KEY: Improved Asset Uptime Will Support Stronger Earnings And Share Price Upside

Analysts have modestly raised their price target on Keyera, with fair value estimates increasing from about C$50.71 to C$51.43. They cite expectations for sequential Q3 earnings improvement driven by higher base asset uptime and steady growth across the core business.
Artículo de análisis • Sep 15

Keyera Corp.'s (TSE:KEY) Shareholders Might Be Looking For Exit

With a price-to-earnings (or "P/E") ratio of 19.4x Keyera Corp. ( TSE:KEY ) may be sending bearish signals at the...
User avatar
Nueva narrativa • Nov 27

Unlocking Growth Potential With Innovative Expansion And Strategic Resilience

Advancements in growth projects and infrastructure could boost net capacity, revenue, and margins through increased demand and service expansion.

Próximo pago de dividendos

HoySep 12 2026Fecha ex dividendoSep 15 2026Fecha de pago de dividendosSep 29 202614 days desde ex dividendoCompra en los próximos 2 days para recibir el próximo dividendo

Estabilidad y crecimiento de los pagos

Obteniendo datos sobre dividendos

Dividendo estable: Los dividendos por acción de KEY se han mantenido estables en los últimos 10 años.

Dividendo creciente: El pago de dividendos de KEY ha aumentado en los últimos 10 años.


Rentabilidad por dividendo vs. Mercado

Rentabilidad por dividendo de Keyera vs. Mercado
¿Cómo se compara la rentabilidad por dividendo de KEY con la del mercado?
SegmentoRentabilidad por dividendo
Empresa (KEY)4.1%
Suelo de mercado 25% (CA)1.5%
Techo de mercado 25% (CA)5.8%
Media de la industria (Oil and Gas)3.4%
Analista de previsiones (KEY) (hasta 3 años)4.4%

Dividendo destacado: El dividendo de KEY(4.13%) es más alto que el 25% inferior de los pagadores de dividendos del mercado Canadian (1.5%).

Alto dividendo: El (4.13%) del dividendo de KEY es bajo en comparación con el 25% de los principales pagadores de dividendos del mercado Canadian (5.84%).


Pago de beneficios a los accionistas

Cobertura de los beneficios: Con su elevado ratio de pago (141.6%), los pagos de dividendos de KEY no están bien cubiertos por los beneficios.


Pago en efectivo a los accionistas

Cobertura de flujo de caja: KEY está pagando dividendo pero la empresa no tiene flujos de caja libre.


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Análisis de la empresa y estado de los datos financieros

DatosÚltima actualización (huso horario UTC)
Análisis de la empresa2026/09/11 18:18
Precio de las acciones al final del día2026/09/11 00:00
Beneficios2026/06/30
Ingresos anuales2025/12/31

Fuentes de datos

Los datos utilizados en nuestro análisis de empresas proceden de S&P Global Market Intelligence LLC. Los siguientes datos se utilizan en nuestro modelo de análisis para generar este informe. Los datos están normalizados, lo que puede introducir un retraso desde que la fuente está disponible.

PaqueteDatosMarco temporalEjemplo Fuente EE.UU. *
Finanzas de la empresa10 años
  • Cuenta de resultados
  • Estado de tesorería
  • Balance
  • Formulario SEC 10-K
  • Formulario SEC 10-Q
Estimaciones del consenso de analistas+3 años
  • Previsiones financieras
  • Objetivos de precios de los analistas
  • Informes de análisis
  • Blue Matrix
Precios de mercado30 años
  • Precios de las acciones
  • Dividendos, escisiones y acciones
  • Datos de mercado ICE
  • Formulario S-1 de la SEC
Propiedad10 años
  • Accionistas principales
  • Información privilegiada
  • Formulario SEC 4
  • Formulario SEC 13D
Gestión10 años
  • Equipo directivo
  • Consejo de Administración
  • Formulario SEC 10-K
  • Formulario SEC DEF 14A
Principales avances10 años
  • Anuncios de empresas
  • Formulario SEC 8-K

* Ejemplo para valores de EE.UU., para no EE.UU. se utilizan formularios y fuentes normativas equivalentes.

A menos que se especifique lo contrario, todos los datos financieros se basan en un periodo anual, pero se actualizan trimestralmente. Esto se conoce como datos de los últimos doce meses (TTM) o de los últimos doce meses (LTM). Más información.

Modelo de análisis y copo de nieve

Los detalles del modelo de análisis utilizado para generar este informe están disponibles en nuestra página de Github, también tenemos guías sobre cómo utilizar nuestros informes y tutoriales en Youtube.

Conozca al que diseñó y construyó el modelo de análisis Simply Wall St.

Métricas industriales y sectoriales

Simply Wall St calcula cada 6 horas nuestras métricas sectoriales y de sección. Los detalles de nuestro proceso están disponibles en Github.

Fuentes analistas

Keyera Corp. está cubierta por 29 analistas. 6 de esos analistas presentaron las estimaciones de ingresos o ganancias utilizadas como datos para nuestro informe. Las estimaciones de los analistas se actualizan a lo largo del día.

AnalistaInstitución
Nathan HeywoodATB Cormark
Brent WatsonATB Cormark Historical (Cormark Securities)
Theresa ChenBarclays

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