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    Home»Stock Market»European Dividend Stocks To Watch In December 2025
    Stock Market

    European Dividend Stocks To Watch In December 2025

    December 8, 20254 Mins Read


    As European markets show mixed returns amid hopes of interest rate cuts in the U.S. and UK, investors are closely monitoring economic indicators such as inflation and GDP revisions. In this environment, dividend stocks can offer a measure of stability and income, making them an attractive option for those seeking to navigate uncertain market conditions.

    Name

    Dividend Yield

    Dividend Rating

    Zurich Insurance Group (SWX:ZURN)

    4.33%

    ★★★★★★

    Telekom Austria (WBAG:TKA)

    4.65%

    ★★★★★★

    Holcim (SWX:HOLN)

    4.14%

    ★★★★★★

    HEXPOL (OM:HPOL B)

    4.78%

    ★★★★★★

    Evolution (OM:EVO)

    4.92%

    ★★★★★★

    DKSH Holding (SWX:DKSH)

    4.13%

    ★★★★★★

    d’Amico International Shipping (BIT:DIS)

    9.42%

    ★★★★★☆

    Cembra Money Bank (SWX:CMBN)

    4.39%

    ★★★★★★

    Bravida Holding (OM:BRAV)

    4.44%

    ★★★★★★

    Banca Popolare di Sondrio (BIT:BPSO)

    5.36%

    ★★★★★☆

    Click here to see the full list of 207 stocks from our Top European Dividend Stocks screener.

    Let’s review some notable picks from our screened stocks.

    Simply Wall St Dividend Rating: ★★★★☆☆

    Overview: Sopra Steria Group SA offers consulting, digital, and software development services both in France and internationally, with a market cap of €2.60 billion.

    Operations: Sopra Steria Group’s revenue is primarily derived from France (€2.39 billion), followed by Other Europe (€2.01 billion) and the United Kingdom (€931 million).

    Dividend Yield: 3.4%

    Sopra Steria Group’s dividend profile is mixed. While the company offers a well-covered dividend with a low payout ratio of 32.7% and cash payout ratio of 22.8%, its dividends have been volatile over the past decade, impacting reliability. Despite this, dividends have increased over time. The stock trades at good value compared to peers, though its yield of 3.43% is below top-tier French market payers. Recent executive changes may influence future stability and strategy.

    ENXTPA:SOP Dividend History as at Dec 2025
    ENXTPA:SOP Dividend History as at Dec 2025

    Simply Wall St Dividend Rating: ★★★★☆☆

    Overview: Valmet Oyj is a company that develops and supplies process technologies, automation, and services for the pulp, paper, and energy industries across various global regions with a market cap of €5.32 billion.

    Operations: Valmet Oyj’s revenue is primarily derived from its Process Performance Solutions segment, which generated €1.50 billion.

    Dividend Yield: 4.7%

    Valmet Oyj’s dividend profile shows both strengths and weaknesses. The company’s dividends have been stable and growing over the past decade, but a high payout ratio of 91.1% indicates they are not well covered by earnings, though cash flows do cover the payouts with a 54.3% cash payout ratio. The current yield of 4.68% is below the top tier in Finland but remains reliable for investors seeking consistent returns. Recent projects in renewable energy and paper production highlight Valmet’s commitment to sustainable growth, potentially influencing future dividend sustainability positively despite temporary operational layoffs planned in Finland to improve cost efficiency.

    HLSE:VALMT Dividend History as at Dec 2025
    HLSE:VALMT Dividend History as at Dec 2025

    Simply Wall St Dividend Rating: ★★★★☆☆

    Overview: Atea ASA delivers IT infrastructure and related solutions to businesses and public sector organizations across the Nordic countries and Baltic regions, with a market cap of NOK17.05 billion.

    Operations: Atea ASA generates revenue from several segments, with Norway contributing NOK9.27 billion, Sweden NOK13.73 billion, Denmark NOK8.56 billion, Finland NOK3.48 billion, and the Baltics NOK1.90 billion.

    Dividend Yield: 4.6%

    Atea’s dividend profile presents a mixed outlook. While its dividends have been stable and growing over the past decade, a high payout ratio of 98.2% suggests they are not well covered by earnings, though cash flows do support the payouts with an 83.5% cash payout ratio. The current yield of 4.58% is below Norway’s top tier but remains reliable for consistent returns. A recent Euro 130 million NATO contract could bolster future revenue streams, potentially influencing dividend sustainability positively despite current coverage challenges.

    OB:ATEA Dividend History as at Dec 2025
    OB:ATEA Dividend History as at Dec 2025

    This article by Simply Wall St is general in nature. We provide commentary based on historical data and analyst forecasts only using an unbiased methodology and our articles are not intended to be financial advice. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. We aim to bring you long-term focused analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Simply Wall St has no position in any stocks mentioned.

    Companies discussed in this article include ENXTPA:SOP HLSE:VALMT and OB:ATEA.

    This article was originally published by Simply Wall St.

    Have feedback on this article? Concerned about the content? Get in touch with us directly. Alternatively, email editorial-team@simplywallst.com



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