C&F Financial Announces Dividend Increase

Quarterly dividend raised to $0.48 per share, a 4.3% increase

Feb. 26, 2026 at 4:33pm

C&F Financial Corporation (NASDAQ:CFFI), a community-focused financial institution headquartered in Stephens City, Virginia, announced a quarterly dividend increase on Wednesday, February 25th. Shareholders of record on Friday, March 13th will receive $0.48 per share, a 4.3% increase from the previous quarterly dividend of $0.46.

Why it matters

The dividend increase signals C&F Financial's confidence in its financial performance and commitment to returning value to shareholders. As a regional bank serving both retail and commercial clients, the dividend hike is an important indicator of the company's stability and growth prospects.

The details

C&F Financial's new quarterly dividend of $0.48 per share will be payable on Wednesday, April 1st to shareholders of record as of Friday, March 13th. The ex-dividend date is also set for March 13th. This marks the 1st consecutive year the company has increased its dividend, which now represents an annualized yield of 2.4% based on the current stock price.

  • C&F Financial announced the dividend increase on Wednesday, February 25th.
  • The new $0.48 per share quarterly dividend will be payable on Wednesday, April 1st.
  • The ex-dividend date is set for Friday, March 13th.

The players

C&F Financial Corporation

A community-focused financial institution and bank holding company headquartered in Stephens City, Virginia. C&F Bank, the company's principal subsidiary, offers a full suite of deposit and lending products to retail and commercial clients.

Got photos? Submit your photos here. ›

What’s next

Investors will be able to receive the new $0.48 per share quarterly dividend if they hold C&F Financial shares as of the March 13th record date.

The takeaway

C&F Financial's dividend increase demonstrates the company's financial strength and commitment to rewarding shareholders. As a regional community bank, the dividend hike is a positive signal for the company's growth prospects and ability to generate consistent returns for investors.