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Page 1: November, 2018 DividendRank - Dividend Channel · traded securities are ranked; data may be incorrect or out of date. Rankings are for informational purposes only and do not constitute

November,2018—DividendRankReporthttp://www.dividendchannel.com/

Historyhasshownthatthebulkofthestockmarket'sreturnsaredeliveredbydividends.Only consistently profitable companies can afford to keep paying dividends, soprofitabilityisofcriticalimportance.Andinvestorsshouldn'tpaytooexpensiveapricetobuyastock,evenifthecompanyitselfisstrong.Sotherefore,dividendinvestorsshouldbe most interested in researching the strongest most profitable companies, that alsohappentobetradingatanattractivevaluation.

Eachmonth,DividendChannelscreensthroughourcoverageuniverseofdividendpayingstocks, to look at a variety of data — dividend history & yield, book value, quarterlyearnings—andcompareittothestock'stradingdatatocomeupwithcertaincalculationsaboutprofitabilityandabout thestock'svaluation (whetherwethink it looks ''cheap''or''expensive'').OurproprietaryDividendRank formula ranks stockswithin the following 18sectors/categories, to identify the top most ''interesting'' ideas that merit furtherresearch.

BusinessServices&EquipmentConstructionConsumerGoodsConsumerServicesEnergyETFs&CEFsFinancialHealthcareIndustrialManufacturingMaterialsMediaMetals&MiningRealEstateTechnologyTransportationTravel&EntertainmentUtilities

Page 2: November, 2018 DividendRank - Dividend Channel · traded securities are ranked; data may be incorrect or out of date. Rankings are for informational purposes only and do not constitute

BUSINESSSERVICES&EQUIPMENTDividendRank Symbol Dividend RecentYield*

#1 NEWT Q 2.00 10.31%#2 BGSF Q 1.20 4.68%#3 PAYX Q 2.24 3.42%#4 MIC Q 4.00 10.83%#5 NLSN Q 1.40 5.39%#6 RECN Q 0.52 3.19%#7 MAN S 2.02 2.65%#8 RHI Q 1.12 1.85%#9 KFRC Q 0.72 2.34%#10 MGRC Q 1.36 2.55%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:NEWT—10.3%YIELD

NewtekBusinessServicesCorp

NewtekBusinessServicesisamanagementinvestmentcompany.Co.isanon-banklenderthatprovidesarangeofbusinessservicesandfinancialproductsundertheNewtek®brandtothesmall-andmedium-sizedbusiness(SMB)market.Co.'sproductsandservicesinclude:BusinessLendingincludingU.S.SmallBusinessAdministration7(a)and504lending,ElectronicPaymentProcessing,ManagedTechnologySolutions,eCommerce,AccountsReceivableandInventoryFinancing,TheSecureGateway,TheNewtekAdvantage®,personalandcommercialInsuranceServices,WebServices,DataBackup,StorageandRetrieval,andPayrollandBenefitsSolutionstoSMBaccountsnationwideacrossallindustries.

NEWTisaBDC—viewNEWTBDCInvestorProfile.

CONSTRUCTIONDividendRank Symbol Dividend RecentYield*

#1 MDC Q 1.20 4.27%#2 CAT Q 3.44 2.84%#3 TOL Q 0.44 1.31%#4 DHI Q 0.50 1.39%#5 HEES Q 1.10 4.57%#6 KBR Q 0.32 1.62%#7 KBH Q 0.10 0.50%#8 FLR Q 0.84 1.92%#9 PHM Q 0.36 1.47%#10 AGX Q 1.00 2.27%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:MDC—4.3%YIELDM.D.C.Holdings,Inc.

M.D.C.Holdingsisengagedinhomebuildingandfinancialservices.Co'shomebuildingoperationsconsistofthepurchasefinishedordeveloplotstotheextentnecessaryfortheconstructionandsaleprimarilyofsingle-familydetachedhomesunderthenameRichmondAmericanHomes.Co.'sfinancialservicesoperationsconsistof:HomeAmericanMortgageCorporation,whichoriginatesmortgageloans;AllegiantInsuranceCompany,Inc.,whichprovidesinsurancecoverage;StarAmericanInsuranceLtd.,are-insureronAllegiantclaims;AmericanHomeInsuranceAgency,Inc.,whichprovidesthird-partyinsuranceproducts;andAmericanHomeTitleandEscrowCompany,whichprovidestitleagencyservices.

Page 3: November, 2018 DividendRank - Dividend Channel · traded securities are ranked; data may be incorrect or out of date. Rankings are for informational purposes only and do not constitute

CONSUMERGOODSDividendRank Symbol Dividend RecentYield*

#1 GME Q 1.52 10.41%#2 DVD A 0.08 3.72%#3 MTEX Q 2.00 12.35%#4 ESCA Q 0.50 4.27%#5 BTI Q 2.72 6.26%#6 PAG Q 1.48 3.33%#7 BBBY Q 0.64 4.66%#8 ETH Q 0.76 3.97%#9 NHTC Q 0.64 2.81%#10 SPTN Q 0.72 4.03%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:GME—10.4%YIELDGameStopCorp

GameStopisavideogameretailer.Co.operatesitsbusinessinfourgeographicVideoGameBrandssegments:U.S.,Canada,AustraliaandEurope;andaTechnologyBrandssegment.TheVideoGameBrandssegmentsconsistsofretailoperations,withallstoresengagedinthesaleofnewandpre-ownedvideogamesystems,softwareandaccessories.Co.'sTechnologyBrandssegmentconsiostof:SpringMobile,whichsellbothpreandpost-paidAT&Tservices,DIRECTVserviceandwirelessproducts,aswellasrelatedaccessoriesandotherconsumerelectronicsproducts;andSimplyMac,whichsellAppleproducts,includingdesktopcomputers,laptops,tabletsandsmartphonesandrelatedaccessories.

CONSUMERSERVICESDividendRank Symbol Dividend RecentYield*

#1 NTRI Q 1.00 2.81%#2 TEDU A 0.12 1.39%#3 HRB Q 1.00 3.77%#4 SCI Q 0.68 1.64%#5 CLCT Q 0.70 4.86%#6 CSV Q 0.30 1.57%#7 STRA Q 2.00 1.59%#8 MNRO Q 0.80 1.08%#9 GHC Q 5.32 0.92%#10 TRU Q 0.30 0.46%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:NTRI—2.8%YIELDNutriSystemInc

Nutrisystemprovidesweightmanagementproductsandservices,includingnutritionallybalancedweightlossprograms,multi-daykitsavailableatretaillocationsanddigitaltoolstosupportweightloss.Co.'sprogramcustomerspurchasemonthlyfoodpackagescontainingafour-weekmealplanconsistingofbreakfasts,lunches,dinnersandsnacksandflexmealplanrecipes,whichtheysupplementwithfreshfruits,vegetablesanddairy.Co.providesitspre-selectedfavoritesfoodpackorpersonalizedplanswherecustomerscanhandpicktheirmenuorcustomizeplanstotheirdietarypreference.Co.'smealplansfeaturemenuoptionsatdifferentpricepointsincludingentrees,snacksandshakes.

Page 4: November, 2018 DividendRank - Dividend Channel · traded securities are ranked; data may be incorrect or out of date. Rankings are for informational purposes only and do not constitute

ENERGYDividendRank Symbol Dividend RecentYield*

#1 SDLP Q 0.40 11.90%#2 KNOP Q 2.08 10.16%#3 SEMG Q 1.89 10.22%#4 SMLP Q 2.30 14.35%#5 EQM Q 4.46 9.71%#6 ANDX Q 4.12 10.28%#7 WES Q 3.86 9.76%#8 GLOP Q 2.12 8.53%#9 CPLP Q 0.32 11.59%#10 TCP Q 2.60 8.46%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:SDLP—11.9%YIELDSeadrillPartnersLLC

SeadrillPartnersisengagedinowning,operatingandacquiringoffshoredrillingunits.Co.'sdrillingunitsareunderlong-termcontractswithmajoroilcompaniessuchasChevron,Total,BP,ExxonMobilandTullow.Offshoredrillingsunitsarecategorizedinfourrigs:jack-uprigswhicharemobile,self-elevatingdrillingplatformsequippedwithlegsthatareloweredtotheoceanfloor;tenderrigsconductproductiondrillingfromfixedorfloatingplatforms;semi-submersiblerigsoperateina"semi-submerged"floatingposition;anddrillshipwhichareself-propelledshipsequippedfordrillingindeepwater.

ETFS&CEFSDividendRank Symbol Dividend RecentYield*

#1 VGI M 1.51 12.52%#2 HIE M 1.39 12.56%#3 OPP M 1.80 11.06%#4 RA M 2.39 11.25%#5 DPG Q 1.40 10.60%#6 FDEU M 1.45 10.34%#7 EDF M 2.16 17.63%#8 GNT M 0.60 11.30%#9 GGM M 2.18 10.61%#10 ZTR M 1.36 14.01%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:VGI—12.5%YIELDVirtusGlobalMulti-SectorIncomeFund

VirtusGlobalMulti-SectorIncomeisadiversified,closed-endmanagementinvestmentcompany.TheFund'sinvestmentobjectiveistomaximizeincomewhilepreservingcapital.Undernormalcircumstances,theFundinvestsatleast80%ofitsManagedAssetsinfixedincomesecuritiesoftheUnitedStatesandnon-UnitedStatesissuers.TheFundwillinvestatleast80%ofitsManagedAssetsinissuerslocatedinatleastthreecountries,includingtheUnitedStates.AsofNov.302016,theFund'sassetstotaled$259,552,000andinvestmentportfoliototaled$250,522,000.

Page 5: November, 2018 DividendRank - Dividend Channel · traded securities are ranked; data may be incorrect or out of date. Rankings are for informational purposes only and do not constitute

FINANCIALDividendRank Symbol Dividend RecentYield*

#1 OFS Q 1.36 12.59%#2 RIV M 2.52 14.84%#3 GECC M 1.00 12.31%#4 WHF Q 1.42 11.41%#5 EDI M 1.81 15.98%#6 CEN M 1.25 15.01%#7 MIE M 0.92 10.11%#8 TPVG Q 1.44 11.46%#9 CCT Q 1.61 11.54%#10 GARS Q 1.12 14.12%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:OFS—12.6%YIELDOFSCapitalCorp

OFSCapitalisaclosed-end,non-diversifiedmanagementinvestmentcompany.Co.'sinvestmentactivitiesaremanagedbyOFSCapitalManagement,LLC,whichisresponsibleforsourcingpotentialinvestments,conductingresearchanddiligenceonpotentialinvestmentsandequitysponsors,analyzinginvestmentopportunities,structuringCo.'sinvestmentsandmonitoringCo.'sinvestmentsandportfoliocompaniesonanongoingbasis.Co.'sinvestmentfocusesprimarilyonmiddle-marketcompaniesintheU.S.,includingseniorsecuredloans,whichincludesfirst-lien,second-lienandunitrancheloansaswellassubordinatedloansand,toalesserextent,warrantsandotherequitysecurities.

OFSisaBDC—viewOFSBDCInvestorProfile.

HEALTHCAREDividendRank Symbol Dividend RecentYield*

#1 DRAD Q 0.22 17.67%#2 OMI Q 0.30 3.80%#3 BDXA Q 3.06 5.22%#4 GILD Q 2.28 3.34%#5 AMGN Q 5.28 2.74%#6 PMD Q 0.72 4.11%#7 PDCO Q 1.04 4.61%#8 BMY Q 1.60 3.17%#9 MRK Q 2.20 2.99%#10 MMM Q 5.44 2.86%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:DRAD—17.7%YIELDDigiradCorp

Digiradisaproviderofhealthcaresolutions.Co.'sportfolioofmobilehealthcaresolutionsandmedicalequipmentandservices,includingdiagnosticimagingandpatientmonitoring,provideshospitalsandphysicianpractices.Co.segmentsare:DiagnosticServices,whichprovidesimagingservicesprogramasanalternativetopurchasingequipmentoroutsourcingtheprocedurestoanotherphysicianorimagingcenter;MobileHealthcare,whichprovidescontractsalesservicesanddiagnosticimaging;DiagnosticImaging,whichincludenuclearcardiacimagingsystems;andMedicalDeviceSalesandServices,whichsellPhilipsbrandedimagingsystems,includingCT,MRI,PET,PET/CTsystems.

Page 6: November, 2018 DividendRank - Dividend Channel · traded securities are ranked; data may be incorrect or out of date. Rankings are for informational purposes only and do not constitute

INDUSTRIALDividendRank Symbol Dividend RecentYield*

#1 HIHO Q 0.40 10.64%#2 AYR Q 1.12 5.76%#3 KRO Q 0.68 4.85%#4 RYAM Q 0.28 2.26%#5 ADES Q 1.00 10.10%#6 HUN Q 0.65 2.97%#7 TGLS Q 0.56 7.08%#8 WLKP Q 1.68 7.27%#9 WSO Q 5.80 3.91%#10 MSM Q 2.52 3.11%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:HIHO—10.6%YIELDHighwayHoldingsLtd.(BritishVirginIslands)

HighwayHoldingsisaholdingcompany.Throughitssubsidiaries,Co.manufacturesandsuppliesawidevarietyofhighqualitymetal,plasticandelectricparts,componentsandproductstoitsOEMclients,whichassembliesandcomponentsareusedbyCo.'scustomersinthemanufacturingofproductssuchasphotocopiers,laserprinters,printcartridges,electricalconnectors,electricalcircuits,vacuumcleaners,LEDpowersupplies,steppingmotors,pumpsfordishwashers,andotherwashingmachinecomponents.Aspartofitsmanufacturingoperations,Co.assistscustomersinthedesignanddevelopmentofthetoolingusedinthemetalandplasticmanufacturingprocess.

MANUFACTURINGDividendRank Symbol Dividend RecentYield*

#1 F Q 0.60 6.28%#2 IEP Q 7.00 10.23%#3 GM Q 1.52 4.15%#4 UFAB Q 0.60 8.45%#5 PCTI Q 0.22 4.98%#6 DAN Q 0.40 2.57%#7 PCAR Q 1.12 1.96%#8 CMI Q 4.56 3.34%#9 MGA Q 1.32 2.68%#10 LCII Q 2.40 3.46%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:F—6.3%YIELDFordMotorCo.(DE)

FordMotordesigns,manufactures,markets,andservicesalineofFordcars,trucks,sportutilityvehicles,electrifiedvehicles,andLincolnluxuryvehicles.Co.hasfouroperatingsegments:Automotive,whichincludesthesaleofFordandLincolnvehicles,serviceparts,andaccessories;FinancialServices,whichincludesCo.'svehicle-relatedfinancingandleasingactivitiesatitssubsidiary,FordMotorCreditCompanyLLC;FordSmartMobilityLLC,asubsidiaryformedtodesign,build,grow,andinvestinmobilityservices;andCentralTreasuryOperations,whichengagesindecisionmakingforinvestments,riskmanagementactivities,andprovidingfinancingfortheAutomotivesegment.

Preferred:F.PRA

Page 7: November, 2018 DividendRank - Dividend Channel · traded securities are ranked; data may be incorrect or out of date. Rankings are for informational purposes only and do not constitute

MATERIALSDividendRank Symbol Dividend RecentYield*

#1 JEF Q 0.50 2.33%#2 GT Q 0.64 3.04%#3 WRK Q 1.82 4.24%#4 IP Q 2.00 4.41%#5 POPE Q 4.00 5.54%#6 POL Q 0.78 2.41%#7 EMN Q 2.24 2.86%#8 PKG Q 3.16 3.44%#9 EVA Q 2.52 8.39%#10 SON Q 1.64 3.00%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:JEF—2.3%YIELDJefferiesFinancialGroupInc

JefferiesFinancialGroupisaholdingcompany.Co.'sfinancialservicesbusinessesandinvestmentsincludeJefferies(investmentbankingandcapitalmarkets),LeucadiaAssetManagement(assetmanagement),Berkadia(commercialmortgagebanking,investmentsalesandservicing),HomeFed(realestatecompany),FXCM(providerofonlineforeignexchangetradingservices)andFoursightCapital(vehiclefinance).Co.alsoownsandhasinvestmentsinadiversearrayofotherbusinesses,includingbeefprocessing,consumerproducts,automobiledealerships,fixedwirelessbroadbandservicesinItaly,oilandgasproductionanddevelopment,manufacturingandgoldandsilverminingproject.

MEDIADividendRank Symbol Dividend RecentYield*

#1 NEWM Q 1.52 10.82%#2 AHC Q 0.32 7.00%#3 LKSD Q 1.04 11.03%#4 GCI Q 0.64 6.60%#5 BBGI Q 0.20 3.00%#6 VALU Q 0.76 3.01%#7 WPP S 3.00 5.32%#8 NXST Q 1.50 2.00%#9 IPG Q 0.84 3.63%#10 CCZ Q 4.52 8.50%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:NEWM—10.8%YIELD

NewMediaInvestmentGroupInc

NewMediaInvestmentisaholdingcompanythatowns,operatesandinvestsinlocalmediaassets.Co.focusesonowningandacquiringlocalmediaassetsinsmalltomid-sizemarkets.Co.focusesontwobusinesscategories:consumersandsmalltomedium-sizedbusinesses.Co.'smainproductsinclude:dailynewspapers;weeklynewspapers;shoppers;websites,whichextendCo.'sbusinessesontotheinternetandmobiledevices;yellowpagedirectories;businesspublications;andUpCurveCloudandThriveHivedigitalmarketing.InadditiontoCo.'smainproducts,Co.alsoproducepublicationsthataddressspecificlocalmarketinterestssuchasrecreation,sports,healthcareandrealestate.

Page 8: November, 2018 DividendRank - Dividend Channel · traded securities are ranked; data may be incorrect or out of date. Rankings are for informational purposes only and do not constitute

METALS&MININGDividendRank Symbol Dividend RecentYield*

#1 HCLP Q 0.90 11.95%#2 FRD Q 0.24 2.82%#3 ARLP Q 2.10 10.94%#4 MSB Q 3.76 13.85%#5 RS Q 2.00 2.53%#6 SXCP Q 1.60 11.56%#7 CINR Q 2.27 8.96%#8 FELP Q 0.23 5.65%#9 SCCO Q 1.60 4.17%#10 GGB Q 0.14 3.22%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:HCLP—11.9%YIELDHi-CrushPartnersLP

Hi-CrushPartnersisaproviderofproppantandlogisticssolutionstotheNorthAmericanenergyindustry.Co.'sportfolioofproductionfacilitiesiscapableofproducing13,400,000tonsperyearofmonocrystallinesand,amineralusedasaproppantduringthewellcompletionprocess,necessarytofacilitatetherecoveryofhydrocarbonsfromoilandnaturalgaswells.AsofDec312017,Co.ownedoroperated12terminallocationsthroughoutColorado,Pennsylvania,Ohio,NewYorkandTexas,ofwhichtwoweretemporarilyidledandsevenwerecapableofaccommodatingunittrains.Eachterminallocationispositionedintheshaleplaystofacilitatedeliveryofsandtothewellsite.

REALESTATEDividendRank Symbol Dividend RecentYield*

#1 HMG A 2.50 17.79%#2 GOV Q 1.72 19.48%#3 INN Q 0.72 6.25%#4 MRT Q 0.84 10.16%#5 TWO Q 1.25 8.49%#6 IVR Q 1.68 11.14%#7 GNL M 2.13 10.52%#8 SBRA Q 1.80 8.31%#9 SIR Q 2.04 10.79%#10 AJX Q 1.20 9.20%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:HMG—17.8%YIELDHMG/CourtlandProperties,Inc.

HMG/CourtlandPropertiesisengagedintheownershipandmanagementofincome-producingcommercialproperties.Co.'sinvestmentsinnon-realestateinvestmenttrust(REIT)marketablesecuritiesincludeequityanddebtsecuritiesissuedprimarilybycapitalcompaniesorgovernmentagencies.ThisincludesREITsandmutualfundsfocusingincommercialrealestateactivities.SubstantiallyallofCo.'smarketablesecuritiesinvestmentsareincompanieslistedonnationalstockmarkets.Co.'sotherinvestmentsconsistprimarilyofnominalequityinterestsinvariousprivately-heldentities,includinglimitedpartnershipswhosepurposeistoinvestventurecapitalfundsinenterprises.

Page 9: November, 2018 DividendRank - Dividend Channel · traded securities are ranked; data may be incorrect or out of date. Rankings are for informational purposes only and do not constitute

TECHNOLOGYDividendRank Symbol Dividend RecentYield*

#1 TSM A 1.31 3.44%#2 MAXR Q 1.48 9.93%#3 TIVO Q 0.72 6.55%#4 IMOS A 0.20 1.50%#5 CWEN Q 1.28 6.53%#6 MXIM Q 1.84 3.68%#7 TAIT Q 0.10 6.21%#8 IBM Q 6.28 5.44%#9 WSTG Q 0.68 5.44%#10 WDC Q 2.00 4.64%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:TSM—3.4%YIELDTaiwanSemiconductorManufacturingCo.,Ltd.

TaiwanSemiconductorManufacturingisafoundryinthesemiconductorindustrywhichengagesmainlyinthemanufacturing,selling,packaging,testingandcomputer-aideddesignofintegratedcircuitsandothersemiconductordevicesandthemanufacturingofmasks.Co.alsoengagesintheresearching,developing,designing,manufacturingandsellingofsolidstatelightingdevicesandrelatedapplicationsproductsandsystems,andrenewableenergyandefficiencyrelatedtechnologiesandproducts.Co.'sproductsincludelogicsemiconductors,mixed-signal/radiofrequencysemiconductors,CMOSimagesensorsemiconductorsandhighvoltagesemiconductors.

TRANSPORTATIONDividendRank Symbol Dividend RecentYield*

#1 R Q 2.16 3.91%#2 PAC Q 8.07 9.74%#3 USDP Q 1.43 13.28%#4 FTAI Q 1.32 7.93%#5 GMLP Q 1.62 11.46%#6 CMRE Q 0.40 7.55%#7 NAP Q 0.50 18.87%#8 DAL Q 1.40 2.56%#9 CPA Q 3.48 4.80%#10 SSW Q 0.50 5.59%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:R—3.9%YIELDRyderSystem,Inc.

RyderSystemisengagedintransportationandsupplychainmanagementsolutions.Co.operatesinthreebusinesssegments:FleetManagementSolutions,whichprovidesfullserviceleasingandleasingwithflexiblemaintenanceoptions,commercialrental,andcontractortransactionalmaintenanceservicesoftrucks,tractorsandtrailerstocustomersprincipallyintheU.S.,CanadaandtheU.K.;DedicatedTransportationSolutions,whichprovidesvehiclesanddriversaspartofadedicatedtransportationsolutionintheU.S.;andSupplyChainSolutions,whichprovidessupplychainsolutionsincludingdistributionandtransportationservicesinNorthAmericaandSingapore.

Page 10: November, 2018 DividendRank - Dividend Channel · traded securities are ranked; data may be incorrect or out of date. Rankings are for informational purposes only and do not constitute

TRAVEL&ENTERTAINMENTDividendRank Symbol Dividend RecentYield*

#1 CCL Q 2.00 3.57%#2 CUK Q 2.00 3.60%#3 BBX Q 0.60 10.26%#4 RCL Q 2.80 2.67%#5 LVS Q 3.00 5.88%#6 CBRL Q 5.00 3.15%#7 STAY Q 0.88 5.41%#8 CAKE Q 1.32 2.73%#9 QSR Q 1.80 3.29%#10 DRI Q 3.00 2.82%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:CCL—3.6%YIELDCarnivalCorp

Carnivalisaleisuretravelcompany.Co.operatesshipswithinglobal,regionalandnationalcruisebrandsthatselltailoredcruiseproductsandservices.Co.'sNorthAmericasegmentincludesCarnivalCruiseLines,PrincessCruises,HollandAmericaLine,andSeabourn.Co.'sEurope,Australia&AsiasegmentincludesCostaCruises,AIDACruises,P&OCruises(U.K.),P&OCruises(Australia),andCunard.Co.alsohasaCruiseSupportsegmentthatrepresentsitsportdestinationsandprivateislands.Inadditon,Co.hasaTourandOthersegment,whichincludesHollandAmericaPrincessAlaskaTours,atourcompanyinAlaskaandtheCanadianYukon.

UTILITIESDividendRank Symbol Dividend RecentYield*

#1 VIV Q 1.66 14.32%#2 DTV Q 3.25 6.09%#3 FTS Q 1.80 4.17%#4 BEP Q 1.96 7.19%#5 T Q 2.00 6.52%#6 PEGI Q 1.69 9.42%#7 AY Q 1.36 6.94%#8 D Q 3.34 4.68%#9 AES Q 0.52 3.57%#10 NEP Q 1.80 3.95%

*(updated7hours,21minutesago)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:VIV—14.3%YIELDTelefonicaBrasilSA

TelefonicaBrasilisaholdingcompany.Throughitssubsidiariesandassociatedcompanies,Co.isengagedthroughoutBrazilinrenderingFixedSwitchedTelephoneServiceConcessionArrangement("STFC");MultimediaCommunicationService("SCM",datacommunication,includingbroadbandinternet);PersonalMobileService("SMP");andConditionedAccessService("SEAC"-PayTV)bymeansofDTH(asatellitetechnology),IPTVandcabletechnologies.Co.'sbroadbandaccesseswithspeedshigherthan34MbpsinthestateofSãoPaulo.Co.'scommercialdistributionnetwork(marketedundertheVivobrand),asofDec312017,consistedof295ownsalesoutletsthroughoutBrazil.


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