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September,2019—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'stradingdatatocomeupwithcertaincalculationsaboutprofitabilityandaboutthestock'svaluation (whetherwethink it looks ''cheap''or''expensive'').OurproprietaryDividendRank formula ranks stockswithin the following18sectors/categories, to identify the top most ''interesting'' ideas that merit furtherresearch.

BusinessServices&EquipmentConstructionConsumerGoodsConsumerServicesEnergyETFs&CEFsFinancialHealthcareIndustrialManufacturingMaterialsMediaMetals&MiningRealEstateTechnologyTransportationTravel&EntertainmentUtilities

BUSINESSSERVICES&EQUIPMENTDividendRank Symbol Dividend RecentYield*

#1 NEWT Q 2.32 10.06%#2 BGSF Q 1.20 6.37%#3 NLSN Q 1.40 6.70%#4 KFRC Q 0.72 2.19%#5 KELYA Q 0.30 1.23%#6 RECN Q 0.56 3.40%#7 MIC Q 4.00 10.61%#8 RHI Q 1.24 2.32%#9 PAYX Q 2.48 3.03%#10 HSII Q 0.60 2.28%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:NEWT—10.1%YIELDNewtekBusinessServicesCorp

NewtekBusinessServicesisabusinessdevelopmentcompany.Co.provides,togetherwithitscontrolledportfoliocompanies,arangeofbusinessandfinancialsolutionsundertheNewtek®brandtothesmall-and-mediumsizedbusinessmarket.Co.'sproductsandservicesinclude:BusinessLendingincludingUnitedStatesSmallBusinessAdministration7(a)loans,504loansandconventionalloans,ElectronicPaymentProcessing,ManagedTechnologySolutions(CloudComputing),TechnologyConsulting,eCommerce,AccountsReceivableandInventoryFinancing,personalandcommerciallinesInsuranceServices,WebServices,DataBackup,StorageandRetrieval,andPayrollandBenefitsSolutions.

NEWTisaBDC—viewNEWTBDCInvestorProfile.

CONSTRUCTIONDividendRank Symbol Dividend RecentYield*

#1 MDC Q 1.20 3.22%#2 CAT Q 4.12 3.50%#3 TRN Q 0.68 3.94%#4 ASTE Q 0.44 1.58%#5 FLR Q 0.84 4.86%#6 DHI Q 0.60 1.22%#7 HEES Q 1.10 4.57%#8 PHM Q 0.44 1.31%#9 FIX Q 0.40 1.05%#10 TOL Q 0.44 1.22%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:MDC—3.2%YIELDM.D.C.Holdings,Inc.

M.D.C.Holdingsisengagedinhomebuildingandfinancialservices.Co.'shomebuildingoperationsconsistofthepurchasefinishedordeveloplotstotheextentnecessaryfortheconstructionandsaleprimarilyofsingle-familydetachedhomestofirst-timeandfirst-timemove-uphomebuyersunderthenameRichmondAmericanHomes.Co.'sfinancialservicesoperationsincludeof:HomeAmericanMortgageCorporation,whichoriginatesmortgageloansforitshomebuyers;AllegiantInsuranceCompany,Inc.(Allegiant),whichprovidesinsurancecoverage;StarAmericanInsuranceLtd.,are-insureronAllegiantclaims;AmericanHomeInsuranceAgency,Inc.,whichprovidesthird-partyinsuranceproducts.

CONSUMERGOODSDividendRank Symbol Dividend RecentYield*

#1 CHS Q 0.35 11.08%#2 BTI Q 2.70 7.71%#3 BGS Q 1.90 10.41%#4 UVV Q 3.04 6.04%#5 PFIN Q 0.20 2.85%#6 TAP Q 2.28 4.47%#7 SPTN Q 0.76 6.93%#8 M Q 1.51 10.13%#9 FL Q 1.52 4.24%#10 DBI Q 1.00 6.45%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:CHS—11.1%YIELDChico'sFASInc

Chico'sFASisaretailerofwomen'sprivatebranded,casual-to-dressyapparel,intimatesandcomplementaryaccessories.Co.operatesundertheChico's,WhiteHouseBlackMarket(WHBM)andSomabrandnames.Chico'sprimarilysellsprivatebrandedclothingfocusingonwomen45andolder.WHBMprimarilysellsclothingfocusingonwomen35andolderwithclothingandaccessoryitemsincludingeverydaybasics,polishedcasualapparel,relaxedworkwear,blackandwhitepieces,andfeminineall-occasiondresses.TheSomabrandprimarilysellslingerie,sleepwearandloungewearproductsfocusingonwomen.Co.'sboutiquesarelocatedintheU.S.,PuertoRico,theU.S.VirginIslandsandCanada.

CONSUMERSERVICESDividendRank Symbol Dividend RecentYield*

#1 HRB Q 1.04 4.27%#2 SCI Q 0.72 1.54%#3 MNRO Q 0.88 1.12%#4 CLCT Q 0.70 2.75%#5 STRA Q 2.00 1.17%#6 TRU Q 0.30 0.36%#7 CSV Q 0.30 1.42%#8 GHC Q 5.56 0.81%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:HRB—4.3%YIELDBlock(H&R),Inc.

H&RBlockprovidesassisted,do-it-yourself,andvirtualtaxreturnpreparationsolutionsthroughvariouschannels(includingin-person,onlineandmobileapplications,virtual,anddesktopsoftware)anddistributesCo.-brandedproductsandservicestothegeneralpublicintheU.S.,Canada,Australia,andtheirrespectiveterritories.Co.alsoprovidesadditionalservices,suchasRefundTransfers,itsPeaceofMind®ExtendedServicePlan(POM),H&RBlockEmeraldPrepaidMastercard®,H&RBlockEmeraldAdvance®linesofcredit,TaxIdentityShield®,andRefundAdvanceloans.ForitsCanadianclientsCo.alsoprovidesPOM,H&RBlockInstantRefund™,andH&RBlockPayWithRefund®services.

ENERGYDividendRank Symbol Dividend RecentYield*

#1 VET M 2.76 18.98%#2 KNOP Q 2.08 11.24%#3 PRT M 0.84 11.15%#4 ENBL Q 1.32 10.43%#5 GLOP Q 2.20 11.62%#6 NGL Q 1.56 11.88%#7 ENLC Q 1.13 14.31%#8 CNQ Q 1.50 4.67%#9 MPC Q 2.12 4.37%#10 SEMG Q 1.89 21.50%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:VET—19.0%YIELDVermilionEnergyInc

VermilionEnergy,throughitssubsidiaries,isengagedinthebusinessofoilandnaturalgasexploitation,development,acquisitionandproductioninCanada,France,theNetherlands,AustraliaandIreland.

ETFS&CEFSDividendRank Symbol Dividend RecentYield*

#1 DSE Q 0.60 13.02%#2 NTG Q 1.69 14.15%#3 HIE M 1.39 13.35%#4 SZC M 1.64 12.59%#5 FDEU M 1.45 11.07%#6 OPP M 2.20 12.64%#7 VGI M 1.51 12.15%#8 DEX M 1.10 11.49%#9 THW M 1.40 10.63%#10 RA M 2.39 10.71%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:DSE—13.0%YIELDDuff&PhelpsSelectMLPandMidstreamEnergyFundInc

Duff&PhelpsSelectMLPandMidstreamEnergyFundisanon-diversified,closed-endmanagementinvestmentcompany.TheFund'sinvestmentobjectiveistoseekahighleveloftotalreturnresultingfromacombinationoftax-deferreddistributionsandcapitalappreciation.AsofNov302016,Co.hadtotalinvestmentsof$271,559,000,000andtotalassetsof$274,860,000.

FINANCIALDividendRank Symbol Dividend RecentYield*

#1 FSK Q 0.76 13.40%#2 GECC M 1.00 12.15%#3 CEN M 1.25 18.10%#4 BMA S 4.40 17.68%#5 PSEC M 0.72 11.25%#6 OXSQ M 0.80 13.16%#7 CGBD Q 1.48 10.33%#8 PACW Q 2.40 7.07%#9 KIO M 1.50 9.84%#10 SCM M 1.36 10.35%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:FSK—13.4%YIELDFSKKRCapitalCorp

FSKKRCapitalisanexternallymanaged,non-diversified,closed-endmanagementinvestmentcompany.Co.ismanagedbyFS/KKRAdvisor,LLC,aninvestmentadviser,whichoverseesthemanagementofCo.'soperations.Co.'sportfolioiscomprisedofinvestmentsinseniorsecuredloansandsecondliensecuredloansofprivatemiddlemarketU.S.companiesand,toalesserextent,subordinatedloansofprivateU.S.companies.Co.maypurchaseinterestsinloansormakeotherdebtinvestments,includinginvestmentsinseniorsecuredbonds,throughsecondarymarkettransactionsintheover-the-counter,marketordirectlyfromitstargetcompaniesasprimarymarketordirectlyoriginatedinvestments.

HEALTHCAREDividendRank Symbol Dividend RecentYield*

#1 KEQU Q 0.76 4.79%#2 PMD Q 0.72 9.64%#3 CAH Q 1.92 4.55%#4 PFE Q 1.44 4.08%#5 BDXA Q 3.06 4.91%#6 NVO S 0.90 1.71%#7 GILD Q 2.52 3.95%#8 MMM Q 5.76 3.59%#9 AMGN Q 5.80 2.80%#10 MRK Q 2.20 2.54%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:KEQU—4.8%YIELDKewauneeScientificCorporation

KewauneeScientificisengagedinthedesign,manufacture,andinstallationoflaboratory,healthcare,andtechnicalfurnitureandinfrastructureproducts.Co.'sproductsincludesteel,wood,andlaminatefurniture,fumehoods,biologicalsafetycabinets,laminarflowandductlesshoods,adaptablemodularandcolumnsystems,moveableworkstationsandcarts,epoxyresinworksurfaces,sinks,andaccessoriesandrelateddesignservices.Co.'soperationsareclassifiedintotwobusinesssegments:Domestic,whichdesigns,manufactures,andinstallsscientificandtechnicalfurniture;andInternational,whichprovidesfacilitydesign,detailedengineering,construction,andprojectmanagement.

INDUSTRIALDividendRank Symbol Dividend RecentYield*

#1 AYR Q 1.20 5.48%#2 SWP Q 5.38 5.66%#3 KRO Q 0.72 6.65%#4 CC Q 1.00 7.22%#5 LYB Q 4.20 5.58%#6 WLKP Q 1.83 8.59%#7 OEC Q 0.80 5.83%#8 MSM Q 3.00 4.46%#9 IFFT Q 3.00 6.89%#10 HUN Q 0.65 3.31%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:AYR—5.5%YIELDAircastleLtd.

Aircastleisaholdingcompany.Throughitssubsidiaries,Co.acquires,leases,andsellscommercialjetaircraft.Co.ownsandmanagesonbehalfofitsjointventuresaircraftthatwereleasedtovariouslessees.Co.'saircraftaremanagedbyateambasedintheU.S.,IrelandandSingapore.Co.'saircraftaresubjecttonetleaseswherebythelesseeisgenerallyresponsibleformaintainingtheaircraftandpayingoperational,maintenanceandinsurancecosts,althoughincertaincases,Co.isobligatedtopayaportionofspecifiedmaintenanceormodificationcosts.Co.'saircrafttypesinclude:A319/A320/A321,A330-200/300,737-700/800/900ER,777-200ER/300ER,E195andfreighters.

MANUFACTURINGDividendRank Symbol Dividend RecentYield*

#1 IEP Q 8.00 11.82%#2 GM Q 1.52 4.12%#3 ALV Q 2.48 3.65%#4 LCII Q 2.60 3.08%#5 MGA Q 1.46 2.94%#6 CMI Q 5.24 3.52%#7 PCAR Q 1.28 1.96%#8 WNC Q 0.32 2.33%#9 QCOM Q 2.48 3.24%#10 LEA Q 3.00 2.75%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:IEP—11.8%YIELDIcahnEnterprisesLP

IcahnEnterprisesisaholdingcompany.Throughitssubsidiaries,Co.isengagedinthefollowingoperatingbusinesses:Investment,whichiscomprisedofvariousprivateinvestmentfundsinwhichCo.hasgeneralpartnerinterestsandthroughwhichCo.investsitsproprietarycapital;Energy,whichengagesinthepetroleumrefiningandnitrogenfertilizermanufacturingindustriesthroughitsinterestsinCVRRefining,LPandCVRPartners,LP;Automotive,whichinvestsinandoperatesbusinessesinvolvedinautomotiverepairandmaintenanceservices;andFoodPackaging,whichproducescellulosic,fibrousandplasticcasingsusedtoprepareandpackageprocessedmeatproducts.

MATERIALSDividendRank Symbol Dividend RecentYield*

#1 JEF Q 0.50 2.68%#2 UAN Q 0.56 15.83%#3 NTR Q 1.80 3.61%#4 WRK Q 1.82 5.34%#5 OSB Q 1.60 4.92%#6 UFS Q 1.82 5.47%#7 POPE Q 4.00 5.48%#8 GT Q 0.64 5.57%#9 IP Q 2.00 5.18%#10 EMN Q 2.48 3.84%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:JEF—2.7%YIELDJefferiesFinancialGroupInc

JefferiesFinancialGroupisafinancialholdingcompany.Co.'sJefferiesGroupsegmentoperatesintwobusinesssegments:CapitalMarkets,whichincludesinvestmentbanking,salesandtradingandotherrelatedservices;andAssetManagement,whichprovidesinvestmentmanagementservicesandoverseasandmakescapitalinvestmentsinmanagedfundsandaccounts.Co.'sMerchantBankingconsistsofitsvariousmerchantbankingbusinessesandinvestments,includingNationalBeefPackingCompany,SpectrumBrandsHoldings,Inc.,LinkemS.p.A.,VitesseEnergy,LLCandJETXEnergyLLC,WeWork,HomeFedCorporation,IdahoTimber,FXCMGroup,LLC,FoursightCapitalandGoldenQueenMiningCompany.

MEDIADividendRank Symbol Dividend RecentYield*

#1 NEWM Q 1.52 17.84%#2 TPCO Q 1.50 19.46%#3 TSQ Q 0.30 4.97%#4 BBGI Q 0.20 6.47%#5 AHC Q 0.32 9.12%#6 QUAD Q 1.20 13.19%#7 IPG Q 0.94 4.70%#8 GCI Q 0.64 6.13%#9 EDUC Q 0.20 3.39%#10 MDP Q 2.30 5.27%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:NEWM—17.8%YIELDNewMediaInvestmentGroupInc

NewMediaInvestmentGroupowns,operatesandinvestsinlocalmediaassetsfocusedinsmalltomid-sizemarkets.Co.'smainproductsinclude:dailynewspapers;weeklynewspapers,whichpublisheuptothreetimesperweek;shoppers,whicharegenerallyadvertising-onlypublications;locally-focusedwebsites,whichextendCo.'sbusinessesontotheinternetandmobiledevices;businesspublications;UpCurveCloudandThriveHivedigitalmarketing;andGateHouseLive.Inadditiontoitsmainproducts,Co.alsoproducespublicationsthataddressspecificlocalmarketinterestssuchasrecreation,sports,healthcareandrealestate.

METALS&MININGDividendRank Symbol Dividend RecentYield*

#1 STLD Q 0.96 3.56%#2 RIO S 3.02 6.13%#3 BHP S 3.12 6.48%#4 ARLP Q 2.16 14.16%#5 BTU Q 0.58 3.23%#6 NRP Q 1.80 6.78%#7 SCCO Q 1.60 5.13%#8 CMP Q 2.88 5.75%#9 MSB Q 0.84 3.67%#10 GGB Q 0.07 2.38%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:STLD—3.6%YIELDSteelDynamicsInc.

SteelDynamicsisasteelproducerandmetalrecycler.Co.manufacturesandsellssteelproducts,processesandsellsrecycledferrousandnonferrousmetals,andfabricatesandsellssteeljoistsanddeckproducts.Co.'ssegmentsare:Steel,whichproducessteelfromferrousscrapandscrapsubstitutes,utilizingcasting,automatedrollingmillsandseveraldownstreamsteelcoatingandbarprocessinglines,andIronDynamics;metalsrecycling,whichinvolvesthepurchase,processing,andresaleofferrousandnonferrousscrapmetalsintoreusableformsandgrades;andsteelfabrication,whichproducessteelbuildingcomponents,includingsteeljoists,girders,trusses,andsteeldeck.

REALESTATEDividendRank Symbol Dividend RecentYield*

#1 XIN Q 0.40 9.32%#2 AGNC M 1.92 12.96%#3 STAR Q 0.40 3.12%#4 CHMI Q 1.96 16.44%#5 ACRE Q 1.32 8.78%#6 AJX Q 1.28 8.77%#7 CLNC M 1.74 13.85%#8 EFC M 1.68 9.59%#9 RC Q 1.60 10.88%#10 BPY Q 1.32 6.96%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:XIN—9.3%YIELDXinyuanRealEstateCoLtd

XinyuanRealEstateisaholdingcompany.Throughitssubsidiaries,Co.isengagedinthedevelopmentoflargescalequalityresidentialprojects,whichtypicallyconsistofmultipleresidentialbuildingsthatincludemulti-layerapartmentbuildings,sub-high-riseapartmentbuildingsorhigh-riseapartmentbuildings.SeveralofCo.'sprojectsincludeauxiliaryservicesandamenitiessuchasretailoutlets,leisureandhealthfacilities,kindergartensandschools.Co.alsodevelopssmallscaleresidentialproperties.Inaddition,Co.providespropertymanagementservicesforitsdevelopmentsandotherrealestate-relatedservicestoCo.'scustomers.

TECHNOLOGYDividendRank Symbol Dividend RecentYield*

#1 MAXR Q 0.04 0.58%#2 TSM Q 1.27 3.00%#3 IMOS A 0.77 3.95%#4 NTAP Q 1.92 4.01%#5 ESP Q 1.00 4.01%#6 HPE Q 0.45 3.29%#7 MXIM Q 1.92 3.56%#8 ETN Q 2.84 3.57%#9 CSPI Q 0.60 4.42%#10 IBM Q 6.48 4.80%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:MAXR—0.6%YIELDMaxarTechnologiesInc

MaxarTechnologiesisengagedintheprovisionofinformationsolutionsthatcaptureandprocesslargeamountsofdata,produceessentialinformation,andimprovethedecisionmakingandoperationalperformanceofbusinessandgovernmentorganizationsworldwide.Co.'sbusinessisfocusedoninformationsolutionsformarketsectorswhichofferrepeatbusinesspotential,principallythesurveillanceandintelligencesectorandthecommunicationsector.Inaddition,Co.conductsabroadrangeofcustomerfundedadvancedtechnologydevelopmentforvariousothermarketsectors.

TRANSPORTATIONDividendRank Symbol Dividend RecentYield*

#1 R Q 2.24 4.68%#2 FTAI Q 1.32 8.88%#3 AIRTP Q 0.17 7.25%#4 ULH Q 0.42 2.02%#5 ALK Q 1.40 2.33%#6 GBX Q 1.00 4.33%#7 WERN Q 0.36 1.12%#8 AL Q 0.52 1.26%#9 DAL Q 1.61 2.78%#10 USDP Q 1.46 13.88%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:R—4.7%YIELDRyderSystem,Inc.

RyderSystemisengagedintransportationandsupplychainmanagementsolutions.Co.'ssegmentsinclude:FleetManagementSolutions,whichprovidesfullserviceleasingandleasingwithmaintenanceoptions,commercialrental,contractortransactionalmaintenanceservices,andfleetsupportservicessuchasinsurance,vehicleadministrationandfuelservices;DedicatedTransportationSolutions,whichcombinesequipment,maintenance,drivers,administrativeservicesandadditionalservicestoprovideadedicatedtransportationsolution;andSupplyChainSolutions,whichprovideslogisticsmanagementservices,includingdistributionmanagement,transportationmanagementandotherservices.

TRAVEL&ENTERTAINMENTDividendRank Symbol Dividend RecentYield*

#1 AMC Q 0.80 7.08%#2 STAY Q 0.92 6.57%#3 CUK Q 2.00 4.69%#4 LVS Q 3.08 5.59%#5 CNK Q 1.36 3.59%#6 CCL Q 2.00 4.55%#7 IGT Q 0.80 6.67%#8 CAKE Q 1.44 3.79%#9 RUTH Q 0.52 2.63%#10 VIAB Q 0.80 3.18%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:AMC—7.1%YIELDAMCEntertainmentHoldingsInc.

AMCEntertainmentHoldingsisatheatricalexhibitioncompany.Throughitsdirectandindirectsubsidiaries,includingAmericanMulti-Cinema,Inc.anditssubsidiaries,Co.isprincipallyinvolvedinthetheatricalexhibitionbusinessandowns,operatesorhasinterestsintheatresprimarilylocatedintheU.S.andEurope.Co.providesconsumersarangeofentertainmentalternativesincludingfilmprogramming,independentandforeignfilms,performingarts,musicandsports.Co.alsoprovidesfoodandbeveragealternativessuchasmade-to-ordermeals,customizedcoffee,snacks,beer,wine,cocktailsanddine-intheatreoptions.

UTILITIESDividendRank Symbol Dividend RecentYield*

#1 AM Q 1.23 17.08%#2 VIV Q 0.61 4.88%#3 EZT Q 1.42 5.05%#4 CHL S 1.95 4.69%#5 AY Q 1.60 6.73%#6 TEO A 0.29 3.19%#7 CTL Q 1.00 8.84%#8 PPL Q 1.65 5.63%#9 VEON S 0.26 10.12%#10 BEP Q 2.06 5.48%

*(updatedFriday,August30,2:00AM)Yieldcalculationsvaryandmaynotbereliablenorcomparable.Notallpubliclytradedsecuritiesareranked;datamaybeincorrectoroutofdate.Rankingsareforinformationalpurposesonlyanddonotconstituteadvice.Fulldisclaimer

SPOTLIGHTON:AM—17.1%YIELDAnteroMidstreamCorp

AnteroMidstreamownsthemembershipinterestsinAnteroMidstreamPartnersGPLLC,whichownsthenon-economicgeneralpartnerinterestinAnteroMidstreamPartnersLP(AnteroMidstream).AnteroMidstreamowns,operatesanddevelopsmidstreamenergyinfrastructuremainlytoserviceAnteroResourcesCorporation'sproductionandcompletionactivityundercontracts.Itsassetsconsistofgatheringpipelines,compressorstations,processingandfractionationplantsandwaterhandlingandtreatmentinfrastructure,throughwhichitprovidesgathering,compression,processing,fractionationandintegratedwaterservices,includingfreshwaterdeliveryservices,andotherfluidhandlingservices.

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