Covered companies that have raised their dividend for at least five calendar years in a row, longest streak first.
| Company | Raised | Dividend yield | Payout ratio |
|---|---|---|---|
| CLX Clorox | 30 yrs | 6.1% | 80% |
| HRL Hormel | 30 yrs | 5.8% | 187% |
| CVX Chevron | 30 yrs | 3.4% | 67% |
| GPC Genuine Parts | 30 yrs | 3.3% | 1753% |
| NEE NextEra Energy | 30 yrs | 3.2% | 59% |
| IBM IBM | 30 yrs | 3.0% | 59% |
| TGT Target | 30 yrs | 3.0% | 47% |
| PG Procter & Gamble | 30 yrs | 2.9% | 64% |
| PPG PPG Industries | 30 yrs | 2.7% | 40% |
| LOW Lowes | 30 yrs | 2.7% | 41% |
| ATO Atmos Energy | 30 yrs | 2.5% | 45% |
| ADM Archer-Daniels-Midland | 30 yrs | 2.5% | 57% |
| XOM Exxon Mobil | 30 yrs | 2.5% | n/a |
| CL Colgate-Palmolive | 30 yrs | 2.4% | n/a |
| KO Coca-Cola | 30 yrs | 2.4% | 80% |
| BDX Becton Dickinson | 30 yrs | 2.2% | 125% |
| AFL Aflac | 30 yrs | 2.1% | 25% |
| ALB Albemarle | 30 yrs | 1.6% | 85% |
| EMR Emerson Electric | 30 yrs | 1.4% | 48% |
| ECL Ecolab | 30 yrs | 1.1% | 38% |
| WMT Walmart | 30 yrs | 0.9% | 35% |
| EXPD Expeditors | 30 yrs | 0.8% | n/a |
| GWW W.W. Grainger | 30 yrs | 0.7% | 26% |
| CHRW C.H. Robinson | 28 yrs | 1.8% | 48% |
| PEP PepsiCo | 27 yrs | 4.6% | 75% |
| BRO Brown & Brown | 27 yrs | 1.1% | 18% |
| FDS FactSet | 26 yrs | 1.6% | 29% |
| CASY Casey's | 26 yrs | 0.4% | 11% |
| JNJ Johnson & Johnson | 25 yrs | 2.1% | n/a |
| MCD McDonalds | 24 yrs | 3.2% | 59% |
| SHW Sherwin-Williams | 24 yrs | 1.0% | 29% |
| SO Southern Co | 23 yrs | 3.6% | 70% |
| LMT Lockheed Martin | 23 yrs | 2.7% | 51% |
| WEC WEC Energy | 22 yrs | 3.7% | 71% |
| QCOM Qualcomm | 22 yrs | 2.0% | n/a |
| JKHY Jack Henry | 22 yrs | 1.7% | 34% |
| ADI Analog Devices | 22 yrs | 1.0% | 49% |
| AIZ Assurant | 21 yrs | 1.3% | 17% |
| CSX CSX | 21 yrs | 1.2% | 31% |
| CMI Cummins | 20 yrs | 1.6% | 39% |
| AMP Ameriprise | 20 yrs | 1.3% | 15% |
| TRV Travelers | 20 yrs | 1.3% | 12% |
| MSFT Microsoft | 20 yrs | 0.7% | 20% |
| WST West Pharmaceutical | 20 yrs | 0.2% | 11% |
| KR Kroger | 19 yrs | 2.5% | 82% |
| UNP Union Pacific | 19 yrs | 2.0% | 45% |
| WSM Williams-Sonoma | 19 yrs | 1.2% | 28% |
| BR Broadridge | 18 yrs | 2.5% | 39% |
| MCK McKesson | 18 yrs | 0.4% | 9% |
| PRU Prudential | 17 yrs | 5.2% | 50% |
Figures come from each company's SEC filings and end-of-day prices. Grades compare a company with the rest of its sector; they describe the data and are not the model's view - its ranking and the model portfolio are for subscribers.
Subscribers get the model's rank and expected return for every covered company, the reasoning behind each, and the Torvanta model portfolio's trades each trading day, sized and explained, at three risk levels.
See plans Or get the free weekly newsletterTorvanta is research only - not investment advice and not a recommendation to buy or sell any security. Grades describe a company's reported data against its sector; they are not the model's view, change as data changes and can be wrong. Financial figures come from the company's SEC filings; returns include reinvested dividends. Past performance does not predict future results.
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