Remember, its reason for existence is to provide a much higher - than -
average income yield.
Not exact matches
Social Higher prices and farmer training helped farmers increase
average annual cacao
yield by 14 percent, translating to a 20 percent increase in
income.
If we assume the
average federal tax rate on capital
income is 25 per cent (most capital
income is taxed in the higher 22 per cent, 26 per cent and 29 per cent tax brackets), this
yields a revenue cost of $ 6.6 - billion, or 7 per cent of federal
income tax revenues.
An above -
average dividend
yield (the MSCI Canada Energy Index is
yielding an annualized dividend of 3.6 % versus 2.9 % on the overall MSCI Canada index, according to Bloomberg data as of July 31, 2017) and lower price volatility could make energy a more attractive sector for
income - seeking investors in a low
yield world.
You can also sort by dividend rate,
yield, and
average if you're looking for a solid dividend - paying
income stock, and make use of advanced metrics like EBITDA margin, 50 and 200 - day moving
averages, and post-tax profit margin for continued operations.
For bonds and CDs, scan summary calculations for total market value, total par value,
average price,
average maturity - years,
average estimated
yield, annual interest
income, and
average coupon rate.
In order to received $ 60k in annual dividend
income, I'll need a portfolio valued at over 1.7 Mil that
yields an
average of 3.5 %.
To determine how long a million will last, GOBankingRates calculated how much a million - dollar windfall would grow over time, assuming a 20 percent deposit in savings based on the annual median
income and the
average savings account annual percentage
yield (APY) for each state.
An above -
average dividend
yield and favorable risk profile should appeal to more conservative,
income - oriented accounts.
It seeks (1) to provide a level of current
income that exceeds the
average yield on U.S. stocks generally and (2) to provide a growing stream of
income over the years.
When we opened the Fund to investment in 1995, we naively assumed as our base case that the Fund would
average 6 %
yields on its fixed
income allocation.
Since total return is comprised of
income (via dividends or distributions) and capital gain, with the former counting much more over the long term, the case for this stock having a great 2018 is certainly already there based on that higher - than -
average yield.
If you're an
income investor, you're looking for stocks that have higher - than -
average dividends and dividend
yields, a steady track record of paying out dividends, stable performance, solid reputations, and rising dividends year over year.
The
average tradability score in the Fixed
Income: U.S. - Corporate High
Yield segment is 66 out of 100, with the iShares iBoxx $ High
Yield Corporate Bond ETF (HYG) obtaining the highest rating of 94 out of 100.
In addition, these funds must invest at least 50 % of their non-cash assets in
income - generating securities such that the 3 - year weighted
average yield on the equity component of the fund's portfolio is at least 1.5 times the
average yield of the Canadian Equity Fund benchmark, defined as the S&P / TSX Equity Index.
A 2011 report from the Australian Centre for International Agricultural Research found that between 1985 and 2009, IRRI varieties and breeding lines contributed, on
average, 50 % of the annual
yield increases in southern Vietnam and the use of new varieties increased Vietnamese rice farmers»
income by US$ 127 per hectare (in 2009 values) per year during the study period.
A 2011 report from the Australian Centre for International Agricultural Research found that between 1985 and 2009, IRRI varieties and breeding lines contributed, on
average, 50 % of the annual
yield increases in southern Vietnam and the use of new varieties increased Vietnamese rice farmers»
income by US$ 127 per hectare (in 2009 values) per year during the study period.
If you're just joining us, welcome to High -
Yield Trade of the Week, where each week we highlight an opportunity to make safe, above
average income with some of the best companies in the world.
ROYAL BANK OF CANADA $ 105 (Toronto symbol RY; Conservative Growth and
Income Portfolios, Finance sector; Shares outstanding: 1.5 billion; Market cap: $ 157.5 billion; Price - to - sales ratio: 3.9; Dividend
yield: 3.5 %; TSINetwork Rating: Above
Average; www.rbc.com) acquired Los Angeles - based City National Bank in November 2015 for $ 5.5... Read More
NEWELL RUBBERMAID INC. $ 45 (New York symbol NWL; Aggressive Growth and
Income Portfolios, Consumer sector; Shares outstanding: 267.1 million; Market cap: $ 12.0 billion; Price - to - sales ratio: 2.0; Dividend
yield: 1.7 %; TSINetwork Rating:
Average; www.newellrubbermaid.com) is buying Jarden Corp. (New York symbol JAH), which makes a wide... Read More
From December 2006 to February 2018, the S&P / TSX Capped REIT
Income Index generated an
average historical
yield of 6.1 %, compared with 2.8 % for the benchmark.
BANK OF MONTREAL $ 77 (Toronto symbol BMO; Conservative Growth and
Income Portfolios, Finance sector; Shares outstanding: 642.5 million; Market cap: $ 49.5 billion; Price - to - sales ratio: 2.9; Dividend
yield: 4.3 %; TSINetwork Rating: Above
Average; www.bmo.com) is Canada's fourth - largest bank, with $ 672.4 billion of assets.
The 2.4 %
yield offered on a 10 - year U.S. Treasury note doesn't provide enough safe
income to fund a full retirement, nor does the 1.8 %
average yield among companies in the Standard & Poor's 500 - stock index.
If all you wanted was a 3.6 % per year
income stream, you could just buy a portfolio of stocks that had an
average dividend
yield of 3.6 % per year or more (such as those above).
North American stocks with above -
average dividend
yields are targeted here, and the mission is to provide regular dividend
income plus modest long - term capital gains.
This brings my portfolio totals up to $ 1269.96 forward
income and a 3.25 %
average yield.
Overall, this enables MLPs to offer attractive
income yields (often substantially higher than the
average dividend
yield of equities).
With a monthly dividend of 7 cents per share, my monthly
income from CHW has doubled to $ 21.00 per month, and my
average yield is 11.09 % (more about that later).
Average yield to Maturity - Average Yield to Maturity represents the weighted average yield to maturity of a Fund's investments in money market securities and short - term fixed income securities as of a specifie
Average yield to Maturity - Average Yield to Maturity represents the weighted average yield to maturity of a Fund's investments in money market securities and short - term fixed income securities as of a specified
yield to Maturity -
Average Yield to Maturity represents the weighted average yield to maturity of a Fund's investments in money market securities and short - term fixed income securities as of a specifie
Average Yield to Maturity represents the weighted average yield to maturity of a Fund's investments in money market securities and short - term fixed income securities as of a specified
Yield to Maturity represents the weighted
average yield to maturity of a Fund's investments in money market securities and short - term fixed income securities as of a specifie
average yield to maturity of a Fund's investments in money market securities and short - term fixed income securities as of a specified
yield to maturity of a Fund's investments in money market securities and short - term fixed
income securities as of a specified date.
The weighted
average yield is calculated based on the market value of each fixed -
income investment.
On
average 50 percent of the
income goes directly towards shareholders, giving it currently a dividend
yield of 9.5 percent, already a nice return.
Exxon Mobil is a dividend investor's dream, with one of the highest dividend
yields (more than 3.6 % at the time of writing) among its peers on the Dow Jones Industrial
Average; the oil producer has raised its dividend for three consecutive decades, making Exxon Mobil one of the premier
income - oriented value plays on the market today.
Right now, Marc's
average dividend from his Oxford
Income Letter portfolios is about 4.8 %, and the average yield on the bonds I recommend, that's income from bonds, is aroun
Income Letter portfolios is about 4.8 %, and the
average yield on the bonds I recommend, that's
income from bonds, is aroun
income from bonds, is around 7 %.
Brian Bollinger of TheStreet wrote about 10 Dividend Aristocrats To Buy Now where he chooses 10 aristocrats with an
average dividend
yield of 3 % that he feels (1) have the strength to continue raising dividends and delivering
income to their shareholders, and (2) operate strong and steady business models.
For example, if your goal is to have an annual dividend
income of $ 35,000 and your dividend stock portfolio has an
average yield of 3.5 %, then you will need $ 1,000,000 in capital to attain that
income goal.
BCE INC. $ 56 (Toronto symbol BCE; Conservative Growth and
Income Portfolios, Utilities sector; Shares outstanding: 840.3 million; Market cap: $ 47.1 billion; Price - to - sales ratio: 2.2; Dividend
yield: 4.6 %; TSINetwork Rating: Above
Average; www.bce.ca) is Canada's largest telephone provider, with 5.0 million customers in Ontario and Quebec... Read More
In addition, these funds must invest at least 50 % of their non-cash assets in
income - generating securities such that the 3 - year weighted
average yield on the equity component of the fund's portfolio is at least 1.5 times the
average yield of the Canadian Equity Fund benchmark, defined as the S&P / TSX Equity Index.
Since total return is comprised of
income (via dividends or distributions) and capital gain, with the former counting much more over the long term, the case for this stock having a great 2018 is certainly already there based on that higher - than -
average yield.
In addition, these funds must invest primarily in investment - grade fixed -
income securities, such that the
average credit quality of the portfolio as a whole is investment grade (BBB or equivalent rating or higher) and not more than 25 % of the portfolio's holdings are invested in high
yield fixed
income securities.
WELLS FARGO & CO. $ 53 (New York symbol WFC;
Income Portfolio, Finance sector; Shares outstanding: 4.9 billion; Market cap: $ 259.7 billion; Price - to - sales ratio: 3.0; Dividend
yield: 2.9 %; TSINetwork Rating:
Average; www.wellsfargo.com) is the third - largest U.S. bank by assets ($ 1.92 trillion as of March 31, 2018), after J.P....
But right now I want above
average yields to build my dividend
income quickly, but not so rapidly as to be on the verge of recklessness.
As I mentioned before, this is well below the
average yield of the portfolio, but offers greater long - term growth and greater increases to my dividend
income.
The Fund's principal investment strategies emphasize strategic management of the
average interest rate sensitivity («duration») of portfolio holdings, the Fund's exposure to changes in the
yield curve, and allocation among fixed
income alternatives and inflation hedges.
Keep in mind that this
yield is also more than 150 basis points higher than its five - year
average, which leads back to one of the points I made earlier about undervaluation and higher
yield (which then results in more current
income, more aggregate
income, and potentially higher total return over the long run).
Assuming that you could earn the
average historical pre-tax return of 4 % annual interest rate on these $ 36,000 dollars, your taxable savings account would
yield $ 1,440 in additional taxable
income.
Rather than rely on past
averages to forecast future returns, we use a building - block approach that adds current
yield, likely long - term growth in
income, and some mean reversion in valuation multiples to create forward - looking returns.
Yield to Maturity (
Average YTM) The percentage rate of return paid on a bond, note or other fixed
income security if the investor buys and holds it to its maturity date.
GENUINE PARTS CO. $ 89 (New York symbol GPC;
Income Portfolio, Manufacturing & Industry sector; Shares outstanding: 146.7 million; Market cap: $ 13.1 billion; Price - to - sales ratio: 0.8; Dividend
yield: 3.2 %; TSINetwork Rating:
Average; www.genpt.com) sells replacement auto parts through 1,100 outlets under the NAPA banner; and the company's distribution... Read More
GENERAL ELECTRIC CO. $ 14 (New York symbol GE;
Income Portfolio, Manufacturing & Industry sector; Shares outstanding: 8.7 billion; Market cap: $ 121.8 billion; Price - to - sales ratio: 1.0; Dividend
yield: 3.7 %; TSINetwork Rating: Above
Average; www.ge.com) is a leading maker of industrial machinery, including jet engines, power plant equipment and... Read More
For example, some retirees live on their investment
income, and a part of that comes from REITs, which offer above -
average yields.