U S DividendChampions PDF
U S DividendChampions PDF
U S DividendChampions PDF
Averages for All 140 39.4 94.86 2.79 0.5793 2.15 0.5421
Averages by Sector
Communication Services 4 33.5 29.7 5.47 0.4050 1.62 0.3938
Consumer Discretionary 9 44.4 90.7 2.87 0.5828 2.33 0.5464
Consumer Staples 17 48.8 84.1 3.07 0.5821 2.33 0.5528
Energy 4 37.8 55.7 5.46 0.7650 3.06 0.7188
Financials 35 33.8 80.6 2.84 0.5832 1.86 0.5568
Health Care 5 40.2 162.8 1.59 0.6030 2.41 0.5680
Industrials 28 40.3 115.4 2.02 0.6180 2.16 0.5605
Information Technology 4 37.3 104.7 1.56 0.4300 1.72 0.3800
Materials 12 38.8 139.7 2.03 0.5815 2.33 0.5288
Real Estate 7 31.7 94.8 4.91 0.7425 3.24 0.7154
Utilities 15 43.1 71.1 2.65 0.4433 1.77 0.4158
U.S. Dividend Champions Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
ABM Industries Inc. ABM 2/2/20 2.78 2.9 2.9 3.0 3.3 0.918 0.295 38.74 17.24 10 1.91 1.08 0.34
Archer Daniels Midland ADM 3/5/20 2.86 4.5 5.3 7.8 9.6 0.817 n/a 57.37 15.00 6 2.51 n/a 0.33
Automatic Data Proc. ADP 12/31/19 15.19 19.7 14.2 13.4 10.6 1.263 0.875 64.31 27.34 6 5.66 1.84 4.66
AFLAC Inc. AFL 3/2/20 3.70 3.8 9.2 7.9 6.8 1.157 3.415 25.34 9.69 12 4.42 3.55 1.41
Albemarle Corp. ALB 4/1/19 9.70 8.5 6.1 6.2 11.1 0.555 1.288 29.28 16.30 12 5.02 1.47 2.47
A.O. Smith Corp. AOS 11/15/19 9.09 18.4 23.3 24.6 21.5 1.143 1.068 43.24 17.82 12 2.22 2.23 2.18
Air Products & Chem. APD 5/10/20 15.52 7.8 10.5 8.7 9.9 0.882 0.769 62.91 25.78 9 8.52 2.08 5.42
Arrow Financial Corp. AROW 9/14/18 4.00 2.0 3.1 2.7 2.9 0.921 0.272 2019=Year 26 41.60 12.67 12 2.50 1.84 4.32
Artesian Resources ARTNA 11/22/19 1.50 3.0 3.0 3.0 3.1 0.962 0.279 61.63 21.19 12 1.62 5.30 3.88
Atmos Energy ATO 12/8/19 9.52 8.6 7.9 7.5 5.0 1.505 0.933 51.57 23.15 9 4.46 3.26 4.37
AptarGroup Inc. ATR 5/22/19 5.88 7.6 5.2 5.4 9.0 0.604 1.873 40.56 28.47 12 3.55 4.41 2.31
American States Water AWR 9/3/19 10.91 9.4 8.3 6.9 8.7 0.798 5.326 55.71 34.97 12 2.19 5.82 5.98
BancFirst Corp. OK BANF 10/15/19 6.67 31.2 18.7 14.0 10.6 1.315 0.840 31.60 12.67 12 4.05 1.81 5.21
Becton Dickinson & Co. BDX 9/29/19 2.60 2.6 4.6 6.8 8.9 0.759 n/a FY Streak 131.67 99.09 9 2.40 12.57 3.72
Franklin Resources BEN 1/9/20 3.85 13.0 13.0 16.7 14.0 1.193 n/a 43.03 8.67 9 2.51 n/a 1.91
Brown-Forman Class B BF-B 1/1/20 5.00 5.1 6.9 7.1 8.0 0.880 1.811 42.00 36.99 4 1.66 5.88 8.65
Black Hills Corp. BKH 12/1/19 5.94 6.2 6.9 5.6 3.7 1.501 2.552 65.05 21.95 12 3.29 3.76 2.56
Badger Meter Inc. BMI 9/13/19 13.33 14.3 14.2 11.6 10.8 1.075 5.265 41.98 37.17 12 1.62 2.50 4.19
Brady Corp. BRC 10/31/19 2.35 2.5 1.7 1.7 2.2 0.769 0.048 33.98 18.49 7 2.56 1.61 2.12
Brown & Brown Inc. BRO 11/20/19 6.25 6.6 9.0 9.7 7.9 1.215 0.928 24.46 30.94 12 1.39 3.26 5.23
Caterpillar Inc. CAT 8/20/19 19.77 15.2 7.1 7.8 8.4 0.920 0.358 39.62 11.95 12 10.40 3.64 1.30
Chubb Limited CB 7/12/19 2.74 2.8 2.9 2.9 9.9 0.297 n/a Switz.,US$ 30.90 14.94 12 9.71 3.78 1.93
Commerce Bancshares CBSH 3/23/20 3.85 16.2 10.2 8.1 6.4 1.270 0.662 Adj/Stk Div 30.25 17.10 12 3.57 2.14 7.51
Community Bank System CBU 10/10/19 7.89 10.7 7.4 6.3 5.8 1.088 0.581 50.46 18.71 12 3.25 2.34 8.55
Cullen/Frost Bankers CFR 6/14/19 5.97 8.5 9.2 6.6 5.1 1.314 0.678 41.70 11.51 12 6.81 1.15 4.40
Cincinnati Financial CINF 4/15/20 7.14 5.7 5.2 4.9 3.5 1.395 n/a 19.83 7.71 12 12.10 12.39 1.94
Colgate-Palmolive Co. CL 5/15/19 2.38 3.0 3.3 3.8 7.1 0.532 1.052 62.55 24.57 12 2.75 5.08 3.70
Clorox Company CLX 8/16/19 10.42 8.6 8.8 6.9 7.7 0.888 0.914 66.67 25.07 6 6.36 7.97 3.24
Canadian National Railway CNI 3/30/20 7.41 16.4 12.5 12.3 13.8 0.896 1.418 @,Canada 39.55 19.30 12 4.40 2.72 5.39
Chesapeake Financial Shares CPKF 12/12/19 3.45 6.4 6.1 5.4 7.2 0.747 n/a Adj/Stk Div n/a n/a 12 n/a n/a n/a
Carlisle Companies CSL 9/3/19 25.00 16.9 11.5 13.9 11.1 1.254 0.841 24.24 17.61 12 8.25 1.17 1.69
Computer Services Inc. CSVI 9/25/19 16.67 16.4 13.7 15.5 15.8 0.979 n/a Adj Split 48.28 29.89 2 1.74 n/a 5.17
Cintas Corp. CTAS 12/6/19 24.39 24.4 24.2 24.6 18.4 1.334 1.159 30.00 31.38 5 8.50 2.68 3.94
Community Trust Banc. CTBI 10/1/19 5.56 9.6 5.8 4.8 3.1 1.538 0.953 41.76 10.63 12 3.64 2.13 3.73
Chevron Corp. CVX 3/10/20 8.40 6.2 3.5 2.5 6.0 0.415 n/a 300.00 54.27 12 1.72 10.78 1.27
California Water Service CWT 2/20/20 7.59 5.1 4.6 4.0 3.0 1.343 0.233 35.71 20.15 12 2.38 2.06 3.24
Donaldson Company DCI 6/28/19 10.53 9.3 5.7 5.2 13.6 0.387 1.166 39.07 20.97 7 2.15 2.63 2.06
Dover Corp. DOV 9/16/19 2.08 2.1 4.1 4.6 8.6 0.535 n/a 42.52 22.29 12 4.61 2.53 2.08
Enterprise Bancorp Inc. EBTC 3/1/20 9.37 10.3 7.2 5.9 5.4 1.107 0.470 24.22 9.51 12 2.89 n/a 2.37
Ecolab Inc. ECL 1/14/20 2.17 12.2 9.5 10.8 12.6 0.858 1.032 35.34 33.92 12 5.32 2.78 3.49
Consolidated Edison ED 3/15/20 3.38 3.5 3.4 3.3 2.3 1.428 1.722 72.17 18.59 12 4.24 7.71 2.19
Eagle Financial Services EFSI 11/15/19 4.00 6.4 6.8 5.4 3.9 1.365 n/a n/a n/a 12 n/a n/a n/a
Emerson Electric EMR 12/9/19 2.04 1.3 1.1 2.3 4.0 0.564 0.651 56.98 18.26 9 3.51 2.82 2.13
U.S. Dividend Champions Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
ABMIndemnity
Erie IndustriesCompany
Inc. ABM
ERIE 1/21/20 7.22 7.1 7.2 7.2 7.2 1.007 0.587 70.57 26.13 12 5.47 2.61 2.71
Essex Property Trust ESS 4/15/20 6.54 5.2 7.3 9.0 6.5 1.380 0.339 124.77 42.55 12 6.66 5.38 12.71
Eaton Vance Corp. EV 11/15/19 7.14 11.3 9.9 9.4 8.6 1.092 1.251 42.86 11.79 10 3.50 3.74 2.86
Expeditors International EXPD 6/17/19 11.11 11.1 7.7 9.3 10.2 0.919 0.573 29.50 20.77 12 3.39 3.72 1.47
Franklin Electric Co. FELE 2/20/20 6.90 24.1 13.4 10.8 8.8 1.229 1.829 30.54 25.46 12 2.03 1.90 1.83
Farmers & Merchants Bancorp FMCB 1/1/20 1.42 2.2 2.9 2.4 2.7 0.903 n/a n/a n/a 12 n/a n/a n/a
Federal Realty Inv. Trust FRT 10/15/19 2.94 2.2 2.6 5.1 4.6 1.091 0.352 91.30 25.29 12 4.60 3.77 9.36
H.B. Fuller Company FUL 5/2/19 3.23 3.3 4.9 6.7 8.9 0.746 0.317 25.40 15.57 11 2.52 1.43 0.70
General Dynamics GD 5/10/19 9.68 9.9 10.3 10.5 10.4 1.016 1.182 34.06 13.33 12 11.98 1.83 1.17
Genuine Parts Co. GPC 4/1/20 3.61 6.1 5.1 5.5 6.6 0.837 1.198 74.53 20.58 12 4.24 5.28 0.68
Gorman-Rupp Company GRC 12/10/19 7.41 7.8 8.6 8.3 7.8 1.056 1.473 42.34 23.35 12 1.37 1.55 2.09
W.W. Grainger Inc. GWW 6/1/19 5.88 6.0 5.6 6.4 12.3 0.518 1.012 42.83 20.63 12 13.45 1.99 1.33
Helmerich & Payne Inc. HP 8/31/18 1.43 0.7 0.8 1.6 30.4 0.052 n/a 2019=Year 47 n/a n/a 9 -0.12 n/a 1.52
Hormel Foods Corp. HRL 11/14/19 10.71 12.0 13.1 16.0 16.0 0.998 1.600 51.67 23.11 10 1.80 5.08 2.38
Illinois Tool Works ITW 10/9/19 7.00 21.9 21.0 18.5 12.6 1.462 1.741 55.23 21.65 12 7.75 4.55 3.80
Jack Henry & Associates JKHY 3/19/20 7.50 8.1 12.6 12.7 16.8 0.758 1.270 FY Streak 47.12 41.57 6 3.65 3.46 7.28
Johnson & Johnson JNJ 6/11/19 5.56 5.9 6.0 6.3 6.9 0.921 n/a 67.50 23.89 12 5.63 4.21 4.27
John Wiley & Sons Inc. JW-A 7/24/19 3.03 3.1 3.2 4.4 9.5 0.463 2.939 Also Class B 53.13 14.53 4 2.56 0.97 1.16
Kimberly-Clark Corp. KMB 4/1/20 3.88 3.0 4.0 4.7 6.0 0.776 0.476 68.59 21.02 12 6.24 3.64 2.44
Coca-Cola Company KO 4/1/20 2.50 2.6 4.6 5.6 6.9 0.806 n/a 79.23 25.84 12 2.07 3.03 6.14
Lancaster Colony Corp. LANC 12/30/19 7.69 8.2 8.9 8.3 8.7 0.957 1.023 52.24 26.95 6 5.36 8.98 2.94
Lincoln Electric Holdings LECO 1/15/20 4.26 20.5 13.7 15.4 13.3 1.156 3.573 41.88 17.50 12 4.68 2.52 1.70
Leggett & Platt Inc. LEG 7/15/19 5.26 5.4 5.7 5.2 4.4 1.173 0.537 64.78 16.06 12 2.47 3.09 1.11
Linde Plc LIN 3/20/20 10.06 6.1 5.3 6.1 8.1 0.752 0.371 42.14 20.90 12 9.14 1.79 3.83
Lowe's Companies LOW 8/7/19 14.58 15.7 17.8 20.2 19.4 1.043 3.429 58.20 28.19 1 3.78 1.83 1.15
Matthews International MATW 12/8/19 5.00 5.2 9.3 12.0 11.8 1.014 n/a n/a n/a 9 -1.66 n/a 0.61
McDonald's Corp. MCD 12/16/19 7.76 12.9 9.4 7.6 8.7 0.871 1.151 62.97 24.45 12 7.94 3.24 6.97
Mercury General Corp. MCY 12/26/19 0.40 0.4 0.4 0.4 0.8 0.532 0.033 43.60 7.49 12 5.78 0.20 0.61
Meredith Corp. MDP 3/13/20 3.48 5.5 5.1 5.9 9.8 0.596 n/a 528.89 58.56 6 0.45 2.28 0.41
Medtronic plc MDT 7/25/19 8.00 8.3 8.7 12.2 10.2 1.192 4.878 ADR-Ireland,US$ 55.24 25.75 4 3.91 3.36 4.37
MDU Resources MDU 12/31/19 2.47 3.2 2.8 2.8 2.8 1.009 0.325 49.40 16.51 12 1.68 2.01 1.05
MGE Energy Inc. MGEE 9/15/19 4.44 4.5 4.6 4.5 3.6 1.261 1.866 56.40 28.54 12 2.50 7.14 4.39
McGrath Rentcorp MGRC 4/30/20 12.00 14.5 13.0 8.5 5.5 1.551 0.602 43.64 18.04 12 3.85 1.80 3.08
McCormick & Co. MKC 10/20/19 8.77 9.6 9.9 9.0 9.0 0.999 0.960 Also MKCV 47.42 27.95 11 5.23 5.59 3.67
3M Company MMM 3/12/20 2.08 5.9 9.1 11.0 10.9 1.005 12.210 75.19 19.08 12 7.82 4.32 2.70
Altria Group Inc. MO 10/10/19 5.00 14.7 12.5 10.8 9.7 1.119 1.004 n/a n/a 12 -0.75 n/a 2.98
MSA Safety Inc. MSA 6/10/19 10.53 10.1 7.8 5.9 5.5 1.077 0.673 48.28 34.96 12 3.48 1.94 3.37
Middlesex Water Co. MSEX 12/2/19 6.77 7.1 6.5 5.1 3.2 1.583 0.364 52.03 30.19 12 1.97 11.20 7.56
NACCO Industries NC 6/14/19 15.15 11.4 29.8 17.9 13.5 1.330 n/a 2018 = Year 33 12.03 6.52 12 6.32 n/a 1.87
Nordson Corp. NDSN 9/10/19 8.57 14.4 11.9 13.5 14.5 0.928 1.514 25.98 24.84 10 5.85 1.91 3.87
NextEra Energy Inc. NEE 3/16/20 12.00 12.6 12.8 11.5 10.2 1.127 1.599 70.53 31.83 12 7.94 4.19 6.43
National Fuel Gas NFG 7/15/19 2.35 2.4 2.4 2.5 2.7 0.933 n/a 52.41 11.03 9 3.32 1.30 1.93
Northeast Indiana Bancorp NIDB 11/21/19 8.00 5.2 6.3 5.4 4.4 1.230 n/a n/a n/a 12 n/a n/a n/a
U.S. Dividend Champions Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
ABM Industries
National Inc.
Retail Properties ABM
NNN 8/15/19 3.00 4.1 4.5 4.2 3.1 1.378 0.661 132.05 32.60 12 1.56 3.25 13.01
Nucor Corp. NUE 2/10/20 0.63 5.3 2.2 1.6 1.3 1.235 0.042 24.36 6.26 12 6.61 1.04 0.52
Northwest Natural Gas NWN 11/15/19 0.53 0.5 0.5 0.6 1.7 0.352 0.770 85.65 29.49 12 2.23 7.86 2.75
Realty Income Corp. O 2/13/20 2.20 3.0 4.3 4.3 4.7 0.928 0.368 202.17 52.46 12 1.38 9.63 16.09
Old Republic International ORI 3/15/19 2.56 2.6 2.2 1.8 1.6 1.128 n/a 22.79 5.62 12 3.51 0.56 0.90
People's United Financial PBCT 5/15/19 1.43 1.4 1.5 1.5 1.5 0.962 0.131 55.91 11.02 12 1.27 0.80 3.31
PepsiCo Inc. PEP 6/28/19 2.96 8.7 9.0 9.0 8.0 1.133 2.254 73.60 25.44 12 5.19 4.02 2.74
Procter & Gamble Co. PG 5/15/19 4.00 4.0 3.4 3.1 5.6 0.564 n/a 164.84 62.56 6 1.81 7.11 4.01
Parker-Hannifin Corp. PH 6/7/19 15.79 15.6 10.5 10.4 13.0 0.801 0.949 FY Streak 33.52 17.60 6 10.50 2.83 1.67
Polaris Industries PII 3/16/20 1.64 1.7 3.5 4.9 12.1 0.406 n/a 47.69 15.87 12 5.20 1.06 0.77
Pentair Ltd. PNR 2/6/20 5.56 (7.3) (5.9) 0.6 4.6 0.123 n/a 35.68 18.49 12 2.13 3.62 2.24
PPG Industries Inc. PPG 9/12/19 6.25 6.5 8.3 8.6 6.4 1.346 1.267 39.08 20.01 12 5.22 2.38 1.64
PSB Holdings Inc. PSBQ 7/31/19 11.11 12.9 10.7 7.6 6.2 1.231 n/a Adj Split n/a n/a 12 n/a n/a n/a
RLI Corp. RLI 6/20/19 4.55 4.6 4.8 5.1 5.6 0.916 n/a 21.70 18.96 12 4.24 1.93 3.64
Roper Technologies Inc. ROP 1/22/20 10.81 12.1 15.5 18.3 18.8 0.970 1.706 12.16 20.86 12 16.86 3.79 6.76
Ross Stores Inc. ROST 3/29/19 13.33 13.3 23.6 20.6 24.9 0.825 1.211 22.57 24.07 1 4.52 2.63 2.51
RPM International Inc. RPM 10/31/19 2.86 7.6 7.8 7.5 5.8 1.309 n/a 58.78 26.17 5 2.45 1.69 1.49
Southside Bancshares SBSI 6/6/19 3.33 2.5 10.4 10.1 12.6 0.803 6.719 73.37 19.07 12 1.69 9.54 6.11
Stepan Company SCL 12/13/19 10.00 10.8 9.3 8.2 8.6 0.960 1.248 22.49 17.96 12 4.89 4.08 1.07
SEI Investments Company SEIC 1/7/20 6.06 10.0 8.3 8.4 15.2 0.555 0.612 21.60 16.89 12 3.24 1.41 5.05
Sherwin-Williams Co. SHW 3/13/20 18.58 31.4 10.4 15.5 12.3 1.262 1.666 38.81 37.42 12 13.81 3.28 2.71
SJW Corp. SJW 3/2/20 6.67 7.1 14.0 9.9 6.2 1.600 0.976 92.09 44.01 12 1.39 3.14 4.41
Tanger Factory Outlet Centers SKT 5/14/20 0.70 1.6 3.9 8.4 6.4 1.322 2.156 153.76 12.88 12 0.93 1.93 2.30
Sonoco Products Co. SON 6/10/19 4.88 4.9 5.2 6.0 4.6 1.294 0.660 59.72 16.74 12 2.88 3.66 0.90
S&P Global Inc. SPGI 3/10/20 17.54 14.0 16.6 13.7 9.7 1.406 0.235 31.16 30.92 12 8.60 3.22 10.01
1st Source Corp. SRCE 11/15/19 7.41 14.6 15.2 11.3 7.4 1.511 1.072 32.49 11.78 12 3.57 1.18 3.83
Stanley Black & Decker SWK 9/17/19 4.55 4.7 6.1 5.8 7.6 0.760 0.571 43.46 22.63 12 6.35 2.68 1.55
Stryker Corp. SYK 1/30/20 10.58 10.6 11.0 11.3 15.3 0.735 0.348 41.97 34.78 12 5.48 3.40 4.80
Sysco Corp. SYY 1/23/20 15.38 8.3 8.0 6.1 5.0 1.227 0.396 51.43 19.04 6 3.50 2.57 0.56
AT&T Inc. T 2/2/20 1.96 2.0 2.0 2.1 2.2 0.945 0.234 110.05 18.63 12 1.89 3.68 1.42
Telephone & Data Sys. TDS 3/29/19 3.13 3.1 3.7 4.2 4.4 0.971 n/a 69.47 21.20 12 0.95 n/a 0.48
Target Corp. TGT 9/10/19 3.13 3.2 3.9 6.5 14.7 0.441 1.222 42.31 16.51 1 6.24 1.58 0.68
First Financial Corp. THFF 7/2/19 1.96 1.0 1.3 1.2 1.4 0.889 0.122 27.44 10.54 12 3.79 n/a 3.67
Tompkins Financial Corp. TMP 11/15/19 4.00 4.1 4.5 4.5 5.0 0.897 0.496 38.66 14.77 12 5.38 1.85 4.55
Tennant Company TNC 12/14/18 4.76 3.5 2.8 2.4 5.2 0.469 n/a 2019=Year 48 38.10 30.97 12 2.31 2.06 1.17
Tootsie Roll Industries TR 3/26/19 3.00 3.0 3.3 6.1 4.5 1.366 60.804 Adj/Stock Div 37.89 33.77 12 0.95 3.74 3.99
Thomson Reuters Corp. TRI 3/18/20 5.56 4.0 1.9 1.8 2.5 0.690 0.132 Canada,US$ 361.90 177.33 12 0.42 3.98 6.42
T. Rowe Price Group TROW 3/30/20 18.42 8.6 12.1 11.6 11.8 0.982 0.831 41.38 13.56 12 8.70 1.56 5.01
Calvin B. Taylor Bankshares Inc. TYCB 1/14/20 24.00 1.0 1.0 1.0 1.1 0.974 n/a Adj. switch to quarterly n/a n/a 12 n/a n/a n/a
Urstadt Biddle Properties UBA 1/16/20 1.82 1.9 1.9 1.7 1.4 1.256 n/a also UBP@90% 196.49 36.16 10 0.57 4.54 5.69
United Bankshares Inc. UBSI 1/1/20 2.94 0.0 1.0 1.2 1.6 0.761 0.158 Rec Date Streak 54.90 11.33 12 2.55 1.41 3.93
UGI Corp. UGI 10/1/19 8.33 12.3 7.2 7.3 8.1 0.891 n/a 61.61 17.08 9 2.11 1.50 1.05
Universal Health Realty Trust UHT 12/30/19 0.74 1.5 1.4 1.5 1.3 1.145 0.137 214.06 84.16 12 1.28 n/a 19.24
U.S. Dividend Champions Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYrEPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
ABM Industries
UMB Inc.
Financial Corp. ABM
UMBF 1/2/20 3.33 4.8 7.0 5.9 5.5 1.069 1.742 25.00 11.72 12 4.96 1.14 3.32
United Technologies UTX 12/10/18 5.00 3.7 3.9 4.5 6.7 0.673 n/a 2019=Year 26 45.87 20.37 12 6.41 2.44 1.45
Universal Corp. UVV 8/5/19 1.33 16.2 12.5 8.2 5.1 1.607 n/a 87.61 14.22 3 3.47 n/a 0.61
VF Corp. VFC 12/20/19 11.63 6.8 9.7 12.8 13.0 0.978 9.113 Adj. Spinoff 57.49 21.56 12 3.34 2.15 2.33
Westamerica Bancorp WABC 5/17/19 2.50 1.9 1.5 1.4 1.5 0.964 1.005 2018 = Year 27 55.03 19.40 12 2.98 6.47 9.96
Walgreens Boots Alliance Inc. WBA 9/12/19 3.98 6.8 6.9 6.6 13.6 0.483 0.454 44.96 11.24 8 4.07 5.11 0.30
Weyco Group Inc. WEYS 6/28/19 4.35 4.4 4.2 4.6 4.9 0.934 9.239 52.46 11.99 12 1.83 n/a 0.71
Wal-Mart Inc. WMT 4/6/20 1.89 1.9 2.0 2.0 7.2 0.280 n/a 41.62 20.75 1 5.19 3.49 0.58
West Pharmaceutical Services WST 11/6/19 6.67 7.0 7.6 8.3 7.2 1.152 0.719 19.94 46.90 12 3.21 5.28 6.11
Essential Utilities Inc. WTRG 9/1/19 6.99 6.9 7.1 7.4 7.5 0.989 n/a 133.89 61.44 12 0.70 9.56 10.77
ExxonMobil Corp. XOM 6/10/19 6.10 6.2 4.8 4.9 7.5 0.651 n/a 103.57 15.31 12 3.36 2.71 0.85
Averages for All 140 6.72 7.8 7.5 7.5 8.0 0.976 2.004 63.27 24.88 4.18 3.54 3.56
Averages by Sector
Communication Services 4 2.90 3.43 3.51 4.15 6.48 0.744 1.587 190.39 28.23 1.46 2.31 0.87
Consumer Discretionary 9 7.25 7.73 9.22 9.77 12.09 0.834 3.387 53.67 19.92 4.40 2.61 1.88
Consumer Staples 17 5.40 7.07 7.18 7.12 8.10 0.908 6.062 64.35 25.85 3.38 5.09 2.90
Energy 4 7.77 6.13 9.73 6.72 14.34 0.612 #DIV/0! 138.53 25.37 2.82 6.75 1.38
Financials 35 6.15 7.07 6.86 6.12 5.90 1.041 0.997 49.16 20.11 4.36 2.92 4.29
Health Care 5 6.68 6.91 7.57 8.96 9.70 0.952 1.982 63.26 46.08 4.13 5.76 4.65
Industrials 28 8.65 10.47 9.23 9.71 10.16 0.909 1.592 39.49 20.96 5.61 2.54 2.32
Information Technology 4 13.17 14.63 13.69 13.29 13.48 1.019 2.470 50.42 33.99 3.17 2.60 5.33
Materials 12 7.48 9.32 7.06 7.62 8.22 0.984 0.957 39.91 22.12 5.83 2.51 2.21
Real Estate 7 2.56 2.79 3.70 4.90 3.99 1.214 0.669 159.23 40.87 2.43 4.75 11.20
Utilities 15 5.96 6.16 6.14 5.45 4.78 1.152 1.412 66.39 27.34 2.80 5.05 4.17
U.S. Dividend Champions
Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
ABM Industries Inc. ABM 1.43 8.50 78.80 12.26 10.30 16.00 2,230 0.9 0.52 (12.0) 5.3 4.7 0.79 0.87
Archer Daniels Midland ADM 1.10 7.30 -19.90 9.50 -6.00 -8.80 21,160 0.4 0.46 (3.3) 11.7 (14.4) 1.41 1.55
Automatic Data Proc. ADP 12.45 46.10 12.30 11.37 15.30 14.85 67,630 0.1 0.37 (11.6) 15.7 288.9 3.48 3.82
AFLAC Inc. AFL 1.08 11.60 13.30 4.62 2.30 2.73 31,430 0.2 0.21 0.8 10.5 (31.8) 1.19 1.24
Albemarle Corp. ALB 2.26 14.70 45.40 14.92 4.80 11.10 8,860 0.4 0.50 (8.3) 8.0 28.0 1.58 1.74
A.O. Smith Corp. AOS 3.92 24.70 19.10 9.00 23.00 8.00 6,510 0.4 0.19 9.2 27.0 76.2 0.99 1.08
Air Products & Chem. APD 4.20 16.70 2.90 11.67 11.30 12.38 48,540 0.3 0.29 (14.6) 11.1 119.4 4.71 5.18
Arrow Financial Corp. AROW 1.62 12.70 27.80 7.81 9.90 6.90 475 3.1 0.34 (6.7) 6.0 (4.5) 1.14 1.23
Artesian Resources ARTNA 2.03 9.50 11.50 n/a 10.80 4.00 318 0.2 0.94 (15.3) 5.9 38.3 1.08 1.11
Atmos Energy ATO 2.04 n/a 8.80 7.11 8.00 7.10 12,680 1.1 0.71 (13.5) 9.7 44.9 2.34 2.51
AptarGroup Inc. ATR 4.16 14.40 -23.10 11.05 2.90 6.45 6,630 0.3 0.76 (21.6) 6.9 129.4 1.43 1.58
American States Water AWR 4.73 14.10 -8.00 7.04 1.30 6.00 2,820 0.9 0.80 (26.5) 8.5 171.1 1.17 1.25
BancFirst Corp. OK BANF 1.71 14.00 35.10 2.14 16.60 7.00 1,690 49.8 0.03 3.8 16.4 (1.9) 1.34 1.37
Becton Dickinson & Co. BDX 3.04 3.60 24.40 11.07 -8.90 7.90 64,470 0.2 0.92 (91.0) 8.1 265.9 3.41 3.75
Franklin Resources BEN 1.07 12.60 -26.30 -2.25 -9.10 -8.62 11,010 40.4 0.08 13.0 21.7 (35.8) 1.05 1.06
Brown-Forman Class B BF-B 15.09 50.60 -5.40 5.85 3.90 6.27 29,430 0.3 1.26 (28.8) 8.2 398.1 0.67 0.71
Black Hills Corp. BKH 1.87 8.60 -31.40 6.25 2.20 5.84 4,440 0.7 1.48 (13.4) 8.6 35.1 2.07 2.20
Badger Meter Inc. BMI 5.40 11.60 -21.60 8.33 2.20 14.90 1,780 0.3 0.01 (24.5) 12.7 198.7 0.65 0.70
Brady Corp. BRC 2.80 16.40 15.50 4.86 35.60 11.50 2,440 1.8 0.00 (14.9) 3.6 51.7 0.94 0.99
Brown & Brown Inc. BRO 3.54 12.10 26.60 9.57 10.40 9.50 12,160 2.9 0.47 (20.5) 10.4 120.6 0.36 0.39
Caterpillar Inc. CAT 4.69 40.70 3.40 11.83 21.70 3.28 69,750 0.2 2.58 (0.9) 11.1 57.8 3.91 4.30
Chubb Limited CB 1.21 7.20 16.50 6.44 -5.00 3.96 65,990 0.4 0.25 (9.9) 5.0 (10.4) 3.26 3.47
Commerce Bancshares CBSH 2.33 14.20 40.20 1.55 12.20 8.00 6,930 2.5 0.09 (7.2) 9.8 33.1 1.14 1.16
Community Bank System CBU 1.71 9.50 43.20 3.76 10.90 8.00 3,180 0.8 0.05 (9.7) 9.0 19.2 1.71 1.77
Cullen/Frost Bankers CFR 1.30 11.90 -0.70 2.38 9.80 10.02 4,990 0.7 0.06 (1.2) 10.3 (18.4) 2.83 2.90
Cincinnati Financial CINF 1.62 14.00 -47.30 3.04 -10.90 0.62 15,340 1.7 0.09 (0.2) 7.5 (25.5) 2.23 2.30
Colgate-Palmolive Co. CL n/a -686.80 9.70 6.29 3.60 4.84 58,020 0.2 n/a (18.2) 6.3 n/a 1.88 1.99
Clorox Company CLX 36.07 133.50 12.00 4.69 7.50 3.14 19,890 0.2 5.06 (15.6) 9.5 533.9 4.44 4.65
Canadian National Railway CNI 4.46 23.40 -0.60 12.06 8.70 7.10 60,600 0.2 0.76 (4.9) 14.4 95.6 1.63 1.80
Chesapeake Financial Shares CPKF n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 7.5 n/a 0.50 0.52
Carlisle Companies CSL 3.11 18.10 41.20 12.81 16.50 15.00 8,120 0.8 0.60 (2.4) 15.3 56.0 1.98 2.18
Computer Services Inc. CSVI 6.20 22.01 n/a n/a n/a n/a 1440 n/a 0.04 (12.8) 17.1 187.0 0.80 0.83
Cintas Corp. CTAS 8.93 29.80 43.60 9.74 21.20 11.70 28,090 0.4 0.88 (5.9) 25.5 252.9 2.81 3.08
Community Trust Banc. CTBI 1.13 11.10 21.40 1.52 5.00 5.00 690.82 1.5 0.10 (1.9) 8.7 (26.9) 1.63 1.65
Chevron Corp. CVX 1.13 9.50 104.50 5.38 -7.00 5.05 177,790 0.1 0.21 (46.3) 8.0 65.1 5.24 5.52
California Water Service CWT 3.05 9.90 -40.30 14.02 17.10 9.80 2,310 0.7 1.28 (14.4) 5.8 65.3 0.80 0.88
Donaldson Company DCI 6.28 28.70 9.70 10.83 4.50 8.00 5,790 0.4 0.78 (13.9) 7.1 141.9 0.90 0.99
Dover Corp. DOV 4.91 22.90 19.50 6.80 0.00 8.80 14,870 0.4 1.02 (15.8) 6.5 120.5 2.13 2.28
Enterprise Bancorp Inc. EBTC 1.12 11.30 18.40 n/a 12.60 n/a 324 11.1 0.05 (1.0) 8.5 (31.2) 0.70 0.73
Ecolab Inc. ECL 6.07 18.10 14.10 9.88 10.50 12.23 51,990 0.4 0.79 (22.0) 11.9 202.5 2.02 2.22
Consolidated Edison ED 1.45 7.60 -10.40 4.25 1.90 2.41 27,480 0.2 1.20 (11.4) 7.2 9.5 2.99 3.12
Eagle Financial Services EFSI n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 8.6 n/a 1.03 1.06
Emerson Electric EMR 4.65 25.50 17.20 10.99 3.50 6.48 39,190 0.5 0.71 (12.9) 5.4 94.3 2.17 2.38
U.S. Dividend Champions
Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
ABMIndemnity
Erie IndustriesCompany
Inc. ABM
ERIE 6.68 30.70 39.20 2.96 12.30 10.00 6,670 0.8 0.09 (16.2) 9.9 178.5 3.96 4.08
Essex Property Trust ESS 3.01 7.10 12.80 10.59 26.40 7.90 18,560 0.1 0.93 (30.7) 11.9 138.6 8.48 9.33
Eaton Vance Corp. EV 3.79 35.80 5.80 7.12 7.50 3.16 4,810 3.6 0.00 1.2 13.0 40.9 1.51 1.61
Expeditors International EXPD 5.44 30.30 44.60 9.77 16.30 5.58 12,000 0.1 0.00 (10.0) 10.8 124.1 1.10 1.21
Franklin Electric Co. FELE 3.09 12.70 19.90 13.84 5.90 13.40 2,410 1.1 0.22 (13.5) 12.0 87.0 0.64 0.70
Farmers & Merchants Bancorp FMCB n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 4.3 n/a 14.63 15.06
Federal Realty Inv. Trust FRT 3.69 15.10 53.00 10.59 14.40 6.70 8,760 0.7 1.44 (16.6) 8.7 103.7 4.52 4.97
H.B. Fuller Company FUL 1.64 11.10 -38.70 14.52 21.00 10.90 2,040 0.8 1.62 (7.3) 8.3 6.5 0.64 0.71
General Dynamics GD 3.40 26.70 6.70 8.33 8.90 7.28 45,840 0.5 0.90 (0.3) 13.1 41.9 4.26 4.61
Genuine Parts Co. GPC 3.49 22.10 21.80 5.51 4.60 3.90 13,130 0.5 0.94 (11.4) 9.1 78.6 3.31 3.49
Gorman-Rupp Company GRC 2.70 12.60 46.20 9.72 5.60 15.00 830.46 0.1 0.00 (13.3) 10.1 67.4 0.61 0.66
W.W. Grainger Inc. GWW 8.07 44.40 12.10 8.65 6.30 10.35 15,240 1.7 1.19 (12.2) 8.5 172.0 6.25 6.79
Helmerich & Payne Inc. HP 1.01 -0.60 -165.60 36.96 -15.40 44.72 4,070 1.3 0.12 n/a 9.3 n/a 2.87 3.16
Hormel Foods Corp. HRL 3.75 16.80 4.00 5.27 10.00 4.55 22,620 48.2 0.00 (4.9) 18.2 96.3 0.87 0.92
Illinois Tool Works ITW 17.81 82.10 1.80 6.92 10.60 4.76 53,620 0.2 2.56 (0.6) 21.0 314.0 4.14 4.43
Jack Henry & Associates JKHY 7.85 19.40 5.60 13.54 10.00 12.00 11,880 0.8 0.00 (27.7) 13.8 280.8 1.69 1.86
Johnson & Johnson JNJ 5.95 25.50 0.50 7.17 -0.20 5.68 350,630 0.1 0.47 (14.7) 9.1 151.3 3.77 4.04
John Wiley & Sons Inc. JW-A 1.78 12.50 0.70 12.64 1.50 15.00 2,130 0.5 0.67 (6.5) 8.1 7.2 1.35 1.48
Kimberly-Clark Corp. KMB n/a n/a 42.90 5.69 9.80 5.77 45,100 0.4 n/a (13.1) 7.9 n/a 4.50 4.75
Coca-Cola Company KO 12.24 37.60 36.30 8.37 -4.70 8.54 228,940 0.8 2.27 (17.2) 8.6 274.9 1.76 1.91
Lancaster Colony Corp. LANC 5.13 19.90 19.40 3.50 8.10 3.00 3,930 2.2 0.00 (16.7) 10.2 147.9 2.92 3.02
Lincoln Electric Holdings LECO 6.19 36.90 5.70 14.34 4.30 6.95 5,100 1.4 0.89 0.3 17.8 119.4 1.99 2.19
Leggett & Platt Inc. LEG 4.08 26.70 9.60 10.82 9.70 5.20 5,280 1.0 1.61 (6.8) 9.2 70.6 1.71 1.88
Linde Plc LIN 2.11 9.40 122.10 11.20 16.50 11.70 103,250 0.1 0.27 (12.8) 8.1 40.0 3.85 4.24
Lowe's Companies LOW 33.30 98.10 -30.90 16.88 5.90 15.35 82,500 0.2 7.26 (5.9) 22.3 546.0 2.08 2.29
Matthews International MATW 1.29 -6.60 -135.60 9.02 -22.90 -10.00 925 2.4 1.35 n/a 14.8 n/a 0.82 0.89
McDonald's Corp. MCD n/a -83.60 5.70 8.18 6.60 7.54 146,910 0.1 n/a (14.3) 10.2 n/a 5.00 5.41
Mercury General Corp. MCY 1.33 18.10 23.80 12.43 12.30 37.90 2,430 50.7 0.21 (1.3) 6.2 (33.4) 2.76 3.04
Meredith Corp. MDP 1.29 -2.40 196.80 11.89 -14.80 25.70 1,260 0.6 3.13 (43.7) 14.9 83.2 2.53 2.78
Medtronic plc MDT 2.67 8.80 -13.10 7.18 2.50 7.67 135,670 0.1 0.51 (11.4) 14.3 74.8 2.10 2.25
MDU Resources MDU 1.98 10.90 7.40 5.63 8.60 8.20 5,620 0.5 0.85 (10.7) 5.8 20.5 0.88 0.92
MGE Energy Inc. MGEE 2.91 10.40 11.00 n/a 2.40 4.00 2,490 0.2 0.67 (22.1) 6.5 92.1 1.52 1.56
McGrath Rentcorp MGRC 2.73 16.00 52.70 5.52 14.10 10.00 1,710 0.3 0.49 (7.1) 10.9 47.9 1.61 1.70
McCormick & Co. MKC 5.64 20.60 10.20 7.17 9.40 5.00 19,620 0.1 1.26 (17.2) 10.7 164.7 2.51 2.69
3M Company MMM 8.55 45.10 -14.90 6.42 0.90 4.42 86,800 0.1 2.03 (4.2) 14.9 169.3 5.82 6.19
Altria Group Inc. MO 7.15 46.80 6.20 5.74 10.80 4.87 74,870 0.1 2.65 n/a 19.2 n/a 3.48 3.68
MSA Safety Inc. MSA 6.53 19.80 11.00 9.57 8.80 18.00 4,730 0.3 0.48 (27.7) 7.3 218.5 1.80 1.98
Middlesex Water Co. MSEX 3.58 12.50 45.80 2.54 13.90 2.70 1020 0.1 1.07 (23.4) 6.8 119.2 1.07 1.10
NACCO Industries NC 1.02 16.50 35.60 n/a -1.80 n/a 286 2.8 0.03 13.2 19.8 (45.6) 0.81 0.83
Nordson Corp. NDSN 5.28 21.40 -2.70 13.83 8.90 13.00 8,480 1.2 0.80 (10.3) 14.5 141.4 1.44 1.59
NextEra Energy Inc. NEE 3.34 10.60 -38.90 8.58 7.20 7.60 123,570 0.2 1.15 (18.1) 13.7 117.4 5.05 5.48
National Fuel Gas NFG 1.45 13.50 5.20 -8.00 -0.10 8.50 3,190 1.4 1.04 (3.8) 7.3 (15.7) 1.81 1.83
Northeast Indiana Bancorp NIDB n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 8.0 n/a 1.05 1.08
U.S. Dividend Champions
Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
ABM Industries
National Inc.
Retail Properties ABM
NNN 2.18 6.80 -5.30 5.88 6.40 10.00 8,730 0.8 0.75 (24.3) 8.3 77.7 2.05 2.17
Nucor Corp. NUE 1.21 19.90 109.60 -2.00 37.30 6.02 12,600 0.3 0.43 (0.8) 5.5 (42.0) 1.76 1.78
Northwest Natural Gas NWN 2.37 7.40 -2.70 5.80 0.80 3.75 1,990 0.3 1.14 (26.0) 3.5 76.3 1.92 2.03
Realty Income Corp. O 2.49 4.60 13.90 8.89 11.80 5.45 24,000 0.1 0.76 (44.3) 8.2 140.9 2.98 3.25
Old Republic International ORI 1.02 13.30 -40.90 4.64 -4.80 10.00 5,980 0.2 0.17 0.3 5.9 (49.5) 0.81 0.85
People's United Financial PBCT 0.80 7.30 33.10 2.49 11.30 13.73 6,230 0.2 0.13 (4.5) 6.6 (37.4) 0.78 0.80
PepsiCo Inc. PEP 12.44 51.30 -40.70 7.66 4.00 6.32 183,920 0.2 2.17 (13.5) 11.9 275.0 3.80 4.09
Procter & Gamble Co. PG 6.31 9.60 -60.60 6.37 -15.80 8.80 279,350 0.1 0.63 (56.8) 5.8 318.9 2.98 3.17
Parker-Hannifin Corp. PH 3.75 22.40 9.10 10.53 11.00 6.23 23,730 0.4 1.54 (5.3) 12.3 71.3 3.71 4.08
Polaris Industries PII 4.58 32.80 -0.80 9.67 -4.80 15.00 5,250 1.3 1.53 (8.0) 7.9 79.7 2.46 2.70
Pentair Ltd. PNR 3.54 20.00 103.90 8.01 -4.70 5.10 6,620 0.2 0.00 (16.0) 2.5 70.6 0.84 0.90
PPG Industries Inc. PPG 4.68 24.20 -2.20 9.50 6.80 8.42 24,790 0.1 0.96 (9.4) 10.6 104.0 2.00 2.19
PSB Holdings Inc. PSBQ n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 9.1 n/a 0.39 0.40
RLI Corp. RLI 3.60 13.60 -14.90 2.30 -13.80 9.80 3,650 2.8 0.15 (12.7) 6.2 74.2 0.92 0.94
Roper Technologies Inc. ROP 4.27 13.70 22.00 4.43 10.70 5.50 36,290 0.6 0.72 (2.0) 18.8 99.0 2.04 2.13
Ross Stores Inc. ROST 11.85 50.10 27.60 9.59 17.00 9.16 39,530 0.2 0.10 (2.5) 21.5 256.0 1.12 1.23
RPM International Inc. RPM 5.88 23.50 -23.70 21.74 -2.20 15.53 8,380 0.9 1.80 (16.4) 9.8 161.5 1.42 1.57
Southside Bancshares SBSI 1.34 9.70 10.70 5.32 1.50 2.00 1,100 1.3 0.20 (5.1) 13.9 6.6 1.35 1.42
Stepan Company SCL 2.37 12.80 #VALUE! 9.81 6.60 4.40 2,010 1.7 0.27 (8.5) 9.5 37.5 ##### #####
SEI Investments Company SEIC 4.85 29.50 29.60 10.10 13.80 12.00 8,330 7.6 0.00 (7.2) 9.7 90.8 0.73 0.80
Sherwin-Williams Co. SHW 11.80 31.30 -5.30 11.01 9.30 11.42 48,600 0.2 2.21 (20.9) 16.5 343.0 4.57 5.02
SJW Corp. SJW 1.94 4.20 -33.90 36.85 10.10 14.00 1,740 1.0 0.64 (32.1) 11.9 94.8 1.21 1.33
Tanger Factory Outlet Centers SKT 2.55 18.50 104.90 -4.95 3.90 6.70 1,100 2.4 3.62 7.5 20.3 20.8 1.56 1.57
Sonoco Products Co. SON 2.64 16.90 39.80 3.10 9.10 4.57 4,810 0.3 0.84 (7.2) 9.6 40.1 1.87 1.93
S&P Global Inc. SPGI 135.67 510.30 11.20 10.24 58.40 9.60 67,080 0.1 0.00 (16.2) 14.7 1265.4 2.51 2.76
1st Source Corp. SRCE 1.30 11.40 14.40 3.00 10.50 10.00 1,080 1.1 0.16 2.2 14.0 (17.5) 1.21 1.25
Stanley Black & Decker SWK 2.84 9.10 -35.30 10.05 10.10 8.44 22,390 0.3 0.60 (14.9) 7.7 69.0 2.73 3.00
Stryker Corp. SYK 5.57 17.10 4.60 9.15 32.40 10.22 71,440 0.1 0.87 (22.3) 12.5 193.4 2.18 2.37
Sysco Corp. SYY 13.44 73.70 25.50 7.37 15.40 7.40 33,990 0.1 3.52 (10.2) 8.8 237.3 1.72 1.84
AT&T Inc. T 1.40 7.50 -30.90 6.11 8.90 5.05 257,680 0.1 0.89 (10.6) 8.0 7.7 2.06 2.19
Telephone & Data Sys. TDS 0.50 3.30 167.20 -7.29 -4.30 n/a 2,460 0.4 0.52 (13.7) 7.5 (31.4) 0.73 0.73
Target Corp. TGT 4.55 28.30 16.40 8.37 5.30 10.44 52,750 0.1 1.01 (7.5) 9.0 82.7 2.86 3.10
First Financial Corp. THFF 0.94 9.20 31.20 2.94 9.90 n/a 547.32 1.4 0.00 (6.7) 3.8 (33.6) 1.13 1.17
Tompkins Financial Corp. TMP 1.79 12.20 21.20 2.55 9.10 8.00 1,190 1.5 0.03 (7.6) 7.1 8.4 2.22 2.28
Tennant Company TNC 3.84 11.50 620.40 20.62 -3.20 15.00 1,320 1.3 1.01 (27.3) 3.7 129.9 0.97 1.06
Tootsie Roll Industries TR 2.76 8.30 -4.80 n/a 0.10 9.00 2,080 33.4 0.01 (26.6) 7.2 103.5 0.36 0.37
Thomson Reuters Corp. TRI 4.40 4.00 -48.90 56.26 13.30 44.29 37,530 55.0 0.41 (173.5) 3.8 488.9 1.45 1.60
T. Rowe Price Group TROW 3.89 30.90 17.90 6.21 13.90 8.67 28,160 0.9 0.00 1.0 14.6 53.1 3.34 3.55
Calvin B. Taylor Bankshares Inc. TYCB n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 4.5 n/a 1.03 1.06
Urstadt Biddle Properties UBA 2.22 6.00 -13.10 7.95 -13.20 8.00 783 1.1 1.08 (29.0) 7.2 88.9 1.11 1.20
United Bankshares Inc. UBSI 0.87 7.80 27.70 6.26 7.70 8.00 3,000 1.3 0.07 (5.3) 6.1 (33.8) 1.50 1.59
UGI Corp. UGI 1.89 10.40 -54.70 8.66 -6.00 11.40 7,460 0.5 1.68 (6.2) 10.9 19.8 1.16 1.26
Universal Health Realty Trust UHT 8.01 9.20 -47.30 n/a 11.20 n/a 1,480 7.6 1.45 (80.1) 4.1 447.4 2.75 2.83
U.S. Dividend Champions
Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
ABM Industries
UMB Inc.
Financial Corp. ABM
UMBF 1.11 8.20 3.00 2.63 3.40 10.30 2,870 0.8 0.03 (3.7) 8.1 (23.9) 1.24 1.27
United Technologies UTX 2.68 13.60 -13.70 13.46 -0.70 8.34 111,790 0.1 1.04 (13.6) 6.7 55.8 2.97 3.27
Universal Corp. UVV 0.94 6.70 -4.80 n/a -4.80 n/a 1,200 0.4 0.35 0.1 14.3 (22.9) 3.05 3.14
VF Corp. VFC 6.24 29.30 407.20 12.57 1.40 10.00 28,510 0.2 0.48 (6.1) 15.4 144.5 2.09 2.30
Westamerica Bancorp WABC 2.19 11.20 13.40 2.26 1.40 3.00 1,580 0.2 0.00 (15.2) 4.2 37.4 1.79 1.83
Walgreens Boots Alliance Inc. WBA 1.72 15.40 -12.40 3.30 14.50 2.20 40,870 0.2 0.76 (0.7) 10.6 (7.3) 1.81 1.87
Weyco Group Inc. WEYS 1.05 10.50 14.40 n/a 0.50 n/a 218.74 10.9 0.08 (3.0) 9.0 (25.2) 1.03 1.07
Wal-Mart Inc. WMT 4.27 18.20 -24.80 6.77 -13.00 5.95 303,210 0.3 0.76 (16.7) 4.0 98.4 2.13 2.28
West Pharmaceutical Services WST 7.49 16.10 -11.70 13.29 11.50 8.90 11,240 0.1 0.13 (38.2) 8.7 295.1 0.62 0.68
Essential Utilities Inc. WTRG 2.58 5.40 -21.20 5.88 -1.30 6.40 9,360 0.2 0.80 (51.8) 9.6 165.4 0.92 0.97
ExxonMobil Corp. XOM 1.16 9.30 48.80 12.59 -8.20 5.65 220,340 0.2 0.25 (3.6) 11.7 (11.2) 3.77 4.15
Averages for All 140 5.39 17.13 #VALUE! 8.55 6.49 8.69 35,304 3.00 0.82 -14.58 10.25 109.70 #### ####
Averages by Sector
Communication Services 4 1.24 5.23 83.45 5.84 -2.18 15.25 65,883 0.40 1.30 -18.61 9.62 16.69 1.67 1.80
Consumer Discretionary 9 8.64 23.81 52.33 10.20 5.13 9.57 41,564 1.61 1.63 -7.28 12.64 154.13 2.41 2.61
Consumer Staples 17 8.54 -10.66 -0.42 6.24 3.11 4.80 80,482 5.15 1.41 -16.22 10.19 186.02 2.37 2.51
Energy 4 1.08 8.68 5.83 18.31 -8.10 18.47 100,622 1.09 0.15 -12.22 12.18 2.77 3.17 3.41
Financials 35 6.72 31.22 11.92 6.44 8.01 9.39 11,602 8.43 0.12 -10.73 8.96 69.01 1.90 1.98
Health Care 5 4.94 14.22 0.94 9.57 7.46 8.07 126,690 0.12 0.58 -35.53 10.55 196.12 2.41 2.62
Industrials 28 4.90 23.94 35.76 10.15 8.43 8.69 24,193 0.65 0.85 -9.34 11.73 109.26 2.21 2.40
Information Technology 4 7.98 24.78 -1.23 11.08 9.17 13.92 20,683 0.40 0.10 -19.15 14.84 238.85 1.65 1.80
Materials 12 4.09 17.75 #VALUE! 10.53 11.16 9.59 26,875 0.48 0.90 -12.48 9.64 97.50 #### ####
Real Estate 7 3.45 9.61 16.99 6.49 8.70 7.46 9,059 1.83 1.43 -31.06 9.80 145.42 3.35 3.62
Utilities 15 2.48 9.64 -10.12 8.05 5.13 6.78 13,766 0.55 1.03 -19.24 8.10 70.26 1.73 1.84
U.S. Dividend Champions
Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
ABM Industries Inc. ABM 0.96 1.05 1.16 4.84 14.7 0.61 3.5 -22.9 -14.6 -14.0 1968 6 3.4
Archer Daniels Midland ADM 1.56 1.58 1.60 7.70 20.5 1.05 3.3 -20.2 -15.9 -9.7 1976 4 3.2
Automatic Data Proc. ADP 4.21 4.63 5.09 21.22 13.7 0.87 4.5 -15.1 -10.8 -7.3 1976 4 5.6
AFLAC Inc. AFL 1.28 1.31 1.35 6.37 14.9 0.62 -3.5 -25.1 -17.8 -18.9 1983 3 2.1
Albemarle Corp. ALB 1.91 2.10 2.32 9.65 11.8 1.58 39.6 -17.7 3.1 16.2 1995 2 6.9
A.O. Smith Corp. AOS 1.17 1.26 1.36 5.85 14.8 1.53 2.0 -30.2 -12.8 -14.8 1994 2 13.6
Air Products & Chem. APD 5.70 6.27 6.90 28.77 13.1 0.87 23.4 -14.6 -8.4 -3.1 1983 3 9.8
Arrow Financial Corp. AROW 1.32 1.41 1.51 6.61 20.9 0.55 4.7 -17.3 -12.5 -6.9 1994 2 1.2
Artesian Resources ARTNA 1.16 1.21 1.25 5.81 16.9 0.07 0.0 -15.0 -8.5 -6.7 1993 2 2.7
Atmos Energy ATO 2.68 2.87 3.08 13.48 13.1 0.22 5.3 -14.7 -9.8 -5.9 1985 3 n/a
AptarGroup Inc. ATR 1.68 1.79 1.90 8.38 8.3 0.63 1.9 -19.9 -11.9 -13.5 1994 2 6.3
American States Water AWR 1.33 1.41 1.49 6.66 8.7 (0.13) 13.4 -20.2 -13.0 -9.5 1955 8 5.2
BancFirst Corp. OK BANF 1.47 1.57 1.68 7.43 14.5 0.85 2.2 -19.8 -15.5 -10.8 1994 2 1.7
Becton Dickinson & Co. BDX 4.05 4.37 4.71 20.29 8.5 1.02 7.4 -17.1 -11.4 -6.4 1973 5 1.5
Franklin Resources BEN 1.07 1.08 1.09 5.36 24.6 1.18 -1.9 -39.3 -14.2 -24.7 1981 3 8.6
Brown-Forman Class B BF-B 0.75 0.80 0.85 3.79 6.2 0.67 30.1 -15.7 -10.4 -0.7 1985 3 16.1
Black Hills Corp. BKH 2.33 2.46 2.61 11.67 16.2 0.20 2.9 -17.1 -10.6 -7.8 1972 5 2.8
Badger Meter Inc. BMI 0.77 0.85 0.93 3.90 6.5 0.99 21.2 -15.0 -6.8 4.0 1993 2 9
Brady Corp. BRC 1.08 1.19 1.31 5.52 11.7 0.81 7.3 -19.9 -14.9 -10.2 1986 3 12
Brown & Brown Inc. BRO 0.43 0.47 0.51 2.16 5.0 0.67 50.3 -11.7 0.0 15.0 1995 2 5.4
Caterpillar Inc. CAT 4.44 4.59 4.74 21.97 17.7 1.49 11.2 -17.5 -11.9 -6.9 1994 2 7.8
Chubb Limited CB 3.60 3.75 3.89 17.96 12.4 0.67 10.2 -13.5 -7.2 -5.5 1994 2 2.2
Commerce Bancshares CBSH 1.25 1.36 1.46 6.38 10.5 0.74 17.3 -15.1 -10.5 1.0 1969 6 1.6
Community Bank System CBU 1.91 2.06 2.23 9.68 15.9 0.97 7.5 -16.3 -12.3 -7.4 1993 2 1.5
Cullen/Frost Bankers CFR 3.18 3.50 3.85 16.27 20.7 1.36 -1.8 -25.7 -16.9 -14.6 1994 2 1.3
Cincinnati Financial CINF 2.31 2.33 2.34 11.52 12.4 0.59 12.3 -21.1 -12.8 -13.5 1961 6 5.2
Colgate-Palmolive Co. CL 2.09 2.19 2.30 10.45 15.5 0.68 4.4 -12.7 -5.6 -4.9 1964 6 17.1
Clorox Company CLX 4.80 4.95 5.10 23.95 15.0 0.40 10.6 -8.5 0.7 3.0 1978 4 15.4
Canadian National Railway CNI 1.93 2.06 2.21 9.63 11.3 0.98 1.4 -12.0 -8.3 -7.3 1998 2 9.7
Chesapeake Financial Shares CPKF 0.53 0.55 0.57 2.67 11.3 n/a n/a n/a n/a n/a OTC 1992 2 n/a
Carlisle Companies CSL 2.40 2.64 2.90 12.09 8.3 1.01 22.0 -14.5 -9.3 -1.9 1977 4 8.7
Computer Services Inc. CSVI 0.85 0.88 0.90 4.27 8.2 0.15 85.5 -5.5 6.3 21.1 OTC 1972 5 11.73
Cintas Corp. CTAS 3.39 3.72 4.10 17.09 6.4 0.98 39.0 -12.5 -5.1 2.8 1984 3 12.1
Community Trust Banc. CTBI 1.74 1.82 1.91 8.75 22.6 0.61 1.7 -18.6 -14.0 -9.5 1981 3 1.5
Chevron Corp. CVX 5.80 6.09 6.40 29.04 31.1 1.01 -0.8 -26.7 -17.7 -21.1 1988 3 5.8
California Water Service CWT 0.96 1.06 1.16 4.86 10.1 0.18 -0.1 -16.6 -8.5 -8.5 1968 6 2.5
Donaldson Company DCI 1.07 1.15 1.25 5.36 11.9 1.47 -0.3 -22.7 -17.2 -13.0 1987 3 11.7
Dover Corp. DOV 2.48 2.70 2.94 12.53 12.2 1.54 18.0 -14.6 -11.7 -0.7 1956 8 7.8
Enterprise Bancorp Inc. EBTC 0.75 0.77 0.79 3.74 13.6 0.73 2.3 -21.0 -14.2 -9.3 1995 2 1
Ecolab Inc. ECL 2.45 2.69 2.96 12.35 6.8 0.77 7.4 -14.6 -8.1 -7.3 1993 2 7.2
Consolidated Edison ED 3.19 3.27 3.35 15.91 20.2 0.13 -3.4 -17.1 -13.2 -11.7 1975 4 2.4
Eagle Financial Services EFSI 1.09 1.13 1.16 5.47 17.0 n/a n/a n/a n/a n/a OTC 1987 3 n/a
Emerson Electric EMR 2.54 2.70 2.88 12.67 19.8 1.38 14.5 -18.2 -14.2 -6.0 1958 8 10.3
U.S. Dividend Champions
Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
ABMIndemnity
Erie IndustriesCompany
Inc. ABM
ERIE 4.48 4.93 5.43 22.88 16.0 0.31 -7.6 -47.1 -13.5 -28.1 1991 2 17.2
Essex Property Trust ESS 10.07 10.86 11.72 50.46 17.8 0.38 4.3 -15.2 -8.1 -8.6 1995 2 3.4
Eaton Vance Corp. EV 1.67 1.72 1.77 8.28 20.1 1.58 12.0 -20.3 -13.4 -7.5 1982 3 10.4
Expeditors International EXPD 1.27 1.35 1.42 6.35 9.0 0.88 3.6 -13.7 -6.6 -5.0 1995 2 17.7
Franklin Electric Co. FELE 0.77 0.85 0.93 3.90 7.5 1.25 20.6 -15.9 -11.6 1.9 1993 2 7.8
Farmers & Merchants Bancorp FMCB 15.52 15.98 16.46 77.65 10.0 n/a n/a n/a n/a n/a OTC 1964 6 n/a
Federal Realty Inv. Trust FRT 5.31 5.66 6.04 26.50 22.8 0.50 -0.2 -17.7 -8.4 -11.3 1968 6 5.3
H.B. Fuller Company FUL 0.78 0.85 0.94 3.92 10.0 1.54 0.0 -25.1 -19.5 -16.5 1970 6 3.2
General Dynamics GD 4.95 5.31 5.69 24.82 15.5 1.15 -0.3 -17.6 -12.0 -11.6 1992 2 7.2
Genuine Parts Co. GPC 3.63 3.77 3.92 18.11 20.8 0.92 0.6 -24.3 -12.4 -12.2 1957 8 5.7
Gorman-Rupp Company GRC 0.73 0.80 0.88 3.69 11.5 0.93 10.3 -19.2 -13.7 -6.1 1974 4 10.1
W.W. Grainger Inc. GWW 7.47 8.21 9.04 37.75 13.6 0.99 8.8 -19.9 -14.0 -6.5 1972 5 14.1
Helmerich & Payne Inc. HP 3.47 3.82 4.20 17.51 47.5 1.67 3.2 -43.1 -15.7 -16.1 1973 5 -0.4
Hormel Foods Corp. HRL 0.96 1.01 1.05 4.81 11.6 (0.08) 12.4 -14.9 -9.5 -3.1 1967 6 12.2
Illinois Tool Works ITW 4.64 4.86 5.09 23.17 13.8 1.25 22.5 -12.1 -7.1 3.2 1975 4 16.7
Jack Henry & Associates JKHY 2.04 2.25 2.47 10.32 6.8 0.93 17.4 -13.3 -1.7 4.7 1991 2 13.1
Johnson & Johnson JNJ 4.27 4.51 4.77 21.35 15.9 0.69 6.7 -13.0 -8.8 -2.1 1963 6 9.8
John Wiley & Sons Inc. JW-A 1.63 1.80 1.98 8.24 22.2 1.11 0.2 -29.8 -19.0 -18.0 1994 2 4.9
Kimberly-Clark Corp. KMB 5.03 5.32 5.63 25.23 19.2 0.48 14.5 -12.1 -6.9 -4.2 1973 5 14.2
Coca-Cola Company KO 2.07 2.25 2.44 10.42 19.5 0.39 19.9 -11.0 -6.1 -0.7 1963 6 7.7
Lancaster Colony Corp. LANC 3.11 3.20 3.30 15.54 10.8 0.30 8.0 -12.7 -8.2 -4.1 1964 6 15.8
Lincoln Electric Holdings LECO 2.34 2.50 2.67 11.69 14.3 1.27 8.4 -16.7 -12.8 -6.2 1996 2 13.3
Leggett & Platt Inc. LEG 1.98 2.08 2.19 9.84 24.8 1.07 12.2 -28.4 -18.1 -9.3 1972 5 6.8
Linde Plc LIN 4.66 5.12 5.64 23.50 12.3 0.79 15.0 -16.2 -9.6 -4.4 1994 2 5.3
Lowe's Companies LOW 2.52 2.77 3.05 12.70 11.9 1.29 16.3 -15.9 -11.6 -3.4 1963 6 7.4
Matthews International MATW 0.90 0.91 0.92 4.44 15.0 1.16 3.5 -27.5 -19.2 -16.0 1996 2 -2.3
McDonald's Corp. MCD 5.82 6.25 6.73 29.21 15.0 0.40 8.9 -12.5 -6.7 -6.0 1976 4 13.8
Mercury General Corp. MCY 3.34 3.68 4.05 16.87 39.0 0.30 -5.8 -33.6 -11.7 -19.4 1988 3 5.5
Meredith Corp. MDP 3.06 3.37 3.70 15.45 58.6 1.12 2.3 -56.8 -17.1 -36.1 1994 2 -0.4
Medtronic plc MDT 2.42 2.61 2.81 12.20 12.1 0.55 21.6 -17.6 -13.1 -5.7 1978 4 4.9
MDU Resources MDU 1.00 1.08 1.17 5.05 18.2 0.75 13.8 -13.9 -7.6 -0.5 1992 2 3.9
MGE Energy Inc. MGEE 1.63 1.69 1.76 8.16 11.4 0.39 12.7 -14.3 -10.0 -5.7 1976 4 4.3
McGrath Rentcorp MGRC 1.87 2.06 2.26 9.50 13.7 0.68 24.7 -17.3 -11.3 0.2 1993 2 7.5
McCormick & Co. MKC 2.82 2.96 3.11 14.09 9.6 0.07 9.6 -16.3 -12.0 -9.9 1987 3 6.8
3M Company MMM 6.46 6.75 7.05 32.27 21.6 1.12 2.2 -32.1 -11.8 -10.9 1959 7 11.1
Altria Group Inc. MO 3.86 4.05 4.25 19.33 47.9 0.46 2.7 -30.3 -16.6 -15.0 1970 6 11.2
MSA Safety Inc. MSA 2.17 2.39 2.63 10.98 9.0 1.00 26.7 -14.5 -8.6 5.3 1972 5 8
Middlesex Water Co. MSEX 1.13 1.16 1.19 5.66 9.5 0.24 13.3 -15.0 -8.7 -4.8 1974 4 4
NACCO Industries NC 0.86 0.88 0.91 4.29 10.4 0.19 14.3 -37.9 -13.3 -19.6 1987 3 11.2
Nordson Corp. NDSN 1.75 1.92 2.11 8.82 6.1 1.18 16.3 -19.4 -13.6 -3.1 1964 6 9.3
NextEra Energy Inc. NEE 5.90 6.35 6.83 29.61 11.7 0.21 35.9 -10.8 -1.7 10.7 1995 2 3.3
National Fuel Gas NFG 1.98 2.15 2.33 10.11 27.6 0.73 0.0 -40.7 -17.1 -23.1 1971 5 4.5
Northeast Indiana Bancorp NIDB 1.11 1.15 1.18 5.58 13.3 n/a n/a n/a n/a n/a OTC 1996 2 n/a
U.S. Dividend Champions
Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
ABM Industries
National Inc.
Retail Properties ABM
NNN 2.39 2.63 2.89 12.13 23.8 0.14 1.1 -14.2 -7.6 -7.5 1990 3 3.5
Nucor Corp. NUE 1.88 2.00 2.12 9.54 23.1 1.61 -0.8 -32.5 -19.6 -21.3 1974 4 11.2
Northwest Natural Gas NWN 2.11 2.19 2.27 10.52 16.0 0.31 5.5 -14.9 -10.9 -6.9 1957 8 1.9
Realty Income Corp. O 3.42 3.61 3.81 17.07 23.6 0.15 9.3 -14.8 -5.3 -2.9 1994 2 2.4
Old Republic International ORI 0.93 1.02 1.13 4.73 24.0 0.71 0.9 -18.2 -12.9 -11.8 1982 3 3.7
People's United Financial PBCT 0.88 0.97 1.06 4.48 32.0 1.23 1.3 -22.4 -13.8 -12.8 1993 2 1
PepsiCo Inc. PEP 4.35 4.63 4.92 21.80 16.5 0.51 15.6 -10.3 -6.0 -2.4 1973 5 9.5
Procter & Gamble Co. PG 3.45 3.76 4.09 17.46 15.4 0.35 15.8 -11.6 -9.2 -4.9 1957 8 3.9
Parker-Hannifin Corp. PH 4.33 4.60 4.89 21.62 11.7 1.58 21.4 -14.4 -10.0 0.7 1957 8 7.4
Polaris Industries PII 2.97 3.27 3.60 15.01 18.2 1.47 7.1 -20.9 -12.8 -9.8 1996 2 7.3
Pentair Ltd. PNR 0.95 1.00 1.05 4.73 12.0 1.20 14.2 -17.0 -12.3 -1.7 1977 4 9
PPG Industries Inc. PPG 2.37 2.57 2.79 11.93 11.4 1.23 0.9 -22.3 -16.7 -12.9 1972 5 7
PSB Holdings Inc. PSBQ 0.42 0.43 0.44 2.08 7.6 n/a n/a n/a n/a n/a OTC 1994 2 n/a
RLI Corp. RLI 1.03 1.13 1.24 5.27 6.6 0.66 18.2 -19.0 -12.9 -11.4 1976 4 3.8
Roper Technologies Inc. ROP 2.24 2.37 2.50 11.26 3.2 1.07 11.6 -11.0 -5.5 -2.2 1994 2 7
Ross Stores Inc. ROST 1.34 1.47 1.60 6.76 6.2 0.77 23.2 -12.4 -7.4 -0.1 1995 2 19.5
RPM International Inc. RPM 1.72 1.90 2.09 8.69 13.6 1.25 20.1 -17.3 -13.4 -6.2 1975 4 6
Southside Bancshares SBSI 1.45 1.48 1.51 7.23 22.4 0.67 3.1 -15.0 -11.7 -6.6 1995 2 1.2
Stepan Company SCL ##### ##### ##### ##### ##### 1.27 5.8 -17.0 -13.0 -8.5 1969 6 7.1
SEI Investments Company SEIC 0.88 0.97 1.06 4.43 8.1 1.33 10.5 -21.4 -17.3 -8.9 1992 2 24.5
Sherwin-Williams Co. SHW 5.52 6.08 6.68 27.87 5.4 1.30 25.9 -13.9 -10.4 -3.0 1979 4 5.7
SJW Corp. SJW 1.47 1.61 1.77 7.40 12.1 0.02 3.5 -18.4 -14.4 -9.8 1968 6 1.9
Tanger Factory Outlet Centers SKT 1.68 1.79 1.91 8.51 71.0 0.67 4.4 -45.6 -17.2 -23.2 1994 2 3.7
Sonoco Products Co. SON 2.02 2.11 2.20 10.13 21.0 0.90 -3.4 -27.6 -17.7 -19.4 1983 3 6.3
S&P Global Inc. SPGI 3.02 3.31 3.63 15.24 5.7 0.98 36.4 -15.0 -7.9 3.6 1974 4 20.5
1st Source Corp. SRCE 1.37 1.51 1.66 6.99 16.6 1.02 0.4 -21.3 -15.3 -11.6 1988 3 1.4
Stanley Black & Decker SWK 3.25 3.53 3.83 16.33 11.4 1.42 13.7 -17.3 -12.3 -3.8 1968 6 3.2
Stryker Corp. SYK 2.61 2.87 3.16 13.20 6.9 0.77 9.0 -15.8 -10.3 -8.5 1994 2 7.6
Sysco Corp. SYY 1.98 2.13 2.28 9.95 14.9 0.45 2.2 -22.5 -17.8 -13.4 1971 5 9.7
AT&T Inc. T 2.30 2.41 2.53 11.49 32.6 0.58 18.7 -11.3 -8.2 -2.7 1985 3 2.5
Telephone & Data Sys. TDS 0.76 0.78 0.80 3.79 18.8 1.05 1.3 -41.0 -16.8 -24.1 1975 4 1.5
Target Corp. TGT 3.41 3.75 4.13 17.24 16.7 0.58 47.1 -20.9 -13.9 -1.4 1968 6 7.8
First Financial Corp. THFF 1.20 1.24 1.27 6.01 15.0 0.90 6.8 -14.9 -9.3 -5.6 1989 3 1.4
Tompkins Financial Corp. TMP 2.46 2.66 2.87 12.49 15.7 0.72 9.3 -15.1 -10.9 -5.1 1987 3 1.2
Tennant Company TNC 1.17 1.29 1.42 5.91 8.3 1.28 26.0 -17.8 -11.2 0.4 1973 5 3.6
Tootsie Roll Industries TR 0.41 0.44 0.48 2.06 6.4 0.25 -1.9 -21.4 -6.5 -10.9 1967 6 6.6
Thomson Reuters Corp. TRI 1.76 1.94 2.13 8.88 11.9 0.48 38.6 -9.7 -3.7 6.7 1995 2 2.1
T. Rowe Price Group TROW 3.86 4.19 4.56 19.51 16.5 1.01 24.1 -15.6 -9.4 1.2 1987 3 23
Calvin B. Taylor Bankshares Inc. TYCB 1.09 1.13 1.16 5.47 15.5 n/a n/a n/a n/a n/a OTC 1992 2 n/a
Urstadt Biddle Properties UBA 1.30 1.40 1.51 6.52 31.6 0.54 4.3 -17.2 -12.7 -9.9 1995 2 2.2
United Bankshares Inc. UBSI 1.72 1.85 2.00 8.66 30.0 1.13 -3.8 -29.0 -20.1 -22.3 1975 4 1.3
UGI Corp. UGI 1.38 1.52 1.67 6.99 19.4 0.58 -3.0 -36.2 -16.3 -24.4 1988 3 3.1
Universal Health Realty Trust UHT 2.91 3.00 3.09 14.59 13.5 0.87 52.7 -18.7 -10.8 3.3 1986 3 3.6
U.S. Dividend Champions
Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
ABM Industries
UMB Inc.
Financial Corp. ABM
UMBF 1.40 1.53 1.69 7.12 12.2 0.86 -3.4 -19.2 -13.9 -11.4 1993 2 0.8
United Technologies UTX 3.54 3.83 4.15 17.76 13.6 1.21 7.5 -17.6 -13.6 -6.3 1995 2 4
Universal Corp. UVV 3.24 3.33 3.43 16.19 32.8 0.56 0.9 -21.9 -8.4 -10.4 1972 5 4
VF Corp. VFC 2.53 2.78 3.06 12.76 17.7 1.16 -1.6 -28.2 -19.9 -17.5 1974 4 12.1
Westamerica Bancorp WABC 1.89 1.95 2.00 9.46 16.4 0.88 -1.3 -16.3 -12.7 -9.2 1993 2 1.4
Walgreens Boots Alliance Inc. WBA 1.91 1.96 2.00 9.55 20.9 0.85 0.5 -36.3 -15.7 -16.2 1976 4 5
Weyco Group Inc. WEYS 1.10 1.13 1.16 5.49 25.0 0.82 1.1 -36.3 -9.5 -11.9 1982 3 7.7
Wal-Mart Inc. WMT 2.41 2.55 2.71 12.08 11.2 0.41 11.6 -14.1 -7.9 -5.9 1974 4 5.5
West Pharmaceutical Services WST 0.74 0.80 0.88 3.71 2.5 1.20 48.9 -14.8 -4.4 6.5 1994 2 11
Essential Utilities Inc. WTRG 1.03 1.10 1.17 5.18 12.0 0.36 23.6 -21.1 -13.7 -3.8 1993 2 1.9
ExxonMobil Corp. XOM 4.38 4.63 4.89 21.83 42.4 0.99 3.3 -38.4 -21.0 -26.6 1983 3 5
Averages for All 140 #### #### #### #### #### 0.81 11.02 -19.97 -11.41 -7.65 1981 3.71 6.86
Averages by Sector
Communication Services 4 1.94 2.09 2.25 9.74 33.06 0.97 5.65 -34.70 -15.28 -20.22 1987 2.75 2.13
Consumer Discretionary 9 2.81 3.03 3.27 14.12 17.38 0.94 12.76 -22.21 -12.49 -7.93 1976 4.44 9.79
Consumer Staples 17 2.64 2.77 2.91 13.20 17.29 0.46 9.41 -17.20 -9.53 -6.66 1972 5.06 9.64
Energy 4 3.63 3.86 4.10 18.17 32.86 0.97 5.01 -36.52 -16.89 -20.82 1983 3.50 5.40
Financials 35 2.10 2.22 2.36 10.56 16.31 0.84 8.31 -20.61 -12.35 -9.14 1987 2.83 5.30
Health Care 5 2.82 3.03 3.27 14.15 9.18 0.85 18.70 -15.63 -9.59 -3.25 1980 3.80 6.96
Industrials 28 2.58 2.77 2.98 12.95 12.13 1.16 12.87 -18.07 -11.68 -4.98 1980 3.96 8.99
Information Technology 4 1.97 2.15 2.35 9.92 8.80 0.74 32.16 -12.21 -3.24 5.62 1983 3.25 9.86
Materials 12 #### #### #### #### #### 1.15 11.32 -19.87 -12.10 -8.32 1982 3.58 6.83
Real Estate 7 3.87 4.14 4.42 19.39 29.17 0.46 10.86 -20.46 -10.00 -8.58 1989 2.86 3.44
Utilities 15 1.95 2.08 2.21 9.81 14.88 0.28 8.23 -19.07 -10.94 -7.89 1977 4.27 3.17
Contenders End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Aaron's Inc. AAN Consumer Discretionary
Specialty Retail 17 219 - - 39.33 0.41 0.0400 4 0.16 A03 0.0350 12/17/19
AmerisourceBergen Corp. ABC Health Care Health Care Providers 16 &248 -
Services - 84.32 1.99 0.4200 4 1.68 C04 0.4000 2/13/20
Accenture plc ACN Information Technology
IT Services 15 266 - - 180.59 1.77 0.8000 4 3.20 MyNv 0.7300 10/16/19
Acme United Corp. ACU Industrials Commercial Services16 & 230 -
Supplies - 23.22 2.07 0.1200 4 0.48 B03 0.1100 1/7/19
Analog Devices Inc. ADI Semiconductors & 18
Information Technology 195 -
Semiconductor -Equipment
109.05 2.27 0.6200 4 2.48 C20 0.5400 2/27/20
American Equity Investment Life Holding
AEL Co. Financials Insurance 17 215 - - 25.28 1.19 0.3000 1 0.30 Dec 0.2800 12/1/19
American Electric Power Co. AEP Utilities Electric Utilities 10 380 N N 89.26 3.14 0.7000 4 2.80 C08 0.6700 11/7/19
American Financial Group Inc. AFG Financials Insurance 14 281 - - 92.42 1.95 0.4500 4 1.80 A25 0.4000 10/11/19
Applied Industrial Technologies Inc.AIT Industrials Trading Companies11& Distributors
324 N Y 58.99 2.17 0.3200 4 1.28 B28 0.3100 2/13/20
Apartment Investment & Management AIVCo. Real Estate Equity Real Estate 10 403 - Trusts
Investment - (REITs)
47.84 3.43 0.4100 4 1.64 B28 0.3900 2/13/20
Assurant Inc. AIZ Financials Insurance 16 244 - - 120.59 2.09 0.6300 4 2.52 C18 0.6000 11/21/19
Arthur J. Gallagher & Co. AJG Financials Insurance 10 416 N Y 97.49 1.85 0.4500 4 1.80 C16 0.4300 3/5/20
Allete Inc. ALE Utilities Electric Utilities 10 404 N N 68.99 3.58 0.6175 4 2.47 C01 0.5875 2/13/20
Allstate Corp. ALL Financials Insurance 10 425 Y Y 105.25 2.05 0.5400 4 2.16 A02 0.5000 2/28/20
Autoliv Inc. ALV Auto Components 10 342 -
Consumer Discretionary - 66.73 3.72 0.6200 4 2.48 C07 0.6000 5/22/18
Amgen Inc. AMGN Health Care Biotechnology 10 408 Y Y 199.73 3.20 1.6000 4 6.40 C08 1.4500 2/12/20
Armanino Foods of Distinction Inc. AMNF Consumer Staples Food Products 14 274 - - 3.30 3.03 0.0250 4 0.10 A27 0.0225 3/29/19
Ameriprise Financial Inc. AMP Financials Capital Markets 15 256 Y Y 141.30 2.75 0.9700 4 3.88 B18 0.9000 5/3/19
American Tower Corp. AMT Real Estate Equity Real Estate 10 392 - Trusts
Investment - (REITs)
226.80 1.78 1.0100 4 4.04 A27 0.9500 12/25/19
TD Ameritrade Holding Corp. AMTD Financials Capital Markets 10 374 - - 42.23 2.94 0.3100 4 1.24 B21 0.3000 11/4/19
Andersons Inc. (The) ANDE Consumer Staples 18 193 N
Food & Staples Retailing Y 18.37 3.81 0.1750 4 0.70 A23 0.1700 12/30/19
Anthem Inc. ANTM Health Care 10 &420
Health Care Providers -
Services - 257.09 1.48 0.9500 4 3.80 C23 0.8000 3/13/20
Alexandria Real Estate Equities Inc.ARE Real Estate Equity Real Estate 10 393 - Trusts
Investment - (REITs)
151.88 2.71 1.0300 4 4.12 A15 1.0000 12/29/19
Ashland Global Holdings Inc. ASH Materials Chemicals 10 369 N N 71.54 1.54 0.2750 4 1.10 C15 0.2500 8/29/19
Ames National Corp. ATLO Financials Banks 10 434 - - 25.87 3.87 0.2500 4 1.00 B15 0.2400 4/30/20
Atrion Corp. ATRI Health Care 17 211
Health Care Equipment -
& Supplies- 616.31 1.01 1.5500 4 6.20 C29 1.3500 9/13/19
Activision Blizzard Inc. ATVI CommunicationEntertainment
Services 11 341 - - 58.13 0.71 0.4100 1 0.41 May 0.3700 4/14/20
Auburn National Bancorp AUBN Financials Banks 19 179 N N 56.99 1.79 0.2550 4 1.02 C26 0.2500 3/9/20
Avista Corp. AVA Utilities Multi-Utilities 18 197 N N 47.15 3.44 0.4050 4 1.62 C15 0.3875 2/20/20
Broadcom Limited AVGO Information Technology
Semiconductors & 10 385 -
Semiconductor -Equipment
272.62 4.77 3.2500 4 13.00 C29 2.6500 12/19/19
American Water Works AWK Utilities Water Utilities 12 298 Y Y 123.66 1.62 0.5000 4 2.00 C01 0.4550 5/10/19
Axis Capital Holdings Ltd. AXS Financials Insurance 18 192 - - 56.12 2.92 0.4100 4 1.64 A16 0.4000 12/29/19
Best Buy Corp. BBY Consumer Discretionary
Specialty Retail 17 227 Y Y 75.65 2.91 0.5500 4 2.20 A12 0.5000 3/18/20
Balchem Inc. BCPC Materials Chemicals 11 318 - - 94.46 0.55 0.5200 1 0.52 Jan 0.4700 12/26/19
Brookfield Renewable Partners LP BEP Utilities Independent Power11and336 -
Renewable- Electricity
49.86 Producers
4.35 0.5425 4 2.17 C29 0.5150 2/27/20
Bunge Limited BG Consumer Staples
Food Products 19 174 - - 46.95 4.26 0.5000 4 2.00 C05 0.4600 8/21/18
Bar Harbor Bankshares BHB Financials Banks 16 234 Y Y 20.42 4.31 0.2200 4 0.88 C14 0.2000 5/13/19
Brookfield Infrastructure Partners LP
BIP Utilities Multi-Utilities 13 294 - - 50.54 4.25 0.5375 4 2.15 C29 0.5025 2/27/20
Bank of Utica BKUTK Financials Banks 20 171 - - 420.00 3.69 7.7500 2 15.50 JaJl 7.5000 12/29/19
BlackRock Inc. BLK Financials Capital Markets 11 333 - - 463.01 3.14 3.6300 4 14.52 C22 3.3000 3/4/20
Bank of Marin Bancorp BMRC Financials Banks 16 247 - - 38.13 2.41 0.2300 4 0.92 B18 0.2100 2/6/20
Bristol-Myers Squibb Co. BMY Health Care Pharmaceuticals 11 321 Y Y 59.06 3.05 0.4500 4 1.80 B01 0.4100 1/1/20
BOK Financial Corp. BOKF Financials Banks 15 267 N N 72.40 2.82 0.5100 4 2.04 B27 0.5000 11/7/19
Contenders End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Broadridge Financial Solutions Inc. BR Information Technology
IT Services 13 287 - - 104.36 2.07 0.5400 4 2.16 A03 0.4850 9/12/19
Cardinal Health Inc. CAH Health Care Health Care Providers 23 &149 -
Services - 52.12 3.69 0.4811 4 1.92 A15 0.4763 6/28/19
Cass Information Systems Inc. CASS Information Technology
IT Services 18 190 Y Y 46.95 2.30 0.2700 4 1.08 C15 0.2600 12/2/19
Casey's General Stores Inc. CASY Consumer Staples 20 166 N
Food & Staples Retailing N 163.02 0.79 0.3200 4 1.28 B15 0.2900 7/31/19
Cambridge Bancorp CATC Financials Banks 22 159 - - 68.47 3.10 0.5300 4 2.12 B22 0.5100 2/5/20
CBOE Holdings Inc. CBOE Financials Capital Markets 10 367 - - 114.00 1.26 0.3600 4 1.44 C15 0.3100 8/29/19
Cracker Barrel Old Country CBRL Consumer Discretionary
Hotels, Restaurants17& Leisure
208 N N 143.33 3.63 1.3000 4 5.20 B04 1.2500 7/18/19
CCFNB Bancorp Inc. CCFN Financials Banks 22 153 Y Y 49.00 3.18 0.3900 4 1.56 C15 0.3800 5/24/19
Celanese Corp. CE Materials Chemicals 10 349 - - 93.74 2.65 0.6200 4 2.48 B10 0.5400 4/26/19
Church & Dwight CHD Consumer Staples
Household Products 24 147 Y Y 69.52 1.38 0.2400 4 0.96 C01 0.2275 2/13/20
Chemed Corp. CHE Health Care Health Care Providers 11 &313 N
Services N 417.62 0.31 0.3200 4 1.28 C01 0.3000 8/9/19
C.H. Robinson Worldwide CHRW Industrials 22 156 -
Air Freight & Logistics - 68.90 2.96 0.5100 4 2.04 C29 0.5000 12/12/19
Chico's FAS Inc. CHS Consumer Discretionary
Specialty Retail 11 337 - - 4.01 8.98 0.0900 4 0.36 A02 0.0875 3/13/20
Comerica Inc. CMA Financials Banks 11 339 N N 52.64 5.17 0.6800 4 2.72 A01 0.6700 3/12/20
Comcast Corp. CMCSA CommunicationMedia
Services 13 295 - - 40.43 2.28 0.2300 4 0.92 A25 0.2100 3/31/20
Cantel Medical Corp. CMD Health Care 11 319
Health Care Equipment -
& Supplies- 63.10 0.33 0.1050 2 0.21 JaJl 0.1000 1/15/20
CME Group Inc. CME Financials Capital Markets 10 419 - - 198.82 1.71 0.8500 4 3.40 C26 0.7500 3/9/20
Cummins Inc. CMI Industrials Machinery 14 279 N N 151.29 3.47 1.3110 4 5.24 C01 1.1400 8/20/19
CMS Energy Corp. CMS Utilities Multi-Utilities 14 283 N N 60.42 2.70 0.4075 4 1.63 B28 0.3825 2/6/20
CenterPoint Energy CNP Utilities Multi-Utilities 15 272 Y Y 23.02 5.04 0.2900 4 1.16 C08 0.2875 2/19/20
Cohen & Steers Inc. CNS Financials Capital Markets 11 327 - - 62.65 2.49 0.3900 4 1.56 C22 0.3600 2/28/20
Columbia Sportswear Co. COLM Consumer Discretionary
Textiles, Apparel &15 273Goods
Luxury - - 81.30 1.28 0.2600 4 1.04 C22 0.2400 3/9/20
CoreSite Realty Corp. COR Real Estate Equity Real Estate 10 358 - Trusts
Investment - 103.73 4.70
(REITs) 1.2200 4 4.88 A16 1.1000 6/27/19
Costco Wholesale COST Consumer Staples 16 233 Y
Food & Staples Retailing Y 281.14 0.92 0.6500 4 2.60 B26 0.5700 5/9/19
Chesapeake Utilities CPK Utilities Gas Utilities 16 236 N N 85.50 1.89 0.4050 4 1.62 A05 0.3700 6/13/19
Camden Property Trust CPT Real Estate Equity Real Estate 10 430 NTrusts
Investment N 105.98 3.13
(REITs) 0.8300 4 3.32 A17 0.8000 3/30/20
Cisco Systems Inc. CSCO Information Technology 10 431 Y
Communications Equipment Y 39.93 3.61 0.3600 4 1.44 A25 0.3500 4/2/20
CSX Corp. CSX Industrials Road & Rail 16 250 N N 70.45 1.48 0.2600 4 1.04 C15 0.2400 2/27/20
CubeSmart CUBE Real Estate Equity Real Estate 10 394 - Trusts
Investment - 30.27 4.36
(REITs) 0.3300 4 1.32 A16 0.3200 12/30/19
Citizens Financial Services CZFS Financials Banks 21 163 - - 63.25 2.85 0.4500 4 1.80 C30 0.4450 9/12/19
Dominion Energy Inc. D Utilities Multi-Utilities 17 225 N Y 78.18 4.81 0.9400 4 3.76 C20 0.9175 2/27/20
Douglas Emmett Inc. DEI Real Estate Equity Real Estate 10 395 - Trusts
Investment - 38.18 2.93
(REITs) 0.2800 4 1.12 A15 0.2600 12/29/19
Donegal Group Inc. A DGICA Financials Insurance 17 204 N N 14.27 4.06 0.1450 4 0.58 B15 0.1425 4/30/19
Donegal Group Inc. B DGICB Financials Insurance 17 205 - - 11.71 4.36 0.1275 4 0.51 B15 0.1250 4/30/19
Digital Realty Trust DLR Real Estate Equity Real Estate 15 254 - Trusts
Investment - 120.11 3.60
(REITs) 1.0800 4 4.32 C30 1.0100 3/14/19
DTE Energy Company DTE Utilities Multi-Utilities 11 317 Y Y 111.67 3.63 1.0125 4 4.05 A15 0.9450 12/13/19
Duke Energy Corp. DUK Utilities Electric Utilities 15 262 N N 91.70 4.12 0.9450 4 3.78 C18 0.9275 8/15/19
Eagle Bancorp Montana Inc. EBMT Financials Banks 20 167 - - 19.39 1.96 0.0950 4 0.38 C01 0.0925 8/15/19
Edison International EIX Utilities Electric Utilities 17 220 N N 67.19 3.80 0.6375 4 2.55 A31 0.6125 12/29/19
Estee Lauder Companies Inc. EL Personal Products 10 382 Y
Consumer Staples Y 183.60 1.05 0.4800 4 1.92 A01 0.4300 11/27/19
Equity LifeStyle Properties ELS Real Estate Equity Real Estate 16 252 NTrusts
Investment N 68.33 2.00
(REITs) 0.3425 4 1.37 A13 0.3063 3/26/20
Emclaire Financial Corp. EMCF Financials Banks 10 417 N N 29.62 4.05 0.3000 4 1.20 C23 0.2900 2/28/20
Eastman Chemical Co. EMN Materials Chemicals 10 390 Y Y 61.51 4.29 0.6600 4 2.64 A05 0.6200 12/12/19
Contenders End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. Div.
CCC DRIP Fees 2/28/20 Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price
Yield Dividend Year Annualized Sch Payout Ex-Div
Enbridge Inc. ENB Energy 24 146
Oil, Gas & Consumable Fuels N N 37.43 6.52 0.6100 4 2.44 C01 0.5575 2/12/20
Ensign Group Inc. ENSG Health Care Health Care Providers 13 &293 -
Services - 44.50 0.45 0.0500 4 0.20 A31 0.0475 12/29/19
Enterprise Products Partners LP EPD Energy 23 152
Oil, Gas & Consumable FuelsN - 23.34 7.63 0.4450 4 1.78 B08 0.4425 1/30/20
EPR Properties EPR Real Estate Equity Real Estate 10
Investment
412 NTrusts
N (REITs)
59.24 7.75 0.3825 12 4.59 Mo. 0.3750 3/30/20
Eversource Energy ES Utilities Electric Utilities 22 160 N Y 86.46 2.63 0.5675 4 2.27 C31 0.5350 3/3/20
Eaton Corp. plc ETN Industrials Electrical Equipment11 335 Y Y 90.72 3.22 0.7300 4 2.92 C23 0.7100 3/12/20
Evercore Partners Inc. EVR Financials Capital Markets 13 285 - - 66.62 3.48 0.5800 4 2.32 C08 0.5000 5/30/19
Evergy Inc EVRG Utilities Electric Utilities 15 269 - - 65.35 3.09 0.5050 4 2.02 C12 0.4750 11/25/19
Extra Space Storage Inc. EXR Real Estate Equity Real Estate 10 356 - Trusts
Investment - (REITs)
100.36 3.59 0.9000 4 3.60 C30 0.8600 6/13/19
First American Financial Corp. FAF Financials Insurance 11 328 N N 57.10 3.08 0.4400 4 1.76 C15 0.4200 3/6/20
Fastenal Company FAST Industrials Trading Companies21& Distributors
165 - - 34.22 2.92 0.2500 4 1.00 B27 0.2200 1/30/20
Factset Research System Inc. FDS Financials Capital Markets 21 162 - - 265.99 1.08 0.7200 4 2.88 C20 0.6400 5/30/19
FedEx Corp. FDX Industrials 18 181 Y
Air Freight & Logistics Y 141.17 1.84 0.6500 4 2.60 A06 0.5000 6/22/18
First Farmers Financial Corp. FFMR Financials Banks 13 290 - - 47.50 2.69 0.3200 4 1.28 A13 0.3100 12/29/19
First Interstate Bancsystem Inc. FIBK Financials Banks 11 323 - - 34.06 3.99 0.3400 4 1.36 B22 0.3100 2/7/20
Fifth Third Bancorp FITB Financials Banks 10 428 - - 24.4 4.43 0.27 4 1.08 A15 0.24 3/30/20
Foot Locker Inc. FL Consumer Discretionary
Specialty Retail 10 433 - - 36.25 4.41 0.4000 4 1.60 B05 0.3800 4/16/20
First of Long Island Corp. FLIC Financials Banks 24 144 N N 20.71 3.48 0.1800 4 0.72 A20 0.1700 10/8/19
Flowers Foods FLO Consumer Staples
Food Products 18 182 N Y 21.53 3.53 0.1900 4 0.76 C23 0.1800 6/6/19
Farmers and Merchants Bancorp FMAO Financials Banks 16 246 - - 26.60 2.41 0.1600 4 0.64 A20 0.1500 12/29/19
Franco-Nevada Corp. FNV Materials Metals & Mining 12 299 - - 107.50 0.93 0.2500 4 1.00 C29 0.2400 6/12/19
GATX Corp. GATX Industrials Trading Companies10& Distributors
422 N N 71.53 2.68 0.4800 4 1.92 C31 0.4600 2/27/20
Graco Inc. GGG Industrials Machinery 23 151 N N 49.32 1.42 0.1750 4 0.70 B07 0.1600 1/16/20
Gildan Activewear Inc. GIL Textiles, Apparel &10
Consumer Discretionary 427Goods
Luxury - - 24.22 2.54 0.1540 4 0.62 A02 0.1340 3/11/20
Globe Life Inc GL Financials Insurance 14 275 Y Y 92.66 0.74 0.1725 4 0.69 B01 0.1600 4/4/19
Corning Inc. GLW Information Technology 10 Instruments
Electronic Equipment, 423 - -& Components
23.86 3.69 0.2200 4 0.88 C29 0.2000 2/27/20
Group 1 Automotive Inc. GPI Consumer Discretionary
Specialty Retail 11 329 - - 85.23 1.41 0.3000 4 1.20 C15 0.2900 2/28/20
Hasbro Inc. HAS Leisure Products 16 232 Y
Consumer Discretionary Y 77.25 3.52 0.6800 4 2.72 B15 0.6300 4/30/19
Healthcare Services Group Inc. HCSG Industrials Commercial Services 18 & 199 N
Supplies - 27.54 2.92 0.2013 4 0.81 C29 0.2000 2/27/20
Home Depot Inc. HD Consumer Discretionary
Specialty Retail 11 334 Y Y 217.84 2.75 1.5000 4 6.00 C22 1.3600 3/11/20
HDFC Bank Limited HDB Financials Banks 18 185 - - 54.85 1.18 0.6459 1 0.65 July 0.5470 6/19/19
HEICO Corp. HEI Industrials Aerospace & Defense 13 292 - - 107.85 0.15 0.0800 2 0.16 JaJl 0.0700 1/7/20
Holly Energy Partners LP HEP Energy 15 260
Oil, Gas & Consumable Fuels- - 20.74 12.97 0.6725 4 2.69 B10 0.6700 7/26/19
Heritage Financial Corp. HFWA Financials Banks 10 401 - - 23.19 3.45 0.2000 4 0.80 B21 0.1900 2/5/20
Hillenbrand Inc. HI Industrials Machinery 13 289 - - 23.40 3.63 0.2125 4 0.85 C29 0.2100 12/15/19
Hingham Institution for Savings HIFS Financials Thrifts & Mortgage 13 291 -
Finance - 182.96 0.90 0.4100 4 1.64 A18 0.4000 1/2/20
Hartford Financial Services Group Inc.
HIG Financials Insurance 10 426 N N 49.95 2.60 0.3250 4 1.30 A02 0.3000 2/28/20
Horace Mann Educators Corp. HMN Financials Insurance 10 344 Y Y 38.93 2.95 0.2875 4 1.15 C30 0.2850 3/15/19
Harley-Davidson Inc. HOG Consumer Discretionary
Automobiles 10 418 Y Y 30.47 4.99 0.3800 4 1.52 C02 0.3750 3/4/20
Honat Bancorp Inc. HONT Financials Banks 15 268 - - 115.00 1.60 0.4600 4 1.84 B30 0.4400 11/14/19
HP Inc. HPQ Information Technology
Technology Hardware,10 Storage
387 - & Peripherals
- 20.79 3.39 0.1762 4 0.70 A03 0.1602 12/9/19
Hill-Rom Holdings Inc. HRC Health Care Health Care Equipment 10 424 N
& SuppliesY 96.05 0.92 0.2200 4 0.88 C30 0.2100 3/20/20
Hershey Company HSY Consumer Staples
Food Products 10 370 Y Y 143.99 2.15 0.7730 4 3.09 C15 0.7220 8/22/19
Contenders End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. Div.
CCC DRIP Fees 2/28/20 Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price
Yield Dividend Year Annualized Sch Payout Ex-Div
Hubbell Inc. HUBB Industrials 12
Electrical Equipment 304 N N 133.24 2.73 0.9100 4 3.64 C15 0.8400 11/27/19
Humana Inc. HUM Health Care Health Care Providers 10 &432 -
Services - 319.68 0.78 0.6250 4 2.50 A27 0.5500 3/30/20
Haverty Furniture Companies Inc. HVT Consumer Discretionary
Specialty Retail 10 365 - - 16.82 4.76 0.2000 4 0.80 C29 0.1800 8/23/19
Haverty Furniture Companies Inc. AHVT-A Consumer Discretionary
Specialty Retail 10 366 - - 16.67 4.56 0.1900 4 0.76 C29 0.1700 8/23/19
Hawkins Inc. HWKN Materials Chemicals 16 249 N N 35.75 2.60 0.2325 4 0.93 B31 0.2300 2/20/20
International Business Machines IBM Information Technology
IT Services 24 142 Y Y 130.15 4.98 1.6200 4 6.48 C09 1.5700 5/9/19
International Bancshares Corp. IBOC Financials Banks 10 372 - - 34.10 3.23 0.5500 2 1.10 ApOc 0.5000 9/27/19
IDEX Corp. IEX Industrials Machinery 10 351 - - 148.00 1.35 0.5000 4 2.00 B31 0.4300 5/16/19
International Flavors & Fragrances IFF Materials Chemicals 17 212 N N 119.78 2.50 0.7500 4 3.00 A06 0.7300 9/20/19
International Paper Co. IP Materials 10 383 N
Containers & Packaging N 36.96 5.55 0.5125 4 2.05 C15 0.5000 11/14/19
Inter Parfums Inc. IPAR Personal Products 11 316 -
Consumer Staples - 60.06 2.20 0.3300 4 1.32 A15 0.2750 12/29/19
Iron Mountain Inc. IRM Real Estate Equity Real Estate 10 388 - Trusts
Investment - (REITs)
30.41 8.14 0.6185 4 2.47 A02 0.6110 12/12/19
Isabella Bank Corp. ISBA Financials Banks 15 271 - - 23.90 4.52 0.2700 4 1.08 C29 0.2600 12/26/19
Invesco Limited IVZ Financials Capital Markets 10 352 Y Y 14.40 8.61 0.3100 4 1.24 C01 0.3000 5/9/19
JB Hunt Transport Services Inc. JBHT Industrials Road & Rail 17 222 - - 96.44 1.12 0.2700 4 1.08 B23 0.2600 2/6/20
J&J Snack Foods Corp. JJSF Consumer Staples
Food Products 16 245 - - 160.82 1.43 0.5750 4 2.30 A04 0.5000 12/18/19
Kellogg Company K Consumer Staples
Food Products 16 240 N N 60.47 3.77 0.5700 4 2.28 C15 0.5600 8/30/19
KLA-Tencor Corp. KLAC Semiconductors & 10
Information Technology 378 -
Semiconductor -Equipment
153.71 2.21 0.8500 4 3.40 C01 0.7500 11/14/19
Kroger Company KR Consumer Staples 14 278 -
Food & Staples Retailing - 28.13 2.28 0.1600 4 0.64 C01 0.1400 8/14/19
Kennedy-Wilson Holdings Inc. KW Real Estate 10 389& Development
Real Estate Management - - 20.21 4.35 0.2200 4 0.88 A04 0.2100 12/25/19
Quaker Chemical Corp. KWR Materials Chemicals 12 300 N N 157.57 0.98 0.3850 4 1.54 A31 0.3700 7/16/19
Lithia Motors Inc. LAD Consumer Discretionary
Specialty Retail 10 350 - - 119.16 1.01 0.3000 4 1.20 B25 0.2900 5/9/19
Landmark Bancorp Inc. LARK Financials Banks 17 203 - - 22.80 3.51 0.2000 4 0.80 C07 0.1905 2/19/19
Lazard Limited LAZ Financials Capital Markets 12 297 - - 35.82 5.25 0.4700 4 1.88 B18 0.4400 5/3/19
Lear Corp. LEA Auto Components 10 413 -
Consumer Discretionary - 111.20 2.77 0.7700 4 3.08 C26 0.7500 2/27/20
Littelfuse Inc. LFUS Information Technology 10 Instruments
Electronic Equipment, 363 - -& Components
159.68 1.20 0.4800 4 1.92 C07 0.4300 8/21/19
L3Harris Technologies Inc LHX Industrials Aerospace & Defense18 187 N N 197.73 1.52 0.7500 4 3.00 C22 0.6850 9/3/19
Lennox International Inc. LII Industrials Building Products 10 359 - - 228.13 1.35 0.7700 4 3.08 A17 0.6400 6/27/19
LeMaitre Vascular Inc. LMAT Health Care Health Care Equipment 10 414 -
& Supplies- 28.50 1.33 0.0950 4 0.38 A05 0.0850 3/2/20
Limoneira Company LMNR Consumer Staples
Food Products 11 309 - - 16.70 1.80 0.0750 4 0.30 A17 0.0625 12/28/18
Lockheed Martin LMT Industrials Aerospace & Defense17 216 Y Y 369.87 2.60 2.4000 4 9.60 C29 2.2000 11/29/19
Lincoln National Corp. LNC Financials Insurance 10 400 Y Y 45.39 3.53 0.4000 4 1.60 B01 0.3700 1/8/20
Lindsay Corp. LNN Industrials Machinery 17 202 - - 99.03 1.25 0.3100 4 1.24 B31 0.3000 8/16/18
Alliant Energy Corp. LNT Utilities Electric Utilities 17 221 N N 52.12 2.92 0.3800 4 1.52 B15 0.3550 1/30/20
Landstar System Inc. LSTR Industrials Road & Rail 15 261 - - 100.97 0.73 0.1850 4 0.74 C16 0.1650 8/9/19
Lyons Bancorp Inc. LYBC Financials Banks 20 169 - - 36.53 3.39 0.3100 4 1.24 A15 0.3000 9/27/19
Mid-America Apartment Communities MAA Inc. Real Estate Equity Real Estate 10 397 NTrusts
Investment N (REITs)
129.26 3.09 1.0000 4 4.00 A31 0.9600 1/13/20
Macerich Company MAC Real Estate Equity Real Estate 10 343 NTrusts
Investment N (REITs)
20.42 14.69 0.7500 4 3.00 C01 0.7400 11/8/18
Marriott International Inc. MAR Hotels, Restaurants10& Leisure
Consumer Discretionary 357 Y Y 124.00 1.55 0.4800 4 1.92 C30 0.4100 5/23/19
Microchip Technology Inc. MCHP Semiconductors & 19
Information Technology 178 -
Semiconductor -Equipment
90.71 1.62 0.3670 4 1.47 C06 0.3665 2/20/20
McKesson Corp. MCK Health Care Health Care Providers 12 &301 Y
Services Y 139.86 1.17 0.4100 4 1.64 A02 0.3900 8/30/19
Moody's Corp. MCO Financials Capital Markets 11 331 - - 240.03 0.93 0.5600 4 2.24 C12 0.5000 2/24/20
Magna International Inc. MGA Auto Components 11 332 -
Consumer Discretionary - 45.82 3.49 0.4000 4 1.60 C23 0.3650 3/5/20
Contenders End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
MarketAxess Holdings Inc. MKTX Financials Capital Markets 12 305 - - 324.33 0.74 0.6000 4 2.40 B28 0.5100 2/11/20
Marsh & McLennan Companies Inc.MMC Financials Insurance 10 361 Y Y 104.56 1.74 0.4550 4 1.82 B15 0.4150 7/10/19
Magellan Midstream Partners LP MMP Energy 20 172
Oil, Gas & Consumable Fuels- - 54.55 7.53 1.0275 4 4.11 B15 1.0200 2/6/20
Monro Inc. MNRO Consumer Discretionary
Specialty Retail 15 257 - - 56.12 1.57 0.2200 4 0.88 C12 0.2000 5/31/19
MidWest One Financial Group Inc. MOFG Financials Banks 10 411 - - 28.73 3.06 0.2200 4 0.88 C15 0.2025 2/28/20
Morningstar Inc. MORN Financials Capital Markets 10 398 - - 146.90 0.82 0.3000 4 1.20 A31 0.2800 1/1/20
Marathon Petroleum Corp. MPC Energy 10 410
Oil, Gas & Consumable FuelsN N 47.42 4.89 0.5800 4 2.32 C12 0.5300 2/18/20
Microsoft Corp. MSFT Information Technology
Software 18 188 N Y 162.01 1.26 0.5100 4 2.04 C14 0.4600 11/20/19
Motorola Solutions Inc. MSI Information Technology 10 396 -
Communications Equipment - 165.68 1.55 0.6400 4 2.56 A12 0.5700 12/11/19
MSC Industrial Direct Co. Inc. MSM Industrials Trading Companies17& Distributors
209 - - 61.82 4.85 0.7500 4 3.00 A30 0.6300 7/22/19
Maxim Integrated Products MXIM Semiconductors & 18
Information Technology 186 -
Semiconductor -Equipment
55.62 3.45 0.4800 4 1.92 C15 0.4600 8/28/19
Muncy Bank Financial Inc. MYBF Financials Banks 18 189 N - 40.50 3.46 0.3500 4 1.40 C15 0.3300 12/3/19
NewMarket Corp. NEU Materials Chemicals 14 280 - - 388.59 1.96 1.9000 4 7.60 A03 1.7500 9/13/19
National Healthcare Corp. NHC Health Care Health Care Providers 16 &238 -
Services - 74.21 2.80 0.5200 4 2.08 C01 0.5000 6/27/19
National Health Investors NHI Real Estate Equity Real Estate 18 200 YTrusts
Investment Y (REITs)
81.73 5.40 1.1025 4 4.41 B10 1.0500 3/30/20
New Jersey Resources NJR Utilities Gas Utilities 24 143 N N 35.31 3.54 0.3125 4 1.25 A02 0.2925 9/19/19
Nike Inc. NKE Textiles, Apparel &18
Consumer Discretionary 191Goods
Luxury Y Y 89.38 1.10 0.2450 4 0.98 A02 0.2200 11/28/19
National Bankshares NKSH Financials Banks 20 170 - - 34.95 4.12 0.7200 2 1.44 JnDe 0.6700 11/21/19
Northrop Grumman NOC Industrials Aerospace & Defense16 235 N N 328.84 1.61 1.3200 4 5.28 C21 1.2000 5/31/19
Neenah Paper Inc. NP Materials 10 405 -
Paper & Forest Products - 57.77 3.25 0.4700 4 1.88 C02 0.4500 2/13/20
Northrim BanCorp Inc. NRIM Financials Banks 10 368 - - 34.95 3.78 0.3300 4 1.32 C16 0.3000 9/4/19
Insperity Inc. NSP Industrials 10 415 -
Professional Services - 67.27 2.38 0.4000 4 1.60 C22 0.3000 3/4/20
Nu Skin Enterprises Inc. NUS Personal Products 20 173 -
Consumer Staples - 24.52 6.12 0.3750 4 1.50 C14 0.3700 2/27/20
Northwest Bancshares Inc. NWBI Financials Thrifts & Mortgage 11 322 N
Finance N 13.89 5.47 0.1900 4 0.76 B15 0.1800 2/5/20
NorthWestern Corp. NWE Utilities Multi-Utilities 16 251 N N 70.34 3.41 0.6000 4 2.40 C30 0.5750 3/12/20
Norwood Financial NWFL Financials Banks 22 158 N N 30.88 3.24 0.2500 4 1.00 B01 0.2400 1/13/20
Oil-Dri Corp. of America ODC Consumer Staples
Household Products 17 210 - - 30.43 3.29 0.2500 4 1.00 C01 0.2400 8/15/19
OGE Energy Corp. OGE Utilities Electric Utilities 13 288 N N 38.10 4.07 0.3875 4 1.55 A30 0.3650 10/9/19
Omega Healthcare Investors OHI Real Estate Equity Real Estate 17 214 NTrusts
Investment N (REITs)
39.60 6.77 0.6700 4 2.68 B15 0.6600 10/30/19
ONEOK Inc. OKE Energy 18 194
Oil, Gas & Consumable FuelsN N 66.72 5.61 0.9350 4 3.74 B15 0.9150 1/24/20
Omnicom Group Inc. OMC CommunicationMedia
Services 10 348 N N 69.28 3.75 0.6500 4 2.60 A09 0.6000 3/8/19
Oracle Corp. ORCL Information Technology
Software 11 310 - - 49.46 1.94 0.2400 4 0.96 A26 0.1900 4/11/19
Occidental Petroleum OXY Energy 16 241
Oil, Gas & Consumable FuelsN N 32.74 9.65 0.7900 4 3.16 A16 0.7800 9/9/19
Bank OZK OZK Financials Banks 24 145 - - 25.39 4.10 0.2600 4 1.04 A20 0.2500 1/16/20
Penske Automotive Group Inc. PAG Consumer Discretionary
Specialty Retail 10 406 - - 46.02 3.65 0.4200 4 1.68 C01 0.4100 2/21/20
Prosperity Bancshares PB Financials Banks 22 157 N N 64.60 2.85 0.4600 4 1.84 A02 0.4100 12/13/19
PetMed Express Inc. PETS Consumer Discretionary 11 308 Retail
Internet & Direct Marketing - - 26.40 4.09 0.2700 4 1.08 B16 0.2500 8/2/18
Pfizer Inc. PFE Health Care Pharmaceuticals 10 409 N N 33.42 4.55 0.3800 4 1.52 C01 0.3600 1/29/20
Principal Financial Group Inc. PFG Financials Insurance 12 307 - - 44.39 5.05 0.5600 4 2.24 C29 0.5500 2/28/20
Douglas Dynamics Inc. PLOW Industrials Machinery 11 340 Y Y 43.53 2.57 0.2800 4 1.12 C30 0.2725 3/19/20
Philip Morris International PM Consumer Staples
Tobacco 12 302 Y Y 81.87 5.72 1.1700 4 4.68 C12 1.1400 9/24/19
Pioneer Bankshares Inc. PNBI Financials Banks 10 345 - - 28.50 3.09 0.2200 4 0.88 C30 0.2100 3/18/19
PolyOne Corp. POL Materials Chemicals 10 391 - - 24.76 3.27 0.2025 4 0.81 A10 0.1950 12/12/19
Contenders End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Portland General Electric Co. POR Utilities Electric Utilities 14 277 - - 54.41 2.83 0.3850 4 1.54 A16 0.3625 6/24/19
PPL Corp. PPL Utilities Electric Utilities 19 180 N N 30.01 5.53 0.4150 4 1.66 A02 0.4125 3/9/20
Perrigo Company plc PRGO Health Care Pharmaceuticals 18 198 - - 50.69 1.78 0.2250 4 0.90 C20 0.2100 2/27/20
Primerica Inc. PRI Financials Insurance 11 330 - - 111.34 1.44 0.4000 4 1.60 C16 0.3400 2/21/20
Prudential Financial Inc. PRU Financials Insurance 12 306 - - 75.45 5.83 1.1000 4 4.40 C15 1.0000 2/14/20
Qualcomm Inc. QCOM Information Technology
Semiconductors & 17 201 N
Semiconductor Y 78.30 3.17
Equipment 0.6200 4 2.48 C20 0.5700 5/29/18
Quaint Oak Bancorp Inc. QNTO Financials Thrifts & Mortgage 12 296 -
Finance - 14.90 2.42 0.0900 4 0.36 B07 0.0700 4/18/19
Ryder System R Industrials Road & Rail 15 263 Y Y 38.04 5.89 0.5600 4 2.24 C16 0.5400 8/16/19
Ritchie Brothers Auctioneers Inc. RBA Industrials Commercial Services19 & 176 -
Supplies - 39.70 2.02 0.2000 4 0.80 C23 0.1800 8/27/19
Regal Beloit Corp. RBC Industrials 15 259 -
Electrical Equipment - 77.64 1.55 0.3000 4 1.20 A13 0.2800 6/27/19
Republic Bancorp KY RBCAA Financials Banks 22 161 N Y 35.74 3.20 0.2860 4 1.14 A20 0.2640 3/19/20
Resources Connection Inc. RECN Industrials 10 371 -
Professional Services - 12.53 4.47 0.1400 4 0.56 C21 0.1300 8/21/19
Reinsurance Group of America Inc.RGA Financials Insurance 11 312 - - 122.03 2.29 0.7000 4 2.80 B29 0.6000 8/7/19
RGC Resources Inc. RGCO Utilities Gas Utilities 16 242 N N 27.45 2.55 0.1750 4 0.70 B01 0.1650 1/13/20
Royal Gold Inc. RGLD Materials Metals & Mining 19 177 - - 96.47 1.16 0.2800 4 1.12 A19 0.2650 1/1/20
Robert Half International Inc. RHI Industrials 17 224 -
Professional Services - 50.41 2.70 0.3400 4 1.36 C15 0.3100 2/24/20
RenaissanceRe Holdings RNR Financials Insurance 24 141 - - 170.40 0.80 0.3400 4 1.36 C29 0.3300 3/14/19
Retail Opportunity Investments Corp.
ROIC Real Estate Equity Real Estate 11 338 - Trusts
Investment - (REITs)
15.00 5.33 0.2000 4 0.80 C29 0.1970 3/13/20
Rockwell Automation Inc. ROK Industrials 10 381 N
Electrical Equipment Y 183.50 2.22 1.0200 4 4.08 C11 0.9700 11/8/19
Rollins Inc. ROL Industrials Commercial Services18 & 196 N
Supplies - 37.44 1.28 0.1200 4 0.48 C09 0.1050 2/7/20
Republic Services Inc. RSG Industrials Commercial Services17 & 213 -
Supplies - 90.26 1.79 0.4050 4 1.62 A16 0.3750 9/30/19
Raytheon Company RTN Industrials Aerospace & Defense15 255 N N 188.56 2.00 0.9425 4 3.77 B10 0.8675 4/9/19
Starbucks Corp. SBUX Consumer Discretionary
Hotels, Restaurants10& Leisure
377 Y Y 78.43 2.09 0.4100 4 1.64 C01 0.3600 11/12/19
South Jersey Industries SJI Utilities Gas Utilities 21 164 N N 27.05 4.36 0.2950 4 1.18 C27 0.2875 12/8/19
J.M. Smucker Co. SJM Consumer Staples
Food Products 22 154 N Y 102.99 3.42 0.8800 4 3.52 C01 0.8500 8/15/19
Silgan Holdings Inc. SLGN Materials 16 231 -
Containers & Packaging - 28.63 1.54 0.1100 4 0.44 C30 0.1000 3/15/19
Scotts Miracle-Gro Company SMG Materials Chemicals 10 364 - - 105.99 2.19 0.5800 4 2.32 C08 0.5500 8/26/19
Standard Motor Products Inc. SMP Auto Components 11 325 -
Consumer Discretionary - 44.00 2.27 0.2500 4 1.00 C01 0.2300 2/13/20
Snap-on Inc. SNA Industrials Machinery 10 379 N N 144.75 2.98 1.0800 4 4.32 C08 0.9500 11/18/19
Southern Company SO Utilities Electric Utilities 19 175 N Y 60.36 4.11 0.6200 4 2.48 C06 0.6000 5/17/19
Simon Property Group Inc. SPG Real Estate Equity Real Estate 10 362 NTrusts
Investment Y (REITs)
123.08 6.82 2.1000 4 8.40 B28 2.0500 8/15/19
Spire Inc. SR Utilities Gas Utilities 17 217 N N 75.05 3.32 0.6225 4 2.49 A03 0.5925 12/9/19
Sempra Energy SRE Utilities Multi-Utilities 17 228 N N 139.78 2.99 1.0450 4 4.18 A15 0.9675 3/19/20
STAG Industrial Inc. STAG Real Estate Equity Real Estate 10 429 - Trusts
Investment - (REITs)
27.98 5.15 0.1200 12 1.44 Mo. 0.1192 2/27/20
Steris plc STE 15 264
Health Care Health Care Equipment -
& Supplies- 158.62 0.93 0.3700 4 1.48 C28 0.3400 9/9/19
Southwest Gas Corp. SWX Utilities Gas Utilities 13 284 N N 64.68 3.37 0.5450 4 2.18 C01 0.5200 5/14/19
Sensient Technologies Corp. SXT Materials Chemicals 14 282 N N 49.18 3.17 0.3900 4 1.56 C01 0.3600 11/1/19
Stock Yards Bancorp Inc. SYBT Financials Banks 10 386 N N 34.94 3.09 0.2700 4 1.08 A02 0.2600 12/12/19
Territorial Bancorp TBNK Financials Thrifts & Mortgage 10 375 -
Finance - 25.42 3.62 0.2300 4 0.92 B23 0.2200 11/6/19
Taubman Centers Inc. TCO Real Estate Equity Real Estate 10 346 NTrusts
Investment Y (REITs)
52.06 5.19 0.6750 4 2.70 C30 0.6550 3/14/19
Hanover Insurance Group (The) THG Financials Insurance 15 270 - - 118.54 2.19 0.6500 4 2.60 C29 0.6000 12/12/19
Thor Industries Inc. THO Consumer Discretionary
Automobiles 10 373 - - 75.41 2.12 0.4000 4 1.60 B07 0.3900 10/24/19
Thomasville Bancshares Inc. THVB Financials Banks 18 183 - - 49.00 2.86 0.7000 2 1.40 JlDe 0.6500 6/13/19
Contenders End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Tiffany & Company TIF Consumer Discretionary
Specialty Retail 17 207 N Y 133.59 1.74 0.5800 4 2.32 A10 0.5500 6/19/19
TJX Companies Inc. TJX Consumer Discretionary
Specialty Retail 23 148 - - 59.80 1.54 0.2300 4 0.92 C07 0.1950 5/15/19
Texas Pacific Land Trust TPL Energy 15 253
Oil, Gas & Consumable Fuels- - 695.80 1.44 10.0000 1 10.00 Mar 1.7500 3/6/20
Trinity Industries Inc. TRN Industrials Machinery 10 399 - - 20.35 3.73 0.1900 4 0.76 A31 0.1700 1/13/20
Travelers Companies TRV Financials Insurance 15 258 Y Y 119.81 2.74 0.8200 4 3.28 C29 0.7700 6/7/19
Tractor Supply Company TSCO Consumer Discretionary
Specialty Retail 10 354 - - 88.51 1.58 0.3500 4 1.40 C06 0.3100 5/24/19
Toro Company TTC Industrials Machinery 11 315 N Y 71.43 1.40 0.2500 4 1.00 A10 0.2250 12/23/19
Texas Instruments TXN Semiconductors & 16
Information Technology 243 N
Semiconductor Y 114.14
Equipment 3.15 0.9000 4 3.60 B13 0.7700 10/30/19
Domtar Corp. UFS Materials 10 360 -
Paper & Forest Products - 28.77 6.33 0.4550 4 1.82 A15 0.4350 7/1/19
UnitedHealth Group Inc. UNH Health Care Health Care Providers 10 &355 -
Services - 254.96 1.69 1.0800 4 4.32 C27 0.9000 6/14/19
Unum Group UNM Financials Insurance 11 311 Y Y 23.31 4.89 0.2850 4 1.14 B18 0.2600 7/26/19
Union Pacific UNP Industrials Road & Rail 13 286 N N 159.81 2.43 0.9700 4 3.88 C30 0.8800 8/29/19
United Parcel Service Inc. UPS Industrials 11 326 Y
Air Freight & Logistics Y 90.49 4.46 1.0100 4 4.04 C07 0.9600 2/24/20
Utah Medical Products Inc. UTMD Health Care Health Care Equipment 17 218 -
& Supplies- 87.40 1.28 0.2800 4 1.12 A03 0.2750 12/11/19
Visa Inc. V Information Technology
IT Services 12 303 - - 181.76 0.66 0.3000 4 1.20 C06 0.2500 11/14/19
Vector Group Ltd. VGR Consumer Staples
Tobacco 20 168 - - 11.62 13.77 0.4000 4 1.60 C28 0.3810 9/16/19
Valero Energy Corp. VLO Energy 10 407
Oil, Gas & Consumable Fuels- - 66.25 5.92 0.9800 4 3.92 C06 0.9000 2/11/20
VSE Corp. VSEC Industrials Commercial Services 16 & 237 -
Supplies - 29.45 1.22 0.0900 4 0.36 B02 0.0800 7/16/19
Verizon Communications VZ CommunicationDiversified 15 265 Y Services
Services Telecommunication N 54.16 4.54 0.6150 4 2.46 B01 0.6025 10/9/19
Washington Federal Inc. WAFD Financials Thrifts & Mortgage 10 402 -
Finance - 29.99 2.93 0.2200 4 0.88 B23 0.2100 2/6/20
Waste Connections Inc. WCN Industrials Commercial Services 10 & 376 -
Supplies - 96.49 0.77 0.1850 4 0.74 B22 0.1600 11/8/19
WD-40 Company WDFC Consumer Staples
Household Products 11 320 - - 172.49 1.55 0.6700 4 2.68 A31 0.6100 1/15/20
WEC Energy Group Inc. WEC Utilities Multi-Utilities 17 223 N N 92.33 2.74 0.6325 4 2.53 C01 0.5900 2/12/20
Wendy's Company WEN Hotels, Restaurants10& Leisure
Consumer Discretionary 384 - - 18.88 2.54 0.1200 4 0.48 C15 0.1000 11/29/19
Winmark Corp. WINA Consumer Discretionary
Specialty Retail 10 353 - - 200.00 0.50 0.2500 4 1.00 C01 0.1500 5/7/19
Westlake Chemical Corp. WLK Materials Chemicals 16 239 - - 55.87 1.88 0.2625 4 1.05 C18 0.2500 8/26/19
Waste Management WM Industrials Commercial Services 17 & 226 N
Supplies Y 110.81 1.97 0.5450 4 2.18 C26 0.5125 3/5/20
W.P. Carey Inc. WPC Real Estate Equity Real Estate 23 150 NTrusts
Investment N (REITs)
77.41 5.36 1.0380 4 4.15 A16 1.0360 12/29/19
W.R. Berkley Corp. WRB Financials Insurance 18 184 - - 67.14 0.66 0.1100 4 0.44 A05 0.1000 6/17/19
WestRock Company WRK Materials 11 314 -
Containers & Packaging - 33.25 5.59 0.4650 4 1.86 B20 0.4550 11/17/19
Williams-Sonoma Inc. WSM Consumer Discretionary
Specialty Retail 14 276 - - 62.39 3.08 0.4800 4 1.92 B25 0.4300 4/25/19
Wyndham Destinations Inc. WYND Hotels, Restaurants10& Leisure
Consumer Discretionary 347 - - 39.90 4.51 0.4500 4 1.80 C30 0.4100 3/15/19
Xcel Energy XEL Utilities Electric Utilities 17 229 N Y 62.32 2.76 0.4300 4 1.72 A20 0.4050 3/12/20
Xilinx Inc. XLNX Semiconductors & 17
Information Technology 206 -
Semiconductor -Equipment
83.49 1.77 0.3700 4 1.48 C04 0.3600 5/15/19
Xylem Inc. XYL Industrials Machinery 10 421 N N 77.34 1.34 0.2600 4 1.04 C15 0.2400 2/26/20
York Water Company YORW Utilities Water Utilities 22 155 N N 42.29 1.70 0.1802 4 0.72 A16 0.1733 12/29/19
Averages for All 294 14.1 88.70 3.07 0.5753 2.13 0.5090
Averages by Sector
Communication Services 4 12.3 55.5 2.82 0.4763 1.60 0.4456
Consumer Discretionary 32 12.3 72.9 2.85 0.4153 1.66 0.3829
Contenders End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Consumer Staples 20 16.0 84.1 3.31 0.4404 1.76 0.4100
Energy 9 16.8 116.1 6.91 1.7822 3.80 0.8406
Financials 76 14.4 78.1 2.97 0.5384 1.86 0.5030
Health Care 19 13.2 159.9 1.72 0.5332 2.12 0.4818
Industrials 43 14.4 100.3 2.31 0.5291 2.11 0.4811
Information Technology 20 14.3 111.1 2.54 0.6807 2.72 0.6061
Materials 19 12.5 86.7 2.73 0.4905 1.88 0.4611
Real Estate 22 11.8 75.9 5.01 0.7413 3.15 0.7118
Utilities 30 15.9 65.7 3.41 0.5346 2.14 0.5078
Contenders Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYrEPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Aaron's Inc. AAN 1/5/20 14.29 16.7 11.9 10.2 11.9 0.858 n/a 5.46 13.42 12 2.93 0.60 0.70
AmerisourceBergen Corp. ABC 3/2/20 5.00 3.9 4.9 10.0 20.9 0.477 0.378 2019=Year 15 54.55 27.38 9 3.08 3.30 0.09
Accenture plc ACN 11/15/19 9.59 7.2 9.0 8.9 14.8 0.602 0.866 Ireland,US$ 42.72 24.11 8 7.49 2.72 2.72
Acme United Corp. ACU 1/29/19 9.09 9.1 6.3 7.8 9.1 0.851 5.986 32.43 15.69 12 1.48 1.57 0.56
Analog Devices Inc. ADI 3/10/20 14.81 12.5 8.7 7.9 10.4 0.752 0.604 76.78 33.76 10 3.23 4.75 7.08
American Equity Investment Life Holding
AEL Co. 12/11/19 7.14 7.1 7.7 8.4 14.1 0.598 1.030 11.19 9.43 12 2.68 0.94 0.68
American Electric Power Co. AEP 12/10/19 4.48 7.1 6.1 5.9 5.2 1.155 1.652 65.42 20.86 12 4.28 3.38 2.82
American Financial Group Inc. AFG 10/25/19 12.50 13.8 12.7 12.6 12.2 1.033 5.056 18.26 9.37 12 9.86 1.44 1.03
Applied Industrial Technologies Inc.AIT 2/27/20 3.23 3.3 3.5 4.4 7.5 0.584 0.698 33.51 15.44 6 3.82 1.29 0.67
Apartment Investment & Management AIVCo. 2/27/20 5.13 2.6 5.7 8.4 5.6 1.517 0.118 69.79 20.36 12 2.35 2.87 7.73
Assurant Inc. AIZ 12/15/19 5.00 6.6 6.2 18.0 15.2 1.187 n/a 44.92 21.50 12 5.61 1.11 0.72
Arthur J. Gallagher & Co. AJG 3/20/20 4.65 4.9 4.2 3.6 3.0 1.206 0.294 50.99 27.62 12 3.53 2.46 2.56
Allete Inc. ALE 3/1/20 5.11 4.9 4.2 3.7 2.9 1.260 0.840 68.80 19.22 12 3.59 2.75 2.87
Allstate Corp. ALL 4/1/20 8.00 12.0 15.0 11.8 9.4 1.263 2.888 15.35 7.48 12 14.07 1.21 0.76
Autoliv Inc. ALV 6/7/18 3.33 0.8 2.5 3.2 28.0 0.114 n/a 2019=Year 10, Sweden
46.97
US$ 12.64 12 5.28 1.57 0.70
Amgen Inc. AMGN 3/5/20 10.34 9.8 13.2 18.9 n/a n/a 1.351 49.69 15.51 12 12.88 2.17 5.07
Armanino Foods of Distinction Inc. AMNF 4/26/19 11.11 11.4 7.7 8.1 12.5 0.649 n/a 50.00 16.50 12 0.20 n/a 2.53
Ameriprise Financial Inc. AMP 5/17/19 7.78 7.9 9.3 11.0 18.8 0.585 0.648 27.81 10.13 12 13.95 0.88 1.42
American Tower Corp. AMT 1/13/20 6.32 19.9 17.9 20.9 n/a n/a 1.400 RecDat Streak 112.22 63.00 12 3.60 2.85 12.93
TD Ameritrade Holding Corp. AMTD 11/19/19 3.33 30.1 20.6 18.9 n/a n/a 0.827 34.54 11.76 9 3.59 n/a 4.14
Andersons Inc. (The) ANDE 1/22/20 2.94 3.0 3.1 9.1 11.4 0.800 n/a 127.27 33.40 12 0.55 4.15 0.08
Anthem Inc. ANTM 3/26/20 18.75 6.7 7.2 12.8 n/a n/a 0.822 20.60 13.93 12 18.45 0.86 0.62
Alexandria Real Estate Equities Inc.ARE 1/14/20 3.00 7.7 7.2 6.9 5.5 1.251 0.269 132.90 48.99 12 3.10 490.41 12.22
Ashland Global Holdings Inc. ASH 9/15/19 10.00 10.3 12.1 10.1 22.0 0.457 n/a 51.40 33.43 9 2.14 5.89 1.75
Ames National Corp. ATLO 5/15/20 4.17 4.4 4.6 6.3 5.1 1.245 1.575 25¢ Spec-5/15 54.05 13.98 12 1.85 n/a 4.42
Atrion Corp. ATRI 9/30/19 14.81 13.7 14.1 15.8 16.0 0.993 2.296 31.68 31.49 12 19.57 n/a 7.25
Activision Blizzard Inc. ATVI 5/6/20 10.81 8.8 12.5 13.1 n/a n/a 0.655 21.03 29.81 12 1.95 5.67 6.95
Auburn National Bancorp AUBN 3/25/20 2.00 4.2 3.6 3.1 2.8 1.101 0.696 37.50 20.95 12 2.72 n/a 7.03
Avista Corp. AVA 3/13/20 4.52 4.0 4.2 4.1 6.7 0.606 1.070 55.48 16.15 12 2.92 4.62 2.34
Broadcom Limited AVGO 12/30/19 22.64 41.8 76.4 55.5 n/a n/a 1.355 Singapore,US$ 200.93 42.14 10 6.47 3.17 4.89
American Water Works AWK 6/4/19 9.89 9.8 10.1 10.1 9.1 1.109 1.343 58.31 36.05 12 3.43 4.40 6.18
Axis Capital Holdings Ltd. AXS 1/14/20 2.50 2.6 4.6 8.2 7.2 1.139 5.884 49.10 16.80 12 3.34 0.84 0.91
Best Buy Corp. BBY 4/9/20 10.00 8.3 20.3 22.1 13.3 1.659 1.026 38.94 13.39 2 5.65 1.69 0.46
Balchem Inc. BCPC 1/16/20 10.64 11.9 11.4 12.6 20.4 0.616 1.197 21.49 39.03 12 2.42 1.63 5.15
Brookfield Renewable Partners LP BEP 3/29/20 5.34 5.1 5.0 6.2 5.1 1.210 n/a Bermuda,US$ n/a n/a 12 -0.05 n/a 2.99
Bunge Limited BG 9/5/18 8.70 4.2 7.7 9.3 9.6 0.973 1.015 2019=Year 19 n/a n/a 12 -9.36 n/a 0.16
Bar Harbor Bankshares BHB 6/14/19 10.00 9.3 5.8 7.4 6.4 1.150 0.995 52.69 12.23 12 1.67 n/a 2.39
Brookfield Infrastructure Partners LP
BIP 3/31/20 6.97 6.9 9.2 9.4 11.0 0.857 n/a Bermuda,US$ 1194.44 280.78 12 0.18 36.54 3.17
Bank of Utica BKUTK 1/13/20 3.33 4.2 5.4 5.3 7.2 0.735 n/a n/a n/a 12 n/a n/a n/a
BlackRock Inc. BLK 3/22/20 10.00 9.8 13.0 11.3 15.5 0.730 1.192 51.00 16.26 12 28.47 2.35 5.03
Bank of Marin Bancorp BMRC 2/14/20 9.52 26.0 16.2 14.9 10.9 1.368 1.180 Adj. Split 37.10 15.38 12 2.48 1.54 5.20
Bristol-Myers Squibb Co. BMY 2/2/20 9.76 2.5 2.6 2.5 2.8 0.879 0.172 81.82 26.85 8 2.20 1.92 5.26
BOK Financial Corp. BOKF 11/26/19 2.00 5.8 5.1 4.4 7.8 0.562 0.588 30.31 10.76 12 6.73 1.54 3.57
Contenders Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Aaron's Inc.Financial Solutions Inc. BR
Broadridge AAN 10/3/19 11.34 26.3 17.5 17.3 19.0 0.908 1.242 60.34 29.15 12 3.58 2.91 2.79
Cardinal Health Inc. CAH 7/15/19 1.01 2.1 4.6 8.2 14.3 0.574 1.348 n/a n/a 6 -14.24 n/a 0.10
Cass Information Systems Inc. CASS 12/13/19 3.85 23.5 15.9 11.3 12.2 0.929 1.955 Adj/Stk Div 52.17 22.68 12 2.07 n/a 4.19
Casey's General Stores Inc. CASY 8/15/19 10.34 10.9 9.9 9.9 14.3 0.693 0.894 20.22 25.75 12 6.33 2.44 0.64
Cambridge Bancorp CATC 2/19/20 3.92 4.1 3.5 4.0 4.3 0.922 n/a 39.48 12.75 12 5.37 n/a 3.00
CBOE Holdings Inc. CBOE 9/13/19 16.13 15.5 11.8 11.4 n/a n/a 0.532 31.58 25.00 12 4.56 5.97 5.06
Cracker Barrel Old Country CBRL 8/5/19 4.00 4.1 4.3 7.8 20.4 0.384 0.711 57.08 15.73 7 9.11 n/a 1.12
CCFNB Bancorp Inc. CCFN 6/13/19 2.63 2.6 2.6 2.4 4.2 0.581 n/a n/a n/a 12 n/a n/a n/a
Celanese Corp. CE 5/9/19 14.81 15.4 20.3 20.9 31.1 0.671 1.864 36.31 13.72 12 6.83 1.20 1.79
Church & Dwight CHD 3/2/20 5.49 4.4 8.6 8.0 23.0 0.347 0.782 39.34 28.49 12 2.44 3.79 3.92
Chemed Corp. CHE 9/3/19 6.67 6.9 7.4 8.1 13.2 0.615 0.336 9.62 31.38 12 13.31 2.73 3.46
C.H. Robinson Worldwide CHRW 12/30/19 2.00 6.9 4.9 7.0 7.7 0.919 1.068 48.69 16.44 12 4.19 2.09 0.61
Chico's FAS Inc. CHS 3/30/20 2.86 2.9 3.0 3.1 n/a n/a n/a n/a n/a 1 -0.21 n/a 0.24
Comerica Inc. CMA 3/31/20 1.49 41.8 44.2 28.0 18.5 1.517 1.399 34.61 6.70 12 7.86 1.86 2.69
Comcast Corp. CMCSA 4/21/20 9.52 12.7 15.1 13.5 20.0 0.676 1.117 32.51 14.29 12 2.83 1.53 1.70
Cantel Medical Corp. CMD 1/30/20 5.00 17.6 18.6 17.3 n/a n/a 3.207 20.79 62.48 7 1.01 22.70 2.85
CME Group Inc. CME 3/25/20 13.33 7.1 7.7 9.8 12.5 0.781 0.685 57.53 33.64 12 5.91 6.41 14.65
Cummins Inc. CMI 9/3/19 15.00 10.4 7.0 11.8 21.5 0.548 1.189 36.37 10.49 12 14.42 n/a 0.96
CMS Energy Corp. CMS 2/27/20 6.54 7.1 7.3 7.2 11.8 0.610 1.288 71.49 26.50 12 2.28 3.52 2.51
CenterPoint Energy CNP 3/12/20 0.87 3.4 3.7 3.9 4.2 0.921 9.738 92.06 18.27 12 1.26 12.69 0.97
Cohen & Steers Inc. CNS 3/12/20 8.33 14.3 11.5 10.9 21.8 0.498 1.120 55.91 22.46 12 2.79 2.00 7.22
Columbia Sportswear Co. COLM 3/23/20 8.33 6.7 11.6 11.0 11.3 0.975 0.470 2019=Year 14 21.44 16.76 12 4.85 2.23 1.82
CoreSite Realty Corp. COR 7/15/19 10.91 15.4 29.8 27.1 n/a n/a 1.070 238.05 50.60 12 2.05 3.38 6.82
Costco Wholesale COST 5/24/19 14.04 14.0 12.9 12.9 13.7 0.943 1.130 31.63 34.20 8 8.22 5.81 0.81
Chesapeake Utilities CPK 7/5/19 9.46 11.5 9.4 8.0 6.5 1.238 0.902 43.09 22.74 12 3.76 3.79 2.56
Camden Property Trust CPT 4/17/20 3.75 3.6 2.4 4.0 3.3 1.216 n/a 150.91 48.17 12 2.20 13.39 9.92
Cisco Systems Inc. CSCO 4/22/20 2.86 7.8 11.7 13.3 n/a n/a 0.983 52.17 14.47 7 2.76 2.11 3.32
CSX Corp. CSX 3/13/20 8.33 9.1 10.1 8.8 12.6 0.698 0.523 24.94 16.89 12 4.17 2.16 4.62
CubeSmart CUBE 1/14/20 3.13 6.7 15.1 19.7 29.0 0.680 0.209 150.00 34.40 12 0.88 5.72 9.07
Citizens Financial Services CZFS 9/27/19 1.12 2.3 2.4 2.8 7.0 0.394 n/a n/a n/a 12 n/a n/a n/a
Dominion Energy Inc. D 3/19/20 2.45 9.9 9.4 8.9 7.7 1.153 2.062 216.09 44.93 12 1.74 9.22 3.88
Douglas Emmett Inc. DEI 1/14/20 7.69 6.0 6.4 5.8 8.1 0.717 0.122 54.11 18.44 12 2.07 2.30 7.20
Donegal Group Inc. A DGICA 5/15/19 1.75 1.8 1.8 2.0 2.7 0.756 n/a 92.06 22.65 12 0.63 2.27 0.50
Donegal Group Inc. B DGICB 5/15/19 2.00 2.0 2.1 1.9 2.6 0.712 n/a 80.95 18.59 12 0.63 n/a 0.08
Digital Realty Trust DLR 3/29/19 6.93 7.3 6.5 5.1 12.2 0.417 n/a 183.83 51.11 12 2.35 3.07 7.80
DTE Energy Company DTE 1/15/20 7.14 7.1 7.1 7.3 6.0 1.230 1.703 64.29 17.73 12 6.30 2.95 1.68
Duke Energy Corp. DUK 9/16/19 1.89 3.0 3.7 3.5 2.9 1.224 0.482 74.12 17.98 12 5.10 4.37 2.74
Eagle Bancorp Montana Inc. EBMT 9/6/19 2.70 2.7 6.0 4.9 3.3 1.489 0.378 22.35 11.41 6 1.70 1.14 2.69
Edison International EIX 1/30/20 4.08 1.2 8.5 11.5 7.0 1.636 n/a n/a n/a 12 -1.09 n/a 1.94
Estee Lauder Companies Inc. EL 12/16/19 11.63 12.7 12.6 16.1 20.5 0.785 1.692 37.87 36.21 6 5.07 3.50 4.20
Equity LifeStyle Properties ELS 4/10/20 11.84 11.7 13.1 14.3 16.9 0.844 0.580 Adj Split 93.84 46.80 12 1.46 4.05 12.15
Emclaire Financial Corp. EMCF 3/20/20 3.45 3.6 3.7 5.7 4.6 1.235 n/a 41.96 10.36 12 2.86 n/a 2.19
Eastman Chemical Co. EMN 1/2/20 6.45 12.5 11.1 12.5 11.1 1.124 n/a 48.26 11.24 12 5.47 1.50 0.91
Contenders Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Aaron's Inc.
Enbridge Inc. AAN
ENB 2/29/20 9.42 6.8 11.7 11.8 13.0 0.906 0.798 @,Canada 122.61 18.81 12 1.99 3.45 2.01
Ensign Group Inc. ENSG 1/30/20 5.26 4.1 5.9 11.9 14.1 0.848 0.745 12.20 27.13 12 1.64 1.81 1.18
Enterprise Products Partners LP EPD 2/11/20 0.56 2.3 3.3 4.2 5.0 0.845 0.685 82.41 10.81 12 2.16 1.36 1.52
EPR Properties EPR 3/16/20 2.00 4.3 5.5 5.7 4.9 1.174 8.152 177.22 22.87 12 2.59 3.26 6.82
Eversource Energy ES 3/31/20 6.07 5.9 6.3 6.4 8.5 0.755 1.141 80.78 30.77 12 2.81 5.32 3.34
Eaton Corp. plc ETN 3/27/20 2.82 7.6 7.6 7.7 11.0 0.700 1.638 ADR-Ireland,US$ 55.62 17.28 12 5.25 2.56 1.76
Evercore Partners Inc. EVR 6/14/19 16.00 17.9 20.8 16.8 15.9 1.054 0.402 33.62 9.66 12 6.90 n/a 1.54
Evergy Inc EVRG 12/19/19 6.32 11.2 8.8 6.8 5.0 1.369 3.571 Merger of WR and GXP77.69 25.13 12 2.60 3.87 2.88
Extra Space Storage Inc. EXR 6/28/19 4.65 6.0 6.7 14.5 25.1 0.578 0.953 109.76 30.60 12 3.28 5.10 10.22
First American Financial Corp. FAF 3/15/20 4.76 5.0 11.9 14.9 n/a n/a 0.625 2019=Year 10 28.30 9.18 12 6.22 3.40 1.04
Fastenal Company FAST 2/27/20 13.64 13.0 13.2 11.7 17.1 0.686 1.105 72.46 24.80 12 1.38 1.30 3.70
Factset Research System Inc. FDS 6/18/19 12.50 12.9 13.0 13.0 13.6 0.953 1.015 30.93 28.57 8 9.31 3.84 7.02
FedEx Corp. FDX 7/9/18 30.00 13.0 26.0 30.0 19.4 1.544 n/a 2019=Year 18 400.00 217.18 5 0.65 n/a 0.54
First Farmers Financial Corp. FFMR 1/14/20 3.23 29.0 23.3 19.2 15.2 1.267 n/a n/a n/a 12 n/a n/a n/a
First Interstate Bancsystem Inc. FIBK 2/20/20 9.68 10.7 12.1 14.1 n/a n/a 1.992 48.06 12.04 12 2.83 1.50 4.11
Fifth Third Bancorp FITB 4/14/20 12.50 35.3 20.2 12.5 36.8 0.340 1.407 32.14 7.26 12 3.36 0.72 2.81
Foot Locker Inc. FL 5/1/20 5.26 10.4 11.4 11.5 9.5 1.217 1.255 34.71 7.86 1 4.61 1.18 0.49
First of Long Island Corp. FLIC 10/18/19 5.88 11.3 8.5 7.9 7.7 1.031 0.835 43.11 12.40 12 1.67 1.77 3.50
Flowers Foods FLO 6/21/19 5.56 5.6 6.3 9.1 9.6 0.949 n/a 97.44 27.60 12 0.78 5.84 1.11
Farmers and Merchants Bancorp FMAO 1/19/20 6.67 11.1 10.1 7.4 5.2 1.411 0.269 39.75 16.52 12 1.61 n/a 5.20
Franco-Nevada Corp. FNV 6/27/19 4.17 4.2 4.4 4.9 14.7 0.333 n/a Canadian,US$ 93.46 100.47 12 1.07 13.14 27.70
GATX Corp. GATX 3/31/20 4.35 4.5 4.8 6.9 5.1 1.349 1.296 33.05 12.31 12 5.81 1.03 1.79
Graco Inc. GGG 2/4/20 9.37 21.2 13.3 11.8 9.7 1.214 1.122 35.00 24.66 12 2.00 3.08 5.06
Gildan Activewear Inc. GIL 4/6/20 14.93 19.6 21.5 20.0 n/a n/a 7.710 44.00 17.30 9 1.40 1.02 1.73
Globe Life Inc GL 5/1/19 7.81 7.5 6.9 6.6 10.5 0.622 0.606 10.10 13.57 12 6.83 1.86 2.24
Corning Inc. GLW 3/31/20 10.00 11.1 14.0 14.9 14.9 1.000 n/a 83.81 22.72 12 1.05 2.14 1.60
Group 1 Automotive Inc. GPI 3/16/20 3.45 4.8 6.2 9.3 n/a n/a 0.439 12.85 9.13 12 9.34 n/a 0.13
Hasbro Inc. HAS 5/15/19 7.94 8.5 10.3 9.6 12.8 0.748 n/a 68.00 19.31 12 4.00 1.53 2.46
Healthcare Services Group Inc. HCSG 3/27/20 0.63 2.6 2.7 2.7 4.9 0.563 0.256 92.53 31.66 12 0.87 n/a 1.10
Home Depot Inc. HD 3/26/20 10.29 32.0 25.4 23.7 19.4 1.219 1.138 59.46 21.59 1 10.09 2.57 2.16
HDFC Bank Limited HDB 8/23/19 18.08 18.1 15.2 13.1 18.4 0.712 0.930 India 124.21 105.48 3 0.52 4.45 n/a
HEICO Corp. HEI 1/22/20 14.29 33.6 19.5 17.9 18.7 0.958 0.853 6.69 45.13 10 2.39 4.87 6.24
Holly Energy Partners LP HEP 8/13/19 0.37 2.0 5.0 5.6 5.6 1.003 0.466 126.29 9.74 12 2.13 2.67 4.11
Heritage Financial Corp. HFWA 2/19/20 5.26 2.8 16.3 16.8 22.2 0.759 0.863 10¢Spec 10/21 45.20 13.10 12 1.77 1.87 3.91
Hillenbrand Inc. HI 12/30/19 1.19 1.4 1.2 1.2 1.3 0.968 0.560 FY Streak 81.73 22.50 9 1.04 1.80 0.86
Hingham Institution for Savings HIFS 1/14/20 2.50 10.8 8.1 7.2 6.1 1.169 0.416 9.19 10.26 12 17.84 n/a 3.64
Hartford Financial Services Group Inc.
HIG 4/2/20 8.33 14.3 12.6 13.8 9.8 1.400 1.404 2019=Year 9 22.97 8.83 12 5.66 2.08 0.87
Horace Mann Educators Corp. HMN 3/29/19 0.88 0.9 2.8 4.6 17.1 0.267 n/a 26.20 8.87 12 4.39 0.70 1.12
Harley-Davidson Inc. HOG 3/20/20 1.33 1.4 2.3 6.4 14.1 0.453 n/a 56.93 11.41 12 2.67 1.76 0.89
Honat Bancorp Inc. HONT 11/29/19 4.55 6.6 14.0 11.3 12.0 0.948 n/a n/a n/a 12 n/a n/a n/a
HP Inc. HPQ 1/1/20 9.99 15.0 9.2 17.4 15.6 1.116 3.046 35.06 10.34 10 2.01 3.00 0.51
Hill-Rom Holdings Inc. HRC 3/31/20 4.76 5.0 7.3 6.6 7.4 0.889 0.398 39.64 43.27 9 2.22 3.95 2.23
Hershey Company HSY 9/16/19 7.06 8.5 7.6 7.9 9.7 0.823 1.032 56.73 26.42 12 5.45 3.52 3.76
Contenders Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Aaron's Inc.
Hubbell AAN
HUBB 12/16/19 8.33 8.9 9.8 10.7 9.4 1.145 1.820 49.79 18.23 12 7.31 1.96 1.60
Humana Inc. HUM 4/24/20 13.64 13.2 22.8 14.3 n/a n/a 0.646 12.45 15.92 12 20.08 1.20 0.65
Haverty Furniture Companies Inc. HVT 9/11/19 11.11 5.6 20.0 18.9 42.5 0.444 8.585 75.47 15.87 12 1.06 1.21 0.41
Haverty Furniture Companies Inc. AHVT-A 9/11/19 11.76 5.9 20.2 19.1 43.1 0.444 n/a 70.37 15.44 12 1.08 n/a 0.03
Hawkins Inc. HWKN 3/6/20 1.09 3.4 3.9 4.5 5.5 0.813 0.754 Switch to quarterly div36.19 13.91 3 2.57 n/a 0.71
International Business Machines IBM 6/10/19 3.18 3.5 5.3 8.6 11.6 0.746 n/a 60.39 12.13 12 10.73 1.67 1.51
International Bancshares Corp. IBOC 10/15/19 10.00 40.0 21.2 15.1 11.9 1.264 1.324 34.48 10.69 12 3.19 1.07 4.52
IDEX Corp. IEX 5/31/19 16.28 16.3 12.9 12.5 14.9 0.839 1.128 35.91 26.57 12 5.57 2.31 4.52
International Flavors & Fragrances IFF 10/4/19 2.74 5.7 8.5 12.5 11.5 1.094 n/a 81.52 32.55 12 3.68 8.56 2.72
International Paper Co. IP 12/16/19 2.50 4.5 4.1 6.9 20.0 0.347 0.376 66.78 12.04 12 3.07 3.68 0.65
Inter Parfums Inc. IPAR 1/14/20 20.00 31.0 22.4 18.0 23.5 0.767 2.957 69.47 31.61 12 1.90 2.64 2.70
Iron Mountain Inc. IRM 1/1/20 1.23 4.0 6.8 10.4 n/a n/a n/a 266.02 32.70 12 0.93 4.09 2.04
Isabella Bank Corp. ISBA 12/31/19 3.85 1.0 2.3 3.4 7.5 0.449 n/a n/a n/a 12 n/a n/a n/a
Invesco Limited IVZ 6/3/19 3.33 3.4 3.5 4.8 11.7 0.407 2.162 98.41 11.43 12 1.26 5.08 1.10
JB Hunt Transport Services Inc. JBHT 2/20/20 3.85 8.3 5.7 5.4 9.0 0.600 0.586 22.64 20.22 12 4.77 1.54 1.12
J&J Snack Foods Corp. JJSF 1/6/20 15.00 11.1 8.6 9.3 17.8 0.526 1.762 46.37 32.42 9 4.96 5.40 2.53
Kellogg Company K 9/13/19 1.79 2.7 3.5 3.5 4.7 0.754 n/a 81.14 21.52 12 2.81 7.81 1.52
KLA-Tencor Corp. KLAC 12/2/19 13.33 9.2 13.9 10.3 17.8 0.576 0.631 47.62 21.53 6 7.14 1.53 4.74
Kroger Company KR 9/1/19 14.29 13.2 10.1 12.0 12.6 0.952 0.573 32.82 14.43 1 1.95 2.82 0.18
Kennedy-Wilson Holdings Inc. KW 1/1/20 4.76 10.5 15.9 19.8 n/a n/a 0.426 129.41 29.72 12 0.68 3.71 4.74
Quaker Chemical Corp. KWR 7/31/19 4.05 4.1 4.3 6.5 5.1 1.288 1.924 66.96 68.51 12 2.30 5.38 2.98
Lithia Motors Inc. LAD 5/24/19 3.45 4.4 7.8 14.3 n/a n/a 0.698 10.34 10.27 12 11.60 2.14 0.22
Landmark Bancorp Inc. LARK 3/6/19 5.00 0.0 3.3 5.1 5.0 1.005 0.324 Adj/Stk Div 34.63 9.87 12 2.31 n/a 2.83
Lazard Limited LAZ 5/17/19 6.82 6.9 7.5 9.0 15.2 0.596 0.329 Bermuda,US$ 76.42 14.56 12 2.46 3.47 1.53
Lear Corp. LEA 3/18/20 2.67 7.1 35.7 30.3 n/a n/a 3.736 25.35 9.15 12 12.15 n/a 0.35
Littelfuse Inc. LFUS 9/5/19 11.63 13.8 13.6 14.1 n/a n/a 1.284 34.29 28.51 12 5.60 2.38 2.67
L3Harris Technologies Inc LHX 9/18/19 9.49 14.3 11.7 10.0 13.1 0.767 1.044 38.07 25.09 6 7.88 1.84 6.46
Lennox International Inc. LII 7/15/19 20.31 22.6 21.3 21.2 17.5 1.206 1.091 29.64 21.96 12 10.39 2.12 2.33
LeMaitre Vascular Inc. LMAT 3/19/20 11.76 21.4 24.8 20.3 n/a n/a 0.501 43.18 32.39 12 0.88 n/a 4.92
Limoneira Company LMNR 1/15/19 20.00 20.0 14.5 12.7 25.4 0.500 n/a n/a n/a 10 -0.37 n/a 1.81
Lockheed Martin LMT 12/27/19 9.09 9.8 10.0 10.4 14.4 0.721 0.619 43.74 16.85 12 21.95 1.92 1.74
Lincoln National Corp. LNC 1/31/20 8.11 12.1 14.0 18.3 20.0 0.915 n/a 36.70 10.41 12 4.36 1.05 0.53
Lindsay Corp. LNN 8/31/18 3.33 1.6 2.8 3.2 14.9 0.214 n/a 2019=Year 17 142.53 113.83 8 0.87 4.95 2.41
Alliant Energy Corp. LNT 2/17/20 7.04 6.0 6.5 6.8 6.6 1.038 1.200 68.16 23.37 12 2.23 4.06 3.47
Landstar System Inc. LSTR 8/30/19 12.12 11.1 27.2 21.9 15.2 1.441 1.304 12.94 17.65 12 5.72 17.81 0.98
Lyons Bancorp Inc. LYBC 10/15/19 3.33 9.0 8.4 12.1 12.0 1.005 n/a n/a n/a 12 n/a n/a n/a
Mid-America Apartment Communities MAA Inc. 1/30/20 4.17 4.1 5.4 5.6 4.6 1.236 0.605 137.93 44.57 12 2.90 6.36 9.32
Macerich Company MAC 12/3/18 1.35 1.0 2.9 3.6 11.8 0.307 n/a 2019=Year 10 526.32 35.82 12 0.57 170.59 3.29
Marriott International Inc. MAR 6/28/19 17.07 18.6 17.2 19.2 36.6 0.524 0.895 48.36 31.23 12 3.97 6.31 1.98
Microchip Technology Inc. MCHP 3/6/20 0.14 0.5 0.6 0.6 0.8 0.736 n/a 58.02 35.85 3 2.53 6.91 4.24
McKesson Corp. MCK 10/1/19 5.13 12.1 12.2 10.5 12.7 0.828 n/a n/a n/a 3 -5.24 n/a 0.11
Moody's Corp. MCO 3/18/20 12.00 13.6 11.1 12.3 17.5 0.704 1.000 30.15 32.31 12 7.43 2.84 9.63
Magna International Inc. MGA 3/20/20 9.59 10.6 13.4 13.9 41.6 0.335 0.969 Canada,US$ 29.47 8.44 12 5.43 21.59 0.36
Contenders Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYrEPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Aaron's Inc. Holdings Inc.
MarketAxess AAN
MKTX 2/26/20 17.65 21.4 25.2 26.1 40.1 0.651 1.170 44.44 60.06 12 5.40 4.48 24.26
Marsh & McLennan Companies Inc.MMC 8/15/19 9.64 10.1 10.2 10.4 8.1 1.290 1.861 53.37 30.66 12 3.41 3.10 3.19
Magellan Midstream Partners LP MMP 2/13/20 0.74 6.4 7.5 10.0 11.0 0.909 2.565 92.15 12.23 12 4.46 140.59 4.58
Monro Inc. MNRO 6/17/19 10.00 10.3 9.2 11.5 16.9 0.677 1.569 38.26 24.40 3 2.30 1.35 1.49
MidWest One Financial Group Inc. MOFG 3/15/20 8.64 3.8 8.2 6.9 10.4 0.667 2.657 30.34 9.91 12 2.90 1.24 2.56
Morningstar Inc. MORN 1/30/20 7.14 20.0 10.9 12.0 n/a n/a 1.215 31.01 37.96 12 3.87 2.37 5.78
Marathon Petroleum Corp. MPC 3/9/20 9.43 15.2 15.9 18.2 n/a n/a 1.873 58.15 11.88 12 3.99 3.36 0.25
Microsoft Corp. MSFT 12/12/19 10.87 9.9 8.7 10.4 13.8 0.758 0.836 FY Streak 37.71 29.95 6 5.41 2.02 9.48
Motorola Solutions Inc. MSI 1/14/20 12.28 13.0 12.7 13.1 27.8 0.471 0.434 51.82 33.54 12 4.94 3.24 3.59
MSC Industrial Direct Co. Inc. MSM 8/6/19 19.05 16.5 16.6 14.7 13.2 1.115 2.195 59.29 12.22 8 5.06 8.15 1.03
Maxim Integrated Products MXIM 9/13/19 4.35 6.8 14.3 11.7 8.9 1.314 0.586 67.37 19.52 6 2.85 2.05 7.01
Muncy Bank Financial Inc. MYBF 12/12/19 6.06 3.1 7.5 8.8 8.8 0.994 n/a n/a n/a 12 n/a n/a n/a
NewMarket Corp. NEU 10/1/19 8.57 2.1 3.8 10.2 23.0 0.443 2.371 2018 = Year 13 33.44 17.10 12 22.73 2.22 2.02
National Healthcare Corp. NHC 8/30/19 4.00 4.1 6.3 9.1 7.4 1.231 0.466 42.98 15.33 12 4.84 n/a 1.14
National Health Investors NHI 5/8/20 5.00 5.1 5.3 6.4 6.6 0.975 1.681 120.16 22.27 12 3.67 2.23 11.37
New Jersey Resources NJR 10/1/19 6.84 7.2 6.9 6.8 6.7 1.015 2.734 65.79 18.58 9 1.90 3.10 1.41
Nike Inc. NKE 1/1/20 11.36 10.0 11.2 12.9 13.2 0.977 1.182 34.39 31.36 5 2.85 1.87 3.49
National Bankshares NKSH 12/1/19 7.46 14.9 6.2 4.2 5.2 0.819 n/a 54.34 13.19 12 2.65 n/a 5.04
Northrop Grumman NOC 6/19/19 10.00 9.8 13.8 13.7 12.9 1.062 2.182 40.09 24.97 12 13.17 2.37 1.62
Neenah Paper Inc. NP 3/3/20 4.44 9.8 10.9 12.0 16.2 0.741 n/a 62.88 19.32 12 2.99 3.86 0.99
Northrim BanCorp Inc. NRIM 9/13/19 10.00 23.5 17.3 12.5 12.2 1.026 1.468 43.28 11.46 12 3.05 n/a 3.23
Insperity Inc. NSP 3/19/20 33.33 50.0 35.3 26.5 16.5 1.605 0.555 43.13 18.13 12 3.71 1.21 0.62
Nu Skin Enterprises Inc. NUS 3/11/20 1.35 1.4 1.4 1.4 12.4 0.114 n/a 48.39 7.91 12 3.10 n/a 0.56
Northwest Bancshares Inc. NWBI 2/14/20 5.56 5.9 6.3 6.7 6.3 1.069 0.961 73.08 13.36 12 1.04 1.90 3.57
NorthWestern Corp. NWE 3/31/20 4.35 4.5 4.8 7.5 5.6 1.356 1.298 60.30 17.67 12 3.98 4.66 2.85
Norwood Financial NWFL 2/2/20 4.17 9.1 5.1 3.7 3.9 0.951 0.538 44.44 13.72 12 2.25 n/a 4.11
Oil-Dri Corp. of America ODC 8/30/19 4.17 4.3 4.5 4.7 5.4 0.867 0.640 49.50 15.06 7 2.02 n/a 0.82
OGE Energy Corp. OGE 10/30/19 6.16 8.8 9.6 9.9 7.6 1.295 5.496 68.58 16.86 12 2.26 5.28 3.35
Omega Healthcare Investors OHI 11/15/19 1.52 0.4 3.9 5.6 8.2 0.677 n/a 175.16 25.88 12 1.53 1.64 9.29
ONEOK Inc. OKE 2/13/20 2.19 8.8 12.8 10.7 17.3 0.618 0.672 124.25 22.17 12 3.01 1.48 2.61
Omnicom Group Inc. OMC 4/9/19 8.33 6.3 6.7 7.2 15.6 0.463 1.031 42.83 11.41 12 6.07 2.26 1.01
Oracle Corp. ORCL 4/25/19 26.32 19.7 14.9 13.6 19.8 0.691 3.591 2018 = Year 10 31.17 16.06 5 3.08 1.60 4.07
Occidental Petroleum OXY 10/15/19 1.28 1.3 1.3 3.0 9.5 0.317 n/a 227.34 23.55 12 1.39 n/a 1.58
Bank OZK OZK 1/23/20 4.00 18.2 14.3 14.9 21.9 0.680 0.715 Formerly OZRK 31.52 7.69 12 3.30 0.64 2.84
Penske Automotive Group Inc. PAG 3/3/20 2.44 11.3 12.8 15.2 n/a n/a 1.004 31.82 8.72 12 5.28 7.92 0.16
Prosperity Bancshares PB 1/2/20 12.20 13.9 11.0 11.3 11.5 0.979 2.405 40.44 14.20 12 4.55 1.56 7.37
PetMed Express Inc. PETS 8/10/18 8.00 3.8 12.9 9.7 18.4 0.528 0.625 2019=Year 11 85.71 20.95 3 1.26 2.83 1.93
Pfizer Inc. PFE 3/5/20 5.56 5.9 6.3 6.7 6.1 1.111 6.725 53.15 11.69 12 2.86 1.28 3.59
Principal Financial Group Inc. PFG 3/27/20 1.82 3.8 10.6 10.6 15.9 0.665 1.789 45.16 8.95 12 4.96 1.25 0.77
Douglas Dynamics Inc. PLOW 3/31/20 2.75 2.8 5.1 4.6 n/a n/a 0.155 49.56 19.26 12 2.26 1.28 1.77
Philip Morris International PM 10/11/19 2.63 3.8 3.8 3.4 7.6 0.448 n/a 101.52 17.76 12 4.61 2.15 4.17
Pioneer Bankshares Inc. PNBI 3/29/19 4.76 4.8 5.0 5.3 4.4 1.192 n/a n/a n/a 12 n/a n/a n/a
PolyOne Corp. POL 1/9/20 3.85 11.4 17.6 19.5 n/a n/a 6.292 82.65 25.27 12 0.98 5.77 0.84
Contenders Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr EPS%
&=MultiIncThisYr TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Aaron's Inc.
Portland General Electric Co. AAN
POR 7/15/19 6.21 6.4 6.4 6.1 4.1 1.495 3.230 64.44 22.77 12 2.39 4.84 2.29
PPL Corp. PPL 4/1/20 0.61 1.4 2.8 3.6 2.5 1.416 1.874 70.04 12.66 12 2.37 25.28 2.95
Perrigo Company plc PRGO 3/17/20 7.14 7.9 12.2 14.3 13.7 1.047 n/a Ireland,US$ 49.72 28.01 6 1.81 3.51 1.46
Primerica Inc. PRI 3/16/20 17.65 36.0 24.8 23.2 n/a n/a 1.082 19.93 13.87 12 8.03 1.21 2.41
Prudential Financial Inc. PRU 3/12/20 10.00 11.1 12.6 13.0 19.0 0.683 0.504 43.48 7.46 12 10.12 0.83 0.47
Qualcomm Inc. QCOM 6/20/18 8.77 2.1 6.2 9.0 14.0 0.645 n/a 2019=Year 17 70.66 22.31 9 3.51 0.83 4.65
Quaint Oak Bancorp Inc. QNTO 5/6/19 28.57 30.8 29.2 24.2 21.1 1.146 n/a n/a n/a 12 n/a n/a n/a
Ryder System R 9/20/19 3.70 3.8 9.0 9.2 8.6 1.058 3.268 97.39 16.54 12 2.30 n/a 0.23
Ritchie Brothers Auctioneers Inc. RBA 9/18/19 11.11 8.6 4.8 7.1 7.2 0.986 1.444 Can,US$ 66.12 32.81 12 1.21 0.66 3.21
Regal Beloit Corp. RBC 7/12/19 7.14 7.4 7.3 6.7 6.1 1.088 0.538 21.31 13.79 12 5.63 2.01 0.98
Republic Bancorp KY RBCAA 4/16/20 8.33 9.3 8.3 7.3 7.2 1.021 0.312 26.36 8.24 12 4.34 0.82 2.67
Resources Connection Inc. RECN 9/19/19 7.69 8.0 8.7 12.5 n/a n/a 0.885 55.45 12.41 5 1.01 1.55 0.57
Reinsurance Group of America Inc.RGA 8/29/19 16.67 18.2 18.6 15.6 21.9 0.713 1.332 20.54 8.95 12 13.63 1.15 0.54
RGC Resources Inc. RGCO 10/31/19 6.06 6.5 6.9 6.0 4.5 1.344 0.593 55.12 21.61 9 1.27 n/a 3.26
Royal Gold Inc. RGLD 1/16/20 5.66 6.0 4.8 4.8 12.7 0.374 0.574 43.92 37.83 6 2.55 1.83 13.50
Robert Half International Inc. RHI 3/16/20 9.68 10.7 12.1 11.5 10.0 1.154 0.990 34.87 12.93 12 3.90 2.19 0.96
RenaissanceRe Holdings RNR 3/29/19 3.03 3.0 3.1 3.2 3.5 0.912 0.610 ADR-Berm,US$ 8.37 10.49 12 16.24 0.41 1.78
Retail Opportunity Investments Corp.
ROIC 3/30/20 1.52 1.0 3.1 4.2 n/a n/a 0.393 205.13 38.46 12 0.39 4.87 5.86
Rockwell Automation Inc. ROK 12/10/19 5.15 7.8 10.2 10.5 13.0 0.806 n/a 52.17 23.47 9 7.82 3.65 3.15
Rollins Inc. ROL 3/10/20 14.29 12.5 16.3 17.6 17.6 1.000 1.285 Adj Split 77.42 60.39 12 0.62 7.35 6.01
Republic Services Inc. RSG 10/15/19 8.00 8.5 7.8 7.6 7.2 1.051 0.451 48.65 27.11 12 3.33 3.56 2.79
Raytheon Company RTN 5/9/19 8.65 8.7 8.8 9.3 11.8 0.790 0.826 31.60 15.81 12 11.93 1.22 1.81
Starbucks Corp. SBUX 11/29/19 13.89 12.9 20.6 22.1 n/a n/a 1.329 53.59 25.63 9 3.06 2.42 3.46
South Jersey Industries SJI 10/1/19 2.61 2.7 2.9 4.1 6.9 0.602 n/a 125.53 28.78 12 0.94 6.28 1.42
J.M. Smucker Co. SJM 9/3/19 3.53 6.1 6.8 7.2 9.7 0.745 n/a 71.69 20.98 4 4.91 18.24 1.53
Silgan Holdings Inc. SLGN 3/29/19 10.00 10.0 9.0 8.0 8.8 0.909 1.137 25.29 16.45 12 1.74 2.89 0.70
Scotts Miracle-Gro Company SMG 9/10/19 5.45 4.6 5.2 4.9 16.3 0.304 0.181 29.00 13.25 9 8.00 1.34 1.85
Standard Motor Products Inc. SMP 3/2/20 8.70 9.5 10.6 12.1 n/a n/a 2.049 33.00 14.52 12 3.03 2.08 0.88
Snap-on Inc. SNA 12/9/19 13.68 15.2 15.7 16.3 12.6 1.291 1.390 34.81 11.66 12 12.41 1.75 1.94
Southern Company SO 6/6/19 3.33 3.4 3.4 3.4 3.6 0.950 0.217 54.99 13.38 12 4.51 6.38 2.99
Simon Property Group Inc. SPG 8/30/19 2.44 5.1 8.5 10.7 16.1 0.662 0.643 127.66 18.71 12 6.58 2.18 6.77
Spire Inc. SR 1/2/20 5.06 5.3 6.5 6.1 4.4 1.392 0.730 72.38 21.82 9 3.44 4.69 2.00
Sempra Energy SRE 4/15/20 8.01 8.3 8.6 7.8 9.6 0.812 n/a 54.01 18.06 12 7.74 1.52 3.59
STAG Industrial Inc. STAG 4/14/20 0.70 0.7 0.9 2.2 n/a n/a 0.084 423.53 82.29 12 0.34 11.65 10.22
Steris plc STE 9/26/19 8.82 9.2 10.2 10.0 13.2 0.759 0.966 Ireland,US$ 32.24 34.56 3 4.59 3.45 4.53
Southwest Gas Corp. SWX 6/3/19 4.81 4.9 7.1 8.6 8.7 0.994 4.791 59.89 17.77 12 3.64 2.17 1.15
Sensient Technologies Corp. SXT 12/2/19 8.33 8.9 9.8 8.4 6.8 1.239 0.982 80.41 25.35 12 1.94 6.67 1.57
Stock Yards Bancorp Inc. SYBT 12/30/19 3.85 8.3 13.2 12.1 8.7 1.401 0.873 37.37 12.09 12 2.89 1.21 5.38
Territorial Bancorp TBNK 11/21/19 4.55 6.0 7.3 8.2 n/a n/a 1.262 41.07 11.35 12 2.24 2.84 3.33
Taubman Centers Inc. TCO 3/29/19 3.05 3.1 4.3 4.6 5.0 0.916 n/a 80.36 15.49 12 3.36 2.66 4.82
Hanover Insurance Group (The) THG 12/26/19 8.33 10.4 9.2 10.0 12.6 0.797 33.394 24.81 11.31 12 10.48 n/a 0.96
Thor Industries Inc. THO 11/8/19 2.56 4.7 7.6 10.3 18.8 0.549 n/a 51.95 24.48 7 3.08 4.01 0.52
Thomasville Bancshares Inc. THVB 7/2/19 7.69 7.7 18.1 16.6 17.7 0.938 n/a n/a n/a 12 n/a n/a n/a
Contenders Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Aaron's&Inc.
Tiffany Company AAN
TIF 7/10/19 5.45 7.6 10.0 9.4 12.8 0.739 0.352 52.85 30.43 1 4.39 4.13 3.69
TJX Companies Inc. TJX 6/6/19 17.95 19.4 21.4 21.4 22.4 0.958 2.023 Adj/Split 36.22 23.54 1 2.54 2.74 1.79
Texas Pacific Land Trust TPL 3/15/19 471.43 66.7 78.1 45.3 24.9 1.823 0.847 24.17 16.82 12 41.37 n/a 11.23
Trinity Industries Inc. TRN 1/30/20 11.76 23.1 13.3 12.8 14.9 0.863 n/a 2018 = Year 8 69.72 18.67 12 1.09 1.87 0.85
Travelers Companies TRV 6/28/19 6.49 6.6 7.2 8.5 10.1 0.837 n/a 33.03 12.07 12 9.93 1.81 0.97
Tractor Supply Company TSCO 6/11/19 12.90 13.3 13.9 17.4 n/a n/a 1.462 30.04 18.99 12 4.66 1.82 1.25
Toro Company TTC 1/8/20 11.11 12.5 14.5 17.6 19.6 0.897 1.615 39.53 28.23 10 2.53 1.45 2.45
Texas Instruments TXN 11/18/19 16.88 22.1 25.1 21.0 21.7 0.965 1.369 68.70 21.78 12 5.24 3.24 7.59
Domtar Corp. UFS 7/16/19 4.60 2.3 3.0 6.5 n/a n/a 0.246 Canada, US$ 142.19 22.48 12 1.28 4.49 0.31
UnitedHealth Group Inc. UNH 6/25/19 20.00 44.3 28.0 28.8 66.7 0.432 1.426 30.17 17.80 12 14.32 1.35 1.00
Unum Group UNM 8/16/19 9.62 11.2 12.3 11.9 13.2 0.904 0.438 21.76 4.45 12 5.24 0.83 0.40
Union Pacific UNP 9/30/19 10.23 20.9 17.9 15.4 21.2 0.727 1.979 46.25 19.05 12 8.39 1.77 5.13
United Parcel Service Inc. UPS 3/10/20 5.21 5.5 7.2 7.5 7.9 0.948 0.802 79.06 17.71 12 5.11 2.45 1.08
Utah Medical Products Inc. UTMD 1/2/20 1.82 1.9 1.7 1.8 1.7 1.043 0.294 30.35 23.69 12 3.69 n/a 7.55
Visa Inc. V 12/3/19 20.00 19.3 21.5 20.1 25.3 0.795 1.016 22.81 34.56 9 5.26 2.32 16.81
Vector Group Ltd. VGR 9/27/19 5.00 3.9 5.0 4.2 4.6 0.917 1.842 Adj/Stk Div 231.88 16.84 12 0.69 1.53 0.91
Valero Energy Corp. VLO 3/3/20 8.89 12.5 14.5 27.9 20.7 1.350 3.537 71.66 12.11 12 5.47 0.98 0.25
VSE Corp. VSEC 7/31/19 12.50 13.3 13.9 12.3 13.6 0.908 1.789 11.18 9.15 12 3.22 1.14 0.44
Verizon Communications VZ 11/1/19 2.07 2.1 2.2 2.5 2.7 0.928 n/a 52.90 11.65 12 4.65 3.23 1.70
Washington Federal Inc. WAFD 2/20/20 4.76 17.1 13.6 14.3 15.2 0.945 1.302 31.43 10.71 9 2.80 1.53 3.51
Waste Connections Inc. WCN 11/26/19 15.63 14.7 17.5 16.0 n/a n/a 2.051 34.58 45.09 12 2.14 5.31 4.72
WD-40 Company WDFC 1/30/20 9.84 13.0 13.2 12.4 9.3 1.329 1.228 58.52 37.66 8 4.58 3.77 5.70
WEC Energy Group Inc. WEC 2/29/20 7.20 6.8 6.0 8.6 13.3 0.647 1.463 70.67 25.79 12 3.58 4.14 3.87
Wendy's Company WEN 12/16/19 20.00 23.5 19.7 15.4 21.5 0.718 0.211 87.27 34.33 12 0.55 2.86 2.55
Winmark Corp. WINA 6/3/19 66.67 60.7 34.5 31.4 n/a n/a 1.973 13.16 26.32 12 7.60 n/a 10.57
Westlake Chemical Corp. WLK 9/11/19 5.00 11.4 11.3 12.0 25.0 0.479 n/a 32.31 17.19 12 3.25 1.16 0.90
Waste Management WM 3/20/20 6.34 10.2 7.7 6.4 5.9 1.100 0.921 Est Dates 55.75 28.34 12 3.91 3.94 3.04
W.P. Carey Inc. WPC 1/14/20 0.19 1.5 1.6 2.7 7.6 0.357 0.084 165.42 30.84 12 2.51 n/a 11.16
W.R. Berkley Corp. WRB 7/2/19 10.00 9.3 8.1 8.4 10.4 0.813 4.969 Adj. Split 12.46 19.02 12 3.53 5.45 1.55
WestRock Company WRK 12/2/19 2.20 4.9 8.7 23.3 24.6 0.947 58.269 55.69 9.96 9 3.34 0.85 0.46
Williams-Sonoma Inc. WSM 5/31/19 11.63 11.3 8.6 7.5 14.6 0.518 1.109 44.24 14.38 1 4.34 5.14 0.83
Wyndham Destinations Inc. WYND 3/29/19 9.76 (4.8) (3.5) 5.2 27.4 0.188 n/a Adj/Spin-off 38.38 8.51 12 4.69 0.66 0.91
Xcel Energy XEL 4/20/20 6.17 6.3 6.0 6.2 5.2 1.206 1.172 65.15 23.61 12 2.64 3.87 2.89
Xilinx Inc. XLNX 6/3/19 2.78 2.8 4.2 6.4 9.7 0.653 0.684 44.18 24.92 3 3.35 3.33 6.57
Xylem Inc. XYL 3/26/20 8.33 14.3 15.7 13.4 n/a n/a 0.663 47.06 35.00 12 2.21 3.09 2.66
York Water Company YORW 10/14/19 3.98 4.0 3.7 3.9 3.2 1.205 0.574 63.79 37.42 12 1.13 7.61 10.85
Averages for All 294 9.47 10.2 10.7 11.0 12.8 0.879 1.802 67.36 24.27 4.41 6.89 3.34
Averages by Sector
Communication Services 4 7.69 7.47 9.11 9.08 12.76 0.689 0.934 37.32 16.79 3.88 3.17 2.84
Consumer Discretionary 32 10.72 11.31 13.58 14.22 21.38 0.692 1.772 43.10 17.92 4.52 3.28 1.56
Contenders Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Aaron's
ConsumerInc. Staples AAN20 8.72 9.26 8.51 8.97 12.86 0.744 1.296 69.55 24.71 2.54 4.89 1.98
Energy 9 56.03 13.55 16.68 15.19 13.36 0.971 1.430 103.23 15.35 7.33 21.98 3.13
Financials 76 7.35 11.37 10.81 10.50 11.85 0.915 1.852 39.81 16.36 5.38 2.09 3.47
Health Care 19 8.38 10.12 11.07 12.01 15.01 0.837 1.299 36.17 26.99 5.68 3.86 2.79
Industrials 43 10.05 11.94 11.64 11.50 12.15 0.948 1.279 56.35 28.69 5.00 2.93 2.25
Information Technology 20 10.78 13.39 15.18 14.27 15.18 0.803 1.280 59.94 25.00 4.42 2.73 5.00
Materials 19 6.03 7.55 8.63 10.58 16.16 0.716 5.859 57.38 27.85 4.12 4.00 3.55
Real Estate 22 4.15 5.80 7.96 9.46 10.65 0.845 1.049 174.08 36.91 2.25 35.54 8.26
Utilities 30 5.32 6.03 6.36 6.62 6.40 1.103 2.047 113.60 32.04 2.77 6.71 3.04
Contenders Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Aaron's Inc. AAN 1.51 1.70 -83.50 13.60 -15.70 22.30 2,770 1.2 0.20 (2.8) 10.6 (5.1) 0.14 0.16
AmerisourceBergen Corp. ABC 5.88 22.10 -18.60 7.09 26.40 8.29 17,280 0.1 1.41 (15.4) 12.0 167.5 1.62 1.73
Accenture plc ACN 7.57 34.30 11.30 9.62 10.30 8.85 119,760 0.1 0.00 (13.4) 10.7 184.8 3.29 3.61
Acme United Corp. ACU 1.41 9.50 -8.70 11.49 1.30 10.00 78 11.0 0.76 (5.8) 9.8 (0.8) 0.48 0.53
Analog Devices Inc. ADI 3.44 n/a 690.00 19.31 13.00 7.10 40,740 0.1 0.47 (23.6) 10.1 127.2 2.38 2.61
American Equity Investment Life Holding
AEL Co. 0.56 6.50 114.90 3.99 8.20 10.00 2,370 0.8 0.18 0.2 9.6 (51.5) 0.33 0.34
American Electric Power Co. AEP 2.24 9.80 0.10 6.49 3.60 6.17 44,380 0.0 1.52 (11.8) 9.1 44.1 2.71 2.89
American Financial Group Inc. AFG 1.32 12.40 -9.70 3.44 2.50 6.50 8,480 0.2 0.23 5.2 14.6 (25.8) 1.67 1.72
Applied Industrial Technologies Inc.AIT 2.37 14.50 4.60 9.14 6.30 12.00 2,300 0.6 0.99 (8.9) 6.6 27.5 1.30 1.42
Apartment Investment & Management AIVCo. 4.16 n/a 126.70 -19.38 71.30 7.10 7,080 0.6 0.00 (8.5) 11.9 94.0 1.72 1.73
Assurant Inc. AIZ 1.31 6.50 45.90 14.74 -1.90 19.40 7,290 0.2 0.36 (1.4) 20.1 11.9 2.67 2.94
Arthur J. Gallagher & Co. AJG 3.55 13.50 2.00 12.52 12.30 11.24 18,410 0.1 0.89 (22.2) 5.5 108.7 1.75 1.93
Allete Inc. ALE 1.60 8.40 6.20 12.55 4.40 7.00 3,560 0.2 0.72 (11.9) 7.3 16.9 2.50 2.75
Allstate Corp. ALL 1.49 12.70 -15.80 5.74 4.10 6.19 34,050 0.3 0.29 6.4 13.9 (29.6) 1.98 2.09
Autoliv Inc. ALV 2.93 12.60 -42.00 13.46 -3.20 8.07 5,950 0.2 1.06 (5.7) 6.9 28.3 2.50 2.76
Amgen Inc. AMGN 12.25 74.30 2.00 9.03 14.00 7.16 118,440 0.2 3.09 6.6 22.1 190.6 5.92 6.45
Armanino Foods of Distinction Inc. AMNF 5.09 n/a n/a n/a n/a n/a 106 n/a n/a (5.4) 11.1 93.2 0.10 0.10
Ameriprise Financial Inc. AMP 3.13 32.90 25.90 11.72 17.00 11.56 18,340 0.4 3.07 3.6 13.8 18.7 4.19 4.61
American Tower Corp. AMT 19.16 30.00 3.80 13.54 14.90 22.10 100,670 0.1 4.10 (40.4) 22.6 632.4 3.75 4.12
TD Ameritrade Holding Corp. AMTD 2.61 23.20 60.90 2.26 22.80 -11.40 23,980 0.3 0.00 10.0 21.8 16.8 1.33 1.36
Andersons Inc. (The) ANDE 0.62 4.00 233.10 14.95 -14.40 8.00 614 2.8 1.22 (20.5) 12.9 (4.1) 0.75 0.82
Anthem Inc. ANTM 2.05 15.50 31.10 14.75 15.60 16.14 65,070 0.1 0.63 0.4 14.3 12.7 3.52 3.87
Alexandria Real Estate Equities Inc.ARE 1.96 4.40 -11.50 14.00 25.70 0.10 18,720 1.4 0.76 (39.4) 9.6 106.6 3.98 4.38
Ashland Global Holdings Inc. ASH 1.18 17.00 183.40 26.05 -1.80 5.67 4,290 0.4 0.46 (21.8) 11.6 32.4 1.18 1.30
Ames National Corp. ATLO 1.28 9.70 14.30 n/a 4.00 n/a 240 1.9 0.00 (3.8) 10.2 (10.8) 1.05 1.08
Atrion Corp. ATRI 4.92 16.40 3.30 n/a 6.90 n/a 1,130 8.3 0.00 (14.6) 16.9 162.4 5.99 6.17
Activision Blizzard Inc. ATVI 3.64 17.00 102.00 14.80 20.00 5.25 45,100 0.1 0.22 (16.0) 13.8 119.6 0.41 0.45
Auburn National Bancorp AUBN 2.10 10.00 7.50 n/a 4.40 n/a 205 1.7 0.00 (16.1) 4.9 39.8 1.08 1.11
Avista Corp. AVA 1.65 10.40 6.30 6.59 3.80 3.50 3,170 0.9 1.12 (8.6) 7.5 8.8 1.65 1.76
Broadcom Limited AVGO 4.32 11.70 -44.30 9.85 41.00 13.30 110,600 0.1 1.32 18.2 60.3 184.4 11.31 12.43
American Water Works AWK 3.66 10.20 6.70 9.43 7.50 8.20 22,300 0.2 1.55 (24.4) 11.7 142.2 2.09 2.28
Axis Capital Holdings Ltd. AXS 0.98 3.60 100.10 9.84 1.39 20.02 4,690 2.7 0.29 (5.7) 11.1 (14.5) 1.76 1.93
Best Buy Corp. BBY 6.37 46.90 26.60 5.04 21.50 7.95 19,940 0.4 0.40 11.6 25.0 94.7 2.15 2.25
Balchem Inc. BCPC 4.13 10.90 20.10 -11.66 10.50 24.00 3,300 0.8 0.00 (25.9) 13.1 167.7 0.52 0.52
Brookfield Renewable Partners LP BEP 1.95 n/a n/a n/a -86.13 n/a 8,920 n/a n/a n/a 10.6 n/a 2.12 2.19
Bunge Limited BG 1.76 10.30 23.50 17.46 9.20 10.10 6,740 3.1 1.72 n/a 13.6 n/a 2.20 2.42
Bar Harbor Bankshares BHB 0.80 7.80 7.90 n/a 7.40 n/a 320 1.2 0.11 (0.6) 11.7 (34.1) 0.93 0.96
Brookfield Infrastructure Partners LP
BIP 2.48 n/a 1257.10 93.16 -2.22 7.60 20,890 42.3 0.00 (267.1) 13.7 456.3 2.21 2.43
Bank of Utica BKUTK n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 9.0 n/a 15.45 15.91
BlackRock Inc. BLK 2.22 13.10 15.70 8.01 9.50 6.92 73,140 1.3 0.18 (1.8) 14.5 26.7 14.52 15.68
Bank of Marin Bancorp BMRC 1.55 10.50 53.70 4.71 12.60 10.00 522 1.0 0.01 1.9 17.3 2.9 0.88 0.92
Bristol-Myers Squibb Co. BMY 5.46 39.40 28.70 20.05 14.50 14.00 137,480 0.1 1.41 (21.3) 5.5 155.2 1.80 1.98
BOK Financial Corp. BOKF 1.06 10.20 24.80 4.16 7.50 7.00 5,130 0.6 0.06 (3.5) 7.2 (28.8) 2.21 2.30
Contenders Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Aaron's Inc.Financial Solutions Inc. BR
Broadridge AAN 10.64 36.20 10.40 10.09 13.90 10.00 12,160 0.6 1.64 (9.8) 19.3 271.3 2.19 2.41
Cardinal Health Inc. CAH 15.24 -116.50 308.40 4.21 6.10 4.45 15,390 0.3 7.94 n/a 11.9 n/a 2.11 2.19
Cass Information Systems Inc. CASS 2.74 12.80 12.70 n/a 5.80 n/a 677 2.0 1.62 (9.0) 13.6 66.2 1.16 1.19
Casey's General Stores Inc. CASY 3.85 16.10 45.10 8.96 11.10 10.55 6,020 0.1 0.84 (15.0) 10.7 109.9 1.34 1.46
Cambridge Bancorp CATC 1.37 11.14 n/a n/a n/a n/a 393 3.2 n/a (5.7) 7.1 (11.9) 2.10 2.16
CBOE Holdings Inc. CBOE 4.06 n/a 3.00 9.00 21.47 4.19 12,640 1.1 n/a (12.3) 12.7 112.4 1.38 1.50
Cracker Barrel Old Country CBRL 5.69 35.30 2.80 6.91 11.00 -0.40 3,450 1.0 0.80 (4.3) 11.4 99.5 5.24 5.61
CCFNB Bancorp Inc. CCFN n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 5.6 n/a 1.60 1.64
Celanese Corp. CE 4.50 30.50 -22.60 8.35 11.20 11.40 11,300 0.1 1.56 9.8 23.5 65.7 2.42 2.63
Church & Dwight CHD 6.40 23.80 7.70 7.12 10.20 7.51 17,070 0.2 0.77 (19.1) 9.4 184.7 0.98 1.05
Chemed Corp. CHE 9.92 32.50 127.90 11.65 24.10 11.50 6,710 1.4 0.20 (23.0) 8.4 271.9 1.36 1.50
C.H. Robinson Worldwide CHRW 5.61 34.70 -11.90 17.70 6.60 7.87 9,330 0.8 0.79 (6.4) 10.0 102.5 2.03 2.23
Chico's FAS Inc. CHS 0.85 -4.40 -65.60 66.70 -10.00 10.00 488 0.2 0.00 n/a 12.1 n/a 0.35 0.39
Comerica Inc. CMA 1.03 16.30 10.60 4.22 20.00 3.60 7,550 0.8 0.47 26.5 33.2 (44.6) 2.87 2.99
Comcast Corp. CMCSA 2.23 16.70 11.80 6.40 12.10 9.36 184,880 0.1 1.30 1.5 15.8 19.0 0.90 0.96
Cantel Medical Corp. CMD 3.62 6.20 -31.20 10.80 5.40 2.75 2,710 8.6 1.24 (44.8) 17.6 217.0 0.20 0.22
CME Group Inc. CME 2.65 6.90 -51.00 6.99 14.30 5.25 71,310 0.1 0.15 (22.1) 11.5 99.1 3.03 3.24
Cummins Inc. CMI 3.05 28.80 9.50 7.86 9.90 -0.60 22,690 0.1 0.32 4.7 15.2 19.3 5.37 5.79
CMS Energy Corp. CMS 3.41 13.80 3.00 7.45 5.60 7.51 17,180 0.4 2.63 (16.6) 9.9 100.4 1.58 1.69
CenterPoint Energy CNP 1.75 9.80 -52.90 -7.22 0.40 1.44 11,770 0.1 2.38 (9.3) 8.9 19.2 1.16 1.17
Cohen & Steers Inc. CNS 10.64 48.40 36.90 12.08 9.70 11.20 2,960 8.8 0.00 (9.1) 13.3 225.9 1.58 1.74
Columbia Sportswear Co. COLM 3.15 18.30 138.70 9.85 23.40 7.50 5,530 17.9 0.00 (4.5) 12.3 53.2 1.06 1.16
CoreSite Realty Corp. COR 24.46 39.90 -7.40 10.93 25.30 14.95 3,910 0.6 9.35 (18.8) 31.8 641.7 4.69 5.16
Costco Wholesale COST 7.83 25.10 11.90 7.93 11.40 5.88 125,020 0.2 0.45 (20.4) 13.8 245.0 2.77 2.99
Chesapeake Utilities CPK 2.57 13.20 28.80 7.37 8.90 6.00 1,410 1.2 1.24 (12.8) 9.9 61.2 1.71 1.83
Camden Property Trust CPT 2.89 6.10 36.60 6.19 -6.20 3.60 10200.00 0.7 0.70 (41.1) 7.1 148.7 3.49 3.70
Cisco Systems Inc. CSCO 4.76 31.50 30.30 4.43 13.50 6.87 171,370 0.1 0.45 2.4 16.9 74.9 1.52 1.59
CSX Corp. CSX 4.61 27.50 8.60 10.70 16.80 7.83 55,130 0.1 1.37 (6.6) 10.3 86.1 1.04 1.15
CubeSmart CUBE 3.22 10.10 19.40 6.09 94.30 6.00 5,840 0.4 1.01 (10.3) 24.1 121.9 1.41 1.49
Citizens Financial Services CZFS n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 5.6 n/a 1.84 1.90
Dominion Energy Inc. D 2.30 3.40 12.70 5.60 4.30 4.88 64,260 0.2 1.48 (31.3) 13.7 114.3 4.04 4.26
Douglas Emmett Inc. DEI 2.47 14.50 207.20 13.48 47.30 8.00 6,750 2.0 1.70 (9.7) 8.7 42.3 1.17 1.28
Donegal Group Inc. A DGICA 0.92 4.20 -568.60 32.53 -25.90 10.00 396 0.7 0.09 (16.5) 6.1 (3.8) 0.58 0.64
Donegal Group Inc. B DGICB 0.76 n/a n/a n/a n/a n/a 65 3.4 n/a (12.4) 6.2 (20.8) 0.52 0.54
Digital Realty Trust DLR 3.00 2.70 22.20 28.56 -10.60 16.66 25,030 0.0 1.33 (42.5) 8.7 161.1 4.68 5.14
DTE Energy Company DTE 1.83 10.80 0.20 7.16 4.30 6.00 21,310 0.3 1.50 (6.8) 10.9 20.1 3.79 4.06
Duke Energy Corp. DUK 1.50 8.30 35.20 4.09 7.30 4.12 68,810 0.1 1.37 (10.3) 7.6 9.5 4.12 4.29
Eagle Bancorp Montana Inc. EBMT 1.03 6.80 -22.20 8.22 13.00 10.00 125 5.5 0.21 (4.5) 6.9 (27.7) 0.38 0.41
Edison International EIX 1.77 -2.60 -144.60 -2.91 -20.30 3.90 24,020 0.1 1.41 n/a 15.3 n/a 2.47 2.50
Estee Lauder Companies Inc. EL 14.46 41.20 18.30 15.18 9.50 10.37 66,660 0.3 1.13 (19.1) 17.1 382.4 1.95 2.14
Equity LifeStyle Properties ELS 9.95 22.20 3.10 10.11 24.60 11.60 12,480 1.1 1.91 (30.5) 16.3 354.9 1.23 1.35
Emclaire Financial Corp. EMCF 0.98 6.90 -52.50 n/a -10.60 n/a 79 18.2 0.41 (0.6) 9.7 (32.8) 1.17 1.21
Eastman Chemical Co. EMN 1.40 15.50 3.70 9.74 -0.10 7.49 8,420 0.4 1.03 5.5 16.8 (16.4) 2.61 2.87
Contenders Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Aaron's Inc.
Enbridge Inc. AAN
ENB 1.72 8.70 81.10 9.64 14.80 5.45 75,880 9.2 1.11 (0.5) 18.3 19.9 2.44 2.67
Ensign Group Inc. ENSG 3.63 16.80 49.80 8.73 16.00 15.00 2,410 1.6 0.50 (14.8) 12.4 109.2 0.21 0.23
Enterprise Products Partners LP EPD 2.09 20.80 46.90 4.49 6.10 7.96 51,630 0.2 1.14 1.0 11.8 0.2 1.93 2.02
EPR Properties EPR 1.51 6.60 -0.60 20.86 0.70 7.00 4,710 0.7 1.02 (9.4) 13.5 23.9 4.53 4.98
Eversource Energy ES 2.31 7.30 5.10 6.36 5.60 5.79 28,440 0.3 1.29 (21.8) 9.0 77.7 2.25 2.39
Eaton Corp. plc ETN 2.38 13.70 -24.90 9.41 4.70 6.74 37,560 0.2 0.51 (6.4) 10.9 35.2 2.87 3.14
Evercore Partners Inc. EVR 3.46 47.80 39.10 3.30 41.80 -4.00 3,130 3.3 0.52 10.6 20.3 21.8 2.46 2.55
Evergy Inc EVRG 1.78 6.80 10.30 8.68 1.90 6.50 15,030 0.2 1.14 (15.3) 9.9 41.0 2.12 2.31
Extra Space Storage Inc. EXR 5.12 17.60 -15.90 4.81 15.20 6.00 12,770 1.1 1.91 (12.5) 18.1 163.9 3.60 3.77
First American Financial Corp. FAF 1.46 17.00 48.60 -3.22 23.80 2.70 6,430 0.3 0.23 8.8 18.0 (22.8) 1.85 1.87
Fastenal Company FAST 7.34 31.20 6.60 7.49 10.60 19.00 19,730 0.1 0.13 (10.2) 14.6 184.4 0.93 1.00
Factset Research System Inc. FDS 14.60 55.40 21.00 5.15 12.80 7.43 10,180 1.3 0.83 (14.5) 14.1 330.6 3.08 3.24
FedEx Corp. FDX 1.97 0.40 -83.80 16.10 -25.20 -2.01 37,240 0.1 1.01 (185.3) 31.9 336.1 2.63 2.89
First Farmers Financial Corp. FFMR n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 21.9 n/a 1.22 1.25
First Interstate Bancsystem Inc. FIBK 1.11 8.80 36.90 4.02 7.10 8.00 2,230 0.3 0.05 6.1 18.1 (22.9) 1.36 1.42
Fifth Third Bancorp FITB 0.90 11.30 23.80 6.22 8.900 10.150 17570 0.2 0.74 9.7 16.9 (46.1) 1.01 1.07
Foot Locker Inc. FL 1.60 20.50 47.60 6.52 9.20 6.67 3,950 0.3 0.05 8.1 16.0 (25.2) 1.63 1.74
First of Long Island Corp. FLIC 1.31 10.70 11.00 1.45 9.50 7.00 503 4.6 0.93 (1.0) 11.4 (15.0) 0.76 0.77
Flowers Foods FLO 3.61 12.90 8.40 3.26 -1.20 4.75 4,590 2.1 0.72 (15.0) 12.6 110.4 0.81 0.84
Farmers and Merchants Bancorp FMAO 1.29 8.10 17.30 5.10 27.50 n/a 301 0.4 0.00 (6.7) 9.8 (2.7) 0.66 0.69
Franco-Nevada Corp. FNV 4.13 n/a 14.90 6.50 -2.89 7.67 20,270 1.8 n/a (94.7) 5.8 329.4 1.09 1.16
GATX Corp. GATX 1.37 11.60 14.10 2.52 5.30 12.00 2,500 1.7 2.62 (2.8) 9.6 (13.4) 2.02 2.08
Graco Inc. GGG 8.03 36.40 1.80 6.34 10.50 8.00 8,320 1.0 0.17 (11.5) 13.2 196.7 0.65 0.69
Gildan Activewear Inc. GIL 2.51 15.40 2.70 10.92 2.60 17.00 5,020 8.4 0.50 5.3 22.6 38.9 0.55 0.61
Globe Life Inc GL 1.38 11.20 24.50 6.54 10.80 7.30 10,130 1.5 0.22 (6.3) 7.3 (8.8) 0.75 0.79
Corning Inc. GLW 1.57 7.90 -5.70 23.81 -9.20 10.59 18,440 0.1 0.73 (4.2) 18.6 25.9 0.81 0.89
Group 1 Automotive Inc. GPI 1.21 14.20 20.10 15.19 21.10 -3.00 1,600 3.7 2.47 1.5 10.7 (29.9) 1.20 1.32
Hasbro Inc. HAS 5.31 18.00 -63.30 15.05 -1.10 12.60 11,620 7.4 0.93 (6.2) 13.1 113.5 2.70 2.97
Healthcare Services Group Inc. HCSG 4.50 19.00 -10.20 14.93 10.70 -2.61 2,030 0.4 0.02 (26.0) 5.7 151.6 0.80 0.88
Home Depot Inc. HD n/a -709.20 30.50 4.56 20.80 8.40 239,250 0.1 n/a 4.8 26.4 n/a 5.98 6.26
HDFC Bank Limited HDB 17.77 n/a 23.40 22.80 14.05 23.80 45,830 0.0 n/a (91.2) 14.2 812.7 0.71 0.78
HEICO Corp. HEI 8.70 20.80 32.00 6.27 21.00 9.28 12,830 6.1 0.34 (27.1) 18.1 317.7 0.15 0.16
Holly Energy Partners LP HEP 5.75 56.70 25.30 4.27 12.00 3.64 2,190 0.2 4.03 8.8 18.6 57.7 2.95 3.08
Heritage Financial Corp. HFWA 1.06 8.30 1.00 5.61 19.50 7.00 851 0.5 0.03 7.2 20.3 (21.4) 0.75 0.79
Hillenbrand Inc. HI 1.42 n/a 39.80 14.48 2.20 12.50 1,690 0.6 1.65 (17.6) 4.9 19.2 0.93 1.02
Hingham Institution for Savings HIFS 1.64 14.20 16.70 n/a 17.20 n/a 390 3.2 0.00 (2.2) 8.1 (13.5) 1.69 1.74
Hartford Financial Services Group Inc.
HIG 1.15 11.30 133.90 7.68 9.80 4.24 18,010 0.1 0.31 7.5 16.4 (32.8) 1.32 1.42
Horace Mann Educators Corp. HMN 1.03 8.20 -74.20 6.78 -30.30 12.70 1,610 1.1 0.27 (1.3) 7.5 (36.3) 1.16 1.24
Harley-Davidson Inc. HOG 2.60 23.10 -16.10 12.50 -7.10 6.50 4,750 0.2 4.13 (0.0) 11.4 14.8 1.52 1.67
Honat Bancorp Inc. HONT n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 12.9 n/a 1.83 1.89
HP Inc. HPQ n/a -223.20 15.10 2.44 5.70 3.45 30,130 0.1 n/a 10.4 20.8 n/a 0.70 0.72
Hill-Rom Holdings Inc. HRC 3.96 9.30 -16.80 11.52 16.60 10.97 6,490 0.2 1.23 (35.7) 7.5 175.9 0.85 0.93
Hershey Company HSY 17.31 69.90 -1.60 5.61 7.70 7.50 30,040 0.4 2.45 (16.3) 10.1 350.8 3.02 3.19
Contenders Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Aaron's Inc.
Hubbell AAN
HUBB 3.72 21.30 13.60 6.79 5.90 9.30 7,360 0.5 0.81 (4.8) 13.5 73.6 3.77 4.03
Humana Inc. HUM 3.52 23.40 61.50 19.48 22.20 13.29 42,490 0.2 0.49 (0.8) 15.1 57.8 2.37 2.60
Haverty Furniture Companies Inc. HVT 1.23 10.00 15.90 17.65 2.20 13.10 326 0.9 0.00 7.8 23.6 (6.9) 0.84 0.92
Haverty Furniture Companies Inc. AHVT-A 1.26 n/a n/a n/a n/a n/a 26 n/a n/a 8.3 23.7 (7.0) 0.74 0.76
Hawkins Inc. HWKN 1.62 12.10 204.70 n/a 5.90 n/a 386 9.5 0.29 (6.9) 7.1 0.1 1.01 1.04
International Business Machines IBM 6.42 50.70 -2.00 6.03 -5.20 7.26 116,330 0.1 3.69 1.5 13.6 86.0 6.49 6.89
International Bancshares Corp. IBOC 1.08 10.50 39.30 n/a 11.40 10.00 2,240 3.6 0.07 7.6 18.3 (28.4) 1.16 1.19
IDEX Corp. IEX 5.18 20.60 20.00 7.86 11.10 11.50 11,270 0.4 0.39 (12.7) 13.9 147.3 2.12 2.29
International Flavors & Fragrances IFF 2.22 5.70 -24.00 9.93 -0.60 3.80 12,840 0.2 0.73 (17.5) 15.0 79.2 2.99 3.29
International Paper Co. IP 1.88 16.30 -21.80 6.71 18.40 3.27 14,500 0.3 1.27 0.4 12.5 0.3 2.03 2.17
Inter Parfums Inc. IPAR 4.13 13.20 25.10 6.91 6.10 12.00 1,920 0.2 0.06 (11.4) 20.2 140.9 1.21 1.29
Iron Mountain Inc. IRM 5.96 16.70 -27.30 15.49 -9.70 8.00 8,710 0.1 5.96 (14.2) 18.5 194.3 2.47 2.72
Isabella Bank Corp. ISBA n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 7.9 n/a 1.08 1.11
Invesco Limited IVZ 0.70 6.40 -7.50 0.48 2.20 2.25 6,740 0.3 0.81 1.9 13.4 (40.4) 1.24 1.25
JB Hunt Transport Services Inc. JBHT 4.69 21.90 -50.20 14.73 9.20 13.14 10,300 2.6 0.59 (13.7) 6.5 105.3 1.05 1.16
J&J Snack Foods Corp. JJSF 3.61 11.50 24.30 4.73 5.30 6.00 3,030 1.2 0.00 (21.7) 10.8 128.1 2.20 2.30
Kellogg Company K 7.56 32.90 5.60 5.05 -5.10 2.76 20,670 18.4 2.89 (14.2) 7.3 168.9 2.39 2.51
KLA-Tencor Corp. KLAC 9.06 42.00 -2.80 10.03 16.30 14.09 25,020 0.3 1.27 (9.0) 12.5 194.4 3.13 3.44
Kroger Company KR 2.53 18.50 251.20 6.52 21.00 5.11 22,130 0.2 1.53 (0.1) 14.3 27.4 0.66 0.70
Kennedy-Wilson Holdings Inc. KW 2.29 7.80 124.80 -192.10 46.50 8.00 2,870 6.6 4.16 (5.5) 24.2 73.9 0.92 0.93
Quaker Chemical Corp. KWR 2.12 4.70 171.20 19.21 3.40 12.75 2,840 0.8 0.72 (61.0) 7.5 154.1 1.66 1.83
Lithia Motors Inc. LAD 2.03 21.40 -7.80 8.75 20.50 4.80 2,810 1.6 2.44 5.0 15.3 (3.7) 1.20 1.31
Landmark Bancorp Inc. LARK 0.99 10.30 160.30 n/a 15.60 n/a 105 8.2 0.36 (1.3) 8.6 (34.1) 0.88 0.91
Lazard Limited LAZ 6.39 53.80 -20.20 9.85 27.50 4.20 4,090 0.8 2.74 (0.3) 14.3 103.4 1.87 2.05
Lear Corp. LEA 1.55 17.70 -29.60 10.66 8.10 -2.14 7,030 0.2 0.53 23.9 33.0 (20.6) 3.03 3.33
Littelfuse Inc. LFUS 2.66 11.20 -8.40 20.62 11.00 12.00 4,010 2.4 0.46 (13.2) 15.3 83.6 1.84 2.02
L3Harris Technologies Inc LHX 1.93 11.40 40.10 13.80 9.60 13.65 43,910 0.3 0.31 (13.6) 11.5 46.7 3.16 3.47
Lennox International Inc. LII n/a -188.00 16.90 10.32 19.40 10.36 8,870 1.2 n/a 0.6 22.5 n/a 3.10 3.41
LeMaitre Vascular Inc. LMAT 3.98 13.60 33.00 14.55 40.50 -1.80 577 15.4 0.00 (10.8) 21.6 139.3 0.37 0.41
Limoneira Company LMNR 1.44 -3.00 -163.30 112.64 -22.80 15.00 309 2.1 0.53 n/a 14.5 n/a 0.30 0.33
Lockheed Martin LMT 33.29 202.00 25.80 9.44 16.80 8.78 103,830 0.1 4.05 (3.9) 13.0 399.3 9.90 10.83
Lincoln National Corp. LNC 0.46 4.80 -40.70 9.95 -4.90 9.88 9,190 0.3 0.32 11.4 21.8 (53.9) 1.49 1.64
Lindsay Corp. LNN 3.92 3.40 -89.80 21.72 -44.20 22.90 1,070 1.1 0.42 (109.4) 4.4 345.3 1.25 1.38
Alliant Energy Corp. LNT 2.51 10.80 13.80 6.57 5.70 5.75 12,620 0.2 1.32 (13.6) 9.8 61.5 1.56 1.66
Landstar System Inc. LSTR 5.28 35.80 36.60 12.65 16.80 0.99 4,020 0.8 0.19 5.0 22.6 103.5 0.77 0.85
Lyons Bancorp Inc. LYBC n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 15.4 n/a 1.25 1.28
Mid-America Apartment Communities MAA Inc. 2.78 5.80 53.80 5.11 9.30 7.00 15,290 0.5 0.73 (35.8) 8.7 134.7 4.22 4.44
Macerich Company MAC 1.07 3.80 -62.90 14.42 -14.80 0.21 3,070 0.3 1.97 (17.5) 18.3 30.5 3.03 3.33
Marriott International Inc. MAR 48.82 95.50 -2.40 9.66 21.40 4.95 41,560 1.0 12.86 (10.5) 20.7 723.2 1.87 2.05
Microchip Technology Inc. MCHP 3.86 12.00 -52.40 17.37 -4.10 5.20 22,360 2.2 1.71 (33.7) 2.2 148.0 1.48 1.63
McKesson Corp. MCK 4.06 -12.80 93.00 6.98 -15.40 8.01 24,720 0.3 1.60 n/a 11.7 n/a 1.74 1.86
Moody's Corp. MCO 96.01 353.20 0.20 10.78 12.30 11.40 46,490 0.2 11.08 (19.1) 13.2 1074.1 2.00 2.20
Magna International Inc. MGA 1.35 23.20 14.20 12.94 14.40 0.39 14,450 1.6 0.34 9.0 17.4 (28.8) 1.61 1.77
Contenders Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Aaron's Inc. Holdings Inc.
MarketAxess AAN
MKTX 15.65 29.70 18.50 12.18 22.30 13.41 12,410 3.1 0.00 (33.2) 26.8 546.3 2.24 2.47
Marsh & McLennan Companies Inc.MMC 6.79 22.20 5.90 11.54 5.60 9.90 53,100 0.2 1.53 (18.5) 12.2 204.2 1.84 2.03
Magellan Midstream Partners LP MMP 4.60 38.40 -23.60 3.99 3.90 0.09 12,500 0.3 1.73 5.3 17.5 58.1 4.08 4.24
Monro Inc. MNRO 2.50 10.80 15.10 12.63 7.30 18.00 1,880 1.6 0.71 (11.4) 13.0 64.7 0.95 1.04
MidWest One Financial Group Inc. MOFG 0.93 7.60 36.60 3.61 2.60 8.00 466 0.1 0.18 0.1 10.0 (36.0) 0.89 0.92
Morningstar Inc. MORN 6.04 17.70 44.90 n/a 9.90 16.00 6,410 48.9 0.52 (25.1) 12.8 219.2 1.32 1.36
Marathon Petroleum Corp. MPC 0.92 8.10 40.20 -8.64 9.70 3.54 31,380 0.4 0.85 11.2 23.1 (30.3) 2.33 2.36
Microsoft Corp. MSFT 11.21 42.90 22.20 10.91 12.50 14.86 1,272,480 0.1 0.71 (18.2) 11.7 286.3 2.08 2.29
Motorola Solutions Inc. MSI n/a -89.50 -4.10 10.35 30.20 10.35 28,310 0.2 n/a (18.9) 14.6 n/a 2.37 2.61
MSC Industrial Direct Co. Inc. MSM 2.26 19.20 2.30 5.49 6.70 1.50 3,460 0.9 0.27 7.3 19.6 10.8 2.82 2.98
Maxim Integrated Products MXIM 8.70 44.70 21.30 14.49 20.00 9.54 15,290 0.3 0.00 (4.3) 15.2 174.7 2.07 2.27
Muncy Bank Financial Inc. MYBF n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 12.2 n/a 1.38 1.42
NewMarket Corp. NEU 6.35 41.60 14.70 n/a 4.30 7.70 4,420 0.1 0.96 (4.9) 12.2 119.7 7.87 8.10
National Healthcare Corp. NHC 1.47 9.90 n/a n/a 19.52 n/a 1,130 3.7 0.06 (3.4) 11.9 0.1 2.10 2.16
National Health Investors NHI 2.41 11.10 0.10 3.33 3.80 10.00 3,620 0.3 0.96 (10.5) 11.8 54.4 4.15 4.29
New Jersey Resources NJR 1.78 10.60 6.50 13.16 2.50 6.00 3,390 0.9 1.07 (8.2) 10.4 21.3 1.27 1.39
Nike Inc. NKE 14.92 50.00 4.10 16.81 10.90 16.78 142,360 1.2 0.40 (17.4) 14.0 356.0 0.92 1.01
National Bankshares NKSH 1.21 9.30 3.20 0.80 -1.90 n/a 228 0.1 0.00 (4.8) 8.3 (15.8) 1.43 1.45
Northrop Grumman NOC 6.28 24.60 -26.60 12.62 6.30 10.51 54,860 0.2 1.57 (9.6) 15.4 164.0 5.21 5.73
Neenah Paper Inc. NP 2.40 12.60 -49.40 2.78 -5.60 5.00 977 0.8 0.50 (4.0) 15.3 43.6 1.82 1.87
Northrim BanCorp Inc. NRIM 1.13 9.10 23.30 3.75 8.50 n/a 226 0.9 0.05 4.8 16.3 (24.1) 1.39 1.44
Insperity Inc. NSP 672.70 199.70 14.70 12.35 47.80 15.00 2,680 2.2 65.71 10.8 28.9 2228.3 1.32 1.45
Nu Skin Enterprises Inc. NUS 1.56 20.60 43.80 19.69 0.00 -2.35 1,360 0.2 0.41 (0.4) 7.5 (25.9) 1.63 1.79
Northwest Bancshares Inc. NWBI 1.08 8.00 14.30 5.57 7.00 7.00 1,490 0.4 0.28 (1.2) 12.2 (19.9) 0.79 0.84
NorthWestern Corp. NWE 1.74 10.10 12.80 4.29 5.80 3.79 3,590 0.8 1.10 (6.7) 10.9 16.9 2.53 2.64
Norwood Financial NWFL 1.43 10.60 20.90 n/a 6.90 n/a 194 5.0 0.00 (6.8) 7.0 (6.6) 1.06 1.09
Oil-Dri Corp. of America ODC 1.59 n/a 0.20 n/a 7.30 n/a 232 0.9 0.02 (7.1) 8.0 3.2 0.98 1.01
OGE Energy Corp. OGE 1.82 11.20 13.50 1.83 1.80 3.20 7,610 0.3 0.80 (2.9) 14.0 16.8 1.63 1.66
Omega Healthcare Investors OHI 2.22 7.10 176.50 4.13 -1.70 15.80 8,630 0.4 1.19 (13.5) 12.3 59.8 2.92 3.04
ONEOK Inc. OKE 4.44 19.50 57.60 25.66 15.90 14.94 27,730 0.5 2.01 (5.9) 16.3 109.1 3.88 4.27
Omnicom Group Inc. OMC 5.30 52.80 1.80 6.10 7.00 5.05 15,120 0.1 1.85 (0.4) 11.0 64.0 2.60 2.75
Oracle Corp. ORCL 10.30 55.00 16.10 8.43 3.80 10.03 161,060 35.8 3.32 (0.5) 15.6 171.1 1.00 1.09
Occidental Petroleum OXY 1.05 4.30 216.80 -56.12 -2.60 n/a 29,840 0.2 1.81 (10.9) 12.7 4.8 3.44 3.48
Bank OZK OZK 0.80 10.40 -13.60 2.93 20.80 12.00 3,310 1.1 0.16 11.3 19.0 (47.7) 0.95 0.98
Penske Automotive Group Inc. PAG 1.42 17.00 28.20 3.93 15.10 1.10 3,740 1.4 2.36 10.1 18.8 (25.8) 1.74 1.81
Prosperity Bancshares PB 1.08 8.10 17.10 3.95 4.70 9.12 6,140 1.3 0.00 (0.0) 14.2 (17.4) 1.80 1.88
PetMed Express Inc. PETS 4.13 19.90 8.10 18.66 15.50 7.39 530 2.8 0.00 (7.2) 13.8 96.1 1.17 1.28
Pfizer Inc. PFE 2.85 20.50 -11.90 8.53 1.00 9.10 185,620 0.0 0.81 (0.4) 11.3 21.7 1.45 1.58
Principal Financial Group Inc. PFG 0.84 9.90 -7.30 11.72 5.90 7.17 12,550 0.4 0.26 6.7 15.6 (42.2) 2.20 2.42
Douglas Dynamics Inc. PLOW 3.31 12.80 -44.10 7.10 29.70 15.00 994 0.6 1.01 (12.1) 7.2 68.3 1.10 1.18
Philip Morris International PM n/a -62.70 -9.60 8.57 -0.70 8.25 124,260 0.2 n/a (8.6) 9.1 n/a 4.64 5.03
Pioneer Bankshares Inc. PNBI n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 8.4 n/a 0.91 0.93
PolyOne Corp. POL 1.81 84.60 -8.90 12.39 3.10 4.40 2,390 0.3 1.17 (2.5) 22.8 42.6 0.79 0.87
Contenders Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Aaron's Inc.
Portland General Electric Co. AAN
POR 1.88 8.40 0.70 6.63 1.90 4.70 4,870 0.2 1.06 (13.8) 9.0 37.9 1.51 1.61
PPL Corp. PPL 1.73 14.20 -8.00 0.00 1.90 0.50 22,910 0.1 1.77 (3.6) 9.1 (1.3) 1.66 1.66
Perrigo Company plc PRGO 1.20 4.30 0.30 8.97 -11.80 8.00 6,870 0.1 0.58 (11.9) 16.1 22.2 0.82 0.90
Primerica Inc. PRI 2.91 22.40 31.30 10.23 21.40 11.49 4,750 0.6 0.94 10.7 24.6 33.9 1.50 1.65
Prudential Financial Inc. PRU 0.48 6.70 10.60 11.18 25.80 9.00 30,340 0.1 0.35 11.4 18.8 (60.1) 4.40 4.84
Qualcomm Inc. QCOM 19.87 90.50 216.30 45.12 -4.00 26.80 92,010 0.1 3.53 (10.1) 12.2 343.8 2.73 3.00
Quaint Oak Bancorp Inc. QNTO n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 26.6 n/a 0.35 0.36
Ryder System R 0.80 10.80 30.00 196.06 2.80 n/a 2,040 0.8 3.13 (1.5) 15.0 (23.3) 2.42 2.66
Ritchie Brothers Auctioneers Inc. RBA 5.12 16.00 60.00 16.73 4.90 50.00 4,310 14.3 0.85 (23.7) 9.1 173.2 0.84 0.92
Regal Beloit Corp. RBC 1.40 11.00 0.50 11.22 12.40 6.85 3,170 0.2 0.52 (5.6) 8.2 (7.4) 1.17 1.28
Republic Bancorp KY RBCAA 1.01 13.10 41.00 1.34 23.50 10.00 750 1.2 0.06 2.3 10.5 (39.2) 1.14 1.15
Resources Connection Inc. RECN 1.33 11.20 69.20 4.66 14.10 8.00 408 0.5 0.18 4.5 16.9 (14.4) 0.59 0.62
Reinsurance Group of America Inc.RGA 0.66 7.80 -16.30 7.41 11.70 7.76 7,720 0.3 0.35 8.9 17.9 (48.8) 2.63 2.82
RGC Resources Inc. RGCO 2.57 12.10 13.50 5.65 10.10 n/a 217 5.4 1.32 (13.1) 8.5 57.1 0.73 0.77
Royal Gold Inc. RGLD 2.85 7.70 213.40 2.04 8.30 20.70 6,320 0.2 0.06 (31.9) 5.9 118.9 1.17 1.19
Robert Half International Inc. RHI 5.03 40.90 8.10 5.76 11.60 5.90 5,810 2.8 0.00 1.3 14.2 70.0 1.34 1.42
RenaissanceRe Holdings RNR 1.39 13.50 231.90 7.38 5.30 25.45 7,470 1.1 0.26 (6.5) 4.0 (19.5) 1.50 1.61
Retail Opportunity Investments Corp.ROIC 1.47 4.10 13.20 9.32 10.80 8.00 1,730 0.6 1.20 (28.9) 9.6 58.5 0.87 0.95
Rockwell Automation Inc. ROK 29.60 102.40 -31.10 6.19 -0.30 6.44 21,230 0.2 3.18 (10.8) 12.7 455.6 3.97 4.21
Rollins Inc. ROL 15.22 30.20 22.40 10.71 13.70 8.20 12,120 1.5 0.40 (41.5) 18.9 539.1 0.46 0.51
Republic Services Inc. RSG 3.56 13.40 5.50 9.41 16.90 7.61 28,710 0.1 1.07 (17.7) 9.4 107.1 1.61 1.77
Raytheon Company RTN 4.31 27.20 17.60 11.21 11.30 12.91 52,680 0.2 0.39 (4.5) 11.3 74.0 4.06 4.47
Starbucks Corp. SBUX n/a -66.70 -13.00 14.34 16.60 10.58 93,360 0.1 n/a (1.5) 24.1 n/a 1.50 1.66
South Jersey Industries SJI 1.76 5.90 199.70 39.95 -30.30 4.60 2,500 0.6 2.24 (20.3) 8.5 50.0 1.27 1.40
J.M. Smucker Co. SJM 1.44 6.90 -9.70 1.25 -3.50 1.15 11,710 1.4 0.71 (10.3) 10.7 15.9 3.49 3.54
Silgan Holdings Inc. SLGN 3.28 21.80 41.40 5.31 7.00 5.71 3,160 0.2 2.74 (7.0) 9.5 54.9 0.48 0.51
Scotts Miracle-Gro Company SMG 9.47 67.90 415.60 11.19 27.30 9.90 5,970 0.6 3.30 (6.1) 7.1 136.1 2.49 2.73
Standard Motor Products Inc. SMP 1.96 11.80 22.10 9.43 5.90 7.00 1,010 8.0 0.11 (0.2) 14.4 12.5 1.01 1.11
Snap-on Inc. SNA 2.33 21.00 4.00 4.67 11.70 6.65 7,910 1.3 0.34 7.6 19.2 9.9 4.09 4.28
Southern Company SO 2.32 17.50 109.90 4.00 15.60 2.10 64,050 0.1 1.70 (5.9) 7.5 17.5 2.71 2.81
Simon Property Group Inc. SPG 14.38 77.50 26.10 5.98 16.60 8.60 38,960 0.5 10.13 (1.2) 17.5 245.8 9.13 9.68
Spire Inc. SR 1.63 7.40 13.00 5.08 8.40 4.65 3,840 0.8 1.30 (12.4) 9.4 25.7 2.61 2.74
Sempra Energy SRE 2.37 16.10 -23.30 14.89 -3.10 11.90 39,770 0.1 1.60 (7.3) 10.8 37.9 3.84 4.22
STAG Industrial Inc. STAG 1.68 2.30 -56.10 24.41 26.70 7.00 4,150 0.2 0.74 (74.9) 7.4 147.9 1.44 1.59
Steris plc STE 3.98 12.10 12.10 10.20 10.40 10.00 13,480 0.3 0.34 (23.6) 11.0 147.2 1.56 1.72
Southwest Gas Corp. SWX 1.46 8.10 -10.20 6.61 1.80 8.20 3,530 0.7 1.04 (5.8) 12.0 7.4 2.18 2.32
Sensient Technologies Corp. SXT 2.32 16.70 40.90 13.64 8.60 3.80 2,080 0.6 0.71 (13.7) 11.6 61.7 1.62 1.78
Stock Yards Bancorp Inc. SYBT 1.99 15.90 26.60 3.42 13.90 10.00 795 3.0 0.00 3.1 15.2 3.4 1.14 1.18
Territorial Bancorp TBNK 0.95 8.70 14.10 6.93 6.50 4.00 249 2.4 0.00 0.5 11.8 (30.8) 0.98 1.05
Taubman Centers Inc. TCO 55.98 -69.80 3.80 3.80 -11.10 5.84 3,190 0.2 63.87 (5.7) 9.8 520.9 2.80 2.91
Hanover Insurance Group (The) THG 1.52 14.10 5.90 7.95 0.30 -1.10 4,690 0.5 0.22 0.9 12.2 (12.6) 2.59 2.80
Thor Industries Inc. THO 1.97 8.40 -71.40 14.35 -5.60 6.10 4,260 0.9 0.87 (12.0) 12.5 46.4 1.59 1.74
Thomasville Bancshares Inc. THVB n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 19.4 n/a 1.44 1.49
Contenders Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Aaron's&Inc.
Tiffany Company AAN
TIF 5.13 17.30 11.90 5.50 26.80 7.37 16,180 0.4 0.31 (19.3) 11.2 163.4 2.49 2.62
TJX Companies Inc. TJX 13.03 59.50 24.60 9.01 10.60 8.60 72,590 0.1 0.40 (0.6) 23.0 269.2 0.97 1.06
Texas Pacific Land Trust TPL 12.17 86.30 117.80 18.96 53.50 n/a 5,510 4.1 0.00 29.9 46.8 201.6 1.93 2.12
Trinity Industries Inc. TRN 1.20 6.40 64.50 -2.40 -23.60 10.00 2,550 0.3 2.40 (2.1) 16.6 (0.2) 0.70 0.71
Travelers Companies TRV 1.19 10.30 6.90 9.56 -1.50 6.66 30,760 0.3 0.25 (0.8) 11.2 (20.1) 3.45 3.78
Tractor Supply Company TSCO 6.69 36.90 8.00 10.86 11.90 10.43 10,480 0.2 0.27 (0.0) 19.0 137.6 1.47 1.62
Toro Company TTC 8.91 34.20 -9.90 9.81 10.90 19.50 7,700 0.3 0.82 (9.2) 19.0 234.4 0.91 1.00
Texas Instruments TXN 11.95 57.20 -5.60 13.19 15.30 6.73 109,140 0.2 0.65 2.3 24.1 240.1 3.24 3.57
Domtar Corp. UFS 0.73 11.10 169.20 96.13 26.40 5.00 1,640 0.2 0.39 (9.7) 12.8 (14.6) 1.96 2.15
UnitedHealth Group Inc. UNH 4.19 25.50 17.50 15.00 20.20 13.20 242,410 0.3 0.71 12.7 30.5 82.1 5.48 6.03
Unum Group UNM 0.48 11.50 120.40 7.63 27.30 5.37 4,760 0.5 0.33 12.4 16.8 (69.2) 1.20 1.29
Union Pacific UNP 6.10 32.90 6.00 12.96 7.80 10.78 111,330 0.1 1.39 (1.2) 17.9 127.2 3.92 4.31
United Parcel Service Inc. UPS 23.88 106.40 -7.20 7.96 9.30 7.22 80,290 n/a 7.73 (5.8) 11.9 333.5 3.88 4.19
Utah Medical Products Inc. UTMD 3.42 18.20 4.90 n/a 6.20 n/a 323 0.5 0.00 (20.6) 3.1 89.7 1.15 1.19
Visa Inc. V 13.15 40.70 20.00 17.01 19.80 14.86 395,420 0.1 0.56 (13.8) 20.8 349.4 1.16 1.27
Vector Group Ltd. VGR n/a -17.20 -2.70 -16.92 2.30 11.00 1,740 3.0 n/a 1.2 18.0 n/a 1.58 1.59
Valero Energy Corp. VLO 1.29 11.90 46.70 -5.90 7.90 12.41 27,620 0.2 0.45 21.8 33.9 (16.7) 3.96 4.00
VSE Corp. VSEC 0.91 10.60 19.60 n/a 6.90 8.00 325 18.9 0.75 4.4 13.6 (39.2) 0.37 0.39
Verizon Communications VZ 3.80 28.20 15.20 3.97 -1.20 3.60 224,110 0.0 1.86 (4.6) 7.1 40.3 2.66 2.77
Washington Federal Inc. WAFD 1.15 11.00 12.00 6.28 11.00 7.00 2,360 1.0 0.00 6.5 17.3 (26.0) 0.90 0.96
Waste Connections Inc. WCN 3.75 8.40 78.10 10.13 7.80 8.48 25,460 1.0 0.60 (28.3) 16.8 174.1 0.73 0.80
WD-40 Company WDFC 16.20 36.30 12.40 11.57 10.10 10.00 2,400 1.8 0.62 (23.7) 14.0 420.7 2.68 2.95
WEC Energy Group Inc. WEC 2.90 11.00 6.30 6.81 5.90 6.23 29,090 0.1 1.22 (14.4) 11.4 82.3 2.51 2.68
Wendy's Company WEN 6.70 20.00 827.30 7.87 73.10 12.06 4,280 6.9 4.27 (16.4) 18.0 219.7 0.46 0.50
Winmark Corp. WINA n/a -289.80 36.50 n/a 15.90 n/a 766 10.2 n/a 5.6 31.9 n/a 0.99 1.02
Westlake Chemical Corp. WLK 1.22 7.30 -57.30 20.48 -8.50 14.87 7,310 0.1 0.00 (3.3) 13.9 (3.5) 1.04 1.14
Waste Management WM 6.66 25.00 -11.70 9.84 7.00 7.19 47,050 0.1 1.91 (19.9) 8.4 189.6 2.07 2.27
W.P. Carey Inc. WPC 1.92 n/a 40.50 9.60 32.30 n/a 13,330 1.1 0.88 (22.8) 8.1 62.2 4.55 4.98
W.R. Berkley Corp. WRB 2.11 11.40 9.60 7.48 1.70 3.49 12,240 0.4 0.43 (9.9) 9.1 33.6 0.47 0.51
WestRock Company WRK 0.73 7.30 26.00 7.41 0.40 11.75 8,530 1.1 0.86 18.9 28.9 (43.2) 2.01 2.16
Williams-Sonoma Inc. WSM 4.29 30.50 12.20 4.62 6.80 2.80 4,860 0.6 0.35 (3.8) 10.6 65.6 2.06 2.15
Wyndham Destinations Inc. WYND n/a -78.30 16.80 9.15 -3.50 12.89 3,660 1.2 n/a 1.2 9.7 n/a 1.98 2.16
Xcel Energy XEL 2.46 10.10 7.30 5.80 5.30 6.10 33,350 0.1 1.42 (14.6) 9.0 60.7 1.71 1.81
Xilinx Inc. XLNX 7.92 32.40 31.00 7.40 9.30 7.47 21,270 0.1 0.00 (16.8) 8.1 196.2 1.62 1.74
Xylem Inc. XYL 4.83 20.20 47.50 13.31 20.20 11.31 13,950 0.1 0.81 (20.3) 14.7 174.1 1.06 1.16
York Water Company YORW 4.16 11.40 1.60 3.48 6.80 4.90 549 1.0 0.76 (31.8) 5.6 163.0 0.70 0.73
Averages for All 294 7.31 14.55 31.11 10.16 9.08 8.49 28,838 1.98 1.62 -10.18 14.03 106.25 2.11 2.26
Averages by Sector
Communication Services 4 3.74 28.68 32.70 7.82 9.48 5.82 117,303 0.08 1.31 -4.89 11.90 60.70 1.64 1.73
Consumer Discretionary 32 5.45 -15.89 29.65 12.57 11.17 8.19 22,827 2.64 1.36 -0.69 17.07 90.53 1.67 1.81
Contenders Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Aaron's
ConsumerInc. Staples AAN20 5.61 14.46 27.56 13.36 3.34 7.42 22,331 2.04 0.95 -12.62 12.29 146.97 1.78 1.90
Energy 9 3.78 28.30 67.64 -0.41 13.47 6.86 29,364 1.69 1.46 6.75 22.10 44.96 2.99 3.14
Financials 76 3.91 19.57 14.55 7.40 9.99 8.44 10,494 2.42 0.54 -2.84 13.47 42.99 1.87 1.98
Health Care 19 5.03 12.14 38.61 11.35 12.55 9.38 46,880 2.20 1.17 -13.03 13.73 118.98 2.14 2.30
Industrials 43 21.91 27.64 7.21 14.47 8.40 10.18 20,723 1.82 2.68 -14.88 13.80 184.09 2.12 2.30
Information Technology 20 7.79 15.84 48.57 13.71 10.95 10.49 138,329 2.25 1.23 -8.19 16.81 178.25 2.63 2.86
Materials 19 2.86 21.74 70.27 14.48 6.07 9.16 6,365 0.97 0.93 -14.54 13.31 69.93 1.93 2.07
Real Estate 22 7.73 11.03 30.73 0.58 18.69 8.65 14,169 0.89 5.25 -22.44 14.48 185.20 3.21 3.45
Utilities 30 2.20 9.80 52.80 9.98 -0.37 5.40 19,578 1.99 1.35 -22.22 10.03 63.08 2.16 2.30
Contenders Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Aaron's Inc. AAN 0.17 0.19 0.21 0.86 2.2 0.31 -0.3 -50.0 -30.8 -35.3 2004 1 1
AmerisourceBergen Corp. ABC 1.87 2.03 2.20 9.45 11.2 1.03 19.5 -13.5 -5.4 -2.1 2006 1 1.7
Accenture plc ACN 3.92 4.27 4.65 19.74 10.9 1.01 12.6 -16.5 -13.4 -7.3 2006 1 16.4
Acme United Corp. ACU 0.59 0.65 0.71 2.96 12.7 1.36 45.1 -6.8 -2.0 7.9 2005 1 4.5
Analog Devices Inc. ADI 2.80 3.00 3.21 14.00 12.8 1.42 14.2 -14.3 -7.2 -2.9 2003 1 n/a
American Equity Investment Life Holding
AEL Co. 0.38 0.42 0.46 1.92 7.6 2.09 25.4 -26.0 -14.3 -5.7 2005 1 0.3
American Electric Power Co. AEP 3.07 3.26 3.46 15.38 17.2 0.13 11.1 -15.0 -9.2 -3.6 2011 0 2.6
American Financial Group Inc. AFG 1.84 1.96 2.08 9.26 10.0 0.79 1.7 -19.7 -15.9 -11.5 2007 1 1.1
Applied Industrial Technologies Inc.AIT 1.56 1.71 1.88 7.87 13.3 1.32 19.3 -16.5 -11.4 -1.7 2010 0 5.6
Apartment Investment & Management AIVCo. 1.86 1.99 2.13 9.42 19.7 0.60 0.6 -14.1 -8.9 -7.9 2011 0 n/a
Assurant Inc. AIZ 3.23 3.56 3.91 16.32 13.5 0.52 31.3 -15.4 -9.5 -1.3 2005 1 0.8
Arthur J. Gallagher & Co. AJG 2.12 2.34 2.57 10.71 11.0 0.77 27.2 -10.9 -2.1 6.1 2011 0 3.5
Allete Inc. ALE 2.94 3.14 3.36 14.68 21.3 0.15 -5.7 -22.1 -15.2 -17.5 2011 0 3.5
Allstate Corp. ALL 2.22 2.36 2.51 11.16 10.6 0.84 14.1 -16.4 -10.0 -2.3 2011 0 2.3
Autoliv Inc. ALV 2.98 3.22 3.48 14.93 22.4 1.51 9.3 -23.3 -15.9 -11.2 2010 0 3.7
Amgen Inc. AMGN 6.91 7.41 7.94 34.62 17.3 1.13 20.1 -18.5 -13.8 -2.8 2011 0 12.9
Armanino Foods of Distinction Inc. AMNF 0.11 0.11 0.11 0.53 16.2 0.14 8.9 -12.9 -2.7 -6.0 OTC 2006 1 n/a
Ameriprise Financial Inc. AMP 5.07 5.58 6.14 25.59 18.1 1.87 16.2 -21.9 -16.6 -6.9 2005 1 1.3
American Tower Corp. AMT 4.53 4.99 5.49 22.88 10.1 0.44 31.6 -12.3 -3.6 3.0 2011 0 4.3
TD Ameritrade Holding Corp. AMTD 1.37 1.39 1.40 6.86 16.2 1.23 29.2 -26.9 -14.5 -10.5 2011 0 4.7
Andersons Inc. (The) ANDE 0.89 0.96 1.04 4.46 24.3 1.27 5.6 -51.1 -22.2 -24.1 2003 1 1.2
Anthem Inc. ANTM 4.26 4.69 5.15 21.49 8.4 0.85 13.2 -17.7 -12.1 -7.6 2011 0 6.3
Alexandria Real Estate Equities Inc.ARE 4.38 4.39 4.39 21.52 14.2 0.82 13.2 -13.6 -7.1 -1.4 2011 0 2.1
Ashland Global Holdings Inc. ASH 1.37 1.45 1.53 6.84 9.6 1.27 1.5 -12.6 -6.9 -6.1 2010 0 7.7
Ames National Corp. ATLO 1.11 1.14 1.18 5.55 21.4 0.55 1.9 -12.2 -5.0 -5.1 2011 0 1.2
Atrion Corp. ATRI 6.36 6.55 6.74 31.81 5.2 0.14 2.2 -35.0 -12.9 -20.2 2003 1 14.9
Activision Blizzard Inc. ATVI 0.47 0.50 0.52 2.34 4.0 0.85 42.2 -9.9 -3.4 9.9 2010 0 11.3
Auburn National Bancorp AUBN 1.14 1.17 1.21 5.71 10.0 0.43 83.8 -7.5 3.7 32.2 2002 1 1.1
Avista Corp. AVA 1.82 1.88 1.95 9.05 19.2 0.43 18.6 -10.1 -4.6 0.5 2003 1 3.3
Broadcom Limited AVGO 13.67 15.04 16.54 68.98 25.3 0.79 9.0 -17.8 -12.6 -7.2 2011 0 3.8
American Water Works AWK 2.47 2.67 2.89 12.40 10.0 0.10 23.0 -12.5 -4.6 1.3 2008 1 2.8
Axis Capital Holdings Ltd. AXS 2.13 2.34 2.57 10.73 19.1 0.27 3.0 -16.9 -9.2 -8.8 2003 1 0.6
Best Buy Corp. BBY 2.43 2.63 2.83 12.29 16.2 1.13 22.9 -17.8 -14.1 0.9 2004 1 10.3
Balchem Inc. BCPC 0.57 0.63 0.70 2.94 3.1 1.03 14.7 -17.1 -10.9 -5.1 2010 0 7.5
Brookfield Renewable Partners LP BEP 2.25 2.32 2.39 11.26 22.6 n/a 67.4 -13.6 1.8 21.3 2010 0 n/a
Bunge Limited BG 2.66 2.93 3.22 13.43 28.6 1.00 -0.7 -21.3 -14.4 -14.9 2001 2 2.7
Bar Harbor Bankshares BHB 0.98 1.01 1.04 4.93 24.1 1.01 -2.8 -26.0 -13.8 -16.3 2004 1 0.8
Brookfield Infrastructure Partners LP BIP 2.62 2.82 3.03 13.11 25.9 0.77 27.9 -10.3 -4.1 5.1 2008 1 n/a
Bank of Utica BKUTK 16.39 16.88 17.39 82.03 19.5 n/a n/a n/a n/a n/a OTC 2001 2 n/a
BlackRock Inc. BLK 16.77 17.93 19.17 84.07 18.2 1.54 14.7 -19.7 -12.2 -1.9 2010 0 2.6
Bank of Marin Bancorp BMRC 1.01 1.11 1.23 5.16 13.5 0.49 -1.6 -20.2 -14.2 -11.4 2005 1 1.3
Bristol-Myers Squibb Co. BMY 2.18 2.40 2.64 11.01 18.6 0.76 39.0 -13.6 -8.7 9.9 2010 0 13.6
BOK Financial Corp. BOKF 2.46 2.64 2.82 12.44 17.2 1.24 0.2 -20.7 -13.0 -9.3 2005 1 1.2
Contenders Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Aaron's Inc.Financial Solutions Inc. BR
Broadridge AAN 2.66 2.92 3.21 13.40 12.8 0.64 7.2 -23.8 -15.5 -16.7 2007 1 10.5
Cardinal Health Inc. CAH 2.29 2.39 2.50 11.49 22.0 1.44 27.0 -14.1 -3.2 6.0 1997 2 -10.4
Cass Information Systems Inc. CASS 1.23 1.26 1.30 6.13 13.1 0.39 5.9 -23.0 -15.5 -10.5 2002 1 1.8
Casey's General Stores Inc. CASY 1.61 1.77 1.95 8.13 5.0 0.59 32.7 -10.4 -1.4 0.9 2000 2 6.3
Cambridge Bancorp CATC 2.23 2.30 2.36 11.16 16.3 0.26 0.0 -20.3 -9.3 -11.9 1999 2 1.02
CBOE Holdings Inc. CBOE 1.57 1.63 1.70 7.79 6.8 n/a 27.3 -10.9 -5.2 -1.6 2010 0 n/a
Cracker Barrel Old Country CBRL 5.66 5.72 5.77 28.00 19.5 0.48 -3.1 -19.4 -9.3 -11.5 2003 1 12.7
CCFNB Bancorp Inc. CCFN 1.69 1.74 1.80 8.48 17.3 n/a n/a n/a n/a n/a OTC 1998 2 n/a
Celanese Corp. CE 2.89 3.18 3.50 14.61 15.6 1.32 2.2 -27.3 -17.7 -17.8 2010 0 9
Church & Dwight CHD 1.13 1.21 1.30 5.68 8.2 0.08 7.0 -14.2 -4.0 -5.6 1997 2 9.5
Chemed Corp. CHE 1.65 1.82 2.00 8.33 2.0 1.01 33.2 -18.7 -10.2 0.9 2009 0 18.4
C.H. Robinson Worldwide CHRW 2.41 2.60 2.80 12.07 17.5 0.60 -1.4 -25.1 -9.7 -14.6 1999 2 12.4
Chico's FAS Inc. CHS 0.43 0.47 0.52 2.16 53.8 0.36 72.1 -34.4 -1.2 8.9 2010 0 -1.7
Comerica Inc. CMA 3.10 3.21 3.33 15.50 29.4 1.52 -0.6 -40.4 -20.2 -22.0 2010 0 1.6
Comcast Corp. CMCSA 1.05 1.15 1.26 5.31 13.1 1.00 6.7 -15.3 -9.8 -8.5 2008 1 5.1
Cantel Medical Corp. CMD 0.23 0.23 0.24 1.13 1.8 0.91 5.3 -32.8 -5.6 -16.0 2010 0 3.3
CME Group Inc. CME 3.41 3.59 3.78 17.05 8.6 0.03 25.0 -11.8 -4.3 -2.2 2011 0 2.4
Cummins Inc. CMI 5.85 5.91 5.97 28.88 19.1 1.18 7.2 -19.0 -11.3 -9.5 2006 1 11.3
CMS Energy Corp. CMS 1.82 1.96 2.10 9.15 15.1 0.14 12.8 -12.7 -7.6 -2.2 2007 1 2.6
CenterPoint Energy CNP 1.19 1.21 1.22 5.96 25.9 0.51 -2.5 -26.2 -13.2 -17.5 2006 1 2
Cohen & Steers Inc. CNS 1.92 2.11 2.32 9.67 15.4 0.90 60.1 -19.9 -9.5 7.6 2010 0 27.5
Columbia Sportswear Co. COLM 1.25 1.34 1.44 6.24 7.7 0.41 -0.2 -25.7 -14.5 -15.6 2006 1 12
CoreSite Realty Corp. COR 5.67 6.24 6.86 28.61 27.6 0.43 3.8 -16.1 -9.0 -9.9 2010 0 3.8
Costco Wholesale COST 3.17 3.35 3.55 15.84 5.6 0.91 30.3 -13.6 -7.6 -2.0 2004 1 8.1
Chesapeake Utilities CPK 1.94 2.06 2.18 9.71 11.4 0.21 -1.3 -15.6 -10.8 -8.8 2004 1 4.2
Camden Property Trust CPT 3.84 3.97 4.12 19.12 18.0 0.47 9.6 -12.2 -4.0 -2.7 2011 0 3.3
Cisco Systems Inc. CSCO 1.69 1.81 1.93 8.54 21.4 1.15 -0.2 -31.5 -15.6 -19.9 2011 0 11.7
CSX Corp. CSX 1.24 1.33 1.44 6.20 8.8 1.19 10.1 -12.7 -6.9 -3.1 2005 1 8.7
CubeSmart CUBE 1.58 1.68 1.78 7.94 26.2 0.21 2.2 -16.7 -3.9 -8.7 2011 0 4.6
Citizens Financial Services CZFS 1.96 2.01 2.08 9.79 15.5 n/a n/a n/a n/a n/a OTC 1999 2 n/a
Dominion Energy Inc. D 4.47 4.69 4.92 22.38 28.6 0.28 7.7 -14.0 -7.1 -2.3 2004 1 0.9
Douglas Emmett Inc. DEI 1.39 1.50 1.62 6.95 18.2 0.73 0.1 -16.3 -10.9 -9.4 2011 0 4.2
Donegal Group Inc. A DGICA 0.71 0.78 0.85 3.56 25.0 0.32 14.9 -7.5 -1.9 -2.1 2003 1 1
Donegal Group Inc. B DGICB 0.55 0.57 0.59 2.78 23.7 n/a 1.0 -20.9 -6.8 -11.4 2003 1 n/a
Digital Realty Trust DLR 5.66 6.22 6.84 28.54 23.8 0.54 8.4 -13.3 -3.1 -1.9 2005 1 1
DTE Energy Company DTE 4.30 4.56 4.83 21.54 19.3 0.30 -5.3 -17.7 -14.8 -13.4 2010 0 3
Duke Energy Corp. DUK 4.46 4.65 4.84 22.36 24.4 0.17 8.8 -11.7 -3.2 0.1 2005 1 2.4
Eagle Bancorp Montana Inc. EBMT 0.45 0.50 0.55 2.28 11.8 0.54 24.9 -15.6 -9.4 4.3 2000 2 0.8
Edison International EIX 2.60 2.70 2.80 13.07 19.5 0.21 16.6 -14.9 -11.6 -5.0 2004 1 -0.5
Estee Lauder Companies Inc. EL 2.36 2.59 2.85 11.89 6.5 0.69 20.0 -16.7 -11.1 -4.5 2011 0 12.5
Equity LifeStyle Properties ELS 1.49 1.64 1.80 7.51 11.0 0.26 27.5 -11.9 -4.8 1.7 2005 1 6.6
Emclaire Financial Corp. EMCF 1.24 1.28 1.32 6.22 21.0 0.48 -0.7 -21.5 -8.5 -7.3 2011 0 0.6
Eastman Chemical Co. EMN 3.08 3.31 3.56 15.44 25.1 1.39 0.5 -28.6 -17.6 -16.6 2011 0 5.6
Contenders Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Aaron's Inc.
Enbridge Inc. AAN
ENB 2.82 2.97 3.13 14.03 37.5 0.67 16.1 -13.3 -7.7 1.4 1997 2 3.2
Ensign Group Inc. ENSG 0.25 0.27 0.30 1.26 2.8 0.91 15.1 -24.5 -6.1 -5.9 2008 1 4.8
Enterprise Products Partners LP EPD 2.18 2.35 2.54 11.01 47.2 0.90 3.9 -24.4 -14.1 -16.5 1998 2 8.6
EPR Properties EPR 5.33 5.70 6.10 26.65 45.0 0.55 1.6 -26.6 -15.6 -20.5 2011 0 3
Eversource Energy ES 2.53 2.68 2.83 12.68 14.7 0.27 26.4 -13.0 -2.4 5.4 1999 2 2.2
Eaton Corp. plc ETN 3.35 3.58 3.82 16.75 18.5 1.41 22.1 -14.2 -7.0 4.8 2010 0 7
Evercore Partners Inc. EVR 2.57 2.60 2.62 12.80 19.2 1.97 0.1 -32.6 -13.2 -16.7 2007 1 17.8
Evergy Inc EVRG 2.46 2.62 2.79 12.29 18.8 0.22 19.7 -14.7 -4.1 2.1 2005 1 2.4
Extra Space Storage Inc. EXR 3.99 4.23 4.49 20.08 20.0 0.17 7.1 -19.4 -7.2 -9.5 2010 0 5.3
First American Financial Corp. FAF 1.92 1.97 2.02 9.62 16.9 0.88 18.2 -14.0 -6.2 -2.8 2010 0 6.2
Fastenal Company FAST 1.10 1.21 1.33 5.55 16.2 1.35 20.6 -12.9 -7.1 1.1 2000 2 21.1
Factset Research System Inc. FDS 3.48 3.74 4.02 17.55 6.6 0.95 16.4 -14.3 -5.1 -2.8 1999 2 23
FedEx Corp. FDX 2.92 2.95 2.98 14.35 10.2 1.78 3.4 -29.2 -8.3 -10.6 2002 1 0.1
First Farmers Financial Corp. FFMR 1.29 1.33 1.37 6.45 13.6 n/a n/a n/a n/a n/a OTC 2008 1 n/a
First Interstate Bancsystem Inc. FIBK 1.53 1.65 1.79 7.76 22.8 1.08 -3.5 -21.0 -13.9 -13.6 2010 0 1.2
Fifth Third Bancorp FITB 1.18 1.30 1.43 6.00 24.6 1.32 0.95 -22.88 -17.61 -13.91 2011 0 1.2
Foot Locker Inc. FL 1.86 1.98 2.11 9.32 25.7 0.90 10.5 -46.7 -7.3 -12.4 2011 0 8.6
First of Long Island Corp. FLIC 0.82 0.88 0.94 4.18 20.2 0.58 3.3 -18.9 -12.7 -9.1 1997 2 1
Flowers Foods FLO 0.88 0.92 0.96 4.42 20.5 0.34 7.4 -11.6 -1.6 -3.9 2002 1 5.1
Farmers and Merchants Bancorp FMAO 0.71 0.74 0.76 3.56 13.4 0.31 9.5 -16.9 -9.6 -3.4 2005 1 1.1
Franco-Nevada Corp. FNV 1.25 1.34 1.45 6.29 5.9 n/a 55.4 -12.4 -0.6 13.5 2008 1 n/a
GATX Corp. GATX 2.28 2.51 2.76 11.65 16.3 1.48 2.9 -16.8 -10.4 -8.2 2011 0 2.6
Graco Inc. GGG 0.75 0.81 0.87 3.77 7.7 0.92 13.3 -13.5 -7.9 0.6 1998 2 21.1
Gildan Activewear Inc. GIL 0.67 0.73 0.81 3.36 13.9 0.85 3.3 -40.1 -15.5 -26.9 2011 0 9.1
Globe Life Inc GL 0.85 0.91 0.98 4.29 4.6 0.94 15.6 -16.8 -12.5 -3.6 2006 1 2.9
Corning Inc. GLW 0.98 1.08 1.18 4.93 20.7 1.23 0.8 -32.5 -16.5 -19.2 2011 0 3.1
Group 1 Automotive Inc. GPI 1.33 1.35 1.36 6.55 7.7 1.77 42.6 -22.6 -15.2 -5.4 2010 0 3.1
Hasbro Inc. HAS 3.26 3.59 3.95 16.46 21.3 0.95 -2.7 -39.1 -23.7 -27.3 2004 1 6
Healthcare Services Group Inc. HCSG 0.89 0.90 0.91 4.38 15.9 0.82 30.2 -28.6 3.7 3.4 2003 1 11.9
Home Depot Inc. HD 6.78 7.35 7.97 34.35 15.8 0.99 21.4 -11.9 -5.2 -1.2 2010 0 22.2
HDFC Bank Limited HDB 0.86 0.95 1.04 4.34 7.9 n/a 10.4 -16.6 -9.1 -7.9 2002 1 n/a
HEICO Corp. HEI 0.18 0.20 0.21 0.91 0.8 0.59 20.8 -27.1 -11.2 -15.0 2008 1 11.3
Holly Energy Partners LP HEP 3.19 3.30 3.43 15.95 76.9 0.76 -0.3 -32.2 -10.4 -17.4 2005 1 10.4
Heritage Financial Corp. HFWA 0.84 0.90 0.97 4.25 18.3 0.69 -3.6 -30.0 -14.9 -16.3 2011 0 1.2
Hillenbrand Inc. HI 1.12 1.23 1.36 5.66 24.2 1.26 -1.8 -47.8 -23.6 -27.9 2008 1 n/a
Hingham Institution for Savings HIFS 1.80 1.85 1.91 8.99 4.9 0.74 12.6 -15.6 -9.8 -5.0 2008 1 1.3
Hartford Financial Services Group Inc.
HIG 1.48 1.54 1.61 7.38 14.8 0.56 5.2 -20.4 -15.8 -14.4 2011 0 2.4
Horace Mann Educators Corp. HMN 1.36 1.50 1.65 6.92 17.8 0.57 13.2 -19.2 -11.5 -10.3 2010 0 1
Harley-Davidson Inc. HOG 1.77 1.89 2.01 8.86 29.1 1.21 1.0 -26.4 -13.9 -13.9 2011 0 4
Honat Bancorp Inc. HONT 1.95 2.00 2.06 9.73 8.5 n/a n/a n/a n/a n/a OTC 2005 1 n/a
HP Inc. HPQ 0.75 0.77 0.80 3.75 18.0 1.48 30.5 -13.1 -3.3 4.8 2011 0 9.7
Hill-Rom Holdings Inc. HRC 1.03 1.13 1.24 5.18 5.4 0.89 2.3 -18.0 -13.2 -9.0 2011 0 3.3
Hershey Company HSY 3.43 3.69 3.96 17.29 12.0 0.04 32.2 -11.2 -5.2 -2.5 2010 0 14.3
Contenders Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Aaron's Inc.
Hubbell AAN
HUBB 4.40 4.81 5.26 22.28 16.7 1.52 17.3 -14.0 -9.0 -1.6 2009 0 8
Humana Inc. HUM 2.86 3.15 3.46 14.44 4.5 0.93 41.7 -17.0 -11.3 5.5 2011 0 9.4
Haverty Furniture Companies Inc. HVT 1.01 1.11 1.22 5.10 30.3 0.96 8.6 -33.0 -14.7 -12.2 2010 0 5.1
Haverty Furniture Companies Inc. AHVT-A 0.79 0.81 0.83 3.94 23.6 n/a 6.5 -32.1 -14.2 -20.2 2010 0 n/a
Hawkins Inc. HWKN 1.07 1.11 1.14 5.37 15.0 0.85 9.0 -25.4 -16.7 -15.2 2005 1 7
International Business Machines IBM 7.39 7.92 8.50 37.19 28.6 1.33 2.6 -18.0 -8.0 -6.2 1996 2 6.3
International Bancshares Corp. IBOC 1.31 1.44 1.58 6.68 19.6 1.26 6.4 -22.5 -17.9 -13.1 2010 0 1.8
IDEX Corp. IEX 2.52 2.77 3.05 12.75 8.6 1.20 4.1 -16.9 -13.5 -10.0 2010 0 11.9
International Flavors & Fragrances IFF 3.41 3.54 3.68 16.90 14.1 0.82 14.2 -21.7 -8.3 -8.6 2003 1 2.7
International Paper Co. IP 2.24 2.31 2.39 11.14 30.2 1.57 1.4 -22.9 -15.8 -14.0 2011 0 3.6
Inter Parfums Inc. IPAR 1.42 1.57 1.72 7.21 12.0 0.78 5.7 -26.2 -14.6 -13.1 2010 0 7.4
Iron Mountain Inc. IRM 2.93 3.17 3.42 14.70 48.4 0.66 3.9 -17.0 -4.7 -4.9 2011 0 2
Isabella Bank Corp. ISBA 1.15 1.18 1.22 5.74 24.0 n/a n/a n/a n/a n/a OTC 2007 1 n/a
Invesco Limited IVZ 1.28 1.31 1.33 6.41 44.5 1.53 -1.0 -35.1 -19.2 -19.7 2010 0 1.7
JB Hunt Transport Services Inc. JBHT 1.27 1.40 1.54 6.41 6.6 1.08 15.3 -21.1 -15.1 -9.5 2004 1 8.9
J&J Snack Foods Corp. JJSF 2.44 2.59 2.74 12.28 7.6 0.30 7.4 -18.3 -9.8 -10.4 2005 1 9.3
Kellogg Company K 2.58 2.65 2.72 12.84 21.2 0.56 17.8 -14.9 -10.7 -3.2 2004 1 4.8
KLA-Tencor Corp. KLAC 3.79 4.17 4.58 19.12 12.4 1.64 51.7 -16.7 -11.1 2.5 2010 0 12.4
Kroger Company KR 0.74 0.78 0.82 3.70 13.1 0.72 35.9 -8.5 -1.5 10.9 2006 1 3.7
Kennedy-Wilson Holdings Inc. KW 1.01 1.09 1.18 5.13 25.4 1.17 1.8 -14.0 -9.0 -7.1 2011 0 1.4
Quaker Chemical Corp. KWR 2.01 2.21 2.43 10.14 6.4 1.52 11.1 -29.8 -7.6 -7.5 2008 1 2.5
Lithia Motors Inc. LAD 1.37 1.44 1.50 6.82 5.7 1.06 40.2 -27.9 -15.3 -11.8 2010 0 4.8
Landmark Bancorp Inc. LARK 0.93 0.96 0.99 4.67 20.5 0.44 10.3 -12.3 -8.2 -1.3 2002 1 1
Lazard Limited LAZ 2.14 2.23 2.32 10.61 29.6 1.61 15.3 -20.3 -13.8 -3.8 2008 1 7.1
Lear Corp. LEA 3.37 3.40 3.43 16.56 14.9 1.52 5.8 -30.1 -15.1 -11.4 2011 0 6
Littelfuse Inc. LFUS 2.22 2.45 2.69 11.22 7.0 1.14 6.6 -22.5 -14.5 -10.0 2010 0 6.4
L3Harris Technologies Inc LHX 3.82 4.20 4.62 19.27 9.7 0.73 26.0 -14.4 -8.1 -3.0 2002 1 5.5
Lennox International Inc. LII 3.75 4.13 4.54 18.94 8.3 0.88 0.3 -23.6 -6.2 -10.4 2010 0 18.8
LeMaitre Vascular Inc. LMAT 0.42 0.42 0.42 2.04 7.2 1.18 12.3 -26.2 -17.6 -12.0 2011 0 11.4
Limoneira Company LMNR 0.37 0.40 0.44 1.85 11.1 1.01 -2.1 -34.9 -16.0 -13.6 2009 0 -1.6
Lockheed Martin LMT 11.79 12.82 13.95 59.29 16.0 0.90 26.4 -16.4 -11.2 -3.5 2003 1 13
Lincoln National Corp. LNC 1.81 1.98 2.18 9.11 20.1 1.91 -4.9 -32.8 -22.0 -23.9 2011 0 0.3
Lindsay Corp. LNN 1.52 1.67 1.83 7.65 7.7 0.34 35.7 -11.4 -2.9 8.5 2003 1 1.8
Alliant Energy Corp. LNT 1.76 1.86 1.97 8.82 16.9 0.27 14.9 -13.5 -8.3 -1.1 2004 1 3.2
Landstar System Inc. LSTR 0.86 0.86 0.87 4.21 4.2 1.15 8.2 -15.5 -9.6 -7.0 2005 1 19
Lyons Bancorp Inc. LYBC 1.32 1.36 1.40 6.62 18.1 n/a n/a n/a n/a n/a OTC 2001 2 n/a
Mid-America Apartment Communities MAA Inc. 4.75 5.08 5.44 23.94 18.5 0.41 27.0 -13.2 -5.0 0.5 2011 0 3.1
Macerich Company MAC 3.34 3.35 3.35 16.40 80.3 0.83 1.9 -54.4 -17.6 -31.3 2011 0 1.2
Marriott International Inc. MAR 2.15 2.26 2.37 10.69 8.6 1.27 8.3 -19.2 -14.5 -8.1 2010 0 5.7
Microchip Technology Inc. MCHP 1.71 1.80 1.89 8.50 9.4 1.44 16.8 -19.4 -14.0 -3.9 2002 1 3.6
McKesson Corp. MCK 2.01 2.17 2.34 10.12 7.2 1.22 26.6 -18.8 -7.0 -1.5 2008 1 -1.5
Moody's Corp. MCO 2.42 2.67 2.93 12.23 5.1 1.23 43.1 -16.4 -5.9 9.0 2010 0 13.1
Magna International Inc. MGA 1.77 1.78 1.79 8.71 19.0 1.46 7.8 -19.7 -13.3 -10.2 2011 0 9.5
Contenders Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Aaron's Inc. Holdings Inc.
MarketAxess AAN
MKTX 2.72 2.99 3.29 13.70 4.2 0.15 45.9 -23.0 -9.8 -7.9 2009 0 24.1
Marsh & McLennan Companies Inc.MMC 2.23 2.45 2.69 11.24 10.7 0.71 17.7 -12.8 -8.1 0.8 2010 0 5.6
Magellan Midstream Partners LP MMP 4.24 4.25 4.25 21.05 38.6 0.65 1.0 -19.5 -11.9 -13.9 2001 2 12.5
Monro Inc. MNRO 1.14 1.26 1.39 5.78 10.3 0.72 2.7 -37.5 -20.3 -27.0 2005 1 5
MidWest One Financial Group Inc. MOFG 1.00 1.08 1.16 5.05 17.6 0.98 11.9 -26.4 -15.3 -7.8 2011 0 0.8
Morningstar Inc. MORN 1.50 1.65 1.81 7.63 5.2 0.74 24.0 -11.8 -5.8 -3.6 2011 0 10.2
Marathon Petroleum Corp. MPC 2.44 2.53 2.61 12.27 25.9 1.72 7.9 -31.9 -17.3 -15.6 2011 0 2.9
Microsoft Corp. MSFT 2.52 2.77 3.04 12.69 7.8 1.16 48.9 -15.0 -3.6 11.1 2002 1 15.9
Motorola Solutions Inc. MSI 2.87 3.16 3.48 14.49 8.7 0.48 21.9 -11.6 -4.3 -1.4 2011 0 8.5
MSC Industrial Direct Co. Inc. MSM 3.02 3.07 3.11 15.01 24.3 0.97 2.4 -23.3 -13.2 -9.2 2003 1 12
Maxim Integrated Products MXIM 2.49 2.73 2.99 12.55 22.6 1.47 8.5 -15.4 -9.8 -4.8 2002 1 21.1
Muncy Bank Financial Inc. MYBF 1.46 1.51 1.55 7.33 18.1 n/a n/a n/a n/a n/a OTC 2002 1 n/a
NewMarket Corp. NEU 8.72 9.40 10.12 44.21 11.4 0.49 1.5 -23.1 -14.1 -13.6 2006 1 14.1
National Healthcare Corp. NHC 2.23 2.30 2.36 11.16 15.0 0.32 4.7 -17.1 -12.5 -10.4 2004 1 5.9
National Health Investors NHI 4.72 5.19 5.71 24.08 29.5 0.39 11.0 -10.3 -3.1 -0.2 2003 1 5.4
New Jersey Resources NJR 1.48 1.57 1.66 7.37 20.9 0.43 -5.3 -31.0 -18.1 -22.0 1996 2 3.9
Nike Inc. NKE 1.11 1.22 1.34 5.59 6.3 0.85 16.0 -15.4 -11.1 -1.7 2003 1 18.4
National Bankshares NKSH 1.49 1.53 1.58 7.48 21.4 0.53 7.5 -28.4 -17.2 -12.0 2001 2 1.4
Northrop Grumman NOC 6.31 6.94 7.63 31.82 9.7 0.75 24.9 -14.6 -9.7 -5.9 2004 1 5.6
Neenah Paper Inc. NP 1.96 2.06 2.16 9.87 17.1 1.29 1.9 -25.5 -15.4 -12.1 2011 0 5.9
Northrim BanCorp Inc. NRIM 1.48 1.53 1.57 7.40 21.2 0.62 5.9 -17.3 -8.9 -6.2 2010 0 1.2
Insperity Inc. NSP 1.60 1.76 1.93 8.06 12.0 0.86 2.5 -53.6 -20.8 -31.7 2011 0 11.2
Nu Skin Enterprises Inc. NUS 1.81 1.83 1.85 8.90 36.3 0.52 2.3 -62.2 -32.7 -41.0 2001 2 9.8
Northwest Bancshares Inc. NWBI 0.89 0.96 1.02 4.50 32.4 0.62 -3.7 -25.8 -13.7 -16.4 2010 0 1
NorthWestern Corp. NWE 2.74 2.84 2.95 13.70 19.5 0.24 4.4 -12.6 -5.9 -3.4 2005 1 3.5
Norwood Financial NWFL 1.12 1.15 1.19 5.61 18.2 0.48 7.2 -22.2 -15.2 -8.6 2000 2 1.1
Oil-Dri Corp. of America ODC 1.04 1.07 1.11 5.21 17.1 1.14 10.6 -21.6 -15.8 -10.0 2003 1 n/a
OGE Energy Corp. OGE 1.71 1.77 1.83 8.60 22.6 0.51 -5.7 -17.9 -15.1 -12.5 2007 1 4.2
Omega Healthcare Investors OHI 3.34 3.67 4.04 17.00 42.9 0.44 14.3 -12.4 -7.3 -2.1 2003 1 3
ONEOK Inc. OKE 4.70 5.17 5.69 23.71 35.5 1.11 5.7 -15.0 -11.6 -6.3 2003 1 6.4
Omnicom Group Inc. OMC 2.89 3.04 3.19 14.48 20.9 0.66 -0.3 -18.5 -11.7 -12.0 2010 0 5.3
Oracle Corp. ORCL 1.19 1.31 1.44 6.04 12.2 1.12 -0.9 -18.3 -8.4 -9.6 2010 0 10.3
Occidental Petroleum OXY 3.58 3.69 3.80 17.99 55.0 0.99 5.1 -52.4 -21.4 -26.6 2004 1 1.5
Bank OZK OZK 1.07 1.18 1.30 5.48 21.6 1.80 4.3 -26.1 -12.6 -12.0 1997 2 1.8
Penske Automotive Group Inc. PAG 1.83 1.85 1.87 9.08 19.7 1.38 11.5 -14.5 -7.5 -2.8 2011 0 3.5
Prosperity Bancshares PB 2.05 2.23 2.44 10.39 16.1 1.25 4.4 -14.2 -9.6 -6.4 2000 2 1.5
PetMed Express Inc. PETS 1.38 1.48 1.59 6.90 26.1 0.76 76.0 -9.5 3.6 29.1 2009 0 17.1
Pfizer Inc. PFE 1.72 1.88 2.05 8.68 26.0 0.59 -0.9 -25.0 -12.7 -13.7 2011 0 7.9
Principal Financial Group Inc. PFG 2.60 2.78 2.98 12.98 29.2 1.48 -4.5 -27.0 -18.9 -19.8 2009 0 0.5
Douglas Dynamics Inc. PLOW 1.30 1.43 1.57 6.57 15.1 0.52 24.2 -23.5 -19.4 -6.0 2010 0 5.2
Philip Morris International PM 5.45 5.90 6.38 27.40 33.5 1.06 18.2 -11.7 -5.3 0.0 2008 1 17.7
Pioneer Bankshares Inc. PNBI 0.96 0.99 1.02 4.81 16.9 n/a n/a n/a n/a n/a OTC 2010 0 n/a
PolyOne Corp. POL 0.90 0.94 0.99 4.49 18.1 1.65 1.8 -33.7 -26.6 -21.7 2011 0 19.4
Contenders Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Aaron's Inc.
Portland General Electric Co. AAN
POR 1.68 1.76 1.84 8.39 15.4 0.19 9.9 -13.7 -7.4 -3.2 2006 1 2.6
PPL Corp. PPL 1.67 1.68 1.69 8.37 27.9 0.56 5.1 -18.5 -15.9 -7.5 2002 1 3.9
Perrigo Company plc PRGO 0.97 1.05 1.13 4.86 9.6 1.46 24.6 -20.6 -9.9 -1.9 2003 1 2.2
Primerica Inc. PRI 1.81 1.99 2.19 9.13 8.2 1.39 2.4 -19.4 -13.3 -10.7 2010 0 2.6
Prudential Financial Inc. PRU 5.28 5.75 6.27 26.53 35.2 1.52 -2.3 -29.1 -19.1 -18.7 2009 0 0.5
Qualcomm Inc. QCOM 3.30 3.63 3.99 16.65 21.3 1.52 48.6 -18.6 -11.6 -2.2 2003 1 12.6
Quaint Oak Bancorp Inc. QNTO 0.37 0.38 0.39 1.86 12.5 n/a n/a n/a n/a n/a OTC 2008 1 n/a
Ryder System R 2.74 2.82 2.91 13.56 35.6 1.69 7.6 -43.8 -23.8 -27.0 2005 1 1.9
Ritchie Brothers Auctioneers Inc. RBA 1.01 1.11 1.22 5.10 12.9 0.66 24.7 -12.1 -8.0 1.1 2001 2 5.9
Regal Beloit Corp. RBC 1.37 1.46 1.56 6.85 8.8 1.63 14.6 -13.9 -9.0 -1.7 2005 1 5.6
Republic Bancorp KY RBCAA 1.27 1.39 1.53 6.49 18.1 0.68 -2.2 -32.2 -19.2 -21.2 1999 2 1.7
Resources Connection Inc. RECN 0.67 0.73 0.78 3.40 27.1 1.13 1.6 -30.1 -19.5 -20.9 2010 0 7
Reinsurance Group of America Inc.RGA 3.04 3.28 3.53 15.29 12.5 0.62 -5.1 -27.9 -21.4 -21.8 2009 0 1.1
RGC Resources Inc. RGCO 0.79 0.81 0.84 3.93 14.3 (0.19) 10.0 -11.5 1.0 -2.4 2004 1 4.1
Royal Gold Inc. RGLD 1.31 1.44 1.58 6.69 6.9 0.14 19.6 -30.5 -14.4 -15.1 2002 1 6.5
Robert Half International Inc. RHI 1.50 1.59 1.68 7.53 14.9 1.36 0.3 -27.0 -17.2 -12.5 2004 1 20
RenaissanceRe Holdings RNR 1.77 1.94 2.14 8.95 5.3 0.29 20.9 -15.9 -12.1 -8.8 1996 2 2.7
Retail Opportunity Investments Corp. ROIC 1.02 1.11 1.19 5.14 34.2 0.78 -1.9 -21.8 -11.9 -15.1 2010 0 1.6
Rockwell Automation Inc. ROK 4.49 4.78 5.08 22.53 12.3 1.47 27.5 -12.5 -9.1 4.7 2010 0 14.4
Rollins Inc. ROL 0.55 0.59 0.64 2.76 7.4 0.28 19.5 -14.6 3.3 4.7 2003 1 15.4
Republic Services Inc. RSG 1.90 2.05 2.20 9.53 10.6 0.49 18.6 -10.6 -3.8 1.7 2003 1 4.8
Raytheon Company RTN 4.92 5.41 5.95 24.81 13.2 0.80 11.2 -19.2 -15.6 -5.9 2005 1 10.2
Starbucks Corp. SBUX 1.82 2.00 2.20 9.19 11.7 0.54 13.6 -21.4 -11.2 -10.3 2010 0 17.4
South Jersey Industries SJI 1.47 1.53 1.60 7.27 26.9 0.77 -5.4 -21.6 -15.3 -15.9 2000 2 1.4
J.M. Smucker Co. SJM 3.58 3.62 3.66 17.89 17.4 0.38 1.9 -19.8 -2.8 -6.9 1998 2 3.3
Silgan Holdings Inc. SLGN 0.54 0.57 0.60 2.70 9.4 0.71 4.8 -12.7 -8.2 -5.9 2004 1 4.1
Scotts Miracle-Gro Company SMG 3.01 3.30 3.63 15.16 14.3 0.78 39.6 -15.4 -5.8 2.0 2010 0 13.5
Standard Motor Products Inc. SMP 1.18 1.27 1.36 5.93 13.5 0.97 4.7 -21.2 -14.6 -9.0 2010 0 6.2
Snap-on Inc. SNA 4.56 4.87 5.19 22.98 15.9 1.19 1.1 -16.8 -11.6 -9.3 2011 0 12.4
Southern Company SO 2.87 2.93 3.00 14.32 23.7 0.23 22.8 -15.1 -9.2 -0.3 2001 2 4.1
Simon Property Group Inc. SPG 10.51 11.41 12.39 53.12 43.2 0.66 -1.6 -34.0 -13.6 -19.4 2010 0 7.3
Spire Inc. SR 2.87 3.00 3.14 14.35 19.1 0.21 1.0 -14.7 -10.7 -10.2 2004 1 2.3
Sempra Energy SRE 4.64 5.11 5.62 23.42 16.8 0.45 17.2 -13.7 -9.6 -3.2 2004 1 4
STAG Industrial Inc. STAG 1.70 1.82 1.95 8.50 30.4 0.96 3.1 -16.4 -12.4 -8.5 2011 0 1.2
Steris plc STE 1.89 2.08 2.29 9.54 6.0 0.98 34.2 -6.1 2.1 7.1 2005 1 7.5
Southwest Gas Corp. SWX 2.51 2.72 2.94 12.66 19.6 0.26 -5.9 -30.4 -15.6 -23.1 2007 1 2.5
Sensient Technologies Corp. SXT 1.85 1.92 1.99 9.15 18.6 0.94 -2.4 -34.6 -20.4 -25.4 2007 1 8.1
Stock Yards Bancorp Inc. SYBT 1.30 1.43 1.57 6.63 19.0 0.46 9.2 -18.0 -13.0 -7.6 2010 0 1.8
Territorial Bancorp TBNK 1.09 1.13 1.18 5.42 21.3 0.65 -0.9 -21.7 -16.1 -12.1 2010 0 1
Taubman Centers Inc. TCO 3.08 3.26 3.45 15.50 29.8 1.37 98.4 -4.5 42.4 33.9 2010 0 1
Hanover Insurance Group (The) THG 2.83 2.86 2.89 13.97 11.8 0.52 6.7 -18.1 -13.5 -9.2 2006 1 3.4
Thor Industries Inc. THO 1.85 1.96 2.08 9.23 12.2 2.00 79.3 -15.7 -4.1 21.0 2011 0 3.4
Thomasville Bancshares Inc. THVB 1.53 1.58 1.62 7.66 15.6 n/a n/a n/a n/a n/a OTC 2002 1 n/a
Contenders Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Aaron's&Inc.
Tiffany Company AAN
TIF 2.82 3.02 3.25 14.19 10.6 1.57 70.0 -0.6 -0.3 23.5 2003 1 9
TJX Companies Inc. TJX 1.15 1.25 1.36 5.80 9.7 0.70 21.9 -7.9 -3.1 4.8 1997 2 14.9
Texas Pacific Land Trust TPL 2.18 2.25 2.31 10.78 1.5 1.25 23.1 -24.0 -9.6 -2.7 2004 1 72.3
Trinity Industries Inc. TRN 0.78 0.86 0.95 4.00 19.7 2.00 27.0 -17.4 -5.9 1.4 2012 0 1.6
Travelers Companies TRV 4.03 4.30 4.59 20.16 16.8 0.90 -3.4 -22.8 -11.7 -15.7 2005 1 2.4
Tractor Supply Company TSCO 1.78 1.95 2.15 8.97 10.1 1.03 0.6 -22.5 -5.7 -10.7 2010 0 10.5
Toro Company TTC 1.10 1.21 1.33 5.54 7.8 0.79 10.9 -15.2 -11.8 -4.2 2010 0 12.6
Texas Instruments TXN 3.81 4.06 4.34 19.01 16.7 1.22 12.4 -15.9 -11.0 -6.4 2004 1 28.2
Domtar Corp. UFS 2.26 2.37 2.49 11.24 39.1 1.87 1.7 -44.5 -21.2 -24.1 2010 0 5.7
UnitedHealth Group Inc. UNH 6.63 7.29 8.02 33.44 13.1 0.71 22.5 -16.9 -12.3 -1.1 2010 0 8.2
Unum Group UNM 1.36 1.43 1.51 6.79 29.1 1.59 -1.0 -39.1 -18.9 -22.0 2009 0 1.7
Union Pacific UNP 4.75 5.22 5.74 23.94 15.0 1.09 7.2 -15.4 -11.5 -7.0 2007 1 9.6
United Parcel Service Inc. UPS 4.49 4.81 5.16 22.53 24.9 1.20 0.7 -27.8 -18.9 -19.3 2010 0 8.2
Utah Medical Products Inc. UTMD 1.22 1.26 1.30 6.13 7.0 0.78 14.1 -22.2 -13.0 -8.1 2004 1 16.3
Visa Inc. V 1.40 1.54 1.69 7.05 3.9 0.92 25.8 -15.1 -8.1 0.2 2008 1 16.6
Vector Group Ltd. VGR 1.75 1.93 2.12 8.97 77.2 0.82 41.5 -19.4 -11.9 0.9 1999 2 6.9
Valero Energy Corp. VLO 4.40 4.84 5.32 22.52 34.0 1.45 0.8 -35.0 -24.8 -22.9 2011 0 5
VSE Corp. VSEC 0.42 0.45 0.49 2.11 7.2 1.38 22.4 -28.4 -13.3 -9.0 2004 1 4.7
Verizon Communications VZ 2.87 2.97 3.08 14.36 26.5 0.42 -0.2 -13.0 -9.1 -7.8 2005 1 5.7
Washington Federal Inc. WAFD 1.03 1.10 1.17 5.16 17.2 1.07 7.8 -21.6 -15.3 -15.3 2011 0 1.4
Waste Connections Inc. WCN 0.87 0.95 1.03 4.38 4.5 0.14 16.0 -8.3 0.1 3.4 2011 0 4.3
WD-40 Company WDFC 3.25 3.57 3.93 16.39 9.5 0.23 12.1 -13.5 -9.1 -4.8 2010 0 17.5
WEC Energy Group Inc. WEC 2.85 3.02 3.21 14.27 15.5 0.09 22.6 -10.6 -4.4 1.8 2004 1 3.2
Wendy's Company WEN 0.55 0.60 0.66 2.77 14.7 0.77 16.2 -21.5 -14.9 -8.6 2010 0 2.6
Winmark Corp. WINA 1.05 1.08 1.11 5.26 2.6 0.26 26.3 -7.0 0.1 11.1 2010 0 66.6
Westlake Chemical Corp. WLK 1.25 1.38 1.52 6.32 11.3 1.63 6.7 -28.5 -15.5 -14.3 2004 1 3.3
Waste Management WM 2.44 2.61 2.80 12.20 11.0 0.58 13.6 -12.6 -7.1 -4.1 2004 1 6.4
W.P. Carey Inc. WPC 5.13 5.28 5.44 25.39 32.8 0.47 6.8 -17.3 -6.4 -9.3 1998 2 n/a
W.R. Berkley Corp. WRB 0.52 0.54 0.56 2.61 3.9 0.64 24.8 -16.0 -7.2 -2.7 2002 1 2.6
WestRock Company WRK 2.38 2.62 2.88 12.05 36.2 1.76 4.1 -25.1 -19.2 -11.9 2010 0 2.8
Williams-Sonoma Inc. WSM 2.21 2.27 2.34 11.03 17.7 0.92 24.4 -19.0 -14.5 -7.1 2006 1 9.6
Wyndham Destinations Inc. WYND 2.38 2.62 2.88 12.01 30.1 1.54 4.1 -24.9 -20.1 -13.8 2010 0 6.1
Xcel Energy XEL 1.92 2.04 2.16 9.64 15.5 0.16 15.1 -13.6 -5.9 -0.7 2004 1 2.6
Xilinx Inc. XLNX 1.87 2.01 2.16 9.38 11.2 1.18 5.1 -41.0 -11.3 -17.4 2003 1 17.4
Xylem Inc. XYL 1.28 1.41 1.55 6.45 8.3 1.14 6.1 -13.4 -6.2 -2.5 2011 0 7.7
York Water Company YORW 0.76 0.80 0.84 3.84 9.1 0.26 31.0 -15.2 -10.2 2.9 1998 2 4.2
Averages for All 294 2.42 2.58 2.76 12.13 17.71 0.87 13.71 -20.46 -10.63 -7.14 2006 0.68 6.80
Averages by Sector
Communication Services 4 1.82 1.91 2.01 9.12 16.15 0.73 12.10 -14.18 -8.51 -4.62 2008 0.50 6.85
Consumer Discretionary 32 1.92 2.03 2.16 9.59 16.65 1.00 19.41 -23.68 -11.79 -7.07 2008 0.34 10.08
Contenders Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Aaron's
ConsumerInc. Staples AAN20 2.03 2.17 2.32 10.21 19.14 0.63 14.74 -20.70 -10.01 -7.69 2004 1.05 7.69
Energy 9 3.30 3.48 3.68 16.59 39.12 1.06 7.02 -27.53 -14.30 -13.36 2004 1.11 13.64
Financials 76 2.10 2.23 2.37 10.56 16.79 0.90 11.40 -20.68 -11.94 -8.27 2006 0.72 3.47
Health Care 19 2.47 2.66 2.86 12.43 10.02 0.91 18.78 -19.80 -9.76 -4.36 2008 0.53 7.16
Industrials 43 2.47 2.66 2.87 12.41 13.42 1.05 14.17 -19.95 -10.24 -6.24 2006 0.72 9.31
Information Technology 20 3.11 3.38 3.68 15.67 14.84 1.14 16.39 -20.00 -10.76 -6.35 2006 0.65 11.38
Materials 19 2.22 2.37 2.54 11.13 16.18 1.17 9.97 -24.80 -13.84 -11.55 2008 0.47 7.17
Real Estate 22 3.69 3.95 4.24 18.55 29.50 0.61 12.28 -17.62 -5.76 -5.94 2009 0.27 3.27
Utilities 30 2.42 2.55 2.70 12.13 19.25 0.29 11.89 -15.92 -8.70 -4.50 2005 1.03 2.90
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Agilent Technologies Inc. A Health Care Life Sciences Tools9& Services
527 - - 77.07 0.93 0.1800 4 0.72 A24 0.1640 12/29/19
American Assets Trust Inc. AAT Real Estate 9 522 - Trusts
Equity Real Estate Investment - (REITs)
41.45 2.90 0.3000 4 1.20 C21 0.2800 12/11/19
AES Corp. AES Utilities Independent Power9and529 -
Renewable - Electricity
16.73 Producers
3.43 0.1433 4 0.57 B15 0.1365 1/29/20
Federal Agricultural Mortgage Corp.AGM Financials 9 544 -
Thrifts & Mortgage Finance - 75.06 4.26 0.8000 4 3.20 C30 0.7000 3/13/20
Assured Guaranty Ltd. AGO Financials Insurance 9 540 - - 40.81 1.96 0.2000 4 0.80 C21 0.1800 3/10/20
Apollo Bancorp Inc. APLO Financials Banks 9 521 - - 42.00 4.95 0.5200 4 2.08 B31 0.5100 12/15/19
Apogee Enterprises Inc. APOG Industrials Building Products 9 533 - - 30.19 2.48 0.1875 4 0.75 B14 0.1750 1/31/20
Preferred Apartment Communities Inc.
APTS Real Estate 9 487 - Trusts
Equity Real Estate Investment - (REITs)
9.54 11.01 0.2625 4 1.05 A16 0.2600 6/13/19
Atlantic Union Bankshares Corp. AUB Financials Banks 9 494 - - 29.74 3.36 0.2500 4 1.00 B27 0.2300 8/1/19
Avalonbay Communities Inc. AVB Real Estate 9 550 NTrusts
Equity Real Estate Investment N (REITs)
200.59 3.17 1.5900 4 6.36 A16 1.5200 3/30/20
Avery Dennison Corp. AVY Materials 9
Containers & Packaging 481 Y Y 114.49 2.03 0.5800 4 2.32 C20 0.5200 6/4/19
Aircastle Limited AYR Industrials Trading Companies9& Distributors
516 - - 31.85 4.02 0.3200 4 1.28 C15 0.3000 11/26/19
Barnes Group Inc. B Industrials Machinery 9 436 Y Y 53.70 1.19 0.1600 4 0.64 C09 0.1400 5/24/18
Booz Allen Hamilton Holding Corp. BAH Information Technology
IT Services 9 536 - - 71.30 1.74 0.3100 4 1.24 B28 0.2700 2/13/20
Brookfield Asset Management Inc. BAM Financials Capital Markets 9 545 - - 59.96 1.20 0.1800 4 0.72 C29 0.1600 2/27/20
B&G Foods Inc. BGS Consumer Staples
Food Products 9 439 - - 14.80 12.84 0.4750 4 1.90 A30 0.4650 6/28/18
Bank of New York Mellon Corp. BK Financials Capital Markets 9 492 N N 39.90 3.11 0.3100 4 1.24 B11 0.2800 7/26/19
Bank of South Carolina Corp. BKSC Financials Banks 9 466 Y Y 17.25 3.71 0.1600 4 0.64 A31 0.1500 4/5/19
Bryn Mawr Bank Corp. BMTC Financials Banks 9 495 Y Y 33.24 3.13 0.2600 4 1.04 C01 0.2500 7/31/19
Bassett Furniture Industries Inc. BSET Household Durables9 440 -
Consumer Discretionary - 9.87 5.07 0.1250 4 0.50 B25 0.1100 8/9/18
Cogent Communications Holdings Inc.CCOI CommunicationDiversified 9 542 - Services
Services Telecommunication - 73.01 3.62 0.6600 4 2.64 C26 0.6400 3/12/20
Churchill Downs Inc. CHDN Hotels, Restaurants9& Leisure
Consumer Discretionary 523 - - 125.64 0.46 0.5810 1 0.58 Jan 0.5433 12/4/19
Civista Bancshares Inc. CIVB Financials Banks 9 511 - - 19.14 2.30 0.1100 4 0.44 B01 0.0900 10/21/19
Cortland Bancorp CLDB Financials Banks 9 537 - - 21.75 2.57 0.1400 4 0.56 C01 0.1200 2/7/20
Columbia Banking System Inc. COLB Financials Banks 9 448 - - 33.20 3.37 0.2800 4 1.12 B23 0.2600 2/5/19
Core-Mark Holding Company CORE Consumer Discretionary
Distributors 9 517 - - 23.01 2.09 0.1200 4 0.48 C22 0.1100 11/17/19
Culp Inc. CULP Textiles, Apparel & 9Luxury
Consumer Discretionary 526Goods
- - 9.12 4.61 0.1050 4 0.42 A16 0.1000 1/6/20
Codorus Valley Bancorp Inc. CVLY Financials Banks 9 447 N N 20.60 3.11 0.1600 4 0.64 B13 0.1550 1/18/19
Dillard's Inc. DDS Consumer Discretionary
Multiline Retail 9 512 - - 56.29 1.07 0.1500 4 0.60 A30 0.1000 9/27/19
Discover Financial Services DFS Financials Consumer Finance 9 498 N Y 65.58 2.68 0.4400 4 1.76 C07 0.4000 8/21/19
Quest Diagnostics Inc. DGX Health Care Health Care Providers 9 &552 -
Services - 106.06 2.11 0.5600 4 2.24 A18 0.5300 4/6/20
Walt Disney Company DIS CommunicationEntertainment
Services 9 445 - - 117.65 1.50 0.8800 2 1.76 JaJl 0.8400 12/7/18
Dunkin' Brands Group Inc. DNKN Hotels, Restaurants9& Leisure
Consumer Discretionary 539 - - 66.52 2.42 0.4025 4 1.61 C21 0.3750 3/6/20
Amdocs Limited DOX Information Technology
IT Services 9 553 - - 63.75 2.05 0.3275 4 1.31 A20 0.2850 3/30/20
El Paso Electric Co. EE Utilities Electric Utilities 9 482 - - 67.87 2.27 0.3850 4 1.54 C30 0.3600 6/13/19
Evans Bancorp Inc. EVBN Financials Banks 9 548 - - 39.27 2.95 0.5800 2 1.16 ApOc 0.5200 3/11/20
First Defiance Financial Corp. FDEF Financials 9 513 N
Thrifts & Mortgage Finance N 23.92 3.68 0.2200 4 0.88 B23 0.1900 11/14/19
FBL Financial Group Inc. FFG Financials Insurance 9 452 N Y 47.76 4.02 0.4800 4 1.92 C29 0.4600 3/14/19
First Financial Bankshares Inc. FFIN Financials Banks 9 484 - - 28.74 1.67 0.1200 4 0.48 A02 0.1050 6/14/19
First Horizon Narional Corp. FHN Financials Banks 9 546 - - 13.33 4.50 0.1500 4 0.60 A02 0.1400 3/12/20
Financial Institutions Inc. FISI Financials Banks 9 459 - - 26.91 3.72 0.25 4 1.00 A2 0.24 3/14/19
Flir Systems Inc. FLIR Information Technology 9 Instruments
Electronic Equipment, 451 - -& Components
42.47 1.60 0.1700 4 0.68 C09 0.1600 2/21/19
First Mid-Illinois Bancshares Inc. FMBH Financials Banks 9 518 - - 28.17 2.84 0.4000 2 0.80 C08 0.3600 11/27/19
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Cedar Fair LP FUN Hotels, Restaurants9& Leisure
Consumer Discretionary 519 N N 45.69 8.19 0.9350 4 3.74 C15 0.9250 12/2/19
Gladstone Investment Corp. GAIN Financials Capital Markets 9 543 - - 11.45 7.34 0.0700 12 0.84 Mo. 0.0680 2/18/20
Griffon Corp. GFF Industrials Building Products 9 520 - - 17.40 1.72 0.0750 4 0.30 C21 0.0725 11/25/19
Gentex Corp. GNTX Auto Components 9 465 -
Consumer Discretionary - 26.70 1.72 0.1150 4 0.46 A18 0.1100 4/9/19
Goldman Sachs Group Inc. GS Financials Capital Markets 9 501 - - 200.77 2.49 1.2500 4 5.00 C28 0.8500 8/29/19
Huntington Bancshares Inc. HBAN Financials Banks 9 503 Y Y 12.27 4.89 0.1500 4 0.60 A02 0.1400 9/16/19
Horizon Bancorp HBNC Financials Banks 9 489 N N 15.02 3.20 0.1200 4 0.48 A20 0.1000 7/3/19
HNI Corp. HNI Industrials Commercial Services 9 & 475 -
Supplies - 32.83 3.72 0.3050 4 1.22 C01 0.2950 5/16/19
Home Bancshares Inc. HOMB Financials Banks 9 476 - - 16.76 3.10 0.1300 4 0.52 C06 0.1200 5/14/19
Honeywell International Inc. HON Industrials 9
Industrial Conglomerates515 N N 162.17 2.22 0.9000 4 3.60 C08 0.8200 11/14/19
Independent Bancorp MA INDB Financials Banks 9 461 N N 67.53 2.61 0.4400 4 1.76 A06 0.3800 3/22/19
Ingredion Inc. INGR Consumer Staples
Food Products 9 509 Y Y 83.30 3.03 0.6300 4 2.52 A25 0.6250 9/30/19
Intuit Inc. INTU Information Technology
Software 9 507 - - 265.85 0.80 0.5300 4 2.12 C18 0.4700 10/9/19
Investors Bancorp ISBC Financials Banks 9 535 - - 10.54 4.55 0.1200 4 0.48 B24 0.1100 2/7/20
Jones Lang Lasalle JLL Real Estate 9
Real Estate Management 477& Development
Y Y 147.77 0.58 0.4300 2 0.86 JuDe 0.4100 5/16/19
JPMorgan Chase & Co. JPM Financials Banks 9 510 N N 116.11 3.10 0.9000 4 3.60 A31 0.8000 10/3/19
Kaiser Aluminum Corp. KALU Materials Metals & Mining 9 530 - - 94.55 2.83 0.6700 4 2.68 B15 0.6000 1/23/20
KeyCorp KEY Financials Banks 9 499 N Y 16.35 4.53 0.1850 4 0.74 C15 0.1700 8/26/19
Kohl's Corp. KSS Consumer Discretionary
Multiline Retail 9 460 - - 39.15 6.85 0.6700 4 2.68 C28 0.6100 3/19/19
Lakeland Bancorp Inc. LBAI Financials Banks 9 470 N N 14.40 3.47 0.1250 4 0.50 B15 0.1150 5/8/19
Legg Mason Inc. LM Financials Capital Markets 9 490 - - 49.82 3.21 0.4000 4 1.60 A09 0.3400 7/1/19
Las Vegas Sands Corp. LVS Hotels, Restaurants9& Leisure
Consumer Discretionary 541 - - 58.31 5.42 0.7900 4 3.16 C30 0.7700 3/17/20
LyondellBasell Industries NV LYB Materials Chemicals 9 480 - - 71.46 5.88 1.0500 4 4.20 C12 1.0000 6/7/19
MasterCard Inc. MA Information Technology
IT Services 9 528 - - 290.25 0.55 0.4000 4 1.60 B09 0.3300 1/7/20
Main Street Capital Corp. MAIN Financials Capital Markets 9 488 - - 36.93 6.66 0.2050 12 2.46 Mo. 0.2000 6/27/19
ManpowerGroup Inc. MAN Industrials 9
Professional Services 478 - - 75.94 2.87 1.0900 2 2.18 JuDe 1.0100 5/31/19
Mercantile Bank Corp. MBWM Financials Banks 9 538 N N 28.69 3.90 0.2800 4 1.12 C21 0.2700 3/5/20
Methanex Corp. MEOH Materials Chemicals 9 483 - - 28.85 4.99 0.3600 4 1.44 C31 0.3300 6/13/19
MKS Instruments Inc. MKSI Information Technology 9 437 -
Semiconductors & Semiconductor -Equipment
100.19 0.80 0.2000 4 0.80 C08 0.1800 5/24/18
Malaga Financial Corp. MLGF Financials Banks 9 444 - - 23.16 4.32 0.2500 4 1.00 A03 0.2381 12/13/18
Merck & Company MRK Health Care Pharmaceuticals 9 524 Y Y 76.56 3.19 0.6100 4 2.44 A08 0.5500 12/12/19
Vail Resorts Inc. MTN Hotels, Restaurants9& Leisure
Consumer Discretionary 462 - - 212.61 3.31 1.7600 4 7.04 A11 1.4700 3/26/19
NiSource Inc. NI Utilities Multi-Utilities 9 534 N N 27.02 3.11 0.2100 4 0.84 B20 0.2000 2/10/20
Oxford Industries Inc. OXM Textiles, Apparel & 9Luxury
Consumer Discretionary 468Goods
- - 60.39 2.45 0.3700 4 1.48 B04 0.3400 4/17/19
Paychex Inc. PAYX Information Technology
IT Services 9 473 N N 77.48 3.20 0.6200 4 2.48 B24 0.5600 5/14/19
Paccar Inc. PCAR Industrials Machinery 9 450 - - 66.90 1.91 0.3200 4 1.28 C06 0.2800 2/11/19
Public Service Enterprise Group Inc.
PEG Utilities Multi-Utilities 9 547 N N 51.31 3.82 0.4900 4 1.96 C30 0.4700 3/9/20
Provident Financial Services Inc. PFS Financials 9 449 -
Thrifts & Mortgage Finance - 19.98 4.60 0.2300 4 0.92 B31 0.2100 2/14/19
Packaging Corp of America PKG Materials 9
Containers & Packaging 438 - - 90.62 3.49 0.7900 4 3.16 A14 0.6300 6/14/18
PNC Financial Services Group Inc. PNC Financials Banks 9 491 N Y 126.40 3.64 1.1500 4 4.60 B05 0.9500 7/18/19
PNM Resources Inc. PNM Utilities Electric Utilities 9 531 N N 47.08 2.61 0.3075 4 1.23 B01 0.2900 1/30/20
Pool Corp. POOL Consumer Discretionary
Distributors 9 474 - - 210.96 1.04 0.5500 4 2.20 B31 0.4500 5/16/19
QNB Corp. QNBC Financials Banks 9 453 - - 34.00 3.88 0.3300 4 1.32 C30 0.3200 3/14/19
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. Div.
CCC DRIP Fees 2/28/20 Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price
Yield Dividend Year Annualized Sch Payout Ex-Div
Royal Caribbean Cruises Ltd. RCL Consumer Discretionary 9 504
Hotels, Restaurants & Leisure - - 80.41 3.88 0.7800 4 3.12 A11 0.7000 9/19/19
Reliance Steel & Aluminum Co. RS Materials Metals & Mining 9 454 - - 102.29 2.15 0.5500 4 2.20 C30 0.5000 3/14/19
Sandy Spring Bancorp Inc. SASR Financials Banks 9 469 - - 30.76 3.90 0.3000 4 1.20 B16 0.2800 5/7/19
Sinclair Broadcast Group Inc. SBGI CommunicationMedia
Services 9 443 - - 23.21 3.45 0.2000 4 0.80 C15 0.1800 11/29/18
Service Corp International SCI Consumer Discretionary
Diversified Consumer9 Services
455 - - 47.79 1.51 0.1800 4 0.72 C30 0.1700 3/14/19
Steelcase Inc. SCS Industrials Commercial Services 9 & 463 -
Supplies - 16.22 3.58 0.1450 4 0.58 A13 0.1350 3/28/19
Simmons First National Corp. SFNC Financials Banks 9 549 - - 21.38 3.18 0.1700 4 0.68 A05 0.1600 3/13/20
Signet Jewelers Limited SIG Consumer Discretionary
Specialty Retail 9 435 - - 23.32 6.35 0.3700 4 1.48 C01 0.3100 5/3/18
SL Green Realty Corp. SLG Real Estate 9 525 NTrusts
Equity Real Estate Investment N (REITs)
78.44 4.51 0.8850 4 3.54 A16 0.8500 12/30/19
Sotherly Hotels Inc. SOHO Real Estate 9 485 - Trusts
Equity Real Estate Investment - (REITs)
5.13 10.14 0.1300 4 0.52 A11 0.1250 6/13/19
SpartanNash Company SPTN Consumer Staples 9
Food & Staples Retailing456 - - 12.43 6.11 0.1900 4 0.76 C29 0.1800 3/14/19
South State Corp. SSB Financials Banks 9 532 - - 68.12 2.76 0.4700 4 1.88 B18 0.4600 2/6/20
Steel Dynamics Inc. STLD Materials Metals & Mining 9 464 N Y 26.63 3.60 0.2400 4 0.96 A13 0.1875 3/28/19
State Street Corp. STT Financials Capital Markets 9 505 Y Y 68.11 3.05 0.5200 4 2.08 A16 0.4700 9/30/19
Standex International Inc. SXI Industrials Machinery 9 514 - - 63.43 1.39 0.2200 4 0.88 B28 0.2000 11/8/19
Truist Financial Corp TFC Financials Banks 9 497 Y Y 46.14 3.90 0.4500 4 1.80 C01 0.4050 8/13/19
Terreno Realty Corp. TRNO Real Estate 9 508 - Trusts
Equity Real Estate Investment - (REITs)
54.87 1.97 0.2700 4 1.08 A20 0.2400 10/3/19
Texas Roadhouse Inc. TXRH Hotels, Restaurants9& Leisure
Consumer Discretionary 457 - - 56.22 2.13 0.3000 4 1.20 C29 0.2500 3/12/19
UDR Inc. UDR Real Estate 9 467 NTrusts
Equity Real Estate Investment N (REITs)
44.98 3.05 0.3425 4 1.37 A30 0.3225 4/8/19
Umpqua Holdings Corp. UMPQ Financials Banks 9 442 N N 15.39 5.46 0.2100 4 0.84 A13 0.2000 9/27/18
U.S. Bancorp USB Financials Banks 9 506 N N 46.44 3.62 0.4200 4 1.68 A16 0.3700 9/27/19
US Physical Therapy Inc. USPH Health Care Health Care Providers 9 &500 -
Services - 104.22 1.15 0.3000 4 1.20 A13 0.2700 8/14/19
Ventas Inc. VTR Real Estate 9 446 NTrusts
Equity Real Estate Investment N (REITs)
53.77 5.90 0.7925 4 3.17 A12 0.7900 12/31/18
Washington Trust Bancorp Inc. WASH Financials Banks 9 486 N N 42.92 4.75 0.5100 4 2.04 A13 0.4700 6/28/19
Webster Financial Corp. WBS Financials Banks 9 471 N Y 37.97 4.21 0.4000 4 1.60 B21 0.3300 5/3/19
Wells Fargo & Co. WFC Financials Banks 9 496 Y Y 40.85 4.99 0.5100 4 2.04 C01 0.4500 8/8/19
Whirlpool Corp. WHR Household Durables9 479 Y
Consumer Discretionary Y 127.86 3.75 1.2000 4 4.80 C15 1.1500 5/16/19
Willis Towers Watson plc WLTW Financials Insurance 9 551 - - 189.25 1.44 0.6800 4 2.72 A16 0.6500 3/30/20
William Penn Bancorp Inc. WMPN Financials Banks 9 493 - - 36.50 1.10 0.4000 1 0.40 Aug 0.3200 8/2/19
Worthington Industries Inc. WOR Materials Metals & Mining 9 502 N N 31.80 3.02 0.2400 4 0.96 C29 0.2300 9/12/19
WesBanco Inc. WSBC Financials Banks 9 458 N N 30.61 4.05 0.3100 4 1.24 A02 0.2900 3/14/19
West Bancorp Inc. WTBA Financials Banks 9 472 - - 20.45 4.11 0.2100 4 0.84 B23 0.2000 5/7/19
Weyerhaeuser Company WY Real Estate 9 441 NTrusts
Equity Real Estate Investment Y (REITs)
25.98 5.23 0.3400 4 1.36 C15 0.3200 9/13/18
Apple Inc. AAPL Information Technology
Technology Hardware,8 Storage
564 - & Peripherals
- 273.36 1.13 0.7700 4 3.08 B18 0.7300 5/10/19
AbbVie Inc. ABBV Health Care Biotechnology 8 619 N N 85.71 5.51 1.1800 4 4.72 B15 1.0700 1/13/20
Arbor Realty Trust Inc. ABR Financials Mortgage Real Estate8 Investment
599 - -
Trusts12.14
(REITs)9.88 0.3000 4 1.20 C21 0.2900 11/13/19
Agree Realty Corp. ADC Real Estate 8 609 NTrusts
Equity Real Estate Investment N (REITs)
71.82 3.26 0.5850 4 2.34 A03 0.5700 12/18/19
Armada Hoffler Properties Inc. AHH Real Estate 8 647 - Trusts
Equity Real Estate Investment - (REITs)
16.76 5.25 0.2200 4 0.88 A05 0.2100 3/24/20
Air Lease Corp. AL Industrials Trading Companies8& Distributors
611 - - 38.36 1.56 0.1500 4 0.60 A04 0.1300 12/18/19
Alaska Air Group Inc. ALK Industrials Airlines 8 632 - - 50.46 2.97 0.3750 4 1.50 C08 0.3500 2/14/20
Amerisafe Inc. AMSF Financials Insurance 8 641 - - 65.17 1.66 0.2700 4 1.08 C23 0.2500 3/12/20
Aon plc AON Financials Insurance 8 563 - - 208.00 0.85 0.4400 4 1.76 B15 0.4000 4/30/19
Amphenol Corp. APH Information Technology 8 Instruments
Electronic Equipment, 587 - -& Components
91.68 1.09 0.2500 4 1.00 A10 0.2300 9/16/19
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Associated Banc-Corp ASB Financials Banks 8 606 Y Y 16.93 4.25 0.1800 4 0.72 C15 0.1700 11/29/19
American Express Company AXP Financials Consumer Finance 8 597 Y Y 109.93 1.56 0.4300 4 1.72 B10 0.3900 10/3/19
Boeing Company BA Industrials Aerospace & Defense 8 560 Y Y 275.11 2.99 2.0550 4 8.22 C02 1.7100 2/7/19
Bank of Botetourt BORT Financials Banks 8 623 - - 30.00 2.33 0.1750 4 0.70 B16 0.1600 2/10/20
Brookfield Property Partners LP BPY Real Estate 8
Real Estate Management 645& Development
- - 16.32 8.15 0.3325 4 1.33 C29 0.3300 2/27/20
Sierra Bancorp BSRR Financials Banks 8 616 - - 23.82 3.36 0.2000 4 0.80 B15 0.1900 1/29/20
Cheesecake Factory Inc. CAKE Hotels, Restaurants8& Leisure
Consumer Discretionary 580 - - 35.63 4.04 0.3600 4 1.44 B29 0.3300 8/13/19
Carolina Financial Corp CARO Financials Banks 8 610 - - 32.40 1.23 0.1000 4 0.40 A4 0.0900 12/12/19
Cabot Corp. CBT Materials Chemicals 8 569 - - 37.38 3.75 0.3500 4 1.40 C09 0.3300 5/30/19
C&F Financial Corp. CFFI Financials Banks 8 607 N N 45.50 3.34 0.3800 4 1.52 A01 0.3700 12/11/19
City Holding Co. CHCO Financials Banks 8 595 N N 69.92 3.26 0.5700 4 2.28 A31 0.5300 10/14/19
CNO Financial Group Inc. CNO Financials Insurance 8 572 - - 16.02 2.75 0.1100 4 0.44 C23 0.1000 6/7/19
Carter's Inc. CRI Textiles, Apparel & 8Luxury
Consumer Discretionary 637Goods
- - 91.47 2.62 0.6000 4 2.40 C23 0.5000 3/5/20
CSG Systems International Inc. CSGS Information Technology
IT Services 8 639 - - 44.25 2.12 0.2350 4 0.94 C29 0.2225 3/5/20
Consolidated-Tomoka Land Co. CTO Real Estate 8
Real Estate Management 628& Development
- - 57.51 1.74 0.25 4 1.00 B28 0.13 2/21/20
Calavo Growers Inc. CVGW Consumer Staples
Food Products 8 602 - - 72.45 1.52 1.1000 1 1.10 Dec 1.0000 11/14/19
Delek Logistics Partners LP DKL Energy 8
Oil, Gas & Consumable 615
Fuels- - 21.49 16.47 0.8850 4 3.54 B15 0.8800 2/3/20
Domino's Pizza Inc. DPZ Hotels, Restaurants8& Leisure
Consumer Discretionary 643 Y Y 339.46 0.92 0.7800 4 3.12 C30 0.6500 3/12/20
EastGroup Properties Inc. EGP Real Estate 8 591 - Trusts
Equity Real Estate Investment - (REITs)
125.73 2.39 0.7500 4 3.00 C29 0.7200 9/27/19
EQT Midstream Partners LP EQM Energy 8
Oil, Gas & Consumable 579
Fuels- - 17.36 26.73 1.1600 4 4.64 B15 1.1450 8/1/19
Expedia Inc. EXPE Consumer Discretionary 8 584 Retail
Internet & Direct Marketing - - 98.62 1.38 0.3400 4 1.36 C14 0.3200 8/21/19
Exponent Inc. EXPO Industrials 8
Professional Services 642 - - 73.65 1.03 0.1900 4 0.76 C23 0.1600 3/12/20
Exchange Bank (Santa Rosa CA) EXSR Financials Banks 8 638 - - 159.00 3.02 1.2000 4 4.80 C14 1.1500 3/5/20
Fortune Brands Home & Security FBHS Industrials Building Products 8 636 - - 61.75 1.55 0.2400 4 0.96 C14 0.2200 2/26/20
First Business Financial Services Inc.
FBIZ Financials Banks 8 620 - - 24.00 2.75 0.1650 4 0.66 B15 0.1500 1/31/20
Farmers Bankshares Inc. FBVA Financials Banks 8 592 - - 17.00 2.82 0.1200 4 0.48 A16 0.1100 9/30/19
First Community Bancshares Inc. FCBC Financials Banks 8 566 N N 26.16 3.82 0.2500 4 1.00 B18 0.2100 5/2/19
First Community Corp. FCCO Financials Banks 8 621 N N 19.41 2.47 0.1200 4 0.48 B15 0.1100 1/30/20
Comfort Systems USA Inc. FIX Industrials 8 644 -
Construction & Engineering - 42.22 0.99 0.1050 4 0.42 B25 0.1000 3/6/20
F&M Bank Corp. FMBM Financials Banks 8 598 - - 27.24 3.82 0.2600 4 1.04 B16 0.2500 10/31/19
Fidelity National Financial Inc. FNF Financials Insurance 8 608 - - 38.76 3.41 0.3300 4 1.32 C30 0.3100 12/16/19
First Industrial Realty Trust Inc. FR Real Estate 8 651 NTrusts
Equity Real Estate Investment N (REITs)
38.50 2.60 0.2500 4 1.00 A16 0.2300 3/30/20
First Republic Bank FRC Financials Banks 8 562 - - 100.57 0.76 0.1900 4 0.76 B10 0.1800 4/24/19
First Merchants Corp. FRME Financials Banks 8 571 - - 34.98 2.97 0.2600 4 1.04 C16 0.2200 5/17/19
FS Bancorp Inc. FSBW Financials 8 625 -
Thrifts & Mortgage Finance - 47.79 1.76 0.2100 4 0.84 B14 0.2000 2/4/20
German American Bancorp GABC Financials Banks 8 626 - - 29.85 2.55 0.1900 4 0.76 B20 0.1700 2/7/20
Glacier Bancorp Inc. GBCI Financials Banks 8 594 Y Y 37.29 3.11 0.2900 4 1.16 A19 0.2700 10/7/19
GEO Group Inc. GEO Real Estate 8 559 - Trusts
Equity Real Estate Investment - (REITs)
14.64 13.11 0.4800 4 1.92 B19 0.4700 2/14/19
Getty Realty Corp. GTY Real Estate 8 612 NTrusts
Equity Real Estate Investment Y (REITs)
28.34 5.22 0.3700 4 1.48 A04 0.3500 12/24/19
Huntington Ingalls Industries Inc. HII Industrials Aerospace & Defense 8 603 - - 205.53 2.00 1.0300 4 4.12 C08 0.8600 11/26/19
Heartland BanCorp HLAN Financials Banks 8 649 - - 89.60 2.54 0.5700 4 2.28 A10 0.5200 3/24/20
Hope Bancorp Inc. HOPE Financials Banks 8 555 - - 12.21 4.59 0.1400 4 0.56 B14 0.1300 7/26/18
Healthcare Trust of America Inc. HTA Real Estate 8 588 - Trusts
Equity Real Estate Investment - (REITs)
31.14 4.05 0.3150 4 1.26 A06 0.3100 10/2/19
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Heritage Commerce Corp. HTBK Financials Banks 8 624 - - 10.26 5.07 0.1300 4 0.52 B22 0.1200 2/4/20
Hawthorn Bancshares Inc. HWBK Financials Banks 8 575 N N 21.74 2.21 0.1200 4 0.48 A01 0.1000 6/14/19
Hyster-Yale Materials Handling Inc.HY Industrials Machinery 8 570 - - 48.14 2.64 0.3175 4 1.27 C15 0.3100 5/30/19
Intercontinental Exchange Inc. ICE Financials Capital Markets 8 646 - - 89.22 1.34 0.3000 4 1.20 C29 0.2750 3/16/20
Idacorp Inc. IDA Utilities Electric Utilities 8 600 N N 96.64 2.77 0.6700 4 2.68 B30 0.6300 11/4/19
Interpublic Group of Companies Inc.IPG CommunicationMedia
Services 8 635 Y Y 21.36 4.78 0.2550 4 1.02 C15 0.2350 2/28/20
Ingersoll-Rand plc IR Industrials Machinery 8 556 - - 129.04 1.64 0.5300 4 2.12 C29 0.4500 9/6/18
ITT Corp. ITT Industrials Machinery 8 648 N N 60.15 1.12 0.1690 4 0.68 A02 0.1470 3/13/20
Lakeland Financial Corp. LKFN Financials Banks 8 561 N N 40.87 2.94 0.3000 4 1.20 B07 0.2600 4/24/19
Southwest Airlines Co. LUV Industrials Airlines 8 573 Y Y 46.19 1.56 0.1800 4 0.72 C28 0.1600 6/4/19
La-Z-Boy Inc. LZB Household Durables8 604 Y
Consumer Discretionary Y 28.65 1.95 0.1400 4 0.56 C20 0.1300 11/28/19
Matson Inc. MATX Industrials Marine 8 583 - - 33.21 2.65 0.22 4 0.88 C2 0.21 7/31/19
Mondelez International Inc. MDLZ Consumer Staples
Food Products 8 590 - - 52.8 2.16 0.285 4 1.14 A10 0.26 9/27/19
Herman Miller Inc. MLHR Industrials Commercial Services 8 & 593 -
Supplies - 34.24 2.45 0.2100 4 0.84 A15 0.1975 8/30/19
MPLX LP MPLX Energy 8
Oil, Gas & Consumable 622
Fuels- - 20.29 13.55 0.6875 4 2.75 B15 0.6775 2/3/20
Nasdaq Inc. NDAQ Financials Capital Markets 8 574 - - 102.55 1.83 0.4700 4 1.88 C29 0.4400 6/13/19
Northern Trust Corp. NTRS Financials Capital Markets 8 586 - - 87.76 3.19 0.7000 4 2.80 A01 0.6000 9/12/19
NVIDIA Corp. NVDA Information Technology 8 557 -
Semiconductors & Semiconductor -Equipment
270.07 0.24 0.1600 4 0.64 C15 0.1500 11/29/18
Nexstar Media Group Inc. NXST CommunicationMedia
Services 8 629 - - 114.98 1.95 0.5600 4 2.24 C02 0.4500 2/13/20
Pinnacle West Capital Corp. PNW Utilities Electric Utilities 8 601 N N 89.49 3.50 0.7825 4 3.13 C01 0.7375 11/1/19
Pinnacle Bankshares Corp. PPBN Financials Banks 8 568 - - 31.35 1.79 0.1400 4 0.56 C02 0.1250 5/23/19
Peoples Ltd. PPLL Financials Banks 8 605 - - 74.00 2.97 0.5500 4 2.20 C29 0.5300 11/21/19
Phillips 66 PSX Energy 8
Oil, Gas & Consumable 567
FuelsN N 74.86 4.81 0.9000 4 3.60 C01 0.8000 5/17/19
Phillips 66 Partners LP PSXP Energy 8
Oil, Gas & Consumable 617
Fuels- - 54.37 6.44 0.8750 4 3.50 B14 0.8650 1/30/20
Ryman Hospitality Properties Inc. RHP Real Estate 8 650 - Trusts
Equity Real Estate Investment - (REITs)
69.51 5.47 0.9500 4 3.80 A16 0.9000 3/30/20
Raymond James Financial Inc. RJF Financials Capital Markets 8 613 - - 83.63 1.77 0.3700 4 1.48 A17 0.3400 12/30/19
ResMed Inc. RMD Health Care Health Care Equipment 8 585 -
& Supplies- 158.96 0.98 0.3900 4 1.56 C21 0.3700 8/14/19
Shoe Carnival Inc. SCVL Consumer Discretionary
Specialty Retail 8 577 - - 29.91 1.14 0.0850 4 0.34 A17 0.0800 7/5/19
Sound Financial Bancorp Inc. SFBC Financials Banks 8 627 - - 36.28 1.65 0.1500 4 0.60 B25 0.1400 2/7/20
Southwest Georgia Financial Corp. SGB Financials Banks 8 554 N N 29.39 1.63 0.1200 4 0.48 C16 0.1100 6/4/18
Southern Missouri Bancorp Inc. SMBC Financials 8 581 -
Thrifts & Mortgage Finance - 32.82 1.83 0.1500 4 0.60 B31 0.1300 8/14/19
Southern Michigan Bancorp Inc. SOMC Financials Banks 8 578 - - 38.00 2.42 0.2300 4 0.92 A21 0.2200 7/11/19
Service Properties Trust SVC Real Estate 8 565 NTrusts
Equity Real Estate Investment N (REITs)
18.08 11.95 0.5400 4 2.16 B17 0.5300 4/26/19
Schweitzer-Mauduit International Inc.
SWM Materials 8
Paper & Forest Products 558 - - 33.72 5.22 0.4400 4 1.76 C22 0.4300 11/29/18
TCF Financial Corp. TCF Financials Banks 8 582 N N 36.44 3.84 0.3500 4 1.40 C15 0.3400 8/14/19
Towne Bank TOWN Financials Banks 8 576 N N 23.06 3.12 0.1800 4 0.72 A12 0.1600 6/27/19
Truxton Corp. TRUX Financials Banks 8 640 - - 47.50 2.36 0.2800 4 1.12 C29 0.2500 3/3/20
Timberland Bancorp Inc. TSBK Financials 8 630 -
Thrifts & Mortgage Finance - 23.25 3.44 0.2000 4 0.80 B28 0.1500 2/13/20
Tyson Foods Inc. TSN Consumer Staples
Food Products 8 633 N Y 67.83 2.48 0.4200 4 1.68 C15 0.3750 2/26/20
Trinity Bank NA TYBT Financials Banks 8 596 - - 63.00 1.97 0.6200 2 1.24 ApOc 0.6000 10/11/19
Universal Forest Products Inc. UFPI Industrials Building Products 8 634 - - 46.86 1.07 0.1250 4 0.50 C15 0.1000 2/27/20
Union Bankshares Inc. UNB Financials Banks 8 614 - - 29.98 4.27 0.3200 4 1.28 B08 0.3100 1/24/20
Western Midstream Partners LP WES Energy 8
Oil, Gas & Consumable 618
Fuels- - 13.06 19.05 0.6220 4 2.49 B24 0.6200 1/30/20
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. Div.
CCC DRIP Fees 2/28/20 Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price
Yield Dividend Year Annualized Sch Payout Ex-Div
Dentsply Sirona Inc. XRAY 8 589
Health Care Health Care Equipment & Supplies - - 49.24 0.81 0.1000 4 0.40 A13 0.0875 9/26/19
Zoetis Inc. ZTS Health Care Pharmaceuticals 8 631 - - 133.23 0.60 0.2000 4 0.80 C01 0.1640 1/16/20
Abbott Laboratories ABT Health Care Health Care Equipment 7 707 N
& SuppliesN 77.03 1.87 0.3600 4 1.44 B15 0.3200 1/13/20
American Campus Communities ACC Real Estate 7 666 - Trusts
Equity Real Estate Investment - (REITs)
43.44 4.33 0.4700 4 1.88 B26 0.4600 5/10/19
AGCO Corp. AGCO Industrials Machinery 7 670 - - 60.43 1.06 0.1600 4 0.64 C15 0.1500 5/14/19
Acadia Realty Trust AKR Real Estate 7 700 YTrusts
Equity Real Estate Investment Y (REITs)
22.84 5.08 0.2900 4 1.16 A12 0.2800 12/29/19
Allegion plc ALLE Industrials Building Products 7 727 - - 114.99 1.11 0.3200 4 1.28 C29 0.2700 3/16/20
Argo Group International Holdings Ltd.
ARGO Financials Insurance 7 655 - - 56.26 2.20 0.3100 4 1.24 C23 0.2700 2/28/19
Avnet Inc. AVT Information Technology 7 Instruments
Electronic Equipment, 680 - -& Components
30.68 2.74 0.2100 4 0.84 C27 0.2000 9/10/19
Banner Corp. BANR Financials Banks 7 662 - - 45.64 3.59 0.4100 4 1.64 A19 0.3800 4/8/19
Brunswick Corp. BC Leisure Products 7 693 Y
Consumer Discretionary Y 53.20 1.80 0.2400 4 0.96 C15 0.2100 11/18/19
Brixmor Property Group BRX Real Estate 7 701 - Trusts
Equity Real Estate Investment - (REITs)
18.21 6.26 0.2850 4 1.14 A16 0.2800 1/2/20
First Busey Corp. BUSE Financials Banks 7 704 - - 22.07 3.99 0.2200 4 0.88 B02 0.2100 1/23/20
BancorpSouth Inc. BXS Financials Banks 7 682 Y Y 24.47 3.02 0.1850 4 0.74 A02 0.1700 9/12/19
Cathay General Bancorp CATY Financials Banks 7 654 Y Y 30.78 4.03 0.3100 4 1.24 C11 0.2400 11/30/18
CDW Corp. CDW Information Technology 7 Instruments
Electronic Equipment, 692 - -& Components
114.22 1.33 0.3800 4 1.52 C11 0.2950 11/21/19
Citizens Financial Group Inc. CFG Financials Banks 7 706 - - 31.69 4.92 0.3900 4 1.56 B15 0.3600 1/28/20
CyrusOne Inc. CONE Real Estate 7 685 - Trusts
Equity Real Estate Investment - (REITs)
60.58 3.30 0.5000 4 2.00 A13 0.4600 9/26/19
Central Pacific Financial Corp. CPF Financials Banks 7 673 - - 23.92 3.85 0.2300 4 0.92 C15 0.2100 5/30/19
CVB Financial Corp. CVBF Financials Banks 7 661 - - 18.54 3.88 0.1800 4 0.72 A20 0.1400 4/2/19
Delta Air Lines Inc. DAL Industrials Airlines 7 678 Y Y 46.13 3.49 0.4025 4 1.61 C13 0.3500 7/24/19
Danaher Corp. DHR Health Care Health Care Equipment 7 732 -
& Supplies- 144.58 0.50 0.1800 4 0.72 A27 0.1700 3/26/20
Encompass Health Corp. EHC Health Care Health Care Providers 7 &686 -
Services - 74.84 1.50 0.2800 4 1.12 A16 0.2700 9/30/19
First Midwest Bancorp FMBI Financials Banks 7 676 - - 18.15 3.09 0.1400 4 0.56 A10 0.1200 6/27/19
First National Corp. FXNC Financials Banks 7 721 - - 20.10 2.19 0.1100 4 0.44 C16 0.0900 2/27/20
Greenbrier Companies Inc. GBX Industrials Machinery 7 711 - - 24.23 4.46 0.2700 4 1.08 B16 0.2500 1/27/20
Guaranty Federal Bancshares GFED Financials 7 702 -
Thrifts & Mortgage Finance - 23.58 2.54 0.1500 4 0.60 A13 0.1300 1/2/20
Goodyear Tire & Rubber Company GT Auto Components 7 653 Y
Consumer Discretionary Y 9.69 6.60 0.1600 4 0.64 C01 0.1400 10/31/18
Hurco Companies Inc. HURC Industrials Machinery 7 660 - - 28.18 1.70 0.1200 4 0.48 A16 0.1100 3/29/19
Independent Bank Corp. MI IBCP Financials Banks 7 708 Y Y 19.57 4.09 0.2000 4 0.80 B15 0.1800 2/4/20
Johnson Outdoors Inc. JOUT Leisure Products 7 687 -
Consumer Discretionary - 62.41 1.09 0.1700 4 0.68 C26 0.1400 10/10/19
Kadant Inc. KAI Industrials Machinery 7 664 - - 90.82 1.01 0.2300 4 0.92 B10 0.2200 4/8/19
Logansport Financial Corp. LOGN Financials Banks 7 652 - - 40.00 3.50 0.3500 4 1.40 A13 0.3000 3/12/18
Moelis & Company MC Financials Capital Markets 7 726 - - 31.96 6.38 0.5100 4 2.04 C07 0.5000 2/14/20
Macatawa Bank Corp. MCBC Financials Banks 7 714 - - 9.64 3.32 0.0800 4 0.32 B28 0.0700 2/10/20
Marcus Corp. MCS CommunicationEntertainment
Services 7 723 - - 26.72 2.54 0.1700 4 0.68 C15 0.1600 2/28/20
MetLife Inc. MET Financials Insurance 7 669 - - 42.72 4.12 0.4400 4 1.76 C13 0.4200 5/6/19
Manulife Financial Corporation MFC Financials Insurance 7 725 - - 16.84 6.65 0.28 4 1.12 C20 0.25 2/24/20
Mackinac Financial Corp. MFNC Financials Banks 7 684 - - 13.99 4.00 0.1400 4 0.56 A18 0.1200 9/26/19
Mobile Mini Inc. MINI Industrials Commercial Services 7 & 720 -
Supplies - 38.99 3.11 0.3030 4 1.21 C14 0.2750 2/25/20
Marquette National Corp. MNAT Financials Banks 7 728 - - 32.00 3.25 0.2600 4 1.04 A02 0.2500 3/19/20
Medical Properties Trust Inc. MPW Real Estate 7 730 - Trusts
Equity Real Estate Investment - (REITs)
21.13 5.11 0.2700 4 1.08 A12 0.2600 3/11/20
Materion Corp. MTRN Materials Metals & Mining 7 667 - - 45.34 0.97 0.1100 4 0.44 C02 0.1050 5/17/19
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
National Instruments Corp. NATI Information Technology 7 717 - - 40.28
Electronic Equipment, Instruments & Components 2.58 0.2600 4 1.04 C05 0.2500 2/14/20
NBT Bancorp Inc. NBTB Financials Banks 7 694 - - 33.69 3.21 0.2700 4 1.08 C15 0.2600 11/27/19
NextEra Energy Partners LP NEP Utilities Independent Power7and709 -
Renewable - Electricity
57.67 Producers
3.71 0.5350 4 2.14 B15 0.5175 2/5/20
Northfield Bancorp Inc. NFBK Financials 7 665 -
Thrifts & Mortgage Finance - 14.13 3.11 0.1100 4 0.44 B22 0.1000 5/7/19
NetApp Inc. NTAP Information Technology
Technology Hardware,7 Storage
677 - & Peripherals
- 46.72 4.11 0.4800 4 1.92 A26 0.4000 7/3/19
Owens Corning Inc. OC Industrials Building Products 7 703 - - 56.49 1.70 0.2400 4 0.96 A17 0.2200 1/1/20
ONE Gas Inc. OGS Utilities Gas Utilities 7 715 Y Y 82.14 2.63 0.5400 4 2.16 C09 0.5000 2/20/20
Oshkosh Corp. OSK Industrials Machinery 7 691 - - 72.15 1.66 0.3000 4 1.20 B30 0.2700 11/15/19
Open Text Corp. OTEX Information Technology
Software 7 674 - - 41.92 1.67 0.1746 4 0.70 C16 0.1518 5/30/19
Otter Tail Corp. OTTR Utilities Electric Utilities 7 718 N N 48.61 3.04 0.3700 4 1.48 C10 0.3500 2/13/20
Oak Valley Bancorp OVLY Financials Banks 7 710 - - 16.69 1.68 0.1400 2 0.28 B09 0.1350 1/31/20
Peoples Bancorp of North Carolina PEBK Financials Banks 7 656 N Y 25.43 2.20 0.1400 4 0.56 C15 0.1300 3/1/19
Prologis Inc. PLD Real Estate 7 729 - Trusts
Equity Real Estate Investment - (REITs)
84.28 2.75 0.5800 4 2.32 C29 0.5300 3/13/20
Power Integrations Inc. POWI Information Technology 7 696 -
Semiconductors & Semiconductor -Equipment
87.05 0.87 0.1900 4 0.76 C30 0.1700 11/27/19
Everest Reinsurance Group Ltd. RE Financials Insurance 7 695 - - 247.88 2.50 1.5500 4 6.20 C13 1.4000 12/2/19
Regency Centers Corp. REG Real Estate 7 716 - Trusts
Equity Real Estate Investment - (REITs)
57.44 4.14 0.5950 4 2.38 C02 0.5850 2/21/20
Rexford Industrial Realty Inc. REXR Real Estate 7 731 - Trusts
Equity Real Estate Investment - (REITs)
46.77 1.84 0.2150 4 0.86 A15 0.1850 3/30/20
Regions Financial Corp. RF Financials Banks 7 683 Y Y 13.52 4.59 0.1550 4 0.62 C29 0.1400 9/5/19
RE/MAX Holdings Inc. RMAX Real Estate 7
Real Estate Management 724& Development
- - 29.15 3.02 0.2200 4 0.88 C21 0.2100 3/3/20
Ruth's Hospitality Group Inc. RUTH Consumer Discretionary
Hotels, Restaurants7& Leisure
659 - - 19.13 2.72 0.1300 4 0.52 C22 0.1100 3/6/19
SB Financial Group Inc. SBFG Financials Banks 7 688 - - 18.74 2.03 0.0950 4 0.38 B25 0.0900 11/7/19
ServisFirst Bancshares Inc. SFBS Financials Banks 7 699 - - 34.55 2.03 0.1750 4 0.70 A13 0.1500 12/30/19
Star Group LP SGU Utilities Gas Utilities 7 663 - - 8.98 5.57 0.1250 4 0.50 B07 0.1175 4/25/19
Shenandoah Telecommunications SHEN CommunicationWireless 7 690 Services
ServicesTelecommunication - - 44.43 0.65 0.2900 1 0.29 Dec 0.2700 11/12/19
SYNNEX Corp. SNX Information Technology 7 Instruments
Electronic Equipment, 705 - -& Components
125.03 1.28 0.4000 4 1.60 A31 0.3750 1/23/20
S&T Bancorp Inc. STBA Financials Banks 7 689 Y Y 32.87 3.41 0.2800 4 1.12 B17 0.2700 11/6/19
Sturgis Bancorp STBI Financials 7 722 -
Thrifts & Mortgage Finance - 21.68 2.95 0.1600 4 0.64 C15 0.1500 2/13/20
TriCo Bancshares TCBK Financials Banks 7 681 - - 33.82 2.60 0.2200 4 0.88 C30 0.1900 9/12/19
TE Connectivity Ltd. TEL Information Technology 7 Instruments
Electronic Equipment, 668 - -& Components
82.87 2.22 0.4600 4 1.84 C09 0.4400 5/23/19
Terex Corp. TEX Industrials Machinery 7 658 - - 22.01 2.00 0.1100 4 0.44 C19 0.1000 3/7/19
United Community Banks Inc. UCBI Financials Banks 7 697 - - 24.77 2.91 0.1800 4 0.72 A05 0.1700 12/12/19
United Fire Group Inc. UFCS Financials Insurance 7 671 - - 38.34 3.44 0.3300 4 1.32 C15 0.3100 5/30/19
Unity Bancorp Inc. UNTY Financials Banks 7 675 - - 17.13 1.87 0.0800 4 0.32 C29 0.0700 6/13/19
Marriot Vacations Worldwide Corp. VAC Hotels, Restaurants7& Leisure
Consumer Discretionary 698 - - 96.78 2.23 0.5400 4 2.16 A04 0.4500 12/19/19
Vulcan Materials VMC Materials 7
Construction Materials 719 - - 120.26 1.13 0.3400 4 1.36 C09 0.3100 2/25/20
Westlake Chemical Partners LP WLKP Materials Chemicals 7 712 - - 20.67 9.12 0.4714 4 1.89 B24 0.4646 1/31/20
W.T.B. Financial Corp. WTBFA Financials Banks 7 657 - - 425.00 1.65 1.7500 4 7.00 C16 1.1500 3/8/19
Wintrust Financial Corp. WTFC Financials Banks 7 713 - - 53.41 2.10 0.2800 4 1.12 B22 0.2500 2/5/20
Watts Water Technologies Inc. WTS Industrials Machinery 7 672 - - 93.91 0.98 0.2300 4 0.92 C16 0.2100 5/30/19
Zions Bancorp Inc. ZION Financials Banks 7 679 N N 39.95 3.40 0.3400 4 1.36 B24 0.3000 8/14/19
Ameren Corp AEE Utilities Multi-Utilities 6 789 - - 79.00 2.51 0.4950 4 1.98 C30 0.4750 12/10/19
Alamo Group Inc ALG Industrials Machinery 6 794 - - 110.77 0.47 0.1300 4 0.52 A15 0.1200 1/15/20
Aramark Services Inc. ARMK Consumer Discretionary
Hotels, Restaurants6& Leisure
740 - - 34.74 1.27 0.1100 4 0.44 B30 0.1050 11/23/18
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. Div.
CCC DRIP Fees 2/28/20 Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price
Yield Dividend Year Annualized Sch Payout Ex-Div
Bank of America Corp BAC Financials Banks 6 775 - - 28.5 2.53 0.1800 4 0.72 C30 0.1500 9/5/19
BankFinancial Corp. BFIN Financials 6 736 -
Thrifts & Mortgage Finance - 11.34 3.53 0.1000 4 0.40 B25 0.0900 8/7/18
Saul Centers Inc. BFS Real Estate 6 743 - Trusts
Equity Real Estate Investment - (REITs)
43.01 4.93 0.5300 4 2.12 A31 0.5200 1/16/19
Berkshire Hills Bancorp Inc. BHLB Financials Banks 6 801 - - 24.41 3.93 0.2400 4 0.96 B28 0.2300 2/13/20
Bloomin' Brands Inc. BLMN Hotels, Restaurants6& Leisure
Consumer Discretionary 808 - - 17.99 4.45 0.2000 4 0.80 C15 0.1000 2/27/20
Bankwell Financial Group Inc. BWFG Financials Banks 6 800 - - 28.47 1.97 0.1400 4 0.56 B25 0.1300 2/13/20
Capital City Bank Group CCBG Financials Banks 6 774 - - 26.65 1.95 0.1300 4 0.52 B30 0.1100 9/6/19
Crown Castle International Corp CCI Real Estate 6 790 - Trusts
Equity Real Estate Investment - (REITs)
143.29 3.35 1.2000 4 4.80 C30 1.1250 12/12/19
Community Healthcare Trust Inc. CHCT Real Estate 6 802 - Trusts
Equity Real Estate Investment - (REITs)
47.63 3.51 0.4175 4 1.67 C1 0.4150 2/14/20
CNX Midstream Partners LP CNXM Energy 6
Oil, Gas & Consumable 796
Fuels- - 11.71 14.15 0.4143 4 1.66 B5 0.4001 2/4/20
CenterState Bank Corp. CSFL Financials Banks 6 815 - - 20.23 2.77 0.1400 4 0.56 C30 0.1100 3/13/20
CareTrust REIT Inc. CTRE Real Estate Equity Real Estate Investment
6 751 - Trusts
- (REITs)
20.87 4.31 0.225 4 0.90 C30 0.205 3/28/19
Community West Bancshares CWBC Financials Banks 6 756 - - 10.85 2.03 0.0550 4 0.22 B31 0.0500 5/9/19
D.R. Horton Inc DHI Consumer Discretionary
Household Durables6 786 - - 53.27 1.31 0.1750 4 0.70 C15 0.1500 11/25/19
Diamond Hill Investment Group Inc.DHIL Financials Capital Markets 6 785 - - 126.73 7.10 9.0000 1 9.00 Dec 8.0000 11/28/19
Dolby Laboratories Inc DLB Information Technology
Electronic Equipment,
6 Instruments
784 - -& Components
65.70 1.34 0.2200 4 0.88 B15 0.1900 11/24/19
Meridian Bancorp, Inc. EBSB Financials Thrifts & Mortgage Finance
6 791 - - 16.51 1.94 0.0800 4 0.32 A2 0.0700 12/18/19
Enterprise Financial Services Corp EFSC Financials Banks 6 812 - - 38.27 1.88 0.1800 4 0.72 C30 0.1700 3/13/20
Equinix Inc. EQIX Real Estate Equity Real Estate Investment
6 809 - Trusts
- (REITs)
572.80 1.86 2.6600 4 10.64 C20 2.4600 2/25/20
Enviva Partners LP EVA Energy Oil, Gas & Consumable Fuels
6 803 - - 37.87 7.13 0.6750 4 2.70 B28 0.6700 2/13/20
Flushing Financial Corp. FFIC Financials Banks 6 746 - - 18.16 4.63 0.2100 4 0.84 C30 0.2000 3/14/19
First Bancorp Inc. FNLC Financials Banks 6 764 - - 25.5 4.71 0.3000 4 1.20 A30 0.2900 7/9/19
First Savings Financial Group Inc. FSFG Financials Banks 6 747 - - 62.45 1.02 0.1600 4 0.64 C30 0.1500 3/7/19
FirstService Corp. FSV Real Estate Real Estate Management
6 818& Development
- - 98.85 0.67 0.1650 4 0.66 A7 0.1500 3/30/20
Greene County Bancorp, Inc. GCBC Financials Thrifts & Mortgage Finance
6 768 - - 27.05 1.63 0.1100 4 0.44 B30 0.1000 8/14/19
Gilead Sciences Inc. GILD Health Care Biotechnology 6 813 - - 69.36 3.92 0.6800 4 2.72 C28 0.6300 3/12/20
Gaming and Leisure Properties GLPI Real Estate Equity Real Estate Investment
6 788 - Trusts
- (REITs)
44.67 6.27 0.7000 4 2.80 C28 0.6800 12/11/19
Great Southern Bancorp Inc. GSBC Financials Banks 6 776 - - 51.31 2.65 0.3400 4 1.36 A16 0.3200 9/27/19
Home Bancorp Inc. HBCP Financials Thrifts & Mortgage Finance
6 780 - - 33.07 2.66 0.2200 4 0.88 B18 0.2100 11/7/19
The Hackett Group Inc. HCKT Information Technology
IT Services 6 761 - - 15.4 2.34 0.1800 2 0.36 JunDec 0.1700 6/27/19
Home Federal Bancorp Inc. of Louisiana
HFBL Financials Thrifts & Mortgage Finance
6 765 - - 34.02 1.88 0.1600 4 0.64 B5 0.1400 7/19/19
Hoegh LNG Partners LP HMLP Energy Oil, Gas & Consumable
6 Fuels-
733 - 12.50 14.08 0.4400 4 1.76 B15 0.4300 5/3/18
Hennessy Advisors Inc. HNNA Financials Capital Markets 6 770 - - 10.15 5.42 0.1375 4 0.55 C05 0.1100 8/19/19
Independent Bank Group Inc. IBTX Financials Banks 6 745 - - 46.29 2.16 0.2500 4 1.00 B17 0.1400 2/8/19
Independence Holding Company IHC Financials Insurance 6 760 - - 37.11 1.08 0.2 2 0.40 JlDc 0.15 6/20/19
Intel Corp. INTC Information Technology
Semiconductors & Semiconductor
6 805 - -Equipment
55.52 2.38 0.3300 4 1.32 B6 0.3150 2/6/20
Innospec Inc. IOSP Materials Chemicals 6 782 - - 86.54 1.20 0.52 2 1.04 MyNv 0.5 11/17/19
Investar Holding Corp. ISTR Financials Banks 6 778 - - 21.36 1.12 0.0600 4 0.24 A30 0.0551 10/4/19
Kearny Financial Corp. KRNY Financials Thrifts & Mortgage Finance
6 810 - - 10.91 2.93 0.0800 4 0.32 C20 0.0700 3/3/20
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Lamar Advertising Co. LAMR Real Estate Equity Real Estate Investment
6 748 - Trusts
- (REITs)
83.74 4.59 0.9600 4 3.84 C29 0.9200 3/14/19
Gladstone Land Corp. LAND Real Estate Equity Real Estate Investment
6 814 - Trusts
- (REITs)
13.43 3.99 0.0447 12 0.54 A30 0.0446 2/18/20
Eli Lilly & Company LLY Health Care Pharmaceuticals 6 807 - - 126.13 2.35 0.7400 4 2.96 C9 0.6450 2/12/20
Logitech International LOGI Information Technology
Technology Hardware,6 Storage
773 - & Peripherals
- 38.96 1.88 0.7322 1 0.73 Sep 0.6876 9/18/19
Lam Research Corp. LRCX Information Technology
Semiconductors & Semiconductor
6 777 - -Equipment
293.43 1.57 1.1500 4 4.60 A10 1.1000 9/30/19
Masco Corp MAS Industrials Building Products 6 779 - - 41.32 1.31 0.1350 4 0.54 A11 0.1200 10/10/19
MutualFirst Financial Inc. MFSF Financials Banks 6 741 - - 33.50 2.39 0.2000 4 0.80 C20 0.1800 12/13/18
Mid Penn Bancorp MPB Financials Banks 6 754 N N 21.27 3.39 0.1800 4 0.72 A12 0.1500 5/7/19
Morgan Stanley MS Financials Capital Markets 6 766 - - 45.03 3.11 0.3500 4 1.40 B14 0.3000 7/30/19
MSCI Inc. MSCI Financials Capital Markets 6 769 - - 295.44 0.92 0.6800 4 2.72 B30 0.5800 8/15/19
Enpro Industries Inc. NPO Industrials Machinery 6 811 - - 53.95 1.93 0.2600 4 1.04 C20 0.2500 3/3/20
National Research Corporation NRC Health Care Health Care Providers 6 &792Services
- - 54.99 1.53 0.2100 4 0.84 A15 0.1900 12/30/19
OceanFirst Financial Corp OCFC Financials Thrifts & Mortgage Finance
6 739 - - 20.44 3.33 0.1700 4 0.68 B15 0.1500 11/2/18
Orrstown Financial Services Inc. ORRF Financials Banks 6 795 - - 17.80 3.82 0.1700 4 0.68 B10 0.1500 1/31/20
PBF Logistics LP PBFX Energy Oil, Gas & Consumable
6 Fuels-
781 - 18.97 10.96 0.5200 4 2.08 C14 0.5150 11/12/19
Preferred Bank PFBC Financials Banks 6 742 - - 51.13 2.35 0.3000 4 1.20 A22 0.2500 1/7/19
Parke Bancorp Inc. PKBK Financials Banks 6 763 - - 18.50 3.46 0.1600 4 0.64 A28 0.1400 7/11/19
Children's Place Inc. (The) PLCE Consumer Discretionary
Specialty Retail 6 752 - - 57.60 3.89 0.5600 4 2.24 A27 0.5000 4/12/19
PS Business Parks Inc PSB Real Estate Equity Real Estate Investment
6 738 - Trusts
- (REITs)
148.55 2.83 1.0500 4 4.20 C12 0.8500 9/11/18
People's Utah Bancorp PUB Financials Banks 6 798 - - 23.97 2.34 0.1400 4 0.56 B13 0.1300 2/7/20
Restaurant Brands International Inc.QSR Consumer Discretionary
Hotels, Restaurants6& Leisure
817 - - 58.50 3.56 0.5200 4 2.08 A3 0.5000 3/13/20
QTS Realty Trust Inc. QTS Real Estate Equity Real Estate Investment
6 750 - Trusts
- (REITs)
56.17 3.13 0.4400 4 1.76 A05 0.4100 3/19/19
Riverview Bancorp Inc RVSB Financials Thrifts & Mortgage Finance
6 793 - - 6.45 3.10 0.0500 4 0.20 A23 0.0450 1/7/20
Superior Group of Companies Inc. SGC Consumer Discretionary
Textiles, Apparel & 6Luxury
737Goods
- - 12.02 3.33 0.1000 4 0.40 B28 0.0950 8/14/18
Shell Midstream Partners LP SHLX Energy Oil, Gas & Consumable
6 Fuels-
797 - 17.11 10.75 0.4600 4 1.84 B15 0.4450 1/31/20
Selective Insurance Group Inc. SIGI Financials Insurance 6 783 - - 55.78 1.65 0.2300 4 0.92 C1 0.2000 11/13/19
Synovus Financial SNV Financials Banks 6 749 Y Y 29.02 4.14 0.3000 4 1.20 A02 0.2500 3/20/19
Sprague Resources LP SRLP Energy Oil, Gas & Consumable
6 Fuels-
735 - 12.29 21.72 0.6675 4 2.67 B11 0.6525 8/3/18
Simpsom Manufacturing Co. SSD Industrials Building Products 6 762 - - 79.43 1.16 0.2300 4 0.92 A25 0.2200 7/2/19
Extended Stay America Inc. STAY Consumer Discretionary
Hotels, Restaurants6& Leisure
755 - - 10.98 8.38 0.2300 4 0.92 B25 0.2200 5/15/19
Skyworks Solutions Inc. SWKS Information Technology
Semiconductors & Semiconductor
6 771 - -Equipment
100.18 1.76 0.4400 4 1.76 C15 0.3800 8/26/19
TFS Financial Corporation TFSL Financials Thrifts & Mortgage Finance
6 772 - - 20.44 5.28 0.2700 4 1.08 C25 0.2500 8/30/19
Timken Company (The) TKR Industrials Machinery 6 734 - - 44.84 2.50 0.28 4 1.12 C2 0.27 5/17/18
Tetra Tech Inc. TTEK Industrials Commercial Services 6 & 757
Supplies
- - 80.87 0.74 0.15 4 0.60 B15 0.12 5/14/19
United Bancorp Inc. UBCP Financials Banks 6 787 - - 13.86 4.04 0.1400 4 0.56 C20 0.1375 12/8/19
USD Partners LP USDP Energy Oil, Gas & Consumable
6 Fuels-
799 - 9.04 16.37 0.3700 4 1.48 B15 0.3675 2/7/20
Unitil Corp. UTL Utilities Multi-Utilities 6 804 - - 56.34 2.66 0.3750 4 1.50 B28 0.3700 2/13/20
Woodlands Financial Services Co. WDFN Financials Banks 6 767 - - 33.50 3.10 0.2600 4 1.04 B23 0.2500 8/8/19
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Wellesley Bancorp Inc. WEBK Financials Banks 6 759 - - 39.17 0.61 0.06 4 0.24 C7 0.055 6/4/19
Advanced Drainage Systems Inc. WMS Industrials Building Products 6 758 - - 41.86 0.86 0.09 4 0.36 B30 0.08 5/31/19
WSFS Financial Corp. WSFS Financials Thrifts & Mortgage Finance
6 753 - - 34.46 1.39 0.1200 4 0.48 B25 0.1100 5/8/19
Watsco Inc. WSO Industrials Trading Companies6& Distributors
744 - - 156.98 4.08 1.6000 4 6.40 A30 1.4500 1/15/19
Western Union Company WU Information Technology
IT Services 6 816 - - 22.39 4.02 0.2250 4 0.90 C30 0.2000 3/16/20
Woodward Inc. WWD Industrials Machinery 6 806 - - 103.20 1.09 0.2800 4 1.12 C6 0.1625 2/14/20
Great Ajax Corp. AJX Financials Mortgage Real Estate5 Investment
823 - Trusts
- (REITs)9.06
14.13 0.3200 4 1.28 B30 0.300011/15/2018
Ally Financial Inc. ALLY Financials Consumer Finance 5 859 - - 25.07 3.03 0.1900 4 0.76 A15 0.1700 1/30/20
American National Bankshares Inc.AMNB Financials Banks 5 837 - - 30.89 3.50 0.2700 4 1.08 C20 0.2500 6/6/19
Flanigan's Enterprises Inc. BDL Consumer Discretionary
Hotels, Restaurants5& Leisure
827 - - 20.49 1.37 0.2800 1 0.28 Apr 0.2500 3/14/19
Popular, Inc. BPOP Financials Banks 5 829 - - 47.98 2.50 0.3000 4 1.20 A1 0.2500 3/7/19
Citigroup Inc C Financials Banks 5 841 - - 63.46 3.21 0.5100 4 2.04 B25 0.4500 8/2/19
Cable One, Inc. CABO CommunicationMedia
Services 5 842 - - 1573.02 0.57 2.2500 4 9.00 C5 2.0000 8/19/19
Carnival Corporation & Plc CCL Consumer Discretionary
Hotels, Restaurants5& Leisure
821 - - 33.46 5.98 0.5000 4 2.00 C15 0.4500 5/24/18
Cognex Corporation CGNX Information Technology
Electronic Equipment,
5 Instruments
848 - -& Components
44.54 0.49 0.0550 4 0.22 B30 0.0500 11/14/19
Dollar General Corp. DG Consumer Discretionary
Multiline Retail 5 831 - - 150.30 0.85 0.3200 4 1.28 A23 0.2900 4/8/19
Dicks Sporting Goods Inc. DKS Consumer Discretionary
Specialty Retail 5 828 - - 36.41 3.02 0.2750 4 1.10 C30 0.2250 3/14/19
Duke Realty Corporation DRE Real Estate Equity Real Estate Investment
5 849 - Trusts
- (REITs)
32.47 2.89 0.2350 4 0.94 B30 0.2150 11/13/19
Energizer Holdings, Inc. ENR Consumer Staples
Household Products5 824 - - 42.99 2.79 0.3000 4 1.20 C10 0.2900 11/29/18
Entergy Corporation ETR Utilities Electric Utilities 5 851 - - 116.91 3.18 0.9300 4 3.72 C1 0.9100 11/6/19
Exelon Corporation EXC Utilities Electric Utilities 5 864 - - 43.11 3.55 0.3825 4 1.53 C10 0.3625 2/19/20
1st Constitution Bancorp FCCY Financials Banks 5 861 - - 18.32 1.97 0.0900 4 0.36 B25 0.0750 2/13/20
Fidelity D & D Bancorp, Inc. FDBC Financials Banks 5 852 - - 49.30 2.27 0.2800 4 1.12 C10 0.2600 11/19/19
Franklin Financial Services Inc. FRAF Financials Banks 5 833 - - 31.02 3.87 0.3000 4 1.20 B22 0.2700 5/2/19
Fulton Financial Corp. FULT Financials Banks 5 830 - - 14.45 3.60 0.1300 4 0.52 A15 0.1200 3/29/19
Green Plains Partners LP GPP Energy Oil, Gas & Consumable
5 Fuels-
819 - 13.66 13.91 0.4750 4 1.90 B10 0.4700 5/3/18
W. R. Grace & Co. GRA Materials Chemicals 5 866 - - 56.56 2.12 0.3000 4 1.20 C5 0.2700 2/24/20
Great Western Bancorp Inc. GWB Financials Banks 5 834 - - 26.87 4.47 0.3000 4 1.20 B23 0.2500 5/9/19
Houlihan Lokey, Inc. HLI Financials Capital Markets 5 836 - - 51.22 2.42 0.3100 4 1.24 C15 0.2700 5/31/19
Hewlett Packard Enterprise Company
HPE Information Technology
Technology Hardware,5 Storage
856 - & Peripherals
- 12.79 3.75 0.1200 4 0.48 A1 0.1125 12/10/2019
Hilltop Holdings Inc. HTH Financials Banks 5 862 - - 20.83 1.73 0.0900 4 0.36 B30 0.0800 2/13/20
Hexcel Corporation HXL Industrials Aerospace & Defense 5 839 - - 64.63 1.05 0.1700 4 0.68 B10 0.1500 8/1/19
IBERIABANK Corporation IBKC Financials Banks 5 867 - - 60.19 3.12 0.4700 4 1.88 A30 0.4500 3/12/20
Kimball International Inc. KBAL Industrials Commercial Services 5 & 844
Supplies
- - 16.18 2.22 0.0900 4 0.36 A15 0.0800 9/24/19
Kinsale Capital Group, Inc. KNSL Financials Insurance 5 865 - - 121.47 0.30 0.0900 4 0.36 C15 0.0800 2/27/20
Ladder Capital Corp LADR Financials Mortgage Real Estate5 Investment
825 - Trusts
- (REITs)8.92
15.25 0.3400 4 1.36 A1 0.3250 12/7/18
Medifast, Inc. MED Consumer Staples
Personal Products 5 858 - - 83.11 5.44 1.1300 4 4.52 B7 0.7500 12/26/2019
Marine Products Corp. MPX Consumer Discretionary
Leisure Products 5 826 - - 12.58 3.82 0.1200 4 0.48 B9 0.1000 2/8/19
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Midland States Bancorp, Inc. MSBI Financials Banks 5 860 - - 23.82 4.49 0.2675 4 1.07 B25 0.2425 2/13/20
Mueller Water Products, Inc. MWA Industrials Machinery 5 840 - - 10.95 1.92 0.0525 4 0.21 B20 0.0500 8/8/19
Nelnet, Inc. NNI Financials Consumer Finance 5 853 - - 53.10 1.51 0.2000 4 0.80 B30 0.1800 11/27/19
National Storage Affiliates Trust NSA Real Estate Equity Real Estate Investment
5 854 - Trusts
- (REITs)
33.74 3.91 0.3300 4 1.32 C30 0.3200 12/11/19
NexPoint Residential Trust Inc. NXRT Real Estate Equity Real Estate Investment
5 855 - Trusts
- (REITs)
44.50 2.81 0.3125 4 1.25 C30 0.2750 12/16/19
Pathfinder Bancorp, Inc. PBHC Financials Banks 5 820 - - 14.11 1.70 0.0600 4 0.24 B10 0.0575 4/19/2018
Saratoga Investment Corp. SAR Financials Capital Markets 5 843 - - 22.91 9.78 0.5600 4 2.24 C28 0.5500 9/12/19
Charles Schwab Corporation SCHW Financials Capital Markets 5 863 - - 40.75 1.77 0.1800 4 0.72 B20 0.1700 2/13/20
Shore Bancshares, Inc. SHBI Financials Banks 5 850 - - 15.56 3.08 0.1200 4 0.48 B30 0.1000 11/14/2019
Summit Financial Group, Inc. SMMF Financials Banks 5 838 - - 21.92 2.74 0.1500 4 0.60 C30 0.1400 6/13/19
STORE Capital Corp STOR Real Estate Equity Real Estate Investment
5 845 - Trusts
- (REITs)
32.86 4.26 0.3500 4 1.40 C30 0.3300 9/27/19
Constellation Brands Inc. A STZ Consumer Staples
Beverages 5 835 - - 172.38 1.74 0.7500 4 3.00 B25 0.7400 5/9/19
Tallgrass Energy LP TGE Energy Oil, Gas & Consumable
5 Fuels-
847 - 22.07 9.97 0.5500 4 2.20 B15 0.5400 10/30/19
TTEC Holdings Inc. TTEC Information Technology
IT Services 5 846 - - 37.43 1.71 0.3200 2 0.64 AprOct 0.3000 9/27/19
Urstadt Biddle Properties Inc. UBP Real Estate Equity Real Estate Investment
5 857 - Trusts
- (REITs)
16.83 5.94 0.2500 4 1.00 A20 0.2450 1/2/2020
Value Line Inc. VALU Financials Capital Markets 5 832 - - 28.84 2.77 0.2000 4 0.80 B10 0.1900 4/26/19
Werner Enterprises, Inc. WERN Industrials Road & Rail 5 822 - - 33.60 1.07 0.0900 4 0.36 A15 0.0700 6/29/18
Averages for All 433 7.4 60.21 3.45 0.3936 1.47 0.3578
Averages by Sector
Communication Services 8 7.8 249.3 2.38 0.6581 2.30 0.5969
Consumer Discretionary 41 7.6 64.5 3.17 0.4009 1.54 0.3570
Consumer Staples 9 7.3 66.9 4.23 0.5867 1.98 0.5206
Energy 15 6.7 23.8 13.74 0.6468 2.59 0.6318
Financials 193 7.3 43.0 3.20 0.3325 1.18 0.2971
Health Care 14 7.6 95.6 1.92 0.4264 1.71 0.3879
Industrials 48 7.4 66.3 1.96 0.3305 1.28 0.2937
Information Technology 29 7.2 98.1 1.84 0.3551 1.31 0.3233
Materials 15 8.0 64.1 3.43 0.4674 1.80 0.4271
Real Estate 46 7.2 64.5 4.49 0.5148 2.05 0.4844
Utilities 15 7.4 59.3 3.22 0.4494 1.80 0.4284
Challengers End-of-month update at: Dividend Information
(and American Depository Receipts) http://dripinvesting.org/Tools/Tools.asp DEG=Dividend to Earnings Growth; A/D=Acceleration/Deceleration; DGR=Dividend Growth Rate
As of 2/28/20 Dates in Red (right-aligned) indicate last increase more than a year ago (Ex-Div Date)
Numbers in Gray last updated 12/31/2019
Company Ticker No. CCC DRIP Fees 2/28/20 Div. Current Payouts/ Qtly Previous Last Increased on:
Name Symbol Sector Industry Yrs Seq DR SP Price Yield Dividend Year Annualized Sch Payout Ex-Div
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Agilent Technologies Inc. A 1/21/20 9.76 10.1 12.6 11.7 n/a n/a 0.311 29.75 31.85 10 2.42 3.58 4.54
American Assets Trust Inc. AAT 12/26/19 7.14 4.6 4.1 5.0 n/a n/a 0.273 141.18 48.76 12 0.85 16.35 6.77
AES Corp. AES 2/13/20 4.98 5.0 7.5 22.2 n/a n/a 0.689 73.49 21.45 12 0.78 2.26 1.07
Federal Agricultural Mortgage Corp.AGM 3/31/20 14.29 20.7 39.1 38.0 30.2 1.257 5.753 Also Cl. A/B 40.97 9.61 12 7.81 0.87 1.26
Assured Guaranty Ltd. AGO 3/25/20 11.11 12.5 11.5 10.4 14.9 0.696 6.901 Bermuda,US$ 23.53 12.00 12 3.40 4.00 4.17
Apollo Bancorp Inc. APLO 12/19/19 1.96 3.5 2.4 2.3 3.7 0.615 n/a n/a n/a 12 n/a n/a n/a
Apogee Enterprises Inc. APOG 2/17/20 7.14 11.1 11.9 11.8 7.9 1.491 1.048 52.82 21.26 2 1.42 1.42 0.57
Preferred Apartment Communities Inc.
APTS 7/15/19 0.96 3.5 8.9 10.3 n/a n/a 1.392 n/a n/a 12 -1.96 n/a 0.98
Atlantic Union Bankshares Corp. AUB 8/16/19 8.70 9.1 7.6 10.6 12.3 0.860 1.010 41.49 12.34 12 2.41 1.55 3.42
Avalonbay Communities Inc. AVB 4/15/20 4.61 3.4 4.4 5.8 5.4 1.077 0.079 99.07 31.24 12 6.42 12.30 12.20
Avery Dennison Corp. AVY 6/19/19 11.54 12.4 12.2 11.0 6.4 1.733 0.644 64.99 32.07 12 3.57 3.03 1.38
Aircastle Limited AYR 12/12/19 6.67 7.0 7.6 8.3 11.8 0.701 0.780 61.84 15.39 12 2.07 5.07 2.74
Barnes Group Inc. B 6/8/18 14.29 3.2 7.9 7.3 2.9 2.501 0.376 2019=Year 9 21.05 17.66 12 3.04 1.77 1.81
Booz Allen Hamilton Holding Corp. BAH 2/28/20 14.81 26.3 17.0 17.4 n/a n/a 1.452 40.66 23.38 3 3.05 1.92 1.40
Brookfield Asset Management Inc. BAM 3/31/20 12.50 6.7 7.2 8.4 7.9 1.067 0.768 Canada,US$ 26.97 22.46 12 2.67 5.43 0.89
B&G Foods Inc. BGS 7/30/18 2.15 1.1 5.7 7.1 10.8 0.654 0.337 2019=Year 9 71.43 5.56 12 2.66 n/a 0.58
Bank of New York Mellon Corp. BK 8/9/19 10.71 13.5 17.9 12.3 8.8 1.408 0.692 33.16 10.67 12 3.74 2.77 5.07
Bank of South Carolina Corp. BKSC 4/30/19 6.67 5.0 9.4 8.0 5.7 1.386 0.764 Adj Stock dividend 48.85 13.17 12 1.31 n/a 4.99
Bryn Mawr Bank Corp. BMTC 9/1/19 4.00 8.5 7.5 6.6 6.2 1.073 0.603 35.49 11.34 12 2.93 1.62 3.46
Bassett Furniture Industries Inc. BSET 8/24/18 13.64 6.4 9.6 12.3 n/a n/a n/a 2019=Year 9 n/a n/a 11 -0.20 n/a 0.22
Cogent Communications Holdings Inc.CCOI 3/27/20 3.13 15.1 17.3 15.8 n/a n/a n/a 325.93 90.14 12 0.81 3.14 6.43
Churchill Downs Inc. CHDN 1/2/20 6.93 6.9 9.7 11.8 13.3 0.884 0.348 Adj Split 16.60 35.90 12 3.50 2.99 4.00
Civista Bancshares Inc. CIVB 11/1/19 22.22 31.3 24.1 17.2 5.3 3.229 1.772 22.00 9.57 12 2.00 1.20 3.25
Cortland Bancorp CLDB 3/1/20 16.67 2.3 17.1 20.1 n/a n/a n/a n/a n/a 12 n/a n/a n/a
Columbia Banking System Inc. COLB 2/20/19 7.69 12.0 13.3 15.7 32.0 0.492 1.098 43.41 12.87 12 2.58 1.61 4.65
Core-Mark Holding Company CORE 12/12/19 9.09 9.8 10.9 14.4 n/a n/a 7.561 41.38 19.84 12 1.16 5.49 0.06
Culp Inc. CULP 1/16/20 5.00 11.1 12.6 14.9 n/a n/a n/a 107.69 23.38 4 0.39 2.59 0.38
Codorus Valley Bancorp Inc. CVLY 2/12/19 3.23 8.4 12.5 10.8 13.2 0.813 2.503 34.41 11.08 12 1.86 n/a 2.34
Dillard's Inc. DDS 11/4/19 50.00 12.5 17.1 13.4 10.9 1.230 n/a 2018 = Year 8 12.55 11.78 1 4.78 n/a 0.23
Discover Financial Services DFS 9/5/19 10.00 12.0 13.1 12.8 30.2 0.424 1.347 19.40 7.23 12 9.07 0.71 1.72
Quest Diagnostics Inc. DGX 4/21/20 5.66 8.7 9.8 10.4 18.1 0.576 1.024 36.48 17.27 12 6.14 3.60 1.84
Walt Disney Company DIS 1/10/19 4.76 4.8 5.7 15.4 17.5 0.879 1.949 29.68 19.84 9 5.93 6.48 2.86
Dunkin' Brands Group Inc. DNKN 3/18/20 7.33 7.9 7.7 10.3 n/a n/a 0.694 55.71 23.02 12 2.89 3.21 4.04
Amdocs Limited DOX 4/24/20 14.91 13.9 13.5 13.2 n/a n/a 2.272 Channel Isles,US$ 36.39 17.71 9 3.60 3.16 2.11
El Paso Electric Co. EE 6/28/19 6.94 7.1 7.3 6.5 n/a n/a n/a 66.38 29.25 12 2.32 6.50 3.21
Evans Bancorp Inc. EVBN 4/2/20 11.54 13.0 11.0 9.9 5.5 1.799 0.801 32.22 10.91 12 3.60 n/a 3.03
First Defiance Financial Corp. FDEF 11/22/19 15.79 23.4 21.5 20.4 13.0 1.566 1.306 Adj/Split 37.77 10.27 12 2.33 1.14 6.67
FBL Financial Group Inc. FFG 3/29/19 4.35 4.3 4.6 6.5 20.1 0.324 n/a 46.04 11.45 12 4.17 0.81 1.60
First Financial Bankshares Inc. FFIN 7/1/19 14.29 13.4 11.0 11.5 7.5 1.542 0.982 Adj/Split 39.67 23.75 12 1.21 2.38 13.07
First Horizon Narional Corp. FHN 3/31/20 7.14 24.4 27.5 22.9 n/a n/a 0.300 43.48 9.66 12 1.38 1.02 2.56
Financial Institutions Inc. FISI 4/2/19 4.17 5.3 6.9 5.2 9.5 0.543 0.805 33.78 9.09 12 2.96 1.14 2.55
Flir Systems Inc. FLIR 3/8/19 6.25 6.3 12.3 11.2 n/a n/a 1.066 34.87 21.78 12 1.95 0.99 3.08
First Mid-Illinois Bancshares Inc. FMBH 12/13/19 11.11 5.6 7.0 7.1 7.2 0.986 0.907 27.87 9.82 12 2.87 1.09 3.13
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
AgilentFair
Cedar Technologies
LP Inc. A
FUN 12/16/19 1.08 3.2 3.7 5.4 11.7 0.464 4.513 124.25 15.18 12 3.01 2.53 1.78
Gladstone Investment Corp. GAIN 3/30/20 2.94 1.9 2.9 2.5 3.1 0.812 0.797 2019=Year 8 84.00 11.45 3 1.00 1.64 5.73
Griffon Corp. GFF 12/18/19 3.45 3.7 11.7 17.6 n/a n/a 0.083 27.27 15.82 9 1.10 0.78 0.36
Gentex Corp. GNTX 4/24/19 4.55 5.8 9.1 8.7 7.5 1.153 0.543 28.05 16.28 12 1.64 1.09 3.69
Goldman Sachs Group Inc. GS 9/27/19 47.06 31.7 16.9 13.0 11.5 1.135 3.029 23.80 9.56 12 21.01 1.29 1.31
Huntington Bancshares Inc. HBAN 10/1/19 7.14 21.3 26.7 23.3 13.3 1.750 1.958 47.24 9.66 12 1.27 1.67 3.03
Horizon Bancorp HBNC 7/19/19 20.00 13.8 18.2 15.6 12.6 1.237 2.077 Adj/split 31.79 9.95 12 1.51 n/a 3.26
HNI Corp. HNI 6/3/19 3.39 3.4 3.5 4.1 3.5 1.179 0.471 47.66 12.82 12 2.56 1.43 0.64
Home Bancshares Inc. HOMB 6/5/19 8.33 10.9 14.2 23.9 25.1 0.952 0.962 30.06 9.69 12 1.73 1.94 3.96
Honeywell International Inc. HON 12/6/19 9.76 10.0 11.1 12.5 10.8 1.159 1.466 44.83 20.20 12 8.03 2.68 3.16
Independent Bancorp MA INDB 4/5/19 15.79 16.4 14.6 12.6 9.0 1.402 0.833 34.99 13.43 12 5.03 5.37 5.28
Ingredion Inc. INGR 10/25/19 0.80 3.3 10.6 8.3 16.2 0.515 1.569 41.18 13.61 12 6.12 7.16 0.85
Intuit Inc. INTU 10/18/19 12.77 18.3 16.1 18.8 n/a n/a 1.253 35.45 44.46 7 5.98 4.04 10.10
Investors Bancorp ISBC 2/25/20 9.09 15.8 19.2 29.8 n/a n/a 2.426 2019=Year 8 64.00 14.05 12 0.75 1.36 2.49
Jones Lang Lasalle JLL 6/14/19 4.88 4.9 10.4 12.4 15.7 0.788 0.877 8.14 13.99 12 10.56 4.66 0.44
JPMorgan Chase & Co. JPM 10/31/19 12.50 33.1 21.5 16.2 20.1 0.806 1.030 33.49 10.80 12 10.75 1.52 4.39
Kaiser Aluminum Corp. KALU 2/13/20 11.67 9.1 10.1 11.4 9.6 1.186 n/a 45.66 16.11 12 5.87 2.85 1.00
KeyCorp KEY 9/13/19 8.82 22.1 27.9 22.5 22.3 1.012 1.745 45.96 10.16 12 1.61 1.82 3.13
Kohl's Corp. KSS 4/3/19 9.84 9.8 10.2 11.4 n/a n/a 3.089 61.47 8.98 1 4.36 n/a 0.31
Lakeland Bancorp Inc. LBAI 5/17/19 8.70 10.1 9.8 10.8 6.6 1.648 0.828 37.88 10.91 12 1.32 1.21 3.07
Legg Mason Inc. LM 7/22/19 17.65 24.2 22.4 20.3 16.7 1.222 n/a 60.38 18.80 3 2.65 1.85 1.50
Las Vegas Sands Corp. LVS 3/25/20 2.60 2.7 2.3 9.0 n/a n/a n/a 90.29 16.66 12 3.50 4.05 3.33
LyondellBasell Industries NV LYB 6/17/19 5.00 3.8 7.6 9.0 n/a n/a 2.363 Netherlands,US$ 43.80 7.45 12 9.59 1.86 0.68
MasterCard Inc. MA 2/6/20 21.21 32.0 20.2 24.6 36.2 0.678 1.187 20.20 36.65 12 7.92 2.06 17.33
Main Street Capital Corp. MAIN 7/15/19 2.50 5.2 3.6 3.9 4.9 0.799 3.541 132.97 19.96 12 1.85 2.85 9.73
ManpowerGroup Inc. MAN 6/14/19 7.92 7.9 9.5 17.3 11.4 1.520 0.932 28.17 9.81 12 7.74 6.54 0.22
Mercantile Bank Corp. MBWM 3/17/20 3.70 14.0 17.1 17.2 31.2 0.550 3.239 37.21 9.53 12 3.01 1.19 2.99
Methanex Corp. MEOH 6/30/19 9.09 6.8 8.6 8.2 8.6 0.960 0.527 133.33 26.71 12 1.08 0.34 0.81
MKS Instruments Inc. MKSI 6/8/18 11.11 2.6 5.6 4.1 n/a n/a 0.067 2019=Year 9 31.50 39.44 12 2.54 53.26 2.97
Malaga Financial Corp. MLGF 1/2/19 5.00 5.0 7.0 9.5 13.2 0.722 n/a Adj/Stk Div n/a n/a 12 n/a n/a n/a
Merck & Company MRK 1/7/20 10.91 14.6 6.1 4.6 3.8 1.212 0.431 63.54 19.94 12 3.84 2.37 4.17
Vail Resorts Inc. MTN 4/11/19 19.73 23.6 30.3 36.0 n/a n/a 0.632 96.70 29.20 7 7.28 3.17 3.64
NiSource Inc. NI 2/20/20 5.00 2.6 7.7 14.8 8.3 1.793 n/a 68.29 21.97 12 1.23 5.41 1.92
Oxford Industries Inc. OXM 5/3/19 8.82 12.4 11.0 12.4 12.4 0.995 3.860 35.75 14.59 1 4.14 1.46 0.92
Paychex Inc. PAYX 5/30/19 10.71 11.0 11.2 10.6 6.9 1.538 0.985 83.22 26.00 5 2.98 3.08 6.98
Paccar Inc. PCAR 3/5/19 14.29 17.4 10.1 8.3 9.0 0.918 0.662 18.63 9.74 12 6.87 n/a 0.91
Public Service Enterprise Group Inc.
PEG 3/31/20 4.26 4.4 4.7 4.9 3.5 1.392 1.634 68.29 17.88 12 2.87 5.11 2.54
Provident Financial Services Inc. PFS 2/28/19 9.52 12.2 9.0 8.9 7.7 1.166 1.102 52.87 11.48 12 1.74 1.44 3.54
Packaging Corp of America PKG 7/13/18 25.40 11.3 11.5 14.6 15.5 0.943 1.279 2019=Year 9 43.05 12.35 12 7.34 2.47 1.22
PNC Financial Services Group Inc. PNC 8/5/19 21.05 23.5 25.6 17.4 19.8 0.881 2.265 40.32 11.08 12 11.41 1.98 4.04
PNM Resources Inc. PNM 2/13/20 6.03 9.4 9.6 9.4 8.8 1.071 n/a n/a n/a 12 -0.08 n/a 2.79
Pool Corp. POOL 5/31/19 22.22 22.1 20.8 19.8 15.0 1.324 0.885 34.32 32.91 12 6.41 1.94 2.68
QNB Corp. QNBC 3/29/19 3.13 3.1 3.2 3.3 3.2 1.032 n/a n/a n/a 12 n/a n/a n/a
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
AgilentCaribbean
Royal Technologies Inc. Ltd.
Cruises A
RCL 10/11/19 11.43 15.2 21.5 22.4 n/a n/a 0.701 34.63 8.92 12 9.01 0.82 1.59
Reliance Steel & Aluminum Co. RS 3/29/19 10.00 10.0 10.1 9.5 18.6 0.509 0.584 21.28 9.89 12 10.34 2.75 0.61
Sandy Spring Bancorp Inc. SASR 5/15/19 7.14 7.3 6.4 9.2 12.3 0.748 0.939 36.92 9.46 12 3.25 1.37 3.12
Sinclair Broadcast Group Inc. SBGI 12/17/18 11.11 8.1 4.3 4.9 14.9 0.329 0.128 2019=Year 9 38.10 11.05 12 2.10 6.92 0.62
Service Corp International SCI 3/29/19 5.88 5.9 12.2 16.2 16.2 0.998 0.802 36.18 24.02 12 1.99 2.27 2.65
Steelcase Inc. SCS 4/12/19 7.41 7.0 6.5 6.6 9.0 0.725 0.712 44.62 12.48 2 1.30 1.25 0.52
Simmons First National Corp. SFNC 4/6/20 6.25 9.6 9.9 7.7 4.9 1.565 0.288 28.10 8.83 12 2.42 1.77 3.11
Signet Jewelers Limited SIG 6/1/18 19.35 4.2 14.0 16.5 n/a n/a n/a 2019=Year 9 n/a n/a 1 -4.29 n/a 0.20
SL Green Realty Corp. SLG 1/14/20 4.12 4.6 5.7 11.2 13.6 0.823 0.351 114.94 25.47 12 3.08 n/a 5.11
Sotherly Hotels Inc. SOHO 7/11/19 4.00 8.5 11.8 20.0 38.2 0.523 n/a n/a n/a 12 -0.46 n/a 0.40
SpartanNash Company SPTN 3/29/19 5.56 5.6 8.2 9.6 14.3 0.674 0.122 475.00 77.69 12 0.16 n/a 0.05
South State Corp. SSB 2/14/20 2.17 21.0 11.3 15.3 9.4 1.626 1.006 35.01 12.69 12 5.37 1.06 3.91
Steel Dynamics Inc. STLD 4/12/19 28.00 26.5 17.6 14.8 10.0 1.481 0.328 31.68 8.79 12 3.03 n/a 0.54
State Street Corp. STT 10/15/19 10.64 8.4 11.3 11.5 21.7 0.529 3.285 36.17 11.85 12 5.75 27.54 6.24
Standex International Inc. SXI 11/26/19 10.00 10.8 12.2 14.3 8.6 1.669 n/a 23.10 16.65 6 3.81 1.67 1.00
Truist Financial Corp TFC 9/3/19 11.11 12.9 14.1 12.5 3.3 3.820 1.031 45.69 11.71 12 3.94 1.67 7.15
Terreno Realty Corp. TRNO 10/18/19 12.50 10.0 9.2 12.9 n/a n/a 0.437 127.06 64.55 12 0.85 6.43 21.54
Texas Roadhouse Inc. TXRH 3/29/19 20.00 20.0 17.5 14.9 n/a n/a 1.040 52.86 24.77 12 2.27 2.50 1.48
UDR Inc. UDR 4/30/19 6.20 5.7 5.1 5.9 3.4 1.719 0.068 217.46 71.40 12 0.63 n/a 11.46
Umpqua Holdings Corp. UMPQ 10/15/18 5.00 6.3 9.5 7.0 15.4 0.451 0.663 2019=Year 9 52.17 9.56 12 1.61 0.96 3.04
U.S. Bancorp USB 10/15/19 13.51 20.5 13.6 10.0 10.3 0.973 1.613 40.38 11.16 12 4.16 1.86 4.17
US Physical Therapy Inc. USPH 9/13/19 11.11 23.9 20.0 18.9 n/a n/a n/a 51.50 44.73 12 2.33 3.73 2.76
Ventas Inc. VTR 1/14/19 0.32 0.3 2.3 4.2 5.9 0.710 n/a ExDiv Streak 285.59 48.44 12 1.11 n/a 5.17
Washington Trust Bancorp Inc. WASH 7/12/19 8.51 16.7 10.3 10.9 8.8 1.229 0.856 51.52 10.84 12 3.96 2.17 3.79
Webster Financial Corp. WBS 5/20/19 21.21 22.4 16.0 15.3 44.0 0.349 1.043 39.41 9.35 12 4.06 0.48 3.14
Wells Fargo & Co. WFC 9/1/19 13.33 17.1 8.2 7.3 14.6 0.499 3.475 50.75 10.16 12 4.02 0.95 2.59
Whirlpool Corp. WHR 6/15/19 4.35 4.4 6.8 10.6 10.7 0.988 0.556 24.63 6.56 12 19.49 1.40 0.40
Willis Towers Watson plc WLTW 4/15/20 4.62 9.4 13.4 16.7 9.4 1.776 n/a ADR-UK,US$ 33.87 23.57 12 8.03 2.50 2.71
William Penn Bancorp Inc. WMPN 8/12/19 25.00 25.0 12.6 9.0 n/a n/a n/a n/a n/a 12 n/a n/a n/a
Worthington Industries Inc. WOR 9/27/19 4.35 2.3 4.9 6.4 6.7 0.953 1.488 48.73 16.14 5 1.97 0.39 0.52
WesBanco Inc. WSBC 4/1/19 6.90 8.0 8.7 7.2 2.2 3.271 1.207 43.66 10.78 12 2.84 1.08 4.30
West Bancorp Inc. WTBA 5/22/19 5.00 6.4 7.4 11.1 24.9 0.447 0.984 48.28 11.75 12 1.74 n/a 3.47
Weyerhaeuser Company WY 9/28/18 6.25 3.0 3.1 5.9 19.9 0.297 n/a 2019=Year 9 n/a n/a 12 -0.10 n/a 2.97
Apple Inc. AAPL 5/16/19 5.48 7.8 10.9 10.5 n/a n/a 0.807 24.33 21.59 9 12.66 1.78 4.57
AbbVie Inc. ABBV 2/13/20 10.28 19.2 23.4 20.9 n/a n/a 0.952 211.66 38.43 12 2.23 10.47 3.86
Arbor Realty Trust Inc. ABR 12/1/19 3.45 16.3 22.5 17.0 n/a n/a n/a 94.49 9.56 12 1.27 1.20 2.51
Agree Realty Corp. ADC 1/2/20 2.63 5.7 5.3 5.7 1.1 5.207 0.597 131.46 40.35 12 1.78 n/a 17.20
Armada Hoffler Properties Inc. AHH 4/2/20 4.76 5.1 5.3 5.3 n/a n/a n/a 293.33 55.87 12 0.30 11.32 6.40
Air Lease Corp. AL 1/5/20 15.38 30.0 37.5 34.1 n/a n/a 2.078 11.79 7.54 12 5.09 0.50 2.22
Alaska Air Group Inc. ALK 3/4/20 7.14 9.4 8.4 22.9 n/a n/a 3.314 24.27 8.17 12 6.18 0.44 0.71
Amerisafe Inc. AMSF 3/27/20 8.00 13.6 11.6 15.8 n/a n/a 1.597 22.50 13.58 12 4.80 1.36 3.42
Aon plc AON 5/15/19 10.00 10.3 10.1 13.2 11.1 1.189 2.064 ADR-UK,US$ 27.67 32.70 12 6.36 2.70 4.43
Amphenol Corp. APH 10/9/19 8.70 14.3 19.7 17.7 41.4 0.427 1.595 26.67 24.45 12 3.75 4.01 3.39
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Agilent Technologies
Associated Banc-CorpInc. A
ASB 12/16/19 5.88 11.3 15.3 13.3 3.9 3.391 1.264 37.70 8.86 12 1.91 1.48 2.31
American Express Company AXP 11/8/19 10.26 11.1 10.4 10.3 8.3 1.239 1.373 21.53 13.76 12 7.99 1.39 1.99
Boeing Company BA 3/1/19 20.18 20.2 23.5 23.0 17.2 1.336 n/a n/a n/a 12 -1.19 n/a 1.86
Bank of Botetourt BORT 2/18/20 9.37 6.7 10.1 26.2 n/a n/a n/a n/a n/a 12 n/a n/a n/a
Brookfield Property Partners LP BPY 3/31/20 0.76 4.8 5.6 5.7 n/a n/a 0.793 Bermuda,US$ 105.56 12.95 12 1.26 n/a 0.87
Sierra Bancorp BSRR 2/12/20 5.26 15.6 15.5 16.8 6.3 2.652 1.086 34.33 10.22 12 2.33 1.28 3.30
Cheesecake Factory Inc. CAKE 8/27/19 9.09 11.3 16.2 17.7 n/a n/a 44.340 50.35 12.46 12 2.86 1.65 0.64
Carolina Financial Corp CARO 1/3/20 11.11 47.8 37.8 26.5 n/a n/a 5.298 14.23 11.53 12 2.81 n/a 4.62
Cabot Corp. CBT 6/14/19 6.06 5.7 7.2 9.9 6.7 1.476 n/a 56.45 15.07 9 2.48 2.72 0.66
C&F Financial Corp. CFFI 12/31/19 2.70 7.2 5.0 4.6 2.8 1.640 1.104 27.79 8.32 12 5.47 n/a 1.68
City Holding Co. CHCO 10/31/19 7.55 13.1 8.1 6.6 4.7 1.391 0.813 41.91 12.85 12 5.44 1.61 5.78
CNO Financial Group Inc. CNO 6/24/19 10.00 10.3 11.5 12.4 n/a n/a n/a 16.54 6.02 12 2.66 0.60 0.60
Carter's Inc. CRI 3/20/20 20.00 11.1 14.9 21.4 n/a n/a 1.263 40.61 15.48 12 5.91 2.57 1.16
CSG Systems International Inc. CSGS 3/25/20 5.62 6.0 6.3 7.4 n/a n/a 0.938 36.86 17.35 12 2.55 n/a 1.49
Consolidated-Tomoka Land Co. CTO 2/28/20 92.31 63.0 40.1 44.4 3.9 11.381 1.021 29.50 16.96 12 3.39 n/a 6.25
Calavo Growers Inc. CVGW 12/6/19 10.00 10.0 6.9 8.0 8.2 0.970 0.035 52.88 34.83 10 2.08 2.43 1.06
Delek Logistics Partners LP DKL 2/11/20 0.57 10.7 10.6 13.2 n/a n/a 0.913 132.58 8.05 12 2.67 4.30 0.89
Domino's Pizza Inc. DPZ 3/30/20 20.00 18.2 19.6 21.1 n/a n/a 0.771 32.60 35.47 12 9.57 2.61 3.85
EastGroup Properties Inc. EGP 10/15/19 4.17 10.2 6.0 5.6 3.4 1.629 0.341 93.17 39.05 12 3.22 5.07 14.78
EQT Midstream Partners LP EQM 8/13/19 1.31 7.0 14.6 17.9 n/a n/a n/a 429.63 16.07 12 1.08 n/a 2.25
Expedia Inc. EXPE 9/12/19 6.25 6.5 9.7 14.9 n/a n/a 3.164 36.36 26.37 12 3.74 1.77 1.16
Exponent Inc. EXPO 3/27/20 18.75 23.1 21.1 20.7 n/a n/a 1.467 Adj. Split 49.67 48.14 12 1.53 3.21 9.17
Exchange Bank (Santa Rosa CA) EXSR 3/20/20 4.35 14.3 15.6 23.2 n/a n/a n/a n/a n/a 12 n/a n/a n/a
Fortune Brands Home & Security FBHS 3/17/20 9.09 10.0 11.2 12.9 n/a n/a 0.741 31.37 20.18 12 3.06 2.38 1.53
First Business Financial Services Inc.
FBIZ 2/13/20 10.00 7.1 7.7 7.4 15.7 0.472 5.688 25.58 9.30 12 2.58 1.16 2.04
Farmers Bankshares Inc. FBVA 10/15/19 9.09 9.8 12.0 30.3 n/a n/a n/a n/a n/a 12 n/a n/a n/a
First Community Bancshares Inc. FCBC 5/17/19 19.05 23.1 17.0 13.9 12.3 1.130 0.988 40.65 10.63 12 2.46 2.13 4.43
First Community Corp. FCCO 2/13/20 9.09 10.0 11.2 12.9 6.2 2.062 0.962 33.10 13.39 12 1.45 n/a 3.45
Comfort Systems USA Inc. FIX 3/30/20 5.00 19.7 12.8 11.9 7.6 1.569 0.363 14.84 14.92 12 2.83 1.49 0.63
F&M Bank Corp. FMBM 11/15/19 4.00 1.0 9.0 7.6 5.2 1.471 n/a n/a n/a 12 n/a n/a n/a
Fidelity National Financial Inc. FNF 12/31/19 6.45 5.0 22.1 19.2 12.5 1.535 1.122 Adj/Spin-off 34.46 10.12 12 3.83 1.25 1.26
First Industrial Realty Trust Inc. FR 4/20/20 8.70 5.0 9.2 18.3 13.8 1.333 0.305 53.19 20.48 12 1.88 2.05 11.57
First Republic Bank FRC 5/9/19 5.56 5.6 6.0 6.8 n/a n/a 0.738 14.62 19.34 12 5.20 2.56 4.85
First Merchants Corp. FRME 6/21/19 18.18 19.0 22.8 28.1 7.8 3.582 1.561 32.60 10.97 12 3.19 1.57 4.17
FS Bancorp Inc. FSBW 2/19/20 5.00 22.6 20.7 23.1 n/a n/a 0.621 13.77 7.83 12 6.10 1.12 2.40
German American Bancorp GABC 2/20/20 11.76 13.3 12.3 9.8 6.2 1.581 1.149 33.04 12.98 12 2.30 1.44 4.51
Glacier Bancorp Inc. GBCI 10/17/19 7.41 9.9 12.0 10.3 7.9 1.307 0.962 48.74 15.67 12 2.38 1.56 6.42
GEO Group Inc. GEO 2/22/19 2.13 2.1 3.5 4.3 n/a n/a 2.165 2018 = Year 7 138.13 10.53 12 1.39 0.70 0.71
Getty Realty Corp. GTY 1/9/20 5.71 9.4 11.9 11.8 (2.9) n/a 1.499 125.42 24.02 12 1.18 n/a 8.32
Huntington Ingalls Industries Inc. HII 12/12/19 19.77 19.5 19.8 29.3 n/a n/a 2.076 31.07 15.50 12 13.26 n/a 0.95
Heartland BanCorp HLAN 4/9/20 9.62 9.9 9.6 7.5 4.7 1.577 n/a n/a n/a 12 n/a n/a n/a
Hope Bancorp Inc. HOPE 8/10/18 7.69 3.7 7.6 9.9 35.2 0.280 1.428 2019=Year 8 41.48 9.04 12 1.35 1.13 2.24
Healthcare Trust of America Inc. HTA 10/10/19 1.61 1.6 1.7 1.6 n/a n/a n/a 900.00 222.43 12 0.14 n/a 9.64
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYrEPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Agilent Technologies
Heritage Inc.
Commerce Corp. A
HTBK 2/18/20 8.33 9.1 10.1 21.7 37.4 0.579 1.178 58.43 11.53 12 0.89 1.64 4.29
Hawthorn Bancshares Inc. HWBK 7/1/19 20.00 29.4 30.1 19.7 (0.7) n/a 1.034 18.68 8.46 12 2.57 n/a 2.13
Hyster-Yale Materials Handling Inc.HY 6/14/19 2.42 2.4 2.6 3.3 n/a n/a n/a 67.91 25.74 12 1.87 1.72 0.24
Intercontinental Exchange Inc. ICE 3/31/20 9.09 14.6 17.4 16.2 n/a n/a 1.064 35.09 26.09 12 3.42 2.99 9.54
Idacorp Inc. IDA 12/2/19 6.35 6.7 7.2 7.8 7.9 0.989 2.162 58.13 20.96 12 4.61 8.39 3.61
Interpublic Group of Companies Inc.IPG 3/16/20 8.51 11.9 16.1 19.9 n/a n/a 2.364 61.08 12.79 12 1.67 2.84 0.83
Ingersoll-Rand plc IR 9/28/18 17.78 8.2 15.9 16.2 18.2 0.893 1.422 2019=Year 9, ADR-Ire,
37.86
US$ 23.04 12 5.60 2.48 1.86
ITT Corp. ITT 4/6/20 14.97 9.7 5.8 6.0 6.1 0.980 n/a 19.65 17.49 12 3.44 8.76 1.88
Lakeland Financial Corp. LKFN 5/6/19 15.38 16.0 16.9 16.2 10.9 1.494 1.097 35.50 12.09 12 3.38 1.21 4.88
Southwest Airlines Co. LUV 6/26/19 12.50 22.8 23.1 26.0 42.7 0.610 1.252 17.06 10.95 12 4.22 0.94 1.07
La-Z-Boy Inc. LZB 12/12/19 7.69 8.2 8.9 15.3 n/a n/a 2.595 34.15 17.47 4 1.64 2.25 0.75
Matson Inc. MATX 9/5/19 4.76 4.9 5.1 5.4 n/a n/a 0.342 41.90 15.81 12 2.1 1.06 0.64
Mondelez International Inc. MDLZ 10/14/19 9.62 15.8 13.9 12.9 n/a n/a 0.823 42.86 19.85 12 2.66 2.53 2.94
Herman Miller Inc. MLHR 10/15/19 6.33 8.8 9.4 8.0 13.8 0.582 0.145 23.93 9.75 5 3.51 n/a 0.77
MPLX LP MPLX 2/13/20 1.48 6.4 9.3 14.6 n/a n/a 0.845 126.73 9.35 12 2.17 2.07 2.58
Nasdaq Inc. NDAQ 6/28/19 6.82 8.8 15.2 26.1 n/a n/a 1.776 40.60 22.15 12 4.63 2.91 3.92
Northern Trust Corp. NTRS 10/1/19 16.67 26.3 18.8 13.9 8.1 1.703 0.806 42.23 13.24 12 6.63 5.12 2.88
NVIDIA Corp. NVDA 12/21/18 6.67 4.9 9.7 13.5 n/a n/a 0.419 2019=Year 8 14.16 59.75 1 4.52 4.56 15.89
Nexstar Media Group Inc. NXST 2/28/20 24.44 20.0 23.3 24.6 n/a n/a 0.146 39.58 20.31 12 5.66 n/a 1.99
Pinnacle West Capital Corp. PNW 12/2/19 6.10 6.1 5.8 5.4 3.6 1.507 0.400 71.46 20.43 12 4.38 5.10 2.83
Pinnacle Bankshares Corp. PPBN 6/7/19 12.00 22.5 12.8 11.2 18.5 0.608 n/a n/a n/a 12 n/a n/a n/a
Peoples Ltd. PPLL 12/13/19 3.77 5.9 4.7 8.8 n/a n/a n/a n/a n/a 12 n/a n/a n/a
Phillips 66 PSX 6/3/19 12.50 12.9 12.6 13.1 n/a n/a 0.880 31.11 6.47 12 11.57 n/a 0.31
Phillips 66 Partners LP PSXP 2/12/20 1.16 29.0 19.8 24.9 n/a n/a 0.427 73.53 11.42 12 4.76 1.39 10.94
Ryman Hospitality Properties Inc. RHP 4/15/20 5.56 6.0 6.4 10.5 n/a n/a 0.455 75.40 13.79 12 5.04 0.89 2.53
Raymond James Financial Inc. RJF 1/15/20 8.82 23.6 19.3 16.3 11.9 1.362 0.980 20.11 11.36 9 7.36 1.34 1.50
ResMed Inc. RMD 9/19/19 5.41 5.6 6.5 7.5 n/a n/a 2.136 49.21 50.15 6 3.17 2.28 8.36
Shoe Carnival Inc. SCVL 7/22/19 6.25 6.5 6.9 6.6 n/a n/a 0.502 12.41 10.92 1 2.74 1.09 0.43
Sound Financial Bancorp Inc. SFBC 2/24/20 7.14 3.7 23.1 22.9 16.7 1.373 2.598 2019=Year 7 23.17 14.01 12 2.59 n/a 2.72
Southwest Georgia Financial Corp. SGB 6/15/18 9.09 2.1 4.6 8.4 21.2 0.398 0.775 2019=Year 8 23.08 14.13 12 2.08 n/a 3.00
Southern Missouri Bancorp Inc. SMBC 8/30/19 15.38 16.7 13.8 11.2 8.8 1.262 0.668 18.40 10.07 12 3.26 n/a 2.92
Southern Michigan Bancorp Inc. SOMC 7/26/19 4.55 4.7 8.7 10.0 9.9 1.005 n/a n/a n/a 12 n/a n/a n/a
Service Properties Trust SVC 5/16/19 1.89 1.9 1.9 2.0 10.8 0.182 0.219 213.86 17.90 12 1.01 3.58 1.29
Schweitzer-Mauduit International Inc.
SWM 12/21/18 2.33 1.7 2.8 3.8 19.4 0.197 2.539 2019=Year 8 89.34 17.12 12 1.97 3.42 1.00
TCF Financial Corp. TCF 9/3/19 2.94 11.3 9.2 8.0 1.6 5.058 0.562 43.48 11.32 12 3.22 0.33 5.43
Towne Bank TOWN 7/10/19 12.50 13.3 10.8 10.1 8.1 1.242 0.954 37.31 11.95 12 1.93 n/a 3.61
Truxton Corp. TRUX 3/26/20 12.00 13.6 11.6 20.1 n/a n/a n/a n/a n/a 12 n/a n/a n/a
Timberland Bancorp Inc. TSBK 2/28/20 33.33 15.4 20.8 27.2 6.8 3.988 0.949 10¢ Spec-5/25 27.03 7.85 12 2.96 0.60 3.50
Tyson Foods Inc. TSN 3/12/20 12.00 21.2 37.1 36.6 25.5 1.437 1.967 30.11 12.16 9 5.58 1.34 0.58
Trinity Bank NA TYBT 10/31/19 3.33 9.9 10.7 13.4 n/a n/a n/a n/a n/a 12 n/a n/a n/a
Universal Forest Products Inc. UFPI 3/15/20 25.00 11.1 11.3 14.5 16.5 0.877 0.518 17.12 16.05 12 2.92 0.95 0.65
Union Bankshares Inc. UNB 2/5/20 3.23 3.3 3.8 3.6 1.9 1.912 n/a 76.19 17.85 12 1.68 n/a 3.89
Western Midstream Partners LP WES 2/12/20 0.32 6.8 12.8 18.6 n/a n/a 0.986 181.61 9.53 12 1.37 1.25 2.35
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Agilent Technologies
Dentsply Sirona Inc. Inc. A
XRAY 10/11/19 14.29 7.1 7.1 7.5 6.5 1.155 n/a 2018 = Year 7 56.34 69.35 12 0.71 5.21 2.78
Zoetis Inc. ZTS 3/2/20 21.95 30.2 20.0 17.9 n/a n/a 0.821 25.64 42.70 12 3.12 3.97 10.20
Abbott Laboratories ABT 2/13/20 12.50 14.3 7.2 7.8 5.5 1.412 3.891 71.29 38.13 12 2.02 3.44 4.32
American Campus Communities ACC 5/24/19 2.17 2.7 4.1 4.5 3.3 1.361 0.309 308.20 71.21 12 0.61 4.08 6.48
AGCO Corp. AGCO 6/14/19 6.67 5.0 6.6 7.4 n/a n/a n/a 40.00 37.77 12 1.60 3.78 0.50
Acadia Realty Trust AKR 1/14/20 3.57 3.7 3.8 4.0 3.7 1.089 n/a 190.16 37.44 12 0.61 12.48 6.69
Allegion plc ALLE 3/31/20 18.52 28.6 31.0 27.5 n/a n/a 1.592 Ireland, US$ 30.05 26.99 12 4.26 3.25 3.77
Argo Group International Holdings Ltd.
ARGO 3/15/19 14.81 14.8 17.5 15.6 n/a n/a n/a Bermuda,US$, Adj. Stk 89.21
Div. 40.47 12 1.39 5.79 1.01
Avnet Inc. AVT 9/25/19 5.00 5.1 6.4 5.8 n/a n/a n/a 84.85 30.99 6 0.99 2.98 0.17
Banner Corp. BANR 4/18/19 7.89 21.1 24.7 18.5 35.0 0.527 1.694 39.14 10.89 12 4.19 1.56 3.14
Brunswick Corp. BC 12/13/19 14.29 11.5 12.3 14.1 33.1 0.426 n/a 282.35 156.47 12 0.34 10.37 1.06
Brixmor Property Group BRX 1/14/20 1.79 1.8 4.6 9.0 n/a n/a 0.434 123.91 19.79 12 0.92 n/a 4.64
First Busey Corp. BUSE 1/30/20 4.76 5.0 7.3 8.1 (3.5) n/a 0.438 47.06 11.80 12 1.87 1.97 3.42
BancorpSouth Inc. BXS 10/1/19 8.82 17.8 17.8 25.3 (2.3) n/a 1.543 32.17 10.64 12 2.30 2.13 3.24
Cathay General Bancorp CATY 12/13/18 29.17 20.4 18.2 33.7 19.7 1.710 1.833 2019=Year 7 35.63 8.84 12 3.48 1.11 3.23
CDW Corp. CDW 12/9/19 28.81 36.8 37.9 45.3 n/a n/a 1.197 30.46 22.89 12 4.99 1.93 0.94
Citizens Financial Group Inc. CFG 2/11/20 8.33 38.8 43.5 68.5 n/a n/a 3.311 40.94 8.32 12 3.81 1.45 2.30
CyrusOne Inc. CONE 10/11/19 8.70 6.7 9.7 19.4 n/a n/a 0.736 512.82 155.33 12 0.39 n/a 6.87
Central Pacific Financial Corp. CPF 6/17/19 9.52 9.8 14.5 20.1 n/a n/a n/a 45.32 11.78 12 2.03 1.47 3.18
CVB Financial Corp. CVBF 4/17/19 28.57 21.4 12.3 11.2 7.2 1.560 1.722 52.55 13.53 12 1.37 1.36 5.90
Delta Air Lines Inc. DAL 8/15/19 15.00 14.9 46.9 38.1 n/a n/a 0.675 21.99 6.30 12 7.32 0.64 0.63
Danaher Corp. DHR 4/24/20 5.88 8.1 11.1 29.1 34.5 0.843 n/a 22.09 44.35 12 3.26 3.87 5.56
Encompass Health Corp. EHC 10/15/19 3.70 4.8 5.4 7.8 n/a n/a 1.438 (was HealthSouth) 35.00 23.39 12 3.20 5.09 1.65
First Midwest Bancorp FMBI 7/9/19 16.67 20.9 13.0 11.6 8.7 1.331 1.846 30.60 9.92 12 1.83 1.42 2.88
First National Corp. FXNC 3/13/20 22.22 80.0 44.2 36.9 (4.3) n/a n/a n/a n/a 12 n/a n/a n/a
Greenbrier Companies Inc. GBX 2/17/20 8.00 2.0 6.8 27.2 38.0 0.717 n/a 2019=Year 6 51.43 11.54 8 2.10 1.65 0.25
Guaranty Federal Bancshares GFED 1/15/20 15.38 8.3 17.6 28.2 n/a n/a 40.326 28.44 11.18 12 2.11 n/a 2.28
Goodyear Tire & Rubber Company GT 12/3/18 14.29 10.3 27.3 23.8 n/a n/a n/a 2019=Year 7 n/a n/a 12 -1.34 n/a 0.16
Hurco Companies Inc. HURC 4/15/19 9.09 9.3 10.3 12.6 n/a n/a 6.616 18.82 11.05 6 2.55 n/a 0.75
Independent Bank Corp. MI IBCP 2/13/20 11.11 20.0 28.4 32.0 33.5 0.953 n/a 39.80 9.74 12 2.01 1.22 2.96
Johnson Outdoors Inc. JOUT 10/25/19 21.43 22.9 21.4 14.5 n/a n/a 0.360 12.55 11.51 9 5.42 0.82 1.06
Kadant Inc. KAI 5/7/19 4.55 4.6 7.1 9.6 n/a n/a 0.467 20.49 20.23 12 4.49 2.53 1.45
Logansport Financial Corp. LOGN 4/13/18 16.67 3.7 13.0 16.9 8.8 1.917 n/a 2019=Year 7 n/a n/a 12 n/a n/a n/a
Moelis & Company MC 3/27/20 2.00 6.4 17.3 38.0 n/a n/a 2.566 107.37 16.82 12 1.90 n/a 2.61
Macatawa Bank Corp. MCBC 2/27/20 14.29 12.0 32.6 28.5 n/a n/a 1.148 2019=Year 6 34.04 10.26 12 0.94 1.28 4.34
Marcus Corp. MCS 3/16/20 6.25 6.7 12.5 11.6 6.5 1.774 0.816 50.75 19.94 12 1.34 1.33 1.05
MetLife Inc. MET 6/13/19 4.76 4.8 3.4 8.1 10.2 0.791 3.504 29.09 7.06 12 6.05 1.64 0.58
Manulife Financial Corporation MFC 3/19/20 12.00 9.9 10.6 11.9 2.5 4.730 1.308 2019=Year 6, Canada53.59
CAD 8.06 12 2.09 0.92 0.56
Mackinac Financial Corp. MFNC 10/8/19 16.67 4.2 7.7 20.1 n/a n/a n/a 2018 = Year 6 43.41 10.84 12 1.29 1.09 2.35
Mobile Mini Inc. MINI 3/11/20 10.18 10.0 10.1 10.1 n/a n/a 0.692 64.47 20.74 12 1.88 1.48 2.88
Marquette National Corp. MNAT 3/31/20 4.00 102.0 39.7 42.5 6.6 6.390 n/a n/a n/a 12 n/a n/a n/a
Medical Properties Trust Inc. MPW 4/9/20 3.85 2.0 3.9 3.8 2.4 1.592 0.102 125.58 24.57 12 0.86 n/a 12.79
Materion Corp. MTRN 6/5/19 4.76 4.8 5.1 5.4 n/a n/a 1.341 17.96 18.51 12 2.45 1.54 0.78
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Agilent Technologies
National Inc.
Instruments Corp. A
NATI 3/9/20 4.00 8.7 7.7 10.8 12.1 0.891 2.502 84.55 32.75 12 1.23 5.67 3.96
NBT Bancorp Inc. NBTB 12/13/19 3.85 6.1 5.3 4.6 2.8 1.656 0.423 39.42 12.30 12 2.74 2.46 4.04
NextEra Energy Partners LP NEP 2/13/20 3.38 14.9 14.9 60.0 n/a n/a n/a n/a n/a 12 -1.55 n/a 4.43
Northfield Bancorp Inc. NFBK 5/22/19 10.00 7.5 11.5 10.6 14.2 0.746 0.535 2018 = Year 6 51.76 16.62 12 0.85 2.07 4.25
NetApp Inc. NTAP 7/24/19 20.00 46.7 33.5 22.8 n/a n/a 1.152 44.96 10.94 4 4.27 1.61 1.90
Owens Corning Inc. OC 1/16/20 9.09 4.8 7.4 12.9 n/a n/a 0.921 26.02 15.31 12 3.69 1.77 0.87
ONE Gas Inc. OGS 3/5/20 8.00 8.7 12.6 18.9 n/a n/a 1.707 61.54 23.40 12 3.51 4.68 2.65
Oshkosh Corp. OSK 12/2/19 11.11 12.1 12.5 12.4 27.2 0.454 0.679 15.36 9.24 9 7.81 7.37 0.60
Open Text Corp. OTEX 6/21/19 15.02 15.0 14.9 15.1 n/a n/a 4.717 Canada,US$ 57.72 34.64 6 1.21 3.61 3.95
Otter Tail Corp. OTTR 3/10/20 5.71 4.5 3.8 3.0 1.6 1.807 0.423 67.89 22.30 12 2.18 2.48 2.13
Oak Valley Bancorp OVLY 2/13/20 3.70 3.8 4.0 10.4 26.9 0.385 0.745 18.18 10.84 12 1.54 n/a 3.27
Peoples Bancorp of North Carolina PEBK 3/15/19 7.69 7.7 17.5 27.9 9.0 3.097 1.559 Adj/Stk Div 23.73 10.78 12 2.36 n/a 3.03
Prologis Inc. PLD 3/31/20 9.43 10.4 8.1 9.9 6.6 1.508 0.654 93.17 33.85 12 2.49 n/a 18.64
Power Integrations Inc. POWI 12/31/19 11.76 9.4 10.4 9.7 21.5 0.453 0.355 11.80 13.52 12 6.44 1.28 6.26
Everest Reinsurance Group Ltd. RE 12/23/19 10.71 8.5 7.0 12.4 11.6 1.073 n/a Bermuda,US$ 38.85 15.53 12 15.96 0.39 1.30
Regency Centers Corp. REG 3/5/20 1.71 5.4 5.4 4.5 1.0 4.353 n/a 166.43 40.17 12 1.43 4.42 8.55
Rexford Industrial Realty Inc. REXR 4/15/20 16.22 14.4 9.8 8.3 n/a n/a 0.116 182.98 99.51 12 0.47 9.99 19.79
Regions Financial Corp. RF 10/1/19 10.71 40.2 32.0 29.2 10.1 2.891 2.450 41.33 9.01 12 1.50 1.10 2.85
RE/MAX Holdings Inc. RMAX 3/18/20 4.76 5.0 11.9 27.4 n/a n/a 0.465 55.00 18.22 12 1.60 n/a 2.35
Ruth's Hospitality Group Inc. RUTH 3/21/19 18.18 18.2 22.9 21.1 n/a n/a 1.442 36.88 13.57 12 1.41 0.96 1.31
SB Financial Group Inc. SBFG 11/20/19 5.56 12.5 14.5 17.6 0.0 n/a 3.322 26.57 13.10 12 1.43 n/a 3.28
ServisFirst Bancshares Inc. SFBS 1/9/20 16.67 57.9 58.7 64.4 n/a n/a 2.900 25.36 12.52 12 2.76 n/a 4.78
Star Group LP SGU 5/6/19 6.38 6.5 7.0 7.4 6.2 1.191 n/a 58.82 10.56 9 0.85 n/a 0.24
Shenandoah Telecommunications SHEN 12/1/19 7.41 7.4 5.1 4.3 6.1 0.701 0.494 25.89 39.67 12 1.12 1.62 3.56
SYNNEX Corp. SNX 1/30/20 6.67 7.1 20.8 64.4 n/a n/a 3.949 16.43 12.84 11 9.74 1.11 0.28
S&T Bancorp Inc. STBA 11/21/19 3.70 10.1 12.3 9.9 1.7 5.787 0.779 38.10 11.18 12 2.94 1.12 4.17
Sturgis Bancorp STBI 3/15/20 6.67 5.3 12.6 46.1 4.4 10.483 n/a 2019=Year 6 n/a n/a 12 n/a n/a n/a
TriCo Bancshares TCBK 9/27/19 15.79 17.1 11.0 13.3 4.7 2.845 1.560 29.93 11.50 12 2.94 1.64 3.80
TE Connectivity Ltd. TEL 6/7/19 4.55 5.8 8.1 10.2 11.0 0.926 1.259 Switz,US$ 39.32 17.71 9 4.68 1.70 2.11
Terex Corp. TEX 3/19/19 10.00 10.0 16.3 17.1 n/a n/a 3.285 14.97 7.49 12 2.94 n/a 0.35
United Community Banks Inc. UCBI 1/5/20 5.88 26.9 33.1 61.5 n/a n/a n/a 31.17 10.72 12 2.31 10.71 3.59
United Fire Group Inc. UFCS 6/14/19 6.45 7.4 10.3 10.8 8.0 1.338 n/a 240.00 69.71 12 0.55 6.92 0.80
Unity Bancorp Inc. UNTY 6/28/19 14.29 14.8 19.9 25.4 n/a n/a 0.767 15.09 8.08 12 2.12 n/a 2.51
Marriot Vacations Worldwide Corp. VAC 1/5/20 20.00 12.5 14.5 48.4 n/a n/a n/a 78.55 35.19 12 2.75 1.56 0.97
Vulcan Materials VMC 3/10/20 9.68 10.7 15.7 41.3 (1.8) n/a 0.461 29.06 25.70 12 4.68 1.49 3.27
Westlake Chemical Partners LP WLKP 2/17/20 1.46 11.6 11.9 60.2 n/a n/a n/a 106.53 11.68 12 1.77 1.20 0.66
W.T.B. Financial Corp. WTBFA 3/15/19 52.17 52.2 32.6 23.9 n/a n/a n/a n/a n/a 12 n/a n/a n/a
Wintrust Financial Corp. WTFC 2/19/20 12.00 31.6 27.7 20.1 14.0 1.438 1.234 18.57 8.86 12 6.03 0.89 2.24
Watts Water Technologies Inc. WTS 6/14/19 9.52 9.8 8.2 9.2 7.4 1.238 0.417 23.90 24.39 12 3.85 3.05 2.00
Zions Bancorp Inc. ZION 8/22/19 13.33 23.1 66.0 51.6 29.0 1.776 2.468 32.54 9.56 12 4.18 2.17 2.58
Ameren Corp AEE 12/31/19 4.21 3.9 3.8 3.6 2.2 1.607 0.373 60.92 24.31 12 3.25 5.29 3.24
Alamo Group Inc ALG 1/28/20 8.33 9.1 10.1 11.4 7.2 1.586 0.759 9.20 19.61 12 5.65 2.97 1.21
Aramark Services Inc. ARMK 12/6/18 4.76 3.5 4.3 7.2 n/a n/a 0.317 2019=Year 6 34.11 26.93 9 1.29 3.14 0.55
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Agilent
Bank ofTechnologies
America CorpInc. A
BAC 9/27/19 20.00 22.2 38.2 40.6 32.4 1.256 0.893 26.18 10.36 12 2.75 1.65 3.54
BankFinancial Corp. BFIN 8/24/18 11.11 8.1 24.0 38.0 3.6 10.458 0.818 2019=Year 6 53.33 15.12 12 0.75 1.90 2.65
Saul Centers Inc. BFS 1/31/19 1.92 1.9 4.8 6.3 3.3 1.908 0.276 123.98 25.15 12 1.71 3.32 4.24
Berkshire Hills Bancorp Inc. BHLB 2/28/20 4.35 4.5 4.8 5.0 3.7 1.360 0.761 47.06 11.97 12 2.04 1.20 2.38
Bloomin' Brands Inc. BLMN 3/13/20 100.00 11.1 12.6 n/a n/a n/a n/a 55.56 12.49 12 1.44 1.41 0.38
Bankwell Financial Group Inc. BWFG 2/24/20 7.69 8.3 33.2 n/a n/a n/a n/a 23.53 11.96 12 2.38 n/a 2.64
Capital City Bank Group CCBG 9/23/19 18.18 50.0 41.3 39.8 (4.5) n/a 1.295 28.42 14.56 12 1.83 2.42 3.98
Crown Castle International Corp CCI 12/31/19 6.67 7.0 8.3 19.6 n/a n/a 0.356 242.42 72.37 12 1.98 3.44 10.21
Community Healthcare Trust Inc. CHCT 2/28/20 0.60 2.5 2.6 n/a n/a n/a n/a 726.09 207.09 12 0.23 n/a 16.91
CNX Midstream Partners LP CNXM 2/12/20 3.55 15.0 15.0 n/a n/a n/a n/a 67.92 4.80 12 2.44 1.02 3.49
CenterState Bank Corp. CSFL 3/31/20 27.27 10.0 40.1 61.5 20.2 3.049 1.799 30.60 11.05 12 1.83 1.38 4.50
CareTrust REIT Inc. CTRE 4/15/19 9.76 10.0 9.0 47.7 n/a n/a 1.730 191.49 44.40 12 0.47 7.45 12.46
Community West Bancshares CWBC 5/31/19 10.00 10.0 17.7 40.6 n/a n/a 1.926 23.66 11.67 12 0.93 n/a 2.02
D.R. Horton Inc DHI 12/10/19 16.67 19.0 22.5 25.6 15.3 1.669 1.062 14.93 11.36 9 4.69 0.78 1.08
Diamond Hill Investment Group Inc.DHIL 12/9/19 12.50 12.5 14.5 17.6 (1.0) n/a 1.276 68.75 9.68 12 13.09 n/a 3.23
Dolby Laboratories Inc DLB 12/3/19 15.79 17.9 16.5 51.2 n/a n/a 4.490 29.63 22.12 12 2.97 1.38 5.42
Meridian Bancorp, Inc. EBSB 1/2/20 14.29 31.8 34.2 n/a n/a n/a n/a 24.62 12.70 12 1.30 1.06 3.36
Enterprise Financial Services Corp EFSC 3/30/20 5.88 31.9 14.8 24.2 11.4 2.114 1.397 20.40 10.84 12 3.53 1.21 3.36
Equinix Inc. EQIX 3/18/20 8.13 7.9 12.0 n/a n/a n/a n/a 177.33 95.47 12 6.00 4.28 8.75
Enviva Partners LP EVA 2/28/20 0.75 4.2 8.9 n/a n/a n/a n/a n/a n/a 12 0.00 n/a 1.94
Flushing Financial Corp. FFIC 3/29/19 5.00 5.0 7.3 7.0 4.9 1.417 0.782 58.33 12.61 12 1.44 1.45 1.84
First Bancorp Inc. FNLC 7/31/19 3.45 11.3 9.6 7.6 4.3 1.789 0.606 51.28 10.90 12 2.34 n/a 3.55
First Savings Financial Group Inc. FSFG 3/29/19 6.67 6.7 7.2 7.8 23.1 0.337 0.327 9.10 8.88 12 7.03 n/a 2.78
FirstService Corp. FSV 4/7/20 10.00 10.9 10.8 n/a n/a n/a n/a n/a n/a 12 -6.58 n/a 1.70
Greene County Bancorp, Inc. GCBC 8/30/19 10.00 6.3 3.8 3.4 2.1 1.601 0.158 20.28 12.47 6 2.17 n/a 4.72
Gilead Sciences Inc. GILD 3/30/20 7.94 10.5 11.1 n/a n/a n/a n/a 64.61 16.48 12 4.21 12.14 3.91
Gaming and Leisure Properties GLPI 12/26/19 2.94 6.6 5.7 5.7 n/a n/a 0.811 186.67 29.78 12 1.50 2.75 8.12
Great Southern Bancorp Inc. GSBC 10/14/19 6.25 16.1 13.9 10.8 6.1 1.767 0.752 26.31 9.92 12 5.17 1.66 3.14
Home Bancorp Inc. HBCP 11/22/19 4.76 18.3 27.0 64.4 n/a n/a 2.505 28.85 10.84 12 3.05 n/a 3.00
The Hackett Group Inc. HCKT 7/10/19 5.88 12.5 11.5 24.6 n/a n/a 0.979 50.00 21.39 12 0.72 1.59 1.66
Home Federal Bancorp Inc. of Louisiana
HFBL 8/5/19 14.29 15.4 20.8 18.2 9.6 1.897 1.291 28.57 15.19 12 2.24 n/a 2.98
Hoegh LNG Partners LP HMLP 5/15/18 2.33 0.6 2.2 57.2 n/a n/a 11.214 2019=Year 6 166.04 11.79 12 1.06 0.99 2.88
Hennessy Advisors Inc. HNNA 9/10/19 25.00 20.7 29.7 34.3 23.5 1.460 3.297 39.86 7.36 9 1.38 n/a 1.87
Independent Bank Group Inc. IBTX 2/21/19 78.57 85.2 43.3 33.0 n/a n/a 1.677 25.13 11.63 12 3.98 1.16 3.47
Independence Holding Company IHC 7/5/19 33.33 40.0 32.6 38.0 21.5 1.768 1.843 21.62 20.06 12 1.85 n/a 1.56
Intel Corp. INTC 2/29/20 4.76 5.0 6.6 7.0 8.4 0.824 0.458 27.91 11.74 12 4.73 1.30 3.36
Innospec Inc. IOSP 11/26/19 4.00 14.6 15.0 13.1 35.2 0.374 2.155 23.01 19.15 12 4.52 2.55 1.50
Investar Holding Corp. ISTR 10/31/19 8.89 50.2 80.7 101.8 n/a n/a 4.008 14.37 12.79 12 1.67 n/a 2.69
Kearny Financial Corp. KRNY 3/18/20 14.29 56.3 46.2 n/a 2.3 n/a n/a 64.00 21.82 6 0.50 5.44 3.93
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Agilent Technologies
Lamar Advertising Co.Inc. A
LAMR 3/29/19 4.35 5.2 8.3 9.0 n/a n/a 1.299 105.49 23.01 12 3.64 7.67 5.00
Gladstone Land Corp. LAND 3/30/20 0.11 0.5 2.6 8.2 n/a n/a 1.489 n/a n/a 12 -0.18 n/a 8.12
Eli Lilly & Company LLY 3/9/20 14.73 14.7 8.1 5.7 2.8 2.028 0.325 59.08 25.18 12 5.01 2.30 5.40
Logitech International LOGI 9/20/19 6.49 6.5 8.8 22.3 n/a n/a 1.208 Switz, CHF 44.11 23.47 12 1.66 2.97 2.34
Lam Research Corp. LRCX 10/16/19 4.55 40.6 55.4 65.7 n/a n/a 2.155 34.10 21.75 6 13.49 1.35 4.64
Masco Corp MAS 11/12/19 12.50 13.8 8.7 8.4 0.7 11.477 n/a 24.43 18.70 12 2.21 1.64 1.72
MutualFirst Financial Inc. MFSF 12/28/18 11.11 8.1 11.3 20.1 6.7 3.022 1.387 2019=Year 6 29.20 12.23 12 2.74 2.45 3.38
Mid Penn Bancorp MPB 5/27/19 20.00 15.0 12.9 14.5 2.9 5.068 6.322 34.45 10.18 12 2.09 n/a 1.89
Morgan Stanley MS 8/15/19 16.67 18.2 22.9 30.0 11.5 2.605 1.072 26.97 8.68 12 5.19 1.06 1.39
MSCI Inc. MSCI 8/30/19 17.24 31.3 36.1 69.5 n/a n/a 2.235 41.27 44.83 12 6.59 3.40 16.74
Enpro Industries Inc. NPO 3/18/20 4.00 4.2 6.0 n/a n/a n/a n/a 208.00 107.90 12 0.50 18.02 0.75
National Research Corporation NRC 1/15/20 10.53 40.7 33.4 n/a n/a n/a n/a 70.59 46.21 12 1.19 3.56 10.85
OceanFirst Financial Corp OCFC 11/16/18 13.33 9.7 8.0 6.8 (1.6) n/a 0.744 2019=Year 6 38.86 11.68 12 1.75 1.17 4.04
Orrstown Financial Services Inc. ORRF 2/9/20 13.33 20.0 19.7 n/a (3.8) n/a n/a 42.77 11.19 12 1.59 n/a 2.18
PBF Logistics LP PBFX 11/25/19 0.97 4.1 6.4 34.8 n/a n/a 2.721 123.08 11.22 12 1.69 1.42 3.50
Preferred Bank PFBC 1/22/19 20.00 27.7 26.0 64.4 31.1 2.070 2.411 23.21 9.89 12 5.17 0.99 3.44
Parke Bancorp Inc. PKBK 7/26/19 14.29 15.4 24.6 43.1 n/a n/a 2.628 EstD,10%stk-7/28 25.81 7.46 12 2.48 0.28 3.08
Children's Place Inc. (The) PLCE 4/26/19 12.00 12.0 44.0 41.3 n/a n/a 1.977 57.88 14.88 1 3.87 5.14 0.48
PS Business Parks Inc PSB 9/27/18 23.53 10.5 11.9 16.0 9.1 1.760 n/a 2019=Year 6 106.33 37.61 12 3.95 n/a 9.45
People's Utah Bancorp PUB 2/18/20 7.69 19.5 19.1 n/a n/a n/a n/a 24.03 10.29 12 2.33 1.29 3.81
Restaurant Brands International Inc.QSR 4/3/20 4.00 8.3 46.5 n/a n/a n/a n/a 87.76 24.68 12 2.37 n/a 3.11
QTS Realty Trust Inc. QTS 4/4/19 7.32 6.8 7.3 9.3 n/a n/a n/a n/a n/a 12 -0.09 n/a 7.17
Riverview Bancorp Inc RVSB 1/20/20 11.11 30.8 29.9 n/a n/a n/a n/a 26.67 8.60 3 0.75 0.71 2.86
Superior Group of Companies Inc. SGC 8/29/18 5.26 2.6 5.6 7.0 4.0 1.750 n/a 2019=Year 6 44.94 13.51 12 0.89 n/a 0.50
Shell Midstream Partners LP SHLX 2/13/20 3.37 18.3 20.4 n/a n/a n/a n/a 110.84 10.31 12 1.66 1.27 7.97
Selective Insurance Group Inc. SIGI 12/1/19 15.00 12.2 10.8 9.4 4.8 1.961 0.728 20.31 12.31 12 4.53 2.31 1.17
Synovus Financial SNV 4/1/19 20.00 27.8 33.8 48.4 29.0 1.667 1.570 34.58 8.36 12 3.47 1.04 2.13
Sprague Resources LP SRLP 8/10/18 2.30 1.7 7.3 11.3 n/a n/a 0.345 2019=Year 6 121.92 5.61 12 2.19 n/a 0.08
Simpsom Manufacturing Co. SSD 7/25/19 4.55 4.7 9.8 11.2 8.4 1.323 0.537 30.87 26.65 12 2.98 5.32 3.09
Extended Stay America Inc. STAY 5/30/19 4.55 4.6 7.1 11.4 n/a n/a 2.854 224.39 26.78 12 0.41 n/a 1.65
Skyworks Solutions Inc. SWKS 9/17/19 15.79 17.1 14.9 36.2 n/a n/a 2.291 36.51 20.78 12 4.82 1.47 5.29
TFS Financial Corporation TFSL 9/17/19 8.00 23.8 32.2 49.3 14.0 3.519 9.137 360.00 68.13 12 0.30 n/a 11.80
Timken Company (The) TKR 6/4/18 3.70 0.9 2.5 2.3 9.5 0.240 0.095 2019=Year 6 23.78 9.52 12 4.71 1.94 0.90
Tetra Tech Inc. TTEK 5/31/19 25.00 23.9 17.7 22.1 n/a n/a 2.028 20.69 27.89 9 2.9 1.86 1.80
United Bancorp Inc. UBCP 12/19/19 1.82 4.8 9.1 10.6 (0.3) n/a 1.135 57.14 14.14 12 0.98 0.87 3.20
USD Partners LP USDP 2/19/20 0.68 2.8 5.3 n/a n/a n/a n/a 616.67 37.67 12 0.24 n/a 2.16
Unitil Corp. UTL 2/28/20 1.35 1.4 1.4 1.4 0.7 2.007 0.133 50.51 18.97 12 2.97 4.32 1.94
Woodlands Financial Services Co. WDFN 8/23/19 4.00 8.5 8.4 6.1 7.4 0.820 n/a n/a n/a 12 n/a n/a n/a
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Agilent Technologies
Wellesley Inc.
Bancorp Inc. A
WEBK 6/19/19 9.09 9.3 16.1 27.4 n/a n/a 1.384 10.21 16.67 12 2.35 n/a 2.53
Advanced Drainage Systems Inc. WMS 6/14/19 12.50 12.9 16.7 54.3 n/a n/a 1.061 n/a n/a 3 -3.14 n/a 1.86
WSFS Financial Corp. WSFS 5/23/19 9.09 11.9 23.4 22.6 11.4 1.982 1.133 16.55 11.88 12 2.90 0.99 3.44
Watsco Inc. WSO 1/31/19 10.34 14.3 19.0 26.2 13.0 2.019 2.201 Also WSOB 98.92 24.26 12 6.47 1.62 1.27
Western Union Company WU 3/31/20 12.50 5.3 7.7 9.9 29.6 0.333 1.083 36.73 9.14 14 2.45 1.89 1.82
Woodward Inc. WWD 3/3/20 72.31 14.0 13.9 15.2 10.5 1.453 1.336 26.35 24.28 9 4.25 1.81 2.18
Great Ajax Corp. AJX 11/30/2018 6.67 4.9 8.9 n/a n/a n/a n/a 2019=Year 5 100.79 11.13 12 1.27 n/a 2.35
Ally Financial Inc. ALLY 2/14/20 11.76 21.4 62.0 n/a n/a n/a n/a 17.47 5.76 12 4.35 0.51 1.00
American National Bankshares Inc.AMNB 6/21/19 8.00 4.0 2.7 2.5 1.2 2.012 0.460 53.20 15.22 12 2.03 3.81 3.76
Flanigan's Enterprises Inc. BDL 3/29/19 12.00 12.0 15.9 n/a n/a n/a n/a 15.05 11.02 12 1.86 n/a 0.32
Popular, Inc. BPOP 4/1/19 20.00 20.0 26.0 n/a 19.6 n/a n/a 17.44 6.97 12 6.88 1.39 2.05
Citigroup Inc C 8/23/19 13.33 24.7 66.0 116.9 34.4 3.400 12.436 25.03 7.79 12 8.15 0.60 1.85
Cable One, Inc. CABO 9/6/19 12.50 13.3 12.3 n/a n/a n/a n/a 30.89 53.98 12 29.14 3.48 8.08
Carnival Corporation & Plc CCL 6/15/18 11.11 2.6 12.6 14.9 n/a n/a 0.658 2019=Year 5 46.30 7.75 11 4.32 1.02 1.10
Cognex Corporation CGNX 11/29/19 10.00 10.8 11.6 n/a 10.6 n/a n/a 18.97 38.40 12 1.16 2.55 11.08
Dollar General Corp. DG 4/23/19 10.34 10.6 8.8 n/a n/a n/a n/a 20.19 23.71 1 6.34 2.19 1.41
Dicks Sporting Goods Inc. DKS 3/29/19 22.22 22.2 22.1 17.1 n/a n/a 4.495 30.47 10.09 1 3.61 1.22 0.38
Duke Realty Corporation DRE 11/29/19 9.30 8.0 6.4 5.3 1.5 3.583 0.058 79.66 27.52 12 1.18 4.61 12.21
Energizer Holdings, Inc. ENR 12/13/18 3.45 2.6 5.4 n/a n/a n/a n/a 2019=Year 5 480.00 171.96 9 0.25 15.49 1.12
Entergy Corporation ETR 12/2/19 2.20 2.2 2.3 2.0 2.0 0.980 0.656 59.24 18.62 12 6.28 n/a 2.16
Exelon Corporation EXC 3/10/20 5.52 5.1 4.7 3.2 (3.6) n/a 0.321 50.83 14.32 12 3.01 n/a 1.22
1st Constitution Bancorp FCCY 2/27/20 20.00 17.6 81.7 n/a n/a n/a n/a 23.53 11.97 12 1.53 1.50 3.08
Fidelity D & D Bancorp, Inc. FDBC 12/10/19 7.69 8.2 11.7 9.7 4.7 2.047 n/a 36.96 16.27 12 3.03 n/a 4.79
Franklin Financial Services Inc. FRAF 5/22/19 11.11 11.4 12.6 11.5 0.8 14.265 n/a 32.70 8.45 12 3.67 n/a 2.64
Fulton Financial Corp. FULT 4/15/19 8.33 8.5 9.4 9.8 7.0 1.402 1.357 37.41 10.40 12 1.39 1.30 2.91
Green Plains Partners LP GPP 5/11/18 1.06 0.3 5.1 n/a n/a n/a n/a 2019=Year 5 106.15 7.63 12 1.79 0.51 3.84
W. R. Grace & Co. GRA 3/17/20 11.11 12.5 28.4 n/a n/a n/a n/a 63.49 29.93 12 1.89 3.22 1.95
Great Western Bancorp Inc. GWB 5/24/19 20.00 21.1 24.9 n/a n/a n/a n/a 41.38 9.27 9 2.90 2.50 2.82
Houlihan Lokey, Inc. HLI 6/14/19 14.81 18.8 22.1 n/a n/a n/a n/a 47.51 19.62 3 2.61 2.25 2.98
Hewlett Packard Enterprise Company
HPE 1/2/2020 6.67 20.0 39.8 n/a n/a n/a n/a 42.86 11.42 10 1.12 1.36 0.58
Hilltop Holdings Inc. HTH 2/28/20 12.50 14.3 74.7 n/a n/a n/a n/a 14.75 8.54 12 2.44 0.57 3.06
Hexcel Corporation HXL 8/9/19 13.33 16.4 14.2 n/a n/a n/a n/a 18.99 18.05 12 3.58 1.85 2.30
IBERIABANK Corporation IBKC 4/1/20 4.44 13.2 7.6 4.8 2.4 2.024 0.244 27.17 8.70 12 6.92 1.09 2.41
Kimball International Inc. KBAL 10/15/19 12.50 6.9 11.3 9.2 0.0 n/a 0.142 32.14 14.45 6 1.12 0.85 0.78
Kinsale Capital Group, Inc. KNSL 3/12/20 12.50 14.3 47.4 n/a n/a n/a n/a 15.79 53.28 12 2.28 3.55 9.51
Ladder Capital Corp LADR 1/24/19 4.62 6.3 7.3 n/a n/a n/a n/a 133.33 14.95 12 1.02 3.00 3.80
Medifast, Inc. MED 2/6/2020 50.67 56.3 44.2 n/a n/a n/a n/a 74.46 13.69 12 6.07 0.68 1.48
Marine Products Corp. MPX 3/11/19 20.00 20.0 26.0 32.0 47.3 0.676 0.986 57.14 14.98 12 0.84 1.50 1.39
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Agilent
MidlandTechnologies Inc.Inc.
States Bancorp, A
MSBI 2/21/20 10.31 10.2 39.2 n/a n/a n/a n/a 47.56 10.59 12 2.25 1.51 2.46
Mueller Water Products, Inc. MWA 8/20/19 5.00 2.5 23.1 24.0 11.3 2.113 1.378 35.00 18.25 9 0.60 1.83 1.77
Nelnet, Inc. NNI 12/13/19 11.11 12.1 14.0 13.1 26.6 0.492 n/a 26.85 17.82 12 2.98 n/a 1.24
National Storage Affiliates Trust NSA 12/30/19 3.13 9.5 13.0 n/a n/a n/a n/a n/a n/a 12 -0.47 n/a 5.31
NexPoint Residential Trust Inc. NXRT 12/31/19 13.64 11.0 10.7 n/a n/a n/a n/a 30.94 11.01 12 4.04 2.20 6.24
Pathfinder Bancorp, Inc. PBHC 5/11/2018 4.35 1.1 6.3 14.9 2.2 6.668 n/a 2019=Year 5 30.38 17.86 12 0.79 n/a 1.53
Saratoga Investment Corp. SAR 9/26/19 1.82 5.8 8.6 n/a n/a n/a n/a 51.14 5.23 2 4.38 n/a 4.76
Charles Schwab Corporation SCHW 2/28/20 5.88 47.8 36.1 23.2 11.0 2.110 0.905 26.97 15.26 12 2.67 8.34 4.66
Shore Bancshares, Inc. SHBI 11/29/2019 20.00 31.3 44.2 n/a (4.1) n/a n/a 37.50 12.16 12 1.28 1.22 3.32
Summit Financial Group, Inc. SMMF 6/28/19 7.14 11.3 13.8 n/a 25.7 n/a n/a 23.62 8.63 12 2.54 1.08 2.55
STORE Capital Corp STOR 10/15/19 6.06 6.3 6.8 n/a n/a n/a n/a 152.17 35.72 12 0.92 5.86 12.56
Constellation Brands Inc. A STZ 5/24/19 1.35 9.1 25.6 n/a n/a n/a n/a 74.81 42.99 2 4.01 9.09 4.01
Tallgrass Energy LP TGE 11/14/19 1.85 14.9 33.9 n/a n/a n/a n/a 156.03 15.65 12 1.41 n/a 7.16
TTEC Holdings Inc. TTEC 10/17/19 6.67 12.7 17.2 n/a n/a n/a n/a 42.95 25.12 12 1.49 2.24 1.10
Urstadt Biddle Properties Inc. UBP 1/17/2020 2.04 2.1 2.1 1.7 1.2 1.434 n/a 175.44 29.53 10 0.57 n/a 1.21
Value Line Inc. VALU 5/10/19 5.26 5.3 5.6 5.7 (3.3) n/a 0.519 61.07 22.02 13 1.31 n/a 7.58
Werner Enterprises, Inc. WERN 7/17/18 28.57 12.5 14.5 12.5 6.1 2.061 0.854 2019=Year 5 15.06 14.06 12 2.39 18.74 0.96
Averages for All 433 10.64 13.1 15.2 17.4 11.4 1.686 1.721 65.40 21.46 3.19 3.02 3.47
Averages by Sector
Communication Services 8 9.76 10.91 12.08 13.78 11.26 0.921 0.983 75.23 33.47 5.97 3.69 3.18
Consumer Discretionary 41 14.69 10.97 15.36 17.17 16.45 1.046 3.286 56.80 22.24 3.37 2.42 1.38
Consumer Staples 9 10.62 13.87 17.51 13.75 14.98 0.850 0.809 149.19 43.59 3.29 5.53 1.41
Energy 15 2.28 8.98 12.29 22.85 ##### #DIV/0! 2.291 174.56 11.83 2.41 1.58 3.49
Financials 193 11.39 16.38 18.71 19.87 11.26 1.905 1.985 40.58 13.24 3.26 2.05 3.48
Health Care 14 10.33 15.18 12.98 12.47 11.87 1.204 1.259 60.48 36.30 3.06 4.69 5.01
Industrials 48 12.24 11.01 13.13 15.72 12.01 1.607 1.179 35.42 19.56 3.52 3.18 1.47
Information Technology 29 10.45 14.70 16.29 21.15 19.75 0.759 1.593 38.56 24.63 4.13 4.17 4.35
Materials 15 9.63 9.59 11.25 15.62 12.25 0.981 1.246 54.56 17.78 4.17 2.13 1.11
Real Estate 46 7.45 7.00 7.51 10.71 7.47 2.108 0.657 184.84 49.15 1.52 5.91 7.89
Utilities 15 5.09 5.90 6.69 11.37 3.74 1.434 0.850 62.75 20.34 2.44 4.95 2.40
Challengers Fundamental Data Numbers in Blue directly from Finv
Growth;
(andA/D=Acceleration/Deceleration;
American Depository Receipts)DGR=Dividend Growth Rate EPS=Earnings Per Share; P/E=Price/Earnings Per Share; TTM=Trailing Twelv
As of 2/28/20 Dates in Green (centered) indicate increase (by Ex-Div. Date) expected in next 2 months
Disclaimer: Although all figures are thought to be correct, no
Company Last
Ticker
Increased on: MR% DGR DGR DGR DGR 5/10 Past 5yr &=MultiIncThisYr EPS% TTM FYE TTM TTM
Name Symbol Pay Inc. 1-yr 3-yr 5-yr 10-yr A/D* DEG Notes Payout P/E Month EPS PEG P/Sales
Agilent Technologies Inc. A
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Agilent Technologies Inc. A 5.00 21.80 26.10 11.10 37.50 8.88 23,750 0.4 0.51 (19.2) 12.6 166.0 0.72 0.79
American Assets Trust Inc. AAT 1.88 3.90 101.50 30.43 18.40 3.00 2,480 0.4 1.03 (40.9) 7.9 101.9 1.25 1.38
AES Corp. AES 3.54 15.90 316.90 7.68 32.30 9.50 11,130 0.2 6.29 4.2 25.7 83.7 0.60 0.65
Federal Agricultural Mortgage Corp.AGM 1.54 15.50 31.20 6.72 6.60 11.00 795 9.1 39.01 32.6 42.2 (18.9) 3.08 3.29
Assured Guaranty Ltd. AGO 0.60 5.30 -28.20 -8.66 1.50 3.00 3,890 2.8 0.19 0.3 12.3 (43.4) 0.73 0.73
Apollo Bancorp Inc. APLO n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 7.2 n/a 2.13 2.20
Apogee Enterprises Inc. APOG 1.55 7.60 -37.80 34.45 11.30 15.00 793 0.4 0.49 (6.9) 14.3 21.0 0.71 0.78
Preferred Apartment Communities Inc.APTS 0.23 -4.90 4.10 -5.20 7.40 7.00 443 0.6 1.40 n/a 21.3 n/a 1.09 1.10
Atlantic Union Bankshares Corp. AUB 0.96 7.10 26.50 7.85 10.50 8.00 2,390 1.6 0.12 1.6 14.0 (27.4) 1.06 1.14
Avalonbay Communities Inc. AVB 2.58 8.30 10.90 7.70 73.00 2.54 27,910 0.2 0.68 (22.3) 9.0 89.3 6.63 7.14
Avery Dennison Corp. AVY 9.09 23.90 5.50 7.70 17.10 10.57 9,760 0.1 1.89 (19.0) 13.0 259.9 2.38 2.57
Aircastle Limited AYR 1.15 7.70 -34.90 11.38 10.60 3.04 2,390 1.7 2.47 (3.1) 12.3 (11.3) 1.23 1.36
Barnes Group Inc. B 2.26 12.30 10.00 10.49 19.40 10.00 2,730 2.2 0.72 (9.2) 8.5 33.2 0.70 0.77
Booz Allen Hamilton Holding Corp. BAH 10.94 57.70 38.00 11.90 12.00 12.14 10,180 0.6 2.30 (4.2) 19.2 237.1 1.06 1.16
Brookfield Asset Management Inc. BAM 1.95 10.80 161.40 26.81 11.00 4.14 60,560 12.9 4.57 (12.8) 9.6 39.5 0.70 0.77
B&G Foods Inc. BGS 1.14 20.40 100.00 1.82 21.00 -1.00 955 2.4 0.00 14.3 19.9 (46.9) 2.09 2.13
Bank of New York Mellon Corp. BK 0.99 10.00 29.50 9.08 17.80 3.85 37,440 0.2 0.76 4.8 15.4 (31.5) 1.30 1.42
Bank of South Carolina Corp. BKSC 1.89 14.80 23.80 n/a 10.40 n/a 95 9.8 0.00 (1.5) 11.7 5.2 0.69 0.71
Bryn Mawr Bank Corp. BMTC 1.11 10.30 38.20 5.61 11.00 7.00 670 1.2 0.20 (1.6) 9.8 (25.2) 1.12 1.18
Bassett Furniture Industries Inc. BSET 0.55 -1.00 -121.00 57.04 -17.20 16.00 101 3.3 0.00 n/a 17.4 n/a 0.51 0.56
Cogent Communications Holdings Inc. CCOI n/a -23.10 65.10 14.59 -12.20 28.72 3,460 0.8 n/a (70.7) 19.5 n/a 2.68 2.95
Churchill Downs Inc. CHDN 9.13 28.50 225.60 6.26 33.80 12.00 5,070 2.8 2.68 (23.7) 12.2 281.7 0.64 0.68
Civista Bancshares Inc. CIVB 0.93 7.10 -23.10 4.36 9.70 8.00 319 0.8 0.09 9.9 19.5 (37.1) 0.42 0.44
Cortland Bancorp CLDB n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 22.7 n/a 0.46 0.48
Columbia Banking System Inc. COLB 1.10 8.90 14.50 4.04 14.30 8.00 2,430 0.3 0.02 6.2 19.1 (20.7) 1.23 1.28
Core-Mark Holding Company CORE 1.78 9.30 142.30 5.45 1.90 3.60 1,050 2.0 0.99 (3.4) 16.5 25.3 0.50 0.52
Culp Inc. CULP 0.70 3.40 -72.60 42.78 -21.90 9.00 114 0.7 0.01 (3.9) 19.5 (14.7) 0.40 0.44
Codorus Valley Bancorp Inc. CVLY 1.13 9.90 31.60 n/a 4.30 n/a 200 3.6 0.06 2.8 13.9 (25.4) 0.70 0.73
Dillard's Inc. DDS 0.87 7.70 25.50 -2.34 -2.90 n/a 1,450 17.4 0.41 2.7 14.5 (32.5) 0.50 0.50
Discover Financial Services DFS 1.86 26.10 31.30 8.49 9.50 10.15 20,690 0.5 2.19 8.3 15.5 (22.7) 1.85 2.00
Quest Diagnostics Inc. DGX 2.46 15.50 18.70 4.64 10.20 4.80 14,250 0.1 0.85 (4.7) 12.6 37.4 2.33 2.44
Walt Disney Company DIS 2.37 11.60 -13.60 14.43 7.90 3.06 214,550 0.1 0.54 (2.9) 16.9 44.6 1.78 1.96
Dunkin' Brands Group Inc. DNKN n/a -34.50 -7.90 8.45 14.80 7.18 5,530 0.1 n/a (10.3) 12.7 n/a 1.52 1.64
Amdocs Limited DOX 2.42 n/a 38.30 6.91 5.80 5.60 8,670 4.8 0.00 (2.5) 15.2 38.0 1.22 1.30
El Paso Electric Co. EE 2.24 9.80 -14.40 2.54 -1.20 4.50 2,770 0.4 1.21 (20.5) 8.8 70.7 1.53 1.57
Evans Bancorp Inc. EVBN 1.33 12.60 28.10 15.18 12.30 n/a 196 3.0 0.08 1.9 12.8 (19.7) 1.14 1.26
First Defiance Financial Corp. FDEF 1.13 11.60 39.70 6.35 15.60 9.00 898 0.8 0.09 13.8 24.1 (28.2) 0.87 0.92
FBL Financial Group Inc. FFG 0.78 7.80 -8.10 0.00 -2.20 14.20 1,200 0.1 0.07 (0.9) 10.5 (37.0) 1.94 1.94
First Financial Bankshares Inc. FFIN 3.18 14.00 9.60 5.19 11.70 10.00 4,170 1.7 0.00 (10.6) 13.2 83.2 0.51 0.54
First Horizon Narional Corp. FHN 0.90 12.80 66.70 9.55 76.20 9.50 4,160 1.0 0.26 17.7 27.4 (37.8) 0.62 0.67
Financial Institutions Inc. FISI 1.04 9.90 23.40 6.61 6.400 8.000 431.1 0.7 0.09 (0.2) 8.9 (35.2) 1.09 1.16
Flir Systems Inc. FLIR 3.06 14.20 39.50 10.02 10.50 21.90 5,680 0.7 0.40 (9.0) 12.8 72.1 0.75 0.82
First Mid-Illinois Bancshares Inc. FMBH 0.90 8.50 12.70 4.61 7.80 9.00 468 3.5 0.06 0.1 9.9 (37.3) 0.84 0.87
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
AgilentFair
Cedar Technologies
LP Inc. A
FUN 60.12 -506.30 -27.20 5.21 1.20 6.00 2,620 1.0 50.50 (1.6) 13.6 536.9 3.75 3.94
Gladstone Investment Corp. GAIN 0.92 n/a 278.30 -4.60 3.18 7.00 378 2.2 n/a (1.6) 9.9 (31.6) 0.90 0.91
Griffon Corp. GFF 1.45 8.10 256.20 21.87 212.60 20.41 806 8.1 2.32 3.5 19.3 1.0 0.32 0.35
Gentex Corp. GNTX 3.49 22.30 5.30 9.75 16.00 15.00 6,860 0.1 0.00 (5.9) 10.4 58.9 0.48 0.53
Goldman Sachs Group Inc. GS 0.92 9.90 -12.40 11.48 4.30 7.42 71,740 0.4 7.56 6.0 15.5 (37.5) 4.19 4.61
Huntington Bancshares Inc. HBAN 1.19 12.70 6.10 5.91 11.90 5.80 12,720 0.9 0.93 18.5 28.2 (28.5) 0.60 0.64
Horizon Bancorp HBNC 1.05 9.10 34.90 3.64 7.50 n/a 679 0.1 0.89 8.8 18.8 (31.9) 0.48 0.50
HNI Corp. HNI 2.52 16.20 109.90 9.68 8.70 9.00 1,440 0.9 0.44 (5.0) 7.8 19.8 1.33 1.46
Home Bancshares Inc. HOMB 1.13 12.30 51.30 4.48 24.80 5.00 2,840 4.6 0.15 17.3 27.0 (30.2) 0.56 0.59
Honeywell International Inc. HON 6.26 33.50 -4.40 8.07 8.50 7.53 116,090 0.2 0.87 (5.5) 14.7 137.0 3.39 3.67
Independent Bancorp MA INDB 1.38 9.40 35.10 3.32 15.10 2.50 2,360 0.9 0.13 1.8 15.2 (9.3) 1.87 1.93
Ingredion Inc. INGR 2.05 15.80 -1.40 5.75 5.30 1.90 5,580 0.6 0.68 (2.3) 11.3 11.4 2.53 2.68
Intuit Inc. INTU 19.10 44.40 18.40 12.74 15.00 11.01 70,060 0.2 0.12 (24.9) 19.6 514.3 2.13 2.35
Investors Bancorp ISBC 0.94 6.20 17.60 7.59 12.30 10.38 2,590 8.7 0.00 20.3 34.4 (23.4) 0.48 0.52
Jones Lang Lasalle JLL 1.59 11.70 31.60 5.22 14.10 3.00 7,830 0.3 0.55 (1.0) 13.0 (0.6) 0.95 1.00
JPMorgan Chase & Co. JPM 1.57 13.90 31.50 6.30 15.70 7.12 368,680 0.1 1.26 8.5 19.3 (13.2) 3.63 3.86
Kaiser Aluminum Corp. KALU 2.01 12.40 13.70 11.08 0.00 5.64 1,540 1.0 0.50 (1.9) 14.2 20.0 2.64 2.90
KeyCorp KEY 1.06 11.70 35.50 7.27 12.90 5.59 16,390 0.3 0.95 16.9 27.0 (30.8) 0.76 0.81
Kohl's Corp. KSS 1.14 12.80 12.80 -4.18 3.70 -7.47 6,160 0.7 0.62 9.3 18.3 (32.5) 2.95 2.98
Lakeland Bancorp Inc. LBAI 1.02 9.50 19.00 5.33 13.10 9.00 734 1.7 0.17 3.4 14.3 (29.7) 0.54 0.57
Legg Mason Inc. LM 1.14 6.20 -153.30 12.20 -16.60 10.20 4,340 0.9 0.52 4.8 23.6 (2.4) 1.56 1.71
Las Vegas Sands Corp. LVS 8.64 49.90 11.40 17.73 -0.10 4.11 45,780 52.1 2.41 (2.2) 14.4 152.9 3.39 3.73
LyondellBasell Industries NV LYB 2.95 36.90 -20.30 13.15 3.80 4.00 23,950 0.1 1.50 7.4 14.9 (1.2) 4.19 4.61
MasterCard Inc. MA 49.62 154.50 43.30 19.05 20.70 17.81 292,620 11.2 1.45 (11.5) 25.1 799.0 1.45 1.60
Main Street Capital Corp. MAIN 1.53 8.10 -5.60 -0.72 1.10 7.00 2,360 5.3 0.69 (9.4) 10.6 16.5 2.44 2.46
ManpowerGroup Inc. MAN 1.69 18.90 30.90 8.51 18.60 1.50 4,500 0.2 0.38 10.4 20.2 (14.2) 2.40 2.60
Mercantile Bank Corp. MBWM 1.15 11.60 28.00 3.82 5.30 8.00 473 1.2 0.11 11.5 21.1 (30.2) 1.17 1.21
Methanex Corp. MEOH 1.58 25.90 93.20 63.77 15.60 78.70 2,240 0.5 2.01 (13.5) 13.2 37.0 1.55 1.71
MKS Instruments Inc. MKSI 2.79 11.20 14.40 29.85 60.50 0.74 5,650 0.2 0.45 (34.6) 4.9 121.2 0.88 0.97
Malaga Financial Corp. MLGF n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 13.8 n/a 1.03 1.06
Merck & Company MRK 7.30 34.40 33.00 9.96 10.60 8.43 195,280 0.1 0.97 (12.2) 7.8 154.3 2.42 2.66
Vail Resorts Inc. MTN 6.58 20.40 -4.50 7.99 56.90 9.20 8,450 1.2 1.59 10.1 39.3 192.2 6.82 7.36
NiSource Inc. NI 2.03 9.30 -121.00 6.63 -16.20 4.06 10,150 0.3 1.91 (4.0) 17.9 40.8 0.81 0.86
Oxford Industries Inc. OXM 1.96 13.90 23.80 4.54 3.20 10.00 1,030 0.9 0.00 0.2 14.8 12.7 1.60 1.67
Paychex Inc. PAYX 10.79 41.80 13.70 7.82 10.80 8.44 28,140 10.6 0.33 (12.2) 13.8 253.1 2.66 2.87
Paccar Inc. PCAR 2.39 24.90 10.10 3.50 12.50 -2.69 23,230 1.4 1.16 0.5 10.2 1.7 1.41 1.46
Public Service Enterprise Group Inc.PEG 1.73 9.90 73.50 4.78 3.00 3.50 25,610 0.1 1.06 (9.2) 8.7 17.2 2.07 2.17
Provident Financial Services Inc. PFS 0.92 9.20 20.00 2.44 8.10 8.00 1,320 0.1 0.99 2.0 13.5 (31.5) 1.01 1.04
Packaging Corp of America PKG 2.80 27.50 34.70 0.17 11.40 5.00 8,510 0.1 0.83 5.7 18.1 24.0 3.48 3.48
PNC Financial Services Group Inc. PNC 1.14 10.40 35.30 7.68 7.70 5.60 55,630 0.2 0.80 10.0 21.1 (25.1) 4.62 4.97
PNM Resources Inc. PNM 2.25 -0.60 -35.40 4.38 -2.40 6.30 4,060 1.0 1.88 n/a 12.0 n/a 1.17 1.22
Pool Corp. POOL 20.74 83.50 32.90 12.24 22.40 17.00 8,560 0.5 1.35 (12.0) 20.9 450.8 2.31 2.54
QNB Corp. QNBC n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 7.2 n/a 1.36 1.40
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
AgilentCaribbean
Royal Technologies Inc. Ltd.
Cruises A
RCL 1.41 16.10 13.60 15.78 31.90 10.90 17,440 0.8 0.87 17.3 26.2 (25.2) 3.17 3.48
Reliance Steel & Aluminum Co. RS 1.34 12.40 59.20 2.50 16.20 3.60 6,720 0.5 0.32 1.7 11.6 (23.2) 2.42 2.48
Sandy Spring Bancorp Inc. SASR 0.97 10.30 16.30 9.53 9.80 6.90 1,080 0.2 0.03 3.6 13.1 (36.1) 1.30 1.42
Sinclair Broadcast Group Inc. SBGI 1.43 1.60 9.90 312.54 38.10 1.60 2,170 1.8 8.34 (2.7) 8.3 (16.2) 0.88 0.97
Service Corp International SCI 4.78 21.00 -13.60 9.76 20.20 10.57 8,550 1.3 1.97 (6.3) 17.7 125.9 0.73 0.80
Steelcase Inc. SCS 2.04 17.30 15.30 0.69 9.20 10.00 1,920 2.0 0.52 (2.3) 10.1 6.4 0.63 0.63
Simmons First National Corp. SFNC 0.81 9.00 99.30 2.81 26.70 5.00 2,440 1.2 0.14 2.0 10.9 (43.6) 0.69 0.71
Signet Jewelers Limited SIG 1.15 -19.80 -320.10 -3.76 -36.70 7.00 1,240 0.5 0.76 n/a 22.8 n/a 1.49 1.51
SL Green Realty Corp. SLG 1.18 4.20 205.50 2.91 31.90 -10.84 6,340 0.4 1.07 (9.8) 15.7 15.6 3.74 3.85
Sotherly Hotels Inc. SOHO 0.65 -6.70 -790.30 35.90 -4.30 0.00 74 5.7 3.35 n/a 30.1 n/a 0.52 0.57
SpartanNash Company SPTN 0.64 0.60 143.70 -4.99 78.70 -4.91 466 0.1 1.01 (61.9) 15.7 48.7 0.84 0.84
South State Corp. SSB 0.99 7.70 26.80 14.65 15.20 12.00 2,310 1.3 0.35 5.4 18.0 (25.3) 1.84 2.02
Steel Dynamics Inc. STLD 1.43 26.60 104.00 -7.09 45.10 n/a 5,670 4.9 0.60 9.6 18.4 (25.3) 1.00 1.01
State Street Corp. STT 1.15 9.30 -14.70 10.54 3.50 0.43 24,580 0.4 0.67 2.7 14.6 (22.2) 1.95 2.14
Standex International Inc. SXI 1.60 13.30 -5.90 21.47 -0.30 10.00 790 1.5 0.38 (0.9) 15.7 8.8 0.83 0.91
Truist Financial Corp TFC 1.21 10.90 44.40 9.58 12.10 7.03 62,410 0.2 0.82 4.7 16.4 (20.6) 1.88 2.06
Terreno Realty Corp. TRNO 2.41 3.80 -22.10 13.38 29.50 10.00 3,680 1.9 0.32 (49.7) 14.9 163.0 1.00 1.10
Texas Roadhouse Inc. TXRH 4.38 16.70 22.50 9.29 14.30 9.91 3,910 5.9 0.00 (7.8) 17.0 119.6 1.32 1.44
UDR Inc. UDR 3.98 5.90 -14.50 16.25 86.90 n/a 13,200 0.9 1.42 (62.5) 8.9 255.4 1.36 1.50
Umpqua Holdings Corp. UMPQ 0.79 8.60 42.40 9.23 10.50 10.00 3,440 0.7 0.34 2.9 12.4 (42.1) 0.92 1.01
U.S. Bancorp USB 1.58 14.10 0.40 6.22 6.20 6.00 72,870 0.1 0.88 2.5 13.6 (11.5) 1.54 1.63
US Physical Therapy Inc. USPH 5.65 13.20 -8.20 9.95 -2.20 12.00 1,320 0.8 0.24 (24.7) 20.0 235.1 1.15 1.27
Ventas Inc. VTR 1.84 4.70 -43.30 -3.11 -5.70 -0.50 20,030 0.3 1.11 (38.3) 10.1 99.0 3.20 3.23
Washington Trust Bancorp Inc. WASH 1.49 14.60 30.90 4.39 12.70 5.00 750 0.3 0.05 4.8 15.6 (15.3) 2.16 2.25
Webster Financial Corp. WBS 1.16 13.50 27.40 4.25 14.70 19.40 3,620 0.2 0.18 10.2 19.5 (30.6) 1.68 1.75
Wells Fargo & Co. WFC 1.04 13.00 19.20 12.36 2.10 10.68 171,470 78.2 1.34 2.1 12.3 (31.5) 2.11 2.32
Whirlpool Corp. WHR 2.54 40.20 765.20 9.16 19.00 4.70 8,130 0.1 1.56 7.8 14.3 (13.9) 5.23 5.70
Willis Towers Watson plc WLTW 2.49 8.50 12.20 9.38 -0.50 9.41 24,480 0.4 0.60 (5.5) 18.1 61.5 2.81 3.07
William Penn Bancorp Inc. WMPN n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 10.1 n/a 0.41 0.42
Worthington Industries Inc. WOR 2.09 13.50 2.50 15.74 4.30 41.50 1,810 6.1 0.84 (6.7) 9.4 22.5 0.92 1.01
WesBanco Inc. WSBC 0.80 7.90 20.00 4.79 6.00 10.00 2,080 1.3 0.07 0.5 11.3 (38.1) 1.34 1.41
West Bancorp Inc. WTBA 1.64 14.10 11.70 12.50 11.30 n/a 342 0.8 0.21 3.5 15.2 (7.4) 0.91 1.00
Weyerhaeuser Company WY 2.37 -0.90 -110.30 24.46 -16.00 5.00 19,460 0.2 0.78 n/a 11.2 n/a 1.37 1.51
Apple Inc. AAPL 13.48 60.20 -2.60 14.45 13.00 12.11 1,223,780 0.1 1.22 (10.0) 11.6 259.7 3.07 3.38
AbbVie Inc. ABBV n/a -49.50 8.20 8.79 21.91 3.67 126,940 0.1 n/a (12.1) 26.4 n/a 4.63 5.04
Arbor Realty Trust Inc. ABR 1.13 12.80 -14.30 -0.39 -5.50 8.00 1,350 1.0 4.29 17.3 26.9 (30.7) 1.15 1.16
Agree Realty Corp. ADC 1.80 5.40 8.40 5.40 9.50 -0.90 3,030 2.1 0.52 (31.4) 8.9 79.7 2.43 2.56
Armada Hoffler Properties Inc. AHH 2.75 5.70 -24.80 -9.80 -7.20 5.00 1,270 0.2 2.96 (45.3) 10.6 161.3 0.84 0.85
Air Lease Corp. AL 0.77 10.70 10.50 21.31 16.40 14.98 4,480 2.7 2.41 28.1 35.6 (49.2) 0.57 0.63
Alaska Air Group Inc. ALK 1.43 18.90 75.50 8.02 6.90 18.39 6,200 0.3 0.35 17.7 25.8 (28.0) 1.54 1.66
Amerisafe Inc. AMSF 2.68 17.20 21.40 -3.23 9.90 10.00 1,270 0.5 0.00 3.9 17.5 27.2 1.10 1.11
Aon plc AON 14.46 39.60 37.10 12.15 6.40 12.12 48,760 0.7 2.20 (18.7) 14.1 358.5 1.89 2.08
Amphenol Corp. APH 6.02 27.20 -9.20 11.00 11.10 6.10 27,860 0.1 0.80 (5.7) 18.8 155.8 0.97 1.07
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Agilent Technologies
Associated Banc-CorpInc. A
ASB 0.73 8.50 6.00 4.68 10.50 6.00 2,710 1.4 0.15 8.7 17.5 (46.4) 0.73 0.77
American Express Company AXP 3.87 29.00 9.10 10.44 7.50 9.89 89,930 0.1 5.96 (1.9) 11.9 53.8 1.75 1.92
Boeing Company BA n/a 14.30 -106.30 245.44 -16.60 12.33 157,700 0.1 n/a n/a 26.0 n/a 8.30 9.13
Bank of Botetourt BORT n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 28.5 n/a 0.66 0.68
Brookfield Property Partners LP BPY 0.65 5.00 368.80 1.93 7.20 n/a 7,210 0.8 4.42 0.9 13.9 (38.8) 1.45 1.48
Sierra Bancorp BSRR 1.20 11.30 24.10 2.11 15.50 8.00 366 7.0 0.12 10.0 20.2 (26.2) 0.81 0.83
Cheesecake Factory Inc. CAKE 2.92 19.60 -13.20 8.50 0.40 7.54 1,590 0.1 0.63 9.3 21.8 27.2 1.39 1.51
Carolina Financial Corp CARO 1.15 10.10 29.90 5.72 5.00 n/a 819 2.8 0.07 16.2 27.7 (23.2) 0.37 0.40
Cabot Corp. CBT 2.07 12.20 261.40 14.89 -2.50 5.54 2,130 1.4 1.08 (1.4) 13.7 17.8 1.52 1.67
C&F Financial Corp. CFFI 0.97 11.90 35.80 n/a 4.20 n/a 159 3.2 0.90 (0.3) 8.0 (40.1) 1.63 1.68
City Holding Co. CHCO 1.75 12.10 14.00 2.78 8.10 8.00 1,140 1.8 0.01 (3.0) 9.8 (0.0) 2.38 2.44
CNO Financial Group Inc. CNO 0.54 -10.30 -194.10 12.89 -23.90 10.00 2,410 0.3 0.83 9.1 15.1 (62.0) 0.43 0.48
Carter's Inc. CRI 4.97 20.40 10.90 7.41 16.90 6.02 4,060 1.8 0.95 8.5 24.0 84.9 2.20 2.36
CSG Systems International Inc. CSGS 3.71 20.40 12.00 9.60 7.90 -5.00 1,490 1.7 0.94 (7.8) 9.5 69.2 0.98 1.07
Consolidated-Tomoka Land Co. CTO 1.42 n/a -19.70 105.06 43.500 n/a 280.65 4.1 1.42 29.2 46.2 3.5 0.44 0.49
Calavo Growers Inc. CVGW 4.47 12.90 7.70 12.62 226.30 14.30 1,270 4.0 0.02 (25.4) 9.5 163.1 1.18 1.30
Delek Logistics Partners LP DKL n/a -48.20 26.70 22.95 14.50 1.87 541 64.3 n/a 21.7 29.7 n/a 3.70 4.07
Domino's Pizza Inc. DPZ n/a -13.10 14.40 13.37 27.30 13.60 13,930 0.2 n/a (13.5) 22.0 n/a 2.86 3.15
EastGroup Properties Inc. EGP 4.04 11.50 30.10 6.53 16.30 7.70 4,900 1.4 1.01 (31.1) 7.9 164.8 3.20 3.41
EQT Midstream Partners LP EQM 0.78 5.00 -53.10 -1.09 -15.40 -3.70 3,570 58.6 1.21 28.5 44.6 (25.4) 4.64 4.69
Expedia Inc. EXPE 3.60 13.60 42.00 19.36 4.70 14.91 13,980 0.4 1.24 (10.1) 16.2 105.4 1.45 1.60
Exponent Inc. EXPO 10.88 23.00 24.50 9.68 14.10 15.00 3,830 0.8 0.00 (26.4) 21.7 382.5 0.70 0.77
Exchange Bank (Santa Rosa CA) EXSR n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 26.2 n/a 4.53 4.67
Fortune Brands Home & Security FBHS 3.69 17.90 -6.40 10.32 17.40 8.50 8,830 0.6 1.01 (5.7) 14.4 81.9 0.89 0.98
First Business Financial Services Inc.
FBIZ 1.07 11.80 29.40 9.09 1.30 8.00 206 2.4 0.18 0.8 10.1 (33.5) 0.66 0.72
Farmers Bankshares Inc. FBVA n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 33.1 n/a 0.46 0.48
First Community Bancshares Inc. FCBC 1.21 11.50 26.70 0.46 14.10 5.00 421 1.2 0.00 7.1 17.8 (24.4) 1.06 1.06
First Community Corp. FCCO 1.21 9.40 44.10 3.01 13.40 n/a 147 1.6 0.13 2.0 15.4 (15.2) 0.48 0.50
Comfort Systems USA Inc. FIX 2.79 20.10 147.10 12.39 32.80 10.00 1,560 1.5 0.43 (2.0) 12.9 36.0 0.43 0.48
F&M Bank Corp. FMBM n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 11.4 n/a 1.04 1.07
Fidelity National Financial Inc. FNF 1.97 21.00 69.70 1.86 17.10 8.10 10,710 2.4 0.16 12.5 22.6 (5.9) 1.39 1.41
First Industrial Realty Trust Inc. FR 2.76 14.20 43.50 9.52 60.10 10.00 4,930 0.5 0.84 0.5 20.9 58.5 1.00 1.09
First Republic Bank FRC 1.99 10.20 5.60 11.21 9.20 7.55 17,370 0.2 0.15 (11.8) 7.5 30.8 0.79 0.87
First Merchants Corp. FRME 1.03 10.60 44.30 3.23 18.00 7.00 1,940 0.9 0.08 20.1 31.1 (29.1) 1.10 1.14
FS Bancorp Inc. FSBW 1.08 14.20 51.30 8.66 37.20 7.00 208 1.5 0.05 17.0 24.9 (38.7) 0.72 0.78
German American Bancorp GABC 1.41 10.80 18.80 4.36 8.50 9.00 796 2.8 0.01 (0.7) 12.3 (9.8) 0.75 0.78
Glacier Bancorp Inc. GBCI 1.72 12.00 24.00 4.85 10.70 10.00 3,510 0.5 0.37 (2.3) 13.4 9.4 1.22 1.28
GEO Group Inc. GEO 1.73 15.20 -6.60 n/a 2.00 15.00 1,760 0.1 2.67 6.9 17.4 (10.0) 1.94 2.00
Getty Realty Corp. GTY 1.99 8.30 -1.60 3.71 7.90 n/a 1,160 3.3 0.78 (7.0) 17.1 45.7 1.41 1.47
Huntington Ingalls Industries Inc. HII 5.36 33.90 -30.50 -27.84 14.10 -5.92 8,430 0.3 0.81 15.8 31.3 92.2 3.65 3.68
Heartland BanCorp HLAN n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 10.0 n/a 2.09 2.16
Hope Bancorp Inc. HOPE 0.76 9.00 18.50 3.67 6.90 8.00 1,540 0.3 0.15 5.4 14.4 (44.7) 0.62 0.64
Healthcare Trust of America Inc. HTA 1.92 0.90 -85.80 8.51 -17.40 n/a 6,670 0.3 0.82 (216.8) 5.6 335.7 1.26 1.36
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Agilent Technologies
Heritage Inc.
Commerce Corp. A
HTBK 1.12 12.80 4.60 5.65 18.40 7.00 613 0.8 0.10 15.2 26.7 (24.2) 0.50 0.53
Hawthorn Bancshares Inc. HWBK 1.21 13.00 36.90 n/a 19.00 n/a 136 0.2 0.44 13.4 21.9 (32.6) 0.48 0.50
Hyster-Yale Materials Handling Inc.HY 1.57 6.00 -60.20 27.13 -20.40 15.00 799 2.2 0.69 (19.8) 5.9 34.0 1.28 1.40
Intercontinental Exchange Inc. ICE 2.87 11.30 0.20 9.75 15.20 8.72 49,620 0.4 0.45 (8.6) 17.5 82.4 1.10 1.21
Idacorp Inc. IDA 1.98 9.60 5.10 4.00 3.60 2.50 4,860 0.3 0.75 (10.4) 10.6 35.8 2.69 2.80
Interpublic Group of Companies Inc.IPG 2.98 26.30 5.40 6.57 8.40 4.50 8,460 0.2 1.20 11.8 24.6 30.2 0.99 1.06
Ingersoll-Rand plc IR 4.26 19.80 3.90 8.50 11.40 9.30 30,840 0.2 0.77 (5.2) 17.9 108.9 2.20 2.39
ITT Corp. ITT 2.64 15.80 24.50 8.45 -8.40 2.00 5,280 0.2 0.07 (10.4) 7.1 43.2 0.65 0.70
Lakeland Financial Corp. LKFN 1.79 15.40 29.80 3.70 14.80 10.00 1,050 2.7 0.05 7.1 19.2 (1.9) 1.28 1.32
Southwest Airlines Co. LUV 2.47 23.30 -2.00 19.55 20.80 11.65 24,070 0.3 0.27 16.7 27.6 9.6 0.71 0.78
La-Z-Boy Inc. LZB 1.86 11.00 -19.10 7.63 5.90 7.80 1,340 0.1 0.00 (0.2) 17.3 20.2 0.54 0.58
Matson Inc. MATX 1.79 11.40 46.00 11.24 15.900 15.000 1430 1.7 1.11 (7.7) 8.1 12.2 0.95 1.04
Mondelez International Inc. MDLZ 2.79 14.60 16.20 8.67 15.700 7.860 76030 0.1 0.68 (4.8) 15.1 56.9 1.17 1.27
Herman Miller Inc. MLHR 2.39 28.00 37.80 10.21 55.50 n/a 2,020 0.3 0.33 0.7 10.5 1.8 0.88 0.97
MPLX LP MPLX 1.16 15.40 116.20 4.81 17.30 4.51 21,810 0.1 1.18 18.8 28.2 (30.6) 2.92 3.06
Nasdaq Inc. NDAQ 3.16 9.90 18.20 8.30 14.70 7.61 16,710 0.1 0.65 5.8 27.9 76.4 2.04 2.20
Northern Trust Corp. NTRS 1.88 14.90 41.00 7.63 17.20 2.58 18,730 0.3 11.03 3.8 17.1 5.2 2.70 2.90
NVIDIA Corp. NVDA 13.48 25.70 -25.10 18.54 32.20 13.10 173,510 0.3 0.00 (46.0) 13.7 498.3 0.65 0.71
Nexstar Media Group Inc. NXST 2.75 14.20 153.50 200.33 168.50 -3.19 5,450 0.8 4.43 6.2 26.5 57.6 1.98 2.18
Pinnacle West Capital Corp. PNW 1.81 9.50 3.50 5.40 13.63 4.01 10,060 0.1 0.99 (11.5) 8.9 28.2 3.10 3.27
Pinnacle Bankshares Corp. PPBN n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 13.0 n/a 0.56 0.58
Peoples Ltd. PPLL n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 11.8 n/a 2.22 2.29
Phillips 66 PSX 1.35 21.70 158.60 4.97 14.90 -1.68 33,620 0.3 0.48 11.5 17.9 (37.7) 3.85 4.04
Phillips 66 Partners LP PSXP 5.21 19.70 54.50 11.12 58.40 8.21 12,380 74.7 1.90 19.9 31.4 62.6 3.74 4.11
Ryman Hospitality Properties Inc. RHP 11.49 62.90 51.60 34.15 23.20 15.51 3,840 0.3 8.29 2.2 16.0 165.4 3.91 4.30
Raymond James Financial Inc. RJF 1.69 16.00 11.00 5.96 16.60 8.48 12,080 0.5 3.75 6.7 18.0 (7.6) 1.50 1.59
ResMed Inc. RMD 10.15 21.50 -9.60 9.86 3.50 22.00 23,270 1.0 0.58 (41.7) 8.5 375.6 1.54 1.69
Shoe Carnival Inc. SCVL 1.43 13.60 71.80 8.07 13.10 10.00 442 1.1 0.00 (3.2) 7.7 (16.7) 0.36 0.39
Sound Financial Bancorp Inc. SFBC 1.21 10.40 7.50 n/a 8.80 n/a 93 5.4 0.00 10.5 24.5 (13.2) 0.60 0.62
Southwest Georgia Financial Corp. SGB 1.55 10.40 10.00 n/a 10.90 n/a 75 11.8 0.00 (4.0) 10.1 (1.3) 0.53 0.54
Southern Missouri Bancorp Inc. SMBC 1.21 12.60 24.50 3.79 16.70 n/a 306 0.7 0.06 2.9 13.0 (26.4) 0.62 0.64
Southern Michigan Bancorp Inc. SOMC n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 12.4 n/a 0.93 0.95
Service Properties Trust SVC 1.14 6.30 -6.40 -18.82 9.00 5.00 2,960 0.1 2.48 (4.0) 13.9 (4.8) 2.17 2.19
Schweitzer-Mauduit International Inc.
SWM 1.80 15.10 -3.70 4.16 1.50 5.00 1,030 0.2 0.98 (8.1) 9.0 17.0 1.78 1.85
TCF Financial Corp. TCF 0.85 8.50 42.50 15.88 14.20 34.30 5,660 1.0 0.10 0.5 11.8 (34.6) 1.52 1.67
Towne Bank TOWN 1.02 8.90 20.40 1.55 10.60 n/a 1,690 7.2 0.15 1.3 13.2 (26.4) 0.75 0.76
Truxton Corp. TRUX n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 22.5 n/a 1.03 1.06
Timberland Bancorp Inc. TSBK 1.10 14.80 23.60 n/a 28.70 13.00 198 2.3 0.00 22.8 30.7 (38.0) 0.66 0.68
Tyson Foods Inc. TSN 1.71 14.50 0.70 13.64 18.60 9.03 25,070 1.3 0.81 26.9 39.1 (3.9) 1.56 1.71
Trinity Bank NA TYBT n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 15.4 n/a 1.26 1.29
Universal Forest Products Inc. UFPI 2.32 14.00 33.70 9.58 28.00 17.00 2,890 1.9 0.13 (0.5) 15.6 28.6 0.44 0.48
Union Bankshares Inc. UNB 1.90 11.00 -20.20 n/a -0.10 n/a 137 0.3 0.69 (10.0) 7.8 22.8 1.25 1.29
Western Midstream Partners LP WES 1.86 15.40 -1.90 45.07 18.90 7.62 6,060 0.1 2.43 28.1 37.7 (11.2) 2.48 2.72
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Agilent Technologies
Dentsply Sirona Inc. Inc. A
XRAY 2.17 3.20 32.10 11.02 -32.60 13.23 11,070 0.3 0.28 (61.0) 8.3 158.6 0.41 0.45
Zoetis Inc. ZTS 23.33 59.30 9.60 12.98 21.80 10.73 63,860 0.3 2.38 (24.2) 18.5 565.4 0.72 0.79
Abbott Laboratories ABT 4.29 9.30 34.30 11.23 2.00 11.08 137,800 0.2 0.60 (28.5) 9.7 169.6 1.41 1.55
American Campus Communities ACC 1.79 2.50 48.80 18.77 14.60 17.62 5,960 0.8 1.01 (62.4) 8.8 138.0 2.06 2.26
AGCO Corp. AGCO 1.55 12.60 22.00 14.55 -10.40 10.02 4,490 1.5 0.60 (29.3) 8.5 61.3 0.69 0.76
Acadia Realty Trust AKR 1.29 2.90 -49.40 16.48 -9.00 3.00 1,980 0.6 1.15 (28.4) 9.1 46.5 1.13 1.24
Allegion plc ALLE 14.13 58.70 -1.30 7.59 17.30 8.31 10,750 0.5 1.89 1.7 28.7 311.7 1.09 1.17
Argo Group International Holdings Ltd.
ARGO 1.02 2.80 110.10 920.50 -13.50 7.00 1,920 2.3 0.31 (22.6) 17.8 35.5 1.36 1.50
Avnet Inc. AVT 0.78 2.50 216.70 46.89 -15.00 10.40 3,110 0.7 0.43 (22.5) 8.5 3.6 0.90 0.99
Banner Corp. BANR 1.03 9.80 28.40 5.49 10.90 7.00 1,650 1.5 0.07 11.2 22.1 (29.4) 1.77 1.87
Brunswick Corp. BC 3.33 -9.10 -87.90 11.07 -29.50 15.00 4,360 0.9 0.85 (140.6) 15.9 381.2 0.88 0.97
Brixmor Property Group BRX 1.96 9.90 -24.30 4.62 20.80 -5.09 5,420 0.4 1.77 (4.5) 15.3 31.3 1.13 1.18
First Busey Corp. BUSE 1.01 8.80 22.40 3.31 18.40 6.00 1,220 3.4 0.21 0.2 12.1 (27.2) 0.92 0.95
BancorpSouth Inc. BXS 0.99 9.40 26.30 5.79 16.40 5.00 2,510 1.5 0.00 17.7 28.3 (31.6) 0.76 0.81
Cathay General Bancorp CATY 1.09 12.50 35.30 5.62 18.40 8.00 2,490 0.4 0.09 28.9 37.8 (34.5) 1.36 1.44
CDW Corp. CDW 17.65 73.40 47.50 9.56 37.90 11.88 16,940 0.9 3.42 23.8 46.7 323.7 1.39 1.52
Citizens Financial Group Inc. CFG 0.68 8.50 33.40 7.30 20.70 5.72 14,200 0.4 0.62 65.1 73.5 (49.9) 1.50 1.61
CyrusOne Inc. CONE 2.83 1.70 n/a 135.48 26.40 n/a 6,740 0.4 1.20 (132.6) 22.7 342.0 1.98 2.18
Central Pacific Financial Corp. CPF 1.29 11.90 23.30 5.15 -13.60 8.00 689 0.3 0.19 12.2 24.0 (17.8) 0.99 1.04
CVB Financial Corp. CVBF 1.32 9.80 16.40 1.93 6.50 10.00 2,630 0.5 0.01 1.5 15.1 (10.9) 0.75 0.76
Delta Air Lines Inc. DAL 1.93 33.30 28.70 7.59 56.40 9.89 29,790 0.3 0.73 35.3 41.6 (26.5) 1.66 1.78
Danaher Corp. DHR 3.35 n/a -3.00 12.93 -1.40 11.48 99,530 1.6 0.57 (14.7) 29.6 157.0 0.68 0.74
Encompass Health Corp. EHC 5.49 23.80 6.70 12.25 5.40 4.60 7,460 1.5 2.55 (14.1) 9.3 138.9 1.16 1.28
First Midwest Bancorp FMBI 0.85 8.40 17.50 7.32 6.30 7.00 2,010 0.3 0.10 4.8 14.7 (38.8) 0.57 0.61
First National Corp. FXNC n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 39.0 n/a 0.37 0.38
Greenbrier Companies Inc. GBX 0.62 4.80 -44.60 0.23 -9.00 7.00 789 1.2 0.00 20.1 31.7 (43.6) 1.01 1.01
Guaranty Federal Bancshares GFED 1.24 13.20 17.70 3.45 0.70 n/a 103 0.6 0.32 19.6 30.8 (21.5) 0.57 0.59
Goodyear Tire & Rubber Company GT 0.52 -6.60 -145.50 37.37 -16.60 2.41 2,340 0.3 1.30 n/a 30.4 n/a 0.65 0.71
Hurco Companies Inc. HURC 0.79 7.40 -28.70 n/a 1.90 n/a 196 3.2 0.00 3.2 14.3 (37.7) 0.47 0.49
Independent Bank Corp. MI IBCP 1.29 12.40 37.10 2.86 -14.90 8.00 440 1.5 0.30 26.3 36.0 (25.3) 0.79 0.81
Johnson Outdoors Inc. JOUT 1.89 17.00 4.50 1.76 40.20 14.00 622 3.9 0.00 4.1 15.6 (1.7) 0.62 0.63
Kadant Inc. KAI 2.53 16.50 111.60 10.22 20.60 8.00 1,020 0.7 0.78 (9.6) 10.6 50.8 1.00 1.10
Logansport Financial Corp. LOGN n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 20.4 n/a 1.44 1.49
Moelis & Company MC 3.95 29.90 -50.30 7.11 14.80 -4.70 1,950 0.2 0.00 27.5 44.4 71.8 2.02 2.16
Macatawa Bank Corp. MCBC 1.51 15.40 21.10 2.93 24.80 8.00 330 2.1 0.09 21.5 31.8 (17.0) 0.31 0.32
Marcus Corp. MCS 1.33 7.70 16.30 10.58 14.20 15.00 865 1.6 0.43 (5.8) 14.1 8.6 0.70 0.77
MetLife Inc. MET 0.59 8.90 23.30 7.47 2.30 4.30 40,090 0.1 0.25 5.1 12.2 (57.0) 1.91 2.06
Manulife Financial Corporation MFC 0.97 12.10 27.60 8.22 9.100 8.820 33670 0.02 0.26 10.5 18.5 (41.1) 1.10 1.19
Mackinac Financial Corp. MFNC 0.94 8.50 -21.00 13.19 -1.20 10.00 151 3.5 0.00 13.3 24.1 (32.7) 0.51 0.56
Mobile Mini Inc. MINI 2.03 10.20 10.40 10.50 14.60 14.00 1,770 1.2 1.04 (7.5) 13.2 36.8 1.21 1.33
Marquette National Corp. MNAT n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 45.7 n/a 1.03 1.06
Medical Properties Trust Inc. MPW 1.55 19.00 236.10 6.46 36.70 n/a 10,930 1.2 1.02 (15.7) 8.9 30.1 1.11 1.18
Materion Corp. MTRN 1.52 8.50 418.70 7.98 4.00 12.00 926 0.5 0.03 (12.2) 6.3 11.8 0.48 0.52
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Agilent Technologies
National Inc.
Instruments Corp. A
NATI 4.49 13.80 7.90 -21.18 4.30 5.79 5,360 0.7 0.00 (19.4) 13.3 155.6 1.08 1.09
NBT Bancorp Inc. NBTB 1.34 11.20 23.60 2.76 10.80 5.00 1,480 0.8 0.17 (4.5) 7.8 (14.4) 1.16 1.19
NextEra Energy Partners LP NEP 1.82 -4.90 -151.40 20.38 -62.50 -13.38 3,790 0.6 2.10 n/a 63.7 n/a 1.99 2.19
Northfield Bancorp Inc. NFBK 0.95 5.30 13.20 11.39 19.80 8.00 702 2.0 0.89 (2.9) 13.7 (16.2) 0.47 0.52
NetApp Inc. NTAP 37.38 147.10 27.90 9.80 19.80 6.82 10,670 0.1 6.52 16.0 26.9 326.3 1.94 2.13
Owens Corning Inc. OC 1.33 9.10 -24.80 12.27 14.00 8.65 6,210 1.4 0.65 (0.7) 14.6 (4.9) 0.89 0.98
ONE Gas Inc. OGS 2.04 8.80 8.10 6.49 11.10 5.00 4,370 1.7 0.85 (1.8) 21.6 45.7 2.16 2.30
Oshkosh Corp. OSK 1.83 21.00 35.10 4.84 18.20 1.25 4,930 1.0 0.31 4.8 14.0 (13.3) 1.22 1.28
Open Text Corp. OTEX 2.84 8.40 8.30 15.25 3.20 9.65 11,580 2.3 0.88 (17.9) 16.8 109.1 0.73 0.80
Otter Tail Corp. OTTR 2.48 11.50 5.30 5.25 7.00 9.00 1,950 1.2 0.89 (16.3) 6.0 56.8 1.47 1.55
Oak Valley Bancorp OVLY 1.24 11.70 14.20 n/a 13.90 n/a 138 3.6 0.00 1.2 12.0 (22.7) 0.30 0.31
Peoples Bancorp of North Carolina PEBK 1.13 11.20 24.20 n/a 17.90 n/a 150 4.6 0.16 19.3 30.1 (26.4) 0.62 0.63
Prologis Inc. PLD 2.36 7.00 -13.70 10.29 15.20 -6.05 62,090 0.5 0.53 (21.2) 12.7 88.4 2.14 2.36
Power Integrations Inc. POWI 3.54 32.70 224.50 14.13 27.40 10.60 2,630 1.3 0.00 (2.9) 10.6 45.8 0.77 0.85
Everest Reinsurance Group Ltd. RE 1.11 7.60 -78.10 5.77 -36.00 39.32 10,040 1.3 0.07 (0.6) 14.9 (12.5) 5.81 6.14
Regency Centers Corp. REG 1.55 3.80 -2.60 7.35 -4.50 9.10 9,690 0.7 0.63 (31.5) 8.6 66.3 2.36 2.54
Rexford Industrial Realty Inc. REXR 2.26 2.40 14.20 -8.94 71.50 10.00 5,290 0.1 0.37 (89.4) 10.1 216.2 0.79 0.79
Regions Financial Corp. RF 0.87 11.40 28.80 5.99 11.90 8.17 13,210 0.1 0.40 24.7 33.7 (41.0) 0.63 0.67
RE/MAX Holdings Inc. RMAX 1.05 n/a 162.10 5.42 59.00 n/a 623 0.7 0.46 12.2 30.4 (7.8) 0.92 0.97
Ruth's Hospitality Group Inc. RUTH 6.38 44.60 33.40 6.48 14.60 14.18 601 0.7 0.96 10.2 23.8 96.1 0.57 0.61
SB Financial Group Inc. SBFG 0.99 8.40 4.90 11.54 5.30 n/a 146 2.7 0.09 6.5 19.6 (24.1) 0.38 0.42
ServisFirst Bancshares Inc. SFBS 2.28 18.60 45.50 6.65 22.20 n/a 1,870 7.9 0.08 53.9 66.4 12.6 0.66 0.70
Star Group LP SGU 1.56 n/a -49.90 n/a -11.20 n/a 412 0.6 0.89 2.4 12.9 (14.4) 0.50 0.51
Shenandoah Telecommunications SHEN 4.66 12.30 -29.90 34.56 8.70 24.40 2,260 0.8 1.53 (34.7) 4.9 186.6 0.29 0.32
SYNNEX Corp. SNX 1.67 13.70 22.20 5.00 16.30 11.57 6,590 0.8 0.80 52.8 65.7 (2.4) 1.65 1.73
S&T Bancorp Inc. STBA 1.14 10.30 25.00 5.11 12.70 10.00 1,310 0.1 0.12 2.1 13.3 (24.7) 1.20 1.26
Sturgis Bancorp STBI n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 49.1 n/a 0.62 0.64
TriCo Bancshares TCBK 1.13 9.90 23.20 2.93 8.50 7.00 1,030 0.3 0.06 4.4 15.9 (24.0) 0.90 0.93
TE Connectivity Ltd. TEL 2.63 15.30 -35.90 12.44 8.10 10.40 28,050 0.2 0.38 (5.3) 12.4 43.9 1.84 2.02
Terex Corp. TEX 1.69 6.30 -9.10 18.97 5.20 -10.65 1,530 1.6 1.26 11.6 19.1 (25.0) 0.44 0.49
United Community Banks Inc. UCBI 1.23 11.50 43.80 4.78 -14.10 1.00 1,990 0.6 0.15 53.7 64.4 (23.4) 0.73 0.76
United Fire Group Inc. UFCS 1.00 2.30 -90.20 85.71 -50.60 10.00 958 0.2 0.00 (55.5) 14.2 76.0 1.31 1.44
Unity Bancorp Inc. UNTY 1.20 15.90 47.60 8.74 33.10 n/a 186 8.0 0.07 19.2 27.3 (34.4) 0.34 0.37
Marriot Vacations Worldwide Corp. VAC 1.35 3.90 -73.20 13.90 -5.50 22.54 4,150 1.9 1.28 15.5 50.6 45.3 1.82 2.00
Vulcan Materials VMC 2.87 10.60 71.70 16.20 89.60 17.21 16,140 0.3 0.50 16.8 42.4 81.0 1.36 1.50
Westlake Chemical Partners LP WLKP 1.40 10.50 -10.70 10.24 -41.10 9.79 718 41.2 0.77 57.7 69.4 (14.8) 1.82 2.00
W.T.B. Financial Corp. WTBFA n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 25.5 n/a 7.21 7.43
Wintrust Financial Corp. WTFC 0.89 10.20 36.70 6.67 16.30 10.00 3,110 1.3 0.32 13.4 22.2 (40.8) 1.10 1.17
Watts Water Technologies Inc. WTS 3.27 14.00 7.80 8.98 22.00 8.00 3,200 1.0 0.32 (14.2) 10.2 88.3 0.97 1.06
Zions Bancorp Inc. ZION 1.00 11.70 44.20 5.44 20.90 4.40 6,930 1.1 0.18 45.4 55.0 (34.8) 1.41 1.48
Ameren Corp AEE 2.41 10.30 19.60 5.30 9.60 4.60 19,510 0.6 1.18 (18.2) 6.1 61.4 2.11 2.22
Alamo Group Inc ALG 2.36 13.20 27.70 26.76 15.00 6.60 1,300 2.8 0.27 (7.8) 11.9 43.4 0.53 0.58
Aramark Services Inc. ARMK 2.50 10.30 33.40 10.70 22.60 8.60 8,850 0.4 2.08 (18.5) 8.4 73.0 0.48 0.53
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Agilent
Bank ofTechnologies
America CorpInc. A
BAC 1.06 10.6 5.6 8.41 45.5 6.28 252310 0.1 1.77 32.8 43.2 (30.1) 0.70 0.76
BankFinancial Corp. BFIN 1.00 8.80 76.50 8.81 46.40 8.00 173 11.7 0.00 26.4 41.5 (18.0) 0.44 0.48
Saul Centers Inc. BFS 5.34 21.40 -1.60 n/a 22.90 7.60 994 0.4 5.46 (13.9) 11.3 144.3 2.14 2.21
Berkshire Hills Bancorp Inc. BHLB 0.72 5.80 23.10 6.53 6.60 10.00 1,220 2.9 0.06 (3.0) 9.0 (38.1) 1.01 1.08
Bloomin' Brands Inc. BLMN 10.84 74.10 10.00 12.49 -6.90 8.86 1,560 0.1 7.76 n/a n/a 145.3 0.44 0.48
Bankwell Financial Group Inc. BWFG 1.25 10.50 63.50 4.86 9.00 n/a 223 14.3 0.14 n/a n/a (18.5) 0.57 0.60
Capital City Bank Group CCBG 1.39 9.00 51.00 6.27 30.70 6.00 449 15.6 0.16 27.2 41.7 (5.1) 0.53 0.56
Crown Castle International Corp CCI 5.26 7.10 27.80 19.69 55.10 21.00 59610.00 0.1 1.58 (49.4) 22.9 311.3 5.03 5.54
Community Healthcare Trust Inc. CHCT 2.98 1.50 5.20 28.48 n/a n/a 950 5.9 0.72 n/a n/a 423.7 1.73 1.90
CNX Midstream Partners LP CNXM 1.96 44.20 28.80 0.91 56.70 4.70 1,070 0.1 1.86 n/a n/a (35.3) 1.67 1.69
CenterState Bank Corp. CSFL 0.91 7.70 38.40 4.83 34.20 8.00 2,540 2.0 0.03 53.3 64.3 (33.1) 0.48 0.51
CareTrust REIT Inc. CTRE 2.14 5.10 -31.80 8.11 27.600 6.000 1990 0.7 0.6 7.7 52.1 105.5 0.89 0.96
Community West Bancshares CWBC 1.15 8.80 21.20 n/a 21.10 n/a 92 11.0 0.00 31.0 42.7 (22.8) 0.24 0.25
D.R. Horton Inc DHI 1.92 18.00 4.80 4.38 24.10 14.60 19,570 6.7 0.37 15.6 26.9 (1.6) 0.66 0.68
Diamond Hill Investment Group Inc.DHIL 1.94 21.90 -14.80 n/a 13.80 n/a 437 2.0 0.00 15.0 24.7 (8.6) 9.09 9.36
Dolby Laboratories Inc DLB 2.83 8.80 124.00 14.77 11.40 16.00 6,670 1.0 0.00 30.4 52.5 66.8 0.87 0.96
Meridian Bancorp, Inc. EBSB 1.18 8.70 11.50 10.15 29.90 12.00 893 0.8 0.00 n/a n/a (18.4) 0.32 0.35
Enterprise Financial Services Corp EFSC 1.21 10.50 47.70 6.15 17.30 9.00 1,030 1.1 0.17 15.2 26.1 (23.6) 0.68 0.72
Equinix Inc. EQIX 5.56 6.00 679.70 19.68 20.20 22.30 48,690 0.1 1.23 n/a n/a 385.7 10.82 11.91
Enviva Partners LP EVA 3.12 1.50 -66.40 168.08 25.50 n/a 1,270 1.3 1.35 n/a n/a n/a 2.64 2.91
Flushing Financial Corp. FFIC 0.92 8.40 24.30 13.86 8.90 8.70 514 3.5 0.21 (1.0) 11.6 (28.2) 0.92 1.02
First Bancorp Inc. FNLC 1.32 12.4 19 n/a 12.6 n/a 279.23 3.3 0 1.4 12.3 (20.0) 1.30 1.34
First Savings Financial Group Inc. FSFG 1.18 14.20 50.40 11.88 23.80 n/a 147 6.5 0.16 (0.1) 8.8 (31.7) 0.70 0.77
FirstService Corp. FSV 9.23 n/a 24.10 14.90 n/a 15.00 4,100 19.8 n/a n/a n/a n/a 0.64 0.71
Greene County Bancorp, Inc. GCBC 1.92 16.20 23.50 n/a 21.60 n/a 235 0.9 0.00 (7.4) 5.0 3.1 0.46 0.48
Gilead Sciences Inc. GILD 4.27 27.50 -45.60 -1.11 18.10 1.36 87,880 0.5 1.19 n/a n/a 76.8 2.55 2.57
Gaming and Leisure Properties GLPI 4.55 14.90 14.60 2.70 6.99 10.86 9,480 2.7 2.73 (17.8) 11.9 145.4 3.01 3.10
Great Southern Bancorp Inc. GSBC 1.22 13.50 24.30 2.51 14.30 6.00 737 9.9 0.17 3.5 13.4 (26.6) 1.43 1.47
Home Bancorp Inc. HBCP 0.95 9.90 25.20 4.78 25.70 n/a 307 1.8 0.02 56.2 67.0 (32.3) 0.92 0.97
The Hackett Group Inc. HCKT 3.32 14.6 26.4 9.17 25.1 13.5 469.24 5.6 0.02 5.5 26.9 77.7 0.40 0.43
Home Federal Bancorp Inc. of Louisiana
HFBL 1.16 8.4 13.7 n/a 14.1 n/a 60.56 7.5 0 4.9 20.1 (11.5) 0.66 0.68
Hoegh LNG Partners LP HMLP 1.43 10.40 52.40 22.87 5.10 11.90 417 47.7 1.43 59.5 71.3 (13.4) 1.94 2.13
Hennessy Advisors Inc. HNNA 0.99 14.00 -54.50 n/a 10.40 n/a 77 42.7 0.21 32.4 39.7 (43.1) 0.50 0.51
Independent Bank Group Inc. IBTX 0.86 7.50 35.80 10.88 19.70 10.00 2,050 2.8 0.12 23.6 35.2 (33.3) 1.10 1.21
Independence Holding Company IHC 1.17 5.70 -38.90 n/a 20.600 n/a 580.03 0.9 0 19.0 39.1 2.1 0.35 0.36
Intel Corp. INTC 3.09 28.00 6.60 -0.28 15.20 9.06 241,560 0.0 0.37 (2.4) 9.3 27.0 1.34 1.36
Innospec Inc. IOSP 2.31 12.80 14.70 7.99 6.100 7.500 2270 0.4 0.07 (4.8) 14.3 40.2 1.12 1.21
Investar Holding Corp. ISTR 1.01 8.10 43.10 15.08 25.40 n/a 240 6.1 0.11 90.1 102.9 (24.2) 0.25 0.28
Kearny Financial Corp. KRNY 0.83 3.80 69.80 1.06 32.80 4.00 927 1.8 0.02 n/a n/a (10.3) 0.28 0.28
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Agilent Technologies
Lamar Advertising Co. Inc. A
LAMR 7.13 32.30 20.50 8.31 6.90 3.00 8,600 0.7 2.52 (9.5) 13.5 170.0 4.22 4.58
Gladstone Land Corp. LAND 1.02 n/a -193.30 -71.40 5.52 10.00 286 11.0 1.84 n/a 12.2 n/a 0.54 0.55
Eli Lilly & Company LLY 43.95 295.80 54.10 12.67 17.40 10.97 120,590 12.0 5.88 (17.2) 8.0 601.3 2.84 3.12
Logitech International LOGI 5.01 23.00 11.90 8.44 18.50 7.93 6,770 6.7 0.00 0.8 24.2 128.6 0.81 0.87
Lam Research Corp. LRCX 9.65 42.90 -16.80 21.95 30.50 16.10 44,280 0.3 1.02 45.5 67.3 205.4 4.55 5.00
Masco Corp MAS n/a -600.30 7.40 13.85 -0.70 11.40 11,530 0.5 n/a (8.9) 9.8 n/a 0.53 0.58
MutualFirst Financial Inc. MFSF 1.29 10.20 15.70 5.07 14.50 5.00 288 4.0 0.08 10.3 22.5 (16.3) 0.88 0.92
Mid Penn Bancorp MPB 0.77 6.60 -23.90 18.41 2.30 n/a 181 3.4 0.38 7.7 17.9 (41.0) 0.70 0.77
Morgan Stanley MS 0.98 10.6 26.6 10.35 28 8.16 74730 23.8 5.87 24.4 33.1 (38.5) 1.43 1.57
MSCI Inc. MSCI n/a -291.70 19.00 15.41 31.10 13.20 26,080 2.6 n/a 25.6 70.4 n/a 2.77 3.05
Enpro Industries Inc. NPO 1.27 1.00 -95.60 -18.42 -2.30 6.00 1,120 1.6 0.76 n/a n/a 146.8 1.01 1.02
National Research Corporation NRC 47.00 125.20 29.00 n/a 11.10 13.00 1,370 0.6 1.24 n/a n/a 882.5 0.84 0.86
OceanFirst Financial Corp OCFC 0.90 8.20 5.60 8.57 9.10 10.00 1,250 0.9 0.08 (1.6) 10.1 (31.6) 0.72 0.78
Orrstown Financial Services Inc. ORRF 0.87 5.50 15.00 11.35 3.90 n/a 202 3.9 0.14 n/a n/a (34.2) 0.66 0.73
PBF Logistics LP PBFX 11.29 120.40 -1.00 4.56 12.80 7.89 1,190 0.1 7.63 34.6 45.8 137.3 2.07 2.16
Preferred Bank PFBC 1.68 17.10 37.30 7.92 26.70 10.00 779 1.6 0.22 56.8 66.7 (14.1) 1.32 1.42
Parke Bancorp Inc. PKBK 1.28 16.90 58.70 n/a 16.40 26.30 245 8.4 0.09 39.1 46.6 (34.9) 0.66 0.68
Children's Place Inc. (The) PLCE 3.51 22.20 -20.30 23.04 20.90 2.90 900 3.6 0.72 30.3 45.2 52.4 2.26 2.49
PS Business Parks Inc PSB 5.09 13.60 -37.40 8.13 -1.20 n/a 4,060 0.3 0.00 (18.8) 18.8 191.7 4.24 4.59
People's Utah Bancorp PUB 1.40 13.90 59.70 5.49 25.00 8.00 454 0.4 0.00 n/a n/a (20.0) 0.54 0.57
Restaurant Brands International Inc.QSR 7.01 n/a n/a n/a n/a n/a 17,450 3.3 n/a n/a n/a 177.3 2.01 2.07
QTS Realty Trust Inc. QTS 3.22 -0.50 -842.40 73.73 -49.20 n/a 3,270 1.1 1.42 n/a 12.4 n/a 1.75 1.92
Riverview Bancorp Inc RVSB 1.00 12.20 39.60 -11.11 -2.60 12.00 145 1.0 0.20 n/a n/a (38.2) 0.19 0.19
Superior Group of Companies Inc. SGC 1.14 n/a -31.80 0.00 -9.20 -12.00 183 7.6 0.76 (3.2) 10.3 (17.3) 0.40 0.40
Shell Midstream Partners LP SHLX 1.23 11.70 11.10 1.80 76.50 8.08 4,010 47.0 0.84 n/a n/a (24.9) 1.86 1.89
Selective Insurance Group Inc. SIGI 1.51 13.10 51.10 3.98 12.90 5.34 3,330 1.0 0.00 (1.3) 11.0 (9.1) 0.91 0.95
Synovus Financial SNV 1.02 11.60 32.40 8.20 30.80 8.00 4,370 0.5 0.50 44.1 52.5 (38.4) 1.27 1.37
Sprague Resources LP SRLP 2.95 39.40 178.80 10.77 32.70 n/a 282 0.7 6.35 27.4 33.0 (14.2) 2.94 3.23
Simpsom Manufacturing Co. SSD 4.03 13.9 37.4 12.39 20.8 5 3520 0.2 0 (14.3) 12.3 118.5 0.99 1.09
Extended Stay America Inc. STAY 2.52 9.60 38.80 -1.57 4.00 -9.85 2,020 0.5 3.24 (7.0) 19.8 73.2 1.00 1.01
Skyworks Solutions Inc. SWKS 4 19.9 -22.1 17.94 15.8 14.1 17470 0.2 0 17.2 37.9 92.2 1.66 1.82
TFS Financial Corporation TFSL 3.26 n/a -13.30 -5.36 5.40 n/a 5,710 0.3 0.00 (13.5) 54.6 214.2 1.05 1.06
Timken Company (The) TKR 1.81 20.80 21.80 9.97 24.200 4.900 3410 1.6 0.93 (4.7) 4.8 (12.5) 1.23 1.35
Tetra Tech Inc. TTEK 4.30 16.30 29.20 8.35 10.900 15.000 4410 1.5 0.33 (5.0) 22.8 130.9 0.63 0.68
United Bancorp Inc. UBCP 1.27 8.80 12.20 10.69 9.30 16.30 83 5.7 0.39 0.5 14.6 (10.7) 0.60 0.66
USD Partners LP USDP 5.41 11.40 -6.90 n/a 61.90 n/a 247 6.6 4.83 n/a n/a 200.9 1.47 1.51
Unitil Corp. UTL 2.23 11.80 33.30 7.54 10.60 4.40 849 1.6 1.37 (14.9) 4.1 37.1 1.63 1.75
Woodlands Financial Services Co. WDFN n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 9.2 n/a 1.05 1.08
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Agilent Technologies
Wellesley Bancorp Inc. Inc. A
WEBK 1.35 8.70 41.10 n/a 19.800 n/a 101.84 1.9 1.22 11.4 28.0 0.0 0.26 0.27
Advanced Drainage Systems Inc. WMS 5.66 -130.30 -9.40 159.70 51.200 18.150 2930 1.5 2.11 n/a 55.2 n/a 0.35 0.39
WSFS Financial Corp. WSFS 0.98 7.50 111.80 6.17 19.90 12.00 1,790 0.7 0.10 12.1 23.9 (28.1) 0.52 0.55
Watsco Inc. WSO 3.79 16.30 17.00 4.41 11.90 15.00 6,070 0.7 0.12 6.0 30.3 102.2 7.04 7.35
Western Union Company WU n/a n/a 27.60 10.04 9.10 4.83 9,650 0.2 n/a 4.7 13.9 n/a 0.88 0.97
Woodward Inc. WWD 3.56 15.20 39.90 12.80 11.40 13.43 6,470 0.1 0.62 (8.0) 16.3 96.0 0.72 0.79
Great Ajax Corp. AJX 0.84 10.90 -11.50 -1.92 -1.58 n/a 298 1.0 3.56 n/a n/a (35.6) 1.29 1.31
Ally Financial Inc. ALLY 0.68 11.60 26.30 12.00 31.40 11.31 9,840 0.5 2.68 n/a n/a (58.3) 0.75 0.82
American National Bankshares Inc.AMNB 1.08 5.80 24.80 5.61 5.40 4.00 349 4.9 0.11 (9.2) 6.0 (14.5) 1.14 1.21
Flanigan's Enterprises Inc. BDL 0.98 9.00 -7.80 n/a 6.00 n/a 38 79.9 0.47 n/a n/a (30.7) 0.28 0.29
Popular, Inc. BPOP 0.79 10.40 137.50 7.98 3.30 5.00 4,620 1.1 0.14 n/a n/a (50.5) 1.32 1.43
Citigroup Inc C 0.80 9.70 22.40 9.66 9.40 13.00 141,770 0.1 1.34 112.3 120.1 (47.4) 2.11 2.32
Cable One, Inc. CABO 11.54 21.70 36.40 37.18 9.90 15.50 9,040 0.7 1.67 n/a n/a 426.2 9.35 10.29
Carnival Corporation & Plc CCL 0.91 12.10 -2.70 9.52 22.60 7.55 22,980 0.1 0.45 13.1 20.8 (44.0) 2.02 2.21
Cognex Corporation CGNX 5.64 16.40 -10.40 41.76 13.30 15.00 8,040 4.7 0.00 n/a n/a 210.2 0.21 0.23
Dollar General Corp. DG 5.79 25.20 31.90 11.56 13.40 10.83 38,480 0.2 0.42 n/a n/a 147.0 1.38 1.51
Dicks Sporting Goods Inc. DKS 1.81 18.30 7.50 6.53 3.80 8.25 3,280 0.1 0.00 10.0 20.1 (9.9) 1.18 1.26
Duke Realty Corporation DRE 2.37 4.90 33.60 4.93 91.70 6.00 11,890 0.2 0.56 (19.3) 8.2 70.2 0.97 1.02
Energizer Holdings, Inc. ENR 5.06 1.80 -64.00 16.76 -21.00 11.10 2,980 1.1 5.93 n/a n/a 521.9 1.21 1.33
Entergy Corporation ETR 2.32 10.20 -14.00 6.83 3.00 -1.50 23,550 0.3 1.94 (13.5) 5.2 38.5 3.70 3.95
Exelon Corporation EXC 1.31 9.20 45.70 -4.50 9.90 -2.30 42,110 0.2 1.17 (7.6) 6.7 (8.7) 1.60 1.61
1st Constitution Bancorp FCCY 1.15 10.60 34.60 4.42 10.20 8.00 185 5.7 0.13 n/a n/a (21.8) 0.33 0.34
Fidelity D & D Bancorp, Inc. FDBC 1.85 11.55 n/a n/a n/a n/a 195 26.8 n/a (4.3) 12.0 15.7 1.09 1.12
Franklin Financial Services Inc. FRAF 1.19 13.18 n/a n/a n/a n/a 150 4.0 n/a 6.9 15.3 (33.1) 1.21 1.24
Fulton Financial Corp. FULT 1.03 10.50 10.80 3.07 7.20 8.00 2,400 0.2 0.17 3.0 13.4 (31.0) 0.56 0.58
Green Plains Partners LP GPP n/a -68.40 -2.00 1.86 129.10 15.00 317 50.8 n/a n/a n/a n/a 1.92 1.95
W. R. Grace & Co. GRA 8.47 49.50 -1.10 9.45 -7.50 9.31 3,810 1.0 4.45 n/a n/a 235.6 1.09 1.19
Great Western Bancorp Inc. GWB 0.79 8.70 0.80 3.26 10.00 3.70 1,530 0.2 0.06 n/a n/a (43.0) 1.16 1.20
Houlihan Lokey, Inc. HLI 3.35 18.80 0.00 8.26 21.00 8.70 3,420 0.2 0.01 n/a n/a 70.9 1.20 1.30
Hewlett Packard Enterprise Company HPE 0.98 5.90 -36.80 5.66 5.10 8.36 16,880 0.1 0.81 n/a n/a (29.5) 0.45 0.48
Hilltop Holdings Inc. HTH 0.93 8.00 19.40 6.14 -1.80 15.00 1,880 0.7 0.15 n/a n/a (40.6) 0.35 0.37
Hexcel Corporation HXL 3.77 21.60 18.30 11.74 11.00 9.76 5,420 0.4 0.73 n/a n/a 73.9 0.70 0.77
IBERIABANK Corporation IBKC 0.77 10.50 50.30 6.01 19.70 8.00 3,150 1.8 0.05 (0.8) 7.9 (45.4) 1.89 2.01
Kimball International Inc. KBAL 2.57 18.80 20.80 n/a 64.70 17.00 597 1.1 0.00 (3.1) 11.4 28.5 0.34 0.35
Kinsale Capital Group, Inc. KNSL 6.74 15.60 24.90 11.11 21.60 15.00 2,660 3.2 0.03 n/a n/a 299.5 0.35 0.39
Ladder Capital Corp LADR 1.11 7.30 63.00 0.00 -0.80 5.00 1,830 0.2 3.33 n/a n/a (14.1) 1.50 1.50
Medifast, Inc. MED 8.77 62.90 98.40 14.67 18.70 20.00 1,020 1.5 0.00 n/a n/a 131.0 3.30 3.63
Marine Products Corp. MPX 5.07 36.10 36.60 6.90 32.40 10.00 427 10.5 0.00 20.8 35.8 83.7 0.53 0.56
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Agilent Technologies Inc.
Midland States Bancorp, Inc. A
MSBI 0.89 8.70 48.70 3.52 20.70 7.00 586 3.8 0.37 n/a n/a (35.3) 1.07 1.10
Mueller Water Products, Inc. MWA 2.90 16.60 -10.10 12.62 17.40 10.00 1,750 0.1 0.75 7.6 25.9 53.4 0.21 0.23
Nelnet, Inc. NNI 0.90 5.10 20.60 -0.04 -3.10 -6.91 2,120 7.2 8.90 (3.2) 14.6 (15.6) 0.81 0.82
National Storage Affiliates Trust NSA 2.87 -3.80 391.40 -35.88 34.10 11.00 2,000 0.3 2.20 n/a n/a n/a 1.40 1.41
NexPoint Residential Trust Inc. NXRT 2.55 -5.20 -103.00 700.00 -56.90 5.00 1,130 9.6 2.76 n/a n/a 11.7 1.15 1.26
Pathfinder Bancorp, Inc. PBHC 0.73 3.50 18.70 n/a -0.20 n/a 64 3.1 0.17 (1.3) 16.6 (23.9) 0.26 0.27
Saratoga Investment Corp. SAR 0.91 n/a 104.90 -57.10 16.38 n/a 256 18.8 n/a n/a n/a (54.0) 2.40 2.42
Charles Schwab Corporation SCHW 2.85 19.40 48.70 9.16 25.60 1.83 54,960 10.6 11.68 9.7 24.9 39.0 0.75 0.82
Shore Bancshares, Inc. SHBI 1.02 13.00 60.30 7.44 25.30 10.00 199 1.8 0.00 n/a n/a (25.8) 0.46 0.50
Summit Financial Group, Inc. SMMF 1.12 12.90 75.60 3.41 21.90 8.00 273 7.4 0.08 n/a n/a (34.5) 0.65 0.67
STORE Capital Corp STOR 1.77 5.40 10.40 8.74 14.62 6.09 7,580 0.7 0.76 n/a n/a 67.6 1.47 1.60
Constellation Brands Inc. A STZ 2.82 6.90 79.80 5.61 14.60 4.73 33,020 0.5 1.06 n/a n/a 132.1 3.29 3.47
Tallgrass Energy LP TGE 2.20 13.40 12.90 1.73 82.60 -14.05 6,220 0.8 1.91 n/a n/a 23.7 2.35 2.39
TTEC Holdings Inc. TTEC 4.64 19.00 165.90 9.52 -9.80 11.25 1,770 14.9 0.58 n/a n/a 127.6 0.68 0.75
Urstadt Biddle Properties Inc. UBP 1.81 n/a n/a n/a n/a n/a 168 77.6 n/a (21.9) 7.7 54.1 1.01 1.04
Value Line Inc. VALU 5.40 25.90 -24.20 n/a 10.90 n/a 287 89.6 0.00 (13.6) 8.4 129.9 0.80 0.82
Werner Enterprises, Inc. WERN 2.18 15.70 83.30 14.84 14.60 0.75 2,350 14.4 0.34 (0.5) 13.5 16.7 0.40 0.44
Averages for All 433 3.21 11.28 22.74 16.40 14.95 8.52 17,699 4.04 1.24 0.21 20.76 50.96 1.48 1.58
Averages by Sector
Communication Services 8 3.87 9.04 30.39 78.85 30.44 11.20 30,782 0.85 2.59 -14.12 16.42 105.35 2.33 2.56
Consumer Discretionary 41 5.18 3.43 16.31 11.02 9.14 8.49 7,200 5.26 2.35 -2.61 20.41 89.67 1.54 1.66
Consumer Staples 9 3.27 16.71 42.34 8.28 41.99 7.00 16,266 1.29 1.13 -8.85 18.44 112.69 1.91 2.04
Energy 15 3.07 14.20 33.91 21.46 39.43 4.20 6,200 23.54 2.57 27.77 37.72 19.32 2.68 2.84
Financials 193 1.40 9.42 24.69 12.63 12.11 8.43 12,306 4.00 0.92 10.12 23.02 -12.58 1.19 1.25
Health Care 14 12.65 46.23 13.24 9.71 8.81 9.73 65,312 1.39 1.37 -22.86 14.26 286.05 1.67 1.80
Industrials 48 2.94 1.03 17.55 18.89 18.75 9.23 11,013 1.49 0.71 -0.93 17.70 47.84 1.28 1.38
Information Technology 29 8.77 34.91 33.66 13.20 15.02 10.25 78,832 2.46 0.83 -1.61 22.97 176.06 1.31 1.42
Materials 15 2.92 19.89 69.57 11.86 10.91 15.38 5,815 3.88 1.09 2.24 19.15 46.82 1.85 1.98
Real Estate 46 2.82 7.74 2.26 29.31 18.57 6.73 8,978 3.50 1.60 -29.62 15.46 120.95 2.08 2.23
Utilities 15 2.12 8.59 8.33 5.91 0.68 2.87 11,012 0.61 1.63 -9.33 14.60 37.91 1.81 1.91
Challengers Numbers in Blue directly from Finviz Special Dividend Growth Mod
=Earnings
(and Per
American
Share;Depository
P/E=Price/Earnings
Receipts) Per Share; TTM=Trailing Twelve Months; FYE=Fiscal Year End; MRQ=Most Recent Quarter; ROE = Return on Equity (see Notes tab) (based on Earnings Estim
As of 2/28/20 Past Performance is No Guar
claimer: Although all figures are thought to be correct, no guarantee is expressed or implied. Last updated 12/31/2019
Company Ticker MRQ TTM TTM NY Past 5yr Est-5yr MktCap Inside Debt/ Tweed Chowder +/-% vs. Estimated Dividends to be Pa
Name Symbol P/Book ROE Growth Growth Growth Growth ($Mil) Own. Equity Factor Rule Graham 2019 2020
Agilent Technologies Inc. A
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Agilent Technologies Inc. A 0.86 0.94 1.02 4.35 5.6 1.36 17.9 -15.0 -9.6 0.8 2012 0 11.9
American Assets Trust Inc. AAT 1.42 1.46 1.51 7.02 16.9 0.44 -0.7 -15.9 -9.5 -11.0 2012 0 1.7
AES Corp. AES 0.71 0.78 0.85 3.58 21.4 1.03 14.6 -21.2 -17.0 -4.7 2012 0 1.5
Federal Agricultural Mortgage Corp.AGM 3.62 3.98 4.37 18.33 24.4 1.03 11.7 -15.2 -5.1 -4.6 2012 0 0.4
Assured Guaranty Ltd. AGO 0.76 0.78 0.80 3.80 9.3 0.95 0.8 -19.6 -14.3 -10.4 2012 0 2.6
Apollo Bancorp Inc. APLO 2.26 2.33 2.40 11.32 27.0 n/a n/a n/a n/a n/a OTC 2012 0 n/a
Apogee Enterprises Inc. APOG 0.86 0.94 1.04 4.32 14.3 1.65 0.1 -35.4 -9.8 -19.5 2012 0 3.4
Preferred Apartment Communities Inc. APTS 1.18 1.26 1.35 5.97 62.5 0.57 0.9 -43.7 -24.0 -32.0 2011 0 -1.8
Atlantic Union Bankshares Corp. AUB 1.23 1.33 1.43 6.19 20.8 1.37 -2.8 -26.0 -17.2 -18.1 2011 0 1
Avalonbay Communities Inc. AVB 7.33 7.51 7.70 36.32 18.1 0.55 4.8 -12.6 -6.8 -5.2 2012 0 4.8
Avery Dennison Corp. AVY 2.82 3.11 3.42 14.30 12.5 1.36 15.7 -18.9 -13.2 -4.9 2011 0 4.6
Aircastle Limited AYR 1.40 1.44 1.48 6.91 21.7 1.46 71.0 -1.9 -0.8 23.8 2012 0 1.9
Barnes Group Inc. B 0.85 0.94 1.03 4.30 8.0 1.34 26.7 -21.7 -15.6 -4.1 2011 0 5.4
Booz Allen Hamilton Holding Corp. BAH 1.28 1.41 1.55 6.45 9.0 0.88 36.6 -13.1 -5.2 0.6 2012 0 10.5
Brookfield Asset Management Inc. BAM 0.81 0.84 0.87 4.00 6.7 1.10 34.1 -12.4 -2.5 10.8 2012 0 1.1
B&G Foods Inc. BGS 2.15 2.17 2.19 10.73 72.5 0.47 16.5 -43.4 -6.7 -18.7 2011 0 5.5
Bank of New York Mellon Corp. BK 1.47 1.53 1.59 7.30 18.3 1.06 -0.8 -26.5 -16.3 -13.2 2011 0 1
Bank of South Carolina Corp. BKSC 0.74 0.76 0.78 3.68 21.3 0.17 0.1 -16.7 -8.5 -7.8 2012 0 1.6
Bryn Mawr Bank Corp. BMTC 1.27 1.36 1.45 6.38 19.2 0.75 -0.1 -19.7 -15.8 -11.6 2011 0 1.3
Bassett Furniture Industries Inc. BSET 0.61 0.67 0.74 3.08 31.2 0.68 4.4 -52.8 -29.9 -30.6 2011 0 -0.7
Cogent Communications Holdings Inc. CCOI 3.25 3.57 3.93 16.39 22.4 0.68 52.0 -6.9 2.8 17.2 2012 0 4.6
Churchill Downs Inc. CHDN 0.75 0.82 0.90 3.79 3.0 1.20 51.3 -25.0 -13.3 -0.7 2012 0 6.2
Civista Bancshares Inc. CIVB 0.48 0.52 0.56 2.42 12.6 0.82 -3.6 -21.3 -16.0 -12.9 2011 0 1
Cortland Bancorp CLDB 0.49 0.51 0.52 2.46 11.3 n/a n/a n/a n/a n/a OTC 2012 0 n/a
Columbia Banking System Inc. COLB 1.38 1.50 1.61 7.01 21.1 1.00 9.3 -19.4 -15.8 -10.6 2011 0 1.4
Core-Mark Holding Company CORE 0.54 0.56 0.58 2.70 11.7 0.83 6.1 -43.8 -7.5 -25.8 2012 0 2.9
Culp Inc. CULP 0.48 0.53 0.58 2.44 26.7 0.40 -2.2 -56.7 -29.5 -41.7 2012 0 2.4
Codorus Valley Bancorp Inc. CVLY 0.75 0.77 0.79 3.74 18.1 0.71 10.1 -12.7 -7.7 -4.8 2011 0 1
Dillard's Inc. DDS 0.51 0.53 0.55 2.59 4.6 1.09 17.4 -35.1 -16.5 -14.4 2012 0 3.5
Discover Financial Services DFS 2.21 2.43 2.67 11.15 17.0 1.50 0.5 -29.5 -17.8 -18.9 2011 0 2.6
Quest Diagnostics Inc. DGX 2.56 2.68 2.81 12.82 12.1 0.91 28.4 -6.9 -2.7 2.1 2012 0 7
Walt Disney Company DIS 2.02 2.08 2.14 9.97 8.5 0.93 9.6 -23.3 -17.0 -15.3 2011 0 5.1
Dunkin' Brands Group Inc. DNKN 1.76 1.89 2.02 8.83 13.3 0.45 -4.3 -21.5 -12.7 -14.6 2012 0 6.3
Amdocs Limited DOX 1.37 1.45 1.53 6.87 10.8 0.39 20.5 -17.5 -12.5 -4.3 2012 0 n/a
El Paso Electric Co. EE 1.64 1.71 1.79 8.24 12.1 0.60 27.6 -8.8 -0.3 2.1 2011 0 3.1
Evans Bancorp Inc. EVBN 1.30 1.34 1.38 6.41 16.3 0.81 20.3 -5.9 -0.5 5.1 2012 0 1.2
First Defiance Financial Corp. FDEF 1.01 1.10 1.20 5.10 21.3 0.90 -1.8 -26.2 -20.2 -17.2 2011 0 1.4
FBL Financial Group Inc. FFG 2.13 2.35 2.58 10.94 22.9 0.63 -2.5 -30.7 -17.0 -19.3 2011 0 1
First Financial Bankshares Inc. FFIN 0.59 0.65 0.71 3.00 10.4 1.07 5.9 -21.2 -16.8 -12.1 2011 0 2
First Horizon Narional Corp. FHN 0.74 0.81 0.89 3.72 27.9 1.26 0.2 -23.5 -18.3 -15.4 2012 0 1.4
Financial Institutions Inc. FISI 1.25 1.35 1.46 6.32 23.5 0.8 5.24 -19.14 -13.81 -10.43 2011 0 0.9
Flir Systems Inc. FLIR 0.91 1.00 1.10 4.57 10.8 1.17 -1.5 -28.6 -21.2 -18.7 2011 0 8.6
First Mid-Illinois Bancshares Inc. FMBH 0.95 1.04 1.13 4.84 17.2 0.55 -3.8 -22.7 -17.1 -17.1 2012 0 1.1
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
AgilentFair
Cedar Technologies
LP Inc. A
FUN 4.18 4.43 4.70 20.99 45.9 0.56 9.2 -29.6 -15.8 -14.9 2012 0 7.3
Gladstone Investment Corp. GAIN 0.97 1.04 1.11 4.92 43.0 n/a 5.3 -25.4 -15.5 -8.3 2012 0 n/a
Griffon Corp. GFF 0.39 0.43 0.47 1.96 11.3 2.14 23.3 -31.8 -15.3 -8.6 2012 0 1.8
Gentex Corp. GNTX 0.58 0.64 0.70 2.92 10.9 1.11 34.7 -14.6 -10.6 -1.6 2011 0 19.8
Goldman Sachs Group Inc. GS 4.95 5.32 5.72 24.79 12.3 1.27 11.1 -19.8 -14.9 -6.5 2011 0 0.8
Huntington Bancshares Inc. HBAN 0.68 0.72 0.76 3.40 27.7 1.45 1.0 -21.5 -14.1 -12.3 2011 0 1.2
Horizon Bancorp HBNC 0.52 0.53 0.55 2.58 17.2 0.96 -1.2 -22.9 -16.4 -13.0 2011 0 1.1
HNI Corp. HNI 1.59 1.73 1.89 8.01 24.4 1.25 9.8 -23.5 -12.7 -8.6 2011 0 6.2
Home Bancshares Inc. HOMB 0.62 0.65 0.68 3.09 18.4 1.17 2.3 -20.3 -14.1 -11.1 2011 0 1.9
Honeywell International Inc. HON 3.94 4.24 4.56 19.81 12.2 1.10 7.8 -11.9 -8.4 -5.9 2012 0 10.5
Independent Bancorp MA INDB 1.98 2.03 2.08 9.89 14.6 1.15 8.3 -23.0 -14.3 -11.8 2011 0 1.3
Ingredion Inc. INGR 2.73 2.78 2.83 13.54 16.3 0.88 14.1 -16.3 -9.6 -0.4 2011 0 6.9
Intuit Inc. INTU 2.58 2.84 3.12 13.03 4.9 0.99 12.6 -13.4 -5.3 -1.2 2011 0 25.6
Investors Bancorp ISBC 0.57 0.63 0.69 2.90 27.5 0.87 1.8 -17.5 -10.8 -8.2 2013 0 0.7
Jones Lang Lasalle JLL 1.03 1.06 1.09 5.11 3.5 1.74 19.2 -17.2 -12.7 -1.2 2011 0 4.2
JPMorgan Chase & Co. JPM 4.13 4.43 4.74 20.79 17.9 1.13 18.4 -17.7 -14.7 -4.6 2011 0 1.2
Kaiser Aluminum Corp. KALU 3.07 3.24 3.42 15.28 16.2 1.08 11.2 -19.2 -11.0 -5.6 2012 0 6.5
KeyCorp KEY 0.86 0.91 0.96 4.30 26.3 1.32 10.3 -20.3 -16.4 -9.8 2011 0 1.2
Kohl's Corp. KSS 3.01 3.04 3.07 15.04 38.4 0.95 5.5 -48.4 -15.7 -20.5 2011 0 4.9
Lakeland Bancorp Inc. LBAI 0.62 0.67 0.74 3.14 21.8 0.87 1.4 -18.3 -14.3 -10.6 2011 0 1
Legg Mason Inc. LM 1.88 2.07 2.28 9.50 19.1 1.67 89.0 -1.7 25.1 31.2 2011 0 2.9
Las Vegas Sands Corp. LVS 3.88 4.04 4.21 19.24 33.0 1.64 14.0 -21.5 -14.6 -5.1 2012 0 11.9
LyondellBasell Industries NV LYB 4.80 4.99 5.19 23.77 33.3 1.45 4.2 -27.8 -17.9 -16.5 2011 0 11.2
MasterCard Inc. MA 1.76 1.93 2.13 8.86 3.1 1.00 34.4 -16.4 -8.0 2.4 2012 0 31.4
Main Street Capital Corp. MAIN 2.64 2.82 3.02 13.38 36.2 0.75 1.8 -18.1 -15.3 -12.9 2011 0 4.7
ManpowerGroup Inc. MAN 2.64 2.68 2.72 13.04 17.2 1.64 0.9 -24.8 -19.5 -16.2 2011 0 5.7
Mercantile Bank Corp. MBWM 1.31 1.41 1.52 6.62 23.1 0.85 -3.7 -23.1 -16.8 -14.2 2012 0 1.3
Methanex Corp. MEOH 1.88 2.06 2.27 9.47 32.8 1.74 5.2 -54.2 -20.6 -24.5 2011 0 7.6
MKS Instruments Inc. MKSI 0.98 0.98 0.99 4.80 4.8 1.54 42.2 -18.1 -10.1 6.5 2011 0 6.7
Malaga Financial Corp. MLGF 1.09 1.13 1.16 5.47 23.6 n/a n/a n/a n/a n/a OTC 2010 0 n/a
Merck & Company MRK 2.89 3.13 3.39 14.49 18.9 0.59 6.0 -17.4 -12.4 -9.7 2012 0 11.3
Vail Resorts Inc. MTN 8.04 8.78 9.59 40.59 19.1 0.73 6.0 -16.7 -12.6 -9.8 2011 0 6.7
NiSource Inc. NI 0.90 0.93 0.97 4.47 16.5 0.21 4.2 -11.9 -5.6 -5.2 2012 0 2.1
Oxford Industries Inc. OXM 1.83 2.02 2.22 9.33 15.5 0.47 -0.3 -29.3 -16.3 -15.7 2011 0 7.4
Paychex Inc. PAYX 3.11 3.38 3.66 15.68 20.2 0.83 3.2 -14.4 -10.6 -8.6 2011 0 11.9
Paccar Inc. PCAR 1.47 1.49 1.50 7.33 10.9 1.21 10.8 -17.5 -12.9 -6.2 2011 0 8.7
Public Service Enterprise Group Inc. PEG 2.24 2.32 2.40 11.20 21.8 0.29 -2.9 -19.7 -12.7 -14.3 2012 0 3.2
Provident Financial Services Inc. PFS 1.12 1.21 1.31 5.68 28.4 0.54 -3.3 -28.3 -16.0 -17.6 2011 0 1.3
Packaging Corp of America PKG 3.66 3.84 4.03 18.48 20.4 1.70 3.2 -21.1 -13.6 -12.2 2011 0 11.3
PNC Financial Services Group Inc. PNC 5.25 5.55 5.86 26.25 20.8 1.10 6.5 -21.9 -18.1 -11.6 2011 0 1.3
PNM Resources Inc. PNM 1.30 1.38 1.47 6.55 13.9 0.21 8.4 -16.1 -10.1 -7.0 2012 0 -0.1
Pool Corp. POOL 2.80 3.07 3.38 14.10 6.7 0.83 36.8 -11.5 -4.0 4.7 2011 0 16.4
QNB Corp. QNBC 1.44 1.49 1.53 7.22 21.2 n/a n/a n/a n/a n/a OTC 2011 0 n/a
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
AgilentCaribbean
Royal Technologies Inc. Ltd.
Cruises A
RCL 3.83 4.22 4.64 19.34 24.1 1.42 14.1 -40.6 -33.9 -30.6 2011 0 6.4
Reliance Steel & Aluminum Co. RS 2.57 2.66 2.76 12.89 12.6 1.21 23.8 -16.3 -12.8 -2.3 2011 0 7.4
Sandy Spring Bancorp Inc. SASR 1.52 1.62 1.74 7.60 24.7 0.86 3.1 -20.0 -15.2 -11.9 2011 0 1.4
Sinclair Broadcast Group Inc. SBGI 0.98 1.00 1.01 4.84 20.9 0.94 5.5 -65.1 -25.3 -45.1 2012 0 0.3
Service Corp International SCI 0.88 0.97 1.06 4.43 9.3 0.87 22.8 -9.4 -0.1 3.3 2011 0 2.8
Steelcase Inc. SCS 0.69 0.76 0.84 3.56 21.9 1.36 12.3 -29.5 -16.6 -8.6 2011 0 6.6
Simmons First National Corp. SFNC 0.75 0.79 0.82 3.76 17.6 1.06 -3.2 -21.7 -16.3 -13.4 2012 0 1.3
Signet Jewelers Limited SIG 1.62 1.73 1.85 8.20 35.2 1.18 124.2 -25.8 -1.9 24.8 2011 0 -3.9
SL Green Realty Corp. SLG 3.89 3.93 3.97 19.37 24.7 1.18 4.0 -18.6 -14.5 -7.8 2012 0 1.7
Sotherly Hotels Inc. SOHO 0.57 0.57 0.57 2.78 54.2 0.74 2.1 -33.3 -19.1 -23.6 2011 0 -1.3
SpartanNash Company SPTN 0.85 0.86 0.87 4.26 34.3 1.56 40.9 -35.1 -6.6 0.1 2011 0 0.2
South State Corp. SSB 2.22 2.45 2.69 11.22 16.5 1.28 6.6 -22.7 -17.3 -12.2 2012 0 1.2
Steel Dynamics Inc. STLD 1.04 1.07 1.10 5.22 19.6 1.61 6.4 -30.6 -15.8 -12.1 2011 0 13.6
State Street Corp. STT 2.15 2.16 2.17 10.58 15.5 1.57 40.1 -20.7 -13.6 4.8 2011 0 0.8
Standex International Inc. SXI 1.00 1.10 1.21 5.06 8.0 1.43 7.0 -23.7 -16.5 -12.4 2012 0 6.6
Truist Financial Corp TFC 2.21 2.36 2.53 11.04 23.9 1.16 3.7 -18.9 -16.0 -11.0 2011 0 1.3
Terreno Realty Corp. TRNO 1.21 1.33 1.46 6.10 11.1 0.81 35.7 -11.9 -3.4 4.6 2011 0 2.8
Texas Roadhouse Inc. TXRH 1.59 1.74 1.92 8.01 14.2 0.54 18.3 -22.4 -6.6 1.5 2011 0 8.7
UDR Inc. UDR 1.54 1.59 1.64 7.64 17.0 0.46 4.5 -12.2 -5.8 -4.9 2011 0 2.1
Umpqua Holdings Corp. UMPQ 1.11 1.22 1.34 5.61 36.4 1.09 2.2 -18.7 -13.1 -8.0 2011 0 1.3
U.S. Bancorp USB 1.73 1.83 1.94 8.67 18.7 1.10 -2.3 -24.0 -16.9 -15.6 2011 0 1.4
US Physical Therapy Inc. USPH 1.39 1.53 1.68 7.03 6.7 1.02 1.3 -29.8 -12.5 -16.2 2011 0 5.7
Ventas Inc. VTR 3.27 3.30 3.33 16.33 30.4 0.31 -1.5 -28.7 -7.6 -17.4 2011 0 2.2
Washington Trust Bancorp Inc. WASH 2.36 2.48 2.61 11.86 27.6 0.68 -5.1 -21.9 -15.6 -14.6 2011 0 1.3
Webster Financial Corp. WBS 1.93 2.12 2.34 9.83 25.9 1.30 -3.1 -34.8 -23.4 -20.5 2011 0 1.4
Wells Fargo & Co. WFC 2.56 2.81 3.09 12.89 31.6 1.10 -3.7 -25.4 -17.9 -16.4 2011 0 1.2
Whirlpool Corp. WHR 5.97 6.25 6.55 29.70 23.2 1.78 12.2 -21.9 -13.9 -11.8 2011 0 6.2
Willis Towers Watson plc WLTW 3.36 3.67 4.02 16.92 8.9 0.74 13.9 -14.4 -8.6 -2.8 2012 0 2.4
William Penn Bancorp Inc. WMPN 0.44 0.45 0.46 2.19 6.0 n/a n/a n/a n/a n/a OTC 2011 0 n/a
Worthington Industries Inc. WOR 1.12 1.23 1.35 5.63 17.7 1.31 -3.4 -28.8 -19.5 -15.9 2011 0 4.5
WesBanco Inc. WSBC 1.55 1.70 1.87 7.87 25.7 1.08 -1.7 -28.5 -14.3 -16.0 2011 0 1.3
West Bancorp Inc. WTBA 1.03 1.07 1.10 5.11 25.0 0.67 5.2 -21.1 -15.4 -9.3 2011 0 1.2
Weyerhaeuser Company WY 1.59 1.67 1.75 7.89 30.4 1.73 16.2 -17.7 -12.6 -5.4 2011 0 -0.5
Apple Inc. AAPL 3.72 4.09 4.50 18.75 6.9 1.26 61.3 -16.6 -10.8 13.2 2012 0 17.1
AbbVie Inc. ABBV 5.22 5.41 5.61 25.92 30.2 1.03 36.8 -12.4 -3.8 9.0 2013 0 7
Arbor Realty Trust Inc. ABR 1.26 1.36 1.46 6.39 52.6 0.61 3.3 -23.0 -16.8 -9.8 2012 0 2.2
Agree Realty Corp. ADC 2.58 2.61 2.64 12.82 17.8 0.08 14.8 -10.8 -2.0 0.4 2013 0 3.3
Armada Hoffler Properties Inc. AHH 0.89 0.93 0.98 4.49 26.8 0.54 11.6 -13.7 -9.2 -5.3 2013 0 1.1
Air Lease Corp. AL 0.69 0.76 0.84 3.49 9.1 1.89 20.0 -23.2 -16.1 -10.1 2013 0 2.8
Alaska Air Group Inc. ALK 1.83 2.01 2.21 9.26 18.4 0.93 -4.6 -30.1 -23.4 -22.2 2013 0 6
Amerisafe Inc. AMSF 1.22 1.34 1.48 6.26 9.6 0.52 21.0 -19.2 -4.3 2.2 2013 0 4.9
Aon plc AON 2.29 2.52 2.77 11.55 5.6 0.79 33.3 -12.7 -4.1 4.7 2012 0 5.3
Amphenol Corp. APH 1.13 1.20 1.27 5.64 6.2 1.06 9.4 -16.8 -12.7 -6.2 2012 0 10.9
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Agilent Technologies
Associated Banc-CorpInc. A
ASB 0.81 0.86 0.91 4.08 24.1 1.15 -1.5 -28.3 -18.7 -18.1 2012 0 0.9
American Express Company AXP 2.11 2.32 2.55 10.64 9.7 1.01 3.1 -20.4 -14.7 -10.4 2012 0 3.4
Boeing Company BA 10.05 11.05 12.16 50.69 18.4 1.30 -3.2 -38.3 -16.1 -21.4 2012 0 -0.5
Bank of Botetourt BORT 0.70 0.72 0.74 3.50 11.7 n/a n/a n/a n/a n/a OTC 2013 0 n/a
Brookfield Property Partners LP BPY 1.52 1.57 1.62 7.64 46.8 0.94 0.7 -23.1 -11.9 -14.2 2013 0 0.6
Sierra Bancorp BSRR 0.90 0.97 1.05 4.56 19.1 0.90 5.1 -21.0 -14.6 -10.5 2013 0 1.3
Cheesecake Factory Inc. CAKE 1.63 1.75 1.88 8.16 22.9 0.60 5.7 -30.3 -9.7 -14.2 2012 0 5.5
Carolina Financial Corp CARO 0.41 0.42 0.43 2.03 6.3 1.01 -0.4 -26.1 -19.8 -13.1 2013 0 1.6
Cabot Corp. CBT 1.76 1.86 1.96 8.77 23.5 1.62 2.7 -26.1 -15.2 -15.7 2012 0 4.1
C&F Financial Corp. CFFI 1.73 1.78 1.83 8.64 19.0 0.59 7.9 -21.0 -12.1 -11.7 2012 0 1.2
City Holding Co. CHCO 2.64 2.85 3.08 13.38 19.1 0.70 -2.1 -15.8 -12.3 -9.6 2012 0 1.5
CNO Financial Group Inc. CNO 0.53 0.58 0.64 2.65 16.6 1.30 14.4 -23.5 -12.7 -4.4 2012 0 -1.3
Carter's Inc. CRI 2.51 2.66 2.82 12.54 13.7 0.89 12.2 -18.7 -15.2 -6.4 2013 0 6.6
CSG Systems International Inc. CSGS 1.08 1.09 1.11 5.34 12.1 0.89 9.9 -24.6 -13.8 -13.7 2013 0 6.5
Consolidated-Tomoka Land Co. CTO 0.50 0.52 0.53 2.49 4.3 0.73 0.31 -16.22 -7.33 -8.25 2013 0 n/a
Calavo Growers Inc. CVGW 1.43 1.58 1.73 7.23 10.0 1.00 -1.9 -28.0 -11.2 -18.5 2013 0 9.2
Delek Logistics Partners LP DKL 4.14 4.22 4.30 20.42 95.0 0.85 12.5 -37.0 -31.3 -31.6 2013 0 9.3
Domino's Pizza Inc. DPZ 3.46 3.81 4.19 17.46 5.1 0.69 53.7 -11.1 14.6 24.9 2013 0 32.9
EastGroup Properties Inc. EGP 3.67 3.96 4.26 18.50 14.7 0.82 20.6 -11.9 -7.1 -0.6 2012 0 5.2
EQT Midstream Partners LP EQM 4.73 4.78 4.83 23.67 136.4 1.03 13.8 -63.6 -32.5 -46.4 2012 0 2.2
Expedia Inc. EXPE 1.76 1.93 2.13 8.86 9.0 1.05 5.4 -31.5 -11.0 -19.0 2012 0 2.6
Exponent Inc. EXPO 0.85 0.93 1.03 4.29 5.8 0.40 35.4 -11.1 0.5 10.4 2013 0 15.3
Exchange Bank (Santa Rosa CA) EXSR 4.81 4.95 5.10 24.06 15.1 n/a n/a n/a n/a n/a OTC 2013 0 n/a
Fortune Brands Home & Security FBHS 1.06 1.15 1.25 5.33 8.6 1.57 37.9 -15.7 -9.7 4.8 2013 0 6.5
First Business Financial Services Inc. FBIZ 0.78 0.84 0.91 3.90 16.3 0.82 20.5 -12.3 -6.9 -1.3 2013 0 1.1
Farmers Bankshares Inc. FBVA 0.49 0.51 0.52 2.46 14.5 n/a n/a n/a n/a n/a OTC 2013 0 n/a
First Community Bancshares Inc. FCBC 1.11 1.17 1.23 5.63 21.5 0.59 -5.6 -27.5 -13.7 -18.0 2012 0 1.7
First Community Corp. FCCO 0.51 0.53 0.54 2.57 13.2 0.92 13.6 -11.8 -7.4 -0.5 2013 0 1
Comfort Systems USA Inc. FIX 0.53 0.58 0.64 2.65 6.3 1.35 16.4 -27.5 -13.7 -10.4 2013 0 8.3
F&M Bank Corp. FMBM 1.10 1.14 1.17 5.52 20.3 n/a n/a n/a n/a n/a OTC 2012 0 n/a
Fidelity National Financial Inc. FNF 1.53 1.65 1.78 7.76 20.0 0.76 14.2 -21.4 -15.7 -12.2 2012 0 10.4
First Industrial Realty Trust Inc. FR 1.20 1.32 1.46 6.07 15.8 0.77 16.4 -16.5 -10.0 -3.3 2013 0 7.1
First Republic Bank FRC 0.94 1.01 1.08 4.69 4.7 0.88 15.0 -17.8 -13.1 -2.9 2012 0 0.8
First Merchants Corp. FRME 1.22 1.30 1.39 6.14 17.6 1.11 6.0 -17.7 -14.7 -9.2 2012 0 1.5
FS Bancorp Inc. FSBW 0.83 0.89 0.95 4.16 8.7 1.08 3.8 -25.8 -18.3 -10.9 2013 0 1.6
German American Bancorp GABC 0.85 0.93 1.01 4.32 14.5 0.84 8.2 -17.5 -14.4 -7.1 2013 0 1.3
Glacier Bancorp Inc. GBCI 1.41 1.55 1.70 7.16 19.2 1.07 -0.3 -19.5 -15.7 -10.4 2012 0 1.6
GEO Group Inc. GEO 2.20 2.42 2.66 11.21 76.6 1.25 10.2 -39.1 -10.7 -16.1 2013 0 3.6
Getty Realty Corp. GTY 1.51 1.56 1.60 7.55 26.6 0.58 -2.0 -16.0 -12.2 -11.1 2013 0 4.1
Huntington Ingalls Industries Inc. HII 3.72 3.76 3.79 18.60 9.0 1.06 4.7 -26.5 -20.6 -11.3 2013 0 7.7
Heartland BanCorp HLAN 2.22 2.29 2.36 11.12 12.4 n/a n/a n/a n/a n/a OTC 2013 0 n/a
Hope Bancorp Inc. HOPE 0.69 0.74 0.80 3.49 28.6 1.49 -0.7 -21.3 -15.3 -13.5 2012 0 1.1
Healthcare Trust of America Inc. HTA 1.41 1.45 1.49 6.97 22.4 0.41 17.9 -8.4 -0.7 6.0 2012 0 0.5
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Agilent Technologies
Heritage Inc.
Commerce Corp. A
HTBK 0.57 0.61 0.65 2.86 27.8 0.87 -3.8 -27.3 -15.7 -14.7 2013 0 1.6
Hawthorn Bancshares Inc. HWBK 0.51 0.53 0.54 2.57 11.8 0.25 5.9 -21.7 -10.7 -11.0 2012 0 0.9
Hyster-Yale Materials Handling Inc.HY 1.54 1.70 1.87 7.78 16.2 1.43 11.3 -32.5 -15.6 -12.0 2012 0 1.7
Intercontinental Exchange Inc. ICE 1.32 1.43 1.55 6.61 7.4 0.29 24.1 -12.5 -5.8 -2.3 2013 0 2.1
Idacorp Inc. IDA 2.87 2.94 3.01 14.31 14.8 0.24 0.7 -15.2 -11.2 -9.4 2013 0 3.6
Interpublic Group of Companies Inc.IPG 1.10 1.15 1.20 5.51 25.8 1.10 9.2 -15.2 -8.6 -3.7 2013 0 4
Ingersoll-Rand plc IR 2.61 2.86 3.12 13.18 10.2 1.33 25.7 -12.1 -5.2 2.0 2011 0 6.9
ITT Corp. ITT 0.72 0.73 0.74 3.54 5.9 1.58 12.1 -20.4 -15.3 -6.5 2013 0 7.6
Lakeland Financial Corp. LKFN 1.46 1.60 1.76 7.42 18.1 0.86 -1.0 -18.3 -14.7 -10.9 2012 0 1.7
Southwest Airlines Co. LUV 0.86 0.94 1.04 4.32 9.3 1.53 1.2 -21.5 -16.1 -13.9 2012 0 8.7
La-Z-Boy Inc. LZB 0.62 0.67 0.72 3.12 10.9 0.79 3.1 -23.6 -9.5 -11.5 2013 0 5.8
Matson Inc. MATX 1.14 1.26 1.39 5.78 17.4 1.53 5.38 -21.22 -13.45 -12.27 2012 0 3.3
Mondelez International Inc. MDLZ 1.37 1.48 1.60 6.90 13.1 0.74 13.87 -11.94 -5.91 -3.00 2012 0 6
Herman Miller Inc. MLHR 1.00 1.03 1.06 4.95 14.4 1.65 0.9 -31.4 -16.7 -20.4 2012 0 12.5
MPLX LP MPLX 3.19 3.34 3.49 15.99 78.8 1.12 8.0 -41.3 -17.7 -26.1 2013 0 5.8
Nasdaq Inc. NDAQ 2.37 2.55 2.75 11.91 11.6 0.55 24.7 -14.7 -7.4 0.6 2012 0 3.8
Northern Trust Corp. NTRS 2.98 3.05 3.13 14.75 16.8 1.23 4.5 -20.6 -15.1 -9.3 2012 0 1.2
NVIDIA Corp. NVDA 0.78 0.86 0.95 3.95 1.5 2.13 103.7 -14.6 7.2 38.3 2013 0 18.1
Nexstar Media Group Inc. NXST 2.20 2.22 2.24 10.82 9.4 1.41 28.4 -13.7 -5.3 7.8 2013 0 3.1
Pinnacle West Capital Corp. PNW 3.40 3.53 3.68 16.98 19.0 0.11 6.2 -15.2 -5.2 -4.4 2013 0 2.8
Pinnacle Bankshares Corp. PPBN 0.60 0.61 0.63 2.98 9.5 n/a n/a n/a n/a n/a OTC 2012 0 n/a
Peoples Ltd. PPLL 2.36 2.43 2.50 11.81 16.0 n/a n/a n/a n/a n/a OTC 2012 0 n/a
Phillips 66 PSX 4.08 4.12 4.16 20.26 27.1 1.06 0.8 -37.6 -24.8 -25.8 2012 0 9.4
Phillips 66 Partners LP PSXP 4.45 4.82 5.21 22.34 41.1 1.04 14.9 -16.6 -11.2 -1.7 2013 0 8.6
Ryman Hospitality Properties Inc. RHP 4.73 5.20 5.72 23.84 34.3 1.16 -1.8 -24.1 -19.3 -16.3 2013 0 6.7
Raymond James Financial Inc. RJF 1.72 1.87 2.02 8.69 10.4 1.51 14.7 -18.4 -10.1 -2.6 2013 0 2.7
ResMed Inc. RMD 1.86 2.04 2.24 9.36 5.9 0.52 64.2 -10.7 -2.4 14.0 2012 0 10.9
Shoe Carnival Inc. SCVL 0.43 0.47 0.52 2.18 7.3 0.76 39.3 -25.2 -18.3 -6.3 2012 0 6.8
Sound Financial Bancorp Inc. SFBC 0.64 0.66 0.68 3.20 8.8 0.33 7.8 -4.6 0.0 3.4 2013 0 1.1
Southwest Georgia Financial Corp. SGB 0.56 0.58 0.59 2.80 9.5 0.49 53.6 -16.9 -4.6 27.4 2012 0 0.9
Southern Missouri Bancorp Inc. SMBC 0.66 0.68 0.70 3.29 10.0 0.70 9.7 -16.0 -11.6 -7.0 2012 0 1.3
Southern Michigan Bancorp Inc. SOMC 0.98 1.01 1.04 4.92 13.0 n/a n/a n/a n/a n/a OTC 2012 0 n/a
Service Properties Trust SVC 2.30 2.42 2.54 11.62 64.3 1.00 -0.8 -34.1 -21.3 -25.5 2012 0 2.1
Schweitzer-Mauduit International Inc.
SWM 1.94 2.04 2.14 9.76 28.9 1.46 13.5 -27.7 -11.1 -8.3 2013 0 5.8
TCF Financial Corp. TCF 1.84 2.02 2.22 9.27 25.4 1.52 1.3 -23.2 -17.9 -11.3 2012 0 1
Towne Bank TOWN 0.78 0.81 0.83 3.93 17.0 1.08 -2.7 -20.5 -16.5 -15.8 2012 0 1.2
Truxton Corp. TRUX 1.09 1.13 1.16 5.47 11.5 n/a n/a n/a n/a n/a OTC 2013 0 n/a
Timberland Bancorp Inc. TSBK 0.75 0.82 0.90 3.81 16.4 1.41 1.4 -25.7 -17.7 -14.3 2013 0 2
Tyson Foods Inc. TSN 1.87 2.03 2.22 9.39 13.8 0.37 11.0 -28.0 -20.6 -19.6 2013 0 6.1
Trinity Bank NA TYBT 1.33 1.37 1.41 6.67 10.6 n/a n/a n/a n/a n/a OTC 2012 0 n/a
Universal Forest Products Inc. UFPI 0.53 0.58 0.64 2.68 5.7 1.93 61.6 -19.4 -4.8 8.9 2013 0 8.9
Union Bankshares Inc. UNB 1.33 1.37 1.41 6.65 22.2 0.56 17.4 -37.3 -13.9 -10.5 2013 0 0.9
Western Midstream Partners LP WES 2.93 3.15 3.39 14.67 112.4 1.32 4.7 -63.5 -28.9 -44.5 2013 0 4
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Agilent Technologies
Dentsply Sirona Inc. Inc. A
XRAY 0.50 0.55 0.60 2.52 5.1 0.91 19.6 -19.1 -14.1 -11.2 2013 0 1.9
Zoetis Inc. ZTS 0.87 0.96 1.05 4.39 3.3 0.80 46.1 -8.9 -2.6 8.2 2013 0 13.4
Abbott Laboratories ABT 1.70 1.87 2.06 8.60 11.2 1.10 6.5 -16.7 -11.9 -8.5 2014 0 4.3
American Campus Communities ACC 2.49 2.74 3.01 12.56 28.9 0.45 -1.9 -14.7 -6.6 -8.0 2013 0 1.1
AGCO Corp. AGCO 0.84 0.92 1.01 4.23 7.0 0.90 0.6 -25.8 -16.4 -17.9 2013 0 4.6
Acadia Realty Trust AKR 1.28 1.32 1.36 6.34 27.7 0.79 -1.9 -22.7 -10.1 -16.2 2014 0 1
Allegion plc ALLE 1.27 1.38 1.49 6.40 5.6 1.15 32.0 -17.4 -10.1 2.9 2014 0 14
Argo Group International Holdings Ltd.ARGO 1.61 1.72 1.84 8.03 14.3 0.54 -3.8 -28.4 -14.9 -17.3 2013 0 0.5
Avnet Inc. AVT 1.09 1.20 1.32 5.51 17.9 1.31 -1.2 -37.4 -22.2 -26.4 2013 0 1.2
Banner Corp. BANR 2.00 2.14 2.29 10.07 22.1 0.78 -4.8 -26.3 -15.8 -15.0 2013 0 1.2
Brunswick Corp. BC 1.06 1.17 1.29 5.36 10.1 1.81 29.7 -19.8 -12.7 0.1 2014 0 -3.4
Brixmor Property Group BRX 1.20 1.21 1.22 5.94 32.6 0.84 8.0 -19.9 -12.0 -8.1 2014 0 3.4
First Busey Corp. BUSE 1.01 1.07 1.14 5.10 23.1 0.95 -2.6 -21.2 -16.9 -15.0 2014 0 1.1
BancorpSouth Inc. BXS 0.85 0.89 0.94 4.25 17.4 1.34 -4.7 -25.8 -18.7 -16.9 2013 0 1.2
Cathay General Bancorp CATY 1.56 1.68 1.81 7.86 25.5 1.25 -3.5 -21.5 -17.0 -14.0 2014 0 1.6
CDW Corp. CDW 1.68 1.84 2.03 8.47 7.4 1.06 26.2 -21.8 -17.1 -7.1 2014 0 9.1
Citizens Financial Group Inc. CFG 1.70 1.79 1.90 8.49 26.8 1.50 1.3 -23.3 -18.7 -12.8 2014 0 1.1
CyrusOne Inc. CONE 2.24 2.31 2.38 11.08 18.3 0.51 23.8 -24.0 -5.8 -8.0 2013 0 0.7
Central Pacific Financial Corp. CPF 1.12 1.21 1.31 5.68 23.7 1.02 -4.4 -22.4 -16.7 -17.0 2013 0 1
CVB Financial Corp. CVBF 0.84 0.92 1.01 4.29 23.1 1.00 -4.4 -19.3 -13.0 -12.1 2015 0 1.7
Delta Air Lines Inc. DAL 1.96 2.15 2.36 9.91 21.5 1.19 2.4 -27.3 -20.6 -19.4 2013 0 7.6
Danaher Corp. DHR 0.82 0.90 0.99 4.13 2.9 0.89 17.1 -14.6 -8.9 0.0 2014 0 n/a
Encompass Health Corp. EHC 1.34 1.40 1.46 6.64 8.9 0.97 31.9 -10.2 -1.3 11.5 2013 0 5.4
First Midwest Bancorp FMBI 0.66 0.70 0.75 3.30 18.2 1.24 -0.8 -23.2 -16.2 -12.2 2013 0 1.1
First National Corp. FXNC 0.39 0.41 0.42 1.97 9.8 n/a n/a n/a n/a n/a OTC 2014 0 n/a
Greenbrier Companies Inc. GBX 1.08 1.16 1.24 5.50 22.7 2.21 13.8 -42.2 -13.5 -14.4 2014 0 2.2
Guaranty Federal Bancshares GFED 0.61 0.63 0.65 3.05 12.9 0.09 7.7 -12.4 -4.3 -1.2 2014 0 1.1
Goodyear Tire & Rubber Company GT 0.73 0.75 0.76 3.60 37.1 1.56 1.8 -53.2 -29.6 -32.3 2014 0 -1.7
Hurco Companies Inc. HURC 0.50 0.52 0.53 2.52 8.9 0.96 1.8 -35.7 -16.1 -17.6 2013 0 5.6
Independent Bank Corp. MI IBCP 0.88 0.95 1.03 4.46 22.8 0.49 3.3 -18.2 -11.7 -9.4 2014 0 1.2
Johnson Outdoors Inc. JOUT 0.69 0.76 0.84 3.53 5.7 0.81 15.3 -32.1 -16.3 -8.8 2013 0 12.1
Kadant Inc. KAI 1.19 1.28 1.39 5.96 6.6 1.21 16.9 -20.4 -14.5 -2.3 2013 0 7.2
Logansport Financial Corp. LOGN 1.53 1.58 1.62 7.66 19.1 n/a n/a n/a n/a n/a OTC 2013 0 n/a
Moelis & Company MC 2.19 2.21 2.23 10.81 33.8 1.97 10.3 -28.9 -6.5 -3.5 2014 0 14.7
Macatawa Bank Corp. MCBC 0.34 0.37 0.40 1.74 18.0 0.48 3.4 -15.6 -10.9 -7.7 2014 0 1.6
Marcus Corp. MCS 0.85 0.94 1.03 4.30 16.1 0.60 6.9 -38.2 -13.3 -20.2 2014 0 3.6
MetLife Inc. MET 2.15 2.24 2.33 10.69 25.0 1.05 3.2 -19.8 -16.4 -12.1 2013 0 0.8
Manulife Financial Corporation MFC 1.30 1.41 1.53 6.53 38.8 1.35 4.86 -20.68 -15.84 -9.30 2014 0 0.7
Mackinac Financial Corp. MFNC 0.61 0.67 0.74 3.08 22.0 0.72 7.8 -21.2 -13.7 -10.5 2014 0 1
Mobile Mini Inc. MINI 1.46 1.61 1.77 7.39 18.9 1.45 34.4 -14.8 -2.8 9.4 2014 0 4
Marquette National Corp. MNAT 1.09 1.13 1.16 5.47 17.1 n/a n/a n/a n/a n/a OTC 2014 0 n/a
Medical Properties Trust Inc. MPW 1.22 1.25 1.29 6.06 28.7 0.67 25.6 -13.0 -4.3 7.1 2014 0 9.5
Materion Corp. MTRN 0.57 0.63 0.69 2.88 6.3 0.74 -1.6 -37.0 -20.6 -25.0 2013 0 6
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Agilent Technologies
National Inc.
Instruments Corp. A
NATI 1.15 1.22 1.29 5.83 14.5 0.85 6.0 -16.5 -8.1 -4.9 2014 0 9.8
NBT Bancorp Inc. NBTB 1.25 1.31 1.37 6.27 18.6 0.81 -1.3 -18.8 -15.1 -11.4 2013 0 1.2
NextEra Energy Partners LP NEP 2.21 2.23 2.25 10.86 18.8 1.04 37.2 -6.8 3.3 12.1 2014 0 -0.8
Northfield Bancorp Inc. NFBK 0.56 0.61 0.66 2.82 19.9 0.56 5.9 -19.5 -14.0 -12.0 2014 0 0.8
NetApp Inc. NTAP 2.27 2.43 2.59 11.35 24.3 1.57 4.9 -40.4 -20.6 -18.7 2013 0 12.9
Owens Corning Inc. OC 1.06 1.15 1.25 5.34 9.4 1.39 27.1 -17.8 -11.7 -5.2 2014 0 4
ONE Gas Inc. OGS 2.42 2.54 2.67 12.09 14.7 0.35 -3.3 -15.3 -12.4 -10.3 2014 0 3.4
Oshkosh Corp. OSK 1.30 1.31 1.33 6.44 8.9 1.91 9.3 -24.6 -19.3 -12.1 2014 0 9.9
Open Text Corp. OTEX 0.88 0.97 1.06 4.45 10.6 0.58 13.3 -12.4 -8.0 -0.6 2013 0 3.9
Otter Tail Corp. OTTR 1.69 1.84 2.01 8.57 17.6 0.29 1.1 -15.8 -8.3 -6.9 2014 0 4
Oak Valley Bancorp OVLY 0.32 0.32 0.33 1.58 9.4 0.55 7.0 -16.3 -10.6 -8.2 2014 0 1.1
Peoples Bancorp of North Carolina PEBK 0.65 0.67 0.69 3.27 12.9 0.80 2.2 -25.5 -13.8 -11.7 2013 0 1.3
Prologis Inc. PLD 2.38 2.40 2.43 11.70 13.9 1.12 22.2 -15.5 -8.7 -1.9 2014 0 4
Power Integrations Inc. POWI 0.93 1.02 1.13 4.70 5.4 1.28 34.0 -22.0 -13.3 -1.8 2013 0 29.1
Everest Reinsurance Group Ltd. RE 6.76 7.43 8.18 34.32 13.8 0.26 18.0 -15.8 -11.2 -5.0 2014 0 2.5
Regency Centers Corp. REG 2.77 3.02 3.29 13.98 24.3 0.54 -1.6 -18.3 -8.3 -12.5 2014 0 2.2
Rexford Industrial Realty Inc. REXR 0.87 0.96 1.06 4.47 9.6 0.83 38.7 -12.6 -2.5 5.3 2014 0 1.5
Regions Financial Corp. RF 0.73 0.78 0.85 3.66 27.1 1.49 1.1 -22.9 -17.4 -13.4 2013 0 1.3
RE/MAX Holdings Inc. RMAX 1.00 1.03 1.06 5.00 17.1 1.32 18.2 -34.0 -22.7 -12.0 2014 0 n/a
Ruth's Hospitality Group Inc. RUTH 0.67 0.74 0.81 3.40 17.8 0.69 4.8 -29.5 -10.5 -11.7 2013 0 10.6
SB Financial Group Inc. SBFG 0.43 0.44 0.45 2.12 11.3 0.79 18.9 -8.5 -3.1 6.9 2013 0 1
ServisFirst Bancshares Inc. SFBS 0.73 0.75 0.77 3.60 10.4 1.33 18.4 -15.5 -9.3 -0.2 2014 0 1.7
Star Group LP SGU 0.53 0.54 0.56 2.64 29.4 0.13 1.4 -12.4 -3.6 -5.5 2013 0 n/a
Shenandoah Telecommunications SHEN 0.35 0.39 0.43 1.79 4.0 0.54 50.1 -10.8 2.9 17.6 2014 0 3.2
SYNNEX Corp. SNX 1.91 2.10 2.31 9.69 7.8 1.02 59.2 -18.3 -9.1 12.4 2014 0 4.4
S&T Bancorp Inc. STBA 1.39 1.52 1.68 7.05 21.4 0.63 -1.3 -21.2 -15.8 -12.5 2013 0 1.3
Sturgis Bancorp STBI 0.66 0.68 0.70 3.28 15.1 n/a n/a n/a n/a n/a OTC 2014 0 n/a
TriCo Bancshares TCBK 0.99 1.06 1.14 5.02 14.9 0.89 -1.4 -18.4 -12.5 -10.3 2014 0 1.3
TE Connectivity Ltd. TEL 2.22 2.45 2.69 11.22 13.5 1.15 3.6 -18.0 -12.9 -10.5 2013 0 8.1
Terex Corp. TEX 0.49 0.50 0.50 2.43 11.0 1.57 1.3 -36.6 -19.3 -20.6 2013 0 1.6
United Community Banks Inc. UCBI 0.77 0.78 0.78 3.81 15.4 1.26 6.7 -21.8 -15.9 -13.5 2014 0 1.4
United Fire Group Inc. UFCS 1.59 1.75 1.92 8.02 20.9 (0.15) -6.2 -28.6 -14.4 -16.9 2013 0 0.8
Unity Bancorp Inc. UNTY 0.38 0.39 0.41 1.89 11.0 0.67 2.3 -30.7 -20.6 -19.4 2013 0 1.4
Marriot Vacations Worldwide Corp. VAC 2.20 2.42 2.66 11.10 11.5 1.85 17.4 -26.3 -22.2 -10.9 2014 0 1.4
Vulcan Materials VMC 1.65 1.82 2.00 8.33 6.9 0.79 10.1 -21.1 -14.5 -14.1 2014 0 5.5
Westlake Chemical Partners LP WLKP 2.20 2.41 2.65 11.07 53.6 0.61 -1.3 -21.9 -12.7 -10.4 2014 0 3.6
W.T.B. Financial Corp. WTBFA 7.65 7.88 8.11 38.28 9.0 n/a n/a n/a n/a n/a OTC 2013 0 n/a
Wintrust Financial Corp. WTFC 1.29 1.42 1.56 6.55 12.3 1.07 -3.6 -31.7 -20.0 -20.5 2014 0 1
Watts Water Technologies Inc. WTS 1.14 1.23 1.33 5.73 6.1 1.24 23.3 -18.0 -7.2 -0.3 2013 0 7.8
Zions Bancorp Inc. ZION 1.55 1.62 1.69 7.75 19.4 1.48 2.2 -23.9 -17.5 -13.1 2013 0 1.2
Ameren Corp AEE 2.33 2.43 2.55 11.64 14.7 0.25 12.5 -9.5 -1.4 2.4 2014 0 2.9
Alamo Group Inc ALG 0.62 0.66 0.70 3.09 2.8 0.64 19.8 -16.7 -11.7 -1.8 2015 0 8.5
Aramark Services Inc. ARMK 0.58 0.63 0.68 2.90 8.4 0.86 36.3 -26.4 -20.2 -14.1 2014 0 2.5
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Agilent
Bank ofTechnologies
America CorpInc. A
BAC 0.80 0.85 0.91 4.02 14.1 1.62 8.74 -20.21 -16.85 -7.48 2014 0 1.1
BankFinancial Corp. BFIN 0.52 0.56 0.60 2.60 22.9 0.31 2.2 -29.4 -11.0 -12.3 2014 0 1
Saul Centers Inc. BFS 2.37 2.55 2.75 12.02 27.9 0.91 -6.8 -26.5 -15.8 -18.9 2014 0 2.5
Berkshire Hills Bancorp Inc. BHLB 1.19 1.30 1.43 6.02 24.6 1.05 -2.4 -27.6 -19.7 -20.1 2015 0 0.7
Bloomin' Brands Inc. BLMN 0.53 0.57 0.62 2.65 14.7 0.38 19.0 -25.9 -16.6 -9.4 2015 0 3.3
Bankwell Financial Group Inc. BWFG 0.62 0.64 0.66 3.08 10.8 0.43 15.4 -9.4 -0.2 1.1 2015 0 1
Capital City Bank Group CCBG 0.59 0.63 0.67 2.98 11.2 0.72 26.7 -13.9 -9.3 -1.0 2014 0 0.9
Crown Castle International Corp CCI 6.09 6.70 7.37 30.72 21.4 0.38 22.1 -15.1 -3.9 3.0 2014 0 2.3
Community Healthcare Trust Inc. CHCT 1.96 2.02 2.08 9.69 20.4 0.67 46.1 -9.0 3.3 9.4 2015 0 0.9
CNX Midstream Partners LP CNXM 1.77 1.85 1.94 8.91 76.1 1.04 4.4 -30.9 -23.0 -19.4 2015 0 13.7
CenterState Bank Corp. CSFL 0.55 0.59 0.64 2.77 13.7 0.99 -3.9 -24.5 -16.1 -15.2 2015 0 1.3
CareTrust REIT Inc. CTRE 1.02 1.08 1.14 5.09 24.4 0.75 11.19 -18.29 -3.57 -8.66 2014 0 3
Community West Bancshares CWBC 0.26 0.26 0.27 1.28 11.8 0.46 13.7 -8.5 -2.7 6.0 2014 0 0.8
D.R. Horton Inc DHI 0.75 0.83 0.91 3.83 7.2 0.91 40.9 -14.8 -6.5 4.5 2014 0 11.3
Diamond Hill Investment Group Inc.DHIL 9.64 9.93 10.23 48.26 38.1 0.50 8.4 -13.3 -10.1 -4.8 2014 0 15.2
Dolby Laboratories Inc DLB 1.05 1.16 1.27 5.31 8.1 0.79 17.1 -10.3 -5.7 0.5 2014 0 7.2
Meridian Bancorp, Inc. EBSB 0.39 0.42 0.47 1.95 11.8 0.57 12.9 -20.9 -13.3 -11.2 2014 0 1
Enterprise Financial Services Corp EFSC 0.79 0.86 0.94 3.99 10.4 1.18 0.5 -21.6 -17.2 -10.5 2015 0 1.2
Equinix Inc. EQIX 13.10 14.41 15.85 66.08 11.5 0.68 37.2 -12.8 -4.4 3.8 2015 0 2.2
Enviva Partners LP EVA 2.99 3.08 3.17 14.80 39.1 0.88 31.9 -3.7 0.5 14.0 2015 0 0.6
Flushing Financial Corp. FFIC 1.10 1.20 1.31 5.55 30.6 0.78 -1.4 -22.5 -12.6 -13.1 2014 0 0.7
First Bancorp Inc. FNLC 1.38 1.42 1.46 6.89 27.0 0.63 5.42 -16.78 -12.77 -6.4 2014 0 1.2
First Savings Financial Group Inc. FSFG 0.80 0.82 0.85 3.94 6.3 0.37 19.5 -9.2 -3.9 0.7 2014 0 1.4
FirstService Corp. FSV 0.78 0.86 0.94 3.93 4.0 n/a 19.1 -14.0 -1.6 0.8 2015 0 n/a
Greene County Bancorp, Inc. GCBC 0.49 0.50 0.52 2.45 9.1 0.38 3.9 -15.5 -6.7 -4.4 2014 0 1.4
Gilead Sciences Inc. GILD 2.61 2.64 2.68 13.04 18.8 1.27 13.9 -12.1 4.7 5.7 2015 0 9.6
Gaming and Leisure Properties GLPI 3.40 3.75 4.12 17.38 38.9 0.62 26.2 -12.4 -2.2 8.9 2014 0 3.8
Great Southern Bancorp Inc. GSBC 1.55 1.65 1.75 7.84 15.3 1.01 2.1 -19.1 -13.9 -11.6 2014 0 1.6
Home Bancorp Inc. HBCP 1.00 1.03 1.06 4.97 15.0 0.40 -0.4 -19.0 -12.1 -12.1 2014 0 1.4
The Hackett Group Inc. HCKT 0.48 0.52 0.58 2.40 15.6 0.58 5.95 -18.52 -4.74 -5.23 2014 0 10.1
Home Federal Bancorp Inc. of Louisiana
HFBL 0.70 0.72 0.74 3.50 10.3 0.58 11.65 -10.45 -2.89 2.69 2014 0 0.9
Hoegh LNG Partners LP HMLP 2.34 2.58 2.83 11.82 94.6 1.07 9.2 -37.4 -15.2 -21.8 2014 0 3.6
Hennessy Advisors Inc. HNNA 0.53 0.55 0.56 2.65 26.2 0.79 12.8 -20.6 -1.8 -1.6 2014 0 9.7
Independent Bank Group Inc. IBTX 1.33 1.46 1.61 6.72 14.5 1.30 -2.7 -26.7 -15.6 -14.4 2014 0 1.2
Independence Holding Company IHC 0.38 0.39 0.40 1.88 5.1 0.2 11.21 -14.89 -10.16 -5.33 2014 0 2.5
Intel Corp. INTC 1.48 1.61 1.76 7.55 13.6 0.88 29.5 -19.9 -10.8 3.8 2015 0 15.9
Innospec Inc. IOSP 1.30 1.40 1.51 6.54 7.6 1.19 10.95 -19.76 -15.34 -7.03 2014 0 7.5
Investar Holding Corp. ISTR 0.28 0.29 0.30 1.40 6.6 0.15 -0.6 -19.3 -9.6 -10.4 2014 0 0.8
Kearny Financial Corp. KRNY 0.29 0.30 0.31 1.46 13.3 0.37 -2.2 -24.2 -15.7 -18.0 2015 0 0.6
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Agilent Technologies
Lamar Advertising Co.Inc. A
LAMR 4.71 4.85 5.00 23.36 27.9 1.03 12.6 -13.5 -8.3 0.5 2014 0 6.3
Gladstone Land Corp. LAND 0.60 0.66 0.73 3.07 22.9 0.78 18.9 -7.0 0.5 9.1 2015 0 n/a
Eli Lilly & Company LLY 3.43 3.78 4.16 17.33 13.7 0.24 24.4 -14.7 -8.2 6.0 2015 0 21.6
Logitech International LOGI 0.94 1.02 1.10 4.74 12.2 1.34 9.1 -20.2 -14.7 -6.4 2014 0 12.9
Lam Research Corp. LRCX 5.50 6.05 6.65 27.75 9.5 1.68 79.4 -14.8 -4.0 20.9 2014 0 16.8
Masco Corp MAS 0.64 0.71 0.78 3.25 7.9 1.40 18.8 -17.5 -13.1 -3.6 2014 0 16.9
MutualFirst Financial Inc. MFSF 0.97 1.02 1.07 4.87 14.5 0.85 22.4 -17.5 -12.6 -2.8 2014 0 1
Mid Penn Bancorp MPB 0.79 0.81 0.84 3.90 18.4 0.61 -0.9 -28.7 -19.7 -16.9 2014 0 0.7
Morgan Stanley MS 1.70 1.84 1.99 8.53 19.0 1.32 16.18 -21.78 -14.75 -2.79 2014 0 0.9
MSCI Inc. MSCI 3.35 3.69 4.06 16.92 5.7 1.26 64.6 -11.9 4.6 19.9 2014 0 15.7
Enpro Industries Inc. NPO 1.08 1.15 1.21 5.47 10.1 1.78 0.3 -28.8 -14.8 -16.2 2015 0 0.5
National Research Corporation NRC 0.95 1.04 1.15 4.83 8.8 0.79 46.4 -22.9 -18.4 -10.1 2014 0 28.5
OceanFirst Financial Corp OCFC 0.86 0.94 1.04 4.34 21.2 0.80 -0.1 -21.7 -15.8 -14.3 2014 0 1.1
Orrstown Financial Services Inc. ORRF 0.75 0.77 0.79 3.70 20.8 0.66 -1.6 -24.2 -18.1 -18.1 2015 0 0.5
PBF Logistics LP PBFX 2.34 2.52 2.72 11.81 62.3 0.83 1.3 -15.1 -9.4 -8.9 2014 0 10.3
Preferred Bank PFBC 1.57 1.72 1.90 7.93 15.5 1.17 21.8 -20.7 -14.9 -4.0 2014 0 1.7
Parke Bancorp Inc. PKBK 0.75 0.82 0.90 3.81 20.6 0.75 4.3 -20.0 -14.8 -11.9 2014 0 1.8
Children's Place Inc. (The) PLCE 2.56 2.64 2.71 12.66 22.0 0.87 7.4 -50.7 -10.6 -28.2 2014 0 5.3
PS Business Parks Inc PSB 4.72 4.87 5.01 23.43 15.8 0.44 3.4 -22.7 -11.1 -14.1 2014 0 5.3
People's Utah Bancorp PUB 0.61 0.66 0.72 3.10 12.9 0.72 -4.0 -23.5 -16.3 -16.7 2015 0 1.9
Restaurant Brands International Inc.QSR 2.13 2.19 2.26 10.66 18.2 n/a -1.0 -26.4 -8.6 -14.8 2015 0 n/a
QTS Realty Trust Inc. QTS 1.98 2.04 2.10 9.79 17.4 0.76 36.6 -12.0 0.0 10.8 2014 0 -0.1
Riverview Bancorp Inc RVSB 0.21 0.23 0.25 1.06 16.5 0.65 -1.8 -25.9 -15.2 -15.7 2015 0 1.5
Superior Group of Companies Inc. SGC 0.41 0.41 0.42 2.04 17.0 0.18 17.3 -36.0 -5.2 -19.1 2014 0 n/a
Shell Midstream Partners LP SHLX 2.05 2.21 2.39 10.40 60.8 1.07 6.9 -24.6 -15.8 -16.4 2015 0 19.2
Selective Insurance Group Inc. SIGI 1.00 1.05 1.11 5.03 9.0 0.63 -6.3 -31.4 -16.2 -22.5 2014 0 3.2
Synovus Financial SNV 1.48 1.60 1.72 7.43 25.6 1.35 -1.5 -28.2 -22.2 -19.3 2014 0 1.1
Sprague Resources LP SRLP 3.33 3.43 3.53 16.45 133.9 1.48 -1.6 -40.2 -24.2 -27.9 2014 0 4.6
Simpsom Manufacturing Co. SSD 1.14 1.20 1.26 5.68 7.2 1.3 42.35 -9.99 -4.11 9.26 2014 0 11.3
Extended Stay America Inc. STAY 1.02 1.03 1.04 5.11 46.5 1.27 5.7 -44.4 -19.8 -26.8 2014 0 1.9
Skyworks Solutions Inc. SWKS 2.00 2.20 2.43 10.11 10.1 1.23 51.12 -22.03 -15.26 9.06 2014 0 16.9
TFS Financial Corporation TFSL 1.09 1.13 1.16 5.49 26.9 0.17 28.6 -8.1 0.0 8.6 2014 0 n/a
Timken Company (The) TKR 1.42 1.49 1.56 7.06 15.8 1.76 18.81 -23.72 -18.55 -8.12 2014 0 7.7
Tetra Tech Inc. TTEK 0.75 0.82 0.90 3.78 4.7 0.99 41.26 -18.59 -10.08 -2.90 2014 0 7.7
United Bancorp Inc. UBCP 0.73 0.80 0.88 3.66 26.4 0.19 35.2 -11.0 -1.4 13.3 2014 0 0.8
USD Partners LP USDP 1.56 1.61 1.65 7.80 86.3 0.44 7.1 -24.4 -10.7 -13.4 2015 0 2.1
Unitil Corp. UTL 1.83 1.91 1.99 9.11 16.2 0.14 6.3 -14.3 -9.9 -7.3 2015 0 3.4
Woodlands Financial Services Co. WDFN 1.11 1.15 1.18 5.58 16.7 n/a n/a n/a n/a n/a OTC 2014 0 n/a
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Agilent Technologies
Wellesley Inc.
Bancorp Inc. A
WEBK 0.27 0.28 0.29 1.37 3.5 0.6 30.46 -14.79 -8.95 11.97 2014 0 0.6
Advanced Drainage Systems Inc. WMS 0.43 0.47 0.52 2.16 5.2 1.04 79.15 -18.88 -2.01 17.40 2014 0 -26.4
WSFS Financial Corp. WSFS 0.60 0.66 0.73 3.06 8.9 1.10 -4.3 -25.2 -18.0 -18.5 2014 0 1.1
Watsco Inc. WSO 8.09 8.89 9.78 41.15 26.2 0.77 15.1 -14.2 -10.5 -6.9 2014 0 9.1
Western Union Company WU 1.01 1.06 1.12 5.04 22.5 0.69 27.8 -21.3 -16.2 -5.3 2015 0 11.7
Woodward Inc. WWD 0.87 0.95 1.05 4.37 4.2 1.25 14.0 -20.0 -13.5 -8.7 2015 0 6.6
Great Ajax Corp. AJX 1.34 1.39 1.43 6.76 47.8 0.74 14.0 -11.5 -5.9 -3.7 2015 0 2.2
Ally Financial Inc. ALLY 0.91 1.00 1.10 4.57 18.2 1.04 2.5 -29.2 -18.6 -19.8 2016 0 0.9
American National Bankshares Inc.AMNB 1.26 1.31 1.36 6.27 20.3 1.07 -2.2 -25.6 -16.7 -14.9 2015 0 0.7
Flanigan's Enterprises Inc. BDL 0.30 0.31 0.32 1.50 7.3 0.28 0.4 -19.6 -6.1 -11.6 2015 0 4.4
Popular, Inc. BPOP 1.50 1.57 1.65 7.46 15.6 1.10 1.7 -21.9 -16.5 -13.0 2015 0 1.2
Citigroup Inc C 2.55 2.80 3.08 12.86 20.3 1.75 5.7 -23.6 -18.6 -11.2 2015 0 0.9
Cable One, Inc. CABO 11.31 12.44 13.69 57.08 3.6 0.40 72.7 -14.1 -4.2 15.0 2015 0 6.6
Carnival Corporation & Plc CCL 2.38 2.56 2.75 11.92 35.6 1.16 10.8 -43.0 -27.5 -27.8 2015 0 6.7
Cognex Corporation CGNX 0.25 0.28 0.30 1.26 2.8 1.95 11.4 -24.7 -18.1 -8.8 2015 0 13.6
Dollar General Corp. DG 1.66 1.83 2.01 8.39 5.6 0.47 38.2 -10.0 -4.2 0.8 2015 0 8.4
Dicks Sporting Goods Inc. DKS 1.36 1.48 1.60 6.88 18.9 0.66 16.4 -26.9 -20.9 -8.5 2015 0 5.2
Duke Realty Corporation DRE 1.08 1.14 1.21 5.41 16.7 0.78 11.5 -16.5 -9.4 -4.1 2015 0 2.9
Energizer Holdings, Inc. ENR 1.47 1.61 1.77 7.40 17.2 0.73 32.1 -20.2 -13.4 -2.6 2015 0 0.2
Entergy Corporation ETR 3.99 4.03 4.07 19.73 16.9 0.33 27.6 -13.8 -7.1 2.5 2015 0 1.9
Exelon Corporation EXC 1.63 1.64 1.66 8.14 18.9 0.30 -0.7 -15.8 -8.5 -8.3 2016 0 2.4
1st Constitution Bancorp FCCY 0.37 0.40 0.43 1.88 10.3 0.32 11.2 -20.0 -14.0 -5.2 2016 0 1.1
Fidelity D & D Bancorp, Inc. FDBC 1.16 1.19 1.23 5.80 11.8 0.42 0.0 -29.6 -17.9 -21.0 2015 0 1.16
Franklin Financial Services Inc. FRAF 1.28 1.32 1.36 6.40 20.6 0.23 15.6 -21.6 -17.1 -15.0 2015 0 1.24
Fulton Financial Corp. FULT 0.62 0.67 0.73 3.17 21.9 0.95 -2.5 -19.7 -15.3 -12.9 2015 0 1.1
Green Plains Partners LP GPP 2.15 2.37 2.60 10.99 80.5 0.50 9.0 -16.3 -3.9 -1.3 2015 0 44.5
W. R. Grace & Co. GRA 1.31 1.43 1.56 6.58 11.6 0.81 4.3 -29.0 -15.1 -17.9 2016 0 5.1
Great Western Bancorp Inc. GWB 1.24 1.29 1.33 6.22 23.1 1.57 -2.8 -29.2 -17.4 -18.7 2015 0 1.3
Houlihan Lokey, Inc. HLI 1.41 1.53 1.67 7.11 13.9 0.99 22.5 -13.7 -2.2 8.5 2015 0 11.7
Hewlett Packard Enterprise Company
HPE 0.52 0.56 0.61 2.63 20.6 1.56 2.2 -27.3 -14.8 -14.3 2016 0 2
Hilltop Holdings Inc. HTH 0.41 0.45 0.50 2.09 10.0 0.80 24.7 -20.7 -12.3 -9.7 2016 0 1.1
Hexcel Corporation HXL 0.85 0.93 1.02 4.29 6.6 1.00 -1.5 -25.7 -13.2 -16.8 2015 0 9.7
IBERIABANK Corporation IBKC 2.17 2.34 2.53 10.93 18.2 1.39 -4.0 -26.5 -18.7 -18.8 2016 0 1.3
Kimball International Inc. KBAL 0.39 0.42 0.47 1.97 12.2 0.85 17.7 -27.8 -17.3 -13.8 2015 0 11.3
Kinsale Capital Group, Inc. KNSL 0.43 0.47 0.52 2.15 1.8 0.41 86.3 -8.4 7.9 22.2 2016 0 5.5
Ladder Capital Corp LADR 1.57 1.65 1.73 7.94 52.1 1.06 -3.8 -19.6 -16.5 -11.4 2015 0 1.6
Medifast, Inc. MED 3.99 4.39 4.83 20.15 24.2 0.75 25.0 -47.9 -20.5 -23.2 2016 0 37.3
Marine Products Corp. MPX 0.62 0.68 0.75 3.15 25.0 0.54 1.5 -31.3 -12.7 -13.8 2015 0 25.2
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Agilent
MidlandTechnologies Inc.Inc.
States Bancorp, A
MSBI 1.18 1.26 1.35 5.97 25.1 1.35 5.4 -19.3 -14.2 -11.0 2016 0 1
Mueller Water Products, Inc. MWA 0.25 0.28 0.30 1.26 11.5 1.17 23.6 -13.9 -8.8 0.9 2015 0 7.3
Nelnet, Inc. NNI 0.83 0.84 0.85 4.15 7.8 0.31 1.0 -24.1 -9.7 -13.4 2015 0 0.5
National Storage Affiliates Trust NSA 1.55 1.71 1.88 7.95 23.5 0.32 24.2 -11.7 -3.0 3.4 2015 0 -0.9
NexPoint Residential Trust Inc. NXRT 1.33 1.39 1.46 6.60 14.8 0.34 29.8 -15.8 -5.7 -2.1 2015 0 -1.2
Pathfinder Bancorp, Inc. PBHC 0.28 0.29 0.30 1.40 9.9 (0.43) 12.4 -13.2 2.3 2.3 2015 0 0.3
Saratoga Investment Corp. SAR 2.49 2.57 2.65 12.53 54.7 n/a 3.8 -20.2 -13.4 -9.1 2015 0 n/a
Charles Schwab Corporation SCHW 0.83 0.85 0.86 4.10 10.1 1.30 17.8 -21.1 -13.8 -5.5 2016 0 1.3
Shore Bancshares, Inc. SHBI 0.55 0.60 0.66 2.77 17.8 0.59 7.6 -13.1 -5.8 -3.0 2015 0 1.6
Summit Financial Group, Inc. SMMF 0.72 0.78 0.85 3.67 16.8 0.96 -1.8 -21.2 -15.0 -15.3 2015 0 1.3
STORE Capital Corp STOR 1.70 1.80 1.91 8.50 25.9 0.20 4.9 -19.8 -13.2 -11.1 2015 0 2.9
Constellation Brands Inc. A STZ 3.64 3.81 3.99 18.20 10.6 0.77 5.4 -19.6 -10.5 -11.2 2015 0 2.9
Tallgrass Energy LP TGE 2.42 2.44 2.47 12.08 54.7 0.67 54.6 -15.0 -0.4 7.9 2015 0 4
TTEC Holdings Inc. TTEC 0.82 0.90 0.99 4.15 11.1 0.63 22.6 -25.8 -7.7 -14.6 2015 0 6
Urstadt Biddle Properties Inc. UBP 1.07 1.10 1.14 5.36 31.8 n/a 6.9 -15.3 -10.2 -6.5 2016 0 n/a
Value Line Inc. VALU 0.85 0.87 0.90 4.24 14.7 0.31 56.7 -21.2 -7.3 9.4 2015 0 13.2
Werner Enterprises, Inc. WERN 0.44 0.44 0.45 2.16 6.4 1.11 23.2 -16.1 -9.9 -2.2 2015 0 8.5
Averages for All 433 1.68 1.79 1.91 8.45 19.71 0.93 13.21 -21.72 -12.05 -8.00 2013 0.00 4.63
Averages by Sector
Communication Services 8 2.76 2.97 3.21 13.84 13.84 0.83 29.30 -23.41 -8.50 -3.34 2013 0.00 3.81
Consumer Discretionary 41 1.78 1.91 2.05 8.93 18.13 0.90 18.33 -28.86 -13.52 -11.42 2013 0.00 6.89
Consumer Staples 9 2.17 2.30 2.45 10.87 23.55 0.81 17.45 -27.81 -11.66 -10.78 2013 0.00 8.26
Energy 15 2.96 3.10 3.25 14.83 78.59 0.96 11.83 -31.14 -16.57 -17.55 2014 0.00 9.46
Financials 193 1.33 1.41 1.50 6.69 18.31 0.88 7.57 -20.49 -12.85 -8.82 2013 0.00 1.85
Health Care 14 1.93 2.06 2.21 9.67 10.87 0.89 25.74 -15.09 -7.43 0.12 2013 0.00 10.65
Industrials 48 1.48 1.60 1.72 7.47 11.50 1.34 18.12 -22.60 -12.78 -6.91 2013 0.00 6.24
Information Technology 29 1.55 1.68 1.83 7.80 10.95 1.11 25.32 -20.19 -11.24 -2.40 2013 0.00 12.10
Materials 15 2.11 2.25 2.40 10.60 20.23 1.25 6.99 -26.63 -15.25 -12.83 2012 0.00 6.95
Real Estate 46 2.36 2.50 2.64 11.81 25.34 0.74 13.21 -18.32 -8.63 -5.83 2013 0.00 2.52
Utilities 15 1.98 2.05 2.13 9.87 17.79 0.37 9.39 -14.12 -7.33 -4.28 2013 0.00 2.39
Challengers Dividend Growth Model Technical Data Other
(and American Depository Receipts) (based on Earnings Estimates, if available) MMA=Moving Market Average
As of 2/28/20 Past Performance is No Guarantee of Future Results
Last updated 12/31/2019 5-year Total Current Price as % from:
Company EstimatedTicker
Dividends to be Paid in Year: Est. Payback 5-yr 52-wk 52-wk 50-day 200-day Streak Recessions TTM
Name Symbol 2021 2022 2023 $ % Beta Low High MMA MMA OTC Began Survived ROA
Agilent Technologies Inc. A
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Agilent Technologies Inc.A 0.656 0.596 0.528 0.460 0.400 0.378 0.329 0.215 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Aaron's Inc. AAN 0.140 0.120 0.110 0.100 0.094 0.086 0.068 0.060 0.052 0.048 0.045 0.043 0.040 0.037 0.035 0.026 0.012
Apple Inc. AAPL 3.040 2.820 2.460 2.230 2.030 1.846 1.686 0.757 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
American Assets Trust Inc.
AAT 1.140 1.090 1.050 1.010 0.948 0.893 0.850 0.840 0.800 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
AbbVie Inc. ABBV 4.280 3.590 2.560 2.280 2.020 1.660 1.600 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
AmerisourceBergen Corp. ABC 1.600 1.540 1.475 1.385 1.210 0.995 0.865 0.600 0.460 0.340 0.240 0.163 0.113 0.063 0.031 0.025 0.025
ABM Industries Inc. ABM 0.720 0.700 0.680 0.660 0.640 0.620 0.600 # 0.580 0.560 0.540 0.520 0.500 0.480 0.440 0.420 0.400 0.380
Arbor Realty Trust Inc. ABR 1.140 0.980 0.720 0.620 0.580 0.520 0.500 0.285 0.000 0.000 0.000 2.100 2.460 2.570 2.240 0.780 0.000
Abbott Laboratories ABT 1.280 1.120 1.060 1.040 0.960 0.880 0.560 0.964 0.902 0.825 0.748 0.674 0.609 0.557 0.521 0.491 0.440
American Campus Communities
ACC 1.870 1.820 1.740 1.660 1.580 1.500 1.418 1.350 1.350 1.350 1.350 1.350 1.350 1.350 1.350 0.165 0.000
Accenture plc ACN 2.990 2.790 2.660 2.310 2.120 1.950 1.740 1.485 1.125 0.825 0.750 0.500 0.420 0.350 0.300 0.000 0.000
Acme United Corp. ACU 0.480 0.440 0.420 0.400 0.360 0.330 0.300 # 0.280 0.250 0.210 0.200 0.170 0.150 0.120 0.100 0.040 0.000
Agree Realty Corp. ADC 2.240 2.120 2.020 1.920 1.830 1.700 1.630 1.600 1.710 2.040 2.010 2.000 1.960 1.960 1.960 1.945 1.910
Analog Devices Inc. ADI 2.160 1.920 1.800 1.680 1.600 1.480 1.360 1.200 0.970 0.860 0.800 0.780 0.720 0.600 0.360 0.220 0.040
Archer Daniels Midland ADM 1.400 1.340 1.280 1.200 1.120 0.960 0.760 0.700 0.655 0.600 0.560 0.520 0.460 0.400 0.340 0.300 0.240
Automatic Data Proc. ADP 3.160 2.640 2.280 2.120 1.960 1.686 1.520 1.380 1.258 1.188 1.153 1.013 0.804 0.646 0.542 0.489 0.419
Ameren Corp AEE 1.920 1.848 1.778 1.715 1.655 1.61 1.6 1.6 1.555 1.54 1.54 2.54 2.54 2.54 2.54 2.54 2.54
American Equity Investment
AELLife Holding
0.300 Co.0.280 0.260 0.240 0.220 0.200 0.180 0.150 0.120 0.100 0.080 0.070 0.060 0.050 0.040 0.020 0.010
American Electric Power AEP
Co. 2.710 2.530 2.390 2.270 2.150 2.030 1.950 1.880 1.850 1.710 1.640 1.640 1.580 1.500 1.420 1.400 1.650
AES Corp. AES 0.546 0.520 0.480 0.440 0.400 0.200 0.160 0.040 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
American Financial Group AFG
Inc. 1.650 1.450 1.288 1.153 1.030 0.910 0.805 0.720 0.663 0.575 0.520 0.500 0.400 0.368 0.333 0.333 0.333
AFLAC Inc. AFL 1.080 1.040 0.870 0.830 0.790 0.740 0.710 0.670 0.615 0.570 0.560 0.480 0.400 0.275 0.220 0.190 0.150
AGCO Corp. AGCO 0.630 0.600 0.560 0.520 0.480 0.440 0.400 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Federal Agricultural Mortgage
AGM Corp.2.800 2.320 1.440 1.040 0.640 0.560 0.480 0.400 0.200 0.200 0.200 0.400 0.400 0.400 0.400 0.100 0.000
Assured Guaranty Ltd. AGO 0.720 0.640 0.570 0.520 0.480 0.440 0.400 0.360 0.180 0.180 0.180 0.180 0.160 0.140 0.120 0.060 0.000
Armada Hoffler PropertiesAHH
Inc. 0.830 0.790 0.750 0.710 0.670 0.640 0.160 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Applied Industrial Technologies
AIT Inc.1.240 1.200 1.160 1.120 1.080 1.000 0.920 0.840 0.740 0.640 0.600 0.600 0.540 0.460 0.340 0.230 0.213
Apartment Investment & AIV
Management 1.560
Co. 1.520 1.440 1.320 1.180 1.040 0.960 0.760 0.480 0.400 0.907 2.400 2.400 2.400 2.400 2.400 3.060
Assurant Inc. AIZ 2.430 2.280 2.150 2.030 1.370 1.060 0.960 0.810 0.700 0.630 0.590 0.540 0.460 0.380 0.310 0.210 0.000
Arthur J. Gallagher & Co.AJG 1.720 1.640 1.560 1.520 1.480 1.440 1.400 1.360 1.320 1.280 1.280 1.280 1.240 1.200 1.120 1.000 0.720
Great Ajax Corp. AJX 1.280 1.220 1.130 0.990 0.640 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Acadia Realty Trust AKR 1.120 1.080 1.040 1.000 0.960 0.920 0.810 0.720 0.720 0.720 0.780 0.840 0.800 0.740 0.690 0.640 0.565
Air Lease Corp. AL 0.520 0.400 0.300 0.200 0.160 0.120 0.075 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Albemarle Corp. ALB 1.438 1.325 1.265 1.205 1.145 1.065 0.960 0.775 0.635 0.560 0.500 0.480 0.420 0.345 0.310 0.293 0.283
Allete Inc. ALE 2.350 2.240 2.140 2.080 2.020 1.960 1.900 1.840 1.780 1.760 1.760 1.720 1.640 1.450 1.245 1.149 1.132
Alamo Group Inc ALG 0.480 0.440 0.400 0.360 0.320 0.280 0.280 0.240 0.240 0.240 0.240 0.240 0.240 0.240 0.240 0.240 0.240
Alaska Air Group Inc. ALK 1.400 1.280 1.200 1.100 0.800 0.500 0.200 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Allstate Corp. ALL 1.960 1.750 1.440 1.290 1.180 1.120 1.000 0.880 0.840 0.800 0.800 1.640 1.520 1.400 1.280 1.120 0.920
Allegion plc ALLE 1.080 0.840 0.640 0.480 0.400 0.320 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Ally Financial Inc. ALLY 0.680 0.560 0.400 0.160 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Autoliv Inc. ALV 2.480 2.460 2.380 2.300 2.220 2.120 2.000 1.890 1.730 0.650 0.210 1.600 1.540 1.360 1.170 0.770 0.540
Amgen Inc. AMGN 5.800 5.280 4.600 4.000 3.160 2.440 1.880 1.440 0.560 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
American National Bankshares
AMNB Inc.
1.040 1.000 0.970 0.960 0.930 0.920 0.920 0.920 0.920 0.920 0.920 0.920 0.910 0.870 0.830 0.790 0.750
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Armanino Foods of Distinction
AMNFInc. 0.098 0.088 0.080 0.078 0.073 0.066 0.052 0.048 0.042 0.033 0.030 0.029 0.026 0.025 0.020 0.020 0.020
Ameriprise Financial Inc.AMP 3.810 3.530 3.240 2.920 2.590 2.260 2.010 1.430 0.870 0.710 0.680 0.660 0.560 0.440 0.110 0.000 0.000
Amerisafe Inc. AMSF 1.000 0.880 0.800 0.720 0.600 0.480 0.320 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
American Tower Corp. AMT 3.610 3.010 2.640 2.200 1.810 1.400 1.100 0.900 0.350 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
TD Ameritrade Holding Corp.
AMTD 1.210 0.930 0.750 0.690 0.620 0.510 0.390 0.270 0.210 0.050 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Andersons Inc. (The) ANDE 0.680 0.660 0.640 0.620 0.560 0.440 0.427 0.400 0.293 0.238 0.232 0.217 0.147 0.118 0.110 0.103 0.097
Anthem Inc. ANTM 3.200 3.000 2.700 2.600 2.500 1.750 1.500 1.150 1.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Aon plc AON 1.720 1.560 1.410 1.290 1.150 0.925 0.683 0.623 0.600 0.600 0.600 0.600 0.600 0.300 0.000 0.000 0.000
A.O. Smith Corp. AOS 0.900 0.760 0.560 0.480 0.380 0.300 0.230 0.180 0.150 0.135 0.128 0.123 0.117 0.110 0.107 0.103 0.097
Air Products & Chem. APD 4.580 4.250 3.710 3.390 3.200 3.020 2.770 2.500 2.230 1.920 1.790 1.700 1.480 1.340 1.250 1.040 0.880
Amphenol Corp. APH 0.960 0.840 0.670 0.560 0.515 0.425 0.258 0.165 0.030 0.030 0.030 0.030 0.030 0.030 0.023 0.000 0.000
Apollo Bancorp Inc. APLO 2.070 2.000 1.970 1.930 1.890 1.850 1.720 1.630 1.520 1.260 1.440 1.680 1.640 1.600 1.600 1.590 1.520
Apogee Enterprises Inc. APOG 0.700 0.630 0.560 0.500 0.440 0.400 0.360 0.352 0.326 0.326 0.326 0.304 0.277 0.263 0.253 0.243 0.233
Preferred Apartment Communities
APTS Inc.
1.045 1.010 0.940 0.810 0.710 0.640 0.595 0.525 0.500 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Alexandria Real Estate Equities
ARE Inc.3.940 3.660 3.440 3.200 3.020 2.820 2.490 2.020 1.820 1.400 2.300 3.160 3.000 2.820 2.680 2.440 2.120
Argo Group International ARGO
Holdings Ltd.
1.240 1.080 0.939 0.765 0.696 0.600 0.522 0.417 0.417 0.417 0.000 0.000 0.000 0.000 0.365 0.209 0.209
Aramark Services Inc. ARMK 0.440 0.425 0.414 0.388 0.354 0.311 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Arrow Financial Corp. AROW 1.040 1.020 0.978 0.950 0.929 0.911 0.906 0.875 0.852 0.803 0.780 0.766 0.727 0.705 0.671 0.630 0.575
Artesian Resources ARTNA 0.984 0.955 0.927 0.900 0.873 0.848 0.823 0.796 0.762 0.753 0.723 0.707 0.664 0.613 0.581 0.553 0.533
Associated Banc-Corp ASB 0.690 0.620 0.500 0.450 0.410 0.370 0.330 0.230 0.040 0.040 0.470 1.270 1.220 1.140 1.060 0.977 0.887
Ashland Global Holdings ASHInc. 1.075 0.975 0.866 0.763 0.739 0.665 0.609 0.416 0.330 0.257 0.147 0.440 0.538 0.538 0.491 0.444 0.444
Ames National Corp. ATLO 0.950 0.910 0.870 0.830 0.780 0.700 0.630 0.580 0.500 0.430 0.580 1.110 1.070 1.030 0.913 0.633 0.600
Atmos Energy ATO 2.150 1.980 1.835 1.710 1.590 1.500 1.420 1.385 1.365 1.345 1.325 1.305 1.285 1.265 1.245 1.225 1.205
AptarGroup Inc. ATR 1.420 1.320 1.280 1.220 1.140 1.090 1.000 0.880 0.800 0.660 0.600 0.560 0.500 0.420 0.350 0.220 0.125
Atrion Corp. ATRI 5.800 5.100 4.500 3.900 3.300 2.780 2.400 2.100 1.820 1.560 1.320 1.080 0.880 0.740 0.620 0.520 0.240
Activision Blizzard Inc. ATVI 0.370 0.340 0.300 0.260 0.230 0.200 0.190 0.180 0.165 0.150 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Atlantic Union BanksharesAUB Corp. 0.960 0.880 0.810 0.770 0.680 0.580 0.540 0.370 0.280 0.250 0.300 0.740 0.725 0.630 0.515 0.453 0.400
Auburn National BancorpAUBN 1.000 0.960 0.920 0.900 0.880 0.860 0.840 0.820 0.800 0.780 0.760 0.740 0.700 0.640 0.580 0.500 0.480
Avista Corp. AVA 1.550 1.490 1.430 1.370 1.320 1.270 1.220 1.160 1.100 1.000 0.810 0.690 0.595 0.570 0.545 0.515 0.490
Avalonbay Communities AVB Inc. 6.030 5.830 5.610 5.300 4.910 4.550 4.180 3.803 3.570 3.570 3.570 3.528 3.330 3.050 2.830 2.800 2.800
Broadcom Limited AVGO 11.200 7.900 4.810 2.040 1.640 1.230 0.880 0.610 0.400 0.070 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Avnet Inc. AVT 0.820 0.780 0.720 0.680 0.660 0.620 0.300 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Avery Dennison Corp. AVY 2.260 2.010 1.760 1.600 1.460 1.340 1.140 1.080 1.000 0.800 1.220 1.640 1.610 1.570 1.530 1.490 1.450
American Water Works AWK 1.955 1.780 1.620 1.465 1.330 1.210 1.090 # 0.960 0.900 0.860 0.820 0.400 0.000 0.000 0.000 0.000 0.000
American States Water AWR 1.160 1.060 0.994 0.914 0.874 0.830 0.760 0.635 0.550 0.520 0.505 0.500 0.478 0.465 0.450 0.443 0.440
American Express Company AXP 1.600 1.440 1.310 1.190 1.100 0.980 0.860 0.780 0.720 0.720 0.720 0.720 0.600 0.540 0.435 0.368 0.315
Axis Capital Holdings Ltd.AXS 1.600 1.560 1.520 1.400 1.160 1.080 1.000 0.960 0.920 0.840 0.800 0.740 0.660 0.600 0.575 0.445 0.070
Aircastle Limited AYR 1.220 1.140 1.060 0.980 0.900 0.820 0.695 0.615 0.500 0.400 0.400 1.450 2.188 0.350 0.000 0.000 0.000
Barnes Group Inc. B 0.640 0.620 0.550 0.510 0.480 0.450 0.420 0.400 0.340 0.320 0.480 0.620 0.545 0.485 0.420 0.400 0.400
Boeing Company BA 8.220 6.840 5.680 4.360 3.640 2.920 1.940 1.760 1.680 1.680 1.680 1.600 1.400 1.200 1.000 0.770 0.680
Bank of America Corp BAC 0.660 0.540 0.390 0.250 0.200 0.120 0.040 0.040 0.040 0.040 0.040 2.880 2.400 2.120 1.900 1.700 1.440
Booz Allen Hamilton Holding
BAHCorp. 0.960 0.760 0.680 0.600 0.520 0.430 0.390 0.360 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Brookfield Asset Management
BAM Inc. 0.640 0.600 0.560 0.520 0.473 0.427 0.390 0.336 0.299 0.299 0.299 0.293 0.268 0.222 0.151 0.162 0.174
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
BancFirst Corp. OK BANF 1.220 0.930 0.780 0.730 0.690 0.635 0.590 0.550 0.510 0.470 0.445 0.410 0.370 0.330 0.290 0.258 0.228
Banner Corp. BANR 1.610 1.330 0.980 0.830 0.720 0.690 0.400 0.040 0.040 0.040 0.080 0.650 0.760 0.720 0.680 0.640 0.600
Best Buy Corp. BBY 1.950 1.800 1.360 1.120 0.920 0.720 0.680 0.650 0.610 0.570 0.560 0.530 0.430 0.340 0.300 0.273 0.000
Brunswick Corp. BC 0.870 0.780 0.685 0.615 0.525 0.450 0.100 0.050 0.050 0.050 0.050 0.050 0.600 0.600 0.600 0.600 0.500
Balchem Inc. BCPC 0.470 0.420 0.380 0.340 0.300 0.260 0.220 0.180 0.150 0.110 0.073 0.073 0.040 0.027 0.018 0.016 0.016
Flanigan's Enterprises Inc.
BDL 0.280 0.250 0.200 0.180 0.150 0.000 0.000 0.000 0.100 0.000 0.000 0.000 0.000 0.350 0.320 0.300 0.270
Becton Dickinson & Co. BDX 3.100 3.020 2.940 2.710 2.460 2.235 2.030 1.845 1.640 # 1.480 1.320 1.140 0.980 0.860 0.720 0.600 0.400
Franklin Resources BEN 1.040 0.920 0.800 0.720 0.600 0.480 0.390 0.367 0.333 0.293 0.280 0.267 0.200 0.160 0.133 0.113 0.100
Brookfield Renewable Partners
BEP LP 2.060 1.960 1.870 1.780 1.660 1.525 1.433 1.373 1.300 1.292 1.250 1.250 1.250 0.490 0.101 0.000 0.000
Brown-Forman Class B BF-B 0.664 0.632 0.584 0.544 0.514 0.472 0.422 0.382 0.349 0.320 0.307 0.290 0.258 0.239 0.209 0.181 0.160
BankFinancial Corp. BFIN 0.400 0.370 0.280 0.210 0.160 0.080 0.040 0.040 0.220 0.280 0.280 0.280 0.280 0.180 0.000 0.000 0.000
Saul Centers Inc. BFS 2.120 2.080 2.040 1.840 1.690 1.560 1.440 1.440 1.440 1.440 1.530 1.880 1.770 1.680 1.600 1.560 1.560
Bunge Limited BG 2.000 1.920 1.760 1.600 1.440 1.280 1.140 1.040 0.960 0.880 0.800 0.720 0.660 0.620 0.560 0.480 0.420
B&G Foods Inc. BGS 1.900 1.880 1.860 1.610 1.370 1.350 1.190 1.040 0.800 0.680 0.680 0.848 0.848 0.848 0.828 0.000 0.000
Bar Harbor Bankshares BHB 0.860 0.787 0.747 0.727 0.673 0.603 0.556 0.520 0.487 0.464 0.462 0.453 0.424 0.402 0.373 0.356 0.338
Berkshire Hills Bancorp Inc.
BHLB 0.920 0.880 0.840 0.800 0.760 0.720 0.720 0.690 0.650 0.640 0.640 0.630 0.580 0.560 0.520 0.480 0.480
Brookfield Infrastructure Partners
BIP LP2.010 1.880 1.740 1.543 1.413 1.280 1.147 1.000 0.880 0.733 0.707 0.589 0.000 0.000 0.000 0.000 0.000
Bank of New York MellonBK Corp. 1.180 1.040 0.860 0.720 0.680 0.660 0.580 0.520 0.480 0.360 0.510 0.960 0.946 0.912 0.869 0.837 0.806
Black Hills Corp. BKH 2.050 1.930 1.810 1.680 1.620 1.560 1.520 1.480 1.460 1.440 1.420 1.400 1.370 1.320 1.280 1.240 1.200
Bank of South Carolina Corp.
BKSC 0.630 0.600 0.518 0.482 0.440 0.430 0.405 # 0.364 0.339 # 0.316 0.361 0.481 0.451 0.391 0.270 0.240 0.224
Bank of Utica BKUTK 15.000 14.400 ##### ##### 12.200 11.600 10.700 # 9.700 8.900 7.900 7.500 7.300 6.800 6.500 6.300 6.000 5.500
BlackRock Inc. BLK 13.200 12.020 ##### 9.160 8.720 7.720 6.720 6.000 5.500 4.000 3.120 3.120 2.680 1.680 1.200 1.000 0.400
Bloomin' Brands Inc. BLMN 0.400 0.360 0.320 0.280 0.240 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Badger Meter Inc. BMI 0.640 0.560 0.490 0.430 0.390 0.370 0.350 0.330 0.300 0.260 0.230 0.200 0.170 0.155 0.145 0.138 0.133
Bank of Marin Bancorp BMRC 0.800 0.635 0.560 0.510 0.450 0.400 0.365 # 0.350 0.325 # 0.305 0.285 0.280 0.255 0.228 0.095 0.000 0.000
Bryn Mawr Bank Corp. BMTC 1.020 0.940 0.860 0.820 0.780 0.740 0.690 0.640 0.600 0.560 0.560 0.540 0.500 0.460 0.420 0.400 0.400
Bristol-Myers Squibb Co.BMY 1.640 1.600 1.560 1.520 1.480 1.450 1.400 1.360 1.320 1.280 1.240 1.240 1.120 1.120 1.120 1.120 1.120
BOK Financial Corp. BOKF 2.010 1.900 1.770 1.730 1.690 1.620 1.540 1.470 1.130 0.990 0.945 0.875 0.750 0.550 0.300 0.000 0.000
Bank of Botetourt BORT 0.640 0.600 0.560 0.480 0.400 0.200 0.040 0.000 0.040 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Popular, Inc. BPOP 1.200 1.000 1.000 0.600 0.300 0.000 0.000 0.000 0.000 0.000 0.200 4.800 6.400 6.400 6.400 6.150 5.050
Brookfield Property Partners
BPYLP 1.320 1.260 1.180 1.120 1.060 1.000 0.628 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Broadridge Financial Solutions
BR Inc. 1.995 1.580 1.355 1.230 1.110 0.900 0.750 0.660 0.610 0.570 0.350 0.250 0.120 0.000 0.000 0.000 0.000
Brady Corp. BRC 0.855 0.834 0.823 0.813 0.803 0.785 0.765 0.745 0.725 0.705 0.685 0.620 0.570 0.530 0.460 0.425 0.405
Brown & Brown Inc. BRO 0.325 0.305 0.278 0.251 0.226 0.205 0.185 0.173 0.163 0.156 0.151 0.143 0.125 0.105 0.085 0.073 0.058
Brixmor Property Group BRX 1.120 1.100 1.040 0.980 0.900 0.727 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Bassett Furniture Industries
BSETInc. 0.500 0.470 0.420 0.380 0.340 0.280 0.220 0.200 0.095 0.000 0.000 0.875 0.800 0.800 0.800 0.800 0.800
Sierra Bancorp BSRR 0.740 0.640 0.560 0.480 0.420 0.340 0.260 0.240 0.240 0.240 0.400 0.680 0.620 0.540 0.450 0.370 0.320
First Busey Corp. BUSE 0.840 0.800 0.720 0.680 0.620 0.570 0.480 0.480 0.480 0.480 1.200 2.400 2.160 1.920 1.680 1.530 1.360
Bankwell Financial GroupBWFGInc. 0.520 0.480 0.280 0.220 0.050 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
BancorpSouth Inc. BXS 0.695 0.590 0.515 0.425 0.325 0.225 0.080 0.040 0.350 0.880 0.880 0.860 0.820 0.780 0.750 0.720 0.650
Citigroup Inc. C 1.920 1.540 0.960 0.420 0.160 0.040 0.040 0.040 0.030 0.000 0.100 11.200 21.600 19.600 17.600 16.000 11.000
Cable One, Inc. CABO 8.500 7.500 6.500 6.000 1.500 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Cardinal Health Inc. CAH 1.915 1.876 1.823 1.672 1.459 1.290 1.155 0.905 0.820 0.740 0.502 0.373 0.302 0.215 0.129 0.086 0.079
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Cheesecake Factory Inc.CAKE 1.380 1.240 1.060 0.880 0.730 0.610 0.520 0.240 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Carolina Financial CorpCARO 0.340 0.230 0.170 0.130 0.120 0.105 0.025 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Cass Information Systems CASS
Inc. 1.050 0.850 0.705 0.674 0.644 0.614 0.561 0.475 0.418 0.363 0.332 0.307 0.273 0.250 0.220 0.212 0.193
Casey's General Stores Inc.
CASY 1.220 1.100 1.000 0.920 0.840 0.760 0.690 0.630 0.570 0.405 0.320 0.280 0.230 0.190 0.170 0.150 0.120
Caterpillar Inc. CAT 3.780 3.280 3.100 3.080 2.940 2.600 2.340 # 1.960 1.800 1.720 1.680 1.560 1.320 1.100 0.910 0.780 0.710
Cambridge Bancorp CATC 2.040 1.960 1.860 1.840 1.800 1.680 1.590 1.500 1.420 1.400 1.340 1.280 1.180 1.060 1.010 0.940 0.880
Cathay General BancorpCATY 1.240 1.030 0.870 0.750 0.560 0.290 0.080 0.040 0.040 0.040 0.205 0.420 0.405 0.360 0.360 0.300 0.280
Chubb Limited CB 2.960 2.880 2.800 2.720 2.640 2.560 2.000 1.920 1.360 1.280 1.150 1.090 1.040 0.960 0.880 0.800 0.740
CBOE Holdings Inc. CBOE 1.340 1.160 1.040 0.960 0.880 0.780 0.660 0.540 0.440 0.200 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Cracker Barrel Old Country
CBRL 5.100 4.900 4.700 4.500 4.200 3.500 2.500 1.400 0.910 0.820 0.800 0.740 0.600 0.530 0.490 0.450 0.110
Commerce Bancshares CBSH 1.040 0.895 0.816 0.777 0.740 0.705 0.672 0.630 0.600 0.577 0.561 0.557 0.530 0.495 0.462 0.422 0.340
Cabot Corp. CBT 1.380 1.305 1.245 1.120 0.880 0.860 0.800 0.780 0.720 0.720 0.720 0.720 0.720 0.660 0.640 0.610 0.560
Community Bank SystemCBU 1.550 1.400 1.300 1.250 1.220 1.140 1.100 1.060 1.000 0.920 0.880 0.850 0.810 0.770 0.730 0.660 0.595
Capital City Bank Group CCBG 0.480 0.320 0.240 0.170 0.130 0.090 0.000 0.000 0.300 0.490 0.760 0.745 0.710 0.663 0.619 0.584 0.498
CCFNB Bancorp Inc. CCFN 1.550 1.510 1.470 1.435 1.410 1.375 1.350 1.300 1.240 1.180 1.030 0.900 0.820 0.780 0.740 0.700 0.660
Crown Castle International
CCI
Corp 4.575 4.275 3.9 3.605 3.345 1.87 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Carnival Corporation &CCL Plc 2.000 1.950 1.600 1.400 1.100 1.000 1.000 1.000 1.000 0.400 0.000 1.600 1.375 1.025 0.800 0.525 0.440
Cogent Communications CCOI
Holdings Inc.
2.440 2.120 1.800 1.510 1.460 1.170 0.760 0.210 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
CDW Corp. CDW 1.265 0.925 0.690 0.483 0.310 0.195 0.043 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Celanese Corp. CE 2.400 2.080 1.740 1.380 1.150 0.930 0.525 0.270 0.240 0.180 0.160 0.160 0.160 0.160 0.080 0.000 0.000
C&F Financial Corp. CFFI 1.480 1.380 1.320 1.280 1.200 1.180 1.160 1.050 1.000 1.000 1.120 1.240 1.240 1.120 0.970 0.860 0.680
Citizens Financial Group CFG
Inc. 1.360 0.980 0.640 0.460 0.400 0.100 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Cullen/Frost Bankers CFR 2.800 2.580 2.250 2.150 2.100 2.030 1.980 1.900 1.830 1.780 1.710 1.660 1.540 1.320 1.165 1.035 0.940
Cognex Corporation CGNX 0.205 0.185 0.168 0.148 0.105 0.000 0.000 0.108 0.090 0.063 0.075 0.118 0.085 0.083 0.080 0.070 0.045
City Holding Co. CHCO 2.160 1.910 1.750 1.710 1.660 1.570 1.460 1.400 1.360 1.360 1.360 1.330 1.210 1.090 0.970 0.860 0.750
Community Healthcare Trust
CHCT Inc. 1.645 1.605 1.565 1.525 0.517 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Church & Dwight CHD 0.910 0.872 0.760 0.710 0.670 0.620 0.560 0.480 0.340 0.155 0.115 0.085 0.075 0.065 0.060 0.057 0.052
Churchill Downs Inc. CHDN 0.581 0.543 0.507 0.440 0.383 0.333 0.290 # 0.240 0.200 0.167 0.167 0.167 0.167 0.167 0.167 0.167 0.167
Chemed Corp. CHE 1.240 1.160 1.080 1.000 0.920 0.840 0.760 0.680 0.600 0.520 0.360 0.240 0.240 0.240 0.240 0.240 0.240
C.H. Robinson WorldwideCHRW 2.010 1.880 1.810 1.740 1.570 1.430 1.400 1.340 1.200 # 1.040 0.960 0.880 0.720 0.520 0.300 0.240 0.160
Chico's FAS Inc. CHS 0.350 0.340 0.330 0.320 0.308 0.300 0.240 0.210 0.200 0.160 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Cincinnati Financial CINF 2.210 2.090 1.980 1.900 1.820 1.740 1.643 1.615 1.603 1.585 1.565 1.525 1.400 1.310 1.162 1.000 0.883
Civista Bancshares Inc. CIVB 0.420 0.320 0.250 0.220 0.200 0.190 0.150 0.120 0.030 0.000 0.250 0.910 1.120 1.120 1.120 1.080 1.040
Colgate-Palmolive Co. CL 1.710 1.660 1.590 1.550 1.500 1.420 1.330 1.220 1.135 1.015 0.860 0.780 0.700 0.625 0.555 0.480 0.450
Cortland Bancorp CLDB 0.450 0.440 0.320 0.280 0.240 0.180 0.120 0.030 0.000 0.000 0.000 0.863 0.854 0.833 0.813 0.789 0.766
Clorox Company CLX 4.040 3.720 3.280 3.140 3.020 2.900 2.700 2.480 2.300 2.100 1.920 1.720 1.520 1.160 1.120 1.080 0.980
Comerica Inc. CMA 2.610 1.840 1.080 0.870 0.820 0.760 0.660 0.500 0.400 0.200 0.480 2.620 2.510 2.320 2.170 2.060 1.980
Comcast Corp. CMCSA 0.820 0.728 0.610 0.538 0.488 0.435 0.374 0.305 0.216 0.190 0.133 0.094 0.000 0.000 0.000 0.000 0.000
Cantel Medical Corp. CMD 0.200 0.170 0.140 0.120 0.100 0.090 0.073 # 0.062 0.053 0.044 0.000 0.000 0.000 0.000 0.000 0.000 0.000
CME Group Inc. CME 3.000 2.800 2.640 2.400 2.000 1.880 1.800 1.792 1.120 0.920 0.920 0.920 0.688 0.504 0.368 0.208 0.112
Cummins Inc. CMI 4.902 4.440 4.210 4.000 3.510 2.810 2.250 1.800 1.325 0.875 0.700 0.600 0.430 0.330 0.300 0.300 0.300
CMS Energy Corp. CMS 1.530 1.428 1.330 1.240 1.160 1.080 1.020 0.960 0.840 0.660 0.500 0.360 0.200 0.000 0.000 0.000 0.000
Canadian National RailwayCNI 1.619 1.391 1.276 1.137 0.986 0.905 0.830 0.750 0.657 0.524 0.446 0.434 0.393 0.288 0.241 0.181 0.167
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
CNO Financial Group Inc.CNO 0.430 0.390 0.350 0.310 0.270 0.240 0.110 0.060 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
CenterPoint Energy CNP 1.150 1.112 1.070 1.030 0.990 0.950 0.830 0.810 0.790 0.780 0.760 0.730 0.680 0.600 0.300 0.400 0.793
Cohen & Steers Inc. CNS 1.440 1.260 1.120 1.040 1.000 0.860 0.800 0.720 0.600 0.400 0.200 0.760 0.800 0.480 0.440 0.200 0.000
CNX Midstream Partners CNXMLP 1.520 1.322 1.149 0.998 0.875 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Columbia Banking System COLB
Inc. 1.120 1.000 0.880 0.770 0.700 0.540 0.410 0.340 0.220 0.040 0.070 0.580 0.660 0.570 0.390 0.258 0.143
Columbia Sportswear Co.COLM 0.960 0.900 0.730 0.690 0.620 0.570 0.455 0.440 0.430 0.370 0.330 0.320 0.290 0.070 0.000 0.000 0.000
CyrusOne Inc. CONE 1.920 1.800 1.640 1.455 1.155 0.790 0.480 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
CoreSite Realty Corp. COR 4.640 4.020 3.600 2.120 1.680 1.400 1.080 0.720 0.520 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Core-Mark Holding Company CORE 0.450 0.410 0.370 0.330 0.275 0.230 0.198 0.175 0.043 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Costco Wholesale COST 2.520 2.210 1.950 1.750 1.555 1.375 1.205 1.065 0.925 0.795 0.700 0.625 0.565 0.505 0.445 0.300 0.000
Central Pacific Financial CPF
Corp. 0.900 0.820 0.700 0.600 0.500 0.360 0.160 0.000 0.000 0.000 0.000 0.700 0.980 0.880 0.730 0.640 0.640
Chesapeake Utilities CPK 1.550 1.390 1.260 1.185 1.115 1.053 1.013 0.947 0.900 0.860 0.827 0.800 0.780 0.767 0.753 0.740 0.733
Chesapeake Financial Shares
CPKF 0.488 0.458 0.425 0.408 0.388 0.375 0.354 # 0.313 0.275 # 0.249 0.243 0.234 0.202 0.186 0.176 0.164 0.138
Camden Property Trust CPT 3.170 3.060 3.000 2.950 2.780 2.610 2.450 2.170 1.920 1.800 2.300 2.790 2.730 2.615 2.540 2.540 2.540
Carter's Inc. CRI 2.000 1.800 1.480 1.320 0.880 0.760 0.480 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Cisco Systems Inc. CSCO 1.380 1.280 1.130 0.990 0.820 0.740 0.650 0.360 0.180 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
CenterState Bank Corp. CSFL 0.440 0.400 0.210 0.160 0.090 0.040 0.040 0.040 0.040 0.040 0.070 0.160 0.150 0.140 0.130 0.120 0.110
CSG Systems International CSGS
Inc. 0.890 0.840 0.790 0.740 0.700 0.623 0.450 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Carlisle Companies CSL 1.800 1.540 1.440 1.300 1.100 0.940 0.840 0.760 0.700 0.660 0.630 0.600 0.560 0.520 0.480 0.470 0.435
Computer Services Inc. CSVI 0.780 0.670 0.590 0.530 0.470 0.380 0.300 # 0.265 0.235 # 0.205 0.180 0.165 0.145 0.125 0.105 0.080 0.063
CSX Corp. CSX 0.960 0.880 0.780 0.720 0.700 0.630 0.590 0.540 0.447 0.327 0.293 0.257 0.180 0.110 0.072 0.067 0.067
Cintas Corp. CTAS 2.550 2.050 1.620 1.330 1.050 0.850 0.770 0.640 0.540 # 0.480 0.470 0.460 0.390 0.350 0.320 0.290 0.270
Community Trust Banc. CTBI 1.480 1.350 1.290 1.250 1.210 1.173 1.150 1.132 1.118 1.100 1.091 1.055 0.982 0.945 0.873 0.760 0.646
Consolidated-Tomoka Land CTO Co. 0.440 0.270 0.18 0.16 0.08 0.07 0.06 0.04 0.04 0.04 0.3 0.4 0.38 0.34 0.3 0.26 0.22
CareTrust REIT Inc. CTRE 0.880 0.800 0.74 0.68 0.64 0.125 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
CubeSmart CUBE 1.280 1.200 1.080 0.840 0.640 0.520 0.440 0.320 0.280 0.100 0.100 0.720 1.160 1.160 0.761 0.000 0.000
Culp Inc. CULP 0.400 0.360 0.320 0.280 0.240 0.200 0.140 0.060 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
CVB Financial Corp. CVBF 0.680 0.560 0.520 0.480 0.460 0.400 0.370 0.340 0.340 0.340 0.340 0.340 0.340 0.311 0.304 0.286 0.240
Calavo Growers Inc. CVGW 1.100 1.000 0.950 0.900 0.800 0.750 0.700 0.650 0.550 0.550 0.500 0.350 0.350 0.320 0.320 0.300 0.250
Codorus Valley Bancorp CVLY
Inc. 0.640 0.590 0.490 0.449 0.420 0.384 0.343 0.284 0.249 0.178 0.185 0.360 0.360 0.315 0.288 0.272 0.249
Chevron Corp. CVX 4.760 4.480 4.320 4.290 4.280 4.210 3.900 3.510 3.090 2.840 2.660 2.530 2.260 2.010 1.750 1.530 1.430
Community West Bancshares CWBC 0.220 0.200 0.155 0.135 0.110 0.040 0.000 0.000 0.000 0.000 0.000 0.120 0.240 0.230 0.190 0.120 0.000
California Water Service CWT 0.790 0.752 0.720 0.690 0.670 0.650 0.640 0.630 0.615 0.595 0.590 0.585 0.580 0.575 0.570 0.565 0.563
Citizens Financial Services
CZFS 1.790 1.750 1.700 1.666 1.630 1.562 1.208 1.123 1.000 0.957 0.911 0.865 0.820 0.777 0.732 0.689 0.648
Dominion Energy Inc. D 3.670 3.340 3.035 2.800 2.590 2.400 2.250 2.110 1.970 1.830 1.750 1.580 1.460 1.380 1.340 1.300 1.290
Delta Air Lines Inc. DAL 1.505 1.310 1.015 0.475 0.450 0.300 0.120 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Donaldson Company DCI 0.820 0.750 0.710 0.695 0.670 0.635 0.500 0.350 0.290 0.248 0.230 0.223 0.190 0.170 0.140 0.113 0.093
Dillard's Inc. DDS 0.450 0.400 0.310 0.280 0.250 0.240 0.210 0.200 0.180 0.160 0.160 0.160 0.160 0.160 0.160 0.160 0.160
Douglas Emmett Inc. DEI 1.060 1.000 0.920 0.880 0.840 0.800 0.720 0.580 0.460 0.400 0.488 0.738 0.645 0.000 0.000 0.000 0.000
Discover Financial Services
DFS 1.680 1.500 1.300 1.160 1.080 0.920 0.740 0.400 0.200 0.080 0.120 0.240 0.060 0.000 0.000 0.000 0.000
Dollar General Corp. DG 1.250 1.13 1.03 0.97 0.66 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Donegal Group Inc. A DGICA 0.578 0.568 0.558 0.548 0.537 0.522 0.505 0.488 0.475 0.458 0.443 0.405 0.353 0.323 0.293 0.264 0.124
Donegal Group Inc. B DGICB 0.508 0.498 0.488 0.478 0.469 0.463 0.455 0.438 0.425 0.408 0.393 0.355 0.303 0.274 0.250 0.233 0.219
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Quest Diagnostics Inc. DGX 2.120 1.950 1.800 1.600 1.470 1.290 1.200 0.680 0.400 0.400 0.400 0.400 0.400 0.390 0.345 0.300 0.000
D.R. Horton Inc DHI 0.625 0.525 0.425 0.340 0.268 0.200 0.000 0.150 0.150 0.150 0.150 0.338 0.600 0.500 0.338 0.240 0.140
Diamond Hill Investment DHIL
Group Inc.9.000 8.000 7 6 5 4 3 8 5 13 10 10 0.000 0.000 0.000 0.000 0.000
Danaher Corp. DHR 0.670 0.620 0.545 0.489 0.365 0.187 0.057 0.057 0.049 0.046 0.034 0.034 0.029 0.023 0.019 0.016 0.014
Walt Disney Company DIS 1.760 1.680 1.560 1.490 1.350 0.860 0.750 0.600 0.400 0.350 0.350 0.350 0.306 0.266 0.237 0.207 0.207
Delek Logistics Partners DKL
LP 3.360 3.035 2.790 2.485 2.160 1.805 1.409 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Dicks Sporting Goods Inc. DKS 1.100 0.900 0.680 0.605 0.550 0.500 0.500 0.500 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Dolby Laboratories Inc DLB 0.790 0.670 0.58 0.5 0.42 0.1 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Digital Realty Trust DLR 4.250 3.960 3.720 3.520 3.400 3.320 3.120 2.920 2.720 1.940 1.350 1.240 1.145 1.060 0.888 0.000 0.000
Dunkin' Brands Group Inc. DNKN 1.500 1.390 1.290 1.200 1.060 0.920 0.760 0.600 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Dover Corp. DOV 1.940 1.900 1.820 1.720 1.640 1.550 1.211 1.111 0.986 0.894 0.852 0.752 0.643 0.593 0.551 0.510 0.476
Amdocs Limited DOX 1.105 0.970 0.855 0.755 0.665 0.595 0.520 0.130 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Domino's Pizza Inc. DPZ 2.600 2.200 1.840 1.520 1.240 1.000 0.800 0.000 0.000 0.000 0.000 0.000 0.000 0.480 0.400 0.065 0.000
Duke Realty Corporation DRE 0.880 0.815 0.770 0.730 0.690 0.680 0.680 0.680 0.680 0.680 0.760 1.930 1.910 1.890 1.870 1.850 1.830
DTE Energy Company DTE 3.780 3.528 3.300 3.080 2.800 2.655 2.550 2.383 2.295 2.150 2.120 2.120 2.120 2.060 2.060 2.060 2.060
Duke Energy Corp. DUK 3.745 3.636 3.490 3.360 3.240 3.150 3.090 3.030 2.970 2.910 2.820 2.700 2.580 2.197 2.040 1.918 1.918
Eagle Bancorp Montana Inc.EBMT 0.375 0.365 0.340 0.315 0.305 0.295 0.289 0.285 0.283 0.277 0.271 0.261 0.242 0.221 0.200 0.179 0.153
Meridian Bancorp, Inc.EBSB 0.290 0.220 0.170 0.120 0.060 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Enterprise Bancorp Inc. EBTC 0.640 0.580 0.540 0.520 0.500 0.480 0.460 0.440 0.420 0.400 0.380 0.360 0.320 0.280 0.240 0.215 0.190
Ecolab Inc. ECL 1.840 1.640 1.480 1.400 1.320 1.100 0.920 # 0.800 0.700 0.620 0.560 0.520 0.460 0.400 0.350 0.320 0.290
Consolidated Edison ED 2.960 2.860 2.760 2.680 2.600 2.520 2.460 2.420 2.400 2.380 2.360 2.340 2.320 2.300 2.280 2.260 2.240
El Paso Electric Co. EE 1.515 1.415 1.315 1.225 1.165 1.105 1.045 0.970 0.660 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Enterprise Financial Services
EFSCCorp 0.620 0.470 0.440 0.410 0.263 0.210 0.210 0.210 0.210 0.210 0.210 0.210 0.210 0.180 0.140 0.000 0.000
Eagle Financial ServicesEFSI 1.000 0.940 0.880 0.820 0.800 0.770 0.760 0.730 0.720 0.690 0.680 0.670 0.640 0.600 0.500 0.415 0.375
EastGroup Properties Inc. EGP 2.910 2.640 2.520 2.440 2.340 2.220 2.140 2.100 2.080 2.080 2.080 2.080 2.000 1.960 1.940 1.920 1.900
Encompass Health Corp.EHC 1.090 1.040 0.970 0.930 0.850 0.750 0.180 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Edison International EIX 2.450 2.420 2.170 1.920 1.670 1.420 1.350 1.300 1.280 1.260 1.240 1.220 1.160 1.080 1.000 0.800 0.000
Estee Lauder CompaniesEL Inc. 1.770 1.570 1.400 1.240 1.020 0.840 0.740 0.720 0.525 0.375 0.275 0.275 0.275 0.250 0.200 0.350 0.100
Equity LifeStyle Properties
ELS 1.194 1.069 0.944 0.825 0.725 0.613 0.484 # 0.422 0.356 # 0.300 0.250 0.188 0.131 0.063 0.022 0.009 0.490
Emclaire Financial Corp.EMCF 1.160 1.120 1.080 1.040 0.960 0.880 0.800 0.720 0.640 0.560 0.740 1.300 1.190 1.100 1.020 0.940 0.860
Eastman Chemical Co. EMN 2.520 2.240 2.040 1.840 1.600 1.400 1.200 1.040 0.965 0.880 0.880 0.880 0.880 0.880 0.880 0.880 0.880
Emerson Electric EMR 1.970 1.945 1.925 1.905 1.885 1.760 1.660 1.610 1.435 1.350 1.325 1.230 1.088 0.930 0.845 0.808 0.790
Enbridge Inc. ENB 2.216 2.074 1.862 1.591 1.470 1.268 1.236 1.131 0.990 0.824 0.651 0.625 0.579 0.511 0.472 0.458 0.415
Energizer Holdings, Inc. ENR 1.200 1.170 1.115 1.025 0.500 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Ensign Group Inc. ENSG 0.190 0.183 0.170 0.160 0.150 0.108 0.074 0.068 0.062 0.057 0.051 0.045 0.000 0.000 0.000 0.000 0.000
Enterprise Products Partners
EPD LP 1.755 1.716 1.668 1.590 1.510 1.430 1.350 1.266 1.203 1.143 1.083 1.023 0.958 0.898 0.830 0.756 0.721
EPR Properties EPR 4.485 4.300 4.080 3.823 3.613 3.398 3.120 2.950 2.750 2.600 2.790 3.280 2.968 2.688 2.438 2.188 1.975
Equinix Inc. EQIX 9.840 9.120 8.000 7.000 6.760 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
EQT Midstream PartnersEQM LP 4.595 4.295 3.655 3.050 2.505 2.020 1.550 0.350 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Erie Indemnity CompanyERIE 3.600 3.360 3.130 2.920 2.724 2.540 2.370 # 2.210 2.060 1.920 1.800 1.760 1.600 1.440 1.300 0.860 0.760
Eversource Energy ES 2.140 2.020 1.900 1.780 1.670 1.570 1.470 1.323 1.100 1.025 0.950 0.825 0.775 0.725 0.675 0.625 0.575
Essex Property Trust ESS 7.710 7.330 6.850 6.240 5.620 5.020 4.730 4.340 4.153 4.128 4.110 3.990 3.630 3.330 3.220 3.150 3.110
Eaton Corp. plc ETN 2.840 2.640 2.400 2.280 2.200 1.960 1.680 1.520 1.360 1.080 1.000 1.000 0.860 0.740 0.620 0.540 0.460
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Entergy Corporation ETR 3.660 3.580 3.500 3.420 3.340 3.320 3.320 3.320 3.320 3.240 3.000 3.000 2.580 2.160 2.160 1.890 1.600
Eaton Vance Corp. EV 1.425 1.280 1.150 1.075 1.015 0.910 0.820 0.780 0.730 0.660 0.625 0.605 0.510 0.420 0.340 0.275 0.200
Enviva Partners LP EVA 2.615 2.510 2.275 2.025 0.703 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Evans Bancorp Inc. EVBN 1.040 0.920 0.800 0.760 0.720 0.650 0.500 0.440 0.400 0.400 0.610 0.780 0.710 0.680 0.648 0.608 0.570
Evercore Partners Inc. EVR 2.240 1.900 1.420 1.270 1.150 1.030 0.910 0.820 0.740 0.630 0.510 0.480 0.410 0.000 0.000 0.000 0.000
Evergy Inc EVRG 1.930 1.735 1.58 1.5 1.43 1.39 1.36 1.31 1.27 1.23 1.19 1.14 1.06 1 0.92 0.76 0.87
Exelon Corporation EXC 1.450 1.380 1.310 1.264 1.240 1.240 1.455 2.100 2.100 2.100 2.100 2.025 1.760 1.600 1.600 1.255 0.960
Expeditors International EXPD 1.000 0.900 0.840 0.800 0.720 0.640 0.600 0.560 0.500 0.400 0.380 0.320 0.280 0.220 0.150 0.110 0.080
Expedia Inc. EXPE 1.320 1.240 1.160 1.000 0.840 0.660 0.560 0.440 0.280 0.280 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Exponent Inc. EXPO 0.640 0.520 0.420 0.360 0.300 0.250 0.150 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Extra Space Storage Inc.EXR 3.560 3.360 3.120 2.930 2.240 1.810 1.450 0.790 0.560 0.400 0.380 1.000 0.933 0.910 0.910 0.339 0.000
Exchange Bank (Santa Rosa EXSR CA) 4.400 3.850 3.400 2.850 2.200 1.550 1.100 0.500 0.000 0.000 0.000 2.000 4.000 1.000 0.000 0.000 0.000
First American Financial FAF
Corp. 1.680 1.600 1.440 1.200 1.000 0.840 0.480 0.300 0.240 0.120 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Fastenal Company FAST 0.870 0.770 0.640 0.600 0.560 0.500 0.400 # 0.370 0.263 # 0.210 0.180 0.130 0.110 0.100 0.078 0.050 0.026
Fortune Brands Home & FBHS Security 0.880 0.800 0.720 0.640 0.560 0.480 0.300 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
First Business Financial Services
FBIZ Inc.
0.600 0.560 0.520 0.480 0.440 0.420 0.280 0.140 0.140 0.140 0.140 0.138 0.128 0.120 0.000 0.000 0.000
Farmers Bankshares Inc.FBVA 0.450 0.410 0.400 0.320 0.182 0.120 0.110 0.104 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
First Community Bancshares FCBC Inc. 0.960 0.780 0.680 0.600 0.540 0.500 0.480 0.430 0.400 0.400 0.300 1.120 1.080 1.040 1.020 1.000 1.000
First Community Corp. FCCO 0.440 0.400 0.360 0.320 0.280 0.240 0.220 0.160 0.160 0.160 0.240 0.320 0.270 0.230 0.200 0.200 0.190
1st Constitution BancorpFCCY 0.300 0.255 0.210 0.050 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Fidelity D & D Bancorp,FDBC Inc. 1.060 0.980 0.860 0.760 0.707 0.667 0.667 0.667 0.667 0.667 0.667 0.667 0.620 0.587 0.533 0.533 0.533
First Defiance Financial Corp.
FDEF 0.790 0.640 0.500 0.440 0.388 0.313 0.200 # 0.100 0.025 # 0.000 0.233 0.520 0.500 0.480 0.440 0.400 0.300
Factset Research SystemFDS Inc. 2.800 2.480 2.180 1.940 1.710 1.520 1.360 1.200 1.040 0.890 0.780 0.660 0.420 0.230 0.200 0.180 0.153
FedEx Corp. FDX 2.600 2.300 1.800 1.300 0.900 0.700 0.580 0.540 0.510 0.470 0.440 0.430 0.390 0.350 0.310 0.270 0.210
Franklin Electric Co. FELE 0.580 0.468 0.423 0.398 0.383 0.348 0.305 0.285 0.268 0.258 0.250 0.248 0.235 0.215 0.190 0.155 0.138
FBL Financial Group Inc.FFG 1.920 1.840 1.760 1.680 1.600 1.400 0.520 0.400 0.288 0.250 0.308 0.500 0.480 0.460 0.420 0.400 0.400
Flushing Financial Corp. FFIC 0.840 0.800 0.720 0.680 0.640 0.600 0.520 0.520 0.520 0.520 0.520 0.520 0.480 0.440 0.400 0.350 0.280
First Financial Bankshares FFIN
Inc. 0.465 0.410 0.370 0.340 0.300 0.270 0.255 # 0.245 0.233 # 0.227 0.227 0.220 0.207 0.193 0.178 0.163 0.148
First Farmers Financial Corp.
FFMR 1.180 0.915 0.670 0.630 0.585 0.490 0.395 # 0.348 0.325 # 0.300 0.288 0.278 0.000 0.000 0.000 0.000 0.000
First Horizon Narional Corp.
FHN 0.560 0.450 0.340 0.270 0.230 0.200 0.160 0.040 0.030 0.000 0.000 0.812 1.719 1.700 1.643 1.528 1.146
First Interstate BancsystemFIBKInc. 1.240 1.120 0.960 0.880 0.800 0.640 0.540 0.480 0.450 0.338 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Financial Institutions Inc.FISI 0.990 0.940 0.85 0.81 0.8 0.77 0.74 0.57 0.47 0.4 0.4 0.54 0.46 0.34 0.4 0.64 0.64
Fifth Third Bancorp FITB 0.920 0.680 0.6 0.53 0.52 0.51 0.47 0.36 0.28 0.04 0.04 0.75 1.7 1.58 1.46 1.31 1.13
Comfort Systems USA Inc. FIX 0.395 0.330 0.295 0.275 0.250 0.225 0.210 0.200 0.200 0.200 0.190 0.180 0.150 0.140 0.025 0.000 0.000
Foot Locker Inc. FL 1.485 1.345 1.205 1.075 0.970 0.860 0.780 0.705 0.645 0.600 0.600 0.575 0.500 0.360 0.300 0.240 0.120
First of Long Island Corp.FLIC 0.690 0.620 0.570 0.540 0.513 0.471 0.449 0.418 0.396 0.364 0.329 0.280 0.252 0.200 0.187 0.160 0.151
Flir Systems Inc. FLIR 0.680 0.640 0.600 0.480 0.440 0.400 0.360 0.280 0.240 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Flowers Foods FLO 0.750 0.710 0.670 0.625 0.568 0.485 0.444 0.420 0.389 0.344 0.300 0.256 0.185 0.141 0.114 0.094 0.059
Farmers and Merchants Bancorp
FMAO 0.600 0.540 0.485 0.450 0.430 0.420 0.400 0.385 0.380 0.360 0.360 0.330 0.315 0.294 0.238 0.000 0.063
First Mid-Illinois Bancshares
FMBH Inc. 0.760 0.720 0.660 0.620 0.590 0.540 0.460 0.420 0.400 0.380 0.380 0.380 0.377 0.347 0.333 0.302 0.289
First Midwest Bancorp FMBI 0.520 0.430 0.380 0.360 0.350 0.300 0.100 0.040 0.040 0.040 0.225 1.240 1.180 1.100 0.980 0.880 0.760
F&M Bank Corp. FMBM 1.010 1.000 0.910 0.780 0.740 0.700 0.660 0.640 0.600 0.600 0.610 0.670 0.000 0.000 0.000 0.000 0.000
Farmers & Merchants BancorpFMCB 14.200 13.900 ##### ##### 12.800 12.600 12.400 12.000 11.650 11.250 10.900 10.200 9.150 8.250 7.600 6.900 6.100
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Fidelity National FinancialFNF
Inc. 1.260 1.200 0.802 0.692 0.629 0.524 0.427 0.375 0.310 0.446 0.388 0.679 0.776 0.757 0.162 0.000 0.000
First Bancorp Inc. FNLC 1.180 1.060 0.940 0.897 0.857 0.817 0.777 0.777 0.777 0.777 0.777 0.747 0.668 0.618 0.508 0.427 0.368
Franco-Nevada Corp. FNV 0.990 0.950 0.910 0.870 0.830 0.780 0.720 0.540 0.391 0.294 0.252 0.000 0.000 0.000 0.000 0.000 0.000
First Industrial Realty Trust
FRInc. 0.908 0.864 0.820 0.697 0.483 0.391 0.085 0.000 0.000 0.000 0.250 2.880 2.840 2.800 2.780 2.780 2.780
Franklin Financial ServicesFRAFInc. 1.170 1.050 0.930 0.820 0.740 0.680 0.680 0.780 1.080 1.080 1.080 1.070 1.030 0.990 0.950 0.980 1.020
First Republic Bank FRC 0.750 0.710 0.670 0.630 0.590 0.540 0.460 0.200 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
First Merchants Corp. FRME 1.000 0.840 0.690 0.540 0.410 0.290 0.180 0.100 0.040 0.040 0.470 0.920 0.920 0.920 0.920 0.920 0.898
Federal Realty Inv. TrustFRT 4.110 4.020 3.940 3.800 3.550 3.210 2.970 2.800 2.700 2.650 2.610 2.480 2.335 2.240 2.120 1.975 1.945
FS Bancorp Inc. FSBW 0.650 0.530 0.430 0.370 0.270 0.230 0.150 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
First Savings Financial Group
FSFGInc. 0.640 0.600 0.560 0.520 0.480 0.440 0.400 0.400 0.000 0.000 0.080 0.000 0.000 0.000 0.000 0.000 0.000
FirstService Corp. FSV 0.585 0.528 0.478 0.430 0.200 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
H.B. Fuller Company FUL 0.635 0.615 0.590 0.550 0.510 0.460 0.385 0.330 0.295 0.278 0.270 0.263 0.256 0.249 0.241 0.229 0.224
Fulton Financial Corp. FULT 0.510 0.470 0.430 0.390 0.350 0.320 0.320 # 0.280 0.170 0.120 0.260 0.600 0.595 0.585 0.554 0.520 0.496
Cedar Fair LP FUN 3.710 3.595 3.455 3.330 3.075 2.850 2.575 1.600 1.000 0.250 1.230 1.915 1.895 1.870 1.830 1.790 1.740
First National Corp. FXNC 0.360 0.200 0.140 0.120 0.100 0.075 0.000 0.000 0.200 0.560 0.560 0.560 0.530 0.490 0.450 0.410 0.385
German American Bancorp GABC 0.680 0.600 0.517 0.480 0.453 0.427 0.400 0.373 0.373 0.373 0.373 0.373 0.373 0.373 0.373 0.373 0.373
Gladstone Investment Corp. GAIN 0.816 0.801 0.771 0.750 0.748 0.720 0.630 0.600 0.555 0.480 0.600 0.960 0.915 0.840 0.180 0.000 0.000
GATX Corp. GATX 1.840 1.760 1.680 1.600 1.520 1.320 1.240 1.200 1.160 1.120 1.120 1.080 0.960 0.840 0.800 0.800 1.280
Glacier Bancorp Inc. GBCI 1.110 1.010 0.830 0.790 0.750 0.680 0.600 0.530 0.520 0.520 0.520 0.520 0.490 0.433 0.387 0.356 0.306
Greenbrier Companies Inc. GBX 1.000 0.980 0.880 0.820 0.650 0.300 0.000 0.000 0.000 0.000 0.040 0.320 0.320 0.320 0.280 0.120 0.000
Greene County Bancorp, GCBC Inc. 0.420 0.395 0.385 0.375 0.365 0.355 0.350 0.350 0.350 0.348 0.340 0.325 0.320 0.230 0.220 0.205 0.175
General Dynamics GD 3.990 3.630 3.280 2.970 2.690 2.420 2.190 # 2.000 1.830 1.640 1.490 1.340 1.100 0.890 0.780 0.700 0.630
GEO Group Inc. GEO 1.920 1.880 1.877 1.733 1.673 1.553 1.367 0.267 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Guaranty Federal BancsharesGFED 0.520 0.480 0.400 0.320 0.200 0.150 0.000 0.000 0.000 0.000 0.000 0.540 0.690 0.665 0.645 0.625 0.605
Griffon Corp. GFF 0.293 0.282 0.250 0.210 0.170 0.130 0.105 0.085 0.020 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Graco Inc. GGG 0.640 0.528 0.480 0.440 0.400 0.367 0.333 0.300 0.280 0.267 0.253 0.247 0.220 0.193 0.173 0.124 0.074
Gildan Activewear Inc. GIL 0.536 0.448 0.359 0.299 0.260 0.215 0.180 0.150 0.113 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Gilead Sciences Inc. GILD 2.520 2.280 2.080 1.840 1.290 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Globe Life Inc GL 0.678 0.630 0.590 0.555 0.532 0.493 0.440 0.380 0.296 0.271 0.249 0.244 0.231 0.213 0.196 0.196 0.169
Gaming and Leisure Properties
GLPI 2.740 2.570 2.5 2.32 2.18 2.08 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Corning Inc. GLW 0.800 0.720 0.620 0.540 0.480 0.400 0.390 0.315 0.225 0.200 0.200 0.200 0.100 0.000 0.000 0.000 0.000
Gentex Corp. GNTX 0.455 0.430 0.380 0.350 0.330 0.300 0.275 0.255 0.235 0.220 0.220 0.213 0.195 0.183 0.173 0.155 0.038
Genuine Parts Co. GPC 3.008 2.835 2.683 2.588 2.420 2.300 2.150 1.935 1.800 1.630 1.590 1.535 1.433 1.325 1.238 1.195 1.175
Group 1 Automotive Inc. GPI 1.090 1.040 0.970 0.910 0.830 0.700 0.650 0.590 0.480 0.100 0.000 0.470 0.560 0.550 0.000 0.000 0.000
Green Plains Partners GPP LP 1.900 1.895 1.780 1.638 0.400 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
W. R. Grace & Co. GRA 1.080 0.960 0.840 0.510 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Gorman-Rupp Company GRC 0.550 0.510 0.470 0.430 0.405 0.370 0.330 0.312 0.283 0.269 0.259 0.256 0.199 0.187 0.184 0.181 0.178
Goldman Sachs Group Inc. GS 4.150 3.150 2.900 2.600 2.550 2.250 2.050 1.770 1.400 1.400 1.400 1.400 1.400 1.300 1.000 1.000 0.740
Great Southern Bancorp GSBCInc. 1.300 1.120 0.920 0.880 0.840 0.780 0.720 0.720 0.720 0.720 0.720 0.720 0.660 0.580 0.500 0.420 0.330
Goodyear Tire & Rubber GT Company 0.640 0.580 0.440 0.310 0.250 0.220 0.050 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Getty Realty Corp. GTY 1.400 1.280 1.120 1.000 0.900 0.800 0.725 0.500 1.690 1.905 1.885 1.865 1.840 1.810 1.740 1.700 1.663
Great Western Bancorp Inc. GWB 1.150 0.950 0.770 0.590 0.500 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
W.W. Grainger Inc. GWW 5.680 5.360 5.060 4.830 4.590 4.170 3.590 3.060 2.520 2.080 1.780 1.550 1.340 1.110 0.920 0.785 0.735
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Hasbro Inc. HAS 2.670 2.460 2.220 1.990 1.810 1.690 1.560 # 1.380 1.150 0.950 0.800 0.760 0.600 0.450 0.330 0.210 0.120
Huntington Bancshares Inc.
HBAN 0.570 0.470 0.320 0.280 0.240 0.200 0.180 0.160 0.070 0.040 0.163 0.797 1.045 0.965 0.830 0.725 0.655
Home Bancorp Inc. HBCP 0.840 0.710 0.550 0.410 0.300 0.070 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Horizon Bancorp HBNC 0.440 0.387 0.320 0.267 0.253 0.213 0.182 # 0.157 0.136 # 0.134 0.134 0.126 0.115 0.111 0.103 0.095 0.084
The Hackett Group Inc. HCKT 0.360 0.320 0.300 0.260 0.200 0.120 0.100 0.100 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Healthcare Services GroupHCSGInc. 0.793 0.773 0.753 0.733 0.713 0.693 0.673 0.653 0.633 0.595 0.493 0.387 0.280 0.204 0.123 0.078 0.026
Home Depot Inc. HD 5.440 4.120 3.560 2.760 2.360 1.880 1.560 1.160 1.040 0.972 0.922 0.900 0.900 0.675 0.400 0.325 0.260
HDFC Bank Limited HDB 0.646 0.547 0.493 0.423 0.374 0.350 0.307 0.245 0.223 0.162 0.120 0.118 0.102 0.073 0.062 0.048 0.038
HEICO Corp. HEI 0.140 0.105 0.097 0.082 0.072 0.061 0.053 # 0.044 0.035 0.028 0.025 0.021 0.017 0.017 0.010 0.010 0.010
Holly Energy Partners LPHEP 2.683 2.630 2.505 2.320 2.168 2.044 1.925 1.808 1.720 1.640 1.560 1.480 1.393 1.293 0.588 0.000 0.000
Home Federal Bancorp Inc.HFBL of Louisiana
0.600 0.520 0.420 0.340 0.300 0.260 0.240 0.240 0.240 0.240 0.240 0.240 0.240 0.240 0.100 0.000 0.000
Heritage Financial Corp. HFWA 0.740 0.720 0.510 0.470 0.430 0.340 0.320 0.300 0.130 0.000 0.100 0.770 0.840 0.790 0.710 0.630 0.550
Hillenbrand Inc. HI 0.843 0.831 0.823 0.813 0.803 0.793 0.783 0.773 0.763 0.753 0.743 0.550 0.000 0.000 0.000 0.000 0.000
Hingham Institution for Savings
HIFS 1.540 1.390 1.300 1.220 1.140 1.090 1.050 1.020 0.980 0.920 0.850 0.810 0.800 0.800 0.770 0.730 0.700
Hartford Financial Services
HIGGroup Inc.1.200 1.050 0.920 0.840 0.750 0.630 0.450 0.400 0.350 0.200 0.470 2.120 2.000 1.500 1.160 1.120 1.080
Huntington Ingalls Industries
HII Inc. 3.610 3.020 2.520 2.100 1.700 1.000 0.500 0.100 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Heartland BanCorp HLAN 2.033 1.849 1.681 1.543 1.472 1.419 1.303 1.287 1.287 1.287 1.281 1.233 1.095 0.917 0.693 0.439 0.319
Houlihan Lokey, Inc. HLI 1.200 1.010 0.800 0.660 0.150 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Hoegh LNG Partners LP HMLP 1.760 1.750 1.703 1.650 1.350 0.183 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Horace Mann Educators HMNCorp. 1.150 1.140 1.100 1.060 1.000 0.920 0.780 0.550 0.460 0.350 0.238 0.368 0.420 0.420 0.420 0.420 0.420
HNI Corp. HNI 1.210 1.170 1.130 1.090 1.045 0.990 0.960 0.950 0.920 0.860 0.860 0.860 0.780 0.720 0.620 0.560 0.520
Hennessy Advisors Inc. HNNA 0.495 0.410 0.292 0.227 0.160 0.113 0.083 0.083 0.067 0.120 0.060 0.060 0.036 0.025 0.000 0.000 0.000
Harley-Davidson Inc. HOG 1.500 1.480 1.460 1.400 1.240 1.100 0.840 0.620 0.475 0.400 0.400 1.290 1.060 0.810 0.625 0.405 0.195
Home Bancshares Inc. HOMB 0.510 0.460 0.400 0.343 0.275 0.175 0.145 0.113 0.067 0.055 0.055 0.049 0.055 0.011 0.000 0.000 0.000
Honeywell International Inc.
HON 3.360 3.055 2.740 2.450 2.148 1.868 1.680 1.528 1.370 1.210 1.210 1.100 1.000 0.908 0.825 0.750 0.750
Honat Bancorp Inc. HONT 1.780 1.670 1.245 1.200 1.080 1.040 1.000 0.833 0.667 0.600 0.575 0.517 0.463 0.413 0.375 0.342 0.000
Hope Bancorp Inc. HOPE 0.560 0.540 0.500 0.450 0.420 0.350 0.250 0.050 0.000 0.000 0.028 0.110 0.110 0.110 0.110 0.100 0.100
Helmerich & Payne Inc. HP 2.840 2.820 2.800 2.775 2.750 2.625 1.300 0.280 0.260 0.220 0.200 0.190 0.180 0.173 0.166 0.163 0.160
Hewlett Packard Enterprise
HPE Company 0.450 0.375 0.227 0.165 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
HP Inc. HPQ 0.641 0.557 0.531 0.492 0.332 0.288 0.261 0.238 0.189 0.151 0.151 0.151 0.151 0.151 0.151 0.151 0.151
Hill-Rom Holdings Inc. HRC 0.840 0.800 0.720 0.680 0.640 0.610 0.538 0.500 0.440 0.410 0.410 0.461 0.613 0.608 0.604 0.586 0.548
Hormel Foods Corp. HRL 0.840 0.750 0.680 0.580 0.500 0.400 0.340 0.300 0.255 0.210 0.190 0.185 0.150 0.140 0.130 0.113 0.105
Hershey Company HSY 2.990 2.756 2.548 2.402 2.236 2.040 1.810 1.560 1.380 1.280 1.190 1.190 1.135 1.030 0.930 0.835 0.723
Healthcare Trust of America
HTAInc. 1.245 1.225 1.205 1.185 1.165 1.153 1.150 0.383 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Heritage Commerce Corp. HTBK 0.480 0.440 0.400 0.360 0.320 0.180 0.060 0.000 0.000 0.000 0.020 0.320 0.260 0.200 0.001 0.000 0.000
Hilltop Holdings Inc. HTH 0.320 0.280 0.240 0.060 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.500 1.087 0.000
Hubbell Inc. HUBB 3.430 3.150 2.870 2.590 2.240 2.060 1.850 1.680 1.520 1.440 1.400 1.360 1.320 1.320 1.320 1.320 1.320
Humana Inc. HUM 2.150 1.900 1.490 1.160 1.140 1.100 1.060 1.020 0.500 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Hurco Companies Inc. HURC 0.470 0.430 0.390 0.350 0.310 0.260 0.100 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Haverty Furniture Companies
HVT Inc. 0.760 0.720 0.540 0.440 0.360 0.320 0.240 0.160 0.120 0.100 0.022 0.203 0.270 0.270 0.255 0.250 0.235
Haverty Furniture Companies
HVT-A Inc. A0.720 0.680 0.510 0.415 0.340 0.300 0.225 0.150 0.113 0.095 0.020 0.188 0.250 0.250 0.235 0.230 0.215
Hawthorn Bancshares Inc. HWBK 0.440 0.340 0.268 0.200 0.187 0.179 0.173 0.166 0.160 0.245 0.471 0.614 0.614 0.614 0.526 0.526 0.458
Hawkins Inc. HWKN 0.920 0.890 0.860 0.820 0.780 0.740 0.700 0.660 0.640 0.580 0.540 0.500 0.460 0.420 0.380 0.360 0.360
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Hexcel Corporation HXL 0.640 0.550 0.470 0.430 0.400 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Hyster-Yale Materials Handling
HY Inc. 1.263 1.233 1.203 1.170 1.130 1.075 1.000 0.250 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Independent Bank Corp. IBCP
MI 0.720 0.600 0.420 0.340 0.260 0.180 0.000 0.000 0.000 0.000 0.040 0.340 0.830 0.762 0.680 0.590 0.508
IBERIABANK CorporationIBKC 1.720 1.520 1.450 1.380 1.360 1.360 1.360 1.360 1.360 1.360 1.360 1.360 1.320 1.180 0.948 0.816 0.672
International Business Machines
IBM 6.430 6.210 5.900 5.500 5.000 4.250 3.700 3.300 2.900 2.500 2.150 1.900 1.500 1.100 0.780 0.700 0.630
International BancsharesIBOC
Corp. 1.050 0.750 0.660 0.590 0.580 0.520 0.430 0.400 0.380 0.360 0.340 0.660 0.648 0.636 0.609 0.582 0.491
Independent Bank GroupIBTX Inc. 1.000 0.540 0.400 0.340 0.320 0.240 0.120 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Intercontinental Exchange ICE
Inc. 1.100 0.960 0.800 0.680 0.580 0.520 0.130 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Idacorp Inc. IDA 2.560 2.400 2.240 2.080 1.920 1.760 1.570 1.370 1.200 1.200 1.200 1.200 1.200 1.200 1.200 1.200 1.695
IDEX Corp. IEX 1.930 1.660 1.450 1.340 1.240 1.070 0.890 0.770 0.660 0.570 0.480 0.480 0.460 0.380 0.320 0.282 0.249
International Flavors & Fragrances
IFF 2.960 2.800 2.610 2.320 1.970 1.640 1.410 # 1.270 1.120 1.020 1.000 0.940 0.860 0.740 0.720 0.670 0.620
Independence Holding Company
IHC 0.350 0.250 0.16 0.15 0.08 0.07 0.035 0.095 0.05 0.05 0.05 0.05 0.05 0.05 0.05 0.076 0.04
Independent Bancorp MAINDB 1.700 1.460 1.250 1.130 1.020 0.940 0.870 0.820 0.750 0.720 0.720 0.710 0.670 0.630 0.590 0.550 0.510
Ingredion Inc. INGR 2.505 2.425 2.100 1.850 1.710 1.680 1.400 0.860 0.600 0.560 0.560 0.510 0.380 0.310 0.280 0.240 0.200
Intel Corp. INTC 1.260 1.200 1.078 1.040 0.960 0.900 0.900 0.870 0.783 0.630 0.560 0.548 0.450 0.400 0.320 0.160 0.080
Intuit Inc. INTU 1.940 1.640 1.410 1.240 1.050 0.820 0.700 0.620 0.150 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Innospec Inc. IOSP 1.020 0.890 0.77 0.67 0.61 0.55 0.5 2 0.000 0.000 0.05 0.1 0.09 0.08 0.000 0.000 0.000
International Paper Co. IP 2.013 1.925 1.863 1.783 1.640 1.440 1.233 1.074 0.964 0.394 0.326 0.986 0.986 0.986 0.986 0.986 0.986
Inter Parfums Inc. IPAR 1.100 0.840 0.680 0.600 0.510 0.480 0.440 0.320 0.305 0.228 0.133 0.133 0.127 0.107 0.100 0.073 0.050
Interpublic Group of Companies
IPG Inc.0.940 0.840 0.720 0.600 0.480 0.380 0.300 0.240 0.240 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Ingersoll-Rand plc IR 2.120 1.960 1.700 1.360 1.160 1.000 0.671 0.511 0.383 0.224 0.399 0.575 0.575 0.543 0.455 0.351 0.288
Iron Mountain Inc. IRM 2.444 2.350 2.200 2.005 1.910 1.490 1.080 1.040 0.875 0.188 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Isabella Bank Corp. ISBA 1.050 1.040 1.020 0.980 0.940 0.890 0.840 0.800 0.760 0.720 0.510 0.480 0.436 0.410 0.364 0.470 0.438
Investors Bancorp ISBC 0.440 0.380 0.330 0.260 0.200 0.119 0.078 0.020 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Investar Holding Corp. ISTR 0.228 0.152 0.120 0.039 0.030 0.007 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
ITT Corp. ITT 0.588 0.536 0.508 0.496 0.472 0.440 0.400 0.364 0.378 0.383 0.326 0.268 0.214 0.169 0.138 0.130 0.123
Illinois Tool Works ITW 4.070 3.340 2.730 2.300 2.005 1.745 1.560 # 1.460 1.380 1.270 1.240 1.150 0.910 0.705 0.585 0.500 0.465
Invesco Limited IVZ 1.230 1.190 1.150 1.110 1.060 0.975 0.848 0.640 0.478 0.433 0.408 0.520 0.372 0.345 0.333 0.327 0.397
JB Hunt Transport ServicesJBHTInc. 1.040 0.960 0.920 0.880 0.840 0.800 0.600 # 0.560 0.520 0.480 0.440 0.400 0.360 0.320 0.240 0.045 0.000
J&J Snack Foods Corp. JJSF 2.000 1.800 1.680 1.560 1.440 1.280 0.640 # 0.520 0.460 0.430 0.390 0.370 0.340 0.300 0.250 0.000 0.000
Jack Henry & AssociatesJKHY 1.600 1.480 1.240 1.120 1.000 0.880 0.730 0.460 0.420 0.380 0.340 0.300 0.260 0.220 0.180 0.160 0.140
Jones Lang Lasalle JLL 0.860 0.820 0.720 0.640 0.560 0.480 0.440 0.400 0.300 0.200 0.200 0.750 0.600 0.250 0.000 0.000 0.000
Johnson & Johnson JNJ 3.750 3.540 3.320 3.150 2.950 2.760 2.590 2.400 2.250 2.110 1.930 1.795 1.620 1.455 1.275 1.095 0.925
Johnson Outdoors Inc. JOUT 0.590 0.480 0.370 0.330 0.305 0.300 0.075 0.000 0.000 0.000 0.000 0.220 0.110 0.000 0.000 0.000 0.000
JPMorgan Chase & Co. JPM 3.300 2.480 2.040 1.840 1.680 1.560 1.360 1.150 0.800 0.200 0.530 1.520 1.440 1.360 1.360 1.360 1.360
John Wiley & Sons Inc. JW-A 1.340 1.300 1.260 1.220 1.180 1.080 0.980 # 0.880 0.720 0.600 0.540 0.480 0.420 0.380 0.330 0.280 0.230
Kellogg Company K 2.260 2.200 2.120 2.040 1.980 1.900 1.800 1.740 1.670 1.560 1.430 1.300 1.200 1.140 1.060 1.010 1.010
Kadant Inc. KAI 0.910 0.870 0.820 0.740 0.660 0.575 0.250 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Kaiser Aluminum Corp. KALU 2.400 2.200 2.000 1.800 1.600 1.400 1.200 1.000 0.960 0.960 0.960 0.840 0.360 0.000 0.000 0.000 0.000
Kimball International Inc.KBAL 0.310 0.290 0.250 0.225 0.205 0.200 0.200 0.200 0.200 0.200 0.310 0.640 0.640 0.640 0.640 0.640 0.640
KeyCorp KEY 0.690 0.565 0.380 0.330 0.290 0.250 0.215 0.180 0.100 0.040 0.093 1.000 1.460 1.380 1.300 1.240 1.220
KLA-Tencor Corp. KLAC 3.100 2.840 2.260 2.100 2.040 1.900 1.700 1.500 1.200 0.800 0.600 0.600 0.540 0.480 0.360 0.000 0.000
Kimberly-Clark Corp. KMB 4.090 3.970 3.830 3.640 3.480 3.256 3.038 2.799 2.684 2.473 2.281 2.176 1.994 1.840 1.677 1.476 1.265
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Kinsale Capital Group, Inc.
KNSL 0.320 0.280 0.240 0.100 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Coca-Cola Company KO 1.600 1.560 1.480 1.400 1.320 1.220 1.120 1.020 0.940 0.880 0.820 0.760 0.680 0.620 0.560 0.500 0.440
Kroger Company KR 0.600 0.530 0.490 0.450 0.395 0.340 0.308 0.248 0.215 0.195 0.183 0.173 0.145 0.098 0.000 0.000 0.000
Kearny Financial Corp.KRNY 0.250 0.160 0.120 0.080 0.040 0.000 0.000 0.100 0.200 0.200 0.200 0.200 0.200 0.200 0.090 0.000 0.000
Kohl's Corp. KSS 2.680 2.440 2.200 2.000 1.800 1.560 1.400 1.280 1.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Kennedy-Wilson Holdings KWInc. 0.840 0.760 0.680 0.540 0.450 0.340 0.260 0.190 0.080 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Quaker Chemical Corp. KWR 1.510 1.450 1.400 1.330 1.240 1.100 0.990 0.970 0.950 0.930 0.920 0.905 0.860 0.860 0.860 0.855 0.840
Lithia Motors Inc. LAD 1.190 1.140 1.060 0.950 0.760 0.610 0.490 # 0.370 0.260 0.150 0.000 0.470 0.560 0.520 0.400 0.300 0.140
Ladder Capital Corp LADR 1.360 1.280 1.200 1.100 0.775 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Lamar Advertising Co. LAMR 3.840 3.650 3.320 3.020 2.750 2.500 0.000 0.000 0.000 0.000 0.000 0.000 3.250 0.000 0.000 0.000 0.000
Lancaster Colony Corp. LANC 2.650 2.450 2.250 2.050 1.880 1.780 1.620 1.460 1.350 1.230 1.155 1.125 1.090 1.050 1.010 0.940 0.830
Gladstone Land Corp. LAND 0.534 0.5319 0.524 0.495 0.465 0.36 1.49 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Landmark Bancorp Inc. LARK 0.800 0.800 0.726 0.726 0.657 0.625 0.595 0.567 0.540 0.514 0.490 0.467 0.444 0.379 0.361 0.343 0.317
Lazard Limited LAZ 1.850 1.730 1.610 1.490 1.350 1.200 0.950 # 0.760 0.605 0.500 0.450 0.400 0.360 0.360 0.142 0.000 0.000
Lakeland Bancorp Inc. LBAI 0.490 0.445 0.395 0.370 0.330 0.293 0.271 0.235 0.215 0.181 0.259 0.346 0.329 0.317 0.313 0.313 0.295
Lear Corp. LEA 3.000 2.800 2.000 1.200 1.000 0.800 0.680 0.560 0.500 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Lincoln Electric HoldingsLECO 1.880 1.560 1.400 1.280 1.160 0.920 0.800 # 0.680 0.620 0.560 0.540 0.500 0.440 0.380 0.360 0.335 0.320
Leggett & Platt Inc. LEG 1.560 1.480 1.400 1.320 1.250 1.210 1.170 1.130 1.090 1.050 1.010 1.000 0.700 0.680 0.620 0.570 0.530
Littelfuse Inc. LFUS 1.820 1.600 1.400 1.240 1.080 0.940 0.840 0.760 0.660 0.150 0.000 0.000 0.000 0.000 0.000 0.000 0.000
L3Harris Technologies IncLHX 2.870 2.510 2.200 2.060 1.940 1.780 1.580 1.400 1.060 0.940 0.840 0.700 0.520 0.380 0.280 0.220 0.180
Lennox International Inc.LII 2.820 2.300 1.880 1.580 1.320 1.080 0.880 # 0.740 0.690 0.590 0.560 0.560 0.520 0.440 0.400 0.380 0.380
Linde Plc LIN 3.500 3.300 3.150 3.000 2.860 2.600 2.400 2.200 2.000 1.800 1.600 1.500 1.200 1.000 0.720 0.600 0.458
Lakeland Financial Corp.LKFN 1.160 1.000 0.850 0.727 0.630 0.547 0.493 0.443 0.413 0.413 0.413 0.403 0.363 0.327 0.300 0.273 0.247
Eli Lilly & Company LLY 2.580 2.250 2.080 2.040 2.000 1.960 1.960 1.960 1.960 1.960 1.960 1.880 1.700 1.600 1.520 1.420 1.340
Legg Mason Inc. LM 1.540 1.240 1.000 0.840 0.720 0.610 0.500 0.410 0.300 0.170 0.330 0.960 0.930 0.780 0.660 0.500 0.347
LeMaitre Vascular Inc. LMAT 0.340 0.280 0.210 0.175 0.160 0.135 0.115 0.095 0.060 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Limoneira Company LMNR 0.300 0.250 0.220 0.200 0.180 0.165 0.150 # 0.131 0.125 0.063 0.031 0.000 0.000 0.000 0.000 0.000 0.000
Lockheed Martin LMT 9.000 8.200 7.460 6.770 6.150 5.490 4.780 4.150 3.250 2.640 2.340 1.830 1.470 1.250 1.050 0.910 0.580
Lincoln National Corp. LNC 1.480 1.320 1.160 1.000 0.800 0.640 0.480 0.320 0.200 0.040 0.240 1.660 1.580 1.520 1.460 1.400 1.340
Lindsay Corp. LNN 1.240 1.220 1.180 1.140 1.100 1.060 0.490 0.410 0.350 0.330 0.310 0.290 0.270 0.250 0.230 0.210 0.170
Alliant Energy Corp. LNT 1.420 1.340 1.260 1.175 1.100 1.020 0.940 0.900 0.850 0.790 0.750 0.700 0.635 0.575 0.525 0.506 0.500
Logitech International LOGI 0.732 0.688 0.634 0.568 0.53 0.2671 0.23 0.84 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Logansport Financial Corp.
LOGN 1.400 1.350 1.160 0.970 0.740 0.640 0.620 0.600 0.600 0.600 0.600 0.600 0.600 0.600 0.560 0.560 0.560
Lowe's Companies LOW 2.060 1.780 1.520 1.260 1.020 0.820 0.680 0.600 0.500 0.400 0.350 0.330 0.260 0.160 0.100 0.070 0.053
Lam Research Corp. LRCX 4.500 3.200 1.800 1.200 0.960 0.360 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Landstar System Inc. LSTR 0.700 0.630 0.380 0.340 0.300 0.260 0.250 # 0.230 0.210 0.190 0.170 0.155 0.135 0.110 0.050 0.000 0.000
Southwest Airlines Co. LUV 0.700 0.570 0.475 0.375 0.285 0.220 0.130 0.035 0.020 0.020 0.020 0.020 0.020 0.020 0.020 0.020 0.020
Las Vegas Sands Corp. LVS 3.080 3.000 2.920 2.880 2.600 2.000 1.400 1.000 0.250 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
LyondellBasell IndustriesLYB
NV 4.150 4.000 3.550 3.330 3.040 2.700 2.000 1.450 0.550 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Lyons Bancorp Inc. LYBC 1.210 1.110 1.030 0.950 0.770 0.685 0.583 0.583 0.453 0.420 0.390 0.377 0.360 0.333 0.287 0.250 0.193
La-Z-Boy Inc. LZB 0.530 0.490 0.450 0.410 0.340 0.260 0.180 0.040 0.000 0.000 0.000 0.140 0.480 0.470 0.440 0.430 0.400
MasterCard Inc. MA 1.320 1.000 0.880 0.760 0.640 0.440 0.210 0.105 0.060 0.060 0.060 0.060 0.054 0.009 0.000 0.000 0.000
Mid-America Apartment Communities
MAA 3.840
Inc. 3.690 3.480 3.280 3.080 2.920 2.780 2.640 2.510 2.460 2.460 2.460 2.420 2.380 2.340 2.340 2.340
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Macerich Company MAC 3.000 2.970 2.870 2.750 2.630 2.510 2.360 2.230 2.050 1.560 0.980 3.200 2.930 2.750 2.630 2.480 2.320
Main Street Capital Corp.MAIN 2.415 2.295 2.235 2.175 2.100 1.995 1.860 1.710 1.560 1.500 1.500 1.425 0.330 0.000 0.000 0.000 0.000
ManpowerGroup Inc. MAN 2.180 2.020 1.860 1.660 1.600 0.980 0.920 0.860 0.800 0.740 0.740 0.740 0.690 0.590 0.470 0.300 0.200
Marriott International Inc.MAR 1.850 1.560 1.290 1.150 0.950 0.770 0.640 0.490 0.376 0.196 0.082 0.316 0.268 0.225 0.186 0.154 0.138
Masco Corp MAS 0.495 0.435 0.405 0.385 0.365 0.33 0.3 0.3 0.3 0.3 0.46 0.925 0.91 0.86 0.78 0.66 0.58
Matthews International MATW 0.810 0.770 0.700 0.620 0.540 0.460 0.410 0.370 0.330 0.290 0.265 0.245 0.225 0.205 0.185 0.165 0.124
Matson Inc. MATX 0.860 0.820 0.78 0.74 0.7 0.66 0.62 0 0.3 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Mercantile Bank Corp. MBWM 1.060 0.930 0.740 0.660 0.580 0.480 0.450 0.090 0.000 0.010 0.070 0.310 0.570 0.486 0.400 0.323 0.276
Moelis & Company MC 2.000 1.880 1.480 1.240 1.000 0.400 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Macatawa Bank Corp. MCBC 0.280 0.250 0.180 0.120 0.110 0.080 0.000 0.000 0.000 0.000 0.000 0.260 0.514 0.461 0.369 0.264 0.207
McDonald's Corp. MCD 4.730 4.190 3.830 3.610 3.440 3.280 3.120 2.870 2.530 2.260 2.050 1.625 1.500 1.000 0.670 0.550 0.400
Microchip Technology Inc. MCHP 1.463 1.455 1.447 1.439 1.432 1.423 1.415 1.402 1.386 # 1.370 1.357 1.327 1.150 0.890 0.450 0.173 0.098
McKesson Corp. MCK 1.580 1.410 1.180 1.120 1.040 0.960 0.880 0.800 0.780 0.660 0.480 0.420 0.240 0.240 0.240 0.240 0.240
Moody's Corp. MCO 2.000 1.760 1.520 1.460 1.360 1.120 0.900 0.640 0.535 0.420 0.400 0.400 0.320 0.280 0.203 0.150 0.090
Marcus Corp. MCS 0.640 0.600 0.500 0.450 0.410 0.370 0.340 0.340 0.340 0.340 0.340 0.340 0.340 0.300 0.220 0.220 0.220
Mercury General Corp. MCY 2.513 2.503 2.493 2.483 2.473 2.463 2.453 2.443 2.410 2.370 2.330 2.320 2.080 1.920 1.720 1.480 1.320
Mondelez International Inc.MDLZ 1.065 0.920 0.82 0.72 0.64 0.58 0.54 0 0.13 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Meredith Corp. MDP 2.300 2.180 2.080 1.980 1.830 1.730 1.630 1.530 1.148 0.920 0.900 0.860 0.740 0.640 0.560 0.480 0.380
Medtronic plc MDT 2.080 1.920 1.780 1.620 1.370 1.170 1.080 1.010 0.935 0.860 0.785 0.625 0.470 0.413 0.360 0.313 0.270
MDU Resources MDU 0.815 0.790 0.770 0.750 0.730 0.710 0.690 # 0.670 0.650 0.630 0.620 0.590 0.550 0.515 0.487 0.460 0.433
Medifast, Inc. MED 3.000 1.920 1.280 1.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Methanex Corp. MEOH 1.410 1.320 1.175 1.100 1.075 0.950 0.785 0.725 0.665 0.620 0.620 0.605 0.545 0.485 0.410 0.280 0.220
MetLife Inc. MET 1.740 1.660 1.600 1.575 1.475 1.181 0.900 0.660 0.660 0.660 0.660 0.660 0.660 0.526 0.463 0.410 0.205
Manulife Financial Corporation
MFC 1.000 0.910 0.82 0.74 0.66 0.57 0.52 0.52 0.52 0.52 0.78 1 0.88 0.525 0.58 0.47 0.39
Mackinac Financial Corp.MFNC 0.500 0.480 0.460 0.400 0.325 0.200 0.160 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
MutualFirst Financial Inc.MFSF 0.800 0.740 0.66 0.58 0.48 0.32 0.24 0.24 0.24 0.24 0.42 0.64 0.6 0.58 0.53 0.47 0.42
Magna International Inc. MGA 1.460 1.320 1.100 1.000 0.880 0.760 0.640 0.550 0.500 0.255 0.045 0.315 0.288 0.380 0.380 0.370 0.340
MGE Energy Inc. MGEE 1.380 1.320 1.260 1.205 1.155 1.108 1.070 1.037 1.010 0.990 0.973 0.956 0.938 0.924 0.916 0.907 0.899
McGrath Rentcorp MGRC 1.465 1.280 1.035 1.015 0.995 0.975 0.955 0.935 0.915 0.895 0.860 0.780 0.700 0.620 0.530 0.430 0.390
Mobile Mini Inc. MINI 1.100 1.000 0.908 0.824 0.748 0.680 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
McCormick & Co. MKC 2.280 2.080 1.880 1.720 1.600 1.480 1.360 1.240 1.120 1.040 0.960 0.880 0.800 0.720 0.640 0.560 0.460
MKS Instruments Inc. MKSI 0.800 0.780 0.705 0.680 0.675 0.655 0.640 0.620 0.600 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
MarketAxess Holdings Inc. MKTX 2.040 1.680 1.320 1.040 0.800 0.640 0.520 0.440 0.360 0.280 0.070 0.000 0.000 0.000 0.000 0.000 0.000
Malaga Financial Corp. MLGF 1.000 0.952 0.907 0.816 0.726 0.635 0.544 # 0.454 0.363 # 0.327 0.290 0.290 0.290 0.261 0.215 0.045 0.000
Herman Miller Inc. MLHR 0.803 0.738 0.690 0.613 0.568 0.545 0.475 0.156 0.088 0.088 0.220 0.352 0.336 0.313 0.290 0.218 0.145
Marsh & McLennan Companies MMC Inc.1.740 1.580 1.430 1.300 1.180 1.060 0.960 0.900 0.860 0.810 0.800 0.800 0.760 0.680 0.680 1.300 1.180
3M Company MMM 5.760 5.440 4.700 4.440 4.100 3.420 2.540 2.360 2.200 2.100 2.040 2.000 1.920 1.840 1.680 1.440 1.320
Magellan Midstream PartnersMMP LP 4.035 3.793 3.523 3.245 2.915 2.505 2.098 1.784 1.556 1.454 1.420 1.361 1.247 1.143 0.983 0.860 0.766
Marquette National Corp.MNAT 1.000 0.495 0.409 0.366 0.312 0.170 0.000 0.000 0.000 0.000 0.526 1.065 0.000 0.000 0.000 0.000 0.000
Monro Inc. MNRO 0.860 0.780 0.710 0.660 0.580 0.500 0.430 # 0.390 0.340 0.247 0.180 0.160 0.142 0.107 0.044 0.000 0.000
Altria Group Inc. MO 3.280 2.860 2.490 2.305 2.125 1.960 1.800 1.670 1.550 1.420 1.300 1.159 0.857 0.771 0.711 0.655 0.613
MidWest One Financial GroupMOFGInc. 0.810 0.780 0.670 0.640 0.600 0.580 0.500 0.360 0.220 0.200 0.303 0.458 0.000 0.000 0.000 0.000 0.000
Morningstar Inc. MORN 1.200 1.000 0.920 0.880 0.760 0.680 0.500 0.400 0.200 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Mid Penn Bancorp MPB 0.690 0.600 0.520 0.480 0.440 0.350 0.200 0.200 0.200 0.000 0.520 0.800 0.790 0.762 0.726 0.726 0.726
Marathon Petroleum Corp. MPC 2.120 1.840 1.520 1.360 1.140 0.920 0.770 0.600 0.225 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
MPLX LP MPLX 2.650 2.490 2.210 2.030 1.703 1.340 1.032 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Medical Properties Trust MPW
Inc. 1.010 0.990 0.950 0.900 0.870 0.840 0.800 0.800 0.800 0.800 0.800 1.080 1.080 0.900 0.170 0.000 0.000
Marine Products Corp. MPX 0.480 0.400 0.280 0.240 0.160 0.120 0.120 0.080 0.000 0.000 0.010 0.260 0.240 0.200 0.160 0.107 0.071
Merck & Company MRK 2.200 1.920 1.880 1.840 1.800 1.760 1.720 1.680 1.520 1.520 1.520 1.520 1.520 1.520 1.520 1.490 1.450
Morgan Stanley MS 1.300 1.100 0.900 0.700 0.550 0.350 0.200 0.200 0.200 0.200 0.437 1.080 1.080 1.080 1.080 1.000 0.920
MSA Safety Inc. MSA 1.640 1.490 1.380 1.310 1.270 1.230 1.180 1.100 1.030 0.990 0.960 0.940 0.840 0.680 0.520 0.370 0.257
Midland States Bancorp, MSBI
Inc. 0.970 0.880 0.800 0.360 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
MSCI Inc. MSCI 2.520 1.920 1.320 1.000 0.800 0.180 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Middlesex Water Co. MSEX 0.976 0.911 0.858 0.808 0.776 0.763 0.753 0.743 0.733 0.723 0.713 0.703 0.693 0.683 0.673 0.663 0.649
Microsoft Corp. MSFT 1.890 1.720 1.590 1.470 1.290 1.150 0.970 0.830 0.680 0.550 0.520 0.460 0.410 0.370 0.320 0.160 0.240
Motorola Solutions Inc. MSI 2.350 2.080 1.880 1.640 1.360 1.270 1.090 0.920 0.220 0.000 0.202 0.809 0.809 0.728 0.647 0.579 0.579
MSC Industrial Direct Co.MSM
Inc. 2.760 2.370 1.830 1.740 1.630 1.390 1.230 # 1.050 0.910 0.840 0.800 0.760 0.680 0.560 0.460 0.340 0.100
Vail Resorts Inc. MTN 6.750 5.463 3.969 3.053 2.283 1.453 0.810 0.713 0.300 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Materion Corp. MTRN 0.435 0.415 0.395 0.375 0.355 0.335 0.315 0.225 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Mueller Water Products, MWAInc. 0.205 0.200 0.160 0.110 0.078 0.070 0.070 0.070 0.070 0.070 0.070 0.070 0.070 0.018 0.000 0.000 0.000
Maxim Integrated Products MXIM 1.880 1.760 1.380 1.260 1.160 1.080 1.000 0.920 0.860 0.820 0.800 0.775 0.688 0.563 0.425 0.340 0.220
Muncy Bank Financial Inc. MYBF 1.340 1.300 1.220 1.080 1.000 0.880 0.800 0.760 0.670 0.605 0.575 0.550 0.505 0.480 0.460 0.360 0.340
National Instruments Corp.NATI 1.000 0.920 0.840 0.800 0.760 0.600 0.560 0.560 0.400 0.347 0.320 0.293 0.227 0.160 0.133 0.122 0.044
NBT Bancorp Inc. NBTB 1.050 0.990 0.920 0.900 0.870 0.840 0.840 0.800 0.800 0.800 0.800 0.800 0.790 0.760 0.760 0.740 0.680
NACCO Industries NC 0.735 0.660 0.421 0.336 0.330 0.322 0.315 0.244 0.213 0.209 0.208 0.205 0.199 0.191 0.186 0.168 0.127
Nasdaq Inc. NDAQ 1.850 1.700 1.460 1.210 0.900 0.580 0.520 0.390 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Nordson Corp. NDSN 1.430 1.250 1.140 1.020 0.900 0.760 0.630 0.525 0.440 0.390 0.369 0.365 0.350 0.335 0.323 0.313 0.303
NextEra Energy Inc. NEE 5.000 4.440 3.930 3.480 3.080 2.900 2.640 2.400 2.200 2.000 1.890 1.780 1.640 1.500 1.420 1.300 1.200
NextEra Energy PartnersNEP LP 1.968 1.713 1.490 1.298 0.905 0.188 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
NewMarket Corp. NEU 7.150 7.000 6.850 6.400 5.600 4.400 3.450 3.000 2.080 1.500 0.900 0.800 0.500 0.375 0.000 0.000 0.000
Northfield Bancorp Inc. NFBK 0.430 0.400 0.340 0.310 0.280 0.260 0.240 0.086 0.164 0.135 0.114 0.029 0.000 0.000 0.000 0.000 0.000
National Fuel Gas NFG 1.720 1.680 1.640 1.600 1.560 1.520 1.480 1.440 1.400 1.360 1.320 1.270 1.220 1.180 1.140 1.100 1.060
National Healthcare Corp. NHC 2.040 1.960 1.860 1.700 1.480 1.320 1.240 1.200 1.160 1.080 1.000 0.900 0.780 0.660 0.550 0.375 0.000
National Health InvestorsNHI 4.150 3.950 3.750 3.550 3.320 3.045 2.835 2.620 2.450 2.305 2.200 2.150 1.980 1.890 1.775 1.675 1.550
NiSource Inc. NI 0.800 0.780 0.700 0.640 0.514 0.401 0.385 0.369 0.361 0.361 0.361 0.361 0.361 0.361 0.361 0.361 0.432
Northeast Indiana Bancorp NIDB 1.020 0.970 0.900 0.850 0.810 0.785 0.765 0.730 0.705 0.685 0.665 0.660 0.645 0.640 0.610 0.570 0.530
New Jersey Resources NJR 1.190 1.110 1.038 0.975 0.915 0.855 0.810 0.770 0.720 0.680 0.620 0.547 0.507 0.480 0.453 0.433 0.413
Nike Inc. NKE 0.880 0.800 0.720 0.640 0.560 0.480 0.420 0.375 0.310 0.280 0.255 0.235 0.196 0.163 0.133 0.106 0.078
National Bankshares NKSH 1.390 1.210 1.170 1.160 1.140 1.130 1.120 1.100 1.000 0.910 0.840 0.800 0.760 0.730 0.710 0.640 0.565
Nelnet, Inc. NNI 0.740 0.660 0.580 0.500 0.420 0.400 0.400 0.400 0.370 0.280 0.070 0.070 0.280 0.000 0.000 0.000 0.000
National Retail PropertiesNNN 2.030 1.950 1.860 1.780 1.710 1.650 1.600 1.560 1.530 1.510 1.500 1.480 1.400 1.320 1.300 1.290 1.280
Northrop Grumman NOC 5.160 4.700 3.900 3.500 3.100 2.710 2.380 2.150 1.925 1.662 1.527 1.418 1.337 1.048 0.913 0.804 0.723
Neenah Paper Inc. NP 1.800 1.640 1.480 1.320 1.200 1.020 0.700 0.480 0.440 0.400 0.400 0.400 0.400 0.400 0.400 0.000 0.000
Enpro Industries Inc. NPO 1.000 0.960 0.880 0.840 0.800 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
National Research Corporation
NRC 0.760 0.540 0.400 0.320 0.240 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Northrim BanCorp Inc. NRIM 1.260 1.020 0.860 0.780 0.740 0.700 0.640 0.560 0.500 0.440 0.400 0.660 0.555 0.432 0.385 0.345 0.345
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
National Storage Affiliates
NSA
Trust 1.270 1.160 1.040 0.880 0.540 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Insperity Inc. NSP 1.200 0.800 0.575 0.485 0.425 0.370 0.340 0.330 0.300 0.260 0.260 0.240 0.220 0.180 0.140 0.000 0.000
NetApp Inc. NTAP 1.760 1.200 0.780 0.740 0.690 0.630 0.300 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Northern Trust Corp. NTRS 2.450 1.940 1.560 1.460 1.380 1.280 1.220 1.160 1.120 1.120 1.120 1.120 1.000 0.920 0.840 0.780 0.680
Nucor Corp. NUE 1.600 1.520 1.510 1.500 1.490 1.480 1.470 1.460 1.450 1.440 1.410 1.310 0.630 0.400 0.300 0.235 0.200
Nu Skin Enterprises Inc. NUS 1.480 1.460 1.440 1.420 1.400 1.380 1.200 0.800 0.590 0.500 0.460 0.440 0.420 0.400 0.360 0.320 0.280
NVIDIA Corp. NVDA 0.640 0.610 0.570 0.485 0.375 0.340 0.310 0.075 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Northwest Bancshares Inc. NWBI 0.720 0.680 0.640 0.600 0.560 0.520 0.500 0.480 0.430 0.400 0.391 0.391 0.373 0.311 0.240 0.196 0.160
NorthWestern Corp. NWE 2.300 2.200 2.100 2.000 1.920 1.600 1.520 1.480 1.440 1.360 1.340 1.320 1.280 1.240 1.000 0.000 0.000
Norwood Financial NWFL 0.960 0.880 0.867 0.827 0.820 0.800 0.762 0.727 0.703 0.679 0.655 0.606 0.558 0.497 0.416 0.392 0.369
Northwest Natural Gas NWN 1.903 1.893 1.883 1.873 1.855 1.845 1.825 1.790 1.750 1.680 1.600 1.520 1.440 1.390 1.320 1.300 1.270
NexPoint Residential TrustNXRT
Inc. 1.138 1.025 0.910 0.838 0.618 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Nexstar Media Group Inc.NXST 1.800 1.500 1.200 0.960 0.760 0.600 0.480 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Realty Income Corp. O 2.711 2.631 2.535 2.392 2.271 2.192 2.147 1.772 1.737 1.727 1.716 1.701 1.641 1.518 1.395 1.320 1.200
Owens Corning Inc. OC 0.880 0.840 0.800 0.710 0.670 0.480 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
OceanFirst Financial Corp OCFC 0.680 0.620 0.6 0.54 0.52 0.49 0.48 0.48 0.48 0.48 0.8 0.8 0.8 0.8 0.8 0.8 0.78
Oil-Dri Corp. of America ODC 0.980 0.940 0.900 0.860 0.820 0.780 0.740 # 0.700 0.660 0.620 0.580 0.540 0.500 0.432 0.360 0.328 0.296
OGE Energy Corp. OGE 1.483 1.363 1.240 1.128 1.025 0.925 0.835 0.785 0.750 0.725 0.710 0.695 0.680 0.665 0.665 0.665 0.665
ONE Gas Inc. OGS 2.000 1.840 1.680 1.400 1.200 0.840 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Omega Healthcare InvestorsOHI 2.650 2.640 2.540 2.360 2.180 2.020 1.860 1.690 1.550 1.370 1.200 1.190 1.080 0.960 0.850 0.720 0.150
ONEOK Inc. OKE 3.530 3.245 2.720 2.460 2.430 2.125 1.292 1.109 0.943 0.795 0.716 0.681 0.611 0.533 0.476 0.384 0.301
Omnicom Group Inc. OMC 2.550 2.400 2.200 2.100 2.000 1.800 1.500 1.150 0.950 0.750 0.600 0.600 0.550 0.488 0.450 0.438 0.400
Oracle Corp. ORCL 0.910 0.760 0.720 0.600 0.570 0.480 0.420 # 0.240 0.230 0.200 0.150 0.000 0.000 0.000 0.000 0.000 0.000
Old Republic InternationalORI 0.800 0.780 0.760 0.750 0.740 0.730 0.720 0.710 0.700 0.690 0.680 0.670 0.630 0.590 0.512 0.403 0.357
Orrstown Financial Services
ORRF Inc. 0.600 0.5 0.42 0.35 0.22 0.000 0.000 0.000 0.69 0.89 0.88 0.87 0.84 0.78 0.59 0.5 0.425
Oshkosh Corp. OSK 1.110 0.990 0.870 0.780 0.700 0.620 0.150 0.000 0.000 0.000 0.100 0.400 0.400 0.400 0.241 0.146 0.111
Open Text Corp. OTEX 0.676 0.587 0.511 0.445 0.387 0.335 0.225 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Otter Tail Corp. OTTR 1.400 1.340 1.280 1.250 1.230 1.210 1.190 1.190 1.190 1.190 1.190 1.190 1.170 1.150 1.120 1.100 1.080
Oak Valley Bancorp OVLY 0.270 0.260 0.250 0.240 0.210 0.165 0.000 0.000 0.000 0.000 0.025 0.075 0.190 0.190 0.250 0.290 0.275
Oxford Industries Inc. OXM 1.450 1.290 1.080 1.060 0.960 0.810 0.690 0.580 0.500 0.420 0.450 0.720 0.720 0.600 0.540 0.480 0.420
Occidental Petroleum OXY 3.130 3.090 3.050 3.010 2.940 2.699 2.374 2.008 1.699 1.419 1.264 1.168 0.907 0.772 0.623 0.531 0.502
Bank OZK OZK 0.940 0.795 0.710 0.630 0.550 0.470 0.360 0.250 0.185 0.150 0.130 0.125 0.108 0.100 0.093 0.075 0.058
Penske Automotive Group PAG
Inc. 1.580 1.420 1.260 1.100 0.940 0.780 0.620 0.460 0.240 0.000 0.000 0.360 0.300 0.270 0.225 0.205 0.050
Paychex Inc. PAYX 2.420 2.180 1.920 1.760 1.600 1.460 1.360 # 1.290 1.250 1.240 1.240 1.220 1.020 0.690 0.550 0.490 0.450
Prosperity Bancshares PB 1.640 1.440 1.360 1.200 1.090 0.960 0.860 # 0.800 0.700 0.620 0.550 0.500 0.450 0.400 0.330 0.288 0.243
People's United FinancialPBCT 0.708 0.698 0.688 0.678 0.663 0.658 0.648 0.638 0.628 0.618 0.608 0.583 0.519 0.462 0.406 0.358 0.323
PBF Logistics LP PBFX 2.050 1.970 1.860 1.700 1.440 0.460 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Pathfinder Bancorp, Inc. PBHC 0.240 0.238 0.208 0.200 0.140 0.120 0.120 0.120 0.120 0.120 0.193 0.410 0.410 0.410 0.410 0.401 0.380
Paccar Inc. PCAR 1.280 1.090 0.990 0.960 0.920 0.860 0.800 0.780 0.600 0.390 0.540 0.720 0.647 0.511 0.387 0.333 0.255
Peoples Bancorp of NorthPEBKCarolina 0.560 0.520 0.436 0.345 0.255 0.164 0.109 0.073 0.073 0.073 0.236 0.436 0.373 0.267 0.221 0.200 0.200
Public Service EnterprisePEG
Group Inc.1.880 1.800 1.720 1.640 1.560 1.480 1.440 1.420 1.370 1.370 1.330 1.290 1.170 1.140 1.120 1.100 1.080
PepsiCo Inc. PEP 3.765 3.465 3.115 2.910 2.715 2.445 2.210 2.105 1.990 1.860 1.750 1.600 1.350 1.120 0.980 0.780 0.620
PetMed Express Inc. PETS 1.080 1.040 0.790 0.750 0.710 0.680 0.640 0.600 0.500 0.450 0.200 0.000 0.000 0.000 0.000 0.000 0.000
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Preferred Bank PFBC 1.200 0.940 0.800 0.600 0.460 0.100 0.000 0.000 0.000 0.000 0.080 0.470 0.623 0.533 0.426 0.400 0.160
Pfizer Inc. PFE 1.440 1.360 1.280 1.200 1.120 1.040 0.960 0.880 0.800 0.720 0.800 1.280 1.160 0.960 0.760 0.680 0.600
Principal Financial GroupPFGInc. 2.180 2.100 1.870 1.610 1.500 1.320 0.980 0.760 0.700 0.550 0.500 0.450 0.900 0.800 0.650 0.550 0.450
Provident Financial Services
PFSInc. 0.920 0.820 0.780 0.710 0.650 0.600 0.560 0.510 0.470 0.440 0.440 0.440 0.420 0.390 0.320 0.240 0.140
Procter & Gamble Co. PG 2.955 2.841 2.738 2.671 2.632 2.532 2.367 2.211 2.057 1.885 1.720 1.550 1.360 1.210 1.090 0.978 0.865
Parker-Hannifin Corp. PH 3.400 2.940 2.640 2.520 2.520 2.070 1.780 1.620 1.430 1.070 1.000 0.920 0.763 0.653 0.573 0.507 0.507
Polaris Industries PII 2.440 2.400 2.320 2.200 2.120 1.920 1.680 1.480 0.900 0.800 0.780 0.760 0.680 0.620 0.560 0.460 0.310
Parke Bancorp Inc. PKBK 0.600 0.520 0.440 0.310 0.240 0.100 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.108 0.000 0.000 0.000
Packaging Corp of America PKG 3.160 2.840 2.520 2.280 2.050 1.600 1.363 0.950 0.750 0.600 0.750 1.200 1.000 1.000 0.900 0.600 0.000
Children's Place Inc. (The)
PLCE 2.240 2.000 1.400 0.750 0.583 0.398 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Prologis Inc. PLD 2.120 1.920 1.760 1.680 1.520 1.320 1.120 1.120 1.120 1.120 1.120 1.560 2.000 1.840 1.760 1.700 1.660
Douglas Dynamics Inc. PLOW 1.090 1.060 0.960 0.940 0.890 0.870 0.835 0.823 0.805 0.383 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Philip Morris InternationalPM 4.590 4.420 4.190 4.100 4.020 3.880 3.490 3.160 2.690 2.380 2.200 1.000 0.000 0.000 0.000 0.000 0.000
Pioneer Bankshares Inc.PNBI 0.880 0.840 0.800 0.760 0.720 0.680 0.670 0.610 0.590 0.580 0.570 0.570 0.420 0.000 0.000 0.000 0.000
PNC Financial Services Group
PNC Inc. 4.200 3.400 2.600 2.120 2.010 1.880 1.720 1.550 1.060 0.400 0.690 2.610 2.440 2.150 2.000 2.000 1.940
PNM Resources Inc. PNM 1.160 1.060 0.970 0.880 0.800 0.740 0.640 0.560 0.500 0.500 0.500 0.710 0.910 0.860 0.770 0.633 0.607
Pentair Ltd. PNR 0.760 0.820 0.927 0.913 0.860 0.739 0.645 # 0.591 0.537 # 0.510 0.484 0.457 0.403 0.376 0.349 0.289 0.269
Pinnacle West Capital Corp.
PNW 2.995 2.823 2.660 2.530 2.410 2.298 2.203 2.120 2.100 2.100 2.100 2.100 2.100 2.025 1.925 1.825 1.725
PolyOne Corp. POL 0.780 0.700 0.540 0.480 0.400 0.320 0.230 0.190 0.120 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Pool Corp. POOL 2.100 1.720 1.420 1.190 1.000 0.850 0.730 0.620 0.550 0.520 0.520 0.510 0.465 0.405 0.340 0.203 0.000
Portland General ElectricPORCo. 1.495 1.405 1.320 1.240 1.160 1.110 1.090 1.070 1.050 1.030 1.000 0.960 0.920 0.450 0.000 0.000 0.000
Power Integrations Inc. POWI 0.700 0.640 0.560 0.520 0.480 0.440 0.320 0.200 0.200 0.200 0.100 0.025 0.000 0.000 0.000 0.000 0.000
Pinnacle Bankshares Corp. PPBN 0.545 0.445 0.400 0.380 0.340 0.320 0.225 0.050 0.000 0.050 0.100 0.600 0.600 0.550 0.490 0.450 0.440
PPG Industries Inc. PPG 1.980 1.860 1.700 1.560 1.415 1.310 1.210 1.170 1.130 1.090 1.065 1.045 1.020 0.955 0.930 0.895 0.865
PPL Corp. PPL 1.648 1.625 1.565 1.515 1.495 1.383 1.367 1.341 1.304 1.299 1.285 1.248 1.136 1.025 0.894 0.764 0.717
Peoples Ltd. PPLL 2.160 2.040 1.940 1.880 1.638 1.415 1.278 1.086 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Perrigo Company plc PRGO 0.820 0.760 0.640 0.580 0.500 0.420 0.360 0.330 0.290 0.258 0.228 0.205 0.185 0.173 0.163 0.145 0.110
Primerica Inc. PRI 1.360 1.000 0.780 0.700 0.640 0.480 0.440 0.240 0.100 0.020 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Prudential Financial Inc. PRU 4.000 3.600 3.000 2.800 2.440 2.170 1.730 1.600 1.450 1.150 0.700 0.580 1.150 0.950 0.780 0.625 0.500
PS Business Parks Inc PSB 4.200 3.800 3.4 3 2.2 2 1.76 2 1.76 1.76 2 1.76 1.76 1.76 1.61 1.16 1.16 1.16 1.16
PSB Holdings Inc. PSBQ 0.380 0.337 0.320 0.280 0.273 0.263 0.257 0.227 0.221 0.215 0.209 0.203 0.197 0.190 0.184 0.177 0.194
Phillips 66 PSX 3.500 3.100 2.730 2.450 2.180 1.890 1.328 0.450 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Phillips 66 Partners LP PSXP 3.400 2.636 2.405 1.975 1.538 1.118 0.155 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
People's Utah Bancorp PUB 0.490 0.410 0.340 0.290 0.120 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Qualcomm Inc. QCOM 2.480 2.430 2.240 2.070 1.860 1.610 1.300 0.965 0.835 0.740 0.670 0.620 0.540 0.450 0.340 0.225 0.120
QNB Corp. QNBC 1.320 1.280 1.240 1.200 1.160 1.120 1.080 1.040 1.000 0.960 0.960 0.920 0.880 0.840 0.780 0.720 0.660
Quaint Oak Bancorp Inc.QNTO 0.340 0.260 0.190 0.158 0.138 0.115 0.095 0.078 0.068 0.058 0.050 0.038 0.000 0.000 0.000 0.000 0.000
Restaurant Brands International
QSR Inc.1.950 1.8 0.78 0.62 0.44 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
QTS Realty Trust Inc. QTS 1.730 1.620 1.530 1.400 1.210 1.110 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Ryder System R 2.200 2.120 1.800 1.700 1.560 1.420 1.300 1.200 1.120 1.020 0.960 0.920 0.840 0.720 0.640 0.600 0.600
Ritchie Brothers Auctioneers
RBAInc. 0.760 0.700 0.680 0.660 0.600 0.540 0.505 0.470 0.435 0.410 0.380 0.340 0.300 0.260 0.193 0.123 0.050
Regal Beloit Corp. RBC 1.160 1.080 1.000 0.940 0.900 0.840 0.780 0.740 0.700 0.660 0.640 0.620 0.580 0.540 0.500 0.480 0.480
Republic Bancorp KY RBCAA 1.034 0.946 0.858 0.814 0.770 0.726 0.682 0.638 0.605 0.561 0.517 0.473 0.424 0.363 0.306 0.254 0.208
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Royal Caribbean CruisesRCL Ltd. 2.880 2.500 2.040 1.605 1.275 1.050 0.610 0.420 0.100 0.000 0.000 0.600 0.600 0.600 0.540 0.520 0.520
Everest Reinsurance Group RE Ltd. 5.750 5.300 5.050 4.700 4.000 3.200 2.190 1.920 1.920 1.920 1.920 1.920 1.920 0.600 0.440 0.400 0.360
Resources Connection Inc. RECN 0.540 0.500 0.460 0.420 0.360 0.300 0.260 0.220 0.180 0.080 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Regency Centers Corp. REG 2.340 2.220 2.100 2.000 1.940 1.880 1.850 1.850 1.850 1.850 2.113 2.900 2.640 2.380 2.200 2.120 2.080
Rexford Industrial Realty REXR
Inc. 0.715 0.625 0.58 0.54 0.51 0.48 0.21 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Regions Financial Corp. RF 0.575 0.410 0.315 0.250 0.220 0.160 0.080 0.040 0.040 0.040 0.220 1.240 1.440 1.400 1.360 1.260 0.980
Reinsurance Group of America
RGA Inc. 2.600 2.200 1.820 1.560 1.400 1.260 1.080 0.840 0.600 0.480 0.360 0.090 0.000 0.000 0.000 0.000 0.000
RGC Resources Inc. RGCO 0.660 0.620 0.580 0.540 0.513 0.493 0.480 0.467 0.453 0.440 0.427 0.417 0.407 0.400 0.393 0.390 0.380
Royal Gold Inc. RGLD 1.060 1.000 0.960 0.920 0.880 0.840 0.800 0.600 0.440 0.360 0.320 0.280 0.260 0.220 0.200 0.150 0.100
Robert Half International RHI
Inc. 1.240 1.120 0.960 0.880 0.800 0.720 0.640 0.600 0.560 0.520 0.480 0.440 0.400 0.320 0.280 0.180 0.000
Ryman Hospitality Properties
RHP Inc. 3.550 3.350 3.150 2.950 2.550 2.150 1.500 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Raymond James Financial RJF Inc. 1.360 1.100 0.880 0.800 0.720 0.640 0.560 0.520 0.520 0.440 0.440 0.440 0.400 0.320 0.213 0.180 0.160
RLI Corp. RLI 0.910 0.870 0.830 0.790 0.750 0.710 0.670 0.630 0.595 0.570 0.530 0.480 0.420 0.360 0.300 0.240 0.190
RE/MAX Holdings Inc. RMAX 0.840 0.800 0.720 0.600 0.500 0.250 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
ResMed Inc. RMD 1.520 1.440 1.360 1.260 1.160 1.060 0.840 0.340 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
RenaissanceRe HoldingsRNR 1.360 1.320 1.280 1.240 1.200 1.160 1.120 1.080 1.040 1.000 0.960 0.920 0.880 0.840 0.800 0.720 0.600
Retail Opportunity Investments
ROIC Corp.
0.788 0.780 0.750 0.720 0.680 0.640 0.600 0.530 0.390 0.180 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Rockwell Automation Inc.ROK 3.930 3.645 3.115 2.935 2.675 2.390 2.090 1.790 1.550 1.280 1.160 1.160 1.160 0.965 0.840 0.660 0.660
Rollins Inc. ROL 0.420 0.373 0.307 0.267 0.213 0.187 0.160 0.142 0.124 0.107 0.083 0.075 0.059 0.050 0.040 0.032 0.026
Roper Technologies Inc. ROP 1.850 1.650 1.400 1.200 1.000 0.800 0.660 # 0.550 0.440 0.380 0.330 0.290 0.260 0.235 0.210 0.196 0.176
Ross Stores Inc. ROST 1.020 0.900 0.640 0.540 0.470 0.400 0.340 0.280 0.220 0.160 0.110 0.095 0.075 0.060 0.053 0.043 0.029
RPM International Inc. RPM 1.410 1.310 1.220 1.125 1.055 0.980 0.915 # 0.870 0.845 0.825 0.805 0.770 0.715 0.655 0.610 0.570 0.530
Reliance Steel & Aluminum RS Co. 2.200 2.000 1.800 1.650 1.600 1.400 1.260 0.800 0.480 0.400 0.400 0.400 0.320 0.220 0.190 0.130 0.120
Republic Services Inc. RSG 1.530 1.410 1.305 1.220 1.140 1.060 0.965 0.895 0.820 0.770 0.760 0.700 0.490 0.387 0.333 0.200 0.040
Raytheon Company RTN 3.695 3.400 3.125 2.868 2.615 2.365 2.150 1.930 1.665 1.435 1.210 1.095 1.005 0.940 0.860 0.800 0.800
Ruth's Hospitality Group RUTH
Inc. 0.520 0.440 0.360 0.280 0.240 0.200 0.120 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Riverview Bancorp Inc RVSB 0.170 0.130 0.085 0.078 0.039 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Saratoga Investment Corp. SAR 2.180 2.060 1.900 1.700 1.180 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Sandy Spring Bancorp Inc. SASR 1.180 1.100 1.040 0.980 0.900 0.760 0.640 0.480 0.340 0.040 0.370 0.960 0.920 0.880 0.840 0.780 0.740
SB Financial Group Inc. SBFG 0.360 0.320 0.280 0.240 0.200 0.160 0.120 0.000 0.000 0.000 0.360 0.340 0.260 0.210 0.200 0.000 0.000
Sinclair Broadcast GroupSBGIInc. 0.800 0.740 0.720 0.705 0.660 0.630 0.600 0.540 0.480 0.430 0.200 0.775 0.450 0.300 0.225 0.050 0.000
Southside Bancshares SBSI 1.230 1.200 1.077 0.915 0.836 0.761 0.678 0.619 0.529 0.489 0.377 0.333 0.292 0.260 0.251 0.212 0.180
Starbucks Corp. SBUX 1.490 1.320 1.050 0.850 0.680 0.550 0.445 0.360 0.280 0.180 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Charles Schwab CorporationSCHW 0.680 0.460 0.320 0.270 0.240 0.240 0.240 0.240 0.240 0.240 0.240 0.220 0.200 0.135 0.089 0.074 0.050
Service Corp InternationalSCI 0.720 0.680 0.580 0.510 0.440 0.340 0.270 0.220 0.190 0.160 0.160 0.160 0.120 0.100 0.075 0.000 0.000
Stepan Company SCL 1.025 0.925 0.840 0.785 0.730 0.690 0.650 0.580 0.530 0.490 0.450 0.425 0.413 0.403 0.393 0.386 0.381
Steelcase Inc. SCS 0.570 0.533 0.503 0.473 0.443 0.415 0.390 0.330 0.220 0.160 0.240 0.600 0.580 0.410 0.300 0.240 0.240
Shoe Carnival Inc. SCVL 0.330 0.310 0.290 0.270 0.250 0.240 0.230 0.120 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
SEI Investments Company SEIC 0.660 0.600 0.580 0.520 0.480 0.440 0.350 # 0.300 0.220 0.190 0.160 0.150 0.130 0.115 0.105 0.095 0.065
Sound Financial BancorpSFBC Inc. 0.560 0.540 0.400 0.300 0.230 0.200 0.150 0.000 0.000 0.020 0.120 0.120 0.000 0.000 0.000 0.000 0.000
ServisFirst Bancshares Inc.
SFBS 0.600 0.380 0.190 0.150 0.115 0.050 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Simmons First National Corp.
SFNC 0.630 0.575 0.495 0.475 0.455 0.435 0.415 0.395 0.390 0.390 0.390 0.390 0.360 0.330 0.300 0.280 0.255
Southwest Georgia Financial
SGBCorp. 0.480 0.470 0.440 0.420 0.400 0.320 0.200 0.160 0.100 0.100 0.070 0.560 0.550 0.520 0.520 0.520 0.520
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Superior Uniform Group SGCInc. 0.400 0.390 0.365 0.340 0.315 0.285 0.068 0.270 0.270 0.270 0.270 0.270 0.270 0.270 0.270 0.270 0.270
Star Gas Partners LP SGU 0.493 0.463 0.433 0.403 0.373 0.345 0.325 0.310 0.310 0.290 0.270 0.000 0.000 0.000 0.000 0.000 0.000
Shore Bancshares, Inc.SHBI 0.420 0.320 0.220 0.140 0.040 0.000 0.000 0.010 0.090 0.240 0.640 0.640 0.640 0.587 0.533 0.480 0.440
Shenandoah Telecommunications
SHEN 0.290 0.270 0.260 0.250 0.240 0.235 0.180 0.165 0.165 0.165 0.160 0.150 0.135 0.125 0.077 0.072 0.065
Shell Midstream PartnersSHLX
LP 1.690 1.428 1.177 0.969 0.674 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Sherwin-Williams Co. SHW 4.520 3.440 3.400 3.360 2.680 2.200 2.000 1.560 1.460 1.440 1.420 1.400 1.260 1.000 0.820 0.680 0.620
Signet Jewelers Limited SIG 1.480 1.420 1.190 1.000 0.840 0.690 0.570 0.460 0.100 0.000 0.000 1.456 1.456 1.190 1.112 0.361 0.737
Selective Insurance GroupSIGI
Inc. 0.830 0.740 0.66 0.61 0.57 0.53 0.52 1 0.52 0.52 0.52 0.52 0.49 0.44 0.395 0.35 0.31 0.3
South Jersey Industries SJI 1.158 1.128 1.098 1.064 1.005 0.945 0.900 0.825 0.749 0.678 0.595 0.540 0.490 0.450 0.425 0.405 0.385
J.M. Smucker Co. SJM 3.460 3.260 3.060 2.840 2.620 2.440 2.200 2.000 1.840 1.550 1.370 1.260 1.180 1.110 1.060 0.980 0.890
SJW Corp. SJW 1.200 1.120 0.870 0.810 0.780 0.750 0.730 0.710 0.690 0.680 0.660 0.644 0.604 0.566 0.536 0.510 0.485
Tanger Factory Outlet Centers
SKT 1.415 1.393 1.353 1.260 1.095 0.945 0.885 0.830 0.794 0.773 0.764 0.750 0.710 0.671 0.640 0.623 0.615
SL Green Realty Corp. SLG 3.400 3.250 3.100 2.880 2.400 2.000 1.320 1.000 0.400 0.400 0.950 3.150 2.800 2.400 2.160 2.000 1.860
Silgan Holdings Inc. SLGN 0.440 0.400 0.360 0.340 0.320 0.300 0.280 0.240 0.220 0.210 0.190 0.170 0.160 0.120 0.100 0.056 0.000
Southern Missouri BancorpSMBCInc. 0.560 0.480 0.420 0.380 0.350 0.330 0.310 0.270 0.240 0.240 0.240 0.220 0.190 0.180 0.180 0.180 0.160
Scotts Miracle-Gro Company
SMG 2.260 2.160 2.060 1.940 1.840 1.775 1.525 1.250 1.100 0.750 0.500 0.500 0.500 0.500 0.250 0.000 0.000
Summit Financial Group, SMMFInc. 0.590 0.530 0.440 0.400 0.320 0.000 0.000 0.000 0.000 0.000 0.060 0.360 0.340 0.320 0.300 0.260 0.215
Standard Motor ProductsSMPInc. 0.920 0.840 0.760 0.680 0.600 0.520 0.440 0.360 0.280 0.200 0.000 0.360 0.360 0.360 0.360 0.360 0.360
Snap-on Inc. SNA 3.930 3.410 2.950 2.540 2.200 1.850 1.580 1.400 1.300 1.220 1.200 1.200 1.110 1.080 1.000 1.000 1.000
Synovus Financial SNV 1.150 0.900 0.570 0.480 0.400 0.160 0.040 0.040 0.040 0.040 0.090 1.383 2.495 2.364 2.224 2.107 1.980
SYNNEX Corp. SNX 1.500 1.400 1.050 0.850 0.575 0.125 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Southern Company SO 2.460 2.380 2.300 2.223 2.153 2.083 2.013 1.943 1.873 1.803 1.733 1.663 1.595 1.535 1.475 1.415 1.385
Sotherly Hotels Inc. SOHO 0.510 0.470 0.410 0.365 0.290 0.205 0.140 0.090 0.020 0.000 0.020 0.680 0.680 0.680 0.510 0.000 0.000
Southern Michigan BancorpSOMC Inc. 0.900 0.860 0.820 0.700 0.620 0.560 0.490 0.320 0.200 0.200 0.350 0.800 0.800 0.751 0.667 0.629 0.610
Sonoco Products Co. SON 1.700 1.620 1.540 1.460 1.370 1.270 1.230 1.190 1.150 1.110 1.080 1.070 1.020 0.960 0.920 0.880 0.840
Simon Property Group Inc.SPG 8.300 7.900 7.150 6.500 6.050 4.999 4.372 3.855 3.103 2.444 1.862 3.385 3.159 2.858 2.632 2.444 2.256
S&P Global Inc. SPGI 2.280 2.000 1.640 1.440 1.320 1.200 1.120 1.020 1.000 0.940 0.900 0.880 0.820 0.726 0.660 0.600 0.540
SpartanNash Company SPTN 0.760 0.720 0.660 0.600 0.540 0.480 0.350 0.305 0.245 0.200 0.200 0.200 0.200 0.200 0.000 0.000 0.000
Spire Inc. SR 2.370 2.250 2.100 1.960 1.840 1.760 1.700 1.660 1.620 1.580 1.540 1.500 1.460 1.420 1.380 1.360 1.340
1st Source Corp. SRCE 1.100 0.960 0.760 0.720 0.671 0.645 0.618 0.600 0.582 0.555 0.536 0.527 0.509 0.486 0.405 0.347 0.306
Sempra Energy SRE 3.798 3.508 3.223 2.965 2.760 2.610 2.490 2.280 1.830 1.560 1.520 1.330 1.230 1.190 1.120 1.000 1.000
Sprague Resources LP SRLP 2.670 2.625 2.400 2.160 1.920 1.565 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
South State Corp. SSB 1.670 1.380 1.320 1.210 0.980 0.820 0.740 0.690 0.680 0.680 0.680 0.680 0.672 0.648 0.648 0.617 0.599
Simpsom Manufacturing SSDCo. 0.900 0.860 0.780 0.680 0.600 0.530 0.500 0.500 0.475 0.400 0.400 0.400 0.380 0.320 0.200 0.150 0.000
STAG Industrial Inc. STAG 1.430 1.420 1.403 1.391 1.360 1.280 1.170 1.060 0.466 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Extended Stay America Inc.
STAY 0.910 0.870 0.820 0.740 0.660 0.530 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
S&T Bancorp Inc. STBA 1.090 0.990 0.820 0.770 0.730 0.680 0.610 0.600 0.600 0.600 0.920 1.240 1.200 1.160 1.110 1.060 1.010
Sturgis Bancorp STBI 0.600 0.570 0.480 0.420 0.140 0.090 0.000 0.000 0.030 0.120 0.390 0.480 0.480 0.400 0.380 0.360 0.350
Steris plc STE 1.420 1.300 1.180 1.060 0.960 0.880 0.800 0.720 0.640 0.520 0.410 0.280 0.220 0.170 0.120 0.000 0.000
Steel Dynamics Inc. STLD 0.908 0.718 0.605 0.558 0.528 0.455 0.430 0.400 0.375 0.300 0.350 0.375 0.300 0.200 0.100 0.375 0.000
STORE Capital Corp STOR 1.340 1.260 1.180 1.100 0.884 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
State Street Corp. STT 1.930 1.780 1.560 1.400 1.280 1.120 1.020 0.900 0.550 0.040 0.270 0.940 0.860 0.780 0.700 0.620 0.540
Constellation Brands Inc.STZ
A 2.990 2.740 1.960 1.510 0.930 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Service Properties Trust SVC 2.150 2.110 2.070 2.030 1.990 1.950 1.890 1.820 1.800 1.800 0.770 3.080 3.030 2.940 2.890 2.880 2.880
Stanley Black & Decker SWK 2.700 2.580 2.420 2.260 2.140 2.040 1.980 1.800 1.640 1.340 1.300 1.260 1.220 1.180 1.140 1.080 1.030
Skyworks Solutions Inc. SWKS 1.640 1.400 1.200 1.080 0.780 0.350 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Schweitzer-Mauduit International
SWM Inc. 1.760 1.730 1.690 1.620 1.540 1.460 1.260 0.450 0.300 0.300 0.300 0.300 0.300 0.300 0.300 0.300 0.300
Southwest Gas Corp. SWX 2.155 2.055 1.935 1.755 1.580 1.425 1.285 1.150 1.055 0.988 0.938 0.890 0.850 0.820 0.820 0.820 0.830
Standex International Inc.SXI 0.820 0.740 0.660 0.580 0.500 0.420 0.340 0.290 0.250 0.210 0.360 0.840 0.840 0.840 0.840 0.840 0.840
Sensient Technologies Corp.
SXT 1.470 1.350 1.230 1.110 1.040 0.980 0.910 0.870 0.840 0.790 0.760 0.740 0.680 0.610 0.600 0.600 0.590
Stock Yards Bancorp Inc.SYBT 1.040 0.960 0.800 0.717 0.640 0.587 0.540 0.513 0.480 0.460 0.453 0.453 0.420 0.382 0.298 0.248 0.194
Stryker Corp. SYK 2.080 1.880 1.700 1.520 1.380 1.220 1.060 0.850 0.720 0.600 0.500 0.330 0.220 0.110 0.090 0.070 0.060
Sysco Corp. SYY 1.560 1.440 1.320 1.240 1.200 1.160 1.120 1.080 1.040 1.000 0.960 0.880 0.760 0.680 0.600 0.520 0.440
AT&T Inc. T 2.040 2.000 1.960 1.920 1.880 1.840 1.800 1.760 1.720 1.680 1.640 1.600 1.420 1.330 1.290 1.250 1.118
Territorial Bancorp TBNK 0.890 0.840 0.800 0.720 0.660 0.600 0.520 0.440 0.340 0.240 0.000 0.000 0.000 0.000 0.000 0.000 0.000
TriCo Bancshares TCBK 0.820 0.700 0.660 0.600 0.520 0.440 0.420 0.360 0.360 0.400 0.520 0.520 0.520 0.480 0.450 0.430 0.400
TCF Financial Corp. TCF 1.380 1.240 1.100 1.060 1.000 0.940 0.870 0.820 0.800 0.800 1.180 1.180 1.140 1.100 1.060 1.060 1.000
Taubman Centers Inc. TCO 2.700 2.620 2.500 2.380 2.260 2.160 2.000 # 1.850 1.765 1.683 1.660 1.660 1.540 1.290 1.160 1.095 1.050
Telephone & Data Sys. TDS 0.660 0.640 0.620 0.592 0.564 0.536 0.510 0.490 0.470 0.445 0.430 0.410 0.390 0.370 0.350 0.330 0.310
TE Connectivity Ltd. TEL 1.820 1.720 1.570 1.440 1.280 1.120 0.960 0.810 0.700 0.640 0.640 0.580 0.000 0.000 0.000 0.000 0.000
Terex Corp. TEX 0.440 0.400 0.320 0.280 0.240 0.200 0.050 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Truist Financial Corp TFC 1.710 1.515 1.260 1.150 1.050 0.950 0.920 # 0.760 0.640 0.600 1.240 1.860 1.760 1.600 1.460 1.340 1.220
TFS Financial CorporationTFSL 1.040 0.840 0.590 0.450 0.340 0.140 0.000 0.000 0.000 0.140 0.280 0.200 0.000 0.000 0.000 0.000 0.000
Tallgrass Energy LP TGE 2.140 1.8625 1.263 0.891 0.217 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Target Corp. TGT 2.600 2.520 2.440 2.320 2.160 1.900 1.580 1.320 1.100 0.840 0.660 0.600 0.520 0.440 0.360 0.300 0.260
First Financial Corp. THFF 1.030 1.020 1.000 0.990 0.980 0.970 0.960 0.940 0.930 0.910 0.900 0.880 0.860 0.840 0.800 0.750 0.650
Hanover Insurance Group THG(The) 2.450 2.220 2.040 1.880 1.690 1.520 1.360 1.230 1.125 1.000 0.750 0.450 0.400 0.300 0.250 0.000 0.000
Thor Industries Inc. THO 1.570 1.500 1.360 1.260 1.110 0.960 0.770 0.630 0.450 0.310 0.280 0.280 0.280 0.260 0.140 0.105 0.035
Thomasville Bancshares THVB
Inc. 1.400 1.300 1.000 0.850 0.750 0.650 0.600 0.550 0.325 0.300 0.275 0.250 0.200 0.150 0.125 0.115 0.113
Tiffany & Company TIF 2.260 2.100 1.900 1.700 1.560 1.440 1.320 1.220 1.080 0.870 0.680 0.640 0.470 0.360 0.280 0.220 0.180
TJX Companies Inc. TJX 0.885 0.741 0.599 0.495 0.403 0.335 0.275 # 0.220 0.180 # 0.143 0.118 0.105 0.085 0.068 0.056 0.043 0.034
Timken Company (The) TKR 1.120 1.110 1.07 1.04 1.03 1 0.92 0.92 0.78 0.53 0.45 0.7 0.66 0.62 0.6 0.52 0.52
Tompkins Financial Corp.TMP 2.020 1.940 1.820 1.770 1.700 1.620 1.540 1.460 1.400 1.329 1.236 1.200 1.127 1.041 0.969 0.902 0.840
Tennant Company TNC 0.880 0.850 0.840 0.810 0.800 0.780 0.720 0.690 0.680 0.590 0.530 0.520 0.480 0.460 0.440 0.430 0.420
Towne Bank TOWN 0.680 0.600 0.540 0.500 0.460 0.420 0.370 0.315 0.311 0.311 0.311 0.311 0.311 0.515 0.123 0.063 0.031
Texas Pacific Land TrustTPL 1.750 1.050 0.350 0.310 0.290 0.270 0.250 # 0.230 0.210 0.200 0.190 0.180 0.160 0.130 0.110 0.100 0.080
Tootsie Roll Industries TR 0.357 0.347 0.339 0.325 0.298 0.266 0.258 # 0.251 0.245 # 0.238 0.231 0.224 0.218 0.212 0.205 0.199 0.194
Thomson Reuters Corp. TRI 1.440 1.385 1.380 1.360 1.340 1.320 1.300 1.280 1.240 1.160 1.120 1.080 0.980 0.880 0.790 0.755 0.725
Trinity Industries Inc. TRN 0.640 0.520 0.480 0.440 0.420 0.350 0.250 0.200 0.170 0.160 0.160 0.150 0.125 0.107 0.083 0.080 0.080
Terreno Realty Corp. TRNO 0.990 0.900 0.820 0.760 0.640 0.540 0.500 0.440 0.300 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
T. Rowe Price Group TROW 3.040 2.800 2.280 2.160 2.080 1.760 1.520 1.360 1.240 1.080 1.000 0.960 0.680 0.560 0.460 0.380 0.340
Truxton Corp. TRUX 1.000 0.880 0.800 0.720 0.600 0.400 0.100 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Travelers Companies TRV 3.230 3.030 2.830 2.620 2.380 2.150 1.960 1.790 1.590 1.410 1.230 1.190 1.130 1.010 0.910 0.870 1.160
Timberland Bancorp Inc.TSBK 0.600 0.520 0.440 0.340 0.260 0.180 0.120 0.000 0.000 0.010 0.310 0.440 0.380 0.340 0.310 0.290 0.260
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Tractor Supply CompanyTSCO 1.360 1.200 1.050 0.920 0.760 0.610 0.490 0.360 0.215 0.140 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Tyson Foods Inc. TSN 1.545 1.275 0.975 0.600 0.450 0.325 0.225 0.170 0.160 0.160 0.160 0.160 0.160 0.160 0.160 0.160 0.160
Toro Company TTC 0.900 0.800 0.700 0.600 0.500 0.400 0.280 0.220 0.200 0.180 0.150 0.150 0.120 0.090 0.060 0.030 0.030
TTEC Holdings Inc. TTEC 0.620 0.550 0.470 0.385 0.360 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Tetra Tech Inc. TTEK 0.570 0.460 0.39 0.35 0.31 0.21 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Texas Instruments TXN 3.210 2.630 2.120 1.640 1.400 1.240 1.070 0.710 0.560 0.490 0.450 0.410 0.300 0.130 0.105 0.089 0.085
Texas Roadhouse Inc. TXRH 1.200 1.000 0.840 0.740 0.680 0.600 0.480 0.360 0.320 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Trinity Bank NA TYBT 1.220 1.110 1.000 0.900 0.800 0.650 0.530 0.400 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Calvin B. Taylor Bankshares
TYCB Inc. 1.000 0.990 0.980 0.970 0.960 0.950 0.940 0.930 0.920 0.910 0.900 0.850 0.800 0.750 0.700 0.650 0.600
Urstadt Biddle PropertiesUBA 1.100 1.080 1.060 1.040 1.020 1.010 1.000 0.990 0.980 0.970 0.960 0.950 0.920 0.900 0.880 0.860 0.840
United Bancorp Inc. UBCP 0.545 0.520 0.460 0.420 0.370 0.330 0.290 0.420 0.560 0.560 0.560 0.540 0.520 0.520 0.520 0.520 0.520
Urstadt Biddle PropertiesUBPInc. 0.980 0.960 0.940 0.920 0.900 0.900 0.900 0.900 0.890 0.880 0.870 0.860 0.830 0.810 0.800 0.780 0.760
United Bankshares Inc. UBSI 1.360 1.360 1.320 1.320 1.280 1.280 1.250 1.240 1.200 1.200 1.160 1.160 1.120 1.080 1.040 1.010 1.000
United Community BanksUCBI Inc. 0.660 0.520 0.360 0.280 0.210 0.060 0.000 0.000 0.000 0.000 0.000 0.270 0.350 0.310 0.270 0.230 0.192
UDR Inc. UDR 1.350 1.278 1.225 1.163 1.093 1.015 0.925 0.875 0.770 0.725 0.965 1.320 1.303 1.238 1.193 1.163 1.133
United Fire Group Inc. UFCS 1.300 1.210 1.090 0.970 0.860 0.780 0.690 0.600 0.600 0.600 0.600 0.600 0.555 0.495 0.480 0.800 0.750
Universal Forest ProductsUFPI
Inc. 0.400 0.360 0.320 0.290 0.273 0.203 0.137 0.133 0.133 0.133 0.087 0.040 0.038 0.037 0.035 0.033 0.032
Domtar Corp. UFS 1.780 1.740 1.660 1.630 1.575 1.300 1.050 0.850 0.650 0.375 0.000 0.000 0.000 0.000 0.000 0.000 0.000
UGI Corp. UGI 1.145 1.020 0.975 0.930 0.888 0.807 0.737 0.707 0.680 0.600 0.523 0.503 0.482 0.460 0.433 0.398 0.377
Universal Health Realty Trust
UHT 2.720 2.680 2.645 2.613 2.560 2.520 2.490 2.450 2.425 2.415 2.380 2.340 2.300 2.260 2.175 2.000 1.960
UMB Financial Corp. UMBF 1.200 1.145 1.020 0.980 0.940 0.900 0.860 # 0.820 0.780 0.740 0.700 0.630 0.550 0.510 0.440 0.420 0.400
Umpqua Holdings Corp. UMPQ 0.840 0.790 0.660 0.640 0.610 0.600 0.540 0.320 0.220 0.200 0.200 0.760 0.730 0.540 0.260 0.200 0.160
Union Bankshares Inc. UNB 1.240 1.200 1.160 1.110 1.080 1.040 1.010 1.000 1.000 1.000 1.030 1.120 1.120 1.060 0.980 0.900 0.820
UnitedHealth Group Inc. UNH 4.980 3.450 2.875 2.375 1.875 1.405 1.053 0.800 0.613 0.405 0.030 0.030 0.030 0.030 0.015 0.015 0.008
Unum Group UNM 1.090 0.980 0.860 0.770 0.700 0.620 0.550 0.470 0.395 0.350 0.315 0.300 0.300 0.300 0.300 0.300 0.373
Union Pacific UNP 3.700 3.060 2.480 2.255 2.200 1.805 1.480 1.245 0.965 0.600 0.540 0.465 0.338 0.300 0.300 0.300 0.230
Unity Bancorp Inc. UNTY 0.310 0.270 0.230 0.180 0.140 0.100 0.030 0.000 0.000 0.000 0.000 0.150 0.200 0.200 0.180 0.150 0.030
United Parcel Service Inc.
UPS 3.840 3.640 3.320 3.120 2.920 2.680 2.480 2.280 2.080 1.880 1.800 1.800 1.680 1.520 1.320 1.120 0.920
U.S. Bancorp USB 1.530 1.270 1.140 1.045 1.000 0.950 0.850 0.710 0.425 0.200 0.575 1.700 1.600 1.320 1.200 0.960 0.810
USD Partners LP USDP 1.455 1.415 1.350 1.245 1.114 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
US Physical Therapy Inc.USPH 1.140 0.920 0.770 0.660 0.600 0.480 0.400 0.360 0.320 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Unitil Corp. UTL 1.480 1.460 1.440 1.420 1.400 1.380 1.380 1.380 1.380 1.380 1.380 1.380 1.380 1.380 1.380 1.380 1.380
Utah Medical Products Inc.
UTMD 1.100 1.080 1.060 1.045 1.025 1.005 0.985 0.965 0.945 0.940 0.925 0.905 0.885 0.780 0.630 0.450 0.000
United Technologies UTX 2.940 2.835 2.720 2.620 2.560 2.360 2.195 2.030 1.865 1.700 1.540 1.345 1.150 1.025 0.880 0.700 0.568
Universal Corp. UVV 3.020 2.600 2.160 2.120 2.080 2.040 2.000 1.960 1.920 1.880 1.840 1.800 1.760 1.720 1.680 1.560 1.440
Visa Inc. V 1.050 0.880 0.690 0.585 0.500 0.420 0.348 0.248 0.168 0.131 0.110 0.053 0.000 0.000 0.000 0.000 0.000
Marriot Vacations Worldwide
VACCorp. 1.800 1.600 1.400 1.200 0.750 0.250 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Value Line Inc. VALU 0.790 0.750 0.710 0.670 0.620 0.600 0.600 0.600 0.800 0.400 1.100 1.400 1.200 1.050 1.000 1.000 1.000
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
VF Corp. VFC 1.900 1.779 1.619 1.440 1.252 1.042 0.861 # 0.713 0.614 # 0.572 0.558 0.548 0.525 0.456 0.259 0.247 0.238
Vector Group Ltd. VGR 1.562 1.504 1.469 1.350 1.333 1.269 1.209 # 1.151 1.096 # 1.044 0.995 0.947 0.902 0.859 0.818 0.779 0.742
Valero Energy Corp. VLO 3.600 3.200 2.800 2.400 1.700 1.050 0.833 0.594 0.274 0.183 0.548 0.521 0.439 0.274 0.174 0.133 0.096
Vulcan Materials VMC 1.240 1.120 1.000 0.800 0.400 0.220 0.040 0.040 0.760 1.000 1.480 1.960 1.840 1.480 1.160 1.040 0.980
VSE Corp. VSEC 0.340 0.300 0.260 0.230 0.210 0.190 0.170 0.150 0.130 0.110 0.095 0.085 0.075 0.065 0.055 0.045 0.040
Ventas Inc. VTR 3.170 3.160 3.115 2.965 2.835 2.581 2.381 2.159 2.002 1.863 1.785 1.785 1.654 1.375 1.254 1.132 0.931
Verizon CommunicationsVZ 2.423 2.373 2.323 2.273 2.215 2.140 2.075 2.015 1.963 1.913 1.855 1.750 1.645 1.620 1.600 1.540 1.540
Westamerica Bancorp WABC 1.630 1.600 1.570 1.560 1.530 1.520 1.490 1.480 1.450 1.440 1.410 1.390 1.360 1.300 1.220 1.100 1.000
Washington Federal Inc.WAFD 0.820 0.700 0.600 0.560 0.520 0.420 0.360 0.320 0.240 0.200 0.200 0.840 0.830 0.810 0.773 0.745 0.709
Washington Trust Bancorp WASH
Inc. 1.960 1.680 1.540 1.460 1.340 1.170 1.000 0.920 0.870 0.840 0.840 0.820 0.790 0.750 0.710 0.670 0.600
Walgreens Boots AllianceWBA
Inc. 1.795 1.680 1.550 1.470 1.395 1.305 1.180 1.000 0.800 0.625 0.500 0.415 0.345 0.285 0.235 0.191 0.161
Webster Financial Corp. WBS 1.530 1.250 1.030 0.980 0.890 0.750 0.550 0.350 0.160 0.040 0.040 1.200 1.170 1.060 0.980 0.900 0.820
Waste Connections Inc. WCN 0.665 0.580 0.500 0.410 0.357 0.317 0.277 0.247 0.210 0.050 0.000 0.000 0.000 0.000 0.000 0.000 0.000
WD-40 Company WDFC 2.440 2.160 1.960 1.680 1.520 1.360 1.240 1.160 1.080 1.020 1.000 1.000 1.000 0.880 0.860 0.800 0.800
Woodlands Financial Services
WDFNCo. 1.020 0.940 0.820 0.800 0.765 0.760 0.745 0.655 0.570 0.500 0.500 0.500 0.250 0.000 0.000 0.000 0.000
Wellesley Bancorp Inc. WEBK 0.235 0.215 0.19 0.15 0.11 0.07 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
WEC Energy Group Inc. WEC 2.360 2.210 2.080 1.980 1.743 1.560 1.445 1.200 1.040 0.800 0.675 0.540 0.500 0.460 0.440 0.415 0.400
Wendy's Company WEN 0.420 0.340 0.280 0.245 0.225 0.205 0.180 0.100 0.080 0.065 0.060 0.255 0.320 0.320 0.290 0.260 0.130
Werner Enterprises, Inc. WERN 0.360 0.320 0.260 0.240 0.210 0.200 0.200 0.200 0.200 0.200 0.200 0.200 0.190 0.170 0.150 0.120 0.095
Western Midstream Partners
WESLP 2.451 2.295 2.019 1.709 1.401 1.043 0.412 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Weyco Group Inc. WEYS 0.940 0.900 0.870 0.830 0.790 0.750 0.700 # 0.660 0.640 0.620 0.580 0.500 0.400 0.340 0.250 0.210 0.180
Wells Fargo & Co. WFC 1.920 1.640 1.540 1.515 1.475 1.350 1.150 0.880 0.480 0.200 0.490 1.300 1.180 1.080 1.000 0.930 0.750
Whirlpool Corp. WHR 4.750 4.550 4.300 3.900 3.450 2.875 2.375 2.000 1.930 1.720 1.720 1.720 1.720 1.720 1.720 1.720 1.360
Winmark Corp. WINA 0.900 0.560 0.430 0.370 0.270 0.230 0.190 0.150 0.110 0.060 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Westlake Chemical Corp.W LK 1.025 0.920 0.801 0.744 0.693 0.582 0.413 0.261 0.137 0.121 0.110 0.103 0.090 0.068 0.049 0.010 0.000
Westlake Chemical Partners
WLKP LP 1.801 1.613 1.441 1.286 1.148 0.170 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Willis Towers Watson plcWLTW 2.550 2.330 2.070 1.750 1.230 1.180 1.110 1.070 1.040 1.040 1.040 1.030 0.985 0.920 0.833 0.700 0.413
Waste Management WM 2.050 1.860 1.700 1.640 1.540 1.500 1.460 1.420 1.360 1.260 1.160 1.080 0.960 0.880 0.800 0.750 0.010
William Penn Bancorp Inc.WMPN 0.400 0.320 0.310 0.280 0.270 0.260 0.250 0.200 0.150 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Advanced Drainage SystemsWMSInc. 0.350 0.310 0.27 0.22 0.19 0.04 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Wal-Mart Inc. WMT 2.110 2.070 2.030 1.990 1.950 1.910 1.808 1.558 1.398 1.180 1.055 0.933 0.828 0.653 0.580 0.480 0.345
Worthington Industries Inc.
WOR 0.900 0.880 0.820 0.780 0.740 0.660 0.560 0.500 0.440 0.400 0.470 0.680 0.680 0.680 0.680 0.640 0.640
W.P. Carey Inc. WPC 4.132 4.070 4.020 3.940 3.827 3.615 3.180 2.345 2.132 2.020 1.988 1.938 1.859 1.812 1.780 1.749 1.730
W.R. Berkley Corp. WRB 0.430 0.393 0.367 0.340 0.313 0.287 0.253 # 0.227 0.200 # 0.180 0.160 0.153 0.133 0.107 0.089 0.083 0.081
WestRock Company WRK 1.830 1.745 1.630 1.426 1.253 0.642 0.529 # 0.372 0.360 0.293 0.203 0.180 0.180 0.162 0.162 0.155 0.146
WesBanco Inc. WSBC 1.220 1.130 1.020 0.950 0.910 0.860 0.760 0.680 0.600 0.560 0.980 1.115 1.090 1.055 1.030 0.990 0.955
WSFS Financial Corp. WSFS 0.470 0.420 0.300 0.250 0.210 0.170 0.160 0.160 0.160 0.160 0.160 0.140 0.127 0.103 0.090 0.077 0.067
Williams-Sonoma Inc. WSM 1.870 1.680 1.540 1.460 1.380 1.300 1.150 0.880 0.660 0.550 0.480 0.475 0.445 0.300 0.000 0.000 0.000
Historical Information Dividends Paid by Year
(excluding Special/Extra Dividends)
5 or more straight years of higher dividends # Column on right excludes amount normally paid in following year but accelerated; included next year (column o
Company Ticker Amounts in Red indicate no increase during year
Name Symbol 2019 2018 2017 2016 2015 2014 2013 # 2012 2011 # 2010 2009 2008 2007 2006 2005 2004 2003
Watsco Inc. WSO 6.400 5.600 4.600 3.800 2.800 2.000 1.150 2.480 2.230 2.120 1.890 1.750 1.310 0.950 0.620 0.380 0.200
West Pharmaceutical Services
WST 0.610 0.570 0.530 0.490 0.450 0.410 0.385 0.365 0.345 0.325 0.305 0.285 0.265 0.245 0.225 0.213 0.203
West Bancorp Inc. WTBA 0.830 0.780 0.710 0.670 0.620 0.490 0.420 0.360 0.220 0.050 0.090 0.640 0.640 0.640 0.640 0.625 0.610
W.T.B. Financial Corp. WTBFA 7.000 4.600 3.360 3.000 2.720 2.400 1.600 0.400 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Wintrust Financial Corp. WTFC 1.000 0.760 0.560 0.480 0.440 0.400 0.180 0.180 0.180 0.180 0.270 0.360 0.320 0.280 0.240 0.200 0.160
Essential Utilities Inc. WTRG 0.907 0.848 0.792 0.739 0.686 0.634 0.584 0.536 0.504 0.472 0.440 0.408 0.384 0.355 0.320 0.294 0.274
Watts Water Technologies WTSInc. 0.900 0.820 0.750 0.710 0.660 0.580 0.500 0.440 0.440 0.440 0.440 0.440 0.400 0.360 0.320 0.280 0.240
Western Union CompanyWU 0.800 0.760 0.700 0.640 0.620 0.500 0.500 0.425 0.310 0.250 0.060 0.040 0.040 0.010 0.000 0.000 0.000
Woodward Inc. WWD 0.650 0.570 0.500 0.440 0.400 0.320 0.320 0.320 0.280 0.240 0.240 0.210 0.220 0.167 0.183 0.160 0.160
Weyerhaeuser CompanyWY 1.360 1.320 1.250 1.240 1.200 1.020 0.810 0.620 0.600 0.105 0.221 0.884 0.884 0.810 0.700 0.589 0.589
Wyndham Destinations Inc.WYND 1.800 1.890 2.320 2.000 1.680 1.400 1.160 0.920 0.600 0.480 0.160 0.160 0.080 0.000 0.000 0.000 0.000
Xcel Energy XEL 1.595 1.500 1.420 1.340 1.260 1.180 1.100 1.060 1.025 0.995 0.965 0.935 0.905 0.875 0.845 0.790 0.750
Xilinx Inc. XLNX 1.470 1.430 1.380 1.300 1.220 1.080 0.970 0.850 0.730 0.640 0.580 0.540 0.450 0.340 0.260 0.150 0.000
ExxonMobil Corp. XOM 3.430 3.230 3.060 2.980 2.880 2.700 2.460 2.180 1.850 1.740 1.660 1.550 1.370 1.280 1.140 1.060 0.980
Dentsply Sirona Inc. XRAY 0.375 0.350 0.340 0.305 0.284 0.261 0.243 0.220 0.200 0.200 0.200 0.180 0.160 0.245 0.240 0.210 0.184
Xylem Inc. XYL 0.960 0.840 0.720 0.620 0.563 0.512 0.464 0.404 0.101 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
York Water Company YORW 0.693 0.666 0.641 0.622 0.598 0.572 0.553 0.534 0.524 0.512 0.504 0.484 0.472 0.448 0.416 0.387 0.360
Zions Bancorp Inc. ZION 1.280 1.040 0.440 0.280 0.220 0.160 0.130 0.040 0.040 0.040 0.100 1.610 1.680 1.470 1.440 1.260 1.040
Zoetis Inc. ZTS 0.656 0.504 0.420 0.380 0.332 0.288 0.130 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Agilent Technologies Inc.A 0.000 0.000 0.000 0.000 3.561 10.1 12.9 14.8 15.0 5.9 14.8 53.3 n/a n/a n/a n/a n/a n/a n/a n/a
Aaron's Inc. AAN 0.012 0.012 0.012 0.012 1.164 16.7 9.1 10.0 6.4 9.3 26.5 13.3 15.4 8.3 5.9 6.2 6.7 7.1 5.7 33.6
Apple Inc. AAPL 0.000 0.000 0.000 0.000 16.869 7.8 14.6 10.3 9.9 10.0 9.5 122.6 n/a n/a n/a n/a n/a n/a n/a n/a
American Assets Trust Inc.
AAT 0.000 0.000 0.000 0.000 8.620 4.6 3.8 4.0 6.6 6.2 5.0 1.2 5.0 n/a n/a n/a n/a n/a n/a n/a
AbbVie Inc. ABBV 0.000 0.000 0.000 0.000 17.990 19.2 40.2 12.3 12.9 21.7 3.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a
AmerisourceBergen Corp. ABC 0.025 0.006 0.000 0.000 11.160 3.9 4.4 6.5 14.5 21.6 15.0 44.2 30.4 35.3 41.7 47.7 44.4 80.0 100.0 25.0
ABM Industries Inc. ABM 0.360 0.330 0.310 0.280 10.720 2.9 2.9 3.0 3.1 3.2 3.3 3.4 3.6 3.7 3.8 4.0 4.2 9.1 4.8 5.0
Arbor Realty Trust Inc. ABR 0.000 0.000 0.000 0.000 15.495 16.3 36.1 16.1 6.9 11.5 4.0 75.4 n/a n/a n/a #### -14.6 -4.3 14.7 187.2
Abbott Laboratories ABT 0.411 0.368 0.332 0.296 15.039 14.3 5.7 1.9 8.3 9.1 57.1 -41.9 6.9 9.3 10.3 11.0 10.6 9.5 6.9 6.0
American Campus Communities
ACC 0.000 0.000 0.000 0.000 22.553 2.7 4.6 4.8 5.1 5.3 5.8 5.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 717.7
Accenture plc ACN 0.000 0.000 0.000 0.000 22.315 7.2 4.9 15.2 9.0 8.7 12.1 17.2 32.0 36.4 10.0 50.0 19.0 20.0 16.7 n/a
Acme United Corp. ACU 0.000 0.000 0.000 0.000 4.250 9.1 4.8 5.0 11.1 9.1 10.0 7.1 12.0 19.0 5.0 17.6 13.3 25.0 20.0 150.0
Agree Realty Corp. ADC 1.840 1.840 1.840 1.840 39.915 5.7 5.0 5.2 4.9 7.6 4.3 1.9 -6.4 -16.2 1.5 0.5 2.0 0.0 0.0 0.8
Analog Devices Inc. ADI 0.000 0.000 0.000 0.000 18.550 12.5 6.7 7.1 5.0 8.1 8.8 13.3 23.7 12.8 7.5 2.6 8.3 20.0 66.7 63.6
Archer Daniels Midland ADM 0.220 0.193 0.184 0.175 13.606 4.5 4.7 6.7 7.1 16.7 26.3 8.6 6.9 9.2 7.1 7.7 13.0 15.0 17.6 13.3
Automatic Data Proc. ADP 0.402 0.358 0.306 0.266 25.591 19.7 15.8 7.5 8.2 16.3 10.9 10.1 9.7 5.9 3.0 13.8 26.1 24.3 19.4 10.7
Ameren Corp AEE 2.54 2.54 2.54 2.54 43.760 3.9 3.9 3.6 3.6 2.8 0.6 0.0 2.9 1.0 0.0 -39.4 0.0 0.0 0.0 0.0
American Equity Investment
AELLife Holding
0.010 Co.0.010 0.010 0.010 2.420 7.1 7.7 8.3 9.1 10.0 11.1 20.0 25.0 20.0 25.0 14.3 16.7 20.0 25.0 100.0
American Electric Power AEP
Co. 2.400 2.400 2.400 2.400 41.900 7.1 5.9 5.3 5.6 5.9 4.1 3.7 1.6 8.2 4.3 0.0 3.8 5.3 5.6 1.4
AES Corp. AES 0.000 0.000 0.000 0.000 2.786 5.0 8.3 9.1 10.0 100.0 25.0 300.0 n/a n/a n/a n/a n/a n/a n/a n/a
American Financial Group AFG
Inc. 0.333 0.667 0.667 0.667 15.364 13.8 12.6 11.7 11.9 13.2 13.0 11.8 8.7 15.2 10.6 4.0 25.0 8.7 10.4 0.0
AFLAC Inc. AFL 0.115 0.096 0.083 0.073 10.556 3.8 19.5 4.8 5.1 6.8 4.2 6.0 8.9 7.9 1.8 16.7 20.0 45.5 25.0 15.8
AGCO Corp. AGCO 0.000 0.000 0.000 0.000 3.630 5.0 7.1 7.7 8.3 9.1 10.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Federal Agricultural Mortgage
AGM Corp.0.000 0.000 0.000 0.000 11.980 20.7 61.1 38.5 62.5 14.3 16.7 20.0 100.0 0.0 0.0 -50.0 0.0 0.0 0.0 300.0
Assured Guaranty Ltd. AGO 0.000 0.000 0.000 0.000 5.330 12.5 12.3 9.6 8.3 9.1 10.0 11.1 100.0 0.0 0.0 0.0 12.5 14.3 16.7 100.0
Armada Hoffler PropertiesAHH
Inc. 0.000 0.000 0.000 0.000 4.550 5.1 5.3 5.6 6.0 4.7 300.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Applied Industrial Technologies
AIT Inc.0.213 0.213 0.213 0.213 13.777 3.3 3.4 3.6 3.7 8.0 8.7 9.5 13.5 15.6 6.7 0.0 11.1 17.4 35.3 47.8
Apartment Investment & AIV
Management 3.280Co. 3.120 2.800 2.500 38.327 2.6 5.6 9.1 11.9 13.5 8.3 26.3 58.3 20.0 -55.9 -62.2 0.0 0.0 0.0 0.0
Assurant Inc. AIZ 0.000 0.000 0.000 0.000 16.910 6.6 6.0 5.9 48.2 29.2 10.4 18.5 15.7 11.1 6.8 9.3 17.4 21.1 22.6 47.6
Arthur J. Gallagher & Co.AJG 0.580 0.520 0.460 0.400 24.520 4.9 5.1 2.6 2.7 2.8 2.9 2.9 3.0 3.1 0.0 0.0 3.2 3.3 7.1 12.0
Great Ajax Corp. AJX 0.000 0.000 0.000 0.000 5.260 4.9 8.0 14.1 54.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Acadia Realty Trust AKR 0.510 0.480 0.480 0.360 15.975 3.7 3.8 4.0 4.2 4.3 13.6 12.5 0.0 0.0 -7.7 -7.1 5.0 8.1 7.2 7.8
Air Lease Corp. AL 0.000 0.000 0.000 0.000 1.775 30.0 33.3 50.0 25.0 33.3 60.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Albemarle Corp. ALB 0.270 0.260 0.230 0.200 13.963 8.5 4.7 5.0 5.2 7.5 10.9 23.9 22.0 13.4 12.0 4.2 14.3 21.7 11.3 6.0
Allete Inc. ALE 1.100 1.072 1.072 1.059 34.469 4.9 4.7 2.9 3.0 3.1 3.2 3.3 3.4 1.1 0.0 2.3 4.9 13.1 16.5 8.4
Alamo Group Inc ALG 0.240 0.240 0.240 0.340 6.020 9.1 10.0 11.1 12.5 14.3 0.0 16.7 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Alaska Air Group Inc. ALK 0.000 0.000 0.000 0.000 6.480 9.4 6.7 9.1 37.5 60.0 150.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Allstate Corp. ALL 0.840 0.760 0.680 0.600 23.820 12.0 21.5 11.6 9.3 5.4 12.0 13.6 4.8 5.0 0.0 -51.2 7.9 8.6 9.4 14.3
Allegion plc ALLE 0.000 0.000 0.000 0.000 3.760 28.6 31.3 33.3 20.0 25.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Ally Financial Inc. ALLY 0.000 0.000 0.000 0.000 1.800 21.4 40.0 150.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Autoliv Inc. ALV 0.440 0.440 0.440 0.440 29.180 0.8 3.4 3.5 3.6 4.7 6.0 5.8 9.2 166.2 209.5 -86.9 3.9 13.2 16.2 51.9
Amgen Inc. AMGN 0.000 0.000 0.000 0.000 29.160 9.8 14.8 15.0 26.6 29.5 29.8 30.6 157.1 n/a n/a n/a n/a n/a n/a n/a
American National Bankshares
AMNB Inc.
0.710 0.660 0.585 0.780 18.225 4.0 3.1 1.0 3.2 1.1 0.0 0.0 0.0 0.0 0.0 0.0 1.1 4.6 4.8 5.1
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Armanino Foods of Distinction
AMNFInc. 0.020 0.018 0.005 0.000 0.869 11.4 9.4 2.6 6.8 10.6 26.9 8.3 14.3 27.3 10.0 4.3 10.6 6.1 22.5 0.0
Ameriprise Financial Inc.AMP 0.000 0.000 0.000 0.000 25.820 7.9 9.0 11.0 12.7 14.6 12.4 40.6 64.4 22.5 4.4 3.0 17.9 27.3 300.0 n/a
Amerisafe Inc. AMSF 0.000 0.000 0.000 0.000 4.800 13.6 10.0 11.1 20.0 25.0 50.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
American Tower Corp. AMT 0.000 0.000 0.000 0.000 17.020 19.9 14.0 20.0 21.5 29.3 27.3 22.2 157.1 n/a n/a n/a n/a n/a n/a n/a
TD Ameritrade Holding Corp.
AMTD 0.000 0.000 0.000 0.000 5.630 30.1 24.0 8.7 11.3 21.6 30.8 44.4 28.6 320.0 n/a n/a n/a n/a n/a n/a
Andersons Inc. (The) ANDE 0.087 0.087 0.080 0.067 6.302 3.0 3.1 3.2 10.7 27.3 3.1 6.7 36.4 23.1 2.9 6.9 47.7 23.9 7.6 6.5
Anthem Inc. ANTM 0.000 0.000 0.000 0.000 19.400 6.7 11.1 3.8 4.0 42.9 16.7 30.4 15.0 n/a n/a n/a n/a n/a n/a n/a
Aon plc AON 0.000 0.000 0.000 0.000 12.660 10.3 10.6 9.3 12.2 24.3 35.5 9.6 3.8 0.0 0.0 0.0 0.0 100.0 n/a n/a
A.O. Smith Corp. AOS 0.090 0.087 0.083 0.080 5.200 18.4 35.7 16.7 26.3 26.7 30.4 27.8 20.0 11.1 5.2 4.1 5.7 6.1 3.1 3.2
Air Products & Chem. APD 0.820 0.780 0.740 0.700 44.090 7.8 14.6 9.4 5.9 6.0 9.0 10.8 12.1 16.1 7.3 5.3 14.9 10.4 7.2 20.2
Amphenol Corp. APH 0.000 0.000 0.000 0.000 4.595 14.3 25.4 19.6 8.7 21.2 65.0 56.1 450.0 0.0 0.0 0.0 0.0 0.0 33.3 n/a
Apollo Bancorp Inc. APLO 1.440 1.400 1.320 1.240 34.310 3.5 1.5 2.1 2.1 2.2 7.6 5.5 7.2 20.6 -12.5 -14.3 2.4 2.5 0.0 0.6
Apogee Enterprises Inc. APOG 0.223 0.213 0.210 0.210 7.345 11.1 12.5 12.0 13.6 10.0 11.1 2.4 7.8 0.0 0.0 7.4 9.8 5.3 4.0 4.1
Preferred Apartment Communities
APTS 0.000
Inc. 0.000 0.000 0.000 6.775 3.5 7.4 16.0 14.1 10.9 7.6 13.3 5.0 n/a n/a n/a n/a n/a n/a n/a
Alexandria Real Estate Equities
ARE Inc.1.960 1.810 1.720 1.660 53.480 7.7 6.4 7.5 6.0 7.1 13.3 23.3 11.0 30.0 -39.1 -27.2 5.3 6.4 5.2 9.8
Argo Group International ARGO
Holdings Ltd.
0.209 0.209 0.209 0.391 8.894 14.8 15.0 22.7 10.0 15.9 15.0 25.0 0.0 0.0 n/a n/a n/a n/a #### 75.0
Aramark Services Inc. ARMK 0.000 0.000 0.000 0.000 2.332 3.5 2.7 6.7 9.7 13.6 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Arrow Financial Corp. AROW 0.520 0.455 0.399 0.353 15.842 2.0 4.3 3.0 2.3 2.0 0.5 3.5 2.7 6.1 3.0 1.8 5.4 3.0 5.2 6.4
Artesian Resources ARTNA 0.516 0.493 0.487 0.471 14.961 3.0 3.0 3.0 3.0 3.0 3.1 3.3 4.4 1.3 4.2 2.2 6.5 8.2 5.7 4.9
Associated Banc-Corp ASB 0.808 0.739 0.671 0.639 13.561 11.3 24.0 11.1 9.8 10.8 12.1 43.5 475.0 0.0 -91.5 -63.0 4.1 7.0 7.5 8.5
Ashland Global Holdings ASHInc. 0.444 0.444 0.438 0.419 11.482 10.3 12.6 13.4 3.3 11.0 9.2 46.5 25.9 28.6 75.0 -66.7 -18.2 0.0 9.6 10.7
Ames National Corp. ATLO 0.547 0.000 0.000 0.000 13.663 4.4 4.6 4.8 6.4 11.4 11.1 8.6 16.0 16.3 -25.9 -47.7 3.7 3.9 12.8 44.2
Atmos Energy ATO 1.185 1.165 1.145 1.110 29.740 8.6 7.9 7.3 7.5 6.0 5.6 2.5 1.5 1.5 1.5 1.5 1.6 1.6 1.6 1.6
AptarGroup Inc. ATR 0.120 0.110 0.100 0.090 14.005 7.6 3.1 4.9 7.0 4.6 9.0 13.6 10.0 21.2 10.0 7.1 12.0 19.0 20.0 59.1
Atrion Corp. ATRI 0.000 0.000 0.000 0.000 38.660 13.7 13.3 15.4 18.2 18.7 15.8 14.3 15.4 16.7 18.2 22.2 22.7 18.9 19.4 19.2
Activision Blizzard Inc. ATVI 0.000 0.000 0.000 0.000 2.385 8.8 13.3 15.4 13.0 15.0 5.3 5.6 9.1 10.0 n/a n/a n/a n/a n/a n/a
Atlantic Union BanksharesAUB Corp. 0.347 0.307 0.267 0.200 11.003 9.1 8.6 5.2 13.2 17.2 7.4 45.9 32.1 12.0 -16.7 -59.5 2.1 15.1 22.3 13.6
Auburn National BancorpAUBN 0.440 0.400 0.400 0.320 14.720 4.2 4.3 2.2 2.3 2.3 2.4 2.4 2.5 2.6 2.6 2.7 5.7 9.4 10.3 16.0
Avista Corp. AVA 0.480 0.480 0.480 0.480 19.045 4.0 4.2 4.4 3.8 3.9 4.1 5.2 5.5 10.0 23.5 17.4 16.0 4.4 4.6 5.8
Avalonbay Communities AVB Inc. 2.740 2.480 2.200 2.050 78.730 3.4 3.9 5.8 7.9 7.9 8.9 9.9 6.5 0.0 0.0 1.2 5.9 9.2 7.8 1.1
Broadcom Limited AVGO 0.000 0.000 0.000 0.000 30.780 41.8 64.2 135.8 24.4 33.3 39.8 44.3 52.5 471.4 n/a n/a n/a n/a n/a n/a
Avnet Inc. AVT 0.000 0.300 0.300 0.300 5.480 5.1 8.3 5.9 3.0 6.5 106.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Avery Dennison Corp. AVY 1.350 1.230 1.110 0.990 29.640 12.4 14.2 10.0 9.6 9.0 17.5 5.6 8.0 25.0 -34.4 -25.6 1.9 2.5 2.6 2.7
American Water Works AWK 0.000 0.000 0.000 0.000 14.390 9.8 9.9 10.6 10.2 9.9 11.0 13.5 6.7 4.7 4.9 105.0 n/a n/a n/a n/a
American States Water AWR 0.436 0.433 0.428 0.427 13.301 9.4 6.6 8.8 4.6 5.3 9.2 19.7 15.5 5.8 3.0 1.0 4.7 2.7 3.3 1.7
American Express Company AXP 0.280 0.280 0.276 0.263 15.496 11.1 9.9 10.1 8.2 12.2 14.0 10.3 8.3 0.0 0.0 0.0 20.0 11.1 24.1 18.4
Axis Capital Holdings Ltd.AXS 0.000 0.000 0.000 0.000 15.930 2.6 2.6 8.6 20.7 7.4 8.0 4.2 4.3 9.5 5.0 8.1 12.1 10.0 4.3 29.2
Aircastle Limited AYR 0.000 0.000 0.000 0.000 12.718 7.0 7.5 8.2 8.9 9.8 18.0 13.0 23.0 25.0 0.0 -72.4 -33.7 525.0 n/a n/a
Barnes Group Inc. B 0.400 0.400 0.395 0.375 9.650 3.2 12.7 7.8 6.3 6.7 7.1 5.0 17.6 6.3 -33.3 -22.6 13.8 12.4 15.5 5.0
Boeing Company BA 0.680 0.680 0.560 0.560 49.530 20.2 20.4 30.3 19.8 24.7 50.5 10.2 4.8 0.0 0.0 5.0 14.3 16.7 20.0 29.9
Bank of America Corp BAC 1.220 1.140 1.030 0.925 19.115 22.2 38.5 56.0 25.0 66.7 200.0 0.0 0.0 0.0 0.0 -98.6 20.0 13.2 11.6 11.8
Booz Allen Hamilton Holding
BAHCorp.0.000 0.000 0.000 0.000 4.700 26.3 11.8 13.3 15.4 20.9 10.3 8.3 n/a n/a n/a n/a n/a n/a n/a n/a
Brookfield Asset Management
BAM Inc. 0.170 0.170 0.168 0.167 6.786 6.7 7.1 7.7 9.9 10.9 9.3 16.2 12.4 0.0 0.0 2.0 9.3 20.7 47.5 -6.8
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
BancFirst Corp. OK BANF 0.190 0.180 0.160 0.125 10.090 31.2 19.2 6.8 5.8 8.7 7.6 7.3 7.8 8.5 5.6 8.5 10.8 12.1 13.8 12.6
Banner Corp. BANR 0.590 0.560 0.540 0.450 12.950 21.1 35.7 18.1 15.3 4.3 72.5 900.0 0.0 0.0 -50.0 -87.7 -14.5 5.6 5.9 6.3
Best Buy Corp. BBY 0.000 0.000 0.000 0.000 12.813 8.3 32.4 21.4 21.7 27.8 5.9 4.6 6.6 7.0 1.8 5.7 23.3 26.5 13.3 9.7
Brunswick Corp. BC 0.500 0.500 0.500 0.500 9.175 11.5 13.9 11.4 17.1 16.7 350.0 100.0 0.0 0.0 0.0 0.0 -91.7 0.0 0.0 0.0
Balchem Inc. BCPC 0.013 0.012 0.010 0.007 3.134 11.9 10.5 11.8 13.3 15.4 18.2 22.2 20.0 36.4 50.0 0.0 83.3 50.0 50.0 12.5
Flanigan's Enterprises Inc.
BDL 0.250 0.120 0.110 0.100 2.980 12.0 25.0 11.1 20.0 n/a n/a n/a #### n/a n/a n/a n/a #### 9.4 6.7
Becton Dickinson & Co. BDX 0.390 0.380 0.370 0.340 30.960 2.6 2.7 8.5 10.2 10.1 10.1 10.0 12.5 10.8 12.1 15.8 16.3 14.0 19.4 20.0
Franklin Resources BEN 0.093 0.087 0.080 0.073 7.530 13.0 15.0 11.1 20.0 25.0 23.1 6.4 10.0 13.6 4.8 5.0 33.3 25.0 20.0 17.6
Brookfield Renewable Partners
BEP LP 0.000 0.000 0.000 0.000 20.593 5.1 4.8 5.1 7.2 8.9 6.5 4.4 5.6 0.6 3.3 0.0 0.0 155.2 383.8 n/a
Brown-Forman Class B BF-B 0.149 0.141 0.132 0.126 7.076 5.1 8.2 7.4 5.8 8.9 11.8 10.5 9.4 9.2 4.3 5.7 12.4 8.0 14.3 15.3
BankFinancial Corp. BFIN 0.000 0.000 0.000 0.000 3.100 8.1 32.1 33.3 31.3 100.0 100.0 0.0 -81.8 -21.4 0.0 0.0 0.0 55.6 n/a n/a
Saul Centers Inc. BFS 1.560 1.560 1.560 1.560 34.910 1.9 2.0 10.9 8.9 8.3 8.3 0.0 0.0 0.0 -5.9 -18.6 6.2 5.4 5.0 2.6
Bunge Limited BG 0.385 0.000 0.000 0.000 18.665 4.2 9.1 10.0 11.1 12.5 12.3 9.6 8.3 9.1 10.0 11.1 9.1 6.5 10.7 16.7
B&G Foods Inc. BGS 0.000 0.000 0.000 0.000 17.732 1.1 1.1 15.5 17.5 1.5 13.4 14.4 30.0 17.6 0.0 -19.8 0.0 0.0 2.4 n/a
Bar Harbor Bankshares BHB 0.338 0.338 0.338 0.320 10.565 9.3 5.4 2.8 7.9 11.7 8.5 6.8 6.8 4.8 0.5 2.0 6.8 5.5 7.7 5.0
Berkshire Hills Bancorp Inc.
BHLB 0.480 0.430 0.100 0.000 12.520 4.5 4.8 5.0 5.3 5.6 0.0 4.3 6.2 1.6 0.0 1.6 8.6 3.6 7.7 8.3
Brookfield Infrastructure Partners
BIP LP
0.000 0.000 0.000 0.000 14.922 6.9 8.0 12.7 9.2 10.4 11.6 14.7 13.6 20.0 3.8 20.0 n/a n/a n/a n/a
Bank of New York MellonBK Corp. 0.806 0.763 0.700 0.615 15.803 13.5 20.9 19.4 5.9 3.0 13.8 11.5 8.3 33.3 -29.4 -46.9 1.4 3.8 4.9 3.8
Black Hills Corp. BKH 1.160 1.120 1.080 1.040 30.180 6.2 6.6 7.7 3.7 3.8 2.6 2.7 1.4 1.4 1.4 1.4 2.2 3.8 3.1 3.2
Bank of South Carolina Corp.
BKSC 0.219 0.219 0.199 0.159 7.735 5.0 15.8 7.5 9.4 2.5 6.1 11.4 7.3 7.4 -12.5 -25.0 6.7 15.4 44.7 12.3
Bank of Utica BKUTK 5.000 4.500 4.000 3.500 179.800 4.2 5.1 7.0 4.9 5.2 8.4 10.3 9.0 12.7 5.3 2.7 7.4 4.6 3.2 5.0
BlackRock Inc. BLK 0.000 0.000 0.000 0.000 96.240 9.8 20.2 9.2 5.0 13.0 14.9 12.0 9.1 37.5 28.2 0.0 16.4 59.5 40.0 20.0
Bloomin' Brands Inc. BLMN 0.000 0.000 0.000 0.000 1.600 11.1 12.5 14.3 16.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Badger Meter Inc. BMI 0.128 0.125 0.108 0.090 5.740 14.3 14.3 14.0 10.3 5.4 5.7 6.1 10.0 15.4 13.0 15.0 17.6 9.7 6.9 5.5
Bank of Marin Bancorp BMRC 0.000 0.000 0.000 0.000 5.843 26.0 13.4 9.8 13.3 12.5 9.6 4.3 7.7 6.6 7.0 1.8 9.8 12.0 139.0 n/a
Bryn Mawr Bank Corp. BMTC 0.380 0.360 0.340 0.300 12.310 8.5 9.3 4.9 5.1 5.4 7.2 7.8 6.7 7.1 0.0 3.7 8.0 8.7 9.5 5.0
Bristol-Myers Squibb Co.BMY 1.120 1.060 0.933 0.819 26.622 2.5 2.6 2.6 2.7 2.1 3.6 2.9 3.0 3.1 3.2 0.0 10.7 0.0 0.0 0.0
BOK Financial Corp. BOKF 0.000 0.000 0.000 0.000 19.270 5.8 7.3 2.3 2.4 4.3 5.2 4.8 30.1 14.1 4.8 8.0 16.7 36.4 83.3 n/a
Bank of Botetourt BORT 0.000 0.000 0.000 0.000 2.960 6.7 7.1 16.7 20.0 100.0 400.0 n/a #### n/a n/a n/a n/a n/a n/a n/a
Popular, Inc. BPOP 4.000 3.800 3.200 3.000 53.500 20.0 0.0 66.7 100.0 n/a n/a n/a n/a n/a #### -95.8 -25.0 0.0 0.0 4.1
Brookfield Property Partners
BPYLP 0.000 0.000 0.000 0.000 7.568 4.8 6.8 5.4 5.7 6.0 59.4 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Broadridge Financial Solutions
BR Inc.0.000 0.000 0.000 0.000 11.480 26.3 16.6 10.2 10.8 23.3 20.0 13.6 8.2 7.0 62.9 40.0 108.3 n/a n/a n/a
Brady Corp. BRC 0.385 0.365 0.345 0.325 12.967 2.5 1.4 1.2 1.2 2.2 2.6 2.7 2.8 2.8 2.9 10.5 8.8 7.5 15.2 8.2
Brown & Brown Inc. BRO 0.045 0.040 0.034 0.029 3.153 6.6 9.9 10.4 11.0 10.4 10.8 7.2 6.2 4.0 3.3 6.1 14.0 19.0 23.5 17.2
Brixmor Property Group BRX 0.000 0.000 0.000 0.000 5.867 1.8 5.8 6.1 8.9 23.8 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Bassett Furniture Industries
BSETInc. 0.800 0.800 0.800 0.800 10.980 6.4 11.9 10.5 11.8 21.4 27.3 10.0 110.5 n/a n/a #### 9.4 0.0 0.0 0.0
Sierra Bancorp BSRR 0.280 0.180 0.220 0.100 8.320 15.6 14.3 16.7 14.3 23.5 30.8 8.3 0.0 0.0 -40.0 -41.2 9.7 14.8 20.0 21.6
First Busey Corp. BUSE 1.200 1.040 0.960 0.820 22.420 5.0 11.1 5.9 9.7 8.8 18.8 0.0 0.0 0.0 -60.0 -50.0 11.1 12.5 14.3 9.8
Bankwell Financial GroupBWFGInc. 0.000 0.000 0.000 0.000 1.550 8.3 71.4 27.3 340.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
BancorpSouth Inc. BXS 0.600 0.560 0.520 0.480 11.745 17.8 14.6 21.2 30.8 44.4 181.3 100.0 -88.6 -60.2 0.0 2.3 4.9 5.1 4.0 4.2
Citigroup Inc. C 7.000 6.000 4.850 4.050 124.150 24.7 60.4 128.6 162.5 300.0 0.0 0.0 33.3 n/a #### -99.1 -48.1 10.2 11.4 10.0
Cable One, Inc. CABO 0.000 0.000 0.000 0.000 30.000 13.3 15.4 8.3 300.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Cardinal Health Inc. CAH 0.072 0.065 0.053 0.048 15.579 2.1 2.9 9.0 14.6 13.1 11.7 27.6 10.4 10.8 47.5 34.4 23.8 40.0 66.7 50.2
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Cheesecake Factory Inc.CAKE 0.000 0.000 0.000 0.000 6.660 11.3 17.0 20.5 20.5 19.7 17.3 116.7 n/a n/a n/a n/a n/a n/a n/a n/a
Carolina Financial CorpCARO 0.000 0.000 0.000 0.000 1.120 47.8 35.3 30.8 8.3 14.3 320.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Cass Information Systems CASS
Inc. 0.180 0.175 0.175 0.160 8.831 23.5 20.6 4.5 4.7 4.9 9.5 18.0 13.8 15.0 9.4 8.2 12.3 9.1 13.8 3.6
Casey's General Stores Inc.
CASY 0.100 0.080 0.070 0.060 9.905 10.9 10.0 8.7 9.5 10.5 10.1 9.5 10.5 40.7 26.6 14.3 21.7 21.1 11.8 13.3
Caterpillar Inc. CAT 0.700 0.690 0.665 0.625 37.340 15.2 5.8 0.6 4.8 13.1 11.1 19.4 8.9 4.7 2.4 7.7 18.2 20.0 20.9 16.7
Cambridge Bancorp CATC 0.840 0.767 0.613 0.467 27.467 4.1 5.4 1.1 2.2 7.1 5.7 6.0 5.6 1.4 4.5 4.7 8.5 11.3 5.0 7.4
Cathay General BancorpCATY 0.278 0.250 0.220 0.201 8.219 20.4 18.4 16.0 33.9 93.1 262.5 100.0 0.0 0.0 -80.5 -51.2 3.7 12.5 0.0 20.0
Chubb Limited CB 0.680 0.560 0.480 0.400 31.900 2.8 2.9 2.9 3.0 3.1 28.0 4.2 41.2 6.3 11.3 5.5 4.8 8.3 9.1 10.0
CBOE Holdings Inc. CBOE 0.000 0.000 0.000 0.000 8.000 15.5 11.5 8.3 9.1 12.8 18.2 22.2 22.7 120.0 n/a n/a n/a n/a n/a n/a
Cracker Barrel Old Country
CBRL 0.020 0.020 0.020 0.020 36.330 4.1 4.3 4.4 7.1 20.0 40.0 78.6 53.8 11.0 2.5 8.1 23.3 13.2 8.2 8.9
Commerce Bancshares CBSH 0.270 0.253 0.234 0.215 11.794 16.2 9.7 5.0 5.0 5.0 5.0 6.5 5.0 4.0 2.8 0.8 5.0 7.2 7.2 9.6
Cabot Corp. CBT 0.520 0.500 0.440 0.440 16.340 5.7 4.8 11.2 27.3 2.3 7.5 2.6 8.3 0.0 0.0 0.0 0.0 9.1 3.1 4.9
Community Bank SystemCBU 0.550 0.540 0.510 0.470 19.305 10.7 7.7 4.0 2.5 7.0 3.6 3.8 6.0 8.7 4.5 3.5 4.9 5.2 5.5 10.6
Capital City Bank Group CCBG 0.402 0.381 0.349 0.315 8.244 50.0 33.3 41.2 30.8 44.4 n/a n/a #### -38.8 -35.5 2.0 4.9 7.2 7.1 5.9
CCFNB Bancorp Inc. CCFN 0.630 0.590 0.560 0.506 21.736 2.6 2.7 2.4 1.8 2.5 1.9 3.8 4.8 5.1 14.6 14.4 9.8 5.1 5.4 5.7
Crown Castle International
CCI
Corp 0.000 0.000 0.000 0.000 21.570 7.0 9.6 8.2 7.8 78.9 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Carnival Corporation &CCL Plc 0.420 0.420 0.420 0.375 19.850 2.6 21.9 14.3 27.3 10.0 0.0 0.0 0.0 150.0 n/a #### 16.4 34.1 28.1 52.4
Cogent Communications CCOI
Holdings 0.000
Inc. 0.000 0.000 0.000 11.470 15.1 17.8 19.2 3.4 24.8 53.9 261.9 n/a n/a n/a n/a n/a n/a n/a n/a
CDW Corp. CDW 0.000 0.000 0.000 0.000 3.910 36.8 34.1 43.0 55.6 59.0 358.8 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Celanese Corp. CE 0.000 0.000 0.000 0.000 11.615 15.4 19.5 26.1 20.0 23.7 77.1 94.4 12.5 33.3 12.5 0.0 0.0 0.0 100.0 n/a
C&F Financial Corp. CFFI 0.610 0.570 0.520 0.470 21.450 7.2 4.5 3.1 6.7 1.7 1.7 10.5 5.0 0.0 -10.7 -9.7 0.0 10.7 15.5 12.8
Citizens Financial Group CFG
Inc. 0.000 0.000 0.000 0.000 3.940 38.8 53.1 39.1 15.0 300.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Cullen/Frost Bankers CFR 0.875 0.840 0.760 0.675 33.920 8.5 14.7 4.7 2.4 3.4 2.5 4.2 3.8 2.8 4.1 3.0 7.8 16.7 13.3 12.6
Cognex Corporation CGNX 0.000 0.000 0.000 0.000 1.625 10.8 10.4 13.6 40.5 n/a n/a #### 19.4 44.0 -16.7 -36.2 38.2 3.0 3.1 14.3
City Holding Co. CHCO 0.300 0.000 0.440 0.800 25.450 13.1 9.1 2.3 3.0 5.7 7.5 4.3 2.9 0.0 0.0 2.3 9.9 11.0 12.4 12.8
Community Healthcare Trust
CHCT Inc. 0.000 0.000 0.000 0.000 6.857 2.5 2.6 2.6 195.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Church & Dwight CHD 0.050 0.048 0.047 0.042 6.771 4.4 14.7 7.0 6.0 8.1 10.7 16.7 41.2 119.4 34.8 35.3 13.3 15.4 8.3 5.9
Churchill Downs Inc. CHDN 0.167 0.167 0.167 0.167 5.518 6.9 7.2 15.2 14.8 15.0 14.9 20.8 20.0 20.0 0.0 0.0 0.0 0.0 0.0 0.0
Chemed Corp. CHE 0.225 0.220 0.200 1.060 12.305 6.9 7.4 8.0 8.7 9.5 10.5 11.8 13.3 15.4 44.4 50.0 0.0 0.0 0.0 0.0
C.H. Robinson WorldwideCHRW 0.120 0.100 0.080 0.070 19.570 6.9 3.9 4.0 10.8 9.8 2.1 4.5 11.7 15.4 8.3 9.1 22.2 38.5 73.3 25.0
Chico's FAS Inc. CHS 0.000 0.000 0.000 0.000 2.758 2.9 3.0 3.1 4.1 2.5 25.0 14.3 5.0 25.0 n/a n/a n/a n/a n/a n/a
Cincinnati Financial CINF 0.797 0.744 0.671 0.600 29.843 5.7 5.6 4.2 4.4 4.6 5.9 1.7 0.8 1.1 1.3 2.6 8.9 6.9 12.7 16.2
Civista Bancshares Inc. CIVB 0.940 0.550 0.000 0.000 10.030 31.3 28.0 13.6 10.0 5.3 26.7 25.0 300.0 n/a #### -72.5 -18.8 0.0 0.0 3.7
Colgate-Palmolive Co. CL 0.360 0.338 0.315 0.295 19.888 3.0 4.4 2.6 3.3 5.6 6.8 9.0 7.5 11.8 18.0 10.3 11.4 12.0 12.6 15.6
Cortland Bancorp CLDB 0.744 0.722 0.574 0.000 9.019 2.3 37.5 14.3 16.7 33.3 50.0 300.0 n/a n/a n/a #### 1.0 2.6 2.4 3.0
Clorox Company CLX 0.850 0.840 0.820 0.760 42.450 8.6 13.4 4.5 4.0 4.1 7.4 8.9 7.8 9.5 9.4 11.6 13.2 31.0 3.6 3.7
Comerica Inc. CMA 1.880 1.720 1.560 1.400 30.440 41.8 70.4 24.1 6.1 7.9 15.2 32.0 25.0 100.0 -58.3 -81.7 4.4 8.2 6.9 5.3
Comcast Corp. CMCSA 0.000 0.000 0.000 0.004 4.932 12.7 19.3 13.5 10.3 12.1 16.4 22.5 41.0 13.8 43.4 41.3 n/a n/a n/a n/a
Cantel Medical Corp. CMD 0.000 0.000 0.000 0.000 1.054 17.6 21.4 16.7 20.0 11.1 22.8 17.4 17.1 20.0 n/a n/a n/a n/a n/a n/a
CME Group Inc. CME 0.000 0.000 0.000 0.000 24.072 7.1 6.1 10.0 20.0 6.4 4.4 0.4 60.0 21.7 0.0 0.0 33.7 36.5 37.0 76.9
Cummins Inc. CMI 0.300 0.300 0.300 0.281 34.263 10.4 5.5 5.3 14.0 24.9 24.9 25.0 35.8 51.4 25.0 16.7 39.5 30.3 10.0 0.0
CMS Energy Corp. CMS 1.090 1.460 1.460 1.390 17.708 7.1 7.4 7.3 6.9 7.4 5.9 6.3 14.3 27.3 32.0 38.9 80.0 n/a n/a n/a
Canadian National RailwayCNI 0.143 0.130 0.117 0.100 12.712 16.4 9.0 12.3 15.3 8.9 9.0 10.7 14.3 25.4 17.5 2.8 10.4 36.5 19.5 32.7
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
CNO Financial Group Inc.CNO 0.000 0.000 0.000 0.000 2.160 10.3 11.4 12.9 14.8 12.5 118.2 83.3 n/a n/a n/a n/a n/a n/a n/a n/a
CenterPoint Energy CNP 1.070 1.500 1.500 1.500 19.345 3.4 3.9 3.9 4.0 4.2 14.5 2.5 2.5 1.3 2.6 4.1 7.4 13.3 100.0 -25.0
Cohen & Steers Inc. CNS 0.000 0.000 0.000 0.000 12.120 14.3 12.5 7.7 4.0 16.3 7.5 11.1 20.0 50.0 100.0 -73.7 -5.0 66.7 9.1 120.0
CNX Midstream Partners CNXMLP 0.000 0.000 0.000 0.000 5.865 15.0 15.0 15.1 14.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Columbia Banking System COLB
Inc. 0.000 0.000 0.000 0.000 8.690 12.0 13.6 14.3 10.0 29.6 31.7 20.6 54.5 450.0 -42.9 -87.9 -12.1 15.8 46.2 51.4
Columbia Sportswear Co.COLM 0.000 0.000 0.000 0.000 7.175 6.7 23.3 5.8 11.3 8.8 25.3 3.4 2.3 16.2 12.1 3.1 10.3 314.3 n/a n/a
CyrusOne Inc. CONE 0.000 0.000 0.000 0.000 9.240 6.7 9.8 12.7 26.0 46.2 64.6 n/a n/a n/a n/a n/a n/a n/a n/a n/a
CoreSite Realty Corp. COR 0.000 0.000 0.000 0.000 19.780 15.4 11.7 69.8 26.2 20.0 29.6 50.0 38.5 n/a n/a n/a n/a n/a n/a n/a
Core-Mark Holding Company CORE 0.000 0.000 0.000 0.000 2.480 9.8 10.8 12.1 20.0 19.6 16.5 12.9 311.8 n/a n/a n/a n/a n/a n/a n/a
Costco Wholesale COST 0.000 0.000 0.000 0.000 18.490 14.0 13.3 11.4 12.5 13.1 14.1 13.1 15.1 16.4 13.6 12.0 10.6 11.9 13.5 48.3
Central Pacific Financial CPF
Corp. 0.400 0.335 0.305 0.275 9.925 9.8 17.1 16.7 20.0 38.9 125.0 n/a n/a n/a n/a #### -28.6 11.4 20.5 14.1
Chesapeake Utilities CPK 0.733 0.727 0.707 0.680 19.520 11.5 10.3 6.3 6.3 5.9 3.9 7.0 5.2 4.7 4.0 3.3 2.6 1.7 1.8 1.8
Chesapeake Financial Shares
CPKF 0.118 0.109 0.097 0.080 5.478 6.4 7.8 4.1 5.4 3.3 5.9 13.3 13.7 10.4 2.4 3.7 15.7 9.0 5.6 7.4
Camden Property Trust CPT 2.515 2.393 2.208 2.065 53.145 3.6 2.0 1.7 6.1 6.5 6.5 12.9 13.0 6.7 -21.7 -17.6 2.2 4.4 3.0 0.0
Carter's Inc. CRI 0.000 0.000 0.000 0.000 8.720 11.1 21.6 12.1 50.0 15.8 58.3 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Cisco Systems Inc. CSCO 0.000 0.000 0.000 0.000 7.530 7.8 13.3 14.1 20.7 10.8 13.8 80.6 100.0 n/a n/a n/a n/a n/a n/a n/a
CenterState Bank Corp. CSFL 0.100 0.090 0.000 0.000 2.570 10.0 90.5 31.3 77.8 125.0 0.0 0.0 0.0 0.0 -42.9 -56.3 6.7 7.1 7.7 8.3
CSG Systems International CSGS
Inc. 0.000 0.000 0.000 0.000 5.033 6.0 6.3 6.8 5.7 12.4 38.3 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Carlisle Companies CSL 0.425 0.415 0.380 0.340 16.335 16.9 6.9 10.8 18.2 17.0 11.9 10.5 8.6 6.1 4.8 5.0 7.1 7.7 8.3 2.1
Computer Services Inc. CSVI 0.055 0.050 0.048 0.038 5.478 16.4 13.6 11.3 12.8 23.7 26.7 13.2 12.8 14.6 13.9 9.1 13.8 16.0 19.0 31.3
CSX Corp. CSX 0.067 0.133 0.200 0.200 8.218 9.1 12.8 8.3 2.9 11.1 6.8 9.3 20.9 36.7 11.4 14.3 42.6 63.6 53.5 7.5
Cintas Corp. CTAS 0.250 0.220 0.187 0.037 15.123 24.4 26.5 21.8 26.7 23.5 10.4 20.3 18.5 12.5 2.1 2.2 17.9 11.4 9.4 10.3
Community Trust Banc. CTBI 0.574 0.546 0.508 0.485 20.718 9.6 4.7 3.2 3.3 3.2 2.0 1.6 1.2 1.7 0.8 3.4 7.4 3.8 8.3 14.8
Consolidated-Tomoka Land CTO Co. 0.2 0.2 0.2 0.35 4.530 63.0 50.0 12.5 100.0 14.3 16.7 50.0 0.0 0.0 -86.7 -25.0 5.3 11.8 13.3 15.4
CareTrust REIT Inc. CTRE 0.000 0.000 0.000 0.000 3.865 10.0 8.1 8.8 6.3 412.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
CubeSmart CUBE 0.000 0.000 0.000 0.000 10.601 6.7 11.1 28.6 31.3 23.1 18.2 37.5 14.3 180.0 0.0 -86.1 -37.9 0.0 52.4 n/a
Culp Inc. CULP 0.000 0.000 0.140 0.140 2.280 11.1 12.5 14.3 16.7 20.0 42.9 133.3 n/a n/a n/a n/a n/a n/a n/a n/a
CVB Financial Corp. CVBF 0.221 0.186 0.164 0.164 7.386 21.4
Calavo Growers Inc. CVGW 0.200 0.000 0.000 0.000 10.540 10.0 5.3 5.6 12.5 6.7 7.1 7.7 18.2 0.0 10.0 42.9 0.0 9.4 0.0 6.7
Codorus Valley Bancorp CVLY
Inc. 0.237 0.225 0.206 0.183 6.906 8.4 20.6 9.0 7.1 9.3 11.8 20.8 14.3 40.0 -3.8 -48.7 0.0 14.4 9.2 6.1
Chevron Corp. CVX 1.400 1.325 1.300 1.240 59.115 6.2 3.7 0.7 0.2 1.7 7.9 11.1 13.6 8.8 6.8 5.1 11.9 12.4 14.9 14.4
Community West Bancshares CWBC 0.000 0.000 0.040 0.200 2.000 10.0 29.0 14.8 22.7 175.0 n/a n/a n/a n/a n/a #### -50.0 4.3 21.1 58.3
California Water Service CWT 0.560 0.558 0.550 0.543 12.990 5.1 4.4 4.3 3.0 3.1 1.6 1.6 2.4 3.4 0.8 0.9 0.9 0.9 0.9 0.9
Citizens Financial Services
CZFS 0.591 0.548 0.510 0.471 21.946 2.3 2.9 2.0 2.2 4.3 29.3 7.5 12.4 4.4 5.1 5.3 5.5 5.4 6.2 6.2
Dominion Energy Inc. D 1.290 1.290 1.290 1.290 41.255 9.9 10.0 8.4 8.1 7.9 6.7 6.6 7.1 7.7 4.6 10.8 8.2 5.8 3.0 3.1
Delta Air Lines Inc. DAL 0.000 0.000 0.000 0.000 5.175 14.9 29.1 113.7 5.6 50.0 150.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Donaldson Company DCI 0.083 0.075 0.071 0.063 7.116 9.3 5.6 2.2 3.7 5.5 27.0 42.9 20.7 17.2 7.6 3.4 17.1 11.8 21.4 24.4
Dillard's Inc. DDS 0.160 0.160 0.160 0.160 4.440 12.5 29.0 10.7 12.0 4.2 14.3 5.0 11.1 12.5 0.0 0.0 0.0 0.0 0.0 0.0
Douglas Emmett Inc. DEI 0.000 0.000 0.000 0.000 9.530 6.0 8.7 4.5 4.8 5.0 11.1 24.1 26.1 15.0 -17.9 -33.9 14.3 n/a n/a n/a
Discover Financial Services
DFS 0.000 0.000 0.000 0.000 9.480 12.0 15.4 12.1 7.4 17.4 24.3 85.0 100.0 150.0 -33.3 -50.0 300.0 n/a n/a n/a
Dollar General Corp. DG 0.000 0.000 0.000 0.000 5.040 10.6 9.7 6.2 47.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Donegal Group Inc. A DGICA 0.000 0.000 0.000 0.000 7.437 1.8 1.8 1.8 2.1 2.8 3.4 3.6 2.6 3.8 3.4 9.3 14.9 9.3 10.3 10.6
Donegal Group Inc. B DGICB 0.203 0.203 0.203 0.200 7.461 2.0 2.1 2.1 1.9 1.2 1.8 4.0 2.9 4.3 3.8 10.6 17.4 10.5 9.4 7.2
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Quest Diagnostics Inc. DGX 0.000 0.000 0.000 0.000 15.145 8.7 8.3 12.5 8.8 14.0 7.5 76.5 70.0 0.0 0.0 0.0 0.0 2.6 13.0 15.0
D.R. Horton Inc DHI 0.110 0.067 0.053 0.040 5.408 19.0 23.5 25.0 27.1 33.8 n/a #### 0.0 0.0 0.0 -55.6 -43.8 20.0 48.1 40.6
Diamond Hill Investment DHIL
Group Inc.0.000 0.000 0.000 0.000 88.000 12.5 14.3 16.7 20.0 25.0 33.3 -62.5 60.0 -61.5 30.0 0.0 n/a n/a n/a n/a
Danaher Corp. DHR 0.012 0.011 0.009 0.009 3.296 8.1 13.8 11.5 34.1 95.1 225.1 0.0 17.6 6.3 33.3 0.0 20.0 25.0 23.0 18.2
Walt Disney Company DIS 0.207 0.207 0.207 0.052 13.396 4.8 7.7 4.7 10.4 57.0 14.7 25.0 50.0 14.3 0.0 0.0 14.5 14.8 12.5 14.3
Delek Logistics Partners DKL
LP 0.000 0.000 0.000 0.000 17.044 10.7 8.8 12.3 15.0 19.7 28.1 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Dicks Sporting Goods Inc. DKS 0.000 0.000 0.000 0.000 5.335 22.2 32.4 12.4 10.0 10.0 0.0 0.0 n/a n/a n/a n/a n/a n/a n/a n/a
Dolby Laboratories Inc DLB 0.000 0.000 0.000 0.000 3.060 17.9 15.5 16.0 19.0 320.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Digital Realty Trust DLR 0.000 0.000 0.000 0.000 38.553 7.3 6.5 5.7 3.5 2.4 6.4 6.8 7.4 40.2 43.7 8.9 8.3 8.0 19.4 n/a
Dunkin' Brands Group Inc. DNKN 0.000 0.000 0.000 0.000 8.720 7.9 7.8 7.5 13.2 15.2 21.1 26.7 n/a n/a n/a n/a n/a n/a n/a n/a
Dover Corp. DOV 0.451 0.434 0.401 0.368 20.802 2.1 4.4 5.8 4.9 5.8 28.0 9.0 12.7 10.3 4.9 13.3 16.9 8.5 7.6 8.2
Amdocs Limited DOX 0.000 0.000 0.000 0.000 5.595 13.9 13.5 13.2 13.5 11.8 14.4 300.0 n/a n/a n/a n/a n/a n/a n/a n/a
Domino's Pizza Inc. DPZ 0.000 0.000 0.000 0.000 12.145 18.2 19.6 21.1 22.6 24.0 25.0 n/a n/a n/a n/a n/a n/a #### 20.0 515.4
Duke Realty Corporation DRE 1.810 1.760 1.640 1.460 25.995 8.0 5.8 5.5 5.8 1.5 0.0 0.0 0.0 0.0 -10.5 -60.6 1.0 1.1 1.1 1.1
DTE Energy Company DTE 2.060 2.060 2.060 2.060 51.361 7.1 6.9 7.1 10.0 5.5 4.1 7.0 3.8 6.7 1.4 0.0 0.0 2.9 0.0 0.0
Duke Energy Corp. DUK 1.918 1.918 1.918 1.918 56.463 3.0 4.2 3.9 3.7 2.9 1.9 2.0 2.0 2.1 3.2 4.4 4.7 17.5 7.7 6.4
Eagle Bancorp Montana Inc.EBMT 0.121 0.089 0.037 0.000 4.902 2.7 7.4 7.9 3.3 3.4 2.2 1.3 0.9 2.1 2.1 4.0 7.6 9.6 10.5 11.7
Meridian Bancorp, Inc.EBSB 0.000 0.000 0.000 0.000 0.860 31.8 29.4 41.7 100.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Enterprise Bancorp Inc. EBTC 0.165 0.144 0.125 0.105 7.504 10.3 7.4 3.8 4.0 4.2 4.3 4.5 4.8 5.0 5.3 5.6 12.5 14.3 16.7 11.6
Ecolab Inc. ECL 0.270 0.260 0.240 0.210 15.700 12.2 10.8 5.7 6.1 20.0 19.6 15.0 14.3 12.9 10.7 7.7 13.0 15.0 14.3 9.4
Consolidated Edison ED 2.220 2.200 2.180 2.140 50.880 3.5 3.6 3.0 3.1 3.2 2.4 1.7 0.8 0.8 0.8 0.9 0.9 0.9 0.9 0.9
El Paso Electric Co. EE 0.000 0.000 0.000 0.000 10.415 7.1 7.6 7.3 5.2 5.4 5.7 7.7 47.0 n/a n/a n/a n/a n/a n/a n/a
Enterprise Financial Services
EFSCCorp0.000 0.000 0.000 0.000 4.203 31.9
Eagle Financial ServicesEFSI 0.320 0.275 0.230 0.190 13.005 6.4 6.8 7.3 2.5 3.9 1.3 4.1 1.4 4.3 1.5 1.5 4.7 6.7 20.0 20.5
EastGroup Properties Inc. EGP 1.880 1.800 1.580 1.480 44.090 10.2 4.8 3.3 4.3 5.4 3.7 1.9 1.0 0.0 0.0 0.0 4.0 2.0 1.0 1.0
Encompass Health Corp.EHC 0.000 0.000 0.000 0.000 5.810 4.8 7.2 4.3 9.4 13.3 316.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Edison International EIX 0.000 0.000 1.110 1.070 25.920 1.2 11.5 13.0 15.0 17.6 5.2 3.8 1.6 1.6 1.6 1.6 5.2 7.4 8.0 25.0
Estee Lauder CompaniesEL Inc. 0.075 0.100 0.100 0.093 12.293 12.7 12.1 12.9 21.6 21.4 13.5 2.8 37.1 40.0 36.4 0.0 0.0 10.0 25.0 -42.9
Equity LifeStyle Properties
ELS 0.468 0.438 0.406 0.380 9.774 11.7 13.3 14.4 13.8 18.4 26.5 14.8 18.4 18.8 20.0 33.3 42.9 110.0 185.7 133.3
Emclaire Financial Corp.EMCF 0.700 0.000 0.000 0.000 16.810 3.6 3.7 3.8 8.3 9.1 10.0 11.1 12.5 14.3 -24.3 -43.1 9.2 8.2 7.8 8.5
Eastman Chemical Co. EMN 0.880 0.880 0.880 0.880 25.405 12.5 9.8 10.9 15.0 14.3 16.7 15.4 7.8 9.7 0.0 0.0 0.0 0.0 0.0 0.0
Emerson Electric EMR 0.779 0.769 0.729 0.667 27.402 1.3 1.0 1.0 1.1 7.1 6.0 3.1 12.2 6.3 1.9 7.7 13.1 16.9 10.1 4.6
Enbridge Inc. ENB 0.380 0.350 0.323 0.299 19.723 6.8 11.4 17.1 8.3 15.9 2.6 9.3 14.2 20.1 26.6 4.2 7.9 13.3 8.4 2.9
Energizer Holdings, Inc. ENR 0.000 0.000 0.000 0.000 5.010 2.6 4.9 8.8 105.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Ensign Group Inc. ENSG 0.000 0.000 0.000 0.000 1.317 4.1 7.4 6.3 6.7 38.6 47.0 8.3 9.1 10.0 11.1 12.5 n/a n/a n/a n/a
Enterprise Products Partners
EPD LP 0.664 0.578 0.513 0.463 23.114 2.3 2.9 4.9 5.3 5.6 5.9 6.6 5.3 5.3 5.5 5.9 6.8 6.7 8.1 9.8
EPR Properties EPR 1.875 1.790 1.740 1.660 60.508 4.3 5.4 6.7 5.8 6.3 8.9 5.8 7.3 5.8 -6.8 -14.9 10.5 10.4 10.3 11.4
Equinix Inc. EQIX 0.000 0.000 0.000 0.000 40.720 7.9 14.0 14.3 3.6 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
EQT Midstream PartnersEQM LP 0.000 0.000 0.000 0.000 22.020 7.0 17.5 19.8 21.8 24.0 30.3 342.9 n/a n/a n/a n/a n/a n/a n/a n/a
Erie Indemnity CompanyERIE 0.680 0.610 0.540 0.480 38.664 7.1 7.3 7.2 7.2 7.2 7.2 7.2 7.3 7.3 6.7 2.3 10.0 11.1 10.8 51.2
Eversource Energy ES 0.525 0.450 0.400 0.100 22.623 5.9 6.3 6.7 6.6 6.4 6.8 11.1 20.3 7.3 7.9 15.2 6.5 6.9 7.4 8.0
Essex Property Trust ESS 3.010 2.790 2.320 2.100 90.880 5.2 7.0 9.8 11.0 12.0 6.1 9.0 4.5 0.6 0.4 3.0 9.9 9.0 3.4 2.2
Eaton Corp. plc ETN 0.440 0.425 0.382 0.382 26.809 7.6 10.0 5.3 3.6 12.2 16.7 10.5 11.8 25.9 8.0 0.0 16.3 16.2 19.4 14.8
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Entergy Corporation ETR 1.340 1.275 1.215 1.200 55.440 2.2 2.3 2.3 2.4 0.6 0.0 0.0 0.0 2.5 8.0 0.0 16.3 19.4 0.0 14.3
Eaton Vance Corp. EV 0.150 0.127 0.101 0.080 13.277 11.3 11.3 7.0 5.9 11.5 11.0 5.1 6.8 10.6 5.6 3.3 18.6 21.4 23.5 23.6
Enviva Partners LP EVA 0.000 0.000 0.000 0.000 10.128 4.2 10.3 12.3 188.1 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Evans Bancorp Inc. EVBN 0.255 0.000 0.000 0.000 11.491 13.0 15.0 5.3 5.6 10.8 30.0 13.6 10.0 0.0 -34.4 -21.8 9.9 4.4 5.0 6.6
Evercore Partners Inc. EVR 0.000 0.000 0.000 0.000 13.510 17.9 33.8 11.8 10.4 11.7 13.2 11.0 10.8 17.5 23.5 6.3 17.1 n/a n/a n/a
Evergy Inc EVRG 1.2 1.2 1.435 2.14 27.650 11.2 9.8 5.3 4.9 2.9 2.2 3.8 3.1 3.3 3.4 4.4 7.5 6.0 8.7 21.1
Exelon Corporation EXC 0.880 0.910 0.000 0.000 28.729 5.1 5.3 3.6 1.9 0.0 -14.8 -30.7 0.0 0.0 0.0 3.7 15.1 10.0 0.0 27.5
Expeditors International EXPD 0.060 0.050 0.035 0.013 8.658 11.1 7.1 5.0 11.1 12.5 6.7 7.1 12.0 25.0 5.3 18.8 14.3 27.3 46.7 36.4
Expedia Inc. EXPE 0.000 0.000 0.000 0.000 7.780 6.5 6.9 16.0 19.0 27.3 17.9 27.3 57.1 0.0 n/a n/a n/a n/a n/a n/a
Exponent Inc. EXPO 0.000 0.000 0.000 0.000 2.640 23.1 23.8 16.7 20.0 20.0 66.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Extra Space Storage Inc.EXR 0.000 0.000 0.000 0.000 24.691 6.0 7.7 6.5 30.8 23.8 24.8 83.5 41.1 40.0 5.3 -62.0 7.2 2.5 0.0 168.6
Exchange Bank (Santa Rosa EXSR CA) 0.000 0.000 0.000 0.000 26.850 14.3 13.2 19.3 29.5 41.9 40.9 120.0 n/a n/a n/a #### -50.0 300.0 n/a n/a
First American Financial FAF
Corp. 0.000 0.000 0.000 0.000 8.900 5.0 11.1 20.0 20.0 19.0 75.0 60.0 25.0 100.0 n/a n/a n/a n/a n/a n/a
Fastenal Company FAST 0.006 0.006 0.005 0.001 5.874 13.0 20.3 6.7 7.1 12.0 25.0 8.1 41.0 25.0 16.7 38.5 18.2 10.0 29.0 55.0
Fortune Brands Home & FBHS Security 0.000 0.000 0.000 0.000 4.380 10.0 11.1 12.5 14.3 16.7 60.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
First Business Financial Services
FBIZ Inc.
0.000 0.000 0.000 0.000 4.245 7.1 7.7 8.3 9.1 4.8 50.0 100.0 0.0 0.0 0.0 1.8 7.8 6.3 n/a n/a
Farmers Bankshares Inc.FBVA 0.000 0.000 0.000 0.000 2.096 9.8 2.5 25.0 75.8 51.7 9.1 5.8 n/a n/a n/a n/a n/a n/a n/a n/a
First Community Bancshares FCBC Inc. 1.000 0.920 0.910 0.930 16.090 23.1 14.7 13.3 11.1 8.0 4.2 11.6 7.5 0.0 33.3 -73.2 3.7 3.8 2.0 2.0
First Community Corp. FCCO 0.120 0.000 0.000 0.000 4.510 10.0 11.1 12.5 14.3 16.7 9.1 37.5 0.0 0.0 -33.3 -25.0 18.5 17.4 15.0 0.0
1st Constitution BancorpFCCY 0.000 0.000 0.000 0.000 0.815 17.6 21.4 320.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Fidelity D & D Bancorp,FDBC Inc. 0.509 0.477 0.227 0.000 13.054 8.2 14.0 13.2 7.5 6.0 0.0 0.0 0.0 0.0 0.0 0.0 7.5 5.7 10.0 0.0
First Defiance Financial Corp.
FDEF 0.260 0.240 0.220 0.200 7.188 23.4 28.0 13.6 13.5 24.0 56.3 100.0 300.0 n/a #### -55.3 4.0 4.2 9.1 10.0
Factset Research SystemFDS Inc. 0.127 0.100 0.070 0.067 20.107 12.9 13.8 12.4 13.5 12.5 11.8 13.3 15.4 16.9 14.1 18.2 57.1 82.6 15.0 11.1
FedEx Corp. FDX 0.150 0.000 0.000 0.000 14.250 13.0 27.8 38.5 44.4 28.6 20.7 7.4 5.9 8.5 6.8 2.3 10.3 11.4 12.9 14.8
Franklin Electric Co. FELE 0.128 0.118 0.108 0.096 5.591 24.1 10.7 6.3 3.9 10.1 13.9 7.0 6.5 3.9 3.0 1.0 5.3 9.3 13.2 22.6
FBL Financial Group Inc.FFG 0.400 0.400 0.360 0.330 16.115 4.3 4.5 4.8 5.0 14.3 169.2 30.0 39.1 15.0 -18.7 -38.5 4.2 4.3 9.5 5.0
Flushing Financial Corp. FFIC 0.240 0.204 0.178 0.107 10.079 5.0 11.1 5.9 6.3 6.7 15.4 0.0 0.0 0.0 0.0 0.0 8.3 9.1 10.0 14.3
First Financial Bankshares FFIN
Inc. 0.130 0.113 0.101 0.088 4.882 13.4 10.8 8.8 13.3 11.1 5.9 4.1 5.0 2.9 0.0 3.0 6.5 6.9 8.4 9.7
First Farmers Financial Corp.
FFMR 0.000 0.000 0.000 0.000 6.403 29.0 36.6 6.3 7.7 19.4 24.1 13.7 6.9 8.3 4.3 3.6 n/a n/a n/a n/a
First Horizon Narional Corp.
FHN 0.955 0.841 0.841 0.726 14.190 24.4 32.4 25.9 17.4 15.0 25.0 300.0 33.3 n/a n/a #### -52.8 1.1 3.5 7.5
First Interstate BancsystemFIBKInc. 0.000 0.000 0.000 0.000 7.448 10.7 16.7 9.1 10.0 25.0 18.5 12.5 6.7 33.3 n/a n/a n/a n/a n/a n/a
Financial Institutions Inc.FISI 0.58 0.48 0.42 0.16 12.400 5.3 10.6 4.9 1.3 3.9 4.1 29.8 21.3 17.5 0.0 -25.9 17.4 35.3 -15.0 -37.5
Fifth Third Bancorp FITB 0.98 0.83 0.87 0.32 15.880 35.3 13.3 13.2 1.9 2.0 8.5 30.6 28.6 600.0 0.0 -94.7 -55.9 7.6 8.2 11.5
Comfort Systems USA Inc. FIX 0.000 0.000 0.000 0.000 3.265 19.7 11.9 7.3 10.0 11.1 7.1 5.0 0.0 0.0 5.3 5.6 20.0 7.1 460.0 n/a
Foot Locker Inc. FL 0.000 0.000 0.000 0.000 12.365 10.4 11.6 12.1 10.8 12.8 10.3 10.6 9.3 7.5 0.0 4.3 15.0 38.9 20.0 25.0
First of Long Island Corp.FLIC 0.127 0.113 0.101 0.044 6.975 11.3 8.8 5.6 5.2 9.0 4.9 7.4 5.6 8.5 10.8 17.5 11.0 26.1 7.1 16.7
Flir Systems Inc. FLIR 0.000 0.000 0.000 0.000 4.120 6.3 6.7 25.0 9.1 10.0 11.1 28.6 16.7 n/a n/a n/a n/a n/a n/a n/a
Flowers Foods FLO 0.007 0.000 0.047 0.045 6.652 5.6 6.0 7.2 10.1 17.0 9.2 5.8 8.0 12.9 14.8 17.4 38.0 31.6 23.9 21.1
Farmers and Merchants Bancorp
FMAO 0.113 0.175 0.088 0.100 6.524 11.1 11.3 7.8 4.7 2.4 5.0 3.9 1.3 5.6 0.0 9.1 4.8 7.2 23.7 n/a
First Mid-Illinois Bancshares
FMBH Inc. 0.222 0.086 0.000 0.000 8.266 5.6 9.1 6.5 5.1 9.3 17.4 9.5 5.0 5.3 0.0 0.0 0.9 8.7 4.0 10.3
First Midwest Bancorp FMBI 0.680 0.640 0.576 0.512 11.333 20.9 13.2 5.6 2.9 16.7 200.0 150.0 0.0 0.0 -82.2 -81.9 5.1 7.3 12.2 11.4
F&M Bank Corp. FMBM 0.000 0.000 0.000 0.000 8.920 1.0 9.9 16.7 5.4 5.7 6.1 3.1 6.7 0.0 -1.6 -9.0 n/a n/a n/a n/a
Farmers & Merchants BancorpFMCB 5.500 5.350 5.100 4.900 207.350 2.2 2.6 3.8 2.0 1.6 1.6 3.3 3.0 3.6 3.2 6.9 11.5 10.9 8.6 10.1
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Fidelity National FinancialFNF
Inc. 0.000 0.000 0.000 0.000 9.428 5.0 49.6 15.9 10.0 20.1 22.7 13.8 20.8 -30.3 14.8 -42.9 -12.5 2.6 368.0 n/a
First Bancorp Inc. FNLC 0.312 0.199 0.219 0.166 13.869 11.3 12.8 4.8 4.6 4.9 5.1 0.0 0.0 0.0 0.0 4.0 11.9 8.0 21.6 19.1
Franco-Nevada Corp. FNV 0.000 0.000 0.000 0.000 7.527 4.2 4.4 4.6 4.8 6.4 8.3 33.3 38.0 33.1 16.7 n/a n/a n/a n/a n/a
First Industrial Realty Trust
FRInc. 2.720 2.632 2.480 2.400 31.590 5.0 5.4 17.6 44.3 23.5 360.0 n/a n/a n/a #### -91.3 1.4 1.4 0.7 0.0
Franklin Financial ServicesFRAFInc. 0.940 0.860 0.760 0.680 19.370 11.4 12.9 13.4 10.8 8.8 0.0 -12.8 -27.8 0.0 0.0 0.9 3.9 4.0 4.2 -3.1
First Republic Bank FRC 0.000 0.000 0.000 0.000 4.550 5.6 6.0 6.3 6.8 9.3 17.4 130.0 n/a n/a n/a n/a n/a n/a n/a n/a
First Merchants Corp. FRME 0.855 0.815 0.777 0.726 13.271 19.0 21.7 27.8 31.7 41.4 61.1 80.0 150.0 0.0 -91.5 -48.9 0.0 0.0 0.0 0.0
Federal Realty Inv. TrustFRT 1.925 1.890 1.820 1.770 56.860 2.2 2.0 3.7 7.0 10.6 8.1 6.1 3.7 1.9 1.5 5.2 6.2 4.2 5.7 7.3
FS Bancorp Inc. FSBW 0.000 0.000 0.000 0.000 2.630 22.6 23.3 16.2 37.0 17.4 53.3 n/a n/a n/a n/a n/a n/a n/a n/a n/a
First Savings Financial Group
FSFGInc. 0.000 0.000 0.000 0.000 4.120 6.7 7.1 7.7 8.3 9.1 10.0 0.0 n/a n/a #### n/a n/a n/a n/a n/a
FirstService Corp. FSV 0.000 0.000 0.000 0.000 2.220 10.9 10.5 11.0 115.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
H.B. Fuller Company FUL 0.219 0.214 0.209 0.204 7.224 3.3 4.2 7.3 7.8 10.9 19.5 16.7 11.9 6.3 2.8 2.9 2.5 2.9 3.1 5.5
Fulton Financial Corp. FULT 0.458 0.422 0.397 0.384 8.631 8.5 9.3 10.3 11.4 9.4 0.0 14.3 64.7 41.7 -53.8 -56.7 0.8 1.7 5.6 6.5
Cedar Fair LP FUN 1.650 1.580 1.503 1.388 43.830 3.2 4.1 3.8 8.3 7.9 10.7 60.9 60.0 300.0 -79.7 -35.8 1.1 1.3 2.2 2.2
First National Corp. FXNC 0.345 0.265 0.000 0.065 5.815 80.0 42.9 16.7 20.0 33.3 n/a n/a #### -64.3 0.0 0.0 5.7 8.2 8.9 9.8
German American Bancorp GABC 0.373 0.373 0.367 0.340 8.743 13.3 16.1 7.6 5.9 6.3 6.7 7.1 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Gladstone Investment Corp. GAIN 0.000 0.000 0.000 0.000 10.366 1.9 3.9 2.8 0.3 3.8 14.3 5.0 8.1 15.6 -20.0 -37.5 4.9 8.9 366.7 n/a
GATX Corp. GATX 1.280 1.240 1.200 1.100 26.140 4.5 4.8 5.0 5.3 15.2 6.5 3.3 3.4 3.6 0.0 3.7 12.5 14.3 5.0 0.0
Glacier Bancorp Inc. GBCI 0.248 0.233 0.222 0.196 11.251 9.9 21.7 5.1 5.3 10.3 13.3 13.2 1.9 0.0 0.0 0.0 6.1 13.1 12.1 8.5
Greenbrier Companies Inc. GBX 0.000 0.270 0.360 0.300 6.960 2.0 11.4 7.3 26.2 116.7 n/a n/a n/a n/a #### -87.5 0.0 0.0 14.3 133.3
Greene County Bancorp, GCBC Inc. 0.150 0.093 0.030 0.000 5.780 6.3 2.6 2.7 2.7 2.8 1.4 0.0 0.0 0.7 2.2 4.6 1.6 39.1 4.5 7.3
General Dynamics GD 0.590 0.550 0.510 0.470 35.690 9.9 10.7 10.4 10.4 11.2 10.5 9.5 9.3 11.6 10.1 11.2 21.8 23.6 14.1 11.4
GEO Group Inc. GEO 0.000 0.000 0.000 0.000 12.270 2.1 0.2 8.3 3.6 7.7 13.7 412.5 n/a n/a n/a n/a n/a n/a n/a n/a
Guaranty Federal BancsharesGFED 0.525 0.500 0.450 0.190 7.505 8.3 20.0 25.0 60.0 33.3 n/a n/a n/a n/a n/a #### -21.7 3.8 3.1 3.2
Griffon Corp. GFF 0.000 0.000 0.000 0.000 1.545 3.7 12.8 19.0 23.5 30.8 23.8 23.5 325.0 n/a n/a n/a n/a n/a n/a n/a
Graco Inc. GGG 0.064 0.059 0.055 0.043 5.542 21.2 10.0 9.1 10.0 9.1 10.0 11.1 7.1 5.0 5.3 2.7 12.1 13.8 11.5 39.3
Gildan Activewear Inc. GIL 0.000 0.000 0.000 0.000 2.559 19.6 25.0 19.9 15.0 20.9 19.4 20.0 33.3 n/a n/a n/a n/a n/a n/a n/a
Gilead Sciences Inc. GILD 0.000 0.000 0.000 0.000 10.010 10.5 9.6 13.0 42.6 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Globe Life Inc GL 0.160 0.160 0.160 0.160 7.002 7.5 6.8 6.3 4.4 7.8 12.1 15.8 28.6 9.0 8.9 1.8 5.8 8.3 9.1 0.0
Gaming and Leisure Properties
GLPI 0.000 0.000 0.000 0.000 14.390 6.6 2.8 7.8 6.4 4.8 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Corning Inc. GLW 0.000 0.120 0.240 0.240 5.790 11.1 16.1 14.8 12.5 20.0 2.6 23.8 40.0 12.5 0.0 0.0 100.0 n/a n/a n/a
Gentex Corp. GNTX 0.000 0.000 0.000 0.000 4.405 5.8 13.2 8.6 6.1 10.0 9.1 7.8 8.5 6.8 0.0 3.5 9.0 6.8 5.8 11.3
Genuine Parts Co. GPC 1.155 1.130 1.085 1.030 37.238 6.1 5.7 3.7 6.9 5.2 7.0 11.1 7.5 10.4 2.5 3.6 7.2 8.1 7.1 3.6
Group 1 Automotive Inc. GPI 0.000 0.000 0.000 0.000 8.940 4.8 7.2 6.6 9.6 18.6 7.7 10.2 22.9 380.0 n/a #### -16.1 1.8 n/a n/a
Green Plains Partners GPP LP 0.000 0.000 0.000 0.000 7.613 0.3 6.5 8.7 309.4 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
W. R. Grace & Co. GRA 0.000 0.000 0.000 0.000 3.390 12.5 14.3 64.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Gorman-Rupp Company GRC 0.170 0.168 0.163 0.157 6.030 7.8 8.5 9.3 6.2 9.5 12.1 5.8 10.2 5.4 3.7 1.3 28.9 6.4 1.8 1.4
Goldman Sachs Group Inc. GS 0.480 0.480 0.480 0.240 34.140 31.7 8.6 11.5 2.0 13.3 9.8 15.8 26.4 0.0 0.0 0.0 0.0 7.7 30.0 0.0
Great Southern Bancorp GSBCInc. 0.273 0.250 0.250 0.250 13.673 16.1 21.7 4.5 4.8 7.7 8.3 0.0 0.0 0.0 0.0 0.0 9.1 13.8 16.0 19.0
Goodyear Tire & Rubber GT Company0.480 1.020 1.200 1.200 6.390 10.3 31.8 41.9 24.0 13.6 340.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Getty Realty Corp. GTY 1.650 0.863 0.550 0.400 27.285 9.4 14.3 12.0 11.1 12.5 10.3 45.0 -70.4 -11.3 1.1 1.1 1.4 1.7 4.0 2.4
Great Western Bancorp Inc. GWB 0.000 0.000 0.000 0.000 3.960 21.1 23.4 30.5 18.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
W.W. Grainger Inc. GWW 0.715 0.695 0.670 0.630 51.870 6.0 5.9 4.8 5.2 10.1 16.2 17.3 21.4 21.2 16.9 14.8 15.7 20.7 20.7 17.2
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Hasbro Inc. HAS 0.120 0.120 0.240 0.233 21.863 8.5 10.8 11.6 9.9 7.1 8.3 13.0 20.0 21.1 18.8 5.3 26.7 33.3 36.4 57.1
Huntington Bancshares Inc.
HBAN 0.640 0.760 0.745 0.678 10.533 21.3 46.9 14.3 16.7 20.0 11.1 12.5 128.6 75.0 -75.5 -79.5 -23.8 8.3 16.3 14.5
Home Bancorp Inc. HBCP 0.000 0.000 0.000 0.000 2.880 18.3 29.1 34.1 36.7 328.6 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Horizon Bancorp HBNC 0.059 0.000 0.000 0.000 3.317 13.8 20.8 20.0 5.3 18.8 17.1 16.0 15.2 1.5 0.0 6.3 10.4 3.6 7.7 8.3
The Hackett Group Inc. HCKT 0.000 0.000 0.000 0.000 1.760 12.5 6.7 15.4 30.0 66.7 20.0 0.0 n/a n/a n/a n/a n/a n/a n/a n/a
Healthcare Services GroupHCSGInc. 0.000 0.000 0.000 0.000 8.599 2.6 2.7 2.7 2.7 3.0 3.0 3.1 3.2 6.3 20.6 27.6 38.1 37.0 66.3 57.6
Home Depot Inc. HD 0.210 0.170 0.160 0.113 29.887 32.0 15.7 29.0 16.9 25.5 20.5 34.5 11.5 7.0 5.4 2.4 0.0 33.3 68.8 23.1
HDFC Bank Limited HDB 0.031 0.000 0.000 0.000 4.360 18.1 11.0 16.7 13.0 7.0 13.9 25.4 10.0 37.4 35.2 1.4 15.3 39.9 18.7 29.4
HEICO Corp. HEI 0.010 0.010 0.010 0.010 0.871 33.6 7.7 11.1 28.6 16.7 7.1 29.6 25.0 25.0 12.5 20.0 25.0 0.0 60.0 0.0
Holly Energy Partners LPHEP 0.000 0.000 0.000 0.000 27.754 2.0 5.0 8.0 7.0 6.0 6.2 6.5 5.1 4.9 5.1 5.4 6.3 7.7 120.0 n/a
Home Federal Bancorp Inc.HFBL of Louisiana
0.000 0.000 0.000 0.000 4.460 15.4 23.8 23.5 13.3 15.4 8.3 0.0 0.0 0.0 0.0 0.0 0.0 0.0 140.0 n/a
Heritage Financial Corp. HFWA 0.470 0.390 0.305 0.280 9.795 2.8 41.2 8.5 9.3 26.5 6.3 6.7 130.8 n/a #### -87.0 -8.3 6.3 11.3 12.7
Hillenbrand Inc. HI 0.000 0.000 0.000 0.000 9.266 1.4 1.0 1.2 1.2 1.3 1.3 1.3 1.3 1.3 1.3 35.0 n/a n/a n/a n/a
Hingham Institution for Savings
HIFS 0.640 0.590 0.520 0.440 19.300 10.8 6.9 6.6 7.0 4.6 3.8 2.9 4.1 6.5 8.2 4.9 1.3 0.0 3.9 5.5
Hartford Financial Services
HIGGroup Inc.1.040 1.000 0.960 0.900 20.140 14.3 14.1 9.5 12.0 19.0 40.0 12.5 14.3 75.0 -57.4 -77.8 6.0 33.3 29.3 3.6
Huntington Ingalls Industries
HII Inc. 0.000 0.000 0.000 0.000 14.550 19.5 19.8 20.0 23.5 70.0 100.0 400.0 n/a n/a n/a n/a n/a n/a n/a n/a
Heartland BanCorp HLAN 0.267 0.233 0.225 0.137 21.998 9.9 10.0 9.0 4.8 3.7 8.9 1.3 0.0 0.0 0.5 3.9 12.6 19.4 32.3 57.7
Houlihan Lokey, Inc. HLI 0.000 0.000 0.000 0.000 3.820 18.8
Hoegh LNG Partners LP HMLP 0.000 0.000 0.000 0.000 8.396 0.6 2.8 3.2 22.2 636.1 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Horace Mann Educators HMNCorp. 0.420 0.420 0.420 0.358 12.833 0.9 3.6 3.8 6.0 8.7 17.9 41.8 19.6 31.4 47.4 -35.4 -12.5 0.0 0.0 0.0
HNI Corp. HNI 0.500 0.480 0.440 0.380 17.045 3.4 3.5 3.7 4.3 5.6 3.1 1.1 3.3 7.0 0.0 0.0 10.3 8.3 16.1 10.7
Hennessy Advisors Inc. HNNA 0.000 0.000 0.000 0.000 2.231 20.7 40.6 28.7 41.7 41.2 36.0 0.0 25.0 -44.4 100.0 0.0 68.8 41.2 n/a n/a
Harley-Davidson Inc. HOG 0.135 0.115 0.100 0.090 15.740 1.4 1.4 4.3 12.9 12.7 31.0 35.5 30.5 18.8 0.0 -69.0 21.7 30.9 29.6 54.3
Home Bancshares Inc. HOMB 0.000 0.000 0.000 0.000 2.711 10.9 15.0 16.8 24.5 57.1 20.7 28.9 67.9 22.8 0.0 10.5 -10.7 425.6 n/a n/a
Honeywell International Inc.
HON 0.750 0.750 0.750 0.680 30.880 10.0 11.5 11.8 14.1 15.0 11.2 10.0 11.5 13.2 0.0 10.0 10.0 10.2 10.0 10.0
Honat Bancorp Inc. HONT 0.000 0.000 0.000 0.000 13.798 6.6 34.1 3.7 11.1 3.8 4.0 20.0 25.0 11.1 4.3 11.3 11.7 12.1 10.0 9.8
Hope Bancorp Inc. HOPE 0.100 0.038 0.000 0.000 3.925 3.7 8.0 11.1 7.1 20.0 40.0 403.2 n/a n/a #### -75.0 0.0 0.0 0.0 10.0
Helmerich & Payne Inc. HP 0.155 0.150 0.145 0.140 20.492 0.7 0.7 0.9 0.9 4.8 101.9 364.3 7.7 18.2 10.0 5.3 5.6 4.0 4.2 1.8
Hewlett Packard Enterprise
HPE Company 0.000 0.000 0.000 0.000 1.217 20.0 64.9 38.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
HP Inc. HPQ 0.151 0.151 0.151 0.151 5.339 15.0 5.0 7.9 48.2 15.3 10.1 10.0 26.0 25.0 0.0 0.0 0.0 0.0 0.0 0.0
Hill-Rom Holdings Inc. HRC 0.547 0.452 0.430 0.419 11.854 5.0 11.1 5.9 6.3 4.9 13.5 7.5 13.6 7.3 0.0 -11.0 -24.8 0.9 0.7 3.0
Hormel Foods Corp. HRL 0.098 0.093 0.088 0.083 6.228 12.0 10.3 17.2 16.0 25.0 17.6 13.3 17.6 21.4 10.5 2.7 23.3 7.1 7.7 15.6
Hershey Company HSY 0.630 0.583 0.540 0.500 30.287 8.5 8.2 6.1 7.4 9.6 12.7 16.0 13.0 7.8 7.6 0.0 4.8 10.2 10.8 11.4
Healthcare Trust of America
HTAInc. 0.000 0.000 0.000 0.000 8.711 1.6 1.7 1.7 1.7 1.1 0.2 200.0 n/a n/a n/a n/a n/a n/a n/a n/a
Heritage Commerce Corp. HTBK 0.000 0.000 0.000 0.000 3.041 9.1 10.0 11.1 12.5 77.8 200.0 n/a n/a n/a #### -93.8 23.1 30.0 #### n/a
Hilltop Holdings Inc. HTH 0.000 0.000 0.000 0.000 2.487 14.3 16.7 300.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a #### -54.0
Hubbell Inc. HUBB 1.320 1.320 1.300 1.260 37.390 8.9 9.8 10.8 15.6 8.7 11.4 10.1 10.5 5.6 2.9 2.9 3.0 0.0 0.0 0.0
Humana Inc. HUM 0.000 0.000 0.000 0.000 11.520 13.2 27.5 28.4 1.8 3.6 3.8 3.9 104.0 n/a n/a n/a n/a n/a n/a n/a
Hurco Companies Inc. HURC 0.000 0.000 0.000 0.000 2.310 9.3 10.3 11.4 12.9 19.2 160.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Haverty Furniture Companies
HVT Inc. 0.220 0.210 0.203 0.190 6.087 5.6 33.3 22.7 22.2 12.5 33.3 50.0 33.3 20.0 354.5 -89.1 -25.0 0.0 5.9 2.0
Haverty Furniture Companies
HVT-A Inc. A0.205 0.200 0.193 0.180 5.713 5.9 33.3 22.9 22.1 13.3 33.3 50.0 32.7 18.9 375.0 -89.3 -25.0 0.0 6.4 2.2
Hawthorn Bancshares Inc. HWBK 0.380 0.370 0.365 0.341 7.635 29.4 27.0 33.8 7.1 4.1 4.0 3.9 4.0 0.0 0.0 0.0 0.0 0.0 16.7 0.0
Hawkins Inc. HWKN 0.300 0.300 0.320 0.115 11.645 3.4 3.5 4.9 5.1 5.4 5.7 6.1 3.1 10.3 7.4 8.0 8.7 9.5 10.5 5.6
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Hexcel Corporation HXL 0.000 0.000 0.000 0.000 2.490 16.4 17.0 9.3 7.5 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Hyster-Yale Materials Handling
HY Inc.0.000 0.000 0.000 0.000 8.323 2.4 2.5 2.8 3.5 5.1 7.5 300.0 n/a n/a n/a n/a n/a n/a n/a n/a
Independent Bank Corp. IBCP
MI 0.377 0.314 0.280 0.249 7.490 20.0 42.9 23.5 30.8 44.4 n/a n/a n/a n/a #### -88.2 -59.0 8.9 12.1 15.3
IBERIABANK CorporationIBKC 0.592 0.552 0.520 0.496 24.046 13.2 4.8 5.1 1.5 0.0 0.0 0.0 0.0 0.0 0.0 0.0 3.0 11.9 24.5 16.2
International Business Machines
IBM 0.590 0.550 0.510 0.470 56.570 3.5 5.3 7.3 10.0 17.6 14.9 12.1 13.8 16.0 16.3 13.2 26.7 36.4 41.0 11.4
International BancsharesIBOC
Corp. 0.321 0.298 0.292 0.176 10.774 40.0 13.6 11.9 1.7 11.5 20.9 7.5 5.3 5.6 5.9 -48.5 1.8 1.9 4.5 4.7
Independent Bank GroupIBTX Inc. 0.000 0.000 0.000 0.000 2.960 85.2 35.0 17.6 6.3 33.3 100.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Intercontinental Exchange ICE
Inc. 0.000 0.000 0.000 0.000 4.770 14.6 20.0 17.6 17.2 11.5 300.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Idacorp Inc. IDA 1.860 1.860 1.860 1.860 34.635 6.7 7.1 7.7 8.3 9.1 12.1 14.6 14.2 0.0 0.0 0.0 0.0 0.0 0.0 0.0
IDEX Corp. IEX 0.249 0.249 0.249 0.249 15.227 16.3 14.5 8.2 8.1 15.9 20.2 15.6 16.7 15.8 18.8 0.0 4.3 21.1 18.8 13.4
International Flavors & Fragrances
IFF 0.600 0.600 1.520 1.520 28.910 5.7 7.3 12.5 17.8 20.1 16.3 11.0 13.4 9.8 2.0 6.4 9.3 16.2 2.8 7.5
Independence Holding Company
IHC 0.04 0.04 0.04 0.04 1.816 40.0 56.3 6.7 87.5 14.3 100.0 -63.2 90.0 0.0 0.0 0.0 0.0 0.0 0.0 -34.2
Independent Bancorp MAINDB 0.470 0.430 0.400 0.400 16.740 16.4 16.8 10.6 10.8 8.5 8.0 6.1 9.3 4.2 0.0 1.4 6.0 6.3 6.8 7.3
Ingredion Inc. INGR 0.200 0.200 0.200 0.170 18.940 3.3 15.5 13.5 8.2 1.8 20.0 62.8 43.3 7.1 0.0 9.8 34.2 22.6 10.7 16.7
Intel Corp. INTC 0.080 0.080 0.070 0.060 12.428 5.0 11.4 3.6 8.3 6.7 0.0 3.4 11.2 24.2 12.5 2.3 21.7 12.5 25.0 100.0
Intuit Inc. INTU 0.000 0.000 0.000 0.000 9.570 18.3 16.3 13.7 18.1 28.0 17.1 12.9 313.3 n/a n/a n/a n/a n/a n/a n/a
Innospec Inc. IOSP 0.000 0.000 0.000 0.000 7.330 14.6 15.6 14.9 9.8 10.9 10.0 -75.0 n/a n/a #### -50.0 11.1 12.5 n/a n/a
International Paper Co. IP 0.986 0.986 0.986 0.986 24.516 4.5 3.4 4.5 8.7 13.9 16.8 14.8 11.5 144.3 20.9 -66.9 0.0 0.0 0.0 0.0
Inter Parfums Inc. IPAR 0.030 0.000 0.000 0.000 6.256 31.0 23.5 13.3 17.6 6.3 9.1 37.5 4.9 33.6 71.4 0.0 5.2 18.7 6.7 36.4
Interpublic Group of Companies
IPG Inc.
0.380 0.380 0.370 0.330 6.200 11.9 16.7 20.0 25.0 26.3 26.7 25.0 0.0 n/a n/a n/a n/a n/a n/a n/a
Ingersoll-Rand plc IR 0.272 0.272 0.272 0.256 15.346 8.2 15.3 25.0 17.2 16.0 49.0 31.2 33.3 71.4 -44.0 -30.6 0.0 5.9 19.3 29.5
Iron Mountain Inc. IRM 0.000 0.000 0.000 0.000 15.582 4.0 6.8 9.7 5.0 28.2 38.0 3.8 18.9 366.7 n/a n/a n/a n/a n/a n/a
Isabella Bank Corp. ISBA 0.400 0.363 0.335 0.200 13.445 1.0 2.0 4.1 4.3 5.6 6.0 5.0 5.3 5.6 41.2 6.3 10.0 6.4 12.8 -22.6
Investors Bancorp ISBC 0.000 0.000 0.000 0.000 1.827 15.8 15.2 26.9 30.0 67.7 51.9 300.0 n/a n/a n/a n/a n/a n/a n/a n/a
Investar Holding Corp. ISTR 0.000 0.000 0.000 0.000 0.575 50.2 26.3 210.9 27.0 347.1 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
ITT Corp. ITT 0.115 0.115 0.115 0.115 6.392 9.7 5.5 2.4 5.1 7.3 10.0 9.9 -3.8 -1.2 17.6 21.4 25.0 27.3 22.2 5.9
Illinois Tool Works ITW 0.445 0.410 0.370 0.315 28.955 21.9 22.3 18.7 14.7 14.9 11.9 6.8 5.8 8.7 2.4 7.8 26.4 29.1 20.5 17.0
Invesco Limited IVZ 0.375 0.337 0.323 0.302 13.152 3.4 3.5 3.6 4.7 8.7 15.0 32.4 34.0 10.4 6.1 -21.6 39.8 7.8 3.6 1.8
JB Hunt Transport ServicesJBHTInc. 0.000 0.000 0.013 0.050 9.468 8.3 4.3 4.5 4.8 5.0 33.3 7.1 7.7 8.3 9.1 10.0 11.1 12.5 33.3 433.3
J&J Snack Foods Corp. JJSF 0.000 0.000 0.000 0.000 13.460 11.1 7.1 7.7 8.3 12.5 100.0 23.1 13.0 7.0 10.3 5.4 8.8 13.3 20.0 n/a
Jack Henry & AssociatesJKHY 0.140 0.120 0.100 0.080 11.350 8.1 19.4 10.7 12.0 13.6 20.5 58.7 9.5 10.5 11.8 13.3 15.4 18.2 22.2 12.5
Jones Lang Lasalle JLL 0.000 0.000 0.000 0.000 7.220 4.9 13.9 12.5 14.3 16.7 9.1 10.0 33.3 50.0 0.0 -73.3 25.0 140.0 n/a n/a
Johnson & Johnson JNJ 0.795 0.700 0.620 0.545 41.575 5.9 6.6 5.4 6.8 6.9 6.6 7.9 6.7 6.6 9.3 7.5 10.8 11.3 14.1 16.4
Johnson Outdoors Inc. JOUT 0.000 0.000 0.000 0.000 2.780 22.9 29.7 12.1 8.2 1.7 300.0 n/a n/a n/a n/a #### 100.0 n/a n/a n/a
JPMorgan Chase & Co. JPM 1.360 1.340 1.233 1.060 30.333 33.1 21.6 10.9 9.5 7.7 14.7 18.3 43.8 300.0 -62.3 -65.1 5.6 5.9 0.0 0.0
John Wiley & Sons Inc. JW-A 0.190 0.170 0.152 0.137 13.869 3.1 3.2 3.3 3.4 9.3 10.2 11.4 22.2 20.0 11.1 12.5 14.3 10.5 15.2 17.9
Kellogg Company K 1.010 1.010 1.010 0.960 31.410 2.7 3.8 3.9 3.0 4.2 5.6 3.4 4.2 7.1 9.1 10.0 8.3 5.3 7.5 5.0
Kadant Inc. KAI 0.000 0.000 0.000 0.000 4.825 4.6 6.1 10.8 12.1 14.8 130.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Kaiser Aluminum Corp. KALU 0.000 0.000 0.000 0.000 17.680 9.1 10.0 11.1 12.5 14.3 16.7 20.0 4.2 0.0 0.0 14.3 133.3 n/a n/a n/a
Kimball International Inc.KBAL 0.640 0.640 0.640 0.640 8.990 6.9
KeyCorp KEY 1.200 1.180 1.120 1.040 15.273 22.1 48.7 15.2 13.8 16.0 16.3 19.4 80.0 150.0 -56.8 -90.8 -31.5 5.8 6.2 4.8
KLA-Tencor Corp. KLAC 0.000 0.000 0.000 0.000 22.020 9.2 25.7 7.6 2.9 7.4 11.8 13.3 25.0 50.0 33.3 0.0 11.1 12.5 33.3 n/a
Kimberly-Clark Corp. KMB 1.131 1.064 1.026 0.987 50.177 3.0 3.7 5.2 4.6 6.9 7.2 8.6 4.3 8.5 8.4 4.8 9.1 8.3 9.7 13.6
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Kinsale Capital Group, Inc.
KNSL 0.000 0.000 0.000 0.000 0.940 14.3 16.7 140.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Coca-Cola Company KO 0.400 0.360 0.340 0.320 18.340 2.6 5.4 5.7 6.1 8.2 8.9 9.8 8.5 6.8 7.3 7.9 11.8 9.7 10.7 12.0
Kroger Company KR 0.000 0.000 0.000 0.000 4.368 13.2 8.2 8.9 13.9 16.2 10.6 24.2 15.1 10.3 6.8 5.8 19.0 48.7 n/a n/a
Kearny Financial Corp.KRNY 0.000 0.000 0.000 0.000 2.040 56.3 33.3 50.0 100.0 n/a n/a #### -50.0 0.0 0.0 0.0 0.0 0.0 122.2 n/a
Kohl's Corp. KSS 0.000 0.000 0.000 0.000 16.360 9.8 10.9 10.0 11.1 15.4 11.4 9.4 28.0 n/a n/a n/a n/a n/a n/a n/a
Kennedy-Wilson Holdings KWInc. 0.000 0.000 0.000 0.000 4.140 10.5 11.8 25.9 20.0 32.4 30.8 36.8 137.5 n/a n/a n/a n/a n/a n/a n/a
Quaker Chemical Corp. KWR 0.835 0.820 0.790 0.765 21.180 4.1 3.6 5.3 7.3 12.7 11.1 2.1 2.1 2.2 1.1 1.7 5.2 0.0 0.0 0.6
Lithia Motors Inc. LAD 0.000 0.000 0.000 0.000 9.370 4.4 7.5 11.6 25.0 24.6 24.5 32.4 42.3 73.3 n/a #### -16.1 7.7 30.0 33.3
Ladder Capital Corp LADR 0.000 0.000 0.000 0.000 5.715 6.3 6.7 9.1 41.9 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Lamar Advertising Co. LAMR 0.000 0.000 0.000 0.000 22.330 5.2 9.9 9.9 9.8 10.0 n/a n/a n/a n/a n/a n/a #### n/a n/a n/a
Lancaster Colony Corp. LANC 0.760 0.690 0.650 0.610 28.630 8.2 8.9 9.8 9.0 5.6 9.9 11.0 8.1 9.8 6.5 2.7 3.2 3.8 4.0 7.4
Gladstone Land Corp. LAND 0.000 0.000 0.000 0.000 4.400 0.5 1.5 5.8 6.5 29.2 -75.8 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Landmark Bancorp Inc. LARK 0.279 0.262 0.262 0.262 10.416 0.0 10.3 0.0 10.5 5.0 5.0 5.0 5.0 5.0 5.0 5.0 5.0 17.4 5.0 5.0
Lazard Limited LAZ 0.000 0.000 0.000 0.000 13.757 6.9 7.5 8.1 10.4 12.5 26.3 25.0 25.6 21.0 11.1 12.5 11.1 0.0 153.5 n/a
Lakeland Bancorp Inc. LBAI 0.266 0.233 0.151 0.000 6.049 10.1 12.7 6.8 12.1 12.7 7.9 15.3 9.5 18.5 -30.0 -25.0 5.0 3.7 1.3 0.0
Lear Corp. LEA 0.000 0.000 0.000 0.000 12.540 7.1 40.0 66.7 20.0 25.0 17.6 21.4 12.0 n/a n/a n/a n/a n/a n/a n/a
Lincoln Electric HoldingsLECO 0.300 0.295 0.280 0.240 14.850 20.5 11.4 9.4 10.3 26.1 15.0 17.6 9.7 10.7 3.7 8.0 13.6 15.8 5.6 7.5
Leggett & Platt Inc. LEG 0.490 0.470 0.400 0.350 19.480 5.4 5.7 6.1 5.6 3.3 3.4 3.5 3.7 3.8 4.0 1.0 42.9 2.9 9.7 8.8
Littelfuse Inc. LFUS 0.000 0.000 0.000 0.000 10.490 13.8 14.3 12.9 14.8 14.9 11.9 10.5 15.2 340.0 n/a n/a n/a n/a n/a n/a
L3Harris Technologies IncLHX 0.130 0.100 0.100 0.385 22.175 14.3 14.1 6.8 6.2 9.0 12.7 12.9 32.1 12.8 11.9 20.0 34.6 36.8 35.7 27.3
Lennox International Inc.LII 0.380 0.380 0.380 0.085 18.345 22.6 22.3 19.0 19.7 22.2 22.7 18.9 7.2 16.9 5.4 0.0 7.7 18.2 10.0 5.3
Linde Plc LIN 0.380 0.340 0.310 0.280 35.198 6.1 4.8 5.0 4.9 10.0 8.3 9.1 10.0 11.1 12.5 6.7 25.0 20.0 38.9 20.0
Lakeland Financial Corp.LKFN 0.220 0.193 0.160 0.120 9.697 16.0 17.6 17.0 15.3 15.2 10.8 11.3 7.3 0.0 0.0 2.5 11.0 11.2 8.9 9.8
Eli Lilly & Company LLY 1.240 1.120 1.040 0.920 36.490 14.7 8.2 2.0 2.0 2.0 0.0 0.0 0.0 0.0 0.0 4.3 10.6 6.3 5.3 7.0
Legg Mason Inc. LM 0.280 0.253 0.227 0.193 12.790 24.2 24.0 19.0 16.7 18.0 22.0 22.0 36.7 76.5 -48.5 -65.6 3.2 19.2 18.2 32.0
LeMaitre Vascular Inc. LMAT 0.000 0.000 0.000 0.000 1.570 21.4 33.3 20.0 9.4 18.5 17.4 21.1 58.3 n/a n/a n/a n/a n/a n/a n/a
Limoneira Company LMNR 0.000 0.000 0.000 0.000 1.815 20.0 13.6 10.0 11.1 9.1 10.0 14.3 5.0 100.0 100.0 n/a n/a n/a n/a n/a
Lockheed Martin LMT 0.440 0.440 0.440 0.880 69.520 9.8 9.9 10.2 10.1 12.0 14.9 15.2 27.7 23.1 12.8 27.9 24.5 17.6 19.0 15.4
Lincoln National Corp. LNC 1.280 1.220 1.160 1.100 21.400 12.1 13.8 16.0 25.0 25.0 33.3 50.0 60.0 400.0 -83.3 -85.5 5.1 3.9 4.1 4.3
Lindsay Corp. LNN 0.140 0.140 0.140 0.130 10.800 1.6 3.4 3.5 3.6 3.8 116.3 19.5 17.1 6.1 6.5 6.9 7.4 8.0 8.7 9.5
Alliant Energy Corp. LNT 1.000 1.000 1.000 1.000 18.986 6.0 6.3 7.2 6.8 7.8 8.5 4.4 5.9 7.6 5.3 7.1 10.2 10.4 9.5 3.7
Logitech International LOGI 0.000 0.000 0.000 0.000 4.489 6.5 8.4 11.7 7.2 98.4 16.1 -72.6 n/a n/a n/a n/a n/a n/a n/a n/a
Logansport Financial Corp.
LOGN 0.500 0.470 0.440 0.440 14.610 3.7 16.4 19.6 31.1 15.6 3.2 3.3 0.0 0.0 0.0 0.0 0.0 0.0 7.1 0.0
Lowe's Companies LOW 0.040 0.038 0.035 0.030 12.105 15.7 17.1 20.6 23.5 24.4 20.6 13.3 20.0 25.0 14.3 6.1 26.9 62.5 60.0 42.9
Lam Research Corp. LRCX 0.000 0.000 0.000 0.000 12.020 40.6 77.8 50.0 25.0 166.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Landstar System Inc. LSTR 0.000 0.000 0.000 0.000 4.110 11.1 65.8 11.8 13.3 15.4 4.0 8.7 9.5 10.5 11.8 9.7 14.8 22.7 120.0 n/a
Southwest Airlines Co. LUV 0.020 0.020 0.016 0.015 3.041 22.8 20.0 26.7 31.6 29.5 69.2 271.4 75.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Las Vegas Sands Corp. LVS 0.000 0.000 0.000 0.000 19.130 2.7 2.7 1.4 10.8 30.0 42.9 40.0 300.0 n/a n/a n/a n/a n/a n/a n/a
LyondellBasell IndustriesLYB
NV 0.000 0.000 0.000 0.000 24.770 3.8 12.7 6.6 9.5 12.6 35.0 37.9 163.6 n/a n/a n/a n/a n/a n/a n/a
Lyons Bancorp Inc. LYBC 0.137 0.093 0.000 0.000 10.215 9.0 7.8 8.4 23.4 12.4 17.4 0.0 28.7 7.9 7.7 3.5 4.6 8.0 16.3 14.7
La-Z-Boy Inc. LZB 0.390 0.360 0.340 0.320 6.470 8.2 8.9 9.8 20.6 30.8 44.4 350.0 n/a n/a n/a #### -70.8 2.1 6.8 2.3
MasterCard Inc. MA 0.000 0.000 0.000 0.000 5.658 32.0 13.6 15.8 18.8 45.5 109.5 100.0 75.0 0.0 0.0 0.0 11.1 500.0 n/a n/a
Mid-America Apartment Communities
MAA 2.340
Inc. 2.340 2.320 2.300 56.720 4.1 6.0 6.1 6.5 5.5 5.0 5.3 5.2 2.0 0.0 0.0 1.7 1.7 1.7 0.0
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Macerich Company MAC 2.220 2.140 2.060 1.965 50.605 1.0 3.5 4.4 4.6 4.8 6.4 5.8 8.8 31.4 59.2 -69.4 9.2 6.5 4.6 6.0
Main Street Capital Corp.MAIN 0.000 0.000 0.000 0.000 23.100 5.2 2.7 2.8 3.6 5.3 7.3 8.8 9.6 4.0 0.0 5.3 331.8 n/a n/a n/a
ManpowerGroup Inc. MAN 0.200 0.200 0.200 0.200 18.150 7.9 8.6 12.0 3.7 63.3 6.5 7.0 7.5 8.1 0.0 0.0 7.2 16.9 25.5 56.7
Marriott International Inc.MAR 0.128 0.119 0.112 0.077 11.077 18.6 20.9 12.2 21.1 23.4 20.3 30.6 30.5 91.6 139.0 -74.0 17.7 19.3 20.8 21.2
Masco Corp MAS 0.545 0.525 0.49 0.45 10.800 13.8 7.4 5.2 5.5 10.6 10.0 0.0 0.0 0.0 -34.8 -50.3 1.6 5.8 10.3 18.2
Matthews International MATW 0.106 0.101 0.097 0.092 7.110 5.2 10.0 12.9 14.8 17.4 12.2 10.8 12.1 13.8 9.4 8.2 8.9 9.8 10.8 12.1
Matson Inc. MATX 0.000 0.000 0.000 0.000 5.780 4.9 5.1 5.4 5.7 6.1 6.5 106.7 n/a n/a n/a n/a n/a n/a n/a n/a
Mercantile Bank Corp. MBWM 0.000 0.000 0.000 0.000 7.435 14.0 25.7 12.1 13.8 20.8 6.7 400.0 n/a #### -85.7 -77.4 -45.6 17.4 21.4 24.0
Moelis & Company MC 0.000 0.000 0.000 0.000 8.000 6.4 27.0 19.4 24.0 150.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Macatawa Bank Corp. MCBC 0.160 0.131 0.031 0.000 3.418 12.0 38.9 50.0 9.1 37.5 n/a n/a n/a n/a n/a #### -49.4 11.4 25.0 39.7
McDonald's Corp. MCD 0.235 0.225 0.215 0.195 42.525 12.9 9.4 6.1 4.9 4.9 5.1 8.7 13.4 11.9 10.2 26.2 8.3 50.0 49.3 21.8
Microchip Technology Inc. MCHP 0.020 0.000 0.000 0.000 19.697 0.5 0.6 0.6 0.5 0.6 0.6 0.9 1.2 1.2 1.0 2.3 15.4 29.2 97.8 160.1
McKesson Corp. MCK 0.240 0.240 0.240 0.240 13.470 12.1 19.5 5.4 7.7 8.3 9.1 10.0 2.6 18.2 37.5 14.3 75.0 0.0 0.0 0.0
Moody's Corp. MCO 0.090 0.090 0.023 0.000 13.760 13.6 15.8 4.1 7.4 21.4 24.4 40.6 19.6 27.4 5.0 0.0 25.0 14.3 38.3 35.0
Marcus Corp. MCS 0.220 0.220 0.220 0.220 7.190 6.7 20.0 11.1 9.8 10.8 8.8 0.0 0.0 0.0 0.0 0.0 0.0 13.3 36.4 0.0
Mercury General Corp. MCY 1.200 1.060 0.960 0.840 41.830 0.4 0.4 0.4 0.4 0.4 0.4 0.4 1.3 1.7 1.7 0.4 11.5 8.3 11.6 16.2
Mondelez International Inc.MDLZ 0.000 0.000 0.000 0.000 5.545 15.8 12.2 13.9 12.5 10.3 7.4 315.4 n/a n/a n/a n/a n/a n/a n/a n/a
Meredith Corp. MDP 0.360 0.340 0.320 0.300 23.208 5.5 4.8 5.1 8.2 5.8 6.1 6.5 33.3 24.7 2.2 4.7 16.2 15.6 14.3 16.7
Medtronic plc MDT 0.240 0.215 0.180 0.145 17.840 8.3 7.9 9.9 18.2 17.1 8.3 6.9 8.0 8.7 9.6 25.6 33.0 13.9 14.6 15.2
MDU Resources MDU 0.413 0.396 0.378 0.360 12.407 3.2 2.6 2.7 2.7 2.8 2.9 3.0 3.1 3.2 1.6 5.1 7.3 6.8 5.8 5.8
Medifast, Inc. MED 0.000 0.000 0.000 0.000 7.200 56.3 50.0 28.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Methanex Corp. MEOH 0.100 0.000 0.000 0.000 13.090 6.8 12.3 6.8 2.3 13.2 21.0 8.3 9.0 7.3 0.0 2.5 11.0 12.4 18.3 46.4
MetLife Inc. MET 0.187 0.178 0.178 0.000 16.236 4.8 3.7 1.6 6.8 24.9 31.2 36.5 0.0 0.0 0.0 0.0 0.0 25.4 13.5 13.0
Manulife Financial Corporation
MFC 0.3 0.24 0.2 0 12.145 9.9 11.0 10.8 12.1 15.8 9.6 0.0 0.0 0.0 -33.3 -22.0 13.6 67.6 -9.5 23.4
Mackinac Financial Corp.MFNC 5.000 8.000 4.810 3.600 23.935 4.2 4.3 15.0 23.1 62.5 25.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
MutualFirst Financial Inc.MFSF 0.37 0.32 0.28 0 9.170 8.1 12.1 13.8 20.8 50.0 33.3 0.0 0.0 0.0 -42.9 -34.4 6.7 3.4 9.4 12.8
Magna International Inc. MGA 0.340 0.340 0.300 0.223 11.785 10.6 20.0 10.0 13.6 15.8 18.8 16.4 10.0 96.1 466.7 -85.7 9.6 -24.3 0.0 2.7
MGE Energy Inc. MGEE 0.892 0.885 0.877 0.867 21.569 4.5 4.8 4.6 4.3 4.2 3.6 3.2 2.6 2.0 1.7 1.9 1.9 1.4 0.9 1.0
McGrath Rentcorp MGRC 0.340 0.310 0.270 0.230 15.925 14.5 23.7 2.0 2.0 2.1 2.1 2.1 2.2 2.2 4.1 10.3 11.4 12.9 17.0 23.3
Mobile Mini Inc. MINI 0.000 0.000 0.000 0.000 5.260 10.0 10.1 10.2 10.2 10.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
McCormick & Co. MKC 0.420 0.400 0.380 0.340 22.360 9.6 10.6 9.3 7.5 8.1 8.8 9.7 10.7 7.7 8.3 9.1 10.0 11.1 12.5 14.3
MKS Instruments Inc. MKSI 0.000 0.000 0.000 0.000 6.155 2.6 10.6 3.7 0.7 3.1 2.3 3.2 3.3 n/a n/a n/a n/a n/a n/a n/a
MarketAxess Holdings Inc. MKTX 0.000 0.000 0.000 0.000 9.190 21.4 27.3 26.9 30.0 25.0 23.1 18.2 22.2 28.6 300.0 n/a n/a n/a n/a n/a
Malaga Financial Corp. MLGF 0.000 0.000 0.000 0.000 8.116 5.0 5.0 11.1 12.5 14.3 16.7 20.0 25.0 11.1 12.5 0.0 0.0 11.3 21.1 375.0
Herman Miller Inc. MLHR 0.145 0.145 0.145 0.145 7.214 8.8 6.9 12.7 7.9 4.1 14.7 204.5 77.3 0.0 -60.0 -37.5 4.8 7.5 7.8 33.3
Marsh & McLennan Companies MMC Inc.1.090 1.030 0.960 0.850 21.950 10.1 10.5 10.0 10.2 11.3 10.4 6.7 4.7 6.2 1.3 0.0 5.3 11.8 0.0 -47.7
3M Company MMM 1.240 1.200 1.160 1.120 54.020 5.9 15.7 5.9 8.3 19.9 34.6 7.6 7.3 4.8 2.9 2.0 4.2 4.3 9.5 16.7
Magellan Midstream PartnersMMP LP 0.645 0.358 0.000 0.000 35.689 6.4 7.7 8.6 11.3 16.4 19.4 17.6 14.6 7.1 2.4 4.3 9.2 9.1 16.3 14.3
Marquette National Corp.MNAT 0.000 0.000 0.000 0.000 4.344 102.0 21.1 11.5 17.3 83.3 n/a n/a n/a n/a #### -50.7 n/a n/a n/a n/a
Monro Inc. MNRO 0.000 0.000 0.000 0.000 6.130 10.3 9.9 7.6 13.8 16.0 16.3 10.3 14.7 37.8 37.0 12.5 12.5 33.3 140.0 n/a
Altria Group Inc. MO 0.567 0.516 0.469 0.427 29.505 14.7 14.9 8.0 8.5 8.4 8.9 7.8 7.7 9.2 9.2 12.2 35.2 11.1 8.5 8.5
MidWest One Financial GroupMOFGInc. 0.000 0.000 0.000 0.000 6.120 3.8 16.4 4.7 6.7 3.4 16.0 38.9 63.6 10.0 -33.9 -33.9 n/a n/a n/a n/a
Morningstar Inc. MORN 0.000 0.000 0.000 0.000 6.540 20.0 8.7 4.5 15.8 11.8 36.0 25.0 100.0 n/a n/a n/a n/a n/a n/a n/a
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Mid Penn Bancorp MPB 0.691 0.691 0.691 0.666 11.469 15.0 15.4 8.3 9.1 25.7 75.0 0.0 0.0 n/a #### -35.0 1.2 3.7 5.0 0.0
Marathon Petroleum Corp. MPC 0.000 0.000 0.000 0.000 10.495 15.2 21.1 11.8 19.3 23.9 19.5 28.3 166.7 n/a n/a n/a n/a n/a n/a n/a
MPLX LP MPLX 0.000 0.000 0.000 0.000 13.454 6.4 12.7 8.9 19.2 27.1 29.9 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Medical Properties Trust MPW
Inc. 0.000 0.000 0.000 0.000 12.790 2.0 4.2 5.6 3.4 3.6 5.0 0.0 0.0 0.0 0.0 -25.9 0.0 20.0 429.4 n/a
Marine Products Corp. MPX 0.036 0.027 0.000 0.000 2.990 20.0 42.9 16.7 50.0 33.3 0.0 50.0 n/a n/a #### -96.2 8.3 20.0 25.0 50.0
Merck & Company MRK 1.410 1.370 1.210 1.100 33.470 14.6 2.1 2.2 2.2 2.3 2.3 2.4 10.5 0.0 0.0 0.0 0.0 0.0 0.0 2.0
Morgan Stanley MS 0.920 0.920 0.800 0.480 15.497 18.2 22.2 28.6 27.3 57.1 75.0 0.0 0.0 0.0 -54.2 -59.5 0.0 0.0 0.0 8.0
MSA Safety Inc. MSA 0.217 0.180 0.158 0.151 17.892 10.1 8.0 5.3 3.1 3.3 4.2 7.3 6.8 4.0 3.1 2.1 11.9 23.5 30.8 40.5
Midland States Bancorp, MSBI
Inc. 0.000 0.000 0.000 0.000 3.010 10.2 10.0 122.2 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
MSCI Inc. MSCI 0.000 0.000 0.000 0.000 7.740 31.3 45.5 32.0 25.0 344.4 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Middlesex Water Co. MSEX 0.634 0.623 0.613 0.595 15.279 7.1 6.3 6.2 4.0 1.8 1.3 1.3 1.4 1.4 1.4 1.4 1.4 1.5 1.5 1.5
Microsoft Corp. MSFT 0.000 0.000 0.000 0.000 14.620 9.9 8.2 8.2 14.0 12.2 18.6 16.9 22.1 23.6 5.8 13.0 12.2 10.8 15.6 100.0
Motorola Solutions Inc. MSI 0.579 0.579 0.579 0.579 19.477 13.0 10.6 14.6 20.6 7.1 16.5 18.5 318.2 n/a #### -75.0 0.0 11.1 12.5 11.7
MSC Industrial Direct Co.MSM
Inc. 0.000 0.000 0.000 0.000 19.450 16.5 29.5 5.2 6.7 17.3 13.0 17.1 15.4 8.3 5.0 5.3 11.8 21.4 21.7 35.3
Vail Resorts Inc. MTN 0.000 0.000 0.000 0.000 24.792 23.6 37.6 30.0 33.7 57.1 79.3 13.7 137.5 n/a n/a n/a n/a n/a n/a n/a
Materion Corp. MTRN 0.000 0.240 0.480 0.480 4.050 4.8 5.1 5.3 5.6 6.0 6.3 40.0 n/a n/a n/a n/a n/a n/a n/a n/a
Mueller Water Products, MWAInc. 0.000 0.000 0.000 0.000 1.330 2.5 25.0 45.5 41.9 10.7 0.0 0.0 0.0 0.0 0.0 0.0 0.0 300.0 n/a n/a
Maxim Integrated Products MXIM 0.020 0.000 0.000 0.000 15.950 6.8 27.5 9.5 8.6 7.4 8.0 8.7 7.0 4.9 2.5 3.2 12.7 22.2 32.4 25.0
Muncy Bank Financial Inc. MYBF 0.320 0.300 0.280 0.260 14.085 3.1 6.6 13.0 8.0 13.6 10.0 5.3 13.4 10.7 5.2 4.5 8.9 5.2 4.3 27.8
National Instruments Corp.NATI 0.000 0.000 0.000 0.000 8.087 8.7 9.5 5.0 5.3 26.7 7.1 0.0 40.0 15.4 8.3 9.1 29.4 41.7 20.0 9.1
NBT Bancorp Inc. NBTB 0.680 0.680 0.680 0.680 16.860 6.1 7.6 2.2 3.4 3.6 0.0 5.0 0.0 0.0 0.0 0.0 1.3 3.9 0.0 2.7
NACCO Industries NC 0.097 0.093 0.089 0.085 5.435 11.4 56.7 25.4 1.9 2.2 2.3 29.3 14.5 1.7 0.8 1.1 3.3 3.9 3.1 10.3
Nasdaq Inc. NDAQ 0.000 0.000 0.000 0.000 8.610 8.8 16.4 20.7 34.4 55.2 11.5 33.3 n/a n/a n/a n/a n/a n/a n/a n/a
Nordson Corp. NDSN 0.285 0.280 0.260 0.240 11.906 14.4 9.6 11.8 13.3 18.4 20.6 20.0 19.3 12.8 5.8 1.0 4.3 4.5 3.9 3.2
NextEra Energy Inc. NEE 1.160 1.120 1.080 1.040 47.200 12.6 13.0 12.9 13.0 6.2 9.8 10.0 9.1 10.0 5.8 6.2 8.5 9.3 5.6 9.2
NextEra Energy PartnersNEP LP 0.000 0.000 0.000 0.000 7.560 14.9 14.9 14.8 43.4 382.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
NewMarket Corp. NEU 0.000 0.000 0.188 0.250 50.443 2.1 2.2 7.0 14.3 27.3 27.5 15.0 44.2 38.7 66.7 12.5 60.0 33.3 n/a n/a
Northfield Bancorp Inc. NFBK 0.000 0.000 0.000 0.000 2.787 7.5 17.6 9.7 10.7 7.7 8.3 180.4 -47.8 21.2 18.7 300.0 n/a n/a n/a n/a
National Fuel Gas NFG 1.025 0.985 0.945 0.915 27.560 2.4 2.4 2.5 2.6 2.6 2.7 2.8 2.9 2.9 3.0 3.9 4.1 3.4 3.5 3.6
National Healthcare Corp. NHC 0.000 0.000 0.000 0.000 19.305 4.1 5.4 9.4 14.9 12.1 6.5 3.3 3.4 7.4 8.0 11.1 15.4 18.2 20.0 46.7
National Health InvestorsNHI 1.500 0.000 2.020 2.960 51.675 5.1 5.3 5.6 6.9 9.0 7.4 8.2 6.9 6.3 4.8 2.3 8.6 4.8 6.5 6.0
NiSource Inc. NI 0.456 0.456 0.424 0.401 9.650 2.6 11.4 9.4 24.4 28.3 4.1 4.3 2.2 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Northeast Indiana Bancorp NIDB 0.490 0.450 0.410 0.345 14.235 5.2 7.8 5.9 4.9 3.2 2.6 4.8 3.5 2.9 3.0 0.8 2.3 0.8 4.9 7.0
New Jersey Resources NJR 0.400 0.391 0.382 0.373 14.062 7.2 7.0 6.4 6.6 7.0 5.6 5.2 6.9 5.9 9.7 13.4 7.9 5.6 5.9 4.6
Nike Inc. NKE 0.063 0.060 0.060 0.060 6.873 10.0 11.1 12.5 14.3 16.7 14.3 12.0 21.0 10.7 9.8 8.5 19.7 20.8 22.6 24.7
National Bankshares NKSH 0.485 0.430 0.425 0.000 17.715 14.9 3.4 0.9 1.8 0.9 0.9 1.8 10.0 9.9 8.3 5.0 5.3 4.1 2.8 10.9
Nelnet, Inc. NNI 0.000 0.000 0.000 0.000 5.170 12.1 13.8 16.0 19.0 5.0 0.0 0.0 8.1 32.1 300.0 0.0 -75.0 n/a n/a n/a
National Retail PropertiesNNN 1.270 1.260 1.245 1.240 31.765 4.1 4.8 4.5 4.1 3.6 3.1 2.6 2.0 1.3 0.7 1.4 5.7 6.1 1.5 0.8
Northrop Grumman NOC 0.723 0.723 0.723 0.723 41.848 9.8 20.5 11.4 12.9 14.4 13.9 10.7 11.7 15.8 8.9 7.6 6.1 27.6 14.9 13.5
Neenah Paper Inc. NP 0.000 0.000 0.000 0.000 12.480 9.8 10.8 12.1 10.0 17.6 45.7 45.8 9.1 10.0 0.0 0.0 0.0 0.0 0.0 n/a
Enpro Industries Inc. NPO 0.000 0.000 0.000 0.000 4.480 4.2 9.1 4.8 5.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
National Research Corporation
NRC 0.000 0.000 0.000 0.000 2.260 40.7 35.0 25.0 33.3 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Northrim BanCorp Inc. NRIM 0.181 0.165 0.165 0.157 11.290 23.5 18.6 10.3 5.4 5.7 9.4 14.3 12.0 13.6 10.0 -39.4 19.0 28.4 12.1 11.8
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
National Storage Affiliates
NSA
Trust 0.000 0.000 0.000 0.000 4.890 9.5 11.5 18.2 63.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Insperity Inc. NSP 0.000 0.000 0.000 0.000 6.125 50.0 39.1 18.6 14.1 14.9 8.8 3.0 10.0 15.4 0.0 8.3 9.1 22.2 28.6 n/a
NetApp Inc. NTAP 0.000 0.000 0.000 0.000 6.100 46.7 53.8 5.4 7.2 9.5 110.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Northern Trust Corp. NTRS 0.680 0.620 0.540 0.450 23.440 26.3 24.4 6.8 5.8 7.8 4.9 5.2 3.6 0.0 0.0 0.0 12.0 8.7 9.5 7.7
Nucor Corp. NUE 0.190 0.170 0.150 0.130 20.045 5.3 0.7 0.7 0.7 0.7 0.7 0.7 0.7 0.7 2.1 7.6 107.9 57.5 33.3 27.7
Nu Skin Enterprises Inc. NUS 0.240 0.200 0.000 0.000 14.790 1.4 1.4 1.4 1.4 1.4 15.0 50.0 35.6 18.0 8.7 4.5 4.8 5.0 11.1 12.5
NVIDIA Corp. NVDA 0.000 0.000 0.000 0.000 3.405 4.9 7.0 17.5 29.3 10.3 9.7 313.3 n/a n/a n/a n/a n/a n/a n/a n/a
Northwest Bancshares Inc. NWBI 0.124 0.089 0.071 0.071 7.948 5.9 6.3 6.7 7.1 7.7 4.0 4.2 11.6 7.5 2.3 0.0 4.8 20.0 29.6 22.7
NorthWestern Corp. NWE 0.000 0.000 0.000 0.000 24.100 4.5 4.8 5.0 4.2 20.0 5.3 2.7 2.8 5.9 1.5 1.5 3.1 3.2 24.0 n/a
Norwood Financial NWFL 0.339 0.308 0.262 0.215 12.641 9.1 1.5 4.8 0.8 2.5 4.9 4.8 3.4 3.6 3.7 8.0 8.7 12.2 19.6 5.9
Northwest Natural Gas NWN 1.260 1.245 1.240 1.220 33.100 0.5 0.5 0.5 0.9 0.5 1.1 2.0 2.3 4.2 5.0 5.3 5.6 3.6 5.3 1.5
NexPoint Residential TrustNXRT
Inc. 0.000 0.000 0.000 0.000 4.529 11.0 12.6 8.6 35.6 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Nexstar Media Group Inc.NXST 0.000 0.000 0.000 0.000 7.300 20.0 25.0 25.0 26.3 26.7 25.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Realty Income Corp. O 1.170 1.140 1.110 1.080 37.105 3.0 3.8 6.0 5.3 3.6 2.1 21.2 2.0 0.5 0.7 0.9 3.7 8.1 8.8 5.7
Owens Corning Inc. OC 0.000 0.000 0.000 0.000 4.380 4.8 5.0 12.7 6.0 39.6 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
OceanFirst Financial Corp OCFC 0.693 0.56 0.48 0.1 12.783 9.7 3.3 11.1 3.8 6.1 2.1 0.0 0.0 0.0 -40.0 0.0 0.0 0.0 0.0 0.0
Oil-Dri Corp. of America ODC 0.288 0.288 0.288 0.288 12.188 4.3 4.4 4.7 4.9 5.1 5.4 5.7 6.1 6.5 6.9 7.4 8.0 15.7 20.0 9.8
OGE Energy Corp. OGE 0.665 0.665 0.665 0.665 17.663 8.8 9.9 10.0 10.0 10.8 10.8 6.4 4.7 3.4 2.1 2.2 2.2 2.3 0.0 0.0
ONE Gas Inc. OGS 0.000 0.000 0.000 0.000 8.960 8.7 9.5 20.0 16.7 42.9 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Omega Healthcare InvestorsOHI 0.000 0.000 1.000 2.800 30.810 0.4 3.9 7.6 8.3 7.9 8.6 10.1 9.0 13.1 14.2 0.8 10.2 12.5 12.9 18.1
ONEOK Inc. OKE 0.271 0.271 0.271 0.271 25.434 8.8 19.3 10.6 1.2 14.4 64.4 16.5 17.6 18.7 11.0 5.1 11.4 14.8 11.9 23.9
Omnicom Group Inc. OMC 0.400 0.375 0.350 0.300 22.350 6.3 9.1 4.8 5.0 11.1 20.0 30.4 21.1 26.7 25.0 0.0 9.1 12.8 8.3 2.9
Oracle Corp. ORCL 0.000 0.000 0.000 0.000 5.280 19.7 5.6 20.0 5.3 18.8 14.3 75.0 4.3 15.0 33.3 n/a n/a n/a n/a n/a
Old Republic InternationalORI 0.336 0.315 0.293 0.261 12.427 2.6 2.6 1.3 1.4 1.4 1.4 1.4 1.4 1.4 1.5 1.5 6.3 6.8 15.2 27.2
Orrstown Financial Services
ORRF Inc. 0.36 0.305 0.285 0.27 9.775 20.0 19.0 20.0 59.1 n/a n/a n/a #### -22.5 1.1 1.1 3.6 7.7 32.2 18.0
Oshkosh Corp. OSK 0.086 0.086 0.086 0.084 7.360 12.1 13.8 11.5 11.4 12.9 313.3 n/a n/a n/a #### -75.0 0.0 0.0 66.3 64.7
Open Text Corp. OTEX 0.000 0.000 0.000 0.000 3.165 15.0 15.0 14.8 15.1 15.5 48.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Otter Tail Corp. OTTR 1.060 1.040 1.020 0.990 24.580 4.5 4.7 2.4 1.6 1.7 1.7 0.0 0.0 0.0 0.0 0.0 1.7 1.7 2.7 1.8
Oak Valley Bancorp OVLY 0.375 0.350 0.300 0.350 4.065 3.8 4.0 4.2 14.3 27.3 n/a n/a n/a n/a #### -66.7 -60.5 0.0 -24.0 -13.8
Oxford Industries Inc. OXM 0.420 0.420 0.420 0.420 14.450 12.4 19.4 1.9 10.4 18.5 17.4 19.0 16.0 19.0 -6.7 -37.5 0.0 20.0 11.1 12.5
Occidental Petroleum OXY 0.483 0.483 0.483 0.483 33.115 1.3 1.3 1.3 2.4 8.9 13.7 18.3 18.2 19.7 12.2 8.3 28.7 17.5 24.0 17.3
Bank OZK OZK 0.039 0.029 0.026 0.025 5.846 18.2 12.0 12.7 14.5 17.0 30.6 44.0 35.1 23.3 15.4 4.0 16.3 7.5 8.1 23.3
Penske Automotive Group PAG
Inc. 0.000 0.000 0.000 0.000 9.810 11.3 12.7 14.5 17.0 20.5 25.8 34.8 91.7 n/a n/a #### 20.0 11.1 20.0 9.8
Paychex Inc. PAYX 0.440 0.380 0.270 0.180 23.410 11.0 13.5 9.1 10.0 9.6 7.4 5.4 3.2 0.8 0.0 1.6 19.6 47.8 25.5 12.2
Prosperity Bancshares PB 0.235 0.190 0.160 0.025 14.040 13.9 5.9 13.3 10.1 13.5 11.6 7.5 14.3 12.9 12.7 10.0 11.1 12.5 21.2 14.8
People's United FinancialPBCT 0.301 0.283 0.254 0.218 10.935 1.4 1.5 1.5 2.3 0.8 1.5 1.6 1.6 1.6 1.6 4.1 12.4 12.4 13.7 13.5
PBF Logistics LP PBFX 0.000 0.000 0.000 0.000 9.480 4.1 5.9 9.4 18.1 213.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Pathfinder Bancorp, Inc. PBHC 0.290 0.250 0.240 0.230 5.249 1.1 14.5 3.8 42.9 16.7 0.0 0.0 0.0 0.0 -37.7 -53.0 0.0 0.0 0.0 2.2
Paccar Inc. PCAR 0.237 0.237 0.237 0.158 12.932 17.4 10.1 3.1 4.3 7.0 7.5 2.6 30.0 53.8 -27.8 -25.0 11.3 26.5 32.2 16.0
Peoples Bancorp of NorthPEBKCarolina0.200 0.200 0.196 0.169 5.306 7.7 19.2 26.3 35.7 55.6 50.0 50.0 0.0 0.0 -69.2 -45.8 17.1 39.8 20.7 10.3
Public Service EnterprisePEG
Group Inc.
1.080 1.080 1.080 1.080 28.230 4.4 4.7 4.9 5.1 5.4 2.8 1.4 3.6 0.0 3.0 3.1 10.3 2.6 1.8 1.8
PepsiCo Inc. PEP 0.590 0.570 0.550 0.530 37.020 8.7 11.2 7.0 7.2 11.0 10.6 5.0 5.8 7.0 6.3 9.4 18.5 20.5 14.3 25.6
PetMed Express Inc. PETS 0.000 0.000 0.000 0.000 7.440 3.8 31.6 5.3 5.6 4.4 6.3 6.7 20.0 11.1 125.0 n/a n/a n/a n/a n/a
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Preferred Bank PFBC 0.253 0.253 0.000 0.000 7.300 27.7 17.5 33.3 30.4 360.0 n/a n/a n/a n/a #### -83.0 -24.6 16.9 25.1 6.6
Pfizer Inc. PFE 0.520 0.440 0.360 0.307 18.667 5.9 6.3 6.7 7.1 7.7 8.3 9.1 10.0 11.1 -10.0 -37.5 10.3 20.8 26.3 11.8
Principal Financial GroupPFGInc. 0.250 0.000 0.000 0.000 18.120 3.8 12.3 16.1 7.3 13.6 34.7 28.9 8.6 27.3 10.0 11.1 -50.0 12.5 23.1 18.2
Provident Financial Services
PFSInc. 0.000 0.000 0.000 0.000 8.850 12.2 5.1 9.9 9.2 8.3 7.1 9.8 8.5 6.8 0.0 0.0 4.8 7.7 21.9 33.3
Procter & Gamble Co. PG 0.790 0.730 0.670 0.625 36.478 4.0 3.8 2.5 1.5 3.9 7.0 7.0 7.5 9.1 9.6 11.0 14.0 12.4 11.0 11.5
Parker-Hannifin Corp. PH 0.480 0.480 0.453 0.453 28.780 15.6 11.4 4.8 0.0 21.7 16.3 9.9 13.3 33.6 7.0 8.7 20.5 16.8 14.0 13.2
Polaris Industries PII 0.280 0.250 0.220 0.200 23.380 1.7 3.4 5.5 3.8 10.4 14.3 13.5 64.4 12.5 2.6 2.6 11.8 9.7 10.7 21.7
Parke Bancorp Inc. PKBK 0.000 0.000 0.000 0.000 2.318 15.4 18.2 41.9 29.2 140.0 n/a n/a n/a n/a n/a n/a n/a #### n/a n/a
Packaging Corp of America PKG 0.000 0.000 0.000 0.000 23.563 11.3 12.7 10.5 11.2 28.1 17.4 43.4 26.7 25.0 -20.0 -37.5 20.0 0.0 11.1 50.0
Children's Place Inc. (The)
PLCE 0.000 0.000 0.000 0.000 7.370 12.0 42.9 86.7 28.8 46.5 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Prologis Inc. PLD 1.640 1.580 1.480 1.400 32.540 10.4 9.1 4.8 10.5 15.2 17.9 0.0 0.0 0.0 0.0 -28.2 -22.0 8.7 4.5 3.5
Douglas Dynamics Inc. PLOW 0.000 0.000 0.000 0.000 8.655 2.8 10.4 2.1 5.6 2.3 4.2 1.5 2.2 110.5 n/a n/a n/a n/a n/a n/a
Philip Morris InternationalPM 0.000 0.000 0.000 0.000 40.120 3.8 5.5 2.2 2.0 3.6 11.2 10.4 17.5 13.0 8.2 120.0 n/a n/a n/a n/a
Pioneer Bankshares Inc.PNBI 0.000 0.000 0.000 0.000 8.690 4.8 5.0 5.3 5.6 5.9 1.5 9.8 3.4 1.7 1.8 0.0 35.7 n/a n/a n/a
PNC Financial Services Group
PNC Inc.1.920 1.920 1.830 1.680 42.120 23.5 30.8 22.6 5.5 6.9 9.3 11.0 46.2 165.0 -42.0 -73.6 7.0 13.5 7.5 0.0
PNM Resources Inc. PNM 0.573 0.533 0.533 0.513 14.953 9.4 9.3 10.2 10.0 8.1 15.6 14.3 12.0 0.0 0.0 -29.6 -22.0 5.8 11.7 21.6
Pentair Ltd. PNR 0.252 0.235 0.218 0.215 10.848 -7.3 -11.5 1.5 6.3 16.4 14.6 9.1 10.0 5.3 5.6 5.9 13.3 7.1 7.7 20.9
Pinnacle West Capital Corp.
PNW 1.625 1.525 1.425 1.325 43.938 6.1 6.1 5.1 5.0 4.9 4.3 3.9 1.0 0.0 0.0 0.0 0.0 3.7 5.2 5.5
PolyOne Corp. POL 0.250 0.250 0.063 0.000 4.323 11.4 29.6 12.5 20.0 25.0 39.1 21.1 58.3 n/a n/a n/a n/a n/a n/a n/a
Pool Corp. POOL 0.000 0.000 0.000 0.000 13.143 22.1 21.1 19.3 19.0 17.6 16.4 17.7 12.7 5.8 0.0 2.0 9.7 14.8 19.1 67.2
Portland General ElectricPORCo. 0.000 0.000 0.000 0.000 15.300 6.4 6.4 6.5 6.9 4.5 1.8 1.9 1.9 1.9 3.0 4.2 4.3 104.4 n/a n/a
Power Integrations Inc. POWI 0.000 0.000 0.000 0.000 4.385 9.4 14.3 7.7 8.3 9.1 37.5 60.0 0.0 0.0 100.0 300.0 n/a n/a n/a n/a
Pinnacle Bankshares Corp. PPBN 0.410 0.400 0.390 0.360 7.545 22.5 11.3 5.3 11.8 6.3 42.2 350.0 n/a #### -50.0 -83.3 0.0 9.1 12.2 8.9
PPG Industries Inc. PPG 0.845 0.840 0.800 0.760 24.445 6.5 9.4 9.0 10.2 8.0 8.3 3.4 3.5 3.7 2.3 1.9 2.5 6.8 2.7 3.9
PPL Corp. PPL 0.671 0.494 0.494 0.466 23.735 1.4 3.8 3.3 1.3 8.1 1.2 1.9 2.9 0.4 1.1 3.0 9.8 10.9 14.6 17.1
Peoples Ltd. PPLL 0.000 0.000 0.000 0.000 13.438 5.9 5.2 3.2 14.8 15.8 10.7 17.7 n/a n/a n/a n/a n/a n/a n/a n/a
Perrigo Company plc PRGO 0.000 0.000 0.000 0.000 6.165 7.9 18.8 10.3 16.0 19.0 16.7 9.1 13.8 12.6 13.2 11.0 10.8 7.2 6.2 12.1
Primerica Inc. PRI 0.000 0.000 0.000 0.000 5.760 36.0 28.2 11.4 9.4 33.3 9.1 83.3 140.0 400.0 n/a n/a n/a n/a n/a n/a
Prudential Financial Inc. PRU 0.400 0.000 0.000 0.000 29.625 11.1 20.0 7.1 14.8 12.4 25.4 8.1 10.3 26.1 64.3 20.7 -49.6 21.1 21.8 24.8
PS Business Parks Inc PSB 1.16 1.16 1 1 43.250 10.5 11.8 13.3 36.4 10.0 13.6 0.0 0.0 0.0 0.0 0.0 9.3 38.8 0.0 0.0
PSB Holdings Inc. PSBQ 0.155 0.148 0.144 0.138 4.712 12.9 5.2 14.3 2.4 3.8 2.6 13.2 2.7 2.8 2.9 3.0 3.1 3.2 3.3 4.1
Phillips 66 PSX 0.000 0.000 0.000 0.000 17.628 12.9 13.6 11.4 12.4 15.3 42.4 195.0 n/a n/a n/a n/a n/a n/a n/a n/a
Phillips 66 Partners LP PSXP 0.000 0.000 0.000 0.000 13.227 29.0 9.6 21.8 28.4 37.6 621.3 n/a n/a n/a n/a n/a n/a n/a n/a n/a
People's Utah Bancorp PUB 0.000 0.000 0.000 0.000 1.650 19.5 20.6 17.2 141.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Qualcomm Inc. QCOM 0.000 0.000 0.000 0.000 19.495 2.1 8.5 8.2 11.3 15.5 23.8 34.7 15.6 12.8 10.4 8.1 14.8 20.0 32.4 51.1
QNB Corp. QNBC 0.600 0.527 0.446 0.381 19.115 3.1 3.2 3.3 3.4 3.6 3.7 3.8 4.0 4.2 0.0 4.3 4.5 4.8 7.7 8.3
Quaint Oak Bancorp Inc.QNTO 0.000 0.000 0.000 0.000 1.586 30.8 36.8 20.6 14.1 20.0 21.1 22.6 14.8 17.4 15.0 33.3 n/a n/a n/a n/a
Restaurant Brands International
QSR Inc.0.000 0.000 0.000 0.000 5.590 8.3 130.8 25.8 40.9 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
QTS Realty Trust Inc. QTS 0.000 0.000 0.000 0.000 8.600 6.8 5.9 9.3 15.7 9.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Ryder System R 0.600 0.600 0.600 0.600 23.120 3.8 17.8 5.9 9.0 9.9 9.2 8.3 7.1 9.8 6.3 4.3 9.5 16.7 12.5 6.7
Ritchie Brothers Auctioneers
RBAInc. 0.000 0.000 0.000 0.000 7.407 8.6 2.9 3.0 10.0 11.1 6.9 7.4 8.0 6.1 7.9 11.8 13.3 15.4 34.5 56.8
Regal Beloit Corp. RBC 0.480 0.480 0.480 0.480 14.560 7.4 8.0 6.4 4.4 7.1 7.7 5.4 5.7 6.1 3.1 3.2 6.9 7.4 8.0 4.2
Republic Bancorp KY RBCAA 0.172 0.145 0.124 0.097 10.717 9.3 10.3 5.4 5.7 6.1 6.5 6.9 5.5 7.8 8.5 9.3 11.5 17.0 18.5 20.5
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Royal Caribbean CruisesRCL Ltd. 0.520 0.520 0.460 0.360 17.720 15.2 22.5 27.1 25.9 21.4 72.1 45.2 320.0 n/a n/a #### 0.0 0.0 11.1 3.8
Everest Reinsurance Group RE Ltd. 0.320 0.280 0.240 0.240 44.590 8.5 5.0 7.4 17.5 25.0 46.1 14.1 0.0 0.0 0.0 0.0 0.0 220.0 36.4 10.0
Resources Connection Inc. RECN 0.000 0.000 0.000 0.000 3.320 8.0 8.7 9.5 16.7 20.0 15.4 18.2 22.2 125.0 n/a n/a n/a n/a n/a n/a
Regency Centers Corp. REG 2.040 2.000 1.920 1.840 44.113 5.4 5.7 5.0 3.1 3.2 1.6 0.0 0.0 0.0 -12.4 -27.2 9.8 10.9 8.2 3.8
Rexford Industrial Realty REXR
Inc. 0.000 0.000 0.000 0.000 3.660 14.4 7.8 7.4 5.9 6.3 128.6 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Regions Financial Corp. RF 0.932 0.899 0.859 0.794 13.513 40.2 30.2 26.0 13.6 37.5 100.0 100.0 0.0 0.0 -81.8 -82.3 -13.9 2.9 2.9 7.9
Reinsurance Group of America
RGA Inc.0.000 0.000 0.000 0.000 14.290 18.2 20.9 16.7 11.4 11.1 16.7 28.6 40.0 25.0 33.3 300.0 n/a n/a n/a n/a
RGC Resources Inc. RGCO 0.380 0.373 0.367 0.360 9.540 6.5 6.9 7.4 5.2 4.1 2.8 2.9 2.9 3.0 3.1 2.4 2.5 1.7 1.7 0.9
Royal Gold Inc. RGLD 0.075 0.050 0.050 0.000 9.565 6.0 4.2 4.3 4.5 4.8 5.0 33.3 36.4 22.2 12.5 14.3 7.7 18.2 10.0 33.3
Robert Half International RHI
Inc. 0.000 0.000 0.000 0.000 10.140 10.7 16.7 9.1 10.0 11.1 12.5 6.7 7.1 7.7 8.3 9.1 10.0 25.0 14.3 55.6
Ryman Hospitality Properties
RHP Inc. 0.000 0.000 0.200 0.800 20.200 6.0 6.3 6.8 15.7 18.6 43.3 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Raymond James Financial RJF Inc. 0.160 0.160 0.133 0.124 10.271 23.6 25.0 10.0 11.1 12.5 14.3 7.7 0.0 18.2 0.0 0.0 10.0 25.0 50.0 18.5
RLI Corp. RLI 0.168 0.155 0.145 0.135 10.448 4.6 4.8 5.1 5.3 5.6 6.0 6.3 5.9 4.4 7.5 10.4 14.3 16.7 20.0 25.0
RE/MAX Holdings Inc. RMAX 0.000 0.000 0.000 0.000 3.710 5.0 11.1 20.0 20.0 100.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
ResMed Inc. RMD 0.000 0.000 0.000 0.000 8.980 5.6 5.9 7.9 8.6 9.4 26.2 147.1 n/a n/a n/a n/a n/a n/a n/a n/a
RenaissanceRe HoldingsRNR 0.568 0.533 0.500 0.467 19.588 3.0 3.1 3.2 3.3 3.4 3.6 3.7 3.8 4.0 4.2 4.3 4.5 4.8 5.0 11.1
Retail Opportunity Investments
ROIC Corp.
0.000 0.000 0.000 0.000 6.058 1.0 4.0 4.2 5.9 6.3 6.7 13.2 35.9 116.7 n/a n/a n/a n/a n/a n/a
Rockwell Automation Inc.ROK 0.660 0.840 1.020 1.035 35.560 7.8 17.0 6.1 9.7 11.9 14.4 16.8 15.5 21.1 10.3 0.0 0.0 20.2 14.9 27.3
Rollins Inc. ROL 0.018 0.018 0.018 0.018 2.734 12.5 21.7 15.0 25.0 14.3 16.7 12.5 14.3 16.7 28.6 11.1 26.0 19.0 26.0 25.0
Roper Technologies Inc. ROP 0.166 0.150 0.140 0.130 12.213 12.1 17.9 16.7 20.0 25.0 21.2 20.0 25.0 15.8 15.2 13.8 11.5 10.6 11.9 7.1
Ross Stores Inc. ROST 0.024 0.022 0.019 0.017 5.516 13.3 40.6 18.5 14.9 17.5 17.6 21.4 27.3 37.5 45.5 15.8 26.7 25.0 14.3 22.1
RPM International Inc. RPM 0.505 0.500 0.493 0.475 17.183 7.6 7.4 8.4 6.6 7.7 7.1 5.2 3.0 2.4 2.5 4.5 7.7 9.2 7.4 7.0
Reliance Steel & Aluminum RS Co. 0.120 0.120 0.110 0.090 15.810 10.0 11.1 9.1 3.1 14.3 11.1 57.5 66.7 20.0 0.0 0.0 25.0 45.5 15.8 46.2
Republic Services Inc. RSG 0.000 0.000 0.000 0.000 14.025 8.5 8.0 7.0 7.0 7.5 9.8 7.8 9.1 6.5 1.3 8.6 42.9 26.7 16.0 66.7
Raytheon Company RTN 0.201 0.001 0.001 0.001 32.161 8.7 8.8 9.0 9.7 10.6 10.0 11.4 15.9 16.0 18.6 10.5 9.0 6.9 9.3 7.5
Ruth's Hospitality Group RUTH
Inc. 0.000 0.000 0.000 0.000 2.160 18.2 22.2 28.6 16.7 20.0 66.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Riverview Bancorp Inc RVSB 0.000 0.000 0.000 0.000 0.501 30.8 52.9 9.7 100.3 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Saratoga Investment Corp. SAR 0.000 0.000 0.000 0.000 9.020 5.8 8.4 11.8 44.1 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Sandy Spring Bancorp Inc. SASR 0.690 0.607 0.540 0.500 15.287 7.3 5.8 6.1 8.9 18.4 18.8 33.3 41.2 750.0 -89.2 -61.5 4.3 4.5 4.8 7.7
SB Financial Group Inc. SBFG 0.260 0.490 0.440 0.400 4.640 12.5 14.3 16.7 20.0 25.0 33.3 n/a n/a n/a #### 5.9 30.8 23.8 5.0 n/a
Sinclair Broadcast GroupSBGIInc. 0.000 0.000 0.000 0.000 8.305 8.1 2.8 2.1 6.8 4.8 5.0 11.1 12.5 11.6 115.0 -74.2 72.2 50.0 33.3 350.0
Southside Bancshares SBSI 0.133 0.113 0.086 0.082 10.654 2.5 11.4 17.7 9.4 9.8 12.2 9.5 17.1 8.1 29.8 13.2 14.0 12.2 3.7 18.3
Starbucks Corp. SBUX 0.000 0.000 0.000 0.000 7.205 12.9 25.7 23.5 25.0 23.6 23.6 23.6 28.6 55.6 n/a n/a n/a n/a n/a n/a
Charles Schwab CorporationSCHW 0.044 0.044 0.041 0.037 4.344 47.8 43.8 18.5 12.5 0.0 0.0 0.0 0.0 0.0 0.0 9.1 10.0 48.1 51.7 20.3
Service Corp InternationalSCI 0.000 0.000 0.000 0.360 5.085 5.9 17.2 13.7 15.9 29.4 25.9 22.7 15.8 18.8 0.0 0.0 33.3 20.0 33.3 n/a
Stepan Company SCL 0.369 0.354 0.326 0.306 11.450 10.8 10.1 7.0 7.5 5.8 6.2 12.1 9.4 8.2 8.9 5.9 3.0 2.5 2.5 1.6
Steelcase Inc. SCS 0.240 0.440 0.440 0.440 8.205 7.0 6.0 6.3 6.8 6.6 6.4 18.2 50.0 37.5 -33.3 -60.0 3.4 41.5 36.7 25.0
Shoe Carnival Inc. SCVL 0.000 0.000 0.000 0.000 2.040 6.5 6.9 7.4 8.0 4.2 4.3 91.7 n/a n/a n/a n/a n/a n/a n/a n/a
SEI Investments Company SEIC 0.055 0.045 0.037 0.015 5.312 10.0 3.4 11.5 8.3 9.1 25.7 16.7 36.4 15.8 18.8 6.7 15.4 13.0 9.5 10.5
Sound Financial BancorpSFBC Inc. 0.000 0.000 0.000 0.000 2.640 3.7 35.0 33.3 30.4 15.0 33.3 n/a n/a #### -83.3 0.0 n/a n/a n/a n/a
ServisFirst Bancshares Inc.
SFBS 0.000 0.000 0.000 0.000 1.485 57.9 100.0 26.7 30.4 130.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Simmons First National Corp.
SFNC 0.235 0.215 0.195 0.175 7.780 9.6 16.2 4.2 4.4 4.6 4.8 5.1 1.3 0.0 0.0 0.0 8.3 9.1 10.0 7.1
Southwest Georgia Financial
SGBCorp.0.520 0.520 0.520 0.510 8.420 2.1 6.8 4.8 5.0 25.0 60.0 25.0 60.0 0.0 42.9 -87.5 1.8 5.8 0.0 0.0
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Superior Uniform Group SGCInc. 0.270 0.270 0.270 0.270 5.943 2.6 6.8 7.4 7.9 10.5 322.2 -75.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Star Gas Partners LP SGU 0.000 0.000 0.000 0.000 4.013 6.5 6.9 7.5 8.1 8.0 6.2 4.8 0.0 6.9 7.4 n/a n/a n/a n/a n/a
Shore Bancshares, Inc.SHBI 0.400 0.400 0.400 0.360 7.000 31.3 45.5 57.1 250.0 n/a n/a #### -88.9 -62.5 -62.5 0.0 0.0 9.1 10.0 11.1
Shenandoah Telecommunications
SHEN 0.062 0.058 0.000 0.000 3.123 7.4 3.8 4.0 4.2 2.1 30.6 9.1 0.0 0.0 3.1 6.7 11.1 8.0 63.0 7.0
Shell Midstream PartnersSHLX
LP 0.000 0.000 0.000 0.000 5.938 18.3 21.3 21.5 43.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Sherwin-Williams Co. SHW 0.595 0.580 0.540 0.480 35.455 31.4 1.2 1.2 25.4 21.8 10.0 28.2 6.8 1.4 1.4 1.4 11.1 26.0 22.0 20.6
Signet Jewelers Limited SIG 0.586 0.531 0.513 0.080 15.772 4.2 19.3 19.0 19.0 21.7 21.1 23.9 360.0 n/a n/a #### 0.0 22.4 7.0 208.3
Selective Insurance GroupSIGI
Inc. 0.3 0.3 0.295 0.242 10.482 12.2 12.1 8.2 7.0 7.5 1.9 0.0 0.0 0.0 0.0 6.1 11.4 11.4 12.9 12.9
South Jersey Industries SJI 0.375 0.370 0.365 0.360 14.308 2.7 2.7 3.2 5.8 6.3 5.0 9.1 10.2 10.5 13.9 10.2 10.2 8.9 5.9 4.9
J.M. Smucker Co. SJM 0.720 0.640 0.630 0.590 35.700 6.1 6.5 7.7 8.4 7.4 10.9 10.0 8.7 18.7 13.1 8.7 6.8 6.3 4.7 8.2
SJW Corp. SJW 0.460 0.429 0.410 0.400 14.044 7.1 28.7 7.4 3.8 4.0 2.7 2.8 2.9 1.5 3.0 2.5 6.6 6.7 5.6 5.1
Tanger Factory Outlet Centers
SKT 0.612 0.610 0.607 0.604 17.946 1.6 3.0 7.3 15.1 15.9 6.8 6.6 4.6 2.8 1.1 1.8 5.6 5.8 4.9 2.8
SL Green Realty Corp. SLG 1.770 1.550 1.450 1.400 41.640 4.6 4.8 7.6 20.0 20.0 51.5 32.0 150.0 0.0 -57.9 -69.8 12.5 16.7 11.1 8.0
Silgan Holdings Inc. SLGN 0.000 0.000 0.000 0.000 3.906 10.0 11.1 5.9 6.3 6.7 7.1 16.7 9.1 4.8 10.5 11.8 6.3 33.3 20.0 77.8
Southern Missouri BancorpSMBCInc. 0.143 0.125 0.125 0.125 5.448 16.7 14.3 10.5 8.6 6.1 6.5 14.8 12.5 0.0 0.0 9.1 15.8 5.6 0.0 0.0
Scotts Miracle-Gro Company
SMG 0.000 0.000 0.000 0.000 18.910 4.6 4.9 6.2 5.4 3.7 16.4 22.0 13.6 46.7 50.0 0.0 0.0 0.0 100.0 n/a
Summit Financial Group, SMMFInc. 0.188 0.263 0.300 0.120 5.005 11.3 20.5 10.0 25.0 n/a n/a n/a n/a n/a #### -83.3 5.9 6.3 6.7 15.4
Standard Motor ProductsSMPInc. 0.360 0.360 0.360 0.340 9.180 9.5 10.5 11.8 13.3 15.4 18.2 22.2 28.6 40.0 n/a #### 0.0 0.0 0.0 0.0
Snap-on Inc. SNA 0.970 0.960 0.940 0.900 33.740 15.2 15.6 16.1 15.5 18.9 17.1 12.9 7.7 6.6 1.7 0.0 8.1 2.8 8.0 0.0
Synovus Financial SNV 1.762 1.522 1.294 1.053 22.093 27.8 57.9 18.8 20.0 150.0 300.0 0.0 0.0 0.0 -55.6 -93.5 -44.6 5.5 6.3 5.6
SYNNEX Corp. SNX 0.000 0.000 0.000 0.000 5.500 7.1 33.3 23.5 47.8 360.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Southern Company SO 1.355 1.210 0.819 0.819 36.229 3.4 3.5 3.5 3.3 3.4 3.5 3.6 3.7 3.9 4.0 4.2 4.2 3.9 4.1 4.2
Sotherly Hotels Inc. SOHO 0.000 0.000 0.000 0.000 5.070 8.5 14.6 12.3 25.9 41.5 46.4 55.6 350.0 n/a #### -97.1 0.0 0.0 33.3 n/a
Southern Michigan BancorpSOMC Inc. 0.610 0.571 0.000 0.000 11.457 4.7 4.9 17.1 12.9 10.7 14.3 53.1 60.0 0.0 -42.9 -56.3 0.0 6.5 12.7 6.1
Sonoco Products Co. SON 0.830 0.800 0.790 0.750 23.580 4.9 5.2 5.5 6.6 7.9 3.3 3.4 3.5 3.6 2.8 0.9 4.9 6.3 4.3 4.5
Simon Property Group Inc.SPG 2.045 1.956 1.899 1.899 81.067 5.1 10.5 10.0 7.4 21.0 14.3 13.4 24.2 26.9 31.3 -45.0 7.1 10.5 8.6 7.7
S&P Global Inc. SPGI 0.510 0.490 0.470 0.430 20.986 14.0 22.0 13.9 9.1 10.0 7.1 9.8 2.0 6.4 4.4 2.3 7.3 12.9 10.0 10.0
SpartanNash Company SPTN 0.000 0.000 0.000 0.000 5.660 5.6 9.1 10.0 11.1 12.5 37.1 14.8 24.5 22.5 0.0 0.0 0.0 0.0 n/a n/a
Spire Inc. SR 1.340 1.340 1.340 1.340 34.200 5.3 7.1 7.1 6.5 4.5 3.5 2.4 2.5 2.5 2.6 2.7 2.7 2.8 2.9 1.5
1st Source Corp. SRCE 0.298 0.294 0.277 0.240 11.435 14.6 26.3 5.6 7.3 3.9 4.4 3.0 3.1 4.9 3.4 1.7 3.6 4.8 20.0 16.7
Sempra Energy SRE 1.000 1.000 1.140 1.560 40.113 8.3 8.8 8.7 7.4 5.7 4.8 9.2 24.6 17.3 2.6 14.3 8.1 3.4 6.2 12.0
Sprague Resources LP SRLP 0.000 0.000 0.000 0.000 13.340 1.7 9.4 11.1 12.5 22.7 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
South State Corp. SSB 0.519 0.470 0.445 0.429 16.576 21.0 4.5 9.1 23.5 19.5 10.8 7.2 1.5 0.0 0.0 0.0 1.2 3.8 0.0 5.0
Simpsom Manufacturing SSDCo. 0.000 0.000 0.000 0.000 8.075 4.7 10.3 14.7 13.3 13.2 6.0 0.0 5.3 18.8 0.0 0.0 5.3 18.8 60.0 33.3
STAG Industrial Inc. STAG 0.000 0.000 0.000 0.000 10.980 0.7 1.2 0.9 2.3 6.3 9.4 10.4 127.5 n/a n/a n/a n/a n/a n/a n/a
Extended Stay America Inc.
STAY 0.000 0.000 0.000 0.000 4.530 4.6 6.1 10.8 12.1 24.5 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
S&T Bancorp Inc. STBA 0.960 0.900 0.820 0.740 18.610 10.1 20.7 6.5 5.5 7.4 11.5 1.7 0.0 0.0 -34.8 -25.8 3.3 3.4 4.5 4.7
Sturgis Bancorp STBI 0.280 0.260 0.220 0.150 6.200 5.3 18.8 14.3 200.0 55.6 n/a n/a #### -75.0 -69.2 -18.8 0.0 20.0 5.3 5.6
Steris plc STE 0.000 0.000 0.000 0.000 10.680 9.2 10.2 11.3 10.4 9.1 10.0 11.1 12.5 23.1 26.8 46.4 27.3 29.4 41.7 n/a
Steel Dynamics Inc. STLD 0.000 0.000 0.000 0.000 6.975 26.5 18.6 8.5 5.7 15.9 5.8 7.5 6.7 25.0 -14.3 -6.7 25.0 50.0 100.0 -73.3
STORE Capital Corp STOR 0.000 0.000 0.000 0.000 5.764 6.3 6.8 7.3 24.4 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
State Street Corp. STT 0.460 0.390 0.330 0.290 17.760 8.4 14.1 11.4 9.4 14.3 9.8 13.3 63.6 #### -85.2 -71.3 9.3 10.3 11.4 12.9
Constellation Brands Inc.STZ
A 0.000 0.000 0.000 0.000 10.130 9.1 39.8 29.8 62.4 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Service Properties Trust SVC 2.860 2.820 2.770 2.730 49.260 1.9 1.9 2.0 2.0 2.1 3.2 3.8 1.1 0.0 133.8 -75.0 1.7 3.1 1.7 0.3
Stanley Black & Decker SWK 0.990 0.940 0.900 0.870 32.810 4.7 6.6 7.1 5.6 4.9 3.0 10.0 9.8 22.4 3.1 3.2 3.3 3.4 3.5 5.6
Skyworks Solutions Inc. SWKS 0.000 0.000 0.000 0.000 6.450 17.1 16.7 11.1 38.5 122.9 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Schweitzer-Mauduit International
SWM Inc. 0.300 0.300 0.300 0.300 15.410 1.7 2.4 4.3 5.2 5.5 15.9 180.0 50.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Southwest Gas Corp. SWX 0.820 0.820 0.820 0.820 24.630 4.9 6.2 10.3 11.1 10.9 10.9 11.7 9.0 6.8 5.3 5.3 4.7 3.7 0.0 0.0
Standex International Inc.SXI 0.840 0.840 0.810 0.770 13.470 10.8 12.1 13.8 16.0 19.0 23.5 17.2 16.0 19.0 -41.7 -57.1 0.0 0.0 0.0 0.0
Sensient Technologies Corp.
SXT 0.540 0.532 0.532 0.530 17.304 8.9 9.8 10.8 6.7 6.1 7.7 4.6 3.6 6.3 3.9 2.7 8.8 11.5 1.7 0.0
Stock Yards Bancorp Inc.SYBT 0.165 0.145 0.124 0.105 9.724 8.3 20.0 11.6 12.0 9.1 8.6 5.2 6.9 4.3 1.5 0.0 7.9 9.9 28.1 20.5
Stryker Corp. SYK 0.050 0.040 0.033 0.030 14.543 10.6 10.6 11.8 10.1 13.1 15.1 24.7 18.1 20.0 20.0 51.5 50.0 100.0 22.2 28.6
Sysco Corp. SYY 0.360 0.280 0.240 0.200 18.080 8.3 9.1 6.5 3.3 3.4 3.6 3.7 3.8 4.0 4.2 9.1 15.8 11.8 13.3 15.4
AT&T Inc. T 1.063 1.023 1.005 0.965 32.303 2.0 2.0 2.1 2.1 2.2 2.2 2.3 2.3 2.4 2.4 2.5 12.7 6.8 3.1 3.2
Territorial Bancorp TBNK 0.000 0.000 0.000 0.000 6.050 6.0 5.0 11.1 9.1 10.0 15.4 18.2 29.4 41.7 n/a n/a n/a n/a n/a n/a
TriCo Bancshares TCBK 0.400 0.400 0.395 0.350 10.145 17.1 6.1 10.0 15.4 18.2 4.8 16.7 0.0 -10.0 -23.1 0.0 0.0 8.3 6.7 4.7
TCF Financial Corp. TCF 0.960 0.960 0.880 0.840 21.370 11.3 12.7 3.8 6.0 6.4 8.0 6.1 2.5 0.0 -32.2 0.0 3.5 3.6 3.8 0.0
Taubman Centers Inc. TCO 1.025 1.005 0.985 0.965 35.353 3.1 4.8 5.0 5.3 4.6 8.0 8.1 4.8 4.9 1.4 0.0 7.8 19.4 11.2 5.9
Telephone & Data Sys. TDS 0.290 0.270 0.250 0.230 9.157 3.1 3.2 4.7 5.0 5.2 5.1 4.1 4.3 5.6 3.5 4.9 5.1 5.4 5.7 6.1
TE Connectivity Ltd. TEL 0.000 0.000 0.000 0.000 13.280 5.8 9.6 9.0 12.5 14.3 16.7 18.5 15.7 9.4 0.0 10.3 n/a n/a n/a n/a
Terex Corp. TEX 0.000 0.000 0.000 0.000 1.930 10.0 25.0 14.3 16.7 20.0 300.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Truist Financial Corp TFC 1.100 0.980 0.860 0.750 24.725 12.9 20.2 9.6 9.5 10.5 3.3 21.1 18.8 6.7 -51.6 -33.3 5.7 10.0 9.6 9.0
TFS Financial CorporationTFSL 0.000 0.000 0.000 0.000 4.020 23.8 42.4 31.1 32.4 142.9 n/a n/a n/a #### -50.0 40.0 n/a n/a n/a n/a
Tallgrass Energy LP TGE 0.000 0.000 0.000 0.000 6.373 14.9 47.5 41.8 310.4 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Target Corp. TGT 0.240 0.220 0.210 0.200 22.790 3.2 3.3 5.2 7.4 13.7 20.3 19.7 20.0 31.0 27.3 10.0 15.4 18.2 22.2 20.0
First Financial Corp. THFF 0.600 0.560 0.510 0.195 17.275 1.0 2.0 1.0 1.0 1.0 1.0 2.1 1.1 2.2 1.1 2.3 2.3 2.4 5.0 6.7
Hanover Insurance Group THG(The) 0.000 0.250 0.250 0.250 19.415 10.4 8.8 8.5 11.2 11.2 11.8 10.6 9.3 12.5 33.3 66.7 12.5 33.3 20.0 n/a
Thor Industries Inc. THO 0.020 0.020 0.020 0.020 11.380 4.7 10.3 7.9 13.5 15.6 24.7 22.2 40.0 45.2 10.7 0.0 0.0 7.7 85.7 33.3
Thomasville Bancshares THVB
Inc. 0.100 0.088 0.075 0.000 9.215 7.7 30.0 17.6 13.3 15.4 8.3 9.1 69.2 8.3 9.1 10.0 25.0 33.3 20.0 8.7
Tiffany & Company TIF 0.160 0.160 0.140 0.105 18.845 7.6 10.5 11.8 9.0 8.3 9.1 8.2 13.0 24.1 27.9 6.3 36.2 30.6 28.6 27.3
TJX Companies Inc. TJX 0.028 0.022 0.019 0.017 4.869 19.4 23.8 21.0 23.0 20.1 21.8 25.0 22.2 26.3 21.3 11.9 23.5 25.9 20.0 32.4
Timken Company (The) TKR 0.52 0.67 0.72 0 15.500 0.9 3.7 2.9 1.0 3.0 8.7 0.0 17.9 47.2 17.8 -35.7 6.1 6.5 3.3 15.4
Tompkins Financial Corp.TMP 0.792 0.752 0.738 0.704 26.900 4.1 6.6 2.8 4.1 4.9 5.2 5.5 4.3 5.3 7.5 3.0 6.5 8.3 7.4 7.5
Tennant Company TNC 0.410 0.400 0.390 0.380 12.500 3.5 1.2 3.7 1.3 2.6 8.3 4.3 1.5 15.3 11.3 1.9 8.3 4.3 4.5 2.3
Towne Bank TOWN 0.000 0.000 0.000 0.000 6.170 13.3 11.1 8.0 8.7 9.5 13.5 17.3 1.5 0.0 0.0 0.0 0.0 -39.6 319.9 95.0
Texas Pacific Land TrustTPL 0.080 0.080 0.080 0.080 6.180 66.7 200.0 12.9 6.9 7.4 8.0 8.7 9.5 5.0 5.3 5.6 12.5 23.1 18.2 10.0
Tootsie Roll Industries TR 0.188 0.182 0.177 0.172 5.128 3.0 2.3 4.5 9.0 12.0 3.0 3.0 2.3 3.0 3.0 3.0 3.0 3.0 3.0 3.0
Thomson Reuters Corp. TRI 0.705 0.700 0.685 0.658 22.283 4.0 0.4 1.5 1.5 1.5 1.5 1.6 3.2 6.9 3.6 3.7 10.2 11.4 11.4 4.6
Trinity Industries Inc. TRN 0.120 0.240 0.240 0.230 5.245 23.1 8.3 9.1 4.8 20.0 40.0 25.0 17.6 6.3 0.0 6.7 20.0 17.2 28.0 4.2
Terreno Realty Corp. TRNO 0.000 0.000 0.000 0.000 5.890 10.0 9.8 7.9 18.8 18.5 8.0 13.6 46.7 n/a n/a n/a n/a n/a n/a n/a
T. Rowe Price Group TROW 0.320 0.300 0.260 0.200 24.780 8.6 22.8 5.6 3.8 18.2 15.8 11.8 9.7 14.8 8.0 4.2 41.2 21.4 21.7 21.1
Truxton Corp. TRUX 0.000 0.000 0.000 0.000 4.500 13.6 10.0 11.1 20.0 50.0 300.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Travelers Companies TRV 1.160 1.120 1.080 1.040 34.890 6.6 7.1 8.0 10.1 10.7 9.7 9.5 12.6 12.8 14.6 3.4 5.3 11.9 11.0 4.6
Timberland Bancorp Inc.TSBK 0.230 0.210 0.185 0.145 5.570 15.4 18.2 29.4 30.8 44.4 50.0 n/a n/a #### -96.8 -29.5 15.8 11.8 9.7 6.9
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Tractor Supply CompanyTSCO 0.000 0.000 0.000 0.000 7.105 13.3 14.3 14.1 21.1 24.6 24.5 36.1 67.4 53.6 n/a n/a n/a n/a n/a n/a
Tyson Foods Inc. TSN 0.160 0.160 0.160 0.130 7.615 21.2 30.8 62.5 33.3 38.5 44.4 32.4 6.3 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Toro Company TTC 0.030 0.030 0.030 0.030 5.530 12.5 14.3 16.7 20.0 25.0 42.9 27.3 10.0 11.1 20.0 0.0 25.0 33.3 50.0 100.0
TTEC Holdings Inc. TTEC 0.000 0.000 0.000 0.000 2.385 12.7 17.0 22.1 6.9 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Tetra Tech Inc. TTEK 0.000 0.000 0.000 0.000 2.290 23.9 17.9 11.4 12.9 47.6 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Texas Instruments TXN 0.085 0.085 0.085 0.085 16.979 22.1 24.1 29.3 17.1 12.9 15.9 50.7 26.8 14.3 8.9 9.8 36.7 130.8 23.8 18.0
Texas Roadhouse Inc. TXRH 0.000 0.000 0.000 0.000 6.220 20.0 19.0 13.5 8.8 13.3 25.0 33.3 12.5 n/a n/a n/a n/a n/a n/a n/a
Trinity Bank NA TYBT 0.000 0.000 0.000 0.000 6.610 9.9 11.0 11.1 12.5 23.1 22.6 32.5 n/a n/a n/a n/a n/a n/a n/a n/a
Calvin B. Taylor Bankshares
TYCB Inc. 0.400 0.370 0.340 0.300 16.210 1.0 1.0 1.0 1.0 1.1 1.1 1.1 1.1 1.1 1.1 5.9 6.3 6.7 7.1 7.7
Urstadt Biddle PropertiesUBA 0.820 0.800 0.780 0.760 19.720 1.9 1.9 1.9 2.0 1.0 1.0 1.0 1.0 1.0 1.0 1.1 3.3 2.2 2.3 2.3
United Bancorp Inc. UBCP 0.520 0.520 0.520 0.520 10.255 4.8 13.0 9.5 13.5 12.1 13.8 -31.0 -25.0 0.0 0.0 3.7 3.8 0.0 0.0 0.0
Urstadt Biddle PropertiesUBPInc. 0.740 0.720 0.700 0.680 17.720 2.1 2.1 2.2 2.2 0.0 0.0 0.0 1.1 1.1 1.1 1.2 3.6 2.5 1.3 2.6
United Bankshares Inc. UBSI 0.930 0.890 0.840 0.810 23.850 0.0 3.0 0.0 3.1 0.0 2.4 0.8 3.3 0.0 3.4 0.0 3.6 3.7 3.8 3.0
United Community BanksUCBI Inc. 0.167 0.000 0.000 0.000 3.878 26.9 44.4 28.6 33.3 250.0 n/a n/a n/a n/a n/a #### -22.9 12.9 14.8 17.4
UDR Inc. UDR 1.103 1.078 1.068 1.057 23.034 5.7 4.3 5.4 6.4 7.6 9.7 5.7 13.6 6.2 -24.9 -26.9 1.3 5.3 3.8 2.6
United Fire Group Inc. UFCS 0.720 0.720 0.700 0.680 15.800 7.4 11.0 12.4 12.8 10.3 13.0 15.0 0.0 0.0 0.0 0.0 8.1 12.1 3.1 -40.0
Universal Forest ProductsUFPI
Inc. 0.030 0.028 0.027 0.013 2.783 11.1 12.5 10.3 6.1 34.4 48.8 2.5 0.0 0.0 53.8 116.7 4.3 4.5 4.8 5.0
Domtar Corp. UFS 0.000 0.000 0.000 0.000 12.610 2.3 4.8 1.8 3.5 21.2 23.8 23.5 30.8 73.3 n/a n/a n/a n/a n/a n/a
UGI Corp. UGI 0.361 0.350 0.339 0.327 13.042 12.3 4.6 4.8 4.7 10.1 9.5 4.2 3.9 13.3 14.6 4.0 4.5 4.7 6.2 8.8
Universal Health Realty Trust
UHT 1.920 1.880 1.840 1.810 48.383 1.5 1.3 1.2 2.1 1.6 1.2 1.6 1.0 0.4 1.5 1.7 1.7 1.8 3.9 8.7
UMB Financial Corp. UMBF 0.395 0.381 0.373 0.346 14.530 4.8 12.3 4.1 4.3 4.4 4.7 4.9 5.1 5.4 5.7 11.1 14.5 7.8 15.9 4.8
Umpqua Holdings Corp. UMPQ 0.160 0.160 0.160 0.160 8.910 6.3 19.7 3.1 4.9 1.7 11.1 68.8 45.5 10.0 0.0 -73.7 4.1 35.2 107.7 30.0
Union Bankshares Inc. UNB 0.760 0.707 0.173 0.000 19.510 3.3 3.4 4.5 2.8 3.8 3.0 1.0 0.0 0.0 -2.9 -8.0 0.0 5.7 8.2 8.9
UnitedHealth Group Inc. UNH 0.008 0.008 0.004 0.010 20.016 44.3 20.0 21.1 26.7 33.5 33.5 31.6 30.6 51.2 #### 0.0 0.0 0.0 100.0 0.0
Unum Group UNM 0.590 0.590 0.590 0.590 11.333 11.2 14.0 11.7 10.0 12.9 12.7 17.0 19.0 12.9 11.1 5.0 0.0 0.0 0.0 0.0
Union Pacific UNP 0.200 0.200 0.200 0.200 23.063 20.9 23.4 10.0 2.5 21.9 22.0 18.9 29.0 60.8 11.1 16.1 37.8 12.5 0.0 0.0
Unity Bancorp Inc. UNTY 0.000 0.000 0.000 0.230 2.400 14.8 17.4 27.8 28.6 40.0 233.3 n/a n/a n/a n/a #### -25.0 0.0 11.1 20.0
United Parcel Service Inc.
UPS 0.760 0.760 0.680 0.300 40.900 5.5 9.6 6.4 6.8 9.0 8.1 8.8 9.6 10.6 4.4 0.0 7.1 10.5 15.2 17.9
U.S. Bancorp USB 0.763 0.733 0.664 0.601 20.045 20.5 11.4 9.1 4.5 5.3 11.8 19.7 67.1 112.5 -65.2 -66.2 6.3 21.2 10.0 25.0
USD Partners LP USDP 0.000 0.000 0.000 0.000 6.579 2.8 4.8 8.4 11.8 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
US Physical Therapy Inc.USPH 0.000 0.000 0.000 0.000 5.650 23.9 19.5 16.7 10.0 25.0 20.0 11.1 12.5 n/a n/a n/a n/a n/a n/a n/a
Unitil Corp. UTL 1.380 1.380 1.380 1.380 29.280 1.4 1.4 1.4 1.4 1.4 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Utah Medical Products Inc.
UTMD 0.000 0.000 0.000 0.000 14.725 1.9 1.9 1.4 2.0 2.0 2.0 2.1 2.1 0.5 1.6 2.2 2.3 13.5 23.8 40.0
United Technologies UTX 0.490 0.450 0.413 0.370 32.755 3.7 4.2 3.8 2.3 8.5 7.5 8.1 8.8 9.7 10.4 14.5 17.0 12.2 16.5 25.7
Universal Corp. UVV 1.360 1.280 1.240 1.200 38.660 16.2 20.4 1.9 1.9 2.0 2.0 2.0 2.1 2.1 2.2 2.2 2.3 2.3 2.4 7.7
Visa Inc. V 0.000 0.000 0.000 0.000 5.181 19.3 27.5 17.9 17.0 19.0 20.9 40.4 47.8 27.6 19.3 109.5 n/a n/a n/a n/a
Marriot Vacations Worldwide
VACCorp.0.000 0.000 0.000 0.000 7.000 12.5 14.3 16.7 60.0 200.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Value Line Inc. VALU 1.000 1.000 1.000 1.000 18.290 5.3 5.6 6.0 8.1 3.3 0.0 0.0 -25.0 100.0 -63.6 -21.4 16.7 14.3 5.0 0.0
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
VF Corp. VFC 0.228 0.219 0.209 0.200 15.479 6.8 9.9 12.4 15.0 20.1 21.0 20.8 16.1 7.4 2.5 1.7 4.5 14.9 76.4 4.8
Vector Group Ltd. VGR 0.707 0.548 0.522 0.257 21.066 3.9 2.3 8.8 1.3 5.0 5.0 5.0 5.0 5.0 5.0 5.0 5.0 5.0 5.0 5.0
Valero Energy Corp. VLO 0.091 0.078 0.073 0.073 19.134 12.5 14.3 16.7 41.2 61.9 26.1 40.2 116.7 50.0 -66.7 5.3 18.7 60.0 57.9 31.0
Vulcan Materials VMC 0.940 0.900 0.840 0.780 20.020 10.7 12.0 25.0 100.0 81.8 450.0 0.0 -94.7 -24.0 -32.4 -24.5 6.5 24.3 27.6 11.5
VSE Corp. VSEC 0.040 0.040 0.039 0.035 2.704 13.3 15.4 13.0 9.5 10.5 11.8 13.3 15.4 18.2 15.8 11.8 13.3 15.4 18.2 22.2
Ventas Inc. VTR 0.827 0.801 0.792 0.339 38.906 0.3 1.4 5.1 4.6 9.9 8.4 10.3 7.8 7.5 4.4 0.0 7.9 20.3 9.7 10.8
Verizon CommunicationsVZ 1.540 1.540 1.540 1.540 39.420 2.1 2.2 2.2 2.6 3.5 3.1 3.0 2.7 2.6 3.1 6.0 6.4 1.5 1.3 3.9
Westamerica Bancorp WABC 0.900 0.820 0.740 0.660 27.170 1.9 1.9 0.6 2.0 0.7 2.0 0.7 2.1 0.7 2.1 1.4 2.2 4.6 6.6 10.9
Washington Federal Inc.WAFD 0.673 0.641 0.609 0.558 12.128 17.1 16.7 7.1 7.7 23.8 16.7 12.5 33.3 20.0 0.0 -76.2 1.2 2.5 4.8 3.7
Washington Trust Bancorp WASH
Inc. 0.550 0.510 0.470 0.430 19.920 16.7 9.1 5.5 9.0 14.5 17.0 8.7 5.7 3.6 0.0 2.4 3.8 5.3 5.6 6.0
Walgreens Boots AllianceWBA
Inc. 0.146 0.141 0.136 0.131 15.488 6.8 8.4 5.4 5.4 6.9 10.6 18.0 25.0 28.0 25.0 20.5 20.3 21.1 21.3 22.9
Webster Financial Corp. WBS 0.740 0.670 0.620 0.470 16.200 22.4 21.4 5.1 10.1 18.7 36.4 57.1 118.8 300.0 0.0 -96.7 2.6 10.4 8.2 8.9
Waste Connections Inc. WCN 0.000 0.000 0.000 0.000 3.612 14.7 16.0 22.0 15.0 12.6 14.5 12.2 17.5 318.2 n/a n/a n/a n/a n/a n/a
WD-40 Company WDFC 0.940 1.130 1.280 1.280 26.590 13.0 10.2 16.7 10.5 11.8 9.7 6.9 7.4 5.9 2.0 0.0 0.0 13.6 2.3 7.5
Woodlands Financial Services
WDFNCo. 0.000 0.000 0.000 0.000 8.825 8.5 14.6 2.5 4.6 0.7 2.0 13.7 14.9 14.0 0.0 0.0 100.0 n/a n/a n/a
Wellesley Bancorp Inc. WEBK 0.000 0.000 0.000 0.000 0.970 9.3 13.2 26.7 36.4 57.1 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
WEC Energy Group Inc. WEC 0.400 0.400 0.685 0.780 22.113 6.8 6.3 5.1 13.6 11.7 8.0 20.4 15.4 30.0 18.5 25.0 8.0 8.7 4.5 6.0
Wendy's Company WEN 0.000 0.000 0.000 0.000 3.775 23.5 21.4 14.3 8.9 9.8 13.9 80.0 25.0 23.1 8.3 -76.5 -20.3 0.0 10.3 11.5
Werner Enterprises, Inc. WERN 0.085 0.100 0.100 0.100 3.900 12.5 23.1 8.3 14.3 5.0 0.0 0.0 0.0 0.0 0.0 0.0 5.3 11.8 13.3 25.0
Western Midstream Partners
WESLP 0.000 0.000 0.000 0.000 11.329 6.8 13.7 18.1 22.0 34.3 153.2 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Weyco Group Inc. WEYS 0.167 0.153 0.140 0.127 10.747 4.4 3.4 4.8 5.1 5.3 7.1 6.1 3.1 3.2 6.9 16.0 25.0 17.6 36.0 19.0
Wells Fargo & Co. WFC 0.550 0.500 0.450 0.393 20.773 17.1 6.5 1.7 2.7 9.3 17.4 30.7 83.3 140.0 -59.2 -62.3 10.2 9.3 8.0 7.5
Whirlpool Corp. WHR 1.360 1.360 1.360 1.360 48.970 4.4 5.8 10.3 13.0 20.0 21.1 18.8 3.6 12.2 0.0 0.0 0.0 0.0 0.0 0.0
Winmark Corp. WINA 0.000 0.000 0.000 0.000 3.270 60.7 30.2 16.2 37.0 17.4 21.1 26.7 36.4 83.3 n/a n/a n/a n/a n/a n/a
Westlake Chemical Corp.W LK 0.000 0.000 0.000 0.000 6.126 11.4 14.8 7.7 7.4 19.1 41.1 57.9 90.3 13.4 10.0 7.3 13.9 33.3 39.2 385.0
Westlake Chemical Partners
WLKP LP 0.000 0.000 0.000 0.000 7.459 11.6 12.0 12.0 12.0 573.9 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Willis Towers Watson plcWLTW 0.000 0.000 0.000 0.000 21.290 9.4 12.6 18.3 42.3 4.2 6.3 3.7 2.9 0.0 0.0 1.0 4.6 7.1 10.5 18.9
Waste Management WM 0.010 0.010 0.010 0.010 21.470 10.2 9.4 3.7 6.5 2.7 2.7 2.8 4.4 7.9 8.6 7.4 12.5 9.1 10.0 6.7
William Penn Bancorp Inc.WMPN 0.000 0.000 0.000 0.000 2.440 25.0 3.2 10.7 3.7 3.8 4.0 25.0 33.3 n/a n/a n/a n/a n/a n/a n/a
Advanced Drainage SystemsWMSInc. 0.000 0.000 0.000 0.000 1.380 12.9 14.8 22.7 15.8 375.0 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Wal-Mart Inc. WMT 0.295 0.270 0.230 0.200 23.870 1.9 2.0 2.0 2.1 2.1 5.7 16.1 11.4 18.4 11.8 13.1 12.7 26.8 12.5 20.8
Worthington Industries Inc.
WOR 0.640 0.640 0.630 0.590 13.650 2.3 7.3 5.1 5.4 12.1 17.9 12.0 13.6 10.0 -14.9 -30.9 0.0 0.0 0.0 6.3
W.P. Carey Inc. WPC 1.714 1.696 1.685 1.665 52.897 1.5 1.2 2.0 3.0 5.9 13.7 35.6 10.0 5.5 1.6 2.6 4.2 2.6 1.8 1.8
W.R. Berkley Corp. WRB 0.070 0.068 0.068 0.068 4.071 9.3 7.3 7.8 8.5 9.3 13.2 11.8 13.3 11.1 12.5 4.3 15.0 25.0 20.0 7.1
WestRock Company WRK 0.137 0.135 0.135 0.135 11.812 4.9 7.1 14.3 13.8 95.2 21.3 42.4 3.1 23.1 44.4 12.5 0.0 11.1 0.0 4.3
WesBanco Inc. WSBC 0.930 0.915 0.890 0.870 19.510 8.0 10.8 7.4 4.4 5.8 13.2 11.8 13.3 7.1 -42.9 -12.1 2.3 3.3 2.4 4.0
WSFS Financial Corp. WSFS 0.063 0.053 0.050 0.040 3.430 11.9 40.0 20.0 19.0 23.5 6.3 0.0 0.0 0.0 0.0 14.3 10.5 22.6 14.8 17.4
Williams-Sonoma Inc. WSM 0.000 0.000 0.000 0.000 14.170 11.3 9.1 5.5 5.8 6.2 13.0 30.7 33.3 20.0 14.6 1.1 6.7 48.3 n/a n/a
Historical Information Percentage Increase by Year
year 5
but
oraccelerated;
more straightincluded
years ofnext
higher
year
dividends
(column on left) 20 yrs 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Company Ticker '99-'19 vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs. vs.
Name Symbol 2002 2001 2000 1999 RegDivs 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Watsco Inc. WSO 0.115 0.100 0.100 0.100 40.695 14.3 21.7 21.1 35.7 40.0 73.9 -53.6 11.2 5.2 12.2 8.0 33.6 37.9 53.2 63.2
West Pharmaceutical Services
WST 0.190 0.183 0.173 0.163 6.928 7.0 7.5 8.2 8.9 9.8 6.5 5.5 5.8 6.2 6.6 7.0 7.5 8.2 8.9 5.9
West Bancorp Inc. WTBA 0.600 0.143 0.000 0.000 9.777 6.4 9.9 6.0 8.1 26.5 16.7 16.7 63.6 340.0 -44.4 -85.9 0.0 0.0 0.0 2.4
W.T.B. Financial Corp. WTBFA 0.000 0.000 0.000 0.000 25.080 52.2 36.9 12.0 10.3 13.3 50.0 300.0 n/a n/a n/a n/a n/a n/a n/a n/a
Wintrust Financial Corp. WTFC 0.120 0.093 0.050 0.000 6.453 31.6 35.7 16.7 9.1 10.0 122.2 0.0 0.0 0.0 -33.3 -25.0 12.5 14.3 16.7 20.0
Essential Utilities Inc. WTRG 0.258 0.242 0.225 0.204 10.105 6.9 7.1 7.2 7.7 8.2 8.6 9.0 6.3 6.8 7.3 7.8 6.3 8.2 11.1 8.7
Watts Water Technologies WTSInc. 0.240 0.240 0.268 0.352 9.820 9.8 9.3 5.6 7.6 13.8 16.0 13.6 0.0 0.0 0.0 0.0 10.0 11.1 12.5 14.3
Western Union CompanyWU 0.000 0.000 0.000 0.000 5.655 5.3 8.6 9.4 3.2 24.0 0.0 17.6 37.1 24.0 316.7 50.0 0.0 300.0 n/a n/a
Woodward Inc. WWD 0.155 0.155 0.155 0.155 6.000 14.0 14.0 13.6 10.0 25.0 0.0 0.0 14.3 16.7 0.0 14.3 -4.5 32.0 -9.1 14.6
Weyerhaeuser CompanyWY 0.589 0.589 0.589 0.589 16.562 3.0 5.6 0.8 3.3 17.6 25.9 30.6 3.3 470.0 -52.4 -75.0 0.0 9.1 15.8 18.8
Wyndham Destinations Inc.WYND 0.000 0.000 0.000 0.000 14.650 -4.8 -18.5 16.0 19.0 20.0 20.7 26.1 53.3 25.0 200.0 0.0 100.0 n/a n/a n/a
Xcel Energy XEL 1.313 1.500 1.311 1.440 24.103 6.3 5.6 6.0 6.3 6.8 7.3 3.8 3.4 3.0 3.1 3.2 3.3 3.4 3.6 7.0
Xilinx Inc. XLNX 0.000 0.000 0.000 0.000 13.390 2.8 3.6 6.2 6.6 13.0 11.3 14.1 16.4 14.1 10.3 7.4 20.0 32.4 30.8 73.3
ExxonMobil Corp. XOM 0.920 0.910 0.880 0.835 39.095 6.2 5.6 2.7 3.5 6.7 9.8 12.8 17.8 6.3 4.8 7.1 13.1 7.0 12.3 7.5
Dentsply Sirona Inc. XRAY 0.207 0.275 0.250 0.225 5.153 7.1 2.9 11.5 7.5 8.6 7.7 10.2 10.0 0.0 0.0 11.1 12.5 -34.7 2.1 14.3
Xylem Inc. XYL 0.000 0.000 0.000 0.000 5.184 14.3 16.7 16.2 10.0 10.0 10.3 14.9 300.0 n/a n/a n/a n/a n/a n/a n/a
York Water Company YORW 0.347 0.333 0.320 0.307 10.294 4.0 4.0 3.0 4.0 4.5 3.5 3.5 2.0 2.3 1.6 4.1 2.5 5.4 7.7 7.6
Zions Bancorp Inc. ZION 0.800 0.800 0.745 0.575 15.190 23.1 136.4 57.1 27.3 37.5 23.1 225.0 0.0 0.0 -60.0 -93.8 -4.2 14.3 2.1 14.3
Zoetis Inc. ZTS 0.000 0.000 0.000 0.000 2.710 30.2 20.0 10.5 14.5 15.3 121.5 n/a n/a n/a n/a n/a n/a n/a n/a n/a
Historical Information
Streak-length corrections
Company Ticker Old Date New
Name Symbol Yrs Changed Yrs Source, *
Aaron's Inc. AAN 7 11/9/11 9 website
Accenture plc ACN 6 7/1/12 7 research
Altria Group MO 45 3/31/14 44 press release
Atmos Energy ATO 25 2/3/13 29 Annual Report
Best Buy Corp. BBY 15 10/13/17 14 website
Bowl America Class A BWL.A 39 6/26/12 40 Fiscal Year streak *
Cardinal Health Inc. CAH 23 5/3/12 16 research
Chesapeake Financial SharesCPKF 24 8/4/16 25 press release, website
Chubb Corp. CB 49 3/3/14 32 press release *
Clarcor Inc. CLC 26 5/10/10 45 website *
Clarcor Inc. CLC 48 10/1/13 30 press release/website *
Canadian National RailwayCNI 21 1/31/19 24 website
Computer Services Inc. CSVI 25 4/21/14 42 press release
Eagle Financial Services EFSI 7 10/16/11 24 website
Enterprise Bancorp Inc. EBTC 8 6/12/12 18 website
Farmers & Merchants BancorpFMCB 17 7/9/15 50 press release
First Financial Corp. THFF 25 5/21/14 26 press release
First Financial Corp. THFF 27 5/29/16 28 press release
General Dynamics GD 17 8/3/10 19 Yahoo history
Gorman-Rupp Company GRC 35 5/10/10 37 press release
H.J. Heinz Co. HNZ 7 8/23/11 8 website *
Haverty Furniture CompaniesHVTInc. 7 3/1/18 9 research
HDFC Bank Limited HDB 11 5/20/15 14 research
Health Care REIT HCN 7 6/4/14 11 press release, now Welltower Inc. (see below)
Hingham Institution for Savings
HIFS 17 6/14/12 18 research
Hingham Institution for Savings
HIFS 21 11/26/14 7 exclude "regular" Special dividends
Illinois Tool Works ITW 49 4/17/13 38 Annual Report
J.M. Smucker Co. SJM 13 8/21/12 15 research
Jack Henry & Associates JKHY 24 2/16/16 26 Fiscal Year streak
Landauer Inc. LDR 10 5/15/13 9 Annual Report *
Marketing Alliance Inc. MAAL 10 11/13/14 13 website *
McDonald's Corp. MCD 37 9/18/13 38 1976=Year 1
MGE Energy MGEE 37 12/20/13 38 press release
Microsoft Corp. MSFT 8 9/23/12 10 Fiscal Year streak
Microsoft Corp. MSFT 12 4/20/15 12 Fiscal Year streak
Nike Inc. NKE 11 11/21/13 12 press release
Parker-Hannifin Corp. PH 58 4/22/15 59 Fiscal Year streak
People's United Financial PBCT 18 4/22/11 19 website
PSB Holdings Inc. PSBQ 9 6/24/13 20 press release
Sheanandoah Telecommunications
SHEN 10 10/22/10 14 website *
Sonoco Products Co. SON 29 4/18/12 30 press release
Southern Company SO 13 2/10/15 14 Adjust for 2001 Mirant spin-off
T. Rowe Price TROW 28 2/19/15 29 press release
Telefonica S.A. TEF 5 1/10/11 8 Yahoo history *
Texas Pacific Land Trust TPL 9 12/6/13 10 press release
Thomasville Bancshares THVB 9 6/15/12 13 research
Thomasville Bancshares THVB 15 5/23/14 13 press release
Travelers Companies TRV 23 8/22/10 6 Merged into St. Paul Companies
United Technologies UTX 18 6/14/12 19 research
Universal Health Realty Trust
UHT 24 6/8/12 26 research
Valspar Corp. VAL 30 11/22/11 33 press release
Wal-Mart Stores WMT 40 2/20/14 41 press release
* Subsequently deleted; see Deletions table above
Name/Symbol changes
Old Old Date New New
Company Symbol * Changed Symbol Company
Access Midstream PartnersACMPLP * 2/2/15 WPZ Williams Partners LP new
ACE Limited ACE 1/14/16 CB Chubb Limited
Torchmark Corp. TMK 8/8/19 GL Global Life Inc
Chemical Financial Corp. CHFC 8/1/19 TCF TCF Financial Corp.
AGL Resources AGL * 12/16/11 GAS AGL Resources
Arlantic Tele Network Inc. ATNI 8/30/16 ATNI ATN International Inc.
Ashland Inc. ASH 10/28/16 ASH Ashland Global Holdings Inc.
Avago Technologies Ltd. AVGO 1/29/16 AVGO Broadcom Limited
BB&T Corp BBT 12/9/19 TFC Truist Financial Corp
Bank of Utica BKUT 6/20/15 BKUTKBank of Utica
Bowl America Class A BWL-A * 3/14/12 BWL.A Bowl America Class A
Cantel Medical Corp. CMN 12/5/16 CMD Cantel Medical Corp.
CenturyTel Inc. CTL * 7/1/09 CTL CenturyLink Inc.
Coca-Cola Enterprises Inc.CCE * 6/1/16 CCE Coca-Cola European Partners plc
Colony Financial Inc. CLNY * 5/8/15 CLNY Colony Capital Inc.
Culp Inc. CFI 7/25/17 CULP Culp Inc.
CVS Caremark CVS 9/9/14 CVS CVS Health Corp.
DeVry Inc. DV * 11/7/14 DV DeVry Education Group Inc.
Dominion Resources Inc. D 5/10/17 D Dominion Energy Inc.
Exterran Partners LP EXLP * 11/4/15 APLP Archrock Partners LP
FPL Group Inc. FPL 6/23/10 NEE NextEra Energy Inc.
G&K Services Inc. GKSR * 12/24/12 GK G&K Services Inc.
GATX Corp. GMT 7/1/16 GATX GATX Corp.
Great Plains Energy GXP 6/5/18 EVRG Evergy Inc
Greif Inc. B GRF-B * 3/14/12 GEF.B Greif Inc. B
Health Care REIT HCN 10/14/15 HCN Welltower Inc.
HealthSouth Corp. HLS 1/2/18 EHC Encompass Health Corp.
Hewlett-Packard CompanyHPQ 11/2/15 HPQ HP Inc.
Hospitality Properties TrustHPT 9/20/19 SVC Service Properties Trust
Hickory Tech Corp. HTCO * 5/8/14 ENVE Enventis Corp.
Hubbell Inc. HUB.B 3/12/12 HUB-A Hubbell Inc.
Hubbell Inc. HUB-B 12/30/15 HUBB Hubbell Inc.
Johnson Controls Inc. JCI 8/31/16 JCI Johnson Controls International plc
L-3 Communications Holdings LLLInc. 2/2/17 LLL L3 Technologies Inc.
Laclede Group Inc. LG 5/2/16 SR Spire Inc.
McGraw-Hill Companies MHP 5/14/13 MHFI McGraw-Hill Financial
McGraw-Hill Financial MHFI 5/2/16 SPGI S&P Global Inc.
Medallion Financial Corp. TAXI * 5/23/16 MFIN Medallion Financial Corp.
Medtronic Inc. MDT 1/28/15 MDT Medtronic plc
Mine Safety Appliances MSA 4/7/14 MSA MSA Safety Inc.
Monroe Muffler Brake Inc. MNRO 4/19/18 MNRO Monroe Inc.
New Media NEWM 11/19/19 GCI Gannett Co., Inc
National Research Inc. NRCI 5/29/13 NRCIB National Research B
Newell Rubbermaid Inc. NWL 8/11/16 NWL Newell Brands Inc.
Northeast Utilities NU 2/19/15 ES Eversource Energy
NRG Yield Inc NYLD 8/31/18 CWEN Clearway Energy Inc
Pentair Inc. PNR 11/5/12 PNR Pentair Ltd.
Prosperity Bancshares PRSP 12/28/11 PB Prosperity Bancshares
Praxair Inc. PX 10/31/18 LIN Linde Plc
Questar Corp. STR * 6/29/10 STR Questar Resources
RockTenn Co. RKT 7/7/15 WRK WestRock Co.
Roper Industries Inc. TOP 12/23/15 ROP Roper Technologies Inc.
S.Y. Bancorp SYBT 11/19/14 SYBT Stock Yards Bancorp Inc.
Shire plc SHPGY 7/11/12 SHPG Shire plc
Steris Corp. STE 8/11/16 STE Steris plc
Sunoco Logistics Partners LP
SXL 5/2/17 ETP Energy Transfer Partners LP
TC Pipelines LP TCLP 12/16/11 TCP TC Pipelines LP
Techne Corp. TECH * 10/29/15 TECH Bio-Techne Corp.
Tesoro Corp. TSO 8/1/17 ANDV Andeavor
Tesoro Logistics LP TLLP 8/14/17 ANDX Andeavor Logistics LP
UniSource Energy Corp. UNS * 8/3/12 UNS UNS Energy Corp.
W.P. Carey & Co. LLC WPC 9/14/12 WPC W.P. Carey Inc.
Walgreen Company WAG 1/1/15 WBA Walgeens Boots Alliance
Wal-Mart Stores Inc. WMT 2/1/18 WMT Wal-Mart Inc.
Welltower Inc. HCN 3/1/18 WELL Welltower Inc.
Westar Energy WR 6/5/18 EVRG Evergy Inc
Wisconsin Energy WEC 5/1/17 WEC WEC Energy Group Inc.
Western Gas Equity Partners
WGPLP 3/31/19 WES Western Midstream Partners LP
WPP plc WPPGY 12/1/17 WPP WPP plc
Aqua America WTR 2/3/20 WTRG Essential Utilities Inc.
Wyndham Worldwide CorpWYN 6/1/18 WYND Wyndham Destinations
* (new name/symbol) Subsequently deleted; see Deletions table above
nged in consecutive years
ppendix C on Notes tab)
Notes
Merged with First Defiance Financial Corp
Go private
Acquired by Independent Bank Group
Acquired by Takeda
Acquired by Valero Energy Corp
Dividend suspended
Acquired by Enbridge
2018=2017
2018=2017
Acquired by Cheniere Energy Inc
Acquired by BOK Financial
Acquired by Synnex Corp
2018=2017
Acquired by Blackstone Group
Acquired by Energy Transfer Equity
2018=2017
2018=2017
Acquired by People’s United Financial
2018=2017
2018=2017
2018=2017
2018=2017
2018=2017
2018=2017
2018=2017
2018=2017
2018=2017
2018=2017
2018=2017
2018=2017
2018=2017
Acquired by Mackinac Financial
Acquired by Brookfield Property Partners
Spinoff/Div cut
Acquired by AXA
Acquired by Zoetis
Merged with Strayer to form Strategic Education
2017=2016
2017=2016
2017=2016
2017=2016, Incr 2018
2017=2016
2017=2016
2017=2016
2017=2016
Cut '17, Incr. '18
Dividend Suspended
2017=2016, Cut in 2018
Also being acquired by AT&T
2017=2016
Acquired by PNG Companies LLC
2017=2016
2017=2016
2017=2016
Merged with DuPont
Acquired by Amazon
2017=2016, Incr 2018
Also being acquired by Bayer 1Q18
2017=2016
2017=2016, Incr. 2018
2017=2016
2017=2016
2017=2016, Incr 2018
2017=2016
2017=2016
2017=2016
2017=2016
Acquired by British Amer. Tobacco
Acquired by Fairfax Financial
Merger with Potash (to be Nutrien)
Acquired by Savaria Corp.
Acquired by Reckitt Benckiser
Acquired by Henderson Group
Acquired by Sherwin-Williams
Acquired by Tesoro Corp.
2016=2015
2016=2015, Incr. '17, '18
2016=2015, Incr 2017
2016=2015, Cut 2017, Incr 2018
2016=2015
2016=2015
2016=2015, Bg Acq'd by OKE
2016=2015, Being Acquired
2016=2015, Incr. 2017, 2018
Acquired by Fortis Inc.
2016=2015
2016=2015
2016=2015
Acquired by Duke Energy
2016=2015, Incr 2017,Bg Acqd
2016=2015, Incr. 2018
2016=2015, Incr. 2017
Currency Switch, incr. 2017
2016=2015
2016=2015, Incr. 2018
Acquired by Marriott International
Also Class A
2016=2015, Incr. 2017
FY16=FY15
Cut again in 2017
Acquired by Dominion Resources
2016=2015
2016=2015
2016=2015, Incr. '17,Cut '18
Acquired by SoftBank
Reinstated; deleted in error
2016=2015, $4.69 Special-1/9/17
2016=2015
2016=2015
2016=2015
2016=2015, Incr. 2017, 2018
2016=2015
2016=2015
2016=2015
Acquired by Johnson Controls
Acquired by EXOR
Acquired by Meiji Yasuda Life
Acquired by Vista Equity Partners
FY16=FY15
FY16=FY15, Incr. FY17, FY18
Acqd by Charter Commun.
Cut for 2016, Incr 2018
Cut for 2016, 2017, suspended
Acquired by MPLX LP (Marathon)
Acquired by Merck KGaA
irregular rate
Cut in 2017
Acquired by Tokio Marine Hdgs
2015=2014, Incr 2018
2015=2014
2015=2014
2015=2014, cut, suspended '17
Acquired by Loan Star Funds
Suspended in '16
Acquired by BC Partners
2014=2013
2014=2013,Cut'18,To Merge w/NS
irregular rate, incr. '16
2014=2013
Cut After NatGas unit sale
'14='13,Cut'16,now Diebold Nixdorf
Acquired by Consolidated Comm.
2014=2013
FY14=FY13
Acquired by Service Corp. Int'l
Acquired by Berkshire Hathaway
2015 Challenger
Acquired by M&T Bank
2015 Challenger
2015 Challenger
2015 Challenger
Acquired by Bank of Montreal
2008=2007, cut in 2009,Incr 2015
Acq. by InBev
2008=2007, acq. by First Niagara
2015 Challenger
Acquired by Sempra Energy
Acquired by Mars Inc.
Cut again in 2009, Incr. '14, '16
2015 Challenger
2018 Challenger
Cut again in 2009, incr. '13-'16
2015 Challenger
2015 Challenger
Split into Hill-Rom/Hillenbrand Inc.
2016 Challenger
PM Spin-off; Reinstated 3/6/10
Incr. 2018
DivSusp2Q07; Incorrectly included
Notes
(see Appendix C on Notes tab)
(Despite local-currency increase)
Notes
(Prior to Contenders, Challengers)
(Prior to Contenders, Challengers)
(Challengers first populated)
(5-9 years)
(10-24 years)
(25 or more years)
ease, website
ease/website *
Note
Merger
Chubb Corp. acquisition
Merger
press release
press release
press release
Broadcom (BRCM) acquisition
Merger
press release
Google
press release
Merger with Embarq Inc.
Merger w/2 companies
press release
press release
press release
press release
press release
press release
press release
press release
press release
merger
Google
press release
press release
press release
press release
press release
FinViz
Class A/B combined
press release
press release
press release
press release
press release
press release
ADR after Covidien merger
press release
press release
Merger
Reorg.>A/B shares
press release
press release
Merger+Name/Symbol change
became ADR
press release
Merger+Name/Symbol change
QEP Spin-off
Merger with MeadWestvaco
press release
press release
press release
press release
Merger+Name/Symbol change
press release
press release
Merger
Merger
press release
became REIT
Merger
press release
press release
Merger+Name/Symbol change
press release
Merger+Name/Symbol change
press release
Name/Symbol change
press release
Revisions
12/31/07 Price and Yield columns added
12/31/07 Default printing changed from Portrait to Landscape
1/2/08 Added horizontal lines every five companies to improve readability
1/2/08 Added Industry column and averages for yield and dividend increase percentage
1/4/08 Combined Source(s) into one column (PR=Press Release; WS=Web Site; IR=IR Response)
1/5/08 Sent e-mails to IR Depts. at all unconfirmed companies requesting confirmation/correction
1/14/08 Entered (IR) in Blue to indicate that no response was received.
2/13/08 Changed Date text to Green for companies expected to announce increase in next 30 days
2/13/08 Changed file name format to reflect specific date of update (yymmdd)
2/26/08 Added columns for DRIP fees on dividend reinvestment (DR) and/or stock purchase (SP)
2/28/08 Added Average Price and Comparison to Last Month at bottom
3/20/08 Deleted DRIP w/SPP column as unnecessary (Y/N implied by DRIP Fees columns)
9/30/08 Added Tab for Contenders - companies nearing eligibility
10/1/08 Added link to www.dripinvesting.org (Tools page) at top of heading
11/1/08 Added Web Links tab for companies' Yahoo! Summary page, IR Page, DRIP Prospectus
11/19/08 Completed population of Web Links tab
12/3/08 Added DRIP Fee Notations to Contenders tab
1/30/09 Highlighted in Red yields above 10%
2/15/09 Added Average Price and Comparison to Last Year at bottom
5/29/09 Added companies with 15-19 years to Contenders tab (with date of last increase)
6/24/09 Added Price, Annual Dividend, and Yield columns to Contenders tab
5/5/10 Added DivHistory tab; began population
5/21/10 Added subtitle to include U.S.-traded American Depository Receipts (ADRs)
5/27/10 Completed DivHistory population; inserted columns for 5- and 10-year % change
6/28/10 Changed 5- and 10-year % Change to Average % Change on DivHistory tab
6/28/10 Added Acceleration/Deceleration Ratio and Averages to DivHistory tab
7/6/10 Added Industry column to Contenders tab and populated
7/6/10 Duplicated Champions heading design to Contenders tab and added all other columns
7/12/10 Completed population of additional columns, formulas on Contenders tab
7/12/10 Added Summary/average line to Contenders tab
7/13/10 Added Summary/average lines for all prior months to Champions tab
7/19/10 Replaced 5- and 10-year Average Annual Dividend Increase with CAGR on DivHistory tab
7/23/10 Moved Contenders tab to left behind DivHistory tab
7/23/10 Moved Revisions tab to left behind Contenders tab
7/27/10 Added Challengers tab for streaks of up to 14 years
8/1/10 Began additional population of Challengers tab per online research
8/3/10 Renamed CAGR to DGR (Dividend Growth Rate) on DivHistory tab
8/6/10 Moved all companies with streaks of 10-14 years to Contenders tab and filled columns
8/11/10 Completed additional population of Challengers tab per online research
8/13/10 Added Contenders section to DivHistory tab and began population
8/23/10 Completed population of Contenders section of DivHistory tab; added summaries
8/27/10 Deleted Web Links tab due to limited usefulness; saved 30k per file
8/30/10 Replaced Source(s) column with Quarterly Schedule on Champions, Contenders tabs
8/30/10 Inserted Sequence column next to No./Years on Champions, Conteners, Challengers tabs
8/30/10 Updated Note tab for recent changes, additions
9/10/10 Added Changes tab for company-specific actions
9/15/10 Added Fundamental Data Section to Champions, Contenders; Inserted Formulas
9/18/10 Moved Champions, Contenders Summary stats to new tab to avoid printing overlap
9/20/10 Added Charts to Summary tab, arranged for printing
10/25/10 Added Note column to Challengers tab
11/17/10 Added Industry column to Challengers tab and populated
11/18/10 Moved Dividend History to Champions and Contenders tabs; deleted DivHistory tab
11/18/10 Added DRIP Fees columns to Challengers tab and populated
11/18/10 Duplicated Champions heading design to Challengers tab and added all other columns
11/29/10 Completed population of additional columns, formulas on Challengers tab
Revisions
11/30/10 Added Fundamental Data Section to Challengers; Inserted Formulas
11/30/10 Added Annual Dividend column to Fundamental Data sections, now used for Payout Ratio
12/7/10 Added 2010 column to Dividend History on Champions/Contenders tabs; began population
12/15/10 Completed population of 2010 dividend column on Champions/Contenders tabs
12/15/10 Changed 5- and 10-year DGRs to compare 2010 dividend to 2005 and 2000 dividends
12/16/10 Added Dividend History to Challengers tab; began population
12/29/10 Completed population of Challengers' Dividend History and calculations
12/30/10 Added 1- and 3-year DGR (Dividend Growth Rate) to all Dividend History sections
12/30/10 Added Average % Change vs. Prior Year to bottom of each Dividend History
12/30/10 Removed Update Date from main headings; Date at top of Price column coincides with posting
12/30/10 Added Fiscal Year Ending month column to Fundamental Data sections and populated
12/31/10 Added Appendix to Notes tab listing companies with 4-year streaks
12/31/10 Revised Market Cap format in Fundamental Data sections and added average
1/19/11 Added Annualized Rate (@) to Notes columns, filled in ADR countries
2/9/11 Added detail to Industry columns, esp. MLPs, REITs, Retail, Technology
2/28/11 Added combined Champions/Contenders averages to Contenders tab
2/28/11 Added combined Contenders/Challengers averages to Challengers tab
2/28/11 Added combined Champions/Contenders/Challengers averages to Challengers tab
3/16/11 Added Multiple Increases This Year (&) to Notes columns
4/25/11 Inserted Fundamental Data column for Premium/Discount to Graham Number
4/26/11 Added column explanations to Notes tab
5/27/11 Changed Yield calculation to use43 Annual Dividend (from New Rate)
7/2/11 Added columns for Percentage Increase by Year (excludes decreases, division by zero)
7/3/11 Added columns for Mean (simple average) and Standard Deviation
7/28/11 Inserted column for Estimated 5-year Annual EPS Growth to Fundamental Data sectio
7/28/11 Added Quick Summary (page 2 of 3) to Summary tab
7/29/11 Expanded notations on Deletions section of Changes tab
7/29/11 Expanded range of green dates to 1-2 months ahead (by ex-dividend date), including Appendix
8/1/11 Inserted column for Number of Analysts to Fundamental Data section
8/31/11 Revised columns AG-AJ to show % current price vs. 52-week High/Low and 50, 200-day MMA
9/19/11 Added Count and Average lines to deletion table on Changes tab
9/20/11 Added Tweed Factor column to Champions, Contenders, and Challengers tabs
9/26/11 Added descriptions of Mean, Standard Deviation, and Tweed Factor to Notes tab
10/20/11 Added Appendix B to Notes tab listing "Frozen Angels"
12/7/11 Added Confidence Factor and new Appendix A to Notes with Scoring System
12/7/11 Changed Appendix A and B to B and C, respectively
12/15/11 Added columns for 2011 Dividends Paid and 2011 vs. 2010 Percent Change
12/15/11 Reset Dividend Growth Rate columns to use 2011 instead of 2010
12/15/11 Modified Mean (Simple Average) and Standard Deviation to include 2011 Change
12/21/11 Completed population of 2011 Dividends Paid column
12/26/11 Added Dividend Growth Model columns and inserted description on Notes tab
12/28/11 Adjusted column widths and formatting for printing purposes
3/12/12 Set up portfolios on FinViz to replace data from Yahoo Finance
3/13/12 Changed notation in cells X1 to indicate that data is from FinViz.com
3/14/12 Set up portfolio on Google for (12) companies not recognized by FinViz
3/17/12 Changed Estimated Next Year and Next 5 Year % Change from formulas to values
3/17/12 Changed This Year Est EPS from $ amount to percentage and 2 decimals to 1
3/17/12 Deleted Next Year Est EPS amount column; Inserted Beta column
3/20/12 Color-coded data cells from FinViz (Blue) and Google (Brown)
3/22/12 Adjusted Confidence Factor formula for This Year Est EPS % (from $ amount/TTM EPS)
3/24/12 Updated Notes for changes to EPS estimated growth columns
4/29/12 Changed note for alternate source from Google to Yahoo
7/18/12 Color-coded subsequent increases in Deletion table on Changes tab
8/17/12 Modified Column Headings and Created Range-Names for easier sorting
9/24/12 Added more column dexcriptions to main Notes section
Revisions
10/11/12 Added All CCC tab to combine companies (values only)
11/13/12 Revised Summary tab to include Challengers historical data, updated formatting
12/8/12 Added (temporary) Appendix D to Notes tab for Special Dividends paid
12/12/12 Added columns for 2012 Dividends Paid and marker for 2013 accelerated dividends
12/12/12 Began population of 2012 Dividends Paid column with current annual rate, to be replaced
12/12/12 Changed Dividend Growth Rate calculations from 2011 to 2012 Dividends Paid
12/12/12 Added column for 2012 vs. 2011 Dividends Paid and extended range of Simple Average
12/12/12 Revised headings and updated formulas for Dividend Growth Model columns
12/22/12 Completed population of 2012 Dividends Paid columns
12/24/12 Modified formulas for Payout Ratio, Graham, P/E to show "n/a" when appropriate
12/24/12 Added calculations of average Old/New dividend rates and Annual Dividend
12/26/12 Copied Technical Data columns to extreme right and deleted old columns
12/27/12 Added columns for P/FCF, ROE, Debt/Equity, and Insider Ownership %
12/27/12 Added column to calculate Free Cash Flow (FCF) Payout Ratio
12/27/12 Relabeled Payout % Ratio as EPS % Payout
12/28/12 Filled new data columns with temporary data and added formula for FCF Payout Ratio
12/28/12 Added new column for Sector designations and adjusted printing width
12/28/12 Reset Range Names and Print Ranges to include relocated columns
12/29/12 Populated Sector column with designatyions from FinViz (and Yahoo)
12/30/12 Added Chowder Rule column and formulas, with conditional formatting
12/30/12 Updated explanations for new and relocated columns on Notes tab
1/10/13 Removed notations for multiple increases in 2012 (&) and Jan13 Pd 2012
1/14/13 Applied Conditional Formatting to Yield and MR% Increase columns (Red if <2%)
1/14/13 Applied Conditional Formatting to DGR columns (Red if <2%)
1/16/13 Applied Conditional Formatting to Premium/Discount to Graham Number (Green if <0%)
1/27/13 Added Supplemental Statistics below Deletion table on Changes tab
2/12/13 Removed notations for Feb13 Pd 2012
2/13/13 Added notations for additional streak year (by default) for overdue companies in Red
2/16/13 Deleted (temporary) Appendix D to Notes tab for Special Dividends paid
4/30/13 Updated Number of Analysts per Yahoo Analysts Estimates pages
5/9/13 Updated Deletions table on Changes tab and Frozen Angels for subsequent actions
5/29/13 Added column for Past 5 years' EPS Growth percentage
7/23/13 Added "New" designation for companies added to Near-Challengers in current month
8/8/13 Replaced FinViz Sector names with GICS (Global Industry Classification Standard)
8/21/13 Added CCC (Number of Companies) Projection to Summary tab
9/5/13 Updated Frozen Angels for default year of increases in 2012 (no incr. but higher than 2011)
11/6/13 Modified Challenger 3-, 5-, and 10-year DGR formulas to insert "n/a" (instead of manually)
11/6/13 Modified Contender 10-year DGR formulas to insert "n/a" (instead of manually)
11/6/13 Modified Challenger/Contender A/D formulas to insert "n/a" (instead of manually)
11/18/13 Modified EPS%Payout, +/-%Graham, and P/E formulas to insert "n/a" (instead of manually)
12/9/13 Added column for 2013 Dividends Paid and initially populated at current rates
12/9/13 Began re-population of 2013 Dividends Paid column (adjusted for '13 to '12 acceleration)
12/12/13 Completed population of 2013 Dividends Paid column with actual (adjusted) figures
12/13/13 Changed Dividend Growth Rate calculations from 2012 to 2013 Dividends Paid
12/15/13 Added column for 2013 vs. 2012 Dividends Paid and extended range of Simple Average
12/17/13 Revised headings and updated formulas for Dividend Growth Model columns
12/20/13 Added column for 5-year DEG (Dividend-to-Earnings Growth) ratio, added item to Notes
12/23/13 Added column for Regular Dividends Paid over 15 years (1999-2013, inclusive), plus Note
12/23/13 Changed Dividends Paid from 4 to 3 decimals and adjusted column-widths from 5.5 to 5
1/13/14 Removed notations for multiple increases in 2013 (&) and 2014=Year # (in 2013 file)
2/18/14 Added "US$" notation to foreign ADRs that pay dividends in US$
5/9/14 Removed columns for FCF % Payout Ratio and P/FCF due to questionable/missing data
8/6/14 Added purple color to deletions table for "cuts" due to currency exchange rates
8/8/14 Added purple color to Near-Challengers due to pending currency-rate effect on pay dates
8/8/14 Modified CCC Projection on Summary tab for currency-rate "cuts" in additions/deletions
Revisions
8/9/14 Adjusted Supplemental Data on Changes tab to move currency deletions from Cuts to Other
9/3/14 Added CCC Aging to Summary tab to show Streak lengths by year at December 31
10/23/14 Expanded CCC Aging to include streaks up to 64 years and adjusted sub-total, total cells
10/24/14 Added Pink shading to CCC Aging for streaks started during recession years and wikipedia link
11/21/14 Added scatter pattern to CCC Aging for recession years (2008, 2009)
12/9/14 Added column for 2014 Dividends Paid and initially populated at current rates
12/11/14 Updated formula for Regular Dividends Paid over 16 years (1999-2014, inclusive)
12/12/14 Added column for '14 vs. '13 Dividends, extended range of Simple Average, Standard Deviation
12/15/14 Changed Dividend Growth Rate calculations from 2013 to 2014 Dividends Paid
12/16/14 Revised headings and updated formulas for Dividend Growth Model columns
12/19/14 Began re-population of 2014 Dividends Paid column with actual amounts
12/24/14 Completed population of 2014 Dividends Paid column with actual figures
12/31/14 Input 2014 number of companies by streak length data in CCC Aging (on Summary tab)
1/8/15 Removed notations for multiple increases in 2014 (&) and 2015=Year # (for 2014 file)
2/11/15 Updated Frozen Angels (Appendix C) to eliminate companies with subsequent freezes
7/22/15 Changed Confidence Factor to subtract CCC Seq from 1000 instead of 500
8/27/15 Added Red color to No. of Years for streaks extended by default (no increase during year)
11/12/15 Added Deletions by Category to Supplemental Statistics (below Deletions table) on Changes tab
12/19/15 Added column for 2015 Dividends Paid and initially populated at current rates
12/19/15 Updated formula for Regular Dividends Paid over 17 years (1999-2015, inclusive)
12/21/15 Added column for '15 vs. '14 Dividends, extended range of Simple Average, Standard Deviation
12/22/15 Changed Dividend Growth Rate calculations from 2014 to 2015 Dividends Paid
12/23/15 Revised headings and updated formulas for Dividend Growth Model columns
12/24/15 Began re-population of 2015 Dividends Paid column with actual amounts
12/30/15 Completed population of 2015 Dividends Paid column with actual figures
12/31/15 Input 2015 number of companies by streak length data in CCC Aging (on Summary tab)
1/9/16 Removed notations for multiple increases in 2015 (&) and 2016=Year # (for 2015 file)
1/18/16 Added Conditional Formatting (Red+Bold) for Yield over 10%
1/26/16 Added Preliminary 2016 column (AQ) to CCC Aging (on Summary tab)
2/28/16 Added Population Change Reconciliation below CCC Aging on Summary tab
7/5/16 Changed the formula disclaimer on the All CCC tab to Red and Bold
7/8/16 Added Percentage Change Reconciliation on Summary tab
9/1/16 Changed Sector designation for REITs from "Financials" to "REITs"
12/26/16 Added column for 2016 Dividends Paid and initially populated at current rates
12/26/16 Updated formula for Regular Dividends Paid over 18 years (1999-2016, inclusive)
12/26/16 Added column for '16 vs. '15 Dividends, extended range of Simple Average, Standard Deviation
12/27/16 Revised headings and updated formulas for Dividend Growth Model columns
12/28/16 Changed Dividend Growth Rate calculations from 2015 to 2016 Dividends Paid
12/28/16 Began re-population of 2016 Dividends Paid column with actual amounts
12/30/16 Completed population of 2016 Dividends Paid column with actual figures
12/30/16 Input 2016 number of companies by streak length data in CCC Aging (on Summary tab)
1/6/17 Removed notations for multiple increases in 2016 (&) and 2017=Year # (for 2016 file)
1/6/17 Removed notations for "Former" status; to be used only when being added
1/9/17 Added Red color to No. of Years for streaks extended by default (potential 2017 Freezes)
1/12/17 Added Preliminary 2017 column (AR) to CCC Aging (on Summary tab)
3/20/17 Added WatchList tab with basic instructions
5/9/17 Removed old Addition, Promotion notes from Changes tab (Now on Summary monthly)
5/13/17 Added tables for Streak Corrections and Name/Symbol Changes to Changes tab
12/23/17 Added column for 2017 Dividends Paid and initially populated at current rates
12/24/17 Updated formula for Regular Dividends Paid over 19 years (1999-2017, inclusive)
12/26/17 Changed Dividend Growth Rate calculations from 2016 to 2017 Dividends Paid
12/26/17 Added column for '17 vs. '16 Dividends, extended range of Simple Average, Standard Deviation
12/26/17 Revised headings and updated formulas for Dividend Growth Model columns
12/26/17 Began re-population of 2017 Dividends Paid column with actual amounts
12/28/17 Completed population of 2017 Dividends Paid column with actual figures
Revisions
12/29/17 Input 2017 number of companies by streak length data in CCC Aging (on Summary tab)
1/2/18 Added Preliminary 2018 column (AS) to CCC Aging (on Summary tab)
1/2/18 Removed notations for multiple increases in 2017 (&) and 2018=Year # (for 2017 file)
1/2/18 Added Red color to No. of Years for streaks extended by default (potential 2018 Freezes)
1/9/18 Cleared faulty graphs from Summary tab
6/29/18 Record Date, Confidence Factor removed
6/29/18 Payouts/Year Added
6/29/18 Sector moved adjacent to Industry
6/29/18 Dividends Paid by Year and Percent Increase by Year moved to new "Historical" sheet
7/31/18 Reorganized data to consolidate Dividend Information
9/28/18 Dropped coverage of Fundamental Data for OTC stocks
9/28/18 Added "Streak Began" and "Recessions Survived" Columns
11/30/18 Updated Sector and Industry classifications
12/31/18 Added TTM ROA
1/31/19 Added Averages by Sector
1/31/19 Updated Historical data with 2018 dividends
1/31/19 Updated Dividend Growth Rate formulas
1/31/19 Updated Dividend Growth Model formulas
2/28/19 Added Title page
12/31/19 Updated Historical data with 2019 dividends
12/31/19 Updated Dividend Growth Rate formulas
12/31/19 Updated Dividend Growth Model formulas
Notes
This listing was inspired by the efforts of several individuals and is intended to be freely distributed for individual, non-commercial
use. The initial goal was to identify companies that had increased their dividend in at least 25 consecutive years. But that
definition was broadened to include additional companies that had paid higher dividends (without necessarily having
increased the quarterly rate in every calendar year. Also included (under the Contenders tab) are companies that have increased
their dividend for 10-24 straight years and (under the Challengers tab) companies that have increased their dividend for 5-9
straight years. Unless it is clear that a streak is shorter, the number of years shown will coincide with statement(s) by the
company itself. Some notable sub-groups include:
"The Alternators" are companies that appear to follow a pattern of increasing their dividend only in alternating years, but
do so in mid-year, so that the total paid (per share) is higher every year. An example follows:
Q1 Div Q2 Div Q3 Div Q4 Div Total
Year 1 0.10 0.10 0.10 0.10 0.40
Year 2 0.10 0.10 0.11 0.11 0.42
Year 3 0.11 0.11 0.11 0.11 0.44
Year4 0.11 0.11 0.12 0.12 0.46
Year 5 0.12 0.12 0.12 0.12 0.48
As you can see, the dividend was increased only in years 2 and 4, but the company paid higher TOTAL dividends each year. To
highlight these companies, the dates are indicated in Red (and right-aligned to stand out when printing.)
"The Penny-Pinchers" are companies that typically increase their quarterly payout by a fraction of a penny, often as little as one-
quarter cent, or one cent per share on an annual basis. Generally, these are utilities with impressive streaks. But since profits
are limited by regulators, they may not declare substantial dividend increases. Although they typically offer relatively high yields,
dividend and share price growth may be limited. Percentage increases of 2% or less are highlighted in Red.
"The Foreigners" are companies that have dividend growth streaks, in U.S. dollar terms, and trade on a U.S. Exchange
as ADRs (American Depository Receipts).
Data Sources/Discrepancies
As mentioned above, the dividend streaks are generally specified by the companies themselves. In some cases, however, there
were differences between the length of the streak shown by outside sources and what was stated in company literature. Usually,
the company's claim is shown, when it appears reasonable. For example, one source showed that Vectren had increased its
dividend for 31 straight years, but the company stated that its latest increase marked "the 48th consecutive year that Vectren and
its predecessor companies have increased annual dividends paid." In addition to not taking into account records of predecessor
companies, some sources appear to curtail streaks because of a lack of clear data as much as 25 years ago. Other issues:
Rounding errors can make it appear that a company did not raise its dividend, especially in the distant past. For example,
an adjusted payout of .012275, increased to .012325, could appear unchanged if both were rounded to .0123 by the data provider.
Splits/Stock Dividends may not always result in accurate adjustment of prior dividends. This is especially true if the split were
at a ratio of 6-for-5 or higher, or if a stock dividend of 5% or less was paid. In some cases, a firm states that it is "maintaining"
a dividend rate following a stock dividend, but that, in fact, is an increase. So, for example, a company may start the year paying a
rate of 10¢/share and finish the year by paying 10¢/share, but a 5% stock dividend adjusts the first figure to 9.6¢/share.
Special Dividends might cause some sources to drop a company from a listing such as this one. For example, if a firm
actually increases its annual dividend from 30¢ to 40¢ per share, but paid a special (or "extra") dividend of $1 in the first year, then
it could appear that it had reduced its payout from $1.30 to 40¢ per share, thus ending its streak. However, I don't think that such a
company should be penalized for making an extra payout, so these special dividends are generally factored out for this listing.
Column Headings (for Champions, Contenders, Challengers, and All CCC tabs)
Company Name is the identity under which a company is incorporated.
Ticker Symbol is the stock symbol under which the company's shares are traded.
Sector is the major part of the economy within which the company operates. Each sector is composed of
numerous sub-groups, referred to as Industries.
Industry is the primary business that the company operates. Keep in mind that some companies operate in
more than on industry; those that do business in several may be designated as 'conglomerates."
No. Yrs represents the number of consecutive years of higher dividends.
No. Yrs (in Red) indicates latest year of streak was by default (no rate increase but total dividends greater than prior year).
CCC Seq lists all companies in sequence, from longest (#1) to shortest, from Champions to Challengers.
DRIP Fees indicates whether a company offers a Dividend Reinvestment Plan (DRIP) that also allows enrollees
to invest additional cash on a voluntary, periodic basis. The vast majority of these companies offer these plans, also known as
Direct Investment Plans, but many have recently added fees, so potential participants should carefully check the features before
enrolling. DR=Dividend Reinvestment; SP=Stock Purchase. Information about DRIPs can be found at www.directinvesting.com.
Disclosure:As shown below, I am employed by The Moneypaper Inc., which operates that web site and is affiliated with Temper
Enrollment Service, which facilitates DRIP enrollment. This is not meant as a sales pitch!
Price as of the date shown, which was the last trading day of the month.
Yield indicates the dividend yield of the latest dividend rate on an annualized basis.
Yield percentages of 2% or less are highlighted in Red. Yield percentages of 10% or more are highlighted in Red and Bold.
Dividend Information is the information associated with the most recent increase, not necessarily the most recent dividend
to be declared. Note that Ex-Dividend Dates are always one trading day prior to the Record Date.
Percentage increases of 2% or less are highlighted in Red.
Most recent increase dates older than one year are highlighted in Red (and are considered "overdue").
Most recent Increases expected to be replaced in the next 1-2 months are highlighted in Green.
Quarterly Schedule shows estimated Pay Dates, where A=Jan/Apr/Jul/Oct, B=Feb/May/Aug/Nov, C=Mar/Jun/Sep/Dec.
Note includes indications of streaks that are based on a company's Fiscal Year, rather than the Calendar
Year, upcoming splits, spin-offs, or acquisitions (by another company), companies that are based outside the United States
and other company-specific information.
Annual Dividend projects the "new" (current) rate to a full-year amount
EPS % Payout calculates the annual dividend as a percentage of trailing twelve months Earnings Per Share
TTM P/E shows the price/earnings ratio using trailing twelve months earnings divided into current price
TTM EPS shows earnings per share for the most recently reported trailing twelve months
PEG Ratio shows the price/earnings ratio divided by 5-year estimates growth rate
TTM P/Sales shows the price divided by the trailing twelve months' sales
MRQ P/Book shows the price divided by the most recent quarter's book value per share
TTM ROE shows the trailing twelve months' rate of return on shareholder equity
TY% Growth shows the percentage change of this year's earnings estimate compared with last year's EPS
NY% Growth shows the percentage change of next year's earnings estimate compared with this year's estimate
Past 5yr Growth shows the annual EPS Growth for the past five years
Est 5-yr Growth shows the estimated annual EPS Growth for the next five years
MktCap ($Mil) shows the market value in millions of dollars of all outstanding shares at the current price
Inside Ownwership shows the percentage of shares outstanding that is owned by founders, executives, and directors
Debt/Equity shows the proportion of capitalization provided by debt in relation to shareholder equity
Past 5-year DEG (Dividend-to-Earnings Growth Ratio) shows the relationship between the Dividend Growth Rate (per
share) and the Earnings (per share) Growth Rate over the past 5 years. Correlates (+/-) with change in EPS % Payout ratio.
5/10 A/D is a calculation of the acceleration or deceleration of the 5-year vs. the 10-year DGR
(multiple columns) DGR (or Dividend Growth Rate) is the compound annual growth rate of the dividend for the periods shown
Percentage increases of 2% or less are highlighted in Red.
Tweed Factor Named after "Seeking Alpha" author Norman Tweed, this is a "quick-and-dirty" method of comparing
the combination of a stock's dividend yield and dividend growth rate (DGR) to its price/earnings ratio. Although this is somewhat
of an "apples-to-oranges" comparison, it builds in a margin of safety when determining a stock's fair value. The Tweed Factor is
part of the "Tweed Model," which also requires (per Mr. Tweed) a 4% yield and a "reasonable" payout ratio. (See Payout % Ratio
above.) Other investors may set a lower yield threshold than 4%, often in conjunction with age and years remaining to invest. The
more positive the Tweed Factor is, the better, as it expresses the excess of the dividend data over price level.
Chowder Rule Named after "Seeking Alpha" member Chowder, this is a method of identifying candidates for purchase
based on a combination of yield and (5-year) dividend growth rate. When the sum of these elements is above 12%, the company
presents an attractive entry point (8% for utilities). When the figure is above 8%, an existing holding is still considered worthy of
being retained. Caution: This 'Rule" is intended to be used in conjunction with measures of quality, such as high marks for safety
and financial stability, as specified by organizations such as Value Line or Morningstar.
+/-% vs. Graham calculates the premium or discount that the current price represents, compared with the "Graham
number," which is an estimation of "fair value" or what Benjamin Graham said would be the most an investor should pay for a
share of the company's stock. Since he believed that a reasonable price/earnings ratio was 15 and a reasonable price/book
value ratio would be 1.5, the formula for the "Graham number" is the square root of (22.5 times the earnings per share times the
book value per share). Book value per share is derived by dividing the Price/Book Value ratio in column AF into the current price
in column I. The actual Graham number is not shown, but is divided into the current price in order to produce a premium or
discount percentage, compared with the Graham number.
Confidence Factor (removed, See Appendix A below)
Dividend Growth Model (Next Five Years) Dividends based on growth from latest completed year of dividends paid, using Next
Year and 5-year Earnings Per Share Estimates. (If either is "n/a," then a 3% dividend growth rate is used; if either is negative, then
a 1% dividend growth rate is used; if either is greater than 10%, then a 10% dividend growth rate is used. The total estimated
dividends per share for the next five years is also shown, and that total is translated into a percentage "payback," based on the
current share price. Disclaimer: Past Performance is No Guarantee of Future Results. (mulitple columns)
Beta compares a stock's volatility with that of the overall market (S&P 500=1.00)
% from 52-week low/high these columns show the percentage that the current price varies from the 52-week range of the stock
% from 50-, 200-day MMA these columns show the percentage the current price varies from the 50- and 200-day Moving Average
OTC Indicates a security that is traded "over-the-counter."
Such securities typically have low liquidity and high bid-ask spreads.
Streak Began Year the current dividend growth streak started. (This may not be the year the dividend was initiated, for
example if the dividend was cut or frozen and subsequently increased a new streak is started)
Recessions Survived Number of recessions the dividend growth streak has survived. For the purposes of this metric, the
following years are defined as beginnings of recessions: 1953, 1958, 1960, 1970, 1973, 1980, 1990, 2001, 2008
TTM ROA shows the trailing twelve months' rate of return on assets
Historical Data
Dividends by Year on a per-share basis, from 1999 to the most recently completed calendar year
19 Yrs Reg Dividends Summarizes total dividends paid since 1999 (inclusive)
% Increase by Year shows the percentage dividend increase compared with the dividend paid in the previous year.
Mean (simple average) is the "modified" average of the individual year's increases over the prior year. The averages include
some companies whose average has been "modified" to exclude divisions by zero or negative actions (reductions) since those
calculations would pre-date the companies' current streaks of increases.
Standard Deviation expresses the degree by which the individual year's increases vary from the Mean, or simple average,
showing how erratic (high number) or "smooth" (low number) that the annual increases have been.
Acknowledements/Updates
I'd like to thank Motley Fool poster Bruce Doe, whose listing was the starting point for this compilation. Also, thanks to Moneypaper
reader Jacob Geller, who brought attention to RPM International's claim to be one of 70 companies to have increased its
dividend for at least 34 straight years. Many thanks to Publisher Vita Nelson, who has made Moneypaper's DRIP database info
available to the general public. Also, thanks to "Seeking Alpha" Contributors Dividends4Life, Dividend Growth Investor, David Van
Knapp, Robert Allan Schwartz, Norman Tweed, Chuck Carnevale, Five Plus Investor, David Crosetti, and others (a growing list!)
for their valuable info and assistance. And finally, thanks to George L. Smyth for running the non-profit message boards at
www.dripinvesting.org, where I hope to post this spreadsheet and a related PDF file (for those who can't use the spreadsheet).
Hopefully, it can continue to be updated on a monthly basis there. Please post comments/questions on its U.S. DRIPs board or
add a Comment to one of my articles on the Seeking Alpha website: http://seekingalpha.com/author/david-fish/articles
Historical Data Available
Previous copies of the Dividend Champions spreadsheets have been made available for downloading, thanks to Seeking Alpha
author Robert Allan Schwartz at the following Internet address (URL): http://www.tessellation.com/david_fish/
David Fish Former Editor, The Moneypaper, The Moneypaper Guide to Direct Investment Plans
©2007-2019 All Rights Reserved. This listing is intended for personal, non-commercial use only.