MONTHLY INCOME MACHINE

A portfolio holding the following stocks will achieve solid dividend payments each month, although most of the stocks pay a quarterly dividend. We rolled up our sleeves to find the strongest dividend-paying companies with different payout months to provide steady, consistent monthly income.

Ready to buy? Under $1 a day. Never miss a portfolio trade.

30-day money-back guarantee. 100% satisfaction guaranteed.

Subscribe Now

Click on any ticker symbol below to learn more about the company, view 25+ years of dividend data, and quickly analyze 10+ years of key fundamental metrics.

Portfolios - Monthly Income Machine

TickerCompany NameSectorIndustryCategorySizeSize_DetailsMonths PaidSafety ScoreGrowth ScoreYield ScoreDividend YieldDividend_Growth_StreakEPS_PayoutFive_year_EPS_PayoutFCF_PayoutFive_year_FCF_PayoutEx-Dividend DatePay DateOne_year_dividend_growthThree_year_dividend_growthFive_year_dividend_growthTen_year_dividend_growthAnnual_DividendDividend_AmountPayment_FrequencyPE_RatioFCF_YieldEV_SalesEV_EBITPB_RatioGross_MarginOperating_MarginProfit_MarginFCF_MarginROEFive_year_ROEROICFive_year_ROICOne_year_sales_growthFive_year_saless_growthOne_year_EPS_growthFive_year_EPS_growthCurrent_RatioDebt_to_CapitalDebt_to_Capital_DetailsDebt_to_EquityDebt_to_Equity_DetailsNet_Debt_to_EBITNet_Debt_to_EBIT_DetailsEBIT_to_InterestEBIT_to_Interest_DetailsOne_year_TSRFive_year_TSRCountOrder
PM Philip Morris International Inc Consumer Staples Tobacco 0.91 164037 Mega: > $100B Jan/Apr/Jul/Oct 70 20 78 4.1 5+ Years 92 79 97.0 91.0 12/20/2017 01/11/2018 2 3 5 4.3 1.1 Quarterly 23.3 4.1 2.5 17.6 -17.0 23.07 14.4 9.3 9.2 -66.5 -68.4 48.5 49.9 4.0 0.0 2.0 -2.0 1.13 1.5 Very High Debt: > 0.7 -3.5 Very Low Debt: < 0.2 2.4 Above Average Risk: 2.0 to 5.0 12.6 Low Risk: 8x to 15x 4 12 1
PPL PPL Corporation Utilities Electric Power 0.5 19385 Large: $10B to $100B Jan/Apr/Jul/Oct 80 3 87 5.9 10+ Years 71 56 -184.0 -244.0 03/08/2018 04/02/2018 3 2 2 3 1.6 0.4 Quarterly 12.6 5.4 13.2 1.8 80.09 40.6 25.2 -0.4 19.2 14.2 6.9 5.1 -2.0 -10.0 -26.0 1.0 0.56 0.6 High Debt: 0.5 to 0.7 1.9 High Debt: 1.0 to 2.0 6.7 High Risk: > 5.0 3.4 High Risk: 2x to 4x -11 15 1
SYY Sysco Corporation Consumer Staples Miscellaneous Food 0.53 31252 Large: $10B to $100B Jan/Apr/Jul/Oct 93 35 55 2.4 20+ Years 60 72 54.0 64.0 01/04/2018 01/26/2018 6 4 4 6 1.4 0.4 Quarterly 27.3 4.1 0.7 18.6 14.0 19.07 3.7 2.1 2.7 48.0 19.1 11.4 11.4 5.0 5.0 19.0 2.0 1.40 0.8 Very High Debt: > 0.7 4.0 Very High Debt: > 2.0 3.8 Above Average Risk: 2.0 to 5.0 6.8 Average Risk: 4x to 8x 19 18 1
GE General Electric Company Conglomerates Diversified Operations 1.11 123900 Mega: > $100B Jan/Apr/Jul/Oct 11 27 71 3.4 5+ Years 63 58 300.0 32.0 02/23/2018 04/25/2018 -10 -2 4 -3 0.5 0.1 Quarterly 18.1 2.2 1.5 13.1 1.3 29.27 13.6 6.6 -2.4 12.3 6.9 5.2 2.9 14.0 -3.0 -5.0 -6.0 1.86 0.5 High Debt: 0.5 to 0.7 1.4 High Debt: 1.0 to 2.0 4.1 Above Average Risk: 2.0 to 5.0 3.1 High Risk: 2x to 4x -47 11 1
KMB Kimberly-Clark Corporation Consumer Staples Miscellaneous Consumer Products 0.74 38956 Large: $10B to $100B Jan/Apr/Jul/Oct 88 54 74 3.6 20+ Years 63 63 64.0 55.0 03/08/2018 04/03/2018 5 5 6 6 4.0 1.0 Quarterly 18.3 5.4 2.5 13.8 78.5 36.54 18.2 11.9 13.5 1,896.6 154.7 33.9 19.2 1.0 -3.0 5.0 8.0 0.97 0.9 Very High Debt: > 0.7 15.4 Very High Debt: > 2.0 2.1 Above Average Risk: 2.0 to 5.0 10.2 Low Risk: 8x to 15x -3 15 1
PKG Packaging Corporation of America Industrial Products Paper & Plastic Containers 1.82 11182 Large: $10B to $100B Jan/Apr/Jul/Oct 73 89 48 2.1 5+ Years 47 46 49.0 43.0 12/22/2017 01/12/2018 7 16 20 9 2.5 0.6 Quarterly 22.0 4.3 2.2 15.4 5.6 22.07 13.5 7.7 9.1 25.6 25.8 10.2 10.2 11.0 17.0 17.0 25.0 2.43 0.6 High Debt: 0.5 to 0.7 1.3 High Debt: 1.0 to 2.0 2.6 Above Average Risk: 2.0 to 5.0 8.8 Low Risk: 8x to 15x 29 36 1
VZ Verizon Communications Inc. Utilities Diversified Communications Services 0.55 197651 Mega: > $100B Feb/May/Aug/Nov 73 16 83 4.9 10+ Years 60 50 180.0 40.0 01/09/2018 02/01/2018 2 3 3 3 2.4 0.6 Quarterly 12.5 2.7 2.5 10.1 7.0 59.18 21.5 10.4 4.5 56.6 56.6 10.5 10.5 3.0 3.0 0.0 30.0 1.07 0.8 Very High Debt: > 0.7 4.1 Very High Debt: > 2.0 3.7 Above Average Risk: 2.0 to 5.0 6.6 Average Risk: 4x to 8x 11 7 2
DLR Digital Realty Trust, Inc. Real Estate Other REIT -0.09 21700 Large: $10B to $100B Feb/May/Aug/Nov 82 52 73 3.5 10+ Years 63 53 64.0 66.0 12/14/2017 01/12/2018 6 4 5 12 3.7 0.9 Quarterly 18.2 5.5 13.0 61.8 1.9 0.00 23.2 15.5 18.6 10.5 9.3 3.9 2.9 12.0 15.0 -102.0 11.0 0.00 0.4 Average Debt: 0.3 to 0.5 0.8 Average Debt: 0.5 to 1.0 17.1 High Risk: > 5.0 2.0 High Risk: 2x to 4x 1 19 2
PG Procter & Gamble Company (The) Consumer Staples Soap & Cleaning Preparations 0.66 199159 Mega: > $100B Feb/May/Aug/Nov 99 45 73 3.5 20+ Years 48 59 74.0 59.0 01/18/2018 02/15/2018 2 3 5 8 2.8 0.7 Quarterly 13.9 4.7 3.3 15.6 3.6 49.99 21.5 23.2 15.3 20.1 16.2 13.8 12.5 1.0 -5.0 10.0 9.0 0.91 0.3 Low Debt: 0.1 to 0.3 0.6 Average Debt: 0.5 to 1.0 1.3 Average Risk: 1.0 to 2.0 31.0 Very Low Risk: > 15x -3 10 2
CAT Caterpillar, Inc. Industrial Products Construction & Mining Machinery 1.29 91162 Large: $10B to $100B Feb/May/Aug/Nov 97 49 46 2.1 20+ Years 212 29 33.0 42.0 01/19/2018 02/20/2018 1 5 9 9 3.1 0.8 Quarterly 104.5 6.2 2.8 44.9 5.8 26.54 1.3 -0.2 9.3 -0.5 17.0 -0.2 6.3 25.0 -9.0 269.0 1.44 0.6 High Debt: 0.5 to 0.7 2.3 Very High Debt: > 2.0 10.1 High Risk: > 5.0 5.4 Average Risk: 4x to 8x 73 7 2


 

New Articles

Old Republic International (ORI)

Founded in 1887, Old Republic International (ORI) engages in insurance underwriting primarily in the U.S. and Canada. The firm owns 134 subsidiaries that operate in all 50 states, 10 Canadian provinces, and three U.S. territories.   Old Republic International operates through two main segments: General Insurance Group and the Title [...]

  • HCP Dividend Aristocrats

HCP (HCP)

HCP (HCP) is a healthcare REIT that went public in 1985 with 24 skilled nursing facilities (SNFs). Over the decades, the business eventually became a dividend aristocrat with 30 consecutive years of dividend growth. HCP's success was fueled by acquisitions of over 1,200 new healthcare properties, including skilled nursing, medical [...]

Uniti Group (UNIT)

In April 2015, the struggling regional telecom company Windstream (WIN) spun off 80% of its fiber optic cables into an internally managed REIT which was later renamed Uniti Group (UNIT). The use of these assets was leased back to Windstream under a 15-year triple-net lease agreement.   Under this arrangement, [...]

Unilever (UL)

With roots going back to 1885, Unilever (UL) was formed by the 1929 merger of Margarine Unie of the Netherlands and U.K. soapmaker Lever Brothers. The company is one of the world's largest consumer staples companies today.   Unilever produces over 400 branded products used by more than 2.5 billion [...]