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.

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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 0.94 189909 Mega: > $100B Jan/Apr/Jul/Oct 78 18 72 3.4 5+ Years 92 79 89.0 91.0 06/21/2017 07/11/2017 2 5 8 4.2 1.0 Quarterly 26.9 3.8 2.9 20.1 -17.9 23.07 14.4 9.3 9.2 -66.5 -68.4 48.5 49.9 -1.0 0.0 4.0 -2.0 1.26 1.6 Very High Debt: > 0.7 -3.0 Very Low Debt: < 0.2 2.5 Above Average Risk: 2.0 to 5.0 12.4 Low Risk: 8x to 15x 26 12 1
PPL PPL Corporation Utilities Electric Power 0.5 26056 Large: $10B to $100B Jan/Apr/Jul/Oct 86 7 79 4.1 10+ Years 58 56 -224.0 -244.0 06/07/2017 07/03/2017 1 1 2 3 1.6 0.4 Quarterly 14.3 6.1 15.1 2.6 80.09 40.6 25.2 -0.4 19.2 14.2 6.9 5.1 -3.0 -10.0 -17.0 1.0 0.52 0.6 High Debt: 0.5 to 0.7 2.0 High Debt: 1.0 to 2.0 6.5 High Risk: > 5.0 3.4 High Risk: 2x to 4x 11 15 1
SYY Sysco Corporation Consumer Staples Miscellaneous Food 0.53 27117 Large: $10B to $100B Jan/Apr/Jul/Oct 97 42 59 2.6 20+ Years 68 72 51.0 67.0 07/05/2017 07/28/2017 3 3 4 6 1.3 0.3 Quarterly 27.0 4.9 0.6 17.1 11.7 17.95 3.7 1.9 2.8 27.3 19.1 8.8 12.2 13.0 5.0 16.0 -4.0 1.45 0.8 Very High Debt: > 0.7 3.7 Very High Debt: > 2.0 3.8 Above Average Risk: 2.0 to 5.0 6.8 Average Risk: 4x to 8x 3 18 1
GE General Electric Company Conglomerates Diversified Operations 1.25 234557 Mega: > $100B Jan/Apr/Jul/Oct 58 20 74 3.6 5+ Years 61 58 -310.0 32.0 06/15/2017 07/25/2017 1 6 9 -1 1.0 0.2 Quarterly 27.8 2.3 16.6 3.1 29.27 13.6 6.6 -2.4 12.3 6.9 5.2 2.9 -1.0 -3.0 800.0 -6.0 1.88 0.6 High Debt: 0.5 to 0.7 1.7 High Debt: 1.0 to 2.0 2.6 Above Average Risk: 2.0 to 5.0 3.8 High Risk: 2x to 4x -7 11 1
KMB Kimberly-Clark Corporation Consumer Staples Miscellaneous Consumer Products 0.8 43951 Large: $10B to $100B Jan/Apr/Jul/Oct 95 57 69 3.1 20+ Years 62 63 58.0 55.0 06/07/2017 07/05/2017 5 4 6 7 3.9 1.0 Quarterly 20.5 5.3 2.8 15.2 121.5 36.54 18.2 11.9 13.5 1,896.6 154.7 33.9 19.2 0.0 -3.0 5.0 8.0 0.87 1.0 Very High Debt: > 0.7 21.4 Very High Debt: > 2.0 2.1 Above Average Risk: 2.0 to 5.0 10.3 Low Risk: 8x to 15x 1 15 1
PKG Packaging Corporation of America Industrial Products Paper & Plastic Containers 1.87 10453 Large: $10B to $100B Jan/Apr/Jul/Oct 64 86 51 2.2 5+ Years 51 46 47.0 43.0 06/13/2017 07/14/2017 7 18 24 9 2.5 0.6 Quarterly 22.9 4.7 2.2 16.0 5.8 22.07 13.5 7.7 9.1 25.6 25.8 10.2 10.2 10.0 17.0 14.0 25.0 2.29 0.6 High Debt: 0.5 to 0.7 1.4 High Debt: 1.0 to 2.0 3.0 Above Average Risk: 2.0 to 5.0 8.5 Low Risk: 8x to 15x 82 36 1
VZ Verizon Communications Inc. Utilities Diversified Communications Services 0.56 176031 Mega: > $100B Feb/May/Aug/Nov 84 6 86 5.3 10+ Years 77 50 5,892.0 40.0 07/06/2017 08/01/2017 3 3 3 5 2.3 0.6 Quarterly 14.5 0.1 2.3 11.0 7.1 59.18 21.5 10.4 4.5 56.6 56.6 10.5 10.5 -7.0 3.0 -21.0 30.0 1.02 0.8 Very High Debt: > 0.7 4.7 Very High Debt: > 2.0 4.3 Above Average Risk: 2.0 to 5.0 6.1 Average Risk: 4x to 8x -15 7 2
DLR Digital Realty Trust, Inc. Real Estate Other REIT 0.01 17998 Large: $10B to $100B Feb/May/Aug/Nov 85 56 71 3.3 10+ Years 52 53 147.0 66.0 06/13/2017 06/30/2017 4 4 5 13 3.7 0.9 Quarterly 16.1 2.2 11.1 46.8 3.5 0.00 23.2 15.5 18.6 10.5 9.3 3.9 2.9 9.0 15.0 52.0 11.0 0.00 0.6 High Debt: 0.5 to 0.7 1.2 High Debt: 1.0 to 2.0 12.0 High Risk: > 5.0 2.2 High Risk: 2x to 4x 12 19 2
PG Procter & Gamble Company (The) Consumer Staples Soap & Cleaning Preparations 0.65 228778 Mega: > $100B Feb/May/Aug/Nov 99 36 69 3.1 20+ Years 49 59 71.0 57.0 07/19/2017 08/15/2017 2 4 5 8 2.8 0.7 Quarterly 16.2 4.3 3.8 18.1 4.1 49.60 20.6 15.7 19.2 17.6 15.5 13.0 11.9 -1.0 -4.0 -4.0 -1.0 0.89 0.2 Low Debt: 0.1 to 0.3 0.6 Average Debt: 0.5 to 1.0 1.2 Average Risk: 1.0 to 2.0 27.1 Very Low Risk: > 15x 11 10 2
CAT Caterpillar, Inc. Industrial Products Construction & Mining Machinery 1.19 62507 Large: $10B to $100B Feb/May/Aug/Nov 40 25 65 2.9 20+ Years -1,232 29 37.0 42.0 07/18/2017 08/19/2017 5 21 11 11 3.1 0.8 Quarterly 7.8 2.4 89.2 4.7 26.54 1.3 -0.2 9.3 -0.5 17.0 -0.2 6.3 4.0 -9.0 -30.0 1.29 0.6 High Debt: 0.5 to 0.7 2.8 Very High Debt: > 2.0 28.1 High Risk: > 5.0 2.1 High Risk: 2x to 4x 52 7 2


 

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