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Hanmi Financial (HAFC) Could Be a Great Choice
ZACKSยท 2025-04-28 16:50
Company Overview - Hanmi Financial is headquartered in Los Angeles and has experienced a price change of -3.73% this year [3] - The company currently pays a dividend of $0.27 per share, resulting in a dividend yield of 4.75%, which is higher than the Banks - West industry's yield of 3.33% and the S&P 500's yield of 1.65% [3] Dividend Performance - The current annualized dividend of Hanmi Financial is $1.08, reflecting an 8% increase from the previous year [4] - Over the past five years, the company has increased its dividend three times year-over-year, with an average annual increase of 27.60% [4] - The company's payout ratio stands at 51%, indicating that it paid out 51% of its trailing 12-month earnings per share as dividends [4] Earnings Growth Expectations - For the fiscal year, Hanmi Financial anticipates solid earnings growth, with the Zacks Consensus Estimate for 2025 projected at $2.55 per share, representing a year-over-year earnings growth rate of 24.39% [5] Investment Considerations - Hanmi Financial is viewed as a compelling investment opportunity due to its attractive dividend and strong Zacks Rank of 2 (Buy) [7]
Civista Bancshares (CIVB) Could Be a Great Choice
ZACKSยท 2025-04-28 16:50
Company Overview - Civista Bancshares (CIVB) is a bank holding company headquartered in Sandusky, with a price change of 0.1% so far this year [3] - The company currently pays a dividend of $0.17 per share, resulting in a dividend yield of 3.23%, which is lower than the Banks - Midwest industry's yield of 3.44% but significantly higher than the S&P 500's yield of 1.65% [3] Dividend Performance - The annualized dividend of Civista Bancshares is $0.68, reflecting a 6.3% increase from the previous year [4] - Over the last 5 years, the company has increased its dividend 4 times on a year-over-year basis, achieving an average annual increase of 9.33% [4] - The current payout ratio is 30%, indicating that the company paid out 30% of its trailing 12-month earnings per share as dividends [4] Earnings Expectations - Civista Bancshares is expected to see earnings growth this fiscal year, with the Zacks Consensus Estimate for 2025 at $2.35 per share, representing a 16.92% increase from the previous year [5] Investment Appeal - The company is viewed as an attractive dividend play and a compelling investment opportunity, holding a Zacks Rank of 2 (Buy) [7]
Why Banco Santander-Chile (BSAC) is a Top Dividend Stock for Your Portfolio
ZACKSยท 2025-04-28 16:50
Company Overview - Banco Santander-Chile (BSAC) is headquartered in Santiago, Chile, and has experienced a price change of 30.01% this year [3] - The company currently pays a dividend of $1.01 per share, resulting in a dividend yield of 4.1%, which is higher than the Banks - Foreign industry's yield of 3.84% and the S&P 500's yield of 1.65% [3] Dividend Performance - The annualized dividend of $1.01 represents a 77.5% increase from the previous year [4] - Over the last five years, BSAC has increased its dividend three times year-over-year, averaging an annual increase of 9.01% [4] - The current payout ratio is 29%, indicating that the company paid out 29% of its trailing 12-month earnings per share as dividends [4] Earnings Expectations - BSAC is expected to see earnings growth this fiscal year, with the Zacks Consensus Estimate for 2025 at $2.15 per share, reflecting a 14.36% increase from the previous year [5] Investment Appeal - BSAC is considered an attractive dividend play and a compelling investment opportunity, holding a Zacks Rank of 2 (Buy) [7]
City Holding (CHCO) is a Top Dividend Stock Right Now: Should You Buy?
ZACKSยท 2025-04-28 16:50
Getting big returns from financial portfolios, whether through stocks, bonds, ETFs, other securities, or a combination of all, is an investor's dream. But when you're an income investor, your primary focus is generating consistent cash flow from each of your liquid investments.Cash flow can come from bond interest, interest from other types of investments, and of course, dividends. A dividend is the distribution of a company's earnings paid out to shareholders; it's often viewed by its dividend yield, a met ...
How To Earn $500 A Month From Honeywell International Stock Ahead Of Q1 Earnings
Benzingaยท 2025-04-28 12:40
Honeywell International Inc. HON will release its first-quarter financial results before the opening bell on Tuesday, April 29. Note that dividend yield can change on a rolling basis, as the dividend payment and the stock price both fluctuate over time. The dividend yield is calculated by dividing the annual dividend payment by the current stock price. As the stock price changes, the dividend yield will also change. For example, if a stock pays an annual dividend of $2 and its current price is $50, its divi ...
Should You Buy Brookfield Asset Management While It's Below $55?
The Motley Foolยท 2025-04-26 22:41
Core Viewpoint - Brookfield Asset Management's recent stock dip presents a potential buying opportunity, with a higher dividend yield and lower valuation, while the company is on track for significant earnings and dividend growth in the coming years [1][9]. Financial Performance - Brookfield generated nearly $2.5 billion in fee-related earnings last year, marking a more than 10% increase from 2023 [2]. - The company raised $135 billion from investors last year, including a record $29 billion in Q4, leading to an 18% increase in fee-bearing capital in Q4 and a 17% rise in fee-related earnings during that period [2]. Growth Prospects - The company ended last year with $539 billion of fee-bearing capital and aims to increase its fee-bearing assets under management (AUM) to around $1.1 trillion by 2029 [5]. - Brookfield expects its fee-related earnings to rise at a 17% compound annual rate through the end of the decade, potentially doubling to $5 billion [6]. - Distributable earnings (DE) are projected to grow at an 18% compound annual rate, increasing from almost $2.4 billion last year to $5.1 billion in 2029 [6]. Dividend Policy - Brookfield has increased its dividend by 15%, resulting in a dividend yield of nearly 3.5% at the current share price, which is more than double the S&P 500's yield [4]. - The company plans to pay 95% of its distributable earnings to investors in dividends, positioning it for a 15% annual dividend growth rate over the next several years [6][7]. Valuation and Investment Opportunity - The stock trades at about 35 times its 2024 DE but is expected to grow into its valuation, trading at about 18 times its 2029 DE [8]. - The recent stock price dip below $55 enhances the investment appeal, offering a strong total return potential as the company grows its earnings and dividends at an expected annual rate of 15%+ [9].
Alpine me Property Trust(PINE) - 2025 Q1 - Earnings Call Transcript
2025-04-25 14:00
Financial Data and Key Metrics Changes - The company achieved AFFO of $0.44 per diluted share for Q1 2025, representing a growth of approximately 5% compared to the same quarter last year [5] - Total revenue for the quarter was $14,200,000, including lease income of $11,800,000 and interest income from commercial loans of $2,300,000 [11] - FFO and AFFO for the quarter were both $0.44 per diluted share, reflecting growth of 7.3% and 8% respectively compared to the prior year [11] - The company increased its common dividend to a new quarterly rate of $0.0285, continuing its practice of annual dividend increases since its IPO [5][11] Business Line Data and Key Metrics Changes - The company acquired three properties for $39,700,000 at a weighted average initial cap rate of 8.6% [6] - Total investment activity for the quarter, including property acquisitions and structured finance investments, totaled $79,200,000 at a weighted average initial yield of 9% [6] - The average WALT (Weighted Average Lease Term) for acquisitions was 14.3 years, while sold properties had a WALT of 4.7 years, resulting in a portfolio WALT increase to 9 years from 6.9 years year-over-year [9] Market Data and Key Metrics Changes - The company noted that its tenant mix and sector diversification position it well amid recent tariff volatility and uncertainty [9] - The company has $65,000,000 of liquidity at quarter-end, consisting of approximately $8,000,000 in cash and $57,000,000 available under its revolving credit facility [12] Company Strategy and Development Direction - The company is focused on a strategic approach to investing, which includes acquiring high credit tenants for stable cash flows and lesser credits for growth and diversification [8] - The company plans to continue opportunistic share repurchases as its shares trade at attractive relative valuations [9] - The company is increasing its FFO and AFFO guidance for the full year of 2025 to a range of $1.74 to $1.77 per diluted share, driven by successful investment activity [13] Management's Comments on Operating Environment and Future Outlook - Management expressed confidence in the company's position despite tariff volatility, noting a strong pipeline of opportunities across the tenant landscape [10] - The company is actively monitoring the evolving economic environment but sees no significant disruption in tenant activity [30] - Management indicated that the company expects to sell vacant properties this year, which will help pay down leverage and reinvest [66] Other Important Information - The company has no debt maturing until 2026, and its debt maturities are well staggered thereafter [12] - The company has been actively repurchasing shares, with approximately 274,000 common shares repurchased for $4,500,000 at an average price of $16.33 per share [11] Q&A Session Summary Question: Factors driving the increase in AFFO guidance - Management identified three main factors: stock buybacks, a swap that reduced interest rates, and investment activity [18][19] Question: Clarification on investment guidance - Management explained that the increase in investment guidance reflects loans and funding, with a total of approximately $60,000,000 funded in the quarter [20] Question: Future capital allocation priorities - Management indicated a balanced approach between buybacks, acquisitions, and investments, with a focus on maintaining liquidity [24][25] Question: Impact of tariffs on deal processes - Management noted no significant disruption from tariff issues, with strong tenant activity and restaurant performance [30] Question: Details on impairment charges - Management clarified that the impairment charge was related to properties anticipated to be sold in the short term [58] Question: Timing of funding unfunded commitments - Management indicated that funding should remain consistent in the first half of the year, with some larger loans maturing in the third quarter [60] Question: Leverage trends and expectations - Management expects leverage to decrease by year-end due to loan payoffs and property sales [66] Question: Tenant watch list in structured investments - Management confirmed that there are no tenant issues in the structured investment program, which focuses on high-quality credits [66]
SB Financial Group, Inc. (SBFG) Could Be a Great Choice
ZACKSยท 2025-04-24 16:45
Whether it's through stocks, bonds, ETFs, or other types of securities, all investors love seeing their portfolios score big returns. But when you're an income investor, your primary focus is generating consistent cash flow from each of your liquid investments.While cash flow can come from bond interest or interest from other types of investments, income investors hone in on dividends. A dividend is the distribution of a company's earnings paid out to shareholders; it's often viewed by its dividend yield, a ...
Central Pacific Financial (CPF) Could Be a Great Choice
ZACKSยท 2025-04-21 16:50
Getting big returns from financial portfolios, whether through stocks, bonds, ETFs, other securities, or a combination of all, is an investor's dream. But when you're an income investor, your primary focus is generating consistent cash flow from each of your liquid investments.While cash flow can come from bond interest or interest from other types of investments, income investors hone in on dividends. A dividend is that coveted distribution of a company's earnings paid out to shareholders, and investors of ...
The State Of REITs: April 2025 Edition
Seeking Alphaยท 2025-04-21 16:22
REIT Performance March was a tough month for REITs with a disappointing -4.92% total return. The REIT sector fell short of the Dow Jones Industrial Average (-4.1%), but saw smaller average losses than the S&P 500 (-5.6%) and NASDAQ (-8.1%). The market cap weighted Vanguard Real Estate ETF (VNQ) outperformed the average REIT in March (-2.58% vs. -4.92%) and has dramatically outperformed year-to-date (+2.69% vs. -3.36%). The spread between the 2025 FFO multiples of large cap REITs (18.1x) and small cap REITs ...