dividend ETFs

6 articles
BenzingaBenzinga··Franklin Templeton Investments Corp.

Franklin Templeton Canada Distributes Cash to ETF Investors Ahead of April Deadline

Franklin Templeton Canada announced cash distributions across multiple ETFs with April 9, 2026 payment dates, spanning active, smart beta, and passive offerings.
BENmonthly distributionsportfolio management
The Motley FoolThe Motley Fool··Stefon Walters

Two Dividend ETFs Stand Out for Buy-and-Hold Investors Seeking Steady Income

$SCHD and $VIG offer complementary dividend strategies: $SCHD yields 3.4% with dividend aristocrats; $VIG emphasizes growth with 115% payout increases over a decade.
KOTGTPEPSCHDMO+1portfolio diversificationdividend stocks
The Motley FoolThe Motley Fool··Sara Appino

VIG vs. HDV: Growth vs. Income—Which Dividend ETF Fits Your Strategy?

$VIG emphasizes dividend growth with 338 holdings and 1.6% yield; $HDV targets high income with 74 stocks yielding 2.9%. $VIG shows better long-term returns.
JNJMSFTAAPLXOMCVX+12portfolio diversificationdividend growth
The Motley FoolThe Motley Fool··Jake Lerch

VYM vs HDV: The Trade-Off Between Diversification and Yield

Vanguard's $VYM offers lower fees and broader diversification with stronger recent returns, while iShares' $HDV delivers higher dividend yield through concentrated energy and defensive holdings.
JNJXOMCVXAVGOAMJB+10dividend yieldincome investing
The Motley FoolThe Motley Fool··Mark Roussin, Cpa

Beyond SCHD: Three Dividend ETFs Worth Considering

Beyond popular SCHD, alternative dividend ETFs like VIG offer comparable yields with different sector allocations and growth exposure for dividend investors.
SCHDDGROVIGDIVOdividend growthcapital appreciation
The Motley FoolThe Motley Fool··David Dierking

Vanguard's Dividend ETF Portfolio: Building Retirement Income Across Asset Classes

Vanguard offers five dividend-focused ETFs for retirement income, combining dividend-growth and high-yield strategies across U.S. and international markets.
VYMVIGVYMIVIGIVDIGinternational stocksportfolio diversification