dividend yield

189 articles
The Motley FoolThe Motley Fool··Prosper Junior Bakiny

Pfizer vs. Moderna: Navigating Pharma's Post-Pandemic Pivot

Moderna's 69% YTD gain reflects mRNA vaccine upside, while Pfizer's 6.3% dividend offers stability as COVID revenues fade. Choice depends on risk appetite.
MRKPFEMRNAbiotechclinical trials
The Motley FoolThe Motley Fool··Bryan White

Live Nation's $39B Empire vs. Ryman's 5% Yield: Two Bets on Live Entertainment

Live Nation ($LYV) dominates ticketing with $39B valuation; Ryman ($RHP) offers 5% yield from iconic Nashville venues. Both profit from live entertainment growth.
LYVRHPdividend yieldconcert industry
The Motley FoolThe Motley Fool··Todd Shriber

Income-Hungry Investors Flood into JPMorgan's High-Yield ETF Amid Market Uncertainty

JPMorgan's $JEPI ETF attracts $1.44B in monthly inflows with 8.4% dividend yield through options strategies, reflecting investor demand for income amid market uncertainty.
JEPImarket volatilitydividend yield
The Motley FoolThe Motley Fool··Eric Trie

VNQ vs. ICF: Broad REIT Exposure Faces Off Against Concentrated Sector Leaders

VNQ offers broad REIT exposure with lower costs; ICF concentrates on large-cap leaders. Despite higher fees, ICF outperformed over five years.
WELLEQIXPLDVNQAMT+1dividend yieldreal estate investment trusts
The Motley FoolThe Motley Fool··Jack Delaney

Energy Giants Offer Decades of Dividend Growth for Income Investors

Enterprise Products Partners and Enbridge deliver sustainable 5-6% yields backed by 27-31 years of consecutive dividend increases, appealing to passive income investors.
METAENBEPDenergy sectordividend stocks
The Motley FoolThe Motley Fool··Reuben Gregg Brewer

Oil Price Decline: Winners and Losers Among Energy Giants

Energy stocks face divergent outcomes as oil prices normalize. Upstream producers most vulnerable; integrated majors and midstream operators better positioned.
EPDCVXDVNdividend yieldenergy stocks
The Motley FoolThe Motley Fool··Thomas Niel

Oil Boom Lifts Energy Stocks: Chevron, ExxonMobil, Energy Transfer Emerge as Top Plays

Chevron, ExxonMobil, and Energy Transfer LP offer attractive yields and growth as crude oil surges above $100/barrel, backed by cost discipline and production expansion.
XOMCVXshareholder returnsdividend yield
The Motley FoolThe Motley Fool··Reuben Gregg Brewer

Verizon's Income Appeal Masks Structural Headwinds Ahead

Verizon's 5.5% dividend yield attracts income investors, but 2% dividend growth and structural headwinds—including limited pricing power and substantial debt—limit total return potential.
VZTTBBTpATpC+4dividend growthdividend yield
The Motley FoolThe Motley Fool··Sara Appino

REET vs. HAUZ: Divergent Real Estate Strategies Split U.S. and Global Markets

REET blends U.S. and international REITs with 70% domestic exposure; HAUZ focuses entirely abroad. HAUZ offers lower fees and higher yields but steeper drawdowns.
REETHAUZREITdividend yield
The Motley FoolThe Motley Fool··Justin Pope

Energy Stocks Emerge as Dividend Havens: Four Picks for March Income Seekers

Four energy stocks offer compelling dividend yields: pipeline operators Oneok and Kinder Morgan for stable cash flow, Chevron for 39-year dividend growth, Constellation Energy for nuclear/AI demand.
METACEGCVXOKEEP+2nuclear energyenergy sector
The Motley FoolThe Motley Fool··Andy Gould

GQRE vs. VNQ: Global Reach and Yield Premium Test Real Estate ETF Value

FlexShares' GQRE outperforms Vanguard's VNQ with higher yield and returns, but charges triple the fees for global diversification versus U.S. focus.
WELLEQIXPLDVNQAMT+1dividend yieldliquidity
The Motley FoolThe Motley Fool··Sara Appino

Global vs. Domestic: How HAUZ and ICF REITs Chart Opposing Real Estate Paths

HAUZ and ICF offer contrasting real estate strategies: HAUZ provides global exposure with lower costs and higher yields, while ICF concentrates on large U.S. REITs.
ICFHAUZdividend yieldportfolio strategy
The Motley FoolThe Motley Fool··Jake Lerch

VNQ vs. REET: A Tale of Two Real Estate ETFs

$VNQ offers higher yields and larger assets; $REET delivers better returns with broader global diversification across 325 holdings.
WELLEQIXPLDVNQREETREITdividend yield
The Motley FoolThe Motley Fool··Sara Appino

State Street's RWR vs. RWX: Domestic REIT Focus Outpaces Global Real Estate

State Street's $RWR and $RWX offer competing real estate strategies—domestic U.S. REITs with lower fees versus international exposure at higher cost.
WELLEQIXPLDRWRRWXportfolio diversificationdividend yield
The Motley FoolThe Motley Fool··Andy Gould

RWR vs. ICF: Comparing Two Major REIT ETFs for Income Investors

RWR offers higher yields (3.4%), lower costs (0.25%), and broader diversification than ICF, making it superior for most income investors; ICF suits conviction-focused allocators.
WELLEQIXPLDAMTICFIportfolio diversificationdividend yield
BenzingaBenzinga··Globe Newswire

US Financial 15 Split Corp. Maintains 10% Annual Dividend on Preferred Shares

US Financial 15 Split Corp. declared $0.06942 monthly preferred dividend (10% annual yield) payable April 10, 2026, providing income from 15 major U.S. financial services companies.
AXPWFCWFCpAWFCpCWFCpD+31dividend yielddistribution
The Motley FoolThe Motley Fool··Lawrence Rothman, Cfa

Dividend Kings Show Path to Stable Returns: $CL and $AWR Lead Pack

Colgate-Palmolive and American States Water emerge as top dividend stocks with 50+ years of consecutive increases and yields exceeding S&P 500 average.
CLAWRdividend stocksfree cash flow
The Motley FoolThe Motley Fool··Robert Izquierdo

VNQI vs. ICF: How Vanguard's Global REIT Strategy Outpaced iShares' U.S. Focus

VNQI's global REIT strategy delivered 18.2% returns versus ICF's 8.9%, with lower 0.12% fees and higher 4.3% dividend yield, making it attractive for international-focused real estate investors.
WELLEQIXAMTVNQIICFREITdividend yield
Investing.comInvesting.com··Jeffrey Neal Johnson

Karat Packaging Stock Soars 20% on Record Earnings Despite Tariff Headwinds

$KRAT surges 20% after Q4 earnings beat: $115.6M sales (+13.7% YoY), $7.2M net income (+22.8%), eco-friendly products hit 37.3% of revenue.
KRTrevenue growthdividend yield
The Motley FoolThe Motley Fool··Jake Lerch

VBR vs. ISCV: Comparing Two Small-Cap Value ETF Heavyweights

$VBR dominates $ISCV in scale ($62.3B vs $594.6M) with better liquidity, while $ISCV edges performance (18.3% vs 17.9%) with higher yield.
MRNACFISCVVBRdividend yieldsector exposure