yield

18 articles
BenzingaBenzinga··Prnewswire

FS Specialty Lending Fund Maintains 9.2% NAV Yield Amid Market Price Volatility

FSSL declares $0.1375 monthly distribution for May 2026, sustaining 9.2% NAV yield despite 9.1% market price decline year-to-date.
FSSLdividenddistribution
The Motley FoolThe Motley Fool··Micah Zimmerman

Dividend Powerhouses Poised for Gains as Consumer Staples Find New Growth

Hershey, General Mills, and Kimberly-Clark leverage cocoa cost relief, operational improvements, and strategic acquisition to reignite dividend growth potential for long-term investors.
KMBKVUEGISHSYacquisitiondividend stocks
The Motley FoolThe Motley Fool··Daniel Foelber

P&G Hits Historic 70th Dividend Raise: Why This Stability Play Attracts Income Investors

Procter & Gamble announces 70th consecutive dividend increase to $1.0885/share, offering 3% yield with strong margins and five-year valuation lows.
WMTKOCOSTPGvaluationpassive income
The Motley FoolThe Motley Fool··Jonathan Ponciano

Bond Ladder Play: $3.4M Buy Signals Shift to Income-Focused Positioning

Asset manager Clark expands corporate bond ETF position to $16M, reflecting strategic income focus through 2031 maturity ladder.
BSCVfixed incomeinvestment grade
The Motley FoolThe Motley Fool··Jonathan Ponciano

Asset Manager Bets Big on 2030 Bonds as 4%+ Yields Attract Strategic Laddering

Clark Asset Management invested $3.48M in BSCU bond ETF to lock in 4.55% yields through strategic bond laddering approach.
BSCUSEC filingfixed income
The Motley FoolThe Motley Fool··Sara Appino

Same Fee, Different Risk: How VCSH and BSV Chase Yield in Bond Market

Vanguard's VCSH and BSV offer identical 0.03% fees but diverge strategically: VCSH focuses on corporate bonds (4.4% yield), while BSV blends Treasuries and corporates (3.9% yield).
BSVVCSHportfolio diversificationinvestment grade
BenzingaBenzinga··Globe Newswire

Canadian Banc Corp. Declares Monthly Dividends; Class A Yield Holds at 15%

Canadian Banc Corp. declares monthly distributions of $0.18138 per Class A share and $0.04958 per Preferred share, maintaining 15% annualized yield through concentrated Canadian bank exposure.
RYBNSTDCMBERZ+24dividend declarationCanadian banks
BenzingaBenzinga··Prnewswire

Bluerock Private Real Estate Fund Boosts Distributions to 8.3% Yield

BPRE announces third consecutive distribution increase to $0.1208/share for May-June 2026, delivering 26.9% total return since December listing.
BPREcapital allocationmonthly distributions
Investing.comInvesting.com··Jordan Chussler

Three Blue-Chips Boost Dividends Sharply, Signaling Confidence Amid Market Uncertainty

HSBC, Crown Holdings, and Torm A/S boost dividends by 34-350%, offering yields from 1.22% to 9.6% amid investor demand for equity income.
HSBCCCKTRMDdividend increaseoil prices
The Motley FoolThe Motley Fool··Dan Caplinger

JPMorgan's JEPI ETF Redefines Income Investing With 8% Yields Via Options Strategy

$JEPI ETF generates 8%+ yields using covered call strategies, dramatically outpacing traditional dividend yields of 1-2%, though investors sacrifice capital appreciation upside.
JNJGOOGGOOGLJEPIADIdividend incomeETF
The Motley FoolThe Motley Fool··John Ballard

Gallagher Fiduciary Deepens Bond Bet With $40M Vanguard ETF Purchase

Gallagher Fiduciary increases $VCLT holdings by $40M in Q4, now totaling $64M position, reflecting 2026 rate-cut expectations.
DALMCDVTIPCGPCGpA+9institutional investinginterest rates
The Motley FoolThe Motley Fool··James Hires

Three Blue-Chip Dividend Stocks Offer Compounding Wealth for Long-Term Investors

Three dividend aristocrats—Pentair, Enterprise Products Partners, and T. Rowe Price Group—offer compelling income and growth opportunities with 117 combined years of consecutive dividend increases.
EPDPNRTROWdividend stockslong-term investing
The Motley FoolThe Motley Fool··Ben Gran

High-Yield Emerging Markets Bond ETF Offers Attractive Returns With Elevated Risk

Vanguard's emerging markets bond ETF ($VWOB) delivered 11.6% returns but carries 41% speculative-grade debt. Riskier than traditional bond funds; investors should evaluate alternatives like $BNDX.
BNDVWOBBNDXemerging marketsyield
BenzingaBenzinga··Prnewswire

Alexandria Real Estate Maintains $0.72 Dividend as REIT Signals Confidence

Alexandria Real Estate maintains $0.72 quarterly dividend with 5.2% yield and conservative 33% payout ratio, signaling confidence.
AREdividendcash dividend
The Motley FoolThe Motley Fool··John Ballard

Flaharty Asset Management Adds $15M Position in Short-Duration Bond ETF

Flaharty Asset Management bought $14.8M in short-duration bond ETF shares, seeking yield near 4% while reducing interest rate risk amid anticipated monetary policy shifts.
JAAAFTSLFTSMMINTinstitutional investmentcapital preservation
The Motley FoolThe Motley Fool··Reuben Gregg Brewer

Energy Transfer's Dividend Growth Streak Faces Investor Scrutiny Over Historical Cuts

Energy Transfer maintains 4-year dividend growth streak with 7% yield, but 2020 pandemic cut haunts investor confidence. Competitors offer lower yields with longer unbroken growth histories.
EPDETETpIdistribution growthmidstream
The Motley FoolThe Motley Fool··Reuben Gregg Brewer

REITs With Decades of Dividend Growth Offer Yields Above Market Average

Two REITs with decades of dividend growth offer yields above market average: Federal Realty at 4.2% and Realty Income at nearly 5%, both exceeding S&P 500 yields.
OFRTFRTpCdividend stockspassive income
The Motley FoolThe Motley Fool··Marc Guberti

Tech Giants Present Dividend Opportunities Amid Market Shifts

Tech companies Silicon Motion and Microsoft offer dividend opportunities despite market volatility. Silicon Motion surges 46% on AI demand with 1.83% yield; Microsoft's pullback raises dividend yield to 0.91%.
MSFTSIMOAI infrastructuredividend stocks