Bookmark and Share
Showing posts with label 3M. Show all posts
Showing posts with label 3M. Show all posts

Full List Of Yields From U.S. Dividend Aristocrat - August 2018


Company P/E Beta Yield Corporate Factbook
At&t 6.30 0.50 6.27 Factbook of At&t
Hcp 220.50 0.24 5.69 Factbook of Hcp
Exxon Mobil 16.40 0.92 3.91 Factbook of Exxon Mobil
Cardinal Health 9.30 1.32 3.81 Factbook of Cardinal Health
Consolidated Edison 15.60 -0.14 3.68 Factbook of Consolidated Ed
Procter & Gamble 22.50 0.58 3.56 Factbook of Procter & Gambl
Chevron 19.50 0.85 3.55 Factbook of Chevron
Kimberly-clark 17.30 0.61 3.39 Factbook of Kimberly-clark
Coca-cola 86.30 0.48 3.36 Factbook of Coca-cola
Pepsico 36.20 0.47 3.27 Factbook of Pepsico
Leggett Platt 20.40 0.88 3.25 Factbook of Leggett Platt
Target 15.00 0.32 3.14 Factbook of Target
Genuine Parts 21.60 0.95 2.96 Factbook of Genuine Parts
Clorox 22.90 0.53 2.86 Factbook of Clorox
Archer-daniels-midland 14.60 0.49 2.79 Factbook of Archer-daniels-
Air Products & Chemicals 23.30 1.12 2.68 Factbook of Air Products & 
Emerson Electric 28.60 0.99 2.64 Factbook of Emerson Electri
Cincinnati Financial 11.80 0.88 2.59 Factbook of Cincinnati Fina
3m 28.40 1.31 2.56 Factbook of 3m
Johnson & Johnson 333.00 0.91 2.54 Factbook of Johnson & Johns
Mcdonalds 24.80 0.79 2.47 Factbook of Mcdonalds
Vf Corp 49.40 0.57 2.42 Factbook of Vf Corp
Walgreens Boots Alliance 15.70 0.78 2.41 Factbook of Walgreens Boots
T. Rowe Price Group 18.20 1.41 2.39 Factbook of T. Rowe Price G
Abbvie 35.20 1.41 2.34 Factbook of Abbvie
Franklin Resources 33.00 1.14 2.31 Factbook of Franklin Resour
Nucor 12.30 0.00 2.31 Factbook of Nucor
Hormel Foods 19.10 0.63 2.27 Factbook of Hormel Foods
Colgate Palmolive 30.20 0.50 2.25 Factbook of Colgate Palmoli
Aflac 8.00 0.69 2.23 Factbook of Aflac
Medtronic 40.00 1.05 2.22 Factbook of Medtronic
Wal-mart Stores 27.50 0.80 2.19 Factbook of Wal-mart Stores
Sysco 28.20 0.45 2.15 Factbook of Sysco
Adp 36.80 0.91 2.08 Factbook of Adp
Pentair 18.90 0.79 1.96 Factbook of Pentair
Lowes Companies 21.30 1.01 1.96 Factbook of Lowes Companies
Mccormick 28.90 0.54 1.94 Factbook of Mccormick
Chubb 17.30 0.85 1.94 Factbook of Chubb
Grainger, W.w. 26.10 0.59 1.89 Factbook of Grainger, W.w.
Illinois Tool Works 33.20 1.08 1.89 Factbook of Illinois Tool W
Dover 19.40 0.97 1.80 Factbook of Dover
Stanley Black & Decker 21.60 1.32 1.74 Factbook of Stanley Black &
Abbott Laboratories 130.50 1.34 1.73 Factbook of Abbott Laborato
Ppg Industries 17.80 0.79 1.53 Factbook of Ppg Industries
Ecolab 25.40 0.72 1.24 Factbook of Ecolab
Becton Dickinson 106.50 1.15 1.20 Factbook of Becton Dickinso
S&p Global 30.90 0.94 1.00 Factbook of S&p Global
Cintas 34.00 0.99 0.95 Factbook of Cintas
Brown-forman 36.00 0.94 0.91 Factbook of Brown-forman
Sherwin-williams 22.60 1.12 0.78 Factbook of Sherwin-william

Do you like my content? If yes, you can subscribe to my free newsletter or help me with a small donation

As gift, you will get my Dividend Yield Factbooks direct to your e-mail address as well as every month a free update. Thank you for your support.



Dividend Champion of the Day - #3M Company ($MMM) Has A Target Price of $211,54

Check out today's Corporate Factbook of 3M Company.

3M Company (MMM) Company Profile:

3M Company operates as a diversified technology company worldwide. The company's Industrial segment offers tapes; coated, non-woven, and bonded abrasives; adhesives; ceramics; sealants; specialty materials; purification products; closure systems for personal hygiene products; acoustic systems products; automotive components; and abrasion-resistant films, and paint finishing and detailing products. Its Safety and Graphics Business segment provides personal protection products, transportation safety products, commercial graphics systems, commercial cleaning and protection products, floor matting, roofing granules for asphalt shingles, and fall protection products. The company's Health Care segment offers medical and surgical supplies, skin health and infection prevention products, inhalation and transdermal drug delivery systems, dental and orthodontic products, health information systems, and food safety products. Its Electronics and Energy segment provides optical films; packaging and interconnection devices; insulating and splicing solutions; touch screens and touch monitors; renewable energy component solutions; and infrastructure protection products. The company's Consumer segment offers sponges, scouring pads, high-performance cloths, repositionable notes, indexing systems, home improvement and care products, and protective materials; and consumer and office tapes and adhesives. It serves automotive, electronics and automotive electrification, appliance, paper and printing, packaging, food and beverage, construction, medical clinics and hospitals, pharmaceuticals, dental and orthodontic practitioners, health information systems, food manufacturing and testing, consumer and office retail, office business to business, home improvement, drug and pharmacy retail, and other markets directly, as well as through wholesalers, retailers, jobbers, distributors, and dealers. The company was founded in 1902 and is headquartered in St. Paul, Minnesota.

Price: 198,84 Mean Analyst Target Price: 211,54



Market cap.: 118.20Billion| Sector: Industrial Goods | Industry: Diversified Machinery
Sales: 32.25Billion | Income: 5.12Billion

1-Year Price Range: 191.44 - 259.77 | 1-Y Performance: -5.8% | YTD Performance: -15.5%

Yield: 2.74% | P/E: 23,82 | Fwd. P/E 17,73 | P/S: 3,67 | P/B: 10,8


If you want to receive the full Corporate Factbook of 3M Company with all fresh updated content tables, just make a small donation.

After we’ve received your support donation, we send you the full PDF of the fresh updated Corporate Factbook to your donation e-mail address. Thank you so much for supporting us. Your giving helps us to create more free financial content for the world.





Here is an example of a Corporate Factbook you will receive, fresh updated for your donation:



----Bonus for your donation----


We will create a special report of the company with the following content exclusivly for you:



Diversified Industrial Technology Company 3M Completes The Dividend Yield Passive Income Portfolio

Despite the small correction within the financial markets, the asset prices for high-quality dividend growth stocks are still high. We need a bigger correction to get back to normal prices but the current forces are too strength. It’s a process of valuation adjustments – stock yields come down to bond yields.

Last Friday, I put 15 shares of the industrial conglomerate into the Dividend Yield Passive Income (DYPI) Portfolio. I bought the company at 110.27 which resulted into a total purchase amount of $ 1,654.05. Below is a graph of the latest earnings and dividend developments from the recent five years.

Earnings and Dividends of MMM 3M

3M Company is a diversified technology company with a presence in the industrial and transportation; health care; consumer and office; safety, security and protection services; display and graphics, and electro and communications businesses. 3M manages its operations in six business segments: Industrial and Transportation; Health Care; Consumer and Office; Safety, Security and Protection Services; Display and Graphics, and Electro and Communications. 

MMM is also not cheap but compared to other dividend champions lower valuated. The current P/E amounts to 17.42 while the forward P/E is calculated at 15.02. Investors get a yield of 2.30%.

Dividend Yield Passive Income Portfolio (Click to enlarge)

Latest Portfolio Transactions (Click to enlarge)

The 3M position is the eleventh biggest position within the DYPI-Portfolio. The portfolio has now 34 constituents and was funded on October 04, 2012. I plan to purchase each week one stake at cost between $1 to $2k. As a result, the cash reduced from $100k to $51. It’s a strategy of slow purchase and if the markets go further strong up, I need to close my acquisition process and rest on cash. The current valuation is too high to get good long-term yields.

What happened with my current holdings? They realized a gain of 10.24 percent. Because of the high cash amount (around 50 percent of the portfolio is still not invested), the portfolio performance life-to-date amounts to 5.46%.

The new stake will give me around $37 bucks per year in additional dividend income. The full year estimated passive dividend income is now at $1,718.

Here is the income perspective of the portfolio:

Sym
Name
P/E Ratio
Dividend Yield

Buy
# Shrs
Income
Value
TRI
Thomson Reuters C
16.66
3.68

28.90
50
$64.50
$1,761.50
LMT
Lockheed Martin C
12.28
4.05

92.72
20
$86.00
$2,141.20
INTC
Intel Corporation
12.02
3.68

21.27
50
$44.25
$1,196.15
MCD
McDonald's Corpor
18.74
2.91

87.33
15
$44.10
$1,504.35
WU
Western Union Com
9.9
2.73

11.95
100
$45.00
$1,645.00
PM
Philip Morris Int
18.13
3.56

85.42
20
$67.18
$1,882.40
JNJ
Johnson & Johnson
23.69
2.86

69.19
20
$49.80
$1,736.40
MO
Altria Group Inc
17.06
4.69

33.48
40
$69.20
$1,483.60
SYY
Sysco Corporation
20.09
3.18

31.65
40
$44.00
$1,392.80
DRI
Darden Restaurant
16.23
3.76

46.66
30
$60.00
$1,584.90
CA
CA Inc.
13.21
3.66

21.86
50
$50.00
$1,370.00
PG
Procter & Gamble
17.63
2.91

68.72
25
$57.20
$2,047.00
KRFT
Kraft Foods Group
21.14
3.51

44.41
40
$80.00
$2,280.40
MAT
Mattel Inc.
19.72
2.84

36.45
40
$51.60
$1,825.20
PEP
Pepsico Inc. Com
21.04
2.62

70.88
20
$43.00
$1,651.60
KMB
Kimberly-Clark Co
22.31
2.95

86.82
15
$45.45
$1,552.65
COP
ConocoPhillips Co
10.19
4.2

61.06
20
$52.80
$1,250.60
GIS
General Mills In
17.89
2.7

42.13
30
$39.60
$1,469.40
UL
Unilever PLC Comm
21.71
2.96

39.65
35
$44.91
$1,513.05
NSRGY
NESTLE SA REG SHR
19.11
3.2

68.69
30
$65.31
$2,049.00
GE
General Electric
17.53
3.04

23.39
65
$46.80
$1,529.45
ADP
Automatic Data Pr
23.79
2.37

61.65
25
$41.50
$1,746.25
K
Kellogg Company C
25.42
2.71

61.52
25
$43.75
$1,611.25
KO
Coca-Cola Company
21.94
2.49

38.83
40
$41.80
$1,689.60
RTN
Raytheon Company
11.71
3.07

57.04
20
$41.00
$1,334.60
RCI
Rogers Communicat
13.65
3.46

51.06
30
$48.69
$1,390.50
GPC
Genuine Parts Com
19.79
2.47

77.06
20
$40.44
$1,628.00
TSCDY
TESCO PLC SPONS A
N/A
4.05

17.98
70
$49.63
$1,212.40
APD
Air Products and
16.87
2.79

85.71
15
$39.45
$1,408.95
GSK
GlaxoSmithKline P
19.27
4.45

52.16
30
$70.38
$1,589.10
WMT
Wal-Mart Stores
15.04
2.27

79.25
20
$34.72
$1,546.20
BTI
British American
17.81
3.67

114.6
13
$53.82
$1,466.53
CHL
China Mobile Limi
10.5
1.98

55.32
25
$26.33
$1,330.50
mmm
3M Company Common
17.41
2.22

110.27
15
$36.75
$1,654.05
















$1,718.95
$54,474.58
















Average Yield
3.16%
















Yield On Cost
3.49%