I personally don't
care about analysts and lead investors who are sometimes anxious about the
future of the company. In other cases, they need to justify their portfolio
risk.
I love it to see
bad performing dividend stocks with a very long history of solid growing
dividends, especially when the future outlook is still bright.
Below I've
highlighted some of the worst performing and most disliked dividend growth
stocks on the market with a negative 1-Year performance. They all got low
forward P/E and yields over 3 percent.
What do you think, are they underestimated by the market?
Seadrill (NYSE:SDRL) has a market capitalization of $17.22 Billion. The company employs 8,965 people, generates revenue of $5,282.00 million and has a net income of $2,786.00 million. Seadrill’s earnings before interest, taxes, depreciation and amortization (EBITDA) amounts to $2,748.00 million. The EBITDA margin is 52.03 percent (the operating margin is 39.72 percent and the net profit margin 52.75 percent).
What do you think, are they underestimated by the market?
Financial Analysis: The total debt represents 56.79 percent of Seadrill’s assets and the total debt in relation to the equity amounts to 198.83 percent. Due to the financial situation, a return on equity of 40.77 percent was realized by Seadrill. Twelve trailing months earnings per share reached a value of $10.80. Last fiscal year, Seadrill paid $3.72 in the form of dividends to shareholders.
Market Valuation: Here are the price ratios of the company: The P/E ratio is 3.40, the P/S ratio is 3.18 and the P/B ratio is finally 2.29. The dividend yield amounts to 10.90 percent and the beta ratio has a value of 1.78.
Long-Term Stock Price Chart Of Seadrill (SDRL) |
Long-Term Dividend Payment History of Seadrill (SDRL) |
Long-Term Dividend Yield History of Seadrill (SDRL) |
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Philip Morris (NYSE:PM) has a market capitalization of $131.19 Billion. The company employs 91,100 people, generates revenue of $31,217 billion and has a net income of $8,872.00 million. Philip Morris’s earnings before interest, taxes, depreciation and amortization (EBITDA) amounts to $14,707.00 million. The EBITDA margin is 47.11 percent (the operating margin is 43.29 percent and the net profit margin 28.42 percent).
Financial Analysis: The total debt represents 72.52 percent of Philip Morris’s assets. Twelve trailing months earnings per share reached a value of $3.85. Last fiscal year, Philip Morris paid $3.58 in the form of dividends to shareholders.
Market Valuation: Here are the price ratios of the company: The P/E ratio is 21.77, the P/S ratio is 4.14 and the P/B ratio is not calculable. The dividend yield amounts to 4.55 percent and the beta ratio has a value of 0.91.
Long-Term Stock Price Chart Of Philip Morris (PM) |
Long-Term Dividend Payment History of Philip Morris (PM) |
Long-Term Dividend Yield History of Philip Morris (PM) |
Consolidated Edison (NYSE:ED) has a market capitalization of $16.67 Billion. The company employs 14,648 people, generates revenue of $12,354.00 million and has a net income of $1,062.00 million. Consolidated Edison’s earnings before interest, taxes, depreciation and amortization (EBITDA) amounts to $3,268.00 million. The EBITDA margin is 26.45 percent (the operating margin is 18.16 percent and the net profit margin 8.60 percent).
Financial Analysis: The total debt represents 30.57 percent of Consolidated Edison’s assets and the total debt in relation to the equity amounts to 101.48 percent. Due to the financial situation, a return on equity of 8.81 percent was realized by Consolidated Edison. Twelve trailing months earnings per share reached a value of $4.19. Last fiscal year, Consolidated Edison paid $2.46 in the form of dividends to shareholders.
Market Valuation: Here are the price ratios of the company: The P/E ratio is 13.60, the P/S ratio is 1.35 and the P/B ratio is finally 1.36. The dividend yield amounts to 4.43 percent and the beta ratio has a value of 0.20.
Long-Term Stock Price Chart Of Consolidated Edison (ED) |
Long-Term Dividend Payment History of Consolidated Edison (ED) |
Long-Term Dividend Yield History of Consolidated Edison (ED) |
Mattel (NASDAQ:MAT) has a market capitalization of $12.15 Billion. The company employs 29,000 people, generates revenue of $6,484.89 million and has a net income of $903.94 million. Mattel’s earnings before interest, taxes, depreciation and amortization (EBITDA) amounts to $1,364.50 million. The EBITDA margin is 21.04 percent (the operating margin is 18.01 percent and the net profit margin 13.94 percent).
Financial Analysis: The total debt represents 24.91 percent of Mattel’s assets and the total debt in relation to the equity amounts to 49.34 percent. Due to the financial situation, a return on equity of 28.35 percent was realized by Mattel. Twelve trailing months earnings per share reached a value of $2.32. Last fiscal year, Mattel paid $1.44 in the form of dividends to shareholders.
Market Valuation: Here are the price ratios of the company: The P/E ratio is 15.40, the P/S ratio is 1.86 and the P/B ratio is finally 3.73. The dividend yield amounts to 4.25 percent and the beta ratio has a value of 0.71.
Long-Term Stock Price Chart Of Mattel (MAT) |
Long-Term Dividend Payment History of Mattel (MAT) |
Long-Term Dividend Yield History of Mattel (MAT) |
Shaw Communication (NYSE:SJR) has a market capitalization of $11.25 Billion. The company employs 14,500 people, generates revenue of $4,686.90 million and has a net income of $714.61 million. Shaw Communication’s earnings before interest, taxes, depreciation and amortization (EBITDA) amounts to $2,021.69 million. The EBITDA margin is 43.13 percent (the operating margin is 26.41 percent and the net profit margin 15.25 percent).
Financial Analysis: The total debt represents 38.22 percent of Shaw Communication’s assets and the total debt in relation to the equity amounts to 116.36 percent. Due to the financial situation, a return on equity of 19.95 percent was realized by Shaw Communication. Twelve trailing months earnings per share reached a value of $1.53. Last fiscal year, Shaw Communication paid $0.92 in the form of dividends to shareholders.
Market Valuation: Here are the price ratios of the company: The P/E ratio is 15.97, the P/S ratio is 2.42 and the P/B ratio is finally 3.12. The dividend yield amounts to 4.12 percent and the beta ratio has a value of 0.59.
Long-Term Stock Price Chart Of Shaw Communication (SJR) |
Long-Term Dividend Payment History of Shaw Communication (SJR) |
Long-Term Dividend Yield History of Shaw Communication (SJR) |
Target (NYSE:TGT) has a market capitalization of $37.10 Billion. The company employs 366,000 people, generates revenue of $72,596.00 million and has a net income of $1,971.00 million. Target’s earnings before interest, taxes, depreciation and amortization (EBITDA) amounts to $6,452.00 million. The EBITDA margin is 8.89 percent (the operating margin is 5.21 percent and the net profit margin 2.72 percent).
Financial Analysis: The total debt represents 30.93 percent of Target’s assets and the total debt in relation to the equity amounts to 84.91 percent. Due to the financial situation, a return on equity of 12.02 percent was realized by Target. Twelve trailing months earnings per share reached a value of $2.96. Last fiscal year, Target paid $1.58 in the form of dividends to shareholders.
Market Valuation: Here are the price ratios of the company: The P/E ratio is 19.80, the P/S ratio is 0.51 and the P/B ratio is finally 2.28. The dividend yield amounts to 3.55 percent and the beta ratio has a value of 0.55.
Long-Term Stock Price Chart Of Target (TGT) |
Long-Term Dividend Payment History of Target (TGT) |
Long-Term Dividend Yield History of Target (TGT) |
ConAgra Foods (NYSE:CAG) has a market capitalization of $13.08 Billion. The company employs 32,800 people, generates revenue of $17,708.90 million and has a net income of $278.20 million. ConAgra Foods’s earnings before interest, taxes, depreciation and amortization (EBITDA) amounts to $1,595.40 million. The EBITDA margin is 9.01 percent (the operating margin is 5.08 percent and the net profit margin 1.57 percent).
Financial Analysis: The total debt represents 46.44 percent of ConAgra Foods’s assets and the total debt in relation to the equity amounts to 171.03 percent. Due to the financial situation, a return on equity of 5.65 percent was realized by ConAgra Foods. Twelve trailing months earnings per share reached a value of $0.69. Last fiscal year, ConAgra Foods paid $1.00 in the form of dividends to shareholders.
Market Valuation: Here are the price ratios of the company: The P/E ratio is 44.90, the P/S ratio is 0.74 and the P/B ratio is finally 2.48. The dividend yield amounts to 3.23 percent and the beta ratio has a value of 0.47.
Long-Term Stock Price Chart Of ConAgra Foods (CAG) |
Long-Term Dividend Payment History of ConAgra Foods (CAG) |
Long-Term Dividend Yield History of ConAgra Foods (CAG) |
Syngenta (NYSE:SYT) has a market capitalization of $32.73 Billion. The company employs 29,000 people, generates revenue of $14,688.00 million and has a net income of $1,649.00 million. Syngenta’s earnings before interest, taxes, depreciation and amortization (EBITDA) amounts to $2,853.00 million. The EBITDA margin is 19.42 percent (the operating margin is 14.20 percent and the net profit margin 11.23 percent).
Financial Analysis: The total debt represents 15.86 percent of Syngenta’s assets and the total debt in relation to the equity amounts to 33.78 percent. Due to the financial situation, a return on equity of 18.00 percent was realized by Syngenta. Twelve trailing months earnings per share reached a value of $3.56. Last fiscal year, Syngenta paid $2.00 in the form of dividends to shareholders.
Market Valuation: Here are the price ratios of the company: The P/E ratio is 20.06, the P/S ratio is 2.24 and the P/B ratio is finally 3.45. The dividend yield amounts to 3.19 percent and the beta ratio has a value of 1.06.
Long-Term Stock Price Chart Of Syngenta (SYT) |
Long-Term Dividend Payment History of Syngenta (SYT) |
Long-Term Dividend Yield History of Syngenta (SYT) |
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community! Thank you so much, we really appreciate it.
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*I am long TGT, MAT, PM. I receive
no compensation to write about these specific stocks, sector or theme. I don't
plan to increase or decrease positions or obligations within the next 72 hours.
For the other stocks: I
have no positions in any stocks mentioned, and no plans to initiate any
positions within the next 72 hours. I receive no compensation to write about
any specific stock, sector or theme.