Fair-Valued Dividend Stocks (2016)
Ticker Company Industry Price Growth P/E Growth Dividend Growth Market Caps Yields
JNJ Johnson & Johnson Major Pharmaceuticals 123 % 80 % 76 % 340.96B 2.55% detail
PG Procter & Gamble Company (The) Package Goods/Cosmetics 73 % 20 % 84 % 232.00B 2.96% detail
WMT Wal-Mart Stores, Inc. Department/Specialty Retail Stores 55 % 19 % 126 % 215.53B 2.93% detail
PEP Pepsico, Inc. Beverages (Production/Distribution) 111 % 70 % 79 % 160.49B 2.68% detail
UN Unilever NV Package Goods/Cosmetics 62 % 38 % 66 % 143.40B 2.74% detail
UL Unilever PLC Package Goods/Cosmetics 63 % 41 % 83 % 142.50B 2.74% detail
SAP SAP SE Computer Software: Prepackaged Software 108 % 11 % 136 % 117.86B 1.34% detail
MMM 3M Company Medical/Dental Instruments 158 % 81 % 122 % 114.06B 2.45% detail
MDT Medtronic plc Biotechnology: Electromedical & Electrotherapeutic Apparatus 88 % 53 % 234 % 110.50B 2.12% detail
RY Royal Bank Of Canada Commercial Banks 66 % -7 % 65 % 107.83B 3.6% detail
MCD McDonald's Corporation Restaurants 144 % 95 % 121 % 106.02B 2.91% detail
GS Goldman Sachs Group, Inc. (The) Investment Bankers/Brokers/Service 56 % -24 % 86 % 95.13B 1.14% detail
UPS United Parcel Service, Inc. Trucking Freight/Courier Services 145 % 68 % 73 % 92.39B 3.16% detail
TD Toronto Dominion Bank (The) Commercial Banks 102 % 13 % 86 % 91.50B 3.27% detail
UTX United Technologies Corporation Aerospace 87 % 51 % 96 % 90.85B 2.36% detail
WBA Walgreens Boots Alliance, Inc. Medical/Nursing Services 161 % 64 % 268 % 90.39B 1.81% detail
QCOM QUALCOMM Incorporated Radio And Television Broadcasting And Communications Equipment 65 % -14 % 245 % 84.75B 3.72% detail
DEO Diageo plc Beverages (Production/Distribution) 84 % 26 % 77 % 73.02B 2.61% detail
BNS Bank of Nova Scotia (The) Major Banks 60 % 9 % 52 % 71.37B 3.9% detail
CL Colgate-Palmolive Company Package Goods/Cosmetics 88 % 56 % 99 % 65.13B 2.17% detail
EPD Enterprise Products Partners L.P. Natural Gas Distribution 147 % 57 % 56 % 57.14B 6.06% detail
MON Monsanto Company Agricultural Chemicals 46 % 10 % 181 % 50.07B 1.9% detail
D Dominion Resources, Inc. Electric Utilities: Central 159 % 134 % 77 % 49.03B 3.86% detail
KMB Kimberly-Clark Corporation Containers/Packaging 139 % 85 % 59 % 47.29B 2.93% detail
ADP Automatic Data Processing, Inc. EDP Services 230 % 127 % 96 % 46.36B 2.21% detail
CSX CSX Corporation Railroads 160 % 96 % 177 % 43.86B 1.55% detail
BDX Becton, Dickinson and Company Medical/Dental Instruments 141 % 107 % 138 % 39.14B 1.59% detail
INFY Infosys Limited EDP Services 23 % -4 % 443 % 35.93B 2.4% detail
DE Deere & Company Industrial Machinery/Components 125 % 60 % 126 % 34.22B 2.2% detail
GIS General Mills, Inc. Packaged Foods 116 % 86 % 141 % 34.11B 3.25% detail
PX Praxair, Inc. Major Chemicals 70 % 36 % 100 % 33.93B 2.71% detail
NSC Norfolk Souther Corporation Railroads 148 % 73 % 93 % 32.93B 2.2% detail
FMX Fomento Economico Mexicano S.A.B. de C.V. Beverages (Production/Distribution) 77 % 12 % 427 % 32.74B 1.43% detail
WM Waste Management, Inc. Environmental Services 168 % 119 % 52 % 31.81B 2.35% detail
TGT Target Corporation Department/Specialty Retail Stores 78 % 40 % 287 % 29.98B 4.52% detail
AFL Aflac Incorporated Accident &Health Insurance 80 % -16 % 73 % 28.78B 2.39% detail
SRE Sempra Energy Natural Gas Distribution 123 % 67 % 120 % 28.08B 2.93% detail
EIX Edison International Electric Utilities: Central 155 % 94 % 61 % 26.36B 2.69% detail
CAH Cardinal Health, Inc. Other Pharmaceuticals 158 % 63 % 246 % 25.87B 2.21% detail
GLW Corning Incorporated Telecommunications Equipment 46 % 14 % 170 % 25.57B 2.26% detail
ROST Ross Stores, Inc. Clothing/Shoe/Accessory Stores 560 % 105 % 643 % 25.54B 0.97% detail
ADI Analog Devices, Inc. Semiconductors 181 % 96 % 121 % 25.42B 2.2% detail
IBN ICICI Bank Limited Commercial Banks 12 % -52 % 149 % 25.09B 1.77% detail
BEN Franklin Resources, Inc. Investment Managers 29 % -7 % 174 % 23.59B 1.94% detail
RCI Rogers Communication, Inc. Television Services 64 % -9 % 368 % 22.40B 3.82% detail
ERIC Ericsson Radio And Television Broadcasting And Communications Equipment -23 % -44 % 113 % 21.08B 6.98% detail
KYO Kyocera Corporation Semiconductors 13 % -55 % 69 % 21.01B 1.55% detail
OMC Omnicom Group Inc. Advertising 158 % 60 % 258 % 19.93B 2.61% detail
TU TELUS Corporation Telecommunications Equipment 172 % 103 % 102 % 18.92B 4.5% detail
ES Eversource Energy Electric Utilities: Central 172 % 73 % 117 % 18.85B 3.17% detail
CLX Clorox Company (The) Specialty Chemicals 144 % 89 % 96 % 17.57B 2.32% detail
TROW T. Rowe Price Group, Inc. Investment Bankers/Brokers/Service 71 % -22 % 125 % 16.65B 3.36% detail
SKM SK Telecom Co., Ltd. Telecommunications Equipment 29 % 0 % 62 % 16.37B 3.78% detail
EFX Equifax, Inc. Finance: Consumer Services 320 % 108 % 725 % 16.33B 1.15% detail
SJM J.M. Smucker Company (The) Packaged Foods 145 % 83 % 137 % 15.52B 2.25% detail
BBY Best Buy Co., Inc. Consumer Electronics/Video Chains 33 % 2 % 143 % 14.51B 2.63% detail
XLNX Xilinx, Inc. Semiconductors 186 % 91 % 171 % 14.43B 2.25% detail
GWW W.W. Grainger, Inc. Office Equipment/Supplies/Services 172 % 91 % 212 % 14.07B 2.04% detail
SNN Smith & Nephew SNATS, Inc. Industrial Specialties 67 % 9 % 152 % 13.74B 2.35% detail
CA CA Inc. Computer Software: Prepackaged Software 71 % 10 % 531 % 13.27B 3.2% detail
SEP Spectra Energy Partners, LP Natural Gas Distribution 125 % 63 % 96 % 13.04B 6.52% detail
LLL L3 Technologies, Inc. Radio And Television Broadcasting And Communications Equipment 106 % 77 % 133 % 12.97B 1.8% detail
COL Rockwell Collins, Inc. Military/Government/Technical 89 % 32 % 65 % 12.92B 1.36% detail
WHR Whirlpool Corporation Consumer Electronics/Appliances 164 % 67 % 127 % 12.65B 2.35% detail
CMS CMS Energy Corporation Power Generation 245 % 124 % 244 % 12.63B 2.94% detail
IVZ Invesco Plc Investment Managers 56 % -19 % 113 % 12.39B 3.72% detail
DOV Dover Corporation Industrial Machinery/Components 152 % 131 % 91 % 12.34B 2.25% detail
TIF Tiffany & Co. Consumer Specialties 106 % 46 % 165 % 11.96B 1.89% detail
PNR Pentair plc. Industrial Machinery/Components 100 % 32 % 97 % 11.41B 2.27% detail
CHRW C.H. Robinson Worldwide, Inc. Oil Refining/Marketing 46 % -5 % 93 % 10.95B 2.32% detail
EXPD Expeditors International of Washington, Inc. Oil Refining/Marketing 67 % -11 % 150 % 10.17B 1.43% detail
SJR Shaw Communications Inc. Television Services 32 % -19 % 65 % 10.13B 4.37% detail
GRMN Garmin Ltd. Industrial Machinery/Components 112 % 73 % 172 % 9.64B 3.99% detail
IHG Intercontinental Hotels Group Hotels/Resorts 225 % 126 % 71 % 9.45B 1.25% detail
VAL Valspar Corporation (The) Paints/Coatings 328 % 109 % 143 % 8.81B 1.33% detail
AOS Smith (A.O.) Corporation Consumer Electronics/Appliances 618 % 158 % 300 % 8.76B 1.09% detail
GOLD Randgold Resources Limited Precious Metals 0 % -56 % 560 % 8.36B 1.12% detail
BR Broadridge Financial Solutions, Inc. Business Services 251 % 142 % 425 % 8.02B 1.95% detail
ROL Rollins, Inc. Diversified Commercial Services 344 % 115 % 264 % 7.93B 1.15% detail
PSO Pearson, Plc Books -7 % -62 % 73 % 6.66B 10.59% detail
TTC Toro Company (The) Tools/Hardware 488 % 101 % 320 % 6.61B 1.15% detail
HUBB Hubbell Inc Electrical Products 191 % 123 % 88 % 6.57B 2.38% detail
WPC W.P. Carey Inc. Real Estate Investment Trusts 222 % 157 % 101 % 6.48B 6.46% detail
OZRK Bank of the Ozarks Major Banks 702 % 105 % 385 % 6.14B 1.37% detail
DCI Donaldson Company, Inc. Pollution Control Equipment 119 % 39 % 229 % 5.97B 1.56% detail
WST West Pharmaceutical Services, Inc. Specialty Chemicals 371 % 168 % 75 % 5.97B 0.64% detail
MSM MSC Industrial Direct Company, Inc. Industrial Machinery/Components 136 % 71 % 135 % 5.69B 1.79% detail
NEU NewMarket Corporation Major Chemicals 307 % 183 % 700 % 5.32B 1.57% detail
PII Polaris Industries Inc. Industrial Specialties 333 % 174 % 189 % 5.28B 2.79% detail
BOKF BOK Financial Corporation Major Banks 111 % 76 % 97 % 5.02B 2.33% detail
EV Eaton Vance Corporation Investment Managers 71 % 6 % 82 % 4.95B 2.53% detail
ATR AptarGroup, Inc. Plastic Products 131 % 51 % 118 % 4.80B 1.67% detail
PB Prosperity Bancshares, Inc. Major Banks 103 % 48 % 143 % 4.74B 2.0% detail
AWH Allied World Assurance Company Holdings, AG Property-Casualty Insurers 288 % 210 % 333 % 4.66B 1.96% detail
IDA IDACORP, Inc. Electric Utilities: Central 214 % 110 % 73 % 4.21B 2.65% detail
NATI National Instruments Corporation Computer Software: Prepackaged Software 82 % 6 % 176 % 4.19B 2.62% detail
CAE CAE Inc Industrial Machinery/Components 90 % 17 % 675 % 4.05B 1.71% detail
FLO Flowers Foods, Inc. Packaged Foods 131 % 87 % 142 % 4.05B 3.3% detail
CBRL Cracker Barrel Old Country Store, Inc. Restaurants 449 % 165 % 532 % 3.76B 2.94% detail
LANC Lancaster Colony Corporation Packaged Foods 267 % 119 % 85 % 3.52B 1.7% detail
VMI Valmont Industries, Inc. Metal Fabrications 91 % 18 % 206 % 3.41B 1.0% detail
SLGN Silgan Holdings Inc. Containers/Packaging 93 % 56 % 100 % 3.28B 1.21% detail
PSB PS Business Parks, Inc. Real Estate Investment Trusts 193 % 110 % 70 % 3.05B 2.99% detail
NUS Nu Skin Enterprises, Inc. Other Pharmaceuticals 109 % 88 % 223 % 2.88B 2.67% detail
SJI South Jersey Industries, Inc. Oil/Gas Transmission 123 % 63 % 93 % 2.82B 3.07% detail
NHI National Health Investors, Inc. Real Estate Investment Trusts 191 % 124 % 64 % 2.80B 5.28% detail
VGR Vector Group Ltd. Farming/Seeds/Milling 255 % 158 % 54 % 2.62B 7.96% detail
BCPC Balchem Corporation Major Chemicals 289 % 149 % 443 % 2.59B 0.47% detail
RLI RLI Corp. Property-Casualty Insurers 307 % 231 % 61 % 2.55B 1.37% detail
JJSF J & J Snack Foods Corp. Specialty Foods 262 % 103 % 330 % 2.54B 1.23% detail
AVA Avista Corporation Power Generation 150 % 91 % 99 % 2.52B 3.61% detail
KNX Knight Transportation, Inc. Trucking Freight/Courier Services 101 % 32 % 60 % 2.47B 0.77% detail
TR Tootsie Roll Industries, Inc. Specialty Foods 80 % 23 % 1650 % 2.36B 0.93% detail
HEP Holly Energy Partners, L.P. Natural Gas Distribution 152 % 82 % 57 % 2.16B 7.16% detail
AAN Aaron's, Inc. Diversified Commercial Services 118 % 63 % 150 % 2.08B 0.38% detail
AAON AAON, Inc. Industrial Machinery/Components 517 % 169 % 167 % 1.85B 0.72% detail
APOG Apogee Enterprises, Inc. Auto Parts:O.E.M. 332 % 131 % 79 % 1.67B 0.98% detail
ARLP Alliance Resource Partners, L.P. Coal Mining 73 % 25 % 58 % 1.56B 8.27% detail
AHGP Alliance Holdings GP, L.P. Coal Mining 69 % 40 % 98 % 1.54B 8.42% detail
WDFC WD-40 Company Major Chemicals 321 % 109 % 68 % 1.54B 1.78% detail
FWRD Forward Air Corporation Oil Refining/Marketing 103 % 49 % 82 % 1.42B 1.29% detail
SPTN SpartanNash Company Food Distributors 214 % 120 % 200 % 1.28B 1.95% detail
IPAR Inter Parfums, Inc. Package Goods/Cosmetics 208 % 167 % 377 % 1.16B 1.84% detail
IPCC Infinity Property and Casualty Corporation Property-Casualty Insurers 146 % 77 % 373 % 1.05B 2.45% detail
SAFT Safety Insurance Group, Inc. Property-Casualty Insurers 183 % 158 % 75 % 1.05B 4.08% detail
ENSG The Ensign Group, Inc. Hospital/Nursing Management 461 % 363 % 100 % 928.38M 0.9% detail
MTSC MTS Systems Corporation Industrial Machinery/Components 129 % 74 % 150 % 891.23M 2.23% detail
ATRI Atrion Corporation Medical/Dental Instruments 287 % 188 % 261 % 852.21M 0.9% detail
GRC Gorman-Rupp Company (The) Fluid Controls 93 % 67 % 65 % 813.84M 1.54% detail
CASS Cass Information Systems, Inc Business Services 199 % 122 % 117 % 715.38M 1.46% detail
CAC Camden National Corporation Major Banks 155 % 101 % 60 % 663.26M 2.21% detail
FLIC The First of Long Island Corporation Major Banks 215 % 138 % 90 % 634.57M 2.13% detail
HBNC Horizon Bancorp (IN) Major Banks 584 % 371 % 105 % 559.60M 1.75% detail
BHB Bar Harbor Bankshares, Inc. Major Banks 229 % 147 % 62 % 474.90M 2.41% detail
MLAB Mesa Laboratories, Inc. Industrial Machinery/Components 412 % 182 % 78 % 453.44M 0.53% detail
WHG Westwood Holdings Group Inc Investment Managers 117 % 22 % 94 % 419.43M 4.74% detail
VSEC VSE Corporation Military/Government/Technical 83 % 60 % 156 % 418.18M 0.64% detail
IIJI Internet Initiative Japan, Inc. Computer Software: Programming, Data Processing 65 % 22 % 181 % 396.81M 1.33% detail
BMRC Bank of Marin Bancorp Major Banks 144 % 77 % 82 % 395.35M 1.68% detail
HIFS Hingham Institution for Savings n/a 649 % 187 % 53 % 369.26M 0.74% detail
ANCX Access National Corporation Savings Institutions 491 % 158 % 1400 % 318.00M 2.11% detail
SMBC Southern Missouri Bancorp, Inc. Banks 601 % 202 % 90 % 252.63M 1.21% detail
ESSA ESSA Bancorp, Inc. Banks 56 % -16 % 350 % 154.93M 2.47% detail
KEQU Kewaunee Scientific Corporation Medical Specialities 113 % 82 % 100 % 62.74M 2.59% detail