Over-Valued Dividend Stocks (2016)
Ticker Company Industry Price Growth P/E Growth Dividend Growth Market Caps Yields
XOM Exxon Mobil Corporation Integrated oil Companies 61 % 329 % 92 % 339.35B 3.69% detail
GE General Electric Company Consumer Electronics/Appliances 163 % 174 % -25 % 258.43B 3.23% detail
KO Coca-Cola Company (The) Beverages (Production/Distribution) 79 % 109 % 84 % 182.17B 3.51% detail
NVS Novartis AG Major Pharmaceuticals 73 % 162 % 147 % 177.79B 3.69% detail
HSBC HSBC Holdings plc Savings Institutions -1 % 506 % -45 % 160.20B 6.29% detail
GSK GlaxoSmithKline PLC Major Pharmaceuticals 34 % 323 % 37 % 103.21B 4.74% detail
BHP BHP Billiton Limited Precious Metals -41 % 200 % -46 % 97.45B 2.96% detail
BMY Bristol-Myers Squibb Company Major Pharmaceuticals 192 % 207 % 23 % 94.01B 2.79% detail
BBL BHP Billiton plc Coal Mining -36 % 213 % -46 % 83.02B 1.92% detail
AZN Astrazeneca PLC Major Pharmaceuticals 66 % 236 % 47 % 79.28B 6.07% detail
SHPG Shire plc Major Pharmaceuticals 199 % 263 % 208 % 52.84B 0.52% detail
SU Suncor Energy Inc. Integrated oil Companies 7 % 616 % 480 % 51.66B 2.69% detail
ABB ABB Ltd Electrical Products 39 % 85 % 67 % 50.13B 3.24% detail
AMX America Movil, S.A.B. de C.V. Telecommunications Equipment -39 % 32 % 173 % 47.28B 1.9% detail
AMOV America Movil, S.A.B. de C.V. Telecommunications Equipment -41 % 29 % 685 % 46.42B 3.83% detail
SYT Syngenta AG Agricultural Chemicals 65 % 124 % 139 % 40.61B 2.6% detail
TRP TransCanada Corporation Natural Gas Distribution 74 % 2308 % 57 % 40.38B 3.67% detail
EMR Emerson Electric Company Consumer Electronics/Appliances 62 % 75 % 59 % 38.34B 3.28% detail
PCG Pacific Gas & Electric Co. Power Generation 79 % 125 % 24 % 34.19B 2.89% detail
TEVA Teva Pharmaceutical Industries Limited Major Pharmaceuticals -24 % 1891 % 232 % 33.45B 4.15% detail
AEP American Electric Power Company, Inc. Electric Utilities: Central 144 % 458 % 38 % 33.36B 3.48% detail
APD Air Products and Chemicals, Inc. Major Chemicals 130 % 284 % 102 % 29.86B 2.82% detail
HPQ HP Inc. Computer Manufacturing -26 % 93 % 56 % 29.23B 3.08% detail
SYY Sysco Corporation Food Distributors 147 % 166 % 48 % 27.97B 2.5% detail
ADM Archer-Daniels-Midland Company Packaged Foods 72 % 105 % 122 % 26.11B 2.81% detail
K Kellogg Company Packaged Foods 71 % 205 % 57 % 25.52B 2.85% detail
PEG Public Service Enterprise Group Incorporated Power Generation 77 % 158 % 27 % 22.53B 3.81% detail
PAA Plains All American Pipeline, L.P. Natural Gas Distribution 89 % 619 % 51 % 21.26B 7.03% detail
MCO Moody's Corporation Finance: Consumer Services 291 % 441 % 270 % 21.23B 1.35% detail
CAG ConAgra Brands, Inc. Packaged Foods 174 % 300 % 33 % 17.47B 1.98% detail
MCHP Microchip Technology Incorporated Semiconductors 184 % 873 % 19 % 15.88B 1.97% detail
L Loews Corporation Property-Casualty Insurers 35 % 96 % 0 % 15.62B 0.54% detail
OKS ONEOK Partners, L.P. Natural Gas Distribution 116 % 136 % 50 % 15.15B 6.1% detail
POT Potash Corporation of Saskatchewan Inc. Agricultural Chemicals -38 % 226 % 654 % 14.36B 2.11% detail
AGU Agrium Inc. Agricultural Chemicals 90 % 121 % 3082 % 13.15B 3.47% detail
BLL Ball Corporation Containers/Packaging 208 % 335 % 160 % 12.95B 0.71% detail
GG Goldcorp Inc. Precious Metals -61 % 90 % -44 % 12.76B 0.59% detail
BSAC Banco Santander Chile Commercial Banks 19 % 50 % 115 % 11.99B 4.34% detail
CNP CenterPoint Energy, Inc. Electric Utilities: Central 132 % 172 % 41 % 11.93B 3.84% detail
FNV Franco-Nevada Corporation Precious Metals 140 % 157 % 295 % 11.60B 1.55% detail
OKE ONEOK, Inc. Oil & Gas Production 294 % 319 % 215 % 11.17B 4.63% detail
WU Western Union Company (The) Business Services 38 % 240 % 1500 % 9.69B 3.46% detail
MAT Mattel, Inc. Recreational Products/Toys 84 % 217 % 103 % 8.68B 6.04% detail
FMC FMC Corporation Major Chemicals 117 % 128 % 175 % 8.26B 1.08% detail
SXL Sunoco Logistics Partners LP Natural Gas Distribution 204 % 400 % 223 % 7.88B 8.66% detail
JWN Nordstrom, Inc. Clothing/Shoe/Accessory Stores 59 % 128 % 131 % 7.51B 3.53% detail
FLR Fluor Corporation Military/Government/Technical 27 % 63 % 68 % 7.24B 1.63% detail
RL Ralph Lauren Corporation Apparel 21 % 280 % 900 % 6.71B 2.51% detail
ELS Equity Lifestyle Properties, Inc. Real Estate Investment Trusts 241 % 9980 % 325 % 6.69B 2.49% detail
FLS Flowserve Corporation Fluid Controls 66 % 334 % 130 % 6.20B 1.66% detail
GGG Graco Inc. Fluid Controls 231 % 535 % 78 % 5.25B 1.54% detail
CLB Core Laboratories N.V. Oilfield Services/Equipment 124 % 402 % 2100 % 4.97B 2.02% detail
SNH Senior Housing Properties Trust Real Estate Investment Trusts 42 % 152 % 11 % 4.81B 7.76% detail
RGLD Royal Gold, Inc. Precious Metals 46 % 575 % 232 % 4.48B 1.43% detail
CR Crane Company Metal Fabrications 176 % 230 % 74 % 4.35B 1.82% detail
APU AmeriGas Partners, L.P. Other Specialty Stores 104 % 295 % 50 % 4.29B 8.27% detail
TCP TC PipeLines, LP Natural Gas Distribution 153 % 165 % 32 % 4.04B 6.33% detail
NS Nustar Energy L.P. Natural Gas Distribution 58 % 432 % 9 % 3.98B 8.76% detail
LNCE Snyder's-Lance, Inc. Specialty Foods 107 % 137 % 0 % 3.87B 1.61% detail
DNB Dun & Bradstreet Corporation (The) Finance: Consumer Services 63 % 246 % 61 % 3.83B 1.92% detail
BKH Black Hills Corporation Electric Utilities: Central 200 % 321 % 20 % 3.52B 2.69% detail
TDS Telephone and Data Systems, Inc. Telecommunications Equipment 6 % 116 % 55 % 2.84B 2.45% detail
AVX AVX Corporation Electrical Products 47 % 62 % 162 % 2.71B 2.73% detail
BCO Brink's Company (The) Oil Refining/Marketing 87 % 472 % 0 % 2.66B 0.78% detail
GEF Greif Bros. Corporation n/a 23 % 167 % 27 % 2.65B 3.08% detail
ESV ENSCO plc Oil & Gas Production -70 % -48 % -60 % 2.62B 0.48% detail
INT World Fuel Services Corporation Oil Refining/Marketing 77 % 171 % 243 % 2.52B 0.68% detail
WWW Wolverine World Wide, Inc. Shoe Manufacturing 75 % 91 % 9 % 2.46B 0.96% detail
AIT Applied Industrial Technologies, Inc. Industrial Specialties 216 % 448 % 87 % 2.39B 1.89% detail
CMP Compass Minerals International, Inc. Mining & Quarrying of Nonmetallic Minerals (No Fuels) 42 % 72 % 107 % 2.29B 4.37% detail
DV DeVry Education Group Inc. Other Consumer Services -41 % 14 % 200 % 2.17B 1.08% detail
NWN Northwest Natural Gas Company Oil/Gas Transmission 73 % 126 % 23 % 1.70B 3.17% detail
SPH Suburban Propane Partners, L.P. Other Specialty Stores 13 % 831 % 15 % 1.64B 13.35% detail
NTRI NutriSystem Inc Catalog/Specialty Distribution 54 % 101 % 32 % 1.60B 1.32% detail
WABC Westamerica Bancorporation Major Banks 42 % 106 % 12 % 1.46B 2.83% detail
CUB Cubic Corporation Industrial Machinery/Components 34 % 1770 % 50 % 1.41B 0.51% detail
FSP Franklin Street Properties Corp. Real Estate Investment Trusts 37 % 538 % -24 % 1.26B 6.42% detail
CNSL Consolidated Communications Holdings, Inc. Telecommunications Equipment 166 % 629 % 0 % 1.19B 6.67% detail
NSH Nustar GP Holdings, LLC Natural Gas Distribution 75 % 163 % 44 % 1.17B 7.87% detail
ATNI ATN International, Inc. Telecommunications Equipment 68 % 679 % 94 % 1.14B 1.89% detail
ANDE The Andersons, Inc. Farming/Seeds/Milling 184 % 802 % 186 % 1.09B 1.68% detail
IPHS Innophos Holdings, Inc. Specialty Chemicals 185 % 314 % 182 % 1.04B 3.62% detail
ADTN ADTRAN, Inc. Telecommunications Equipment 11 % 147 % 0 % 1.02B 1.71% detail
RAVN Raven Industries, Inc. Specialty Chemicals 87 % 169 % 136 % 1.01B 1.77% detail
GLT Glatfelter Paper 131 % 590 % 39 % 928.22M 2.42% detail
GES Guess?, Inc. Apparel -60 % 421 % 150 % 908.88M 8.25% detail
BKE Buckle, Inc. (The) Clothing/Shoe/Accessory Stores 29 % 51 % 67 % 888.85M 5.71% detail
LNN Lindsay Corporation Industrial Machinery/Components 100 % 160 % 307 % 866.30M 1.43% detail
UBA Urstadt Biddle Properties Inc. Real Estate Investment Trusts 127 % 151 % 9 % 770.19M 5.19% detail
TCAP Triangle Capital Corporation n/a 196 % 244 % 31 % 767.69M 9.65% detail
TLP TransMontaigne Partners L.P. Natural Gas Distribution 157 % 186 % 21 % 728.70M 6.23% detail
MMLP Martin Midstream Partners L.P. Oil Refining/Marketing 14 % 131 % 1 % 670.01M 10.7% detail
UBP Urstadt Biddle Properties Inc. Real Estate Investment Trusts 83 % 109 % 8 % 645.55M 5.47% detail
LDR Landauer, Inc. Industrial Machinery/Components 3 % 36 % -45 % 465.70M 2.34% detail
CPSI Computer Programs and Systems, Inc. EDP Services -32 % 444 % 29 % 371.74M 3.75% detail
PKE Park Electrochemical Corporation Electrical Products 1 % 198 % 25 % 367.85M 2.21% detail
MBVT Merchants Bancshares, Inc. Major Banks 216 % 248 % 0 % 332.67M 2.36% detail
BGFV Big 5 Sporting Goods Corporation Other Specialty Stores 25 % 90 % 47 % 318.36M 4.12% detail
NKSH National Bankshares, Inc. Major Banks 96 % 160 % 45 % 259.18M 3.24% detail
SPAR Spartan Motors, Inc. Auto Manufacturing 87 % 105 % 0 % 258.75M 1.36% detail
GHM Graham Corporation Industrial Machinery/Components 13 % 253 % 620 % 225.42M 1.57% detail
DGAS Delta Natural Gas Company, Inc. Oil & Gas Production 171 % 211 % 32 % 216.33M 2.74% detail
BCBP BCB Bancorp, Inc. (NJ) Savings Institutions 102 % 140 % 37 % 186.83M 3.4% detail
CWCO Consolidated Water Co. Ltd. Water Supply -7 % 33 % -9 % 167.30M 2.73% detail
NWFL Norwood Financial Corp. Major Banks 72 % 132 % 36 % 156.61M 3.36% detail
CIZN Citizens Holding Company Major Banks 59 % 97 % 25 % 115.22M 4.16% detail
DIT AMCON Distributing Company Food Distributors 88 % 298 % 350 % 69.26M 0.72% detail
UG United-Guardian, Inc. Package Goods/Cosmetics 88 % 189 % 36 % 67.53M 5.41% detail
SPAN Span-America Medical Systems, Inc. Industrial Specialties 58 % 141 % 88 % 58.34M 2.99% detail
ESP Espey Mfg. & Electronics Corp. Industrial Machinery/Components 107 % 252 % 33 % 53.45M 4.18% detail
EEI Ecology and Environment, Inc. Military/Government/Technical -8 % 186 % 78 % 42.15M 4.0% detail
MVC MVC Capital, Inc. n/a 4 % 71 % 12 % 0% detail