Contenders (216 stocks)

U.S.Companies with 10-24 Straight Years Higher Dividends

StockDividend YieldP/E RatioDividend Frequency Dividend Increase Streak DGR
AAN Aaron's Inc. 0.27 % 16.03 % 3 15 10%
ABC AmerisourceBergen Corporation 1.84 % 13.37 % 4 13 10%
ACN Accenture plc Class A (Ireland) 1.83 % 23.68 % 2 13 6%
ACU Acme United Corporation. 2.92 % 12.95 % 4 14 6%
ADI Analog Devices Inc. 1.84 % 17.90 % 4 16 6%
AEL American Equity Investment Life Holding Company 0.86 % 8.73 % 1 14 8%
AFG American Financial Group Inc. 1.62 % 11.90 % 4 12 12%
AFSI AmTrust Financial Services Inc. 4.61 % -23.41 % 4 12 -23%
AIZ Assurant Inc. 2.44 % 16.69 % 4 14 20%
ALB Albemarle Corporation 1.61 % 15.65 % 4 24 5%
AMNF ARMANINO FOODS NE 3.56 % 15.69 % 4 13 4%
AMP Ameriprise Financial Inc. 2.73 % 8.95 % 4 14 10%
ANDE The Andersons Inc. 1.85 % 24.91 % 4 16 0%
APU AmeriGas Partners L.P. 12.73 % 17.62 % 4 13 2%
AROW Arrow Financial Corporation 2.90 % 69.29 % 4 24 0%
ARTNA Artesian Resources Corporation Class A Non-Voting Common Stock 2.48 % 21.51 % 4 20 3%
ATR AptarGroup Inc. 1.34 % 26.36 % 4 24 5%
ATRI Atrion Corporation 0.67 % 36.59 % 4 15 16%
AUBN Auburn National Bancorporation Inc. 2.94 % 15.75 % 4 17 2%
AVA Avista Corporation 3.73 % 21.17 % 4 16 4%
AWK American Water Works Company Inc. 1.84 % 29.70 % 4 11 10%
AXS Axis Capital Holdings Limited 2.82 % 29.80 % 4 16 8%
BANF BancFirst Corporation 2.11 % 15.04 % 4 24 -8%
BBY Best Buy Co. Inc. 2.98 % 13.49 % 4 15 23%
BG Bunge Limited 3.80 % 16.33 % 4 17 7%
BHB Bar Harbor Bankshares Inc. 3.09 % 20.98 % 4 15 -8%
BIP Brookfield Infrastructure Partners LP Limited Partnership Units 4.95 % 13.20 % 4 11 0%
BKUTK BANK UTICA NY NON 2.92 % - 2 18 -
BMRC Bank of Marin Bancorp 1.71 % 19.07 % 4 14 12%
BOKF BOK Financial Corporation 2.20 % 13.41 % 4 13 4%
BPL Buckeye Partners L.P. 9.04 % 11.89 % 4 22 0%
BR Broadridge Financial Solutions Inc.Common Stock 1.94 % 23.96 % 4 11 15%
BRO Brown & Brown Inc. 1.10 % 23.92 % 4 24 0%
CAH Cardinal Health Inc. 3.35 % 11.69 % 4 21 18%
CASS Cass Information Systems Inc 1.93 % 28.76 % 4 17 8%
CASY Caseys General Stores Inc. 0.86 % 36.06 % 4 18 10%
CAT Caterpillar Inc. 2.53 % 12.55 % 4 24 12%
CATC Cambridge Bancorp 2.56 % 16.92 % 4 20 3%
CB Chubb Limited 2.18 % 14.25 % 7 24 -4%
CBRL Cracker Barrel Old Country Store Inc. 2.90 % 19.22 % 4 15 10%
CCFN CCFNB BANCORP INC 3.08 % 13.68 % 3 20 -4%
CHD Church & Dwight Company Inc. 1.40 % 28.63 % 4 22 -6%
CHRW C.H. Robinson Worldwide Inc. 2.18 % 19.47 % 4 20 6%
CMCSA Comcast Corporation Class A Common Stock 2.24 % 14.74 % 4 11 30%
CMI Cummins Inc. 2.97 % 10.40 % 5 12 11%
CMP Compass Minerals Intl Inc 5.33 % 28.56 % 4 14 4%
CMS CMS Energy Corporation 2.90 % 22.62 % 4 12 7%
CNI Canadian National Railway Company 1.93 % 20.30 % 4 21 10%
CNP CenterPoint Energy Inc (Holding Co) 3.68 % 19.73 % 4 13 4%
COLM Columbia Sportswear Company 0.92 % 25.88 % 4 13 8%
COST Costco Wholesale Corporation 1.05 % 31.68 % 4 15 12%
CPK Chesapeake Utilities Corporation 1.62 % 28.98 % 4 14 4%
CSX CSX Corporation 1.32 % 19.04 % 4 14 8%
CVS CVS Health Corporation 2.86 % 9.40 % 4 14 16%
CZFS Citizens Financial Services Inc. 2.87 % 16 % 4 20 -2%
D Dominion Energy Inc. 4.99 % 18.21 % 4 15 8%
DGICA Donegal Group Inc. Class A Common Stock 4.20 % -21.03 % 4 16 2%
DGICB Donegal Group Inc. Class B Common Stock 4.19 % 33.05 % 4 16 2%
DLR Digital Realty Trust Inc. 3.47 % 17.98 % 4 14 3%
DNB Dun & Bradstreet Corporation (The) 1.44 % 18.80 % 4 12 -2%
DUK Duke Energy Corporation (Holding Company) 4.22 % 18.87 % 4 13 0%
EAT Brinker International Inc. 3.37 % 12.28 % 4 13 10%
EBMT Eagle Bancorp Montana Inc. 2.12 % 16.43 % 4 18 5%
EBTC Enterprise Bancorp Inc 2.04 % 19.75 % 4 24 4%
EIX Edison International 3.97 % 14.58 % 4 15 13%
ELS Equity Lifestyle Properties Inc. 2.25 % 27.39 % 4 14 10%
ENB Enbridge Inc 6.15 % 15.61 % 4 22 5%
ENSG The Ensign Group Inc. 0.36 % 29.98 % 4 11 -6%
EPD Enterprise Products Partners L.P. 6.10 % 14.67 % 4 21 -1%
ES Eversource Energy (D/B/A) 3.04 % 21.36 % 4 20 6%
ESS Essex Property Trust Inc. 2.65 % 22.04 % 4 24 8%
ETE Energy Transfer Equity L.P. representing Limited Partnership interests 7.25 % 12.19 % 4 13 -16%
ETP Energy Transfer Partners L.P. representing limited partner interests 10.53 % 21.91 % 6 16 -22%
EVR Evercore Inc. Class A 2.18 % 10.22 % 4 12 14%
EXPD Expeditors International of Washington Inc. 1.20 % 23.74 % 2 23 8%
FAST Fastenal Company 2.75 % 23.54 % 2 19 12%
FDS FactSet Research Systems Inc. 1.13 % 26.65 % 4 19 14%
FDX FedEx Corporation 1.44 % 11.89 % 4 16 35%
FFMR FIRST FARMERS FINL C 2 % - 3 11 -
FINL The Finish Line Inc. 3.40 % 12.99 % 4 11 -8%
FLIC The First of Long Island Corporation 2.98 % 14.25 % 3 22 -16%
FLO Flowers Foods Inc. 3.44 % 22.34 % 4 16 7%
FLS Flowserve Corporation 1.61 % 32.28 % 4 11 2%
FMAO Farmers & Merchants Bancorp Inc. 1.89 % 18.84 % 4 13 6%
FRFC FIRST ROBINSON FI 2.86 % 11.13 % 2 16 -
GGG Graco Inc. 1.38 % 24.79 % 4 21 39%
GIS General Mills Inc. 4.29 % 15.07 % 4 14 2%
HAS Hasbro Inc. 3.11 % 22.62 % 4 15 13%
HCSG Healthcare Services Group Inc. 1.95 % 35.82 % 4 16 4%
HDB HDFC Bank Limited 0.58 % 141.84 % 1 16 21%
HEI Heico Corporation 0.15 % 54.90 % 2 11 40%
HEP Holly Energy Partners L.P. 9.23 % 15.91 % 4 14 6%
HI Hillenbrand Inc 1.86 % 18.70 % 4 11 1%
HIFS Hingham Institution for Savings 0.79 % 16.86 % 4 10 6%
HONT HONAT BANCORP INC 2.46 % - 4 14 -8%
HRS Harris Corporation 1.66 % 25.39 % 4 16 10%
HUBB Hubbell Inc 2.83 % 16.45 % 4 10 10%
HWKN Hawkins Inc. 2.15 % 28.81 % 2 13 4%
IBM International Business Machines Corporation 4.53 % 9.99 % 4 23 6%
IFF Internationa Flavors & Fragrances Inc. 2.28 % 21.27 % 4 15 12%
IPCC Infinity Property and Casualty Corporation 1.62 % 23.80 % 4 15 0%
ISBA ISABELLA BANK CP 3.65 % 16.11 % 4 12 -2%
ISCA International Speedway Corporation 1.05 % 23.79 % 1 13 26%
JBHT J.B. Hunt Transport Services Inc. 0.91 % 20.02 % 4 15 12%
JJSF J & J Snack Foods Corp. 1.27 % 37 % 4 14 14%
JW-A John Wiley & Sons, Inc. 2.33 % 35.04 % 4 24 4%
K Kellogg Company 3.90 % 13.61 % 4 14 4%
KR Kroger Company (The) 1.90 % 14.11 % 4 12 -1%
KWR Quaker Chemical Corporation 0.71 % 36.60 % 4 10 8%
LARK Landmark Bancorp Inc. 3.48 % 13.43 % 4 17 1%
LAZ Lazard LTD. LTD. Class A 4.76 % 8.87 % 4 11 14%
LECO Lincoln Electric Holdings Inc. 2.12 % 18.49 % 4 23 14%
LLL L3 Technologies Inc. 1.60 % 19.76 % 4 15 8%
LMNR Limoneira Co 1.30 % 42.44 % 4 10 12%
LMT Lockheed Martin Corporation 2.88 % 17.18 % 4 15 11%
LNN Lindsay Corporation 1.41 % 30.60 % 4 15 14%
LNT Alliant Energy Corporation 3.15 % 21.23 % 4 15 -10%
LSTR Landstar System Inc. 0.59 % 18.01 % 4 14 30%
LYBC LYONS BANCORP INC 2.77 % 15.69 % 4 18 -2%
MATW Matthews International Corporation 1.88 % 10.72 % 4 23 12%
MCHP Microchip Technology Incorporated 1.61 % 17.13 % 4 17 0%
MCK McKesson Corporation 1.14 % 10.66 % 4 10 11%
MKTX MarketAxess Holdings Inc. 0.88 % 51.04 % 3 10 27%
MMP Magellan Midstream Partners L.P. Limited Partnership 6.64 % 14.03 % 4 18 10%
MNRO Monro Inc. 1.04 % 36.20 % 4 13 14%
MSFT Microsoft Corporation 1.70 % 27.63 % 4 16 11%
MSM MSC Industrial Direct Company Inc. 2.92 % 16.90 % 4 16 19%
MXIM Maxim Integrated Products Inc. 3.31 % 20.65 % 4 17 14%
MYBF MUNCY BANK FINL ( 3.59 % 13.43 % 4 17 10%
NEE NextEra Energy Inc. 2.70 % 24.03 % 4 24 8%
NEU NewMarket Corp 1.63 % 43.42 % 4 13 10%
NHC National HealthCare Corporation 2.38 % 19.86 % 4 14 5%
NHI National Health Investors Inc. 5.23 % 14.37 % 4 16 6%
NIDB NORTHEAST IND BN 2.80 % 11.12 % 4 23 5%
NJR NewJersey Resources Corporation 2.49 % 17.14 % 4 22 2%
NKE Nike Inc. 1.04 % 35.37 % 4 16 -4%
NKSH National Bankshares Inc. 3.15 % 21.33 % 2 18 2%
NOC Northrop Grumman Corporation 1.67 % 14.68 % 4 15 14%
NUS Nu Skin Enterprises Inc. 2.39 % 16.91 % 4 18 2%
NWE NorthWestern Corporation 3.48 % 17.92 % 4 14 6%
NWFL Norwood Financial Corp. 2.99 % 22.96 % 4 19 -7%
ODC Oil-Dri Corporation Of America 3.30 % 28.94 % 4 15 14%
OGE OGE Energy Corp 3.48 % 19.60 % 4 11 2%
OHI Omega Healthcare Investors Inc. 7.32 % 11.70 % 4 16 6%
OKE ONEOK Inc. 5.02 % 26.38 % 4 16 14%
OMI Owens & Minor Inc. 3.78 % 4.65 % 4 21 -3%
OXY Occidental Petroleum Corporation 4.61 % 13.59 % 4 14 2%
OZRK Bank of the Ozarks 1.94 % 12.61 % 4 20 0%
PB Prosperity Bancshares Inc. 2.19 % 16.24 % 4 19 10%
PETS PetMed Express Inc. 4.59 % 12.85 % 4 10 12%
PFG Principal Financial Group Inc 4.21 % 9.43 % 2 10 14%
PII Polaris Industries Inc. 2.81 % 13.33 % 4 23 6%
PM Philip Morris International Inc 5.47 % 16.66 % 4 10 5%
POR Portland General Electric Co 2.97 % 20.91 % 3 13 7%
PPL PPL Corporation 5.38 % 12.99 % 4 17 2%
PRGO Perrigo Company plc 1.53 % 10.11 % 4 16 12%
PRU Prudential Financial Inc. 4.26 % 8.14 % 2 10 14%
PSBQ PSB HLDGS INC (WI 1.40 % 12.13 % 2 24 16%
QCOM QUALCOMM Incorporated 4.77 % 16.41 % 4 16 18%
QNTO QUAINT OAK BANCOR 1.52 % 16.73 % 4 11 -10%
R Ryder System Inc. 3.37 % 11.18 % 4 14 10%
RBA Ritchie Bros. Auctioneers Incorporated 1.97 % 35.85 % 4 15 6%
RBC Regal Beloit Corporation 1.34 % 14.02 % 4 14 6%
RBCAA Republic Bancorp Inc. Class A Common Stock 2.34 % 13.31 % 4 20 6%
RGCO RGC Resources Inc. 2.39 % 28.94 % 4 15 6%
RGLD Royal Gold Inc. 1.12 % 50.81 % 3 17 8%
RHI Robert Half International Inc. 1.84 % 18.90 % 4 15 11%
RNR RenaissanceRe Holdings Ltd. 0.94 % 15.84 % 4 23 3%
ROL Rollins Inc. 1.06 % 54.75 % 4 16 10%
ROST Ross Stores Inc. 0.96 % 28.14 % 4 24 10%
RSG Republic Services Inc. 1.94 % 25 % 4 15 7%
RTN Raytheon Company 1.88 % 19.10 % 4 14 24%
SBSI Southside Bancshares Inc. 3.44 % 16.61 % 4 24 8%
SCG SCANA Corporation 1.04 % 14.35 % 4 17 -5%
SEP Spectra Energy Partners LP representing Limited Partner Interests 8.77 % 10.99 % 4 12 12%
SHPG Shire plc 0.19 % 11.67 % 2 14 14%
SJI South Jersey Industries Inc. 3.68 % 20.28 % 4 19 -5%
SJM J.M. Smucker Company (The) 3.20 % 13.46 % 4 20 8%
SLGN Silgan Holdings Inc. 1.40 % 13.84 % 4 15 -8%
SO Southern Company (The) 4.91 % 14.91 % 4 18 0%
SR Spire Inc. 3.08 % 20.24 % 6 15 6%
SRE Sempra Energy 3.08 % 21.07 % 4 15 8%
STE STERIS plc 1.11 % 29.63 % 4 13 10%
SWX Southwest Gas Holdings Inc. 2.53 % 21.24 % 4 12 10%
SXT Sensient Technologies Corporation 2.27 % 18.22 % 4 12 8%
TCP TC PipeLines LP representing Limited Partner Interests 7.71 % 8.85 % 4 18 -2%
THG Hanover Insurance Group Inc 2.03 % 15.53 % 3 13 10%
THVB THOMASVILLE BANCS 2.82 % 26.35 % 1 16 -2%
TIF Tiffany & Co. 2.43 % 22.22 % 4 15 10%
TJX TJX Companies Inc. (The) 1.55 % 20.71 % 4 22 14%
TLP TransMontaigne Partners L.P. Transmontaigne Partners L.P. representing limited partner interests 7.86 % 24.25 % 4 14 6%
TMK Torchmark Corporation 0.77 % 13.64 % 4 13 9%
TPL Texas Pacific Land Trust 0.07 % 62.93 % 1 15 59%
TRI Thomson Reuters Corp 2.91 % 41.11 % 5 24 1%
TRV The Travelers Companies Inc. 2.39 % 14.53 % 5 14 8%
TXN Texas Instruments Incorporated 2.87 % 19.85 % 4 14 21%
UBA Urstadt Biddle Properties Inc. 5.03 % 14.85 % 4 24 0%
UNP Union Pacific Corporation 2.05 % 21.56 % 4 12 6%
UTMD Utah Medical Products Inc. 1.21 % 21.90 % 4 15 -1%
UTX United Technologies Corporation 2.29 % 16.85 % 4 24 4%
V Visa Inc. 0.69 % 31.45 % 3 11 -1%
VGR Vector Group Ltd. 13.43 % 27.33 % 4 20 4%
VSEC VSE Corporation 0.97 % 18.18 % 4 14 -4%
VZ Verizon Communications Inc. 4.35 % 11.83 % 4 13 2%
WEC WEC Energy Group Inc. 3.15 % 22.35 % 4 15 4%
WES Western Gas Partners LP Limited Partner Interests 7.65 % 54.23 % 4 11 10%
WHG Westwood Holdings Group Inc 7.44 % 20.16 % 4 16 10%
WLK Westlake Chemical Corporation 1.30 % 9.09 % 4 14 6%
WM Waste Management Inc. 1.88 % 23.58 % 3 15 5%
WPC W.P. Carey Inc. REIT 5.48 % 13.76 % 4 21 2%
WR Westar Energy Inc. 2.96 % 23.79 % 4 13 -10%
WRB W.R. Berkley Corporation 0.73 % 20.56 % 4 16 8%
WSM Williams-Sonoma Inc. (DE) 3.09 % 15.52 % 4 13 6%
XEL Xcel Energy Inc. 2.83 % 21.87 % 5 15 4%
XLNX Xilinx Inc. 1.21 % 42.68 % 4 16 6%
YORW The York Water Company 1.98 % 34.54 % 4 21 3%
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