la liste des dividend...

15
Source : http://revenusetdividendes.com Société Ticker/S ymbol Nbre année Rdt brut au 29/04/2016 (en%) Croissance moyen annuel du dividende sur 5 ans Williams Companies WMB 12 13,20 38,3 Plains All American Pipeline LP PAA 14 12,21 8,0 StoneMor Partners LP STON 11 10,82 3,0 DCP Midstream Partners LP DPM 10 9,55 5,2 Energy Transfer Equity LP ETE 10 9,17 13,6 ONEOK Partners LP OKS 10 8,91 7,2 AmeriGas Partners LP APU 12 8,67 5,5 Genesis Energy LP GEL 13 8,30 10,6 Vector Group Ltd. VGR 18 7,41 5,0 Omega Healthcare Investors OHI 14 6,87 9,7 ONEOK Inc. OKE 13 6,80 25,1 Holly Energy Partners LP HEP 12 6,72 5,7 Sunoco Logistics Partners LP SXL 15 6,68 17,9 Transmontaigne Partners LP TLP 12 6,65 2,2 Buckeye Partners LP BPL 21 6,60 3,9 TC Pipelines LP TCP 16 6,50 3,3 W.P. Carey Inc. WPC 19 6,38 13,6 Enterprise Products Partners LP EPD 19 5,92 5,7 National Health Investors NHI 14 5,29 7,6 Spectra Energy Partners LP SEP 10 5,07 7,4 Urstadt Biddle Properties UBA 22 5,06 1,0 Welltower Inc. HCN 13 4,96 3,8 CenterPoint Energy CNP 11 4,80 4,9 Daktronics Inc. DAKT 11 4,60 32,0 Southern Company SO 16 4,47 3,6 Magellan Midstream Partners LP MMP 16 4,45 14,9 Verizon Communications VZ 11 4,44 3,0 People's United Financial PBCT 24 4,39 1,4 Norwood Financial NWFL 17 4,32 3,9 Qualcomm Inc. QCOM 14 4,20 20,2 Duke Energy Corp. DUK 11 4,19 2,2 McGrath Rentcorp MGRC 24 4,18 2,1 First Keystone Corp. FKYS 15 4,08 3,0 Pardee Resource Company Inc. PDER 10 4,04 10,4 PPL Corp. PPL 15 4,04 2,8 Realty Income Corp. O 23 4,03 5,6 Digital Realty Trust DLR 12 4,00 11,9 Gap Inc. GPS 11 3,97 18,8 Caterpillar Inc. CAT 22 3,96 11,3 Westwood Holdings Group Inc. WHG 14 3,96 8,7 Cambridge Bancorp CATC 18 3,93 5,2 Dominion Resources D 13 3,92 7,2 LA LISTE DES "DIVIDEND CONTENDERS"

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Source : http://revenusetdividendes.com

Société Ticker/S

ymbol

Nbre

année

Rdt brut au

29/04/2016

(en%)

Croissance moyen

annuel du dividende sur

5 ans

Williams Companies WMB 12 13,20 38,3

Plains All American Pipeline LP PAA 14 12,21 8,0

StoneMor Partners LP STON 11 10,82 3,0

DCP Midstream Partners LP DPM 10 9,55 5,2

Energy Transfer Equity LP ETE 10 9,17 13,6

ONEOK Partners LP OKS 10 8,91 7,2

AmeriGas Partners LP APU 12 8,67 5,5

Genesis Energy LP GEL 13 8,30 10,6

Vector Group Ltd. VGR 18 7,41 5,0

Omega Healthcare Investors OHI 14 6,87 9,7

ONEOK Inc. OKE 13 6,80 25,1

Holly Energy Partners LP HEP 12 6,72 5,7

Sunoco Logistics Partners LP SXL 15 6,68 17,9

Transmontaigne Partners LP TLP 12 6,65 2,2

Buckeye Partners LP BPL 21 6,60 3,9

TC Pipelines LP TCP 16 6,50 3,3

W.P. Carey Inc. WPC 19 6,38 13,6

Enterprise Products Partners LP EPD 19 5,92 5,7

National Health Investors NHI 14 5,29 7,6

Spectra Energy Partners LP SEP 10 5,07 7,4

Urstadt Biddle Properties UBA 22 5,06 1,0

Welltower Inc. HCN 13 4,96 3,8

CenterPoint Energy CNP 11 4,80 4,9

Daktronics Inc. DAKT 11 4,60 32,0

Southern Company SO 16 4,47 3,6

Magellan Midstream Partners LP MMP 16 4,45 14,9

Verizon Communications VZ 11 4,44 3,0

People's United Financial PBCT 24 4,39 1,4

Norwood Financial NWFL 17 4,32 3,9

Qualcomm Inc. QCOM 14 4,20 20,2

Duke Energy Corp. DUK 11 4,19 2,2

McGrath Rentcorp MGRC 24 4,18 2,1

First Keystone Corp. FKYS 15 4,08 3,0

Pardee Resource Company Inc. PDER 10 4,04 10,4

PPL Corp. PPL 15 4,04 2,8

Realty Income Corp. O 23 4,03 5,6

Digital Realty Trust DLR 12 4,00 11,9

Gap Inc. GPS 11 3,97 18,8

Caterpillar Inc. CAT 22 3,96 11,3

Westwood Holdings Group Inc. WHG 14 3,96 8,7

Cambridge Bancorp CATC 18 3,93 5,2

Dominion Resources D 13 3,92 7,2

LA LISTE DES "DIVIDEND CONTENDERS"

Murphy Oil Corp. MUR 19 3,92 9,1

Occidental Petroleum OXY 12 3,91 15,7

Meredith Corp. MDP 23 3,86 14,7

International Business Machines IBM 21 3,84 14,9

South Jersey Industries SJI 17 3,78 8,2

Inmarsat plc IMASF 11 3,78 7,6

Compass Minerals International CMP 13 3,71 11,1

Tanger Factory Outlet Centers SKT 23 3,71 7,2

Donegal Group Inc. A DGICA 14 3,59 3,2

CCFNB Bancorp Inc. CCFN 18 3,59 3,6

RGC Resources Inc. RGCO 13 3,58 3,1

Armanino Foods of Distinction Inc. AMNF 10 3,55 17,2

Arrow Financial Corp. AROW 22 3,55 3,0

Muncy Bank Financial Inc. MYBF 16 3,54 10,6

Enbridge Inc. ENB 20 3,54 12,3

NorthWestern Corp. NWE 12 3,52 7,1

Best Buy Corp. BBY 14 3,49 9,1

Nu Skin Enterprises Inc. NUS 16 3,48 22,9

Citizens Financial Services CZFS 18 3,46 11,2

Isabella Bank Corp. ISBA 10 3,44 5,5

Avista Corp. AVA 14 3,42 5,7

Donegal Group Inc. B DGICB 14 3,42 2,8

Span-America Medical Systems SPAN 17 3,41 9,2

Wisconsin Energy WEC 13 3,40 16,9

Xcel Energy XEL 13 3,40 4,8

National Bankshares NKSH 16 3,39 4,6

Reynolds American Inc. RAI 12 3,39 8,2

Cullen/Frost Bankers CFR 23 3,38 3,4

Maxim Integrated Products MXIM 14 3,36 7,2

SCANA Corp. SCG 16 3,35 2,7

Cummins Inc. CMI 10 3,33 32,0

Alliant Energy Corp. LNT 13 3,33 6,8

Thomson Reuters Corp. TRI 23 3,31 2,9

Auburn National Bancorp AUBN 15 3,29 2,4

Artesian Resources ARTNA 18 3,28 3,0

Bank of Utica BKUTK 16 3,27 9,1

Portland General Electric Co. POR 11 3,22 2,4

AGL Resources GAS 14 3,22 3,0

Delta Natural Gas DGAS 11 3,20 4,0

Westamerica Bancorp WABC 24 3,20 1,2

Eversource Energy ES 18 3,15 10,3

Southside Bancshares SBSI 21 3,15 11,3

Farmers and Merchants Bancorp FMAO 11 3,14 3,6

Landmark Bancorp Inc. LARK 15 3,14 5,0

Community Bank System CBU 23 3,13 5,8

Ameriprise Financial Inc. AMP 12 3,13 29,5

Bar Harbor Bankshares BHB 13 3,11 7,7

Laclede Group Inc. LG 13 3,08 3,1

Xilinx Inc. XLNX 14 3,06 13,8

First Robinson Financial Corp. FRFC 15 3,05 5,3

CMS Energy Corp. CMS 10 3,05 11,9

Flowers Foods FLO 14 3,03 10,5

Cracker Barrel Old Country CBRL 13 3,01 38,6

General Mills GIS 13 3,00 10,5

Bob Evans Farms BOBE 10 2,99 10,8

Analog Devices Inc. ADI 14 2,98 13,2

NextEra Energy NEE 22 2,96 9,0

Microchip Technology Inc. MCHP 15 2,96 0,9

Westar Energy WR 12 2,95 3,1

Allied World Assurance Co. Holdings AG AWH 10 2,92 30,4

Sempra Energy SRE 13 2,92 12,1

Essex Property Trust ESS 22 2,90 6,4

Republic Bancorp KY RBCAA 17 2,90 6,5

Microsoft Corp. MSFT 14 2,89 18,6

Linear Technology Corp. LLTC 24 2,88 5,5

BOK Financial Corp. BOKF 11 2,86 11,3

Deere & Company DE 12 2,85 15,7

Northeast Indiana Bancorp NIDB 21 2,85 3,4

Lockheed Martin LMT 13 2,84 18,4

Owens & Minor Inc. OMI 19 2,80 7,4

Waste Management WM 13 2,79 4,1

Southwest Gas Corp. SWX 10 2,77 9,9

Brinker International EAT 11 2,76 17,8

Edison International EIX 13 2,72 5,8

New Jersey Resources NJR 20 2,69 6,1

Lyons Bancorp Inc. LYBC 15 2,67 12,9

Texas Instruments TXN 12 2,66 23,4

Chesapeake Financial Shares CPKF 23 2,64 9,3

CSX Corp. CSX 11 2,64 16,5

Axis Capital Holdings Ltd. AXS 14 2,63 6,7

Norfolk Southern NSC 14 2,62 11,0

First of Long Island Corp. FLIC 20 2,61 7,1

Kellogg Company K 11 2,60 4,9

Infinity Property & Casualty IPCC 14 2,59 25,2

Fastenal Company FAST 17 2,56 21,7

Praxair Inc. PX 23 2,55 9,7

Republic Services Inc. RSG 13 2,55 8,2

United Technologies UTX 23 2,53 8,5

Oil-Dri Corp. of America ODC 13 2,52 5,8

Williams-Sonoma Inc. WSM 11 2,52 20,2

Harris Corp. HRS 14 2,50 15,6

National Healthcare Corp. NHC 12 2,48 6,5

Equity LifeStyle Properties ELS 12 2,48 19,3

Minden Bancorp Inc. MDNB 14 2,44 11,7

Travelers Companies TRV 12 2,44 11,0

Bunge Limited BG 14 2,43 10,4

C.H. Robinson Worldwide CHRW 18 2,42 8,6

John Wiley & Sons Inc. JW-A 22 2,42 14,5

AmTrust Financial Services Inc. AFSI 10 2,41 36,3

Hasbro Inc. HAS 13 2,41 13,8

Acme United Corp. ACU 13 2,38 11,4

Ryder System R 11 2,38 8,9

Crane Company CR 11 2,38 8,9

Assurant Inc. AIZ 12 2,36 16,8

Chubb Limited CB 23 2,34 15,6

Raytheon Company RTN 12 2,32 12,8

Yum! Brands Inc. YUM 12 2,31 13,9

BancFirst Corp. OK BANF 22 2,31 8,0

Monsanto Company MON 15 2,31 13,3

Robert Half International Inc. RHI 13 2,30 9,0

Eagle Bancorp Montana Inc. EBMT 16 2,29 2,0

Prosperity Bancshares PB 17 2,27 11,9

Aqua America Inc. WTR 24 2,25 7,8

Polaris Industries PII 21 2,25 21,5

Tiffany & Company TIF 13 2,24 12,4

Ritchie Brothers Auctioneers Inc. RBA 13 2,23 7,9

MSC Industrial Direct Co. Inc. MSM 13 2,22 14,2

Enterprise Bancorp Inc. EBTC 22 2,15 4,6

Hanover Insurance Group (The) THG 11 2,15 11,1

L-3 Communications Holdings Inc. LLL 13 2,13 11,1

J.M. Smucker Co. SJM 18 2,11 11,1

York Water Company YORW 19 2,10 3,2

G&K Services Inc. GK 10 2,09 32,0

DeVry Education Group Inc. DV 10 2,07 12,5

Hawkins Inc. HWKN 11 2,04 6,1

Lincoln Electric Holdings LECO 21 2,04 15,7

Bank of Marin Bancorp BMRC 12 2,04 8,1

Cardinal Health Inc. CAH 19 1,97 14,5

Accenture plc ACN 11 1,95 20,8

Chesapeake Utilities CPK 12 1,93 5,3

Healthcare Services Group Inc. HCSG 14 1,93 3,7

International Flavors & Fragrances IFF 13 1,87 14,1

Andersons Inc. (The) ANDE 14 1,85 18,6

Albemarle Corp. ALB 22 1,84 15,4

PSB Holdings Inc. PSBQ 22 1,84 5,0

National Interstate Corp. NATL 12 1,82 10,2

Atlantic Tele Network Inc. ATNI 18 1,78 7,7

Cass Information Systems Inc. CASS 14 1,78 12,1

Smith & Nephew plc SNN 10 1,77 15,3

UMB Financial Corp. UMBF 24 1,76 4,9

Dun & Bradstreet Corp. DNB 10 1,75 5,7

ITC Holdings Corp. ITC 11 1,70 9,9

CVS Health Corp. CVS 13 1,69 32,0

Airgas Inc. ARG 13 1,68 20,1

Graco Inc. GGG 19 1,68 8,4

Honat Bancorp Inc. HONT 13 1,66 12,5

American Financial Group Inc. AFG 10 1,62 12,4

Sensient Technologies Corp. SXT 10 1,61 5,7

Canadian National Railway CNI 19 1,60 13,5

AmerisourceBergen Corp. ABC 11 1,60 28,9

AptarGroup Inc. ATR 22 1,58 11,6

NewMarket Corp. NEU 11 1,58 30,1

American Equity Investment Life Holding Co. AEL 12 1,57 17,1

Flowserve Corp. FLS 10 1,56 13,0

Utah Medical Products Inc. UTMD 12 1,55 1,7

Northrop Grumman NOC 12 1,55 13,3

J&J Snack Foods Corp. JJSF 12 1,54 27,3

Church & Dwight CHD 20 1,53 34,0

Bank of the Ozarks Inc. OZRK 18 1,50 29,7

Regal Beloit Corp. RBC 12 1,49 6,4

Rollins Inc. ROL 14 1,49 14,9

Thomasville Bancshares Inc. THVB 14 1,48 8,4

Royal Gold Inc. RGLD 15 1,47 19,6

Lindsay Corp. LNN 13 1,46 27,2

Expeditors International EXPD 21 1,45 12,5

Westlake Chemical Corp. WLK 12 1,45 41,8

Steris Corp. STE 11 1,42 13,0

Brown & Brown Inc. BRO 22 1,40 7,7

Stryker Corp. SYK 23 1,39 18,1

TJX Companies Inc. TJX 20 1,37 23,1

Silgan Holdings Inc. SLGN 13 1,34 8,8

Franklin Electric Co. FELE 24 1,27 8,2

A.O. Smith Corp. AOS 23 1,24 23,0

International Speedway Corp. ISCA 11 1,22 10,2

Ecolab Inc. ECL 24 1,22 16,3

Costco Wholesale COST 13 1,22 14,4

Kroger Company KR 10 1,19 15,2

Factset Research System Inc. FDS 17 1,17 14,0

Columbia Sportswear Co. COLM 10 1,16 10,9

Matthews International MATW 21 1,14 13,2

Badger Meter Inc. BMI 23 1,12 8,4

RenaissanceRe Holdings RNR 21 1,12 3,7

Nike Inc. NKE 14 1,09 14,9

Valmont Industries VMI 14 1,07 18,9

JB Hunt Transport Services Inc. JBHT 13 1,06 11,8

Torchmark Corp. TMK 11 0,97 14,4

Ross Stores Inc. ROST 22 0,95 24,0

Atrion Corp. ATRI 13 0,91 16,2

Monro Muffler Brake Inc. MNRO 11 0,87 18,6

W.R. Berkley Corp. WRB 14 0,86 11,7

EOG Resources Inc. EOG 15 0,81 17,0

Casey's General Stores Inc. CASY 16 0,79 15,7

VSE Corp. VSEC 12 0,71 13,8

Roper Technologies Inc. ROP 23 0,68 21,4

West Pharmaceutical Services WST 23 0,67 6,7

Mesa Laboratories Inc. MLAB 13 0,64 7,3

FedEx Corp. FDX 14 0,61 13,9

Perrigo Company plc PRGO 14 0,60 14,2

HDFC Bank Limited HDB 14 0,59 18,2

Landstar System Inc. LSTR 11 0,49 9,6

Aaron's Inc. AAN 13 0,38 14,4

Shire plc SHPG 12 0,37 15,2

Texas Pacific Land Trust TPL 13 0,20 7,7

Source : http://revenusetdividendes.com

Source : http://revenusetdividendes.com

Société Ticker/S

ymbol

Nbre

année

Rdt brut au

29/04/2016

(en%)

Croissance moyen

annuel du dividende

sur 3 ans

Archrock Partners LP APLP 9 17,14 4,2

Martin Midstream Partners LP MMLP 5 13,77 2,1

Golar LNG Partners LP GMLP 5 13,64 8,9

Medallion Financial Corp. TAXI 5 12,99 6,1

Seagate Technology plc STX 5 11,58 25,4

Williams Partners LP new WPZ 6 11,25 29,8

Triangle Capital Corp. TCAP 9 11,11 5,3

EnLink Midstream Partners LP ENLK 5 11,08 5,3

Enbridge Energy Partners LP EEP 9 10,78 2,3

Starwood Property Trust Inc. STWD 7 9,92 10,6

Sunoco LP SUN 5 9,11 355,0

CBL & Associates Properties Inc. CBL 5 9,08 6,8

Colony Capital Inc. CLNY 7 9,05 2,6

Waddell & Reed Financial Inc. WDR 6 9,05 19,8

Targa Resources Corp. TRGP 5 9,00 30,8

Seaspan Corp. SSW 5 8,87 16,2

Ashford Hospitality Trust AHT 5 8,59 20,8

Stage Stores Inc. SSI 6 8,15 15,1

Hospitality Properties Trust HPT 5 7,97 3,0

Sabra Health Care REIT Inc. SBRA 5 7,78 6,6

Lexington Realty Trust LXP 6 7,74 9,0

LaSalle Hotel Properties LHO 6 7,53 38,6

Calamos Asset Management Inc. CLMS 6 7,28 13,5

BP plc BP 5 7,15 6,6

EnLink Midstream LLC ENLC 5 7,12 28,0

Tesoro Logistics LP TLLP 6 7,01 20,9

One Liberty Properties Inc. OLP 6 7,00 5,7

STAG Industrial Inc. STAG 6 6,96 8,7

Main Street Capital Corp. MAIN 5 6,92 7,1

Sotherly Hotels Inc. SOHO 6 6,77 47,7

Western Gas Partners LP WES 9 6,67 16,2

Macquarie Infrastructure Company LLC MIC 6 6,54 36,2

Chesapeake Lodging Trust CHSP 6 6,50 17,6

Las Vegas Sands Corp. LVS 5 6,38 37,5

RLJ Lodging Trust RLJ 5 6,26 26,0

Preferred Apartment Communities Inc. APTS 6 6,24 10,6

Chatham Lodging Trust CLDT 7 6,19 16,3

Covanta Holding Corp. CVA 5 6,15 24,0

Banco Latinoamericano De Comercio Exterior SA BLX 5 5,96 13,6

BT Group plc BT 6 5,86 13,5

EPR Properties EPR 6 5,83 7,0

Cedar Fair LP FUN 5 5,68 24,3

LA LISTE DES "DIVIDEND CHALLENGERS"

Brookfield Infrastructure Partners LP BIP 9 5,41 12,2

Iron Mountain Inc. IRM 6 5,31 22,5

Innophos Holdings Inc. IPHS 5 5,19 19,0

Spectra Energy Corp. SE 6 5,12 8,9

Host Hotels & Resorts Inc. HST 5 5,06 45,4

PacWest Bancorp PACW 5 5,00 36,3

Safety Insurance Group Inc. SAFT 6 4,95 8,4

Garmin Ltd. GRMN 6 4,79 4,7

DuPont Fabros Technology Inc. DFT 7 4,72 46,0

Ventas Inc. VTR 6 4,70 9,5

Tupperware Brands Corp. TUP 6 4,68 25,4

LTC Properties Inc. LTC 6 4,66 5,0

Maiden Holdings Ltd. MHLD 8 4,58 17,6

Kohl's Corp. KSS 6 4,51 12,0

GameStop Corp. GME 5 4,51 21,6

PCTEL Inc. PCTI 5 4,46 18,6

Aircastle Limited AYR 5 4,42 13,5

DDR Corp. DDR 6 4,34 15,2

Emclaire Financial Corp. EMCF 6 4,31 10,1

Northwest Bancshares Inc. NWBI 7 4,28 5,3

Lazard Limited LAZ 9 4,22 21,1

Philip Morris International PM 8 4,16 8,4

Crawford & Company CRD-B 5 4,15 26,0

Domtar Corp. UFS 6 4,14 22,8

Douglas Dynamics Inc. PLOW 7 4,10 2,7

Valero Energy Corp. VLO 6 4,08 42,0

B&G Foods Inc. BGS 6 4,08 9,6

International Paper Co. IP 6 4,07 15,2

Umpqua Holdings Corp. UMPQ 5 4,04 24,0

HP Inc. HPQ 6 4,04 11,8

Pope Resources LP POPE 5 4,03 16,7

Myers Industries Inc. MYE 6 4,01 19,1

HCI Group Inc. HCI 6 4,01 15,7

Ceco Environmental Corp. CECE 5 4,00 18,2

Malaga Financial Corp. MLGF 7 3,98 17,0

Weingarten Realty Investors WRI 6 3,95 6,0

AES Corp. AES 5 3,94 115,4

PetMed Express Inc. PETS 7 3,93 5,8

Washington Trust Bancorp Inc. WASH 6 3,93 13,4

Viacom Inc. B VIAB 6 3,91 13,4

QNB Corp. QNBC 6 3,90 3,7

Old National Bancorp ONB 5 3,88 10,1

Six Flags Entertainment Corp. SIX 6 3,86 16,6

Weyerhaeuser Company WY 5 3,86 24,6

Marlin Business Services Corp. MRLN 5 3,79 23,7

Cisco Systems Inc. CSCO 6 3,78 31,6

LyondellBasell Industries NV LYB 5 3,77 28,0

EQT Midstream Partners LP EQM 5 3,76 92,7

Lexmark International Inc. LXK 5 3,73 7,8

Education Realty Trust Inc. EDR 5 3,72 12,7

OGE Energy Corp. OGE 9 3,72 9,3

Camden Property Trust CPT 6 3,72 8,6

HollyFrontier Corp. HFC 5 3,71 29,7

Allete Inc. ALE 6 3,70 3,2

Escalade Inc. ESCA 6 3,69 11,5

Pfizer Inc. PFE 6 3,67 8,4

Retail Opportunity Investments Corp. ROIC 7 3,66 8,7

Principal Financial Group Inc. PFG 8 3,66 25,4

West Bancorp Inc. WTBA 6 3,65 19,9

Macy's Inc. M 5 3,64 24,3

Kimco Realty Corp. KIM 6 3,63 8,1

Invesco Limited IVZ 7 3,61 18,3

Prudential Financial Inc. PRU 7 3,61 15,1

Eaton Corp. plc ETN 7 3,60 13,1

WestRock Company WRK 7 3,58 50,0

Macerich Company MAC 6 3,58 5,7

Public Service Enterprise Group Inc. PEG 5 3,56 3,2

American Electric Power Co. AEP 6 3,53 4,6

Orange County Bancorp Inc. OCBI 8 3,53 2,6

City Holding Co. CHCO 5 3,50 5,8

Dow Chemical Company DOW 6 3,50 13,8

GATX Corp. GMT 6 3,48 8,2

Alexandria Real Estate Equities Inc. ARE 6 3,44 14,3

Mid-America Apartment Communities Inc. MAA 6 3,43 5,3

Lakeland Bancorp Inc. LBAI 6 3,43 11,9

Kennametal Inc. KMT 5 3,42 8,2

Horace Mann Educators Corp. HMN 7 3,41 22,1

Provident Financial Services Inc. PFS 5 3,40 8,4

Packaging Corp of America PKG 5 3,39 29,2

UDR Inc. UDR 6 3,38 7,7

Great Plains Energy Inc. GXP 5 3,36 5,3

Sandy Spring Bancorp Inc. SASR 5 3,36 23,3

Merck & Company MRK 5 3,36 2,3

Pioneer Bankshares Inc. PNBI 7 3,34 5,7

Commercial Bancshares Inc. CMOH 5 3,33 19,6

OTC Markets Group Inc. OTCM 6 3,32 33,9

Arthur J. Gallagher & Co. AJG 6 3,30 2,9

Apartment Investment & Management Co. AIV 6 3,30 15,8

GNC Holdings Inc. GNC 5 3,28 17,8

C&F Financial Corp. CFFI 5 3,28 4,6

Post Properties Inc. PPS 6 3,28 21,4

Bank of South Carolina Corp. BKSC 5 3,28 6,6

Marathon Petroleum Corp. MPC 5 3,28 23,9

DTE Energy Company DTE 6 3,28 5,5

Ames National Corp. ATLO 6 3,26 10,4

DSW Inc. DSW 5 3,26 32,4

First Interstate Bancsystem Inc. FIBK 7 3,25 18,6

Boeing Company BA 5 3,23 27,4

Paychex Inc. PAYX 5 3,22 7,4

Diageo plc DEO 6 3,21 7,8

Miller Industries Inc. MLR 7 3,20 7,2

Simon Property Group Inc. SPG 6 3,18 16,2

AVX Corp. AVX 6 3,18 11,9

Anheuser-Busch InBev SA/NV BUD 6 3,18 36,2

BB&T Corp. BBT 6 3,17 11,4

GrandSouth Bancorp GRRB 5 3,16 51,3

Terreno Realty Corp. TRNO 6 3,16 13,3

Methanex Corp. MEOH 5 3,15 14,0

Steelcase Inc. SCS 6 3,15 10,3

Evans Bancorp Inc. EVBN 5 3,11 17,8

L Brands Inc. LB 6 3,07 26,0

Avalonbay Communities Inc. AVB 5 3,05 8,9

Access National Corp. ANCX 5 3,05 33,1

Wells Fargo & Co. WFC 6 3,04 18,8

Janus Capital Group Inc. JNS 6 3,01 15,0

Black Box Corp. BBOX 5 3,01 11,9

General Electric Co. GE 5 2,99 10,6

WesBanco Inc. WSBC 6 2,99 10,2

KLA-Tencor Corp. KLAC 6 2,97 10,8

United Parcel Service Inc. UPS 7 2,97 8,6

Oceaneering International Inc. OII 5 2,95 16,1

Northrim BanCorp Inc. NRIM 6 2,95 9,7

Public Storage PSA 7 2,94 13,9

A. Schulman Inc. SHLM 8 2,94 3,2

Harley-Davidson Inc. HOG 6 2,93 26,0

Nordstrom Inc. JWN 6 2,89 11,1

Corning Inc. GLW 6 2,89 15,1

First American Financial Corp. FAF 7 2,89 49,4

Union Bankshares Corp. UBSH 5 2,88 22,5

EMC Insurance Group Inc. EMCI 6 2,87 8,7

Financial Institutions Inc. FISI 5 2,86 14,0

Southern Michigan Bancorp Inc. SOMC 5 2,85 24,7

Fox Chase Bancorp Inc. FXCB 5 2,84 51,8

Fifth Third Bancorp FITB 5 2,84 15,2

Barrett Business Services Inc. BBSI 6 2,84 24,1

CubeSmart CUBE 6 2,84 26,0

CoreSite Realty Corp. COR 6 2,83 32,6

Wyndham Worldwide Corp. WYN 7 2,82 22,2

Bryn Mawr Bank Corp. BMTC 5 2,81 6,8

Johnson Controls Inc. JCI 6 2,80 13,0

WPP plc WPPGY 6 2,80 16,8

JPMorgan Chase & Co. JPM 5 2,78 13,5

Huntington Bancshares Inc. HBAN 5 2,78 14,5

FBL Financial Group Inc. FFG 6 2,78 58,7

Extra Space Storage Inc. EXR 6 2,78 41,5

PNM Resources Inc. PNM 5 2,78 12,6

Provident Financial Holdings Inc. PROV 5 2,77 37,7

Tredegar Corp. TG 5 2,76 27,1

Wayne Savings Bancshares Inc. WAYN 5 2,75 11,5

MainSource Financial Group Inc. MSFG 5 2,75 89,0

Territorial Bancorp TBNK 7 2,74 14,5

SL Green Realty Corp. SLG 5 2,74 33,9

Legg Mason Inc. LM 6 2,74 20,6

Webster Financial Corp. WBS 6 2,73 36,5

Douglas Emmett Inc. DEI 6 2,71 13,1

General Growth Properties Inc. GGP 7 2,71 19,2

Resources Connection Inc. RECN 6 2,71 17,8

Kingstone Companies Inc. KINS 5 2,68 14,9

CEB Inc. CEB 6 2,67 28,9

Hillenbrand Inc. HI 9 2,67 1,3

Penske Automotive Group Inc. PAG 6 2,66 26,9

Scotts Miracle-Gro Company SMG 6 2,66 13,8

Mercantile Bank Corp. MBWM 5 2,65 86,1

Omnicom Group Inc. OMC 7 2,65 20,3

Cohen & Steers Inc. CNS 7 2,65 11,6

Pacific Continental Corp. PCBK 5 2,64 20,5

HSN Inc. HSNI 5 2,64 36,1

El Paso Electric Co. EE 5 2,62 6,3

CME Group Inc. CME 6 2,61 3,7

Heritage Financial Corp. HFWA 6 2,60 12,7

ProAssurance Corp. PRA 5 2,60 35,4

Kennedy-Wilson Holdings Inc. KW 6 2,59 33,3

Dunkin' Brands Group Inc. DNKN 5 2,58 20,9

Columbia Banking System Inc. COLB 6 2,58 27,2

BlackRock Inc. BLK 7 2,57 13,3

Federal Agricultural Mortgage Corp. AGM 5 2,56 17,0

Rockwell Automation Inc. ROK 6 2,56 14,3

Chico's FAS Inc. CHS 7 2,54 13,6

Amgen Inc. AMGN 6 2,53 29,9

Union Pacific UNP 9 2,52 20,9

American Assets Trust Inc. AAT 5 2,52 4,1

Hershey Company HSY 6 2,50 12,7

Vail Resorts Inc. MTN 6 2,50 47,4

Schlumberger Limited SLB 5 2,49 20,9

Stock Yards Bancorp Inc. SYBT 6 2,47 7,6

Independent Bancorp MA INDB 6 2,47 7,5

United Bancshares Inc. UBOH 5 2,46 93,5

Horizon Bancorp HBNC 5 2,46 17,3

Applied Industrial Technologies Inc. AIT 7 2,44 8,7

KeyCorp KEY 5 2,44 17,2

Apple Inc. AAPL 5 2,43 38,9

HNI Corp. HNI 5 2,42 3,2

First Mid-Illinois Bancshares Inc. FMBH 5 2,41 12,0

Eastman Chemical Co. EMN 6 2,41 15,4

Evercore Partners Inc. EVR 9 2,40 11,9

U.S. Bancorp USB 5 2,39 12,1

Hubbell Inc. HUBB 8 2,38 10,1

Magna International Inc. MGA 6 2,38 17,0

Endurance Specialty Holdings Ltd. ENH 6 2,38 4,1

Lakeland Financial Corp. LKFN 5 2,37 12,4

Codorus Valley Bancorp Inc. CVLY 5 2,37 13,9

Dr Pepper Snapple Group DPS 7 2,33 11,3

PNC Financial Services Group Inc. PNC 5 2,32 9,0

Washington Federal Inc. WAFD 6 2,31 17,6

Lincoln National Corp. LNC 6 2,30 35,7

SunTrust Banks Inc. STI 5 2,30 66,3

Whirlpool Corp. WHR 6 2,30 19,9

Coca-Cola Enterprises Inc. CCE 9 2,29 20,5

TD Ameritrade Holding Corp. AMTD 6 2,28 31,9

LegacyTexas Financial Group Inc. LTXB 5 2,27 21,6

Avery Dennison Corp. AVY 6 2,26 10,6

MidWest One Financial Group Inc. MOFG 6 2,26 18,6

Trinity Industries Inc. TRN 5 2,26 28,1

First Financial Bankshares Inc. FFIN 6 2,22 7,0

First Defiance Financial Corp. FDEF 6 2,22 57,1

Steel Dynamics Inc. STLD 6 2,22 9,7

TE Connectivity Ltd. TEL 5 2,22 16,5

International Bancshares Corp. IBOC 6 2,21 13,2

Patterson Companies Inc. PDCO 7 2,21 16,8

Wendy's Company WEN 6 2,21 31,0

State Street Corp. STT 5 2,18 12,5

Motorola Solutions Inc. MSI 6 2,18 13,9

Booz Allen Hamilton Holding Corp. BAH 5 2,18 13,0

Cardinal Financial Corp. CFNL 7 2,17 43,1

SpartanNash Company SPTN 6 2,17 21,0

Unum Group UNM 7 2,16 14,2

Reliance Steel & Aluminum Co. RS 5 2,16 26,0

Ralph Lauren Corp. RL 6 2,15 17,6

Time Warner Inc. TWX 7 2,14 11,9

Forrester Research Inc. FORR 5 2,14 6,7

East West Bancorp EWBC 5 2,13 26,0

Tyco International Ltd. TYC 8 2,13 15,0

Quest Diagnostics Inc. DGX 5 2,13 29,3

Gentex Corp. GNTX 5 2,12 9,0

Bristol-Myers Squibb Co. BMY 7 2,11 2,9

ADT Corp. ADT 5 2,10 88,7

Honeywell International Inc. HON 5 2,08 12,0

Investors Bancorp ISBC 5 2,08 116,8

ManpowerGroup Inc. MAN 5 2,08 23,0

Nasdaq Inc. NDAQ 5 2,07 32,1

American Water Works AWK 9 2,06 11,5

Home Depot Inc. HD 7 2,06 26,7

Sinclair Broadcast Group Inc. SBGI 5 2,06 6,9

Simmons First National Corp. SFNC 5 2,06 4,8

j2 Global Inc. JCOM 6 2,05 11,8

Celanese Corp. CE 7 2,04 62,1

Allstate Corp. ALL 6 2,03 10,3

Neenah Paper Inc. NP 6 2,03 35,7

Finish Line Inc. (The) FINL 9 2,03 14,5

Worthington Industries Inc. WOR 5 2,01 14,0

Assured Guaranty Ltd. AGO 5 2,01 10,1

Broadridge Financial Solutions Inc. BR 9 2,01 18,9

Ethan Allen Interiors Inc. ETH 6 2,00 17,6

Monotype Imaging Holdings Inc. TYPE 5 2,00 111,8

Discover Financial Services DFS 5 1,99 39,2

FNB Bancorp FNBG 5 1,99 37,1

Comerica Inc. CMA 6 1,98 17,9

Marsh & McLennan Companies Inc. MMC 6 1,96 9,4

Ingersoll-Rand plc IR 6 1,95 31,4

American Tower Corp. AMT 6 1,95 26,2

Royal Caribbean Cruises Ltd. RCL 5 1,94 44,8

Standard Motor Products Inc. SMP 7 1,91 18,6

Aspen Insurance Holdings Ltd. AHL 5 1,90 7,9

Kaiser Aluminum Corp. KALU 5 1,90 17,0

MKS Instruments Inc. MKSI 5 1,90 2,9

Autoliv Inc. ALV 7 1,89 5,5

Mead Johnson Nutrition Co. MJN 7 1,89 11,6

Pinnacle Bankshares Corp. PPBN 5 1,89 89,5

Thor Industries Inc. THO 6 1,87 20,8

Texas Roadhouse Inc. TXRH 6 1,87 23,6

Whole Foods Market Inc. WFM 6 1,86 22,9

Anthem Inc. ANTM 6 1,85 29,5

Movado Group Inc. MOV 6 1,84 34,7

Starwood Hotels & Resorts Worldwide Inc. HOT 7 1,83 6,3

Harman International Industries Inc. HAR 5 1,82 44,6

Comcast Corp. CMCSA 9 1,81 16,9

Service Corp International SCI 5 1,80 26,0

Foot Locker Inc. FL 6 1,79 11,2

Monarch Financial Holdings Inc. MNRK 6 1,78 30,2

Cortland Bancorp CLDB 5 1,76 100,0

Flexsteel Industries Inc. FLXS 5 1,76 12,9

Trinity Bank NA TYBT 5 1,76 26,0

South State Corp. SSB 5 1,71 12,4

Bank of New York Mellon Corp. BK 5 1,69 9,4

Albany International Corp. AIN 5 1,69 6,9

Newell Rubbermaid Inc. NWL 5 1,67 20,9

Insperity Inc. NSP 5 1,67 8,8

IDEX Corp. IEX 7 1,66 17,2

Core Laboratories NV CLB 8 1,65 25,2

WD-40 Company WDFC 7 1,64 9,4

Paccar Inc. PCAR 5 1,63 5,7

Home Bancshares Inc. HOMB 6 1,63 34,7

St. Jude Medical Inc. STJ 6 1,63 8,2

Oxford Industries Inc. OXM 6 1,63 18,3

Scripps Networks Interactive Inc. SNI 6 1,60 24,2

Flir Systems Inc. FLIR 6 1,59 16,3

Ingredion Inc. INGR 5 1,56 25,7

Reinsurance Group of America Inc. RGA 7 1,55 18,6

Moody's Corp. MCO 7 1,55 28,6

Brookfield Asset Management Inc. BAM 5 1,54 12,1

Willis Towers Watson plc WLTW 5 1,54 4,8

Snap-on Inc. SNA 6 1,53 16,3

FMC Corp. FMC 5 1,53 23,2

UnitedHealth Group Inc. UNH 6 1,52 32,8

Oracle Corp. ORCL 7 1,51 33,4

CBOE Holdings Inc. CBOE 6 1,48 17,7

Xylem Inc. XYL 6 1,48 11,7

Barnes Group Inc. B 5 1,48 6,3

Quaker Chemical Corp. KWR 8 1,44 8,5

Marriott International Inc. MAR 6 1,43 24,7

Starbucks Corp. SBUX 6 1,42 23,6

Hill-Rom Holdings Inc. HRC 6 1,41 8,6

Ashland Inc. ASH 6 1,40 21,1

Toro Company TTC 7 1,39 31,5

Amdocs Limited DOX 5 1,38 72,3

Walt Disney Company DIS 6 1,38 31,0

Bio-Techne Corp. TECH 8 1,37 3,9

Primerica Inc. PRI 7 1,37 38,7

US Physical Therapy Inc. USPH 6 1,36 18,6

Broadcom Limited AVGO 7 1,34 39,1

Group 1 Automotive Inc. GPI 6 1,34 12,0

PolyOne Corp. POL 6 1,33 28,2

Quaint Oak Bancorp Inc. QNTO 9 1,33 21,2

Griffon Corp. GFF 5 1,27 26,0

Federated National Holding Co. FNHC 5 1,26 104,1

Aon plc AON 5 1,26 22,7

Estee Lauder Companies Inc. EL 6 1,25 12,3

Frederick County Bancorp Inc. FCBI 5 1,24 23,1

William Penn Bancorp Inc. WMPN 5 1,23 10,5

Bassett Furniture Industries Inc. BSET 5 1,22 19,3

Apogee Enterprises Inc. APOG 5 1,21 7,8

Franco-Nevada Corp. FNV 7 1,20 15,4

Pool Corp. POOL 5 1,19 17,3

Intuit Inc. INTU 5 1,19 19,2

Interface Inc. TILE 6 1,18 26,0

Agilent Technologies Inc. A 5 1,12 23,1

Limoneira Company LMNR 8 1,12 11,1

Equifax Inc. EFX 7 1,10 17,2

LeMaitre Vascular Inc. LMAT 6 1,09 19,0

CBS Corp. (Class B) CBS 5 1,07 12,6

Culp Inc. CFI 5 1,07 58,7

Lennox International Inc. LII 6 1,07 21,3

Morningstar Inc. MORN 6 1,06 23,9

Lear Corp. LEA 6 1,04 21,3

Gildan Activewear Inc. GIL 6 1,00 20,1

Littelfuse Inc. LFUS 6 1,00 12,4

Lifetime Brands Inc. LCUT 5 0,98 15,7

STRATTEC Security Corp. STRT 5 0,98 7,7

Lithia Motors Inc. LAD 6 0,96 27,1

Signet Jewelers Limited SIG 6 0,96 22,2

Primoris Services Corp. PRIM 5 0,94 16,6

Hingham Institution for Savings HIFS 8 0,94 3,8

First Republic Bank FRC 5 0,91 43,4

Aetna Inc. AET 5 0,89 12,6

ARM Holdings plc ARMH 6 0,86 25,7

Waste Connections Inc. WCN 6 0,86 13,1

MarketAxess Holdings Inc. MKTX 8 0,85 22,1

Tractor Supply Company TSCO 6 0,85 28,3

Core-Mark Holding Company CORE 5 0,78 16,3

MasterCard Inc. MA 5 0,78 82,7

Activision Blizzard Inc. ATVI 7 0,75 8,5

Ametek Inc. AME 6 0,75 17,8

Chemed Corp. CHE 7 0,74 10,6

Standex International Inc. SXI 5 0,73 19,9

Visa Inc. V 8 0,73 26,4

Ensign Group Inc. ENSG 9 0,71 30,2

McKesson Corp. MCK 8 0,67 9,1

Humana Inc. HUM 5 0,66 3,8

Balchem Inc. BCPC 7 0,55 18,6

Jones Lang Lasalle JLL 6 0,54 11,9

Dentsply Sirona Inc. XRAY 5 0,52 8,9

Winmark Corp. WINA 7 0,42 21,6

Dillard's Inc. DDS 5 0,40 7,7

Heartland Payment Systems Inc. HPY 5 0,39 18,6

Westinghouse Air Brake Technologies Corp. WAB 5 0,39 51,8

HEICO Corp. HEI 9 0,26 17,5

Cantel Medical Corp. CMN 7 0,18 17,0

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