Intercontinental Hotels Group And 4 Other Stocks Have Very High Payout Ratio
Intercontinental Hotels Group And 4 Other Stocks Have Very High Payout Ratio
(VIANEWS) – Plains Group Holdings, L.P. (PAGP), VOC Energy Trust Units of Beneficial Interest (VOC), Intercontinental Hotels Group (IHG) are the highest payout ratio stocks on this list.
We have gathered information concerning stocks with the highest payout ratio so far. The payout ratio in itself isn't a promise of good investment but it's an indicator of whether dividends are being paid and how the company chooses to issue them.
When investigating a potential investment, the dividend payout ratio is a good statistic to know so here are a few stocks with an above 30% percent payout ratio.
1. Plains Group Holdings, L.P. (PAGP)
103.41% Payout Ratio
Plains GP Holdings, L.P. owns and operates midstream energy infrastructure in the United States and Canada. It operates through three segments: Transportation, Facilities, and Supply and Logistics. The Transportation segment engages in the transportation of crude oil and natural gas liquids (NGLs) on pipelines, gathering systems, trucks, and barges. As of December 31, 2019, it owned and leased assets comprising 18,535 miles of crude oil and NGL pipelines and gathering systems; 35 million barrels of above-ground tank capacity; 825 trailers; 50 transport and storage barges; and 20 transport tugs. The Facilities segment engages in the provision of storage, terminalling, and throughput services primarily for crude oil, NGLs, and natural gas; NGL fractionation and isomerization services; and natural gas and condensate processing services. This segment owned and operated approximately 79 million barrels of crude oil storage capacity; 34 million barrels of NGL storage capacity; 63 billion cubic feet of natural gas storage capacity; 25 billion cubic feet of base gas; seven natural gas processing plants; a condensate processing facility; eight fractionation plants; 30 crude oil and NGL rail terminals; six marine facilities; and 430 miles of pipelines. The Supply and Logistics segment engages in merchant-related activities, including purchase of crude oil, as well as NGL from producers, refiners, processors, and other marketers; storage of NGL and natural gas; and resale and transport of crude oil and NGL. This segment owned 16 million barrels of crude oil and NGL linefill; 4 million barrels of crude oil and NGL linefill in pipelines owned by third parties and other inventory; 760 trucks and 900 trailers; and 8,000 crude oil and NGL railcars. The company offers logistics services, primarily for crude oil, NGLs, and natural gas. PAA GP Holdings LLC operates as a general partner of the company. Plains GP Holdings, L.P. was founded in 2013 and is headquartered in Houston, Texas.
Earnings Per Share
As for profitability, Plains Group Holdings, L.P. has a trailing twelve months EPS of $1.1.
PE Ratio
Plains Group Holdings, L.P. has a trailing twelve months price to earnings ratio of 12.78. Meaning, the purchaser of the share is investing $12.78 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 9.63%.
Sales Growth
Plains Group Holdings, L.P.'s sales growth is negative 19.9% for the present quarter and negative 18.5% for the next.
Yearly Top and Bottom Value
Plains Group Holdings, L.P.'s stock is valued at $14.06 at 02:23 EST, below its 52-week high of $14.20 and way above its 52-week low of $9.39.
Volume
Today's last reported volume for Plains Group Holdings, L.P. is 3696480 which is 30.54% above its average volume of 2831560.
Revenue Growth
Year-on-year quarterly revenue growth declined by 9.9%, now sitting on 55.99B for the twelve trailing months.
2. VOC Energy Trust Units of Beneficial Interest (VOC)
100% Payout Ratio
VOC Energy Trust acquires and holds a term net profits interest of the net proceeds from production and sale of the interests in oil and natural gas properties in the states of Kansas and Texas. The company has an 80% term net profits interest of the net proceeds on the underlying properties. As of December 31, 2020, its underlying properties had interests in 470.3 net producing wells and 84,332 net acres; and had proved reserves of approximately 3.1 million barrels of oil equivalent (MMBoe) attributable to the portion of the Kansas underlying properties, and approximately 3.1 MMBoe attributable to the Texas underlying properties. VOC Energy Trust was incorporated in 2010 and is based in Houston, Texas.
Earnings Per Share
As for profitability, VOC Energy Trust Units of Beneficial Interest has a trailing twelve months EPS of $1.26.
PE Ratio
VOC Energy Trust Units of Beneficial Interest has a trailing twelve months price to earnings ratio of 6.39. Meaning, the purchaser of the share is investing $6.39 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 141.23%.
Volume
Today's last reported volume for VOC Energy Trust Units of Beneficial Interest is 53017 which is 45.06% below its average volume of 96509.
Earnings Before Interest, Taxes, Depreciation, and Amortization
VOC Energy Trust Units of Beneficial Interest's EBITDA is 6.01.
Revenue Growth
Year-on-year quarterly revenue growth declined by 8.1%, now sitting on 23.21M for the twelve trailing months.
3. Intercontinental Hotels Group (IHG)
63.01% Payout Ratio
InterContinental Hotels Group PLC owns, manages, franchises, and leases hotels in the Americas, Europe, Asia, the Middle East, Africa, and Greater China. The company operates hotels, resorts, restaurants, and spas under the InterContinental Hotels & Resorts, Regent, Six Senses, Kimpton Hotels & Restaurants, Hotel Indigo, EVEN HOTELS, HUALUXE, Crowne Plaza, Voco, Holiday Inn, Holiday Inn Express, Holiday Inn Club Vacations, avid, Staybridge Suites, Atwell Suites, and Candlewood Suites brand names. It also provides IHG Rewards Club, a hotel loyalty program. As of February 28, 2020, the company had approximately 5,900 hotels and 884,000 rooms in approximately 100 countries. InterContinental Hotels Group PLC was founded in 1777 and is headquartered in Denham, the United Kingdom.
Earnings Per Share
As for profitability, Intercontinental Hotels Group has a trailing twelve months EPS of $2.04.
PE Ratio
Intercontinental Hotels Group has a trailing twelve months price to earnings ratio of 33.25. Meaning, the purchaser of the share is investing $33.25 for every dollar of annual earnings.
Dividend Yield
As stated by Morningstar, Inc., the next dividend payment is on Mar 29, 2023, the estimated forward annual dividend rate is 2.24 and the estimated forward annual dividend yield is 3.31%.
Moving Average
Intercontinental Hotels Group's value is higher than its 50-day moving average of $67.73 and above its 200-day moving average of $61.76.
4. Fanhua (FANH)
55.23% Payout Ratio
Fanhua Inc., together with its subsidiary, distributes insurance products in China. It operates through two segments, Insurance Agency and Claims Adjusting. The Insurance Agency segment provides property and casualty insurance products that primarily include individual accident, travel, homeowner, and indemnity medical insurance products; and life insurance products, such as individual health, individual whole life, individual term life, individual endowment life, and individual annuity, as well as participating insurance products. The Claims Adjusting segment offers pre-underwriting survey, claims adjusting, residual value disposal, loading and unloading supervision, and consulting services. The company also operates baoxian.com, an online insurance platform, which allows customers to search for, and purchase a range of insurance products; Lan Zhanggui, an internet-based all-in-one application; and ehuzhu.com, an online non-profit mutual aid platform, as well as CNpad Auto for facilitating auto insurance transaction. It serves customers through insurance sales and service group, and insurance agencies, as well as sales and service branches and outlets, registered independent sales agents, and in-house claims adjustors. The company was formerly known as CNinsure Inc. and changed its name to Fanhua Inc. in December 2016. Fanhua Inc. was founded in 1998 and is headquartered in Guangzhou, China.
Earnings Per Share
As for profitability, Fanhua has a trailing twelve months EPS of $0.25.
PE Ratio
Fanhua has a trailing twelve months price to earnings ratio of 29.2. Meaning, the purchaser of the share is investing $29.2 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 4.64%.
Revenue Growth
Year-on-year quarterly revenue growth declined by 4.4%, now sitting on 2.78B for the twelve trailing months.
Earnings Before Interest, Taxes, Depreciation, and Amortization
Fanhua's EBITDA is 3.41.
Yearly Top and Bottom Value
Fanhua's stock is valued at $7.30 at 02:23 EST, way under its 52-week high of $9.54 and way higher than its 52-week low of $4.31.
Moving Average
Fanhua's value is way below its 50-day moving average of $8.34 and way above its 200-day moving average of $6.62.
5. Mondelez International (MDLZ)
52.44% Payout Ratio
Mondelez International, Inc., through its subsidiaries, manufactures, markets, and sells snack food and beverage products in the Latin America, North America, Asia, the Middle East, Africa, and Europe. It provides biscuits and baked snacks, including cookies, crackers, salted snacks, snack bars, and cakes and pastries; chocolates; and gums and candies, as well as various cheese and grocery, and powdered beverage products. The company's brand portfolio includes Oreo, Ritz, LU, CLIF Bar, and Tate's Bake Shop biscuits and baked snacks, as well as Cadbury Dairy Milk, Milka, and Toblerone chocolate. It serves supermarket chains, wholesalers, supercenters, club stores, mass merchandisers, distributors, convenience stores, gasoline stations, drug stores, value stores, and other retail food outlets through direct store delivery, company-owned and satellite warehouses, third party distributors, and other facilities, as well as through independent sales offices and agents. The company was formerly known as Kraft Foods Inc. and changed its name to Mondelez International, Inc. in October 2012. Mondelez International, Inc. was incorporated in 2000 and is headquartered in Chicago, Illinois.
Earnings Per Share
As for profitability, Mondelez International has a trailing twelve months EPS of $2.87.
PE Ratio
Mondelez International has a trailing twelve months price to earnings ratio of 25.6. Meaning, the purchaser of the share is investing $25.6 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 14%.
Yearly Top and Bottom Value
Mondelez International's stock is valued at $73.46 at 02:23 EST, under its 52-week high of $78.59 and way higher than its 52-week low of $54.72.
Moving Average
Mondelez International's value is higher than its 50-day moving average of $73.01 and way above its 200-day moving average of $66.01.
Volume
Today's last reported volume for Mondelez International is 4759410 which is 21.36% below its average volume of 6052700.
Growth Estimates Quarters
The company's growth estimates for the ongoing quarter and the next is 3% and 6.8%, respectively.
Previous days news about Mondelez International (MDLZ)
- According to MarketWatch on Tuesday, 30 May, "Among some of the ETF's biggest decliners, shares of discount retailer Target Corp. dropped 2.7% and snacks giant Mondelez International Inc. slid 2.5%. "
(VIANEWS)— Plains Group Holdings, L.P.(PAGP)、VOC Energy Trust of Holdings of Holdings(VOC)、洲際酒店集團(IHG)是該名單上派息率最高的股票。
我們已經收集了有關迄今爲止派息率最高的股票的信息。派息率本身並不是良好投資的承諾,而是衡量公司是否正在支付股息以及公司選擇如何發行股息的指標。
在調查潛在投資時,股息支付率是一個不錯的統計數據,因此以下是一些派息率超過30%的股票。
1.Plains Group Holdings(PAGP)
103.41% 派息率
Plains GP Holdings, L.P. 在美國和加拿大擁有並運營中游能源基礎設施。它通過三個部門運營:運輸、設施以及供應和物流。運輸部門通過管道、收集系統、卡車和駁船從事原油和液化天然氣(NGL)的運輸。截至2019年12月31日,它擁有和租賃的資產包括18,535英里的原油和液化天然氣管道和收集系統;3,500萬桶的地上儲罐容量;825輛拖車;50艘運輸和儲存駁船;以及20艘運輸拖船。設施部門主要爲原油、液化天然氣和天然氣提供儲存、終端和吞吐服務;液化天然氣分餾和異構化服務;以及天然氣和冷凝水處理服務。該分部擁有並運營約7900萬桶原油儲存能力;3,400萬桶液化天然氣儲存能力;630億立方英尺的天然氣儲量;250億立方英尺的基礎氣;七座天然氣加工廠;一座冷凝水處理設施;八個分餾廠;30個原油和液化天然氣鐵路碼頭;六個海事設施;以及430英里的管道。供應和物流部門從事與商業相關的活動,包括從生產商、煉油廠、加工商和其他營銷商那裏購買原油和液化天然氣;儲存液化天然氣和天然氣;以及轉售和運輸原油和液化天然氣。該細分市場擁有1600萬桶原油和液化天然氣輸油管道;400萬桶由第三方擁有的管道中的原油和液化天然氣輸油管道和其他庫存;760輛卡車和900輛拖車;以及8,000輛原油和液化天然氣軌道車。該公司提供物流服務,主要用於原油、液化天然氣和天然氣。PAA GP Holdings LLC是該公司的普通合夥人。Plains GP Holdings, L.P. 成立於2013年,總部位於德克薩斯州休斯頓。
每股收益
至於盈利能力,Plains Group Holdings, L.P. 過去十二個月的每股收益爲1.1美元。
市盈率
Plains Group Holdings, L.P. 在過去的十二個月中,市盈率爲12.78。這意味着,該股票的購買者將爲每1美元的年收益投資12.78美元。
在過去的十二個月中,該公司的股本回報率爲9.63%,衡量企業相對於股東權益的盈利能力。
銷售增長
普萊恩斯集團控股有限責任公司本季度的銷售增長爲負19.9%,下一季度的銷售增長爲負18.5%。
年度最高值和最低值
普萊恩斯集團控股有限責任公司美國東部標準時間 02:23,該股的估值爲14.06美元,低於其52周高點14.20美元,遠高於其52周低點9.39美元。
音量
Plains Group Holdings, L.P. 今天最後一次公佈的交易量爲3696480,比其平均交易量2831560高出30.54%。
收入增長
季度收入同比增長下降了9.9%,目前在過去的十二個月中爲55.99億美元。
2.VOC 能源信託實益單位 (VOC)
100% 的支付比率
VOC Energy Trust收購併持有堪薩斯州和德克薩斯州生產和出售石油和天然氣物業權益的淨收益中的淨利潤利息。該公司在標的物業的淨收益中擁有80%的定期淨利潤利息。截至2020年12月31日,其標的物業擁有470.3口淨產油井和84,332英畝淨產油井的權益;已探明的儲量約爲310萬桶石油當量(mmBoE),歸屬於堪薩斯州標的物業的約3.1萬桶石油當量(mmBoE)。VOC Energy Trust 成立於 2010 年,總部位於德克薩斯州休斯頓。
每股收益
至於盈利能力,VOC Energy Trust 實益單位過去十二個月的每股收益爲1.26美元。
市盈率
VOC Energy Trust 的實益權益單位在過去十二個月的市盈率爲6.39。這意味着,該股票的購買者將爲每1美元的年收益投資6.39美元。
在過去的十二個月中,該公司的股本回報率爲141.23%,衡量企業相對於股東權益的盈利能力。
音量
今天公佈的VOC Energy Trust 受益權益單位的交易量爲53017,比其平均交易量96509低45.06%。
利息、稅項、折舊和攤銷前的收益
VOC Energy Trust 實益單位的息稅折舊攤銷前利潤爲6.01。
收入增長
季度收入同比增長下降了8.1%,目前在過去的十二個月中爲2321萬。
3.洲際酒店集團 (IHG)
63.01% 派息率
洲際酒店集團有限公司在美洲、歐洲、亞洲、中東、非洲和大中華區擁有、管理、特許經營和租賃酒店。該公司以洲際酒店及度假村、麗晶酒店、六善酒店、金普頓酒店及餐廳、英迪格酒店、EVEN HOTELS、HUALUXE、皇冠假日酒店、Voco、假日酒店、快捷假日酒店、假日酒店俱樂部度假、avid、Staybridge Suites、Atwell Suites 和 Candlewood Suites 等品牌經營酒店、度假村、餐廳和水療中心。它還提供IHG Rewards Club,這是一項酒店忠誠度計劃。截至2020年2月28日,該公司在大約100個國家擁有約5,900家酒店和88.4萬間客房。洲際酒店集團有限公司成立於 1777 年,總部位於英國德納姆。
每股收益
至於盈利能力,洲際酒店集團過去十二個月的每股收益爲2.04美元。
市盈率
洲際酒店集團過去十二個月的市盈率爲33.25。這意味着,該股票的購買者將爲每1美元的年收益投資33.25美元。
股息收益率
正如晨星公司所說,下一次股息支付時間爲2023年3月29日,預計遠期年股息率爲2.24,預計遠期年股息收益率爲3.31%。
移動平均線
洲際酒店集團的價值高於其50天移動平均線67.73美元,也高於其200天移動平均線61.76美元。
4.範華(FANH)
55.23% 的派息率
泛華公司及其子公司在中國分銷保險產品。它通過兩個部門運營,即保險代理和理賠部門。保險機構部門提供財產和意外傷害保險產品,主要包括個人意外、旅行、房主和賠償醫療保險產品;以及人壽保險產品,例如個人健康、個人終身壽險、個人定期壽險、個人養老壽險和個人年金,以及分紅保險產品。理賠部門提供承保前調查、理賠、剩餘價值處置、裝卸監督和諮詢服務。該公司還運營在線保險平臺baoxian.com,允許客戶搜索和購買一系列保險產品;基於互聯網的多合一應用程序蘭張貴;以及在線非營利互助平臺ehuzhu.com以及用於促進汽車保險交易的cnPad Auto。它通過保險銷售和服務集團、保險機構、銷售和服務分支機構和網點、註冊的獨立銷售代理和內部理賠師爲客戶提供服務。該公司前身爲CNinSure Inc.,並於2016年12月更名爲泛華公司。泛華公司成立於 1998 年,總部位於中國廣州。
每股收益
至於盈利能力,泛華過去十二個月的每股收益爲0.25美元。
市盈率
泛華過去十二個月的市盈率爲29.2。這意味着,該股票的購買者將爲每1美元的年收益投資29.2美元。
在過去的十二個月中,該公司的股本回報率爲4.64%,衡量企業相對於股東權益的盈利能力。
收入增長
季度收入同比增長下降了4.4%,目前在過去十二個月中爲27.8億美元。
利息、稅項、折舊和攤銷前的收益
泛華的息稅折舊攤銷前利潤爲3.41。
年度最高值和最低值
美國東部標準時間 02:23,泛華的股票估值爲7.30美元,遠低於其52周高點9.54美元,遠高於其52周低點4.31美元。
移動平均線
泛華的價值遠低於其50天移動平均線8.34美元,遠高於其200天移動平均線6.62美元。
5.憶滋(MDLZ)
52.44% 派息率
Mondelez International, Inc. 通過其子公司在拉丁美洲、北美、亞洲、中東、非洲和歐洲製造、營銷和銷售休閒食品和飲料產品。它提供餅乾和烘焙零食,包括餅乾、餅乾、鹹味零食、小喫棒以及蛋糕和糕點;巧克力;口香糖和糖果,以及各種奶酪和雜貨以及粉狀飲料產品。該公司的品牌組合包括奧利奧、麗思、路易斯大學、CLIF Bar和Tate's Bake Shop餅乾和烘焙零食,以及吉百利乳業牛奶、Milka和Toblerone巧克力。它通過商店直送、公司自有倉庫和衛星倉庫、第三方分銷商和其他設施以及獨立的銷售辦公室和代理商爲連鎖超市、批發商、超級中心、俱樂部商店、大衆銷售商、分銷商、便利店、加油站、藥店、超值商店和其他零售食品商店提供服務。該公司前身爲卡夫食品公司,並於2012年10月更名爲Mondelez International, Inc.Mondelez International, Inc. 成立於 2000 年,總部位於伊利諾伊州芝加哥。
每股收益
至於盈利能力,Mondelez International過去十二個月的每股收益爲2.87美元。
市盈率
Mondelez International在過去十二個月的市盈率爲25.6。這意味着,該股票的購買者將爲每1美元的年收益投資25.6美元。
在過去的十二個月中,該公司的股本回報率爲14%,衡量企業相對於股東權益的盈利能力。
年度最高值和最低值
美國東部標準時間 02:23,Mondelez International的股票估值爲73.46美元,低於其52周高點78.59美元,遠高於52周低點54.72美元。
移動平均線
Mondelez International的價值高於其50天移動平均線73.01美元,遠高於其200天移動平均線66.01美元。
音量
Mondelez International今天最後一次公佈的交易量爲4759410,比其平均交易量6052700 低21.36%。
增長估算季度
該公司對本季度和下一季度的增長預期分別爲3%和6.8%。
前幾天有關Mondelez International(MDLZ)的新聞
根據5月30日星期二的MarketWatch的數據,“在ETF跌幅最大的股票中,折扣零售商塔吉特公司的股價下跌了2.7%,零食巨頭Mondelez International Inc.的股價下跌了2.5%。“
譯文內容由第三人軟體翻譯。
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