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3 Defensive Stocks to Strengthen Your Portfolio in Volatile Markets

3 Defensive Stocks to Strengthen Your Portfolio in Volatile Markets

在波动市场中加强投资组合的3只防御性股票
The Motley Fool ·  09/27 09:00

After a challenging beginning this month, the S&P/TSX Composite Index has bounced back strongly and has been hitting new highs for the last few days. The slashing of benchmark interest rates by the United States Federal Reserve by 50 basis points has improved investors' optimism, driving the equity markets. However, concern over global growth amid prolonged high interest rates and geopolitical tensions still persists. If you are also concerned about these factors, you can strengthen your portfolios with these three defensive stocks.

在经历了本月艰难的开局后,标普/多伦多综合指数强劲反弹,并在过去几天一直创下新高。美国联邦储备委员会将基准利率削减50个基点,改善了投资者的乐观情绪,推动了股票市场。然而,在持续高利率和地缘政治紧张局势的背景下,全球经济增长仍然存在担忧。如果您也担心这些因素,可以通过这三只防御性股票来加强您的投资组合。

Waste Connections

废物管理公司Waste Connections

Waste Connections (TSX:WCN) is a waste management company that operates in secondary and exclusive markets across Canada and the United States. So, it faces less competition, thus allowing it to enjoy higher margins. Given the essential nature of its business and aggressive expansion through strategic acquisitions and organic growth, the company has grown its financials and stock price. Over the last 10 years, the company has returned over 570% at an annualized rate of 21%.

废物管理(tsx:WCN)是一家在加拿大和美国各地的二级和专有市场运营的废物管理公司。因此,它面临较少竞争,从而可以享受较高的利润率。鉴于其业务的基本性质以及通过战略收购和有机增长进行积极扩张,该公司已经发展了其财务和股价。在过去的10年中,该公司以年复合增长率21%的速度回报超过570%。

Meanwhile, the Toronto-based waste management company has acquired 18 assets this year as of July 24, which could contribute $500 million to its annualized revenue. Besides, it has signed multiple definitive agreements in the franchise markets that could contribute an additional $150 million to its annualized revenue. Further, the company is building several renewable natural gas and resource recovery facilities, which could become operational in the coming years.

与此同时,总部位于多伦多的废物管理公司截至7月24日已经收购了18项资产,这可能为其年化营业收入贡献5亿美元。此外,该公司已在特许经营市场签署了多项最终协议,可能为其年化营业收入增加1.5亿美元。此外,该公司正在建设多个可再生天然气和资源回收设施,这些设施在未来几年可能投入运营。

Moreover, WCN has raised its dividends at an annualized rate of 14% since 2010 and currently offers a forward dividend yield of 0.65%. Last month, it approved a new share purchase plan, which would lower its share count by 5% by August 11, 2025. Considering its solid track record and healthy growth prospects, I believe WCN would strengthen your portfolios.

此外,自2010年以来,WCN的年化分红率已经以14%的速度提高,并目前提供0.65%的前瞻性股息收益率。上个月,它批准了新的股票购买计划,该计划将在2025年8月11日之前将其股份数量减少5%。考虑到其良好的业绩记录和健康的增长前景,我相信WCN将为您的投资组合增添力量。

Dollarama

Dollarama

Dollarama (TSX:DOL) is a Canadian discount retailer operating 1,583 stores across Canada. The company has adopted a superior direct-sourcing model, increasing its bargaining power while lowering intermediatory expenses. So, the company offers a wide range of consumer products at attractive prices and thus enjoys healthy same-store sales even during a challenging macro environment. These solid sales and consistent store network expansion have driven its stock price. Over the previous 10 years, Dollarama has delivered around 800% of returns at an annualized rate of 24.6%.

杜拜玛(tsx:DOL)是一家加拿大折扣零售商,在加拿大境内运营1583家商店。该公司采用了优越的直接采购模式,增加了其议价能力,同时降低了中介费用。因此,该公司以有吸引力的价格提供多样化的消费者产品,因此即使在具有挑战性的宏观环境中,仍然享受健康的同店销售额。这些稳健的销售额和持续的门店网络扩张推动了其股价。在过去的10年中,杜拜玛以年化增长率24.6%的速度交付了约800%的回报。

Meanwhile, Dollarama continues to expand its store network and expects its store count to reach 2,000 by the end of 2031. Besides, it recently raised its stake in Dollarcity, which operates value stores in Latin America, by 10% to 60.1%. The company also has an option to increase its stake by an additional 9.9% by December 31, 2027. These growth initiatives could boost its financials in the coming years, thus driving its stock price despite the uncertain outlook.

与此同时,Dollarama继续扩张其商店网络,并预计到2031年底其商店数量将达到2,000家。此外,最近增加了对在拉丁美洲经营价值商店的Dollarcity持股比例,从50.1%增至60.1%。该公司还有权利在2027年12月31日之前再增加9.9%的股份。这些增长举措可能在未来几年提振其财务状况,从而推动其股价上涨,尽管前景不确定。

Hydro One

Hydro One

Hydro One (TSX:H) is an electric utility company with no material exposure to commodity price fluctuations. With 99% of its business rate regulated, its financials are less susceptible to market volatility. Its unregulated business forms 1% of its asset base, offering additional growth opportunities. Since 2018, the company has grown its rate base at an annualized rate of 5%. Besides, it has undertaken several cost-cutting initiatives, which have delivered around $1.5 billion of savings since 2016. Amid these solid operating performances, the company has returned 124% over the last five years at an annualized rate of 17.5%.

Hydro One(tsx:H)是一家电力公用事业公司,几乎不受商品价格波动的影响。其业务的99%受到费率管制,其财务状况不太容易受市场波动影响。其非管制业务占其资产基础的1%,提供额外的增长机会。自2018年以来,该公司以年化率5%的速度增长其费率基数。此外,它还实施了几项削减成本的举措,自2016年以来已实现约150亿美元的节约。在这些良好的运营表现中,公司在过去五年中以年化率17.5%的速度回报124%。

Further, Hydro One is continuing with its $11.8 billion capital expenditure plan, which would grow its rate base at an annualized rate of 5% through 2027. Along with rate base expansion, favourable rate revisions, and cost-cutting initiatives could boost its financials in the coming years. The company's management expects its EPS to grow 5–7% annually through 2027. Given its solid underlying regulated business and healthy growth prospects, I believe Hydro One would be an excellent buy.

此外,Hydro One继续实施其118亿美元的资本支出计划,预计到2027年其费率基数将以年化率5%增长。随着费率基数的扩大,有利的费率修订和削减成本的举措可能在未来几年提升其财务状况。该公司管理层预计其每股收益在2027年前年增长5-7%。考虑到其坚实的基础管制业务和良好的增长前景,我相信Hydro One将是一个极好的买入选择。

Moreover, Hydro One, which has raised its dividends at an annualized rate of 5% since 2016, currently offers a forward dividend yield of 2.7%. The company's management also hopes to raise its dividends at an annualized rate of 6% through 2027.

此外,Hydro One自2016年以来以年化率5%提高其股息,并目前提供2.7%的前瞻性股息收益率。该公司管理层还希望在2027年前以年化率6%提高其股息。

译文内容由第三方软件翻译。


以上内容仅用作资讯或教育之目的,不构成与富途相关的任何投资建议。富途竭力但不能保证上述全部内容的真实性、准确性和原创性。
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