日立サラリーマンの米国株投資

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【米国株】10年以上連続増配銘柄の「1年平均増配率ランキング」|369銘柄の配当利回りを確認

f:id:kakusala:20190716080032p:plain

米国株投資では、増配率についても要注目ですが、あまり増配率基準のランキングを見ないので、この記事で一覧表を作りました。

現在、米国企業の10年以上連続増配企業は約369社ほどありますが、1年増配率基準でランキングを作成しました。

10年以上連続増配銘柄の1年平均増配率ランキング

10年以上連続増配を続ける米国株銘柄の「1年平均増配率順のランキング」です。

2019年6月28日終値基準。

No. ティッカー 会社名 連続増配年 株価US$ 配当利回り% 1年増配率 3年増配率 5年増配率 10年増配率
1 TPL Texas Pacific Land Trust 15 786.99 0.22 200.0 53.6 33.2 19.3
2 CMA Comerica Inc. 10 72.64 3.69 70.4 30.9 22.8 -3.5
3 LSTR Landstar System Inc. 14 107.99 0.61 65.8 28.1 20.3 15.1
4 NC NACCO Industries 34 51.94 1.46 56.7 26.1 15.9 12.4
5 ROST Ross Stores Inc. 25 99.12 1.03 40.6 24.2 21.5 25.2
6 QNTO Quaint Oak Bancorp Inc. 11 13.94 2.01 36.8 23.5 22.3 21.4
7 FFMR First Farmers Financial Corp. 12 42.05 2.76 36.6 16.1 18.3 12.7
8 AOS A.O. Smith Corp. 25 47.16 1.87 35.7 26.0 27.0 19.9
9 HONT Honat Bancorp Inc. 14 108 1.63 34.1 15.6 10.8 12.4
10 EVR Evercore Partners Inc. 13 88.57 2.62 33.8 18.2 15.9 14.7
11 BBY Best Buy Corp. 16 69.73 2.87 32.4 25.1 21.5 13.0
12 PETS PetMed Express Inc. 10 15.67 6.89 31.6 13.6 10.2 n/a
13 WINA Winmark Corp. 10 173.15 0.58 30.2 27.5 24.1 n/a
14 THVB Thomasville Bancshares Inc. 17 42.01 3.09 30.0 20.1 16.7 17.9
15 MSM MSC Industrial Direct Co. Inc. 16 74.26 3.39 29.5 13.3 14.0 12.0
16 SJW SJW Corp. 52 60.77 1.97 28.7 12.8 8.9 5.7
17 PRI Primerica Inc. 10 119.95 1.13 28.2 16.0 17.8 n/a
18 FDX FedEx Corp. 17 164.19 1.58 27.8 36.7 31.7 18.3
19 MXIM Maxim Integrated Products 17 59.82 3.08 27.5 14.9 12.0 8.5
20 V Visa Inc. 11 173.55 0.58 27.5 20.7 20.4 32.6
21 MKTX MarketAxess Holdings Inc. 11 321.42 0.63 27.3 28.1 26.4 n/a
22 CTAS Cintas Corp. 36 237.29 0.86 26.5 25.0 21.6 16.1
23 SRCE 1st Source Corp. 32 46.4 2.33 26.3 12.7 9.2 6.2
24 TXN Texas Instruments 15 114.76 2.68 24.1 23.4 19.7 20.4
25 TJX TJX Companies Inc. 23 52.88 1.74 23.8 22.6 21.9 21.6
26 MGRC McGrath Rentcorp 27 62.15 2.41 23.7 8.8 6.0 5.1
27 IPAR Inter Parfums Inc. 10 66.49 1.65 23.5 18.1 13.8 20.2
28 UNP Union Pacific 13 169.11 2.08 23.4 11.6 15.6 20.7
29 COLM Columbia Sportswear Co. 13 100.16 0.96 23.3 13.2 14.6 10.9
30 TROW T. Rowe Price Group 33 109.71 2.77 22.8 10.4 13.0 11.3
31 ITW Illinois Tool Works 44 150.81 2.65 22.3 18.5 16.4 11.3
32 LII Lennox International Inc. 10 275 1.12 22.3 20.3 21.2 15.2
33 SPGI S&P Global Inc. 46 227.79 1.00 22.0 14.9 12.3 8.6
34 ROL Rollins Inc. 17 35.87 1.17 21.7 20.5 18.5 17.5
35 WEN Wendy's Company 10 19.58 2.04 21.4 14.8 13.6 2.9
36 CMD Cantel Medical Corp. 10 80.64 0.25 21.4 19.3 18.3 n/a
37 MAR Marriott International Inc. 10 140.29 1.37 20.9 18.0 19.5 17.3
38 RGA Reinsurance Group of America Inc. 10 156.03 1.54 20.9 16.3 15.3 37.7
39 CASS Cass Information Systems Inc. 17 48.48 2.15 20.6 9.7 8.7 10.7
40 NOC Northrop Grumman 16 323.11 1.63 20.5 14.9 14.6 12.7
41 UVV Universal Corp. 48 60.77 5.00 20.4 7.7 5.4 3.7
42 FAST Fastenal Company 20 32.59 2.64 20.3 11.2 14.0 19.5
43 BLK BlackRock Inc. 10 469.3 2.81 20.2 11.3 12.3 14.4
44 PRU Prudential Financial Inc. 11 101 3.96 20.0 13.8 15.8 20.0
45 SYBT Stock Yards Bancorp Inc. 10 36.15 2.88 20.0 14.5 12.2 7.8
46 UNH UnitedHealth Group Inc. 10 244.01 1.77 20.0 22.5 26.8 60.7
47 AFL AFLAC Inc. 37 54.81 1.97 19.5 9.6 7.9 8.0
48 CE Celanese Corp. 10 107.8 2.30 19.5 21.8 31.7 29.2
49 MCK McKesson Corp. 11 134.39 1.16 19.5 10.7 9.9 12.9
50 JKHY Jack Henry & Associates 29 133.92 1.19 19.4 14.0 15.2 17.3
51 OKE ONEOK Inc. 17 68.81 5.03 19.3 10.1 20.2 16.9
52 CMCSA Comcast Corp. 12 42.28 1.99 19.3 14.3 14.2 22.7
53 BANF BancFirst Corp. OK 25 55.66 2.16 19.2 10.5 9.5 8.5
54 PRGO Perrigo Company plc 17 47.62 1.76 18.8 15.0 16.1 14.0
55 NRIM Northrim BanCorp Inc. 10 35.66 3.37 18.6 11.3 9.8 4.4
56 ROP Roper Technologies Inc. 26 366.26 0.51 17.9 18.2 20.1 19.0
57 R Ryder System 14 58.3 3.70 17.8 10.8 10.3 8.7
58 LOW Lowe's Companies 56 100.91 1.90 17.1 20.4 21.2 18.4
59 FIBK First Interstate Bancsystem Inc. 10 39.61 3.13 16.7 11.9 15.7 n/a
60 RHI Robert Half International Inc. 16 57.01 2.18 16.7 11.9 11.8 9.8
61 BR Broadridge Financial Solutions Inc. 12 127.68 1.52 16.6 12.5 16.1 20.2
62 ADP Automatic Data Proc. 44 165.33 1.91 15.8 10.4 11.7 10.0
63 MCO Moody's Corp. 10 195.31 1.02 15.8 9.0 14.4 16.0
64 MMM 3M Company 61 173.34 3.32 15.7 9.9 16.5 10.5
65 HD Home Depot Inc. 10 207.97 2.62 15.7 20.4 21.4 16.4
66 VSEC VSE Corp. 16 28.69 1.25 15.4 12.6 12.0 13.4
67 BEN Franklin Resources 39 34.8 2.99 15.0 15.3 18.7 13.2
68 MO Altria Group Inc. 49 47.35 6.76 14.9 10.4 9.7 9.5
69 WLK Westlake Chemical Corp. 15 69.46 1.44 14.8 9.9 17.4 24.5
70 CHD Church & Dwight 23 73.06 1.25 14.7 9.2 9.3 26.2
71 CFR Cullen/Frost Bankers 26 93.66 3.03 14.7 7.1 5.4 4.5
72 APD Air Products & Chem. 37 226.37 2.05 14.6 9.9 8.9 9.6
73 IEX IDEX Corp. 10 172.14 1.16 14.5 10.2 13.3 13.2
74 BMI Badger Meter Inc. 26 59.69 1.01 14.3 12.8 9.9 10.8
75 TTC Toro Company 10 66.9 1.35 14.3 17.0 23.4 18.2
76 TSCO Tractor Supply Company 10 108.8 1.29 14.3 16.4 19.6 n/a
77 HRS Harris Corp. 17 189.13 1.45 14.1 9.0 9.7 13.6
78 UNM Unum Group 10 33.55 3.10 14.0 11.9 12.2 12.6
79 FDS Factset Research System Inc. 21 286.56 1.01 13.8 13.2 12.8 14.2
80 LMNR Limoneira Company 11 19.94 1.50 13.6 11.6 10.8 n/a
81 IBOC International Bancshares Corp. 10 37.71 2.65 13.6 8.9 11.8 1.3
82 CSVI Computer Services Inc. 47 36.8 1.96 13.6 12.5 17.4 15.0
83 CLX Clorox Company 42 153.11 2.77 13.4 7.2 6.6 8.0
84 BMRC Bank of Marin Bancorp 15 41.02 1.85 13.4 12.2 11.7 8.5
85 ATVI Activision Blizzard Inc. 10 47.2 0.78 13.3 13.9 12.3 n/a
86 COST Costco Wholesale 16 264.26 0.98 13.3 12.4 12.9 13.5
87 ATRI Atrion Corp. 16 852.74 0.63 13.3 15.6 16.3 16.8
88 ELS Equity LifeStyle Properties 15 121.34 2.02 13.3 13.8 17.2 19.0
89 NEE NextEra Energy Inc. 25 204.86 2.44 13.0 13.0 11.0 9.6
90 CSX CSX Corp. 15 77.37 1.24 12.8 7.9 8.3 13.1
91 AFG American Financial Group Inc. 13 102.47 1.56 12.6 12.1 12.5 11.2
92 CNS Cohen & Steers Inc. 10 51.44 2.80 12.5 8.0 9.5 5.2
93 PFG Principal Financial Group Inc. 10 57.92 3.73 12.3 11.9 16.5 16.7
94 UMBF UMB Financial Corp. 27 65.82 1.82 12.3 6.8 5.9 6.2
95 OZK Bank OZK 23 30.09 3.06 12.0 13.1 17.2 20.3
96 COR CoreSite Realty Corp. 10 115.17 4.24 11.7 33.8 30.1 n/a
97 EIX Edison International 16 67.41 3.63 11.5 13.2 12.4 7.1
98 LECO Lincoln Electric Holdings 24 82.32 2.28 11.4 10.4 14.3 12.1
99 SBSI Southside Bancshares 25 32.38 3.83 11.4 12.8 12.1 13.7
100 ENB Enbridge Inc. 23 36.08 6.05 11.4 12.2 10.9 12.8
101 PH Parker-Hannifin Corp. 63 170.01 2.07 11.4 5.3 10.6 12.3
102 FMAO Farmers and Merchants Bancorp 15 29.12 2.06 11.3 7.9 6.2 5.0
103 EV Eaton Vance Corp. 38 43.13 3.25 11.3 8.0 9.3 7.8
104 PEP PepsiCo Inc. 47 131.13 2.91 11.2 8.5 9.4 8.0
105 SLGN Silgan Holdings Inc. 16 30.6 1.44 11.1 7.7 7.4 8.9
106 NKE Nike Inc. 17 83.95 1.05 11.1 12.6 13.8 13.0
107 HDB HDFC Bank Limited 17 130.04 0.42 11.0 13.5 12.3 16.6
108 HAS Hasbro Inc. 16 105.68 2.57 10.8 10.8 9.5 12.5
109 ECL Ecolab Inc. 27 197.44 0.93 10.8 7.5 12.3 12.2
110 GD General Dynamics 28 181.82 2.24 10.7 10.5 10.6 10.5
111 FELE Franklin Electric Co. 27 47.5 1.22 10.7 6.9 8.9 6.6
112 MKC McCormick & Co. 33 155.01 1.47 10.6 9.1 8.9 9.0
113 SYK Stryker Corp. 26 205.58 1.01 10.6 10.9 12.1 19.0
114 TIF Tiffany & Company 17 93.64 2.48 10.5 10.4 9.7 12.6
115 SMP Standard Motor Products Inc. 10 45.34 2.03 10.5 11.9 13.8 8.8
116 BCPC Balchem Inc. 10 99.97 0.47 10.5 11.9 13.8 19.1
117 SPG Simon Property Group Inc. 10 159.76 5.13 10.5 9.3 12.6 8.8
118 MMC Marsh & McLennan Companies Inc. 10 99.75 1.82 10.5 10.2 10.5 7.0
119 PLOW Douglas Dynamics Inc. 10 39.79 2.74 10.4 6.0 4.9 n/a
120 CPK Chesapeake Utilities 16 95.02 1.70 10.3 7.6 6.5 5.7
121 HRL Hormel Foods Corp. 53 40.54 2.07 10.3 14.5 17.1 15.0
122 RBCAA Republic Bancorp KY 21 49.75 2.12 10.3 7.1 6.8 7.2
123 LARK Landmark Bancorp Inc. 17 23.95 3.34 10.3 6.8 6.1 5.5
124 WDFC WD-40 Company 10 159.04 1.53 10.2 12.4 11.7 8.0
125 STE Steris plc 14 148.88 0.91 10.2 10.6 10.2 16.6
126 SCL Stepan Company 51 91.91 1.09 10.1 8.2 7.3 8.1
127 D Dominion Energy Inc. 16 77.32 4.75 10.0 8.8 8.2 7.8
128 ETN Eaton Corp. plc 10 83.28 3.41 10.0 6.3 9.5 10.2
129 MATW Matthews International 24 34.85 2.30 10.0 12.6 13.4 12.1
130 GGG Graco Inc. 22 50.18 1.28 10.0 9.7 9.6 7.9
131 CASY Casey's General Stores Inc. 20 155.99 0.82 10.0 9.4 9.8 14.7
132 LMT Lockheed Martin 16 363.54 2.42 9.9 10.1 11.4 16.2
133 BRO Brown & Brown Inc. 25 33.5 0.96 9.9 10.5 10.5 7.9
134 VFC VF Corp. 46 87.35 2.34 9.9 12.4 15.6 12.5
135 OGE OGE Energy Corp. 12 42.56 3.43 9.9 10.0 10.3 7.0
136 AWK American Water Works 12 116 1.72 9.9 10.2 10.3 16.1
137 MNRO Monro Inc. 15 85.3 1.03 9.9 10.4 12.6 17.2
138 EVRG Evergy Inc 14 60.15 3.16 9.8 6.7 5.0 4.3
139 HUBB Hubbell Inc. 11 130.4 2.58 9.8 12.0 11.2 8.8
140 SXT Sensient Technologies Corp. 13 73.48 1.96 9.8 9.1 8.2 6.2
141 WHG Westwood Holdings Group Inc. 17 35.2 8.18 9.7 10.8 11.2 9.0
142 CBSH Commerce Bancshares 51 59.66 1.74 9.7 6.5 5.9 4.9
143 NDSN Nordson Corp. 55 141.31 0.99 9.6 11.6 14.7 13.1
144 UPS United Parcel Service Inc. 10 103.27 3.72 9.6 7.6 8.0 7.3
145 WM Waste Management 16 115.37 1.78 9.4 6.5 5.0 5.6
146 PPG PPG Industries Inc. 47 116.71 1.65 9.4 9.5 9.0 5.9
147 MCD McDonald's Corp. 43 207.66 2.23 9.4 6.8 6.1 9.9
148 AMNF Armanino Foods of Distinction Inc. 14 3.41 2.93 9.4 6.2 11.0 11.8
149 ISCA International Speedway Corp. 14 44.89 1.09 9.3 21.8 16.4 14.6
150 BG Bunge Limited 18 55.71 3.59 9.1 10.1 11.0 10.3
151 OMC Omnicom Group Inc. 10 81.95 3.17 9.1 6.3 9.9 14.9
152 WSM Williams-Sonoma Inc. 14 65 2.95 9.1 6.8 7.9 13.5
153 SYY Sysco Corp. 49 70.72 2.21 9.1 6.3 5.2 5.0
154 AAN Aaron's Inc. 16 61.41 0.23 9.1 8.5 12.0 10.9
155 CNI Canadian National Railway 24 92.48 1.72 9.0 12.2 10.9 12.4
156 AMP Ameriprise Financial Inc. 15 145.16 2.67 9.0 10.9 11.9 18.3
157 LANC Lancaster Colony Corp. 56 148.6 1.75 8.9 9.2 8.6 8.1
158 SRE Sempra Energy 16 137.44 2.82 8.8 8.3 7.1 10.2
159 THG Hanover Insurance Group (The) 14 128.3 1.87 8.8 9.5 10.3 17.3
160 RTN Raytheon Company 15 173.88 2.17 8.8 9.1 9.6 12.0
161 FLIC First of Long Island Corp. 23 20.08 3.39 8.8 6.5 6.7 8.3
162 GRC Gorman-Rupp Company 46 32.83 1.64 8.5 8.0 9.1 7.1
163 QCOM Qualcomm Inc. 16 76.07 3.26 8.5 9.3 13.3 14.6
164 WBA Walgreens Boots Alliance Inc. 43 54.67 3.22 8.4 6.4 7.3 15.0
165 BF-B Brown-Forman Class B 35 55.43 1.20 8.2 7.1 8.4 8.1
166 MSFT Microsoft Corp. 17 133.96 1.37 8.2 10.1 12.1 14.1
167 KR Kroger Company 14 21.71 2.95 8.2 10.3 11.5 11.9
168 BIP Brookfield Infrastructure Partners LP 12 42.94 4.68 8.0 10.0 10.4 12.3
169 RSG Republic Services Inc. 16 86.64 1.73 8.0 7.3 7.9 7.3
170 RBC Regal Beloit Corp. 15 81.71 1.47 8.0 6.3 6.7 5.7
171 MSA MSA Safety Inc. 48 105.39 1.59 8.0 5.5 4.8 4.7
172 ATO Atmos Energy 35 105.56 1.99 7.9 7.6 6.9 4.3
173 MDT Medtronic plc 42 97.39 2.22 7.9 11.9 12.2 11.9
174 CPKF Chesapeake Financial Shares 28 26.16 2.22 7.8 5.8 5.3 6.9
175 NIDB Northeast Indiana Bancorp 24 36.3 2.75 7.8 6.2 4.9 3.9
176 LYBC Lyons Bancorp Inc. 19 47 2.55 7.8 13.0 13.7 11.4
177 HEI HEICO Corp. 12 133.81 0.10 7.7 13.5 14.5 17.4
178 AEL American Equity Investment Life Holding Co. 15 27.16 1.03 7.7 8.4 9.2 14.9
179 EXR Extra Space Storage Inc. 10 106.1 3.39 7.7 14.5 18.3 12.9
180 CBU Community Bank System 27 65.84 2.31 7.7 4.7 4.9 5.1
181 MMP Magellan Midstream Partners LP 19 64 6.28 7.7 9.2 12.6 10.8
182 LAD Lithia Motors Inc. 10 118.78 1.01 7.5 14.5 18.4 9.3
183 WST West Pharmaceutical Services 26 125.15 0.48 7.5 8.2 8.2 7.2
184 LAZ Lazard Limited 12 34.39 5.47 7.5 8.6 12.7 15.8
185 EBTC Enterprise Bancorp Inc. 25 31.71 2.02 7.4 5.1 4.7 4.9
186 CHE Chemed Corp. 10 360.84 0.33 7.4 8.0 8.8 17.1
187 RPM RPM International Inc. 45 61.11 2.29 7.4 7.5 7.4 5.5
188 CMS CMS Energy Corp. 13 57.91 2.64 7.4 7.2 7.0 14.8
189 EBMT Eagle Bancorp Montana Inc. 19 16.6 2.23 7.4 6.2 4.8 3.4
190 ENSG Ensign Group Inc. 12 56.92 0.33 7.4 6.8 19.9 15.0
191 ERIE Erie Indemnity Company 29 254.28 1.42 7.3 7.2 7.2 6.7
192 BOKF BOK Financial Corp. 14 75.48 2.65 7.3 4.0 4.3 8.1
193 IFF International Flavors & Fragrances 16 145.09 2.01 7.3 12.4 14.7 11.5
194 WRB W.R. Berkley Corp. 18 65.93 0.67 7.3 7.9 9.2 9.9
195 SR Spire Inc. 16 83.92 2.82 7.1 6.9 5.8 4.1
196 EXPD Expeditors International 25 75.86 1.32 7.1 7.7 8.4 10.9
197 JJSF J&J Snack Foods Corp. 15 160.95 1.24 7.1 7.7 23.0 17.1
198 WTR Aqua America Inc. 26 41.37 2.12 7.1 7.3 7.7 7.6
199 TRV Travelers Companies 15 149.52 2.19 7.1 8.4 9.1 9.8
200 WRK WestRock Company 10 36.47 4.99 7.1 11.7 26.9 25.5
201 ESS Essex Property Trust 25 291.93 2.67 7.0 9.3 9.2 6.3
202 NJR New Jersey Resources 23 49.77 2.35 7.0 6.7 6.5 7.3
203 CSL Carlisle Companies 42 140.41 1.14 6.9 11.9 12.9 9.9
204 HIFS Hingham Institution for Savings 12 198.01 0.79 6.9 6.8 5.8 5.5
205 DTE DTE Energy Company 10 127.88 2.96 6.9 8.0 6.7 5.2
206 RGCO RGC Resources Inc. 16 30.52 2.16 6.9 6.5 5.3 4.1
207 EFSI Eagle Financial Services 32 31 3.10 6.8 5.5 4.3 3.4
208 TMK Torchmark Corp. 14 89.46 0.77 6.8 5.8 7.4 9.9
209 ADI Analog Devices Inc. 17 112.87 1.91 6.7 6.3 7.1 9.4
210 LLL L3 Technologies Inc. 16 245.17 1.39 6.7 7.2 7.8 10.8
211 AWR American States Water 64 75.24 1.46 6.6 6.6 6.9 7.8
212 BKH Black Hills Corp. 48 78.17 2.58 6.6 6.0 4.9 3.3
213 JNJ Johnson & Johnson 57 139.28 2.73 6.6 6.3 6.4 7.0
214 SWK Stanley Black & Decker 51 144.61 1.83 6.6 6.4 5.4 7.4
215 TMP Tompkins Financial Corp. 32 81.6 2.45 6.6 4.5 4.7 4.9
216 MYBF Muncy Bank Financial Inc. 17 37 3.57 6.6 9.1 10.2 9.0
217 SJM J.M. Smucker Co. 21 115.19 2.95 6.5 7.6 8.2 10.0
218 DLR Digital Realty Trust 15 117.79 3.67 6.5 5.2 4.9 12.3
219 POR Portland General Electric Co. 14 54.17 2.84 6.4 6.6 5.2 3.9
220 LNT Alliant Energy Corp. 16 49.08 2.89 6.3 6.8 7.3 6.7
221 ES Eversource Energy 21 75.76 2.82 6.3 6.5 6.6 9.4
222 MSEX Middlesex Water Co. 46 59.25 1.62 6.3 5.5 3.9 2.6
223 NWBI Northwest Bancshares Inc. 10 17.61 4.09 6.3 6.7 6.3 5.7
224 WEC WEC Energy Group Inc. 16 83.37 2.83 6.3 8.2 8.9 15.1
225 SWX Southwest Gas Corp. 13 89.62 2.43 6.2 9.2 9.8 8.7
226 ET Energy Transfer LP 13 14.08 8.66 6.1 6.1 13.4 9.6
227 AIZ Assurant Inc. 15 106.38 2.26 6.0 18.5 18.9 15.5
228 FLO Flowers Foods 18 23.27 3.27 6.0 7.8 9.8 10.8
229 GWW W.W. Grainger Inc. 48 268.23 2.15 5.9 5.3 8.3 13.2
230 PB Prosperity Bancshares 21 66.05 2.48 5.9 9.7 10.9 11.2
231 CAT Caterpillar Inc. 26 136.29 3.02 5.8 3.7 7.0 7.7
232 LEG Leggett & Platt Inc. 48 38.37 4.17 5.7 5.8 4.8 4.0
233 GPC Genuine Parts Co. 63 103.58 2.94 5.7 5.4 5.7 6.3
234 DCI Donaldson Company 33 50.86 1.65 5.6 3.8 8.4 12.9
235 XEL Xcel Energy 16 59.49 2.72 5.6 6.0 6.4 4.8
236 XOM ExxonMobil Corp. 37 76.63 4.54 5.6 3.9 5.6 7.6
237 EAT Brinker International 13 39.35 3.86 5.6 8.2 11.6 13.2
238 CINF Cincinnati Financial 59 103.67 2.16 5.6 4.7 4.9 3.2
239 ORCL Oracle Corp. 11 56.97 1.69 5.6 10.1 12.6 n/a
240 PM Philip Morris International 11 78.53 5.81 5.5 3.2 4.8 16.0
241 CMI Cummins Inc. 13 171.34 2.66 5.5 8.1 14.6 22.2
242 KO Coca-Cola Company 57 50.92 3.14 5.4 5.7 6.9 7.5
243 NHC National Healthcare Corp. 16 81.15 2.56 5.4 9.8 9.6 8.1
244 CATC Cambridge Bancorp 21 81.5 2.50 5.4 2.9 4.3 4.4
245 BHB Bar Harbor Bankshares 16 26.59 3.31 5.4 5.3 7.2 5.7
246 NHI National Health Investors 17 78.03 5.38 5.3 6.0 6.9 6.3
247 IBM International Business Machines 24 137.9 4.70 5.3 7.5 10.9 12.6
248 PSBQ PSB Holdings Inc. 26 24 1.50 5.2 7.2 5.6 5.2
249 SON Sonoco Products Co. 37 65.34 2.63 5.2 5.7 5.7 4.2
250 BKUTK Bank of Utica 19 430 3.49 5.1 5.7 6.1 7.0
251 CTWS Connecticut Water Service 50 69.72 1.88 5.1 5.6 4.7 3.4
252 PNBI Pioneer Bankshares Inc. 10 27.25 3.23 5.0 5.3 4.6 4.0
253 HEP Holly Energy Partners LP 15 27.5 9.75 5.0 6.7 6.4 5.9
254 ACN Accenture plc 14 184.77 1.58 4.9 9.6 9.9 18.8
255 NNN National Retail Properties 29 53.01 3.77 4.8 4.5 4.0 2.8
256 UFS Domtar Corp. 10 44.53 4.09 4.8 3.4 10.6 n/a
257 RLI RLI Corp. 44 85.71 1.07 4.8 5.1 5.4 6.1
258 BEP Brookfield Renewable Partners LP 10 34.59 5.96 4.8 5.7 6.5 4.6
259 MDP Meredith Corp. 26 55.06 4.18 4.8 6.0 6.0 9.7
260 TCO Taubman Centers Inc. 10 40.83 6.61 4.8 5.1 5.5 4.7
261 NWE NorthWestern Corp. 15 72.15 3.19 4.8 4.6 7.7 5.2
262 MGEE MGE Energy Inc. 43 73.08 1.85 4.8 4.6 4.3 3.3
263 LIN Linde Plc 26 200.8 1.74 4.8 4.9 6.6 8.2
264 ACU Acme United Corp. 16 22.58 2.13 4.8 6.9 8.0 10.0
265 ALB Albemarle Corp. 25 70.41 2.09 4.7 5.0 6.7 10.7
266 ADM Archer Daniels Midland 44 40.8 3.43 4.7 6.2 12.0 9.9
267 CTBI Community Trust Banc. 38 42.29 3.41 4.7 3.7 3.3 2.5
268 UGI UGI Corp. 32 53.41 2.25 4.6 4.7 6.7 7.3
269 CWT California Water Service 52 50.63 1.56 4.4 3.9 3.3 2.5
270 ODC Oil-Dri Corp. of America 17 34.04 2.94 4.4 4.7 4.9 5.7
271 ABC AmerisourceBergen Corp. 14 85.26 1.88 4.4 8.4 12.2 25.2
272 CL Colgate-Palmolive Co. 56 71.67 2.40 4.4 3.4 4.5 7.8
273 DOV Dover Corp. 63 100.2 1.92 4.4 5.0 9.4 9.7
274 FNV Franco-Nevada Corp. 12 84.88 1.18 4.4 4.6 5.7 n/a
275 AUBN Auburn National Bancorp 18 33.5 2.99 4.3 2.9 2.7 2.6
276 JBHT JB Hunt Transport Services Inc. 16 91.41 1.14 4.3 4.6 9.9 9.1
277 AROW Arrow Financial Corp. 25 34.73 2.99 4.3 3.2 2.4 2.9
278 CBRL Cracker Barrel Old Country 17 170.73 3.05 4.3 5.3 14.4 20.8
279 FUL H.B. Fuller Company 50 46.4 1.38 4.2 6.4 9.8 8.9
280 UTX United Technologies 25 130.2 2.26 4.2 3.5 5.3 7.7
281 AVA Avista Corp. 17 44.6 3.48 4.2 4.1 4.1 8.0
282 DUK Duke Energy Corp. 14 88.24 4.20 4.2 3.9 3.3 3.0
283 RGLD Royal Gold Inc. 18 102.49 1.03 4.2 4.4 4.6 13.6
284 ROIC Retail Opportunity Investments Corp. 10 17.13 4.60 4.0 4.7 5.4 n/a
285 YORW York Water Company 22 35.72 1.94 4.0 3.7 3.8 3.2
286 OHI Omega Healthcare Investors 16 36.75 7.18 3.9 6.6 7.3 8.3
287 CNP CenterPoint Energy 14 28.63 4.02 3.9 3.9 6.0 4.3
288 CHRW C.H. Robinson Worldwide 21 84.35 2.37 3.9 6.2 6.1 7.9
289 PPL PPL Corp. 18 31.01 5.32 3.8 2.8 3.5 2.7
290 K Kellogg Company 15 53.57 4.18 3.8 3.6 4.1 5.4
291 O Realty Income Corp. 26 68.97 3.94 3.8 5.0 4.1 4.5
292 PG Procter & Gamble Co. 63 109.65 2.72 3.8 2.6 3.7 6.2
293 VGR Vector Group Ltd. 20 9.75 16.41 3.7 4.6 4.7 4.9
294 CVX Chevron Corp. 32 124.44 3.83 3.7 1.5 2.8 5.9
295 KMB Kimberly-Clark Corp. 47 133.28 3.09 3.7 4.5 5.5 6.2
296 HMN Horace Mann Educators Corp. 10 40.29 2.85 3.6 4.5 7.9 12.0
297 ED Consolidated Edison 45 87.68 3.38 3.6 3.2 3.1 2.0
298 XLNX Xilinx Inc. 17 117.92 1.26 3.6 5.4 8.1 10.2
299 KWR Quaker Chemical Corp. 12 202.88 0.76 3.6 5.4 7.9 4.8
300 HWKN Hawkins Inc. 15 43.41 2.12 3.5 4.5 4.9 5.9
301 IVZ Invesco Limited 10 20.46 6.06 3.5 3.9 7.0 8.6
302 SO Southern Company 19 55.28 4.49 3.5 3.4 3.4 3.7
303 WEYS Weyco Group Inc. 38 26.71 3.59 3.4 4.4 5.2 6.1
304 PII Polaris Industries 24 91.23 2.67 3.4 4.2 7.4 12.2
305 AIT Applied Industrial Technologies Inc. 10 61.53 2.02 3.4 3.6 5.5 7.2
306 SEIC SEI Investments Company 28 56.1 1.18 3.4 7.7 11.4 14.9
307 NKSH National Bankshares 20 38.93 3.44 3.4 2.0 1.6 4.2
308 LNN Lindsay Corp. 16 82.21 1.51 3.4 3.5 20.0 15.5
309 TGT Target Corp. 52 86.61 3.05 3.3 5.3 9.8 15.4
310 TDS Telephone & Data Sys. 45 30.4 2.17 3.2 4.3 4.6 4.6
311 JW-A John Wiley & Sons Inc. 25 45.86 2.88 3.2 3.3 5.8 10.5
312 ANDE Andersons Inc. (The) 17 27.24 2.50 3.1 5.6 9.1 11.8
313 ATR AptarGroup Inc. 26 124.34 1.16 3.1 5.0 5.7 9.0
314 RNR RenaissanceRe Holdings 24 178.01 0.76 3.1 3.2 3.3 3.7
315 CHS Chico's FAS Inc. 10 3.37 10.39 3.0 3.4 7.2 n/a
316 UBSI United Bankshares Inc. 44 37.09 3.67 3.0 2.0 1.7 1.6
317 ARTNA Artesian Resources 27 37.17 2.65 3.0 3.0 3.0 3.0
318 SKT Tanger Factory Outlet Centers 26 16.21 8.76 3.0 8.3 9.5 6.4
319 CZFS Citizens Financial Services 21 61 2.92 2.9 2.4 7.7 7.3
320 RBA Ritchie Brothers Auctioneers Inc. 18 33.22 2.17 2.9 5.3 6.7 7.5
321 ABM ABM Industries Inc. 52 40 1.80 2.9 3.0 3.1 3.4
322 CAH Cardinal Health Inc. 24 47.1 4.09 2.9 8.7 10.2 17.5
323 EPD Enterprise Products Partners LP 22 28.87 6.06 2.9 4.4 4.9 5.3
324 CB Chubb Limited 26 147.29 2.04 2.9 2.9 7.6 10.2
325 SJI South Jersey Industries 20 33.73 3.41 2.7 3.9 4.6 7.6
326 CCFN CCFNB Bancorp Inc. 21 49.25 3.09 2.7 2.3 2.3 5.3
327 BDX Becton Dickinson & Co. 47 252.01 1.22 2.7 7.1 8.3 10.2
328 HCSG Healthcare Services Group Inc. 17 30.32 2.61 2.7 2.7 2.8 7.2
329 ORI Old Republic International 38 22.38 3.57 2.6 1.8 1.6 1.5
330 AXS Axis Capital Holdings Ltd. 17 59.65 2.68 2.6 10.4 9.3 7.7
331 MDU MDU Resources 28 25.8 3.14 2.6 2.7 2.7 3.0
332 FMCB Farmers & Merchants Bancorp 56 790 1.77 2.6 2.8 2.3 3.1
333 BMY Bristol-Myers Squibb Co. 10 45.35 3.62 2.6 2.6 2.7 2.6
334 NFG National Fuel Gas 49 52.75 3.30 2.4 2.5 2.6 2.8
335 TR Tootsie Roll Industries 52 36.93 0.97 2.3 5.2 6.1 4.5
336 NEU NewMarket Corp. 13 400.94 1.75 2.2 7.7 15.2 24.2
337 VZ Verizon Communications 14 57.13 4.22 2.2 2.3 2.7 3.1
338 DGICB Donegal Group Inc. B 17 14.5 3.52 2.1 2.0 1.8 3.4
339 T AT&T Inc. 35 33.51 6.09 2.0 2.1 2.1 2.3
340 FRT Federal Realty Inv. Trust 51 128.76 3.17 2.0 4.2 6.2 4.9
341 THFF First Financial Corp. 31 40.16 2.59 2.0 1.3 1.2 1.5
342 WMT Wal-Mart Inc. 46 110.49 1.92 2.0 2.0 2.7 8.3
343 ISBA Isabella Bank Corp. 13 23.45 4.43 2.0 3.4 4.4 8.0
344 WABC Westamerica Bancorp 28 61.61 2.66 1.9 1.5 1.4 1.4
345 UBA Urstadt Biddle Properties 25 21 5.24 1.9 1.9 1.6 1.3
346 UTMD Utah Medical Products Inc. 16 95.7 1.15 1.9 1.8 1.9 1.8
347 DGICA Donegal Group Inc. A 17 15.27 3.80 1.8 1.9 2.4 3.4
348 NWFL Norwood Financial 21 34.81 2.76 1.5 2.4 2.9 3.8
349 PBCT People's United Financial 27 16.78 4.23 1.5 1.7 1.5 1.8
350 BRC Brady Corp. 33 49.32 1.72 1.4 1.3 1.7 3.0
351 NUS Nu Skin Enterprises Inc. 19 49.32 3.00 1.4 1.4 4.0 12.7
352 UHT Universal Health Realty Trust 34 84.93 3.20 1.3 1.5 1.5 1.4
353 OXY Occidental Petroleum 15 50.28 6.21 1.3 1.7 5.4 10.2
354 WPC W.P. Carey Inc. 22 81.18 5.09 1.2 2.1 5.1 7.7
355 TNC Tennant Company 47 61.2 1.44 1.2 2.0 3.4 5.0
356 SHW Sherwin-Williams Co. 41 458.29 0.99 1.2 8.7 11.5 9.4
357 EMR Emerson Electric 62 66.72 2.94 1.0 1.0 3.2 4.7
358 HI Hillenbrand Inc. 12 39.57 2.12 1.0 1.2 1.2 4.2
359 GIS General Mills 15 52.52 3.73 1.0 4.2 6.7 9.0
360 TYCB Calvin B. Taylor Bankshares Inc. 29 34.8 2.87 1.0 1.0 1.0 1.5
361 HP Helmerich & Payne Inc. 46 50.62 5.61 0.7 0.8 16.8 31.0
362 NUE Nucor Corp. 46 55.1 2.90 0.7 0.7 0.7 1.5
363 MCHP Microchip Technology Inc. 18 86.7 1.69 0.6 0.5 0.6 0.9
364 NWN Northwest Natural Gas 63 69.5 2.73 0.5 0.7 0.7 2.2
365 MCY Mercury General Corp. 32 62.5 4.02 0.4 0.4 0.4 0.8
366 TRI Thomson Reuters Corp. 26 64.46 2.23 0.4 1.1 1.3 2.5
367 APU AmeriGas Partners LP 14 34.84 10.91 0.3 1.4 2.7 4.2
368 WYND Wyndham Destinations Inc. 10 43.9 4.10 -18.5 4.0 10.3 28.0
369 PNR Pentair Ltd. 43 37.2 1.94 -23.9 -6.4 1.8 4.4
No. ティッカー 会社名 連続増配年 株価US$ 配当利回り% 1年増配率 3年増配率 5年増配率 10年増配率

10年以上連続増配銘柄のその他ランキング

まとめ

過去の増配率が、今後も続くとは限りませんが、増配は企業の勢いと、株主還元姿勢のバロメーターです。

 

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配当収入の記事です。3年ほど前から米国株投資に注力しています。以下は、過去1年の僕の配当収入推移です。米国株投資で、どのように配当収入が増えてきたか理解できると思います。

【2019年】

【2019年7月の配当収入】とポートフォリオ

【2019年6月の配当収入】とポートフォリオ

【2019年5月の配当収入】とポートフォリオ

【2019年4月の配当収入】とポートフォリオ

【2019年3月の配当収入】とポートフォリオ

【2019年2月の配当収入】とポートフォリオ

【2019年1月の配当収入】とポートフォリオ

【2018年】

【2018年12月の配当収入】とポートフォリオ

【2018年11月の配当収入】とポートフォリオ

【2018年10月の配当収入】とポートフォリオ

【2018年9月の配当収入】とポートフォリオ

【2018年8月の配当収入】とポートフォリオ