Dividend Stocks | Curated & Exportable Trade Ideas

Transparent Selection Rules | TradingView Watchlist, JSON & XML Exports for Dividend Stocks

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Dividend Stocks 19 Stocks or ETFs matching these criteria
SYMBOL MKT CAP VRT SIGNAL RS SAFETY DIV. YIELD
ABBV NYSE
AbbVie
467B 59 0.19 74 51 3.1%
PM NYSE
Philip Morris International
297B 82 0.19 68 79 3.6%
D05 SG
DBS Holdings
171B 52 0.78 89 69 5.3%
SPG NYSE
Simon Property
77.9B 53 -0.35 49 64 4.6%
OKE NYSE
ONEOK
58.8B 56 -0.56 60 46 5.4%
AU NYSE
AngloGold Ashanti
51.8B 74 -0.26 83 79 4.6%
PFG NASDAQ
Principal Financial
25.2B 55 0.47 82 51 3.4%
LUG ST
Lundin Gold
15.5B 52 -0.86 51 51 27.6%
PAG NYSE
Penske Automotive
13.9B 59 0.83 82 75 3.3%
KNTK NYSE
Kinetik Holdings
9.01B 55 -0.32 77 16 7.3%
HESM NYSE
Hess Midstream
8.27B 51 -0.98 56 24 8.6%
AUGO NASDAQ
Aura Minerals Common Shares
7.40B 73 0.45 96 45 4.2%
FBP NYSE
First BanCorp.
4.19B 55 0.38 75 69 3.4%
OFG NYSE
OFG Bancorp
2.18B 51 0.46 74 38 3.0%
STBA NASDAQ
S&T Bancorp
1.75B 55 0.31 74 62 3.3%
GSL NYSE
Global Ship Lease
1.66B 57 -0.02 83 62 6.5%
PEBO NASDAQ
Peoples Bancorp
1.40B 53 0.49 77 60 5.0%
CTBI NASDAQ
Community Trust Bancorp
1.37B 58 0.12 79 68 3.4%
HBT NASDAQ
Hbt Financial
1.31B 54 0.92 86 32 3.2%
How We Screen
Small Caps — Outperformer with low P/E

Small Caps that continuously grow, while maintaining a low P/E

  • Market Cap 300M – 5B
  • Growth Rating > 85
  • Min 2 Years old
  • Technical Rating > 80%
  • Revenue Stability > 65%
  • Exclude highest P/E Quantiles (>80%) within Peers
Growth — Money Making Machines

Fundamentally strong Companies with Moat

  • ROIC > 18%
  • FCF Margin > 15%
  • Share Buybacks (min. CAGR: -1%)
  • Revenue Stability > 85%
  • Revenue Grow > 3%
Value — Warren Buffet Style

Moat and Fundamental Ratios

  • min 20% below Fair Value (DCF)
  • Debt/EBITDA < 3
  • EPS Stability > 80%
  • EPS Grow > 2%
  • ROE > 15%
  • ROIC > 15%
  • FCF Margin > 8%
  • Gross Margin > 40%
Dividend Stocks

Stable Dividends Stocks for Retirement Income

  • Chart Stability > 80% (5 Years)
  • Revenue Stability > 60%
  • Total Return 5y > 35%
  • VRT Rating > 50
  • Div. Yield > 3.0%
  • Div. Yield on Cost 5y > 4.5%
  • Div. Payout Stability 5y > 90%
  • Paying Dividends since min 2 Years
  • At least quarterly Payouts
Dividend Arbitrage — Margin-Funded Income

More Dividends than you have to pay for Interest on Margin

  • Min 2 Years old
  • Chart Stability > 75% (5 Years)
  • Div. Yield > 6.5%
  • Monthly Payouts
Growth ETFs — Beating the S&P 500

Outperforms S&P 500

  • Total Rating > S&P 500 VRT + 5
  • Performance 12m > S&P 500 + 2%
  • Performance 5y > S&P 500 + 10%
  • Min. 5 Years old, None Leveraged
  • CAGR/Max DD > 1.25
Dividend ETFs — Retirement

Consistent, reliable Income

  • None Leveraged
  • Chart Stability > 85% (5 Years)
  • Div. Yield > 5%
  • Dividend Rating > 65
  • Div. Consistency > 85%
Straight Up — Like a Ruler

Without correction

  • Correlation 3m > 95%
  • Correlation 12m > 90%
  • No Bonds, no ETFs — Stocks only
Top Revenue / EPS Grower

Shared baseline for both screeners

  • ValueRay Growth Rating > 45
  • Min 1 Earnings Beat
  • ROIC > 10%
  • Free-Cash-Flow Margin > 2%
Highest Revenue Growth
  • Revenue 3y Stability > 95%
  • Revenue 3y CAGR > 30%
Highest EPS Growth
  • EPS 3y Stability > 95%
  • EPS 3y CAGR > 30%
Key Metric Definitions
Trend & Momentum
Stability
Measures how consistent and linear a trend is over a specific timeframe (linear regression) on a scale from -100% to +100%: Choppy -40..+40, Trending >60 or < -60, Very strong trend > 85 or < -85.
Revenue Stability
Measures the stability of revenue growth based on linear regression (last 12 quarters). A higher score (closer to +100%) indicates more consistent growth.
EPS Stability
Measures the stability of EPS growth based on linear regression (last 12 quarters). A higher score (closer to +100%) indicates more consistent growth.
Ratings & Dividends
Growth Rating
A proprietary score from 0 to 100 that measures a company's overall growth profile. It combines factors like a stock's 1-year and 5-year total return, its price stability (measured by linear regression), and its risk-adjusted return (CAGR vs. Drawdown).
Dividend Growth Rate
Compound annual growth rate of annual dividend per share over the last 5 years.
Dividend Payout Stability
Spearman rank correlation of dividend payments over the last 5 years (-100% to +100%). Positive values indicate consistently growing dividends, negative values indicate declining trend.
Payout Consistency
% of eligible periods with uninterrupted or increased dividends, measured over the entire lifetime of the stock or fund.
Overall Dividend Rating
Proprietary composite score, quantified on a scale from 0 to +100. Ratings surpassing 70 are regarded as favorable, while those exceeding 85 are strong.