Etf Dividend | Curated & Exportable Trade Ideas

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

Invest
Trade
Top Lists
Export curated trade ideas as TradingView Watchlist
Etf Dividend 16 Stocks or ETFs matching these criteria
SYMBOL MKT CAP VRT SIGNAL RS SAFETY DIV. YIELD
JEPQ NASDAQ ETF
JPMorgan Nasdaq Equity
40.3B 51 -0.54 42 45 10.8%
QQQI NASDAQ ETF
NEOS Nasdaq 100 High Income
13.4B 47 -0.51 42 47 14.2%
SPYI BATS ETF
SHP Trust - NEOS SP500 High
10.8B 56 -0.58 46 49 12.1%
DIVO NYSE ETF
CWP Enhanced Dividend Income
7.47B 61 -0.04 47 61 6.6%
GPIQ NASDAQ ETF
Goldman Sachs Nasdaq-100
4.98B 59 -0.14 50 52 10.6%
GPIX NASDAQ ETF
Goldman Sachs SP500 Core
4.84B 61 -0.06 49 52 8.6%
RDVI BATS ETF
FT Cboe Vest Rising
3.53B 70 0.11 64 62 9.2%
FTHI NASDAQ ETF
BuyWrite Income
2.40B 49 -0.74 43 48 9.7%
INCM NYSE ETF
Income Focus
1.67B 57 0.11 41 66 5.3%
IDVO NYSE ETF
International Enhanced
1.34B 65 0.01 56 56 6.0%
BALI BATS ETF
Blackrock Advantage Large
1.28B 62 -0.19 53 46 8.4%
FTQI NASDAQ ETF
Nasdaq BuyWrite Income
932M 64 -0.26 59 35 11.7%
QQA NASDAQ ETF
QQQ Income Advantage
778M 48 -0.29 46 42 10.4%
QDVO NYSE ETF
CWP Growth & Income
732M 44 -0.18 41 47 10.8%
EFAA NYSE ETF
EAFE Income Advantage
593M 56 -0.38 49 56 8.5%
TDVI BATS ETF
FT Vest Technology Dividend
484M 50 -0.03 48 57 8.0%
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.