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Monro And 5 Other Stocks Have Very High Payout Ratio

Via News Editorial Team

October 29, 2021

Monro  And 5 Other Stocks Have Very High Payout Ratio

(VIANEWS) - Pfizer (PFE), SL Green Realty Corporation (SLG), Avista Corporation (AVA) are the highest payout ratio stocks on this list.

Here's the data we've collected of stocks with a high payout ratio so far. The payout ratio in itself isn't a guarantee of a future good investment but it's an indicator of whether dividends are being paid and how the company chooses to distribute them.

When investigating a potential investment, the dividend payout ratio is a good statistic to know so here is a list of some companies with an above 30% payout ratio.

1. Pfizer (PFE)

92.17% Payout Ratio

Pfizer Inc. develops, manufactures, and sells healthcare products worldwide.

Volume

Today's last reported volume for Pfizer is 17847000, 44.3% below its average volume of 32044400.

According to Morningstar, Inc., the next dividend payment is on Jul 28, 2021, the estimated forward annual dividend rate is 1.56 and the estimated forward annual dividend yield is 3.98%.

Pfizer's sales growth this year is anticipated to be 91.3% and a negative 12.9% for next year.

Year-on-year quarterly revenue growth grew by 44.6%, now sitting on 46.41B for the twelve trailing months.

Pfizer's sales growth is 84.5% for the ongoing quarter and 108.8% for the next. The company's growth estimates for the ongoing quarter and the next is 50% and 150%. The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 14.03%.

Volatility

Pfizer's last day, week, and month's current volatility was 1.37%, 0.64%, and 1.21%, respectively.

Pfizer's current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 2.06% (day), 1.69% (last week), and 1.78% (last month), respectively.

Pfizer's Stock Yearly Top and Bottom Value

Pfizer's stock is valued at $43.18 at 08:23 EST, way under its 52-week high of $51.86 and way above its 52-week low of $32.83.

Pfizer's Moving Average

Pfizer's value is under its 50-day moving average of $43.31 and higher than its 200-day moving average of $41.95.

Previous days news about Pfizer (PFE)

  • According to MarketWatch on Monday, 25 October, "The company also said it plans to submit the clinical data to the FDA in the "near term." The news was announced one day before a Food and Drug Administration advisory committee is set to and Pfizer Inc.'s COVID-19 vaccine in children between the ages of 5 and 11. "
  • F.d.a. says Pfizer vaccine’s benefits outweigh key risks in children 5 to 11. According to The New York Times on Sunday, 24 October, "The analysis came on the same day that the Food and Drug Administration posted data from Pfizer showing that the vaccine had a 90.7 percent efficacy rate in preventing symptomatic Covid-19 in a clinical trial of 5- to 11-year-olds."
  • According to Bloomberg Quint on Sunday, 24 October, "The Pfizer vaccines will likely be given at pediatricians' offices rather than at pharmacies or large sites.", "Advisers to the U.S. Food and Drug Administration will meet Tuesday to consider data for children's use of the vaccine by Pfizer Inc. and BioNTech SE. "
  • According to CNBC on Monday, 25 October, "Pfizer (PFE), BioNTech (BNTX) - The Covid-19 vaccine made by Pfizer and BioNTech showed 90.7% effectiveness in children aged 5-11. "

2. SL Green Realty Corporation (SLG)

88.33% Payout Ratio

SL Green Realty Corp., an S&P 500 company and Manhattan's largest office landlord, is a fully integrated real estate investment trust, or REIT, that is focused primarily on acquiring, managing and maximizing value of Manhattan commercial properties.

Volume

Today's last reported volume for SL Green Realty Corporation is 996764, 26.29% above its average volume of 789246.

As maintained by Morningstar, Inc., the next dividend payment is on Sep 28, 2021, the estimated forward annual dividend rate is 3.64 and the estimated forward annual dividend yield is 4.92%.

SL Green Realty Corporation's sales growth this year is anticipated to be negative 3.6% and 0.3% for next year.

Year-on-year quarterly revenue growth declined by 18.4%, now sitting on 949.73M for the twelve trailing months.

SL Green Realty Corporation's sales growth is negative 4.6% for the present quarter and negative 1.1% for the next. The company's growth estimates for the ongoing quarter and the next is negative 165% and negative -104.1%. The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 5.99%.

Volatility

SL Green Realty Corporation's last day, week, and month's current volatility was 0.58%, 1.47%, and 1.27%, respectively.

SL Green Realty Corporation's current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 3.12% (day), 3.13% (last week), and 2.57% (last month), respectively.

SL Green Realty Corporation's Stock Yearly Top and Bottom Value

SL Green Realty Corporation's stock is valued at $73.02 at 08:23 EST, way under its 52-week high of $85.65 and way higher than its 52-week low of $41.68.

SL Green Realty Corporation's Moving Average

SL Green Realty Corporation's value is higher than its 50-day moving average of $71.87 and below its 200-day moving average of $74.46.

3. Avista Corporation (AVA)

78.81% Payout Ratio

Avista Corporation operates as an electric and natural gas utility company.

Volume

Today's last reported volume for Avista Corporation is 303551, 32.47% below its average volume of 449512.

According to Morningstar, Inc., the next dividend payment is on Aug 17, 2021, the estimated forward annual dividend rate is 1.69 and the estimated forward annual dividend yield is 4.09%.

Avista Corporation's sales growth this year is expected to be 8.3% and 5% for next year.

Year-on-year quarterly revenue growth grew by 7.1%, now sitting on 1.36B for the twelve trailing months.

Avista Corporation's sales growth is negative 3.2% for the ongoing quarter and 12.8% for the next. The company's growth estimates for the ongoing quarter and the next is 14.3% and negative -9.4%. The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 7.2%.

Volatility

Avista Corporation's last day, week, and month's current volatility was 0.05%, 1.16%, and 1.34%, respectively.

Avista Corporation's current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 1.30% (day), 2.21% (last week), and 2.54% (last month), respectively.

Avista Corporation's Stock Yearly Top and Bottom Value

Avista Corporation's stock is valued at $39.49 at 08:23 EST, way under its 52-week high of $49.14 and way higher than its 52-week low of $32.26.

Avista Corporation's Moving Average

Avista Corporation's worth is below its 50-day moving average of $40.07 and under its 200-day moving average of $43.32.

4. Monro (MNRO)

65.22% Payout Ratio

Monro, Inc. provides automotive undercar repair, and tire sales and services in the United States.

Volume

Today's last reported volume for Monro is 254014, 44.45% above its average volume of 175846.

According to Morningstar, Inc., the next dividend payment is on Aug 19, 2021, the estimated forward annual dividend rate is 1.04 and the estimated forward annual dividend yield is 1.78%.

Monro 's sales growth this year is expected to be 18.2% and 4.3% for next year.

Year-on-year quarterly revenue growth grew by 38.4%, now sitting on 1.22B for the twelve trailing months.

Monro 's sales growth for the current quarter is 15.2%. The company's growth estimates for the present quarter and the next is 41% and 122.7%. The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 6.31%.

Volatility

Monro 's last day, week, and month's current volatility was 0.43%, 1.12%, and 1.28%, respectively.

Monro 's current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 2.43% (day), 2.46% (last week), and 3.10% (last month), respectively.

Monro 's Stock Yearly Top and Bottom Value

Monro 's stock is valued at $58.19 at 08:23 EST, way below its 52-week high of $72.67 and way higher than its 52-week low of $39.65.

Monro 's Moving Average

Monro 's value is above its 50-day moving average of $57.39 and under its 200-day moving average of $61.46.

5. The Hershey Company (HSY)

46.74% Payout Ratio

The Hershey Company, together with its subsidiaries, manufactures and sells confectionery products.

Volume

Today's last reported volume for The Hershey Company is 1899270, 148.63% above its average volume of 763878.

As claimed by Morningstar, Inc., the next dividend payment is on Aug 18, 2021, the estimated forward annual dividend rate is 3.6 and the estimated forward annual dividend yield is 2.06%.

The Hershey Company's sales growth this year is expected to be 7.7% and 2.8% for next year.

Year-on-year quarterly revenue growth grew by 16.5%, now sitting on 8.69B for the twelve trailing months.

The Hershey Company's sales growth is 5.8% for the ongoing quarter and 1.7% for the next. The company's growth estimates for the ongoing quarter and the next is 6.5% and 2.7%. The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 71.3%.

Volatility

The Hershey Company's last day, week, and month's current volatility was 1.23%, 0.83%, and 1.18%, respectively.

The Hershey Company's current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 2.23% (day), 1.43% (last week), and 1.61% (last month), respectively.

The Hershey Company's Stock Yearly Top and Bottom Value

The Hershey Company's stock is valued at $179.40 at 08:23 EST, under its 52-week high of $182.71 and way higher than its 52-week low of $135.83.

The Hershey Company's Moving Average

The Hershey Company's worth is higher than its 50-day moving average of $176.15 and above its 200-day moving average of $173.95.

6. Robert Half International (RHI)

37.7% Payout Ratio

Robert Half International Inc. provides staffing and risk consulting services in North America, South America, Europe, Asia, and Australia.

Volume

Today's last reported volume for Robert Half International is 371425, 41.39% below its average volume of 633782.

As maintained by Morningstar, Inc., the next dividend payment is on May 23, 2021, the estimated forward annual dividend rate is 1.52 and the estimated forward annual dividend yield is 1.54%.

Robert Half International's sales growth this year is expected to be 23% and 7.8% for next year.

Year-on-year quarterly revenue growth grew by 42.6%, now sitting on 5.47B for the twelve trailing months.

Robert Half International's sales growth is 37.6% for the current quarter and 26.9% for the next. The company's growth estimates for the ongoing quarter and the next is 109% and 54.8%.

Volatility

Robert Half International's last day, week, and month's current volatility was 1.78%, 1.09%, and 1.31%, respectively.

Robert Half International's current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 2.67% (day), 2.05% (last week), and 2.13% (last month), respectively.

Robert Half International's Stock Yearly Top and Bottom Value

Robert Half International's stock is valued at $112.26 at 08:23 EST, under its 52-week high of $114.98 and way above its 52-week low of $48.29.

Robert Half International's Moving Average

Robert Half International's worth is above its 50-day moving average of $104.65 and way above its 200-day moving average of $94.70.