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Ormat Technologies And 4 Other Stocks Have Very High Payout Ratio

Via News Editorial Team

September 12, 2022

Ormat Technologies And 4 Other Stocks Have Very High Payout Ratio

(VIANEWS) - Crown Castle International (CCI), Pimco Corporate & Income Strategy Fund (PCN), Mid (MAA) are the highest payout ratio stocks on this list.

Here's the data we've collected of stocks with a high payout ratio at the moment. The payout ratio in itself isn't a promise 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. Crown Castle International (CCI)

160.78% Payout Ratio

Crown Castle operates, leases and owns over 40,000 cell towers. There are also approximately 80,000 miles of fiber that Crown Castle uses to support small cells in every U.S. state. The national portfolio of communication infrastructure links communities and cities to vital data, technology, and wireless service. It brings information, ideas, and innovation to those who need it. Visit www.crowncastle.com for more information about Crown Castle.

Volume

Today's last reported volume for Crown Castle International is 1277780, 15.21% below its average volume of 1507080.

As stated by Morningstar, Inc., the next dividend payment is on Sep 13, 2022, the estimated forward annual dividend rate is 5.88 and the estimated forward annual dividend yield is 3.25%.

Crown Castle International's sales growth this year is expected to be 9.6% and 1.3% for next year.

Year-on-year quarterly revenue growth grew by 9.5%, now sitting on 6.75B for the twelve trailing months.

Crown Castle International's sales growth for the next quarter is 5.5%. The company's growth estimates for the present quarter and the next is 23.5% and 24.7%. The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 18.64%.

Volatility

Crown Castle International's last day, week, and month's current intraday variation average was 0.18%, 0.73%, and 1.20%, respectively.

Crown Castle International's highest amplitude of average volatility was 1.96% (day), 1.90% (last week), and 2.31% (last month), respectively.

Crown Castle International's Stock Yearly Top and Bottom Value

Crown Castle International's stock is valued at $167.44 at 08:23 EST, way under its 52-week high of $209.87 and above its 52-week low of $153.70.

Crown Castle International's Moving Average

Crown Castle International's worth is under its 50-day moving average of $175.05 and below its 200-day moving average of $180.77.

2. Pimco Corporate & Income Strategy Fund (PCN)

160.71% Payout Ratio

PIMCO Corporate and Income Strategy Fund, a closed-ended mutual fund that provides fixed income is managed by Allianz Global Investors Fund Management LLC. Pacific Investment Management Company LLC co-manages the fund. The fund invests in fixed income markets within the United States. It invests in securities from companies operating across diverse sectors. The fund invests in fixed-income securities like treasury bonds and corporate notes. It also holds U.S. securities agency securities. To create its portfolio, the fund combines fundamental analysis and a top-down selection process for security. Formerly known as PIMCO Corporation Income Fund, the fund is now called PIMCO Corporate Income. PIMCO Corporate Income Strategy Fund was established on October 17, 2001. It is based in the United States.

Volume

Today's last reported volume for Pimco Corporate & Income Strategy Fund is 104649, 13.42% below its average volume of 120879.

As maintained by Morningstar, Inc., the next dividend payment is on Aug 9, 2022, the estimated forward annual dividend rate is 1.35 and the estimated forward annual dividend yield is 9.56%.

Year-on-year quarterly revenue growth declined by 0.9%, now sitting on 56.71M for the twelve trailing months.

The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 5.5%.

Volatility

Pimco Corporate & Income Strategy Fund's last day, week, and month's current intraday variation average was 0.64%, 0.79%, and 0.68%, respectively.

Pimco Corporate & Income Strategy Fund's highest amplitude of average volatility was 1.35% (day), 1.45% (last week), and 1.32% (last month), respectively.

Pimco Corporate & Income Strategy Fund's Stock Yearly Top and Bottom Value

Pimco Corporate & Income Strategy Fund's stock is valued at $14.12 at 08:24 EST, way under its 52-week high of $18.86 and way higher than its 52-week low of $12.30.

Pimco Corporate & Income Strategy Fund's Moving Average

Pimco Corporate & Income Strategy Fund's worth is higher than its 50-day moving average of $13.49 and below its 200-day moving average of $15.28.

3. Mid (MAA)

83.01% Payout Ratio

MAA is an S&P 500 Company. It's a real-estate investment trust (or REIT) that focuses on delivering superior performance and full-cycle returns for its shareholders. This includes the management, ownership, acquisition, development, and redevelopment quality apartments communities throughout the United States. MAA owned 102,772 apartments units as of December 31, 2020. This includes communities that are currently under development across 16 US states and DC.

Volume

Today's last reported volume for Mid is 385607, 33.89% below its average volume of 583366.

As stated by Morningstar, Inc., the next dividend payment is on Jul 13, 2022, the estimated forward annual dividend rate is 5 and the estimated forward annual dividend yield is 2.69%.

Mid's sales growth this year is expected to be 10.9% and 6.5% for next year.

Year-on-year quarterly revenue growth grew by 13.3%, now sitting on 1.89B for the twelve trailing months.

Mid's sales growth is 10.3% for the present quarter and 9.3% for the next. The company's growth estimates for the present quarter and the next is 39.7% and negative -29.4%. The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 9.9%.

Volatility

Mid's last day, week, and month's current intraday variation average was 0.41%, 0.94%, and 1.55%, respectively.

Mid's highest amplitude of average volatility was 1.63% (day), 1.76% (last week), and 2.22% (last month), respectively.

Mid's Stock Yearly Top and Bottom Value

Mid's stock is valued at $163.96 at 08:25 EST, way below its 52-week high of $231.63 and above its 52-week low of $158.85.

Mid's Moving Average

Mid's worth is below its 50-day moving average of $175.50 and way under its 200-day moving average of $194.83.

4. Lockheed Martin Corporation (LMT)

63.58% Payout Ratio

Lockheed Martin Corporation is an aerospace and security company that engages in research, development, manufacturing, integration and maintenance of technological systems and products worldwide. The company operates in four areas: Aeronautics and Missiles and Fire Control; Rotary and Mission System, and Space. Aeronautics offers unmanned aircraft and combat- and air mobility planes, as well as related technologies. Missiles and Fire Control provides missile and air defense systems, tactical missiles and ground-to-ground precision strikes weapon systems, logistics, fire control systems, mission operations support and engineering support as well as integration services. It also offers energy management and energy management options. Rotary and Mission System offers military and civilian helicopters as well as surface and ground-based missile defense systems. It also provides radar systems and sea- and air-based missions and combat systems. Command and control mission solutions and cyber solutions are available. Space offers space transport systems, satellites, strategic, advanced strike and defense missile systems, as well as classified services and systems to support national security system systems. The segment provides network-enabled status awareness, integrates ground and space-based systems, to assist customers in gathering, analyzing, and securely distributing critical intelligence data. This segment serves the U.S. government and foreign military sales through the U.S. Lockheed Martin Corporation was established in 1912, and its headquarters is in Bethesda in Maryland.

Volume

Today's last reported volume for Lockheed Martin Corporation is 626398, 47.34% below its average volume of 1189640.

As stated by Morningstar, Inc., the next dividend payment is on Aug 30, 2022, the estimated forward annual dividend rate is 11.2 and the estimated forward annual dividend yield is 2.71%.

Lockheed Martin Corporation's sales growth this year is expected to be negative 2.6% and 2.7% for next year.

Year-on-year quarterly revenue growth declined by 9.3%, now sitting on 64.17B for the twelve trailing months.

Lockheed Martin Corporation's sales growth is 4.3% for the present quarter and 2.4% for the next. The company's growth estimates for the current quarter and the next is 202.7% and negative -0.9%. The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 52.39%.

Volatility

Lockheed Martin Corporation's last day, week, and month's current intraday variation average was 0.45%, 0.34%, and 0.77%, respectively.

Lockheed Martin Corporation's highest amplitude of average volatility was 1.07% (day), 1.45% (last week), and 1.71% (last month), respectively.

Lockheed Martin Corporation's Stock Yearly Top and Bottom Value

Lockheed Martin Corporation's stock is valued at $417.71 at 08:25 EST, way under its 52-week high of $479.99 and way higher than its 52-week low of $324.23.

Lockheed Martin Corporation's Moving Average

Lockheed Martin Corporation's value is below its 50-day moving average of $420.11 and above its 200-day moving average of $411.00.

5. Ormat Technologies (ORA)

42.48% Payout Ratio

Ormat Technologies, Inc. is involved in the recovery and geothermal energy power business. It operates in the United States, Indonesia, Kenya, Turkey, Chile, Guatemala, New Zealand, Honduras, Chile, Turkey, Chile, Guatemala, New Zealand, Honduras, Indonesia, Kenya, Turkey, Chile, Turkey, Chile, Guatemala, New Zealand, Honduras, as well as internationally. It operates in three main segments, Electricity, Product, and Energy Storage and Management Services. The Electricity Segment develops, constructs, owns and operates solar photovoltaic and geothermal power plants. It also sells electricity. Products designs, produces, and markets equipment that is used in geothermal and recovered-energy-based electricity generation. The segment provides engineering, procurement and construction of recovered energy-based power stations. This segment is for contractors, developers, operators, and owners of geothermal power stations; as well as owners and operators interstate natural gas pipes, cement plants, and gas processing plants. It also serves companies involved in energy-intensive industrial processes. Energy Storage and Management Services offers demand response and energy storage services. It also provides services related to engineering, procurement construction and operation of energy storage units. Ormat Technologies, Inc. is located in Reno, Nevada.

Volume

Today's last reported volume for Ormat Technologies is 406521, 48.5% below its average volume of 789446.

As claimed by Morningstar, Inc., the next dividend payment is on Aug 15, 2022, the estimated forward annual dividend rate is 0.48 and the estimated forward annual dividend yield is 0.51%.

Ormat Technologies's sales growth this year is expected to be 8% and 19.8% for next year.

Year-on-year quarterly revenue growth grew by 15.1%, now sitting on 702.62M for the twelve trailing months.

Ormat Technologies's sales growth is 6.8% for the current quarter and 3.1% for the next. The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 4.08%.

Volatility

Ormat Technologies's last day, week, and month's current intraday variation average was 1.87%, 1.79%, and 1.58%, respectively.

Ormat Technologies's highest amplitude of average volatility was 3.55% (day), 2.71% (last week), and 2.84% (last month), respectively.

Ormat Technologies's Stock Yearly Top and Bottom Value

Ormat Technologies's stock is valued at $94.66 at 08:26 EST, below its 52-week high of $98.11 and way higher than its 52-week low of $60.32.

Ormat Technologies's Moving Average

Ormat Technologies's worth is way above its 50-day moving average of $83.80 and way higher than its 200-day moving average of $78.47.