Dividend Stocks in Asia and Australia

Compare the highest dividend yielding stocks in Asia and Australia by dividend yield, payout ratio, P/E, earnings per share (EPS) and dividend per share (DPS).

Beware of stocks with an extremely high dividend yield! This can be caused by a stock price that is extremely low, compared to the trailing twelve months (ttm) dividend. Or it can be caused by a special, one-time only super dividend.

Stock name Dividend Yield
Discount Investment 19.89
Godfreys Group 16.67
Kot Addu Power 15.17
Nat Bank Of Pakistan 14.93
Sky Network Television 12.03
Engro Fertilizers 11.67
Farglory Land Development 11.43
Indo Tambangraya 11.31
Fortescue Metals 11.11
Highwealth Construction 11.04
Warehouse Group 11.00
Hallenstein Glasson 10.82
Delek Group 10.79
Telstra 10.67
New Zealand Refining 10.59
National Australia Bank 9.97
Bendigo And Adelaide Bank 9.95
Westpac Banking 9.77
Harvey Norman Holdings 9.74
Tambang Batubara Bukit 9.48
Super Retail Group 9.40
Westpac Banking 9.39
Amp 9.35
Air New Zealand 9.27
Austr. New Zealand Banking 8.90
Spark New Zealand 8.72
Alumina 8.69
Anz Banking 8.55
Commonwealth Bank Aus 8.52
Fletcher Building 8.35
China Petr. & Chem. 8.31
Semirara Mining 8.26
Bezeq Israeli Telecom 8.24
Huaku Development 8.18
Trustpower 8.18
Platinum Asset Management 8.16
Ioof 8.11
Hutchison Port Holdings Trust 7.97
Nzx 7.84
Wesfarmers 7.68
Suncorp 7.65
Mcb Bank 7.62
Harel Insurance 7.60
Chorus 7.47
Jb Hi-fi 7.44
Argosy Property Trust 7.42
Fauji Fertilizer 7.37
Hub Power 7.35
Contact Energy 7.30
Lite-on Technology 7.15

The Strategic Dividend Investor

"The Strategic Dividend Investor" outlines the key issues you need to address in order to create a solid dividend portfolio, including how to: view the stock market as a business venture rather than as a platform for speculation; strike the right balance between current yield and dividend growth; learn to assess the ability and inclination of a company to pay and increase its dividends over time; and, the real key to mastering the stock market is to take the stock out of the equation and treat your outlay as you would any other business investment - with an eye to the long term and to cash returns.
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