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Reading: Prime Wall Avenue analysts are upbeat about these dividend-paying shares
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StockWaves > Global Markets > Prime Wall Avenue analysts are upbeat about these dividend-paying shares
Global Markets

Prime Wall Avenue analysts are upbeat about these dividend-paying shares

StockWaves By StockWaves Last updated: July 13, 2025 7 Min Read
Prime Wall Avenue analysts are upbeat about these dividend-paying shares
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Contents
ConocoPhillipsU.S. BancorpHP Inc.

Optimism in regards to the sturdy progress alternatives introduced by the continued synthetic intelligence (AI) growth has been tempered by tariff-related distractions and macroeconomic challenges.

In opposition to this unsure backdrop, traders searching for constant revenue can add enticing dividend-paying shares to their portfolios, and finding out prime Wall Avenue analysts can provide helpful insights into selecting the correct dividend payers.

Listed here are three dividend-paying shares, highlighted by Wall Avenue’s prime execs, as tracked by TipRanks, a platform that ranks analysts primarily based on their previous efficiency

ConocoPhillips

Oil and fuel exploration and manufacturing firm ConocoPhillips (COP) is that this week’s first dividend decide. The corporate distributed $2.5 billion to shareholders within the first quarter of 2025 by way of $1.5 billion of share repurchases and $1.0 billion in dividends. At a quarterly dividend of $0.78 per share (annualized dividend of $3.12), COP pays a dividend yield of three.3%.

In a analysis be aware on the third-quarter replace on RBC Capital’s Prime 30 World Concepts for 2025, analyst Scott Hanold reiterated a purchase ranking on ConocoPhillips with a worth goal forecast of $115. The analyst expects COP to outperform its large-cap exploration and manufacturing friends.

“COP has a returns-focused worth proposition, a robust stability sheet, and peer-leading distributions,” Hanold stated.

The analyst believes that ConocoPhillips is well-positioned to generate aggressive free money move (FCF) by numerous commodity worth cycles. Hanold highlighted that the corporate has a worldwide and diversified asset base, which provides it spending flexibility to ship industry-leading shareholder returns by financial and commodity worth cycles.

Furthermore, Hanold expects ConocoPhillips’ huge place within the Permian basin to allow larger FCF era, whereas offering asset range and improvement flexibility. He famous that the corporate has a low break-even level of under $40/bbl (WTI), the place it could possibly fund its manufacturing upkeep capital and dividends. The analyst additionally famous COP’s strong stability sheet, which permits it to reinforce shareholder worth.

Hanold ranks No. 12 amongst greater than 9,800 analysts tracked by TipRanks. His scores have been profitable 71% of the time, delivering a mean return of 31.2%. See ConocoPhillips Insider Buying and selling Exercise on TipRanks.

U.S. Bancorp

U.S. Bancorp (USB) is one other inventory that is part of RBC Capital’s listing of Prime 30 World Concepts for 2025. It’s the dad or mum firm of the U.S. Financial institution and presents clients monetary companies by a diversified combine of companies, together with shopper banking, industrial banking and wealth administration, amongst others.

With a quarterly dividend of $0.50 per share (annualized dividend of $2 per share), USB presents a dividend yield of 4.2%.

RBC analyst Gerard Cassidy reaffirmed a purchase ranking on USB inventory with a 12-month worth goal of $50. He highlighted a number of positives supporting his bullish stance, together with the financial institution’s new management. Cassidy famous that Gunjan Kedia, who succeeded Andy Cecere because the CEO of U.S. Bancorp in April 2025, has reiterated the corporate’s monetary targets, together with a goal of delivering greater than 200 foundation factors of working leverage. USB reported 270 foundation factors of working leverage within the first quarter of 2025.

Cassidy additionally highlighted that USB has persistently been one of many best-performing banks within the U.S., as mirrored in a beautiful compound annual progress charge (CAGR) in shareholder return generated over the previous 20 years. That progress is especially pushed by the financial institution’s concentrate on growing its tangible e-book worth and dividends per share. Notably, U.S. Bancorp has persistently returned as a lot as 80% of its earnings yearly by inventory buybacks and dividends.

Cassidy additionally cited USB’s sturdy asset high quality and underwriting expertise. The long-time analyst believes that “following basic underperformance during the last two years, USB is at an inflection level in 2025 the place headwinds have gotten tailwinds.” The development is pushed by the investments made by the financial institution over the previous decade, that are anticipated to gasoline income progress forward of expense progress in years to come back, Cassidy stated.

Cassidy ranks No. 24 amongst greater than 9,800 analysts tracked by TipRanks. His scores have been worthwhile 72% of the time, delivering a mean return of 21%. See U.S. Bancorp Statistics on TipRanks.

HP Inc.

Lastly, dividend-paying expertise firm HP (HPQ) declared a quarterly dividend of $0.2894 per share final month, payable on October 1, the fourth dividend within the firm’s fiscal 12 months 2025. At an annualized dividend of $1.1576 per share, HPQ yields of 4.5%.

Regardless of tariffs and different ongoing challenges, Evercore analyst Amit Daryanani reiterated a purchase ranking on HPQ inventory with a worth goal of $29. Following an investor webinar with HP’s chief enterprise officer Ernest Nicolas, the analyst highlighted key takeaways supporting his bullish stance.  

Daryanani famous that HP is efficiently diversifying and is on monitor to realize its goal of producing 90% of all U.S.-bound merchandise exterior China. A lot of the manufacturing will stay in Asia and happen in international locations comparable to Vietnam, Thailand, and Indonesia, together with some deliberate in Mexico. The analyst added that HP is making an attempt to shut the hole with rivals by adopting a multi-site method to manufacturing and optimizing its provide chain.

HP expects the “tariff atmosphere to stay fluid,” however administration believes the corporate is now higher outfitted to face tariff-related challenges, Daryanani stated.

HP additionally stays centered on producing $2 billion in gross annual run-rate financial savings from its Future Prepared price financial savings plan, the analyst stated. The plan consists of numerous initiatives, together with inner synthetic intelligence instruments that would drive productiveness and efficiencies.

Daryanani ranks No. 174 amongst greater than 9,800 analysts tracked by TipRanks. His scores have been worthwhile 64% of the time, delivering a mean return of 15.3%. See HP Possession Construction on TipRanks.

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