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    Home»Stock Market»3 Bargain Stocks Offering Reliable Dividends and Promising Upside Potential
    Stock Market

    3 Bargain Stocks Offering Reliable Dividends and Promising Upside Potential

    August 8, 20256 Mins Read


    Hartford Funds researchers, in collaboration with Ned Davis Research, found that dividend stocks averaged an annualized return of 9.2% between 1973 and 2024, and did so while being less volatile than the benchmark index.

    By comparison, non-dividend stocks earned a more modest annualized return of 4.31% over 51 years and were more volatile than the .

    With that in mind, we set out to find three interesting stocks that pay a significant dividend, trade at low valuations, and are usually supported by the broader market.

    Here they are:

    1. Enterprise Products Partners

    Enterprise Products Partners LP (NYSE:) is a company mainly engaged in the transportation, storage, and processing of energy products such as , , and petrochemicals. It was founded in 1968 and is headquartered in Houston, Texas.

    Enterprise Products Partners Stock

    It has increased its dividend in each of the last 27 years, and the yield currently stands at 7%.

    Dividend Data & Upcoming Dividend Payouts

    Source: InvestingPro

    In the , it beat earnings per share (EPS) expectations with $0.66 per share versus a forecast of $0.65 — a positive surprise of 1.54%. However, revenue came in significantly below projections at $11.36 billion compared to the anticipated $14.49 billion, down 21.6%. It will present its accounts for the quarter on November 4.EPS vs Revenue Performance (Q2)

    Source: InvestingPro

    Being an energy intermediary has one advantage: cash flow predictability. Most of the contracts Enterprise has signed with drilling companies are fixed in nature. This eliminates all aspects of inflation and price volatility, allowing Enterprise to accurately forecast its cash flow from operations one or more years in advance.

    It has more than half a dozen major projects under construction, totaling $5.6 billion. These projects — primarily focused on expanding its exposure to liquefied natural gas — should be operational by the end of 2026 and are expected to boost the company’s cash flow.

    The forward price-to-earnings (P/E) ratio is 10.5, roughly in line with its average forward P/E over the past five years.

    Its shares are trading 9.6% below their fair value, or value according to fundamentals, which would be $34.13. The market consensus gives it a price target of $36.Enterprise Products Partners – Fair Value vs Market Price

    Source: InvestingPro

    2. Stanley Black & Decker

    Stanley Black & Decker (NYSE:) is a manufacturer and distributor of products for do-it-yourself and gardening, as well as for commercial applications. In 1843, Stanley Works was born, and in 1910, Black & Decker was founded. In 2010, Stanley Works merged with Black & Decker. It is headquartered in New Britain, Connecticut.

    Stanley Black & Decker Stock

    It will pay a dividend of $0.83 on September 16, and shares must be held prior to September 2 to receive it. The company’s dividend yield is 4.79%.


    Dividend Data & Upcoming Dividend Payouts

    Source: InvestingPro

    In second-quarter , sales declined 2% year-on-year to $3.95 billion. Its net profit rose sharply to $101.9 million. We will learn the next quarter’s results on October 23. For the full computation of 2025, EPS (earnings per share) is expected to increase by 5.7%, and by 2026, by 28.2%.


    Analyst Revenue & EPS Forecasts

    Source: InvestingPro

    The company remains focused on its supply chain transformation and cost-saving initiatives. In fact, the global cost reduction program initiated in 2022 has already generated around $1.8 billion in savings. In addition, it is relocating production out of China to mitigate the tariff impact, shifting to Asia.

    There is operational improvement with expanding margins and proper execution of the efficiency plan, as well as potential if the construction and manufacturing sector in the U.S. reactivates.

    Its shares are trading 22.5% below their value based on fundamentals, which would be $84.96. The market consensus gives it an average price target of $86.48.


    Stanley Black & Decker – Fair Value vs Market Price

    Source: InvestingPro

    3. MetLife

    MetLife (NYSE:) offers an interesting case study among large insurance companies, combining characteristics of both value and growth. Its forward price-to-earnings ratio of 8.6x is significantly below its historical average and the broader sector, suggesting the stock may be undervalued.

    Fair Value

    Source: InvestingPro

    However, this low multiple is not due to deteriorating fundamentals. Analysts expect strong earnings growth of nearly 50% in 2025, along with a projected 5.9% increase in revenue—unusual for a mature insurer. The stock also holds a “Strong Buy” consensus from analysts, based on earnings outlook and operational improvements.

    Dividend Data

    Source: InvestingPro

    In terms of income, MetLife has a long history of shareholder returns. The company has raised its dividend for 12 consecutive years and maintained uninterrupted payouts for 26 years. While the current dividend yield is 2.7%, this is supported by a conservative payout ratio, which allows for potential increases in the future. Additionally, MetLife repurchased $510 million worth of shares in the second quarter of 2025, contributing to a high total shareholder yield.

    ****

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    Disclaimer: This article is written for informational purposes only. It is not intended to encourage the purchase of assets in any way, nor does it constitute a solicitation, offer, recommendation or suggestion to invest. I would like to remind you that all assets are evaluated from multiple perspectives and are highly risky, so any investment decision and the associated risk belongs to the investor. We also do not provide any investment advisory services.





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