Recent volatility in the stock and bond markets can be attributed primarily to concerns over tariffs and a potential global trade war. While tariffs can support domestic sectors like steel and agriculture by increasing prices of imports, they also introduce uncertainty. The Trump administration's dialogue with around 70 countries reflects this ongoing trade issue. Notably, the 2025 S&P 500 Dividend Aristocrats, including companies that have increased dividends for 25 consecutive years, may provide stability amidst this turbulence, appealing to investors seeking reliable income streams.
The driving force behind the recent volatility in the stock and bond markets can be boiled down to one specific item: the threat of tariffs and a global trade war.
Despite the volatility the tariffs have introduced, it's logical to think that some resolution could be complete this year.
The 66 companies that made the cut for the 2025 S&P 500 Dividend Aristocrats list have increased their dividends for 25 consecutive years.
Investors seeking defensive companies that pay substantial dividends are drawn to the Dividend Aristocrats, and with good reason.
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