This 7.4% yielding ultra SWAN dividend aristocrat has exceptional long-term risk management and a diverse portfolio of energy assets.
The company is 23% undervalued, offering a 17% annual return potential over the next 2.5 years and twice the return potential of the S&P 500 over the next six years.
This legendary high-yield blue-chip is investing in green energy projects and has a $500 billion investment opportunity in European offshore wind, making it a solid buy for income investors.
It is a world-leader in energy infrastructure, a $7 trillion investment opportunity in North American by 2030 alone.
Management is guiding for 12.4% long-term returns, which is better than the Nasdaq.
This aristocrat has delivered on growth guidance for 17 consecutive years. If they say they will beat the Nasdaq, they will beat the Nasdaq.
S&P calls this the 2nd best industry name in the world at risk management, better than 96% of all global companies it rates.
The bond market expects this aristocrat to grow steadily for at least the next 90 years.
It’s the ultimate 7.4% yielding buy-and-hold forever dividend aristocrat.