From us-stock-analysis
Analyzes dividend safety via payout ratios, FCF coverage, debt metrics, stress tests; evaluates growth rates and income opportunities for US stocks and REITs.
How this skill is triggered — by the user, by Claude, or both
Slash command
/us-stock-analysis:dividend-analysisThe summary Claude sees in its skill listing — used to decide when to auto-load this skill
Comprehensive analysis of dividend safety, growth trajectory, yield sustainability, and income investing opportunities for US-listed stocks, REITs, and income-focused portfolios.
Comprehensive analysis of dividend safety, growth trajectory, yield sustainability, and income investing opportunities for US-listed stocks, REITs, and income-focused portfolios.
Assess the reliability and sustainability of the dividend:
Payout Ratio Analysis
Safety Thresholds by Sector
Sector Very Safe Moderate Elevated Danger
General (FCF) <50% 50-70% 70-85% >85%
Utilities (FCF) <60% 60-75% 75-85% >85%
REITs (AFFO) <70% 70-80% 80-90% >90%
Banks (Earnings) <30% 30-40% 40-55% >55%
MLPs (DCF) <60% 60-75% 75-90% >90%
Dividend Safety Score (0-100)
Weighted composite score:
Score Grade Safety Assessment
90-100 A+ Very Safe
75-89 A Safe
60-74 B Borderline Safe
45-59 C Elevated Risk
30-44 D Unsafe
0-29 F Danger Zone
Dividend Stress Test
Measure the trajectory and sustainability of dividend increases:
Dividend Growth Rate Calculations
DGR Tier Range Characteristic
Exceptional >15% High-growth compounders (FAST Graphs category)
Strong 8-15% Solid dividend growers, re-rated higher
Moderate 4-8% In line with or above inflation
Slow 1-4% Token increases, inflation parity risk
Frozen 0% No recent growth
Cut <0% Dividend reduced — major red flag
Dividend Aristocrats and Kings
Chowder Rule
Chowder Number = Current Yield + 5-Year DGR
Thresholds:
- Growth stocks (yield <3%): Chowder Number >= 12%
- High-yield stocks (yield >= 3%): Chowder Number >= 8%
- Utilities: Chowder Number >= 8% (special lower threshold)
Example: Yield 2.5% + 5yr DGR 10% = Chowder 12.5% (PASS for growth stock)
Dividend Growth Sustainability Analysis
Evaluate current yield attractiveness in historical and relative context:
Current and Forward Yield
Historical Yield Context
Yield Position Interpretation
Current yield < 5yr avg Stock trading at premium to historical (yield compressed = expensive)
Current yield ≈ 5yr avg Fairly valued relative to history
Current yield > 5yr avg Stock trading at discount (yield elevated = potentially cheap or risk elevated)
Current yield > 10yr avg Historically cheap zone (requires safety check)
Yield vs. 10-Year Treasury Analysis
Yield-on-Cost (YOC) for Existing Holders
Yield Trap Detection
High yield + deteriorating business = value trap. Scrutiny triggers:
Assess the track record of consistent payments:
Payment History Metrics
Recession Durability
Dividend Variability Score
Special Dividends History
Analyze the underlying balance sheet and cash flow capacity:
Free Cash Flow Coverage
Leverage Analysis
Debt-to-EBITDA Dividend Capacity
<2.0x Comfortable — dividend growth well supported
2.0-3.0x Moderate — growth may slow, dividend stable
3.0-4.0x Constrained — dividend at risk if earnings decline
>4.0x High risk — debt servicing may crowd out dividends
Interest Coverage Ratio
5x: Strong — debt servicing leaves ample room for dividends
Liquidity Analysis
Credit Rating Impact
Model the income generation and compounding potential:
Total Return Decomposition
DRIP Reinvestment Analysis
Tax Efficiency
Ex-Dividend Date Calendar
Portfolio Income Modeling
Benchmark the stock's dividend metrics against sector:
Comparison Metrics Table
| Metric | [Stock] | Sector Median | Sector Top Quartile | Assessment |
|---|---|---|---|---|
| Dividend Yield | X.X% | X.X% | X.X% | Above/Below |
| FCF Payout Ratio | XX% | XX% | XX% | Safe/Risky |
| 5-yr DGR | X.X% | X.X% | X.X% | Strong/Weak |
| Chowder Number | XX.X | XX.X | XX.X | Pass/Fail |
| Safety Score | XX | XX | XX | Grade |
| Consecutive Increases | XX yrs | XX yrs | XX yrs | — |
Value vs. Yield Matrix
Primary Financials
Dividend Research Platforms
Screening Tools
User: /dividend-analysis AAPL
Claude analyzes AAPL dividend safety, growth, yield, and history
User: /dividend-analysis --portfolio AAPL,JNJ,KO,PEP,XOM
Claude provides comparative analysis across all tickers with portfolio-level income model
User: /dividend-analysis --sector utilities
Claude screens utilities sector for best dividend opportunities using safety, growth, and yield criteria
Provide a comprehensive dividend analysis report with the following sections:
FCF Payout Ratio: XX% (Target <70%)
FCF Coverage Ratio: X.Xx (Target >1.5x)
Debt-to-EBITDA: X.Xx (Target <3x)
Interest Coverage: X.Xx (Target >3x)
Stress Test (20% EPS): PASS/FAIL
Stress Test (40% EPS): PASS/FAIL
Safety Score: XX/100 Grade [X]
1-Year DGR: X.X%
3-Year DGR (CAGR): X.X%
5-Year DGR (CAGR): X.X%
10-Year DGR (CAGR): X.X%
Aristocrat Status: Yes/No (XX consecutive years)
Chowder Number: X.X% (Pass/Fail at X% threshold)
Payout Ratio Trend: Expanding / Stable / Contracting
Full comparison table vs. 3-5 sector peers across key metrics
$10,000 Invested at Current Price:
Annual income (Year 1): $XXX
Annual income (Year 5): $XXX (at X% projected DGR)
Annual income (Year 10): $XXX
Yield-on-Cost (Year 10): X.X%
DRIP value (Year 10): $XX,XXX
All analysis concludes with this standardized block:
╔══════════════════════════════════════════════╗
║ INVESTMENT SIGNAL ║
╠══════════════════════════════════════════════╣
║ Signal: BULLISH / NEUTRAL / BEARISH ║
║ Confidence: HIGH / MEDIUM / LOW ║
║ Horizon: SHORT / MEDIUM / LONG-TERM ║
║ Score: X.X / 10 ║
╠══════════════════════════════════════════════╣
║ Action: BUY / HOLD / SELL ║
║ Conviction: STRONG / MODERATE / WEAK ║
╚══════════════════════════════════════════════╝
Score Guide: 8.0–10.0 Strongly Bullish | 6.0–7.9 Moderately Bullish | 4.0–5.9 Neutral | 2.0–3.9 Moderately Bearish | 0.0–1.9 Strongly Bearish Confidence: HIGH (strong data, clear signals) | MEDIUM (mixed signals) | LOW (limited data, conflicting signals) Horizon: SHORT-TERM (1 week–3 months) | MEDIUM-TERM (3 months–1 year) | LONG-TERM (1+ years)
npx claudepluginhub yennanliu/investskill --plugin us-stock-analysisGuides users through building a dividend investing strategy—clarifying income needs, evaluating yield vs growth, and screening for dividend sustainability.
Analyzes passive income opportunities across US Treasuries, dividend ETFs, REITs, and preferred stocks. Given a target monthly income and capital, returns ranked opportunities and optimal allocation.
Builds Discounted Cash Flow (DCF) models for US stocks with TTM metrics, revenue/FCF projections, three-scenario analysis, and sensitivity tables for intrinsic value.