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3 Blue-Chip Stocks Every Single Canadian Should Own

3 Blue-Chip Stocks Every Single Canadian Should Own

每個加拿大人都應該擁有的3只藍籌股票
The Motley Fool ·  08/21 21:00

Blue-chip stocks are the perfect go-to for investors. These companies often pay steady dividends, making them a go-to for those who want their investments to grow while enjoying a regular income stream. Plus, these tend to be less volatile than their smaller, flashier counterparts. In fact, studies have shown that blue-chip stocks typically outperform bonds and savings accounts over time, making them a smart, low-stress choice for building wealth steadily. So, let's look at two that could make your portfolio safer than ever.

對於投資者來說,藍籌股是完美的投資選擇。這些公司通常支付穩定的分紅,使得那些希望投資增長同時享受定期收入的人來說,它們是不二選擇。此外,相對於那些更小、更炫的對手來說,這些股票往往更穩定。事實上,研究表明,藍籌股通常在一段時間內勝過債券和儲蓄帳戶,使其成爲穩健選擇來穩步積累財富。所以,讓我們看看這兩個股票,它們可能會使你的投資組合更安全。

Royal Bank

加拿大皇家銀行

Royal Bank of Canada (TSX:RY) is a solid pick for those seeking a stable blue-chip stock. With a market cap of approximately $216.79 billion, RBC stands out for its impressive financial performance and reliability. The bank's trailing price-to-earnings (P/E) ratio of 14.03 and forward P/E of 12.17 indicate strong value. While its price-to-book (P/B) ratio of 1.93 and price/sales ratio of 3.69 reflect a balanced valuation. RBC has a beta of 0.85, showing less volatility compared to the broader market. And its dividend yield of 3.71% offers attractive returns for income-focused investors. The stock has also demonstrated solid price stability, with a 52-week change of 26.36%, mirroring the broader market's performance.

加拿大皇家銀行(tsx:RY)是尋求穩定藍籌股的絕佳選擇。加拿大皇家銀行以其引人注目的財務表現和可靠性脫穎而出,市值約爲2167.9億加元。銀行的滾動市盈率(P/E)爲14.03,預計市盈率爲12.17,顯示出很強的價值。而其市淨率(P/B)爲1.93,市銷率爲3.69,反映出平衡的估值。加拿大皇家銀行的貝塔係數爲0.85,顯示出與整個市場相比較少的波動性。其3.71%的股息率爲以收入爲重點的投資者提供了有吸引力的回報。該股票還表現出可靠的價格穩定性,52周變化爲26.36%,與整個市場的表現相似。

RBC's recent financial results underscore its robust position. For the second quarter of 2024, RBC reported a net income of $4.0 billion, up 7% year over year, with a return on equity of 14.5%. The bank's forward dividend of $5.68 per share showcases its commitment to returning value to shareholders. RBC's strong capital position and its ongoing strategic moves, like the acquisition of HSBC Canada, further strengthen its market position. With consistent earnings growth, a solid dividend, and a stable balance sheet, RBC continues to be a dependable choice for long-term investors.

加拿大皇家銀行近期財務業績凸顯其強勁地位。2024年第二季度,加拿大皇家銀行報告淨利潤爲40億加元,同比增長7%,股東回報率爲14.5%。該銀行每股5.68加元的未來股息表明其致力於回報股東價值。加拿大皇家銀行強勁的資本實力以及其正在進行的戰略舉措,如收購匯豐加拿大,進一步增強了其市場地位。憑藉持續的盈利增長、穩定的股息和穩健的資產負債表,加拿大皇家銀行繼續成爲長期投資者的可靠選擇。

CP

CP

Canadian Pacific Kansas City (TSX:CP) stock on the TSX stands out as a solid blue-chip investment for those seeking stability and reliability. With a market cap of $100.93 billion and a trailing P/E ratio of 29.00, CP demonstrates strong financial health and consistent performance. Despite its forward P/E ratio of 25.13, indicating slightly more expensive future earnings, CP maintains a solid foundation with a P/B ratio of 2.30 and a price-to-sales (P/S) ratio of 7.10. The stock's low beta of 0.78 suggests lower volatility compared to the broader market. This makes it an attractive option for conservative investors. Additionally, CP's dividend yield of 0.70% and manageable payout ratio of 20.38% offer a stable income stream. Its recent revenue growth and operational efficiency underscore its robust financial position.

加拿大太平洋堪薩斯城股票(tsx: cp)在tsx市場上憑藉其穩定性和可靠性成爲一項穩健的藍籌股投資選擇。CP目前的市值爲1009.3億人民幣,市盈率爲29.00,展現出強勁的財務健康和穩定的業績。儘管其未來市盈率爲25.13,預示着稍微昂貴的未來收益,但CP保持着一個穩定的基礎,其市淨率爲2.30,銷售價格(P/S)爲7.10。該股票較低的beta係數爲0.78表明相對於整個市場的波動性較低。這使它成爲保守投資者的一個有吸引力的選擇。此外,CP的股息收益率爲0.70%,可管理的派息比率爲20.38%,提供了穩定的收入來源。其最近的營業收入增長和運營效率凸顯了其強大的財務狀況。

In its latest quarter, CP delivered impressive results, with revenue reaching $3.6 billion and a decrease in the operating ratio to 64.8%, reflecting improved efficiency. The company's core adjusted combined diluted earnings per share (EPS) increased by 27% year over year. This highlighted its strong operational performance despite a slight dip in reported earnings per share. Overall, with its strong market presence, stable financial metrics, and focus on sustainable growth, CP stock is a dependable choice for investors seeking a blue-chip stock with solid long-term prospects.

在最新的季度中,CP取得了令人印象深刻的業績,營業收入達到36億人民幣,營運比率下降至64.8%,反映了提高的效率。公司核心調整後的每股稀釋收益(EPS)同比增長27%。儘管報告的每股收益稍微下降,但總體而言,憑藉其強大的市場地位、穩定的財務指標和對可持續增長的關注,CP股票是投資者尋求穩健長期前景的可靠選擇。

Manulife

宏利

Manulife Financial (TSX:MFC) is a standout blue-chip stock offering investors a compelling mix of stability and growth. With a market cap of approximately $63.6 billion and a forward P/E ratio of just 9.69, Manulife is attractively valued relative to its earnings potential. The stock has shown impressive growth, with a 52-week change of 47.4%. Manulife's robust financials include a forward annual dividend yield of 4.47%, making it an appealing choice for dividend-seeking investors. The company has consistently demonstrated strong core earnings and profitability, highlighted by a core return on equity of 15.7% and a 6% year-over-year increase in core earnings.

宏利金融(TSX:MFC)是一支令人矚目的藍籌股,爲投資者提供了穩定和增長的有吸引力的組合。宏利金融的市值約爲636億美元,前向市盈率僅爲9.69,相對於其收益潛力來說具有吸引力的估值。該股票顯示出令人印象深刻的增長,52周變動率爲47.4%。宏利金融強勁的財務狀況包括年度前瞻性分紅率達到4.47%,使其成爲尋找分紅的投資者的吸引選擇。該公司一直展現出強勁的核心盈利能力和盈利能力,核心淨資產收益率達到15.7%,核心盈利同比增長6%。

Furthermore, Manulife's financial stability is underscored by its solid balance sheet and strong capital position. The company has also been active in enhancing shareholder value, having repurchased $1.1 billion worth of shares recently and planning to buy back up to 90 million shares. This commitment to returning capital, coupled with its strategic expansions and innovations, positions Manulife as a reliable and dynamic investment in the blue-chip category. Whether you're looking for stable returns or potential growth, Manulife's performance and strategic initiatives make it a noteworthy option on the TSX.

此外,宏利金融的財務穩定性得到了其堅實的資產負債表和強大的資本狀況的支持。該公司還積極增加股東價值,最近回購了11億美元的股票,並計劃回購多達9000萬股。這種對返還資本的承諾,加上其戰略擴張和創新,使宏利金融成爲藍籌股類別中可靠而有活力的投資選擇。無論您是尋求穩定回報還是潛在增長,宏利金融的表現和戰略舉措都使其成爲TSX上值得關注的選擇。

声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
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