2026 Updated Constituent ListFree CSV Export Available

Financials Dividend Aristocrats

Top dividend growth stocks in the Financials sector. Filter Financials Dividend Aristocrats and Kings by consecutive annual increases, forward yields, and CSV export.

Tracked: 67
Total Stocks
67
Matching criteria
Average Yield
2.37%
Constituent average
Highest Yield
5.84%
Top forward yield
Longest Streak
66 Years
Consecutive increases
🔍
Company / Symbol ↕Growth Streak ↓Dividend Yield ↕
🇺🇸
CINFKing
Cincinnati Financial
66 yrs2.31%
🇺🇸
SPGIKing
S&P Global
53 yrs0.96%
🇺🇸
BENAristocrat
Franklin Resources
46 yrs4.00%
🇺🇸
AFLAristocrat
Aflac
44 yrs2.15%
🇺🇸
TROWAristocrat
T. Rowe Price
40 yrs4.93%
🇺🇸
ERIEAristocrat
Erie Indemnity
36 yrs2.63%
🇺🇸
CBAristocrat
Chubb Limited
33 yrs1.22%
🇺🇸
BROAristocrat
Brown & Brown
32 yrs1.09%
🇩🇪
MUV2.DEAristocrat
Munich Re
28 yrs4.70%
🇺🇸
FDSAristocrat
FactSet
27 yrs1.70%
🇺🇸
JKHYContender
Jack Henry & Associates
22 yrs1.65%
🇺🇸
AIZContender
Assurant
21 yrs1.33%
🇺🇸
TRVContender
Travelers Companies (The)
20 yrs1.38%
🇺🇸
AMPContender
Ameriprise Financial
20 yrs1.38%
🇩🇪
ALV.DEContender
Allianz
19 yrs4.04%
🇫🇮
SAMPO.HEContender
Sampo
18 yrs4.08%
🇺🇸
PFGContender
Principal Financial Group
17 yrs2.93%
🇺🇸
VContender
Visa Inc.
17 yrs0.73%
🇺🇸
PRUContender
Prudential Financial
17 yrs4.69%
🇺🇸
MRSHContender
Marsh McLennan
16 yrs2.31%
🇺🇸
BLKContender
BlackRock
16 yrs2.11%
🇺🇸
MCOContender
Moody's Corporation
16 yrs0.88%
🇺🇸
JPMContender
JPMorgan Chase
15 yrs1.92%
🇺🇸
PNCContender
PNC Financial Services
15 yrs3.55%
🇺🇸
ALLContender
Allstate
15 yrs1.90%
Showing 1–25 of 67
Rows:
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Financials Dividend Growth Profile

Explore top-performing dividend growth leaders operating in the Financials sector, ranked by continuous years of dividend increases and forward yield.

Key Evaluation Criteria

  • ✓Specialized constituent ranking within the Financials universe.
  • ✓Analyze sector-specific dividend coverage and payout strength.
  • ✓Free CSV export and interactive sorting for in-depth sector research.

Investor Takeaway

Sector Tip: Diversifying across multiple non-correlated sectors (e.g. Consumer Staples, Healthcare, and Utilities) strengthens portfolio dividend safety.