How Procter and Gamble Proves Dividend Growth Beats Yield episode artwork

EPISODE · May 28, 2026 · 6 MIN

How Procter and Gamble Proves Dividend Growth Beats Yield

from Dividend Investing with Fexingo: Income Stocks, Yield, and Long-Term Cash Flow Portfolios · host Fexingo

In a market where high-yield stocks like Altria are getting clobbered, Procter & Gamble is quietly up 3.5% in the past five days. Lucas and Luna examine why P&G's steady dividend growth strategy is delivering better risk-adjusted returns than chasing headline yields. They break down the math: a 10-year dividend growth stock versus a static 5% yielder in a flat rate environment. Plus, the hosts discuss how P&G's moat in consumer staples makes its payout sustainable even when inflation ebbs. They reference the current yield curve spread of 48 basis points and the S&P 500's 1.2% weekly gain as context for why investors are gravitating toward quality. A must-listen for anyone building a long-term income portfolio. #DividendGrowth #ProcterAndGamble #PG #YieldVsGrowth #ConsumerStaples #DividendInvesting #FexingoBusiness #BusinessPodcast #FinanceShow #PassiveIncome #PortfolioStrategy #WealthBuilding #StockMarket2026 #May2026 #DividendStocks #InvestmentTips #FinancialEducation #IncomePortfolio Keep every episode free: buymeacoffee.com/fexingo

Episode metadata supplied by the publisher feed · Published May 28, 2026

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How Procter and Gamble Proves Dividend Growth Beats Yield

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