HomeCompareCLNY vs SPHD

CLNY vs SPHD: Dividend Comparison 2026

CLNY yields 116.94% · SPHD yields 4.33%● Live data

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After 10 years · $10,000 invested · DRIP enabled
🏆 CLNY wins by $496.4K in total portfolio value
10 years
CLNY
CLNY
● Live price
116.94%
Share price
$8.50
Annual div
$9.94
5Y div CAGR
-14.8%
Payout ratio
50%
After 10 yrs · $10,000 · DRIP
Portfolio value
$523.0K
Annual income
$55,958.00
Full CLNY calculator →
SPHD
SPHD
● Live price
4.33%
Share price
$49.34
Annual div
$2.14
5Y div CAGR
0%
Payout ratio
50%
After 10 yrs · $10,000 · DRIP
Portfolio value
$26.5K
Annual income
$571.32
Full SPHD calculator →

Portfolio growth — CLNY vs SPHD

📍 CLNY pulled ahead of the other in Year 1

Annual dividend income

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Recession Test — Did They Cut Dividends?

How each stock treated shareholders during the 3 biggest crises of the last 20 years

Crisis PeriodCLNYSPHD
2008–2009
GFC
— No data— No data
2020 Q1–Q2
COVID
— No data— No data
2022 Q4
Rate Hike
— No data— No data
Based on dividend payment history. "Increased" = dividend grew during crisis. "Maintained" = held within 3%. "Cut" = reduced by more than 3%.
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Dividend Calendar Overlap

Combined, CLNY + SPHD cover 0 of 12 monthsgood coverage

Jan
Feb
Mar
Apr
May
Jun
Jul
Aug
Sep
Oct
Nov
Dec
CLNY pays
SPHD pays
Both pay
Neither
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Tax Bracket Optimizer

Which stock is actually better after tax? Adjust your rate to find out.

CLNY
Annual income on $10K today (after 15% tax)
$9,940.00/yr
After 10yr DRIP, annual income (after tax)
$47,564.30/yr
SPHD
Annual income on $10K today (after 15% tax)
$367.92/yr
After 10yr DRIP, annual income (after tax)
$485.62/yr
At 15% tax rate, CLNY beats the other by $47,078.68/year in after-tax income after 10 years on $10,000
⚖️

Lazy Portfolio Split Optimizer

What's the optimal mix of CLNY + SPHD for your $10,000?

CLNY: 50%SPHD: 50%
100% SPHD50/50100% CLNY
Portfolio after 10yr
$274.8K
Annual income
$28,264.66/yr
Blended yield
10.29%
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Analyst Conviction Gap

Where Wall Street is most bullish on CLNY right now

CLNY
Analyst Ratings
8
Buy
3
Hold
Consensus: Buy
Altman Z
-1.4
Piotroski
5/9
SPHD
No analyst data
Analyst ratings via FMP. Altman Z-Score: >3.0 safe, 1.81–3.0 grey zone, <1.81 distress. Piotroski: 7–9 strong, 0–3 weak.
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Copy Congress — What Are Politicians Buying?

Senate & House STOCK Act disclosures (last 90 days)

CLNY buys
0
SPHD buys
0
No recent congressional trades found for CLNY or SPHD in the last 90 days.
STOCK Act mandates disclosure within 45 days of transaction. Data via FMP.Full tracker →
MetricCLNYSPHD
Forward yield116.94%4.33%
Annual dividend / share$9.94$2.14
Payout ratio50%50%
1-year div growth0%0%
5-year div CAGR-14.8%0%
Portfolio after 10y$523.0K$26.5K
Annual income after 10y$55,958.00$571.32
Total dividends collected$396.1K$5.1K
Payment frequencyquarterlyquarterly
SectorStockETF

Year-by-year: CLNY vs SPHD ($10,000, DRIP)

YearCLNY PortfolioCLNY Income/yrSPHD PortfolioSPHD Income/yrGap
1← crossover$20,663$9,963.39$11,133$432.85+$9.5KCLNY
2$38,503$16,393.23$12,363$450.36+$26.1KCLNY
3$65,521$24,322.81$13,695$467.39+$51.8KCLNY
4$103,065$32,957.60$15,138$483.90+$87.9KCLNY
5$151,560$41,280.24$16,697$499.88+$134.9KCLNY
6$210,505$48,335.99$18,382$515.31+$192.1KCLNY
7$278,697$53,457.01$20,198$530.17+$258.5KCLNY
8$354,561$56,354.79$22,157$544.46+$332.4KCLNY
9$436,468$57,087.98$24,266$558.18+$412.2KCLNY
10$522,979$55,958.00$26,536$571.32+$496.4KCLNY

CLNY vs SPHD: Complete Analysis 2026

CLNYStock

Colony Capital, Inc. (NYSE: CLNY) is a leading global investment firm with a heritage of identifying and capitalizing on key secular trends in real estate. The Company manages an approximately $47 billion portfolio of real assets on behalf of its shareholders and limited partners, including over $23 billion in digital real estate investments through Digital Colony, its digital infrastructure platform. Colony Capital, structured as a REIT, is headquartered in Los Angeles with key offices in Boca Raton, New York, and London, and has over 350 employees across 20 locations in 11 countries.

Full CLNY Calculator →

SPHDETF

The Invesco S&P 500 High Dividend Low Volatility ETF (Fund) is based on the S&P 500 Low Volatility High Dividend Index (Index). The Fund will invest at least 90% of its total assets in common stocks that comprise the Index. Standard & Poor's compiles, maintains and calculates the Index, which is composed of 50 securities traded on the S&P 500 Index that historically have provided high dividend yields and low volatility. The Fund and the Index are rebalanced and reconstituted semi-annually, in January and July.

Full SPHD Calculator →
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⚠️ Educational purposes only. Not financial advice. Congressional trades sourced from SEC STOCK Act filings via FMP. Past performance does not guarantee future results.