
Opportunity Capture
dividend-growth-pullback-screener
This skill screens for high-quality dividend growth stocks that are temporarily weak and likely represent attractive entry points. It automatically filters for companies with sustained annual dividend growth of 12% or more and a current yield of at least 1.
Overview
This skill screens for high-quality dividend growth stocks that are temporarily weak and likely represent attractive entry points.
This skill screens for high-quality dividend growth stocks that are temporarily weak and likely represent attractive entry points. It automatically filters for companies with sustained annual dividend growth of 12% or more and a current yield of at least 1.5%, then applies a technical timing layer by flagging names with RSI ≤ 40 (oversold). Use cases include identifying ‘buy-the-dip’ opportunities for dividend-growth investors, building watchlists of resilient income growers, and generating trade/alert candidates for portfolio entry or dollar-cost-averaging. Core features include combined fundamental and technical filters, configurable thresholds, exportable results, and compatibility with alerts or watchlists. The core advantage is disciplined, data-driven selection that targets high dividend momentum while improving timing through short-term technical signals.
Skill.md
How this skill works
This skill screens for high-quality dividend growth stocks that are temporarily weak and likely represent attractive entry points. It automatically filters for companies with sustained annual dividend growth of 12% or more and a current yield of at least 1.
Dividend Growth Pullback Screener
Overview
This skill screens for dividend growth stocks that exhibit strong fundamental characteristics but are experiencing temporary technical weakness. It targets stocks with exceptional dividend growth rates (12%+ CAGR) that have pulled back to RSI oversold levels (≤40), creating potential entry opportunities for long-term dividend growth investors.
Investment Thesis: High-quality dividend growth stocks (often yielding 1-2.5%) compound wealth through dividend increases rather than high current yield. Buying these stocks during temporary pullbacks (RSI ≤40) can enhance total returns by combining strong fundamental growth with favorable technical entry timing.
When to Use This Skill
Use this skill when:
- Looking for dividend growth stocks with exceptional compounding potential (12%+ dividend CAGR)
- Seeking entry opportunities in quality stocks during temporary market weakness
- Willing to accept lower current yields (1.5-3%) for higher dividend growth
- Focusing on total return over 5-10 years rather than current income
- Market conditions show sector rotations or broad pullbacks affecting quality names
Do NOT use when:
- Seeking high current income (use value-dividend-screener instead)
- Requiring immediate dividend yields >3%
- Looking for deep value plays with strict P/E or P/B requirements
- Short-term trading focus (<6 months)
Screening Workflow
Step 1: Set API Keys
Two-Stage Approach (RECOMMENDED)
For optimal performance, use FINVIZ Elite API for pre-screening + FMP API for detailed analysis:
# Set both API keys as environment variables
export FMP_API_KEY=your_fmp_key_here
export FINVIZ_API_KEY=your_finviz_key_here
Why Two-Stage?
- FINVIZ: Fast pre-screening with RSI filter (1 API call → ~10-50 candidates)
- FMP: Detailed fundamental analysis only on pre-screened candidates
- Result: Analyze more stocks with fewer FMP API calls (stays within free tier limits)
FMP-Only Approach (Original Method)
If you don't have FINVIZ Elite access:
export FMP_API_KEY=your_key_here
Limitation: FMP free tier (250 requests/day) limits analysis to ~40 stocks. Use --max-candidates 40 to stay within limits.
Step 2: Execute Screening
Two-Stage Screening (RECOMMENDED):
cd dividend-growth-pullback-screener/scripts
python3 screen_dividend_growth_rsi.py --use-finviz
This executes:
- FINVIZ pre-screen: Dividend yield 0.5-3%, Dividend growth 10%+, EPS growth 5%+, Sales growth 5%+, RSI <40
- FMP detailed analysis: Verify 12%+ dividend CAGR, calculate exact RSI, analyze fundamentals
FMP-Only Screening:
python3 screen_dividend_growth_rsi.py --max-candidates 40
Customization Options:
# Two-stage with custom parameters
python3 screen_dividend_growth_rsi.py --use-finviz --min-yield 2.0 --min-div-growth 15.0 --rsi-max 35
# FMP-only with custom parameters
python3 screen_dividend_growth_rsi.py --min-yield 2.0 --min-div-growth 10.0 --max-candidates 30
# Provide API keys as arguments (instead of environment variables)
python3 screen_dividend_growth_rsi.py --use-finviz --fmp-api-key YOUR_FMP_KEY --finviz-api-key YOUR_FINVIZ_KEY
Step 3: Review Results
The script generates two outputs:
-
JSON file:
dividend_growth_pullback_results_YYYY-MM-DD.json- Structured data with all metrics for further analysis
- Includes dividend growth rates, RSI values, financial health metrics
-
Markdown report:
dividend_growth_pullback_screening_YYYY-MM-DD.md- Human-readable analysis with stock profiles
- Scenario-based probability assessments
- Entry timing recommendations
Step 4: Analyze Qualified Stocks
For each qualified stock, the report includes:
Dividend Growth Profile:
- Current yield and annual dividend
- 3-year dividend CAGR and consistency
- Payout ratio and sustainability assessment
Technical Timing:
- Current RSI value (≤40 = oversold)
- RSI context (extreme oversold <30 vs. early pullback 30-40)
- Price action relative to recent trend
Quality Metrics:
- Revenue and EPS growth (confirms business momentum)
- Financial health (debt levels, liquidity ratios)
- Profitability (ROE, profit margins)
Investment Recommendation:
- Entry timing assessment (immediate vs. wait for confirmation)
- Risk factors specific to the stock
- Upside scenarios based on dividend growth compounding
Screening Criteria Details
Phase 1: Fundamental Screening (FMP API)
Initial Filter:
- Dividend Yield ≥ 1.5% (calculated from actual dividend payments)
- Market Cap ≥ $2 billion (liquidity and stability)
- Exchange: NYSE, NASDAQ (excludes OTC/pink sheets)
Dividend Growth Analysis:
- 3-Year Dividend CAGR ≥ 12% (doubles dividend in 6 years)
- Dividend Consistency: No cuts in past 4 years
- Payout Ratio < 100% (sustainability check)
Financial Health:
- Positive revenue growth over 3 years
- Positive EPS growth over 3 years
- Debt-to-Equity < 2.0 (manageable leverage)
- Current Ratio > 1.0 (liquidity)
Phase 2: Technical Screening (RSI Calculation)
RSI Calculation:
- 14-period RSI using daily closing prices
- Formula: RSI = 100 - (100 / (1 + RS))
- RS = Average Gain / Average Loss over 14 periods
- Data source: FMP historical prices (past 30 days)
RSI Filter:
- RSI ≤ 40 (oversold/pullback condition)
- RSI interpretation:
- < 30: Extreme oversold (potential reversal)
- 30-40: Early pullback (uptrend correction)
-
40: Not oversold (excluded)
Phase 3: Ranking and Output
Composite Scoring (0-100):
- Dividend Growth (40%): Reward higher CAGR and consistency
- Financial Quality (30%): ROE, profit margins, debt levels
- Technical Setup (20%): Lower RSI = better entry opportunity
- Valuation (10%): P/E and P/B for context (not exclusionary)
Stocks ranked by composite score. Top scorers combine exceptional dividend growth with attractive technical entry points.
Understanding the Results
Interpreting RSI Levels
RSI 25-30 (Extreme Oversold):
- Often indicates panic selling or negative news
- Higher risk but potentially highest reward
- Recommended: Wait for RSI to turn up (sign of stabilization)
- Entry: Scale in with 50% position, add on RSI >30
RSI 30-35 (Strong Oversold):
- Normal correction in strong uptrend
- Lower risk than extreme oversold
- Recommended: Can initiate position immediately
- Entry: Full position acceptable, set stop loss 5-8% below
RSI 35-40 (Early Pullback):
- Mild weakness in uptrend
- Lowest risk of further decline
- Recommended: Conservative entry for high conviction stocks
- Entry: Full position, tight stop loss 3-5% below
Dividend Growth Compounding Examples
12% Dividend CAGR (Minimum Threshold):
- Starting Yield: 1.5%
- Year 6: 2.96% yield on cost (doubled)
- Year 12: 5.85% yield on cost (4x)
- Example: Visa (V), Mastercard (MA) historical profile
15% Dividend CAGR (Excellent):
- Starting Yield: 1.8%
- Year 6: 4.08% yield on cost (2.3x)
- Year 12: 9.22% yield on cost (5.1x)
- Example: Microsoft (MSFT) 2010-2020 period
20% Dividend CAGR (Exceptional):
- Starting Yield: 2.0%
- Year 6: 6.00% yield on cost (3x)
- Year 12: 18.0% yield on cost (9x)
- Example: Apple (AAPL) 2012-2020 period
Key Insight: Lower starting yield + high growth > high starting yield + low growth over 10+ years.
Troubleshooting
No Results Found
Possible Causes:
- Market conditions: Strong bull market with few oversold stocks
- Criteria too strict: 12% dividend growth is rare (5-10 stocks typically qualify)
- RSI threshold too low: Consider raising to RSI ≤45 for more candidates
Solutions:
- Relax RSI threshold:
--rsi-max 45(early pullback phase) - Lower dividend growth:
--min-div-growth 10.0(still excellent growth) - Lower minimum yield:
--min-yield 1.0(capture more growth stocks)
API Rate Limit Reached
Best used for
When to use it
This skill screens for high-quality dividend growth stocks that are temporarily weak and likely represent attractive entry points. It automatically filters for companies with sustained annual dividend growth of 12% or more and a current yield of at least 1.

01 · PRE-MEETING
Prepare a decision brief
Turn scattered evidence into a structured case before an investment committee meeting.

02 · TEAM WORKFLOW
Standardize handoffs
Create consistent research outputs across analysts, portfolio managers, and agents.

03 · LIVE UPDATE
Refresh the thesis
Update scenarios after a new catalyst, KPI release, or earnings result.
Community notes
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