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4 Stocks Offering Reliable Income and Buybacks Amid Market Uncertainty | Investing.com

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March 24, 2026
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  • High shareholder yield backed by strong cash flow and disciplined capital allocation.
  • Buybacks and dividends are funded sustainably without relying on debt or weak balance sheets.
  • Undervalued companies combine solid returns, clean balance sheets, and growth potential.

Many investors focus on dividends. But a more important question is how much total cash a company returns to its shareholders. This includes dividends, share buybacks, and whether the company can fund both using its own operating cash.

For this analysis, the focus is on companies that return cash in a steady and disciplined way. The key factors include high shareholder yield, which combines dividends and buybacks, strong free cash flow, a reasonable payout ratio, a healthy balance sheet, and good returns on capital. In simple terms, the goal is to find companies with real and sustainable returns, not those relying on excessive payouts or debt.

InvestingPro Screener

These types of companies can be easily identified using InvestingPro. It brings together key data like shareholder yield, buybacks, dividends, fair value, cash flow strength, and balance sheet quality in one place. This helps save time and avoids focusing only on high dividend yields while ignoring weak fundamentals.

Using this approach, four companies stand out. While they differ in structure, they share common strengths: strong cash flow, disciplined capital returns, and growth potential. These are , , , and Victory Capital.

1. Federated Hermes: High Capital Returns on a Robust Footing

At first glance, Federated Hermes (NYSE:FHI) looks like a typical asset manager. But a closer look shows it may offer more value than the market is currently pricing in. The stock has a shareholder yield of 8.9%, made up of a 6.5% buyback yield and a 2.4% dividend yield. This is a strong signal, especially since these returns come from solid cash generation rather than financial engineering.

The free cash flow yield is 7.3%, and the payout ratio based on free cash flow is just 35.6%, leaving enough room for flexibility. The company also has a strong return on invested capital of 22.8%. Its balance sheet is healthy as well, with net debt to EBITDA at -0.48, which means it holds net cash rather than debt.

The valuation also looks interesting. The P/E ratio is 10.5, which is close to its usual range. InvestingPro estimates a fair value of $65.65, suggesting a potential upside of about 17.7%.

However, analysts are more cautious and see little upside. This gap is what makes FHI stand out. It has strong cash flow, a solid balance sheet, and a reasonable valuation, yet the stock price still does not fully reflect these strengths.

Federated Investors

2. Janus Henderson: Solid Distribution, Strong Cash Flow coverage

Janus Henderson Group (NYSE:JHG) may appear more conservative than Federated Hermes, but it still offers an attractive return to shareholders. The shareholder yield is 6.5%, including 3.4% from buybacks and 3.1% from dividends. What stands out is the quality of these returns. The payout ratio based on free cash flow is just 35.1%, and the free cash flow yield is a strong 9.0%.

This makes its capital return policy reliable. The company generates enough cash to invest in the business, pay dividends, and buy back shares at the same time. Its balance sheet is also strong, with net debt to EBITDA at -2.23, meaning it holds net cash. This gives it stability in a sector facing pressure from lower fees and market volatility.

InvestingPro estimates an upside of 20.9%, while analysts see little room for gains. This gap is notable. Looking only at analyst targets may suggest the stock has already peaked. But a closer look at cash flows and valuation shows a different picture. The company has solid returns on capital, trades at under 10 times earnings, and has a strong history of generating cash. These are the kinds of opportunities that stand out, as markets often focus too much on short-term movements rather than long-term fundamentals.

Janus Henderson

3. Cass Information Systems: Small, Conservative, Undervalued

Cass Information Systems (NASDAQ:CASS) may be the least flashy name on the list, but that is what makes it interesting. The stock offers a shareholder yield of 7.6%, with 4.6% coming from buybacks and 3.0% from dividends. Unlike many small-cap companies, these returns are funded in a conservative and sustainable way.

The company has a free cash flow payout ratio of 52%, which is higher than FHI or JHG but still reasonable. Its free cash flow yield is 5.7%, and return on invested capital stands at 18.7%. The balance sheet is very strong, with net debt to EBITDA at -5.96, showing a high level of financial stability.

The stock trades at a P/E ratio of 17.9, below its five-year average of 20.85. InvestingPro sees upside of about 22.6%, while analysts expect around 15.7%.

This is not a high-growth story, but a steady one, with solid returns to shareholders and a strong balance sheet. For investors willing to look beyond big names, Cass is a good stock to keep on the watchlist.

4. Victory Capital: Highest Growth in the Sector

Victory Capital JSC (HM:PTL) is the fastest-growing company on the list and also one of the most active in returning cash to shareholders. It has a shareholder yield of 7.7%, with 4.8% from buybacks and 2.9% from dividends. The free cash flow yield of 8.8% supports this strong return.

What makes Victory stand out is its mix of growth and discipline. Revenue has grown by 46.2%, operating leverage is strong, and the EBIT margin is 44.6%, with expectations to rise toward 49%. At the same time, the payout ratio based on free cash flow is only 41.2%, showing that buybacks and dividends are supported by solid fundamentals without putting pressure on the balance sheet.

The balance sheet is not as strong as some other asset managers, but it remains stable. Net debt to EBITDA is 1.27, which is manageable.

InvestingPro sees about 21.8% upside, while analysts expect around 10%. This suggests the market has priced in some of the growth, but not all of it.

Victory Capital

What These Four Shares Have in Common

Federated Hermes, Janus Henderson, Cass Information Systems, and Victory Capital show how to properly assess shareholder returns. A high dividend alone does not tell the full story. What matters is the combination of dividends, buybacks, strong cash flow, a solid balance sheet, and fair valuation.

That is the value of this kind of screening. It focuses on companies that return capital in a consistent and sustainable way, rather than just those with high dividends. Tools like InvestingPro help bring all these factors together, making it easier to see the full picture.

Conclusion

When companies return cash to shareholders in a consistent and disciplined way, it often shows strong quality. Federated Hermes stands out for its high shareholder yield, Janus Henderson for strong cash flow support, Cass for its conservative balance sheet, and Victory Capital for its mix of growth and capital returns.

For income-focused investors, and for those who judge companies based on how they use capital, this is a solid starting point for a watchlist.

Below are the key ways an InvestingPro subscription can enhance your stock market investing performance:

  • ProPicks AI: AI-managed stock picks every month, with several picks that have already taken off this month and in the long term.
  • Warren AI: Investing.com’s AI tool provides real-time market insights, advanced chart analysis, and personalized trading data to help traders make quick, data-driven decisions.
  • Fair Value: This feature aggregates 17 institutional-grade valuation models to cut through the noise and show you which stocks are overhyped, undervalued, or fairly priced.
  • 1,200+ Financial Metrics at Your Fingertips: From debt ratios and profitability to analyst earnings revisions, you’ll have everything professional investors use to analyze stocks in one clean dashboard.

  • Institutional-Grade News & Market Insights: Stay ahead of market moves with exclusive headlines and data-driven analysis.

  • A Distraction-Free Research Experience: No pop-ups. No clutter. No ads. Just streamlined tools built for smart decision-making.

  • Vision AI: InvestingPro’s newest addition. It analyzes any asset’s chart with professional-grade market intelligence, identifying key timeframes, technical patterns, and indicators — then delivers a clear trading playbook with the levels, scenarios, and risks that matter most in under a minute.

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Disclaimer: This article is written for informational purposes only; it does not constitute a solicitation, offer, advice, counsel or recommendation to invest as such it is not intended to incentivize the purchase of assets in any way. I would like to remind you that any type of asset, is evaluated from multiple perspectives and is highly risky and therefore, any investment decision and the associated risk remains with the investor.

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