United States dividend stocks

Showing 1–100 of 6446 stocks (page 1 of 65).

Stock Market Cap P/E Ratio Dividend Yield
0R29.L Intuitive Surgical, Inc. 5.5 trillion 1.07 0.00%
NVD.DE NVIDIA Corporation 5.2 trillion 33.06 0.02%
NVD.F NVIDIA Corporation 5.1 trillion 32.81 0.02%
NVDA NVIDIA Corporation 5.0 trillion 33.03 0.14%
ABEA.DE Alphabet Inc. 4.6 trillion 29.72 0.26%
0HW4.L Charter Communications, Inc. 4.6 trillion 0.06 0.00%
AAPL Apple Inc. 4.5 trillion 35.46 0.34%
APC.F Apple Inc. 4.5 trillion 35.49 0.39%
GOOGL Alphabet Inc. 4.4 trillion 16.39 0.23%
GOOG Alphabet Inc. 4.4 trillion 16.38 0.24%
AAPL.MX Apple Inc. 4.2 trillion 34.13 0.02%
ABEC.DE Alphabet Inc. 4.1 trillion 16.71 0.29%
NVDA.NE NVIDIA Corporation 4.1 trillion 64.44 0.02%
APC.DE Apple Inc. 4.1 trillion 34.36 0.43%
0ITL.L Arthur J. Gallagher & Co. 3.9 trillion 0.47 1.21%
AAPL.NE Apple Inc. 3.8 trillion 38.58 1.59%
MSFT Microsoft Corporation 3.7 trillion 26.19 0.75%
GOOG.NE Alphabet Inc. 3.4 trillion 34.94 0.28%
0KW4.L ResMed Inc. 3.1 trillion 0.40 1.06%
0LIB.L Ulta Beauty, Inc. 3.0 trillion 0.26 0.00%
MSFT.NE Microsoft Corporation 3.0 trillion 29.57 0.80%
MSF.F Microsoft Corporation 3.0 trillion 24.66 1.01%
MSF.DE Microsoft Corporation 3.0 trillion 24.53 1.00%
AMZN Amazon.com, Inc. 2.9 trillion 22.33 0.00%
AMZ.DE Amazon.com, Inc. 2.9 trillion 33.01 0.00%
4338.HK Microsoft Corporation 2.8 trillion 19.88 1.46%
0LOZ.L VeriSign, Inc. 2.6 trillion 0.37 1.17%
0IC8.L Dollar Tree, Inc. 2.5 trillion 0.16 0.00%
0R13.L Church & Dwight Co., Inc. 2.3 trillion 0.30 1.22%
AMZN.NE Amazon.com, Inc. 2.2 trillion 41.07 0.00%
0HR4.L CMS Energy Corporation 2.2 trillion 0.16 2.13%
0L7G.L Snap-on Incorporated 2.1 trillion 0.25 2.31%
0JUJ.L Formula One Group 2.0 trillion - 0.00%
AVGO Broadcom Inc. 1.9 trillion 65.80 0.65%
SPCX Space Exploration Technologies Corp. 1.8 trillion - 0.00%
0IUX.L Genuine Parts Company 1.7 trillion 0.18 0.00%
1YD.DE Broadcom Inc. 1.6 trillion 66.83 0.84%
FB2A.DE Meta Platforms, Inc. 1.5 trillion 22.00 0.40%
0JPH.L Juniper Networks, Inc. 1.5 trillion 0.39 2.21%
META Meta Platforms, Inc. 1.5 trillion 22.22 0.36%
TL0.F Tesla, Inc. 1.3 trillion 294.47 0.00%
TSLA Tesla, Inc. 1.2 trillion 284.67 0.00%
TL0.DE Tesla, Inc. 1.2 trillion 283.53 0.00%
TSLA.NE Tesla, Inc. 1.2 trillion 172.50 0.00%
BRK.NE Berkshire Hathaway Inc. 1.1 trillion 9.34 0.00%
BRK-B Berkshire Hathaway Inc. 1.1 trillion 12.82 0.00%
LLY Eli Lilly and Company 1.1 trillion 40.76 0.52%
BRYN.DE Berkshire Hathaway Inc. 1.1 trillion 15.78 0.00%
MU Micron Technology, Inc. 1.0 trillion 25.58 0.06%
WMT.DE Walmart Inc. 981.7 billion 45.44 0.77%
JPM JPMorgan Chase & Co. 962.6 billion 14.53 1.67%
LLY.DE Eli Lilly and Company 941.7 billion 44.18 0.62%
WMT.NE Walmart Inc. 939.0 billion 41.73 0.76%
JPM-PJ JPMorgan Chase & Co. 929.0 billion 1.44 6.23%
JPM-PL JPMorgan Chase & Co. 928.5 billion 1.39 6.28%
JPM-PK JPMorgan Chase & Co. 924.6 billion 1.37 6.32%
LLY.SW LILLY ELI 924.6 billion 75.02 0.75%
JPM-PM JPMorgan Chase & Co. 922.4 billion 1.28 6.24%
CMC.DE JPMorgan Chase & Co. 914.8 billion 14.56 1.99%
WMT Walmart Inc. 887.7 billion 41.75 0.87%
SPY State Street SPDR S&P 500 ETF 823.3 billion 27.64 0.97%
0XNH.L DocuSign, Inc. 804.1 billion - 0.00%
AMD Advanced Micro Devices, Inc. 789.1 billion 123.31 0.00%
JPM-PC JPMorgan Chase & Co 788.2 billion 1.88 6.01%
JPM.NE JPMorgan Chase & Co. 771.0 billion 14.21 1.95%
0K2F.L Mohawk Industries, Inc. 766.7 billion 0.07 0.00%
JPM-PD JPMorgan Chase & Co. 765.6 billion 1.79 6.04%
3V64.DE Visa Inc. 685.8 billion 31.28 0.85%
V Visa Inc. 683.6 billion 31.16 0.73%
VXUS Vanguard Total International Stock ETF 671.9 billion 17.79 2.57%
0HTQ.L CarMax, Inc. 660.4 billion 0.06 0.00%
XOM Exxon Mobil Corporation 638.2 billion 25.51 2.69%
VISA.NE Visa Inc. 631.4 billion 30.86 8.03%
JNJ Johnson & Johnson 618.8 billion 28.91 2.04%
JNJ.DE Johnson & Johnson 603.8 billion 28.76 2.38%
XONA.DE Exxon Mobil Corporation 572.8 billion 22.99 3.36%
QQQ Invesco QQQ Trust, Series 1 508.5 billion 32.69 0.43%
M4I.DE Mastercard Incorporated 500.4 billion 31.42 0.68%
MA Mastercard Incorporated 499.7 billion 31.45 0.59%
BAC-PL Bank of America Corporation 471.4 billion 365.68 5.62%
INTC Intel Corp. 459.0 billion - 0.55%
CIS.DE Cisco Systems, Inc. 452.2 billion 38.47 1.65%
ORC.DE Oracle Corporation 450.9 billion 29.37 1.46%
BAC Bank of America Corporation 446.4 billion 14.15 1.78%
COST.NE Costco Wholesale Corporation 445.0 billion 53.22 0.57%
MA.NE Mastercard Incorporated 444.9 billion 32.32 0.61%
BAC-PS Bank of America Corporation 441.1 billion 5.40 6.41%
ABBV.NE AbbVie Inc. 440.8 billion 185.26 17.73%
CSCO Cisco Systems, Inc. 440.2 billion 33.64 1.46%
BAC-PM Bank of America Corporation 440.1 billion 6.07 6.41%
INL.F Intel Corporation 439.3 billion - 0.00%
BAC-PQ Bank of America Corporation 437.8 billion 4.82 6.50%
BAC-PN Bank of America Corporation 437.4 billion 5.63 6.42%
CTO.DE Costco Wholesale Corporation 435.3 billion - 0.00%
ABBV AbbVie Inc. 435.1 billion 68.96 2.80%
AMAT Applied Materials, Inc. 434.0 billion 38.32 0.35%
NCB.DE Bank of America Corporation 432.8 billion 14.07 2.08%
4AB.DE AbbVie Inc. 429.3 billion 68.38 3.23%
INL.DE Intel Corporation 426.2 billion - 0.00%
ORCL Oracle Corporation 419.7 billion 32.99 1.37%