United States dividend stocks

Showing 2001–2100 of 6437 stocks (page 21 of 65).

Stock Market Cap P/E Ratio Dividend Yield
BSM Black Stone Minerals, L.P. 2.9 billion 10.47 8.82%
TR Tootsie Roll Industries, Inc. 2.9 billion 32.22 0.94%
IPAR Inter Parfums, Inc. 2.9 billion 17.13 3.55%
CBCY Central Bancompany, Inc. 2.9 billion 11.76 1.18%
SAH Sonic Automotive, Inc. 2.9 billion 24.92 1.93%
ATKR Atkore Inc. 2.9 billion - 1.55%
0LEE.L Teradata Corporation 2.9 billion 26.24 0.00%
QTWO Q2 Holdings, Inc. 2.9 billion 46.33 0.00%
MORF Morphic Holding, Inc. 2.9 billion -10.56 0.00%
VNO-PO Vornado Realty Trust 2.9 billion 23.94 7.44%
DBRG DigitalBridge Group, Inc. 2.9 billion 29.43 0.26%
EXG Eaton Vance Tax-Managed Global Diversified Equity Income Fund 2.9 billion 6.81 8.45%
OFC Corporate Office Properties Trust 2.9 billion 14.85 4.57%
HTLF Heartland Financial USA, Inc. 2.8 billion 37.32 1.80%
UPST Upstart Holdings, Inc. 2.8 billion 70.63 0.00%
CBCYB Central Bancompany, Inc. 2.8 billion 11.48 1.24%
WT WisdomTree, Inc. 2.8 billion 46.49 0.65%
WOR Worthington Industries, Inc. 2.8 billion 154.52 1.29%
PFS Provident Financial Services, Inc. 2.8 billion 9.58 4.41%
REAL The RealReal, Inc. 2.8 billion - 0.00%
HUBG Hub Group, Inc. 2.8 billion 26.66 1.09%
UNIT Uniti Group Inc. 2.8 billion 2.48 5.14%
BKD Brookdale Senior Living Inc. 2.8 billion - 0.00%
PPTA Perpetua Resources Corp. 2.8 billion - 0.00%
PK Park Hotels & Resorts Inc. 2.8 billion - 7.11%
FSLY Fastly, Inc. 2.8 billion - 0.00%
DBRG-PJ DigitalBridge Group, Inc. 2.8 billion - 11.53%
DYN Dyne Therapeutics, Inc. 2.8 billion - 0.00%
POWWP Outdoor Holding Company - 8.75% Series A Cumulative Redeemable Perpetual Preferred Stock 2.8 billion 84.06 9.11%
PSA-PM Public Storage 2.8 billion 1.58 6.43%
UE Urban Edge Properties 2.8 billion 25.79 3.50%
EXPO Exponent, Inc. 2.8 billion 30.00 2.09%
OLN Olin Corporation 2.8 billion - 3.26%
JPC Nuveen Preferred & Income Opportunities Fund 2.8 billion 10.44 9.60%
DBRG-PH DigitalBridge Group, Inc. 2.8 billion - 11.64%
PARR Par Pacific Holdings, Inc. 2.8 billion 7.30 0.00%
0HWG.L The Chemours Company 2.8 billion 3.73 2.11%
PSA-PS Public Storage 2.8 billion 1.57 6.45%
DBRG-PI DigitalBridge Group, Inc. 2.8 billion - 11.71%
ZIONP Zions Bancorporation, National Association 2.8 billion 3.11 6.51%
CVBF CVB Financial Corp. 2.8 billion 13.29 3.90%
DX Dynex Capital, Inc. 2.8 billion 6.10 15.81%
WK Workiva Inc. 2.8 billion 193.42 0.00%
NS Nustar Energy L.P. 2.8 billion 43.42 0.07%
OUST Ouster, Inc. 2.8 billion - 0.00%
RDW Redwire Corporation 2.8 billion - 0.00%
MGEE MGE Energy, Inc. 2.8 billion 18.93 2.59%
AFSIA AmTrust Financial Services, Inc. 2.8 billion 14.33 12.05%
SLNO Soleno Therapeutics, Inc. 2.8 billion 27.47 0.00%
PDCO Patterson Companies, Inc. 2.8 billion 20.40 3.34%
AEO American Eagle Outfitters, Inc. 2.8 billion 10.09 3.04%
NAD Nuveen Quality Municipal Income Fund 2.7 billion 43.75 7.31%
AFSIC AMTRUST FINANCIAL SERVICES INC 2.7 billion 14.23 0.02%
ORA.TO Aura Minerals Inc. 2.7 billion - 2.70%
STR Sitio Royalties Corp. 2.7 billion 41.30 7.60%
CWT California Water Service Group 2.7 billion 21.52 2.77%
FTAIM FTAI Aviation Ltd. 2.7 billion - 8.89%
FBK FB Financial Corporation 2.7 billion 22.04 1.50%
PLMR Palomar Holdings, Inc. 2.7 billion 15.15 0.00%
WDFC WD-40 Company 2.7 billion 34.71 1.93%
AMR Alpha Metallurgical Resources, Inc. 2.7 billion - 0.00%
FA First Advantage Corporation 2.7 billion 311.20 0.00%
DKL Delek Logistics Partners, LP 2.7 billion 16.59 8.78%
AFSIB AmTrust Financial Services, Inc. 2.7 billion 15.26 13.21%
NVG Nuveen AMT-Free Municipal Credit Income Fund 2.7 billion 48.19 7.48%
ADPT Adaptive Biotechnologies Corporation 2.7 billion - 0.00%
ABM ABM Industries Incorporated 2.7 billion 17.75 2.47%
SIX Six Flags Entertainment Corpora 2.7 billion 100 0.00%
HLIO Helios Technologies, Inc. 2.7 billion 42.32 0.48%
NMIH NMI Holdings, Inc. 2.7 billion 7.77 0.00%
FCPT Four Corners Property Trust, Inc. 2.7 billion 22.80 5.91%
ARQT Arcutis Biotherapeutics, Inc. 2.7 billion - 0.00%
PRFT Perficient, Inc. 2.7 billion 36.34 0.00%
AFSIN AmTrust Financial Services, Inc. 2.7 billion 14.69 12.87%
DSEY Diversey Holdings, Ltd. 2.7 billion - -
LXP-PC LXP Industrial Trust 2.7 billion 37.85 7.12%
APAM Artisan Partners Asset Management Inc. 2.7 billion 9.41 9.05%
PSA-PO Public Storage 2.6 billion 1.49 6.46%
PSA-PN Public Storage 2.6 billion 1.48 6.44%
CARG CarGurus, Inc. 2.6 billion 17.05 0.00%
WHR Whirlpool Corporation 2.6 billion 13.93 6.63%
AMK AssetMark Financial Holdings, I 2.6 billion 18.35 0.00%
WAFD WaFd, Inc. 2.6 billion 12.24 3.04%
MGRC McGrath RentCorp 2.6 billion 17.95 1.82%
UTF Cohen & Steers Infrastructure Fund, Inc 2.6 billion 5.76 6.91%
PAY Paymentus Holdings, Inc. 2.6 billion 46.74 0.00%
FRSH Freshworks Inc. 2.6 billion 14.48 0.00%
TOWN TowneBank 2.6 billion 16.26 5.21%
WAL-PA Western Alliance Bancorporation 2.6 billion 2.64 4.43%
IVT InvenTrust Properties Corp. 2.6 billion 22.96 2.88%
WERN Werner Enterprises, Inc. 2.6 billion - 1.29%
TRN Trinity Industries, Inc. 2.6 billion 11.44 3.72%
PRVA Privia Health Group, Inc. 2.6 billion 135.35 0.00%
TRMK Trustmark Corporation 2.6 billion 11.92 2.22%
TWO-PC Two Harbors Investment Corp. 2.6 billion 6.79 9.52%
HEP Holly Energy Partners, L.P. 2.6 billion 10.76 6.85%
CIVI Civitas Resources, Inc. 2.6 billion 4.03 7.20%
BRZE Braze, Inc. 2.6 billion - 0.00%
HOG Harley-Davidson, Inc. 2.6 billion 13.23 2.24%
VSTO Vista Outdoor Inc. 2.6 billion - 0.00%