United States dividend stocks

Showing 2801–2900 of 6437 stocks (page 29 of 65).

Stock Market Cap P/E Ratio Dividend Yield
BRBR BellRing Brands, Inc. 1.0 billion 7.99 0.00%
GLYC GlycoMimetics, Inc. 1.0 billion -0.34 0.00%
MUC BlackRock MuniHoldings California Quality Fund, Inc. 1.0 billion -13.84 5.97%
UVE Universal Insurance Holdings, Inc. 1.0 billion 5.80 2.12%
ETW Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund 1.0 billion 9.45 8.58%
MLKN MillerKnoll, Inc. 1.0 billion 93.93 5.08%
IUUS.L iShares V PLC - iShares S&P 500 Utilities Sector UCITS ETF 1.0 billion 23.41 -
EMO ClearBridge Energy Midstream Opportunity Fund Inc 1.0 billion -23.19 8.60%
PFC Premier Financial Corp. 1.0 billion 14.16 0.00%
VTYX Ventyx Biosciences, Inc. 1.0 billion -9.40 0.00%
RNP Cohen & Steers REIT and Preferred Income Fund, Inc. 1.0 billion 9.41 7.80%
ORC Orchid Island Capital, Inc. 1.0 billion 7.40 21.21%
OPY Oppenheimer Holdings Inc. 1.0 billion 6.90 0.85%
NBPVF NB Private Equity Partners Limited 1.0 billion 1.87 4.59%
ABSI Absci Corporation 997.8 million - 0.00%
GSBD Goldman Sachs BDC, Inc. 997.4 million 13.98 19.19%
APPS Digital Turbine, Inc. 995.8 million - 0.00%
CSR Centerspace 995.8 million 143.94 5.20%
CFFN Capitol Federal Financial, Inc. 995.1 million 12.97 4.84%
STK Columbia Seligman Premium Technology Growth Fund 994.5 million 16.39 4.82%
PMT-PA PennyMac Mortgage Investment Trust 994.1 million - 9.03%
VERV Verve Therapeutics, Inc. 994.0 million - 0.00%
TRUL.CN Trulieve Cannabis Corp. 993.5 million -9.73 0.00%
WTBFB W.T.B. Financial Corporation 991.6 million 10.26 2.32%
MHM.L Marsh & McLennan Companies, Inc. 990.7 million 0.29 1.41%
RPT RPT Realty 989.9 million 20.76 5.00%
DAKT Daktronics, Inc. 989.6 million 36.91 0.00%
AVO Mission Produce, Inc. 989.2 million 35 0.00%
CVII Churchill Capital Corp VII 988.9 million 1080 0.00%
EYPT EyePoint Pharmaceuticals, Inc. 987.7 million - 0.00%
ACVA ACV Auctions Inc. 987.3 million - 0.00%
SBSI Southside Bancshares, Inc. 986.3 million 14.14 4.34%
HL-PB Hecla Mining Company 986.1 million 1810 6.68%
NEP NextEra Energy Partners, LP 985.9 million - 22.75%
BBN BlackRock Taxable Municipal Bond Trust 985.6 million 19.20 7.35%
SENEA Seneca Foods Corporation 984.2 million 10.78 0.00%
PMT-PB PennyMac Mortgage Investment Trust 983.8 million - 8.94%
EEX Emerald Holding, Inc. 983.6 million - 1.21%
BSIG BrightSphere Investment Group I 983.0 million 16.06 0.15%
ACEL Accel Entertainment, Inc. 982.4 million 19.25 0.00%
LFT-PA Lument Finance Trust, Inc. 981.4 million 86.24 10.50%
VRTS Virtus Investment Partners, Inc. 979.4 million 8.36 6.45%
WSR Whitestone REIT 978.5 million 19.77 2.99%
CLDT-PA Chatham Lodging Trust 978.0 million - 8.19%
QDEL QuidelOrtho Corporation 977.2 million - 0.00%
BRKL Brookline Bancorp, Inc. 975.7 million 12.44 4.93%
MSEX Middlesex Water Company 975.5 million 21.31 2.71%
PLYM Plymouth Industrial REIT, Inc. 974.8 million 10.83 3.29%
INNV InnovAge Holding Corp. 974.1 million - 0.00%
LMB Limbach Holdings, Inc. 972.9 million 26.16 0.00%
DFIN Donnelley Financial Solutions, Inc. 971.9 million 31.27 0.00%
ABL Abacus Global Management, Inc. 971.7 million 198.80 2.01%
FSCO FS Credit Opportunities Corp. 970.9 million 6.67 16.36%
SIGIP Selective Insurance Group, Inc. 969.2 million 2.93 7.17%
BHRB Burke & Herbert Financial Services Corp. 968.8 million 8.25 3.41%
HRT HireRight Holdings Corporation 968.5 million - 0.00%
SBGI Sinclair, Inc. 967.9 million 15.29 7.22%
USPH U.S. Physical Therapy, Inc. 965.6 million 118.84 2.87%
CRSR Corsair Gaming, Inc. 963.0 million 83.33 0.00%
SACH-PA Sachem Capital Corp. 962.2 million 48.14 9.45%
RAPT RAPT Therapeutics, Inc. 959.5 million -4.98 0.00%
APEI American Public Education, Inc. 958.4 million 27.63 0.00%
PSNL Personalis, Inc. 957.3 million - 0.00%
FWRG First Watch Restaurant Group, Inc. 957.1 million 63.44 -
MCBS MetroCity Bankshares, Inc. 955.6 million 11.50 3.12%
SPLP Steel Partners Holdings L.P. 955.2 million 4.31 3.00%
TRUP Trupanion, Inc. 954.9 million 42.24 0.00%
0KRR.L PROTO LABS INC PROTO LABS ORD S 954.1 million 31.30 0.00%
NPK National Presto Industries, Inc. 953.5 million 24.72 0.75%
MBINN Merchants Bancorp 951.9 million 4.63 7.23%
NBN Northeast Bank 951.7 million 12.06 0.03%
HFWA Heritage Financial Corporation 944.4 million 13.34 3.46%
COUR Coursera, Inc. 943.0 million - 0.00%
PML PIMCO Municipal Income Fund II 942.8 million -17.57 6.31%
BTZ BlackRock Credit Allocation Income Trust 942.6 million 9.56 9.97%
AIO Virtus Artificial Intelligence & Technology Opportunities Fund 940.7 million 5.35 10.95%
MCB Metropolitan Bank Holding Corp. 940.4 million 10.88 1.11%
OXLC Oxford Lane Capital Corp. 940.4 million - 24.91%
SBOW SilverBow Resorces, Inc. 940.4 million 4.69 0.00%
CRVS Corvus Pharmaceuticals, Inc. 940.1 million - 0.00%
TCBIO Texas Capital Bancshares, Inc. 938.0 million 5.53 6.92%
CHS Chico's FAS, Inc. 937.0 million 8.34 28.57%
EQBK Equity Bancshares, Inc. 936.6 million 38.97 1.59%
MFA MFA Financial, Inc. 934.2 million 10.94 15.74%
SCSC ScanSource, Inc. 933.7 million 12.77 0.00%
GPMT-PA Granite Point Mortgage Trust Inc. 933.6 million 29.91 8.91%
OLMA Olema Pharmaceuticals, Inc. 932.9 million - 0.00%
HBNC Horizon Bancorp, Inc. 932.7 million - 3.52%
FCRX Crescent Capital BDC, Inc. 931.5 million 177.04 4.97%
FSBC Five Star Bancorp 930.1 million 13.04 2.07%
PSTX Poseida Therapeutics, Inc. 927.9 million - 0.00%
PETQ PetIQ, Inc. 926.6 million 83.73 0.00%
PSIX Power Solutions International, Inc. 926.2 million 8.75 0.00%
0K16.L EVOLUS INC EVOLUS ORD SHS 923.2 million -11.22 0.00%
NRK Nuveen New York AMT-Free Quality Municipal Income Fund 922.9 million -11.89 7.83%
CRAI CRA International, Inc. 921.5 million 19.26 1.60%
BH Biglari Holdings Inc. 921.4 million 161.06 0.00%
GDRX GoodRx Holdings, Inc. 918.6 million 44.83 0.00%
ESQ Esquire Financial Holdings, Inc. 917.5 million 17.97 0.71%
EPC Edgewell Personal Care Company 915.6 million - 2.26%