United States dividend stocks

Showing 2901–3000 of 6437 stocks (page 30 of 65).

Stock Market Cap P/E Ratio Dividend Yield
WOOF Petco Health and Wellness Company, Inc. 915.0 million 141.50 0.00%
HFRO-PA Highland Funds I - Highland Opportunities and Income Fund 913.4 million - 8.14%
MBWM Mercantile Bank Corporation 911.1 million 9.19 2.92%
SPTN SpartanNash Company 910.9 million -57.23 3.26%
CCNE CNB Financial Corporation 908.0 million 10.51 2.41%
METC Ramaco Resources, Inc. 907.2 million - 1.66%
FMCB Farmers & Merchants Bancorp 906.9 million 8.81 1.87%
HAFC Hanmi Financial Corporation 906.7 million 11.25 3.61%
BFST Business First Bancshares, Inc. 906.2 million 9.75 2.13%
NRGX PIMCO Energy and Tactical Credit Opportunities Fund 905.8 million 4.91 4.60%
BJRI BJ's Restaurants, Inc. 904.6 million 21.16 0.00%
PACW Banc of California, Inc. 904.5 million 3.05 0.53%
ESRT Empire State Realty Trust, Inc. 903.6 million 26.33 2.66%
BHFAO Brighthouse Financial, Inc. 903.5 million 1.31 10.70%
CPF Central Pacific Financial Corp. 902.8 million 11.40 3.27%
LXU LSB Industries, Inc. 901.2 million 24.29 0.00%
HBT HBT Financial, Inc. 900.5 million 12.87 3.07%
JBSS John B. Sanfilippo & Son, Inc. 899.5 million 14.07 1.17%
SBNC Southern BancShares (N.C.), Inc. 896.1 million 5.77 0.21%
ARHS Arhaus, Inc. 895.9 million 12.03 5.53%
TMST TimkenSteel Corporation 895.4 million 25.61 0.00%
TELL Tellurian Inc. 893.0 million - 0.00%
HTD John Hancock Tax-Advantaged Dividend Income Fund 892.9 million 8.65 7.44%
TRST TrustCo Bank Corp NY 892.2 million 13.59 2.94%
SHEN Shenandoah Telecommunications Company 891.8 million - 0.68%
AWF AllianceBernstein Global High Income Fund 890.8 million 12.28 7.61%
UTL Unitil Corporation 888.4 million 16.21 3.75%
PMT PennyMac Mortgage Investment Trust 887.7 million 9.29 15.72%
BCX Blackrock Resources & Commodities Strategy Trust 887.4 million 25.26 7.19%
AMTB Amerant Bancorp Inc. 887.1 million 16.11 1.60%
PX P10, Inc. 886.9 million 62.08 1.83%
HA Hawaiian Holdings, Inc. 886.8 million - 0.00%
MGTX MeiraGTx Holdings plc 886.3 million - 0.00%
XNCR Xencor, Inc. 885.9 million - 0.00%
MFIC MidCap Financial Investment Corporation 883.4 million 185.83 13.52%
KODK Eastman Kodak Company 883.3 million -21.58 0.00%
SG Sweetgreen, Inc. 881.7 million 54.83 0.00%
BBDC Barings BDC, Inc. 881.6 million 10.13 13.54%
VERB Verb Technology Company, Inc. 877.8 million -1.77 0.00%
SNCY Sun Country Airlines Holdings, Inc. 876.4 million 22.15 0.00%
GES Guess', Inc. 874.6 million 14.46 6.26%
TALK Talkspace, Inc. 872.7 million 0 0.00%
CCOI Cogent Communications Holdings, Inc. 871.4 million - 6.18%
PCN PIMCO Corporate & Income Strategy Fund 871.2 million 7.96 11.43%
ATUS Altice USA, Inc. 870.9 million -0.47 0.00%
ARKO Arko Corp. 870.6 million 33.90 1.55%
AMPH Amphastar Pharmaceuticals, Inc. 870.4 million 11.11 0.00%
CRCT Cricut, Inc. 869.0 million 12.65 20.53%
SANA Sana Biotechnology, Inc. 868.3 million - 0.00%
JBGS JBG SMITH Properties 867.4 million - 4.70%
MYE Myers Industries, Inc. 866.8 million 20.14 2.34%
SMP Standard Motor Products, Inc. 866.3 million 10.45 3.29%
BFS Saul Centers, Inc. 865.9 million 32.62 6.69%
GLP-PB Global Partners LP 864.1 million 11.17 9.31%
DECPF Diversified Energy Company PLC 861.9 million 0.04 1.03%
ABUS Arbutus Biopharma Corporation 859.3 million 4.99 0.00%
RYI Ryerson Holding Corporation 858.8 million -37.55 2.81%
BCSF Bain Capital Specialty Finance, Inc. 858.2 million 11.72 12.70%
MUI Blackrock Muni Intermediate Dur 857.4 million 22.06 3.78%
CCLDO CareCloud, Inc. 857.3 million - 17.57%
INDI indie Semiconductor, Inc. 855.7 million - 0.00%
CGEM Cullinan Therapeutics, Inc. 850.3 million - 0.00%
FARO FARO Technologies, Inc. 849.8 million - 0.00%
CRF Cornerstone Total Return Fund, Inc. 849.7 million 8.30 19.59%
SSYS Stratasys Ltd. 848.8 million - 0.00%
KFRC Kforce Inc. 847.9 million 22.35 3.30%
GO Grocery Outlet Holding Corp. 846.8 million - 0.00%
PHK PIMCO High Income Fund 846.6 million 7.85 12.69%
DCOMP Dime Community Bancshares, Inc. 846.5 million 4.95 5.40%
THFF First Financial Corporation 845.3 million 9.71 3.01%
PD PagerDuty, Inc. 843.7 million 4.49 0.00%
ODP The ODP Corporation 843.3 million 133.33 0.00%
AMRK A-Mark Precious Metals, Inc. 839.1 million 113.50 2.35%
CERT Certara, Inc. 835.4 million - 0.00%
MPB Mid Penn Bancorp, Inc. 832.8 million 15.35 2.77%
CAPL CrossAmerica Partners LP 830.2 million 15.32 9.65%
ORIC ORIC Pharmaceuticals, Inc. 830.2 million - 0.00%
JANX Janux Therapeutics, Inc. 829.3 million - 0.00%
HTBK Heritage Commerce Corp 828.4 million 17.24 0.00%
WRLD World Acceptance Corporation 828.4 million 20.25 0.00%
CTLP Cantaloupe, Inc. 825.8 million 280 0.00%
ALTG-PA Alta Equipment Group Inc. 822.2 million - 9.89%
TGONF Tetragon Financial Group Limited 820.0 million 5.17 6.64%
CAC Camden National Corporation 819.7 million 10.40 3.47%
TRNS Transcat, Inc. 819.4 million 148.28 0.00%
WLKP Westlake Chemical Partners LP 815.9 million 14.20 8.15%
CHMI-PA Cherry Hill Mortgage Investment Corporation 814.1 million 38.26 9.25%
KRO Kronos Worldwide, Inc. 813.4 million - 2.83%
MQY BlackRock MuniYield Quality Fund, Inc. 813.2 million -15.89 6.15%
KOP Koppers Holdings Inc. 810.8 million 11.32 0.81%
FCBC First Community Bankshares, Inc. 810.5 million 16.32 5.21%
EVC Entravision Communications Corporation 807.2 million - 2.28%
ATRI Atrion Corporation 806.6 million 43.11 0.02%
LXRX Lexicon Pharmaceuticals, Inc. 806.1 million - 0.00%
CODI Compass Diversified 804.3 million - 9.35%
GGN GAMCO Global Gold, Natural Resources & Income Trust 803.8 million 6.51 7.00%
PFLT PennantPark Floating Rate Capital Ltd. 802.7 million 12.84 14.77%
RDVT Red Violet, Inc. 801.2 million 48.75 0.53%
CMRX Chimerix, Inc. 801.1 million - 0.00%
MEG Montrose Environmental Group, Inc. 800.8 million - 0.00%