United States dividend stocks

Showing 3101–3200 of 6437 stocks (page 32 of 65).

Stock Market Cap P/E Ratio Dividend Yield
OPFI OppFi Inc. 709.6 million 4.58 1.44%
FTK Flotek Industries, Inc. 708.7 million 21.46 0.00%
OMER Omeros Corporation 708.6 million 10.26 0.00%
JQC Nuveen Credit Strategies Income Fund 708.0 million 12.08 13.25%
FEIM Frequency Electronics, Inc. 705.1 million 63.26 1.40%
SHBI Shore Bancshares, Inc. 702.2 million 10.17 2.38%
RA Brookfield Real Assets Income Fund Inc. 701.7 million 9.56 11.15%
BHFAN Brighthouse Financial, Inc. 701.3 million 1.07 10.98%
AC Associated Capital Group, Inc. 700.9 million 13.08 6.62%
AMWD American Woodmark Corporation 700.7 million 41.46 0.00%
AGM-PC Federal Agricultural Mortgage C 699.9 million 2.25 0.19%
JBI Janus International Group, Inc. 698.3 million 16.03 0.00%
GHIXU Gores Holdings IX, Inc. 695.6 million - -
FEPI REX FANG & Innovation Equity Premium Income ETF 693.7 million 38.56 26.82%
CTO CTO Realty Growth, Inc. 693.2 million 101.65 7.41%
EGLE Eagle Bulk Shipping Inc. 693.2 million 19.11 2.19%
CTO-PA CTO Realty Growth, Inc. 691.7 million 6.58 7.59%
NTGR NETGEAR, Inc. 690.9 million - 0.00%
AAIC-PC Arlington Asset Investment Corp. 690.5 million -83.61 8.54%
RUTH Ruth's Hospitality Group, Inc. 688.1 million 18.06 2.98%
SNDA Sonida Senior Living, Inc. 687.6 million - 0.00%
IGR CBRE Global Real Estate Income Fund 687.4 million 13.66 15.86%
QNST QuinStreet, Inc. 686.5 million 10.69 0.00%
WDI Western Asset Diversified Income Fund 686.3 million 11.41 13.48%
0JUZ.L EDGIO INC EDGIO INC ORD SHS 686.1 million -0.68 0.00%
OCCIO OFS Credit Company, Inc. 685.2 million 50.01 6.11%
VEL Velocity Financial, Inc. 685.0 million 6.19 0.00%
EVER EverQuote, Inc. 683.4 million 7.00 0.00%
INDT INDUS Realty Trust, Inc. 680.6 million 246.89 1.07%
OCCIN OFS Credit Company, Inc. 680.5 million 49.46 0.00%
PAXS PIMCO Access Income Fund 679.5 million 7.65 12.41%
PKE Park Aerospace Corp. 678.5 million 58.98 1.54%
RSVR Reservoir Media, Inc. 677.6 million 77.85 0.00%
UDMY Udemy, Inc. 677.3 million - 0.00%
TBLD Thornburg Income Builder Opportunities Trust 677.0 million 7.14 5.74%
0K1W.L Mitek Systems, Inc. 674.7 million 0.64 0.00%
PFN PIMCO Income Strategy Fund II 674.4 million -9.61 12.60%
NKX Nuveen California AMT-Free Quality Municipal Income Fund 673.4 million -16.49 7.24%
MITK Mitek Systems, Inc. 672.4 million 40.85 0.00%
DLY DoubleLine Yield Opportunities Fund 670.8 million 14.01 10.13%
RTL The Necessity Retail REIT, Inc. 670.2 million - 11.29%
MEC Mayville Engineering Company, Inc. 670.1 million - 0.00%
NR Newpark Resources, Inc. 669.5 million 20.37 0.00%
BLMN Bloomin' Brands, Inc. 668.6 million 34.88 1.92%
RWT Redwood Trust, Inc. 667.4 million - 13.51%
EVGO EVgo, Inc. 667.0 million - 0.00%
THVB Thomasville Bancshares, Inc. 664.9 million 16.05 2.57%
HTBI HomeTrust Bancshares, Inc. 660.7 million 11.78 0.00%
SWBI Smith & Wesson Brands, Inc. 659.4 million 66.71 3.51%
GRPN Groupon, Inc. 659.0 million - 0.00%
GRNT Granite Ridge Resources, Inc 658.2 million - 8.82%
FBRT Franklin BSP Realty Trust, Inc. 658.0 million 18.12 14.80%
TRTX TPG RE Finance Trust, Inc. 657.1 million 13.45 11.29%
TIPT Tiptree Inc. 656.3 million 16.57 1.37%
CRMD CorMedix Inc. 655.9 million 3.60 0.00%
CSTL Castle Biosciences, Inc. 655.1 million - 0.00%
VRRM Verra Mobility Corporation 654.7 million 16.55 0.00%
VMO Invesco Municipal Opportunity Trust 654.2 million - 7.73%
DSGN Design Therapeutics, Inc. 652.1 million - 0.00%
BOE BlackRock Enhanced Global Dividend Trust 651.6 million 9.80 8.47%
ESPR Esperion Therapeutics, Inc. 650.8 million - 0.00%
UBA Urstadt Biddle Properties Inc. 649.9 million 34.66 3.94%
UBP Urstadt Biddle Properties Inc. 649.9 million 34.77 3.54%
MUJ BlackRock MuniHoldings New Jersey Quality Fund, Inc. 648.1 million -25.57 5.32%
AHH Armada Hoffler Properties, Inc. 647.9 million 28.41 9.00%
RMR The RMR Group Inc. 647.6 million 16.14 8.86%
CTIC CTI BioPharma Corp. 646.2 million -3.92 -
HIPO Hippo Holdings Inc. 646.2 million 6.43 0.00%
CHUY Chuy's Holdings, Inc. 645.9 million 24.18 0.00%
ANNX Annexon, Inc. 644.6 million - 0.00%
SPFI South Plains Financial, Inc. 643.6 million 11.64 1.72%
NYMT New York Mortgage Trust, Inc. 642.1 million 37.42 11.08%
SWIM Latham Group, Inc. 640.5 million 78.57 0.00%
HY Hyster-Yale Materials Handling, Inc. 638.9 million - 4.01%
WASH Washington Trust Bancorp, Inc. 636.8 million 11.24 6.71%
BUI BlackRock Utilities, Infrastructure & Power Opportunities Trust 636.1 million 7.05 9.77%
EICB Eagle Point Income Company Inc. 634.5 million - 7.76%
INN Summit Hotel Properties, Inc. 633.9 million - 5.47%
HRTG Heritage Insurance Holdings, Inc. 633.7 million 3.38 0.00%
UTZ Utz Brands, Inc. 632.2 million - 4.34%
CARE Carter Bankshares, Inc. 631.1 million 5.17 1.41%
BHFAM Brighthouse Financial, Inc. 630.8 million 0.96 10.50%
NXDT-PA NexPoint Diversified Real Estate Trust 629.8 million -3.97 10.49%
MCS The Marcus Corporation 629.4 million 41.64 1.57%
PDT John Hancock Premium Dividend Fund 628.6 million 9.67 7.75%
BOH-PA Bank of Hawaii Corporation 628.0 million 2.70 6.90%
OTCM OTC Markets Group Inc. 623.4 million 21.88 5.24%
CSV Carriage Services, Inc. 622.8 million 16.27 1.15%
TDUP ThredUp Inc. 622.0 million - 0.00%
HELE Helen of Troy Limited 621.7 million - 0.00%
0J0N.L Green Dot Corporation 620.0 million 10.72 0.00%
BTBT Bit Digital, Inc. 619.8 million - 0.00%
SPIR Spire Global, Inc. 619.5 million 12.08 0.00%
RGR Sturm, Ruger & Company, Inc. 618.2 million - 1.01%
BRMK Broadmark Realty Capital Inc. 617.7 million 9.28 12.02%
SIBN SI-BONE, Inc. 617.3 million - 0.00%
GOOD Gladstone Commercial Corporation 617.2 million 69.61 9.41%
CCSI Consensus Cloud Solutions, Inc. 616.3 million 6.21 0.00%
CLB Core Laboratories N.V. 615.9 million 23.33 0.30%
SRDX Surmodics, Inc. 614.6 million - 0.00%