United States dividend stocks

Showing 3301–3400 of 6437 stocks (page 34 of 65).

Stock Market Cap P/E Ratio Dividend Yield
NPCE NeuroPace, Inc. 541.4 million - 0.00%
MLR Miller Industries, Inc. 541.1 million 34.87 1.73%
BIT BlackRock Multi-Sector Income Trust 540.2 million 9.27 11.77%
BBCP Concrete Pumping Holdings, Inc. 539.7 million 76.50 0.00%
ZEUS Olympic Steel, Inc. 539.0 million 40.91 0.00%
CRD-A Crawford & Company 538.5 million 27.75 2.74%
VKQ Invesco Municipal Trust 537.3 million - 7.76%
DNA Ginkgo Bioworks Holdings, Inc. 537.0 million - 0.00%
BWB Bridgewater Bancshares, Inc. 536.8 million 10.55 0.00%
ZIMV ZimVie Inc. 535.7 million - 0.00%
OSPN OneSpan Inc. 535.3 million 6.52 3.60%
CIR CIRCOR International, Inc. 535.0 million 38.89 0.20%
CPS Cooper-Standard Holdings Inc. 534.1 million - 0.00%
ACRS Aclaris Therapeutics, Inc. 533.0 million - 0.00%
SHCR Sharecare, Inc. 531.8 million - 0.00%
MBUU Malibu Boats, Inc. 531.6 million - 0.00%
DSU BlackRock Debt Strategies Fund, Inc. 531.0 million 12.44 12.18%
DRQ Dril-Quip, Inc. 530.9 million - 0.00%
ABML American Battery Technology Company 530.7 million - -
CABA Cabaletta Bio, Inc. 529.9 million - 0.00%
UNTY Unity Bancorp, Inc. 529.8 million 9.17 1.14%
NRIM Northrim BanCorp, Inc. 529.4 million 8.81 2.69%
TFINP Triumph Financial, Inc. 529.3 million - 7.99%
SOI Solaris Oilfield Infrastructure 528.0 million 18.18 0.04%
BWEL JG Boswell Company 527.4 million - 3.20%
RILYP BRC Group Holdings, Inc. - Depositary Shares, each representing a 1/1000th fractional interest in a share of Series A Cumulative Perpetual Preferred Stock 525.8 million 1.69 2.53%
ATROB Astronics Corporation 525.6 million 5.71 4.34%
HQL Tekla Life Sciences Investors 525.1 million 5.77 11.81%
FFIC Flushing Financial Corporation 524.2 million 16.11 7.11%
ETD Ethan Allen Interiors Inc. 522.9 million 13.18 8.81%
XOMA XOMA Royalty Corp. 522.8 million 26.53 5.18%
HONE HarborOne Bancorp, Inc. 522.2 million 18.62 2.89%
0IVR.L Gladstone Investment Corporation 521.0 million 4.45 10.93%
IQI Invesco Quality Municipal Income Trust 520.9 million - 7.69%
WIW Western Asset Inflation-Linked Opportunities & Income Fund 518.8 million 12.15 8.84%
AGS PlayAGS, Inc. 518.4 million 10.77 0.00%
HVT-A Haverty Furniture Companies, Inc. 518.1 million 8.33 3.47%
PBPB Potbelly Corporation 518.0 million 48.91 0.00%
TASK TaskUs, Inc. 517.8 million 5.15 63.59%
BME BlackRock Health Sciences Trust 516.2 million -21.21 7.87%
GUG Guggenheim Active Allocation Fund 516.0 million 12.44 9.11%
RILYL BRC Group Holdings, Inc. - Depositary Shares, each representing a 1/1000th fractional interest in a share of Series B Cumulative Perpetual Preferred Stock 515.6 million 1.68 2.76%
CLDT Chatham Lodging Trust 515.6 million 494.50 3.35%
TRC Tejon Ranch Co. 515.5 million 321.50 0.00%
ADV Advantage Solutions Inc. 515.2 million - 0.00%
FLGT Fulgent Genetics, Inc. 515.2 million - 0.00%
CARS Cars.com Inc. 514.9 million 25.42 0.00%
DPG Duff & Phelps Utility and Infrastructure Fund Inc. 514.1 million 6.33 5.96%
OLP One Liberty Properties, Inc. 513.3 million 18.87 7.65%
CBNK Capital Bancorp, Inc. 512.7 million 9.41 1.52%
GOGO Gogo Inc. 512.6 million 41.50 0.00%
BGY BlackRock Enhanced International Dividend Trust 512.0 million 45.65 9.05%
NXJ Nuveen New Jersey Quality Municipal Income Fund 511.7 million -25.69 7.59%
BSRR Sierra Bancorp 511.2 million 10.69 2.61%
VCV Invesco California Value Municipal Income Trust 510.9 million - 7.29%
FIP FTAI Infrastructure Inc. 510.5 million - 2.78%
EBF Ennis, Inc. 509.9 million 12.72 4.96%
SLGCW SomaLogic, Inc. 509.9 million -0.29 -
MCBC Macatawa Bank Corporation 509.2 million 54.89 2.43%
AMNB American National Bankshares Inc. 507.7 million 18.25 2.52%
CRD-B Crawford & Company 507.5 million 26 2.91%
OIS Oil States International, Inc. 507.4 million - 0.00%
THW Abrdn World Healthcare Fund 505.9 million 9.31 11.17%
BGB Blackstone/GSO Strategic Credit Fund 504.6 million 10.85 8.58%
BLE BlackRock Municipal Income Trust II 504.0 million -13.89 6.14%
CCV Churchill Capital Corp V 503.5 million 94.50 4.96%
SSTK Shutterstock, Inc. 503.3 million - 9.85%
TAST Carrols Restaurant Group, Inc. 502.5 million 157 0.84%
NGS Natural Gas Services Group, Inc. 502.3 million 24.65 0.90%
KRNY Kearny Financial Corp. 502.2 million 15.52 5.51%
MCVT Mill City Ventures III, Ltd. 501.7 million 25.46 0.00%
RPD Rapid7, Inc. 501.2 million 19.71 0.00%
DBIN Dacotah Banks, Inc. 501.1 million 18.48 1.51%
VLCN Volcon, Inc. 500.8 million -0.01 0.00%
CFIVU CF Acquisition Corp. IV 500.3 million 105.35 -
TREE LendingTree, Inc. 500.2 million 3.07 0.00%
CHCT Community Healthcare Trust Incorporated 499.7 million 146.50 10.89%
IPI Intrepid Potash, Inc. 499.4 million 39.41 0.00%
RBBN Ribbon Communications Inc. 498.5 million 15.71 0.00%
EIM Eaton Vance Municipal Bond Fund 498.3 million -33.37 6.28%
PCQ PIMCO California Municipal Income Fund 497.6 million -14.77 4.87%
HBCP Home Bancorp, Inc. 497.5 million 10.41 1.92%
ARVN Arvinas, Inc. 496.8 million - 0.00%
EBTC Enterprise Bancorp, Inc. 495.8 million 12.12 0.00%
TWI Titan International, Inc. 494.4 million - 0.00%
CVGW Calavo Growers, Inc. 494.0 million 27.30 3.62%
NVEC NVE Corporation 493.9 million 22.94 3.92%
ANGO AngioDynamics, Inc. 493.3 million -16.48 0.00%
0I04.L Clean Energy Fuels Corp. 493.1 million -4.60 0.00%
MYD BlackRock MuniYield Fund, Inc. 492.5 million -15.84 6.07%
HARP Harpoon Therapeutics, Inc. 492.3 million -14.67 0.00%
ETO Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund 491.6 million 5.41 6.93%
PWFL PowerFleet, Inc. 490.6 million - 0.00%
0K3W.L Myriad Genetics, Inc. 489.9 million -48.07 0.00%
FDMT 4D Molecular Therapeutics, Inc. 489.3 million - 0.00%
FFWM First Foundation Inc. 489.3 million - 0.00%
BHK BlackRock Core Bond Trust 489.1 million 16.22 9.91%
MHC-U.TO Flagship Communities Real Estate Investment Trust 488.3 million 2.98 3.31%
FTHY First Trust High Yield Opportunities 2027 Term Fund 488.3 million 13.20 11.30%
SES SES AI Corporation 488.3 million - 0.00%