United States dividend stocks

Showing 3701–3800 of 6437 stocks (page 38 of 65).

Stock Market Cap P/E Ratio Dividend Yield
CHMG Chemung Financial Corporation 337.5 million 17.49 1.91%
CHSCP CHS Inc. 337.4 million - 7.28%
LVOXU LiveVox Holdings, Inc. 336.7 million -2.77 -
FNLC The First Bancorp, Inc. 336.1 million 8.93 4.96%
KROS Keros Therapeutics, Inc. 336.0 million - 0.00%
BFZ BlackRock California Municipal Income Trust 335.8 million -14.14 5.46%
DMRC Digimarc Corporation 335.2 million - 0.00%
PALI Palisade Bio, Inc. 335.0 million 15.25 0.00%
ZTAQU Zimmer Energy Transition Acquisition Corp. 335.0 million - -
USOI UBS AG ETRACS Crude Oil Shares Covered Call ETNs due April 24, 2037 335.0 million - 38.58%
MSB Mesabi Trust 334.8 million 22.90 3.76%
CION CION Investment Corporation 334.6 million - 18.15%
BFCC BankFirst Capital Corporation 333.1 million 11.42 1.67%
NCMI National CineMedia, Inc. 332.9 million - 3.38%
USNA USANA Health Sciences, Inc. 332.9 million 34.86 0.00%
LITTU Logistics Innovation Technologies Corp. 332.4 million - -
USX U.S. Xpress Enterprises, Inc. 331.9 million 4.36 -
ABEO Abeona Therapeutics Inc. 331.7 million 5.54 0.00%
PPT Putnam Premier Income Trust 331.6 million 13.62 8.99%
SPXX Nuveen S&P 500 Dynamic Overwrite Fund 331.3 million 10.48 7.33%
CCLP CSI Compressco LP 329.8 million -24.12 1.69%
6697.T Techpoint, Inc. 329.2 million 21.74 0.00%
NWBO Northwest Biotherapeutics, Inc. 328.7 million -3.73 0.00%
DNAD Social Capital Suvretta Holdings Corp. IV 328.1 million 51.75 -
UNTC Unit Corporation 327.7 million 5.09 15.10%
LANDM Gladstone Land Corporation 327.6 million -208.93 4.57%
RM Regional Management Corp. 327.6 million 7.07 3.37%
DNAB Social Capital Suvretta Holdings Corp. II 327.5 million 57.53 -
MASS 908 Devices Inc. 327.5 million - 0.00%
CAF Morgan Stanley China A Share Fund, Inc. 326.9 million 8.72 1.35%
WEYS Weyco Group, Inc. 326.9 million 12.75 9.01%
STRT Strattec Security Corporation 326.8 million 10.41 0.00%
GLSI Greenwich LifeSciences, Inc. 326.6 million - 0.00%
LNKB LINKBANCORP, Inc. 325.6 million 9.66 0.00%
PINE Alpine Income Property Trust, Inc. 324.9 million - 5.87%
DTOCU Digital Transformation Opportunities Corp. 323.8 million 111.87 -
AMNF Armanino Foods of Distinction, Inc. 323.2 million 19.82 1.83%
SLVR SILVERspac Inc. 323.1 million 30.82 -
ASG Liberty All-Star Growth Fund, Inc. 322.2 million 9.16 8.46%
NAUT Nautilus Biotechnology, Inc. 322.1 million - 0.00%
FINS Angel Oak Financial Strategies Income Term Trust 321.5 million 7.04 10.66%
CHSCO CHS Inc. 321.4 million - 7.52%
SLP Simulations Plus, Inc. 320.9 million - 1.51%
AFTR AfterNext HealthTech Acquisition Corp. 320.6 million 38.56 -
AFB AllianceBernstein National Municipal Income Fund, Inc. 319.9 million 90.75 5.06%
CPUH Compute Health Acquisition Corp. 319.9 million 32.50 -
RCBC River City Bank 319.8 million 7.19 0.66%
DENN Denny's Corporation 319.8 million 31.05 0.00%
TCI Transcontinental Realty Investors, Inc. 319.7 million 54.77 0.00%
CNTHP CONNECTICUT LIGHT & POWER CO 6. 319.7 million 0.69 0.00%
JRO Nuveen Floating Rate Income Opportunity Fund 319.5 million 9.85 9.88%
EWCZ European Wax Center, Inc. 319.1 million 29.10 0.00%
AAN Aarons Holdings Company, Inc. 318.3 million - 4.96%
ZUMZ Zumiez Inc. 317.7 million 25.11 0.00%
LGSTU Semper Paratus Acquisition Corporation 317.0 million - -
KMF Kayne Anderson NextGen Energy & Infrastructure, Inc. 316.9 million 4.42 8.98%
VGZ Vista Gold Corp. 316.8 million -40.14 0.00%
BGS B&G Foods, Inc. 316.6 million - 19.49%
OVID Ovid Therapeutics Inc. 316.5 million - 0.00%
KCLI Kansas City Life Insurance Company 316.4 million -8.73 1.96%
CNLPL The Connecticut Light and Power Company 316.2 million 0.71 6.18%
SIGA SIGA Technologies, Inc. 315.9 million 16.56 13.62%
PTRA Proterra Inc. 315.7 million 0.62 -
MIXT MiX Telematics Limited 315.6 million 30.87 1.69%
UP Wheels Up Experience Inc. 315.6 million -1.08 0.00%
HLLY Holley Inc. 315.4 million 13.60 0.00%
ZTR Virtus Total Return Fund Inc. 314.6 million 12.38 9.04%
RILY BRC Group Holdings, Inc. 314.5 million -2.33 5.90%
RGNX REGENXBIO Inc. 314.3 million - 0.00%
TTGT TechTarget, Inc. 314.1 million - 0.00%
TSBK Timberland Bancorp, Inc. 314.1 million 9.96 2.79%
CHSCL CHS Inc. 314.0 million - 7.33%
INN-PF Summit Hotel Properties, Inc. 313.1 million - 8.80%
TAL.TO PetroTal Corp. 313.1 million 4.36 8.65%
TCPC BlackRock TCP Capital Corp. 313.0 million - 26.81%
MFGI Merchants Financial Group, Inc. 312.8 million 8.95 2.22%
YGYIP Youngevity International, Inc. 312.4 million - 2031.25%
MHN BlackRock MuniHoldings New York Quality Fund, Inc. 311.8 million -11.33 5.99%
FEN 17547 311.4 million -26.66 0.07%
EFR Eaton Vance Senior Floating-Rate Trust 311.3 million 18.14 7.59%
PLMIU Plum Acquisition Corp. I 311.2 million 45.49 -
HCNEU JAWS Hurricane Acquisition Corporation 310.9 million 27.17 -
0KDU.L Beyond, Inc. 310.9 million 0.01 0.00%
JWSM Jaws Mustang Acquisition Corp. 310.7 million 52.10 0.00%
OFLX Omega Flex, Inc. 309.6 million 22.52 4.43%
ISSC Innovative Aerosystems, Inc. 309.5 million 16.76 0.00%
ITI Iteris, Inc. 309.5 million 239.67 0.00%
CZFS Citizens Financial Services, Inc. 309.4 million 7.69 3.10%
MBI MBIA Inc. 309.4 million - 131.69%
ISBA Isabella Bank Corporation 309.3 million 18.36 2.66%
CHSCN CHS Inc. 309.1 million - 7.05%
0L95.L Block, Inc. 308.9 million - -
NLCP NewLake Capital Partners, Inc. 308.7 million 12.25 11.47%
GATEU Marblegate Acquisition Corp. 308.5 million - -
FLXS Flexsteel Industries, Inc. 308.0 million 10.19 1.39%
SLNHP Soluna Holdings, Inc. 307.9 million - 0.00%
SDACU Sustainable Development Acquisition I Corp. 307.7 million 50.36 -
BIOS BioPlus Acquisition Corp. 307.5 million 51.40 -
XOMAP XOMA Corporation 307.1 million 25.27 8.47%
SMLR Semler Scientific, Inc. 306.8 million 3.91 0.00%