United States dividend stocks

Showing 3801–3900 of 6437 stocks (page 39 of 65).

Stock Market Cap P/E Ratio Dividend Yield
CORS Corsair Partnering Corporation 306.4 million 30.49 -
KFS Kingsway Financial Services Inc. 306.3 million -26.63 0.00%
FWRD Forward Air Corporation 305.8 million - 0.00%
XOMAO XOMA Corporation 305.8 million 25.29 8.26%
RPAY Repay Holdings Corporation 305.7 million - 0.00%
CHSCM CHS Inc. 305.2 million - 6.79%
VALU Value Line, Inc. 305.0 million 16.24 4.08%
NCA Nuveen California Municipal Value Fund 304.9 million -44.14 3.81%
NODK NI Holdings, Inc. 304.6 million 119.09 0.00%
RFI Cohen & Steers Total Return Realty Fund, Inc. 304.0 million 10.82 8.43%
DMAC DiaMedica Therapeutics Inc. 303.9 million - 0.00%
FGBIP First Guaranty Bancshares, Inc. 303.3 million 7.74 8.24%
CYFL Century Financial Corporation 302.7 million 8.29 3.03%
NBH Neuberger Municipal Fund Inc. 302.7 million 61.41 6.36%
ISTR Investar Holding Corporation 302.6 million 12.21 1.57%
ALIM Alimera Sciences, Inc. 302.4 million 5.30 0.00%
JMSB John Marshall Bancorp, Inc. 302.3 million 13.63 2.24%
SCPH scPharmaceuticals Inc. 302.2 million -3.13 0.00%
DSM BNY Mellon Strategic Municipal Bond Fund, Inc. 302.0 million -55.45 4.71%
DHCAU DHC Acquisition Corp. 301.7 million 44.33 -
ASLE AerSale Corporation 301.0 million 30.67 0.00%
CCLDP CareCloud, Inc. - 8.75% Series 300.9 million - 18.33%
ALCO Alico, Inc. 300.6 million - 0.49%
RCKT Rocket Pharmaceuticals, Inc. 300.3 million - 0.00%
NREF NexPoint Real Estate Finance, Inc. 300.2 million 5.36 12.55%
SFIGA STAR Financial Group, Inc. 300.2 million 8.18 1.53%
BKTI BK Technologies Corporation 299.5 million 23.04 0.00%
LCTX Lineage Cell Therapeutics, Inc. 299.2 million - 0.00%
ARDC Ares Dynamic Credit Allocation Fund, Inc. 298.8 million 10.07 10.83%
CIX CompX International Inc. 298.7 million 15.36 10.31%
HTIBP National Healthcare Properties, 298.7 million - 0.00%
LTRX Lantronix, Inc. 298.6 million - 0.00%
WNC Wabash National Corporation 298.5 million - 4.36%
ALTUU Altitude Acquisition Corp. 297.9 million 12.71 -
BRBS Blue Ridge Bankshares, Inc. 297.6 million 36.27 72.51%
FSBW FS Bancorp, Inc. 297.2 million 9.37 3.39%
TEI Templeton Emerging Markets Income Fund 297.1 million 5.71 18.76%
PNRG PrimeEnergy Resources Corporation 297.1 million 28.97 0.00%
UIS Unisys Corporation 296.7 million - 0.00%
JGH Nuveen Global High Income Fund 295.5 million 7.86 9.74%
ADTH AdTheorent Holding Company, Inc 295.4 million 38.43 0.00%
ELMD Electromed, Inc. 295.2 million 32.68 0.00%
GPACU Global Partner Acquisition Corp II 293.7 million 62.22 -
CSHX Cashmere Valley Bank 293.3 million 10.03 2.47%
PMO Putnam Municipal Opportunities Trust 292.4 million 60.39 4.53%
ACV Virtus Diversified Income & Convertible Fund 292.2 million 6.32 9.05%
SDSYA South Dakota Soybean Processors, LLC 292.0 million 13.81 12.50%
CFNB California First Leasing Corporation 291.8 million 5.29 1.23%
NCZ Virtus Convertible & Income Fund II 291.7 million 1.28 9.39%
FNKO Funko, Inc. 291.5 million - 0.00%
EXSR Exchange Bank (Santa Rosa, CA) 291.4 million 8.47 3.06%
NTG Tortoise Midstream Energy Fund, 291.2 million 4.02 0.00%
BNTC Benitec Biopharma Inc. 290.0 million - 0.00%
FVCB FVCBankcorp, Inc. 289.6 million 12.76 1.74%
NEN New England Realty Associates L 289.5 million 21.37 0.48%
NASB NASB Financial, Inc. 288.9 million 9.83 3.85%
NL NL Industries, Inc. 288.8 million - 9.81%
BGT BlackRock Floating Rate Income Trust 288.3 million 12.64 13.51%
ORGO Organogenesis Holdings Inc. 288.2 million - 0.00%
OIA Invesco Municipal Income Opportunities Trust 288.0 million -20.65 5.78%
TRUX Truxton Corporation 287.6 million 13.56 2.38%
TWIN Twin Disc, Incorporated 287.2 million 9.95 0.80%
EFT Eaton Vance Floating-Rate Income Trust 287.0 million 22.49 9.26%
MMD NYLI MacKay DefinedTerm Muni Opportunities Fund Shs of Beneficial Interest 287.0 million 157.10 4.91%
GSIT GSI Technology, Inc. 286.8 million - 0.00%
0I8A.L Denbury Inc. 286.8 million 0.39 -
RMM Rivernorth Managed Duration Municipal Income Fund Inc. 286.6 million -21.89 7.28%
CCFN Muncy Columbia Financial Corporation 286.5 million 9.03 5.71%
BYM BlackRock Municipal Income Quality Trust 286.5 million -17.28 6.02%
ZIP ZipRecruiter, Inc. 286.4 million - 0.00%
GPP Green Plains Partners LP 286.4 million 7.60 14.67%
0KCC.L ONCOCYTE CORP ONCOCYTE ORD SHS 285.9 million -3.75 0.00%
BRW Saba Capital Income & Opportunities Fund 285.6 million 5.05 15.19%
MPAA Motorcar Parts of America, Inc. 285.6 million 24.34 0.00%
OVLY Oak Valley Bancorp 284.5 million 11.30 2.00%
DBL DoubleLine Opportunistic Credit Fund 284.1 million 13.67 9.19%
TRHC Tabula Rasa HealthCare, Inc. 284.0 million -12.95 -
NEO NeoGenomics, Inc. 283.9 million - 0.00%
FIF First Trust Energy Infrastructu 283.6 million -15.62 0.00%
ROC ROC Energy Acquisition Corp. 282.7 million 169.67 -
RC Ready Capital Corporation 282.5 million - 15.79%
RCKY Rocky Brands, Inc. 282.4 million 15.12 1.70%
CIO City Office REIT, Inc. 282.1 million -2.18 4.29%
GHL Greenhill & Co., Inc. 282.0 million 18.31 2.67%
BGH Barings Global Short Duration High Yield Fund 281.3 million 8.84 10.49%
MIN MFS Intermediate Income Trust 281.1 million 15.81 9.16%
MGU Macquarie Global Infrastructure 280.8 million 5.55 6.23%
EU.V enCore Energy Corp. 280.3 million - 0.00%
GAMCU Golden Arrow Merger Corp. 280.3 million 68.51 -
ARRWU Arrowroot Acquisition Corp. 279.5 million 41.90 -
LYEL Lyell Immunopharma, Inc. 279.3 million - 0.00%
NWFL Norwood Financial Corp. 279.0 million 10.68 4.17%
SENS Senseonics Holdings, Inc. 278.6 million - 0.00%
ESOA Energy Services of America Corporation 278.4 million 33.51 0.80%
EOD Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund 278.2 million 4.37 8.07%
OSUR OraSure Technologies, Inc. 278.1 million - 0.00%
MYFW First Western Financial, Inc. 278.0 million 18.45 0.00%
CTR ClearBridge MLP and Midstream T 277.2 million 3.09 0.00%
ACRE Ares Commercial Real Estate Corporation 276.9 million - 12.02%
FLWS 1-800-FLOWERS.COM, Inc. 276.8 million - 0.00%