United States dividend stocks

Showing 3901–4000 of 6437 stocks (page 40 of 65).

Stock Market Cap P/E Ratio Dividend Yield
WAVC Waverley Capital Acquisition Corp. 1 276.1 million 43.46 -
EDIT Editas Medicine, Inc. 276.1 million - 0.00%
FDBC Fidelity D & D Bancorp, Inc. 276.0 million 8.95 3.55%
PTLO Portillo's Inc. 275.8 million 20.48 0.00%
BRT BRT Apartments Corp. 275.6 million - 6.83%
ZNTL Zentalis Pharmaceuticals, Inc. 275.5 million - 0.00%
ARMP Armata Pharmaceuticals, Inc. 275.3 million - 0.00%
HCKT The Hackett Group, Inc. 275.3 million 19.94 4.39%
XFLT XAI Octagon Floating Rate & Alternative Income Term Trust 275.2 million 19.50 21.03%
BLFY Blue Foundry Bancorp 274.9 million - 0.00%
JCE Nuveen Core Equity Alpha Fund 274.3 million 7.10 8.06%
APTMU Alpha Partners Technology Merger Corp. 274.0 million 967.27 -
AVAC Avalon Acquisition Inc. 273.6 million 50.56 -
MBCN Middlefield Banc Corp. 273.5 million 14.08 2.50%
MPX Marine Products Corporation 273.1 million 22.16 7.23%
LAW CS Disco, Inc. 272.6 million - 0.00%
KF The Korea Fund, Inc. 272.5 million 20.34 0.67%
ENTA Enanta Pharmaceuticals, Inc. 272.3 million - 0.00%
JUGGU Jaws Juggernaut Acquisition Corporation 271.9 million 23.11 -
TMKRU Priveterra Acquisition Corp. II 271.3 million 54.27 -
LRMR Larimar Therapeutics, Inc. 271.3 million - 0.00%
ADERU 26 Capital Acquisition Corp. 271.2 million 50.59 -
NXG NXG NextGen Infrastructure Income Fund 270.5 million 9.47 -
CDR-PB Cedar Realty Trust, Inc. 270.3 million - 9.20%
FC Franklin Covey Co. 269.7 million - 0.00%
FLIC The First of Long Island Corporation 269.2 million 16.49 6.92%
TG Tredegar Corporation 269.1 million 127.14 0.00%
WNEB Western New England Bancorp, Inc. 268.5 million 15.92 2.10%
ATOM Atomera Incorporated 268.5 million - 0.00%
ASYS Amtech Systems, Inc. 268.1 million 115.06 0.00%
NXDT NexPoint Diversified Real Estate Trust 267.4 million -2.03 11.61%
DISAU Disruptive Acquisition Corporation I 267.3 million 28.88 -
BKCC BlackRock Capital Investment Corporation 267.1 million 16.86 10.87%
SPPI Spectrum Pharmaceuticals, Inc. 266.9 million -2.93 0.00%
EGHT 8x8, Inc. 266.8 million 220 0.00%
PRLHU Pearl Holdings Acquisition Corp 266.5 million - -
PMM Putnam Managed Municipal Income Trust 266.4 million 35.61 5.11%
TSVT 2seventy bio, Inc. 266.1 million - 0.00%
TRTL TortoiseEcofin Acquisition Corp 264.4 million 43.80 0.00%
ATLO Ames National Corporation 264.0 million 11.82 2.95%
CABO Cable One, Inc. 263.8 million - 25.37%
EOT Eaton Vance National Municipal Opportunities Trust 263.1 million -136 4.87%
RLTY Cohen & Steers Real Estate Opportunities Income Fund 263.0 million 9.33 8.39%
FXNC First National Corporation 262.7 million 11.57 2.29%
HBB Hamilton Beach Brands Holding Company 262.6 million 9.19 2.49%
HMST HomeStreet, Inc. 262.4 million -1.88 0.00%
REI Ring Energy, Inc. 262.2 million - 0.00%
ACAQ Athena Consumer Acquisition Corp. 262.0 million 554.50 -
CIA Citizens, Inc. 261.9 million 13.71 0.00%
SITC SITE Centers Corp. 261.8 million 1.67 200.40%
SLAM Slam Corp. 261.6 million 139.44 0.00%
VHNA Vahanna Tech Edge Acquisition I Corp. 261.1 million 185.33 -
LOCC Live Oak Crestview Climate Acquisition Corp. 260.9 million 57.97 -
SVC Service Properties Trust 260.9 million - 2.55%
NUS Nu Skin Enterprises, Inc. 260.7 million 5.81 4.47%
SPCE Virgin Galactic Holdings, Inc. 260.4 million - 0.00%
ASUR Asure Software, Inc. 260.1 million - 0.00%
ENTFU Enterprise 4.0 Technology Acquisition Corp. 259.6 million - -
FCNCO First Citizens BancShares, Inc. 259.0 million 0.38 6.83%
CNDT Conduent Incorporated 259.0 million - 0.00%
VATE INNOVATE Corp. 258.9 million - 4.11%
INZY Inozyme Pharma, Inc. 258.2 million -2.38 0.00%
CNLHO The Connecticut Light and Power Company 258.0 million 0.52 5.75%
RCS PIMCO Strategic Income Fund, Inc. 257.8 million 8.20 8.79%
CDR-PC Cedar Realty Trust, Inc. 257.8 million - 8.65%
LPRO Open Lending Corporation 257.7 million - 0.00%
RELL Richardson Electronics, Ltd. 257.5 million 50.22 1.35%
VSTM Verastem, Inc. 257.2 million - 0.00%
FICV Frontier Investment Corp 256.8 million 69.60 -
SCAQ Stratim Cloud Acquisition Corp. 256.3 million 208.60 -
FUNC First United Corporation 256.1 million 9.53 2.62%
FTAAU FTAC Athena Acquisition Corp. 254.8 million 111.76 -
NGVC Natural Grocers by Vitamin Cottage, Inc. 254.6 million 15.32 3.16%
CDXS Codexis, Inc. 254.5 million - 0.00%
ERC Allspring Multi-Sector Income Fund 254.4 million 9.52 9.57%
CNTHO The Connecticut Light and Power Company 254.4 million 0.56 6.68%
USAU U.S. Gold Corp. 254.3 million -11.20 0.00%
MDV-PA Modiv Inc. 254.2 million - 7.37%
BKT BlackRock Income Trust, Inc. 253.8 million 12.30 10.12%
CFFEU CF Acquisition Corp. VIII 253.4 million 117.12 -
ALT Altimmune, Inc. 253.3 million - 0.00%
SBT Sterling Bancorp, Inc. 253.1 million 121 0.00%
PNNT PennantPark Investment Corporation 253.0 million 20.43 24.77%
BRY Berry Corporation 253.0 million -2.79 3.68%
AVXL Anavex Life Sciences Corp. 253.0 million - 0.00%
GLO Clough Global Opportunities Fund 252.7 million 5.25 10.48%
SCM Stellus Capital Investment Corporation 252.7 million 11.02 17.18%
PCYO Pure Cycle Corporation 252.6 million 19.06 0.00%
NUW Nuveen AMT-Free Municipal Value Fund 252.4 million 28.76 4.14%
RIV RiverNorth Opportunities Fund, Inc. 251.7 million 7.22 13.26%
FCNCP First Citizens BancShares, Inc. 251.5 million 0.38 6.73%
FRAF Franklin Financial Services Corporation 251.5 million 12.09 2.38%
PFTAU Perception Capital Corp. III 251.3 million - -
OPGN OpGen, Inc. 251.2 million 137.50 0.00%
HWBK Hawthorn Bancshares, Inc. 251.1 million 10.17 2.22%
AKBA Akebia Therapeutics, Inc. 250.9 million - 0.00%
EAF GrafTech International Ltd. 250.3 million - 0.00%
SGHT Sight Sciences, Inc. 250.3 million - 0.00%
CPZ Calamos Long/Short Equity & Dynamic Income Term Trust 249.7 million 13.67 13.21%
STRO Sutro Biopharma, Inc. 249.6 million - 0.00%