United States dividend stocks

Showing 4001–4100 of 6437 stocks (page 41 of 65).

Stock Market Cap P/E Ratio Dividend Yield
MTACU MedTech Acquisition Corporation 249.0 million 44.51 -
FENC Fennec Pharmaceuticals Inc. 248.6 million - 0.00%
MGNX MacroGenics, Inc. 248.5 million - 0.00%
FCT First Trust Senior Floating Rate Income Fund II 248.4 million 15.02 12.18%
CLW Clearwater Paper Corporation 248.2 million - 0.00%
JAKK JAKKS Pacific, Inc. 247.9 million 32.90 4.62%
SOHOB Sotherly Hotels Inc. 247.4 million - 4.14%
TRDA Entrada Therapeutics, Inc. 247.3 million - 0.00%
MCR MFS Charter Income Trust 246.8 million 14.76 9.06%
ANGI Angi Inc. 246.5 million 12.19 0.00%
EIC Eagle Point Income Company Inc. 246.5 million - 14.54%
MMT MFS Multimarket Income Trust 246.1 million 11.29 8.98%
OB Outbrain Inc. 245.7 million -3.67 0.00%
CXDO Crexendo, Inc. 245.4 million 66.86 0.00%
MITT TPG Mortgage Investment Trust Inc 244.9 million 18.86 11.56%
TKNO Alpha Teknova, Inc. 244.5 million - 0.00%
ESCA Escalade, Incorporated 244.3 million 18.54 3.40%
PHT Pioneer High Income Fund, Inc. 244.1 million 12.24 6.61%
FIDI Fidelity International High Dividend ETF 244.0 million 16.06 4.10%
LTBR Lightbridge Corporation 244.0 million -15.81 0.00%
CFFI C&F Financial Corporation 243.8 million 8.82 2.48%
SCAQU Stratim Cloud Acquisition Corp. 243.8 million 8.94 -
HMPT Home Point Capital Inc. 243.6 million 4.32 2.38%
0R09.L SPLUNK INC SPLUNK ORD SHS 243.5 million -21.21 0.00%
PFMT Performant Financial Corporatio 243.5 million - 0.00%
APTM Alpha Partners Technology Merger Corp. 243.2 million 35.57 0.00%
THRD Third Harmonic Bio, Inc. 242.8 million -4.34 0.00%
SLVRU SILVERspac Inc. 242.8 million 47.13 -
HWELU Healthwell Acquisition Corp. I 242.3 million 36.80 -
MNTK Montauk Renewables, Inc. 242.0 million 145 0.00%
SNLC Security National Corporation 240.7 million 75.65 1.54%
FOSL Fossil Group, Inc. 240.5 million - 0.00%
MPRA Mercato Partners Acquisition Corporation 240.1 million 269.00 -
PVBC Provident Bancorp, Inc. 240.1 million 18.24 0.00%
GER Goldman Sachs MLP Energy Renais 240.0 million 3.29 6.04%
BPRN Princeton Bancorp, Inc. 239.9 million 12.49 3.83%
REFI Chicago Atlantic Real Estate Finance, Inc. 239.6 million 7.83 16.64%
LCNB LCNB Corp. 239.6 million 9.85 5.23%
HYI Western Asset High Yield Defined Opportunity Fund Inc. 238.9 million 14.72 10.82%
FSFG First Savings Financial Group, Inc. 238.4 million 10.23 1.85%
RGCO RGC Resources, Inc. 237.1 million 17.26 3.73%
LFMD LifeMD, Inc. 236.5 million - 0.00%
LGI Lazard Global Total Return and Income Fund, Inc. 236.2 million 14.36 9.85%
FTF Franklin Limited Duration Income Trust 235.6 million 12.64 12.66%
AREC American Resources Corporation 235.3 million - 0.00%
CVCY Central Valley Community Bancorp 235.3 million 8.14 2.47%
LMNR Limoneira Company 235.0 million - 1.73%
LICT LICT Corp. 234.9 million 19.27 0.00%
JRS Nuveen Real Estate Income Fund 234.6 million 15.92 8.37%
PSF Cohen & Steers Select Preferred and Income Fund, Inc. 234.3 million 9.81 7.76%
IMAQU International Media Acquisition Corp. 234.2 million - -
FCCO First Community Corporation 234.1 million 11.84 2.09%
IMAQR International Media Acquisition 233.9 million - 0.00%
CNTHN The Connecticut Light and Power Company 233.9 million 0.52 6.32%
HIE Miller/Howard High Income Equit 233.6 million 12.25 0.00%
AFT Apollo Senior Floating Rate Fun 233.6 million 6.49 0.10%
AVNW Aviat Networks, Inc. 233.4 million 22.91 0.00%
EVM Eaton Vance California Municipal Bond Fund 233.4 million -105.11 4.85%
TMCI Treace Medical Concepts, Inc. 233.3 million - 0.00%
ARL American Realty Investors, Inc. 232.6 million 47.50 0.00%
CVLY Codorus Valley Bancorp, Inc 232.3 million 10.45 2.83%
FBRX Forte Biosciences, Inc. 231.8 million - 0.00%
OPP RiverNorth/DoubleLine Strategic Opportunity Fund, Inc. 231.5 million 7.96 14.81%
NUO Nuveen Ohio Quality Municipal Income Fund 231.1 million 17.82 4.53%
POWW Outdoor Holding Company 231.1 million - 0.00%
FATE Fate Therapeutics, Inc. 230.8 million - 0.00%
PROM Propel Media, Inc. 230.0 million 2.09 -
RNA Avidity Biosciences, Inc. 229.9 million - 0.00%
MITT-PA AG Mortgage Investment Trust, Inc. 229.8 million 14.65 9.46%
MVT BlackRock MuniVest Fund II, Inc. 229.4 million -15.06 5.89%
MITT-PB AG Mortgage Investment Trust, Inc. 229.2 million 14.55 9.21%
SLRN Acelyrin, Inc. 229.2 million -0.84 0.00%
VABK Virginia National Bankshares Corporation 229.1 million 11.12 3.41%
LOVE The Lovesac Company 228.9 million 62.56 0.00%
SRV NXG Cushing Midstream Energy Fund 228.6 million 400 11.02%
PWOD Penns Woods Bancorp, Inc. 228.4 million 10.75 4.27%
MQT BlackRock MuniYield Quality Fund II, Inc. 228.1 million -15.14 5.94%
MFIN Medallion Financial Corp. 228.0 million 6.53 5.86%
TWCB Bilander Acquisition Corp. 227.8 million 256 -
LFACU LF Capital Acquisition Corp. II 227.3 million - -
OVBC Ohio Valley Banc Corp. 227.1 million 12.98 1.95%
CFIV CF Acquisition Corp. IV 226.9 million 539 -
HUMA Humacyte, Inc. 226.8 million - 0.00%
BOAC Bluescape Opportunities Acquisition Corp. 226.5 million 27.86 -
EVI EVI Industries, Inc. 226.2 million 38.58 1.88%
SMRT SmartRent, Inc. 225.6 million - 0.00%
SOHON Sotherly Hotels Inc. 225.5 million - 4.69%
ARBGU Aequi Acquisition Corp. 225.4 million 35.26 -
NPV Nuveen Virginia Quality Municipal Income Fund 225.4 million -146.87 6.42%
PEBK Peoples Bancorp of North Carolina, Inc. 224.6 million 10.42 2.38%
MRBK Meridian Corporation 224.6 million 8.79 2.81%
IKT Inhibikase Therapeutics, Inc. 224.5 million - 0.00%
AGM-PE Federal Agricultural Mortgage Corporation 224.4 million 1.89 6.98%
NVRO Nevro Corp. 224.1 million -1.91 0.00%
SPOK Spok Holdings, Inc. 223.7 million 18.42 11.67%
PMX PIMCO Municipal Income Fund III 223.5 million -74.22 5.93%
KINS Kingstone Companies, Inc. 223.5 million 6.62 1.30%
PIA.AX Pengana International Equities Limited 223.3 million 30.63 4.45%
MUE BlackRock MuniHoldings Quality Fund II, Inc. 222.9 million -14.74 6.02%
TPVG TriplePoint Venture Growth BDC Corp. 222.9 million 5.35 17.12%