United States dividend stocks

Showing 4401–4500 of 6437 stocks (page 45 of 65).

Stock Market Cap P/E Ratio Dividend Yield
FMIV Forum Merger IV Corporation 160.5 million 56.56 -
ONL Orion Properties Inc. 160.3 million - 2.84%
JELD JELD-WEN Holding, Inc. 160.2 million - 0.00%
CHCI Comstock Holding Companies, Inc. 160.2 million 8.62 0.00%
KVHI KVH Industries, Inc. 160.0 million - 0.00%
TUSK Mammoth Energy Services, Inc. 159.9 million - 0.00%
SLQT SelectQuote, Inc. 159.6 million - 0.00%
PLL Piedmont Lithium Inc. 159.1 million -2.84 0.00%
MBLU Morris State Bancshares, Inc. 158.7 million 8.08 2.41%
AMTX Aemetis, Inc. 158.3 million - 0.00%
AVTX Avalo Therapeutics, Inc. 157.7 million - 0.00%
EPM Evolution Petroleum Corporation 157.6 million - 10.91%
HCVI Hennessy Capital Investment Cor 157.4 million -10.24 0.00%
EMYB Embassy Bancorp, Inc. 157.2 million 12.16 2.26%
TLYS Tilly's, Inc. 156.4 million - 0.00%
ACR-PD ACRES Commercial Realty Corp. 156.1 million 43.16 8.74%
SRG Seritage Growth Properties 156.0 million - 0.00%
QRTEB Liberty Interactive Corporation 155.8 million -2.97 0.00%
BCV Bancroft Fund Ltd. 155.7 million 3.10 5.01%
RGP Resources Connection, Inc. 155.5 million - 7.73%
QTRX Quanterix Corporation 155.4 million - 0.00%
ENBP ENB Financial Corp 155.4 million 6.47 2.64%
SIDU Sidus Space, Inc. 155.3 million -1.51 0.00%
PLNHF Planet 13 Holdings Inc. 154.9 million - -
GALT Galectin Therapeutics Inc. 154.8 million - 0.00%
PIM Putnam Master Intermediate Income Trust 154.7 million 14.84 8.22%
ALPAU Alpha Healthcare Acquisition Corp. III 154.6 million - -
FGBI First Guaranty Bancshares, Inc. 154.4 million - 0.43%
SDC SmileDirectClub, Inc. 154.4 million -19.66 -
NNBR NN, Inc. 154.3 million - 0.00%
MBAC M3-Brigade Acquisition II Corp. 153.9 million 66.19 -
EBIX Ebix, Inc. 153.9 million 31.13 6.45%
SELB Selecta Biosciences, Inc. 153.4 million 10.41 -
GTACU Global Technology Acquisition Corp. I 153.3 million 26.65 -
BANX ArrowMark Financial Corp. 153.2 million 7.94 10.71%
BLNGU Belong Acquisition Corp. 153.1 million 39.73 -
ENERU Accretion Acquisition Corp. 152.9 million - -
SAL Salisbury Bancorp, Inc. 152.7 million 10.56 2.30%
MHF Western Asset Municipal High Income Fund Inc. 152.1 million 38.83 5.96%
SRG-PA Seritage Growth Properties 151.9 million - 8.29%
AVACU Avalon Acquisition Inc. 151.7 million 31.01 -
ASRT Assertio Holdings, Inc. 151.6 million - 0.00%
0LP5.L Veritone, Inc. 151.5 million -1.50 0.00%
MCCK Mestek, Inc. 151.4 million 14.60 2.29%
ROSS Ross Acquisition Corp II 151.4 million 57.89 0.00%
DIBS 1stdibs.Com, Inc. 150.5 million - 0.00%
ANZU Anzu Special Acquisition Corp I 150.4 million 114.33 -
SAMAU Schultze Special Purpose Acquisition Corp. II 150.2 million - -
FBIP FNB Bancorp, Inc. 150.1 million - 6.39%
VXRT Vaxart, Inc. 150.1 million 4.31 0.00%
NSTD Northern Star Investment Corp. IV 149.8 million 43.92 -
PEPLU PepperLime Health Acquisition Corporation 149.7 million - -
BFIN BankFinancial Corporation 149.5 million 63.16 0.00%
ORMP Oramed Pharmaceuticals Inc. 149.4 million 2.26 6.85%
UNCY Unicycive Therapeutics, Inc. 148.7 million - 0.00%
OCAXU OCA Acquisition Corp. 148.6 million 32.23 -
KRNLU Kernel Group Holdings, Inc. 148.5 million 14.89 -
SEVN Seven Hills Realty Trust 148.3 million 9.26 12.90%
PFD Flaherty & Crumrine Preferred Income Fund Inc. 147.8 million 12.24 6.95%
CNDB Concord Acquisition Corp III 147.7 million 66.94 0.00%
ZOM Zomedica Corp. 147.6 million - 0.00%
BSGM BioSig Technologies, Inc. 147.6 million -4.49 0.00%
SPE Special Opportunities Fund, Inc. 147.2 million 5.09 19.45%
DOMO Domo, Inc. 147.2 million - 0.00%
MRSN Mersana Therapeutics, Inc. 147.0 million -2.11 0.00%
AACIU Armada Acquisition Corp. I 146.8 million - -
ARC ARC Document Solutions, Inc. 146.7 million 30.82 5.92%
MPA BlackRock MuniYield Pennsylvania Quality Fund 146.5 million -19.31 5.04%
EPSN Epsilon Energy Ltd. 146.1 million - 4.29%
RAIL FreightCar America, Inc. 145.7 million 11.63 0.00%
MITAU Coliseum Acquisition Corp. 145.7 million 20.08 -
DHX DHI Group, Inc. 145.6 million - 0.00%
MSD Morgan Stanley Emerging Markets Debt Fund, Inc. 145.5 million 9.41 9.04%
CNTB Connect Biopharma Holdings Limited 145.4 million - 0.00%
LODE Comstock Inc. 145.4 million - 0.00%
DMF BNY Mellon Municipal Income, Inc. 144.9 million -87.25 0.00%
SLBK Skyline Bankshares, Inc. 144.6 million 8.31 2.24%
WHF WhiteHorse Finance, Inc. 143.9 million 17.66 15.02%
0UNL.L NEKTAR THERAPEUTICS NEKTAR THER 143.3 million -0.27 0.00%
DNIF Dividend and Income Fund 143.2 million 5.35 9.06%
HEQ John Hancock Hedged Equity & Income Fund 143.2 million 9.41 8.45%
EVG Eaton Vance Short Duration Diversified Income Fund 143.2 million 9.74 8.40%
NFE New Fortress Energy Inc. 142.9 million - 79.97%
HCAT Health Catalyst, Inc. 142.6 million - 0.00%
AMWL American Well Corporation 142.0 million - 0.00%
LCA Landcadia Holdings IV, Inc. 142.0 million -345.67 -
MVIS MicroVision, Inc. 141.6 million - 0.00%
WINVR WinVest Acquisition Corp. 141.5 million - -
IHD Voya Emerging Markets High Dividend Equity Fund 141.0 million 6.97 8.30%
AXR AMREP Corporation 140.5 million 11.68 0.00%
EMAN eMagin Corporation 140.2 million -12.08 0.00%
RMBI Richmond Mutual Bancorporation, Inc. 140.0 million 11.62 5.24%
FFDF FFD Financial Corporation 140.0 million 10.54 2.86%
NRO Neuberger Real Estate Securities Income Fund Inc 139.7 million -16.83 12.73%
SBFG SB Financial Group, Inc. 139.4 million 9.70 2.79%
FNWD Finward Bancorp 139.4 million 13.25 1.12%
BYRN Byrna Technologies Inc. 138.8 million 16.64 0.00%
GNT GAMCO Natural Resources, Gold & Income Trust 138.7 million 6.29 8.40%
DCF Dreyfus Alcentra Global Credit 138.5 million 6.59 0.00%
CGO Calamos Global Total Return Fund 138.3 million 5.12 6.82%