United States dividend stocks

Showing 4501–4600 of 6437 stocks (page 46 of 65).

Stock Market Cap P/E Ratio Dividend Yield
CLOER Clover Leaf Capital Corp. 138.2 million - 0.00%
CLOEU Clover Leaf Capital Corp. 138.2 million - -
AJX Great Ajax Corp. 138.1 million - 10.86%
BGX Blackstone / GSO Long-Short Credit Income Fund 138.1 million 11.20 9.03%
BOOM DMC Global Inc. 138.0 million - 0.00%
FRXB Forest Road Acquisition Corp. II 137.9 million 29.79 -
ALSAU Alpha Star Acquisition Corporation 137.7 million 35.59 -
FORR Forrester Research, Inc. 137.4 million - 0.00%
PZC PIMCO California Municipal Income Fund III 137.2 million 25.42 5.80%
DWSN Dawson Geophysical Company 136.9 million 24.44 0.00%
NCSM NCS Multistage Holdings, Inc. 136.5 million 7.11 0.00%
HURC Hurco Companies, Inc. 136.2 million -7.44 0.76%
GRX The Gabelli Healthcare & Wellness Trust 136.2 million -489 7.51%
SOMC Southern Michigan Bancorp, Inc. 136.1 million 9.25 2.19%
FCRD First Eagle Alternative Capital BDC, Inc. 135.8 million 33.71 8.94%
ACR ACRES Commercial Realty Corp. 135.4 million 754.67 0.00%
CSTA Constellation Acquisition Corp I 135.3 million 138.13 -
BKUT Bank of Utica 135.0 million - 3.81%
CIK Credit Suisse Asset Management Income Fund, Inc. 135.0 million 10.68 10.67%
TLGA TLG Acquisition One Corp. 134.9 million - -
MED Medifast, Inc. 134.5 million - 0.00%
AMAOU Royalty Management Holding Corporation 134.5 million - -
TPRP Tower Properties Company 134.3 million 452.02 4.48%
PIAI Prime Impact Acquisition I 134.1 million 178.33 -
AGEN Agenus Inc. 134.1 million 1.75 0.00%
IRRX Integrated Rail and Resources A 134.0 million -1115 0.00%
PCTI PCTEL, Inc. 133.7 million 30.04 3.19%
CPSI Computer Programs and Systems, Inc. 133.7 million -167 0.00%
BWG Legg Mason BW Global Income Opportunities Fund Inc. 133.2 million 8.79 12.11%
CMRB First Commerce Bank 133.0 million 30.48 1.56%
RMGC RMG Acquisition Corp. III 132.8 million -21.33 -
BHR-PD Braemar Hotels & Resorts Inc. 132.4 million - 12.15%
FZT FAST Acquisition Corp. II 131.9 million 519.50 -
AAIC Arlington Asset Investment Corp. 131.7 million 16.56 5.87%
DHCA DHC Acquisition Corp. 131.3 million 106 -
LIFE aTyr Pharma, Inc. 131.1 million -1.77 0.00%
CHGG Chegg, Inc. 131.0 million - 0.00%
PHYT Pyrophyte Acquisition Corp. 130.7 million 57.70 0.00%
BTA BlackRock Long-Term Municipal Advantage Trust 130.6 million -14.95 6.11%
GFX Golden Falcon Acquisition Corp. 130.0 million 30.70 -
MRTI Maxus Realty Trust, Inc. 129.7 million - 6.55%
EML The Eastern Company 129.7 million 26.04 2.05%
FTCO Fortitude Gold Corporation 129.4 million -570 2.52%
JWAC Jupiter Wellness Acquisition Corp. 129.3 million 94.17 -
SKLZ Skillz Inc. 129.2 million - 0.00%
SUNL Sunlight Financial Holdings Inc. 128.6 million - -
JHS John Hancock Income Securities Trust 128.6 million 11.69 5.49%
NGM NGM Biopharmaceuticals, Inc. 128.5 million -0.83 0.00%
TPZ Tortoise Electrification Infrastructure ETF 128.5 million 20.63 3.11%
TRT Trio-Tech International 128.1 million -247.50 0.00%
GATE Marblegate Acquisition Corp. 128.0 million -29.86 0.00%
KCGI Kensington Capital Acquisition 127.8 million 18.62 0.00%
IMUX Immunic, Inc. 127.4 million - 0.00%
ACAHU Atlantic Coastal Acquisition Corp. 127.2 million -2090 -
CNRD Conrad Industries, Inc. 126.7 million 325 0.00%
TYCB Calvin B. Taylor Bankshares, Inc. 126.7 million 9.16 2.96%
PTRS Partners Bancorp 126.6 million 7.91 2.27%
MCACU Monterey Capital Acquisition Corporation 126.4 million - -
SZZLU Sizzle Acquisition Corp. 126.3 million - -
JUN Juniper II Corp. 126.1 million 33.09 -
ROSEU Rose Hill Acquisition Corporation 126.1 million 12.22 -
HMNF HMN Financial, Inc. 126.0 million 23.72 1.24%
LKCRU Lake Area Corn Processors, LLC 125.9 million 6.97 16.47%
GPAC Global Partner Acquisition Corp II 125.9 million 19.66 -
BDSX Biodesix, Inc. 125.8 million - 0.00%
LFVN LifeVantage Corporation 125.8 million 11.42 1.86%
OLITU OmniLit Acquisition Corp. 125.8 million - -
TALS Talaris Therapeutics, Inc. 125.7 million - -
WISH ContextLogic Inc. 125.6 million -0.42 0.00%
SUG.V SUCRO LIMITED 125.4 million - 0.00%
WEA Western Asset Premier Bond Fund 125.2 million 10.84 7.96%
RMMZ RiverNorth Managed Duration Municipal Income Fund II, Inc. 125.2 million -20.85 7.51%
KNTE Kinnate Biopharma Inc. 125.0 million -0.84 0.00%
MNAT Marquette National Corporation 124.9 million 7.03 4.26%
VFL abrdn National Municipal Income Fund 124.9 million -24.26 5.90%
PLMI Plum Acquisition Corp. I 124.7 million 366 0.00%
BMAC Black Mountain Acquisition Corp. 124.7 million 95.73 -
SIF SIFCO Industries, Inc. 124.5 million 25.65 0.00%
BSET Bassett Furniture Industries, Incorporated 123.8 million 22.61 5.59%
AOUT American Outdoor Brands, Inc. 123.6 million - 0.00%
PHD Pioneer Floating Rate Fund, Inc. 123.5 million 14.90 9.02%
PNBK Patriot National Bancorp, Inc. 123.5 million 53.50 0.00%
LSBK Lake Shore Bancorp, Inc. 123.3 million 16.03 2.30%
VCSA Vacasa, Inc. 123.3 million - 0.00%
TBCP Thunder Bridge Capital Partners III Inc. 122.6 million 80.38 -
MCN XAI Madison Equity Premium Income Fund 122.5 million 19.71 12.41%
DMO Western Asset Mortgage Opportunity Fund Inc. 122.2 million 8.23 13.98%
MXCT MaxCyte, Inc. 122.1 million - 0.00%
CBBI CBB Bancorp, Inc. 121.8 million 5.25 4.35%
NMT Nuveen Massachusetts Quality Municipal Income Fund 121.4 million -197.83 5.61%
GGZ The Gabelli Global Small and Mid Cap Value Trust 121.4 million 5.56 4.70%
GHI Greystone Housing Impact Investors LP 121.3 million - 19.22%
TTCF Tattooed Chef, Inc. 121.2 million 1273.13 -
FMBM F & M Bank Corp. 121.0 million 10.73 3.06%
CHBH Croghan Bancshares, Inc. 120.9 million 9.68 3.97%
TWLV Twelve Seas Investment Company 120.3 million 98.18 0.00%
VBFC Village Bank and Trust Financia 120.2 million 17.10 0.00%
0R1C.L GoPro, Inc. 120.0 million 0.35 0.00%
SVT Servotronics, Inc. 120.0 million -120.36 0.00%
CPTK Crown Proptech Acquisitions 119.6 million 28.92 0.00%