United States dividend stocks

Showing 5201–5300 of 6437 stocks (page 53 of 65).

Stock Market Cap P/E Ratio Dividend Yield
IROQ IF Bancorp, Inc. 50.3 million 15.30 2.85%
UEIC Universal Electronics Inc. 50.3 million - 0.00%
SBNY Signature Bank 50.1 million 0.04 198.33%
RCOI.L Riverstone Credit Opportunities Income Plc 50.1 million -10.50 49.47%
MBKL MBT Bancshares, Inc. 50.1 million 7.28 5.97%
BRACU Broad Capital Acquisition Corp 50.1 million -922.50 -
LRFC Logan Ridge Finance Corporation 50.0 million -6.92 8.11%
SWSS Clean Energy Special Situations Corp. 49.9 million 214 0.00%
LESL Leslie's, Inc. 49.9 million - 0.00%
ICCH ICC Holdings, Inc. 49.6 million 10.68 -
SPWH Sportsman's Warehouse Holdings, Inc. 49.6 million - 0.00%
MYO Myomo, Inc. 49.5 million - 0.00%
TACT TransAct Technologies Incorporated 49.3 million - 0.00%
MCAF Mountain Crest Acquisition Corp 49.2 million 90.33 0.00%
FBVI FCN Banc Corp. 49.2 million 5.94 4.77%
WRIV White River Bancshares Co 49.1 million 15 1.56%
BREZ Breeze Holdings Acquisition Cor 49.0 million -15.41 0.00%
MLPI Neos Mlp & Energy Infrastructure High Income ETF 48.9 million 18.49 0.00%
SACH Sachem Capital Corp. 48.9 million - 16.67%
FMY First Trust Mortgage Income Fund 48.9 million 11 6.85%
MVLY Mission Valley Bancorp 48.7 million 5.75 2.27%
BLUE bluebird bio, Inc. 48.7 million -0.24 0.00%
AGLE Spyre Therapeutics, Inc. 48.6 million -4.70 -
VOC VOC Energy Trust 48.6 million 6.92 14.16%
ROCL Roth CH Acquisition V Co. 48.6 million 216.20 0.00%
ESAC ESGEN Acquisition Corporation 48.6 million -12.15 0.00%
FGF FG Financial Group, Inc. 48.6 million -1.69 0.00%
MBNKP Medallion Bank 48.5 million -20.82 0.00%
WRLC Windrock Land Company 48.5 million - 2.50%
LOAN Manhattan Bridge Capital, Inc. 48.5 million 10.31 10.73%
DHACW Digital Health Acquisition Corp. Warrant 48.4 million - 0.00%
GROV Grove Collaborative Holdings, Inc. 48.3 million - 0.00%
IIPR-PA Innovative Industrial Properties, Inc. 48.3 million 4.95 9.34%
MTRY Monterey Innovation Acquisition Corp. 48.3 million - -
TCBS Texas Community Bancshares, Inc. 48.3 million 19.36 1.61%
MIND MIND Technology, Inc. 48.3 million 33.19 0.00%
PRTS CarParts.com, Inc. 48.2 million - 0.00%
FMFP First Community Financial Corporation 48.1 million 11.81 3.76%
NXN Nuveen New York Select Tax-Free 47.6 million -37.66 4.18%
JRSH Jerash Holdings (US), Inc. 47.6 million 26.79 5.78%
MEOA Minority Equality Opportunities Acquisition Inc. 47.6 million 28.54 -
OTTW Ottawa Bancorp, Inc. 47.6 million 79.83 2.89%
FTFI First Berlin Bancorp, Inc. 47.5 million 5.93 1.19%
TURN 180 Degree Capital Corp. 47.5 million 15.83 0.00%
BDL Flanigan's Enterprises, Inc. 47.2 million 14.03 0.00%
NEFB Neffs Bancorp, Inc. 47.2 million 10.53 3.16%
IDXG Interpace Biosciences, Inc. 47.1 million -2.70 0.00%
WDFN Woodlands Financial Services Company 47.1 million 5.49 5.93%
PBBK PB Bankshares, Inc. 47.0 million 20.21 0.00%
ELOX Eloxx Pharmaceuticals, Inc. 47.0 million -0.10 0.00%
NSYS Nortech Systems Incorporated 46.8 million -9.90 0.00%
ACAC Acri Capital Acquisition Corpor 46.1 million 74.13 0.00%
XLO Xilio Therapeutics, Inc. 46.1 million - 0.00%
WINVU WinVest Acquisition Corp. 46.1 million - -
WINV WinVest Acquisition Corp. 46.0 million - -
LTRN Lantern Pharma Inc. 45.8 million - 0.00%
SOHO Sotherly Hotels Inc. 45.7 million -5.44 0.00%
DHAC Digital Health Acquisition Corp. 45.6 million - -
ANDC Andover Bancorp, Inc. 45.6 million 8.23 3.80%
FTEK Fuel Tech, Inc. 45.5 million - 0.00%
NMBF NMB FINL CORP 45.4 million - 0.00%
NICK Nicholas Financial, Inc. 45.2 million -1.35 0.00%
KALA KALA BIO, Inc. 45.2 million - 0.00%
APAC StoneBridge Acquisition Corporation 45.0 million 63.72 0.00%
MIFF Mifflinburg Bancorp, Inc. 45.0 million - 5.04%
CBAF CITBA Financial Corporation 44.9 million 6.55 4.11%
OFS OFS Capital Corporation 44.9 million - 30.45%
BTCM BIT Mining Limited 44.5 million -1.39 0.00%
PRPL Purple Innovation, Inc. 44.5 million - 0.00%
GOSS Gossamer Bio, Inc. 44.5 million - 0.00%
HGBL Heritage Global Inc. 44.5 million 13.22 0.00%
SRTS Sensus Healthcare, Inc. 44.4 million - 0.00%
NIDB Northeast Indiana Bancorp, Inc. 44.4 million 6.68 3.64%
SQCF Susquehanna Community Financial, Inc. 44.3 million 18.70 6.19%
MGTA Magenta Therapeutics, Inc. Common Stock 44.2 million -3.45 -
TSBA Touchstone Bankshares Inc. 44.2 million 10.89 0.00%
CFOK Community First Bancorporation 44.1 million 11.27 0.00%
WE WeWork Inc. 44.1 million - -
DUNE Dune Acquisition Corporation 44.0 million 26.66 -
RPHM Reneo Pharmaceuticals, Inc. 43.8 million -0.74 0.00%
CMUV CMUV Bancorp 43.8 million 11.88 1.46%
RAIN Rain Oncology Inc. 43.7 million - -
VYGVF Voyager Digital Ltd. 43.6 million - -
MKTW MarketWise, Inc. 43.6 million 11.16 7.57%
FLNT Fluent, Inc. 43.4 million - 0.00%
WCRS Western Capital Resources, Inc. 43.3 million 4.09 2.11%
CYSM Community Bancorp of Santa Maria 43.2 million 12.05 1.50%
KBNTW Kubient, Inc. 43.2 million - -
NTRB Nutriband Inc. 43.2 million - 0.00%
NBO Neuberger Berman New York Municipal Fund, Inc. 43.1 million 14.63 3.43%
CREX Creative Realities, Inc. 42.5 million - 0.00%
AIB AIB Acquisition Corporation 42.4 million 41.25 0.00%
PPLL Peoples Ltd. 42.2 million 7.81 3.72%
NCAC Newcourt Acquisition Corp 42.1 million 36.85 -
NCACU Newcourt Acquisition Corp 42.1 million - -
SDIG Stronghold Digital Mining, Inc. 42.0 million - 0.00%
CCAI Cascadia Acquisition Corp. 42.0 million 35.86 -
WWR Westwater Resources, Inc. 42.0 million - 0.00%
ADOC Edoc Acquisition Corp. 42.0 million -6.01 -
MACA Moringa Acquisition Corp 42.0 million 98.64 -