Dividend Stock Screener

Filter dividend payers by yield, payout, payment frequency, price, and our proprietary Rank. Click any column header to sort.

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Name Dividend Last Yield Payout Rank S.A.F.E.
UWMC UWM Holdings Corporation $0.1000 Q $2.08 19.23% 2617.22% 23.6 -
TPSRF Topsports International Holdings Limited $0.0219 S $0.21 21.02% 132.17% 24.6 -
HSHP Himalaya Shipping Ltd. $0.2200 M $15.28 17.28% 156.44% 24.8 -
ELMUY Elisa Oyj $0.3482 Q $25.60 0.82% 111.52% 24.8 -
RMCO Royalty Management Holding Corporation $0.0025 Q $2.35 0.43% -15.43% 26.0 -
QUBHF Qube Holdings Limited $0.2404 S $3.48 13.78% 318.71% 26.5 -
WDI Western Asset Diversified Income Fund $0.1485 M $13.66 13.05% 126.81% 26.6 -
LFMDP LifeMD, Inc. $0.5547 Q $23.21 9.56% -43.71% 27.7 -
HESM Hess Midstream LP $0.7792 Q $38.63 8.07% 99.23% 27.8 -
KLIC Kulicke and Soffa Industries, Inc. $0.2050 Q $113.41 0.72% 25382.63% 28.0 -
STAG STAG Industrial, Inc. $0.3875 Q $38.98 11.93% 103.84% 28.1 -
TRIN Trinity Capital Inc. $0.1700 M $17.60 11.59% 100.56% 28.6 -
DKL Delek Logistics Partners, LP $1.1300 Q $54.21 8.34% 134.95% 28.8 -
TSQ Townsquare Media, Inc. $0.2000 Q $6.80 11.76% -114.67% 29.3 -
ARI Apollo Commercial Real Estate Finance, Inc. $7.2500 S $10.43 143.82% 121.17% 29.4 -
EQIX Equinix, Inc. $5.1600 Q $1,051.21 1.96% 137.48% 29.5 -
KBDC Kayne Anderson BDC, Inc. $0.4000 Q $13.74 11.64% 131.62% 29.6 -
BRKR Bruker Corporation $0.0500 Q $60.06 0.33% -265.12% 29.6 -
WES Western Midstream Partners, LP $0.9300 Q $44.62 8.34% 122.35% 29.7 -
OXLC Oxford Lane Capital Corp. $0.2000 M $9.13 26.29% -77.09% 30.0 -
BHE Benchmark Electronics, Inc. $0.1700 Q $85.06 0.80% 98.28% 30.2 -
FSCO FS Credit Opportunities Corp. $0.0583 M $4.88 14.34% 105.41% 30.3 -
BSM Black Stone Minerals, L.P. $0.3000 Q $13.81 8.69% 105.06% 30.4 -
OBDC Blue Owl Capital Corporation $0.3100 Q $10.96 11.31% 119.94% 30.4 -
CCIF Carlyle Credit Income Fund $0.0600 M $2.86 25.17% -366.49% 30.4 -
RA Brookfield Real Assets Income $0.1180 M $12.83 11.04% 126.44% 30.7 -
SGHC Super Group (SGHC) Limited $0.0500 Q $14.89 1.34% 71.89% 30.9 -
MSDL Morgan Stanley Direct Lending Fund $0.4500 Q $15.57 11.56% 150.73% 30.9 -
ECAT BlackRock ESG Capital Allocation Trust $0.2688 M $15.85 20.35% 162.91% 30.9 -
VST Vistra Corp. $0.2290 Q $158.86 0.58% 52.75% 31.0 -
SUNS Sunrise Realty Trust, Inc. $0.3000 Q $8.04 14.93% 123.71% 31.1 -
NCDL Nuveen Churchill Direct Lending Corp. $0.3800 S $12.88 11.80% 155.84% 31.3 -
DMA Destra Multi-Alternative Fund $0.1125 M $7.81 17.29% -663.57% 31.5 -
TCYSF Tecsys Inc. $0.0636 Q $23.75 1.07% 127.66% 31.6 -
SHIHF Shenzhen Investment Holdings Bay Area Development Company Limited $0.0102 M $0.28 14.56% 99.32% 31.6 -
BCAT BlackRock Capital Allocation Trust $0.2542 M $16.12 18.93% 158.93% 31.8 -
PSBD Palmer Square Capital BDC Inc. $0.3900 I $10.36 15.06% -1743.98% 31.8 -
VGI Virtus Global Multi-Sector Income Fund $0.0800 M $7.50 12.80% 129.33% 31.9 -
SUNB Sunbelt Rentals Holdings Inc $0.7500 I $74.84 - 35.02% 31.9 -
ITUB Itaú Unibanco Holding S.A. $0.0033 M $8.62 0.46% 105.56% 32.0 -
CGBD Carlyle Secured Lending, Inc. $0.3500 Q $10.53 13.30% 148.69% 32.2 -
SPMC Sound Point Meridian Capital Inc $0.2000 M $10.30 23.30% -45.82% 32.2 -
ABEV Ambev S.A. $0.0092 S $3.07 0.60% 131.99% 32.3 -
BWG Legg Mason BW Global Income Opportunities Fund Inc. $0.0800 M $7.94 12.09% 104.19% 32.4 -
TPR Tapestry, Inc. $0.4000 Q $140.73 1.14% 163.37% 32.4 -
OXSQ Oxford Square Capital Corp. $0.0350 M $1.49 28.19% -167.18% 32.5 -
BIT BlackRock Multi-Sector Income Trust $0.1237 M $12.50 11.88% 119.42% 32.6 -
KIO KKR Income Opportunities Fund $0.1215 M $11.35 12.85% 226.11% 32.8 -
GDO Western Asset Global Corporate Defined Opportunity Fund Inc. $0.1220 M $10.64 13.76% 119.27% 32.8 -
SIHBY Shenzhen Investment Holdings Bay Area Development Company Limited $0.1020 M $2.25 18.13% 99.47% 33.0 -
SCM Stellus Capital Investment Corporation $0.1133 M $8.32 16.34% 167.37% 33.0 -
ECC Eagle Point Credit Company Inc. $0.0600 M $3.85 18.70% -148.39% 33.0 -
DMO Western Asset Mortgage Opportunity Fund Inc $0.1200 M $10.64 13.53% 128.18% 33.1 -
EARN Ellington Credit Company $0.0800 M $4.43 21.67% -248.57% 33.2 -
KKOYY Kesko Oyj $0.1277 Q $10.98 1.40% 87.97% 33.2 -
TECH Bio-Techne Corporation $0.0800 Q $71.30 0.45% 68.65% 33.2 -
EIC Eagle Point Income Company Inc. $0.1100 M $10.36 12.74% -3717.58% 33.3 -
CION CION Investment Corporation $0.1000 M $6.40 18.75% -378.19% 33.6 -
CDAY:CA CDAY:CA $0.2050 I - - - 33.6 -
MPWR Monolithic Power Systems, Inc. $2.0000 Q $1,352.74 0.59% 46.24% 33.7 -
METCL Ramaco Resources, Inc. - 9.00% $0.5687 Q $25.26 9.01% -8.44% 33.7 -
OCCI OFS Credit Company, Inc. $0.0500 M $2.67 22.47% -310.18% 33.8 -
ORC Orchid Island Capital, Inc. $0.1000 M $6.81 17.62% 112.47% 33.8 -
PDCC Pearl Diver Credit Company Inc. $0.1300 M $9.40 16.60% -92.90% 34.0 -
PGZ Principal Real Estate Income Fund $0.1050 M $10.28 12.26% 164.27% 34.0 -
AVGO Broadcom Inc. $0.6500 Q $399.97 0.65% 48.18% 34.1 -
TRTX TPG RE Finance Trust, Inc. $0.2400 I $8.52 11.27% 151.01% 34.1 -
SAR Saratoga Investment Corp. $0.2500 M $18.17 16.51% 143.03% 34.3 -
BRSP BrightSpire Capital, Inc. $0.1600 Q $5.36 11.94% -266.47% 34.4 -
USEA United Maritime Corporation $0.1000 Q $2.67 14.98% -18.08% 34.4 -
GSBD Goldman Sachs BDC, Inc. $0.3200 Q $8.82 14.51% 195.79% 34.5 -
BIRDF Bird Construction Inc. $0.0494 M $47.86 1.24% 98.12% 34.7 -
BDT.TO Bird Construction Inc. $0.0700 M $67.64 1.24% 98.12% 34.7 -
EFC Ellington Financial Inc. $0.1300 M $13.58 11.49% 125.03% 34.7 -
GBDMF Global Dominion Access, S.A. $0.0604 A $3.27 1.84% 165.53% 34.8 -
FCPT Four Corners Property Trust, Inc. $0.1222 M $24.96 1.96% 128.14% 34.9 -
WPK.TO Winpak Ltd. $0.0500 Q $43.92 0.46% 102.04% 35.0 -
MEGI NYLI CBRE Global Infrastructure Megatrends Term Fund $0.1250 M $15.24 9.84% 85.48% 35.0 -
PEGRY Pennon Group Plc $0.5299 S $12.70 8.35% 146.12% 35.1 -
AOMN Angel Oak Mortgage REIT, Inc. 9 $0.5938 Q $25.48 9.32% 70.27% 35.1 -
LIEN Chicago Atlantic BDC, Inc. $0.3400 Q $9.81 13.86% 69.94% 35.2 -
DDS Dillard's, Inc. $0.3000 Q $523.78 0.23% 84.96% 35.4 -
JEPQ.TO JPMorgan Nasdaq Equity Premium Income Active ETF $0.2747 M $29.55 11.16% - 35.4 -
IVR Invesco Mortgage Capital Inc. $0.1200 M $7.94 18.14% 105.53% 35.5 -
AGNC AGNC Investment Corp. $0.1200 M $11.13 12.94% 95.87% 35.5 -
PTA Cohen & Steers Tax-Advantaged Preferred Securities and Income Fund $0.1340 M $19.41 8.28% 99.41% 35.5 -
PMT PennyMac Mortgage Investment Trust $0.4000 Q $10.28 15.56% 141.69% 35.5 -
SRV NXG Cushing Midstream Energy Fund $0.5000 M $50.14 11.97% 629.70% 35.5 -
NXFNF Next 15 Group plc $0.1416 S $3.29 8.61% -51.22% 35.5 -
FMBRY Famous Brands Limited $0.2651 S $6.60 8.03% 59.45% 35.6 -
IIPR Innovative Industrial Properties, Inc. $1.9000 Q $64.44 11.79% 191.83% 35.7 -
RYLD Global X - Russell 2000 Covered Call ETF $0.1618 M $16.06 12.09% - 35.8 -
GRVWF Greatview Aseptic Packaging Company Limited $0.0008 M $0.26 0.30% 535.92% 36.0 -
HALMY Halma plc $0.4045 S $97.78 0.83% 24.49% 36.1 -
JEPQ JPMorgan Nasdaq Equity Premium Income ETF $0.6366 M $60.51 12.62% - 36.1 -
HIX Western Asset High Income Fund II Inc $0.0490 M $3.97 14.81% 124.98% 36.3 -
TKO TKO Group Holdings, Inc. $0.7900 Q $184.40 1.71% 327.90% 36.4 -
MITT TPG Mortgage Investment Trust Inc $0.2400 Q $7.72 12.44% 93.96% 36.4 -
NATH Nathan's Famous, Inc. $0.5000 S $100.52 1.99% 91.92% 36.4 -
NOAH Noah Holdings Limited $1.3806 I $8.88 15.32% 97.84% 36.5 -
AGNCP AGNC Investment Corp. $0.5488 Q $25.04 8.77% 95.87% 36.5 -
NXG NXG NextGen Infrastructure Income Fund $0.6000 M $63.01 11.43% 70.99% 36.5 -
FRA BlackRock Floating Rate Income Strategies Fund, Inc. $0.1238 M $10.87 13.67% 208.08% 36.5 -
CHMI Cherry Hill Mortgage Investment Corporation $0.1000 Q $2.30 17.39% 419.71% 36.6 -
BANX ArrowMark Financial Corp. $0.1500 M $20.00 9.00% 98.23% 36.6 -
CUBA The Herzfeld Caribbean Basin Fund Inc. $0.1700 M $2.52 80.95% 213.76% 36.7 -
PIRBF Piraeus Bank S.A. $0.4553 I $11.24 8.08% 80.83% 36.7 -
WIPKF Winpak Ltd. $0.0353 Q $30.99 0.45% 102.04% 36.7 -
TLK Perusahaan Perseroan (Persero) PT Telekomunikasi Indonesia Tbk $1.2214 A $13.91 8.78% 120.36% 36.8 -
HRZN Horizon Technology Finance Corporation $0.0900 S $4.65 23.23% -1995.26% 36.8 -
CLM Cornerstone Strategic Value Fund, Inc. $0.1215 M $7.63 19.11% 134.75% 36.8 -
AGNCM AGNC Investment Corp. $0.5228 Q $24.93 8.39% 95.87% 36.9 -
FSV.TO FirstService Corporation $0.4333 Q $202.94 0.85% 33.12% 36.9 -
MU.TO Micron Technology, Inc. $0.0070 Q $43.08 0.07% - 36.9 -
IMOS ChipMOS TECHNOLOGIES Inc. $0.7826 A $75.78 1.03% 176.26% 36.9 -
EDF Virtus Stone Harbor Emerging Markets Income Fund $0.0600 M $5.55 12.97% 76.54% 36.9 -
AMP Ameriprise Financial, Inc. $1.7000 Q $506.76 1.34% 84.90% 37.0 -
CRF Cornerstone Total Return Fund, Inc. $0.1176 M $7.28 19.38% 137.41% 37.0 -
CJEWF Chow Tai Fook Jewellery Group Limited $0.0574 S $1.40 8.20% 59.16% 37.1 -
VSH Vishay Intertechnology, Inc. $0.1000 Q $44.70 0.89% -550.22% 37.1 -
LLY.TO Eli Lilly and Company $0.0618 Q $42.66 0.58% - 37.2 -
NOG Northern Oil and Gas, Inc. $0.4500 Q $18.52 9.72% 447.37% 37.2 -
HERZ Herzfeld Credit Income Fund, Inc. $0.1700 M $17.03 11.98% 390.70% 37.2 -
VTKLF Vtech Holdings Limited $0.3600 S $6.55 10.99% 115.14% 37.2 -
TYG Tortoise Energy Infrastructure Corporation $0.4750 M $43.37 13.14% 409.36% 37.3 -
CEG Constellation Energy Corporation $0.4265 Q $251.38 0.68% 20.96% 37.3 -
AGNCN AGNC Investment Corp. $0.5720 Q $25.49 8.98% 95.87% 37.3 -
ASX ASE Technology Holding Co., Ltd. $0.4171 A $42.66 0.73% 56.65% 37.4 -
SDHY PGIM Short Duration High Yield Opportunities Fund $0.1080 M $16.02 8.09% 85.63% 37.4 -
ODFL Old Dominion Freight Line, Inc. $0.2900 Q $227.62 0.51% 23.02% 37.4 -
OFS OFS Capital Corporation $0.1700 Q $3.72 18.28% -48.18% 37.5 -
AB AllianceBernstein Holding L.P. $0.8300 Q $37.16 8.93% 117.55% 37.5 -
NRC National Research Corporation $0.1600 Q $21.65 2.96% 94.64% 37.5 -
EA Electronic Arts Inc. $0.1900 Q $206.41 0.37% 21.53% 37.6 -
ARR ARMOUR Residential REIT, Inc. $0.2400 M $17.05 16.89% 87.84% 37.6 -
QYLD Global X - Nasdaq 100 Covered Call ETF $0.1854 M $18.46 12.05% - 37.7 -
HIMX Himax Technologies, Inc. $0.2520 A $15.23 1.65% 147.79% 37.7 -
STM STMicroelectronics N.V. $0.0900 Q $71.46 0.50% 192.78% 37.7 -
BIESF Biotest AG $0.0336 A $32.00 0.10% -1.13% 37.7 -
BGT BlackRock Floating Rate Income Trust $0.1203 M $10.69 13.50% 202.96% 37.8 -
HYI Western Asset High Yield Defined Opportunity Fund Inc. $0.0950 M $10.65 10.70% 118.40% 37.9 -
PITAF Poste Italiane S.p.A. $1.0111 M $23.45 8.62% 67.87% 37.9 -
AGNCO AGNC Investment Corp. $0.5646 Q $25.33 8.92% 95.87% 38.0 -
URI United Rentals, Inc. $1.9700 Q $1,095.55 0.72% 18.60% 38.0 -
ACRE Ares Commercial Real Estate Corporation $0.1500 Q $4.43 13.54% -4324.94% 38.1 -
GNL Global Net Lease, Inc. $0.1900 Q $9.07 8.38% -104.59% 38.1 -
LRCX Lam Research Corporation $0.2600 Q $350.33 0.30% 21.45% 38.1 -
NOEJF NORMA Group SE $0.1603 A $16.90 0.71% -15.59% 38.1 -
EL The Estée Lauder Companies Inc. $0.3500 Q $82.66 1.69% -54.55% 38.1 -
MITFF Mitie Group plc $0.0415 S $2.00 1.88% 66.22% 38.1 -
LFT Lument Finance Trust, Inc. $0.0400 Q $0.94 16.95% -839.74% 38.1 -
CSWC Capital Southwest Corporation $0.2534 S $23.84 12.76% 130.30% 38.2 -
AVNBF Avon Technologies Plc $0.0808 S $22.49 0.72% 69.89% 38.3 -
FSV FirstService Corporation $0.3050 Q $143.44 0.85% 33.56% 38.3 -
GHY PGIM Global High Yield Fund, Inc. $0.1050 M $11.87 10.62% 91.82% 38.4 -
ARLP Alliance Resource Partners, L.P. $0.6000 Q $24.37 9.85% 108.36% 38.6 -
BCIC BCP Investment Corporation $0.0900 M $7.37 14.65% 188.33% 38.6 -
VLTO Veralto Corporation $0.1300 Q $92.70 0.56% 11.60% 38.6 -
CARR Carrier Global Corporation $0.2400 Q $69.34 1.38% 52.02% 38.7 -
CTVA Corteva, Inc. $0.1800 Q $85.68 0.84% 43.42% 38.7 -
BGH Barings Global Short Duration High Yield Fund $0.1223 M $14.20 10.34% 170.70% 38.7 -
GEV GE Vernova Inc. $0.5000 Q $1,091.57 0.18% 5.63% 38.8 -
ISD PGIM High Yield Bond Fund, Inc. $0.1050 M $12.87 9.79% 91.78% 38.8 -
LADR Ladder Capital Corp $0.2300 Q $9.85 9.34% 182.94% 38.9 -
NLY Annaly Capital Management, Inc. $0.7500 Q $22.86 13.12% 92.85% 38.9 -
GOOG Alphabet Inc. $0.2200 Q $355.03 0.25% 7.60% 38.9 -
GOOGL Alphabet Inc. $0.2200 Q $357.18 0.25% 7.60% 38.9 -
HPE Hewlett Packard Enterprise Company $0.1425 Q $48.50 1.18% 1396.49% 39.0 -
NRG NRG Energy, Inc. $0.4750 Q $140.42 1.35% 47.57% 39.0 -
CIM Chimera Investment Corporation $0.4500 Q $13.13 13.71% 90.56% 39.1 -
MITP TPG Mortgage Investment Trust Inc 9.500% Senior Notes due 2029 $0.5938 Q $25.59 9.28% 93.96% 39.1 -
TXN Texas Instruments Incorporated $1.4200 Q $311.46 1.82% 99.96% 39.1 -
LOAN Manhattan Bridge Capital, Inc. $0.1100 Q $4.24 10.38% 102.95% 39.1 -
EHI Western Asset Global High Income Fund Inc. $0.0700 M $5.94 14.14% 175.65% 39.1 -
CRCT Cricut, Inc. $0.1000 S $4.41 2.27% 263.48% 39.2 -
ALCO Alico, Inc. $0.0500 Q $41.16 0.49% -1.04% 39.2 -
RDVY First Trust Rising Dividend Achievers ETF $0.1474 Q $80.30 0.73% - 39.2 -
META Meta Platforms, Inc. $0.5250 Q $669.21 0.31% 8.81% 39.2 -
NXPI NXP Semiconductors N.V. $1.0140 Q $292.26 1.39% 50.72% 39.2 -
DSU BlackRock Debt Strategies Fund, Inc. $0.0987 M $9.72 12.19% 169.38% 39.3 -
BGX Blackstone Long-Short Credit Income Fund $0.0820 M $10.83 9.09% 146.56% 39.3 -
GUT The Gabelli Utility Trust $0.0500 M $6.85 8.76% 95.24% 39.3 -
BGB Blackstone Strategic Credit Fund $0.0760 M $11.31 8.06% 151.35% 39.3 -
OXLCM Oxford Lane Capital Corp. $0.1719 M $24.99 8.25% -77.09% 39.4 -
REGCO Regency Centers Corporation $0.3672 Q $22.10 6.65% 99.57% 39.4 -
HIO Western Asset High Income Opportunity Fund Inc $0.0355 M $3.65 11.67% 154.85% 39.5 -
HTLD Heartland Express, Inc. $0.0200 Q $14.80 0.54% -11.90% 39.8 -
ADI Analog Devices, Inc. $1.1000 Q $395.65 1.11% 84.88% 39.8 -
HLTOY Hellenic Telecommunications Organization S.A. $0.5072 A $11.26 9.01% 67.37% 39.8 -
CIMP Chimera Investment Corporation $0.5547 Q $25.35 8.75% 90.56% 39.8 -
NWS News Corporation $0.1000 S $30.93 0.65% 39.87% 39.9 -
V Visa Inc. $0.6700 Q $348.97 0.77% 23.10% 39.9 -
BCKIF Babcock International Group PLC $0.0667 S $13.91 0.48% 16.43% 40.0 -
VRT Vertiv Holdings Co $0.0625 Q $318.86 0.08% 5.00% 40.1 -
GOOD Gladstone Commercial Corporation $0.1000 M $12.49 9.61% 353.37% 40.1 -
PEB Pebblebrook Hotel Trust $0.0100 Q $18.18 0.22% -78.90% 40.1 -
CIMN Chimera Investment Corporation $0.5625 Q $25.38 8.87% 90.56% 40.1 -
AGX Argan, Inc. $0.5000 Q $630.32 0.32% 17.62% 40.1 -
CSCO Cisco Systems, Inc. $0.4200 Q $121.31 1.38% 63.23% 40.1 -
PWR Quanta Services, Inc. $0.1100 I $658.56 0.07% 5.87% 40.2 -

Showing up to 200 matches. Yield = annualized dividend / current price.

About Rank

Our Rank is a single 0–100 score that blends a security's valuation, current yield, payout sustainability, and the length and consistency of its dividend history. Higher is stronger.

It is a relative, model-driven screen for further research — not a recommendation. Always confirm the underlying data with the issuer and your broker before acting.

The S.A.F.E. Test

A name earns the S.A.F.E. flag when its dividend profile clears four checks:

  • Solid — covered by earnings and cash flow (reasonable payout ratio).
  • Accelerating — the dividend has grown over time, not stalled.
  • Flawless — an unbroken record with no recent cuts or suspensions.
  • Enduring — a long enough paying history to weather a cycle.

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