Dividend Screener: Stocks & ETFs Screener (200+)

Filter by Dividend Yield, Dividend Growth, Consistency of Payouts, Yield on Cost and many other Dividend and Fundamental Data.

Results 200 matches
SYMBOL INDUSTRY MKT CAP VRT SIGNAL SAFETY RS DIV. YIELD
NVDA NASDAQ
NVIDIA
Semiconductors
Graphics Processors, Networking Hardware, AI
5,201B 58 -0.45 47 73 0.2%
1NVDA MI
NVIDIA
Oil, Gas & Consumable Fuels
Graphics Processors, Networking Hardware, AI
5,149B 64 -0.59 48 76 0.2%
AAPL NASDAQ
Apple
Technology Hardware
Smartphones, Computers, Tablets, Wearables
4,557B 73 0.69 82 79 0.4%
GOOGL NASDAQ
Alphabet
Interactive Media
Search, Advertising, Cloud Computing, Video
4,528B 86 0.94 77 88 0.4%
GOOG NASDAQ
Alphabet C
Interactive Media
Search, Advertising, Cloud Computing, Software
4,493B 85 0.94 75 88 0.4%
MSFT NASDAQ
Microsoft
Software
Software, Cloud Services, Computers, Video Games
3,180B 56 -0.87 69 18 0.8%
TSM NYSE
Taiwan Semiconductor
Semiconductors
Integrated Circuits, Logic Wafers, Semiconductor
2,165B 72 0.07 68 89 1.1%
AVGO NASDAQ
Broadcom
Semiconductors
Semiconductors, Networking Hardware
1,826B 60 -0.90 84 70 0.8%
META NASDAQ
Meta Platforms
Interactive Media
Social Media, Messaging, Virtual Reality
1,593B 57 -1.04 76 14 0.3%
MU NASDAQ
Micron Technology
Semiconductors
DRAM, NAND Flash, Solid State Drives, NOR Flash
1,123B 79 0.38 58 99 0.3%
LLY NYSE
Eli Lilly
Pharmaceuticals
Insulin, Diabetes Medications, Weight Loss Drugs
1,003B 85 0.96 88 80 0.7%
VOO NYSE
SP500
Large Blend
Equity Shares, s, Exchange Traded Funds
994B 59 -0.48 30 59 1.2%
VOO NYSE ARCA
SP500
Large Blend
Index Funds, Equity Securities, Large-Cap Stocks
994B 59 -0.48 30 59 1.2%
WMT NASDAQ
Walmart
Consumer Staples
Groceries, Household Goods, Apparel, Electronics
937B 60 0.07 73 47 0.8%
IVV NYSE ARCA
Core SP500
Large Blend
Equity Shares, Index Tracking, Derivatives, Cash
855B 59 -0.46 30 59 1.2%
IVV NYSE
Core SP500
Large Blend
Large-Cap Equities, Index Tracking, Derivatives
855B 59 -0.46 30 59 1.2%
JPM NYSE
JPMorgan Chase
Banks
Banking, Asset Management, Credit Cards
833B 30 -0.08 21 50 1.9%
SPY NYSE ARCA
SP500 Trust
Large Blend
Exchange Traded Fund, Equity Securities, Index
790B 59 -0.48 31 59 1.2%
SPY NYSE
SP500 Trust
Large Blend
Exchange Traded Funds, Equity Securities, Index
790B 59 -0.48 31 59 1.2%
ORCL NYSE
Oracle
Software
Cloud Software, Databases, Infrastructure
680B 39 -0.18 65 71 1.0%
VTI NYSE
Total Stock Market Shares
Large Blend
Equity Securities, Index Tracking, Diversified
662B 58 -0.67 30 59 1.2%
VTI NYSE ARCA
Total Stock Market Shares
Large Blend
Exchange-Traded Fund, Equities, Index Tracking
662B 58 -0.67 30 59 1.2%
ASML NASDAQ
ASML Holding
Semiconductors
Lithography Systems, Metrology Equipment
633B 73 -0.35 74 93 0.8%
XOM NYSE
Exxon Mobil
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Fuels, Petrochemicals
630B 59 -0.54 67 77 3.1%
ASML AS
ASML Holding
Semiconductors
Lithography Systems, Metrology Equipment
615B 74 0.30 83 93 0.8%
V NYSE
Visa
Financial
Payment Processing, Credit Cards, Debit Cards
609B 66 -0.33 71 23 0.8%
JNJ NYSE
Johnson & Johnson
Pharmaceuticals
Pharmaceuticals, Medical Devices, Surgical
549B 66 0.14 75 72 2.5%
CSCO NASDAQ
Cisco Systems
Communications Equipment
Networking Hardware, Cybersecurity, Collaboration
512B 72 0.91 64 94 2.3%
QQQ NASDAQ
QQQ Trust
Large Growth
Exchange Traded Fund, Technology Stocks, Growth
493B 66 -0.50 32 73 0.5%
CAT NYSE
Caterpillar
Machinery
Construction Equipment, Mining Machinery
433B 84 1.30 86 94 1.1%
COST NASDAQ
Costco Wholesale
Consumer Staples
Groceries, Consumer Electronics, Gasoline
431B 52 -0.96 66 27 0.6%
MA NYSE
Mastercard
Financial
Payment Processing, Credit Cards, Debit Cards
426B 66 -0.84 70 15 0.6%
LRCX NASDAQ
Lam Research
Semiconductors
Etch Systems, Deposition Tools, Wafer Cleaning
421B 84 -0.08 65 97 0.7%
ABBV NYSE
AbbVie
Biotechnology
Immunology Drugs, Oncology Medicines, Aesthetics
401B 44 -0.16 53 48 3.2%
AMAT NASDAQ
Applied Materials
Semiconductors
Semiconductor Equipment, Fabrication Services
398B 74 -0.43 77 96 0.7%
BAC NYSE
Bank of America
Banks
Consumer Banking, Wealth Management, Investment
384B 38 0.03 28 57 2.8%
CVX NYSE
Chevron
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Refined Petroleum
375B 44 -0.41 70 70 4.1%
UNH NYSE
UnitedHealth
Health Care Providers
Health Insurance, Pharmacy Services, Healthcare
360B 68 0.80 67 83 2.8%
MS NYSE
Morgan Stanley
Capital Markets
Investment Banking, Wealth Management, Asset
344B 57 1.08 73 86 2.4%
GE NYSE
GE Aerospace
Aerospace & Defense
Jet Engines, Avionics, Propulsion Systems
342B 64 0.00 77 61 0.5%
KO NYSE
The Coca-Cola
Beverages
Soft Drinks, Water, Sports Drinks, Coffee, Tea
342B 70 -0.06 78 54 2.9%
PG NYSE
Procter & Gamble
Household Products
Personal Care, Cleaning Supplies, Paper Products
341B 53 -0.45 71 23 2.8%
HSBC NYSE
HSBC Holdings
Banks
Retail Banking, Commercial Banking, Asset
312B 51 -0.08 41 82 4.9%
HD NYSE
The Home Depot
Specialty Retail
Building Materials, Hardware, Garden Supplies
310B 44 -0.90 71 13 3.3%
GS NYSE
Goldman Sachs
Capital Markets
Investment Banking, Asset Management, Securities
306B 45 0.67 30 85 2.0%
MRK NYSE
Merck
Pharmaceuticals
Oncology Drugs, Vaccines, Animal Health
297B 75 -0.43 84 77 3.6%
BABA NYSE
Alibaba Holding
Broadline Retail
E-commerce, Cloud Computing, Logistics, Digital
291B 29 -1.12 83 15 1.7%
NVS NYSE
Novartis
Pharmaceuticals
Pharmaceuticals, Oncology, Cardiovascular Drugs
284B 58 -0.08 68 55 3.1%
IBM NYSE
International Business
IT
Software, Consulting, Servers, Storage, Financing
284B 56 -0.08 84 48 2.6%
KLAC NASDAQ
KLA
Semiconductors
Inspection Systems, Metrology Systems, Wafer
278B 72 -0.64 75 94 0.1%
MRVL NASDAQ
Marvell Technology
Semiconductors
Network Switches, Storage Controllers
277B 64 0.38 72 99 0.3%
PM NYSE
Philip Morris International
Tobacco
Cigarettes, Heated Tobacco, Oral Nicotine
276B 70 -0.16 71 50 3.5%
AZN NASDAQ
AstraZeneca
Pharmaceuticals
Oncology, Cardiovascular Medicines, Respiratory
273B 60 -0.24 71 47 1.8%
AZN NYSE
AstraZeneca
Pharmaceuticals
Oncology, Cardiovascular Medicines, Respiratory
273B 60 -0.24 71 47 1.8%
RY NYSE
Royal Bank of Canada
Banks
Banking, Wealth Management, Insurance, Capital
271B 55 1.00 53 82 3.0%
MC PA
LVMH Moët Hennessy - Louis
Textiles, Apparel & Luxury
Wines, Spirits, Fashion, Leather Goods
269B 44 -0.24 81 62 2.5%
TXN NASDAQ
Texas Instruments
Semiconductors
Analog Chips, Embedded Processors
259B 74 0.00 80 90 2.8%
GEV NYSE
GE Vernova
Independent Power Renewable
Gas Turbines, Wind Turbines, Nuclear Reactors
258B 58 0.33 53 88 0.2%
DELL NYSE
Dell Technologies
Technology Hardware
Personal Computers, Servers, Data Storage
256B 76 1.58 52 99 1.5%
WFC NYSE
Wells Fargo
Banks
Banking, Mortgages, Credit Cards, Asset
250B 28 -0.46 17 38 2.2%
TM NYSE
Toyota Motor
Automobiles
Passenger Cars, Trucks, SUVs, Electric Vehicles
248B 40 -1.18 67 15 3.1%
RTX NYSE
RTX
Aerospace & Defense
Aircraft Engines, Avionics, Missiles, Radar
242B 63 0.26 81 44 1.6%
SIE XETRA
Siemens Aktiengesellschaft
Machinery
Industrial Automation, Trains, Medical Devices
236B 48 0.22 77 73 2.1%
OR PA
LOréal S.A.
Personal Care Products
Skincare, Makeup, Haircare, Perfume, Hygiene
235B 63 -0.10 78 36 2.0%
LIN NASDAQ
Linde Ordinary Shares
Chemicals
Atmospheric Gases, Process Gases, Industrial
235B 63 -0.02 63 56 1.7%
SHEL NYSE
Shell
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Petrochemicals, Biofuels
234B 58 -0.35 72 64 3.8%
SHELL AS
Shell
Oil, Gas & Consumable Fuels
Oil, Natural Gas, Petrochemicals, Biofuels
233B 49 0.02 71 66 3.8%
VEA NYSE ARCA
FTSE Developed Markets
Foreign Large Blend
International Stocks, Developed Markets
231B 67 -0.62 50 62 3.1%
VEA NYSE
FTSE Developed Markets
Foreign Large Blend
International Stocks, Developed Markets, Index
231B 67 -0.62 50 62 3.1%
VUG NYSE ARCA
Growth Shares
Large Growth
Equity Shares, Growth Stocks, Exchange Traded
231B 43 -0.69 23 57 0.4%
VUG NYSE
Growth Shares
Large Growth
Growth Stocks, Large-Cap Equities
231B 43 -0.69 23 57 0.4%
C NYSE
Citigroup
Banks
Banking, Credit Cards, Wealth Management
231B 48 0.67 39 85 2.2%
QCOM NASDAQ
Qualcomm
Semiconductors
Processors, Modems, Connectivity Chips, Patent
228B 60 -0.79 66 88 2.7%
MUFG NYSE
Mitsubishi UFJ Financial
Banks
Commercial Banking, Trust Banking, Securities
226B 59 0.60 46 80 2.6%
BHP NYSE
BHP
Metals & Mining
Iron Ore, Copper, Coal, Nickel, Potash
226B 63 -0.19 70 86 4.2%
SAP NYSE
SAP SE
Software
Enterprise Software, Cloud Services, Business
218B 46 -0.77 70 9 1.7%
AXP NYSE
American Express
Consumer Finance
Credit Cards, Charge Cards, Payment Processing
216B 40 -0.70 38 24 1.1%
SAP XETRA
SAP SE
Software
Enterprise Software, Cloud Services, Business
209B 48 -0.48 71 9 1.7%
ADI NASDAQ
Analog Devices
Semiconductors
Data Converters, Power Management, Amplifiers
209B 67 -0.12 65 89 1.8%
STX NASDAQ
Seagate Technology
Technology Hardware
Hard Disk Drives, Solid State Drives, Storage
199B 85 1.37 60 99 1.3%
WDC NASDAQ
Western Digital
Technology Hardware
Hard Disk Drives, Solid State Drives, Flash
198B 86 0.82 80 99 0.5%
ITX MC
Industria de Diseno Textil
Specialty Retail
Clothing, Footwear, Accessories, Home Decor
197B 62 0.09 77 64 3.5%
RMS PA
Hermes International SCA
Textiles, Apparel & Luxury
Leather Goods, Apparel, Silk, Perfume
195B 47 -0.60 76 8 1.0%
PEP NASDAQ
PepsiCo
Beverages
Soft Drinks, Snack Foods, Dairy, Bottled Water
194B 44 -1.14 69 25 5.0%
TTE PA
TotalEnergies SE
Oil, Gas & Consumable Fuels
Oil, Natural Gas, Electricity, Biofuels
194B 67 0.25 69 85 5.8%
MCD NYSE
McDonald’s
Hotels, Restaurants
Hamburgers, Chicken, French Fries, Beverages
194B 52 -0.55 77 15 3.0%
NOV XETRA
Novo Nordisk
Biotechnology
Insulin, Weight Loss Drugs, Growth Hormones
193B 65 -0.08 80 82 4.6%
TMUS NASDAQ
T-Mobile US
Wireless Telecommunication
Wireless Services, Smartphones, Home Broadband
193B 37 -0.59 47 9 1.9%
NVO NYSE
Novo Nordisk
Pharmaceuticals
Insulin, Weight Loss, Growth Hormones, Hemophilia
191B 45 -0.68 80 17 4.7%
VZ NYSE
Verizon Communications
Diversified
Wireless Services, Broadband, Fiber Optic
189B 44 -0.37 64 39 6.6%
TD NYSE
Toronto Dominion Bank
Banks
Retail Banking, Mortgages, Credit Cards, Wealth
188B 56 0.98 49 86 3.6%
AMGN NASDAQ
Amgen
Biotechnology
Biopharmaceuticals, Oncology Drugs, Inflammation
187B 60 -0.75 64 51 3.0%
IEFA BATS
Core MSCI EAFE
Foreign Large Blend
International Stocks, Developed Markets, Equities
186B 50 -0.73 53 51 3.7%
NEE NYSE
Nextera Energy
Electric Utilities
Electric Power, Renewable Energy, Natural Gas
181B 52 -0.16 55 50 3.7%
APH NYSE
Amphenol
Electronic Equipment
Connectors, Cable Assemblies, Sensors, Antennas
181B 67 -0.59 72 67 0.7%
VTV NYSE ARCA
Value Shares
Large Value
Large-Cap Stocks, Value Equities, Exchange Traded
180B 72 -0.43 53 61 2.1%
VTV NYSE
Value Shares
Large Value
Equity Shares, Value Stocks, s
180B 72 -0.43 53 61 2.1%
SAN MC
Banco Santander S.A.
Banks
Banking, Loans, Asset Management, Insurance
178B 46 -0.36 53 75 2.5%
TMO NYSE
Thermo Fisher Scientific
Life Sciences Tools
Laboratory Instruments, Reagents, Diagnostic
176B 52 -0.09 87 22 0.4%
SAN NYSE
Banco Santander
Banks
Retail Banking, Loans, Asset Management
175B 40 -0.80 53 75 2.2%
TJX NYSE
The TJX Companies
Specialty Retail
Apparel, Home Decor, Footwear, Accessories
175B 78 0.50 71 53 1.2%
SU PA
Schneider Electric S.E.
Machinery
Switchgear, Industrial Automation, Energy
175B 50 -0.53 67 67 1.5%
DIS NYSE
Walt Disney
Entertainment
Media Content, Streaming Services, Theme Parks
173B 44 -0.35 74 17 1.1%
GLW NYSE
Corning
Electronic Equipment
Optical Fiber, Display Glass, Specialty Glass
170B 70 0.23 81 97 1.1%
RIO NYSE
Rio Tinto
Metals & Mining
Iron Ore, Aluminum, Copper, Lithium, Bauxite
164B 57 -0.09 53 87 5.2%
ALV XETRA
Allianz SE VNA O.N.
Insurance
Insurance, Asset Management, Banking, Investment
163B 36 -0.10 35 64 4.6%
BLK NYSE
BlackRock
Capital Markets
Exchange Traded Funds, Mutual Funds, Investment
163B 48 -0.68 66 26 2.7%
AIR PA
Airbus SE
Aerospace & Defense
Commercial Aircraft, Helicopters, Military Jets
162B 41 -0.74 61 32 1.9%
IEMG NYSE
Core MSCI Emerging Markets
Diversified Emerging Mkts
Emerging Market Equities, International Stocks
162B 75 -0.47 49 73 3.0%
IEMG NYSE ARCA
Core MSCI Emerging Markets
Diversified Emerging Mkts
Emerging Market Stocks, Equities, Index Shares
162B 75 -0.47 49 73 3.0%
SCCO NYSE
Southern Copper
Metals & Mining
Copper, Molybdenum, Zinc, Silver, Gold
162B 76 -1.20 69 84 2.5%
GILD NASDAQ
Gilead Sciences
Biotechnology
Antivirals, Oncology, Cell Therapy, Immunotherapy
160B 66 -1.16 79 38 2.7%
T NYSE
AT&T
Diversified
Wireless Services, Fiber Internet, Smartphones
158B 31 -0.66 52 12 4.3%
ABT NYSE
Abbott Laboratories
Health Care Equipment
Medical Devices, Diagnostics, Nutritional
158B 44 -0.31 79 7 2.0%
BND NASDAQ
Total Bond Market Shares
Intermediate Core Bond
Government Bonds, Corporate Bonds
157B 34 -0.48 62 28 4.3%
UNP NYSE
Union Pacific
Ground Transportation
Freight Rail, Logistics, Intermodal
157B 61 0.88 83 68 2.3%
ETN NYSE
Eaton
Electrical Equipment
Electrical Distribution, Aerospace Systems
156B 51 -0.68 66 66 1.1%
ENR XETRA
Siemens Energy
Machinery
Gas Turbines, Wind Turbines, Power Transformers
155B 59 0.44 61 87 0.4%
BUD NYSE
Anheuser Busch Inbev
Beverages
Beer, Soft Drinks, Malt Beverages, Cocktails
155B 60 0.33 73 72 1.7%
CRM NYSE
Salesforce.com
Software
CRM Software, Artificial Intelligence, Data
155B 46 -0.01 63 9 0.8%
UBS NYSE
UBS
Capital Markets
Wealth Management, Banking, Asset Management
154B 50 0.58 26 79 2.6%
DTE XETRA
Deutsche Telekom
Diversified
Mobile Services, Broadband, Fixed-Network, Cloud
154B 25 -1.23 37 17 3.3%
SCHW NYSE
Charles Schwab
Capital Markets
Brokerage Accounts, Banking, Asset Management
153B 30 0.07 30 22 1.3%
IBE MC
Iberdrola S.A.
Electric Utilities
Renewable Energy, Electricity, Natural Gas, Green
152B 52 0.46 50 65 4.0%
VGT NYSE
Information Technology
Technology
Software, Hardware, Semiconductors, Cloud
150B 72 -0.72 20 81 0.4%
VGT NYSE ARCA
Information Technology
Technology
Software, Semiconductors, Hardware, Cloud
150B 72 -0.72 20 81 0.4%
VXUS NASDAQ
Total International Stock
Foreign Large Blend
International Stocks, Emerging Markets, Developed
149B 64 -0.51 50 60 3.2%
PFE NYSE
Pfizer
Pharmaceuticals
Vaccines, Oncology Drugs, Biopharmaceuticals
148B 50 -0.40 75 44 6.8%
DE NYSE
Deere
Machinery
Tractors, Harvesters, Excavators, Mowers
146B 46 0.28 31 55 1.3%
SAF PA
Safran
Aerospace & Defense
Aircraft Engines, Landing Gear, Avionics
146B 37 -0.84 26 38 1.1%
WELL NYSE
Welltower
Diversified REITs
Senior Housing, Assisted Living, Memory Care
146B 54 -0.32 64 60 1.5%
IBKR NASDAQ
Interactive Brokers
Capital Markets
Brokerage Services, Trading Platforms, Margin
143B 53 0.52 32 85 0.5%
BX NYSE
Blackstone
Capital Markets
Private Equity, Real Estate, Credit, Hedge Funds
143B 36 -1.02 24 14 3.6%
SMFG NYSE
Sumitomo Mitsui Financial
Banks
Commercial Banking, Consumer Finance, Leasing
140B 53 0.06 46 82 3.1%
RRU XETRA
Rolls-Royce Holdings
Aerospace & Defense
Aircraft Engines, Nuclear Reactors, Marine
140B 64 -0.46 66 63 0.8%
COP NYSE
ConocoPhillips
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Bitumen, Liquefied
139B 60 -0.44 65 72 3.3%
AGG NYSE
Core U.S. Aggregate Bond
Intermediate Core Bond
Government Bonds, Corporate Bonds
136B 33 -0.92 59 28 4.3%
AGG NYSE ARCA
Core U.S. Aggregate Bond
Intermediate Core Bond
Government Bonds, Corporate Bonds
136B 33 -0.92 59 28 4.3%
HON NASDAQ
Honeywell International
Industrial Conglomerates
Avionics, Industrial Automation, Building
136B 41 -0.66 85 28 2.2%
AI PA
Air Liquide
Chemicals
Industrial Gases, Medical Gases, Hydrogen
134B 39 -1.18 69 8 1.9%
PLD NYSE
Prologis
Diversified REITs
Logistics Warehouses, Industrial Facilities, Real
134B 48 -0.05 38 72 3.4%
IWF NYSE ARCA
Russell 1000 Growth
Large Growth
Equity Shares, Index Futures, Options, Swaps
132B 40 -0.45 23 52 0.4%
IWF NYSE
Russell 1000 Growth
Large Growth
Large Cap Stocks, Growth Stocks, Derivatives
132B 40 -0.45 23 52 0.4%
BMT XETRA
British American Tobacco
Tobacco
Cigarettes, Vapour Products, Nicotine Pouches
132B 49 0.13 65 55 6.2%
BBVA NYSE
Banco Bilbao Viscaya
Banks
Retail Banking, Investment Banking, Asset
130B 47 -0.48 51 74 4.9%
DHR NYSE
Danaher
Health Care Equipment
Bioprocessing Equipment, Analytical Instruments
129B 45 -0.29 83 16 0.7%
SONY NYSE
Sony
Household Durables
Video Games, Consumer Electronics, Music, Movies
129B 36 -0.60 78 15 0.6%
BBVA MC
Banco Bilbao Vizcaya
Banks
Retail Banking, Investment Banking, Asset
129B 55 -0.36 53 74 4.0%
XLK NYSE
Technology Sector Fund
Technology
Software, Semiconductors, Hardware, Cloud
128B 80 -0.24 27 84 0.6%
XLK NYSE ARCA
Technology Sector Fund
Technology
Software, Semiconductors, Hardware, Cloud
128B 80 -0.24 27 84 0.6%
UCG MI
UniCredit S.p.A.
Banks
Retail Banking, Corporate Finance, Wealth
126B 44 -0.04 52 71 4.9%
SPGI NYSE
S&P Global
Capital Markets
Credit Ratings, Financial Indices, Market Data
126B 51 -0.44 73 14 0.8%
BTI NYSE
British American Tobacco
Tobacco
Cigarettes, Vapour Products, Nicotine Pouches
125B 48 -0.31 60 56 5.8%
VRT NYSE
Vertiv Holdings
Electrical Equipment
Power Management, Thermal Management, Racks
124B 72 -0.41 65 95 0.1%
LMT NYSE
Lockheed Martin
Aerospace & Defense
Fighter Jets, Missiles, Satellites, Military
122B 54 -0.05 79 27 3.4%
HDB NYSE
HDFC Bank
Banks
Consumer Loans, Credit Cards, Savings Accounts
122B 35 -0.97 67 5 2.9%
VWO NYSE ARCA
FTSE Emerging Markets Shares
Diversified Emerging Mkts
Emerging Market Stocks, Equity Securities, Index
122B 55 -0.74 44 56 2.8%
VWO NYSE
FTSE Emerging Markets Shares
Diversified Emerging Mkts
Emerging Market Stocks, Equity s, Diversified
122B 55 -0.74 44 56 2.8%
CB NYSE
Chubb
Insurance
Commercial Insurance, Personal Insurance
121B 57 0.86 53 50 1.3%
MO NYSE
Altria
Tobacco
Cigarettes, Cigars, Smokeless Tobacco, Nicotine
121B 78 0.79 79 71 6.9%
LOW NYSE
Lowe's Companies
Specialty Retail
Appliances, Lumber, Hardware, Garden Supplies
120B 38 -0.74 21 13 1.9%
UNA AS
Unilever
Personal Care Products
Personal Care, Foods, Home Care, Cosmetics
120B 42 0.39 72 15 3.6%
UL NYSE
Unilever
Personal Care Products
Personal Care, Foods, Home Care, Beauty Products
120B 40 -0.04 70 12 3.3%
ENB NYSE
Enbridge
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Renewable Power, Pipelines
120B 53 -0.41 41 68 5.5%
IJH NYSE ARCA
Core S&P Mid-Cap
Mid-Cap Blend
Mid-Cap Stocks, Futures, Options, Swaps, Cash
119B 53 -0.26 54 58 1.4%
IJH NYSE
Core S&P Mid-Cap
Mid-Cap Blend
Mid-Cap Equities, s, Derivatives, Cash Equivalents
119B 53 -0.26 54 58 1.4%
BNP PA
Banks
Retail Banking, Investment Banking, Asset
118B 52 -0.53 52 74 6.3%
SYK NYSE
Stryker
Health Care Equipment
Orthopedic Implants, Surgical Equipment
117B 34 -0.64 75 10 1.0%
BMY NYSE
Bristol-Myers Squibb
Pharmaceuticals
Oncology Drugs, Cardiovascular Drugs, Immunology
117B 66 0.11 82 54 4.9%
COF NYSE
Capital One Financial
Consumer Finance
Credit Cards, Auto Loans, Consumer Banking
117B 14 -1.10 20 15 1.5%
ISP MI
Intesa Sanpaolo SpA
Banks
Banking, Insurance, Asset Management, Loans
117B 39 -0.47 52 59 6.8%
CVS NYSE
CVS Health
Health Care Providers
Health Insurance, Pharmacy Benefits, Prescription
116B 60 1.10 62 84 3.6%
IFX XETRA
Infineon Technologies
Semiconductors
Power Semiconductors, Microcontrollers, Sensors
116B 59 0.61 67 97 0.8%
BMO NYSE
Bank of Montreal
Banks
Banking, Wealth Management, Capital Markets
116B 53 0.61 28 82 3.7%
ACN NYSE
Accenture
IT
Business Consulting, Technology Services
115B 47 -0.42 74 6 2.7%
PBR NYSE
Petroleo Brasileiro
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Diesel, Gasoline
114B 54 -0.16 59 84 9.4%
BP NYSE
BP
Oil, Gas & Consumable Fuels
Oil, Natural Gas, Renewable Energy, Lubricants
113B 50 -0.54 54 77 5.3%
PGR NYSE
Progressive
Insurance
Auto Insurance, Property Insurance, Commercial
111B 35 0.25 16 18 6.5%
ENEL MI
Enel SpA
Electric Utilities
Electricity, Natural Gas, Renewable Energy, Grid
110B 51 -0.76 52 64 5.9%
PH NYSE
Parker-Hannifin
Machinery
Motion Systems, Control Systems, Filtration
110B 65 0.38 82 48 0.9%
MFG NYSE
Mizuho Financial
Banks
Banking, Asset Management, Securities, Corporate
109B 65 0.76 44 86 2.4%
VIG NYSE
Dividend Appreciation Shares
Large Blend
Dividend Stocks, Equity Index, Exchange Traded
109B 51 -0.18 47 50 1.6%
VIG NYSE ARCA
Dividend Appreciation Shares
Large Blend
Exchange-Traded Fund, Dividend Stocks, Equity
109B 51 -0.18 47 50 1.6%
PWR NYSE
Quanta
Construction & Engineering
Electric Grids, Pipelines, Telecommunications
108B 71 0.81 76 91 0.1%
SBUX NASDAQ
Starbucks
Hotels, Restaurants
Coffee, Tea, Prepared Food, Packaged Beans
107B 43 0.21 48 44 2.6%
BPE5 XETRA
BP (Reg. Shares)
Oil, Gas & Consumable Fuels
Oil, Natural Gas, Biofuels, Lubricants, EV
107B 48 -0.26 53 79 5.4%
NEM NYSE
Newmont Goldcorp
Metals & Mining
Gold, Copper, Silver, Lead, Z
106B 75 -1.01 66 74 1.1%
EQIX NASDAQ
Equinix
Specialized REITs
Data Centers, Interconnection, Colocation, Cloud
105B 49 0.55 62 80 2.2%
MDT NYSE
Medtronic
Health Care Equipment
Pacemakers, Insulin Pumps, Surgical Robots, Heart
105B 38 -0.47 52 15 3.1%
VO NYSE
Mid-Cap Shares
Mid-Cap Blend
Mid-Cap Stocks, Equity Securities, s
105B 42 -0.47 49 51 1.5%
VO NYSE ARCA
Mid-Cap Shares
Mid-Cap Blend
Mid-Cap Stocks, Equity Securities
105B 42 -0.47 49 51 1.5%
PRX AS
Prosus
Interactive Media
Classifieds, Food Delivery, Payments, Fintech
105B 33 -0.28 33 12 0.3%
GSK NYSE
GlaxoSmithKline
Pharmaceuticals
Vaccines, Specialty Medicines, HIV Treatments
104B 67 -0.11 65 56 3.7%
SAN PA
Sanofi
Pharmaceuticals
Vaccines, Pharmaceuticals, Immunology, Rare
104B 52 -0.01 79 75 5.6%
IJR NYSE ARCA
Core S&P Small-Cap
Small Blend
Small-Cap Stocks, Equity Index, Exchange Traded
103B 62 -0.22 53 66 1.4%
IJR NYSE
Core S&P Small-Cap
Small Blend
Small-Cap Stocks, Equity Index, Exchange Traded
103B 62 -0.22 53 66 1.4%
SO NYSE
Southern
Electric Utilities
Electricity, Natural Gas, Energy Storage
102B 39 -0.56 56 38 3.2%
MAR NASDAQ
Marriott International
Hotels, Restaurants
Hotels, Residences, Timeshares, Luxury Yachts
102B 75 1.15 70 84 0.9%
TT NYSE
Trane Technologies
Building Products
HVAC Systems, Transport Refrigeration, Controls
101B 58 -0.54 81 51 1.2%
CM NYSE
Canadian Imperial Bank Of
Banks
Banking, Mortgages, Loans, Credit Cards, Wealth
99.8B 54 0.09 53 82 3.6%
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Fundamental
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