Filter

    • Market-Cap
    • Price
    • Age
    • Dividend Rating
    • Yield
    • Growth
    • Technical Rating
    • Alpha
    • Beta
    • Mean Drawdown
    • RSI
    • Fundamental Rating
    • Analyst Rating
    • Debt / EBITDA
    • S&P 500
    • US 10Y Gov. Bond
    • Crude Oil

Dividend Screener - Stocks, ETFs and Funds for the Income Investor

Symbol
Name
OTP Bank Nyrt
Common Stock
5,014,800m HUF
6.64
7.31
-
1.11
2.22
Apple Inc
Common Stock: Technology Hardware, Storage & Peri...
2,755,039m USD
8.30
4.45
6.99
0.94
9.07
Apple Inc.
Common Stock: Consumer Electronics
2,714,294m USD
8.30
4.83
6.14
0.93
8.24
MOL Hungarian Oil & Gas PLC
Common Stock
2,181,309m GBP
1.26
3.36
-
1.15
2.57
Apple Inc
Common Stock: Consumer Electronics
2,493,321m EUR
8.09
6.20
6.68
0.91
9.42
Microsoft Corporation
Common Stock: Systems Software
2,367,014m USD
8.17
7.40
6.60
0.95
10.00
Microsoft Corporation
Common Stock: Software-Infrastructure
2,366,568m USD
7.74
5.96
-
1.00
10.00
Microsoft Corporation
Common Stock: Software-Infrastructure
2,180,829m EUR
8.03
7.42
6.54
0.93
10.00
Taiwan Semiconductor Manufacturing Co. L...
Common Stock
2,269,688m USD
7.24
3.68
-
1.04
4.00
Gedeon Richter PLC
Common Stock
1,487,271m GBP
-0.18
6.57
-
1.17
-
NVIDIA Corporation
Common Stock: Semiconductors
758,954m USD
8.15
4.60
4.16
0.92
10.00
BYD Co. Ltd.
Common Stock
659,609m EUR
0.57
3.08
-
1.20
-
NVIDIA Corporation
Common Stock: Semiconductors
690,251m EUR
8.29
3.21
4.02
0.88
10.00
NVIDIA Corp.
Common Stock
618,200m USD
8.16
3.81
-
0.92
10.00
Visa Inc
Common Stock: Credit Services
456,030m EUR
8.00
8.14
7.68
1.04
2.33
Visa Inc. Class A
Common Stock: Data Processing & Outsourced Servic...
488,644m USD
6.64
8.13
7.92
1.07
1.88
Visa Inc. Cl A
Common Stock
478,892m USD
7.33
6.94
-
1.06
0.42
LVMH Moët Hennessy - Louis Vuitton Socié...
Common Stock: Luxury Goods
438,959m EUR
9.15
9.02
5.64
0.96
3.99
Transportadora de Gas del Sur SA ADR
Common Stock: Oil & Gas Storage & Transportation
471,102m USD
0.16
5.06
1.68
1.16
8.08
UnitedHealth Group Incorporated
Common Stock: Managed Health Care
456,271m USD
7.19
7.91
4.51
1.02
0.27
Exxon Mobil Corp
Common Stock: Integrated Oil & Gas
434,984m USD
4.00
7.32
8.71
1.12
-7.27
Johnson & Johnson
Common Stock: Pharmaceuticals
419,538m USD
5.05
7.57
1.90
1.09
-1.04
Walmart Inc
Common Stock: Hypermarkets & Super Centers
404,360m USD
8.17
6.07
2.67
1.05
1.17
Eli Lilly and Company
Common Stock: Pharmaceuticals
401,742m USD
8.95
9.16
4.54
0.85
8.00
JPMorgan Chase & Co
Common Stock: Diversified Banks
398,630m USD
4.02
7.77
-0.67
1.12
-0.67
Exxon Mobil Corporation
Common Stock: Oil & Gas Integrated
397,506m EUR
4.67
7.32
8.62
1.10
-2.25
Petroleo Brasileiro ADR Reptg 2 Pref
Common Stock: Oil & Gas
385,299m USD
3.21
8.39
-
1.12
10.00
LVMH Moet Hennessy Louis Vuitton SE
Common Stock
356,409m EUR
9.12
0.71
-
0.98
3.99
Procter & Gamble Company
Common Stock
384,298m USD
7.98
6.74
-
1.06
-0.46
Walmart Inc.
Common Stock
382,684m USD
7.98
5.38
-
1.09
1.28
Johnson & Johnson
Common Stock: Drug Manufacturers-General
382,533m EUR
5.66
7.37
3.95
1.07
-0.82
SPDR S&P 500 ETF Trust
Etf: Large Blend
380,249m USD
6.83
6.65
-
1.07
7.51
Roche Holding AG Participation
Common Stock
301,216m GBP
2.08
3.97
-
1.13
2.78
Walmart Inc
Common Stock: Discount Stores
373,367m EUR
8.22
6.26
2.76
1.02
0.96
Home Depot Inc.
Common Stock
373,159m USD
2.69
8.34
-
1.14
1.60
Procter & Gamble Company
Common Stock: Household & Personal Products
368,913m USD
8.00
7.55
5.01
1.06
-0.46
Procter & Gamble Company
Common Stock: Household Products
367,074m USD
8.19
7.78
4.66
1.02
-0.27
JPMorgan Chase & Co
Common Stock: Banks-Diversified
363,120m EUR
4.37
8.10
0.33
1.10
-2.19
The Procter & Gamble Company
Common Stock: Household & Personal Products
335,208m EUR
8.07
8.52
4.68
1.00
-2.09
Mastercard Inc
Common Stock: Data Processing & Outsourced Servic...
354,176m USD
7.47
8.20
7.76
1.06
6.19
Mastercard Inc.
Common Stock
349,328m USD
7.99
7.28
-
1.04
0.08
JPMorgan Chase & Co
Preferred Stock: Banks-Diversified
334,930m USD
6.29
5.80
0.24
1.12
3.47
JPMorgan Chase & Co
Preferred Stock: Banks-Diversified
330,306m USD
6.71
5.41
0.24
1.12
2.13
Bank of America Corporation
Common Stock
323,453m USD
0.23
1.48
-
1.16
-3.35
iShares Core S&P 500 ETF
Etf: Large Blend
311,714m USD
6.85
7.12
-
1.07
7.54
Chevron Corp
Common Stock: Integrated Oil & Gas
297,970m USD
3.88
7.33
5.18
1.12
-2.59
Vanguard S&P 500 ETF
Etf: Large Blend
292,956m USD
6.85
6.31
-
1.07
7.51
Merck & Company Inc
Common Stock: Drug Manufacturers-General
292,697m USD
8.28
7.41
-
1.07
2.17
Home Depot Inc
Common Stock: Home Improvement Retail
292,196m USD
5.35
9.40
4.31
1.06
0.16
Merck & Company Inc
Common Stock: Pharmaceuticals
287,416m USD
8.52
8.52
5.94
1.02
0.85


Dividend Yield

Dividend Payout Consistency

Benchmark SP500

Fundamental Filter

Technical Filter