Dividend Screener: 200+ results

Symbol Industry Market Cap VRT Buy Signal Risk RS (IBD) Div. Yield
1NVDA
NVIDIA
Coal & Consumable Fuels 4,726B 31 -0.99 74 60 0.1%
NVDA
NVIDIA
Semiconductors 4,695B 66 -0.24 75 69 0.1%
AAPL
Apple
Technology Hardware 4,000B 72 0.99 95 55 0.5%
1GOOGL
Alphabet Cl
Internet Content 3,810B 43 -0.40 78 80 0.2%
GOOG
Alphabet C
Interactive Media 3,672B 75 -0.16 93 83 0.4%
GOOGL
Alphabet
Interactive Media 3,664B 81 0.02 93 84 0.4%
1MSFT
Microsoft
Coal & Consumable Fuels 2,995B 17 -1.11 78 12 0.8%
MSFT
Microsoft
Systems Software 2,891B 53 -0.57 93 14 1.0%
TSM
Taiwan
Semiconductors 1,922B 81 1.20 75 92 1.2%
1FB
Meta Platforms
Coal & Consumable Fuels 1,665B 19 -0.76 78 19 0.2%
META
Meta Platforms
Interactive Media 1,631B 55 -0.17 93 23 0.3%
AVGO
Broadcom
Semiconductors 1,577B 72 -0.45 76 62 0.9%
WMT
Walmart Common
Consumer Staples 996B 76 -0.01 85 77 0.9%
LLY
Eli Lilly
Pharmaceuticals 965B 75 -0.09 90 69 0.9%
VOO
SP500
Large Blend 866B 52 -0.19 57 48 1.2%
JPM
JPMorgan Chase
Diversified Banks 846B 43 -0.22 78 41 2.1%
IVV
Core SP500
Large Blend 754B 52 -0.18 57 48 1.3%
SPY
SP500 Trust
Large Blend 698B 52 -0.18 58 48 1.2%
XOM
Exxon Mobil
Integrated Oil & Gas 637B 63 -0.33 88 82 4.3%
V
Visa
Transaction & Payment 615B 49 -0.68 83 17 0.9%
JNJ
Johnson & Johnson
Pharmaceuticals 595B 68 0.49 95 84 3.6%
VTI
Total Stock Market
Large Blend 586B 51 -0.17 58 49 1.2%
AZN
AstraZeneca
Pharmaceuticals 584B 69 -0.49 79 78 7.4%
1ASML
ASML Holding
Coal & Consumable Fuels 573B 45 0.30 80 92 1.1%
ASML
ASML Holding
Semiconductor Materials 566B 77 0.66 80 92 1.1%
ASML
ASML Holding
Semiconductor Materials 566B 70 0.17 80 93 1.1%
1MU
Micron Technology
Semiconductors 486B 45 0.55 75 99 0.2%
MU
Micron Technology
Semiconductor Materials 482B 81 0.79 92 99 0.3%
MA
Mastercard
Transaction & Payment 464B 58 -0.33 85 16 0.6%
ORCL
Oracle
Systems Software 450B 32 -0.98 73 11 1.0%
COST
Costco Wholesale
Consumer Staples 439B 56 -0.03 88 39 0.7%
ABBV
AbbVie
Biotechnology 397B 54 -0.07 83 51 3.3%
QQQ
QQQ Trust
Large Growth 396B 49 -0.30 54 46 0.5%
PG
Procter & Gamble
Household Products 387B 48 -0.33 93 42 2.7%
BAC
Bank of America
Diversified Banks 385B 30 -0.27 30 40 2.3%
XDJP
Nikkei 225 1D
Japan Large-Cap Blend Equity 384B 62 0.31 81 75 1.5%
HD
The Home Depot
Home Improvement Retail 375B 46 -0.52 90 42 2.5%
CVX
Chevron
Integrated Oil & Gas 369B 52 -0.33 80 75 5.6%
BABA
Alibaba Holding
Broadline Retail 368B 48 -0.65 89 54 1.7%
CAT
Caterpillar
Construction Machinery 356B 77 0.86 91 93 1.4%
GE
GE Aerospace
Aerospace & Defense 353B 77 0.58 88 82 0.6%
KO
The Coca-Cola
Soft Drinks & Non-alcoholic
Soda, Water, Juice, Tea, Dairy
343B 63 0.30 95 60 2.9%
MC
LVMH Moët Hennessy
Apparel, Accessories 324B 42 -0.16 89 24 2.4%
NVS
Novartis
Pharmaceuticals 317B 61 0.46 89 84 3.7%
TM
Toyota Motor
Automobile Manufacturers 315B 56 0.43 42 75 3.5%
CSCO
Cisco Systems
Communications Equipment 313B 63 0.20 80 59 2.5%
LRCX
Lam Research
Semiconductor Materials 308B 92 1.31 94 97 0.9%
MRK
Merck
Pharmaceuticals 304B 68 0.47 83 84 3.7%
HBC1
HSBC Holdings
Diversified Banks 301B 51 -0.56 81 81 5.1%
HSBC
HSBC Holdings
Diversified Banks 300B 54 -0.32 79 85 5.5%
AMAT
Applied Materials
Semiconductor Materials 298B 82 0.90 94 96 1.1%
PM
Philip Morris
Tobacco 286B 66 0.17 93 66 3.5%
GS
Goldman Sachs
Investment Banking 279B 59 0.46 65 78 2.0%
MS
Morgan Stanley
Investment Banking 279B 53 0.16 66 65 2.7%
RTX
Raytheon
Aerospace & Defense 276B 64 -0.14 79 81 2.2%
WFC
Wells Fargo
Diversified Banks 275B 36 -0.24 70 43 2.6%
UNH
UnitedHealth
Managed Health Care 263B 27 -1.45 61 14 2.5%
RMS
Hermes
Apparel, Accessories 261B 46 -0.79 94 19 1.0%
OR
L’Oreal
Personal Care Products 250B 57 0.02 95 49 1.8%
TMUS
T-Mobile US
Wireless Telecommunication 241B 30 -0.60 76 21 1.5%
RY
Royal Bank of
Diversified Banks 240B 53 -0.87 39 77 3.2%
IBM
International
IT Consulting & Other 240B 41 -0.81 78 14 3.2%
AXP
American Express
Consumer Finance 236B 29 -0.65 25 25 1.1%
MCD
McDonald’s
Restaurants 235B 63 -0.13 91 47 2.3%
SAP
SAP SE
Application Software 234B 37 -1.08 95 8 0.9%
SAP
SAP SE
Application Software 234B 38 -1.26 95 10 0.9%
LIN
Linde Ordinary
Industrial Gases 230B 55 0.54 71 59 1.3%
SHEL
Shell
Oil & Gas Exploration 227B 55 0.01 85 63 5.0%
GEV
GE Vernova
Independent Power Producers 226B 79 1.34 64 94 0.2%
SIE
Siemens
Industrial Machinery
Automation, Digitalization, Rail
226B 52 -0.16 86 47 4.4%
PEP
PepsiCo
Soft Drinks & Non-alcoholic 225B 60 0.18 92 67 3.9%
R6C0
Shell
Integrated Oil & Gas 224B 45 0.16 90 53 3.9%
MUFG
Mitsubishi UFJ
Diversified Banks 218B 47 0.11 63 79 3.3%
VEA
FTSE Developed
Foreign Large Blend 216B 88 0.10 70 74 3.4%
NVO
Novo Nordisk
Pharmaceuticals 215B 38 -1.39 82 7 2.7%
ITX
Industria de
Apparel Retail
Clothing, Footwear, Accessories
212B 63 0.04 93 72 3.5%
C
Citigroup
Diversified Banks 207B 39 -0.49 32 74 3.3%
VZ
Verizon
Integrated Telecommunication 205B 56 0.65 83 70 6.7%
AMGN
Amgen
Biotechnology 202B 67 0.70 69 75 3.9%
TXN
Texas Instruments
Semiconductors 200B 58 -0.71 83 67 3.1%
T
AT&T
Integrated Telecommunication 198B 50 -0.04 76 46 4.3%
VUG
Growth Shares
Large Growth 196B 40 -0.39 55 36 0.5%
ABT
Abbott Laboratories
Health Care Equipment 195B 34 -0.76 79 16 1.9%
TMO
Thermo Fisher
Life Sciences Tools 194B 49 -0.72 90 26 0.4%
KLAC
KLA
Semiconductor Materials 193B 81 0.05 94 91 1.0%
BHP
BHP
Diversified Metals & Mining 193B 71 0.24 86 89 4.2%
RIO
Rio Tinto
Diversified Metals & Mining 192B 65 0.14 79 89 6.0%
DTE
Deutsche Telekom
Integrated Telecommunication 192B 48 -0.75 76 48 2.8%
NEE
Nextera Energy
Electric Utilities 191B 44 0.00 74 76 3.1%
DIS
Walt Disney
Movies & Entertainment 188B 43 -0.36 88 23 1.1%
GILD
Gilead Sciences
Biotechnology 187B 63 -0.49 83 77 2.8%
SAN
Banco Santander
Diversified Banks 186B 58 -0.52 60 85 3.0%
APH
Amphenol
Electronic Components 186B 81 0.53 90 88 0.8%
SAN
Banco Santander
Diversified Banks 182B 46 -0.07 69 87 2.7%
DE
Deere
Agricultural & Farm 179B 59 0.22 40 80 1.4%
IEFA
Core MSCI EAFE
Foreign Large Blend 178B 82 0.10 73 68 3.7%
TJX
The TJX Companies
Apparel Retail 176B 70 -0.16 87 63 1.5%
EL
EssilorLuxottica
Health Care Equipment 175B 35 -0.70 76 13 1.6%
VTV
Value Shares
Large Value 172B 65 0.09 67 61 2.2%
SU
Schneider Electric
Industrial Machinery 172B 56 -0.74 92 64 1.8%
AIR
Airbus SE
Aerospace & Defense 171B 46 -0.80 68 28 2.3%
SCHW
Charles Schwab
Investment Banking 170B 41 -0.42 71 39 1.6%
BLK
BlackRock
Asset Management & Custody
ETFs, Mutual Funds, Hedge Funds
170B 53 0.39 76 43 2.0%
CRM
Salesforce.com
Application Software 170B 41 -1.20 84 9 0.7%
ADI
Analog Devices
Semiconductors 169B 73 0.48 85 88 1.6%
SAF
Safran
Aerospace & Defense 168B 66 -0.62 73 75 1.1%
HDB
HDFC Bank
Diversified Banks 168B 25 -0.67 35 19 2.9%
TTE
TotalEnergies SE
Integrated Oil & Gas 167B 61 0.42 79 79 5.9%
TTE
TotalEnergies SE
Integrated Oil & Gas 166B 56 0.31 77 74 6.0%
ALV
Allianz SE VNA O.N.
Multi-line Insurance 165B 54 -0.89 68 45 4.3%
HON
Honeywell
Industrial Conglomerates 164B 62 0.00 94 72 2.2%
TD
Toronto Dominion
Diversified Banks 163B 43 -0.22 30 81 4.2%
SCCO
Southern Copper
Copper 160B 79 1.16 88 96 3.5%
IBE
Iberdrola S.A.
Electric Utilities 158B 65 -0.98 78 75 4.0%
UL
Unilever
Personal Care Products 157B 66 0.31 91 52 3.2%
UNP
Union Pacific
Rail Transportation
Railroad, Freight, Intermodal
156B 60 0.32 98 65 2.4%
RIO1
Rio Tinto
Diversified Metals & Mining 156B 66 0.37 83 87 5.9%
BX
Blackstone
Asset Management & Custody 155B 45 -0.88 65 12 4.2%
LMT
Lockheed Martin
Aerospace & Defense 154B 67 0.27 81 87 2.9%
LOW
Lowe's Companies
Home Improvement Retail 154B 63 -0.90 75 67 2.0%
BUD
Anheuser Busch
Brewers 153B 56 0.31 79 79 1.5%
PFE
Pfizer
Pharmaceuticals 153B 49 -0.22 83 54 7.1%
QCOM
Qualcomm
Semiconductors 153B 44 -0.52 92 18 2.2%
BND
Total Bond Market
Intermediate Core Bond 152B 48 -0.27 75 34 4.2%
DHR
Danaher
Health Care Equipment 149B 42 -1.00 90 24 0.6%
SMFG
Sumitomo Mitsui
Diversified Banks 149B 47 0.57 32 84 3.3%
IEMG
Core MSCI Emerging
Diversified Emerging Mkts 147B 87 0.33 78 77 3.0%
ETN
Eaton
Electrical Components 147B 59 -0.09 86 62 1.3%
WELL
Welltower
Health Care REITs 145B 61 -0.09 66 71 1.8%
SYK
Stryker
Health Care Equipment 143B 50 -0.41 94 26 0.9%
VXUS
Total
Foreign Large Blend 142B 86 0.21 71 71 3.4%
AGG
Core U.S.
Intermediate Core Bond 140B 48 -0.26 76 35 4.3%
TBB
AT&T
Wireless Telecommunication 139B 41 0.03 73 31 5.9%
COP
ConocoPhillips
Oil & Gas Exploration 138B 53 -0.33 96 72 4.2%
UBS
UBS
Diversified Capital Markets 135B 33 -0.87 37 63 4.8%
BMT
British American
Tobacco 134B 57 -0.27 84 73 6.5%
NEM
Newmont Goldcorp
Gold 134B 73 0.80 85 95 1.7%
ACN
Accenture
IT Consulting & Other 134B 46 -1.54 81 9 2.3%
BBVA
Banco Bilbao
Diversified Banks 133B 44 -0.11 30 84 5.4%
BBVA
Banco Bilbao
Diversified Banks 133B 55 -0.31 79 80 4.5%
BTI
British American
Tobacco 132B 60 0.20 84 79 6.2%
BKNG
Booking Holdings
Hotels, Resorts & Cruise 132B 50 -0.42 96 11 0.7%
SONY
Sony
Consumer Electronics 131B 35 -0.52 96 12 0.6%
CB
Chubb
Property & Casualty 131B 64 1.02 88 66 1.3%
UCG
UniCredit S.p.A.
Regional Banks 130B 45 -0.40 74 76 5.4%
COF
Capital One
Consumer Finance 130B 23 -0.47 40 22 1.7%
1EL
EssilorLuxottica
Coal & Consumable Fuels 130B 19 -0.62 84 13 1.6%
PLD
Prologis
Industrial REITs 129B 56 0.17 68 69 3.5%
PH
Parker-Hannifin
Industrial Machinery 129B 72 0.98 92 83 1.2%
IBKR
Interactive Brokers
Investment Banking 126B 68 -0.19 70 71 0.3%
SPGI
S&P Global
Financial Exchanges & Data 126B 37 -0.73 88 13 0.7%
MDT
Medtronic
Health Care Equipment 125B 61 -0.21 92 39 3.1%
BMY
Bristol-Myers
Pharmaceuticals 124B 53 0.17 85 77 5.0%
BNP
Regional Banks 123B 54 0.28 41 80 9.6%
GSK
GlaxoSmithKline
Pharmaceuticals 122B 68 -0.29 74 86 5.0%
ISP
Intesa Sanpaolo SpA
Diversified Banks 120B 39 -0.61 56 60 6.9%
GS71
GSK
Pharmaceuticals
Vaccines, Oncology, Respiratory
120B 65 -0.01 80 83 4.2%
GLW
Corning
Electronic Components 120B 71 0.79 80 97 1.9%
PGR
Progressive
Property & Casualty 120B 38 -0.42 96 16 6.5%
HCA
HCA Holdings
Health Care Facilities
Hospitals, Surgery Centers
118B 64 -0.49 69 78 0.8%
VWO
FTSE Emerging
Diversified Emerging Mkts 118B 79 0.04 79 67 2.9%
IWF
Russell 1000 Growth
Large Growth 117B 41 -0.32 54 37 0.4%
MCK
McKesson
Health Care Distributors 116B 67 0.41 79 79 0.4%
SNY
Sanofi
Pharmaceuticals
Vaccines, Immunology, Oncology
115B 46 -0.65 83 19 4.4%
MFG
Mizuho Financial
Diversified Banks
Banking, Securities, Asset, Trust
115B 51 -0.05 55 86 3.3%
ENEL
Enel SpA
Electric Utilities 115B 54 0.11 71 74 5.9%
CMCSA
Comcast
Cable & Satellite 114B 52 0.02 85 52 4.1%
MO
Altria
Tobacco 114B 66 0.38 96 70 7.0%
AI
Air Liquide
Specialty Chemicals 114B 48 -0.09 86 30 1.8%
PRX
Prosus
Interactive Media 113B 32 -0.24 39 16 0.3%
SAN
Sanofi
Pharmaceuticals 113B 38 -0.68 95 17 4.3%
ENB
Enbridge
Oil & Gas Storage 112B 60 0.20 63 64 7.3%
AEM
Agnico Eagle Mines
Gold 112B 76 0.79 87 94 1.3%
IJH
Core S&P Mid-Cap
Mid-Cap Blend 112B 52 0.22 75 58 1.4%
VGT
Information
Technology 111B 48 -0.41 54 49 0.5%
IBN
ICICI Bank
Diversified Banks 111B 37 -0.25 86 24 0.8%
SBUX
Starbucks
Restaurants 111B 42 -0.38 61 48 3.3%
CME
CME
Financial Exchanges & Data 111B 53 0.80 52 66 1.9%
CDI
Christian Dior SE
Apparel, Accessories 107B 46 -0.22 92 26 2.6%
INTU
Intuit
Application Software 106B 43 -2.22 89 4 0.7%
CEG
Constellation
Electric Utilities 106B 28 0.47 61 24 0.5%
NOC
Northrop Grumman
Aerospace & Defense 105B 67 0.15 82 84 2.1%
VIG
Dividend
Large Blend 105B 53 -0.08 66 49 1.7%
BMO
Bank of Montreal
Diversified Banks 105B 57 0.86 40 78 4.1%
SO
Southern
Electric Utilities 105B 41 0.09 68 45 4.1%
BN
Brookfield
Asset Management & Custody 104B 32 -0.10 56 44 0.6%
TT
Trane Technologies
Building Products 103B 65 -0.21 93 61 1.0%
ITUB
Itau Unibanco
Diversified Banks 102B 57 0.11 75 89 12.2%
HWM
Howmet Aerospace
Aerospace & Defense 101B 85 0.82 92 89 0.3%
BP
BP
Integrated Oil & Gas 99.9B 49 -0.16 78 63 5.8%
DUK
Duke Energy
Electric Utilities 98.6B 47 0.13 64 48 4.4%
CS
AXA
Multi-line Insurance 98.1B 43 -1.06 86 33 5.2%
UPS
United Parcel
Air Freight & Logistics 98.0B 52 0.63 81 71 8.1%
CVS
CVS Health
Health Care 97.6B 38 -0.95 61 46 3.7%
WDC
Western Digital
Technology Hardware 97.3B 74 0.00 82 99 0.4%
BPE5
BP p.l.c.
Integrated Oil & Gas 97.0B 37 -0.43 83 54 5.6%
NKE
Nike
Footwear 96.8B 42 -0.69 85 21 2.3%
IJR
Core S&P Small-Cap
Small Blend 96.8B 50 0.10 72 60 1.5%
BNS
Bank of Nova Scotia
Diversified Banks 96.3B 56 -0.20 30 81 5.4%
VO
Mid-Cap Shares
Mid-Cap Blend 96.1B 48 -0.04 64 49 1.6%

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