Dividend Stocks

All dividend payers above $1B market cap. This is a free, ready-made stock screen on DeltaScreener that filters 5,000+ NYSE & NASDAQ stocks in real time. Click any company to see its full financials, or edit the filters to make the screen your own.

Search Query

Dividend Yield > 1 AND Market Cap > 1000

Matching Stocks (1,002 results — page 24 of 41, sorted by Market Cap)

#CompanyPriceChange %Market CapP/EROEDiv YieldSector
576 HRB H&R Block, Inc. $44.05 -1.21% $5.58B 7.73 — 4.11% Consumer Cyclical
577 GBCI Glacier Bancorp, Inc. $42.73 -0.58% $5.56B 17.78 7.61% 3.19% Financial Services
578 SXT Sensient Technologies Corporation $130.37 -1.26% $5.55B 34.47 13.02% 1.28% Basic Materials
579 MUR Murphy Oil Corporation $38.68 +0.21% $5.54B 18.37 5.71% 3.72% Energy
580 TFX Teleflex Incorporated $125.12 +0.75% $5.54B — -31.83% 1.08% Healthcare
581 CPA Copa Holdings, S.A. $134.23 -0.22% $5.53B 8.7 22.40% 5.09% Industrials
582 LKQ LKQ Corporation $21.84 -0.77% $5.53B 12.67 7.09% 5.26% Consumer Cyclical
583 SNDR Schneider National, Inc. $31.50 -0.72% $5.52B 51.39 3.68% 1.22% Industrials
584 WH Wyndham Hotels & Resorts, Inc. $74.06 +0.95% $5.50B 25.36 42.06% 2.46% Consumer Cyclical
585 ASB Associated Banc-Corp $28.65 -0.38% $5.41B 10.02 9.86% 3.31% Financial Services
586 KGS Kodiak Gas Services, Inc. $53.47 -0.19% $5.40B 61.74 5.55% 3.61% Energy
587 CAKE The Cheesecake Factory Incorporated $108.45 +1.44% $5.39B 28.63 38.83% 1.09% Consumer Cyclical
588 MBGL Mobility Global Inc. $18.22 +0.77% $5.37B 58.77 0.91% 1.32% Technology
589 AUB Atlantic Union Bankshares Corporation $37.80 -0.32% $5.36B 11.59 9.68% 3.81% Financial Services
590 HAFN Hafnia Limited $10.72 -1.20% $5.36B 7.91 26.22% 19.46% Industrials
591 TEO Telecom Argentina SA $12.37 -3.36% $5.33B 11.9 — 2.48% Communication Services
592 AROC Archrock, Inc. $30.28 -0.20% $5.31B 16.31 21.96% 3.03% Energy
593 OUT OUTFRONT Media Inc. $29.98 +1.35% $5.28B 20.21 35.88% 4.60% Real Estate
594 PAGP Plains GP Holdings, L.P. - Class A Share $26.62 +0.19% $5.27B 9.31 39.97% 6.41% Energy
595 POR Portland General Electric Co $45.39 +0.09% $5.25B 19.45 6.30% 4.96% Utilities
596 MTN Vail Resorts, Inc. $146.03 -0.04% $5.20B 34.18 47.19% 6.29% Consumer Cyclical
597 RUSHA Rush Enterprises, Inc. $44.52 -1.42% $5.19B 13.97 11.76% 3.53% Consumer Cyclical
598 NJR NewJersey Resources Corporation $51.21 +0.39% $5.17B 14.19 14.42% 3.88% Utilities
599 ADT ADT Inc. $6.43 -1.08% $5.14B 8.06 16.83% 3.54% Industrials
600 RLI RLI Corp. Common Stock (DE) $55.71 -1.05% $5.11B 11.75 24.37% 1.29% Financial Services

Related Dividend & Income Screens

Build your own screen with 50+ ratios →