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.
BDN Brandywine Realty Trust $0.0800 Q $3.15 10.17% -51.83% 83.2 -
PSEC Prospect Capital Corporation $0.0350 M $2.26 18.58% -70.73% 81.6 -
CCIF Carlyle Credit Income Fund $0.0600 M $2.96 24.33% -366.49% 77.7 -
JOF Japan Smaller Capitalization Fund, Inc. $0.0956 M $11.69 9.81% 14.01% 76.7 -
ECC Eagle Point Credit Company Inc. $0.0600 M $3.63 19.81% -148.39% 76.5 -
SCD LMP Capital and Income Fund Inc. $0.1200 M $15.50 9.29% -3278.39% 76.2 -
PTMN Portman Ridge Finance Corporation $0.0900 M $12.27 8.80% 0.00% 76.2 -
OXM Oxford Industries, Inc. $0.7000 Q $37.11 7.55% -151.06% 74.7 -
OCCI OFS Credit Company, Inc. $0.0500 M $2.63 22.81% -310.18% 74.5 -
CION CION Investment Corporation $0.1000 M $6.99 17.18% -378.19% 73.8 -
PDCC Pearl Diver Credit Company Inc. $0.1300 M $9.57 16.29% -92.90% 73.8 -
EIC Eagle Point Income Company Inc. $0.1100 M $10.05 13.13% -3717.58% 73.0 -
LFT-PA Lument Finance Trust, Inc. $0.4922 Q $20.00 9.84% -839.74% 72.9 -
RWT-PA Redwood Trust, Inc. $0.6250 Q $24.38 10.25% -151.35% 71.9 -
SPMC Sound Point Meridian Capital Inc $0.2000 M $10.05 23.88% -45.82% 71.9 -
EMO ClearBridge Energy Midstream Opportunity Fund Inc $0.3600 M $48.79 8.85% -217.16% 71.8 -
MYN BlackRock MuniYield New York Quality Fund, Inc. $0.0512 M $10.00 6.14% -71.22% 71.4 -
MMU Western Asset Managed Municipals Fund Inc. $0.0545 M $10.29 6.35% -1295.00% 71.3 -
DMA Destra Multi-Alternative Fund $0.1125 M $7.71 17.51% -663.57% 71.1 -
CINSF China Taiping Insurance Holdings Company Limited $0.1570 A $2.81 5.59% 4.65% 71.1 -
HOVNP Hovnanian Enterprises, Inc. PFD DEP1/1000A $0.4766 Q $20.51 9.29% 16.71% 70.9 -
MXF The Mexico Fund, Inc. $0.3500 Q $22.52 6.22% 17.87% 70.8 -
WKPPF Workspace Group plc $0.1791 S $4.26 8.41% -45.39% 70.5 -
MYI BlackRock MuniYield Quality Fund III, Inc. $0.0555 M $10.93 6.09% -119.87% 70.4 -
GNT GAMCO Natural Resources, Gold & Income Trust $0.0600 M $8.48 8.49% 17.62% 70.3 -
PSEC-PA Prospect Capital Corporation $0.3344 Q $16.80 7.96% -70.73% 70.1 -
BOMBF Bombardier Inc. $0.2049 Q $6.94 11.81% 2.15% 70.0 -
MQY BlackRock MuniYield Quality Fund, Inc. $0.0580 M $11.41 6.10% -99.92% 70.0 -
GGT The Gabelli Multimedia Trust Inc. $0.0800 M $4.24 22.64% 69.97% 69.9 -
NCZ Virtus Convertible & Income Fund II $0.1200 M $15.86 9.08% 40.47% 69.7 -
MUA BlackRock MuniAssets Fund, Inc. $0.0555 M $10.66 6.25% -148.31% 69.7 -
NCV Virtus Convertible & Income Fund $0.1360 M $17.41 9.38% 43.82% 69.6 -
MHD BlackRock MuniHoldings Fund, Inc. $0.0595 M $11.70 6.10% -92.86% 69.5 -
MUC BlackRock MuniHoldings California Quality Fund, Inc. $0.0535 M $10.78 5.96% -85.80% 69.5 -
ECC-PD Eagle Point Credit Company Inc. $0.1406 M $18.59 9.08% -148.39% 69.3 -
TSQ Townsquare Media, Inc. $0.2000 Q $6.44 12.42% -114.67% 69.1 -
TEI Templeton Emerging Markets Income Fund $0.0540 M $6.58 9.84% 43.96% 68.8 -
OXLCM Oxford Lane Capital Corp. $0.1719 M $24.99 8.25% -77.09% 68.6 -
PDPA Pearl Diver Credit Company Inc. $0.1667 M $24.97 8.01% -92.90% 68.3 -
GGN GAMCO Global Gold, Natural Resources & Income Trust $0.0300 M $5.12 7.03% 17.85% 68.3 -
MIY BlackRock MuniYield Michigan Quality Fund, Inc. $0.0545 M $12.14 5.39% -94.91% 68.1 -
MPA BlackRock MuniYield Pennsylvania Quality Fund $0.0477 M $11.27 5.08% -145.39% 68.0 -
MUJ BlackRock MuniHoldings New Jersey Quality Fund, Inc. $0.0540 M $12.26 5.29% -140.53% 67.7 -
GLU The Gabelli Global Utility & Income Trust $0.1100 M $19.09 6.91% 23.94% 67.5 -
PCG-PB Pacific Gas and Electric Company $0.3438 Q $20.00 6.88% 11.73% 67.1 -
NWWCF New China Life Insurance Company Ltd. $0.3048 S $7.05 8.64% 33.29% 66.9 -
PCG-PH Pacific Gas and Electric Company $0.2812 Q $16.52 6.81% 11.73% 66.8 -
PCG-PA Pacific Gas and Electric Company $0.3750 Q $22.07 6.80% 11.73% 66.8 -
HNHAF Hon Hai Precision Industry Co., Ltd. $0.2265 A $3.26 6.96% 42.55% 66.7 -
PCG-PG Pacific Gas and Electric Company $0.3000 Q $17.82 6.73% 11.73% 66.7 -
PCG-PD Pacific Gas and Electric Company $0.3125 Q $18.65 6.70% 11.73% 66.6 -
ADKT The Adirondack Trust Company $15.0000 S $650.25 4.61% 22.17% 66.5 -
PCG-PE Pacific Gas and Electric Company $0.3125 Q $18.75 6.67% 11.73% 66.4 -
MFAO MFA Financial, Inc. 9.000% Senior Notes $0.5625 Q $25.21 8.93% 22.81% 66.1 -
MFAN MFA Financial, Inc. 8.875% Senior Notes $0.5547 Q $25.11 8.84% 22.81% 66.1 -
ECCC Eagle Point Credit Company Inc. $0.1354 M $24.76 6.56% -148.39% 65.9 -
NWKHY Netcare Limited $0.2676 S $7.17 7.46% 3.23% 65.2 -
PINXF The People's Insurance Company (Group) of China Limited $0.0215 S $0.65 6.60% 28.79% 64.9 -
OXLCN Oxford Lane Capital Corp. $0.1484 M $24.91 7.15% -77.09% 64.9 -
ZTR Virtus Total Return Fund Inc. $0.0550 M $6.73 9.81% 77.83% 64.8 -
FBGGF Fabege AB (publ) $0.0583 Q $8.41 2.77% -176.15% 64.6 -
LNC Lincoln National Corporation $0.4500 Q $38.06 4.73% 35.34% 64.3 -
CMCSA Comcast Corporation $0.3300 Q $23.05 5.73% 24.47% 64.0 -
SOR Source Capital, Inc. $0.2083 M $45.92 5.44% 34.52% 63.7 -
EMD Western Asset Emerging Markets Debt Fund Inc. $0.0950 M $10.66 10.69% 63.80% 63.4 -
BHV BlackRock Virginia Municipal Bond Trust $0.0455 M $12.47 4.38% -67.17% 63.2 -
VIASP Via Renewables, Inc. $0.6570 Q $25.54 10.29% 51.80% 63.2 -
AIO Virtus Artificial Intelligence & Technology Opportunities Fund $0.1800 M $27.77 7.78% 0.00% 63.1 -
HBBHF HORNBACH Holding AG & Co. KGaA $2.8463 A $75.25 3.78% 27.74% 63.0 -
MEI Methode Electronics, Inc. $0.0500 Q $11.94 1.68% -32.59% 62.9 -
BBD-PC.TO Bombardier Inc. $0.3906 Q $25.61 6.10% 2.30% 62.8 -
METCL Ramaco Resources, Inc. - 9.00% $0.5687 Q $25.26 9.01% -8.44% 62.8 -
BOE BlackRock Enhanced Global Dividend Trust $0.0827 M $11.92 8.33% 54.48% 62.7 -
CICHF China Construction Bank Corporation $0.0270 S $1.05 5.14% 31.92% 62.6 -
STEW SRH Total Return Fund, Inc. $0.2000 Q $17.93 4.46% 36.56% 62.5 -
RILYT B. Riley Financial, Inc. 6.00% Senior Notes Due 2028 $0.3750 Q $21.53 6.97% 0.00% 62.5 -
GDV The Gabelli Dividend & Income Trust $0.1500 M $29.31 6.14% 35.08% 62.2 -
IDV iShares International Select Dividend ETF $1.1016 Q $43.17 10.21% - 62.2 -
SFB Stifel Financial Corporation 5.20% Senior Notes due 2047 $0.3250 Q $19.74 6.58% 35.62% 62.2 -
HST Host Hotels & Resorts, Inc. $0.9200 S $25.12 14.65% 81.44% 62.1 -
BDRXF Bombardier Inc. $0.2791 Q $18.24 6.12% 2.15% 62.1 -
BKT BlackRock Income Trust, Inc. $0.0882 M $10.46 10.11% 106.43% 62.0 -
BEP-PA Brookfield Renewable Partners L.P. $0.3281 Q $17.35 7.57% -6000.00% 62.0 -
BGY BlackRock Enhanced International Dividend Trust $0.0426 M $5.76 8.88% 56.29% 62.0 -
BCX Blackrock Resources & Commodities Strategy Trust $0.0697 M $11.71 7.14% 30.03% 61.7 -
OXLCO Oxford Lane Capital Corp. $0.1250 M $24.21 6.20% -77.09% 61.6 -
BME BlackRock Health Sciences Trust $0.2621 M $40.25 7.82% 52.76% 61.4 -
CCID Carlyle Credit Income Fund $0.1536 M $25.21 7.31% -366.49% 61.4 -
RILYN B. Riley Financial, Inc. - 6.50 $0.4062 Q $24.93 6.52% 0.00% 61.3 -
RILYZ B. Riley Financial, Inc. 5.25% Senior Notes due 2028 $0.3281 Q $19.80 6.63% 0.00% 61.2 -
DBRG-PI DigitalBridge Group, Inc. $0.4469 Q $16.00 11.17% 46.37% 61.2 -
HLTOF Hellenic Telecommunications Organization S.A. $1.0151 A $20.85 9.74% 46.50% 61.0 -
ENI-UN.TO Energy Income Fund $0.0100 M $2.43 4.94% 21.88% 61.0 -
XRN Chiron Real Estate Inc. $0.1600 M $35.58 5.40% -996.04% 60.9 -
OCCIN OFS Credit Company, Inc. $0.1094 M $24.81 5.29% -310.18% 60.9 -
EHI Western Asset Global High Income Fund Inc. $0.0700 M $5.99 14.02% 175.65% 60.8 -
BTX BlackRock Technology and Private Equity Term Trust $0.0525 M $9.12 6.91% 0.00% 60.7 -
BEPH Brookfield BRP Holdings Canada 4.625% Perpetual Subordinated Notes $0.2891 Q $14.84 7.80% -6000.00% 60.7 -
GAINI Gladstone Investment Corporation $0.4922 Q $25.55 7.71% 30.94% 60.6 -
CII BlackRock Enhanced Capital and Income Fund, Inc. $0.1410 M $24.83 6.81% 39.91% 60.5 -
QYLD Global X - Nasdaq 100 Covered Call ETF $0.1785 M $18.22 11.76% - 60.4 -
DBRG-PJ DigitalBridge Group, Inc. $0.4453 Q $16.11 11.06% 46.37% 60.4 -
TJSCF Tianjin Development Holdings Limited $0.0113 S $0.23 4.84% 50.85% 60.4 -
DBRG-PH DigitalBridge Group, Inc. $0.4453 Q $15.90 11.20% 46.37% 60.3 -
DDT Dillards Capital Trust I CAP SECS 7.5% $0.4688 Q $26.14 7.17% 85.02% 60.3 -
BCIC BCP Investment Corporation $0.0900 M $7.46 14.47% 188.33% 60.3 -
GECFF Gecina S.A. $3.2614 S $87.89 7.42% 89.99% 60.2 -
BEPI Brookfield BRP Holdings Canada 4.875% Perpetual Subordinated Notes $0.3047 Q $15.57 7.83% -6000.00% 60.2 -
BDJ BlackRock Enhanced Equity Dividend Trust $0.0619 M $9.39 7.91% 54.31% 60.1 -
BBAR Banco BBVA Argentina S.A. $0.0778 A $21.88 4.27% 6.29% 60.0 -
EICA Eagle Point Income Company Inc. $0.1042 M $24.98 5.00% -3717.58% 59.8 -
CSWC Capital Southwest Corporation $0.2534 S $23.14 13.14% 130.30% 59.8 -
CRF Cornerstone Total Return Fund, Inc. $0.1176 M $7.09 19.89% 137.41% 59.8 -
PCG-PI Pacific Gas and Electric Company PFD 1ST 4.36% $0.2725 Q $16.09 6.77% 11.73% 59.7 -
DSU BlackRock Debt Strategies Fund, Inc. $0.0987 M $9.65 12.27% 169.38% 59.7 -
SUEZF Südzucker AG $0.2372 A $12.02 1.97% -11.33% 59.6 -
NYMTM New York Mortgage Trust, Inc. $0.6549 Q $24.98 10.49% 76.92% 59.6 -
DPG Duff & Phelps Utility and Infrastructure Fund Inc. $0.0750 M $14.20 6.34% 36.62% 59.4 -
CLM Cornerstone Strategic Value Fund, Inc. $0.1215 M $7.46 19.56% 134.75% 59.4 -
CSDXF COSCO SHIPPING Energy Transportation Co., Ltd. $0.0562 A $1.75 3.21% 24.82% 59.3 -
NYMTN New York Mortgage Trust, Inc. $0.5000 Q $21.66 9.23% 76.92% 59.3 -
CTA-PB EIDP, Inc. USD 4.50 Cum Pfd Registered Shs $1.1250 Q $67.35 6.68% 43.42% 59.2 -
HIX Western Asset High Income Fund II Inc. $0.0490 M $4.00 14.72% 164.15% 59.2 -
HIO Western Asset High Income Opportunity Fund Inc. $0.0355 M $3.65 11.69% 154.85% 59.1 -
CTF-UN.TO Citadel Income Fund $0.0200 M $3.12 7.69% - 59.1 -
BGT BlackRock Floating Rate Income Trust $0.1203 M $10.64 13.57% 202.96% 59.0 -
CGROF The Character Group plc $0.0536 S $3.26 3.29% -241.72% 58.9 -
IGD Voya Global Equity Dividend and Premium Opportunity Fund $0.0500 M $6.25 9.61% 78.44% 58.9 -
CTA-PA EIDP, Inc. $0.8750 Q $53.22 6.58% 43.42% 58.8 -
EDF Virtus Stone Harbor Emerging Markets Income Fund $0.0600 M $5.58 12.90% 76.54% 58.8 -
PCG-PC Pacific Gas and Electric Company PFD 1ST 5% $0.3125 Q $19.38 6.45% 11.73% 58.6 -
PFO Flaherty & Crumrine Preferred Income Opportunity Fund Inc. $0.0556 M $9.20 7.25% 80.31% 58.6 -
WNC Wabash National Corporation $0.0800 Q $11.26 2.84% 6.52% 58.5 -
MRTI Maxus Realty Trust, Inc. $0.3000 M $75.70 1.59% 0.00% 58.4 -
ADAMM Adamas Trust, Inc. $0.6549 Q $25.36 10.33% 81.83% 58.4 -
HYT BlackRock Corporate High Yield Fund, Inc. $0.0779 M $8.54 10.95% 97.60% 58.3 -
WEA Western Asset Premier Bond Fund $0.0700 M $10.63 7.90% 72.00% 58.3 -
PPCCF PICC Property and Casualty Company Limited $0.0651 S $1.96 3.32% 31.52% 58.2 -
NBKCF National Bank of Canada $0.3138 Q $19.22 6.53% 48.59% 58.1 -
NXG NXG NextGen Infrastructure Income Fund $0.6000 M $58.51 12.31% 70.99% 58.1 -
CWESF Canadian Western Bank $0.2845 Q $18.00 6.32% 48.61% 58.1 -
GSEFF Covivio $2.5846 S $63.01 4.10% 52.47% 58.0 -
BEP-PM.TO Brookfield Renewable Partners L.P. $0.3781 Q $25.56 5.92% -6000.00% 58.0 -
T AT&T Inc. $0.2775 Q $22.38 4.96% 37.37% 57.9 -
PFD Flaherty & Crumrine Preferred Income Fund Inc. $0.0689 M $11.54 7.16% 79.90% 57.9 -
TYG Tortoise Energy Infrastructure Corporation $0.4750 M $42.36 13.46% 409.36% 57.9 -
JEPQ JPMorgan Nasdaq Equity Premium Income ETF $0.5644 M $60.96 11.11% - 57.8 -
VSNT Versant Media Group, Inc. Class A $0.3750 Q $38.35 3.91% 0.00% 57.8 -
RYLD Global X - Russell 2000 Covered Call ETF $0.1568 M $15.88 11.85% - 57.8 -
NRUC National Rural Utilities Cooper $0.3438 Q $23.52 5.85% 0.00% 57.7 -
PAI Western Asset Investment Grade Income Fund Inc. $0.0525 M $12.15 5.19% 61.92% 57.7 -
CHBH Croghan Bancshares, Inc. $0.6100 I $61.00 4.00% 39.42% 57.6 -
PDRDF Pernod Ricard S.A. $2.7235 S $72.95 7.47% 73.86% 57.5 -
PPT Putnam Premier Income Trust $0.0260 M $3.45 9.04% 119.34% 57.5 -
CSGEF China Suntien Green Energy Corporation Limited $0.0296 A $0.46 6.46% 48.22% 57.3 -
FRMUF Firm Capital Property Trust $0.0309 M $4.80 7.73% 74.66% 57.2 -
GIS General Mills, Inc. $0.6100 Q $33.62 7.26% 58.33% 57.2 -
BCEPF BCE Inc. $0.2268 Q $15.49 5.86% 33.70% 57.2 -
HERZ Herzfeld Credit Income Fund, Inc. $0.1700 M $16.07 12.70% 390.70% 57.1 -
DX-PC Dynex Capital, Inc. $0.5942 Q $25.98 9.15% 77.29% 57.1 -
CTPCY CITIC Limited $0.2833 S $8.38 3.38% 27.75% 57.0 -
SAR Saratoga Investment Corp. $0.2500 M $22.21 13.51% 143.03% 57.0 -
FRA BlackRock Floating Rate Income Strategies Fund, Inc. $0.1238 M $10.84 13.71% 208.08% 57.0 -
FLC Flaherty & Crumrine Total Return Fund Inc. $0.1047 M $16.80 7.48% 76.72% 56.9 -
FCMGF Firm Capital Mortgage Investment Corporation $0.0557 M $8.60 7.78% 97.25% 56.9 -
IPSOF Ipsos S.A. $2.3602 A $44.28 5.33% 42.80% 56.8 -
RZC 7.125% Fixed-Rate Reset Subordinated Debentures due 2052 $0.4453 Q $25.62 6.95% 20.30% 56.7 -
BGR BlackRock Energy and Resources Trust $0.0973 M $15.00 7.78% 73.55% 56.7 -
ADAMN Adamas Trust, Inc. $0.5000 Q $23.88 8.38% 81.83% 56.7 -
GGPXF G-Resources Group Limited $0.0230 A $0.86 2.67% 7.03% 56.6 -
MKLNF M1 Kliniken AG $1.0249 A $11.73 8.74% 42.06% 56.6 -
FFC Flaherty & Crumrine Preferred Securities Income Fund Inc. $0.1025 M $16.06 7.66% 78.67% 56.4 -
VARXF BOE Varitronix Limited $0.0195 A $0.63 3.08% 38.83% 56.1 -
CPOIF Capstone Infrastructure Corporation $0.1653 Q $14.77 4.48% -56.70% 56.1 -
XOMAP XOMA Corporation $0.5391 Q $25.43 8.48% 17.26% 56.0 -
FCD-UN.TO Firm Capital Property Trust $0.0433 M $6.91 7.52% 74.66% 56.0 -
ACV Virtus Diversified Income & Convertible Fund $0.1800 M $28.07 7.69% 48.63% 56.0 -
BTZ BlackRock Credit Allocation Income Trust $0.0839 M $10.11 9.96% 91.49% 55.9 -
NYMTZ New York Mortgage Trust, Inc. $0.4375 Q $18.63 9.39% 76.92% 55.8 -
ADAMZ Adamas Trust, Inc. 7.000% Series G Cumulative Redeemable Preferred Stock $0.4375 Q $19.15 9.14% 81.83% 55.8 -
TPAY Roundhill Investments - S&P 500 Target 10 Managed Distribution ETF $0.4218 M $53.86 9.40% - 55.8 -
BLW BlackRock Limited Duration Income Trust $0.1132 M $12.27 11.07% 106.33% 55.7 -
SKHSF Sekisui House, Ltd. $0.3629 S $19.57 3.71% 39.95% 55.7 -
BHK BlackRock Core Bond Trust $0.0746 M $8.99 9.95% 106.88% 55.7 -
PRS Prudential Financial, Inc. 5.62 $0.3516 Q $22.23 6.33% 53.86% 55.7 -
XOMAO XOMA Corporation $0.5234 Q $25.42 8.24% 17.26% 55.7 -
ACR-PC ACRES Commercial Realty Corp. $0.5994 Q $25.39 9.44% 99.58% 55.6 -
PIM Putnam Master Intermediate Income Trust $0.0220 M $3.19 8.28% 120.00% 55.6 -
JOUT Johnson Outdoors Inc. $0.3300 Q $46.68 2.83% -39.39% 55.6 -
SRV NXG Cushing Midstream Energy Fund $0.5000 M $45.92 13.07% 629.70% 55.5 -
SCVL Shoe Carnival, Inc. $0.1700 I $16.60 4.10% 32.04% 55.5 -
WIW Western Asset Inflation-Linked Opportunities & Income Fund $0.0625 M $8.46 8.86% 104.24% 55.5 -
DMO Western Asset Mortgage Opportunity Fund Inc. $0.1200 M $10.70 13.46% 128.18% 55.5 -
APA APA Corporation $0.2500 Q $34.21 2.92% 25.10% 55.5 -
BAC-PL Bank of America Corporation $18.1250 Q $1,251.00 5.80% 31.34% 55.5 -
SHZNF Shenzhen Expressway Corporation Limited $0.0361 A $0.95 3.80% 53.88% 55.5 -
CPB Campbell Soup Company $0.3900 Q $20.98 7.43% 76.25% 55.5 -
TVE Tennessee Valley Authority PARRS A 2029 $0.1385 Q $23.56 2.35% 0.02% 55.4 -
ONEX.TO Onex Corporation $0.1000 I $111.63 0.36% 3.19% 55.4 -
CNNRF Canadian Net Real Estate Investment Trust $0.0214 M $4.72 5.45% 42.91% 55.4 -

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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