High Dividend Yield Stocks

100 Matches
Name Market Cap Share Price 1 Day Change Div Yield PER Volume Sector Div Growth 5y Div Payments per Years Div Payout Years Div Increase Years 1 Week Perf 1 Month Perf 3 Month Perf 6 Month Perf YTD Perf 1 Year Perf 5 Years Perf Div Yield 2
BP p.l.c
GB0007980591 — BP
848.2 M USD 3.99 USD 0.19% 8.7% 20.2 29.4 M Energy 3.61% 4 31 8.55% 5.70% 13.85% 25.10% 9.86% 6.9%
BYD Company Limited
CNE100000296 — 1211
71.6 B USD 33.21 USD 8.03% 8.3% 169.6 23.0 M Consumer Cyclical 5 11.01% 38.00% 15.68% 152.6% 393.0% 0.1%
Telefónica, S.A
ES0178430E18 — TEF
23.4 B USD 4.61 USD 1.69% 10.8% 15.2 11.8 M Communication Services 12.11% 2 18 1 1.27% 1.29% 19.17% 36.93% 45.79% 8.5%
Samsung Electronics Co., Ltd
KR7005930003 — 005930
498.3 B USD 70.22 USD 1.02% 9.2% 18.3 11.6 M Technology 27.52% 4 25 3.29% 4.46% 34.78% 179.2% —%
Fortescue Metals Group Limited
AU000000FMG4 — FMG
48.8 B USD 18.56 USD 2.09% 8.7% 7.8 9.4 M Basic Materials 103.8% 2 10 2 11.83% 27.30% 1.65% 50.56% 626.1% 14.0%
Enterprise Products Partners L.P
US2937921078 — EPD
48.0 B USD 22.35 USD 0.97% 8.0% 12.8 6.1 M Energy 3.34% 4 23 7 7.07% 2.36% 15.86% 40.73% 12.56% 8.0%
AGNC Investment Corp
US00123Q1040 — AGNC
8.9 B USD 15.90 USD 0.19% 9.4% 15.3 5.8 M Real Estate 8.85% 12 13 1 6.85% 4.62% 3.31% 14.94% 30.80% 8.7%
TOTAL SE
FR0000120271 — FP
122.4 B USD 45.45 USD 1.00% 8.0% 5.2 M Energy 1.89% 31 1 2.44% 12.07% 33.41% 19.48% 6.7%
M&G plc
GB00BKFB1C65 — MNG
75.3 M USD 3.19 USD 2.79% 8.6% 4.8 4.5 M Financial Services 2 1 1 4.26% 15.68% 17.20% 55.56% 11.6%
Telefónica Deutschland Holding AG
DE000A1J5RX9 — O2D
8.2 B USD 2.67 USD 0.13% 7.8% 21.3 3.8 M Communication Services 6.66% 1 8 0.62% 2.40% 3.15% 0.83% 12.61% 7.3%
Steinhoff International Holdings N.V
NL0011375019 — SNH
566.9 M USD 0.11 USD 0.42% 98.2% 3.5 M Consumer Cyclical 16.87% 18.00% 60.17% 155.6% 98.04% —%
Mobile TeleSystems
RU0007775219 — MTSS
7.8 B USD 4.20 USD 0.063% 31.2% 10.1 3.3 M Services 11.18% 3 17 3 7.35% 0.68% 5.55% 3.17% 128.3% 13.2%
TUI AG
DE000TUAG000 — TUI1
5.7 B USD 4.55 USD 2.19% 12.2% 6.2 3.0 M Consumer Cyclical 10.35% 1 7 16.43% 11.72% 27.12% 31.26% 62.03% 7.5%
Ares Capital Corporation
US04010L1035 — ARCC BDC
8.1 B USD 20.02 USD 0.25% 8.8% 16.2 2.6 M Financial Services 0.23% 4 17 9.46% 21.26% 49.66% 93.34% 8.8%
TripAdvisor, Inc
US8969452015 — TRIP
6.6 B USD 38.28 USD 0.87% 20.8% 34.5 2.5 M Consumer Cyclical 6.36% 28.69% 35.22% 96.61% 28.90% —%
The Macerich Company
US5543821012 — MAC
1.9 B USD 16.15 USD 0.92% 12.6% 16.7 2.3 M Real Estate 29.79% 4 27 9.12% 24.42% 51.50% 140.2% 71.73% 4.9%
The GEO Group, Inc
US36162J1060 — GEO
967.0 M USD 6.90 USD 0.29% 23.4% 8.5 2.0 M Real Estate 1.25% 4 9 11.76% 14.39% 21.14% 33.82% 36.03% 13.1%
PAO NOVATEK
RU000A0DKVS5 — NVTK
63.8 B USD 21.77 USD 0.37% 19.5% 55.1 1.8 M Basic Materials 12.58% 2 16 4.79% 14.43% 30.14% 51.81% 182.4% 2.0%
Vestas Wind Systems A/S
DK0010268606 — VWS
42.1 B USD 37.21 USD 2.08% 9.5% 45.9 1.7 M Industrials 15.25% 1 6 2 1.90% 79.22% 84.02% 75.54% 54.99% —%
Apartment Investment and Management Comp
US03748R7540 — AIV
855.7 M USD 6.96 USD 0.87% 9.0% 4.5 1.7 M Real Estate 1.79% 27 1 6.95% 23.19% 37.55% 61.12% 29.54% 1.4%
Magellan Midstream Partners, L.P
US5590801065 — MMP
9.5 B USD 46.90 USD 0.64% 9.7% 11.8 1.5 M Energy 7.11% 4 20 20 8.00% 6.93% 13.37% 31.08% 10.54% 9.7%
ARMOUR Residential REIT, Inc
US0423155078 — ARR REIT
799.1 M USD 10.36 USD 0.38% 10.0% 1.4 M Real Estate 20.96% 10 11 1 9.91% 14.73% 2.36% 12.27% 27.79% 8.3%
Arbor Realty Trust, Inc
US0389231087 — ABR
2.0 B USD 18.13 USD 0.82% 7.9% 11.6 1.3 M Real Estate 16.57% 4 9 9 10.48% 31.19% 63.65% 268.4% 8.3%
Rio Tinto Group
GB0007188757 — RIO
1.3 B USD 85.53 USD 1.88% 7.8% 14.0 1.3 M Basic Materials 15.14% 2 31 15.41% 8.05% 29.39% 246.9% 9.6%
EVRAZ plc
GB00B71N6K86 — EVR
121.9 M USD 8.50 USD 0.62% 8.1% 14.5 1.2 M Basic Materials 2 4 1 0.83% 14.11% 25.58% 89.28% 568.4% 7.9%
Prospect Capital Corporation
US74348T1025 — PSEC BDC
3.0 B USD 8.12 USD 0.25% 9.4% 6.4 1.1 M Financial Services 6.86% 12 17 1 6.68% 4.77% 47.37% 69.67% 67.92% 9.4%
Imperial Brands PLC
GB0004544929 — IMB
195.1 M USD 21.42 USD 0.97% 9.4% 9.5 1.0 M Consumer Defensive 13.12% 3 24 2.17% 5.63% 0.42% 19.97% 46.93% 968.6%
Swiss Re AG
CH0126881561 — SREN
25.6 B USD 87.51 USD 0.73% 7.9% 33.5 1.0 M Financial Services 6.78% 1 26 11 2.96% 9.57% 0.27% 18.71% 22.59% 7.1%
Alstom SA
FR0010220475 — ALO
20.6 B USD 41.23 USD 0.57% 12.1% 26.4 996.6 k Industrials 18.23% 12.54% 27.13% 15.08% 86.24% —%
Eutelsat Communications S.A
FR0010221234 — ETL
2.8 B USD 11.01 USD 2.38% 8.5% 8.2 897.1 k Technology 3.97% 1 15 1 6.94% 9.72% 1.12% 20.41% 24.86% 8.5%
VMware, Inc
US9285634021 — VMW
61.5 B USD 154.2 USD 0.28% 17.6% 30.2 759.3 k Technology 2.01% 5.60% 11.17% 9.91% 111.0% —%
FS KKR Capital Corp
US3026352068 — FSK BDC
2.4 B USD 20.95 USD 0.19% 13.4% 8.0 699.8 k Financial Services 5.33% 5 7 2.78% 6.24% 28.21% 37.61% 1.55% 15.6%
Owl Rock Capital Corporation
US69121K1043 — ORCC BDC
5.4 B USD 14.39 USD 0.83% 8.0% 9.8 695.5 k Financial Services 4 2 2 0.75% 0.98% 16.90% 24.42% 8.7%
Hercules Capital, Inc
US4270965084 — HTGC BDC
1.8 B USD 17.44 USD 0.98% 8.2% 7.9 643.3 k Financial Services 2.48% 4 16 3 0.35% 9.41% 22.73% 59.37% 100.1% 9.4%
Unibail-Rodamco-Westfield SE
FR0013326246 — URW
10.9 B USD 84.38 USD 2.57% 7.9% 11.6 622.2 k Real Estate 2.38% 2 22 1 8.47% 6.03% 17.60% 135.9% 60.38% 8.0%
PVH Corp
US6936561009 — PVH
7.0 B USD 104.3 USD 0.32% 7.8% 8.2 568.8 k Consumer Cyclical 24.21% 1 37 0.39% 0.79% 8.07% 61.24% 4.04% 0.0%
Polymetal International plc
JE00B6T5S470 — POLY
106.2 M USD 21.48 USD 0.13% 8.2% 10.0 532.3 k Basic Materials 21.81% 3 9 4 1.85% 4.62% 15.23% 8.28% 81.42% —%
PennantPark Investment Corporation
US7080621045 — PNNT BDC
380.1 M USD 6.47 USD 1.25% 9.5% 10.6 488.6 k Financial Services 14.04% 4 14 1 5.82% 11.55% 44.10% 97.19% 39.65% 8.4%
L'Occitane International S.A
LU0501835309 — 0973
4.2 B USD 3.56 USD 2.59% 9.8% 33.0 388.1 k Consumer Defensive 7.31% 1 10 2.59% 20.17% 44.57% 111.1% 89.88% 8.1%
Golub Capital BDC, Inc
US38173M1027 — GBDC BDC
2.5 B USD 15.86 USD 0.51% 8.2% 23.0 362.4 k Financial Services 0.77% 4 11 1.93% 6.16% 11.53% 22.88% 22.23% 7.8%
New Mountain Finance Corporation
US6475511001 — NMFC BDC
1.2 B USD 13.35 USD 0.075% 10.0% 20.8 355.6 k Financial Services 1.83% 4 10 1 1.83% 5.95% 17.52% 42.98% 50.87% 9.7%
Nintendo Co., Ltd
US6544453037 — NTDOY
68.5 B USD 65.09 USD 1.31% 20.8% 16.8 353.9 k Communication Services 34.88% 1 20 12.34% 10.91% 17.29% 8.77% 112.7% 1.3%
Metro AG
DE000BFB0019 — B4B
3.8 B USD 12.83 USD 0.091% 8.0% 5.4 302.4 k Consumer Defensive 1 3 1 1.02% 17.69% 13.96% 28.07% 7.9%
Goldman Sachs BDC, Inc
US38147U1079 — GSBD BDC
2.0 B USD 19.24 USD 0.84% 9.1% 6.1 256.4 k Financial Services 4 6 5.03% 2.67% 28.10% 34.96% 2.6%
BlackRock Capital Investment Corporation
US0925331086 — BKCC BDC
247.4 M USD 3.87 USD 1.57% 13.5% 255.4 k Financial Services 19.56% 4 14 1 4.44% 15.18% 46.04% 49.94% 22.96% 12.2%
PennantPark Floating Rate Capital Ltd
US70806A1060 — PFLT BDC
465.3 M USD 12.99 USD 0.15% 9.5% 13.5 217.0 k Financial Services 0.18% 12 10 1 1.41% 6.21% 25.22% 63.41% 52.83% 9.5%
Sixth Street Specialty Lending, Inc
US83012A1097 — TSLX BDC
1.5 B USD 23.35 USD 0.26% 8.6% 7.9 208.6 k Financial Services 8.07% 7 7 4 7.50% 3.78% 13.24% 42.53% 98.44% 17.8%
Portman Ridge Finance Corporation
US73688F1021 — PTMN BDC
82.2 M USD 2.39 USD 2.14% 10.4% 196.6 k Other 17.55% 4 14 0.42% 11.68% 29.19% 99.63% 13.16% 11.2%
BlackRock TCP Capital Corp
US09259E1082 — TCPC BDC
787.4 M USD 14.04 USD 1.61% 9.7% 11.1 186.8 k Financial Services 1.73% 4 9 1 0.29% 0.35% 26.15% 45.96% 34.46% 8.6%
TransDigm Group Incorporated
US8936411003 — TDG
32.1 B USD 635.3 USD 0.90% 21.6% 89.2 185.4 k Industrials 5.31% 6.35% 8.10% 30.24% 127.1% —%