DIVIDEND STOCKS  | DIVIDEND EDUCATION | NEWS | FAST GROWTH | CORPORATE FINANCE TUTORIALS | RESEARCH PICKS | LINK TO US | PRIVACY POLICY |

Upcoming Ex Dividend Dates

> January 2010
> February 2010
> March 2010
> April 2010
> May 2010
> June 2010
> July 2010
> August 2010
> September 2010
> October 2010
> July 2011
> August 2011
> September 2011

> October 2011 ** NEW **
> November 2011 ** NEW **

Dividends by Sector

> Basic Materials
> Consumer Goods
> Financials
> Health Care
> Industrial Goods
> Services
> Technology
> Utilities

Dividends by Market Capitalization

> Micro Cap (Below $250M)
> Small Cap ($250M - $1B)
> Mid Cap ($1B - $10B)
> Large Cap ($10 & above)

Dividends by Industry

> Aerospace/Industrial
> Automotive
> Banking
> Computer Hardware
> Computer Software
> Energy
> Financial Services
> Food & Beverages
> Health Services
> Insurance
> Internet
> Materials/Construction
> Metals & Mining
> Real Estate
> Retail
> Telecommunications
> Tobacco
> Transportation
> Utilities



This list is of dividend stocks that have yields greater than 5% and sorted by 3 month daily average trading volume of at least 1 million shares. This means at least 1 million shares of these companies have traded over the past 3 months. From this list, we can see Pfizer Inc. has 69.73 million shares trading on any given day while AT&T comes in second at almost 34 million shares.

Companies that have high trading volumes and an upward pressure on price are good bets to buy (if you are looking for short term trading). On the other hand, companies that have huge volumes and stock price is going down means the company is being beaten down by Wall Street, it is advised to wait till the stock hits a bottom and then buy shares (if it is a company worth buying).

Symbol
Company Name
Current Dividend Yield %
3 Month Avg. Daily Volume
Sector
 
PFE Pfizer Inc. 5.1 69.73M Health Care  
T AT&T, Inc. 6.9 33.97M Technology  
Q Qwest Communications International, Inc. 6.1 30.85M Technology  
VZ Verizon Communications Inc. 7.1 23.27M Technology  
MO Altria Group, Incorporated 6.9 21.97M Consumer Goods  
CIM Chimera Investment Corporation 18.9 18.32M Financial  
BMY Bristol-Myers Squibb Company 5.2 17.02M Health Care  
NLY Annaly Capital Management, Inc. 15.6 15.01M Financial  
PLD Prologis 6.2 11.96M Financial  
VOD Vodafone Group PLC 7.6 11.33M Technology  
PM Philip Morris International Inc 5 11.07M Consumer Goods  
BBD Banco Bradesco SA ADS 5.7 10.81M Financial  
DUK Duke Energy Corporation 6.1 9.61M Utilities  
LLY LILLY ELI & CO 5.8 8.41M Health Care  
HCBK Hudson City Bancorp, Inc. 5 7.84M Financial  
PPL PPL Corporation 5.5 7.25M Utilities  
SID Companhia Siderurgica Nacional ADS 7.7 7.14M Basic Materials  
FTR Frontier Communications Corporation-Shs Ser 13.6 7.14M Technology  
MFA MFA Financial , Inc. 13.4 6.40M Financial  
WIN Windstream Corporation 9.4 5.67M Technology  
SO The Southern Company 5.5 5.62M Utilities  
TOT Total SA 5.2 5.58M Basic Materials  
EXC Exelon Corporation 5.5 5.57M Utilities  
CNP CenterPoint Energy, Inc. 6 5.53M Utilities  
DRE Duke Realty Corporation 6.3 4.75M Financial  
HCP HCP, Inc. 5.9 4.49M Financial  
AEP American Electric Power Company, Incorporat 5.2 4.40M Utilities  
SE Spectra Energy Canada Exchangeco Inc 5 4.37M Basic Materials  
NYB New York Community Bancorp, Inc. 6.6 4.35M Financial  
CTL CenturyLink, Inc. 8.7 3.84M Technology  
BBVA Banco Bilbao Vizcaya Argentaria SA 6.4 3.69M Financial  
FE FirstEnergy Corporation 6.4 3.67M Utilities  
SCCO Southern Copper Corporation 6.8 3.41M Basic Materials  
MCHP Microchip Technology, Inc. 5 3.28M Technology  
POM Pepco Holdings, Inc. 6.9 3.18M Utilities  
DCT DCT Industrial Trust, Inc. 6.4 3.16M Financial  
NI NiSource, Inc. 6.3 3.07M Utilities  
GGP General Growth Properties, Inc. 6 2.92M Financial  
JNK SPDR Barclays Capital High Yield Bond ETF 10.1 2.91M Financial  
DRH Diamondrock Hospitality Company 15.9 2.79M Financial  
CBL CBL & Associates Properties, Inc. 6.8 2.66M Financial  
RRD R.R. Donnelley & Sons Company 6.4 2.62M Services  
RDS-A Royal Dutch Shell PLC 6.7 2.61M Basic Materials  
AZN AstraZeneca PLC 7.3 2.55M Health Care  
PBI Pitney Bowes Inc. 6.6 2.55M Consumer Goods  
GMR General Maritime Corporation 9.2 2.49M Services  
AOD Alpine Total Dynamic Dividend Fund 28.5 2.48M Financial  
PGN Progress Energy, Incorporated 6.3 2.43M Utilities  
ANH Anworth Mortgage Asset Corporation 13.8 2.37M Financial  
PWE Penn West Energy Trust 9 2.35M Basic Materials  
MAC The Macerich Company 5.5 2.35M Financial  
TE Teco Energy, Inc. 5.4 2.28M Utilities  
AINV Apollo Investment Corporation 12.1 2.26M Financial  
GSK GlaxoSmithKline PLC 5.5 2.22M Health Care  
ARCC Ares Capital Corporation 11.2 2.17M Financial  
AEE Ameren Corporation 6.5 2.13M Utilities  
KFN KKR Financial Corporation 5.6 2.09M Financial  
HCN Health Care REIT, Inc. 6.5 2.08M Financial  
ORI Old Republic International Corporation 5.7 2.03M Financial  
ED Consolidated Edison Company 5.5 1.99M Utilities  
GRMN Garmin, Ltd. 5.1 1.97M Technology  
FNF Fidelity National Financial, Inc. 5.6 1.97M Financial  
LEG Leggett & Platt, Inc. 5.3 1.90M Consumer Goods  
RGC Regal Entertainment Group 5.5 1.90M Services  
EPD Enterprise Products Partners L.P. 6.5 1.79M Basic Materials  
LO Lorillard, Inc. 5.6 1.76M Consumer Goods  
TMX Telefonoes de Mexico S.A.B. de. C.V. 5.5 1.74M Technology  
PVX Provident Energy Trust 10.3 1.61M Basic Materials  
BDN Brandywine Realty Trust 5.7 1.60M Financial  
RAI Reynolds American, Inc. 6.9 1.57M Consumer Goods  
LXP Lexington Realty Trust 6.9 1.55M Financial  
FRO Frontline, Ltd. 10.6 1.54M Services  
CLGX CoreLogic Inc 5 1.54M Financial  
NHP Nationwide Health Properties, Inc. 5.1 1.52M Financial  
CLI Mack-Cali Realty Corporation 6.3 1.51M Financial  
MPW Medical Properties Trust, Inc. 8.6 1.47M Financial  
GOL Gol Intelligent Airlines, Inc. 12.8 1.46M Services  
LINE Linn Energy LLC 9.5 1.46M Basic Materials  
ELNK Earthlink, Incorporated 8 1.40M Technology  
WRI Weingarten Realty Investors 5.5 1.37M Financial  
HPT Hospitality Properties Trust 9.1 1.37M Financial  
REG Regency Centers Corporation 5.6 1.37M Financial  
SNH Senior Housing Prop Trust 7.2 1.36M Financial  
HYG iShares iBoxx $ High Yield Corporate Bond F 9.1 1.35M Financial  
CINF Cincinnati Financial Corporation 6.2 1.35M Financial  
SCG SCANA Corporation 5.4 1.33M Utilities  
HOTT Hot Topic, Inc. 5.7 1.29M Services  
PNW Pinnacle West Capital Corporation 5.8 1.28M Utilities  
TEF Telefonica, S.A. 6.9 1.27M Technology  
RSO Resource Capital Corporation 18.7 1.21M Financial  
HIW Highwoods Properties Inc 6.2 1.20M Financial  
PFF iShares S&P U.S. Preferred Stock Index Fund 8 1.20M Financial  
PEI Pennsylvania Real Estate Investment Trust 5.2 1.18M Financial  
BCE BCE Inc. 5.7 1.18M Technology  
PGH Pengrowth Energy Trust 8.8 1.17M Basic Materials  
CMO Capstead Mortgage Corporation 13.2 1.17M Financial  
WR Westar Energy, Inc. 5.8 1.16M Utilities  
LRY Liberty Property Trust 6.7 1.15M Financial  
OHI Omega Healthcare Investors, Inc. 6.4 1.13M Financial  
AGNC American Capital Agency Corp. 21.8 1.12M Financial  
GRT Glimcher Realty Trust 7.2 1.11M Financial  
DPL DPL, Incorporated 5 1.09M Utilities  
PSEC Prospect Capital Corporation 17.4 1.07M Financial  
KMP Kinder Morgan Energy Partners, L.P. 6.6 1.05M Basic Materials  
RDS-B Royal Dutch Shell PLC 7 1.03M Basic Materials  
CNK Cinemark Holdings, Inc. 5.6 1.02M Services  
CUZ Cousins Properties, Inc. 5.8 1.01M Financial