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Beta is a measure of how volatile a stock is and its daily price movements versus the stock market as a whole. A beta of 1 means the stock will move with market conditions while a beta of less than 1 means the stock will be less volatile than the market, while a beta of higher than 1 indicates the stock is very volatile and could go up or down more than the market averages.

In this list, we present dividend stocks that have a beta of 1 or less, thus you are looking at stocks that will move with the market or be less volatile.

Symbol
Company Name
Current Dividend Yield %
Beta (3 year)
Sector
 
IRC Inland Real Estate Corporation
7.4
1
Financial  
TEG Integrys Energy Group, Inc.
6.2
1
Utilities  
EHI Western Asset Global High Income Fund
9
1
Financial  
AMSWA American Software, Incorporated Class A
7.6
0.99
Technology  
FDL First Trust Morningstar Div Leaders Index F
5
0.99
Financial  
ACC American Campus Communities, Inc.
5
0.98
Financial  
FNB F.N.B. Corporation
6.1
0.98
Financial  
NI NiSource, Inc.
6.3
0.98
Utilities  
ORI Old Republic International Corporation
5.7
0.98
Financial  
O Realty Income Corporation
5.7
0.98
Financial  
VVR Van Kampen Senior Income Trust
7.4
0.98
Financial  
BCE BCE Inc.
5.7
0.97
Technology  
CYE BlackRock Corporate High Yield Fund III, In
9.2
0.97
Financial  
BSI Blue Square Israel Ltd
13.7
0.97
Services  
BBEP BreitBurn Energy Partners, L.P.
10.4
0.97
Basic Materials  
LTC LTC Properties, Inc.
6.4
0.97
Financial  
PCN PIMCO Corporate Income Fund
8.3
0.97
Financial  
TFONY Telefonoes de Mexico S.A.B. de. C.V.
5.5
0.97
Technology  
UBSI United Bankshares, Inc.
5.1
0.97
Financial  
WPC WP Carey & Co LLC
7.4
0.97
Financial  
CHY Calamos Convertible & High Income Fund
8.6
0.96
Financial  
CHI Calamos Convertible Opportunities & Income
6.1
0.96
Financial  
CODI Compass Diversified Holdings
10
0.96
Financial  
FSP Franklin Street Properties Corporation
6.6
0.96
Financial  
HCN Health Care REIT, Inc.
6.5
0.96
Financial  
IGD ING Global Equity Dividend and Prem Opp
12
0.96
Financial  
VLCCF Knightsbridge Tankers, Ltd.
9.4
0.96
Services  
TMX Telefonoes de Mexico S.A.B. de. C.V.
5.5
0.96
Technology  
WIN Windstream Corporation
9.4
0.96
Technology  
EBI Evergreen International Balanced Income
6.1
0.94
Financial  
OHI Omega Healthcare Investors, Inc.
6.4
0.94
Financial  
PBI Pitney Bowes Inc.
6.6
0.94
Consumer Goods  
SE Spectra Energy Canada Exchangeco Inc
5
0.94
Basic Materials  
AWF AllianceBernstein Global High Income Fd
9
0.93
Financial  
EAD Evergreen Income Advantage Fund
10.7
0.93
Financial  
MCY Mercury General Corporation
5.7
0.93
Financial  
PGX PowerShares Preferred Portfolio
6.7
0.93
Financial  
RGC Regal Entertainment Group
5.5
0.93
Services  
TE Teco Energy, Inc.
5.4
0.93
Utilities  
ESD Western Asset Emerging Markets Debt Fund In
7.6
0.93
Financial  
RGNC Regency Energy Partners LP
7.4
0.92
Basic Materials  
EMD Western Asset Emerging Markets Income II Fu
7.4
0.92
Financial  
AJG Arthur J Gallagher & Co
5.3
0.91
Financial  
COY BlackRock Corporate High-Yield Fund
9.2
0.91
Financial  
CRRC Courier Corporation
7
0.91
Services  
STON StoneMor Partners, L.P.
10.9
0.91
Services  
HIS BlackRock High-Income Shares
8.5
0.9
Financial  
CRH CRH PLC
5.3
0.9
Industrial Goods  
GMR General Maritime Corporation
9.2
0.9
Services  
RDS-A Royal Dutch Shell PLC
6.7
0.9
Basic Materials  
RDS-B Royal Dutch Shell PLC
7
0.9
Basic Materials  
HYV BlackRock Corporate High Yield Fund V
9
0.89
Financial  
EFR Eaton Vance Senior Floating Rate Trust
6.7
0.89
Financial  
GTY Getty Realty Corporation Holding
8.6
0.89
Financial  
ARK BlackRock Senior High-Income Portfolio
7
0.88
Financial  
OB OneBeacon Insurance Group, Ltd.
5.9
0.88
Financial  
GDF Western Asset Global Partners Income Fund
10
0.88
Financial  
HYT BlackRock Corporate High Yield VI
9.3
0.87
Financial  
FT Franklin Universal Trust
7.9
0.87
Financial  
TK Teekay Corp.
5
0.87
Services  
VNR Vanguard Natural Resources, LLC
10.3
0.87
Basic Materials  
ERH Evergreen Utilities and High Income
8.7
0.86
Financial  
HCF Highland Credit Strategies Fund
8.9
0.86
Financial  
CH Aberdeen Chile Fund
7.7
0.85
Financial  
NAT Nordic American Tanker Shipping, Ltd.
8.8
0.85
Services  
RWT Redwood Trust, Incorporated
6.9
0.85
Financial  
TEF Telefonica, S.A.
6.9
0.85
Technology  
CPLP Capital Products Partners LP
11.3
0.84
Services  
CRE Care Investment Trust, Inc.
7.8
0.84
Financial  
CPNO Copano Energy, LLC
8.4
0.84
Basic Materials  
DHF Dreyfus High Yield Strategies Fund
12.2
0.84
Financial  
BFSB Brooklyn Federal Bancorp, Inc.
5.3
0.83
Financial  
JNK SPDR Barclays Capital High Yield Bond ETF
10.1
0.83
Financial  
SWZ Swiss Helvetia Fund
7.9
0.83
Financial  
TU Telus Corporation
5.1
0.83
Technology  
VTA Van Kampen Dynamic Credit Opportunities
8.9
0.83
Financial  
YPF YPF Sociedad Anonima
7.3
0.83
Basic Materials  
AVA Avista Corp
5.1
0.82
Utilities  
PM Philip Morris International Inc
5
0.82
Consumer Goods  
UNS UniSource Energy Corporation
5.2
0.82
Utilities  
CIK Credit Suisse Asset Management Income Fund
9.1
0.81
Financial  
FFNW First Financial Northwest, Inc.
8.7
0.81
Financial  
PRK Park National Corporation
5.9
0.81
Financial  
RRST RRSat Global Communications Network, Ltd.
10.5
0.81
Technology  
BCA Corpbanca
5.9
0.8
Financial  
GAIN Gladstone Investment Corporation
8.1
0.8
Financial  
NHI National Health Investors, Inc.
6
0.8
Financial  
NWE Northwestern Corporation
5.2
0.8
Utilities  
NTLS NTELOS Holdings Corporation
6.6
0.8
Technology  
AHGP Alliance Holdings GP, L.P.
5.4
0.79
Basic Materials  
BXS BancorpSouth Inc.
5.1
0.79
Financial  
TOT Total SA
5.2
0.79
Basic Materials  
UIL UIL Holdings Corporation
6.8
0.79
Utilities  
VOD Vodafone Group PLC
7.6
0.79
Technology  
CPL CPFL Energy SA
6.7
0.78
Utilities  
CRT Cross Timbers Royalty
7.7
0.78
Basic Materials  
REM iShares FTSE NAREIT Mortgage Plus Capped In
11.2
0.78
Financial  
IXP iShares S&P Global Telecommunications Index
6.1
0.78
Financial  
LLY LILLY ELI & CO
5.8
0.78
Health Care  
VLY Valley National Bancorp
5.4
0.78
Financial  
FRA BlackRock Floating Rate Income Strategies F
5.9
0.77
Financial  
GEL Genesis Energy L.P.
7.6
0.77
Basic Materials  
JXI iShares S&P Global Utilities Index Fund
6
0.77
Financial  
Q Qwest Communications International, Inc.
6.1
0.77
Technology  
SBR Sabine Royalty Trust
6
0.77
Financial  
ALSK Alaska Communications Systems Group, Inc.
10
0.76
Technology  
FTR Frontier Communications Corporation-Shs Ser
13.6
0.76
Technology  
HGT Hugoton Royalty Trust
8.1
0.76
Basic Materials  
POR Portland General Electric Company
5.7
0.76
Utilities  
ARLP Alliance Resource Partners LP
7.1
0.75
Basic Materials  
PPR ING Prime Rate Trust
6.1
0.75
Financial  
MAIN Main Street Capital Corporation
9.7
0.75
Financial  
NYB New York Community Bancorp, Inc.
6.6
0.75
Financial  
PBIB Porter Bancorp, Inc.
6.6
0.75
Financial  
AEE Ameren Corporation
6.5
0.74
Utilities  
BIP Brookfield Infrastructure
6.8
0.74
Utilities  
CINF Cincinnati Financial Corporation
6.2
0.74
Financial  
ENP Encore Energy Partners, LP
11.7
0.74
Basic Materials  
MCI MASSMUTUAL CORPORATE INVESTORS FUND
24.9
0.74
Financial  
PCM PCM Fund, Inc.
8.2
0.74
Financial  
PSO Pearson plc
5.1
0.73
Services  
PVG Penn Virginia GP Holdings, L.P.
8.6
0.73
Basic Materials  
PHB PowerShares High Yield Corporate Bond
8.3
0.73
Financial  
CNP CenterPoint Energy, Inc.
6
0.72
Utilities  
CTL CenturyLink, Inc.
8.7
0.72
Technology  
ETE Energy Transfer Equity, L.P.
6.4
0.72
Basic Materials  
EOD Evergreen Global Dividend Opportunity Fd
12.8
0.72
Financial  
FGP Ferrellgas Partners L.P.
8.9
0.71
Services  
FTF Franklin Templeton Limited Duration Income
7.5
0.71
Financial  
HE Hawaiian Electric Industries, Inc.
5.5
0.71
Utilities  
PVR Penn Virginia Resource Partners, L.P.
9
0.71
Basic Materials  
ALE ALLETE, Inc.
5.2
0.7
Utilities  
EVV Eaton Vance Limited Duration Income Fund
8.8
0.7
Financial  
NGG National Grid PLC
9.5
0.7
Utilities  
PT Portugal Telecom SA
5.3
0.7
Technology  
PSEC Prospect Capital Corporation
17.4
0.7
Financial  
TLP TransMontaigne Partners L.P.
8
0.7
Basic Materials  
WWE World Wrestling Entertainment, Inc.
9.4
0.7
Services  
CCNE CNB Financial Corporation
6
0.69
Financial  
EDE Empire District Electric
6.8
0.69
Utilities  
HEP Holly Energy Partners, L.P.
7.5
0.69
Basic Materials  
HYG iShares iBoxx $ High Yield Corporate Bond F
9.1
0.69
Financial  
SGU Star Gas Partners, L.P.
6.6
0.69
Services  
UBA Urstadt Biddle Properties, Inc.
5.9
0.69
Financial  
WR Westar Energy, Inc.
5.8
0.69
Utilities  
GSK GlaxoSmithKline PLC
5.5
0.68
Health Care  
MSY Morgan Stanley High Yield Fund
9.3
0.68
Financial  
PBT Permian Basin Royalty Trust
8.6
0.68
Financial  
PFE Pfizer Inc.
5.1
0.68
Health Care  
BPT BP Prudhoe Bay Royalty Trust
10.1
0.67
Basic Materials  
DHT DHT Holdings Inc
10.1
0.67
Services  
DPL DPL, Incorporated
5
0.67
Utilities  
EEP Enbridge Energy Partners, L.P.
7.6
0.67
Basic Materials  
SJT San Juan Basin Royalty
5.9
0.67
Financial  
TCHC 21st Century Holding Company
6.9
0.66
Financial  
AZN AstraZeneca PLC
7.3
0.66
Health Care  
BMY Bristol-Myers Squibb Company
5.2
0.66
Health Care  
FHI First Trust Strategic High Income
9.8
0.66
Financial  
HCBK Hudson City Bancorp, Inc.
5
0.66
Financial  
HPI John Hancock Preferred Income Fund
8.5
0.66
Financial  
MVO MV Oil Trust
9.4
0.66
Basic Materials  
NRP Natural Resources Partners L.P.
9.2
0.66
Basic Materials  
T AT&T, Inc.
6.9
0.65
Technology  
BKMU Bank Mutual Corporation
5.1
0.65
Financial  
SCG SCANA Corporation
5.4
0.65
Utilities  
MHY Western Asset Managed High-Income Fund
10
0.65
Financial  
KMM DWS Multi-Market Income Trust
9.4
0.64
Financial  
EXLP Exterran Partners, L.P.
8.1
0.64
Basic Materials  
SGL Strategic Global Income Fund
7.4
0.64
Financial  
HIO Western Asset High Income Opportunity Fund
9.8
0.64
Financial  
PTNR Partner Communications Company, Ltd.
11
0.63
Technology  
CALM Cal-Maine Foods, Inc.
6.2
0.62
Consumer Goods  
CHCO City Holding Company
5.1
0.62
Financial  
PNW Pinnacle West Capital Corporation
5.8
0.62
Utilities  
CEL Cellcom Israel Limited
12.4
0.6
Technology  
CLGX CoreLogic Inc
5
0.6
Financial  
TTO Tortoise Capital Resources Corporation Exch
7.7
0.6
Financial  
LNT Alliant Energy Corp
5
0.59
Utilities  
AGNC American Capital Agency Corp.
21.8
0.59
Financial  
HTCO Hickory Tech Corp
7.8
0.59
Technology  
AEP American Electric Power Company, Incorporat
5.2
0.58
Utilities  
EPD Enterprise Products Partners L.P.
6.5
0.58
Basic Materials  
EXC Exelon Corporation
5.5
0.58
Utilities  
ISH International Shipholding Corporation
7.1
0.58
Services  
LINE Linn Energy LLC
9.5
0.58
Basic Materials  
GIM Templeton Global Income Fund
5.7
0.58
Financial  
EMB iShares JPMorgan USD Emerging Markets Bond
5.2
0.57
Financial  
CMU MFS High Yield Municipal
7.7
0.57
Financial  
RAI Reynolds American, Inc.
6.9
0.56
Consumer Goods  
OTT Otelco, Inc.
11.2
0.55
Technology  
POM Pepco Holdings, Inc.
6.9
0.55
Utilities  
PHI Philippine Long Distance Telephone
6.6
0.55
Technology  
WIP SPDR DB International Government Inflation-
5.1
0.55
Financial  
VZ Verizon Communications Inc.
7.1
0.55
Technology  
ENL Reed Elsevier NV
5.6
0.54
Services  
PCY PowerShares Emerging Markets Sovereign Debt
6.1
0.53
Financial  
ATO Atmos Energy Corporation
5
0.52
Utilities  
TOO Teekay Offshore Partners L.P.
8.8
0.52
Services  
UVE Universal Insurance Holdings, Inc.
9.9
0.52
Financial  
CMO Capstead Mortgage Corporation
13.2
0.51
Financial  
DEP Duncan Energy Partners, L.P.
6.8
0.51
Basic Materials  
RUK Reed Elsevier PLC
5.7
0.51
Services  
TCAP Triangle Capital Corp.
11.4
0.51
Financial  
VGR Vector Group Limited
9.2
0.51
Consumer Goods  
BTI British American Tobacco PLC ADR
6.7
0.5
Consumer Goods  
DNP DNP Select Income Fund
5.6
0.5
Financial  
ETP Energy Transfer Partners, L.P.
7.7
0.5
Basic Materials  
FE FirstEnergy Corporation
6.4
0.5
Utilities  
PPT Putnam Premier Income Trust
9.9
0.49
Financial  
NL NL Industries, Incorporated
7.8
0.47
Basic Materials  
TNH Terra Nitrogen Company, L.P.
7.1
0.47
Basic Materials  
UHT Universal Health Realty Income Trust
7.5
0.47
Financial  
DUK Duke Energy Corporation
6.1
0.46
Utilities  
TCLP TC Pipelines LP
7.1
0.46
Basic Materials  
BLW BlackRock Limited Duration Income Trust
5.3
0.45
Financial  
FNF Fidelity National Financial, Inc.
5.6
0.45
Financial  
OKS ONEOK Partners, Limited Partnership
7
0.45
Basic Materials  
PMF PIMCO Municipal Income Fund
7
0.44
Financial  
PML PIMCO Municipal Income Fund II
6.9
0.44
Financial  
PPL PPL Corporation
5.5
0.44
Utilities  
PIM Putnam Master Intermediate Income Trust
9.8
0.44
Financial  
NRGY Inergy L.P.
7.1
0.43
Services  
LO Lorillard, Inc.
5.6
0.43
Consumer Goods  
NSH Nustar GP Holdings, LLC
5.9
0.43
Basic Materials  
PAA Plains All American Pipeline, L.P.
6.4
0.43
Basic Materials  
SPH Suburban Propane Partners, L.P.
7.1
0.43
Services  
UBP Urstadt Biddle Properties, Inc.
6.1
0.43
Financial  
APU Amerigas Partners, L.P.
6.9
0.42
Utilities  
MFA MFA Financial , Inc.
13.4
0.42
Financial  
CXE MFS High Income Municipal Trust
7.7
0.42
Financial  
VVC Vectren Corporation
5.9
0.42
Utilities  
ACG Alliance Bernstein Income Fund
5.9
0.41
Financial  
DOM Dominion Resources Black Warrior Trust
11.2
0.41
Financial  
PMX PIMCO Municipal Income Fund III
7.6
0.41
Financial  
BTA BlackRock Long-Term Municipal Advantage Tru
6.6
0.4
Financial  
DX Dynex Capital, Inc.
10.1
0.4
Financial  
EIM Eaton Vance Municipal Bond Fund
6.9
0.4
Financial  
EVN Eaton Vance Municipal Income Trust
7.6
0.4
Financial  
MAV Pioneer Municipal High Income Advantage Tru
7.6
0.4
Financial  
GNI Great Northern Iron Ore
11.5
0.39
Basic Materials  
RCS PIMCO Strategic Global Government Fund
8.5
0.39
Financial  
PGN Progress Energy, Incorporated
6.3
0.39
Utilities  
MO Altria Group, Incorporated
6.9
0.38
Consumer Goods  
NLY Annaly Capital Management, Inc.
15.6
0.38
Financial  
BCL BlackRock California Muni Income Trust II
22.8
0.38
Financial  
BHY BlackRock High Yield Trust
6
0.38
Financial  
KSM DWS Strategic Municipal Income Trust
7
0.38
Financial  
IRET Investors Real Estate Trust SBI
7.9
0.38
Financial  
BDF Rivus Bond Fund
6.6
0.38
Financial  
BFK BlackRock Municipal Income Trust
6.9
0.37
Financial  
BLE BlackRock Municipal Income Trust II
6.7
0.37
Financial  
MUC BlackRock Muniholdings Ca Insured
6.2
0.37
Financial  
CHG CH Energy Group Incorporated
5.5
0.37
Utilities  
GLP Global Partners, LP
8.9
0.37
Services  
IQI Morgan Stanley Quality Municipal Income Tru
6.7
0.37
Financial  
SO The Southern Company
5.5
0.37
Utilities  
BSP American Strategic Income Portfolio II
12.2
0.35
Financial  
MFT BlackRock Muniyield Insured Investment
6
0.35
Financial  
CQP Cheniere Energy Partners, L.P.
10
0.35
Basic Materials  
DMLP Dorchester Minerals L.P.
7.2
0.35
Financial  
MYC BlackRock Muniyield California Fund
6.3
0.34
Financial  
MCA BlackRock Muniyield California Insured Fund
6.1
0.34
Financial  
MIY BlackRock Muniyield Michigan Insured
6.4
0.34
Financial  
CFFN Capitol Federal Financial
6.1
0.34
Financial  
MMT MFS Multimarket Income Trust
8.3
0.34
Financial  
BYM BlackRock Insured Municipal Income Trust
6
0.33
Financial  
BBK BlackRock Municipal Bond Trust
6.8
0.33
Financial  
MVT BlackRock Munivest Fund II
6.8
0.33
Financial  
MYF BlackRock MuniYield Investment
6.5
0.33
Financial  
VMO Van Kampen Municipal Opportunity Trust
7.4
0.33
Financial  
BAF BlackRock Florida Insured Municipal Income
5.9
0.32
Financial  
ED Consolidated Edison Company
5.5
0.32
Utilities  
HOTT Hot Topic, Inc.
5.7
0.32
Services  
PMM Putnam Managed Municipal Income Trust
7.2
0.32
Financial  
PMO Putnam Municipal Opportunities Trust
6.4
0.32
Financial  
UTL Unitil Corporation
6.5
0.32
Utilities  
MQY BlackRock Muniyield Quality Fund
6.4
0.31
Financial  
KMP Kinder Morgan Energy Partners, L.P.
6.6
0.31
Basic Materials  
MYD BlackRock Muniyield Fund
6.8
0.3
Financial  
MJI BlackRock Muniyield New Jersey Insured Fund
5.9
0.3
Financial  
MMP Magellan Midstream Partners, L.P.
6.2
0.3
Basic Materials  
NRT North European Oil Royaly Trust
7.8
0.3
Financial  
NZH Nuveen California Dividend Advantage Munici
6.7
0.3
Financial  
TGP Teekay LNG Partners L.P.
8.1
0.3
Services  
BFZ BlackRock California Municipal Income Trust
6.5
0.29
Financial  
MYI BlackRock Muniyield Insured Fund
6.2
0.29
Financial  
MYJ BlackRock Muniyield New Jersey Fund
5.8
0.29
Financial  
MEN BlackRock Munienhanced Fund
6.2
0.28
Financial  
BNY BlackRock New York Municipal Income Trust
6.6
0.28
Financial  
ENX Eaton Vance New York Municipal Bond Fund
6
0.28
Financial  
HTS Hatteras Financial Corporation
16.4
0.28
Financial  
MUS BlackRock Muniholdings Insured Fund
6.5
0.27
Financial  
MFL BlackRock MuniHoldings Insured Invest
6.3
0.27
Financial  
MUE BlackRock Muniholdings Insured Fund II
6.5
0.26
Financial  
NS Nustar Energy, L.P.
7.6
0.26
Basic Materials  
NUM Nuveen Michigan Quality Income Municipal Fu
6
0.26
Financial  
ANH Anworth Mortgage Asset Corporation
13.8
0.25
Financial  
APX BlackRock Apex Municipal Fund
5.9
0.25
Financial  
BNA BlackRock Income Opportunity Trust
5.8
0.25
Financial  
FDI Fort Dearborn Income Securities Fund
6.5
0.25
Financial  
HTR Helios Total Return
10.2
0.24
Financial  
IQC Morgan Stanley California Quality Municipal
6.3
0.24
Financial  
IQT Morgan Stanley Quality Municipal Investment
6.5
0.24
Financial  
PSE Pioneer Southwest Energy Partners LP
8.4
0.24
Basic Materials  
MMU Western Asset Managed Municipals Fund
6
0.24
Financial  
BKN BlackRock Investment Quality Municipal Trus
7
0.23
Financial  
MUI BlackRock Muni Intermediate Duration Fund
5.7
0.23
Financial  
MPA BlackRock Muniyield Pennsylvania Insured Fu
5.9
0.23
Financial  
MMLP Martin Midstream Partners L.P.
10
0.23
Basic Materials  
IIM Morgan Stanley Insured Municipal Income Tru
6
0.23
Financial  
NNF Nuveen Insured New York Premium Income Muni
5.4
0.23
Financial  
NZF Nuveen National Dividend Advantage Municipa
6.8
0.23
Financial  
WES Western Gas Partners, LP
6.1
0.23
Basic Materials  
BKK BlackRock Municipal 2020 Term Trust
5
0.22
Financial  
BPL Buckeye Partners, L.P.
6.5
0.22
Basic Materials  
EPB El Paso Pipeline Partners, L.P.
5.3
0.22
Basic Materials  
NPX Nuveen Insured Premium Income Municipal Fun
5.8
0.22
Financial  
AFB Alliancebernstein National Municipal Income
6.6
0.21
Financial  
QCCO QC Holdings, Inc.
5.3
0.21
Financial  
IIC Morgan Stanley California Insured Municipal
5.6
0.2
Financial  
IMT Morgan Stanley Insured Municipal Trust
6.3
0.2
Financial  
NUO Nuveen Ohio Quality Income Municipal Fund
5.7
0.2
Financial  
NQP Nuveen Pennsylvania Investment Quality Muni
6.5
0.2
Financial  
FREVS First Real Estate Investment Trust of New J
6.9
0.19
Financial  
NNJ Nuveen New Jersey Premium Income Municipal
5.6
0.19
Financial  
NMA Nuveen Municipal Advantage Fund
6.7
0.18
Financial  
DMF Dreyfus Municipal Income Closed End Fund
6.2
0.17
Financial  
TIP iShares Barclays TIPS Bond Fund
6.1
0.16
Financial  
NIO Nuveen Insured Municipal Opportunity Fund
6
0.16
Financial  
NQU Nuveen Quality Income Municipal Fund
6.5
0.16
Financial  
IPE SPDR Barclays Capital TIPS ETF
5.8
0.14
Financial  
EVM Eaton Vance California Municipal Bond Fund
6.6
0.13
Financial  
CLMT Calumet Specialty Products Partners L.P.
10.7
0.12
Basic Materials  
SXL Sunoco Logistics Partners LP
6.2
0.07
Basic Materials  
BWP Boardwalk Pipeline Partners LP
6.6
0.05
Basic Materials  
DUC Duff And Phelps Utility And Corporate Bond
5.4
0.04
Financial  
MUA BlackRock Muniassets Fund
5.8
0.02
Financial  
BBH Biotech Holders Trust Merrill Lynch expires
18.4
0
Financial  
CYS Cypress Sharpridge Investments, Inc.
19
0
Financial  
GOV GOVERNMENT PROPERTIES INCOME TRUST
6.2
0
Financial  
IVR Invesco Mortgage Capital
15.1
0
Financial  
EPU iShares MSCI All Peru Index Fund
9.3
0
Financial  
HYD Market Vectors ETF Trust - Shs Market Vecto
5.1
0
Financial  
PRGN Paragon Shipping Inc
5.8
0
Services  
PNNT Pennant Park Investment Corporation
11.3
0
Financial  
PDM Piedmont Office Realty Trust Inc
7.1
0
Financial  
SDRL Seadrill Limited
8
0
Basic Materials  
SLRC Solar Capital Ltd.
12.6
0
Financial  
STWD Starwood Property Trust, Inc.
5.9
0
Financial  
TSI TCW Strategic Income Fund
7
0
Financial  
WHX Whiting USA Trust I
17.4
0
Basic Materials