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正文

High-Dividend Stocks (ZT)

(2011-06-23 07:39:09) 下一個

http://www.dividenddetective.com/big_dividend_list.htm



Ticker

Stock data as of 2/8/13

Estimated
Annual
Dividend $

Estimated
Annual
Yield %

AHC

A. H. Belo

0.24

4.5

ABBV

AbbVie 

1.60

4.4

ABM

ABM Industries

0.60

2.7

AKR

Acadia Realty Trust

0.72

2.7

ACMP

Access Midstream Partners

1.80

5.0

AFL

AFLAC

1.40

2.8

MITT

AG Mortgage Investment Trust

3.20

12.6

GAS

AGL Resources

1.88

4.7

ADC

Agree Realty

1.60

5.6

APD

Air Products & Chemicals

2.56

2.9

AYR

Aircastle Limited

0.66

4.7

ARE

Alexandria Real Estate Equities

2.24

3.1

ALE

ALLETE

1.90

4.1

ALNC

Alliance Financial

1.28

2.9

AHGP

Alliance Holdings GP

2.96

5.9

ARLP

Alliance Resource Partners

4.43

7.0

LNT

Alliant Energy

1.88

4.1

MO

Altria Group

1.76

5.1

EPAX

Ambassadors Group

0.24

5.3

ACO

AMCOL International

0.80

2.6

AEE

Ameren

1.60

4.9

AAT

American Assets Trust

0.84

2.9

ACC

American Campus Communities

1.35

2.9

AGNC

American Capital Agency

5.00

15.6

MTGE

American Capital Mortgage Investment  

3.60

14.2

AEP

American Electric Power

1.88

4.2

AM

American Greetings

0.60

3.7

AMID

American Midstream Partners

1.73

10.4

AMNB

American National BankShares

0.92

4.6

ARII

American Railcar Industries

1.00

2.6

ASEI

American Science & Engineering

2.00

3.0

AMSWA

American Software

0.40

4.7

AWR

American States Water 

1.42

2.7

AWK

American Water Works

1.00

2.6

APU

AmeriGas Partners

3.20

7.6

AMP

Ameriprise Financial

1.80

2.7

AMRE

AmREIT

0.80

4.5

ADI

Analog Devices

1.20

2.6

NLY

Annaly Capital Management

1.80

12.2

ANH

Anworth Mortgage Asset

0.60

9.6

AIV

Apartment Investment and Management

0.96

3.4

ARI

Apollo Commercial Real Est. Finance

1.60

9.2

AINV

Apollo Investment

0.80

9.7

AMTG

Apollo Residential Mortgage

2.80

12.6

AMAT

Applied Materials

0.36

2.7

ABR

Arbor Realty Trust

0.44

6.2

ADM

Archer Daniels Midland

0.76

2.5

ARCC

Ares Capital

1.52

8.4

ACRE

Ares Commercial Real Estate

1.00

5.9

AI

Arlington Asset Investment

3.50

14.3

ARR

ARMOUR Residential REIT

0.96

13.6

AROW

Arrow Financial

1.00

4.1

ARTNA

Artesian Resources

0.81

3.6

AJG

Arthur J. Gallagher

1.40

3.7

AHT

Ashford Hospitality Trust

0.44

3.7

ALC

Assisted Living Concepts

0.40

4.1

AEC

Associated Estates Realty

0.76

4.5

T

AT&T

1.80

5.1

ATLS

Atlas Energy

1.20

3.2

APL

Atlas Pipeline Partners

2.32

7.1

ALV

Autoliv

2.00

3.0

ADP

Automatic Data Processing

1.74

2.9

AVB

AvalonBay Communities

4.28

3.3

AVY

Avery Dennison

1.08

2.8

AVA

Avista

1.22

4.7

AVX

AVX

0.30

2.5

BGS

B&G Foods

1.16

3.6

BWINB

Baldwin & Lyons

1.00

4.3

BANF

BancFirst

1.16

2.8

BLX

Banco Latinoamericano Comerc Exterior

1.20

5.0

BOH

Bank of Hawaii

1.80

3.7

BKYF

Bank of Kentucky Financial

0.68

2.6

BMO

Bank of Montreal

2.88

4.6

BNS

Bank of Nova Scotia

2.29

3.9

BKU

BankUnited

0.84

3.1

BHB

Bar Harbor Bankshares

1.22

3.5

BAX

Baxter International

1.80

2.6

BTE

Baytex Energy

2.64

5.6

BBT

BB&T

0.92

3.0

BCE

BCE Inc.

2.31

5.2

BLC

Belo

0.32

3.6

BMS

Bemis

1.04

2.8

BHLB

Berkshire Hills Bancorp

0.72

2.9

BBY

Best Buy

0.68

4.5

BGCP

BGC Partners

0.48

11.5

BMR

Biomed Realty Trust

0.94

4.5

BKH

Black Hills

1.52

3.7

BLK

BlackRock

6.72

2.8

BKCC

Blackrock Kelso Capital

1.04

9.8

BX

Blackstone Group

1.68

9.3

BKEP

Blueknight Energy Partners

0.46

5.8

BWP

Boardwalk Pipeline Partners

2.13

7.8

BOWFF

Boardwalk REIT

1.94

3.0

BOBE

Bob Evans Farms

1.10

2.6

BA

Boeing

1.94

2.5

BOKF

BOK Financial

1.52

2.6

BAH

Booz Allen Hamilton Holding

0.36

2.7

BWL.A

Bowl America

0.66

5.4

TEU

Box Ships

0.88

14.3

BDN

Brandywine Realty Trust

0.60

4.5

BRE

BRE Properties

1.54

3.3

BBEP

BreitBurn Energy Partners

1.88

9.5

BDGE

Bridge Bancorp

0.92

4.4

BMY

Bristol Myers Squibb

1.40

3.8

BR

Broadridge Financial Solutions

0.72

3.3

BIP

Brookfield Infrastructure Partners

1.72

4.3

BPO

Brookfield Office Properties

0.56

3.4

BRKL

Brookline Bancorp

0.34

3.8

BRKS

Brooks Automation

0.32

3.2

BMTC

Bryn Mawr Bank

0.68

2.9

BPL

Buckeye Partners

4.15

7.8

CA

CA Technologies

1.00

4.0

CVC

Cablevision Systems

0.60

4.0

CLMS

Calamos Asset Management

0.50

4.8

CWT

California Water Service Group

0.64

3.3

CALM

Cal-Maine Foods

1.21

2.9

CLMT

Calumet Specialty Products Partners 

2.60

7.5

CPT

Camden Property Trust

2.52

3.6

CPB

Campbell Soup

1.16

3.1

CCG

Campus Crest Communities

0.66

5.4

CM

Canadian Imperial Bank of Commerce

3.78

4.6

CPLP

Capital Product Partners

0.93

11.4

CFFN

Capitol Federal Financial

0.30

2.6

CMO

Capstead Mortgage

1.20

9.8

CCL

Carnival

1.00

2.6

CATO

Cato Corp

1.00

3.8

CBL

CBL & Associates Properties

0.88

4.0

CDI

CDI Corp.

0.52

3.1

CEC

CEC Entertainment

0.96

2.9

FUN

Cedar Fair

1.60

4.1

CDR

Cedar Realty Trust

0.20

3.7

CVE

Cenovus Energy

0.89

2.7

CNP

CenterPoint Energy

0.83

4.0

CTL

CenturyLink

2.90

7.0

CHG

CH Energy Group

2.22

3.4

CHFC

Chemical Financial

0.84

3.4

CHMG

Chemung Financial

1.00

3.4

CHKE

Cherokee

0.40

2.9

CHKR

Chesapeake Granite Wash Trust

2.57

13.9

CHSP

Chesapeake Lodging Trust

0.88

4.1

CPK

Chesapeake Utilities

1.46

3.1

CVX

Chevron

3.60

3.1

CINF

Cincinnati Financial

1.63

3.7

CNK

Cinemark Holdings

0.84

2.9

CSCO

Cisco Systems

0.56

2.7

CZNC

Citizens & Northern

1.00

5.1

CHCO

City Holding

1.40

3.7

CNL

Cleco

1.35

3.1

CKSW

ClickSoftware Technologies

0.32

3.9

CLF

Cliffs Natural Resources

2.50

6.9

CLX

Clorox

2.56

3.2

CMS

CMS Energy

1.02

4.0

CCNE

CNB Financial

0.66

3.9

KO

Coca-Cola

1.02

2.6

JVA

Coffee Holding

0.24

3.3

CLP

Colonial Properties Trust

0.84

3.9

CLNY

Colony Financial

1.40

6.5

CMC

Commercial Metals

0.48

2.8

CBU

Community Bank System

1.08

3.7

CTBI

Community Trust Bancorp

1.26

3.7

CODI

Compass Diversified Holdings

1.44

9.3

CMP

Compass Minerals International

1.98

2.7

GSJK

Compressco Partners

1.68

8.3

CPSI

Computer Programs & Systems

2.04

4.2

CIX

CompX International

0.50

3.5

CMTL

Comtech Telecomm.

1.10

4.1

CAG

ConAgra Foods

1.00

3.0

CTWS

Connecticut Water Service

0.97

3.3

COP

ConocoPhillips

2.64

4.6

CNSL

Consolidated Communications Holdings

1.55

8.9

ED

Consolidated Edison

2.46

4.3

CWCO

Consolidated Water

0.30

3.3

CPNO

Copano Energy, L.L.C.

2.30

6.0

CORR

Corenergy Infrastructure Trust

0.50

7.3

COR

CoreSite Realty

1.08

3.5

GLW

Corning

0.36

2.9

OFC

Corporate Office Properties Trust

1.10

4.1

CJREF

Corus Entertainment

0.97

3.9

CMRE

Costamare

1.08

7.1

COT

Cott Corporation

0.24

2.7

CVA

Covanta Holding

0.60

3.1

CBRL

Cracker Barrel Old Country Store

2.00

3.0

CMLP

Crestwood Midstream Partners

2.04

7.9

CXS

Crexus Investment

1.28

9.6

XTEX

Crosstex Energy

1.32

7.4

XTXI

Crosstex Energy

0.48

2.8

CRWS

Crown Crafts

0.32

6.1

CSS

CSS Industries

0.60

2.6

CSX

CSX Corporation

0.56

2.6

CTCM

CTC Media

0.52

5.2

CUBE

CubeSmart

0.44

2.8

Ticker

Stock data as of 2/8/13

Estimated
Annual
Dividend $

Estimated
Annual
Yield %

CFR

Cullen/Frost Bankers

1.92

3.2

SRV

Cushing MLP Total Return Fund

0.90

10.8

CVBF

CVB Financial

0.34

3.1

UAN

CVR Partners

1.81

6.8

CY

Cypress Semiconductor

0.44

4.3

CYS

CYS Investments

1.60

13.1

DRI

Darden Restaurants

2.00

4.2

DPM

DCP Midstream Partners

2.76

6.2

DCT

DCT Industrial Trust

0.28

3.9

DDR

DDR Corp

0.54

3.2

DKL

Delek Logistics Partners

1.50

5.6

DGAS

Delta Natural Gas

0.72

3.7

DLX

Deluxe Corporation

1.00

2.7

DEST

Destination Maternity

0.70

3.0

DRH

DiamondRock Hospitality

0.32

3.5

DCIX

Diana Containerships

1.20

18.8

DBD

Diebold

1.15

3.8

DLR

Digital Realty Trust

2.92

4.5

DCOM

Dime Community Bancshares

0.56

4.1

D

Dominion Resources

2.25

4.1

DGICA

Donegal Group

0.49

3.5

DIIBF

Dorel Industries

1.20

3.2

PLOW

Douglas Dynamics

0.83

6.0

DEI

Douglas Emmett

0.72

3.0

DOW

Dow Chemical

1.28

4.0

DPS

Dr Pepper Snapple Group

1.36

3.0

DTE

DTE Energy

2.48

3.9

DUK

Duke Energy

3.06

4.4

DRE

Duke Realty

0.68

4.2

DFT

DuPont Fabros Technology

0.80

3.3

DX

Dynex Capital

1.16

11.7

DD

E I Du Pont De Nemours

1.72

3.6

EBMT

Eagle Bancorp Montana

0.29

2.6

EROC

Eagle Rock Energy Partners

0.88

9.6

ELNK

EarthLink

0.20

2.8

EWBC

East West Bancorp

0.60

2.5

EGP

Eastgroup Properties

2.12

3.7

ETN

Eaton Corp

1.52

2.6

ECT

Eca Marcellus Trust I

2.48

13.6

EIX

Edison International

1.35

2.8

EDR

Education Realty Trust

0.40

3.7

BAGL

Einstein Noah Restaurant Group

0.50

3.9

EE

El Paso Electric

1.00

3.0

EPB

El Paso Pipeline Partners

2.44

6.0

ESLT

Elbit Systems

1.20

3.2

ELRC

Electro Rent

0.80

5.1

ESIO

Electro Scientific Industries

0.32

3.0

LLY

Eli Lilly

1.96

3.7

EFC

Ellington Financial

2.80

11.3

EMCI

EMC Insurance Group

0.84

3.1

EMR

Emerson Electric

1.64

2.9

EDE

Empire District Electric

1.00

4.7

ENB

Enbridge

1.27

2.9

EEP

Enbridge Energy Partners

2.17

7.4

ECA

EnCana

0.80

4.1

ENH

Endurance Specialty Holdings

1.24

2.8

NDRO

Enduro Royalty Trust

1.74

10.2

ETE

Energy Transfer Equity

2.54

5.2

ETP

Energy Transfer Partners

3.58

7.8

ERF

Enerplus

1.08

8.0

EBF

Ennis

0.70

4.6

ETR

Entergy

3.32

5.2

EPD

Enterprise Products Partners

2.64

4.8

EPIQ

EPIQ Systems

0.36

2.9

EPR

EPR Properties

3.00

6.4

EQM

EQT Midstream Partners

1.40

3.8

EQY

Equity One

0.88

3.8

EQR

Equity Residential

3.07

5.5

ERIE

Erie Indemnity

2.37

3.2

ESP

Espey Manufacturing & Electronics

1.00

3.9

ESS

Essex Property Trust

4.40

2.9

EVEP

EV Energy Partners

3.07

5.5

EXL

Excel Trust

0.65

5.2

XLS

Exelis

0.41

3.7

EXC

Exelon

2.10

6.8

EXLP

Exterran Partners

2.05

9.0

XOM

Exxon Mobil

2.28

2.6

FNB

F.N.B. Corp

0.48

4.0

FMAO

Farmers & Merchants Bancorp

0.80

3.7

FRT

Federal Realty Investment Trust

2.92

2.7

FII

Federated Investors

0.96

3.9

FGP

Ferrellgas Partners

2.00

10.3

FSC

Fifth Street Finance

1.15

10.6

FISI

Financial Institutions

0.64

3.2

BUSE

First Busey

0.16

3.6

FCF

First Commonwealth Financial

0.20

2.8

FCBC

First Community Bancshares

0.48

3.0

FFBC

First Financial Bancorp

1.12

7.2

FIBK

First Interstate Bancsystem

0.52

3.0

FNFG

First Niagara Financial Group

0.32

4.1

FLIC

First of Long Island

1.00

3.4

BANC

First PacTrust Bancorp

0.48

4.2

FPO

First Potomac Realty Trust

0.60

4.5

FE

FirstEnergy

2.20

5.5

FMER

Firstmerit Corp

0.64

4.2

FFIC

Flushing Financial

0.52

3.3

F

Ford Motor

0.40

3.1

FIG

Fortress Investment Group

0.20

3.6

FSP

Franklin Street Properties

0.76

5.8

FCX

Freeport-McMoRan Copper & Gold

1.25

3.5

FRD

Friedman Industries

0.52

4.4

FRS

Frisch's Restaurants

0.64

3.4

FTR

Frontier Communications

0.40

8.6

FULL

Full Circle Capital

0.92

11.9

FULT

Fulton Financial

0.32

2.9

FF

FutureFuel

0.44

3.3

GCAP

Gain Capital Holdings

0.20

4.3

GME

GameStop

1.00

3.8

GCI

Gannett

0.80

4.1

GRMN

Garmin

1.80

4.7

EGAS

Gas Natural

0.54

5.4

GLOG

GasLog 

0.44

3.5

GMT

GATX

1.24

2.5

GD

General Dynamics

2.04

3.1

GE

General Electric

0.76

3.4

GIS

General Mills

1.32

3.1

GEL

Genesis Energy

1.94

4.6

GNTX

Gentex

0.52

2.6

GPC

Genuine Parts

1.98

2.8

GEO

Geo Group

2.00

6.1

GABC

German American Bancorp.

0.60

2.7

GTY

Getty Realty

0.50

2.7

GBCI

Glacier Bancorp

0.56

3.5

GLAD

Gladstone Capital

0.84

9.3

GAIN

Gladstone Investment

0.60

8.0

GRT

Glimcher Realty Trust

0.40

3.5

GLP

Global Partners

2.28

7.2

GLNG

Golar LNG Limited

1.70

4.1

GMLP

Golar LNG Partners

2.00

6.7

GORO

Gold Resource

0.72

5.3

GBDC

Golub Capital 

1.28

7.9

GOV

Government Properties Income Trust

1.72

6.9

GRP.U

Granite Real Estate Investment Trust

2.10

5.3

GXP

Great Plains Energy

0.87

4.0

GSBC

Great Southern Bancorp

0.72

2.9

GHL

Greenhill

1.80

3.0

GEF

Greif

1.68

3.4

GES

Guess?

0.80

2.9

HRB

H&R Block

0.80

3.3

HNZ

H.J. Heinz

2.06

3.4

HBHC

Hancock Holding

0.96

3.1

THG

Hanover Insurance Group

1.32

3.2

HRS

Harris Corporation

1.48

3.2

HSC

Harsco

0.82

3.2

HHS

Harte-Hanks

0.34

4.5

HAS

Hasbro

1.60

4.0

HTS

Hatteras Financial

2.80

10.4

HE

Hawaiian Electric Industries

1.24

4.5

HCP

HCP

2.10

4.5

HCN

Health Care REIT

3.06

4.9

HR

Healthcare Realty Trust

1.20

4.7

HCSG

Healthcare Services Group

0.67

2.8

HSII

Heidrick & Struggles International

0.52

3.3

HLF

Herbalife

1.20

3.4

HTGC

Hercules Technology Growth Capital

0.96

7.8

HT

Hersha Hospitality Trust

0.24

4.4

HSKA

Heska Corp

0.40

4.5

HPQ

Hewlett-Packard

0.53

3.1

HTCO

Hickory Tech

0.58

6.0

HCLP

Hi-Crush Partners

1.90

10.8

HIW

Highwoods Properties

1.70

4.7

HI

Hillenbrand

0.78

3.2

HNI

HNI Corp

0.96

3.1

HEP

Holly Energy Partners

1.88

5.2

HLSS

Home Loan Servicing Solutions

1.44

6.6

HME

Home Properties

2.80

4.6

HCI

Homeowners Choice

0.90

4.1

HOFT

Hooker Furniture

0.40

2.8

HMN

Horace Mann Educators

0.64

3.0

HPT

Hospitality Properties Trust

1.88

7.2

HOTT

Hot Topic

0.32

2.9

HWCC

Houston Wire & Cable

0.36

3.1

HCBK

Hudson City Bancorp

0.32

3.7

IBKC

IberiaBankCorporation

1.36

2.6

IDA

IdaCorp

1.52

3.3

INDB

Independent Bank

0.84

2.7

NRGY

Inergy

1.16

6.0

NRGM

Inergy Midstream

1.56

6.5

IMKTA

Ingles Markets

0.66

3.4

IRC

Inland Real Estate

0.57

6.2

IPHS

Innophos Holdings

1.40

2.7

TEG

Integrys Energy Group

2.72

4.9

INTC

Intel

0.90

4.3

IBKR

Interactive Brokers Group

0.40

2.7

IP

International Paper

1.20

2.8

ISH

International Shipholding

1.00

4.9

ISIL

Intersil Corp

0.48

5.6

IVZ

Invesco

0.69

2.5

IVR

Invesco Mortgage Capital

2.60

12.2

IRET

Investors Real Estate Trust

0.52

5.6

Ticker

Stock data as of 2/8/13

Estimated
Annual
Dividend $

Estimated
Annual
Yield %

IRM

Iron Mountain

1.08

3.2

JCOM

J2 Global

0.90

2.9

JAKK

JAKKS Pacific

0.40

3.1

JNJ

Johnson & Johnson

2.44

3.2

KAR

KAR Auction Services

0.76

3.5

KDN

Kaydon

0.80

3.2

KED

Kayne Anderson Energy Development

1.72

6.3

KYE

Kayne Anderson Energy Total Return Fund

1.92

6.8

KYN

Kayne Anderson MLP Investment

2.20

6.5

KCAP

KCAP Financial

1.12

11.1

K

Kellogg

1.76

3.0

KMPR

Kemper Corp

0.96

3.0

KRC

Kilroy Realty

1.40

2.7

KMB

Kimberly Clark

2.96

3.3

KIM

Kimco Realty

0.84

3.9

KMI

Kinder Morgan

1.48

3.9

KMP

Kinder Morgan Energy Partners

5.16

5.8

KRG

Kite Realty Group Trust

0.24

3.8

KKR

KKR & Co.

1.22

6.8

KFN

KKR Financial Holdings

0.84

7.5

KLAC

KLA-Tencor

1.60

2.8

VLCCF

Knightsbridge Tankers Limited

0.70

10.4

KNL

Knoll

0.48

2.9

KSS

Kohl's

1.28

2.8

KRFT

Kraft Foods Group

2.00

4.3

KRO

Kronos Worldwide

0.60

3.0

LLL

L-3 Communications Holdings

2.20

2.8

LG

Laclede Group

1.70

4.2

LBAI

Lakeland Bancorp

0.28

2.9

LKFN

Lakeland Financial

0.68

2.8

LDR

Landauer

2.20

3.6

LHO

LaSalle Hotel Properties

0.80

3.0

LGCY

Legacy Reserves

2.28

9.2

LEG

Leggett & Platt

1.16

3.9

LGP

Lehigh Gas Partners

1.75

8.7

LXP

Lexington Realty Trust

0.60

5.6

LXK

Lexmark International

1.20

5.0

LRY

Liberty Property Trust

1.90

4.8

LTD

Limited Brands

1.20

2.6

LINC

Lincoln Educational Services

0.28

4.8

LLTC

Linear Technology

1.04

2.8

LINE

Linn Energy

2.90

7.8

LMT

Lockheed Martin

4.60

5.2

LO

Lorillard

2.07

5.1

LRE

LRR Energy

1.92

11.0

LYTS

LSI Industries

0.24

3.3

LTC

LTC Properties

1.86

4.9

LMOS

Lumos Networks

0.56

5.4

LYB

LyondellBasell Industries NV

1.60

2.6

MTB

M&T Bank

2.80

2.7

MDC

M.D.C. Holdings

1.00

2.6

MAC

Macerich Co

2.32

3.8

CLI

Mack Cali Realty

1.80

6.7

MIC

Macquarie Infrastructure Company

2.75

5.5

MMP

Magellan Midstream Partners

2.00

4.1

MHLD

Maiden Holdings

0.36

3.6

MAIN

Main Street Capital

1.80

5.6

MN

Manning and Napier

0.64

4.2

MANT

Mantech International

0.84

3.3

MFC

Manulife Financial

0.52

3.5

MCHX

Marchex

0.14

3.4

MCS

Marcus Corporation

0.34

2.6

MWE

Markwest Energy Partners

3.28

5.9

MMC

Marsh & McLennan 

0.92

2.5

MMLP

Martin Midstream Partners

3.08

9.0

MRVL

Marvell Technology Group

0.24

2.5

MAT

Mattel

1.44

3.6

MXIM

Maxim Integrated Products.

0.96

3.0

MCD

McDonald's

3.08

3.3

MCGC

MCG Capital

0.50

11.0

MGRC

McGrath RentCorp

0.94

3.2

MHP

McGraw-Hill Companies

1.12

2.6

MDU

MDU Resources Group

0.69

3.0

MWV

MeadWestvaco

1.00

3.2

TAXI

Medallion Financial

0.84

6.5

MPW

Medical Properties Trust

0.80

5.9

MCC

Medley Capital

1.44

9.3

MEMP

Memorial Production Partners

2.03

11.4

MBVT

Merchants Bancshares 

1.12

3.9

MRK

Merck

1.72

4.2

MCY

Mercury General

2.45

6.5

MDP

Meredith Corporation

1.63

4.5

VIVO

Meridian Bioscience

0.76

3.6

MSB

Mesabi Trust

2.33

9.5

MPR

Met-Pro

0.29

2.8

MFA

MFA Financial

0.80

8.9

MGEE

MGE Energy

1.58

3.0

MCHP

Microchip Technology

1.41

3.9

MFI

MicroFinancial

0.24

3.5

MSFT

Microsoft

0.92

3.3

MAA

Mid America Apartment Communities

2.78

4.2

MCEP

Mid-Con Energy Partners

1.98

8.9

MBCN

Middlefield Banc

1.04

3.4

MSEX

Middlesex Water

0.75

3.8

MOLX

Molex

0.88

3.2

TAP

Molson Coors Brewing

1.28

2.9

MNR

Monmouth R.E. Inv.

0.60

5.6

MVC

MVC Capital

0.54

4.4

NAFC

Nash-Finch

0.72

3.5

NAUH

National American University Holdngs

0.16

4.0

NCMI

National CineMedia

0.88

5.7

NFG

National Fuel Gas

1.46

2.6

NPBC

National Penn Bancshares

0.40

4.1

NNN

National Retail Properties

1.58

4.8

NRP

Natural Resource Partners

2.20

10.0

NM

Navios Maritime Holdings

0.24

6.3

NMM

Navios Maritime Partners

1.77

13.0

NBTB

NBT Bancorp

0.80

3.9

NJR

New Jersey Resources

1.60

3.8

NYCB

New York Community Bancorp

1.00

7.5

NYMT

New York Mortgage Trust

1.08

15.7

NCT

Newcastle Investment

0.88

8.2

NEM

Newmont Mining

1.40

3.1

NXST

Nexstar Broadcasting Group

0.48

3.4

NEE

NextEra Energy

2.40

3.3

NGL

NGL Energy Partners

1.85

7.5

NGPC

NGP Capital Resources

0.64

8.6

NKA

Niska Gas Storage Partners

1.40

11.6

NI

NiSource

0.96

3.6

NOR

Noranda Aluminum Holding

0.16

2.8

NAT

Nordic American Tanker

0.64

7.3

NSC

Norfolk Southern

2.00

2.9

NBN

Northeast Bancorp

0.36

3.8

NU

Northeast Utilities System

1.47

3.6

NRIM

Northrim BanCorp

0.60

2.8

NOC

Northrop Grumman

2.20

3.3

NRF

Northstar Realty Finance

0.68

8.6

NWBI

Northwest Bancshares

0.48

3.9

NWN

Northwest Natural Gas 

1.82

4.0

NWE

NorthWestern

1.48

3.9

NTLS

NTELOS Holdings

1.68

12.9

NUE

Nucor

1.47

3.2

NS

NuStar Energy

4.38

8.8

NSH

NuStar GP Holdings

2.18

7.1

NTRI

NutriSystem

0.70

8.0

NVE

NV Energy

0.76

4.0

NYX

NYSE Euronext

1.20

3.3

OAK

Oaktree Capital Group

2.20

4.5

OCFC

OceanFirst Financial

0.48

3.3

OZM

Och-Ziff Capital Management Group

1.11

10.7

OGE

OGE Energy

1.67

2.8

ONB

Old National Bancorp

0.40

2.9

ORI

Old Republic International

0.71

6.1

OLN

Olin

0.80

3.4

OHI

Omega Healthcare Investors

1.80

6.9

OB

OneBeacon Insurance Group

0.84

6.3

OKE

ONEOK

1.44

3.0

OKS

Oneok Partners

2.84

4.9

TIS

Orchids Paper Products

1.00

4.6

ORIT

Oritani Financial

0.60

4.0

OTTR

Otter Tail

1.19

4.4

OMI

Owens & Minor

0.88

2.8

PNG

PAA Natural Gas Storage

1.43

6.9

PCBK

Pacific Continental

0.32

2.9

PKG

Packaging Corp Of America

1.25

3.1

PACW

PacWest Bancorp

1.00

3.6

PRK

Park National

3.76

5.7

PKY

Parkway Properties

0.45

2.7

PRE

Partnerre

2.56

2.9

PAYX

Paychex

1.32

4.0

PDLI

PDL BioPharma

0.60

8.7

PGH

Pengrowth Energy

0.49

10.6

PVA

Penn Virginia

0.23

4.6

PWE

Penn West Petroleum

1.09

10.1

PNNT

PennantPark Investment

1.12

10.1

PEI

Pennsylvania R.E.I.T.

0.64

3.4

PMT

PennyMac Mortgage Investment Trust

2.28

8.8

PBCT

People's United Financial

0.64

5.1

POM

Pepco Holdings

1.08

5.5

PEP

PepsiCo

2.15

3.0

PETS

Petmed Express

0.60

4.6

PDH

PetroLogistics

1.12

7.0

PFE

Pfizer

0.96

3.6

PCG

PG&E

1.82

4.3

PM

Philip Morris International

3.40

3.8

PNY

Piedmont Natural Gas

1.20

3.7

PDM

Piedmont Office Realty Trust

0.80

4.2

PNW

Pinnacle West Capital

2.18

4.0

PSE

Pioneer Southwest Energy Partners

2.08

8.1

PBI

Pitney Bowes

1.50

10.8

PAA

Plains All American Pipeline

2.25

4.3

PCL

Plum Creek Timber

1.68

3.5

PNC

PNC Financial Services

1.60

2.5

PNM

PNM Resources

0.58

2.7

POR

Portland General Electric

1.08

3.8

POT

Potash Corp./Saskatchewan

1.12

2.6

PCH

Potlatch

1.24

2.8

PPL

PPL Corporation

1.44

4.8

PFG

Principal Financial Group

0.92

3.0

PG

Procter & Gamble

2.25

3.0

BIN

Progressive Waste Solutions

0.56

2.5

Ticker

Stock data as of 2/8/13 

Estimated
Annual
Dividend $

Estimated
Annual
Yield %

PLD

Prologis

1.12

2.8

PSEC

Prospect Capital

1.32

11.5

PFS

Provident Financial Services

0.52

3.5

PBNY

Provident New York Bancorp

0.24

2.7

PEG

Public Service Enterprise Group

1.42

4.5

PSA

Public Storage

4.40

2.8

PULB

Pulaski Financial

0.38

3.8

PVR

PVR Partners

2.20

8.7

QRE

QR Energy

1.95

11.5

QSII

Quality Systems

0.70

3.6

STR

Questar

0.68

2.9

QCOR

Questcor Pharmaceuticals

0.80

3.0

DFZ

R.G. Barry

0.36

3.1

RRD

R.R. Donnelley & Sons

1.04

11.1

RPT

Ramco-Gershenson Properties Trust

0.67

4.3

RYN

Rayonier

1.76

3.2

RTN

Raytheon

2.00

3.7

O

Realty Income

2.17

5.0

RWT

Redwood Trust

1.00

5.1

RGC

Regal Entertainment Group

0.84

5.5

REG

Regency Centers

1.85

3.6

RGP

Regency Energy Partners

1.84

7.8

RNST

Renasant

0.68

3.5

RNF

Rentech Nitrogen Partners

3.83

8.3

RBCAA

Republic Bancorp KY

0.66

3.0

RSG

Republic Services

0.94

3.0

RSO

Resource Capital

0.80

12.7

ROIC

Retail Opportunity Investments

0.56

4.4

RPAI

Retail Properties of America

0.66

5.1

RAI

Reynolds American

2.36

5.3

RNO

Rhino Resource Partners

1.78

12.5

RLJ

RLJ Lodging Trust

0.82

3.9

RCKB

Rockville Financial

0.40

3.1

RMCF

Rocky Mountain Chocolate Factory

0.44

3.6

RCI

Rogers Communications

1.61

3.5

RRMS

Rose Rock Midstream

1.61

5.1

RNDY

Roundy's

0.48

8.2

RY

Royal Bank of Canada

2.42

3.9

RPM

RPM International

0.90

2.8

STBA

S & T Bancorp

0.60

3.3

SYBT

S.Y. Bancorp

0.80

3.6

SB

Safe Bulkers

0.20

5.4

SAFT

Safety Insurance Group

2.40

5.0

SWY

Safeway

0.70

3.5

SAI

SAIC

0.48

4.0

SDR

SandRidge Mississippian Trust II

2.13

13.5

PER

SandRidge Permian Trust

2.38

13.4

SASR

Sandy Spring Bancorp

0.56

2.9

SCG

SCANA

1.98

4.2

SGK

Schawk

0.32

2.6

SCHN

Schnitzer Steel Industries

0.75

2.5

SWM

Schweitzer-Mauduit International

1.20

3.3

SMG

Scotts Miracle-Gro  

1.30

2.9

SDRL

Seadrill

3.40

8.9

SDLP

Seadrill Partners

1.55

5.4

STX

Seagate Technology

1.52

4.3

SEE

Sealed Air

0.52

2.7

SSW

Seaspan

1.00

5.0

SIR

Select Income REIT

1.68

6.7

SRE

Sempra Energy

2.40

3.2

SNH

Senior Housing Properties Trust

1.56

6.4

SJR

Shaw Communications )

0.98

4.1

SFL

Ship Finance International Limited

1.56

9.1

SFNC

Simmons First National

0.80

3.1

SPG

Simon Property Group

4.60

2.8

SLP

Simulations Plus

0.20

4.6

SBGI

Sinclair Broadcast Group

0.60

4.3

SIX

Six Flags Entertainment

3.60

5.7

SJW

SJW Corp.

0.73

2.7

SLM

SLM

0.60

3.2

SLRC

Solar Capital

2.40

9.6

SUNS

Solar Senior Capital

1.41

7.5

SOMH

Somerset Hills Bancorp

0.32

2.8

SON

Sonoco Products

1.20

3.8

SJI

South Jersey Industries

1.77

3.3

SO

Southern Company

1.96

4.5

SCCO

Southern Copper

3.76

9.2

SBSI

Southside Bancshares

0.80

3.8

SWX

Southwest Gas

1.18

2.6

SSS

Sovran Self Storage

1.92

2.9

SE

Spectra Energy

1.22

4.1

SEP

Spectra Energy Partners

1.98

5.7

TRK

Speedway Motorsports

0.60

3.5

STAG

Stag Industrial

1.08

5.4

SWK

Stanley Black & Decker

1.96

2.6

SPLS

Staples

0.44

3.4

STWD

Starwood Property Trust

1.76

6.8

STLD

Steel Dynamics

0.40

2.6

SCS

Steelcase

0.36

2.7

STL

Sterling Bancorp

0.36

3.7

STSA

Sterling Financial

0.60

2.8

STON

StoneMor Partners

2.36

9.4

STRA

Strayer Education

4.00

6.5

SPH

Suburban Propane Partners

3.50

8.5

INN

Summit Hotel Properties

0.45

4.8

SSBI

Summit State Bank

0.36

4.3

SUI

Sun Communities

2.52

5.8

SLF

Sun Life Financial

1.45

5.0

SXL

Sunoco Logistics Partners

2.18

3.6

SUP

Superior Industries International

0.64

3.1

SUSP

Susser Petroleum Partners

1.75

6.0

SYY

SYSCO

1.12

3.5

TAL

TAL International Group

2.48

5.7

NGLS

Targa Resources Partners

2.72

6.6

TCP

TC Pipelines

3.12

7.1

TSH

Teche Holding

1.46

3.7

TE

TECO Energy

0.88

5.2

TGP

Teekay LNG Partners

2.70

6.6

TOO

Teekay Offshore Partners

2.05

7.4

WRLS

Telular

0.48

4.5

TLLP

Tesoro Logistics

1.89

4.1

TESS

TESSCO Technologies

0.72

3.2

TGH

Textainer Group Holdings Limited

1.76

4.1

TRI

Thomson Reuters

1.28

4.2

TICC

TICC Capital

1.16

11.2

TWC

Time Warner Cable

2.60

2.9

TMP

Tompkins Financial

1.52

3.7

TD

Toronto-Dominion Bank

3.13

3.8

TYY

Tortoise Energy Capital

1.67

5.2

TYG

Tortoise Energy Infrastructure

2.26

5.0

TYN

Tortoise North American Energy

1.57

5.5

TWGP

Tower Group

0.75

3.9

TACT

TransAct Technologies

0.24

3.0

TAC

TransAlta

1.15

7.1

TRP

TransCanada

1.77

3.6

TLP

TransMontaigne Partners

2.56

6.2

TCAP

Triangle Capital

2.12

7.4

TROX

Tronox Limited

1.00

4.9

TRLG

True Religion Apparel

0.80

2.9

TRST

TrustCo BankNY

0.26

5.0

TRMK

Trustmark

0.92

3.9

TUP

Tupperware Brands

2.48

3.3

TWO

Two Harbors Investment

2.20

18.0

UDR

UDR

0.88

3.7

UGI

UGI Corp

1.08

3.0

UIL

UIL Holdings

1.73

4.6

UMH

UMH Properties

0.72

6.9

UMPQ

Umpqua Holdings

0.36

2.8

UBSH

Union First Market Bankshares

0.52

2.9

UBSI

United Bankshares

1.24

4.8

UBNK

United Financial Bancorp

0.40

2.7

UFCS

United Fire Group

0.60

2.6

UNTD

United Online

0.40

6.2

UPS

United Parcel Service

2.28

2.8

UTL

Unitil

1.38

5.2

UVV

Universal Corp

2.00

3.6

UTI

Universal Technical Institute

0.40

3.5

UVSP

Univest Corp. of PA

0.80

4.8

UNS

UNS Energy

1.72

3.7

UBA

Urstadt Biddle Properties

1.00

4.9

ECOL

US Ecology

0.72

3.1

VCI

Valassis Communications

1.24

4.3

VLY

Valley National Bancorp

0.65

6.6

VNR

Vanguard Natural Resources

2.43

8.8

VVC

Vectren

1.42

4.4

VTR

Ventas

2.48

3.7

VZ

Verizon Communications

2.06

4.6

VOC

VOC Energy Trust

1.04

8.0

VNO

Vornado Realty Trust

2.92

3.5

WDR

Waddell & Reed Financial

1.12

2.7

WAG

Walgreen

1.10

2.7

WBCO

Washington Banking Co

0.60

4.3

WASH

Washington Trust Bancorp

0.96

3.7

WM

Waste Management

1.42

3.9

WRI

Weingarten Realty Investors

1.16

3.9

WFC

Wells Fargo

1.00

2.9

WEN

Wendy's

0.16

3.2

WSBC

WesBanco

0.72

3.1

WTBA

West Bancorporation

0.40

3.7

WABC

WestAmerica Bancorp.

1.48

3.3

WR

Westar Energy

1.32

4.3

WMC

Western Asset Mortgage Capital

3.60

17.1

WES

Western Gas Partners

2.08

3.8

WU

Western Union

0.50

3.4

WFD

Westfield Financial

0.24

3.1

WGL

WGL Holdings

1.68

4.0

WSR

Whitestone REIT

1.14

7.8

WHZ

Whiting USA Trust II

2.60

16.0

WMB

Williams Companies

1.36

3.8

WPZ

Williams Partners

3.31

6.3

WSH

Willis Group Holdings

1.08

3.0

WIN

Windstream

1.00

10.2

FUR

Winthrop Realty Trust

0.65

5.3

WEC

Wisconsin Energy

1.36

3.4

WWE

World Wrestling Entertainment

0.48

5.7

WYNN

Wynn Resorts, Limited

4.00

3.2

XEL

Xcel Energy

1.08

3.9

XRTX

Xyratex

0.30

3.1

YORW

York Water

0.55

2.9

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