Please Note: Blog posts are not selected, edited or screened by Seeking Alpha editors.

High Dividend Yield & Low P/E Stocks

Symbol Company Name Sector Dividend Yield % P/E  Market Cap. Price
SHMR Shamir Optical Industry, Ltd. Health Care 22.2 12.2 181.88M 10.84
AGNC American Capital Agency Corp. Financial 20.8 3.8 905.13M 26.89
IVR Invesco Mortgage Capital Financial 18.4 3.8 567.58M 21.79
CYS Cypress Sharpridge Investments, Inc. Financial 17.8 4.2 400.33M 13.48
CIM Chimera Investment Corporation Financial 17.4 5.7 3.65B 4.13
RSO Resource Capital Corporation Financial 15.6 4.9 335.99M 6.42
HTS Hatteras Financial Corporation Financial 15.2 6.1 1.08B 28.95
MAIL IncrediMail, Ltd. Technology 14.9 6.9 58.05M 6.03
NLY Annaly Capital Management, Inc. Financial 14.8 9.7 11.37B 18.34
WHX Whiting USA Trust I Basic Materials 14.5 7.9 282.68M 20.39
MVO MV Oil Trust Basic Materials 12.9 13.4 344.88M 29.99
FSC Fifth Street Finance Corporation Financial 12.1 14.6 595.96M 10.93
WAC Walter Investment Management Corp Financial 11.5 15.6 449.31M 17.45
BKCC BlackRock Kelso Capital Corporation Financial 11.1 6.5 758.62M 11.58
CEL Cellcom Israel Limited Technology 10.9 9.4 2.97B 30.06
AINV Apollo Investment Corporation Financial 10.8 17 2.01B 10.36
CPLP Capital Products Partners LP Services 10.8 9.3 258.12M 8.3
ITRN Ituran Location and Control, Ltd. Services 10.5 15.1 336.64M 14.34
KCAP Kohlberg Capital Corporation Financial 10.4 17.2 148.07M 6.55
FRO Frontline, Ltd. Services 10.2 14.4 2.29B 29.46
TCAP Triangle Capital Corp. Financial 10.2 8.8 194.39M 16.1
VLCCF Knightsbridge Tankers, Ltd. Services 10.1 9.4 337.72M 19.75
GOL Gol Intelligent Airlines, Inc. Services 10 14.4 4.30B 15.92
MTA Magyar Telekom, Ltd. Technology 10 17.1 3.41B 16.34
MFA MFA Financial , Inc. Financial 9.9 7.8 2.15B 7.65
PNNT Pennant Park Investment Corporation Financial 9.8 6.6 334.21M 10.59
MAIN Main Street Capital Corporation Financial 9.5 7.8 243.89M 15.85
TNH Terra Nitrogen Company, L.P. Basic Materials 9.5 17 1.84B 99.5
DX Dynex Capital, Inc. Financial 9.3 8.6 195.68M 10.77
NMM Navios Maritime Partners LP- Partnership Un Services 9.3 11.1 625.03M 18.03
CQP Cheniere Energy Partners, L.P. Basic Materials 9.2 12.3 487.65M 18.46
FTR Frontier Communications Corporation-Shs Ser Technology 9.2 19 8.10B 8.17
NZT Telecom Corporation of New Zealand Limited Technology 9.2 11.1 2.94B 7.66
UVE Universal Insurance Holdings, Inc. Financial 9.1 6.4 172.33M 4.4
ARCC Ares Capital Corporation Financial 9 4.3 2.99B 15.56
PVD Administradora de Fondos de Pensiones Provi Financial 8.9 8.2 1.37B 62.2
STON StoneMor Partners, L.P. Services 8.9 14.8 347.00M 25.07
SDRL Seadrill Limited Basic Materials 8.8 9.3 11.46B 27.83
BBEP BreitBurn Energy Partners, L.P. Basic Materials 8.6 15.9 943.30M 17.7
DOM Dominion Resources Black Warrior Trust Financial 8.6 11.6 101.26M 12.9
MSB Mesabi Trust Financial 8.6 17.9 485.57M 37.01
TICC TICC Capital Corp Financial 8.5 5.1 278.75M 10.35
FORTY Formula Systems (1985), Ltd. Technology 8.3 9.2 183.61M 13.91
BPT BP Prudhoe Bay Royalty Trust Basic Materials 8.2 11 2.18B 101.68
CHKE Cherokee Inc. Consumer Goods 8.2 14.5 164.58M 18.5
NRP Natural Resources Partners L.P. Basic Materials 8.2 19.1 1.96B 26.41
HTGC Hercules Technology Growth Capital, Inc. Financial 8.1 15.8 357.35M 9.93
HGT Hugoton Royalty Trust Basic Materials 8.1 14.3 784.52M 19.61
NGG National Grid PLC Utilities 8.1 10.3 22.85B 43.65
PTNR Partner Communications Company, Ltd. Technology 8.1 9.1 2.85B 18.38
SJT San Juan Basin Royalty Financial 8.1 18.2 1.14B 24.48
CRT Cross Timbers Royalty Basic Materials 8 14.2 212.40M 35.4
GLP Global Partners, LP Services 7.9 12.1 281.30M 24.81
WIN Windstream Corporation Technology 7.7 18.7 6.24B 12.91
GLAD Gladstone Capital Corporation Financial 7.5 14.8 236.27M 11.23
NGPC NGP Capital Resources Company Financial 7.5 9.2 196.38M 9.08
PGH Pengrowth Energy Trust Basic Materials 7.4 13.6 3.21B 11.02
CTL CenturyLink, Inc. Technology 7.3 13.4 12.03B 39.9
PSE Pioneer Southwest Energy Partners LP Basic Materials 7.3 8 906.32M 27.37
SFL Ship Finance International, Ltd. Services 7.3 7.6 1.52B 19.2
GTY Getty Realty Corporation Financial 7.2 13.7 797.94M 26.65
NRT North European Oil Royalty Financial 7.2 6.7 241.34M 26.26
YPF YPF Sociedad Anonima Basic Materials 7.2 20 15.50B 39.4
OLP One Liberty Properties, Inc. Financial 7.1 10.5 194.53M 16.94
NS Nustar Energy, L.P. Basic Materials 7 19.5 3.94B 61
UNTD United Online, Inc. Services 7 8.8 501.35M 5.74
WPC W.P. Carey & Co. LLC Financial 7 15.5 1.15B 29.15
PBT Permian Basin Royalty Trust Financial 6.9 15.5 910.74M 19.54
PBI Pitney Bowes Inc. Consumer Goods 6.9 12.9 4.40B 21.3
TTO Tortoise Capital Resources Corporation Financial 6.9 18.6 52.51M 5.76
TLP TransMontaigne Partners L.P. Basic Materials 6.9 15.7 499.49M 34.55
ARKR Ark Restaurants Corp. Services 6.8 18.5 51.62M 14.79
VOD Vodafone Group PLC Technology 6.7 10.2 133.55B 25.36
CPL CPFL Energy SA Utilities 6.6 13.2 11.21B 69.92
NTLS NTELOS Holdings Corporation Technology 6.6 13.2 711.41M 17.06
FLY Fly Leasing Ltd Services 6.4 6.4 355.34M 12.57
SBR Sabine Royalty Trust Financial 6.4 16.7 770.52M 52.85
WPZ Williams Partners L.P. Basic Materials 6.4 12.7 10.79B 42.2
AEA Advance America, Cash Advance Centers, Inc. Financial 6.3 4.9 248.19M 3.99
MO Altria Group, Incorporated Consumer Goods 6.3 14.6 50.43B 24.2
APU Amerigas Partners, L.P. Utilities 6.3 17 2.54B 44.44
TCLP TC Pipelines LP Basic Materials 6.3 18.3 2.13B 46
BT BT Group PLC Technology 6.2 11.4 18.10B 22.21
HTCO Hickory Tech Corp Technology 6.2 8.8 111.21M 8.4
NYB New York Community Bancorp, Inc. Financial 6.2 12.3 7.03B 16.14
SPIL Siliconware Precision Industries Co, Ltd. Technology 6.2 10 3.08B 4.93
SGU Star Gas Partners, L.P. Services 6.2 5.5 320.21M 4.69
SPH Suburban Propane Partners, L.P. Services 6.2 17 1.91B 54.14
BPL Buckeye Partners, L.P. Basic Materials 6.1 17 3.23B 62.65
NPD China Nepstar Chain Drugstore Ltd. Services 6.1 18.5 451.54M 4.28
UIL UIL Holdings Corporation Utilities 6.1 15.7 847.21M 28.17
MTR Mesa Royalty Trust Financial 6 14.9 86.19M 46.25
OB OneBeacon Insurance Group, Ltd. Financial 6 7 318.78M 13.93
PHI Philippine Long Distance Telephone Technology 6 12.3 11.09B 59.35
RAI Reynolds American, Inc. Consumer Goods 6 17.4 17.41B 59.71
EPD Enterprise Products Partners L.P. Basic Materials 5.9 19.9 24.52B 39.01
FTE France Telecom SA Technology 5.9 13.4 57.85B 21.84
T AT&T, Inc. Technology 5.8 13.5 170.89B 28.92
BIP Brookfield Infrastructure Partners LP Utilities 5.8 19.4 1.20B 19
DEP Duncan Energy Partners, L.P. Basic Materials 5.8 19.3 1.79B 30.95
MMP Magellan Midstream Partners, L.P. Basic Materials 5.8 16.4 5.73B 50.93
MCY Mercury General Corporation Financial 5.8 8.3 2.24B 40.79
FE FirstEnergy Corporation Utilities 5.7 13.1 11.69B 38.34
VALU Value Line, Inc. Financial 5.7 13 139.04M 13.93
FNLC First National Lincoln Corporation Financial 5.6 13.5 135.61M 13.89
KFN KKR Financial Corporation Financial 5.6 4.9 1.36B 8.56
LO Lorillard, Inc. Consumer Goods 5.6 13.1 12.26B 80.79
RDS-A Royal Dutch Shell PLC Basic Materials 5.6 12.3 188.93B 60.54
CINF Cincinnati Financial Corporation Financial 5.5 9.2 4.71B 28.95
NSH Nustar GP Holdings, LLC Basic Materials 5.5 19.2 1.43B 33.57
PGN Progress Energy, Incorporated Utilities 5.5 16.4 13.08B 44.72
ARLP Alliance Resource Partners LP Basic Materials 5.4 14.6 2.19B 59.71
AEE Ameren Corporation Utilities 5.4 11.8 6.79B 28.37
BCE BCE Inc. Technology 5.4 12.3 24.82B 32.7
LLY Eli Lilly and Company Health Care 5.4 9 41.96B 36.39
NHI National Health Investors, Inc. Financial 5.4 18 1.23B 44.52
QCCO QC Holdings, Inc. Financial 5.4 4.1 63.79M 3.71
ISH International Shipholding Corporation Services 5.3 4.9 203.85M 28.28
NI NiSource, Inc. Utilities 5.3 16.2 4.86B 17.49
SLF Sun Life Financial, Inc. Financial 5.3 19.5 14.73B 25.88
TEF Telefonica, S.A. Technology 5.3 13.9 113.67B 74.72
VVC Vectren Corporation Utilities 5.3 15.1 2.10B 25.78
WES Western Gas Partners, LP Basic Materials 5.3 19.7 1.13B 26.53
DLX Deluxe Corporation Services 5.2 7.8 988.99M 19.25
TMX Telefonoes de Mexico S.A.B. de. C.V. Technology 5.2 12.5 143.68B 14.84
FUR Winthrop Realty Trust, Inc. Financial 5.2 11.7 267.95M 12.62
SEP Spectra Energy Partners, LP Basic Materials 5.1 19.7 1.98B 33.75
WR Westar Energy, Inc. Utilities 5.1 15.4 2.68B 24.16
EPB El Paso Pipeline Partners, L.P. Basic Materials 5 17.5 3.97B 31.95
PRGN Paragon Shipping Inc Services 5 4.4 204.42M 3.99
ALE ALLETE, Inc. Utilities 4.9 15.8 1.30B 36.28
CNP CenterPoint Energy, Inc. Utilities 4.9 14.8 6.68B 15.84
ED Consolidated Edison Company Utilities 4.9 14.3 13.71B 48.5
EXC Exelon Corporation Utilities 4.9 11.3 28.45B 43.04
HCBK Hudson City Bancorp, Inc. Financial 4.9 10.8 6.45B 12.25
SO Southern Company Utilities 4.9 15 31.17B 37.52
AB AllianceBernstein Holding L.P. Financial 4.8 12.6 2.66B 26
AVA Avista Corp Utilities 4.8 13.7 1.16B 20.98
CHG CH Energy Group Incorporated Utilities 4.8 14.5 706.99M 44.68
NWE NorthWestern Corporation Utilities 4.8 12.1 1.02B 28.16
SSL Sasol LTD ADR Basic Materials 4.8 15.2 26.62B 44.81
AYR Aircastle Ltd. Services 4.7 7.3 682.66M 8.59
BMO Bank of Montreal Financial 4.7 13.1 32.74B 58.17
CM Canadian Imperial Bank of Commerce Financial 4.7 11.9 27.86B 71.3
SAFT Safety Insurance Group Inc Financial 4.7 11.6 636.26M 42.37
SCG Scana Corporation Utilities 4.7 13.9 5.12B 40.46
TE Teco Energy, Inc. Utilities 4.7 15 3.73B 17.4
TRST TRUSTCO BANK CORP N Y Financial 4.7 14 428.11M 5.56
UNS UniSource Energy Corporation Utilities 4.7 11.5 1.22B 33.48
UVV Universal Corporation Consumer Goods 4.7 7.9 965.97M 39.99
AGL AGL Resources, Incorporated Utilities 4.6 12.9 2.99B 38.4
AEP American Electric Power Co Inc Utilities 4.6 15.2 17.60B 36.72
ATO Atmos Energy Corporation Utilities 4.6 14.5 2.62B 29.06
BMY Bristol-Myers Squibb Company Health Care 4.6 15.8 47.90B 27.93
CV Central Vermont Public Service Corporation Utilities 4.6 17.6 252.77M 20.2
CNK Cinemark Holdings, Inc. Services 4.6 13.2 1.79B 15.82
DPL DPL, Incorporated Utilities 4.6 12.1 3.12B 26.19
FNF Fidelity National Information Services Inc Financial 4.6 12.1 3.60B 15.77
GSK GlaxoSmithKline PLC Health Care 4.6 16 104.03B 40.08
LG Laclede Group, Incorporated Utilities 4.6 14.9 762.61M 34.21
PM Philip Morris International Inc Consumer Goods 4.6 15.2 102.79B 56.08
TU Telus Corporation Technology 4.6 13.9 6.09B 42.12
TOT Total SA Basic Materials 4.6 8.9 121.34B 51.66
VE Veolia Environnement Utilities 4.6 15.1 13.35B 26.83
AHGP Alliance Holdings GP, L.P. Basic Materials 4.5 18.8 2.59B 43.29
E ENI SpA Basic Materials 4.5 12.4 86.38B 43.13
STD Banco Santander SA Financial 4.4 9 104.67B 12.72
CHCO City Holding Company Financial 4.4 11.9 484.33M 31.07
GXP Great Plains Energy, Inc. Utilities 4.4 14.5 2.55B 18.81
HGIC Harleysville Group Inc. Financial 4.4 12.3 885.65M 32.6
PNM PNM Resources, Incorporated Utilities 4.4 19.8 995.87M 11.49
SE Spectra Energy Canada Exchangeco Inc Basic Materials 4.4 15.6 14.59B 22.51
XEL Xcel Energy, Inc. Utilities 4.4 15.2 10.53B 22.91
ETR Entergy Corporation Utilities 4.3 11.5 14.49B 77.56
FSS Federal Signal Corp Consumer Goods 4.3 11.8 344.77M 5.54
HNP Huaneng Power International Inc. Utilities 4.3 10.5 7.58B 25.16
PT Portugal Telecom SA Technology 4.3 12.5 11.36B 12.97
CALM Cal-Maine Foods, Inc. Consumer Goods 4.2 9.9 600.14M 27.99
CAG ConAgra Foods, Inc. Consumer Goods 4.2 13.9 9.66B 21.98
DEO Diageo PLC Consumer Goods 4.2 17.7 47.62B 69.16
FII Federated Investors, Inc. Financial 4.2 12.1 2.37B 22.96
NM Navios Maritime Holdings, Inc. Services 4.2 5.8 571.51M 5.66
NYX NYSE Euronext Inc Financial 4.2 12.3 7.50B 28.72
RMCF Rocky Mountain Chocolate Consumer Goods 4.2 15.7 57.60M 9.55
BWINB Baldwin & Lyons, Inc. Financial 4.1 11.8 298.44M 24.5
BLX Banco Latino Americano de Exportaciones, S. Financial 4.1 13.6 406.82M 14.73
D Dominion Resources, Inc. Utilities 4.1 10.4 26.03B 44.19
KMB Kimberly-Clark Corporation Consumer Goods 4.1 13.8 26.49B 64.72
LMT Lockheed Martin Corporation Industrial Goods 4.1 9.2 26.27B 72.47
MRK Merck & Co Inc Health Care 4.1 8.2 114.49B 37.25
GAS Nicor Inc. Utilities 4.1 13.5 2.07B 45.38
OKE ONEOK, Inc. Utilities 4.1 14.2 4.75B 44.59
PFE Pfizer Inc. Health Care 4.1 16.4 140.07B 17.43
PEG Public Service Enterprise Group, Inc. Utilities 4.1 10.8 16.77B 33.14
RPM RPM International, Inc. Industrial Goods 4.1 14.4 2.60B 20.02
ANAT American National Insurance Company Financial 4 15.7 2.04B 76.2
BOH Bank of Hawaii Corporation Financial 4 12.2 2.15B 44.53
OMAB Grupo Aeroportuario del Centro Norte S.A.B  Services 4 19.5 606.91M 14.23
IMKTA Ingles Markets, Incorporated Services 4 14 214.22M 16.62
NST NSTAR Utilities 4 11.5 4.10B 39.59
PCG PG & E Corporation Utilities 4 14.8 17.80B 45.55
RYN Rayonier, Inc. Financial 4 14.7 4.03B 50.19
WGL WGL Holdings, Incorporated Utilities 4 15.2 1.91B 37.52
COP ConocoPhillips Basic Materials 3.9 9.5 86.84B 57.09
GMT Gatx Corporation Services 3.9 16.7 1.35B 29.06
ASR Grupo Aeroportuario del Sureste SAB de CV Services 3.9 18 1.44B 48.09
OLN Olin Corporation Basic Materials 3.9 17.5 1.61B 20.31
PNY Piedmont Natural Gas Company Utilities 3.9 14.4 2.08B 28.9
SJR Shaw Communications, Inc. Services 3.9 18.7 8.95B 21.82
TSP Telecommunications of Sao Paulo Technology 3.9 9.9 12.28B 24.28
AWK American Water Works Co Inc Utilities 3.8 17.2 4.07B 23.27
IBA Bachoco Industries Consumer Goods 3.8 16.2 967.00M 19.34
HNZ HEINZ H J CO Consumer Goods 3.8 17.2 15.26B 47.94
MGEE MGE Energy, Inc. Utilities 3.8 17.6 913.91M 39.54
STO Statoil ASA Basic Materials 3.8 13.3 65.75B 20.65
TGH Textainer Group Holdings, Ltd. Services 3.8 14.6 1.27B 26.46
AIRT Air T, Inc. Services 3.7 7.4 21.59M 8.88
CPK Chesapeake Utilities Corp Utilities 3.7 13.8 342.23M 36.06
CMTL Comtech Telecommunications Corporation Technology 3.7 14 758.44M 26.77
KFT Kraft Foods, Inc. Consumer Goods 3.7 11.6 54.90B 31.48
BOOT Lacrosse Footwear Consumer Goods 3.7 13.9 88.08M 13.65
MVC MVC Capital, Inc. Financial 3.7 9.9 314.91M 13.1
RY Royal Bank of Canada Financial 3.7 15.1 73.68B 51.75
TPI Tianyin Pharmaceutical Co Inc Health Care 3.7 7.9 72.21M 2.69
ALEX Alexander & Baldwin Services 3.6 19.2 1.44B 35.01
BNS Bank of Nova Scotia Financial 3.6 14.6 54.56B 52.56
CVX Chevron Corporation Basic Materials 3.6 9.6 162.62B 80.88
BCA Corpbanca Financial 3.6 16 3.59B 79
DD E.I. du Pont de Nemours & Company Basic Materials 3.6 13.3 41.40B 45.67
EIX Edison International Utilities 3.6 9.6 11.33B 34.77
GPC Genuine Parts Company Services 3.6 16.7 7.13B 45.21
NEE NextEra Energy Inc Utilities 3.6 12.1 22.88B 55.01
OGE OGE Energy Corp Utilities 3.6 14.4 3.91B 40.11
SBSI Southside Bancshares, Inc. Financial 3.6 7.3 300.22M 18.95
SUBK Suffolk Bancorp Financial 3.6 13.6 239.19M 24.76
GROW U S GLOBAL INVESTORS INC Financial 3.6 19.1 88.65M 6.67
UN Unilever NV Consumer Goods 3.6 16.6 51.70B 30.15
UTR Unitrin, Incorporated Financial 3.6 7.2 1.52B 24.49
VLGEA Village Super Market, Incorporated Services 3.6 15.8 194.12M 27.67
WM Waste Management, Inc. Industrial Goods 3.6 17.1 16.93B 35.47
EBF Ennis, Inc. Consumer Goods 3.5 10.5 464.67M 17.93
HI Hillenbrand Inc Services 3.5 14 1.34B 21.55
JNJ Johnson & Johnson Health Care 3.5 12.9 171.96B 62.43
KCLI Kansas City Life Insurance Company Financial 3.5 19.6 356.64M 31.1
MMC Marsh & McLennan Companies Inc Financial 3.5 18.3 13.20B 24.33
NWN Northwest Natural Gas Utilities 3.5 16.6 1.25B 47.02
TKC Turkcell Iletisim Hizmetleri ADS Technology 3.5 14 14.82B 16.84
UGI UGI Corporation Utilities 3.5 12.8 3.16B 28.74
WSBC Wesbanco, Incorporated Financial 3.5 16.5 426.19M 16.03


Disclosure: See: www.401ktimer.com/