Dividend Screener: Stocks & ETFs Screener (500+)

Filter by Dividend Yield, Dividend Growth, Consistency of Payouts, Yield on Cost and many other Dividend and Fundamental Data.

Results 500 matches
SYMBOL INDUSTRY MKT CAP VRT SIGNAL SAFETY RS DIV. YIELD
NVDA NASDAQ
NVIDIA
Semiconductors
AI Infrastructure, Gaming Graphics, Work
5,023B 58 0.07 52 59 0.1%
AAPL NASDAQ
Apple
Technology Hardware
Smartphones, Computers, Tablets, Wearables
4,895B 76 0.68 86 82 0.4%
GOOGL NASDAQ
Alphabet
Interactive Media
Advertising, Search, Cloud Computing, Artificial
4,174B 81 -0.20 83 67 0.3%
GOOG NASDAQ
Alphabet C
Interactive Media
Online Advertising, Cloud Platform, Artificial
4,172B 81 -0.17 82 67 0.3%
MSFT NASDAQ
Microsoft
Software
Productivity Software, Cloud Computing, Gaming
2,980B 55 -0.75 77 12 0.8%
TSM NYSE
Taiwan Semiconductor
Semiconductors
CMOS Logic, Mixed-Signal, Radio Frequency
2,125B 77 0.65 77 85 0.9%
AVGO NASDAQ
Broadcom
Semiconductors
Networking Chips, Wireless Connectivity, Storage
1,764B 61 0.22 74 62 0.7%
META NASDAQ
Meta Platforms
Interactive Media
Social Media, Messaging, VR Headsets, AI Glasses
1,687B 57 -0.76 79 17 0.3%
LLY NYSE
Eli Lilly
Pharmaceuticals
Diabetes, Oncology, Immunology, Neuroscience
1,043B 87 0.63 89 85 0.7%
VOO NYSE ETF
SP500
Large Blend
US Large-Cap, Index Tracking, Equity Holdings
1,033B 60 -0.15 42 52 1.2%
MU NASDAQ
Micron Technology
Semiconductors
DRAM, NAND Flash, SSDs, Memory Modules
964B 74 1.43 41 99 0.2%
WMT NASDAQ
Walmart
Consumer Staples
Groceries, Consumer Electronics, Health Wellness
915B 54 -0.46 68 23 0.8%
JPM NYSE
JPMorgan Chase
Banks
Consumer Banking, Investment Banking, Wealth
912B 41 0.62 44 69 1.9%
IVV NYSE ETF
Core SP500
Large Blend
Large Cap Stocks, US Equities, Index Tracking
833B 60 -0.15 43 52 1.2%
SPY NYSE ETF
SP500 Trust
Large Blend
Technology, Healthcare, Financials, Consumer
789B 59 -0.14 43 52 1.1%
ASML AS
ASML Holding
Semiconductors
Lithography Systems, Metrology Systems
699B 81 1.48 78 95 0.8%
V NYSE
Visa
Financial
Payment Cards, Transaction Processing, Digital
694B 71 0.44 75 49 0.8%
ASML NASDAQ
ASML Holding
Semiconductors
Lithography Systems, Metrology Systems
686B 78 0.91 76 95 0.8%
VTI NYSE ETF
Total Stock Market Shares
Large Blend
U.S. Equities, Large Cap, Mid Cap, Small Cap
667B 60 -0.21 42 53 1.2%
XOM NYSE
Exxon Mobil
Oil, Gas & Consumable Fuels
Oil, Gas, Petrochemicals, Lubricants
605B 65 -0.36 66 77 3.1%
JNJ NYSE
Johnson & Johnson
Pharmaceuticals
Pharmaceuticals, Medical Devices, Surgical
602B 71 0.61 79 81 2.5%
MA NYSE
Mastercard
Financial
Payment Processing, Credit Cards, Cross-Border
487B 69 -0.30 73 31 0.6%
QQQ NASDAQ ETF
QQQ Trust
Large Growth
Semiconductors, Software, E-Commerce, Cloud
481B 62 -0.28 42 60 0.5%
ABBV NYSE
AbbVie
Biotechnology
Immunology, Oncology, Aesthetics, Neuroscience
449B 51 0.68 61 80 3.1%
AMAT NASDAQ
Applied Materials
Semiconductors
Semiconductor Equipment, Deposition Systems, Etch
445B 82 0.62 83 98 0.7%
BAC NYSE
Bank of America
Banks
Mortgages, Credit Cards, Wealth Management
436B 50 0.63 45 75 2.2%
CSCO NASDAQ
Cisco Systems
Communications Equipment
Networking Equipment, Network Security
432B 73 0.70 68 91 2.1%
COST NASDAQ
Costco Wholesale
Consumer Staples
Groceries, Electronics, Apparel, Fuel
419B 53 -0.52 66 23 0.6%
XDJP XETRA ETF
Nikkei 225 1D
Japan Large-Cap Blend Equity
Japanese Equities, Large-Cap Stocks, Industrials
412B 65 -0.09 53 77 1.4%
CAT NYSE
Caterpillar
Machinery
Construction Equipment, Mining Equipment, Diesel
404B 83 0.99 87 91 0.9%
LRCX NASDAQ
Lam Research
Semiconductors
Deposition Systems, Etch Systems, Cleaning
401B 85 0.08 73 98 0.6%
UNH NYSE
UnitedHealth
Health Care Providers
Health Insurance, Pharmacy Care, Medical Care
384B 64 0.46 56 80 2.7%
CVX NYSE
Chevron
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Refined Fuels
366B 46 -0.31 76 70 4.1%
KO NYSE
The Coca-Cola
Beverages
Sparkling Soft Drinks, Bottled Water, Sports
365B 76 0.00 77 62 2.8%
GE NYSE
GE Aerospace
Aerospace & Defense
Aircraft Engines, Avionics Systems, Power
361B 68 0.60 77 77 0.5%
ORCL NYSE
Oracle
Software
Cloud Applications, Database, Enterprise
358B 23 -0.78 58 2 1.1%
HBC1 XETRA
HSBC Holdings
Banks
Banking, Wealth Management, Insurance, Asset
353B 50 0.41 40 88 5.7%
PG NYSE
Procter & Gamble
Household Products
Hair Care, Oral Care, Fabric Care, Baby Care
353B 55 -0.75 71 28 2.1%
HD NYSE
The Home Depot
Specialty Retail
Building Materials, Home Improvement, Lawn
347B 45 -1.27 67 18 2.6%
HSBC NYSE
HSBC Holdings
Banks
Retail Banking, Wealth Management, Capital
345B 49 0.10 32 86 4.9%
MS NYSE
Morgan Stanley
Capital Markets
Investment Banking, Wealth Management, Equity
343B 57 0.89 73 82 2.4%
ROP SW
Roche Holding
Pharmaceuticals
Pharmaceuticals, Diagnostics, Oncology, Medical
331B 66 0.29 74 71 3.1%
GS NYSE
Goldman Sachs
Capital Markets
Investment Banking, Securities Trading, Asset
323B 53 1.13 51 83 2.0%
MRK NYSE
Merck
Pharmaceuticals
Oncology, Vaccines, Animal Health, Pharmaceuticals
315B 77 0.32 81 85 3.3%
PM NYSE
Philip Morris International
Tobacco
Cigarettes, Heat-Not-Burn, E-Vapor, Oral Nicotine
303B 77 -0.15 58 69 3.6%
RY NYSE
Royal Bank of Canada
Banks
Personal Banking, Wealth Management, Insurance
300B 49 0.82 37 85 2.1%
NOVN SW
Novartis
Pharmaceuticals
Cardiovascular, Oncology, Immunology, Neuroscience
292B 64 0.67 63 74 3.0%
NVS NYSE
Novartis
Pharmaceuticals
Cardiovascular, Oncology, Immunology, Hematology
291B 64 -0.03 68 68 3.1%
MC PA
LVMH Moët Hennessy - Louis
Textiles, Apparel & Luxury
Wines & Spirits, Fashion & Leather, Perfumes
282B 37 -1.12 73 16 2.5%
BABA NYSE
Alibaba Holding
Broadline Retail
E-Commerce, Cloud Computing, Digital Media
282B 29 -0.57 90 10 1.0%
NESN SW
Nestle S.A.
Food Products
Coffee, Chocolate, Petcare, Nutrition
271B 58 -0.66 77 42 4.1%
WFC NYSE
Wells Fargo
Banks
Banking, Lending, Wealth Management, Investment
270B 37 0.01 33 43 2.2%
TXN NASDAQ
Texas Instruments
Semiconductors
Analog Semiconductors, Embedded Processors
268B 72 1.16 80 87 2.8%
RTX NYSE
RTX
Aerospace & Defense
Aircraft Engines, Avionics, Missile Systems
262B 70 0.99 81 72 1.6%
GEV NYSE
GE Vernova
Independent Power Renewable
Gas Turbines, Nuclear, Wind Turbines, Grid
262B 61 0.75 57 86 0.2%
AZN NYSE
AstraZeneca
Pharmaceuticals
Oncology, Cardiovascular, Respiratory, Immunology
262B 53 -0.67 69 26 1.8%
AZN ST
AstraZeneca
Biotechnology
Oncology, Cardiovascular, Respiratory, Vaccines
261B 59 -0.80 74 38 1.7%
DELL NYSE
Dell Technologies
Technology Hardware
Servers, Storage, Notebooks, Desktops
253B 78 1.31 55 99 1.3%
SHEL NYSE
Shell
Oil, Gas & Consumable Fuels
Oil, Natural Gas, Lubricants, Petrochemicals
242B 59 -0.26 78 62 3.8%
MUFG NYSE
Mitsubishi UFJ Financial
Banks
Retail Banking, Corporate Banking, Investment
240B 55 0.98 25 89 2.7%
SHELL AS
Shell
Oil, Gas & Consumable Fuels
Natural Gas, Crude Oil, Lubricants, Chemicals
240B 53 -0.17 74 71 3.8%
AXP NYSE
American Express
Consumer Finance
Credit Cards, Payment Processing, Merchant
238B 40 -0.83 34 41 1.1%
LIN NASDAQ
Linde Ordinary Shares
Chemicals
Atmospheric Gases, Process Gases, Specialty
237B 63 -0.28 65 47 1.3%
OR PA
LOréal S.A.
Personal Care Products
Skincare, Makeup, Perfume, Haircare
231B 52 -0.43 83 29 2.0%
SIE XETRA
Siemens Aktiengesellschaft
Machinery
Industrial Automation, Rail Transportation
230B 48 -0.30 79 61 2.1%
VEA NYSE ETF
FTSE Developed Markets
Foreign Large Blend
International Equities, Developed Markets
223B 69 0.08 61 57 2.9%
C NYSE
Citigroup
Banks
Investment Banking, Trading, Wealth Management
221B 38 0.03 28 74 2.3%
VUG NYSE ETF
Growth Shares
Large Growth
Growth Stocks, Large Cap, US Equities, Index
220B 45 -0.44 38 43 0.4%
NOVO-B CO
Novo Nordisk
Biotechnology
Insulin Therapy, Obesity Treatment, Rare Disease
217B 59 -0.24 82 40 4.6%
TM NYSE
Toyota Motor
Automobiles
Passenger Cars, Hybrid Electric Vehicles
210B 45 -1.32 72 16 3.1%
TMUS NASDAQ
T-Mobile US
Wireless Telecommunication
Wireless Services, Mobile Devices, Postpaid
207B 42 -1.74 57 13 1.9%
BHP NYSE
BHP
Metals & Mining
Iron Ore, Copper, Coal, Nickel
205B 65 0.39 74 83 4.2%
TD NYSE
Toronto Dominion Bank
Banks
Personal Banking, Credit Cards, Wealth
204B 50 0.88 25 86 3.2%
AMGN NASDAQ
Amgen
Biotechnology
Oncology, Inflammation, Bone Health
201B 62 0.36 67 67 3.0%
RMS PA
Hermes International SCA
Textiles, Apparel & Luxury
Leather Goods, Ready-to-Wear, Silk Textiles
200B 44 -1.40 67 11 1.0%
SAN MC
Banco Santander S.A.
Banks
Retail Banking, Corporate Banking, Wealth
197B 44 -0.74 29 82 2.5%
TMO NYSE
Thermo Fisher Scientific
Life Sciences Tools
Life Sciences, Analytical Instruments
195B 60 -0.50 80 60 0.4%
SAN NYSE
Banco Santander
Banks
Retail Banking, Corporate Banking, Wealth
194B 42 -0.55 28 79 2.2%
IBM NYSE
International Business
IT
Hybrid Cloud, AI Platforms, Servers, Consulting
193B 49 -0.26 86 9 2.5%
TTE PA
TotalEnergies SE
Oil, Gas & Consumable Fuels
Oil, Natural Gas, Renewables, Electricity
193B 59 0.10 65 80 5.5%
PEP NASDAQ
PepsiCo
Beverages
Beverages, Snacks, Cereals, Dairy
190B 39 -0.87 78 19 3.9%
MCD NYSE
McDonald’s
Hotels, Restaurants
Burgers, Chicken Sandwiches, Fries, Beverages
190B 50 -0.92 75 15 2.4%
ITX MC
Industria de Diseno Textil
Specialty Retail
Clothing, Footwear, Accessories, Home Goods
189B 65 -0.33 77 54 3.5%
NEE NYSE
Nextera Energy
Electric Utilities
Wind Power, Solar Power, Natural Gas, Nuclear
186B 49 -0.60 59 46 2.9%
APH NYSE
Amphenol
Electronic Equipment
Connectors, Cable Assemblies, Sensors, Antennas
186B 74 -0.36 76 70 0.7%
IEFA BATS ETF
Core EAFE
Foreign Large Blend
International Equities, European Stocks, Asian
186B 57 -0.03 62 49 3.6%
ADI NASDAQ
Analog Devices
Semiconductors
Converters, Amplifiers, Sensors, Processors
183B 68 0.35 71 82 1.4%
VZ NYSE
Verizon Communications
Diversified
Wireless, Broadband, Fiber, IoT
183B 54 -0.54 67 46 6.7%
ALV XETRA
Allianz SE VNA O.N.
Insurance
Property Insurance, Life Insurance, Health
182B 44 -0.01 34 75 4.6%
QCOM NASDAQ
Qualcomm
Semiconductors
Mobile Chipsets, Wireless Licensing, Automotive
181B 55 -0.45 74 67 2.1%
VTV NYSE ETF
Value Shares
Large Value
Value Stocks, Large Cap, US Equities, Index
180B 74 -0.01 61 65 2.1%
BLK NYSE
BlackRock
Capital Markets
Asset Management, Mutual Funds, Exchange Traded
177B 49 -0.88 74 24 2.1%
SAP XETRA
SAP SE
Software
Enterprise Software, Cloud Platform, HR
175B 46 -0.54 75 5 1.7%
SAP NYSE
SAP SE
Software
ERP Software, Human Resources, Business AI, Spend
175B 43 -0.67 73 5 1.7%
SCHW NYSE
Charles Schwab
Capital Markets
Brokerage, Wealth Management, Banking, Asset
175B 60 0.63 53 53 1.3%
UBSG SW
Banks
Wealth Management, Investment Banking, Asset
174B 52 0.56 29 84 1.3%
WELL NYSE
Welltower
Diversified REITs
Senior Housing, Assisted Living, Memory Care
174B 59 0.74 65 86 1.5%
ABBN SW
ABB
Electrical Equipment
Drives, Motors, Switchgears, Automation
174B 72 -0.21 76 80 1.5%
UNP NYSE
Union Pacific
Ground Transportation
Rail Freight, Intermodal, Bulk Commodities, Coal
174B 68 0.45 88 81 2.3%
DIS NYSE
Walt Disney
Entertainment
Television Networks, Streaming Platforms, Film
173B 43 -0.69 78 13 1.5%
AIR PA
Airbus SE
Aerospace & Defense
Commercial Jets, Helicopters, Defence Systems
173B 51 -0.01 66 59 1.8%
ABT NYSE
Abbott Laboratories
Health Care Equipment
Pharmaceuticals, Diagnostics, Nutrition, Medical
172B 52 -0.56 87 24 2.3%
TJX NYSE
The TJX Companies
Specialty Retail
Apparel, Home Decor, Footwear, Accessories
171B 78 0.04 77 44 1.2%
MRVL NASDAQ
Marvell Technology
Semiconductors
Ethernet Networking, Optical Interconnects
169B 65 0.95 74 98 0.2%
STX NASDAQ
Seagate Technology
Technology Hardware
Hard Drives, Solid State Drives, External
169B 87 0.33 61 99 0.8%
SU PA
Schneider Electric S.E.
Machinery
Energy Management, Industrial Automation
168B 51 -0.46 70 47 1.6%
GILD NASDAQ
Gilead Sciences
Biotechnology
HIV, Hepatitis, Oncology, Antifungal
167B 67 -0.18 89 42 2.6%
WDC NASDAQ
Western Digital
Technology Hardware
Hard Drives, External Drives, Portable Drives
164B 85 0.49 83 99 0.3%
DE NYSE
Deere
Machinery
Tractors, Harvesters, Construction Equipment
164B 53 0.06 35 66 1.3%
IBE MC
Iberdrola S.A.
Electric Utilities
Electricity, Renewable Energy, Natural Gas
159B 50 -0.11 43 74 1.0%
IBKR NASDAQ
Interactive Brokers
Capital Markets
Electronic Brokerage, Trading Platforms, Prime
159B 60 0.54 32 82 0.5%
SMFG NYSE
Sumitomo Mitsui Financial
Banks
Commercial Banking, Consumer Finance, Wealth
159B 48 0.39 22 90 3.2%
D05 SG
DBS Holdings
Banks
Personal Banking, Institutional Banking, Global
158B 48 1.10 63 88 5.7%
BND NASDAQ ETF
Total Bond Market Shares
Intermediate Core Bond
Government Bonds, Corporate Debt
158B 49 -0.31 66 31 3.9%
ABI BR
Anheuser Busch Inbev
Beverages
Beer, Malt Beverages, Cocktails, Energy Drinks
156B 60 0.07 45 76 1.8%
ETN NYSE
Eaton
Electrical Equipment
Electrical Equipment, Aerospace Systems, Vehicle
156B 53 0.09 70 52 1.2%
SAF PA
Safran
Aerospace & Defense
Propulsion Systems, Landing Gear, Aircraft
155B 43 -0.29 27 60 1.1%
T NYSE
AT&T
Diversified
Wireless, Broadband, Handsets, Networking
155B 39 -0.54 62 19 4.6%
VXUS NASDAQ ETF
Total International Stock
Foreign Large Blend
International Stocks, Developed Markets, Emerging
154B 63 -0.05 61 53 2.9%
BX NYSE
Blackstone
Capital Markets
Private Equity, Real Estate, Credit, Venture
150B 38 -0.96 29 17 3.6%
IEMG NYSE ETF
Core Emerging Markets
Diversified Emerging Mkts
Emerging Markets, Equities, Large Cap, Small Cap
149B 66 0.02 60 62 2.5%
DTE XETRA
Deutsche Telekom
Diversified
Fixed-Network, Mobile Communications, Internet
149B 30 -1.10 53 22 3.2%
RIO NYSE
Rio Tinto
Metals & Mining
Iron Ore, Aluminium, Copper, Lithium
147B 57 -0.11 60 64 5.2%
BBVA MC
Banco Bilbao Vizcaya
Banks
Retail Banking, Investment Banking, Insurance
144B 54 -0.41 38 85 4.0%
SCCO NYSE
Southern Copper
Metals & Mining
Copper, Molybdenum, Silver, Z
144B 78 -0.34 77 82 2.5%
PFE NYSE
Pfizer
Pharmaceuticals
Biopharmaceuticals, Vaccines, Oncology, Immunology
143B 46 -0.66 79 32 6.8%
PLD NYSE
Prologis
Diversified REITs
Industrial Real Estate, Warehouses, Logistics
143B 47 0.05 38 66 3.2%
ENR XETRA
Siemens Energy
Machinery
Gas Turbines, Wind Turbines, Transformers
143B 53 -0.14 54 68 0.4%
BBVA NYSE
Banco Bilbao Viscaya
Banks
Retail Banking, Wholesale Banking, Asset
142B 49 -0.41 37 83 5.0%
CFR SW
Compagnie Financière
Textiles, Apparel & Luxury
Jewelry, Watches, Leather Goods, Writing
142B 63 0.28 82 80 2.0%
CRM NYSE
Salesforce.com
Software
Agentforce, Data Cloud, Slack, Commerce
141B 46 -0.39 66 6 0.9%
UCG MI
UniCredit S.p.A.
Banks
Commercial Banking, Wealth Management, Corporate
141B 42 -0.26 37 80 4.8%
COP NYSE
ConocoPhillips
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, LNG, Bitumen
140B 62 -0.22 71 70 3.3%
AGG NYSE ETF
Core U.S. Aggregate Bond
Intermediate Core Bond
Treasury Bonds, Corporate Bonds, Mortgage
139B 47 -0.31 66 30 4.0%
VGT NYSE ETF
Information Technology
Technology
Software, Hardware, Semiconductors, Cloud
139B 64 -0.38 37 74 0.4%
CVS NYSE
CVS Health
Health Care Providers
Health Insurance, Pharmacy Benefits, Prescription
138B 60 0.94 66 90 3.1%
BKNG NASDAQ
Booking Holdings
Hotels, Restaurants
Hotel Bookings, Airline Tickets, Restaurant
138B 49 -1.08 72 16 0.9%
BTI NYSE
British American Tobacco
Tobacco
Cigarettes, Vapour Products, Heated Products
136B 54 -0.70 62 58 5.6%
HDB NYSE
HDFC Bank
Banks
Deposit Accounts, Loans, Cards, Insurance
135B 33 -0.39 58 8 4.2%
UNA AS
Unilever
Personal Care Products
Hair Care, Deodorants, Detergents, Condiments
135B 54 0.24 68 41 3.6%
UL NYSE
Unilever
Personal Care Products
Hair Care, Skin Care, Home Cleaning, Food Products
134B 46 -0.54 61 25 3.3%
BNP PA
Banks
Investment Banking, Commercial Banking
134B 50 -0.10 45 84 6.4%
CB NYSE
Chubb
Insurance
Property Insurance, Casualty Insurance
133B 57 0.81 34 71 1.3%
BMT XETRA
British American Tobacco
Tobacco
Cigarettes, Vapour, Heated Tobacco, Oral Nicotine
133B 55 -0.53 67 66 6.9%
GLW NYSE
Corning
Electronic Equipment
Optical Fibers, Display Glass, Ceramic
133B 72 -0.37 81 95 1.1%
SPGI NYSE
S&P Global
Capital Markets
Credit Ratings, Market Data, Indices, Energy
133B 53 -0.80 81 21 0.8%
BMO NYSE
Bank of Montreal
Banks
Personal Banking, Commercial Banking, Wealth
128B 50 0.34 26 86 3.7%
AI PA
Air Liquide
Chemicals
Industrial Gases, Medical Gases, Home Healthcare
128B 54 -0.36 69 61 2.4%
ISP MI
Intesa Sanpaolo
Banks
Commercial Banking, Investment Banking
128B 40 -0.63 39 73 6.8%
DHR NYSE
Danaher
Health Care Equipment
Bioprocessing Equipment, Diagnostic Instruments
126B 49 0.41 86 25 0.7%
MFG NYSE
Mizuho Financial
Banks
Banking, Securities, Asset Management, Investment
126B 67 0.47 43 91 2.4%
IWF NYSE ETF
Russell 1000 Growth
Large Growth
Large Cap Growth, US Equities, Growth Stocks
126B 42 -0.28 39 38 0.4%
MO NYSE
Altria
Tobacco
Cigarettes, Cigars, Smokeless Tobacco, Nicotine
125B 77 0.59 81 69 6.7%
SONY NYSE
Sony
Household Durables
Gaming Consoles, Image Sensors, Music, Films
124B 35 -0.75 83 17 0.6%
BMY NYSE
Bristol-Myers Squibb
Pharmaceuticals
Oncology, Hematology, Immunology, Cardiovascular
124B 69 -0.18 81 74 4.7%
COF NYSE
Capital One Financial
Consumer Finance
Credit Cards, Consumer Banking, Commercial
124B 19 -0.74 23 25 1.5%
SBUX NASDAQ
Starbucks
Hotels, Restaurants
Coffee, Tea, Pastries, Beverages
124B 47 0.16 50 54 2.6%
INVE-B ST
Investor ser.
Commercial & Supplies
Private Equity, Health Care, Financial Services
124B 63 0.25 38 73 1.5%
SYK NYSE
Stryker
Health Care Equipment
Surgical Equipment, Surgical Robotics, Orthopedic
123B 38 -0.53 80 17 1.0%
IJH NYSE ETF
Core S&P Mid-Cap
Mid-Cap Blend
Mid-Cap Stocks, U.S. Equities, Index Tracking
122B 62 0.10 60 56 1.3%
ENB NYSE
Enbridge
Oil, Gas & Consumable Fuels
Crude Oil Pipelines, Natural Gas Transmission
122B 51 0.02 39 72 5.5%
INVE-A ST
Investor ser.
Commercial & Supplies
Private Equity, Healthcare, Financial Services
122B 66 0.12 68 70 1.6%
LOW NYSE
Lowe's Companies
Specialty Retail
Appliances, Tools, Lumber, Paint
121B 36 -0.58 20 11 2.0%
PH NYSE
Parker-Hannifin
Machinery
Motion Control, Aerospace Systems, Fluid
121B 74 0.42 85 66 0.9%
PGR NYSE
Progressive
Insurance
Auto Insurance, Specialty Insurance, Home
120B 37 -0.44 24 27 1.1%
VWO NYSE ETF
FTSE Emerging Markets Shares
Diversified Emerging Mkts
Emerging Market Equities, International Stocks
119B 52 -0.33 59 45 3.1%
LMT NYSE
Lockheed Martin
Aerospace & Defense
Combat Aircraft, Missile Systems, Military
119B 57 0.57 57 64 2.7%
XLK NYSE ETF
Technology Sector Fund
Technology
Software, Semiconductors, Hardware, Cloud
118B 67 -0.34 39 77 0.5%
ENEL MI
Enel
Electric Utilities
Electricity, Renewable Energy, Natural Gas
115B 50 -0.58 52 64 5.1%
VRT NYSE
Vertiv Holdings
Electrical Equipment
Power Management, Thermal Management
113B 76 0.32 72 92 0.1%
PBR NYSE
Petroleo Brasileiro
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Fertilizers, Biodiesel
113B 58 0.22 72 82 6.5%
ZURN SW
Zurich Insurance
Insurance
Motor Insurance, Property Insurance, Life
112B 53 -0.08 20 66 5.5%
BPE5 XETRA
BP (Reg. Shares)
Oil, Gas & Consumable Fuels
Oil, Natural Gas, Lubricants, Bioenergy
111B 48 -0.12 55 76 6.4%
CM NYSE
Canadian Imperial Bank Of
Banks
Banking Accounts, Mortgages, Loans, Wealth
110B 52 0.68 32 83 3.2%
BNS NYSE
Bank of Nova Scotia
Banks
Retail Banking, Wealth Management, Business
110B 46 0.74 29 83 4.4%
HWM NYSE
Howmet Aerospace
Aerospace & Defense
Engine Airfoils, Aerospace Fasteners, Titanium
109B 86 1.16 90 85 0.2%
VIG NYSE ETF
Dividend Appreciation Shares
Large Blend
Dividend Stocks, Common Stocks, Large Cap Stocks
108B 61 0.01 57 51 1.6%
SO NYSE
Southern
Electric Utilities
Electricity, Natural Gas, Power Generation
107B 38 -0.22 56 44 3.2%
MDT NYSE
Medtronic
Health Care Equipment
Cardiovascular Devices, Neuroscience Devices
107B 50 -0.53 89 20 3.2%
VO NYSE ETF
Mid-Cap Shares
Mid-Cap Blend
Mid-Cap Stocks, U.S. Equities, Diversified
106B 55 -0.07 54 51 1.4%
IBN NYSE
ICICI Bank
Banks
Consumer Loans, Credit Cards, Life Insurance
106B 38 -0.17 64 26 0.8%
BP NYSE
BP
Oil, Gas & Consumable Fuels
Natural Gas, Crude Oil, Lubricants, Renewable
106B 53 -0.34 57 70 5.3%
SAN PA
Sanofi
Pharmaceuticals
Immunology, Oncology, Vaccines, Neurology
105B 45 -0.79 79 26 5.5%
TT NYSE
Trane Technologies
Building Products
HVAC Systems, Refrigeration, Heat Pumps, Building
104B 59 -0.10 78 52 0.9%
CS PA
AXA
Insurance
Life Insurance, Property Casualty, Asset
104B 42 0.24 16 70 6.0%
GSK NYSE
GlaxoSmithKline
Pharmaceuticals
Vaccines, Specialty Medicines, General Medicines
104B 65 -0.48 66 51 3.7%
CABK MC
Caixabank
Banks
Retail Banking, Investment Banking, Wealth
104B 52 0.32 42 89 4.2%
IJR NYSE ETF
Core S&P Small-Cap
Small Blend
Small-Cap Stocks, U.S. Equities, Diversified
103B 73 0.20 64 67 1.3%
NEM NYSE
Newmont Goldcorp
Metals & Mining
Gold, Copper, Silver, Z
102B 73 -0.53 76 38 1.1%
ADP NASDAQ
Automatic Data Processing
Professional
Payroll, Human Capital Management, Workforce
102B 56 -0.12 71 39 2.8%
PNC NYSE
PNC Financial
Banks
Mortgages, Credit Cards, Investment Management
102B 45 0.20 47 76 3.3%
EQIX NASDAQ
Equinix
Specialized REITs
Data Center Colocation, Interconnection, Digital
101B 41 0.28 66 66 2.3%
DUK NYSE
Duke Energy
Electric Utilities
Electricity, Natural Gas, Power Generation
99.7B 54 -0.17 50 46 3.4%
USB NYSE
U.S. Bancorp
Banks
Consumer Banking, Commercial Lending, Wealth
99.7B 51 0.14 46 78 3.9%
UPS NYSE
United Parcel Service
Air Freight & Logistics
Package Delivery, Logistics, Freight Forwarding
99.6B 51 -0.07 78 68 6.7%
O39 SG
OVERSEA-CHINESE BANKING
Banks
Consumer Banking, Wholesale Banking, Wealth
99.3B 50 1.35 57 92 5.1%
GD NYSE
General Dynamics
Aerospace & Defense
Business Jets, Submarines, Combat Vehicles
98.9B 72 0.51 91 69 1.8%
SGOV NYSE ETF
0-3 Month Treasury Bond
Ultrashort Bond
Treasury Bills, U.S. Government, Short-Term Debt
98.6B 46 -0.11 55 37 3.8%
QQQM NASDAQ ETF
NASDAQ 100
Large Growth
Semiconductors, Software, E-Commerce
97.5B 63 -0.28 42 61 0.5%
BN NYSE
Brookfield
Capital Markets
Real Estate, Renewable Power, Infrastructure
97.5B 23 -0.65 51 18 0.6%
MCK NYSE
McKesson
Health Care Providers
Pharmaceuticals, Oncology, Prescription Services
97.3B 53 0.03 66 41 0.4%
WM NYSE
Waste Management
Commercial & Supplies
Waste Collection, Recycling, Landfill Gas
97.3B 55 0.38 84 43 1.6%
RSP NYSE ETF
SP500 Equal Weight
Large Blend
Technology, Healthcare, Financials, Consumer
96.8B 62 0.05 59 52 1.6%
MAR NASDAQ
Marriott International
Hotels, Restaurants
Hotels, Timeshares, Residential, Licensing
96.6B 74 -0.15 68 69 0.9%
ATCO-A ST
Atlas Copco Series
Machinery
Compressed Air, Vacuum Pumps, Industrial Tools
96.2B 69 0.44 82 69 2.3%
KKR NYSE
KKR & Co.
Capital Markets
Private Equity, Real Estate Investment, Credit
95.8B 32 -1.01 63 11 0.7%
SCHD NYSE ETF
Schwab U.S. Dividend Equity
Large Value
High Dividend Stocks, Large Cap Value, U.S.
95.2B 75 -0.16 65 65 3.6%
IFX XETRA
Infineon Technologies
Semiconductors
Automotive Semiconductors, Power Electronics
94.6B 60 0.12 70 93 0.8%
PWR NYSE
Quanta
Construction & Engineering
Power Transmission, Power Distribution, Pipeline
94.3B 70 0.25 76 84 0.1%
INGA AS
ING Groep
Banks
Savings Accounts, Mortgage Loans, Corporate
94.2B 43 0.22 45 84 5.5%
ITUB NYSE
Itau Unibanco Banco Holding
Banks
Retail Banking, Wholesale Banking, Insurance
94.2B 44 -0.58 43 64 3.3%
ING NYSE
ING
Banks
Mortgages, Corporate Finance, Insurance
93.8B 40 -0.30 41 81 5.4%
EQNR OL
Equinor ASA
Oil, Gas & Consumable Fuels
Oil, Natural Gas, Offshore Wind, Hydrogen
93.8B 71 0.45 86 90 5.5%
BCS NYSE
Barclays
Banks
Retail Banking, Investment Banking, Wealth
93.8B 40 0.26 34 80 2.0%
CSX NASDAQ
CSX
Ground Transportation
Rail Freight, Intermodal, Coal Shipping, Chemical
92.8B 56 1.73 22 87 1.4%
MPC NYSE
Marathon Petroleum
Oil, Gas & Consumable Fuels
Gasoline, Diesel, Asphalt, Propane
92.1B 71 0.76 76 94 2.0%
CNQ NYSE
Canadian Natural Resources
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Natural Gas Liquids
91.5B 62 0.49 22 84 4.6%
ITOT NYSE ETF
Core S&P Total U.S. Stock
Large Blend
US Equities, Common Stocks, Total Market
91.4B 59 -0.14 43 53 1.1%
CEG NASDAQ
Constellation Energy
Electric Utilities
Electricity, Natural Gas, Clean Energy, Renewable
90.1B 45 -0.49 71 17 0.5%
CME NASDAQ
CME
Capital Markets
Interest Rate Futures, Equity Index Options
90.1B 44 -0.33 46 21 3.9%
PRX AS
Prosus
Interactive Media
Classifieds, Fintech, Food Delivery, EdTech
90.0B 39 -0.20 77 7 0.3%
WMB NYSE
Williams Companies
Oil, Gas & Consumable Fuels
Interstate Pipelines, Gas Gathering, NGL
89.7B 48 -0.05 54 72 3.1%
CMI NYSE
Cummins
Machinery
Diesel Engines, Gas Engines, Power Generation
89.5B 67 0.43 86 85 1.6%
VLO NYSE
Valero Energy
Oil, Gas & Consumable Fuels
Gasoline, Diesel, Renewable Diesel, Ethanol
89.2B 71 0.47 81 95 2.5%
ACN NYSE
Accenture
IT
Strategy Consulting, Technology Operations, Cloud
88.5B 46 -0.57 79 2 3.3%
MMM NYSE
3M
Industrial Conglomerates
Industrial Abrasives, Adhesives, Safety
88.1B 70 0.18 89 57 1.9%
LYG NYSE
Lloyds Banking
Banks
Retail Banking, Commercial Banking, Insurance
87.6B 34 -0.09 43 77 3.9%
EL PA
EssilorLuxottica S. A.
Health Care Equipment
Ophthalmic Lenses, Eyewear, Sunglasses, Optical
87.2B 35 -0.64 81 5 2.3%
SPG NYSE
Simon Property
Retail REITs
Shopping Malls, Premium Outlets, Mixed-Use
86.8B 58 0.09 53 78 4.7%
JCI NYSE
Johnson Controls
Building Products
HVAC Systems, Building Management, Refrigeration
86.2B 62 0.46 66 72 1.3%
MCO NYSE
Moodys
Capital Markets
Credit Ratings, Risk Analytics, Research, Data
85.5B 69 -0.37 74 28 0.8%
ATCO-B ST
Atlas Copco Series
Machinery
Compressed Air, Vacuum Pumps, Industrial Tools
85.2B 68 0.01 78 68 1.7%
FCX NYSE
Freeport-McMoran Copper
Metals & Mining
Copper, Gold, Molybdenum, Silver
84.5B 62 -0.16 63 76 1.1%
ASX NYSE
ASE Industrial Holding
Semiconductors
Packaging, Testing, Assembly, Materials
84.3B 56 0.39 65 99 1.0%
HCA NYSE
HCA Healthcare
Health Care Providers
Acute Care, Surgical Services, Emergency Care
84.0B 44 -0.79 58 14 0.7%
CMCSA NASDAQ
Comcast
Media
Residential Broadband, Cable Television
84.0B 46 -1.03 71 6 4.7%
MRSH NYSE
Marsh & McLennan Companies
Insurance
Insurance Broking, Risk Management, Management
84.0B 50 -0.46 68 25 2.0%
NTES NASDAQ
NetEase
Entertainment
Online Games, Music Streaming, Educational Tools
83.4B 50 -0.39 82 25 2.4%
CP NYSE
Canadian Pacific Kansas City
Ground Transportation
Bulk Commodities, Merchandise Freight, Intermodal
83.2B 59 -0.06 73 69 0.9%
PSX NYSE
Phillips 66
Oil, Gas & Consumable Fuels
Gasolines, Distillates, Lubricants, Petrochemicals
82.9B 62 0.62 76 91 3.4%
EPD NYSE
Enterprise Products
Oil, Gas & Consumable Fuels
NGL Pipelines, Crude Oil Pipelines, Natural Gas
82.6B 51 -0.07 44 71 6.6%
CTAS NASDAQ
Cintas
Commercial & Supplies
Uniform Rental, Restroom Cleaning, First Aid
82.5B 69 0.38 81 47 0.9%
NGG NYSE
National Grid
Multi-Utilities
Electricity Transmission, Electricity
82.1B 43 -0.04 61 44 4.1%
BNDX NASDAQ ETF
Total International Bond
Global Bond-USD Hedged
International Bonds, Investment-Grade, Fixed-Rate
81.6B 43 -0.31 67 31 4.5%
ITW NYSE
Illinois Tool Works
Machinery
Fasteners, Food Equipment, Welding, Adhesives
81.4B 61 -0.08 81 45 2.5%
ELV NYSE
Elevance Health
Health Care Providers
Health Plans, Pharmacy Benefits, Dental
80.9B 64 -0.41 64 62 2.1%
VYM NYSE ETF
High Dividend Yield Shares
Large Value
High Dividend Stocks, Large Cap Value, Common
80.4B 67 0.01 63 58 2.5%
INTU NASDAQ
Intuit
Software
Accounting Software, Tax Preparation, Personal
80.4B 47 -0.51 78 1 1.1%
ICE NYSE
Intercontinental Exchange
Capital Markets
Derivatives Trading, Fixed Income Data, Mortgage
80.2B 39 -0.79 59 15 1.3%
ENGI PA
Engie S.A.
Electric Utilities
Renewable Energy, Gas Networks, Electricity
80.1B 46 0.14 55 78 4.9%
VB NYSE ETF
Small-Cap Shares
Small Blend
Small-Cap Stocks, US Equities, Diversified
79.9B 56 0.01 59 56 1.4%
SHW NYSE
Sherwin-Williams
Chemicals
Paint, Coatings, Stains, Finishes
79.8B 43 -1.09 65 20 0.9%
AMT NYSE
American Tower
Specialized REITs
Tower Leasing, Communications Real Estate, Data
79.2B 34 -0.89 53 16 3.8%
AMX NYSE
America Movil SAB de CV
Wireless Telecommunication
Wireless, Broadband, Pay TV, Equipment
78.9B 62 0.24 69 72 2.4%
RCL NYSE
Royal Caribbean Cruises
Hotels, Restaurants
Cruises, Vacations, Itineraries, Ships
78.8B 45 -0.81 59 27 1.7%
AON NYSE
Aon
Insurance
Insurance Brokerage, Risk Advisory, Wealth
78.7B 61 -0.12 67 46 0.9%
EMR NYSE
Emerson Electric
Electrical Equipment
Control Valves, Process Instrumentation
78.2B 40 0.06 83 39 1.6%
VT NYSE ETF
Total World Stock Shares
Global Large-Stock Blend
Global Equities, Large-Cap, Mid-Cap, Small-Cap
77.7B 61 -0.13 48 53 1.7%
EFA NYSE ETF
EAFE
Foreign Large Blend
Developed Markets, International Equities
77.5B 56 0.01 60 49 3.4%
IWM NYSE ETF
Russell 2000
Small Blend
Small-Cap Stocks, Equity Securities, Index
77.5B 68 0.04 59 65 1.0%
MDLZ NASDAQ
Mondelez International
Food Products
Biscuits, Chocolates, Candies, Chewing Gum
77.4B 52 -0.52 70 33 3.4%
BAM NYSE
Brookfield Asset Management
Capital Markets
Real Estate, Infrastructure, Renewable Power
77.2B 43 -1.09 66 17 3.7%
CNI NYSE
Canadian National Railway
Ground Transportation
Rail Freight, Intermodal, Trucking, Logistics
76.9B 61 0.90 70 82 2.5%
ECL NYSE
Ecolab
Chemicals
Water Treatment, Cleaning Products, Pest Control
76.8B 48 -0.67 72 25 1.1%
FDX NYSE
FedEx
Air Freight & Logistics
Express Shipping, Freight Delivery, Ground
75.9B 67 0.34 86 85 1.9%
CI NYSE
Cigna
Health Care Providers
Pharmacy Benefits, Medical Insurance, Behavioral
75.4B 44 -0.15 70 32 2.2%
NSC NYSE
Norfolk Southern
Ground Transportation
Agricultural, Chemicals, Metals, Coal
75.2B 56 0.52 75 71 1.9%
MUV2 XETRA
Münchener Rück
Insurance
Reinsurance, Property Insurance, Life Insurance
75.2B 33 0.18 55 25 4.7%
IWD NYSE ETF
Russell 1000 Value
Large Value
Large Cap, Value Stocks, US Equities, Russell
74.8B 74 0.13 56 67 1.6%
ROST NASDAQ
Ross Stores
Specialty Retail
Apparel, Accessories, Footwear, Home Goods
74.7B 89 1.28 89 83 0.9%
NOC NYSE
Northrop Grumman
Aerospace & Defense
Military Aircraft, Missile Defense, Satellites
74.6B 47 -0.25 78 17 1.6%
EOG NYSE
EOG Resources
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Natural Gas Liquids
74.5B 75 0.37 76 78 3.4%
DG PA
Vinci S.A.
Construction & Engineering
Motorways, Airports, Renewable Energy, Civil
74.4B 34 -1.08 49 24 3.9%
GM NYSE
General Motors
Automobiles
Trucks, Crossovers, Cars, Automobile Parts
74.3B 59 0.03 73 69 0.9%
HON NASDAQ
Honeywell International
Industrial Conglomerates
Avionics, Sensors, Catalysts, Building Controls
73.8B 52 -0.13 84 54 2.2%
SU NYSE
Suncor Energy
Oil, Gas & Consumable Fuels
Bitumen, Crude Oil, Petroleum Products, Natural
73.7B 58 0.09 63 87 3.5%
CL NYSE
Colgate-Palmolive
Household Products
Oral Care, Personal Care, Home Care, Pet Nutrition
73.6B 67 -0.12 71 51 2.5%
IVW NYSE ETF
SP500 Growth
Large Growth
Growth Equities, Large Cap, US Stocks, Index
73.3B 56 -0.22 42 53 0.4%
HLT NYSE
Hilton Worldwide Holdings
Hotels, Restaurants
Hotels, Resorts, Franchising, Timeshares
73.1B 54 -0.64 44 49 0.2%
TRP NYSE
TC Energy
Oil, Gas & Consumable Fuels
Natural Gas Pipelines, Natural Gas Storage, Power
72.7B 55 0.41 53 83 4.2%
E NYSE
Eni
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Biofuels, Petrochemicals
72.3B 49 -0.73 68 81 5.2%
MFC NYSE
Manulife Financial
Insurance
Life Insurance, Annuities, Wealth Management
72.2B 42 0.37 27 79 3.9%
KMI NYSE
Kinder Morgan
Oil, Gas & Consumable Fuels
Natural Gas Pipelines, Products Pipelines
72.0B 41 0.20 52 66 4.1%
AEP NASDAQ
American Electric Power
Electric Utilities
Electricity Generation, Power Transmission
71.9B 54 -0.02 56 62 3.1%
TRV NYSE
The Travelers Companies
Insurance
Business Insurance, Personal Insurance, Bond
71.8B 65 1.33 24 85 1.6%
G MI
Assicurazioni Generali
Insurance
Life Insurance, Property Casualty, Wealth
71.6B 48 0.57 78 82 4.4%
DHL XETRA
Deutsche Post
Air Freight & Logistics
Express Delivery, Freight Forwarding, Parcel
71.6B 55 1.13 80 86 4.2%
ENI MI
Eni S.p.A.
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Biofuels, Petrochemicals
71.6B 53 -0.44 72 85 5.7%
REGN NASDAQ
Regeneron Pharmaceuticals
Biotechnology
Ophthalmology, Immunology, Oncology, Cholesterol
71.2B 56 -0.81 88 26 0.5%
NWG NYSE
Natwest
Banks
Mortgages, Current Accounts, Wealth Management
70.9B 46 -0.10 41 73 6.2%
SCHX NYSE ETF
Schwab U.S. Large-Cap
Large Blend
Large Cap Stocks, US Equities, Blue Chip Stocks
70.8B 56 -0.20 41 51 1.1%
VOLV-B ST
AB Volvo (publ)
Machinery
Trucks, Buses, Construction Equipment, Engines
70.5B 64 0.54 76 75 4.1%
VOLV-A ST
AB Volvo (publ)
Machinery
Heavy Trucks, Buses, Construction Equipment
70.4B 59 0.38 79 75 4.1%
ET NYSE
Energy Transfer
Oil, Gas & Consumable Fuels
Natural Gas Pipelines, Crude Oil Transport, NGL
69.7B 42 0.43 48 70 7.5%
SLB NYSE
Schlumberger
Energy Equipment
Drilling, Well Construction, Reservoir
69.7B 54 -0.87 78 51 2.7%
APO NYSE
Apollo Global Management
Capital Markets
Private Equity, Credit, Real Estate
69.5B 30 -0.67 51 19 1.6%
MSI NYSE
Motorola Solutions
Communications Equipment
Two-Way Radios, Video Security, Command Center
68.8B 49 -0.41 70 23 1.1%
AEM NYSE
Agnico Eagle Mines
Metals & Mining
Gold, Silver, Copper, Z
68.5B 61 -1.08 78 12 0.9%
NXPI NASDAQ
NXP Semiconductors
Semiconductors
Microcontrollers, Connectivity Solutions
68.3B 57 -0.45 66 74 1.8%
MRK XETRA
Merck KGaA
Pharmaceuticals
Biopharmaceuticals, Reagents, Semiconductor
68.2B 58 0.41 89 77 2.0%
DB NYSE
Deutsche Bank
Capital Markets
Corporate Banking, Investment Banking, Wealth
68.1B 37 -0.83 28 55 6.4%
DBK XETRA
Deutsche Bank
Banks
Investment Banking, Asset Management, Wealth
68.0B 27 -0.82 32 54 3.6%
TDG NYSE
Transdigm
Aerospace & Defense
Aircraft Actuators, Ignition Systems, Cockpit
67.9B 41 -0.79 61 21 6.9%
RSG NYSE
Republic
Commercial & Supplies
Waste Collection, Recycling, Landfill Operations
67.8B 49 -0.46 69 28 1.2%
DLR NYSE
Digital Realty Trust
Specialized REITs
Data Centers, Colocation, Interconnection, IT
67.1B 37 -0.72 39 32 2.8%
CRH NYSE
CRH
Construction Materials
Aggregates, Cement, Concrete, Asphalt
66.8B 46 -1.43 71 15 1.4%
VEU NYSE ETF
FTSE All-World ex-US Shares
Foreign Large Blend
International Equities, Developed Markets
66.6B 66 -0.01 63 55 2.8%
TFC NYSE
Truist Financial
Banks
Banking, Lending, Wealth Management, Investment
66.3B 37 -0.27 26 52 4.5%
VCIT NASDAQ ETF
Intermediate-Term Corporate
Corporate Bond
Corporate Bonds, Investment-Grade Debt
66.2B 50 -0.36 64 30 4.8%
NKE NYSE
Nike
Textiles, Apparel & Luxury
Footwear, Apparel, Equipment, Accessories
66.0B 38 -0.84 77 6 2.8%
GWW NYSE
WW Grainger
Trading Companies
Safety Equipment, Hand Tools, Plumbing Equipment
65.9B 85 0.86 87 81 0.9%
SCHF NYSE ETF
Schwab International Equity
Foreign Large Blend
International Equities, Developed Markets
65.8B 70 -0.01 60 58 3.5%
APD NYSE
Air Products Chemicals
Chemicals
Atmospheric Gases, Process Gases, Specialty
65.8B 55 -0.57 83 44 2.6%
NDA-FI HE
Nordea Bank Abp
Banks
Personal Banking, Wealth Management, Investment
65.7B 54 -0.20 42 72 6.7%
PCAR NASDAQ
PACCAR
Machinery
Commercial Trucks, Diesel Engines, Aftermarket
65.4B 55 -0.24 84 68 2.5%
AJG NYSE
Arthur J Gallagher
Insurance
Insurance Brokerage, Reinsurance Brokerage, Risk
65.2B 40 -1.19 58 25 1.1%
SMH NASDAQ ETF
Semiconductor
Technology
Semiconductors, Memory Chips, Semiconductor
65.1B 82 0.47 49 92 0.3%
URI NYSE
United Rentals
Trading Companies
Construction Equipment, Aerial Lifts, Trench
64.8B 62 0.82 39 79 0.8%
MPWR NASDAQ
Monolithic Power Systems
Semiconductors
DC-DC Converters, Power Management ICs, MOSFET
64.5B 69 0.09 77 81 0.7%
RACE MI
Ferrari
Automobiles
Sports Cars, Supercars, Spare Parts, Engines
64.5B 60 -0.35 86 25 1.2%
ALL NYSE
The Allstate
Insurance
Auto Insurance, Homeowners Insurance, Commercial
64.3B 70 1.24 53 80 2.0%
TGT NYSE
Target
Consumer Staples
Apparel, Beauty, Food, Electronics
63.7B 57 0.40 40 77 4.3%
AFL NYSE
Aflac
Insurance
Cancer Insurance, Life Insurance, Accident
62.9B 49 0.31 70 66 2.1%
GLE PA
Societe Generale S.A.
Banks
Retail Banking, Insurance, Investment Banking
62.9B 44 -0.26 37 80 2.6%
D NYSE
Dominion Energy
Multi-Utilities
Electricity, Natural Gas, Renewable Energy, Power
62.5B 55 0.24 49 74 4.3%
ACA PA
Credit Agricole
Banks
Banking, Insurance, Asset Management, Investment
61.7B 40 -0.14 46 65 6.9%
O NYSE
Realty Income
Retail REITs
Net Lease, Commercial Real Estate, Real Estate
61.3B 35 -0.51 53 51 5.4%
IMO NYSE MKT
Imperial Oil
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Refined Fuels
61.0B 53 0.19 77 81 2.2%
TRGP NYSE
Targa Resources
Oil, Gas & Consumable Fuels
Natural Gas, Natural Gas Liquids, Crude Oil
60.7B 61 0.89 63 92 2.3%
HPE NYSE
Hewlett Packard Enterprise
Technology Hardware
Servers, Cloud Computing, Networking Equipment
60.7B 68 1.05 64 98 2.1%
VALE NYSE
Vale
Metals & Mining
Iron Ore, Nickel, Copper, Pellets
60.5B 54 -1.08 70 58 8.8%
SRE NYSE
Sempra Energy
Multi-Utilities
Natural Gas, Electric Power, Energy
60.3B 44 -0.54 67 47 2.9%
MET NYSE
MetLife
Insurance
Life Insurance, Annuities, Employee Benefits
60.3B 40 0.25 23 76 3.0%
FIX NYSE
Comfort Systems USA
Construction & Engineering
Hvac Systems, Plumbing Systems, Electrical
60.2B 92 1.06 90 97 0.2%
COR NYSE
Cencora
Health Care Providers
Generic Pharmaceuticals, Injectable
59.9B 40 0.13 71 24 0.8%
STMPA PA
STMicroelectronics
Semiconductors
Analog ICs, MEMS Sensors, Microcontrollers, Power
59.1B 60 0.01 70 95 1.0%
OKE NYSE
ONEOK
Oil, Gas & Consumable Fuels
Natural Gas, NGLs, Pipelines, Refined Products
58.9B 51 0.32 59 73 5.4%
STM NYSE
STMicroelectronics
Semiconductors
Analog ICs, MEMS Sensors, Power Semiconductors
58.7B 57 -0.40 70 94 1.1%
B NYSE
Barrick Mining
Metals & Mining
Gold, Copper, Silver, Energy Materials
58.7B 72 -0.04 77 57 2.3%
TEL NYSE
TE Connectivity
Electronic Equipment
Connectors, Sensors, Cable Assemblies, Fiber
58.5B 46 -0.50 73 19 1.4%
CTVA NYSE
Corteva
Chemicals
Seeds, Herbicides, Insecticides, Nitrogen
58.4B 65 0.76 84 76 1.0%
SCHG NYSE ETF
Schwab U.S. Large-Cap Growth
Large Growth
Large-Cap Stocks, Growth Equities, US Market
58.4B 46 -0.35 38 43 0.4%
NOKIA HE
Nokia
Communications Equipment
Mobile Networks, Optical Networks, IP Routing
58.2B 59 -0.12 81 92 2.6%
NOKIA-SEK ST
Nokia
Household Durables
Mobile Networks, Optical Systems, Cloud
58.0B 64 0.34 81 93 29.6%
MPLX NYSE
MPLX
Oil, Gas & Consumable Fuels
Crude Oil Logistics, Natural Gas Pipelines, NGL
58.0B 44 0.10 48 61 7.9%
REN AS
Relx
Commercial & Supplies
Risk Analytics, Scientific Publishing, Legal
57.4B 38 -0.60 28 12 2.4%
EOAN XETRA
E.ON SE
Electric Utilities
Power Distribution, Gas Distribution, District
57.2B 45 0.02 48 68 3.0%
RELX NYSE
Relx
Professional
Risk Analytics, Healthcare Data, Scientific
57.2B 42 -0.81 53 10 2.5%
DAL NYSE
Delta Air Lines
Passenger Airlines
Passenger Flights, Cargo Freight, Aircraft
57.0B 62 1.23 49 83 1.4%
IWR NYSE ETF
Russell Mid-Cap
Mid-Cap Blend
Mid-Cap Equities, US Stocks, Depositary Receipts
56.8B 57 -0.10 57 54 1.3%
F NYSE
Ford Motor
Automobiles
Trucks, SUVs, Commercial Vans, Electric Vehicles
56.7B 60 0.36 67 70 4.8%
IXUS NASDAQ ETF
Core Total International
Foreign Large Blend
International Stocks, Developed Markets, Emerging
56.6B 64 -0.06 63 54 3.2%
CARR NYSE
Carrier Global
Building Products
Air Conditioners, Heating Systems, Transport
56.6B 50 0.14 71 59 1.5%
Z74 SG
Singapore Telecommunications
Diversified
Mobile, Broadband, Pay Television, Data Centers
56.0B 47 -0.50 81 36 4.3%
BKR NASDAQ
Baker Hughes
Energy Equipment
Oilfield Equipment, Drilling Tools, Gas Turbines
55.9B 66 -0.50 82 42 1.7%
UMC NYSE
United Microelectronics
Semiconductors
Semiconductors, Wafer Foundry, Integrated
55.9B 69 0.61 80 99 1.7%
PSA NYSE
Public Storage
Specialized REITs
Self-Storage Facilities, Storage Units, Real
55.8B 53 -0.27 56 48 4.1%
HO PA
Thales S.A.
Aerospace & Defense
Defence Systems, Aerospace Avionics, Digital
55.7B 43 -0.36 48 26 1.8%
FANG NASDAQ
Diamondback Energy
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Exploration, Development
55.0B 64 -0.26 58 81 2.6%
VST NYSE
Vistra
Independent Power Renewable
Electricity, Natural Gas, Solar Energy, Energy
54.7B 26 -0.14 18 28 0.5%
AME NYSE
Ametek
Electrical Equipment
Electronic Instruments, Electromechanical
54.5B 66 -0.03 84 66 0.6%
TAK NYSE
Takeda Pharmaceutical
Pharmaceuticals
Gastroenterology, Rare Diseases, Oncology
54.4B 43 -0.32 56 53 3.9%
LNG NYSE
Cheniere Energy
Oil, Gas & Consumable Fuels
Liquefied Natural Gas, Gas Terminals, Supply
54.3B 65 0.86 62 71 1.0%
U11 SG
United Overseas Bank
Banks
Retail Banking, Wholesale Banking, Wealth
54.3B 42 0.64 57 72 2.7%
BAYN XETRA
Bayer NA
Pharmaceuticals
Pharmaceuticals, Crop Protection, Seeds
54.2B 60 0.28 73 85 0.3%
KBC BR
KBC Groep
Banks
Banking, Insurance, Asset Management, Lending
53.9B 36 -0.17 31 72 4.8%
NUE NYSE
Nucor
Metals & Mining
Sheet Steel, Structural Steel, Steel Joists
53.9B 77 0.95 83 89 1.3%
FITB NASDAQ
Fifth Third Bancorp
Banks
Commercial Loans, Mortgage Lending, Wealth
53.8B 44 0.27 49 78 3.3%
ETR NYSE
Entergy
Electric Utilities
Electricity, Power Generation, Power
53.6B 50 -0.10 74 70 2.5%
CAH NYSE
Cardinal Health
Health Care Providers
Pharmaceuticals, Medical Devices, Specialty
53.5B 64 0.68 58 78 1.0%
OXY NYSE
Occidental Petroleum
Oil, Gas & Consumable Fuels
Oil, Natural Gas, NGLs, Midstream
53.4B 52 -0.29 61 74 2.1%
BN PA
Danone
Food Products
Dairy, Plant-Based, Waters, Nutrition
53.3B 51 -1.12 72 36 3.5%
LHX NYSE
L3Harris Technologies
Aerospace & Defense
Satellite Systems, Missile Defense, Tactical
53.0B 54 -0.19 73 25 1.6%
FAST NASDAQ
Fastenal
Trading Companies
Fasteners, Bolts, Screws, Anchors
52.5B 63 0.36 84 41 2.1%
EA NASDAQ
Electronic Arts
Entertainment
Sports Games, Shooter Games, Racing Games
52.4B 58 0.44 83 55 0.4%
ROK NYSE
Rockwell Automation
Electrical Equipment
Drives & Motion, Control Hardware, Safety
52.2B 69 0.18 83 73 1.4%
CVE NYSE
Cenovus Energy
Oil, Gas & Consumable Fuels
Crude Oil, Natural Gas, Asphalt, Diesel, Jet
52.1B 59 0.26 60 93 2.9%
RHM XETRA
Rheinmetall
Aerospace & Defense
Armored Vehicles, Weapons Ammunition, Air
52.1B 40 -0.97 66 3 1.0%
DSV CO
DSV Panalpina
Ground Transportation
Air Freight, Sea Freight, Road Freight
52.1B 35 -0.58 79 16 0.4%
VV NYSE ETF
Large-Cap Shares
Large Blend
US Equities, Large Cap Stocks, Index Replication
52.0B 56 -0.22 42 52 1.1%
DB1 XETRA
Deutsche Börse
Capital Markets
Financial Data, Trading Systems, Fund Processing
51.9B 39 0.46 31 44 1.7%
UCB BR
UCB
Pharmaceuticals
Neurology, Immunology, Epilepsy, Allergies
51.8B 59 -0.78 83 45 0.4%
STT NYSE
State Street
Capital Markets
Custody, Fund Administration, Securities Finance
51.4B 53 1.62 19 91 2.5%
SPYG NYSE ETF
Portfolio SP500 Growth
Large Growth
Large-Cap Growth, U.S. Equities, Growth Stocks
51.4B 57 -0.20 43 53 0.5%
NDAQ NASDAQ
Nasdaq
Capital Markets
Market Data, Trading Platforms, Indices
51.0B 52 -0.61 68 36 1.3%
EBS VI
Erste Bank
Banks
Retail Banking, Commercial Lending, Digital
50.7B 35 -0.21 43 78 0.7%
DVN NYSE
Devon Energy
Oil, Gas & Consumable Fuels
Oil, Natural Gas, Gas Liquids
50.6B 55 -0.20 52 70 2.6%
TER NASDAQ
Teradyne
Semiconductors
Collaborative Robots, Mobile Robots
50.5B 79 0.03 62 98 0.3%
HOLN SW
Holcim
Construction Materials
Cement, Concrete, Aggregates, Asphalt
50.2B 45 -0.39 80 47 2.4%
GALDY NYSE
GALDERMA
Drug Manufacturers
Injectable Aesthetics, Dermatological Skincare
50.1B 56 -0.16 92 61 0.2%
MT NYSE
ArcelorMittal
Metals & Mining
Flat Steel, Long Steel, Iron Ore, Coal
50.1B 52 -0.02 88 89 1.2%
ORA PA
Orange S.A.
Diversified
Mobile Networks, Broadband Internet, Cloud
50.1B 44 -0.16 49 54 4.7%
PYPL NASDAQ
PayPal Holdings
Financial
Digital Payments, Online Transfers, Merchant
50.0B 49 0.11 75 24 0.9%
GALD SW
Galderma N
Drug Manufacturers
Injectable Aesthetics, Dermatological Skincare
50.0B 58 -0.38 74 69 0.2%
MBG XETRA
Mercedes-Benz
Automobiles
Luxury Cars, Vans, Auto Financing, Vehicle
50.0B 33 -1.10 69 14 6.9%
MT AS
ArcelorMittal
Metals & Mining
Flat Steel, Long Steel, Steel Pipes, Iron Ore
49.7B 64 -0.24 94 90 1.2%
XLF NYSE ETF
Financial Sector Fund
Financial
Banks, Insurance, Capital Markets, Consumer
49.5B 52 0.35 59 48 1.5%
ODFL NASDAQ
Old Dominion Freight Line
Ground Transportation
LTL Shipping, Expedited Freight, Container
49.3B 76 0.08 79 83 0.6%
BAS XETRA
BASF SE
Chemicals
Petrochemicals, Coatings, Agricultural Chemicals
49.3B 61 -0.70 85 45 4.3%
EBAY NASDAQ
eBay
Broadline Retail
Online Marketplace, Mobile Apps, Payments, Resale
49.2B 75 0.53 71 68 1.3%
XEL NASDAQ
Xcel Energy
Electric Utilities
Electricity, Natural Gas, Power Generation
49.2B 30 -0.59 39 46 3.0%
SREN SW
Swiss Re
Insurance
Property Reinsurance, Casualty Reinsurance, Life
49.1B 47 0.30 25 34 4.9%
WAB NYSE
Westinghouse Air Brake
Machinery
Locomotives, Freight Cars, Braking Systems
49.0B 71 0.79 78 82 0.5%
VUSA AS ETF
SP500
US Large-Cap Blend Equity 48.9B 63 0.21 59 60 1.0%
IVE NYSE ETF
SP500 Value
Large Value
Financials, Healthcare, Industrials, Energy
48.9B 56 -0.19 53 51 1.7%
HEIA AS
Heineken
Beverages
Beer, Cider, Soft Drinks
48.9B 48 0.29 73 55 2.8%
ASM AS
ASM International
Semiconductors
Deposition Systems, Furnace Systems, Epitaxy
48.4B 68 -0.24 77 87 0.4%
GRMN NYSE
Garmin
Household Durables
Smartwatches, Aviation Avionics, Marine
48.1B 57 -0.32 83 34 1.6%
HEI NYSE
Heico
Aerospace & Defense
Aircraft Parts, Thermal Insulation
48.1B 63 -0.13 78 63 0.1%
CBK XETRA
Commerzbank
Banks
Banking Accounts, Loans, Credit Cards, Wealth
48.0B 38 -0.51 25 68 3.0%
SAND ST
Sandvik
Machinery
Mining Equipment, Cutting Tools, Crushing
47.9B 54 0.01 78 53 1.6%
HUM NYSE
Humana
Health Care Providers
Medicare Insurance, Specialty Insurance, Primary
47.8B 64 0.93 84 95 1.4%
DFAC NYSE ETF
Dimensional U.S. Core
Large Blend
US Equities, Large Cap Stocks, Futures, Options
47.8B 66 -0.07 53 57 1.0%
IWB NYSE ETF
Russell 1000
Large Blend
Equities, Large-Cap Stocks, Derivatives, Cash
47.6B 55 -0.26 43 51 1.0%
EXC NASDAQ
Exelon
Electric Utilities
Electricity, Natural Gas, Transmission
47.3B 37 -0.55 46 44 3.6%
WPM NYSE
Wheaton Precious Metals
Metals & Mining
Gold, Silver, Palladium, Platinum
47.3B 50 -0.82 59 20 0.6%
AMP NYSE
Ameriprise Financial
Capital Markets
Wealth Management, Asset Management, Annuities
47.3B 42 0.03 49 50 1.3%
ELE MC
Endesa
Electric Utilities
Power Generation, Power Distribution, Natural
47.2B 61 0.52 57 85 3.6%
RWE XETRA
RWE
Electric Utilities
Wind Energy, Solar Power, Natural Gas, Lignite
47.1B 51 0.20 37 79 2.0%
BIL NYSE ETF
Bloomberg 1-3 Month T-Bill
Ultrashort Bond
Treasury Bills, Short-term Debt, Government
47.1B 43 -0.23 46 37 3.8%
IEF NASDAQ ETF
7-10 Year Treasury Bond
Long Government
U.S. Treasury Bonds, Medium-Term Treasuries
46.9B 48 -0.37 51 28 3.9%
DEO NYSE
Diageo
Beverages
Scotch Whisky, Premium Vodka, Tequila, Beer
46.9B 43 -0.31 77 21 3.6%
ABEV NYSE
Ambev
Beverages
Beer, Soft Drinks, Malt, Beverages
46.8B 68 -0.16 75 75 6.8%
VTR NYSE
Ventas
Diversified REITs
Senior Housing, Medical Buildings, Research
46.8B 60 -0.07 55 84 2.5%
P911 XETRA
Porsche
Automobiles
Luxury Vehicles, Sports Cars, Electric Vehicles
46.5B 46 0.25 73 48 2.2%
CCEP NASDAQ
Coca-Cola European
Beverages
Soft Drinks, Energy Drinks, Bottled Water, Juices
46.2B 47 -0.08 70 57 2.7%
QUAL BATS ETF
USA Quality Factor
Large Blend
Large-Cap Equities, Cash Equivalents, Equity
46.0B 60 -0.07 45 52 0.9%
LONN SW
Lonza
Biotechnology
Biologics, Antibody Conjugates, Small Molecules
45.9B 37 -0.06 83 37 1.1%
FER NASDAQ
Ferrovial SE
Construction & Engineering
Toll Roads, Airports, Construction, Energy
45.6B 46 -0.46 73 31 2.0%
DANSKE CO
Danske Bank
Banks
Mortgages, Asset Management, Trading, Advisory
45.5B 42 0.17 40 83 9.5%
FER MC
Ferrovial S.A.
Construction & Engineering
Highways, Airports, Construction, Energy
45.3B 56 -0.70 63 39 1.7%
MUB NYSE ETF
National Muni Bond
Muni National Interm
Municipal Bonds, Tax-Exempt Bonds, Intermediate
45.2B 49 -0.92 64 32 3.2%
VTEB NYSE ETF
Tax-Exempt Bond Shares
Muni National Interm
Municipal Bonds, Tax-Exempt, Federal Income
45.0B 56 -0.85 68 33 3.4%
DIA NYSE ETF
Dow Jones Industrial
Large Value
Common Stocks, Large Cap, Industrial, Blue Chip
44.9B 56 -0.25 59 52 1.5%
VCSH NASDAQ ETF
Short-Term Corporate Bond
Short-Term Bond
Short-Term Bonds, Corporate Bonds
44.8B 51 -0.11 76 34 4.4%
AENA MC
Aena
Transportation
Airport Management, Duty-Free Retail, Real Estate
44.7B 59 -0.52 72 54 3.6%
SHL XETRA
Siemens Healthineers
Health Care Equipment
Medical Imaging, In-Vitro Diagnostics, Oncology
44.7B 32 -0.82 65 11 2.4%
FERG NYSE
Ferguson
Trading Companies
Plumbing, Heating Ventilation, Pipe Fittings
44.7B 42 -0.65 82 20 1.5%
SLF NYSE
Sun Life Financial
Insurance
Life Insurance, Health Insurance, Wealth
44.7B 57 0.77 67 81 4.2%
BSV NYSE ETF
Short-Term Bond Shares
Short-Term Bond
Government Bonds, Corporate Bonds, International
44.7B 42 -0.37 60 33 4.0%
DNB OL
DnB ASA
Banks
Banking Accounts, Mortgages, Insurance
44.4B 39 0.17 56 62 6.2%
JEPI NYSE ETF
JPMorgan Equity Premium
Derivative Income
Equity Securities, Equity-Linked Notes, Covered
44.3B 45 -0.23 41 38 8.0%
INFY NYSE
Infosys
IT
Consulting, Outsourcing, AI, Cloud
44.3B 49 -0.27 85 5 3.7%
VONG NASDAQ ETF
Russell 1000 Growth Shares
Large Growth
Large Cap, Growth Stocks, US Equities
44.0B 43 -0.22 39 39 0.5%
MCHP NASDAQ
Microchip Technology
Semiconductors
Microcontrollers, Microprocessors, Analog, FPGAs
44.0B 49 -0.10 72 48 2.7%
FMX NYSE
Fomento Economico Mexicano
Beverages
Beverages, Convenience Stores, Fuel Stations
44.0B 50 0.05 52 79 7.2%
WCN NYSE
Waste Connections
Commercial & Supplies
Waste Collection, Landfill Disposal, Recycling
43.4B 53 -0.16 80 26 0.8%
SEB-A ST
Skandinaviska Enskilda
Banks
Investment Banking, Wealth Management, Life
43.2B 53 0.81 37 76 5.0%
HLN NYSE
Haleon
Biotechnology
Oral Health, Vitamins, Pain Relief, Digestive
42.9B 53 -0.32 71 33 1.9%
VOW XETRA
Volkswagen
Automobiles
Passenger Cars, Luxury Vehicles, Motorcycles
42.8B 22 -0.96 66 12 6.4%
KB NYSE
KB Financial
Banks
Retail Banking, Corporate Banking, Securities
42.8B 42 0.19 62 84 2.8%
TLT NASDAQ ETF
20+ Year Treasury Bond
Long Government
Long Treasury Bonds, Government Securities
42.8B 41 -0.28 52 26 4.5%
KDP NASDAQ
Keurig Dr Pepper
Beverages
Soft Drinks, Coffee, Bottled Water, Energy Drinks
42.7B 41 -0.27 70 41 3.3%
AIG NYSE
American International
Insurance
Property Insurance, Casualty Insurance, Personal
42.7B 38 -0.11 58 40 2.4%
GOVT BATS ETF
U.S. Treasury Bond
Intermediate Government
Us Treasuries, Government Bonds, Treasury
42.5B 47 -0.32 55 30 3.6%
SGO PA
Compagnie de Saint-Gobain
Building Products
Plaster Systems, Insulation Materials, Flat
42.4B 27 -0.91 75 16 3.1%
SCHB NYSE ETF
Schwab U.S. Broad Market
Large Blend
Large Cap, Mid Cap, Small Cap, Broad Market
42.3B 60 -0.21 42 53 1.1%
WDS NYSE
Woodside Energy
Oil, Gas & Consumable Fuels
Liquefied Natural Gas, Pipeline Gas, Crude Oil
42.3B 50 0.11 71 77 5.8%
BDX NYSE
Becton Dickinson
Health Care Equipment
Medical Devices, Diagnostic Products, Laboratory
42.2B 50 -0.35 79 39 2.4%
DGRO NYSE ETF
Core Dividend Growth
Large Value
Dividend Stocks, U.S. Equities, Large Cap, Value
42.2B 66 0.06 63 58 2.1%
TRI NASDAQ
Thomson Reuters Common
Professional
Legal Research, Tax & Accounting, News Agency
42.0B 49 -0.64 79 6 3.7%
IX NYSE
Orix Ads
Financial
Leasing, Real Estate, Insurance, Banking
41.8B 52 0.70 29 91 2.9%
PRY MI
Prysmian
Electrical Equipment
Power Cables, Telecom Cables, Submarine Cables
41.7B 57 -0.32 61 86 0.8%
VOW3 XETRA
Volkswagen VZO O.N.
Automobiles
Passenger Cars, Commercial Vehicles, Trucks, Buses
41.5B 26 -0.64 75 12 6.5%
MSCI NYSE
Capital Markets
Indexes, Analytics, ESG Data, Private Assets
41.5B 62 -0.93 86 27 1.4%
ARES NYSE
Ares Management
Capital Markets
Direct Lending, Private Equity, Real Estate
41.5B 32 -1.13 57 17 4.1%
ADM NYSE
Archer-Daniels-Midland
Food Products
Nutrition Ingredients, Oilseed Processing, Grain
41.4B 55 1.04 84 87 3.1%
IUSB NASDAQ ETF
Core Total USD Bond Market
Intermediate Core-Plus Bond
Investment Grade Bonds, High Yield Bonds, US
41.4B 50 -0.30 68 31 4.2%
SWED-A ST
Swedbank (publ)
Banks
Retail Banking, Corporate Banking, Asset
41.4B 40 0.65 42 82 9.9%
VGIT NASDAQ ETF
Intermediate-Term Treasury
Intermediate Government
Intermediate Treasuries, Government Bonds, Fixed
41.0B 45 -0.25 56 30 3.8%
PRU NYSE
Prudential Financial
Insurance
Investment Management, Annuities, Life Insurance
41.0B 36 0.29 22 74 5.3%
PST MI
Poste Italiane
Insurance
Mail, Parcels, Digital Payments, Insurance
41.0B 56 0.30 37 88 8.1%
ED NYSE
Consolidated Edison
Multi-Utilities
Electric, Gas, Steam, Transmission
40.9B 53 -0.18 64 52 3.3%
PAYX NASDAQ
Paychex
Professional
Payroll Services, Retirement Solutions, Benefits
40.8B 55 0.05 75 42 3.3%
YUM NYSE
Yum! Brands
Hotels, Restaurants
Chicken, Mexican Food, Pizza, Burgers
40.8B 40 -1.15 23 26 1.9%
SPDW NYSE ETF
State Street Portfolio
Foreign Large Blend
Developed Markets, International Equities
40.5B 70 0.11 62 57 3.2%
LR PA
Legrand
Electrical Equipment
Power Distribution, Wiring Devices, Building
40.4B 41 -0.85 77 28 1.6%
JD NASDAQ
JD.com
Broadline Retail
Electronics, Apparel, Home Goods, Healthcare
40.1B 45 -0.52 76 27 3.5%
DHI NYSE
DR Horton
Household Durables
Single-Family Homes, Townhomes, Mortgage
40.0B 30 -0.72 34 19 1.2%
PCG NYSE
PG&E
Electric Utilities
Electricity, Natural Gas, Power Generation
39.9B 51 -0.38 61 62 1.1%
DTG XETRA
Daimler Truck Holding
Machinery
Trucks, Buses, Engines, Financing
39.7B 43 -0.09 81 67 4.5%
SCMN SW
Swisscom
Diversified
Mobile Communications, Broadband Internet, Fixed
39.6B 48 0.03 71 41 3.9%
BBD NYSE
Banco Bradesco
Banks
Retail Banking, Insurance, Loans, Mutual Funds
39.4B 35 -0.13 33 50 7.1%
JEPQ NASDAQ ETF
JPMorgan Nasdaq Equity
Derivative Income
Nasdaq Equities, Option Premiums, Equity-Linked
39.4B 55 -0.50 45 48 10.8%
BMW XETRA
Bayerische Motoren Werke
Automobiles
Automobiles, Motorcycles, Financing, Spare Parts
39.3B 25 -1.10 75 6 5.7%
MBB NASDAQ ETF
MBS
Government Mortgage-Backed
Mortgage-Backed Securities, Government Bonds
39.3B 48 -0.34 65 32 4.3%
ASSA-B ST
ASSA ABLOY (publ)
Household Durables
Access Control, Locks, Door Hardware, Entrance
39.3B 51 -0.33 84 26 1.7%
XLV NYSE ETF
Health Care Sector Fund
Health
Pharmaceuticals, Medical Equipment
39.2B 67 0.05 71 58 1.7%
JBS NYSE
JBS
Food Products
Beef, Pork, Lamb, Poultry
39.2B 45 -0.75 52 15 7.9%
XLE NYSE ETF
Energy Sector Fund
Equity Energy
Oil, Gas, Consumable Fuels, Energy Equipment
39.1B 70 0.00 48 76 3.1%
BMPS MI
Banca Monte dei Paschi di
Banks
Retail Banking, Wealth Management, Corporate
38.9B 48 0.46 43 93 10.0%
PEG NYSE
Public Service Enterprise
Multi-Utilities
Electricity, Natural Gas, Nuclear Power, Solar
38.8B 36 -0.54 62 30 3.3%
JPST NYSE ETF
JPMorgan Ultra-Short Income
Ultrashort Bond
Corporate Debt, Mortgage-Backed, Asset-Backed
38.7B 48 0.01 58 37 4.2%
FNV NYSE
Franco-Nevada
Metals & Mining
Gold, Silver, Crude Oil, Natural Gas
38.7B 66 -0.31 58 34 0.8%
SYY NYSE
Sysco
Consumer Staples
Frozen Foods, Fresh Produce, Beverages, Kitchen
38.6B 50 0.01 85 48 2.8%
HIG NYSE
Hartford Financial
Insurance
Business Insurance, Personal Insurance, Employee
38.6B 49 -0.39 77 54 1.7%
AU NYSE
AngloGold Ashanti
Metals & Mining
Gold, Silver, Sulphuric Acid, Mining
38.6B 75 -0.59 84 42 5.5%
DYNF NYSE ETF
U.S. Equity Factor Rotation
Large Blend
Common Stocks, Large-Cap Stocks, Mid-Cap Stocks
38.6B 65 -0.13 46 59 0.9%
HOT XETRA
HOCHTIEF Aktiengesellschaft
Construction & Engineering
Building Construction, Civil Engineering
38.4B 55 0.63 51 92 1.5%
UMG AS
Universal Music
Entertainment
Recorded Music, Music Publishing, Merchandise
38.2B 32 -0.63 37 11 2.4%
Technical
Structure
Fundamental
Dividend Yield & Growth
Dividend Consistency
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