Stock Market Screener

7,855 Stocks

Symbol Name Price (After Hoursafter-market) % (1D) Volume Market Cap Price Chart (1Y)
consumer_electronics
Apple Inc
190.40
+0.32%
38.27M
2.96T
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software_infrastructure
Microsoft Corporation
382.70
+1.08%
20.40M
2.84T
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internet_content_information
Alphabet Inc
138.62
+0.41%
17.01M
1.73T
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internet_content_information
Alphabet Inc
137.20
+0.58%
18.71M
1.72T
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internet_retail
Amazon.com Inc.
147.03
-0.47%
42.38M
1.52T
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semiconductors
NVIDIA Corp
478.21
-0.87%
39.40M
1.18T
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internet_content_information
Meta Platforms Inc
338.99
+1.28%
12.61M
871.16B
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auto_manufacturers
Tesla Inc
246.72
+4.51%
147.47M
784.30B
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insurance_diversified
Berkshire Hathaway Inc
546,868.99
-0.11%
6,926
716.55B
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insurance_diversified
Berkshire Hathaway Inc
360.05
-0.36%
2.95M
708.93B
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LLY
drug_manufacturers_general
Lilly(Eli) & Co
591.60
+0.01%
1.79M
561.61B
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V
credit_services
Visa Inc
252.94
-0.47%
5.23M
519.37B
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TSM
semiconductors
Taiwan Semiconductor Manufacturing ADR
97.98
+0.79%
6.35M
508.16B
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UNH
healthcare_plans
Unitedhealth Group Inc
540.53
-0.56%
2.86M
499.95B
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semiconductors
Broadcom Inc
946.35
-0.41%
3.87M
493.57B
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NVO
biotechnology
Novo Nordisk ADR
101.43
-2.35%
5.14M
452.42B
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JPM
banks_diversified
JPMorgan Chase & Co.
153.54
+0.23%
6.57M
443.89B
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WMT
discount_stores
Walmart Inc
158.64
+1.19%
7.83M
426.99B
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VTI
exchange_traded_fund
Vanguard Total Stock Market ETF
225.23
+0.06%
2.76M
417.53B
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XOM
oil_gas_integrated
Exxon Mobil Corp.
103.90
-0.06%
20.62M
416.24B
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MA
credit_services
Mastercard Incorporated
409.01
+0.01%
2.65M
383.71B
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SPY
exchange_traded_fund
SPDR S&P 500 ETF Trust
454.93
+0.10%
61.65M
372.57B
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JNJ
drug_manufacturers_general
Johnson & Johnson
151.63
+0.23%
5.91M
365.02B
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PG
household_personal_products
Procter & Gamble Co.
152.29
+0.69%
6.11M
358.93B
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software_infrastructure
Oracle Corp.
116.24
-0.20%
4.89M
318.43B
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HD
home_improvement_retail
Home Depot, Inc.
313.34
+0.78%
3.12M
311.86B
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software_infrastructure
Adobe Inc
623.32
+0.65%
2.30M
283.80B
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CVX
oil_gas_integrated
Chevron Corp.
145.51
+0.80%
9.75M
274.69B
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semiconductor_equipment_materials
ASML Holding NV
675.99
-1.80%
643.75K
266.74B
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discount_stores
Costco Wholesale Corp
594.00
-0.15%
1.29M
262.99B
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MRK
drug_manufacturers_general
Merck & Co Inc
100.18
-1.23%
8.74M
253.86B
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IVV
exchange_traded_fund
iShares Core S&P 500 ETF
456.98
+0.09%
2.45M
253.41B
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KO
beverages_non_alcoholic
Coca-Cola Co
58.58
+0.21%
13.72M
253.27B
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TM
auto_manufacturers
Toyota Motor Corporation ADR
187.16
+0.29%
227.77K
252.71B
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drug_manufacturers_general
Abbvie Inc
138.08
-0.73%
5.35M
243.79B
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BAC
banks_diversified
Bank Of America Corp.
29.53
-0.10%
30.08M
233.69B
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PEP
beverages_non_alcoholic
PepsiCo Inc
168.86
+0.32%
4.06M
232.16B
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FMX
beverages_brewers
Fomento Economico Mexicano S.A.B. de C.V. ADR
124.75
+1.08%
333.45K
223.19B
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CRM
software_application
Salesforce Inc
224.92
+0.06%
5.52M
218.85B
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oil_gas_integrated
Shell Plc ADR
66.00
+0.29%
3.07M
216.89B
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entertainment
Netflix Inc.
479.00
-0.04%
2.88M
209.65B
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ACN
information_technology_services
Accenture plc
332.56
+0.04%
1.38M
208.72B
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MCD
restaurants
McDonald's Corp
282.09
+0.09%
2.20M
204.61B
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NVS
drug_manufacturers_general
Novartis AG ADR
97.00
-0.76%
1.21M
199.38B
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LIN
specialty_chemicals
Linde plc Ordinary Share
410.73
-0.50%
1.13M
199.16B
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AMD
semiconductors
Advanced Micro Devices Inc.
122.01
-0.52%
32.00M
197.11B
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AZN
drug_manufacturers_major
Astrazeneca PLC
63.30
-0.57%
5.92M
196.22B
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internet_retail
Alibaba Group Holding Ltd ADR
76.74
-1.02%
23.60M
195.44B
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communication_equipment
Cisco Systems, Inc.
47.85
-0.17%
16.35M
194.44B
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TMO
diagnostics_research
Thermo Fisher Scientific Inc.
485.92
-0.86%
1.55M
187.75B
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semiconductors
Intel Corp.
44.23
+0.34%
24.53M
186.47B
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PDD
internet_retail
PDD Holdings Inc ADR
139.00
+18.08%
29.23M
184.67B
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SAP
software_application
Sap SE ADR
156.30
+0.88%
583.89K
182.82B
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ABT
medical_devices
Abbott Laboratories
102.06
-0.63%
3.61M
177.18B
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