NYSE Stock Screener

4,172 Stocks

Symbol Name Price (After Hoursafter-market) % (1D) Volume Market Cap Price Chart (1Y)
insurance_diversified
Berkshire Hathaway Inc
542,395.07
-0.00%
10,132
716.55B
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insurance_diversified
Berkshire Hathaway Inc
356.66
-0.11%
3.05M
708.93B
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LLY
drug_manufacturers_general
Lilly(Eli) & Co
585.68
+0.28%
2.57M
555.99B
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V
credit_services
Visa Inc
254.44
-0.78%
5.25M
522.45B
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UNH
healthcare_plans
Unitedhealth Group Inc
548.28
+0.20%
2.70M
507.12B
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TSM
semiconductors
Taiwan Semiconductor Manufacturing ADR
97.01
-1.56%
10.60M
503.13B
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JPM
banks_diversified
JPMorgan Chase & Co.
157.99
+0.73%
9.60M
456.75B
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NVO
biotechnology
Novo Nordisk ADR
100.92
+0.52%
2.99M
450.15B
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VTI
exchange_traded_fund
Vanguard Total Stock Market ETF
227.35
-0.36%
3.84M
417.53B
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WMT
discount_stores
Walmart Inc
154.30
-0.03%
8.13M
415.41B
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XOM
oil_gas_integrated
Exxon Mobil Corp.
102.43
-0.54%
21.52M
409.39B
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MA
credit_services
Mastercard Incorporated
408.23
-1.48%
3.10M
382.98B
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JNJ
drug_manufacturers_general
Johnson & Johnson
158.88
+0.32%
8.92M
382.47B
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SPY
exchange_traded_fund
SPDR S&P 500 ETF Trust
456.69
-0.52%
72.40M
372.57B
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PG
household_personal_products
Procter & Gamble Co.
152.06
-0.39%
6.46M
358.39B
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HD
home_improvement_retail
Home Depot, Inc.
324.02
+1.38%
3.80M
322.48B
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software_infrastructure
Oracle Corp.
115.78
-1.18%
5.59M
317.16B
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CVX
oil_gas_integrated
Chevron Corp.
144.87
+0.04%
11.69M
273.48B
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MRK
drug_manufacturers_general
Merck & Co Inc
105.06
+1.55%
10.15M
266.22B
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drug_manufacturers_general
Abbvie Inc
144.15
+0.52%
4.83M
254.50B
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IVV
exchange_traded_fund
iShares Core S&P 500 ETF
458.85
-0.49%
4.07M
253.41B
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KO
beverages_non_alcoholic
Coca-Cola Co
58.57
-0.12%
14.51M
253.22B
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TM
auto_manufacturers
Toyota Motor Corporation ADR
187.37
-2.79%
330.66K
253.00B
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BAC
banks_diversified
Bank Of America Corp.
30.82
-0.45%
37.82M
243.90B
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CRM
software_application
Salesforce Inc
250.66
-3.59%
11.42M
242.64B
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FMX
beverages_brewers
Fomento Economico Mexicano S.A.B. de C.V. ADR
126.04
-0.69%
419.78K
225.50B
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oil_gas_integrated
Shell Plc ADR
64.89
-0.83%
6.19M
213.03B
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ACN
information_technology_services
Accenture plc
336.43
-0.48%
2.35M
211.15B
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MCD
restaurants
McDonald's Corp
286.13
+0.06%
3.30M
207.54B
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NVS
drug_manufacturers_general
Novartis AG ADR
98.99
+0.88%
1.79M
203.47B
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AZN
drug_manufacturers_major
Astrazeneca PLC
65.02
+0.35%
3.34M
201.55B
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LIN
specialty_chemicals
Linde plc Ordinary Share
406.64
-1.23%
2.09M
197.18B
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TMO
diagnostics_research
Thermo Fisher Scientific Inc.
495.34
-0.16%
1.22M
191.39B
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SAP
software_application
Sap SE ADR
159.27
-0.51%
670.26K
186.30B
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internet_retail
Alibaba Group Holding Ltd ADR
73.03
-1.30%
20.99M
185.99B
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ABT
medical_devices
Abbott Laboratories
105.19
+0.30%
4.71M
182.62B
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NKE
footwear_accessories
Nike, Inc.
115.15
+1.47%
9.93M
175.25B
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DIS
entertainment
Walt Disney Co
92.01
-0.62%
12.59M
168.41B
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PFE
drug_manufacturers_general
Pfizer Inc.
29.28
+1.28%
47.37M
165.33B
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DHR
diagnostics_research
Danaher Corp.
222.13
-0.60%
2.25M
164.14B
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WFC
banks_diversified
Wells Fargo & Co.
45.12
+0.22%
13.12M
163.86B
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VB
exchange_traded_fund
Vanguard Small Cap ETF
201.31
+0.78%
1.26M
160.59B
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HDB
banks_regional
HDFC Bank Ltd. ADR
63.26
+4.20%
4.78M
160.04B
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VZ
telecom_services
Verizon Communications Inc
38.04
-1.40%
22.09M
159.92B
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TTE
oil_gas_integrated
TotalEnergies SE ADR
66.22
-1.71%
1.77M
156.66B
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BHP
other_industrial_metals_mining
BHP Group Limited ADR
61.36
-2.51%
2.96M
155.38B
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banks_diversified
HSBC Holdings plc ADR
38.35
-0.80%
1.29M
148.36B
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IBM
information_technology_services
International Business Machines Corp.
161.10
+0.34%
5.77M
147.10B
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PM
tobacco
Philip Morris International Inc
92.93
-1.19%
5.69M
144.27B
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UNP
railroads
Union Pacific Corp.
233.90
+1.09%
3.88M
142.58B
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BA
aerospace_defense
Boeing Co.
234.87
+0.43%
5.22M
142.09B
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NOW
software_application
ServiceNow Inc
687.62
-0.46%
1.17M
141.00B
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COP
oil_gas_ep
Conoco Phillips
114.53
-0.61%
4.82M
135.99B
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financial_data_stock_exchanges
S&P Global Inc
424.19
+0.52%
1.51M
134.38B
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