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884 matching tickers (of 9,976) · page 8 of 9 · 100 per page. · Clear filters
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Ticker Name Market Cap▼ Last Daily % 52W High 52W Low Volume ADV30 Sparkline Insider 30d Exchange Sector Site Sent Social
#1 PAG PENSKE AUTOMOTIVE GROUP, INC. $13.76B $209.62 +0.79% $225.51 $138.00 383,100 323,900 — NYSE Consumer Discretionary — —
#2 YUMC Yum China Holdings, Inc. $13.75B $40.47 -1.27% $57.33 $39.90 1,271,700 1,419,070 — NYSE Consumer Discretionary — —
#3 MAA MID AMERICA APARTMENT COMMUNITIES INC. $13.73B $118.35 +0.93% $142.76 $116.67 1,192,600 1,006,420 — NYSE Real Estate — —
#4 RCI ROGERS COMMUNICATIONS INC $13.69B $31.91 -1.08% $39.99 $31.08 1,475,900 1,098,740 — NYSE Communication Services — —
#5 SUI SUN COMMUNITIES INC $13.67B $112.26 +1.02% $135.36 $110.39 757,400 1,821,687 — NYSE Real Estate — —
#6 CACI CACI INTERNATIONAL INC /DE/ $13.66B $618.32 +0.24% $683.50 $434.70 217,600 251,220 — NYSE Information Technology — —
#7 IVZ Invesco Ltd. $13.65B $30.92 +0.78% $33.66 $20.03 7,375,300 4,004,680 — NYSE Financials — —
#8 TTMI TTM TECHNOLOGIES INC $13.61B $129.17 +1.72% $223.83 $53.36 1,639,700 2,107,823 — Nasdaq Information Technology — —
#9 CYATY Contemporary Amperex Technology Co., Limited/ADR $13.59B $15.56 -0.70% $25.76 $15.50 192,900 342,237 — OTC Unknown — —
#0 MAS MASCO CORP /DE/ $13.58B $68.85 +2.29% $83.27 $57.51 1,820,800 2,132,380 — NYSE Industrials — —
RNR RENAISSANCERE HOLDINGS LTD $13.53B $325.60 -1.46% $339.82 $230.24 280,400 281,187 — NYSE Financials — —
TRMB TRIMBLE INC. $13.49B $57.85 +0.28% $84.42 $47.92 1,684,800 3,329,600 — Nasdaq Unknown — —
CHTR CHARTER COMMUNICATIONS, INC. /MO/ $13.47B $112.91 -3.95% $285.82 $111.55 2,942,900 3,085,837 — Nasdaq Communication Services — —
RL RALPH LAUREN CORP $13.46B $357.10 +1.78% $419.38 $301.26 752,700 663,013 — NYSE Consumer Discretionary — #222 +0%
SGI SOMNIGROUP INTERNATIONAL INC. $13.45B $63.95 +2.63% $97.86 $60.08 2,520,700 3,642,807 — NYSE Unknown — —
SWKS SKYWORKS SOLUTIONS, INC. $13.44B $89.34 +1.74% $92.80 $51.48 4,609,700 7,006,527 — Nasdaq Information Technology — —
REG REGENCY CENTERS CORP $13.41B $73.23 +0.43% $82.82 $64.44 1,084,800 1,253,037 — Nasdaq Real Estate — —
CHKP CHECK POINT SOFTWARE TECHNOLOGIES LTD $13.40B $131.24 -3.71% $210.66 $112.23 949,000 1,075,213 — Nasdaq Information Technology — —
MLI MUELLER INDUSTRIES INC $13.39B $60.52 +0.83% $70.92 $47.75 1,287,500 1,644,680 — NYSE Materials — —
TU TELUS CORP $13.36B $8.48 -0.47% $14.90 $8.40 6,897,900 5,973,390 — NYSE Communication Services — —
TKO TKO Group Holdings, Inc. $13.36B $182.67 -1.29% $224.23 $173.25 1,181,100 1,115,597 — NYSE Unknown — —
STLA Stellantis N.V. $13.34B $4.60 +2.91% $12.22 $4.46 20,562,300 22,148,710 — NYSE Consumer Discretionary — —
TYL TYLER TECHNOLOGIES INC $13.33B $325.57 -0.39% $531.94 $270.71 453,300 900,517 — NYSE Information Technology — —
AMKR AMKOR TECHNOLOGY, INC. $13.32B $53.61 +1.75% $96.50 $27.84 2,555,100 4,205,580 — Nasdaq Information Technology — #262 +0%
ICLR ICON PLC $13.30B $172.33 -0.90% $203.91 $66.57 965,900 805,787 — Nasdaq Health Care — —
VARRY Var Energi ASA/ADR $13.29B $10.65 -1.39% $12.00 $5.53 4,108 61,001 — OTC Unknown — —
PSLV Sprott Physical Silver Trust $13.28B $21.01 +1.20% $38.13 $15.06 5,649,000 6,453,563 — NYSE Financials — —
TRU TransUnion $13.25B $69.17 +2.41% $88.68 $63.28 1,919,400 2,153,927 — NYSE Industrials — —
TXT TEXTRON INC $13.17B $76.59 +0.75% $101.50 $75.86 1,676,700 1,702,173 — NYSE Industrials — —
TLK PERUSAHAAN PERSEROAN PERSERO PT TELEKOMUNIKASI INDONESIA TBK $13.15B $13.34 +0.30% $21.71 $12.60 723,700 652,560 — NYSE Communication Services — —
ALLE Allegion plc $13.14B $154.47 +1.31% $181.03 $124.05 654,800 1,284,830 — NYSE Industrials — —
AEG AEGON LTD. $13.08B $8.89 +0.91% $9.35 $6.38 9,370,700 4,509,587 — NYSE Financials — —
AIZ ASSURANT, INC. $13.07B $265.00 +1.20% $303.00 $203.08 366,200 372,870 — NYSE Financials — —
TMTNY Toromont Industries Ltd./ADR $13.04B $31.98 +2.07% $47.77 $23.88 2,060 4,639 — OTC Unknown — —
CSL CARLISLE COMPANIES INC $12.96B $326.37 +3.90% $428.80 $290.64 599,800 620,780 — NYSE Unknown — —
ALB ALBEMARLE CORP $12.95B $109.73 +1.37% $219.70 $78.40 1,989,800 2,386,750 — NYSE Materials — —
GEN Gen Digital Inc. $12.94B $21.62 -6.29% $31.65 $17.61 29,874,300 8,072,657 — Nasdaq Information Technology — —
HALO HALOZYME THERAPEUTICS, INC. $12.93B $113.90 -1.15% $116.85 $61.23 1,958,300 2,092,757 — Nasdaq Health Care — —
SJM J M SMUCKER Co $12.93B $121.00 -0.54% $135.89 $86.47 925,100 1,384,163 — NYSE Consumer Staples — —
TMTNF Toromont Industries Ltd./ADR $12.92B $158.45 +0.00% $168.76 $110.03 0 33,573 — OTC Unknown — —
LII LENNOX INTERNATIONAL INC $12.92B $373.77 +1.63% $587.27 $350.22 476,700 475,223 — NYSE Industrials — —
IESC IES Holdings, Inc. $12.92B $324.13 +1.13% $408.26 $170.07 164,100 271,083 — Nasdaq Industrials — —
HTHT H World Group Ltd $12.92B $42.00 +0.02% $54.14 $34.95 1,079,800 1,597,890 — Nasdaq Consumer Discretionary — —
AVY Avery Dennison Corp $12.91B $170.34 +0.79% $196.15 $150.83 591,400 1,018,937 — NYSE Materials — —
QXO QXO, Inc. $12.90B $12.43 +1.39% $27.61 $11.14 16,528,000 16,721,563 — NYSE Consumer Discretionary — —
GL GLOBE LIFE INC. $12.84B $167.04 -0.17% $191.55 $127.07 594,800 434,500 — NYSE Financials — #188 +0%
RPM RPM INTERNATIONAL INC/DE/ $12.82B $100.44 +1.75% $120.52 $91.96 805,700 1,382,097 — NYSE Materials — —
BBIO BridgeBio Pharma, Inc. $12.82B $65.57 -1.07% $93.42 $48.88 2,090,200 2,466,013 — Nasdaq Health Care — —
BWXT BWX Technologies, Inc. $12.69B $138.47 -0.15% $241.12 $136.50 1,022,300 1,120,420 — NYSE Industrials — —
SEIC SEI INVESTMENTS CO $12.68B $105.65 +0.83% $112.15 $74.64 666,400 808,800 — Nasdaq Financials — —
TOL Toll Brothers, Inc. $12.66B $137.34 +1.04% $167.75 $122.93 1,596,700 1,041,713 — NYSE Industrials — —
FOXA Fox Corp $12.63B $63.07 -1.21% $75.68 $48.13 3,645,100 5,292,407 — Nasdaq Communication Services — —
DOCU DOCUSIGN, INC. $12.62B $67.50 -2.16% $82.44 $40.16 2,224,200 3,486,643 — Nasdaq Information Technology — —
GGG GRACO INC $12.61B $77.86 +0.92% $94.99 $72.22 1,114,800 2,228,403 — NYSE Industrials — —
PEN Penumbra Inc $12.56B $318.89 -0.26% $362.41 $221.26 228,100 345,743 — NYSE Health Care — —
CORT CORCEPT THERAPEUTICS INC $12.55B $116.10 -2.03% $126.38 $28.66 800,800 1,421,517 — Nasdaq Health Care — —
LAMR LAMAR ADVERTISING CO/NEW $12.54B $143.98 +0.19% $164.46 $109.09 465,600 497,317 — Nasdaq Real Estate — —
BWA BORGWARNER INC $12.49B $61.32 +4.86% $78.61 $40.02 2,769,700 2,126,897 — NYSE Consumer Discretionary — —
DTM DT Midstream, Inc. $12.47B $122.28 -1.98% $150.94 $102.25 573,500 975,520 — NYSE Utilities — —
SMMT Summit Therapeutics Inc. $12.45B $15.61 -4.70% $29.23 $12.07 3,800,400 6,402,803 — Nasdaq Health Care — —
CNA CNA FINANCIAL CORP $12.44B $45.98 -0.28% $55.19 $40.32 492,000 493,667 — NYSE Financials — —
GRAB Grab Holdings Ltd $12.44B $3.13 +0.64% $6.60 $2.74 63,132,800 58,218,410 2 Nasdaq Industrials — —
HAS HASBRO, INC. $12.42B $88.09 +1.47% $104.60 $67.33 1,562,000 1,514,220 — Nasdaq Unknown — #190 +0%
GIB CGI INC $12.40B $67.77 -0.54% $94.69 $59.53 303,000 368,847 — NYSE Unknown — —
GDDY GoDaddy Inc. $12.30B $97.14 -3.64% $142.49 $71.59 2,705,600 2,344,220 — NYSE Information Technology — —
GNRC GENERAC HOLDINGS INC. $12.28B $208.14 +5.09% $296.44 $134.80 1,176,100 1,302,500 — NYSE Industrials — —
NXT Nextpower Inc. $12.27B $80.85 +1.10% $163.13 $70.92 1,454,800 2,099,657 — Nasdaq Information Technology — —
FIVE FIVE BELOW, INC $12.26B $222.60 +0.10% $263.88 $137.77 1,103,200 1,230,687 — Nasdaq Consumer Discretionary — #256 +0%
AIT APPLIED INDUSTRIAL TECHNOLOGIES INC $12.25B $333.39 +0.41% $374.27 $236.75 172,500 295,043 — NYSE Consumer Discretionary — —
HL HECLA MINING CO/DE/ $12.22B $18.19 +1.39% $34.15 $11.47 22,168,300 36,766,437 — NYSE Materials — #278 +0%
EHC Encompass Health Corp $12.18B $123.47 +1.20% $127.50 $92.41 1,223,300 852,210 — NYSE Health Care — —
MKC MCCORMICK & CO INC $12.18B $47.94 +0.25% $71.13 $44.42 2,687,400 2,918,740 — NYSE Consumer Staples — —
TWST Twist Bioscience Corp $12.12B $182.83 -0.65% $186.20 $23.30 2,706,200 1,893,813 — Nasdaq Health Care — —
GWRE Guidewire Software, Inc. $12.12B $145.56 -3.60% $255.89 $102.30 1,009,100 1,456,890 — NYSE Information Technology — —
BAX BAXTER INTERNATIONAL INC $12.08B $23.37 -0.47% $29.99 $15.72 6,569,000 5,888,480 — NYSE Health Care — —
BLMOY BELIMO Holding AG/ADR $12.08B $9.82 +0.00% $12.75 $7.68 0 204 — OTC Unknown — —
FMS Fresenius Medical Care AG $12.08B $22.69 +1.52% $26.57 $19.24 532,800 668,710 — NYSE Health Care — #326 +0%
SANM SANMINA CORP $12.05B $224.77 +1.30% $288.68 $111.52 738,600 599,000 — Nasdaq Information Technology — —
MANH MANHATTAN ASSOCIATES INC $12.01B $206.03 -1.72% $227.03 $119.06 420,400 713,373 — Nasdaq Information Technology — —
CR Crane Co $11.95B $206.83 +1.11% $230.22 $159.16 325,800 406,973 — NYSE Industrials — —
MDGL MADRIGAL PHARMACEUTICALS, INC. $11.93B $516.56 +0.65% $615.00 $393.61 153,400 226,363 — Nasdaq Health Care — —
HUT Hut 8 Corp. $11.93B $96.82 -4.65% $140.80 $31.67 2,631,400 4,794,440 — Nasdaq Financials — —
IT GARTNER INC $11.87B $187.90 +4.78% $265.85 $124.25 1,070,600 1,180,043 — NYSE Unknown — #30 +57%
HMY HARMONY GOLD MINING CO LTD $11.86B $18.97 +2.26% $25.57 $12.78 2,389,000 4,169,680 — NYSE Materials — —
ARW ARROW ELECTRONICS, INC. $11.85B $232.80 +2.41% $237.33 $101.79 330,400 545,393 — NYSE Consumer Discretionary — —
BJ BJ's Wholesale Club Holdings, Inc. $11.85B $93.79 +2.12% $105.78 $83.21 1,768,200 1,847,580 — NYSE Consumer Discretionary — #342 +0%
HBM Hudbay Minerals Inc. $11.83B $26.63 +0.57% $32.13 $13.90 2,403,600 3,898,420 — NYSE Materials — #73 +300%
GME GameStop Corp. $11.80B $23.39 -6.51% $28.10 $17.79 13,195,000 8,212,730 2 NYSE Consumer Discretionary +100 —
ALLY Ally Financial Inc. $11.80B $38.79 +0.13% $46.96 $35.43 2,917,100 3,297,577 — NYSE Financials — —
SAIL SailPoint, Inc. $11.78B $20.64 -6.69% $24.00 $10.30 3,611,500 4,466,603 — Nasdaq Information Technology — —
CCK CROWN HOLDINGS, INC. $11.75B $108.06 +2.23% $122.91 $88.12 1,160,000 892,583 — NYSE Industrials — —
NVMI NOVA LTD. $11.71B $368.23 +0.39% $615.99 $266.43 308,600 563,703 — Nasdaq Unknown — #243 +0%
YARIY YARA INTERNATIONAL ASA $11.67B $22.91 -2.39% $30.04 $16.79 19,200 30,073 — OTC Unknown — —
BMRN BIOMARIN PHARMACEUTICAL INC $11.66B $60.26 -1.78% $70.98 $49.26 1,791,300 1,885,333 — Nasdaq Health Care — —
TW Tradeweb Markets Inc. $11.54B $101.19 +0.06% $127.35 $91.30 1,149,400 1,252,487 — Nasdaq Financials — —
MICC Magnum Ice Cream Co N.V. $11.52B $18.98 -1.56% $20.68 $12.94 490,100 777,580 — NYSE Consumer Staples — —
ELS EQUITY LIFESTYLE PROPERTIES INC $11.49B $59.23 +0.38% $67.19 $56.91 1,917,400 1,488,987 — NYSE Real Estate — —
AFG AMERICAN FINANCIAL GROUP INC $11.46B $138.22 -0.14% $148.71 $121.70 288,800 363,353 — NYSE Financials — —
RMBS RAMBUS INC $11.41B $105.16 +0.58% $174.10 $77.89 1,710,000 2,453,833 — Nasdaq Information Technology — —
AGNC AGNC Investment Corp. $11.40B $9.62 +0.00% $11.20 $8.53 34,998,000 28,094,797 — Nasdaq Real Estate — —
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