Screener
[+] Crypto
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Mega ($200B+)$200B+
Large ($10–200B)$10–200B
Mid ($2–10B)$2–10B
Small ($300M–2B)$300M–2B
Micro (<$300M)<$300M
[+] Crypto
| Ticker | Name | Market Cap▼ | Last | Daily % | 52W High | 52W Low | Volume | ADV30 | Sparkline | Insider 30d | Exchange | Sector | Site Sent | Social |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| #1 NVDA | NVIDIA CORP | $4.96T | $204.65 | -1.33% | $236.26 | $164.08 | 118,585,112 | 168,638,670 | — | Nasdaq | Information Technology | +100 | #10 -30% | |
| #2 AAPL | Apple Inc. | $4.35T | $295.95 | -1.10% | $317.40 | $245.28 | 42,329,351 | 48,996,465 | — | Nasdaq | Information Technology | +100 | #37 -4% | |
| #3 MSFT | MICROSOFT CORP | $2.81T | $378.91 | -3.79% | $466.32 | $355.51 | 41,193,950 | 36,407,882 | — | Nasdaq | Information Technology | +100 | #2 +109% | |
| #4 AMZN | AMAZON COM INC | $2.55T | $237.50 | -3.46% | $278.56 | $199.14 | 42,359,945 | 40,506,508 | — | Nasdaq | Consumer Discretionary | +100 | #21 +16% | |
| #5 TSM | TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD | $2.24T | $432.15 | +1.48% | $449.11 | $313.07 | 10,883,883 | 13,178,459 | 1 | NYSE | Information Technology | — | #89 +400% | |
| #6 GOOGL | Alphabet Inc. | $2.13T | $363.79 | -2.53% | $408.37 | $271.95 | 24,169,091 | 30,316,636 | — | Nasdaq | Information Technology | — | #31 +36% | |
| #7 GOOG | Alphabet Inc. | $1.99T | $362.10 | -2.43% | $404.23 | $271.37 | 15,895,377 | 21,280,146 | — | Nasdaq | Information Technology | — | #25 +17% | |
| #8 AVGO | Broadcom Inc. | $1.87T | $392.90 | +4.30% | $495.00 | $289.96 | 31,408,732 | 28,826,291 | 1 | Nasdaq | Information Technology | — | #19 +6% | |
| #9 TSLA | Tesla, Inc. | $1.49T | $396.38 | -2.05% | $453.40 | $337.24 | 41,080,667 | 50,375,792 | — | Nasdaq | Consumer Discretionary | — | #12 -4% | |
| #0 META | Meta Platforms, Inc. | $1.25T | $567.58 | -5.44% | $690.88 | $519.78 | 19,852,778 | 16,731,136 | — | Nasdaq | Information Technology | — | #7 +208% | |
| MU | MICRON TECHNOLOGY INC | $1.18T | $1043.19 | +2.20% | $1110.40 | $311.49 | 43,963,923 | 55,044,451 | — | Nasdaq | Information Technology | +100 | #4 +3% | |
| LLY | ELI LILLY & Co | $991.62B | $1112.00 | -0.94% | $1182.73 | $849.05 | 2,381,062 | 3,177,029 | — | NYSE | Health Care | — | #195 -50% | |
| WMT | Walmart Inc. | $940.09B | $118.13 | -2.40% | $135.16 | $112.73 | 21,641,900 | 23,716,117 | — | Nasdaq | Consumer Discretionary | — | #124 +200% | |
| JPM | JPMORGAN CHASE & CO | $893.51B | $333.46 | +0.70% | $337.77 | $280.32 | 12,223,302 | 8,922,277 | — | NYSE | Financials | — | #47 +217% | |
| AMD | ADVANCED MICRO DEVICES INC | $835.65B | $512.48 | +1.02% | $558.37 | $192.83 | 26,052,016 | 35,300,367 | — | Nasdaq | Information Technology | — | #16 +5% | |
| ASMLF | ASML HOLDING NV | $741.72B | $1924.47 | +6.72% | $1924.47 | $1250.00 | 2 | 9,270 | — | Nasdaq | Industrials | — | — | |
| ASML | ASML HOLDING NV | $719.89B | $1867.83 | +3.54% | $1938.49 | $1245.39 | 2,313,498 | 1,908,920 | — | Nasdaq | Industrials | — | #79 +200% | |
| BRK-B | BERKSHIRE HATHAWAY INC | $686.96B | $491.28 | -0.74% | $499.79 | $464.01 | 5,399,581 | 5,177,433 | — | NYSE | Financials | — | — | |
| SPY | SPDR S&P 500 ETF TRUST | $680.04B | $740.96 | -1.25% | $760.40 | $629.28 | 85,051,072 | 54,560,162 | — | NYSE | Unknown | — | #3 +40% | |
| INTC | INTEL CORP | $608.65B | $121.10 | +3.46% | $132.75 | $40.63 | 111,050,903 | 135,843,843 | — | Nasdaq | Information Technology | — | #29 +71% | |
| XOM | EXXON MOBIL CORP | $583.36B | $140.74 | -0.79% | $175.22 | $137.72 | 16,095,913 | 17,322,374 | — | NYSE | Energy | — | #140 +400% | |
| JNJ | JOHNSON & JOHNSON | $563.77B | $234.20 | -0.42% | $245.80 | $219.11 | 8,442,711 | 7,707,607 | — | NYSE | Health Care | — | #298 +0% | |
| V | VISA INC. | $548.33B | $330.38 | -0.82% | $341.27 | $293.28 | 5,154,454 | 7,624,755 | — | NYSE | Industrials | — | — | |
| ORCL | ORACLE CORP | $527.84B | $183.53 | -2.55% | $250.25 | $134.57 | 13,372,726 | 24,169,654 | — | NYSE | Information Technology | — | #194 -70% | |
| AMAT | APPLIED MATERIALS INC /DE | $470.75B | $592.92 | +4.35% | $623.35 | $320.29 | 10,974,837 | 8,977,785 | — | Nasdaq | Information Technology | — | #69 +1200% | |
| LRCX | LAM RESEARCH CORP | $467.94B | $374.18 | +1.31% | $397.54 | $198.60 | 10,817,982 | 10,149,176 | — | Nasdaq | Industrials | — | #246 +100% | |
| CSCO | CISCO SYSTEMS, INC. | $462.45B | $117.33 | -1.87% | $130.37 | $75.90 | 16,866,039 | 27,559,391 | — | Nasdaq | Information Technology | — | #239 +100% | |
| ARM | ARM HOLDINGS PLC /UK | $447.40B | $418.88 | +5.69% | $444.80 | $124.50 | 11,583,696 | 13,092,777 | — | Nasdaq | Information Technology | — | #52 +138% | |
| CAT | CATERPILLAR INC | $440.29B | $955.92 | +1.11% | $975.64 | $663.31 | 2,244,610 | 2,704,437 | — | NYSE | Industrials | — | #163 -20% | |
| MA | Mastercard Inc | $432.37B | $492.99 | -1.66% | $534.21 | $464.52 | 1,974,907 | 3,680,350 | — | NYSE | Industrials | — | #136 -17% | |
| COST | COSTCO WHOLESALE CORP /NEW | $428.22B | $965.59 | -2.14% | $1096.50 | $936.51 | 1,789,778 | 2,323,126 | — | Nasdaq | Consumer Discretionary | — | #242 +0% | |
| BAC | BANK OF AMERICA CORP /DE/ | $401.17B | $56.53 | -0.55% | $57.98 | $45.88 | 40,170,400 | 37,318,610 | — | NYSE | Financials | — | #237 +100% | |
| ABBV | AbbVie Inc. | $390.87B | $221.23 | -0.56% | $230.47 | $190.75 | 2,809,929 | 5,372,138 | — | NYSE | Health Care | — | #307 +0% | |
| BRK-A | BERKSHIRE HATHAWAY INC | $372.85B | $737300.00 | -0.69% | $748741.00 | $698000.00 | 230 | 214 | — | NYSE | Financials | — | — | |
| GE | GENERAL ELECTRIC CO | $372.50B | $357.03 | +1.51% | $362.33 | $268.91 | 3,692,977 | 4,890,326 | — | NYSE | Industrials | — | #138 +67% | |
| UNH | UNITEDHEALTH GROUP INC | $362.83B | $399.53 | -1.99% | $414.16 | $254.52 | 5,812,106 | 6,929,740 | — | NYSE | Financials | — | #199 +0% | |
| MS | MORGAN STANLEY | $354.83B | $224.96 | +1.87% | $228.07 | $155.68 | 7,426,201 | 5,826,277 | — | NYSE | Financials | — | #59 +150% | |
| CVX | CHEVRON CORP | $353.67B | $177.58 | -1.40% | $212.76 | $176.13 | 8,421,864 | 9,463,982 | — | NYSE | Energy | — | #394 +0% | |
| PG | PROCTER & GAMBLE Co | $350.59B | $150.56 | -1.27% | $153.02 | $138.86 | 5,336,840 | 8,307,081 | — | NYSE | Materials | — | #299 +0% | |
| KO | COCA COLA CO | $343.90B | $79.93 | -0.44% | $83.50 | $73.59 | 13,133,103 | 15,804,580 | — | NYSE | Consumer Staples | +100 | #193 +0% | |
| HBCYF | HSBC HOLDINGS PLC | $328.39B | $19.15 | +5.45% | $19.15 | $14.83 | 17,812 | 14,077 | — | NYSE | Financials | — | — | |
| HSBC | HSBC HOLDINGS PLC | $326.60B | $95.23 | +0.83% | $96.62 | $75.79 | 1,895,461 | 1,740,582 | — | NYSE | Financials | — | #418 +0% | |
| HD | HOME DEPOT, INC. | $326.54B | $327.48 | -2.85% | $350.92 | $286.95 | 4,793,859 | 5,157,369 | — | NYSE | Consumer Discretionary | — | #238 +0% | |
| GS | GOLDMAN SACHS GROUP INC | $324.25B | $1099.14 | +0.78% | $1121.74 | $787.12 | 1,815,813 | 2,230,904 | — | NYSE | Financials | — | #139 +400% | |
| NFLX | NETFLIX INC | $324.06B | $76.96 | -2.24% | $108.95 | $76.76 | 50,047,711 | 35,884,604 | — | Nasdaq | Communication Services | — | #17 -29% | |
| KXIAY | Kioxia Holdings Corporation/ADR | $316.73B | $58.00 | +2.82% | $61.76 | $11.95 | 342,183 | 1,639,094 | — | OTC | Unknown | — | — | |
| KLAC | KLA CORP | $311.85B | $238.73 | +0.59% | $267.17 | $137.27 | 13,191,870 | 11,574,742 | — | Nasdaq | Unknown | — | #357 +0% | |
| PLTR | Palantir Technologies Inc. | $299.94B | $130.63 | -1.97% | $163.70 | $122.68 | 31,031,308 | 39,703,264 | — | Nasdaq | Information Technology | — | #38 +0% | |
| SNDK | Sandisk Corp | $290.08B | $1958.80 | -1.64% | $2167.33 | $558.58 | 8,842,080 | 12,358,789 | — | Nasdaq | Information Technology | — | #22 -44% | |
| NVS | NOVARTIS AG | $287.89B | $150.88 | -0.03% | $156.46 | $142.25 | 1,572,885 | 1,556,390 | — | NYSE | Health Care | — | — | |
| MRK | Merck & Co., Inc. | $285.12B | $115.44 | +0.23% | $123.11 | $107.13 | 6,811,159 | 9,920,669 | — | NYSE | Health Care | — | — | |
| QQQ | INVESCO QQQ TRUST, SERIES 1 | $284.02B | $722.51 | -1.01% | $748.65 | $555.60 | 45,864,874 | 46,228,579 | — | Nasdaq | Unknown | — | #5 +14% | |
| GEV | GE Vernova Inc. | $281.85B | $1048.86 | +6.77% | $1181.35 | $806.59 | 3,984,386 | 2,698,276 | — | NYSE | Industrials | — | #157 +67% | |
| NVSEF | NOVARTIS AG | $280.62B | $147.07 | +1.51% | $161.50 | $139.32 | 7,600 | 41,417 | — | NYSE | Health Care | — | — | |
| PM | Philip Morris International Inc. | $279.67B | $179.44 | -2.51% | $193.05 | $151.63 | 3,920,832 | 4,717,521 | — | NYSE | Consumer Staples | — | — | |
| RY | ROYAL BANK OF CANADA | $278.91B | $200.70 | -0.21% | $202.90 | $155.85 | 1,678,731 | 1,339,154 | — | NYSE | Financials | — | #312 +0% | |
| AZN | ASTRAZENECA PLC | $275.88B | $177.89 | -0.46% | $207.30 | $174.60 | 1,725,679 | 1,914,506 | — | NYSE | Health Care | — | — | |
| TXN | TEXAS INSTRUMENTS INC | $274.74B | $301.88 | -1.25% | $331.51 | $183.97 | 7,067,701 | 8,094,797 | — | Nasdaq | Information Technology | — | #310 +0% | |
| RTX | RTX Corp | $259.34B | $192.58 | +3.11% | $206.44 | $170.07 | 5,898,518 | 5,723,094 | — | NYSE | Industrials | — | — | |
| BABA | Alibaba Group Holding Ltd | $257.76B | $107.44 | -3.18% | $145.53 | $107.43 | 13,192,297 | 12,663,590 | — | NYSE | Industrials | — | #125 -33% | |
| WFC | WELLS FARGO & COMPANY/MN | $256.47B | $83.81 | -1.46% | $87.08 | $72.78 | 19,172,672 | 16,585,459 | — | NYSE | Financials | — | — | |
| MRVL | Marvell Technology, Inc. | $253.51B | $289.54 | +3.90% | $324.20 | $85.09 | 48,621,136 | 48,088,301 | — | Nasdaq | Information Technology | — | #18 +0% | |
| IBM | INTERNATIONAL BUSINESS MACHINES CORP | $246.58B | $262.35 | -3.12% | $332.46 | $212.34 | 4,131,880 | 10,319,526 | — | NYSE | Unknown | — | #56 +7% | |
| WDC | WESTERN DIGITAL CORP | $245.46B | $712.13 | +4.56% | $741.85 | $249.00 | 12,864,691 | 7,415,376 | — | Nasdaq | Information Technology | — | #28 -36% | |
| C | CITIGROUP INC | $245.23B | $143.78 | +0.55% | $146.54 | $106.02 | 11,018,437 | 11,344,531 | — | NYSE | Financials | — | #395 +0% | |
| STX | Seagate Technology Holdings plc | $239.04B | $1066.07 | +3.37% | $1097.00 | $351.42 | 4,275,858 | 3,677,989 | — | Nasdaq | Information Technology | — | #101 +33% | |
| LIN | LINDE PLC | $238.50B | $515.85 | -0.45% | $525.87 | $471.95 | 2,042,895 | 2,271,103 | — | Nasdaq | Materials | — | — | |
| MUFG | MITSUBISHI UFJ FINANCIAL GROUP INC | $234.00B | $20.75 | +2.22% | $21.05 | $16.26 | 4,801,413 | 3,286,470 | — | NYSE | Financials | — | — | |
| BHPLF | BHP Group Ltd | $233.25B | $45.91 | +0.00% | $47.02 | $30.99 | 303,200 | 195,310 | — | NYSE | Materials | — | — | |
| AXP | AMERICAN EXPRESS CO | $232.36B | $340.54 | -0.06% | $346.95 | $290.05 | 3,307,835 | 3,057,838 | — | NYSE | Financials | — | #318 +0% | |
| PANW | Palo Alto Networks Inc | $229.94B | $282.13 | +0.80% | $302.95 | $143.50 | 4,989,367 | 9,204,796 | — | Nasdaq | Information Technology | — | — | |
| BHP | BHP Group Ltd | $229.55B | $90.36 | -2.32% | $93.83 | $64.53 | 3,125,149 | 2,845,155 | — | NYSE | Materials | — | — | |
| MBFJF | MITSUBISHI UFJ FINANCIAL GROUP INC | $229.48B | $20.35 | -0.49% | $21.15 | $16.20 | 15,900 | 130,767 | — | NYSE | Financials | — | — | |
| QCOM | QUALCOMM INC/DE | $224.47B | $212.97 | -0.51% | $258.96 | $121.54 | 11,144,789 | 24,850,606 | — | Nasdaq | Information Technology | — | #249 -67% | |
| SHEL | Shell plc | $222.81B | $80.38 | -2.27% | $94.05 | $80.15 | 5,995,777 | 7,127,966 | — | NYSE | Energy | — | — | |
| ANET | Arista Networks, Inc. | $207.67B | $164.93 | -1.83% | $179.80 | $115.42 | 6,079,980 | 11,215,739 | — | NYSE | Information Technology | — | #319 +0% | |
| TM | TOYOTA MOTOR CORP/ | $204.58B | $172.77 | -3.04% | $219.85 | $171.17 | 788,053 | 556,142 | — | NYSE | Consumer Discretionary | — | #240 +100% | |
| ADI | ANALOG DEVICES INC | $201.87B | $414.45 | -0.37% | $439.70 | $299.74 | 3,265,954 | 4,791,182 | — | Nasdaq | Information Technology | — | — | |
| MCD | MCDONALDS CORP | $201.66B | $283.82 | -1.43% | $322.31 | $270.15 | 2,752,749 | 4,386,305 | — | NYSE | Consumer Discretionary | — | #241 +100% |