Equities

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Symbol
Name
1D Chart
Price (Intraday)
Change
Change %
Volume
Avg Vol (3M)
Market Cap
P/E Ratio (TTM)
52 Week Range
Region
Sector
Industry
Index
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1
NVIDIA Corporation
217.87 -1.57 -0.72% 84.339M 170.683M 5.294T 43.92 US Technology Semiconductors
S&P 500, NASDAQ Composite +2
2
Alphabet Inc.
386.36 -2.28 -0.59% 10.182M 29.62M 4.681T 30.58 US Communication Services Internet Content & Information
S&P 500, NASDAQ Composite +1
3
Alphabet Inc.
383.59 -3.18 -0.82% 6.015M 19.496M 4.647T 30.58 US Communication Services Internet Content & Information
S&P 500, NASDAQ Composite +1
4
Apple Inc.
293.88 +1.20 +0.41% 17.649M 43.759M 4.316T 35.56 US Technology Consumer Electronics
S&P 500, NASDAQ Composite +2
5
Microsoft Corporation
409.04 -3.62 -0.88% 12.67M 33.989M 3.039T 24.72 US Technology Software—Infrastructure
S&P 500, NASDAQ Composite +2
6
Amazon.com, Inc.
264.53 -4.46 -1.66% 14.507M 47.716M 2.846T 32.61 US Consumer Cyclical Internet Retail
S&P 500, NASDAQ Composite +2
7
Taiwan Semiconductor Manufacturing Company Limited
390.09 -14.45 -3.57% 10.461M 13.388M 2.023T 31.11 US Technology Semiconductors --
8
Broadcom Inc.
413.33 -15.10 -3.52% 7.724M 24.132M 1.957T 83.80 US Technology Semiconductors
S&P 500, NASDAQ Composite +1
9
Tesla, Inc.
428.08 -16.99 -3.82% 32.469M 62.688M 1.608T 393.24 US Consumer Cyclical Auto Manufacturers
S&P 500, NASDAQ Composite +1
10
Meta Platforms, Inc.
600.09 +1.23 +0.20% 5.321M 15.475M 1.523T 22.18 US Communication Services Internet Content & Information
S&P 500, NASDAQ Composite +1
11
Berkshire Hathaway Inc.
486.05 +6.50 +1.35% 2.087M 4.8M 1.048T 14.24 US Financial Services Insurance—Diversified
S&P 500
12
Berkshire Hathaway Inc.
728,466.25 +7,466.25 +1.03% 118 185 1.047T 14.24 US Financial Services Insurance—Diversified --
13
Walmart Inc.
130.18 +2.59 +2.03% 6.536M 19.894M 1.038T 39.43 US Consumer Defensive Discount Stores
S&P 500, NASDAQ Composite +1
14
JPMorgan Chase & Co.
301.75 +1.75 +0.58% 3.505M 9.547M 1.014T 14.47 US Financial Services Banks—Diversified
S&P 500, Dow Jones Industrial Average
15
Eli Lilly and Company
991.76 +24.77 +2.56% 1.181M 3.102M 884.393B 33.69 US Healthcare Drug Manufacturers—General
S&P 500
16
Micron Technology, Inc.
729.00 -66.33 -8.34% 37.036M 43.01M 822.118B 35.13 US Technology Semiconductors
S&P 500, NASDAQ Composite +1
17
Advanced Micro Devices, Inc.
436.39 -22.40 -4.88% 20.894M 39.099M 711.57B 151.79 US Technology Semiconductors
S&P 500, NASDAQ Composite +1
18
Exxon Mobil Corporation
151.42 +1.74 +1.16% 5.442M 21.468M 627.628B 24.34 US Energy Oil & Gas Integrated
S&P 500
19
Visa Inc.
327.38 +4.19 +1.30% 2.364M 7.458M 622.593B 27.79 US Financial Services Credit Services
S&P 500, Dow Jones Industrial Average
20
Intel Corporation
118.29 -11.15 -8.61% 100.391M 111.151M 594.551B -- US Technology Semiconductors
S&P 500, NASDAQ Composite +1
21
ASML Holding N.V.
1,490.04 -74.58 -4.77% 5 1,470 574.288B 51.03 US Technology Semiconductor Equipment & Materials --
22
ASML Holding N.V.
1,485.10 -80.71 -5.15% 1.041M 1.697M 572.385B 51.03 US Technology Semiconductor Equipment & Materials
NASDAQ Composite, NASDAQ 100
23
Johnson & Johnson
225.59 +4.16 +1.88% 2.627M 8.028M 543.044B 25.63 US Healthcare Drug Manufacturers—General
S&P 500, Dow Jones Industrial Average
24
Tencent Holdings Limited
59.25 -1.38 -2.28% 39 8,570 535.436B 16.95 US Communication Services Internet Content & Information --
25
Oracle Corporation
184.26 -9.58 -4.94% 10.449M 28.138M 529.94B 35.16 US Technology Software—Infrastructure
S&P 500