Filter options

Records  551 - 600 Of 11,347 Page 12 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
IBM International Business Machines Information Technology Services Technology USA 131.34B 144.17 0.59% 4,956,340
BP BP p.l.c. Oil & Gas Integrated Energy United Kingdom 104.04B 36.03 -2.52% 7,662,549
BAX Baxter International Inc. Medical Instruments & Supplies Healthcare USA 22.21B 43.91 -2.42% 5,360,379
BIDU Baidu, Inc. Internet Content & Information Communication Services China 51.65B 146.69 -4.24% 1,706,555
BBY Best Buy Co., Inc. Specialty Retail Consumer Cyclical USA 17.73B 81.24 -1.85% 1,720,902
BIIB Biogen Inc. Drug Manufacturers - General Healthcare USA 39.31B 271.56 0.84% 1,291,128
BMY Bristol-Myers Squibb Company Drug Manufacturers - General Healthcare USA 129.73B 61.75 0.36% 9,548,659
BBBY Bed Bath & Beyond Inc. Specialty Retail Consumer Cyclical USA 41.96M 0.08 0.00% 192,179,915
USB U.S. Bancorp Banks - Regional Financial Services USA 58.91B 38.43 -0.72% 9,900,527
BRK-B Berkshire Hathaway Inc. New Insurance - Diversified Financial Services USA 645.25B 285.13 -0.43% 2,870,126
BLK BlackRock, Inc. Asset Management Financial Services USA 107.19B 717.44 -2.02% 643,792
YUM Yum! Brands, Inc. Restaurants Consumer Cyclical USA 37.81B 135.00 -1.00% 2,605,303
BTU Peabody Energy Corporation Thermal Coal Energy USA 3.14B 21.72 -2.47% 6,966,843
MNST Monster Beverage Corporation Beverages - Non-Alcoholic Consumer Defensive USA 60.32B 57.63 -0.14% 4,767,525
BK The Bank of New York Mellon Cor Asset Management Financial Services USA 35.22B 45.23 0.16% 4,007,950
FITB Fifth Third Bancorp Banks - Regional Financial Services USA 19.32B 28.37 -1.53% 4,500,962
ZBH Zimmer Biomet Holdings, Inc. Medical Devices Healthcare USA 26.80B 128.38 -2.94% 2,202,577
PBR Petroleo Brasileiro S.A.- Petro Oil & Gas Integrated Energy Brazil 91.64B 14.05 -0.99% 22,437,251
BHP BHP Group Limited Other Industrial Metals & Mining Basic Materials Australia 151.03B 59.68 -2.08% 2,262,131
CZBS CITIZENS BANCSHARES CORP GA Banks - Regional Financial Services USA 88.92M 42.75 0.00% 174
BEN Franklin Resources, Inc. Asset Management Financial Services USA 14.20B 28.35 -1.53% 2,575,981
GNCA GENOCEA BIOSCIENCES INC Biotechnology Healthcare USA 5.88K 0.00010 -85.71% 30,268
BBWI Bath & Body Works, Inc. Specialty Retail Consumer Cyclical USA 8.47B 36.99 0.79% 3,037,010
BDSI BioDelivery Sciences Internatio Drug Manufacturers Healthcare USA 577.05M 5.59 -0.09% 2,107,479
BMO Bank Of Montreal Banks - Diversified Financial Services Canada 63.65B 89.27 -2.01% 529,730
BPT BP Prudhoe Bay Royalty Trust Oil & Gas Midstream Energy USA 156.86M 7.33 -9.39% 816,010
HRB H&R Block, Inc. Personal Services Consumer Cyclical USA 5.18B 34.01 0.80% 788,236
TAP Molson Coors Beverage Company Beverages - Brewers Consumer Defensive USA 14.55B 67.33 1.22% 3,751,672
CNBKA Century Bancorp, Inc. Banks Financial Services USA 512.71M 115.29 0.06% 11,374
CBRL Cracker Barrel Old Country Stor Restaurants Consumer Cyclical USA 2.07B 93.24 0.56% 285,929
BCS Barclays PLC Banks - Diversified Financial Services United Kingdom 29.23B 7.49 -3.85% 9,209,808
TD Toronto Dominion Bank (The) Banks - Diversified Financial Services Canada 118.60B 64.38 -1.38% 1,754,193
MTB M&T Bank Corporation Banks - Regional Financial Services USA 22.96B 138.43 -0.19% 946,537
BXP Boston Properties, Inc. REIT - Office Real Estate USA 10.51B 67.04 3.60% 2,414,711
BMRN BioMarin Pharmaceutical Inc. Biotechnology Healthcare USA 16.59B 88.39 -0.69% 1,105,230
RY Royal Bank Of Canada Banks - Diversified Financial Services Canada 133.93B 96.26 -1.38% 1,048,420
HBAN Huntington Bancshares Incorpora Banks - Regional Financial Services USA 17.46B 12.06 -1.47% 11,335,806
BCE BCE, Inc. Telecom Services Communication Services Canada 38.39B 42.08 -1.59% 1,726,382
SWK Stanley Black & Decker, Inc. Tools & Accessories Industrials USA 15.51B 101.25 -2.63% 1,631,009
B Barnes Group, Inc. Specialty Industrial Machinery Industrials USA 1.99B 39.31 0.46% 167,069
BGCP BGC Partners, Inc. Capital Markets Financial Services USA 1.73B 4.43 1.37% 3,475,885
BWA BorgWarner Inc. Auto Parts Consumer Cyclical USA 10.07B 42.98 -7.51% 5,834,923
BALL Ball Corporation Packaging & Containers Consumer Cyclical USA 17.95B 57.08 -1.72% 1,594,540
TOL Toll Brothers, Inc. Residential Construction Consumer Cyclical USA 8.73B 79.83 -0.62% 942,836
SAM Boston Beer Company, Inc. (The) Beverages - Brewers Consumer Defensive USA 4.41B 359.17 -2.19% 138,185
EGLE Eagle Bulk Shipping Inc. Marine Shipping Industrials USA 439.61M 44.27 -3.02% 167,484
BOX Box, Inc. Software - Infrastructure Technology USA 4.41B 30.41 -2.16% 1,151,374
BC Brunswick Corporation Recreational Vehicles Consumer Cyclical USA 6.09B 86.07 1.18% 589,207
PBI Pitney Bowes Inc. Integrated Freight & Logistics Industrials USA 667.38M 3.80 -1.04% 1,533,798
CBB Cincinnati Bell Inc. Telecom Services Communication Services USA 788.25M 15.48 0.00% 3,690,361