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Records  901 - 950 Of 6,988 Page 19 of 140
Ticker Company Industry Sector Country Market Cap Price Change Volume
SANM Sanmina Corporation Electronic Components Technology USA 3.21B 55.23 -4.23% 541,016
MUR Murphy Oil Corporation Oil & Gas E&P Energy USA 6.53B 41.81 -2.77% 2,089,467
MMC Marsh & McLennan Companies, Inc Insurance Brokers Financial Services USA 94.35B 191.00 0.69% 1,765,699
FLR Fluor Corporation Engineering & Construction Industrials USA 4.45B 31.08 -0.48% 927,513
CZR Caesars Entertainment, Inc. Resorts & Casinos Consumer Cyclical USA 11.90B 55.29 -4.33% 3,889,110
SIX Six Flags Entertainment Corpora Leisure Consumer Cyclical USA 1.95B 23.47 -2.82% 1,558,434
PVH PVH Corp. Apparel Manufacturing Consumer Cyclical USA 5.42B 86.46 -2.17% 569,626
PCG Pacific Gas & Electric Co. Utilities - Regulated Electric Utilities USA 41.22B 17.57 1.27% 13,256,287
MDP Meredith Corporation Publishing Communication Services USA 2.71B 59.07 0.12% 3,363,911
H Hyatt Hotels Corporation Lodging Consumer Cyclical USA 12.93B 122.34 -2.15% 1,032,085
GPC Genuine Parts Company Auto Parts Consumer Cyclical USA 21.82B 155.35 -0.91% 779,204
FUN Cedar Fair, L.P. Leisure Consumer Cyclical USA 1.93B 37.69 -2.86% 969,707
DTE DTE Energy Company Utilities - Regulated Electric Utilities USA 23.31B 113.09 -0.05% 896,244
CONN Conn's, Inc. Specialty Retail Consumer Cyclical USA 109.78M 4.53 2.03% 139,724
WEN Wendy's Company (The) Restaurants Consumer Cyclical USA 4.53B 21.48 0.42% 2,059,798
RRD R.R. Donnelley & Sons Company Specialty Business Services Industrials USA 815.30M 10.84 0.00% 447,076
MNR Monmouth Real Estate Investment Oil & Gas E&P Energy USA 2.07B 20.98 0.00% 6,636,937
GCI Gannett Co., Inc. Publishing Communication Services USA 409.77M 2.75 -2.14% 756,692
COG Cabot Oil & Gas Corporation Oil & Gas E&P Energy USA 8.89B 22.25 0.00% 19,280,088
CMO Capstead Mortgage Corporation REIT Real Estate USA 634.02M 6.50 2.52% 8,319,861
CCI Crown Castle Inc. REIT - Specialty Real Estate USA 46.40B 107.00 -1.15% 3,166,571
WPC W. P. Carey Inc. REIT REIT - Diversified Real Estate USA 14.26B 66.65 -0.51% 827,693
TDC Teradata Corporation Software - Infrastructure Technology USA 5.67B 55.42 -3.47% 1,011,043
PSEC Prospect Capital Corporation Asset Management Financial Services USA 2.57B 6.40 0.31% 1,282,259
OC Owens Corning Inc Building Products & Equipment Industrials USA 12.79B 141.91 0.52% 717,782
INCY Incyte Corporation Biotechnology Healthcare USA 14.65B 65.68 3.12% 2,041,095
RCL Royal Caribbean Cruises Ltd. Travel Services Consumer Cyclical USA 26.90B 105.20 -2.08% 4,593,566
COO The Cooper Companies, Inc. Medical Instruments & Supplies Healthcare USA 19.20B 387.86 -0.55% 455,518
MAS Masco Corporation Building Products & Equipment Industrials USA 13.63B 60.54 -1.48% 1,517,431
LNG Cheniere Energy, Inc. Oil & Gas Midstream Energy USA 38.75B 159.14 -0.69% 1,177,987
FMC FMC Corporation Agricultural Inputs Basic Materials USA 11.62B 92.82 -1.29% 1,644,005
DCI Donaldson Company, Inc. Specialty Industrial Machinery Industrials USA 7.65B 63.10 -0.68% 320,259
CTAS Cintas Corporation Specialty Business Services Industrials USA 50.82B 499.56 -0.83% 378,979
TRGP Targa Resources, Inc. Oil & Gas Midstream Energy USA 18.35B 81.17 -0.54% 1,904,900
PGR Progressive Corporation (The) Insurance - Property & Casualty Financial Services USA 73.37B 125.36 -1.62% 3,324,397
NRZ New Residential Investment Corp REIT Real Estate USA 5.08B 10.89 -0.18% 5,091,773
EQT EQT Corporation Oil & Gas E&P Energy USA 14.78B 40.86 -1.94% 4,752,893
CC Chemours Company (The) Specialty Chemicals Basic Materials USA 5.46B 36.63 -0.62% 1,429,975
WAT Waters Corporation Diagnostics & Research Healthcare USA 17.22B 291.77 6.33% 1,400,324
MAIN Main Street Capital Corporation Asset Management Financial Services USA 3.42B 42.49 0.59% 336,375
GNTX Gentex Corporation Auto Parts Consumer Cyclical USA 7.88B 33.70 -0.79% 1,233,969
CRUS Cirrus Logic, Inc. Semiconductors Technology USA 4.39B 80.26 -1.22% 468,517
UIS Unisys Corporation New Information Technology Services Technology USA 359.07M 5.26 -1.50% 734,630
SJM J.M. Smucker Company (The) New Packaged Foods Consumer Defensive USA 15.49B 151.75 1.39% 565,117
PPC Pilgrim's Pride Corporation Packaged Foods Consumer Defensive USA 5.86B 24.75 0.41% 561,167
GETH GREEN ENVIROTECH HOLDINGS CORP Waste Management Industrials USA 314 0.00010 0.00% 5
CSGS CSG Systems International, Inc. Software - Infrastructure Technology USA 1.67B 52.59 2.02% 262,110
COLM Columbia Sportswear Company Apparel Manufacturing Consumer Cyclical USA 4.61B 74.25 -3.95% 1,518,732
CMS CMS Energy Corporation Utilities - Regulated Electric Utilities USA 17.58B 60.28 -0.25% 1,883,396
XONE The ExOne Company Specialty Industrial Machinery Industrials USA 597.05M 26.70 0.00%