Filter options

Records  951 - 1000 Of 11,347 Page 20 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
PPERF BANK MANDIRI (PERSERO) TBK Banks - Regional Financial Services Indonesia 34B 0.36 -3.26% 4,495
PBYA PROBILITY MEDIA CORP Education & Training Services Consumer Defensive USA 11.07K 0.00010 0.00% 1,000,000
OTTW Ottawa Bancorp, Inc. Banks - Regional Financial Services USA 27.99M 10.93 0.25% 300
NTIOF NATIONAL BANK OF CANADA Banks - Diversified Financial Services Canada 26B 76.84 -0.97% 420
MDIBY MEDIOBANCA DI CREDITO FINANZ SP Banks - Regional Financial Services Italy 10.93B 12.92 -1.60% 12,570
MBDE MORRIS BUSINESS DEVELOPMENT COM Business Services Services USA 1.79M 0.04 0.00% 33,560
KISB KISH BANCORP INC Banks - Regional Financial Services USA 85.18M 32.25 0.00% 1
JMSB John Marshall Bancorp, Inc. Banks - Regional Financial Services USA 271.64M 19.23 0.63% 5,757
J36.SI JMH USD Conglomerates Industrials Bermuda 44.12B 55.41 -2.19% 179,200
IMBBY IMPERIAL BRANDS PLC SPON ADR EA Tobacco Consumer Defensive United Kingdom 21.51B 23.68 -0.88% 89,266
ICTV ICTV BRANDS INC - - USA 15.94K 0.00030 0.00% 200
HSNGY HANG SENG BANK SPON ADR CACH CN Banks - Regional Financial Services Hong Kong 27.33B 14.24 -3.33% 18,883
HBANO Huntington Bancshares Incorpora Banks Financial Services USA 12.99B 25.02 0.08% 18,435
GRRB GRANDSOUTH BANCORPORATION Banks Financial Services USA 204.04M 39.05 -1.14% 449
GPDB GREEN POLKADOT BOX INC Food Distribution Consumer Defensive USA 29.90M 0.00010 0.00% 50
FNRN FIRST NORTHERN COMMUNITY BANCOR Banks - Regional Financial Services USA 136.16M 9.24 0.00% 100
FBPRN FIRST BANCORP PUERTO RICO Banks Financial Services USA 2.18B 24.99 0.00% 250
CSHX CASHMERE VALLEY BK WASH NEW Banks - Regional Financial Services USA 170.86M 43.99 1.88% 1,100
CICHY CHINA CONSTRUCTION BANK UNSP AD Banks - Diversified Financial Services China 141.57B 11.10 -2.97% 57,281
F Ford Motor Company Auto Manufacturers Consumer Cyclical USA 52.17B 13.04 -2.83% 56,844,419
GE General Electric Company Aerospace & Defense Industrials USA 121.87B 111.97 -1.10% 4,290,178
MSFT Microsoft Corporation Software - Infrastructure Technology USA 2.44T 327.50 -2.63% 27,456,267
XOM Exxon Mobil Corporation Oil & Gas Integrated Energy USA 425.69B 105.29 -1.25% 13,468,786
INTC Intel Corporation Semiconductors Technology USA 143.98B 34.39 -3.94% 37,846,277
VZ Verizon Communications Inc. Telecom Services Communication Services USA 140.08B 33.32 -0.33% 20,393,842
C Citigroup, Inc. Banks - Diversified Financial Services USA 89.18B 46.31 -1.61% 12,579,160
DIS Walt Disney Company (The) Entertainment Communication Services USA 157.70B 86.30 -3.07% 15,072,113
KO Coca-Cola Company (The) Beverages - Non-Alcoholic Consumer Defensive USA 267.95B 61.96 0.31% 11,017,569
JPM JP Morgan Chase & Co. Banks - Diversified Financial Services USA 451.61B 155.40 -1.13% 8,209,716
CSCO Cisco Systems, Inc. Communication Equipment Technology USA 214.27B 52.58 -0.15% 17,451,065
PG Procter & Gamble Company (The) Household & Personal Products Consumer Defensive USA 369.08B 156.59 0.22% 5,621,067
WFC Wells Fargo & Company Banks - Diversified Financial Services USA 165.41B 45.10 -1.33% 13,890,500
GM General Motors Company Auto Manufacturers Consumer Cyclical USA 51.98B 37.39 -1.92% 15,448,201
MCD McDonald's Corporation Restaurants Consumer Cyclical USA 211.45B 289.62 -0.50% 2,385,331
CMCSA Comcast Corporation Telecom Services Communication Services USA 187.97B 45.09 -0.49% 16,409,330
CAT Caterpillar, Inc. Farm & Heavy Construction Machinery Industrials USA 148.49B 287.57 -0.37% 6,284,185
TGT Target Corporation Discount Stores Consumer Defensive USA 61.64B 133.54 0.41% 3,443,164
CVX Chevron Corporation Oil & Gas Integrated Energy USA 298.61B 159.73 -1.58% 7,063,573
SBUX Starbucks Corporation Restaurants Consumer Cyclical USA 117.08B 102.13 0.86% 14,391,405
MRK Merck & Company, Inc. Drug Manufacturers - General Healthcare USA 268.21B 105.70 0.40% 10,865,850
CMG Chipotle Mexican Grill, Inc. Restaurants Consumer Cyclical USA 53.44B 1,936.86 -0.93% 295,053
ORCL Oracle Corporation Software - Infrastructure Technology USA 314.07B 115.71 -1.87% 6,372,570
MMM 3M Company Conglomerates Industrials USA 60.08B 108.91 -1.49% 3,177,074
COP ConocoPhillips Oil & Gas E&P Energy USA 139.87B 115.59 -1.52% 4,407,621
DE Deere & Company Farm & Heavy Construction Machinery Industrials USA 126.23B 430.53 -0.67% 1,077,792
UNP Union Pacific Corporation Railroads Industrials USA 140.35B 230.20 -0.56% 2,739,845
CRM Salesforce, Inc. Software - Application Technology USA 214.77B 220.50 -1.68% 5,110,763
COST Costco Wholesale Corporation Discount Stores Consumer Defensive USA 244.77B 552.35 -0.56% 1,607,915
LOW Lowe's Companies, Inc. Home Improvement Retail Consumer Cyclical USA 134.48B 229.49 -1.23% 2,297,757
CVS CVS Health Corporation Healthcare Plans Healthcare USA 97.96B 76.41 3.33% 22,288,463