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Records  1051 - 1100 Of 11,347 Page 22 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
WDC Western Digital Corporation Computer Hardware Technology USA 13.57B 42.42 -1.05% 3,803,387
GT The Goodyear Tire & Rubber Comp Auto Parts Consumer Cyclical USA 4.47B 15.76 -1.50% 5,522,847
KLAC KLA Corporation Semiconductor Equipment & Materials Technology USA 68.54B 499.57 -2.86% 1,334,315
XRX Xerox Holdings Corporation Information Technology Services Technology USA 2.48B 15.77 0.57% 1,125,722
CB Chubb Limited Insurance - Property & Casualty Financial Services Switzerland 85.13B 205.55 1.15% 1,453,232
CALM Cal-Maine Foods, Inc. Farm Products Consumer Defensive USA 2.25B 45.93 0.59% 854,456
SHW Sherwin-Williams Company (The) Specialty Chemicals Basic Materials USA 71.61B 277.68 -0.90% 1,239,815
RF Regions Financial Corporation Banks - Regional Financial Services USA 19.01B 20.26 -0.44% 8,869,455
NOC Northrop Grumman Corporation Aerospace & Defense Industrials USA 67.95B 447.47 -0.15% 823,507
JCI Johnson Controls International Building Products & Equipment Industrials Ireland 43.60B 63.55 -9.25% 10,345,023
CTXS Citrix Systems, Inc. Software Technology USA 13.18B 103.90 0.00%
CLX Clorox Company (The) Household & Personal Products Consumer Defensive USA 18.85B 152.47 0.49% 1,211,275
WMB Williams Companies, Inc. (The) Oil & Gas Midstream Energy USA 41.03B 33.68 -1.23% 5,966,826
CAH Cardinal Health, Inc. Medical Distribution Healthcare USA 23.70B 93.09 1.58% 2,237,179
NSC Norfolk Southern Corporation Railroads Industrials USA 52.41B 230.22 -1.60% 1,235,671
SYY Sysco Corporation Food Distribution Consumer Defensive USA 38.39B 75.63 -0.70% 2,037,102
CME CME Group Inc. Financial Data & Stock Exchanges Financial Services USA 71.82B 199.67 -0.08% 974,568
CIEN Ciena Corporation Communication Equipment Technology USA 6.25B 41.82 -0.36% 1,358,705
CHKP Check Point Software Technologi Software - Infrastructure Technology Israel 15.80B 130.83 -1.12% 692,674
VFC V.F. Corporation Apparel Manufacturing Consumer Cyclical USA 7.41B 19.05 -1.75% 11,018,695
SCCO Southern Copper Corporation Copper Basic Materials USA 63.47B 82.10 -3.29% 1,085,885
K Kellogg Company Packaged Foods Consumer Defensive USA 22.84B 66.64 0.68% 2,556,154
HRL Hormel Foods Corporation Packaged Foods Consumer Defensive USA 22.61B 41.39 1.97% 1,366,413
CSIQ Canadian Solar Inc. Solar Technology Canada 2.27B 35.09 -2.45% 1,241,099
GERN Geron Corporation Biotechnology Healthcare USA 1.63B 3.20 -0.31% 2,355,788
SYK Stryker Corporation Medical Devices Healthcare USA 104.23B 274.57 -1.68% 1,914,364
RRC Range Resources Corporation Oil & Gas E&P Energy USA 7.54B 31.24 -0.76% 2,444,772
CPB Campbell Soup Company Packaged Foods Consumer Defensive USA 13.77B 46.21 1.56% 2,015,690
DG Dollar General Corporation Discount Stores Consumer Defensive USA 36.82B 167.88 -0.33% 1,505,140
CSII Cardiovascular Systems, Inc. Medical Devices Healthcare USA 843.96M 20.00 0.15% 387,776
MNKD MannKind Corporation Biotechnology Healthcare USA 1.21B 4.59 2.23% 2,813,672
FOXA Fox Corporation Entertainment Communication Services USA 16.35B 33.33 0.21% 2,279,654
CMI Cummins Inc. Specialty Industrial Machinery Industrials USA 37.12B 262.22 -1.05% 1,106,552
CCL Carnival Corporation Travel Services Consumer Cyclical USA 23.14B 17.72 -1.50% 24,911,476
MKC McCormick & Company, Incorporat Packaged Foods Consumer Defensive USA 23.65B 88.29 0.27% 1,098,799
KHC The Kraft Heinz Company Packaged Foods Consumer Defensive USA 44.57B 36.32 1.23% 12,944,891
NYT.A New York Times Company (The) Publishing Communication Services USA 6.68B 40.56 0.30% 691,103
EW Edwards Lifesciences Corporatio Medical Devices Healthcare USA 49.35B 80.38 -2.04% 3,495,317
CI The Cigna Group Healthcare Plans Healthcare USA 88.58B 299.40 1.27% 1,967,405
CAG ConAgra Brands, Inc. Packaged Foods Consumer Defensive USA 15.67B 32.84 0.83% 2,990,149
WB Weibo Corporation Internet Content & Information Communication Services China 3.38B 14.35 -5.28% 1,272,071
VMC Vulcan Materials Company (Holdi Building Materials Basic Materials USA 29.68B 223.08 -0.40% 1,302,851
NWSA News Corporation Entertainment Communication Services USA 11.29B 19.66 -0.76% 1,616,168
CLF Cleveland-Cliffs Inc. Steel Basic Materials USA 8.61B 16.71 -5.43% 9,226,570
NUE Nucor Corporation Steel Basic Materials USA 42.60B 169.59 -1.97% 1,675,422
CHRW C.H. Robinson Worldwide, Inc. Integrated Freight & Logistics Industrials USA 11.35B 97.44 -1.96% 1,334,046
RL Ralph Lauren Corporation Apparel Manufacturing Consumer Cyclical USA 8.58B 131.48 -0.24% 700,092
MCK McKesson Corporation Medical Distribution Healthcare USA 55.98B 413.07 1.99% 1,405,784
LEN Lennar Corporation Residential Construction Consumer Cyclical USA 35.58B 125.19 -1.43% 1,456,360
KKR KKR & Co. Inc. Asset Management Financial Services USA 66.23B 58.91 -1.37% 1,790,351