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Ticker Company Industry Sector Country Market Cap Price Change Volume
NOKBF NOKIA OYJ Communication Equipment Technology Finland 21.93B 3.94 1.13% 7,261,771
KVUE Kenvue Inc. Household & Personal Products Consumer Defensive USA 45.77B 23.90 1.06% 15,999,131
GPN Global Payments Inc. Specialty Business Services Industrials USA 31.95B 121.96 1.00% 5,065,758
INVZ Innoviz Technologies Ltd. Auto Parts Consumer Cyclical Israel 554.83M 4.07 0.99% 7,291,685
KDP Keurig Dr Pepper Inc. Beverages - Non-Alcoholic Consumer Defensive USA 48.37B 34.46 0.97% 13,570,778
AQUA Evoqua Water Technologies Corp. Pollution & Treatment Controls Industrials USA 6.10B 49.88 0.95% 30,789,500
SJR Shaw Communications Inc. CATV Systems Services Canada 14.94B 30.18 0.90% 6,354,383
STON StoneMor Inc. Personal Services Consumer Cyclical USA 419.20M 3.53 0.86% 20,206,998
SBUX Starbucks Corporation Restaurants Consumer Cyclical USA 117.08B 102.13 0.86% 14,391,405
CNP CenterPoint Energy, Inc (Holdin Utilities - Regulated Electric Utilities USA 18.77B 29.74 0.85% 9,014,468
NI NiSource Inc Utilities - Regulated Gas Utilities USA 11.45B 27.71 0.84% 5,478,848
INFO IHS Markit Ltd. Consulting Services Industrials United Kingdom 43.34B 108.61 0.74% 29,945,829
UBER Uber Technologies, Inc. Software - Application Technology USA 95.04B 46.96 0.66% 36,167,739
AVTR Avantor, Inc. Specialty Chemicals Basic Materials USA 14.19B 21.02 0.62% 5,186,418
JNJ Johnson & Johnson Drug Manufacturers - General Healthcare USA 441.55B 169.91 0.60% 14,213,937
PLAN Anaplan, Inc. Software Technology USA 9.59B 63.73 0.58% 8,356,048
ABBV AbbVie Inc. Drug Manufacturers - General Healthcare USA 263.55B 149.38 0.57% 5,753,546
TGTX TG Therapeutics, Inc. Biotechnology Healthcare USA 1.58B 10.55 0.57% 12,845,372
FTI TechnipFMC plc Oil & Gas Equipment & Services Energy USA 7.95B 18.00 0.56% 6,318,297
APE AMC Entertainment Holdings, Inc Entertainment Communication Services USA 4.52B 1.81 0.56% 6,171,285
FB Meta Platforms, Inc. - - - 532.17B 196.64 0.51% 22,267,154
OCDX Ortho Clinical Diagnostics Hold Diagnostics & Research Healthcare USA 4.19B 17.63 0.46% 5,847,494
EBAY eBay Inc. Internet Retail Consumer Cyclical USA 23.40B 43.76 0.46% 5,370,786
BBD Banco Bradesco Sa Banks - Regional Financial Services Brazil 36.87B 3.47 0.40% 20,355,264
MRK Merck & Company, Inc. Drug Manufacturers - General Healthcare USA 268.21B 105.70 0.40% 10,865,850
RIG Transocean Ltd (Switzerland) Oil & Gas Drilling Energy Switzerland 6.44B 8.40 0.36% 13,770,118
XLP SPDR Select Sector Fund - Consu - - - 15.89B 75.61 0.36% 11,488,191
BMY Bristol-Myers Squibb Company Drug Manufacturers - General Healthcare USA 129.73B 61.75 0.36% 9,548,659
T AT&T Inc. Telecom Services Communication Services USA 102.59B 14.35 0.35% 41,710,604
KO Coca-Cola Company (The) Beverages - Non-Alcoholic Consumer Defensive USA 267.95B 61.96 0.31% 11,017,569
GPK Graphic Packaging Holding Compa Packaging & Containers Consumer Cyclical USA 7.24B 23.31 0.30% 5,238,762
SAIL SailPoint Technologies Holdings Software Technology USA 6.19B 65.24 0.25% 9,817,608
PG Procter & Gamble Company (The) Household & Personal Products Consumer Defensive USA 369.08B 156.59 0.22% 5,621,067
FPAC Far Peak Acquisition Corporatio Shell Companies Financial Services USA 712.15M 10.21 0.10% 9,508,272
WBD Warner Bros. Discovery, Inc. - Entertainment Communication Services USA 46.77B 19.27 0.10% 19,393,366
CVA Covanta Holding Corporation Waste Management Industrials USA 2.69B 20.26 0.10% 6,694,797
ACC American Campus Communities Inc REIT Real Estate USA 18.13B 65.42 0.08% 18,855,710
EXC Exelon Corporation Utilities - Regulated Electric Utilities USA 41.27B 41.50 0.07% 5,656,802
DCP DCP Midstream, LP Oil & Gas Midstream Energy USA 8.70B 41.69 0.07% 9,521,743
XLV SPDR Select Sector Fund - Healt - - - 26.36B 133.54 0.07% 12,922,200
LI Li Auto Inc. Auto Manufacturers Consumer Cyclical China 43.94B 44.40 0.07% 7,431,352
SGFY Signify Health, Inc. Health Information Services Healthcare USA 8.93B 30.49 0.07% 9,629,873
MDLA Medallia, Inc. Software Technology USA 5.47B 33.99 0.06% 6,011,112
SWCH Switch, Inc. Information Technology Services Technology USA 8.27B 34.25 0.06% 7,548,836
CLDR Cloudera, Inc. Software Technology USA 4.74B 15.99 0.06% 13,303,513
PSTH Pershing Square Tontine Holding Shell Companies Financial Services USA 4.03B 20.14 0.05% 18,155,880
AVLR Avalara, Inc. Software Technology USA 8.28B 93.48 0.03% 5,760,070
SC Santander Consumer USA Holdings Credit Services Financial Services USA 12.73B 41.60 0.02% 9,810,939