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SNP 500 Stocks
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List of SNP 500 Stocks
MSFTMicrosoft Corporation3,141,936,960,000.00 420.72
AAPLApple Inc2,671,082,398,680.00 171.48
NVDANVIDIA Corp2,253,478,640,000.00 903.56
GOOGAlphabet Inc - Ordinary Shares - Class C1,958,688,256,394.64 152.26
GOOGLAlphabet Inc - Ordinary Shares - Class A1,920,324,025,851.66 150.93
AMZNAmazon.com Inc.1,892,546,960,000.00 180.38
METAMeta Platforms Inc - Ordinary Shares - Class A1,276,589,820,000.00 485.58
LLYLilly(Eli) & Co702,718,820,640.00 777.96
AVGOBroadcom Inc618,966,470,000.00 1,325.41
TSLATesla Inc612,628,150,000.00 175.79
JPMJPMorgan Chase & Co.589,502,930,000.00 200.30
WMTWalmart Inc487,858,360,000.00 60.17
XOMExxon Mobil Corp.471,004,480,000.00 116.24
UNHUnitedhealth Group Inc464,028,600,000.00 494.70
MAMastercard Incorporated - Ordinary Shares - Class A455,565,220,000.00 481.57
JNJJohnson & Johnson405,029,676,000.00 158.19
PGProcter & Gamble Co.400,497,900,000.00 162.25
HDHome Depot, Inc.384,367,200,000.00 383.60
ORCLOracle Corp.354,094,590,000.00 125.61
MRKMerck & Co Inc336,076,650,000.00 131.95
COSTCostco Wholesale Corp325,840,123,020.00 732.63
ABBVAbbvie Inc322,863,300,000.00 182.10
BACBank Of America Corp.306,412,560,000.00 37.92
CVXChevron Corp.296,551,200,000.00 157.74
CRMSalesforce Inc296,361,120,000.00 301.18
AMDAdvanced Micro Devices Inc.293,296,250,000.00 180.49
NFLXNetflix Inc.272,993,620,340.00 607.33
KOCoca-Cola Co265,460,020,000.00 61.18
PEPPepsiCo Inc242,038,830,000.00 175.01
ADBEAdobe Inc230,248,980,000.00 504.60
LINLinde Plc.228,580,092,800.00 464.32
TMOThermo Fisher Scientific Inc.225,509,480,000.00 581.21
DISWalt Disney Co (The)224,530,600,000.00 122.36
ACNAccenture plc - Ordinary Shares - Class A220,720,490,310.54 346.61
WFCWells Fargo & Co.215,634,384,000.00 57.96
CSCOCisco Systems, Inc.203,283,430,000.00 49.91
ABTAbbott Laboratories198,791,340,000.00 113.66
TMUST-Mobile US Inc195,910,724,010.08 163.22
GEGeneral Electric Co.192,907,470,000.00 175.53
QCOMQualcomm, Inc.190,801,100,000.00 169.30
CATCaterpillar Inc.188,198,448,000.00 366.43
INTCIntel Corp.186,044,040,000.00 44.17
DHRDanaher Corp.185,566,932,000.00 249.72
INTUIntuit Inc184,600,000,000.00 650.00
CMCSAComcast Corp - Ordinary Shares - Class A179,815,800,000.00 43.35
VZVerizon Communications Inc176,861,400,000.00 41.96
IBMInternational Business Machines Corp.176,079,218,194.88 190.96
AMATApplied Materials Inc.172,614,510,000.00 206.23
AXPAmerican Express Co.167,579,840,000.00 227.69
UBERUber Technologies Inc161,046,296,180.00 76.99
TXNTexas Instruments Inc.159,576,360,000.00 174.21
PFEPfizer Inc.158,424,750,000.00 27.75
NOWServiceNow Inc156,742,578,400.00 762.40
MSMorgan Stanley154,987,360,000.00 94.16
COPConoco Phillips153,499,680,000.00 127.28
AMGNAMGEN Inc.152,964,160,000.00 284.32
UNPUnion Pacific Corp.150,066,486,000.00 245.93
LOWLowe`s Cos., Inc.148,762,320,000.00 254.73
GSGoldman Sachs Group, Inc.144,437,202,000.00 417.69
NKENike, Inc. - Ordinary Shares - Class B143,986,758,000.00 93.98
ISRGIntuitive Surgical Inc142,634,766,000.00 399.09
PMPhilip Morris International Inc142,285,860,000.00 91.62
RTXRTX Corp139,994,562,000.00 97.53
SYKStryker Corp.137,314,719,000.00 357.87
HONHoneywell International Inc137,148,050,000.00 205.25
SPGIS&P Global Inc135,676,005,000.00 425.45
BKNGBooking Holdings Inc132,526,456,400.00 3,627.88
SCHWCharles Schwab Corp.132,454,540,000.00 72.34
MUMicron Technology Inc.131,329,460,000.00 117.89
NEENextEra Energy Inc129,788,428,000.00 63.91
LRCXLam Research Corp.128,460,985,400.00 971.57
UPSUnited Parcel Service, Inc. - Ordinary Shares - Class B127,821,800,000.00 148.63
TAT&T, Inc.127,740,800,000.00 17.60
BLKBlackrock Inc.125,643,968,198.70 833.70
ETNEaton Corporation plc125,415,948,000.00 312.68
PLDPrologis Inc123,942,224,020.00 130.22
CCitigroup Inc123,684,792,000.00 63.24
ELVElevance Health Inc123,101,396,000.00 518.54
PGRProgressive Corp.121,506,750,000.00 206.82
TJXTJX Companies, Inc.117,444,360,000.00 101.42
BABoeing Co.116,913,342,000.00 192.99
MDTMedtronic Plc116,057,655,000.00 87.15
DEDeere & Co.115,459,014,000.00 410.74
LMTLockheed Martin Corp.114,263,344,000.00 454.87
BMYBristol-Myers Squibb Co.112,689,940,000.00 54.23
REGNRegeneron Pharmaceuticals, Inc.109,435,113,000.00 962.49
ABNBAirbnb Inc - Ordinary Shares - Class A109,203,520,000.00 164.96
VRTXVertex Pharmaceuticals, Inc.108,891,605,000.00 418.01
CICigna Group (The)107,824,573,580.00 363.19
CBChubb Limited107,332,311,445.84 259.13
SBUXStarbucks Corp.104,239,434,000.00 91.39
ADPAutomatic Data Processing Inc.103,017,750,000.00 249.74
CVSCVS Health Corp102,890,400,000.00 79.76
MMCMarsh & McLennan Cos., Inc.102,784,020,000.00 205.98
PANWPalo Alto Networks Inc101,576,475,000.00 284.13
BSXBoston Scientific Corp.100,235,115,000.00 68.49
BXBlackstone Inc99,239,516,992.32 131.37
ADIAnalog Devices Inc.98,645,982,390.00 197.79
FIFiserv, Inc.98,433,138,000.00 159.82
MDLZMondelez International Inc. - Ordinary Shares - Class A95,900,000,000.00 70.00
KLACKLA Corp.95,182,956,780.00 698.57
AMTAmerican Tower Corp.92,306,539,580.00 197.59
HCAHCA Healthcare Inc92,191,694,360.00 333.53
GILDGilead Sciences, Inc.92,148,500,000.00 73.25
ANETArista Networks Inc91,962,807,300.00 289.98
SHWSherwin-Williams Co.89,715,339,000.00 347.33
SNPSSynopsys, Inc.88,773,381,000.00 571.50
WMWaste Management, Inc.86,730,735,000.00 213.15
CDNSCadence Design Systems, Inc.84,900,997,440.00 311.28
MPCMarathon Petroleum Corp82,413,500,000.00 201.50
TGTTarget Corp82,012,788,000.00 177.21
ITWIllinois Tool Works, Inc.81,464,988,000.00 268.33
CMGChipotle Mexican Grill80,546,596,700.00 2,906.77
SLBSchlumberger Ltd.79,090,830,000.00 54.81
SOSouthern Company78,770,520,000.00 71.74
ZTSZoetis Inc - Ordinary Shares - Class A78,220,537,490.00 169.21
GDGeneral Dynamics Corp.77,889,555,250.00 282.49
ICEIntercontinental Exchange Inc77,647,950,000.00 137.43
EQIXEquinix Inc77,588,447,970.00 825.33
MOAltria Group Inc.77,512,740,000.00 43.62
CMECME Group Inc - Ordinary Shares - Class A77,396,755,000.00 215.29
MARMarriott International, Inc. - Ordinary Shares - Class A76,424,699,000.00 252.31
CLColgate-Palmolive Co.74,669,460,000.00 90.05
EOGEOG Resources, Inc.74,658,560,000.00 127.84
CSXCSX Corp.74,621,910,000.00 37.07
DUKDuke Energy Corp.74,563,410,000.00 96.71
PYPLPayPal Holdings Inc74,157,930,000.00 66.99
PSXPhillips 6674,027,321,400.00 163.34
NOCNorthrop Grumman Corp.72,756,320,000.00 478.66
PHParker-Hannifin Corp.72,456,870,012.29 555.79
FDXFedex Corp72,435,000,000.00 289.74
MCOMoody`s Corp.72,317,520,000.00 393.03
BDXBecton Dickinson & Co.72,106,435,100.00 247.45
APHAmphenol Corp. - Ordinary Shares - Class A71,586,210,000.00 115.35
MCKMckesson Corporation71,562,105,000.00 536.85
TDGTransdigm Group Incorporated71,063,320,000.00 1,231.60
CTASCintas Corporation70,946,839,980.00 687.03
TTTrane Technologies plc - Ordinary Shares - Class A69,256,140,000.00 300.20
USBU.S. Bancorp.68,972,100,000.00 44.70
ORLYO`Reilly Automotive, Inc.68,859,422,240.00 1,128.88
AONAon plc. - Ordinary Shares - Class A68,412,600,000.00 333.72
FCXFreeport-McMoRan Inc67,849,860,000.00 47.02
ECLEcolab, Inc.66,152,850,000.00 230.90
PCARPaccar Inc.65,042,250,000.00 123.89
EMREmerson Electric Co.65,023,686,000.00 113.42
PNCPNC Financial Services Group Inc64,801,600,000.00 161.60
NXPINXP Semiconductors NV64,759,644,900.00 247.77
PXDPioneer Natural Resources Co.63,525,000,000.00 262.50
MNSTMonster Beverage Corp.62,717,113,680.00 59.28
OXYOccidental Petroleum Corp.62,448,891,000.00 64.99
GMGeneral Motors Company62,084,150,000.00 45.35
MSIMotorola Solutions Inc61,092,058,000.00 354.98
RSGRepublic Services, Inc.60,629,048,000.00 191.44
VLOValero Energy Corp.60,253,570,000.00 170.69
ROPRoper Technologies Inc60,234,216,000.00 560.84
CEGConstellation Energy Corporation59,891,400,000.00 184.85
DXCMDexcom Inc59,016,850,000.00 138.70
MMM3M Co.58,752,173,000.00 106.07
SMCISuper Micro Computer Inc58,660,522,340.00 1,010.03
EWEdwards Lifesciences Corp58,234,264,000.00 95.56
NSCNorfolk Southern Corp.57,957,438,000.00 254.87
COFCapital One Financial Corp.57,084,426,000.00 148.89
AIGAmerican International Group Inc56,691,468,925.56 78.17
METMetlife Inc56,494,053,000.00 74.11
CPRTCopart, Inc.56,448,194,880.00 57.92
HLTHilton Worldwide Holdings Inc56,313,840,000.00 213.31
ADSKAutodesk Inc.56,250,720,000.00 260.42
AZOAutozone Inc.56,187,616,200.00 3,151.65
ELEstee Lauder Cos., Inc. - Ordinary Shares - Class A55,494,000,000.00 154.15
DHID.R. Horton Inc.55,239,435,000.00 164.55
APDAir Products & Chemicals Inc.53,977,756,000.00 242.27
FTNTFortinet Inc53,841,942,000.00 68.31
AJGArthur J. Gallagher & Co.53,733,596,000.00 250.04
FFord Motor Co.53,664,480,000.00 13.28
TRVTravelers Companies Inc.53,438,508,000.00 230.14
TFCTruist Financial Corporation51,919,917,740.00 38.98
AFLAflac Inc.51,408,245,700.00 85.86
SPGSimon Property Group, Inc.51,142,078,445.74 156.49
PSAPublic Storage.51,092,038,580.00 290.06
GWWW.W. Grainger Inc.50,966,730,000.00 1,017.30
LULULululemon Athletica inc.49,635,989,000.00 390.65
CARRCarrier Global Corp49,584,890,000.00 58.13
NUENucor Corp.49,556,534,800.00 197.90
URIUnited Rentals, Inc.49,547,468,100.00 721.11
ROSTRoss Stores, Inc.49,349,664,360.00 146.76
CORCencora Inc.49,044,372,630.00 242.99
MCHPMicrochip Technology, Inc.49,026,515,000.00 89.71
LENLennar Corp. - Ordinary Shares - Class A48,725,201,620.00 171.98
WELLWelltower Inc.48,467,421,440.00 93.44
WMBWilliams Cos Inc47,649,203,550.00 38.97
AMPAmeriprise Financial Inc47,263,832,000.00 438.44
IQVIQVIA Holdings Inc47,113,407,000.00 252.89
HESHess Corporation46,952,064,000.00 152.64
CCICrown Castle Inc45,930,220,000.00 105.83
KHCKraft Heinz Co45,571,500,000.00 36.90
TELTE Connectivity Ltd - Registered Shares45,460,120,000.00 145.24
SRESempra45,449,211,390.00 71.83
ALLAllstate Corp (The)45,415,125,000.00 173.01
BKBank Of New York Mellon Corp45,392,920,760.00 57.62
IDXXIdexx Laboratories, Inc.45,342,241,540.00 539.93
AEPAmerican Electric Power Company Inc.44,789,758,813.80 86.10
MSCIMSCI Inc44,748,009,350.00 560.45
JCIJohnson Controls International plc - Registered Shares44,574,368,000.00 65.32
DLRDigital Realty Trust Inc44,517,722,600.00 144.04
PAYXPaychex Inc.44,465,880,000.00 122.80
FASTFastenal Co.44,201,884,021.12 77.14
CHTRCharter Communications Inc. - Ordinary Shares - Class A44,165,969,547.19 290.63
FISFidelity National Information Services, Inc.43,840,380,000.00 74.18
KMBKimberly-Clark Corp.43,823,780,000.00 129.35
KDPKeurig Dr Pepper Inc43,195,628,000.00 30.67
HUMHumana Inc.43,146,183,520.00 346.72
CNCCentene Corp.42,826,849,920.00 78.48
PRUPrudential Financial Inc.42,804,040,000.00 117.40
AAgilent Technologies Inc.42,779,940,000.00 145.51
AMEAmetek Inc42,342,996,100.00 182.90
CMICummins Inc.42,046,555,000.00 294.65
GEHCGE HealthCare Technologies Inc41,636,780,000.00 90.91
KRKroger Co.41,419,250,000.00 57.13
OTISOtis Worldwide Corp41,157,342,000.00 99.27
DDominion Energy Inc41,147,435,000.00 49.19
DOWDow Inc41,072,370,000.00 57.93
SYYSysco Corp.41,071,343,983.56 81.18
CTVACorteva Inc41,055,273,000.00 57.67
KMIKinder Morgan Inc - Ordinary Shares - Class P40,971,560,000.00 18.34
MRNAModerna Inc40,705,920,000.00 106.56
LHXL3Harris Technologies Inc40,616,860,000.00 213.10
GISGeneral Mills, Inc.40,078,816,000.00 69.97
KVUEKenvue Inc39,707,974,500.00 21.46
LVSLas Vegas Sands Corp39,550,500,000.00 51.70
YUMYum Brands Inc.39,515,250,000.00 138.65
RCLRoyal Caribbean Group39,339,830,000.00 139.01
CSGPCostar Group, Inc.39,306,540,000.00 96.60
OKEOneok Inc.38,914,518,000.00 80.17
IRIngersoll-Rand Inc38,834,550,000.00 94.95
PWRQuanta Services, Inc.38,664,215,400.00 259.80
MLMMartin Marietta Materials, Inc.38,125,674,000.00 613.94
ITGartner, Inc.37,981,065,600.00 476.67
ORealty Income Corp.37,492,598,400.00 54.10
EXCExelon Corp.37,457,290,000.00 37.57
CTSHCognizant Technology Solutions Corp. - Ordinary Shares - Class A37,011,450,000.00 73.29
VMCVulcan Materials Co36,489,404,000.00 272.92
EAElectronic Arts, Inc.35,953,570,000.00 132.67
PCGPG&E Corp.35,832,880,000.00 16.76
FANGDiamondback Energy Inc35,670,401,830.00 198.17
HALHalliburton Co.35,556,840,000.00 39.42
ACGLArch Capital Group Ltd35,016,272,000.00 92.44
GPNGlobal Payments, Inc.34,978,554,680.00 133.66
CDWCDW Corp34,862,814,000.00 255.78
VRSKVerisk Analytics Inc34,731,552,761.07 235.73
DDDuPont de Nemours Inc34,593,504,000.00 76.67
PPGPPG Industries, Inc.34,370,280,000.00 144.90
DGDollar General Corp.34,323,524,280.00 156.06
BKRBaker Hughes Co - Ordinary Shares - Class A34,078,795,814.50 33.50
ADMArcher Daniels Midland Co.34,043,020,000.00 62.81
ROKRockwell Automation Inc33,561,216,000.00 291.33
LYBLyondellBasell Industries NV - Ordinary Shares - Class A33,477,759,278.20 102.28
PEGPublic Service Enterprise Group Inc.33,390,000,000.00 66.78
DFSDiscover Financial Services33,296,860,000.00 131.09
EFXEquifax, Inc.33,145,728,000.00 267.52
MPWRMonolithic Power System Inc33,038,450,820.00 677.42
ONON Semiconductor Corp.32,862,140,000.00 73.55
DVNDevon Energy Corp.32,215,560,000.00 50.18
HIGHartford Financial Services Group Inc.32,100,075,000.00 103.05
NDAQNasdaq Inc - Ordinary Shares - 144A32,079,597,164.20 63.10
EDConsolidated Edison, Inc.31,719,933,000.00 90.81
FICOFair Isaac Corp.31,513,914,590.00 1,249.61
BIIBBiogen Inc31,395,728,000.00 215.63
DALDelta Air Lines, Inc.30,780,410,000.00 47.87
FTVFortive Corp30,588,712,000.00 86.02
CBRECBRE Group Inc - Ordinary Shares - Class A30,392,453,600.08 97.24
ANSSAnsys Inc. - Registered Shares30,336,923,760.00 347.16
HPQHP Inc30,280,440,000.00 30.22
VICIVICI Properties Inc30,259,996,830.00 29.79
NEMNewmont Corp30,141,440,000.00 35.84
WSTWest Pharmaceutical Services, Inc.29,796,963,000.00 395.71
XELXcel Energy, Inc.29,670,000,000.00 53.75
MTDMettler-Toledo International, Inc.29,250,475,511.12 1,331.29
DLTRDollar Tree Inc29,226,425,000.00 133.15
RMDResmed Inc.29,218,336,350.00 198.03
WTWWillis Towers Watson Public Limited Co29,150,000,000.00 275.00
TSCOTractor Supply Co.28,722,723,120.00 261.72
HWMHowmet Aerospace Inc28,466,880,000.00 68.43
GLWCorning, Inc.28,312,640,000.00 32.96
XYLXylem Inc28,200,168,000.00 129.24
EBAYEBay Inc.28,131,740,000.00 52.78
NVRNVR Inc.27,825,743,988.24 8,099.96
ZBHZimmer Biomet Holdings Inc27,676,206,000.00 131.98
CAHCardinal Health, Inc.27,527,400,000.00 111.90
KEYSKeysight Technologies Inc27,522,880,000.00 156.38
RJFRaymond James Financial, Inc.27,456,196,000.00 128.42
TROWT. Rowe Price Group Inc.27,407,616,000.00 121.92
EIXEdison International27,231,050,000.00 70.73
BLDRBuilders Firstsource Inc26,902,532,900.00 208.55
PHMPulteGroup Inc26,676,681,060.00 120.62
WYWeyerhaeuser Co.26,294,092,020.00 35.91
AVBAvalonbay Communities Inc.26,283,421,301.28 185.56
WABWestinghouse Air Brake Technologies Corp26,149,560,000.00 145.68
WECWEC Energy Group Inc25,941,708,000.00 82.12
ULTAUlta Beauty Inc25,932,756,480.00 522.88
CHDChurch & Dwight Co., Inc.25,827,156,000.00 104.31
FITBFifth Third Bancorp25,600,480,000.00 37.21
TRGPTarga Resources Corp25,309,740,000.00 111.99
TTWOTake-Two Interactive Software, Inc.25,287,847,000.00 148.49
STTState Street Corp.25,250,237,760.00 77.32
ALGNAlign Technology, Inc.25,108,178,560.00 327.92
DOVDover Corp.24,912,736,810.00 177.19
EXRExtra Space Storage Inc.24,875,469,654.00 147.00
STLDSteel Dynamics Inc.24,818,297,130.00 148.23
BF.BBrown-Forman Corp. - Ordinary Shares - Class B24,798,712,580.00 51.62
BROBrown & Brown, Inc.24,581,232,000.00 87.54
EQREquity Residential Properties Trust24,510,283,140.00 63.11
LYVLive Nation Entertainment Inc24,430,471,771.02 105.77
BRBroadridge Financial Solutions, Inc.24,398,826,000.00 204.86
DECKDeckers Outdoor Corp.24,294,861,860.00 941.26
MTBM & T Bank Corp24,288,770,880.00 145.44
ODFLOld Dominion Freight Line, Inc.24,143,884,393.72 219.31
MOHMolina Healthcare Inc23,869,223,000.00 410.83
AXONAxon Enterprise Inc23,608,673,280.00 312.88
SBACSBA Communications Corp - Ordinary Shares - Class A23,600,146,900.00 216.70
AWKAmerican Water Works Co. Inc.23,586,530,000.00 122.21
IRMIron Mountain Inc.23,578,932,650.00 80.21
HPEHewlett Packard Enterprise Co23,332,680,000.00 17.73
DTEDTE Energy Co.23,100,840,000.00 112.14
PTCPTC Inc22,720,035,000.00 188.94
ROLRollins, Inc.22,678,315,100.00 46.27
FLTFleetcor Technologies Inc22,558,601,620.00 303.26
APTVAptiv PLC22,531,392,000.00 79.65
ETREntergy Corp.22,446,432,000.00 105.68
HUBBHubbell Inc.22,412,700,000.00 415.05
STESteris Plc22,336,766,280.00 224.82
WDCWestern Digital Corp.22,178,000,000.00 68.24
FEFirstenergy Corp.22,167,880,000.00 38.62
NTAPNetapp Inc22,148,670,000.00 104.97
AREAlexandria Real Estate Equities Inc.22,031,879,190.00 128.91
IFFInternational Flavors & Fragrances Inc.21,927,450,000.00 85.99
VLTOVeralto Corp21,881,288,000.00 88.66
GPCGenuine Parts Co.21,850,397,620.00 154.93
INVHInvitation Homes Inc21,839,210,891.88 35.61
ILMNIllumina Inc21,696,560,000.00 137.32
BAXBaxter International Inc.21,626,440,000.00 42.74
BALLBall Corp.21,354,601,920.00 67.36
WBDWarner Bros. Discovery Inc - Ordinary Shares - Class A21,266,280,000.00 8.73
CTRACoterra Energy Inc21,188,800,000.00 27.88
PFGPrincipal Financial Group Inc - Registered Shares21,111,426,000.00 86.31
ESEversource Energy20,909,965,549.37 59.77
TSNTyson Foods, Inc. - Ordinary Shares - Class A20,849,150,000.00 58.73
JBHTJ.B. Hunt Transport Services, Inc.20,811,861,750.00 199.25
MKCMcCormick & Co., Inc. - Ordinary Shares (Non Voting)20,707,976,000.00 76.81
EXPEExpedia Group Inc20,693,907,000.00 137.75
CCLCarnival Corp. - Ordinary Shares (Paired Stock)20,653,760,000.00 16.34
TDYTeledyne Technologies Inc20,564,428,000.00 429.32
HBANHuntington Bancshares, Inc.20,478,823,200.00 13.95
WATWaters Corp.20,402,512,100.00 344.23
PPLPPL Corp20,321,709,980.00 27.53
COOCooper Companies, Inc.20,281,854,000.00 101.46
DRIDarden Restaurants, Inc.20,191,720,000.00 167.15
RFRegions Financial Corp.19,735,520,000.00 21.04
KKellanova Co19,707,760,000.00 57.29
CINFCincinnati Financial Corp.19,631,277,000.00 124.17
VRSNVerisign Inc.19,614,285,000.00 189.51
CBOECboe Global Markets Inc.19,512,126,000.00 183.73
JJacobs Solutions Inc19,494,962,490.00 153.73
OMCOmnicom Group, Inc.19,487,464,000.00 96.76
AEEAmeren Corp.19,481,064,000.00 73.96
STXSeagate Technology Holdings Plc19,447,450,000.00 93.05
TXTTextron Inc.19,356,179,820.00 95.93
LHLaboratory Corp. Of America Holdings19,137,096,000.00 218.46
HRLHormel Foods Corp.19,116,928,800.00 34.89
CLXClorox Co.19,080,568,200.00 153.11
CECelanese Corp - Ordinary Shares - Series A18,797,989,055.04 171.86
HOLXHologic, Inc.18,727,083,440.00 77.96
WBAWalgreens Boots Alliance Inc18,707,625,000.00 21.69
LUVSouthwest Airlines Co18,681,600,000.00 29.19
TERTeradyne, Inc.18,538,420,320.00 112.83
IEXIdex Corporation18,521,118,000.00 244.02
NTRSNorthern Trust Corp.18,456,568,294.32 88.92
SYFSynchrony Financial18,261,320,000.00 43.12
EXPDExpeditors International Of Washington, Inc.18,258,112,020.00 121.57
TYLTyler Technologies, Inc.18,177,252,690.00 425.01
FSLRFirst Solar Inc18,124,393,600.00 168.80
AVYAvery Dennison Corp.18,105,575,000.00 223.25
LDOSLeidos Holdings Inc18,090,420,000.00 131.09
CNPCenterpoint Energy Inc.18,039,269,710.00 28.49
BBYBest Buy Co. Inc.17,923,555,000.00 82.03
LLoews Corp.17,835,244,900.00 78.29
MASMasco Corp.17,826,880,000.00 78.88
ATOAtmos Energy Corp.17,806,250,520.00 118.87
JBLJabil Inc17,694,795,000.00 133.95
VTRVentas Inc17,662,871,800.00 43.54
CMSCMS Energy Corporation17,601,178,000.00 60.34
DPZDominos Pizza Inc17,590,204,403.44 496.88
FDSFactset Research Systems Inc.17,558,992,770.00 454.39
SWKSSkyworks Solutions, Inc.17,439,520,000.00 108.32
ENPHEnphase Energy Inc17,335,224,200.00 120.98
CFGCitizens Financial Group Inc17,299,194,340.92 36.29
MROMarathon Oil Corporation17,230,720,000.00 28.34
PKGPackaging Corp Of America16,985,310,000.00 189.78
MGMMGM Resorts International16,930,780,670.00 47.21
AKAMAkamai Technologies Inc16,900,977,720.00 108.76
EGEverest Group Ltd16,416,750,000.00 397.50
EPAMEPAM Systems Inc16,316,913,600.00 276.16
CFCF Industries Holdings Inc16,126,098,000.00 83.21
TRMBTrimble Inc16,032,076,000.00 64.36
SNASnap-on, Inc.15,966,258,000.00 296.22
UALUnited Airlines Holdings Inc15,891,372,000.00 47.88
NDSNNordson Corp.15,801,149,700.00 274.54
POOLPool Corporation15,735,289,500.00 403.50
ESSEssex Property Trust, Inc.15,729,871,181.85 244.81
NWSNews Corp - Ordinary Shares - Class B15,635,268,000.00 27.06
ZBRAZebra Technologies Corp. - Ordinary Shares - Class A15,587,752,385.28 301.44
FOXFox Corporation - Ordinary Shares - Class B15,540,660,000.00 28.62
ALBAlbemarle Corp.15,514,492,840.00 131.74
LWLamb Weston Holdings Inc15,500,115,000.00 106.53
BGBunge Global SA15,458,777,250.84 102.52
NRGNRG Energy Inc.15,433,320,000.00 67.69
MAAMid-America Apartment Communities, Inc.15,348,149,100.00 131.58
EQTEQT Corp15,318,213,680.00 37.07
FOXAFox Corporation - Ordinary Shares - Class A15,072,140,000.00 31.27
DGXQuest Diagnostics, Inc.15,041,430,000.00 133.11
NWSANews Corp - Ordinary Shares - Class A15,014,230,000.00 26.18
KEYKeycorp14,746,919,790.00 15.81
HSTHost Hotels & Resorts Inc14,740,704,000.00 20.68
SWKStanley Black & Decker Inc14,665,115,430.00 97.93
TAPMolson Coors Beverage Company - Ordinary Shares - Class B14,613,425,000.00 67.25
GENGen Digital Inc14,448,000,000.00 22.40
LKQLKQ Corp14,329,903,000.00 53.41
CAGConagra Brands Inc14,221,272,000.00 29.64
PNRPentair plc14,208,672,000.00 85.44
CRLCharles River Laboratories International Inc.13,940,648,450.00 270.95
KMXCarmax Inc13,832,980,890.00 87.11
BENFranklin Resources, Inc.13,714,869,000.00 28.11
AMCRAmcor Plc13,694,400,000.00 9.51
IPInternational Paper Co.13,621,882,000.00 39.02
AOSA.O. Smith Corp.13,509,853,250.04 89.46
SJMJ.M. Smucker Co.13,411,281,470.51 125.87
CPBCampbell Soup Co.13,290,550,000.00 44.45
RVTYRevvity Inc.13,105,260,000.00 105.00
VTRSViatris Inc13,062,360,000.00 11.94
INCYIncyte Corp.12,871,118,160.00 56.97
DVADaVita Inc12,863,775,100.00 138.05
UHSUniversal Health Services, Inc. - Ordinary Shares - Class B12,795,007,500.00 182.46
LNTAlliant Energy Corp.12,766,320,000.00 50.40
AESAES Corp.12,766,160,000.00 17.93
WRKWestRock Co12,708,650,000.00 49.45
JKHYJack Henry & Associates, Inc.12,679,510,320.00 173.73
PODDInsulet Corporation12,620,696,200.00 171.40
IPGInterpublic Group Of Cos., Inc.12,591,917,000.00 32.63
RLRalph Lauren Corp - Ordinary Shares - Class A12,392,160,000.00 187.76
NINiSource Inc12,388,914,000.00 27.66
UDRUDR Inc12,311,780,640.00 37.41
EVRGEvergy Inc12,304,090,000.00 53.38
KIMKimco Realty Corporation12,122,882,390.00 19.61
JNPRJuniper Networks Inc12,077,854,000.00 37.06
EMNEastman Chemical Co11,966,268,000.00 100.22
ALLEAllegion plc11,894,893,000.00 134.71
HIIHuntington Ingalls Industries Inc11,629,653,000.00 291.47
PAYCPaycom Software Inc11,537,405,740.00 199.01
WYNNWynn Resorts Ltd.11,537,166,650.00 102.23
BBWIBath & Body Works Inc11,454,580,000.00 50.02
FFIVF5 Inc11,309,612,270.00 189.59
TECHBio-Techne Corp11,266,623,400.00 70.39
GLGlobe Life Inc11,213,860,177.17 116.37
QRVOQorvo Inc11,155,964,160.00 114.83
AALAmerican Airlines Group Inc11,046,919,150.00 15.35
TPRTapestry Inc11,001,116,000.00 47.48
MOSMosaic Company10,815,672,000.00 32.46
CPTCamden Property Trust10,764,861,600.00 98.40
TFXTeleflex Incorporated10,698,745,680.00 226.17
REGRegency Centers Corporation10,672,215,674.40 60.56
MTCHMatch Group Inc. - Ordinary Shares - New10,640,343,520.00 36.28
APAAPA Corporation10,623,420,000.00 34.38
DAYDayforce Inc10,494,285,000.00 66.21
CTLTCatalent Inc.10,273,900,000.00 56.45
BXPBoston Properties, Inc.10,266,797,310.00 65.31
AIZAssurant Inc10,124,124,908.56 188.24
BIOBio-Rad Laboratories Inc. - Ordinary Shares - Class A10,102,516,830.00 345.87
HSICHenry Schein Inc.9,949,621,873.92 75.52
ETSYEtsy Inc9,630,792,300.32 68.72
CZRCaesars Entertainment Inc9,447,840,000.00 43.74
CHRWC.H. Robinson Worldwide, Inc.9,112,206,780.00 76.14
NCLHNorwegian Cruise Line Holdings Ltd8,945,499,769.57 20.93
PNWPinnacle West Capital Corp.8,504,572,920.00 74.73
RHIRobert Half Inc8,409,546,720.00 79.28
MHKMohawk Industries, Inc.8,332,064,730.00 130.89
FRTFederal Realty Investment Trust.8,303,683,560.00 102.12
MKTXMarketAxess Holdings Inc.8,255,639,500.00 219.25
BWABorgWarner Inc8,143,056,000.00 34.74
FMCFMC Corp.7,996,452,100.00 63.70
HASHasbro, Inc.7,844,976,000.00 56.52
GNRCGenerac Holdings Inc7,828,044,936.18 126.14
PARAParamount Global - Ordinary Shares - Class B7,662,270,000.00 11.77
IVZInvesco Ltd7,568,358,000.00 16.59
CMAComerica, Inc.7,313,670,000.00 54.99
XRAYDENTSPLY Sirona Inc7,036,280,000.00 33.19
VFCVF Corp.5,957,795,220.00 15.34
DOCHealthpeak Properties Inc.4,675,213,368.75 18.75
GRMNGarmin Ltd28,591,674.46 148.87
WRBW.R. Berkley Corp.24,170,475.12 88.44
MCDMcDonald`s Corp206,471.98 281.95
BRK.BBerkshire Hathaway Inc. - Ordinary Shares - Class B0.00 420.52
HSYHershey Company0.00 194.50
STZConstellation Brands Inc - Ordinary Shares - Class A0.00 271.76
VVisa Inc - Ordinary Shares - Class A0.00 279.08
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