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SNP 500 Stocks
Top SNP 500 Stocks
List of SNP 500 Stocks
NVDANVIDIA Corp4,275,241,600,000.00 174.40
AAPLApple Inc3,758,720,249,240.00 253.79
GOOGAlphabet Inc - Ordinary Shares - Class C3,690,196,461,509.04 286.86
GOOGLAlphabet Inc - Ordinary Shares - Class A3,516,858,800,000.00 287.56
MSFTMicrosoft Corporation2,761,468,200,000.00 370.17
AMZNAmazon.com Inc.2,254,939,290,000.00 208.27
AVGOBroadcom Inc1,512,884,880,000.00 309.51
METAMeta Platforms Inc - Ordinary Shares - Class A1,472,662,620,000.00 572.13
TSLATesla Inc1,311,534,000,000.00 371.75
WMTWalmart Inc996,974,160,000.00 124.28
LLYLilly(Eli) & Co827,149,161,000.00 919.77
JPMJPMorgan Chase & Co.818,206,040,000.00 294.16
XOMExxon Mobil Corp.730,386,300,000.00 169.66
JNJJohnson & Johnson593,842,536,000.00 244.44
MAMastercard Incorporated - Ordinary Shares - Class A452,691,960,000.00 499.66
COSTCostco Wholesale Corp442,833,420,600.00 996.43
ORCLOracle Corp.428,384,320,000.00 147.11
NFLXNetflix Inc.417,662,427,450.00 96.15
MUMicron Technology Inc.385,813,280,000.00 337.84
ABBVAbbvie Inc385,609,770,000.00 217.49
CVXChevron Corp.384,006,400,000.00 206.90
PLTRPalantir Technologies Inc - Ordinary Shares - Class A375,237,017,160.00 146.28
BACBank Of America Corp.374,443,875,000.00 48.75
PGProcter & Gamble Co.350,122,560,000.00 144.44
CATCaterpillar Inc.334,605,658,000.00 708.46
AMDAdvanced Micro Devices Inc.332,811,480,000.00 203.43
KOCoca-Cola Co328,003,650,000.00 76.05
HDHome Depot, Inc.327,245,550,000.00 328.89
CSCOCisco Systems, Inc.309,118,560,000.00 77.59
GEGE Aerospace303,066,360,000.00 283.77
MRKMerck & Co Inc301,567,030,000.00 120.29
AMATApplied Materials Inc.273,090,210,000.00 341.79
LRCXLam Research Corp.269,583,154,740.00 213.66
GSGoldman Sachs Group, Inc.268,686,424,000.00 845.99
MSMorgan Stanley261,995,440,000.00 164.57
RTXRTX Corp261,649,560,000.00 192.90
WFCWells Fargo & Co.258,119,503,000.00 79.61
PMPhilip Morris International Inc257,599,720,000.00 165.34
UNHUnitedhealth Group Inc246,507,490,000.00 270.59
GEVGE Vernova Inc.240,920,400,000.00 872.90
TMUST-Mobile US Inc237,559,944,997.53 210.03
LINLinde Plc.234,095,393,200.00 495.76
IBMInternational Business Machines Corp.229,949,388,514.92 242.39
PEPPepsiCo Inc213,213,170,000.00 155.29
CCitigroup Inc212,428,271,000.00 113.41
VZVerizon Communications Inc212,396,200,000.00 50.20
AXPAmerican Express Co.210,526,080,000.00 302.48
TAT&T, Inc.208,119,210,000.00 28.99
INTCIntel Corp.199,908,900,000.00 44.13
KLACKLA Corp.194,371,371,690.00 1,472.41
NEENextEra Energy Inc192,317,328,000.00 92.88
AMGNAMGEN Inc.190,702,700,000.00 351.85
TMOThermo Fisher Scientific Inc.185,798,340,000.00 491.53
TJXTJX Companies, Inc.180,141,600,000.00 159.70
ABTAbbott Laboratories179,467,160,000.00 102.67
CRMSalesforce Inc178,456,520,000.00 186.67
TXNTexas Instruments Inc.177,249,820,000.00 194.14
GILDGilead Sciences, Inc.174,909,350,000.00 139.37
DISWalt Disney Co (The)172,809,340,000.00 96.38
SCHWCharles Schwab Corp.170,009,820,000.00 93.98
ISRGIntuitive Surgical Inc167,201,073,000.00 460.99
COPConoco Phillips165,454,872,000.00 132.00
APHAmphenol Corp. - Ordinary Shares - Class A161,412,125,000.00 126.35
PFEPfizer Inc.160,421,040,000.00 28.08
ANETArista Networks Inc156,630,446,000.00 122.78
ADIAnalog Devices Inc.156,415,439,840.00 318.14
DEDeere & Co.152,597,970,000.00 563.30
UBERUber Technologies Inc152,469,229,770.00 71.93
BABoeing Co.151,720,569,000.00 199.03
HONHoneywell International Inc145,292,084,000.00 226.03
UNPUnion Pacific Corp.144,577,258,000.00 242.62
BLKBlackrock Inc.143,967,987,000.00 961.71
LMTLockheed Martin Corp.141,125,065,000.00 604.39
ETNEaton Corporation plc139,920,504,000.00 357.67
QCOMQualcomm, Inc.138,953,620,000.00 128.78
BKNGBooking Holdings Inc137,420,627,952.20 4,210.32
APPApplovin Corp - Ordinary Shares - Class A136,104,060,000.00 398.00
DHRDanaher Corp.135,772,560,000.00 189.60
WELLWelltower Inc.134,348,096,910.00 197.71
LOWLowe`s Cos., Inc.132,316,800,000.00 236.28
CBChubb Limited130,865,242,254.34 325.93
SPGIS&P Global Inc129,771,234,000.00 425.34
SYKStryker Corp.127,000,035,000.00 328.59
PLDPrologis Inc126,474,053,760.00 132.18
BMYBristol-Myers Squibb Co.123,665,350,000.00 60.65
ACNAccenture plc - Ordinary Shares - Class A123,463,462,276.39 198.29
INTUIntuit Inc121,066,400,000.00 432.38
NEMNewmont Corp119,941,000,000.00 108.25
GLWCorning, Inc.118,429,870,000.00 135.97
PGRProgressive Corp.116,584,944,000.00 198.24
VRTXVertex Pharmaceuticals, Inc.115,207,320,000.00 446.54
PHParker-Hannifin Corp.114,680,244,000.00 895.24
PANWPalo Alto Networks Inc113,987,520,000.00 160.32
HCAHCA Healthcare Inc113,338,613,800.00 473.24
DELLDell Technologies Inc - Ordinary Shares - Class C112,264,920,000.00 164.13
MDTMedtronic Plc111,735,175,000.00 86.65
MOAltria Group Inc.111,061,170,000.00 65.99
NOWServiceNow Inc109,431,544,050.00 104.55
MCKMckesson Corporation107,045,032,000.00 865.36
SOSouthern Company107,040,680,000.00 96.52
CMCSAComcast Corp - Ordinary Shares - Class A106,485,390,000.00 28.71
CMECME Group Inc - Ordinary Shares - Class A106,417,558,500.00 295.35
WDCWestern Digital Corp.103,056,690,000.00 270.49
SBUXStarbucks Corp.102,302,821,000.00 89.59
DUKDuke Energy Corp.101,740,380,000.00 130.94
ADBEAdobe Inc99,905,880,000.00 243.08
COFCapital One Financial Corp.98,749,359,000.00 182.43
NOCNorthrop Grumman Corp.98,106,112,000.00 682.24
CRWDCrowdstrike Holdings Inc - Ordinary Shares - Class A97,827,376,160.00 390.41
EQIXEquinix Inc96,184,089,520.00 980.24
BSXBoston Scientific Corp.93,779,875,000.00 62.75
TTTrane Technologies plc - Ordinary Shares - Class A93,724,826,000.00 416.74
HWMHowmet Aerospace Inc93,566,760,000.00 230.46
GDGeneral Dynamics Corp.93,501,708,500.00 343.22
WMWaste Management, Inc.92,881,118,000.00 229.79
CVSCVS Health Corp91,283,220,000.00 71.82
ICEIntercontinental Exchange Inc90,436,000,000.00 157.28
BXBlackstone Inc89,717,021,281.44 114.99
MARMarriott International, Inc. - Ordinary Shares - Class A89,486,352,000.00 327.07
STXSeagate Technology Holdings Plc89,321,280,000.00 391.76
WMBWilliams Cos Inc89,155,500,000.00 72.78
CEGConstellation Energy Corporation87,684,500,000.00 279.25
FDXFedex Corp85,127,020,000.00 356.18
BKBank Of New York Mellon Corp85,024,256,340.00 118.63
FCXFreeport-McMoRan Inc84,819,540,000.00 58.78
REGNRegeneron Pharmaceuticals, Inc.83,908,704,000.00 772.64
UPSUnited Parcel Service, Inc. - Ordinary Shares - Class B83,623,000,000.00 98.38
PWRQuanta Services, Inc.83,061,784,820.00 549.02
PNCPNC Financial Services Group Inc82,403,640,000.00 208.09
ADPAutomatic Data Processing Inc.82,226,946,000.00 203.18
USBU.S. Bancorp.81,031,580,000.00 52.01
AMTAmerican Tower Corp.80,898,083,060.00 172.58
JCIJohnson Controls International plc - Registered Shares80,403,300,000.00 130.95
SHWSherwin-Williams Co.80,265,720,000.00 320.55
ORLYO`Reilly Automotive, Inc.79,009,882,890.00 92.31
EOGEOG Resources, Inc.78,935,220,000.00 144.57
ABNBAirbnb Inc - Ordinary Shares - Class A78,672,440,000.00 126.28
MMM3M Co.78,612,999,000.00 145.23
MCOMoody`s Corp.78,481,375,000.00 436.25
NKENike, Inc. - Ordinary Shares - Class B78,226,420,000.00 52.82
CSXCSX Corp.76,886,650,000.00 41.05
VLOValero Energy Corp.76,347,720,000.00 247.08
ITWIllinois Tool Works, Inc.76,082,767,000.00 260.29
CDNSCadence Design Systems, Inc.75,945,205,440.00 277.87
ECLEcolab, Inc.75,868,904,000.00 266.02
SNPSSynopsys, Inc.75,633,317,760.00 396.48
RCLRoyal Caribbean Group75,399,320,000.00 275.18
MDLZMondelez International Inc. - Ordinary Shares - Class A74,816,720,000.00 57.64
MPCMarathon Petroleum Corp74,719,080,000.00 244.18
CMICummins Inc.74,623,374,000.00 538.02
KMIKinder Morgan Inc - Ordinary Shares - Class P74,537,190,000.00 33.53
PSXPhillips 6674,339,095,540.00 182.18
EMREmerson Electric Co.73,908,382,000.00 131.02
SLBSchlumberger Ltd.73,847,430,000.00 51.39
MSIMotorola Solutions Inc73,340,930,000.00 433.97
GMGeneral Motors Company72,488,500,000.00 74.50
HLTHilton Worldwide Holdings Inc72,371,040,000.00 304.08
CICigna Group (The)71,639,180,250.00 266.75
MNSTMonster Beverage Corp.71,333,319,460.00 72.46
CRHCRH Plc71,166,240,000.00 105.12
CVNACarvana Co. - Ordinary Shares - Class A70,508,203,260.00 314.38
AEPAmerican Electric Power Company Inc.70,451,287,744.20 131.08
ROSTRoss Stores, Inc.70,278,238,080.00 216.63
AONAon plc. - Ordinary Shares - Class A70,075,538,000.00 322.78
WBDWarner Bros. Discovery Inc - Ordinary Shares - Class A69,473,800,000.00 27.46
CLColgate-Palmolive Co.69,130,053,000.00 85.23
CTASCintas Corporation68,744,077,620.00 169.14
RSGRepublic Services, Inc.68,378,044,000.00 219.02
TDGTransdigm Group Incorporated67,451,472,000.00 1,158.96
TRVTravelers Companies Inc.66,386,368,000.00 291.68
APOApollo Global Management Inc - Ordinary Shares - Class A (New)66,150,054,000.00 111.42
DASHDoorDash Inc - Ordinary Shares - Class A66,018,852,900.00 150.15
ELVElevance Health Inc65,751,650,000.00 292.75
LHXL3Harris Technologies Inc65,026,260,000.00 345.15
OXYOccidental Petroleum Corp.65,006,500,000.00 65.00
APDAir Products & Chemicals Inc.64,750,221,000.00 290.49
NSCNorfolk Southern Corp.64,661,100,000.00 287.00
HOODRobinhood Markets Inc - Ordinary Shares - Class A63,671,581,927.80 69.30
SRESempra63,532,272,420.00 97.17
DLRDigital Realty Trust Inc62,678,840,100.00 180.21
FTNTFortinet Inc62,483,112,000.00 81.72
TELTE Connectivity Ltd - Registered Shares62,078,940,000.00 209.02
CORCencora Inc.61,357,510,660.00 314.14
SPGSimon Property Group, Inc.60,877,167,866.96 186.53
PCARPaccar Inc.60,845,400,000.00 115.50
TFCTruist Financial Corporation59,885,119,000.00 45.97
AFLAflac Inc.58,681,465,380.00 109.71
AZOAutozone Inc.57,317,548,820.00 3,377.78
FANGDiamondback Energy Inc57,176,935,410.00 197.79
CTVACorteva Inc57,039,994,000.00 83.71
CIENCIENA Corp.56,603,545,770.00 388.23
OKEOneok Inc.56,575,101,000.00 90.39
ORealty Income Corp.55,571,874,120.00 61.18
AJGArthur J. Gallagher & Co.55,466,138,000.00 216.58
ALLAllstate Corp (The)55,380,514,000.00 207.34
TGTTarget Corp55,218,720,000.00 121.20
TRGPTarga Resources Corp54,383,337,000.00 250.73
FASTFastenal Co.53,375,507,065.60 46.40
DDominion Energy Inc52,874,646,000.00 61.82
MPWRMonolithic Power System Inc52,818,645,150.00 1,093.35
ZTSZoetis Inc - Ordinary Shares - Class A52,465,735,350.00 118.21
GWWW.W. Grainger Inc.52,358,884,800.00 1,090.81
VSTVistra Corp51,962,476,552.11 150.33
EAElectronic Arts, Inc.51,579,110,000.00 203.87
ADSKAutodesk Inc.51,471,000,000.00 239.40
ETREntergy Corp.50,584,472,000.00 112.36
COINCoinbase Global Inc - Ordinary Shares - Class A50,149,563,490.00 174.61
CAHCardinal Health, Inc.50,080,470,000.00 211.31
NXPINXP Semiconductors NV50,067,600,660.00 196.86
EXCExelon Corp.49,608,240,000.00 49.02
AMEAmetek Inc49,572,679,240.00 214.36
NDAQNasdaq Inc - Ordinary Shares - 144A49,117,157,649.43 84.89
KEYSKeysight Technologies Inc48,850,010,000.00 282.37
FIXComfort Systems USA, Inc.48,834,172,870.00 1,378.99
CARRCarrier Global Corp48,561,744,000.00 56.31
PSAPublic Storage.47,648,333,760.00 270.88
METMetlife Inc47,615,776,000.00 70.72
KRKroger Co.47,395,800,000.00 72.36
TERTeradyne, Inc.47,350,294,740.00 296.46
URIUnited Rentals, Inc.47,067,890,240.00 728.56
EWEdwards Lifesciences Corp46,910,864,000.00 80.08
XELXcel Energy, Inc.46,790,160,000.00 79.44
FFord Motor Co.45,917,660,000.00 11.54
IDXXIdexx Laboratories, Inc.45,527,137,250.00 561.89
BDXBecton Dickinson & Co.44,943,409,350.00 157.23
GRMNGarmin Ltd44,920,848,160.00 232.01
PYPLPayPal Holdings Inc43,782,640,000.00 45.23
YUMYum Brands Inc.43,689,880,000.00 155.48
AMPAmeriprise Financial Inc43,640,080,000.00 444.40
DALDelta Air Lines, Inc.43,477,920,000.00 66.48
CMGChipotle Mexican Grill42,977,138,160.00 32.01
AIGAmerican International Group Inc42,918,836,597.00 75.25
DDOGDatadog Inc - Ordinary Shares - Class A42,907,869,600.00 118.05
WABWestinghouse Air Brake Technologies Corp42,759,601,000.00 249.91
EBAYEBay Inc.42,597,360,000.00 91.02
ODFLOld Dominion Freight Line, Inc.41,346,249,200.00 195.40
MSCIMSCI Inc41,307,570,360.00 539.01
CBRECBRE Group Inc - Ordinary Shares - Class A40,739,803,743.86 135.46
EDConsolidated Edison, Inc.40,597,666,000.00 113.18
PEGPublic Service Enterprise Group Inc.40,555,950,000.00 80.95
ROKRockwell Automation Inc40,517,552,000.00 358.88
DHID.R. Horton Inc.40,246,626,000.00 137.22
EQTEQT Corp39,184,229,880.00 63.64
TKOTKO Group Holdings Inc - Ordinary Shares - Class A39,122,332,668.80 201.65
NUENucor Corp.39,062,100,000.00 169.10
HIGHartford Financial Services Group Inc.38,743,395,000.00 135.23
PCGPG&E Corp.38,689,140,000.00 17.57
ROPRoper Technologies Inc38,287,652,000.00 353.86
VTRVentas Inc37,832,654,700.00 81.78
WECWEC Energy Group Inc37,486,326,000.00 115.77
LVSLas Vegas Sands Corp37,338,840,000.00 53.88
STTState Street Corp.36,578,244,640.00 126.56
TTWOTake-Two Interactive Software, Inc.36,537,500,000.00 197.50
VMCVulcan Materials Co36,134,210,000.00 272.30
ACGLArch Capital Group Ltd36,082,641,000.00 95.99
CCLCarnival Corp. - Ordinary Shares (Paired Stock)36,024,960,000.00 25.88
KDPKeurig Dr Pepper Inc35,882,524,000.00 26.33
MLMMartin Marietta Materials, Inc.35,674,008,000.00 588.68
CCICrown Castle Inc35,532,470,000.00 81.31
LYVLive Nation Entertainment Inc35,358,574,193.00 152.51
MCHPMicrochip Technology, Inc.35,244,755,000.00 64.61
FISVFiserv, Inc.35,226,540,000.00 55.80
ADMArcher Daniels Midland Co.35,181,960,000.00 72.69
AXONAxon Enterprise Inc34,981,715,300.00 424.69
WDAYWorkday Inc - Ordinary Shares - Class A34,833,760,640.00 129.92
PRUPrudential Financial Inc.34,552,953,000.00 97.69
SYYSysco Corp.34,285,665,183.91 71.33
EMEEmcor Group, Inc.33,331,571,233.77 738.31
HALHalliburton Co.33,258,470,000.00 38.99
KVUEKenvue Inc33,169,760,000.00 17.24
PAYXPaychex Inc.33,117,140,000.00 92.12
RMDResmed Inc.32,857,586,560.00 224.48
MTBM & T Bank Corp32,825,275,520.00 206.72
TPLTexas Pacific Land Corporation32,757,686,603.52 474.56
GEHCGE HealthCare Technologies Inc32,600,440,000.00 71.18
CPRTCopart, Inc.32,372,954,800.00 33.20
AAgilent Technologies Inc.32,370,320,000.00 113.98
HPEHewlett Packard Enterprise Co32,286,360,000.00 23.81
KMBKimberly-Clark Corp.32,143,804,000.00 96.47
IRIngersoll-Rand Inc32,128,120,000.00 80.12
DVNDevon Energy Corp.31,852,560,000.00 50.32
FITBFifth Third Bancorp31,267,580,000.00 46.46
EXPEExpedia Group Inc30,464,319,270.00 230.89
ATOAtmos Energy Corp.30,454,971,120.00 184.72
OTISOtis Worldwide Corp30,438,892,000.00 77.08
IRMIron Mountain Inc.30,418,926,240.00 102.14
DTEDTE Energy Co.30,267,540,000.00 146.22
UALUnited Airlines Holdings Inc30,244,995,000.00 92.07
CTSHCognizant Technology Solutions Corp. - Ordinary Shares - Class A30,000,150,000.00 61.35
AEEAmeren Corp.29,920,224,000.00 109.92
IBKRInteractive Brokers Group Inc - Ordinary Shares - Class A29,769,659,750.22 67.07
CHTRCharter Communications Inc. - Ordinary Shares - Class A29,736,104,774.88 215.88
DOWDow Inc29,638,140,000.00 41.65
TPRTapestry Inc29,604,878,000.00 141.11
IQVIQVIA Holdings Inc29,588,690,000.00 170.54
CBOECboe Global Markets Inc.29,540,457,000.00 281.07
FEFirstenergy Corp.29,281,480,000.00 50.66
RJFRaymond James Financial, Inc.29,160,706,000.00 144.79
XYLXylem Inc29,158,000,000.00 119.50
NRGNRG Energy Inc.29,081,860,000.00 146.14
VICIVICI Properties Inc29,032,774,453.84 27.32
FOXFox Corporation - Ordinary Shares - Class B28,833,300,000.00 53.10
WTWWillis Towers Watson Public Limited Co28,779,300,000.00 290.70
JBLJabil Inc28,767,729,000.00 265.63
DOVDover Corp.28,719,615,650.00 208.45
TDYTeledyne Technologies Inc28,677,474,000.00 605.01
PPLPPL Corp28,395,893,600.00 38.20
CNPCenterpoint Energy Inc.28,312,960,000.00 43.16
EIXEdison International28,247,480,000.00 73.18
EXRExtra Space Storage Inc.27,779,958,818.73 131.13
BIIBBiogen Inc26,967,843,000.00 183.33
CTRACoterra Energy Inc26,846,960,000.00 35.14
NTRSNorthern Trust Corp.26,831,847,494.25 139.57
STLDSteel Dynamics Inc.26,712,720,000.00 180.00
KHCKraft Heinz Co26,695,630,000.00 22.49
VRSKVerisk Analytics Inc26,580,706,176.75 189.75
AWKAmerican Water Works Co. Inc.26,537,550,000.00 136.09
WRBW.R. Berkley Corp.26,502,787,080.00 66.28
HUBBHubbell Inc.26,254,590,000.00 490.74
DGDollar General Corp.26,217,246,220.00 118.73
CFGCitizens Financial Group Inc26,200,337,138.07 59.97
ELEstee Lauder Cos., Inc. - Ordinary Shares - Class A26,181,696,000.00 71.77
MTDMettler-Toledo International, Inc.26,071,158,129.60 1,261.20
ROLRollins, Inc.25,858,291,270.00 53.41
FOXAFox Corporation - Ordinary Shares - Class A25,754,400,000.00 58.40
ESEversource Energy25,720,841,809.92 69.28
FICOFair Isaac Corp.25,576,123,320.00 1,067.54
ONON Semiconductor Corp.25,498,656,000.00 61.92
DXCMDexcom Inc25,465,400,000.00 62.80
SYFSynchrony Financial25,432,678,000.00 68.02
CINFCincinnati Financial Corp.24,814,095,000.00 157.35
FISFidelity National Information Services, Inc.24,627,750,000.00 46.91
PPGPPG Industries, Inc.24,272,448,000.00 106.88
TSCOTractor Supply Co.24,107,663,400.00 45.30
LYBLyondellBasell Industries NV - Ordinary Shares - Class A23,973,096,761.20 80.56
HBANHuntington Bancshares, Inc.23,550,683,400.00 15.65
ULTAUlta Beauty Inc23,517,245,610.00 522.71
PHMPulteGroup Inc23,467,546,570.00 117.61
RFRegions Financial Corp.23,403,520,000.00 26.12
CMSCMS Energy Corporation23,351,580,000.00 77.58
AVBAvalonbay Communities Inc.23,330,689,499.70 163.35
VRSNVerisign Inc.23,296,168,000.00 248.36
EQREquity Residential Properties Trust22,972,322,100.00 59.15
CHDChurch & Dwight Co., Inc.22,798,076,000.00 93.32
DRIDarden Restaurants, Inc.22,701,432,000.00 196.04
TSNTyson Foods, Inc. - Ordinary Shares - Class A22,680,780,000.00 64.07
DLTRDollar Tree Inc22,591,913,000.00 109.51
WSMWilliams-Sonoma, Inc.22,454,486,490.00 182.33
LENLennar Corp. - Ordinary Shares - Class A22,382,662,640.00 86.84
LHLabcorp Holdings Inc.22,358,678,000.00 266.81
EFXEquifax, Inc.22,346,687,000.00 180.07
LLoews Corp.22,319,334,000.00 106.74
KEYKeycorp22,215,279,700.00 20.05
DGXQuest Diagnostics, Inc.22,145,740,000.00 195.98
NINiSource Inc22,140,170,000.00 46.66
VLTOVeralto Corp22,131,526,000.00 88.42
STESteris Plc21,803,418,000.00 221.13
RLRalph Lauren Corp - Ordinary Shares - Class A21,396,178,000.00 343.99
FSLRFirst Solar Inc21,212,748,620.00 197.26
BGBunge Global SA21,174,594,768.00 127.20
ALBAlbemarle Corp.21,124,217,920.00 179.53
CFCF Industries Holdings Inc21,060,048,000.00 129.84
LUVSouthwest Airlines Co20,964,060,000.00 37.57
SWSmurfit WestRock plc20,961,100,000.00 39.85
HUMHumana Inc.20,950,020,140.00 173.39
JBHTJ.B. Hunt Transport Services, Inc.20,700,087,200.00 211.90
CPAYCorpay Inc.20,677,167,420.00 290.99
NTAPNetapp Inc20,478,000,000.00 102.39
BROBrown & Brown, Inc.20,410,730,000.00 65.21
PFGPrincipal Financial Group Inc - Registered Shares20,337,827,000.00 90.11
NVRNVR Inc.20,224,867,329.40 6,589.83
LDOSLeidos Holdings Inc20,217,600,000.00 155.52
CHRWC.H. Robinson Worldwide, Inc.20,177,837,140.00 166.07
GISGeneral Mills, Inc.19,998,306,000.00 37.22
TROWT. Rowe Price Group Inc.19,857,842,000.00 90.14
MRNAModerna Inc19,761,200,000.00 50.80
EXPDExpeditors International Of Washington, Inc.19,514,944,270.00 143.23
SNASnap-on, Inc.19,250,660,000.00 363.22
DDDuPont de Nemours Inc19,199,360,000.00 45.80
EVRGEvergy Inc19,136,512,000.00 81.92
BRBroadridge Financial Solutions, Inc.19,123,896,000.00 162.48
PKGPackaging Corp Of America19,014,912,000.00 212.22
INCYIncyte Corp.18,889,884,000.00 94.12
IFFInternational Flavors & Fragrances Inc.18,572,800,000.00 72.55
SBACSBA Communications Corp - Ordinary Shares - Class A18,507,504,630.00 172.11
LNTAlliant Energy Corp.18,499,728,000.00 71.76
FTVFortive Corp18,496,688,000.00 55.28
AMCRAmcor Plc18,436,050,000.00 39.75
LULULululemon Athletica inc.18,229,310,800.00 153.10
WSTWest Pharmaceutical Services, Inc.18,221,528,000.00 250.64
IPInternational Paper Co.18,053,490,000.00 35.70
ZBHZimmer Biomet Holdings Inc17,966,454,000.00 90.42
HPQHP Inc17,903,720,000.00 19.21
WATWaters Corp.17,780,446,800.00 297.80
WYWeyerhaeuser Co.17,676,741,810.00 24.43
PTCPTC Inc17,097,232,610.00 142.49
HOLXHologic, Inc.17,074,193,610.00 75.59
CSGPCostar Group, Inc.16,971,038,000.00 40.34
AKAMAkamai Technologies Inc16,885,591,550.00 114.85
FFIVF5 Inc16,828,590,120.00 289.33
NWSNews Corp - Ordinary Shares - Class B16,473,078,000.00 28.51
LIILennox International Inc16,430,202,000.00 464.13
BALLBall Corp.16,312,704,920.00 59.11
GPNGlobal Payments, Inc.16,287,138,400.00 67.30
CNCCentene Corp.16,144,617,840.00 32.74
CDWCDW Corp15,986,742,000.00 121.02
VTRSViatris Inc15,828,766,328.83 13.51
SMCISuper Micro Computer Inc15,802,129,530.00 22.77
TXTTextron Inc.15,783,390,480.00 87.56
TRMBTrimble Inc15,753,045,000.00 65.23
ESSEssex Property Trust, Inc.15,584,669,078.00 242.00
OMCOmnicom Group, Inc.15,431,019,000.00 75.31
APTVAptiv PLC15,328,880,000.00 69.44
INVHInvitation Homes Inc15,237,468,479.10 24.85
APAAPA Corporation15,235,960,000.00 42.44
KIMKimco Realty Corporation15,173,519,130.00 22.47
JJacobs Solutions Inc15,147,083,680.00 127.28
PODDInsulet Corporation15,084,558,240.00 209.84
TYLTyler Technologies, Inc.15,000,352,560.00 342.38
NDSNNordson Corp.14,933,149,620.00 266.06
HIIHuntington Ingalls Industries Inc14,930,070,000.00 379.90
GPCGenuine Parts Co.14,725,687,500.00 105.75
DECKDeckers Outdoor Corp.14,441,886,010.00 100.09
PNRPentair plc14,416,705,000.00 87.11
MAAMid-America Apartment Communities, Inc.14,306,235,880.00 122.12
IEXIdex Corporation14,273,115,000.00 189.55
COOCooper Companies, Inc.14,064,050,000.00 71.50
NWSANews Corp - Ordinary Shares - Class A14,010,660,000.00 24.93
REGRegency Centers Corporation13,785,413,004.48 75.66
BBYBest Buy Co. Inc.13,616,820,000.00 64.20
EGEverest Group Ltd13,596,960,000.00 326.85
MKCMcCormick & Co., Inc. - Ordinary Shares (Non Voting)13,588,536,000.00 50.44
AVYAvery Dennison Corp.13,520,844,000.00 172.68
HSTHost Hotels & Resorts Inc13,298,956,000.00 19.16
HASHasbro, Inc.13,122,720,000.00 93.60
MASMasco Corp.12,677,700,000.00 60.37
CLXClorox Co.12,634,051,450.00 103.63
ALLEAllegion plc12,582,114,000.00 145.29
HRLHormel Foods Corp.12,473,490,900.00 22.65
ALGNAlign Technology, Inc.12,443,760,840.00 171.43
PNWPinnacle West Capital Corp.12,288,578,250.00 100.75
DPZDominos Pizza Inc12,284,125,008.34 358.79
BENFranklin Resources, Inc.12,242,246,000.00 23.62
ITGartner, Inc.11,971,295,700.00 158.34
DVADaVita Inc11,662,765,650.00 153.69
GENGen Digital Inc11,636,940,000.00 18.83
GDDYGodaddy Inc - Ordinary Shares - Class A11,625,138,070.00 82.67
GNRCGenerac Holdings Inc11,578,338,302.73 195.33
UHSUniversal Health Services, Inc. - Ordinary Shares - Class B11,536,764,140.00 178.97
GLGlobe Life Inc11,485,003,136.64 139.17
SOLVSolventum Corp11,447,090,000.00 65.30
JKHYJack Henry & Associates, Inc.11,444,150,520.00 158.04
DOCHealthpeak Properties Inc.11,436,002,920.00 16.43
TTDTrade Desk Inc - Ordinary Shares - Class A11,198,672,190.00 22.69
UDRUDR Inc11,182,970,340.00 33.78
AIZAssurant Inc11,127,183,018.69 217.81
IVZInvesco Ltd11,051,950,000.00 24.29
SWKStanley Black & Decker Inc10,792,450,680.00 71.06
ZBRAZebra Technologies Corp. - Ordinary Shares - Class A10,707,487,546.60 209.08
CPTCamden Property Trust10,589,664,440.00 97.66
WYNNWynn Resorts Ltd.10,585,876,650.00 101.55
SJMJ.M. Smucker Co.10,285,986,421.12 96.44
MGMMGM Resorts International10,261,947,750.00 37.01
RVTYRevvity Inc.10,214,887,950.00 87.61
AESAES Corp.10,060,260,000.00 14.09
AOSA.O. Smith Corp.9,357,864,549.60 65.94
BLDRBuilders Firstsource Inc9,206,305,260.00 82.33
FRTFederal Realty Investment Trust.9,177,075,050.00 106.21
HSICHenry Schein Inc.8,970,607,461.20 73.70
NCLHNorwegian Cruise Line Holdings Ltd8,933,781,215.70 18.70
BAXBaxter International Inc.8,618,400,000.00 16.80
TAPMolson Coors Beverage Company - Ordinary Shares - Class B8,573,246,000.00 43.06
CRLCharles River Laboratories International Inc.8,549,790,000.00 172.50
BXPBXP Inc.8,245,301,100.00 51.90
TECHBio-Techne Corp8,204,767,740.00 52.26
FDSFactset Research Systems Inc.8,162,078,850.00 216.99
MOSMosaic Company8,131,950,000.00 25.50
MTCHMatch Group Inc. - Ordinary Shares - New8,060,607,250.00 30.71
SWKSSkyworks Solutions, Inc.8,059,275,000.00 53.55
AREAlexandria Real Estate Equities Inc.7,905,650,940.00 46.42
EPAMEPAM Systems Inc7,613,948,200.00 135.40
POOLPool Corporation7,544,481,040.00 202.33
CAGConagra Brands Inc7,529,880,000.00 15.72
MOHMolina Healthcare Inc7,051,570,000.00 133.30
PAYCPaycom Software Inc6,820,338,640.00 121.54
CPBCampbell Soup Co.6,658,730,000.00 22.27
LWLamb Weston Holdings Inc5,899,496,000.00 42.26
MCDMcDonald`s Corp222,649.96 310.79
HSYHershey Company0.00 207.89
STZConstellation Brands Inc - Ordinary Shares - Class A0.00 150.00
BKRBaker Hughes Co - Ordinary Shares - Class A0.00 61.05
ARESAres Management Corp - Ordinary Shares - Class A0.00 109.10
KKRKKR & Co. Inc0.00 92.50
ERIEErie Indemnity Co. - Ordinary Shares - Class A0.00 251.31
VVisa Inc - Ordinary Shares - Class A0.00 302.24
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