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Sector ▾Market cap ▾1M ▾6M ▾Held by ▾Insider ▾
| Stock | Sector | Market cap | Price | 52W range | Funds | Congress | Held ⓘ |
|---|---|---|---|---|---|---|---|
|
MSFT
Microsoft Corp
|
Information Technology |
$2.82T |
$367.34
▼ 3.18% |
$356
$555
|
154 | 35 | 189 |
|
AMZN
Amazon.Com Inc
|
Consumer Discretionary |
$2.63T |
$232.79
▼ 4.75% |
$196
$279
|
156 | 28 | 184 |
|
AAPL
Apple Inc.
|
Information Technology |
$4.38T |
$297.01
▼ 0.34% |
$199
$317
|
115 | 53 | 168 |
|
NVDA
Nvidia Corp
|
Information Technology |
$5.10T |
$208.65
▼ 0.97% |
$142
$237
|
144 | 22 | 166 |
|
GOOGL
Alphabet Inc. Class A Common Stock
|
Communication Services |
$4.49T |
$349.68
▼ 4.99% |
$162
$409
|
137 | 21 | 158 |
|
META
Meta Platforms, Inc. Class A Common Stock
|
Communication Services |
$1.47T |
$563.85
▼ 2.32% |
$520
$796
|
133 | 13 | 146 |
|
AVGO
Broadcom Inc. Common Stock
|
Information Technology |
$1.96T |
$392.13
▼ 4.67% |
$246
$495
|
118 | 11 | 129 |
|
V
VISA Inc.
|
Financials |
$622.3B |
$326.60
▼ 0.20% |
$294
$360
|
94 | 31 | 125 |
|
TSM
Taiwan Semiconductor Manufacturing Company Ltd.
|
Information Technology |
$2.40T |
$467.67
▲ 1.20% |
$206
$477
|
107 | 5 | 112 |
|
GOOG
Alphabet Inc. Class C Capital Stock
|
Communication Services |
$4.48T |
$348.78
▼ 5.08% |
$163
$404
|
95 | 9 | 104 |
|
JPM
JPMorgan Chase & Co.
|
Financials |
$871.4B |
$331.48
▲ 1.92% |
$272
$338
|
81 | 21 | 102 |
|
MA
Mastercard Incorporated
|
Financials |
$432.8B |
$484.09
▼ 1.16% |
$465
$602
|
76 | 9 | 85 |
|
LLY
Eli Lilly & Co.
|
Health Care |
$979.6B |
$1,102.08
▲ 0.32% |
$624
$1,183
|
74 | 10 | 84 |
|
JNJ
Johnson & Johnson
|
Health Care |
$549.8B |
$231.29
▲ 1.27% |
$150
$252
|
62 | 19 | 81 |
|
NFLX
NetFlix Inc
|
Communication Services |
$325.8B |
$72.88
▼ 5.82% |
$72
$134
|
60 | 20 | 80 |
|
TSLA
Tesla, Inc. Common Stock
|
Consumer Discretionary |
$1.50T |
$405.05
▲ 1.14% |
$289
$499
|
59 | 20 | 79 |
|
AMD
Advanced Micro Devices
|
Information Technology |
$876.2B |
$551.63
▲ 2.65% |
$127
$563
|
54 | 14 | 68 |
|
ABBV
ABBVIE INC.
|
Health Care |
$382.5B |
$230.01
▲ 6.25% |
$182
$245
|
45 | 22 | 67 |
|
PG
Procter & Gamble Company
|
Consumer Staples |
$350.2B |
$147.68
▼ 1.80% |
$138
$167
|
32 | 35 | 67 |
|
BRK.B
BERKSHIRE HATHAWAY Class B
|
Financials |
$1.06T |
$488.69
▼ 0.16% |
$455
$517
|
54 | 12 | 66 |
|
TMO
Thermo Fisher Scientific, Inc.
|
Health Care |
$172.7B |
$464.01
▼ 0.13% |
$393
$644
|
53 | 12 | 65 |
|
HD
Home Depot, Inc.
|
Consumer Discretionary |
$333.3B |
$326.62
▼ 2.29% |
$289
$427
|
37 | 26 | 63 |
|
MU
Micron Technology, Inc.
|
Information Technology |
$1.28T |
$1,211.38
▲ 6.82% |
$103
$1,214
|
55 | 5 | 60 |
|
WMT
Walmart Inc. Common Stock
|
Consumer Staples |
$932.5B |
$117.18
▲ 0.00% |
$94
$135
|
36 | 23 | 59 |
|
UNH
UNITEDHEALTH GROUP INCORPORATED (Delaware)
|
Health Care |
$364.1B |
$406.68
▲ 1.43% |
$235
$416
|
46 | 13 | 59 |
|
CRM
Salesforce, Inc.
|
Information Technology |
$124.3B |
$150.12
▼ 1.09% |
$146
$277
|
35 | 23 | 58 |
|
BAC
Bank of America Corporation
|
Financials |
$398.8B |
$57.37
▲ 2.08% |
$45
$58
|
47 | 10 | 57 |
|
KO
Coca-Cola Company
|
Consumer Staples |
$341.6B |
$79.53
▲ 0.18% |
$65
$84
|
40 | 17 | 57 |
|
LIN
Linde plc Ordinary Share
|
Materials |
$236.8B |
$516.71
▲ 0.89% |
$388
$526
|
39 | 17 | 56 |
|
COST
Costco Wholesale Corp
|
Consumer Staples |
$421.9B |
$951.35
▼ 0.01% |
$844
$1,097
|
43 | 12 | 55 |
|
PEP
PepsiCo, Inc.
|
Consumer Staples |
$194.1B |
$140.71
▼ 0.92% |
$128
$171
|
30 | 25 | 55 |
|
AMAT
Applied Materials Inc
|
Information Technology |
$490.0B |
$640.18
▲ 3.74% |
$154
$641
|
46 | 6 | 52 |
|
LRCX
Lam Research Corp
|
Information Technology |
$486.5B |
$409.54
▲ 5.27% |
$90
$410
|
42 | 10 | 52 |
|
XOM
Exxon Mobil Corporation
|
Energy |
$571.2B |
$138.47
▲ 0.48% |
$106
$176
|
38 | 13 | 51 |
|
CVX
Chevron Corporation
|
Energy |
$345.8B |
$175.06
▲ 0.82% |
$142
$215
|
37 | 13 | 50 |
|
MRK
Merck & Co., Inc.
|
Health Care |
$281.2B |
$115.48
▲ 1.41% |
$77
$125
|
41 | 9 | 50 |
|
DIS
The Walt Disney Company
|
Communication Services |
$180.4B |
$102.45
▼ 1.39% |
$92
$125
|
27 | 23 | 50 |
|
SPGI
S&P Global Inc.
|
Financials |
$121.6B |
$407.39
▼ 0.86% |
$382
$579
|
39 | 11 | 50 |
|
ORCL
Oracle Corp
|
Information Technology |
$530.0B |
$175.07
▼ 5.00% |
$135
$346
|
41 | 7 | 48 |
|
CSCO
Cisco Systems, Inc. Common Stock (DE)
|
Information Technology |
$471.2B |
$121.53
▲ 1.66% |
$66
$130
|
36 | 11 | 47 |
|
C
Citigroup Inc.
|
Financials |
$244.0B |
$145.67
▲ 1.82% |
$78
$148
|
35 | 12 | 47 |
|
PFE
Pfizer Inc.
|
Health Care |
$143.7B |
$25.08
▼ 0.52% |
$23
$29
|
22 | 25 | 47 |
|
NEE
NextEra Energy, Inc.
|
Utilities |
$180.9B |
$86.08
▼ 0.77% |
$67
$99
|
31 | 14 | 45 |
|
SCHW
The Charles Schwab Corporation
|
Financials |
$159.5B |
$92.03
▲ 0.36% |
$84
$108
|
30 | 15 | 45 |
|
TJX
TJX Companies, Inc. (The)
|
Consumer Discretionary |
$181.0B |
$164.17
▲ 0.22% |
$120
$170
|
33 | 11 | 44 |
|
ASML
ASML Holding NV
|
— |
$743.7B |
$1,929.25
▼ 0.02% |
$683
$1,959
|
40 | 3 | 43 |
|
TXN
Texas Instruments Incorporated
|
Information Technology |
$293.8B |
$332.28
▲ 2.92% |
$153
$334
|
36 | 6 | 42 |
|
DHR
Danaher Corporation
|
Industrials |
$125.4B |
$178.19
▲ 0.58% |
$161
$243
|
32 | 10 | 42 |
|
MS
Morgan Stanley
|
Financials |
$352.0B |
$227.09
▲ 1.76% |
$131
$230
|
28 | 13 | 41 |
|
PLTR
Palantir Technologies Inc. Class A Common Stock
|
Information Technology |
$308.0B |
$119.50
▼ 6.98% |
$119
$208
|
35 | 6 | 41 |
Funds / Congress = number of tracked hedge funds & Congress members with disclosed positions. Held = combined total. 52W range = current price within the 52-week low–high. Stocks shown are those held by ≥2 tracked funds or traded by Congress. Price & market cap live from market data; ownership from SEC 13F & STOCK Act filings.