Stock Screener

Filter listed companies by sector, size and valuation, or look up a single symbol.

How to use it

Pick a sector and a sort order to browse, or type an exact symbol to jump straight to one company. Figures are reference data, not live quotes, and are provided for research only - they are not investment advice.

The browsable list covers the first 5,000 companies the data service returns, ordered alphabetically by symbol. If a company is not listed, search for its exact symbol above - that lookup reaches the full set.

5,000 companies match.

Company fundamentals
Symbol Company Sector Price 52-week range Market cap P/E Margin Beta Div yield
MRVL NASDAQ Marvell Technology, Inc. Technology Semiconductors 235.01 USD - 205.81B 75.8 32.6% 2.25 -
APH NYSE Amphenol Corporation Technology Hardware, Equipment & Parts 81.34 USD 28% 200.58B 46.4 18.5% 1.24 0.01
CRM NYSE Salesforce, Inc. Technology Software - Application 244.16 USD 15% 199.97B 31.1 18.0% 1.20 0.01
0002.HK HKSE CLP Holdings Limited Utilities Regulated Electric 79.10 HKD - 199.84B 19.1 12.1% 0.56 -
DE NYSE Deere & Company Industrials Agricultural - Machinery 677.21 USD 100% 182.8B 36.5 11.3% 0.91 0.01
ABT NYSE Abbott Laboratories Healthcare Medical - Devices 105.25 USD 0% 182.12B 28.1 14.7% 0.59 0.02
DIS NYSE The Walt Disney Company Communication Services Entertainment 104.18 USD - 180.91B 15.1 13.1% 1.41 -
GILD NASDAQ Gilead Sciences, Inc. Healthcare Drug Manufacturers - General 145.65 USD 100% 180.83B 21.3 28.9% 0.35 0.02
AZN.L LSE AstraZeneca PLC Healthcare Drug Manufacturers - General 11,650.00 GBp 35% 180.68B 1,765.2 17.4% 0.21 0.02
MCD NYSE McDonald's Corporation Consumer Cyclical Restaurants 253.48 USD 0% 180.1B 21.1 31.9% 0.41 0.03
ADI NASDAQ Analog Devices, Inc. Technology Semiconductors 365.07 USD 100% 177.82B 79.5 20.6% 1.21 0.01
ITX.MC BME Industria de Diseño Textil, S.A. Consumer Cyclical Apparel - Retail 56.46 EUR 92% 175.78B 28.2 15.6% 0.90 0.02
BMO.TO TSX Bank of Montreal Financial Services Banks - Diversified 246.81 CAD 100% 172.87B 21.5 11.1% 1.15 0.03
ENB.TO TSX Enbridge Inc. Energy Oil & Gas Midstream 77.56 CAD 100% 169.37B 23.9 11.5% 0.80 0.05
COP NYSE ConocoPhillips Energy Oil & Gas Exploration & Production 136.53 USD - 166.33B 21.5 13.6% 0.13 -
BLK NYSE BlackRock, Inc. Financial Services Asset Management 1,072.03 USD 66% 166.16B 29.9 22.9% 1.43 0.02
AIR.PA PAR Airbus SE Industrials Aerospace & Defense 209.90 EUR 92% 165.24B 31.8 7.1% 0.88 0.01
AIR.DE XETRA Airbus SE Industrials Aerospace & Defense 209.80 EUR 91% 165.16B 31.7 7.1% 0.88 0.01
BA NYSE The Boeing Company Industrials Aerospace & Defense 206.42 USD 68% 163.15B 82.9 2.5% 1.21 0.00
ALV.DE XETRA Allianz SE Financial Services Insurance - Diversified 428.20 EUR 100% 162.82B 15.0 7.8% 0.66 0.04
ETN NYSE Eaton Corporation plc Industrials Electrical Equipment & Parts 415.22 USD 100% 161.23B 39.6 14.9% 1.17 0.01
BBVA NYSE Banco Bilbao Vizcaya Argentaria, S.A. Financial Services Banks - Diversified 29.08 USD 100% 160.68B 16.5 26.7% 0.89 0.04
1038.HK HKSE CK Infrastructure Holdings Limited Utilities Regulated Electric 62.70 HKD 100% 157.98B 19.1 197.0% 0.71 0.04
IBKR NASDAQ Interactive Brokers Group, Inc. Financial Services Investment - Banking & Investment Services 90.28 USD - 156.01B 40.5 9.6% 1.35 -
BX NYSE Blackstone Inc. Financial Services Asset Management 129.07 USD - 155.92B 33.4 24.3% 1.56 -
2269.HK HKSE WuXi Biologics (Cayman) Inc. Healthcare Biotechnology 37.38 HKD 80% 154.89B 32.2 22.5% 0.59 0.00
BUD NYSE Anheuser-Busch InBev SA/NV Consumer Defensive Beverages - Alcoholic 77.98 USD - 153.58B 22.6 11.5% 0.79 -
BNS.TO TSX The Bank of Nova Scotia Financial Services Banks - Diversified 121.14 CAD 100% 147.94B 20.7 10.6% 1.21 0.04
GLW NYSE Corning Inc Technology Hardware, Equipment & Parts 168.52 USD 100% 145.16B 90.6 10.2% 1.15 0.01
DHR NYSE Danaher Corporation Healthcare Medical - Diagnostics & Research 204.99 USD 38% 144.11B 40.4 14.7% 0.81 0.01
ABI.BR BRU Anheuser-Busch InBev SA/NV Consumer Defensive Beverages - Alcoholic 73.90 EUR 100% 142.74B 20.6 11.5% 0.79 0.02
0027.HK HKSE Galaxy Entertainment Group Limited Consumer Cyclical Gambling, Resorts & Casinos 32.56 HKD 42% 142.59B 13.3 36.1% 0.54 0.04
GLD AMEX SPDR Gold Shares Financial Services Asset Management 403.35 USD - 142.3B - - 0.45 -
ABBN.SW SIX ABB Ltd Industrials Electrical Equipment & Parts 76.30 CHF 100% 138.44B 29.4 14.3% 1.03 0.01
IBE.MC BME Iberdrola, S.A. Utilities Diversified Utilities 20.61 EUR 100% 137.53B 21.9 14.3% 0.57 0.03
CNQ.TO TSX Canadian Natural Resources Limited Energy Oil & Gas Exploration & Production 65.31 CAD 100% 136.22B 12.6 27.9% 0.88 0.04
0003.HK HKSE The Hong Kong and China Gas Company Limited Utilities Regulated Gas 7.27 HKD - 135.66B 23.8 10.5% 0.56 -
BKNG NASDAQ Booking Holdings Inc. Consumer Cyclical Travel Services 173.43 USD 0% 134.39B 26.0 20.1% 1.07 0.22
DTE.DE XETRA Deutsche Telekom AG Communication Services Telecommunications Services 27.50 EUR 15% 133.05B 14.0 8.1% 0.31 0.03
BMY NYSE Bristol-Myers Squibb Company Healthcare Drug Manufacturers - General 64.41 USD 100% 131.57B 18.6 14.6% 0.23 0.04
CB NYSE Chubb Limited Financial Services Insurance - Property & Casualty 337.62 USD 100% 130.25B 13.0 17.2% 0.38 0.01
0006.HK HKSE Power Assets Holdings Limited Utilities Independent Power Producers 61.00 HKD - 130B - 90.2% 0.63 -
0012.HK HKSE Henderson Land Development Company Limited Real Estate Real Estate - Diversified 26.72 HKD - 129.36B 21.4 22.0% 1.15 -
COF NYSE Capital One Financial Corporation Financial Services Financial - Credit Services 210.86 USD 58% 129.36B 52.3 3.5% 1.02 0.01
6618.HK HKSE JD Health International Inc. Healthcare Medical - Care Facilities 39.64 HKD 30% 127.29B 23.6 7.3% 1.15 0.00
BBVA.MC BME Banco Bilbao Vizcaya Argentaria, S.A. Financial Services Banks - Diversified 22.82 EUR 100% 126.09B 13.0 28.5% 0.88 0.03
CARL-B.CO CPH Carlsberg A/S Consumer Defensive Beverages - Alcoholic 952.00 DKK 97% 125.83B 21.1 6.7% 0.65 0.03
ISRG NASDAQ Intuitive Surgical, Inc. Healthcare Medical - Instruments & Supplies 353.24 USD 0% 124.79B 44.2 28.4% 1.47 0.00
CVS NYSE CVS Health Corp. Healthcare Medical - Healthcare Plans 95.38 USD 100% 121.7B 68.1 0.4% 0.58 0.03
LMT NYSE Lockheed Martin Corporation Industrials Aerospace & Defense 524.46 USD 88% 121.04B 24.3 6.7% 0.10 0.03