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39,753 stocks  ·  第 3 页,共 398 页

# Symbol Company Price Change Market Cap Volume Sector
201 NVO NVO Novo Nordisk A/S $40.81 +3.79% $181.36B 19.07M Healthcare
202 APH APH Amphenol Corporation $146.98 -1.17% $180.67B 6.75M Technology
203 TBC TBC AT&T Inc. 5.625% Global Notes d $24.97 -0.68% $179.83B 547.7K Communication Services
204 SBGSF SBGSF Schneider Electric S.E. $319.52 +0.16% $179.64B 99 Industrials
205 NONOF NONOF Novo Nordisk A/S $40.22 +3.62% $178.71B 1 Healthcare
206 T T AT&T Inc. $25.47 -0.59% $178.3B 32.51M Communication Services
207 TJX TJX The TJX Companies, Inc. $160.23 -0.03% $177.93B 3.18M Consumer Cyclical
208 SBGSY SBGSY Schneider Electric S.E. $62.82 -0.68% $177.49B 47.5K Industrials
209 ABT ABT Abbott Laboratories $101.50 +0.45% $176.37B 9.55M Healthcare
210 BA BA The Boeing Company $223.93 +0.07% $175.97B 4.38M Industrials
211 SCHW SCHW The Charles Schwab Corporation $100.27 +1.92% $175.69B 10.1M Financial Services
212 TD TD The Toronto-Dominion Bank $103.99 +0.83% $175.69B 3.26M Financial Services
213 C-PN C-PN Citigroup Capital XIII TR PFD SECS $30.03 -0.10% $175.53B 80.3K Financial Services
214 BSX-PA BSX-PA Boston Scientific Corporation $122.18 +2.37% $175.45B 2.06M Healthcare
215 GILD GILD Gilead Sciences, Inc. $139.77 -0.48% $173.49B 3.78M Healthcare
216 TTFNF TTFNF TotalEnergies SE $77.88 +0.06% $173.44B 780.8K Energy
217 ALIZY ALIZY Allianz SE $45.48 +0.13% $172.93B 18.8K Financial Services
218 IEFA IEFA iShares Core MSCI EAFE ETF $96.43 -0.31% $171.83B 6.58M Financial Services
219 TD.TO TD.TO The Toronto-Dominion Bank $142.77 +0.58% $171.45B 9.4M Financial Services
220 SMEGF SMEGF Siemens Energy AG $200.01 -0.99% $171.07B 24 Industrials
221 ET-PE ET-PE Energy Transfer LP $81.43 +4.82% $170.25B 8.69M Energy
222 AIVSX AIVSX American Funds Invmt Co of Amer A $64.27 +1.10% $170.22B - Financial Services
223 CICAX CICAX American Funds Invmt Co of Amer 529A $63.99 +1.11% $170.22B - Financial Services
224 ADI ADI Analog Devices, Inc. $347.94 -0.19% $169.87B 2.44M Technology
225 FFICX FFICX American Funds Invmt Co of Amer F3 $64.22 +1.10% $169.85B - Financial Services
226 AICFX AICFX American Funds Investment Co of America Cl F-1 Shs $64.00 +1.11% $169.83B - Financial Services
227 RICAX RICAX American Funds Investment Company of America Class R-1 $63.40 +1.10% $169.82B - Financial Services
228 RICBX RICBX American Funds Invmt Co of Amer R2 $63.51 +1.10% $169.81B - Financial Services
229 AICCX AICCX American Funds Investment Co of America C $63.16 +1.09% $169.8B - Financial Services
230 ARM ARM Arm Holdings plc American Depositary Shares $159.34 -1.17% $169.22B 3.63M Technology
231 GRAG GRAG Leverage Shares 2x Long GRAB Daily ETF $7.86 +4.16% $169.21B 3.2K Financial Services
232 ABLZF ABLZF ABB Ltd $93.06 -1.01% $169.18B 439 Industrials
233 ABBNY ABBNY ABB Ltd $92.55 +0.03% $168.25B 21.3K Industrials
234 VB VB Vanguard Small-Cap ETF $278.28 +0.01% $167.78B 1.4M Financial Services
235 ALIZF ALIZF Allianz SE $437.65 +0.31% $166.98B 2 Financial Services
236 CRM CRM Salesforce, Inc. $177.60 +3.67% $166.41B 12.2M Technology
237 ISRG ISRG Intuitive Surgical, Inc. $468.36 +0.24% $166.35B 1.92M Healthcare
238 SMNEY SMNEY Siemens Energy AG $193.96 +6.37% $165.9B 152.3K Industrials
239 VSCIX VSCIX Vanguard Small-Cap Index Fund Institutional Shares $133.31 +0.74% $165.79B - Financial Services
240 SHOP SHOP Shopify Inc. $127.41 +8.31% $165.76B 8.89M Technology
241 PIAIF PIAIF Ping An Insurance (Group) Company of China, Ltd. $8.48 +5.02% $164.58B 209 Financial Services
242 VSMAX VSMAX Vanguard Small-Cap Index Fund Admiral Shares $133.31 +0.74% $164.57B - Financial Services
243 DTEGF DTEGF Deutsche Telekom AG $34.02 -1.72% $164.57B 168 Communication Services
244 CIHKY CIHKY China Merchants Bank Co., Ltd. $32.57 +1.13% $164.3B 369 Financial Services
245 SHOP.TO SHOP.TO Shopify Inc. $175.08 +8.05% $163.91B 2.51M Technology
246 DTEGY DTEGY Deutsche Telekom AG $33.59 -0.59% $163.91B 41.2K Communication Services
247 BLK BLK BlackRock, Inc. $1,048.60 -0.57% $163.1B 909.2K Financial Services
248 IEMG IEMG iShares Core MSCI Emerging Markets ETF $76.30 0.00% $162.59B 8.86M Financial Services
249 FCNTX FCNTX Fidelity Contrafund $24.94 +1.63% $162.29B - Financial Services
250 SFTBF SFTBF SoftBank Group Corp. $28.45 +6.83% $162.13B 40.8K Communication Services
251 CILJF CILJF China Life Insurance Company Limited $3.46 -1.29% $162.13B 602 Financial Services
252 FCNKX FCNKX Fidelity Contrafund K $25.05 +1.62% $161.94B - Financial Services
253 GLD GLD SPDR Gold Shares $440.46 -1.04% $161.69B 6.22M Financial Services
254 CIHHF CIHHF China Merchants Bank Co., Ltd. $6.40 0.00% $161.41B 6K Financial Services
255 EADSF EADSF Airbus SE $203.74 +0.12% $160.56B 8 Industrials
256 RIO RIO Rio Tinto Group $98.56 -0.31% $160.27B 1.97M Basic Materials
257 SFTBY SFTBY SoftBank Group Corp. $14.06 +1.15% $160.23B 610.7K Communication Services
258 EADSY EADSY Airbus SE $50.73 -0.70% $159.74B 167.9K Industrials
259 IBDSF IBDSF Iberdrola, S.A. $23.64 -0.32% $159.72B 125 Utilities
260 BAC-PM BAC-PM Bank of America Corporation $22.22 +0.32% $159.46B 42.6K Financial Services
261 UBER UBER Uber Technologies, Inc. $77.28 +5.99% $159.05B 19.28M Technology
262 AFIFX AFIFX Fundamental Investors, Class F01 Shares $96.52 +1.47% $158.68B - Financial Services
263 RFNCX RFNCX American Funds Fundamental Invs R3 $96.21 +1.47% $158.68B - Financial Services
264 ANCFX ANCFX American Funds Fundamental Investors $96.59 +1.47% $158.67B - Financial Services
265 CFNAX CFNAX American Funds Fundamental Investors Class 529-A $96.33 +1.47% $158.37B - Financial Services
266 FINFX FINFX American Funds Fundamental Invs F2 $96.51 +1.46% $158.36B - Financial Services
267 FUNFX FUNFX American Funds Fundamental Invs F3 $96.51 +1.46% $158.36B - Financial Services
268 APP APP AppLovin Corporation $464.63 +7.18% $157.02B 4.85M Technology
269 FUSVX FUSVX Fidelity 500 Index Premium $95.27 -0.63% $156.98B - Financial Services
270 ANWPX ANWPX American Funds New Perspective Fund Class A $72.02 +1.38% $156.62B - Financial Services
271 FNPFX FNPFX American Funds New Perspective Fund $72.09 +1.38% $156.62B - Financial Services
272 RNPGX RNPGX American Funds New Perspective Fund Class R-6 $72.14 +1.36% $156.62B - Financial Services
273 NPFFX NPFFX New Perspective Fund, Class F-1 Shares $71.37 +1.36% $156.61B - Financial Services
274 RNPCX RNPCX American Funds New Perspective R3 $69.42 +1.37% $156.61B - Financial Services
275 RTPPF RTPPF Rio Tinto Group $96.30 -0.97% $156.49B 102 Basic Materials
276 BX BX Blackstone Inc. $130.23 +3.09% $156.42B 9.53M Financial Services
277 SCCO SCCO Southern Copper Corporation $189.30 -2.10% $156.37B 1.08M Basic Materials
278 DE DE Deere & Company $576.64 -3.25% $155.75B 1.43M Industrials
279 FPMAX FPMAX First Eagle Core Plus Municipal Fund Class A $10.24 0.00% $155.49B - Financial Services
280 PFE PFE Pfizer Inc. $27.19 +0.30% $154.67B 23.81M Healthcare
281 IBDRY IBDRY Iberdrola, S.A. $93.54 -0.99% $154.34B 7.8K Utilities
282 ETN ETN Eaton Corporation plc $395.06 -1.70% $153.28B 2.26M Industrials
283 SAFRF SAFRF Safran S.A. $367.23 -0.89% $152.43B 2 Industrials
284 SAFRY SAFRY Safran S.A. $90.96 -2.88% $151.69B 18.4K Industrials
285 HNNMY HNNMY H & M Hennes & Mauritz AB (publ) $3.74 +0.54% $151.42B 354 Consumer Cyclical
286 VWO VWO Vanguard FTSE Emerging Markets ETF $58.09 +0.19% $150.38B 7.01M Financial Services
287 RY-PZ.TO RY-PZ.TO Royal Bank of Canada $25.00 +0.04% $150.12B 448 Financial Services
288 HTHIY HTHIY Hitachi, Ltd. $33.03 +3.74% $149.43B 30.2K Industrials
289 BAC-PN BAC-PN Bank of America Corporation $20.78 +0.39% $149.13B 43.6K Financial Services
290 AWSHX AWSHX American Funds Washington Mutual A $66.35 +0.50% $149.02B - Financial Services
291 FWMIX FWMIX American Funds Washington Mutual F3 $66.29 +0.52% $148.88B - Financial Services
292 RWMFX RWMFX American Funds Washington Mutual R5 $66.29 +0.50% $148.88B - Financial Services
293 HTHIF HTHIF Hitachi, Ltd. $32.90 +4.41% $148.82B 18.4K Industrials
294 CWMAX CWMAX American Funds Washington Mutual 529A $66.09 +0.50% $148.43B - Financial Services
295 WSHFX WSHFX American Funds Washington Mutual F1 $65.93 +0.50% $148.07B - Financial Services
296 VEMRX VEMRX Vanguard Emerging Markets Stock Index Fund Institutional Plus Shares $121.42 +1.17% $148.02B - Financial Services
297 VEMAX VEMAX Vanguard Emerging Markets Stock Index Fund Admiral Shares $47.99 +1.16% $148.01B - Financial Services
298 HON HON Honeywell International Inc. $232.19 -0.45% $147.6B 3.48M Industrials
299 WELL WELL Welltower Inc. $211.33 +0.16% $147.46B 1.8M Real Estate
300 UNP UNP Union Pacific Corporation $248.03 -1.59% $147.18B 2.85M Industrials
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