Valor Intrínseco del S&P y Nasdaq Contáctenos

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39,753 stocks  ·  Página 4 de 398

# Symbol Company Price Change Market Cap Volume Sector
301 WELL WELL Welltower Inc. $210.99 +1.94% $147.22B 1.68M Real Estate
302 BUD BUD Anheuser-Busch InBev SA/NV $75.59 -0.08% $146.79B 1.02M Consumer Defensive
303 APP APP AppLovin Corporation $433.58 +3.86% $146.53B 3.12M Technology
304 VEMAX VEMAX Vanguard Emerging Markets Stock Index Fund Admiral Shares $47.44 +0.34% $146.31B - Financial Services
305 VEMRX VEMRX Vanguard Emerging Markets Stock Index Fund Institutional Plus Shares $120.02 +0.35% $146.31B - Financial Services
306 FRCOY FRCOY Fast Retailing Co., Ltd. $47.57 -0.36% $145.96B 5.3K Consumer Cyclical
307 COP COP ConocoPhillips $118.79 -3.91% $145.2B 9.49M Energy
308 WSHCX WSHCX American Funds Washington Mutual C $64.59 +1.06% $145.07B - Financial Services
309 UNLYD UNLYD Unilever PLC $66.50 +1.14% $145.02B 900 Consumer Defensive
310 RWMBX RWMBX American Funds Washington Mutual R2 $64.38 +1.07% $144.59B - Financial Services
311 T-PA T-PA AT&T Inc. $20.08 +0.50% $143.95B 111.6K Communication Services
312 HTHIY HTHIY Hitachi, Ltd. $31.80 +2.12% $143.86B 57.7K Industrials
313 BKNG BKNG Booking Holdings Inc. $181.12 +2.18% $143.42B 5.32M Consumer Cyclical
314 PDD PDD PDD Holdings Inc. $102.10 +1.29% $143.2B 6.85M Consumer Cyclical
315 HTHIF HTHIF Hitachi, Ltd. $31.51 +3.63% $142.54B 100 Industrials
316 IFAFX IFAFX The Income Fund of America, Class F-1 Shares $27.23 +0.44% $142.23B - Financial Services
317 RIDGX RIDGX American Funds The Income Fund of America $27.35 +0.44% $142.22B - Financial Services
318 QCOM QCOM QUALCOMM Incorporated $132.84 +1.22% $141.88B 7.07M Technology
319 FIFAX FIFAX American Funds Income Fund of Amer F3 $27.31 +0.40% $141.6B - Financial Services
320 BAC-PS BAC-PS Bank of America Corporation $19.66 +0.72% $141.09B 32.9K Financial Services
321 LMT LMT Lockheed Martin Corporation $611.58 -1.31% $140.95B 861.3K Industrials
322 DHR DHR Danaher Corporation $198.61 +1.40% $140.44B 3.19M Healthcare
323 CWIAX CWIAX American Funds Capital World Growth and Income Fund Class 529-A $75.17 +0.99% $140.12B - Financial Services
324 CWGFX CWGFX American Funds Capital World Growth & Income Fund Class F-1 Shs $75.32 +0.99% $140.11B - Financial Services
325 WGIFX WGIFX American Funds Capital World Gr&Inc F2 $75.42 +1.00% $139.7B - Financial Services
326 CWGIX CWGIX American Funds Capital World Growth and Income Fund Class A $75.57 +1.00% $139.7B - Financial Services
327 RWICX RWICX American Funds Capital World Growth and Income Fund Class R-3 $74.83 +1.00% $139.69B - Financial Services
328 SNDK SNDK Sandisk Corporation $944.21 -0.87% $139.37B 19.53M Technology
329 LOW LOW Lowe's Companies, Inc. $248.39 +0.53% $139.33B 1.36M Consumer Cyclical
330 HDB HDB HDFC Bank Limited $26.79 -0.04% $137.41B 6.65M Financial Services
331 AGG AGG iShares Core U.S. Aggregate Bond ETF $99.78 +0.26% $136.14B 5.43M Financial Services
332 UBS UBS UBS Group AG $42.89 +0.61% $135.52B 1.52M Financial Services
333 PBR PBR Petróleo Brasileiro S.A. - Petrobras $21.01 -4.37% $135.4B 28.98M Energy
334 TBB TBB AT&T Inc. 5.35% GLB NTS 66 $21.97 +0.55% $134.89B 88.5K Communication Services
335 T-PC T-PC AT&T Inc. $18.78 +0.43% $134.63B 114.4K Communication Services
336 BBVA BBVA Banco Bilbao Vizcaya Argentaria, S.A. $23.61 +0.81% $134.37B 1.17M Financial Services
337 IBKR IBKR Interactive Brokers Group, Inc. $77.10 +3.42% $133.22B 5.15M Financial Services
338 SMFNF SMFNF Sumitomo Mitsui Financial Group, Inc. $34.73 -3.19% $132.59B 23.5K Financial Services
339 SYK SYK Stryker Corporation $345.88 -0.39% $132.36B 2.18M Healthcare
340 ZIJMF ZIJMF Zijin Mining Group Company Limited $4.95 +6.22% $131.67B 2.7K Basic Materials
341 BBVXF BBVXF Banco Bilbao Vizcaya Argentaria, S.A. $23.12 -1.54% $130.68B 2.3K Financial Services
342 IWF IWF iShares Russell 1000 Growth ETF $460.57 +1.80% $130.43B 956.8K Financial Services
343 NEM NEM Newmont Corporation $119.30 +2.40% $129.78B 6.68M Basic Materials
344 BAC-PO BAC-PO Bank of America Corporation $18.02 +0.78% $129.32B 135.6K Financial Services
345 DBSDY DBSDY DBS Group Holdings Ltd $182.01 -0.24% $129.31B 1.8K Financial Services
346 TOELY TOELY Tokyo Electron Limited $140.34 +2.92% $128.67B 9.4K Technology
347 PLD PLD Prologis, Inc. $138.36 +0.88% $128.61B 3.53M Real Estate
348 AEPGX AEPGX American Funds EuroPacific Growth Fund Class A $63.02 +0.82% $128.45B - Financial Services
349 BYDDF BYDDF BYD Company Limited $14.12 -0.14% $128.28B 16.3K Consumer Cyclical
350 RERHX RERHX American Funds Europacific Growth R5E $62.47 +0.84% $127.82B - Financial Services
351 AEPFX AEPFX American Funds EuroPacific Growth Fund $62.90 +0.83% $127.82B - Financial Services
352 RERGX RERGX American Funds EuroPacific Growth Fund Class R-6 $63.16 +0.83% $127.81B - Financial Services
353 AEGFX AEGFX American Funds EuroPacific Growth Cl F-1 Shs $62.65 +0.82% $127.8B - Financial Services
354 HONIV HONIV Honeywell International Inc. Common Stock Ex Distribution When Issued $200.99 -0.50% $127.6B 99.9K Industrials
355 BYDDY BYDDY BYD Company Limited $14.13 +0.78% $127.54B 393.3K Consumer Cyclical
356 NAESX NAESX Vanguard Small Cap Index Fund $132.33 +1.53% $127.53B - Financial Services
357 CB CB Chubb Limited $325.74 -1.28% $127.09B 1.26M Financial Services
358 SPGI SPGI S&P Global Inc. $425.24 -1.13% $127.06B 2.23M Financial Services
359 AIQUY AIQUY L'Air Liquide S.A. $44.03 -0.56% $127.03B 23.8K Basic Materials
360 ATEYY ATEYY Advantest Corporation $174.88 +8.64% $126.97B 28K Technology
361 AIQUF AIQUF L'Air Liquide S.A. $219.15 +0.20% $126.65B 121 Basic Materials
362 UL UL Unilever PLC $57.81 -0.72% $126.33B 2.97M Consumer Defensive
363 IVSBF IVSBF Investor AB (publ) $41.16 +3.16% $126.07B 13.5K Financial Services
364 IVSXF IVSXF Investor AB (publ) $40.00 +6.81% $125.75B 260 Financial Services
365 VGT VGT Vanguard Information Technology ETF $770.04 +1.55% $125.68B 742.6K Financial Services
366 CUAEF CUAEF China Shenhua Energy Company Limited $6.32 0.00% $125.57B 100 Energy
367 SWPPX SWPPX Schwab S&P 500 Index Fund- Select Shares $17.70 +1.03% $125.53B - Financial Services
368 WRTBY WRTBY Wärtsilä Oyj Abp $8.52 +1.55% $125.34B 6.7K Industrials
369 BAC-PQ BAC-PQ Bank of America Corporation $17.44 +0.40% $125.16B 99.4K Financial Services
370 SONY SONY Sony Group Corporation $20.95 -0.48% $125.03B 4.34M Technology
371 DBSDF DBSDF DBS Group Holdings Ltd $44.04 -3.21% $124.96B 4.1K Financial Services
372 BTI BTI British American Tobacco p.l.c. $57.51 -2.01% $124.92B 4.14M Consumer Defensive
373 DELL DELL Dell Technologies Inc. $184.60 -2.73% $124.61B 5.45M Technology
374 UNCRY UNCRY UniCredit S.p.A. $41.35 +2.30% $124.54B 20.7K Financial Services
375 MSBHF MSBHF Mitsubishi Corporation $33.60 -0.19% $124.5B 519 Industrials
376 SNEJF SNEJF Sony Group Corporation $20.84 -2.43% $124.37B 100 Technology
377 PH PH Parker-Hannifin Corporation $985.00 -0.45% $124.32B 458.8K Industrials
378 COF COF Capital One Financial Corporation $199.84 +1.16% $124.29B 2.93M Financial Services
379 UNLYF UNLYF Unilever PLC $56.88 -0.78% $124.28B 653 Consumer Defensive
380 WDC WDC Western Digital Corporation $366.22 +4.59% $124.16B 6.61M Technology
381 PBR-A PBR-A Petróleo Brasileiro S.A. - Petrobras $19.20 -3.37% $123.73B 8.93M Energy
382 TD-PFK.TO TD-PFK.TO The Toronto-Dominion Bank $24.97 -0.10% $123.24B 2K Financial Services
383 BAC-PP BAC-PP Bank of America Corporation $17.17 +1.00% $123.22B 61K Financial Services
384 MTSUY MTSUY Mitsubishi Corporation $33.00 -1.79% $122.28B 29.2K Industrials
385 C-PJ C-PJ Citigroup Inc. $25.08 +0.36% $122.21B 1.8M Financial Services
386 CIBFX CIBFX Capital Income Builder Cl F-1 Shs $80.45 +0.54% $121.9B - Financial Services
387 CIRAX CIRAX American Funds Capital Income Builder Class 529-A $80.41 +0.54% $121.84B - Financial Services
388 RIRGX RIRGX American Funds Capital Income Builder $80.41 +0.54% $121.84B - Financial Services
389 CAIBX CAIBX American Funds Capital Income Builder Class A $80.44 +0.54% $121.84B - Financial Services
390 VITAX VITAX Vanguard Information Technology Index Fund Admiral Shares $388.47 +2.10% $121.28B - Financial Services
391 JJEB JJEB iPath B Bloomberg Engy Ttl Ret ETN $51.74 -7.61% $121.18B 2.7K Financial Services
392 BP BP BP p.l.c. $46.17 -0.58% $121.08B 9.56M Energy
393 ASHGY ASHGY Ashtead Group plc $72.75 0.00% $121.03B 25.5K Industrials
394 UNCFF UNCFF UniCredit S.p.A. $82.65 +4.93% $120.91B 4.8K Financial Services
395 BTAFF BTAFF British American Tobacco p.l.c. $55.57 -2.59% $120.36B 665 Consumer Defensive
396 WFC-PC WFC-PC Wells Fargo & Company $17.77 +0.68% $120.34B 49.6K Financial Services
397 VTTHX VTTHX Vanguard Target Retirement 2035 Fund $28.21 +0.71% $119.47B - Financial Services
398 AAIGF AAIGF AIA Group Limited $11.41 +4.11% $119.43B 5.3K Financial Services
399 FSNUY FSNUY Fresenius SE & Co. KGaA $13.25 +0.84% $119.41B 2.9K Healthcare
400 IITSF IITSF Intesa Sanpaolo S.p.A. $6.87 +2.14% $119.37B 201 Financial Services
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