Valor Intrínseco del S&P y Nasdaq Contáctenos

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39,753 stocks  ·  Página 7 de 398

# Symbol Company Price Change Market Cap Volume Sector
601 FNCFX FNCFX Franklin Income Fund Class R6 $2.55 +0.39% $86.77B - Financial Services
602 VWITX VWITX Vanguard Intermediate-Term Tax-Exempt Fund Investor Shares $13.78 0.00% $86.68B - Financial Services
603 VWIUX VWIUX Vanguard Intermediate-Term Tax-Exempt Fund Admiral Shares $13.78 0.00% $86.68B - Financial Services
604 WMB WMB The Williams Companies, Inc. $70.76 -0.95% $86.53B 4.45M Energy
605 ENGIY ENGIY Engie S.A. $33.99 -0.06% $86.3B 6.2K Utilities
606 FBGRX FBGRX Fidelity Blue Chip Growth Fund $276.07 +2.20% $86.2B - Financial Services
607 FRIAX FRIAX Franklin Income Fund $2.53 0.00% $86.09B - Financial Services
608 F-PD F-PD Ford Motor Company 6.500% Notes $21.95 +0.23% $86.01B 39.3K Consumer Cyclical
609 ING ING ING Groep N.V. $29.52 +0.51% $85.87B 2.27M Financial Services
610 FBGKX FBGKX Fidelity Blue Chip Growth Fund $277.91 +2.20% $85.42B - Financial Services
611 TKOMF TKOMF Tokio Marine Holdings, Inc. $44.86 +1.48% $85.39B 100 Financial Services
612 MURGF MURGF Münchener Rückversicherungs-Gesellschaft AG in München $665.00 +2.96% $85.23B 48 Financial Services
613 VEU VEU Vanguard FTSE All-World ex-US ETF $80.49 -0.24% $85.13B 2.42M Financial Services
614 EIPAF EIPAF Eni S.p.A. $28.86 +5.33% $84.88B 19 Energy
615 MRSH MRSH Marsh & McLennan Companies, Inc. $174.90 +1.19% $84.67B 2.5M Financial Services
616 VFWAX VFWAX Vanguard FTSE All-World ex-US Index Fund Admiral Shares $49.98 +0.77% $84.3B - Financial Services
617 SCHD SCHD Schwab U.S. Dividend Equity ETF $30.65 -0.20% $84.08B 18.6M Financial Services
618 SNPS SNPS Synopsys, Inc. $438.45 +4.69% $83.99B 1.79M Technology
619 JCI JCI Johnson Controls International plc $137.21 -3.41% $83.98B 3.78M Industrials
620 CDNS CDNS Cadence Design Systems, Inc. $304.10 +4.01% $83.96B 2.35M Technology
621 SGOV SGOV iShares 0-3 Month Treasury Bond ETF $100.53 +0.02% $83.6B 19.29M Financial Services
622 CMI CMI Cummins Inc. $601.27 -2.32% $83.07B 688.4K Industrials
623 RLLGX RLLGX American Funds SMALLCAP World R6 $82.62 +1.09% $82.97B - Financial Services
624 CSPAX CSPAX American Funds SMALLCAP World 529A $77.89 +1.09% $82.97B - Financial Services
625 SMCWX SMCWX American Funds SMALLCAP World Fund Class A $79.28 +1.10% $82.96B - Financial Services
626 SCWFX SCWFX American Funds SMALLCAP World F1 $77.91 +1.09% $82.96B - Financial Services
627 ANZGY ANZGY ANZ Group Holdings Limited $27.53 -0.40% $82.87B 8.8K Financial Services
628 PRUFX PRUFX T. Rowe Price Growth Stock Fund I Class $104.88 +1.93% $82.83B - Financial Services
629 BCS BCS Barclays PLC $23.91 -0.06% $82.77B 6.26M Financial Services
630 RNMBF RNMBF Rheinmetall AG $1,787.50 +1.24% $82.71B 24 Industrials
631 VXF VXF Vanguard Extended Market ETF $221.03 +0.42% $82.68B 206.9K Financial Services
632 ENB ENB Enbridge Inc. $52.61 -0.72% $82.6B 5.96M Energy
633 AMT AMT American Tower Corporation $176.99 +0.33% $82.54B 2.05M Real Estate
634 INGVF INGVF ING Groep N.V. $28.68 0.00% $82.48B 100 Financial Services
635 LYG LYG Lloyds Banking Group plc $5.61 +0.18% $82.45B 19.11M Financial Services
636 ABNB ABNB Airbnb, Inc. $137.48 +2.71% $82.42B 3.56M Consumer Cyclical
637 SMFG SMFG Sumitomo Mitsui Financial Group, Inc. $21.52 +1.18% $82.38B 1.14M Financial Services
638 RNMBY RNMBY Rheinmetall AG $356.00 +1.42% $82.37B 5.1K Industrials
639 VEMPX VEMPX Vanguard Extended Market Index Fund Institutional Plus Shares $412.11 +1.00% $82.34B - Financial Services
640 PRGFX PRGFX T. Rowe Price Growth Stock Fund $104.14 +1.93% $82.24B - Financial Services
641 TKOMY TKOMY Tokio Marine Holdings, Inc. $43.12 -2.20% $82.07B 43.5K Financial Services
642 ITOT ITOT iShares Core S&P Total U.S. Stock Market ETF $153.21 +0.74% $82.05B 2.07M Financial Services
643 RSLAX RSLAX American Funds SMALLCAP World R1 $66.02 +1.09% $81.78B - Financial Services
644 XLK XLK State Street Technology Select Sector SPDR ETF $150.27 +1.57% $81.76B 10.17M Financial Services
645 OVCHY OVCHY Oversea-Chinese Banking Corporation Limited $36.30 +0.35% $81.75B 1.7K Financial Services
646 LLDTF LLDTF Lloyds Banking Group plc $1.40 +11.60% $81.58B 5.9K Financial Services
647 SHW SHW The Sherwin-Williams Company $328.84 -1.43% $81.48B 1.64M Basic Materials
648 FDGRX FDGRX Fidelity Growth Company Fund Retail Class $51.55 +1.74% $81.41B - Financial Services
649 VT VT Vanguard Total World Stock ETF $148.62 +0.36% $80.49B 2.45M Financial Services
650 CVNA CVNA Carvana Co. $371.12 -0.83% $80.46B 2.88M Consumer Cyclical
651 SHECF SHECF Shin-Etsu Chemical Co., Ltd. $42.92 -4.08% $80.42B 60 Basic Materials
652 FYGGY FYGGY Fuyao Glass Industry Group Co., Ltd. $1.93 -6.28% $80.34B 125 Consumer Cyclical
653 SHECY SHECY Shin-Etsu Chemical Co., Ltd. $21.43 +0.07% $80.3B 45.3K Basic Materials
654 BCLYF BCLYF Barclays PLC $5.86 -0.17% $80.27B 11.6K Financial Services
655 EPD EPD Enterprise Products Partners L.P. $37.10 -0.40% $80.2B 4.18M Energy
656 FGCKX FGCKX Fidelity Growth Company Fund - Class K $51.96 +1.74% $80.14B - Financial Services
657 VTWAX VTWAX Vanguard Total World Stock Index Fund Admiral Shares $52.34 +1.00% $80.01B - Financial Services
658 VTWIX VTWIX Vanguard Total World Stock Index Fund Institutional Shares $301.72 +1.00% $80.01B - Financial Services
659 BAM BAM Brookfield Asset Management Ltd. $48.83 +2.84% $79.99B 3.79M Financial Services
660 E E Eni S.p.A. $54.22 -2.11% $79.95B 458.7K Energy
661 SOAGY SOAGY Sartorius AG $54.65 +2.11% $79.85B 820 Healthcare
662 MMM MMM 3M Company $151.24 -0.86% $79.66B 2.54M Industrials
663 ADP ADP Automatic Data Processing, Inc. $196.92 +0.94% $79.64B 3.5M Industrials
664 OVCHF OVCHF Oversea-Chinese Banking Corporation Limited $17.75 0.00% $79.59B 100 Financial Services
665 MCO MCO Moody's Corporation $446.81 +2.00% $79.22B 763.7K Financial Services
666 AMXOF AMXOF América Móvil, S.A.B. de C.V. $1.32 +1.94% $79.15B 9K Communication Services
667 NTTYY NTTYY NTT, Inc. $24.20 +0.41% $79.11B 68.6K Communication Services
668 AMX AMX América Móvil, S.A.B. de C.V. $26.28 +0.04% $79.09B 2.31M Communication Services
669 BAM.TO BAM.TO Brookfield Asset Management Ltd. $67.09 +2.60% $79.09B 1.52M Financial Services
670 AGPXX AGPXX Short-Term Investment Trust - Invesco Government & Agency Portfolio $1.00 0.00% $79.06B - Financial Services
671 EMR EMR Emerson Electric Co. $140.44 -2.85% $78.97B 2.55M Industrials
672 DTRUY DTRUY Daimler Truck Holding AG $25.41 -0.94% $78.69B 1.7K Industrials
673 SLB SLB SLB N.V. $52.42 +1.81% $78.69B 12.17M Energy
674 FINMY FINMY Leonardo S.p.A. $34.07 +0.19% $78.62B 4.7K Industrials
675 HOOD HOOD Robinhood Markets, Inc. $87.32 +10.41% $78.61B 69.87M Financial Services
676 ORLY ORLY O'Reilly Automotive, Inc. $93.60 +0.09% $78.48B 4.1M Consumer Cyclical
677 NPPXF NPPXF NTT, Inc. $0.96 0.00% $78.45B 1K Communication Services
678 REGN REGN Regeneron Pharmaceuticals, Inc. $753.93 -0.21% $78.34B 556.4K Healthcare
679 CSX CSX CSX Corporation $42.10 -0.96% $78.29B 8.69M Industrials
680 DASH DASH DoorDash, Inc. $179.94 +10.02% $78.17B 6.97M Communication Services
681 TRSAX TRSAX T. Rowe Price Growth Stock Fund Advisor Class $98.86 +1.94% $78.07B - Financial Services
682 BKFCF BKFCF Bank of Communications Co., Ltd. $0.88 -3.60% $77.76B 349 Financial Services
683 FSPSX FSPSX Fidelity Concord Street Trust - Fidelity International Index Fund $65.58 +0.51% $77.69B - Financial Services
684 CRH CRH CRH plc $116.21 -1.02% $77.66B 3.87M Basic Materials
685 RCL RCL Royal Caribbean Cruises Ltd. $282.31 +0.28% $76.99B 1.8M Consumer Cyclical
686 AMDLY AMDLY Amada Co., Ltd. $47.15 0.00% $76.85B 453 Industrials
687 MIELF MIELF Mitsubishi Electric Corporation $37.34 +3.31% $76.41B 301 Industrials
688 ECL ECL Ecolab Inc. $270.37 -1.01% $76.36B 960K Basic Materials
689 MIELY MIELY Mitsubishi Electric Corporation $73.53 -1.83% $76.23B 2.7K Industrials
690 ITW ITW Illinois Tool Works Inc. $264.39 -2.89% $76.2B 1.35M Industrials
691 RNWGX RNWGX American Funds New World Fund Class R-6 $101.03 +1.49% $75.99B - Financial Services
692 NEWFX NEWFX American Funds New World Fund Class A $101.03 +1.49% $75.98B - Financial Services
693 VOLVF VOLVF AB Volvo (publ) $36.40 +2.80% $75.82B 151 Industrials
694 HLT HLT Hilton Worldwide Holdings Inc. $328.91 -0.75% $75.42B 1.15M Consumer Cyclical
695 IWM IWM iShares Russell 2000 ETF $269.42 +0.26% $75.4B 21.07M Financial Services
696 NWFFX NWFFX American Funds New World Fund Cl F-1Shs $100.25 +1.48% $75.4B - Financial Services
697 CNWAX CNWAX American Funds New World 529A $99.86 +1.47% $75.4B - Financial Services
698 VALE VALE Vale S.A. $17.62 -0.34% $75.22B 28.65M Basic Materials
699 BREJY BREJY mBank S.A. $4.42 0.00% $75.19B 104 Financial Services
700 PSTVY PSTVY Postal Savings Bank of China Co., Ltd. $13.60 0.00% $75.15B 135 Financial Services
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