S&P・Nasdaq 本質的価値 お問い合わせ

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39,753 stocks  ·  2 / 398ページ

# Symbol Company Price Change Market Cap Volume Sector
101 VTMNX VTMNX Vanguard Developed Markets Index Fund Institutional Shares $21.95 +0.87% $284.53B - Financial Services
102 VTMGX VTMGX Vanguard Developed Markets Index Fund Admiral Shares $21.92 +0.87% $282.2B - Financial Services
103 LVMHF LVMHF LVMH Moët Hennessy - Louis Vuitton, Société Européenne $567.01 +3.09% $281.46B 110 Consumer Cyclical
104 AMBFX AMBFX American Balanced Fund Class F-2 Shs $38.49 +0.84% $281.3B - Financial Services
105 LVMUY LVMUY LVMH Moët Hennessy - Louis Vuitton, Société Européenne $113.08 +3.23% $280.66B 41.4K Consumer Cyclical
106 RGAGX RGAGX American Funds The Growth Fund of America Class R-6 $79.07 +1.59% $279.93B - Financial Services
107 GAFFX GAFFX American Funds The Growth Fund of America Class F-3 $78.97 +1.60% $279.57B - Financial Services
108 AGTHX AGTHX American Funds The Growth Fund of America Class A $78.88 +1.58% $279.25B - Financial Services
109 GFFFX GFFFX American Funds Growth Fund of Amer F2 $78.59 +1.60% $278.23B - Financial Services
110 GFAFX GFAFX The Growth Fund of America Class F-1 Shares $78.05 +1.59% $276.32B - Financial Services
111 TM TM Toyota Motor Corporation $211.55 +0.23% $275.72B 184.1K Consumer Cyclical
112 CGFAX CGFAX American Funds Growth Fund of Amer 529A $77.34 +1.59% $273.8B - Financial Services
113 TOYOF TOYOF Toyota Motor Corporation $20.90 +1.26% $272.4B 15.8K Consumer Cyclical
114 RTX RTX RTX Corporation $202.81 +0.70% $272.23B 2.83M Industrials
115 CDVM CDVM Carson Development Corporation $0.00 0.00% $270.64B 5 Real Estate
116 GS GS The Goldman Sachs Group, Inc. $909.63 +2.11% $269.94B 2.68M Financial Services
117 ACGBY ACGBY Agricultural Bank of China Limited $19.03 +2.45% $266.48B 2.6K Financial Services
118 GEV GEV GE Vernova Inc. $987.50 -0.37% $266.16B 1.97M Utilities
119 ABALX ABALX American Funds American Balanced Fund Class A $38.53 +0.84% $265.82B - Financial Services
120 RLBGX RLBGX American Funds American Balanced Fund Class R-6 $38.55 +0.84% $265.82B - Financial Services
121 BALFX BALFX American Funds American Balanced Fund, Class F-1 Shs $38.48 +0.81% $265.76B - Financial Services
122 CICHF CICHF China Construction Bank Corporation $1.10 +11.54% $264.94B 534 Financial Services
123 CLBAX CLBAX American Funds American Balanced 529A $38.43 +0.81% $263.61B - Financial Services
124 AFMBX AFMBX American Funds American Balanced Fund $38.51 +0.84% $263.61B - Financial Services
125 NSRGY NSRGY Nestlé S.A. $101.37 +1.96% $263.46B 64.2K Consumer Defensive
126 ACGBF ACGBF Agricultural Bank of China Limited $0.74 +10.76% $259.87B 4K Financial Services
127 LACG LACG Leverage Shares 2x Long LAC Daily ETF $8.86 +2.22% $259.32B 1.2K Financial Services
128 SHEL SHEL Shell plc $91.36 -1.34% $258.62B 5.95M Energy
129 NSRGF NSRGF Nestlé S.A. $99.87 +1.59% $256.9B 205 Consumer Defensive
130 RYDAF RYDAF Shell plc $45.58 -1.85% $255.47B 1.2K Energy
131 WFC WFC Wells Fargo & Company $81.73 -5.67% $252.19B 28.18M Financial Services
132 FLRAP FLRAP Fluor Corporation $1,763.28 +4.69% $251.48B 7.5K Industrials
133 PM PM Philip Morris International Inc. $159.47 -2.02% $248.24B 4.3M Consumer Defensive
134 RY RY Royal Bank of Canada $174.90 +0.71% $244.27B 622.1K Financial Services
135 RGABX RGABX American Funds The Growth Fund of America Class R-2 $68.91 +1.59% $243.96B - Financial Services
136 WFC-PL WFC-PL Wells Fargo & Company $1,194.00 +0.08% $243.94B 10.8K Financial Services
137 RY.TO RY.TO Royal Bank of Canada $240.71 +0.72% $241.92B 4.31M Financial Services
138 FIYY FIYY Barclays ETN+ FI Enhanced Global High Yield ETN B $103.26 -0.72% $241.84B 1.1K Financial Services
139 VZA VZA Verizon Communications, 5.9% 15 Feb 2054 $25.55 -0.43% $241.26B 63.7K Communication Services
140 VTV VTV Vanguard Value ETF $202.96 +0.17% $239.68B 2.02M Financial Services
141 RGAAX RGAAX The Growth Fund of America Class R-1 Shares $67.64 +1.59% $239.46B - Financial Services
142 KLAC KLAC KLA Corporation $1,795.91 +1.53% $235.97B 708.6K Technology
143 GFACX GFACX American Funds The Growth Fund of America $65.84 +1.57% $233.09B - Financial Services
144 LIN LIN Linde plc $499.65 -1.81% $231.53B 1.91M Basic Materials
145 C C Citigroup Inc. $129.65 +2.67% $226.8B 14.48M Financial Services
146 LRLCY LRLCY L'Oréal S.A. $84.91 +0.78% $226.62B 7.5K Consumer Defensive
147 VVIAX VVIAX Vanguard Value Index Fund Admiral Shares $79.05 +0.67% $225.66B - Financial Services
148 IBM IBM International Business Machines Corporation $240.27 +1.03% $225.38B 3.36M Technology
149 PIMIX PIMIX PIMCO Income Fund Institutional Class $10.89 +0.09% $225B - Financial Services
150 PONAX PONAX PIMCO Income Fund $10.89 +0.09% $225B - Financial Services
151 PONPX PONPX PIMCO Income Fund $10.89 +0.09% $225B - Financial Services
152 AXP AXP American Express Company $326.96 +0.97% $224.5B 2.17M Financial Services
153 LRLCF LRLCF L'Oréal S.A. $415.38 +0.92% $221.16B 492 Consumer Defensive
154 CMWAY CMWAY Commonwealth Bank of Australia $131.95 -0.11% $220.64B 500 Financial Services
155 MGAWY MGAWY Megaworld Corporation $6.76 -1.67% $219.58B 200 Real Estate
156 HESAY HESAY Hermès International Société en commandite par actions $209.28 +3.60% $219.4B 6.9K Consumer Cyclical
157 SIEGY SIEGY Siemens AG $139.75 +2.68% $218.04B 32.2K Industrials
158 HESAF HESAF Hermès International Société en commandite par actions $2,072.50 +1.59% $217.27B 39 Consumer Cyclical
159 FCTDX FCTDX Strategic Advisers Fidelity US TtlStk $20.26 +1.15% $216.51B - Financial Services
160 MCD MCD McDonald's Corporation $303.22 -0.42% $215.54B 2.74M Consumer Cyclical
161 SMAWF SMAWF Siemens AG $279.50 +3.98% $213.19B 1 Industrials
162 VO VO Vanguard Mid-Cap ETF $301.91 +0.67% $212.97B 468.5K Financial Services
163 PEP PEP PepsiCo, Inc. $155.70 -0.12% $212.83B 5.14M Consumer Defensive
164 FFEU FFEU Barclays ETN+ FI Enhanced Europe 50 ETN Series C $90.85 +0.48% $212.78B 327 Financial Services
165 TMUS TMUS T-Mobile US, Inc. $190.00 -1.26% $212.52B 6.32M Communication Services
166 ODIDX ODIDX Oaktree Diversified Income Fund Inc. $8.86 +0.11% $212.48B - Financial Services
167 SRTOY SRTOY Sartorius Stedim Biotech S.A. $21.67 +6.17% $210.8B 8.5K Healthcare
168 GS-PD GS-PD The Goldman Sachs Group, Inc. $19.55 +0.51% $208.08B 109.8K Financial Services
169 MUFG MUFG Mitsubishi UFJ Financial Group, Inc. $18.17 -0.33% $205.96B 1.85M Financial Services
170 GS-PA GS-PA The Goldman Sachs Group, Inc. $19.83 +0.48% $204.8B 105.2K Financial Services
171 BACHF BACHF Bank of China Limited $0.66 +1.55% $204.21B 1.3K Financial Services
172 MBFJF MBFJF Mitsubishi UFJ Financial Group, Inc. $17.90 +1.75% $202.87B 484 Financial Services
173 TTE TTE TotalEnergies SE $90.99 -2.62% $202.63B 2.12M Energy
174 BACHY BACHY Bank of China Limited $16.36 +1.36% $202.48B 1.4K Financial Services
175 BHP BHP BHP Group Limited $79.17 +1.37% $201.12B 2.68M Basic Materials
176 WFC-PQ WFC-PQ Wells Fargo & Company $24.99 -0.04% $200.85B 53.4K Financial Services
177 CBAUF CBAUF Commonwealth Bank of Australia $119.83 +19.56% $200.37B 101 Financial Services
178 VMCIX VMCIX Vanguard Mid-Cap Index Fund Institutional Shares $82.08 +1.15% $199.48B - Financial Services
179 VIMAX VIMAX Vanguard Mid-Cap Index Fund Admiral Shares $371.56 +1.15% $199.47B - Financial Services
180 IDEXF IDEXF Industria de Diseño Textil, S.A. $63.98 +4.23% $199.39B 6.4K Consumer Cyclical
181 TXN TXN Texas Instruments Incorporated $218.87 +1.00% $199.27B 5.45M Technology
182 VMCPX VMCPX Vanguard Mid-Cap Index Fund Institutional Plus Shares $404.80 +1.14% $198.24B - Financial Services
183 RTNTF RTNTF Rio Tinto Group $121.62 +0.10% $197.63B 200 Basic Materials
184 BHPLF BHPLF BHP Group Limited $38.87 +0.27% $197.46B 570 Basic Materials
185 WFC-PY WFC-PY Wells Fargo & Company $24.09 +0.71% $196.7B 26.8K Financial Services
186 TMO TMO Thermo Fisher Scientific Inc. $527.22 +2.53% $195.85B 2.32M Healthcare
187 SAP SAP SAP SE $167.88 -1.00% $195.62B 2.71M Technology
188 SAPGF SAPGF SAP SE $166.82 -0.68% $194.77B 550 Technology
189 IDEXY IDEXY Industria de Diseño Textil, S.A. $15.61 +0.17% $194.49B 22K Consumer Cyclical
190 ANET ANET Arista Networks, Inc. $154.37 +1.55% $194.4B 6.83M Technology
191 MER-PK MER-PK Merrill Lynch Capital Trust I GTD CAP 6.45% $25.55 +0.43% $193.7B 18.9K Financial Services
192 VZ VZ Verizon Communications Inc. $45.48 +0.13% $191.82B 31.14M Communication Services
193 NEE NEE NextEra Energy, Inc. $91.31 -1.07% $190.25B 8.7M Utilities
194 AMGN AMGN Amgen Inc. $350.95 +0.32% $189.19B 2.11M Healthcare
195 ACSAY ACSAY ACS, Actividades de Construcción y Servicios, S.A. $29.29 +4.63% $186.39B 16.7K Industrials
196 SAN SAN Banco Santander, S.A. $12.56 +1.95% $184.36B 5.84M Financial Services
197 WFC-PR WFC-PR Wells Fargo & Company $24.99 -0.04% $184.2B 61.8K Financial Services
198 MEYYY MEYYY PT Medco Energi Internasional Tbk $7.35 0.00% $183.55B 67 Energy
199 APH APH Amphenol Corporation $148.72 +2.37% $182.81B 7.89M Technology
200 DIS DIS The Walt Disney Company $102.60 +1.40% $181.95B 9.98M Communication Services
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