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39,753 stocks  ·  13 / 398 페이지

# Symbol Company Price Change Market Cap Volume Sector
1201 BBD BBD Banco Bradesco S.A. $4.11 +0.12% $43.48B 41.96M Financial Services
1202 CLS.TO CLS.TO Celestica Inc. $524.80 -0.98% $43.42B 462.2K Technology
1203 GMGSF GMGSF Goodman Group $21.18 +3.81% $43.31B 1.1K Real Estate
1204 BIL BIL State Street SPDR Bloomberg 1-3 Month T-Bill ETF $91.51 +0.01% $43.31B 17.01M Financial Services
1205 PCRFF PCRFF Panasonic Holdings Corporation $18.53 +5.89% $43.26B 612 Technology
1206 NUE NUE Nucor Corporation $189.60 -0.23% $43.19B 991.1K Basic Materials
1207 SGEN SGEN Seagen Inc. $228.74 -0.07% $43.15B 19.39M Healthcare
1208 UMGNF UMGNF Universal Music Group N.V. $23.51 +0.47% $43.12B 665 Communication Services
1209 FATTX FATTX American Funds 2045 Target Date Retirement Fd Cl F-1 $24.57 +1.07% $43.1B - Financial Services
1210 CCEP CCEP Coca-Cola Europacific Partners PLC $96.17 -0.27% $43.09B 1.6M Consumer Defensive
1211 HLN HLN Haleon plc $9.66 -0.41% $43.05B 14.79M Healthcare
1212 DNKEY DNKEY Danske Bank A/S $26.37 -0.75% $42.98B 4.9K Financial Services
1213 HBANZ HBANZ Huntington Bancshares Incorporated $21.17 +0.43% $42.97B 7.8K Financial Services
1214 ADRNY ADRNY Koninklijke Ahold Delhaize N.V. $48.19 -0.29% $42.96B 7.9K Consumer Defensive
1215 NAPRF NAPRF Naspers Limited $56.23 +18.53% $42.96B 235 Communication Services
1216 ASMXF ASMXF ASM International N.V. $877.80 -2.79% $42.91B 10 Technology
1217 ODFL ODFL Old Dominion Freight Line, Inc. $205.19 -2.48% $42.9B 1.17M Industrials
1218 DDOG DDOG Datadog, Inc. $121.06 +9.49% $42.84B 5.24M Technology
1219 ANEFX ANEFX American Funds New Economy A $76.23 +2.09% $42.75B - Financial Services
1220 ANFFX ANFFX American Funds New Economy Fund Cl F-1 Shs $76.45 +2.08% $42.74B - Financial Services
1221 RNNEX RNNEX American Funds The New Economy Fund Class R-2E $71.69 +2.06% $42.74B - Financial Services
1222 MDIJX MDIJX MFS International Diversification Fund $29.64 +0.88% $42.74B - Financial Services
1223 MDIZX MDIZX MFS International Diversification Fund Class R6 $29.67 +0.88% $42.74B - Financial Services
1224 MDIDX MDIDX MFS International Diversification Fund Class A $29.24 +0.86% $42.73B - Financial Services
1225 TTRAF TTRAF Telstra Group Limited $3.80 0.00% $42.7B 900 Communication Services
1226 MUB MUB iShares National Muni Bond ETF $106.88 -0.19% $42.57B 3.84M Financial Services
1227 PBCRF PBCRF PT Bank Central Asia Tbk $0.35 -6.51% $42.55B 13.3K Financial Services
1228 VWUAX VWUAX Vanguard U.S. Growth Fund Admiral Shares $185.52 +1.98% $42.55B - Financial Services
1229 LDLVX LDLVX Lord Abbett Short Duration Income Fund $3.86 0.00% $42.51B - Financial Services
1230 LLDYX LLDYX Lord Abbett Short Duration Income I $3.86 0.00% $42.51B - Financial Services
1231 LOLDX LOLDX Lord Abbett Short Duration Income F3 $3.87 0.00% $42.51B - Financial Services
1232 GFIOF GFIOF Gold Fields Limited $47.45 0.00% $42.44B 100 Basic Materials
1233 GFI GFI Gold Fields Limited $47.40 -5.43% $42.42B 2.92M Basic Materials
1234 HOCFF HOCFF Hochtief AG $563.39 -1.79% $42.39B 77 Industrials
1235 RBLX RBLX Roblox Corporation $59.76 +2.50% $42.35B 6.41M Technology
1236 CHPXF CHPXF China Pacific Insurance (Group) Co., Ltd. $4.40 -1.12% $42.34B 1.8K Financial Services
1237 HLNCF HLNCF Haleon plc $4.75 -2.06% $42.34B 100 Healthcare
1238 FTBFX FTBFX Fidelity Total Bond $9.65 +0.31% $42.24B - Financial Services
1239 TLT TLT iShares 20+ Year Treasury Bond ETF $86.82 -0.45% $42.22B 14.34M Financial Services
1240 KR KR The Kroger Co. $66.63 -0.83% $42.17B 3.58M Consumer Defensive
1241 VWIGX VWIGX Vanguard International Growth Fund Investor Shares $36.76 +1.24% $42.1B - Financial Services
1242 VWILX VWILX Vanguard International Growth Fund Admiral Shares $116.86 +1.24% $42.09B - Financial Services
1243 VXZB VXZB iPath Series B S&P 500 VIX Mid-Term Futures ETN $17.95 +1.53% $42.04B 13.1K Financial Services
1244 TSCDY TSCDY Tesco PLC $19.37 +0.52% $42B 9.1K Consumer Defensive
1245 DHI DHI D.R. Horton, Inc. $144.20 -0.72% $41.98B 1.8M Consumer Cyclical
1246 RKLB RKLB Rocket Lab USA, Inc. $73.60 +1.91% $41.91B 22.98M Industrials
1247 VWUSX VWUSX Vanguard U.S. Growth Fund Investor Shares $71.62 +1.99% $41.87B - Financial Services
1248 ESLT ESLT Elbit Systems Ltd. $899.00 -2.37% $41.85B 104.7K Industrials
1249 PPCCY PPCCY PICC Property and Casualty Company Limited $47.00 -0.75% $41.81B 344 Financial Services
1250 SWDBF SWDBF Swedbank AB (publ) $37.20 +3.83% $41.8B 966 Financial Services
1251 ENBA ENBA Enbridge Inc. 6.375 SNT18 B 78 $25.40 0.00% $41.78B 21.5K Energy
1252 MAHMF MAHMF Mahindra & Mahindra Limited $34.80 +2.35% $41.78B 100 Consumer Cyclical
1253 WEGZY WEGZY WEG S.a. $9.95 -4.88% $41.75B 4.3K Industrials
1254 MNOIY MNOIY Mandarin Oriental International Limited $33.00 0.00% $41.71B 300 Consumer Cyclical
1255 SWDBY SWDBY Swedbank AB (publ) $37.09 +0.35% $41.7B 756 Financial Services
1256 OIEJX OIEJX JPMorgan Equity Income Fund Class R6 $26.07 +0.12% $41.65B - Financial Services
1257 OIEIX OIEIX JPMorgan Equity Income A $25.42 +0.08% $41.63B - Financial Services
1258 DNSKF DNSKF Danske Bank A/S $51.34 +8.54% $41.62B 292 Financial Services
1259 KMTUF KMTUF Komatsu Ltd. $45.55 -0.55% $41.6B 476 Industrials
1260 CTPCF CTPCF CITIC Limited $1.43 0.00% $41.6B 1.3K Industrials
1261 AHODF AHODF Koninklijke Ahold Delhaize N.V. $47.01 -1.49% $41.57B 272 Consumer Defensive
1262 DSSMY DSSMY DS Smith Plc $30.00 +14.90% $41.5B 347 Consumer Cyclical
1263 WUXIF WUXIF WuXi AppTec Co., Ltd. $13.88 0.00% $41.41B 600 Healthcare
1264 AIG AIG American International Group, Inc. $77.09 +0.09% $41.36B 6.48M Financial Services
1265 DFAC DFAC Dimensional - US Core Equity 2 ETF $41.42 +0.34% $41.35B 1.82M Financial Services
1266 KMTUY KMTUY Komatsu Ltd. $45.36 +0.89% $41.31B 28.4K Industrials
1267 GRWLF GRWLF Great-West Lifeco Inc $18.00 0.00% $41.31B 400 Financial Services
1268 XYZ XYZ Block, Inc. $67.97 +2.75% $41.3B 3.73M Technology
1269 HLIEX HLIEX JPMorgan Equity Income Fund I Class $26.06 +0.08% $41.28B - Financial Services
1270 PRYMY PRYMY Prysmian S.p.A. $71.88 -0.58% $41.23B 8.9K Industrials
1271 ELEZF ELEZF Endesa, S.A. $40.00 +12.84% $41.22B 118 Utilities
1272 F-PB F-PB Ford Motor Company 6.20% Notes $20.84 +0.05% $41.17B 45.7K Consumer Cyclical
1273 MSCI MSCI MSCI Inc. $560.07 +2.64% $41.15B 281.7K Financial Services
1274 BIDU BIDU Baidu, Inc. $120.94 +2.29% $41.15B 1.88M Communication Services
1275 VTTSX VTTSX Vanguard Target Retirement 2060 Fund $63.97 +0.91% $41.15B - Financial Services
1276 TRI TRI Thomson Reuters Corporation $92.43 +5.06% $41.11B 2.1M Industrials
1277 MET-PA MET-PA MetLife, Inc. $21.16 +0.43% $41.1B 61.4K Financial Services
1278 PSKOF PSKOF Polski Koncern Naftowy ORLEN Spólka Akcyjna $35.40 0.00% $41.1B 800 Energy
1279 TWTR TWTR Twitter, Inc. (delisted) $53.70 0.00% $41.09B 75.14M Communication Services
1280 ASAZF ASAZF ASSA ABLOY AB (publ) $39.00 0.00% $41.08B 100 Industrials
1281 EXCVV EXCVV Exelon Corporation $41.40 -1.43% $41.06B 104.5K Utilities
1282 ET-PI ET-PI Energy Transfer LP $11.96 +0.67% $41.06B 39.8K Energy
1283 FJTSY FJTSY Fujitsu Limited $23.43 +5.85% $40.93B 67.7K Technology
1284 DFCEX DFCEX DFA Emerging Markets Core Equity Portfolio $32.65 +1.11% $40.85B - Financial Services
1285 F-PC F-PC Ford Motor Company 6% Notes due $20.42 -0.20% $40.85B 72.5K Consumer Cyclical
1286 WCN WCN Waste Connections, Inc. $159.80 +0.13% $40.85B 1.06M Industrials
1287 MS-PQ MS-PQ Morgan Stanley $25.65 +0.20% $40.73B 46.9K Financial Services
1288 PRYMF PRYMF Prysmian S.p.A. $142.00 -2.25% $40.73B 894 Industrials
1289 HEI HEI HEICO Corporation $292.36 -2.54% $40.69B 475.8K Industrials
1290 TRI.TO TRI.TO Thomson Reuters Corporation $126.91 +4.69% $40.62B 836.3K Industrials
1291 KIM-PN KIM-PN Kimco Realty Corporation $60.15 -0.64% $40.61B 1.4K Real Estate
1292 FSPGX FSPGX Fidelity Large Cap Growth Index Fund $45.10 +1.81% $40.59B - Financial Services
1293 HLBZF HLBZF HeidelbergCement AG $230.25 +4.76% $40.52B 119 Basic Materials
1294 CNSWF CNSWF Constellation Software Inc. $1,908.90 +3.80% $40.45B 935 Technology
1295 GBTC GBTC Grayscale Bitcoin Trust ETF $58.37 +0.97% $40.41B 2.14M Financial Services
1296 PEG PEG Public Service Enterprise Group Incorporated $80.94 -1.35% $40.4B 2.61M Utilities
1297 WCN.TO WCN.TO Waste Connections, Inc. $219.56 -0.02% $40.4B 272.1K Industrials
1298 HWM-P HWM-P Howmet Aerospace Inc. $100.35 -0.05% $40.35B 1.3K Industrials
1299 VTR VTR Ventas, Inc. $84.87 -0.55% $40.31B 2.81M Real Estate
1300 MCHP MCHP Microchip Technology Incorporated $74.49 -0.01% $40.31B 6.8M Technology
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