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Equities

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10,000+ stocks • Updated 00:00
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Symbol
Name
1D Chart
Price (Intraday)
Change
Change %
Volume
Avg Vol (3M)
Market Cap
P/E Ratio (TTM)
52 Week Range
Region
Sector
Industry
Index
Follow
1
Apple Inc.
336.91 +3.89 +1.17% 39.228M 55.382M 4.948T 40.37 US Technology Consumer Electronics
S&P 500, NASDAQ Composite +2
2
NVIDIA Corporation
196.51 -10.33 -4.99% 153.104M 154.519M 4.76T 31.68 US Technology Semiconductors
S&P 500, NASDAQ Composite +2
3
Alphabet Inc.
326.57 +7.48 +2.34% 21.361M 22.582M 3.994T 16.04 US Communication Services Internet Content & Information
S&P 500, NASDAQ Composite +1
4
Alphabet Inc.
326.56 +6.82 +2.13% 28.34M 33.133M 3.994T 16.04 US Communication Services Internet Content & Information
S&P 500, NASDAQ Composite +1
5
Microsoft Corporation
389.10 +7.40 +1.94% 23.095M 39.23M 2.89T 22.73 US Technology Software—Infrastructure
S&P 500, NASDAQ Composite +2
6
Amazon.com, Inc.
231.39 -0.72 -0.31% 25.994M 48.809M 2.489T 27.76 US Consumer Cyclical Internet Retail
S&P 500, NASDAQ Composite +2
7
Taiwan Semiconductor Manufacturing Company Limited
399.09 -4.32 -1.07% 15.669M 13.959M 2.07T 27.49 US Technology Semiconductors --
8
Broadcom Inc.
383.22 +1.30 +0.34% 12.429M 26.04M 1.823T 63.56 US Technology Semiconductors
S&P 500, NASDAQ Composite +1
9
Meta Platforms, Inc.
593.87 -1.32 -0.22% 8.891M 18.282M 1.507T 21.65 US Communication Services Internet Content & Information
S&P 500, NASDAQ Composite +1
10
Space Exploration Technologies Corp.
113.50 -1.57 -1.36% 63.389M 119.787M 1.495T -- US Industrials Aerospace & Defense --
11
Tesla, Inc.
309.22 -3.81 -1.22% 39.098M 48.146M 1.221T 289.97 US Consumer Cyclical Auto Manufacturers
S&P 500, NASDAQ Composite +1
12
Berkshire Hathaway Inc.
745,840.00 +840.00 +0.11% 88 206 1.072T 14.78 US Financial Services Insurance—Diversified --
13
Berkshire Hathaway Inc.
497.18 +2.25 +0.45% 2.187M 4.954M 1.072T 14.78 US Financial Services Insurance—Diversified
S&P 500
14
Eli Lilly and Company
1,197.53 +1.50 +0.13% 1.102M 3.174M 1.068T 42.49 US Healthcare Drug Manufacturers—General
S&P 500
15
Micron Technology, Inc.
900.20 -20.75 -2.25% 42.307M 52.273M 1.017T 20.78 US Technology Semiconductors
S&P 500, NASDAQ Composite +1
16
SK hynix Inc.
143.02 -11.55 -7.47% 48.435M 55.465M 1.015T 18.29 US Technology Semiconductors --
17
JPMorgan Chase & Co.
356.20 +2.99 +0.85% 5.718M 9.433M 946.851B 15.16 US Financial Services Banks—Diversified
S&P 500, Dow Jones Industrial Average
18
Walmart Inc.
111.74 +2.27 +2.07% 18.957M 22.411M 889.236B 38.54 US Consumer Defensive Discount Stores
S&P 500, NASDAQ Composite +2
19
Advanced Micro Devices, Inc.
494.95 -27.00 -5.17% 28.267M 33.578M 807.066B 174.05 US Technology Semiconductors
S&P 500, NASDAQ Composite +1
20
Visa Inc.
362.53 +6.79 +1.91% 4.329M 8.382M 689.439B 31.01 US Financial Services Credit Services
S&P 500, Dow Jones Industrial Average
21
ExxonMobil Holdings Corporation
154.77 -2.17 -1.38% 13.948M 16.891M 641.513B 26.43 US Energy Oil & Gas Integrated
S&P 500
22
Johnson & Johnson
265.95 +2.55 +0.97% 5.773M 8.209M 640.913B 30.53 US Healthcare Drug Manufacturers—General
S&P 500, Dow Jones Industrial Average
23
ASML Holding N.V.
1,666.00 -101.79 -5.76% 374 8,414 639.911B 56.76 US Technology Semiconductor Equipment & Materials --
24
ASML Holding N.V.
1,655.26 -101.83 -5.80% 3.061M 1.919M 635.785B 56.76 US Technology Semiconductor Equipment & Materials
NASDAQ Composite, NASDAQ 100
25
Tencent Holdings Limited
57.25 +1.65 +2.97% 792,468 4.304M 515.343B 14.81 US Communication Services Internet Content & Information --