StockVS

NYSE & NASDAQ Stocks - Complete List & Prices (7,163)

NVDA

NVIDIA Corporation

$5.22T

Technology / Semiconductors

P/E 33.03
GOOGL

Alphabet Inc.

$4.71T

Communication Services / Internet Content & Information

P/E 29.66
GOOG

Alphabet Inc.

$4.66T

Communication Services / Internet Content & Information

P/E 29.33
AAPL

Apple Inc.

$4.53T

Technology / Consumer Electronics

P/E 37.33
MSFT

Microsoft Corporation

$3.11T

Technology / Software - Infrastructure

P/E 24.94
AMZN

Amazon.com, Inc.

$2.85T

Consumer Cyclical / Internet Retail

P/E 31.66
VTI

Vanguard Total Stock Market Index Fund ETF Shares

$2.20T

Large Blend

TSM

Taiwan Semiconductor Manufacturing Company Limited

$2.14T

Technology / Semiconductors

P/E 35.21
AVGO

Broadcom Inc.

$2.00T

Technology / Semiconductors

P/E 81.94
TSLA

Tesla, Inc.

$1.63T

Consumer Cyclical / Auto Manufacturers

P/E 401.47
VOO

Vanguard S&P 500 ETF

$1.60T

Large Blend

META

Meta Platforms, Inc.

$1.55T

Communication Services / Internet Content & Information

P/E 22.28
BRK-B

Berkshire Hathaway Inc.

$1.04T

Financial Services / Insurance - Diversified

P/E 14.39
BRK-A

Berkshire Hathaway Inc.

$1.04T

Financial Services / Insurance - Diversified

P/E 14.37
LLY

Eli Lilly and Company

$949.47B

Healthcare / Drug Manufacturers - General

P/E 37.88
WMT

Walmart Inc.

$945.12B

Consumer Defensive / Discount Stores

P/E 41.60
MU

Micron Technology, Inc.

$846.93B

Technology / Semiconductors

P/E 35.46
JPM

JPMorgan Chase & Co.

$821.91B

Financial Services / Banks - Diversified

P/E 14.68
AMD

Advanced Micro Devices, Inc.

$821.64B

Technology / Semiconductors

P/E 166.85
IVV

iShares Core S&P 500 ETF

$797.47B

Large Blend

SPY

State Street SPDR S&P 500 ETF Trust

$735.06B

Large Blend

VXUS

Vanguard Total International Stock Index Fund ETF Shares

$629.15B

Foreign Large Blend

ASML

ASML Holding N.V.

$629.01B

Technology / Semiconductor Equipment & Materials

P/E 54.35
XOM

Exxon Mobil Corporation

$620.95B

Energy / Oil & Gas Integrated

P/E 25.18
V

Visa Inc.

$620.88B

Financial Services / Credit Services

P/E 28.49
INTC

Intel Corporation

$620.81B

Technology / Semiconductors

JNJ

Johnson & Johnson

$554.09B

Healthcare / Drug Manufacturers - General

P/E 26.67
ORCL

Oracle Corporation

$552.43B

Technology / Software - Infrastructure

P/E 34.48
CSCO

Cisco Systems, Inc.

$466.39B

Technology / Communication Equipment

P/E 39.31
COST

Costco Wholesale Corporation

$444.95B

Consumer Defensive / Discount Stores

P/E 52.07
QQQ

Invesco QQQ Trust

$440.26B

Large Growth

MA

Mastercard Incorporated

$435.62B

Financial Services / Credit Services

P/E 28.56
CAT

Caterpillar Inc.

$418.47B

Industrials / Farm & Heavy Construction Machinery

P/E 45.25
LRCX

Lam Research Corporation

$403.53B

Technology / Semiconductor Equipment & Materials

P/E 61.00
BND

Vanguard Total Bond Market Index Fund

$389.70B

Intermediate Core Bond

ABBV

AbbVie Inc.

$376.54B

Healthcare / Drug Manufacturers - General

P/E 103.96
NFLX

Netflix, Inc.

$373.08B

Communication Services / Entertainment

P/E 28.58
BAC

Bank of America Corporation

$370.44B

Financial Services / Banks - Diversified

P/E 12.95
CVX

Chevron Corporation

$367.87B

Energy / Oil & Gas Integrated

P/E 32.18
VUG

Vanguard Growth Index Fund ETF Shares

$365.00B

Large Growth

AMAT

Applied Materials, Inc.

$361.16B

Technology / Semiconductor Equipment & Materials

P/E 42.75
KO

The Coca-Cola Company

$346.18B

Consumer Defensive / Beverages - Non-Alcoholic

P/E 25.30
UNH

UnitedHealth Group Incorporated

$342.24B

Healthcare / Healthcare Plans

P/E 28.40
ARM

Arm Holdings plc

$341.78B

Technology / Semiconductors

P/E 382.40
PG

The Procter & Gamble Company

$336.34B

Consumer Defensive / Household & Personal Products

P/E 21.09
GE

GE Aerospace

$328.59B

Industrials / Aerospace & Defense

P/E 39.07
PLTR

Palantir Technologies Inc.

$328.14B

Technology / Software - Infrastructure

P/E 153.80
HSBC

HSBC Holdings plc

$321.49B

Financial Services / Banks - Diversified

P/E 15.49
MS

Morgan Stanley

$317.08B

Financial Services / Capital Markets

P/E 18.21
BABA

Alibaba Group Holding Limited

$310.62B

Consumer Cyclical / Internet Retail

P/E 20.01

NYSE/NASDAQ currently lists 7,163 companies with a combined market capitalization of $114.42T.

Largest Companies on NYSE/NASDAQ

Company Ticker Market Cap P/E
NVIDIA Corporation NVDA $5.22T 33.0
Alphabet Inc. GOOGL $4.71T 29.7
Alphabet Inc. GOOG $4.66T 29.3
Apple Inc. AAPL $4.53T 37.3
Microsoft Corporation MSFT $3.11T 24.9

Sector Breakdown

Sector Stocks
Financial Services 1,665
Healthcare 1,114
Technology 796
Industrials 697
Consumer Cyclical 570
Real Estate 291
Basic Materials 281
Communication Services 280
Consumer Defensive 254
Energy 253
Utilities 112

Frequently Asked Questions

How many companies are listed on NYSE/NASDAQ?

NYSE/NASDAQ has 7,163 listed companies tracked on our platform.

What currency are NYSE/NASDAQ stocks traded in?

Stocks on NYSE/NASDAQ are primarily traded in USD.