StockVS

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

Page 25 of 144
GGAL

Grupo Financiero Galicia S.A.

$7.78B

Financial Services / Banks - Regional

P/E 120.82
ACI

Albertsons Companies, Inc.

$7.78B

Consumer Defensive / Grocery Stores

P/E 39.32
CHRD

Chord Energy Corporation

$7.76B

Energy / Oil & Gas E&P

TAP

Molson Coors Beverage Company

$7.73B

Consumer Defensive / Beverages - Brewers

ECG

Everus Construction Group, Inc.

$7.73B

Industrials / Engineering & Construction

P/E 34.64
KEX

Kirby Corporation

$7.72B

Industrials / Marine Shipping

P/E 22.21
XLRE

State Street Real Estate Select Sector SPDR ETF

$7.71B

Real Estate

NFG

National Fuel Gas Company

$7.69B

Energy / Oil & Gas Integrated

P/E 10.94
UGI

UGI Corporation

$7.69B

Utilities / Utilities - Regulated Gas

P/E 12.63
PDI

PIMCO Dynamic Income Fund

$7.67B

Financial Services / Asset Management

P/E 8.06
CAE

CAE Inc.

$7.65B

Industrials / Aerospace & Defense

P/E 33.99
CBSH

Commerce Bancshares, Inc.

$7.64B

Financial Services / Banks - Regional

P/E 12.88
SM

SM Energy Company

$7.62B

Energy / Oil & Gas E&P

P/E 13.41
RIG

Transocean Ltd.

$7.60B

Energy / Oil & Gas Drilling

VLY

Valley National Bancorp

$7.59B

Financial Services / Banks - Regional

P/E 12.35
CELH

Celsius Holdings, Inc.

$7.58B

Consumer Defensive / Beverages - Non-Alcoholic

P/E 69.00
CRL

Charles River Laboratories International, Inc.

$7.55B

Healthcare / Diagnostics & Research

STAG

STAG Industrial, Inc.

$7.52B

Real Estate / REIT - Industrial

P/E 29.86
TECH

Bio-Techne Corporation

$7.51B

Healthcare / Biotechnology

P/E 68.53
NCLH

Norwegian Cruise Line Holdings Ltd.

$7.48B

Consumer Cyclical / Travel Services

P/E 13.15
VOYA

Voya Financial, Inc.

$7.47B

Financial Services / Financial Conglomerates

P/E 12.45
NOV

NOV Inc.

$7.47B

Energy / Oil & Gas Equipment & Services

P/E 83.24
KGS

Kodiak Gas Services, Inc.

$7.43B

Energy / Oil & Gas Equipment & Services

P/E 96.91
ATR

AptarGroup, Inc.

$7.43B

Healthcare / Medical Instruments & Supplies

P/E 19.93
BILI

Bilibili Inc.

$7.41B

Communication Services / Internet Content & Information

P/E 36.29
JXN

Jackson Financial Inc.

$7.41B

Financial Services / Insurance - Life

LTH

Life Time Group Holdings, Inc.

$7.39B

Consumer Cyclical / Leisure

P/E 19.43
ELP

Companhia Paranaense de Energia - COPEL

$7.39B

Utilities / Utilities - Regulated Electric

P/E 19.53
SPYD

State Street SPDR Portfolio S&P 500 High Dividend ETF

$7.39B

Mid-Cap Value

ST

Sensata Technologies Holding plc

$7.33B

Technology / Scientific & Technical Instruments

P/E 152.70
HQY

HealthEquity, Inc.

$7.31B

Healthcare / Health Information Services

P/E 35.47
XLB

State Street Materials Select Sector SPDR ETF

$7.31B

Natural Resources

AVT

Avnet, Inc.

$7.31B

Technology / Electronics & Computer Distribution

P/E 34.41
AXS

AXIS Capital Holdings Limited

$7.30B

Financial Services / Insurance - Specialty

P/E 7.40
AL

Air Lease Corporation

$7.28B

Industrials / Rental & Leasing Services

P/E 7.00
CMPO

GPGI, Inc.

$7.28B

Industrials / Metal Fabrication

JNK

State Street SPDR Bloomberg High Yield Bond ETF

$7.27B

High Yield Bond

CWAN

Clearwater Analytics Holdings, Inc.

$7.27B

Technology / Software - Application

QGEN

Qiagen N.V.

$7.25B

Healthcare / Diagnostics & Research

P/E 17.94
SLAB

Silicon Laboratories Inc.

$7.22B

Technology / Semiconductors

NGD

New Gold Inc.

$7.21B

Basic Materials / Gold

P/E 28.38
HR

Healthcare Realty Trust Incorporated

$7.21B

Real Estate / REIT - Healthcare Facilities

TTEK

Tetra Tech, Inc.

$7.20B

Industrials / Engineering & Construction

P/E 16.60
KNSL

Kinsale Capital Group, Inc.

$7.20B

Financial Services / Insurance - Property & Casualty

P/E 13.73
LEA

Lear Corporation

$7.18B

Consumer Cyclical / Auto Parts

P/E 14.34
MOS

The Mosaic Company

$7.15B

Basic Materials / Agricultural Inputs

P/E 160.79
BRKR

Bruker Corporation

$7.14B

Healthcare / Medical Devices

BEPC

Brookfield Renewable Corporation

$7.12B

Utilities / Utilities - Renewable

VCR

Vanguard Consumer Discretionary Index Fund ETF Shares

$7.11B

Consumer Cyclical

PLXS

Plexus Corp.

$7.11B

Technology / Electronic Components

P/E 38.90