Stock Screener

1549 Matches
Name Market Cap Share Price 1 Day Change Div Yield PER Volume Sector Div Growth 5y Div Payments per Years Div Payout Years Div Increase Years 1 Week Perf 1 Month Perf 3 Month Perf 6 Month Perf YTD Perf 1 Year Perf 5 Years Perf Div Yield 2
General Electric Company
US3696041033 — GE
112.9 B USD 100.7 USD 677.4% 0.3% 22.3 24.5 M Industrials 46.16% 4 41 663.2% 666.7% 861.5% 1,489.4% 281.8% 0.3%
Wirecard AG
DE0007472060 — WDI
86.9 M USD 0.73 USD 13.21% 33.3% 0.2 - Technology 22.45% 21.39% 98.66% —%
Express, Inc
US30219E1038 — EXPR
298.9 M USD 5.18 USD 10.45% 8.8 M Consumer Cyclical 6.80% 11.64% 457.0% 539.5% 54.60% —%
Square, Inc
US8522341036 — SQ
94.8 B USD 272.4 USD 10.17% 473.8 45.4 M Technology - - 16.47% 20.47% 23.17% 80.26% 2,189.2% —%
China Resources Cement Holdings Limited
KYG2113L1068 — 1313
7.8 B USD 0.90 USD 9.05% 7.1% 7.0 25.0 M Basic Materials 30.69% 2 10 4 6.30% 20.75% 18.34% 37.70% 188.2% 7.8%
Galaxy Digital Holdings Ltd
KYG370921069 — GLXY
1.5 B USD 16.51 USD 8.39% 898.9 k Financial Services - - 6.17% 19.28% 86.64% 556.5% —%
BYD Company Limited
CNE100000296 — 1211
71.6 B USD 33.21 USD 8.03% 8.3% 169.6 23.0 M Consumer Cyclical 5 11.01% 38.00% 15.68% 152.6% 393.0% 0.1%
DXC Technology Company
US23355L1061 — DXC
6.9 B USD 42.61 USD 6.58% 7.0 6.6 M Technology 53.39% 1 11 13.23% 53.72% 64.39% 146.0% 12.11% 0.8%
Virgin Galactic Holdings, Inc
US92766K1060 — SPCE
7.0 B USD 31.87 USD 6.27% 15.5 M Industrials - - 1.15% 37.31% 93.39% —%
China Conch Venture Holdings Limited
KYG2116J1085 — 0586
8.6 B USD 3.86 USD 5.82% 1.6% 7.7 2.0 M Industrials 10.20% 1 7 4 8.54% 18.14% 21.36% 18.48% 100.8% 2.3%
Bilibili Inc
US0900401060 — BILI
33.7 B USD 90.38 USD 5.61% 4.7 M Communication Services - - 20.43% 15.44% 4.60% 109.7% —%
Melrose Industries PLC
GB00BZ1G4322 — MRO
109.4 M USD 2.32 USD 5.18% 0.4% 119.7 12.1 M Industrials 33.83% 1 15 6.31% 1.52% 5.15% 53.93% 11.03% 0.5%
KUKA Aktiengesellschaft
DE0006204407 — KU2
2.5 B USD 68.24 USD 5.05% 0.2% 154.2 6.7 k Industrials 17.81% 1 8 1 8.58% 53.56% 56.45% 57.30% 30.95% 0.3%
China Resources Land Limited
KYG2108Y1052 — 1109
33.8 B USD 3.51 USD 4.81% 3.3% 8.0 31.8 M Real Estate 19.16% 2 24 17.80% 29.22% 12.10% 23.35% 36.10% 5.9%
Fortinet, Inc
US34959E1091 — FTNT
27.9 B USD 284.6 USD 4.55% 58.8 2.0 M Technology - - 19.63% 58.90% 95.53% 141.5% 691.7% —%
Kweichow Moutai Co., Ltd
CNE0000018R8 — 600519
394.9 B USD 267.9 USD 4.53% 0.9% 55.4 9.7 M Consumer Defensive 31.23% 1 19 6 14.90% 11.81% 12.12% 5.29% 528.9% 0.8%
Hang Lung Properties Limited
HK0101000591 — 0101
12.4 B USD 2.70 USD 4.48% 3.6% 15.7 6.4 M Real Estate 2 31 2 9.15% 6.92% 3.96% 3.96% 40.67% 5.4%
Xinyi Solar Holdings Limited
KYG9829N1025 — 0968
15.1 B USD 2.09 USD 4.36% 1.9% 39.7 63.1 M Technology 20.99% 2 7 1 4.23% 15.30% 21.16% 59.92% 482.7% 3.1%
Hong Kong Exchanges and Clearing Limited
HK0388045442 — 0388
78.2 B USD 66.57 USD 4.33% 1.7% 64.0 7.4 M Financial Services 5.08% 2 21 12.50% 13.44% 17.13% 41.01% 175.6% 1.9%
AIXTRON SE
DE000A0WMPJ6 — AIXA
2.5 B USD 25.41 USD 4.28% 0.6% 60.7 691.8 k Technology 3.09% 15.94% 51.27% 116.3% 290.5% —%
AXA SA
FR0000120628 — CS
64.8 B USD 26.74 USD 4.23% 6.2% 18.5 13.8 M Financial Services 5.13% 1 31 4.49% 1.47% 17.32% 42.53% 44.63% 6.2%
China Resources Power Holdings Company L
HK0836012952 — 0836
6.3 B USD 1.79 USD 4.19% 6.2% 7.4 102.3 M Utilities 6.46% 2 17 1 48.30% 29.07% 66.95% 64.24% 21.32% 8.0%
Bitcoin Group SE
DE000A1TNV91 — ADE
303.2 M USD 42.91 USD 3.98% 90.0 26.7 k Financial Services - - 30.94% 48.16% 53.14% —%
Naked Brand Group Limited
AU0000069130 — NAKD
461.5 M USD 0.55 USD 3.97% 0.0 33.8 M Consumer Cyclical - - 14.30% 35.22% 152.6% 322.8% 99.94% —%
Infineon Technologies AG
DE0006231004 — IFX
50.8 B USD 39.17 USD 3.97% 0.7% 114.1 4.8 M Technology 8.45% 1 10 2.37% 5.19% 4.21% 45.42% 131.9% 0.6%
Celltrion, Inc
KR7068270008 — 068270
37.2 B USD 233.3 USD 3.94% 75.8 455.2 k Healthcare 6.06% 8.82% 24.17% 5.39% 157.0% —%
Ralph Lauren Corporation
US7512121010 — RL
8.6 B USD 118.0 USD 3.94% 0.6% 38.0 2.1 M Consumer Cyclical 19.23% 1 18 2.81% 2.90% 16.44% 65.79% 30.04% 0.6%
Grenergy Renovables, S.A
ES0105079000 — GRE
809.1 M USD 34.12 USD 3.93% 39.4 52.0 k Utilities - - 4.43% 1.02% 26.70% 59.02% 1,789.6% —%
ams AG
AT0000A18XM4 — AMS
4.7 B USD 19.07 USD 3.90% 326.0 2.4 M Technology 1.61% 7.26% 10.06% 3.03% 14.61% —%
Avis Budget Group, Inc
US0537741052 — CAR
4.6 B USD 85.94 USD 3.83% 9.9 2.0 M Industrials 3.23% 27.07% 142.5% 198.3% 135.4% —%
adidas AG
DE000A1EWWW0 — ADS
61.8 B USD 372.5 USD 3.79% 1.1% 122.1 408.4 k Consumer Cyclical 20.75% 1 25 5 9.67% 14.28% 7.55% 17.15% 122.6% 1.4%
Rolls-Royce Holdings plc
GB00B63H8491 — RR
118.4 M USD 1.42 USD 3.78% 37.8 M Industrials 21.20% 1 15 5.29% 7.52% 0.27% 87.64% 49.75% 6.9%
Nisshin Seifun Group Inc
JP3676800000 — NFR
4.7 B USD 16.18 USD 3.76% 259.5% 27.5 382.0 Consumer Defensive 7.21% 2 11 8 11.29% 3.50% 10.40% 2.22% 6.47% 0.2%
Santen Pharmaceutical Co., Ltd
US80287P1003 — SNPHY
5.5 B USD 14.01 USD 3.70% 1.8% 24.9 42.2 k Healthcare 6.36% 2 10 3 2.11% 3.25% 13.25% 29.39% 3.38% 0.9%
Country Garden Holdings Company Limited
KYG245241032 — 2007
27.2 B USD 1.01 USD 3.68% 4.7% 4.6 18.9 M Real Estate 19.55% 2 13 1 11.76% 17.49% 22.59% 17.05% 123.8% 6.2%
Sartorius Aktiengesellschaft
DE0007165607 — SRT
35.7 B USD 636.7 USD 3.63% 0.2% 127.2 146.0 Healthcare 31.70% 2 17 11 40.31% 41.41% 53.82% 84.07% 643.8% 0.3%
Nordstrom, Inc
US6556641008 — JWN
5.9 B USD 34.30 USD 3.63% 1.1% 5.9 4.3 M Consumer Cyclical 43.33% 1 35 4.22% 14.34% 13.09% 159.1% 21.99% 1.1%
BioNTech SE
US09075V1026 — BNTX
22.9 B USD 340.2 USD 3.61% 5.0 M Healthcare - - 50.48% 218.0% 296.8% 414.5% —%
Adler Group S.A
LU1250154413 — ADJ
3.1 B USD 24.83 USD 3.52% 2.0% 11.5 179.9 k Real Estate 16.88% 11.60% 26.97% 17.20% 38.17% —%
Shimano Inc
JP3358000002 — SHMDF
23.0 B USD 260.5 USD 3.49% 62.4% 39.2 101.0 Consumer Cyclical 19.98% 2 19 1 15.97% 10.15% 11.32% 31.32% 83.73% 0.6%
China Overseas Land & Investment Limited
HK0688002218 — 0688
28.0 B USD 2.17 USD 3.44% 5.0% 4.7 27.9 M Real Estate 1.36% 2 21 4 7.02% 20.47% 2.18% 16.12% 28.35% 7.2%
Anglo American plc
GB00B1XZS820 — AAL
580.3 M USD 45.41 USD 3.43% 3.3% 25.9 5.1 M Basic Materials 5.66% 2 4 18.92% 18.66% 28.30% 76.34% 335.9% 4.7%
Varta AG
DE000A0TGJ55 — VAR1
5.6 B USD 177.0 USD 3.39% 2.1% 50.0 266.1 k Industrials - - 10.22% 14.65% 27.10% 35.30% —%
Under Armour, Inc
US9043112062 — UA
9.2 B USD 18.10 USD 3.31% 41.1 5.3 M Consumer Cyclical - - 2.20% 6.85% 20.19% 93.38% 47.23% —%
Tesla, Inc
US88160R1014 — TSLA
611.9 B USD 709.7 USD 3.27% 996.1 33.0 M Consumer Cyclical - - 14.31% 5.92% 2.75% 57.92% 1,629.0% —%
Under Armour, Inc
US9043111072 — UAA
9.3 B USD 21.11 USD 3.23% 46.0 10.1 M Consumer Cyclical - - 4.71% 10.09% 21.67% 97.47% 46.71% —%
International Consolidated Airlines Grou
ES0177542018 — IAG
137.1 M USD 2.39 USD 3.19% 0.2% 1.2 22.5 M Industrials 33.79% 1 6 12.31% 11.48% 15.76% 78.46% 28.90% 8.5%
Deutsche Konsum REIT-AG
DE000A14KRD3 — DKG REIT
478.1 M USD 17.12 USD 3.18% 1.2% 16.4 14.5 k Other 2 2 3.95% 8.18% 9.88% 64.37% —%
Kerry Group plc
IE0004906560 — KYGA
22.0 B USD 150.5 USD 3.09% 0.8% 33.9 10.0 k Consumer Defensive 11.74% 2 28 28 18.62% 23.65% 5.46% 15.38% 77.92% 97.5%
China Mengniu Dairy Company Limited
KYG210961051 — 2319
21.9 B USD 5.59 USD 3.08% 0.6% 36.9 10.5 M Consumer Defensive 2.19% 11 0.46% 9.10% 24.14% 217.5% 0.6%