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
AMC Entertainment Holdings, Inc
US00165C1045 — AMC
5.5 B USD 62.83 USD 13.86% 0.3% 252.5 M Communication Services 48.14% 1 7 1 37.91% 323.2% 335.4% 1,971.6% 2,837.3% 989.3% 181.9% 0.3%
BioNTech SE
US09075V1026 — BNTX
22.9 B USD 214.6 USD 5.29% 1.7 M Healthcare - - 10.02% 104.5% 105.0% 154.5% 329.0% —%
Capitala Finance Corp
US14054R5028 — CPTA BDC
41.9 M USD 25.36 USD 1.30% 9.8% 10.5 k Financial Services 36.35% 3 8 0.11% 13.91% 62.59% 85.89% 82.76% 46.35% 49.73% 9.5%
Westwing Group AG
DE000A2N4H07 — WEW
1.1 B USD 58.32 USD 2.57% 32.3 115.0 Consumer Cyclical - - 2.80% 17.20% 61.89% 64.09% 46.58% 559.7% —%
Eckert & Ziegler Strahlen- und Medizinte
DE0005659700 — EUZ
1.8 B USD 103.5 USD 0.23% 0.6% 68.5 59.0 k Healthcare 23.16% 1 16 4 22.58% 55.70% 115.1% 106.8% 166.3% 2,156.2% 0.6%
KUKA Aktiengesellschaft
DE0006204407 — KU2
2.5 B USD 63.78 USD 0.73% 0.2% 154.2 717.0 Industrials 17.81% 1 8 1 5.47% 15.14% 54.13% 51.71% 55.38% 56.42% 45.39% 0.3%
Biogen Inc
US09062X1037 — BIIB
41.7 B USD 385.4 USD 1.50% 11.0 1.3 M Healthcare - - 41.26% 49.95% 58.28% 63.03% 40.72% 66.27% —%
Nucor Corporation
US6703461052 — NUE
21.7 B USD 94.62 USD 5.32% 2.3% 30.8 4.1 M Basic Materials 1.56% 4 38 12 4.14% 45.10% 85.25% 94.10% 137.9% 133.2% 2.3%
BayWa Aktiengesellschaft
DE0005194005 — BYW
1.7 B USD 60.97 USD 2.97% 2.2% 68.4 100.0 Industrials 3.50% 1 27 1 0.98% 43.85% 44.66% 38.44% 78.18% 93.52% 2.1%
DXC Technology Company
US23355L1061 — DXC
6.9 B USD 38.12 USD 6.96% 7.0 3.7 M Technology 53.39% 1 11 0.31% 11.92% 43.55% 75.89% 58.72% 160.2% 13.12% 0.8%
Wacker Neuson SE
DE000WACK012 — WAC
1.7 B USD 28.56 USD 0.57% 2.9% 105.3 82.0 k Industrials 3.71% 1 10 1 0.080% 0.63% 43.43% 44.17% 44.50% 96.25% 109.8% 2.8%
Klöckner & Co SE
DE000KC01000 — KCO
1.3 B USD 13.64 USD 4.91% 2.8% 15.3 614.6 k Basic Materials 42.43% 58.61% 62.20% 209.7% 40.79% —%
Eisai Co., Ltd
US2825793092 — ESALY
19.3 B USD 103.6 USD 2.07% 2.2% 22.3 19.7 k Healthcare 9.50% 1 20 56.07% 42.32% 35.10% 40.12% 23.18% 96.65% 1.1%
Rinnai Corporation
JP3977400005 — RINIF
5.5 B USD 86.50 USD 0% 1.5% 16.4 0.0 Technology 6.75% 2 14 41.80% 39.52% 39.52% 51.75% 16.4%
GFT Technologies SE
DE0005800601 — GFT
526.6 M USD 24.68 USD 0.71% 1.2% 45.1 20.7 k Technology 4.36% 1 12 1 3.34% 10.46% 41.32% 78.63% 81.02% 116.3% 29.10% 1.2%
K+S Aktiengesellschaft
DE000KSAG888 — SDF
1.9 B USD 13.57 USD 2.77% 0.5% 13.1 934.0 k Basic Materials 26.73% 2 22 1 4.04% 21.01% 38.30% 52.36% 41.33% 83.99% 35.66% 2.2%
Party City Holdco Inc
US7021491052 — PRTY
630.1 M USD 9.06 USD 5.23% 2.0 1.7 M Consumer Cyclical - - 5.03% 3.85% 37.96% 52.91% 50.72% 416.4% 26.23% —%
Avis Budget Group, Inc
US0537741052 — CAR
4.6 B USD 82.50 USD 6.07% 9.9 1.1 M Industrials 4.02% 37.79% 143.0% 158.5% 226.1% 193.2% —%
Demant A/S
DK0060738599 — DEMANT
11.4 B USD 55.34 USD 0.11% 64.7 531.8 k Healthcare 19.06% 37.52% 52.80% 51.43% 85.86% 177.4% —%
VERBIO Vereinigte BioEnergie AG
DE000A0JL9W6 — VBK
2.5 B USD 51.94 USD 0.32% 0.6% 25.7 47.0 k Utilities 1 5 1 2.68% 22.74% 37.34% 60.63% 43.79% 369.2% 808.3% 0.6%
Crocs, Inc
US2270461096 — CROX
5.1 B USD 108.2 USD 1.98% 17.0 1.1 M Consumer Cyclical - - 6.44% 35.40% 69.40% 79.61% 235.0% 919.1% —%
Sonova Holding AG
CH0012549785 — SOON
17.8 B USD 349.2 USD 0.37% 1.1% 50.8 194.9 k Healthcare 26.84% 34.97% 46.18% 42.28% 61.68% 193.4% —%
Newtek Business Services Corp
US6525262035 — NEWT BDC
594.9 M USD 34.63 USD 2.31% 7.9% 17.0 206.2 k Financial Services 12.73% 4 6 0.30% 17.28% 34.24% 99.79% 95.80% 121.3% 380.3% 7.7%
zooplus AG
DE0005111702 — ZO1
2.2 B USD 316.6 USD 2.97% 99.1 9.5 k Consumer Cyclical - - 15.83% 34.11% 57.54% 51.73% 84.97% 113.3% —%
BT Group plc
GB0030913577 — BT-A
209.1 M USD 2.83 USD 2.70% 8.8 37.1 M Communication Services 4.75% 15.43% 33.97% 39.93% 41.27% 63.00% 39.49% —%
NVIDIA Corporation
US67066G1040 — NVDA
313.5 B USD 748.9 USD 5.12% 0.1% 73.3 16.9 M Technology 10.13% 4 9 25.58% 33.33% 33.33% 35.65% 92.71% 1,446.9% 0.1%
ANTA Sports Products Limited
KYG040111059 — 2020
47.3 B USD 21.28 USD 3.38% 0.4% 61.2 5.6 M Consumer Cyclical 0.35% 2 13 1 4.13% 13.75% 33.20% 44.02% 27.01% 133.4% 1,040.4% 0.5%
Kansas City Southern
US4851703029 — KSU
23.1 B USD 286.5 USD 1.30% 0.7% 38.8 470.2 k Industrials 4.44% 4 9 4 1.25% 1.58% 33.01% 52.22% 45.47% 97.60% 254.0% 0.9%
Moderna, Inc
US60770K1079 — MRNA
53.2 B USD 201.9 USD 2.05% 3.9 M Healthcare - - 32.94% 51.36% 85.64% 222.4% —%
Vitrolife AB (publ)
SE0011205202 — VITR
3.8 B USD 40.01 USD 0.40% 0.3% 115.2 30.3 k Healthcare 28.47% 1 12 8 2.62% 12.66% 32.78% 63.00% 57.46% 65.76% 376.8% 0.3%
Apartment Investment and Management Comp
US03748R7540 — AIV
855.7 M USD 7.38 USD 2.19% 9.0% 4.5 2.2 M Real Estate 1.79% 27 1 32.63% 62.58% 49.41% 49.03% 54.22% 1.4%
Equifax Inc
US2944291051 — EFX
21.6 B USD 233.0 USD 0.92% 0.9% 41.8 232.7 k Industrials 6.10% 4 36 3.72% 32.61% 18.42% 21.75% 35.46% 97.21% 0.9%
flatexDEGIRO AG
DE000FTG1111 — FTK
3.3 B USD 132.5 USD 1.71% 48.4 60.2 k Financial Services 5.30% 12.47% 32.47% 84.05% 70.05% 154.0% 668.3% —%
secunet Security Networks Aktiengesellsc
DE0007276503 — YSN
2.4 B USD 439.7 USD 0.27% 0.9% 57.1 2.6 k Technology 42.02% 1 7 1 11.00% 32.45% 56.28% 45.33% 95.94% 1,433.7% 0.5%
Steel Dynamics, Inc
US8581191009 — STLD
10.0 B USD 58.87 USD 5.37% 2.2% 18.4 2.1 M Basic Materials 12.70% 4 17 8 1.83% 2.11% 31.71% 69.24% 72.53% 136.6% 179.1% 2.3%
NortonLifeLock Inc
US6687711084 — NLOK
12.3 B USD 27.35 USD 1.48% 2.4% 14.1 2.6 M Technology 83.55% 5 8 3 2.34% 7.24% 30.84% 36.19% 34.81% 40.18% 155.2% 2.9%
Hugo Boss AG
DE000A1PHFF7 — BOSS
3.1 B USD 54.50 USD 0.19% 0.1% 11.8 184.7 k Consumer Cyclical 5.08% 2 27 4 11.39% 30.25% 65.33% 75.23% 60.76% 12.46% 7.3%
Deutsche Wohnen SE
DE000A0HN5C6 — DWNI
18.6 B USD 60.62 USD 0.39% 2.2% 11.2 808.2 k Real Estate 15.39% 1 10 2 18.55% 30.21% 20.06% 18.99% 27.74% 102.0% 1.9%
IQVIA Holdings Inc
US46266C1053 — IQV
35.8 B USD 246.3 USD 0.86% 130.5 579.8 k Healthcare - - 1.64% 6.61% 30.08% 37.90% 39.73% 77.63% 289.2% —%
ALROSA
RU0007252813 — ALRS
10.7 B USD 1.78 USD 3.11% 2.5% 29.1 51.2 M Basic Materials 12.34% 1 9 1 21.79% 29.71% 42.89% 38.59% 124.0% 186.8% 2.5%
Evolution Gaming Group AB (publ)
SE0012673267 — EVO
34.3 B USD 165.5 USD 3.74% 4.9% 933.6 1.2 M Consumer Cyclical 1 5 5 5.00% 8.11% 29.33% 87.76% 83.02% 168.4% 3,128.8% 0.0%
Target Corporation
US87612E1064 — TGT
96.1 B USD 231.6 USD 0.13% 1.4% 22.3 1.9 M Consumer Defensive 4.41% 38 38 29.33% 35.75% 31.21% 97.29% 301.2% 1.4%
Harley-Davidson, Inc
US4128221086 — HOG
5.4 B USD 44.88 USD 3.32% 1.3% 4,385.0 1.5 M Consumer Cyclical 18.72% 4 28 8.33% 29.08% 30.89% 31.76% 91.13% 20.49% 1.8%
Sealed Air Corporation
US81211K1007 — SEE
7.1 B USD 57.32 USD 1.85% 1.4% 14.3 1.4 M Consumer Cyclical 4.24% 4 15 3.87% 28.82% 31.12% 30.51% 88.31% 34.43% 1.4%
WuXi Biologics (Cayman) Inc
KYG970081090 — 2269
58.3 B USD 15.54 USD 3.34% 224.9 10.3 M Healthcare - - 10.47% 28.45% 36.46% 15.50% 165.5% —%
Iron Mountain Incorporated
US46284V1017 — IRM
10.3 B USD 45.45 USD 0.20% 6.9% 30.2 964.3 k Real Estate 5.31% 4 11 5 28.40% 58.14% 60.29% 70.00% 65.09% 6.9%
Pool Corporation
US73278L1052 — POOL
13.5 B USD 432.9 USD 0.091% 0.7% 37.4 103.8 k Consumer Cyclical 18.02% 4 17 10 0.29% 28.07% 21.97% 21.72% 64.27% 410.7% 0.7%
Hess Corporation
US42809H1077 — HES
21.2 B USD 85.00 USD 3.98% 1.5% 1.4 M Energy 34 1 27.96% 59.98% 71.70% 81.69% 74.02% 1.4%
Compagnie Financière Richemont SA
CH0210483332 — CFR
56.3 B USD 121.9 USD 0.22% 1.0% 216.6 1.1 M Consumer Cyclical 8.97% 1 26 22.21% 27.89% 45.00% 41.78% 94.76% 129.7% 1.1%
HelloFresh SE
DE000A161408 — HFG
14.4 B USD 96.54 USD 1.15% 34.0 644.2 k Consumer Cyclical - - 0.024% 21.17% 27.71% 38.48% 31.42% 110.8% —%