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
Berkshire Hathaway Inc A
US0846701086 — BRK-A
577.0 B USD 418,695.0 USD 0.049% 14.2 1.2 k Financial Services - - 19.42% 75.85% —%
Chocoladefabriken Lindt & Sprüngli AG
CH0010570759 — LISN
22.5 B USD 111,742.3 USD 0.48% 1.2% 69.1 65.0 Consumer Defensive 11.84% 1 25 3 22.96% 65.19% 0.8%
Lotus Bakeries NV
BE0003604155 — LOTB
4.3 B USD 5,909.4 USD 2.44% 0.8% 44.0 462.0 Consumer Defensive 19.22% 1 25 18 29.23% 112.0% 0.5%
NVR, Inc
US62944T1051 — NVR
16.8 B USD 5,227.4 USD 0.092% 19.9 7.3 k Consumer Cyclical 15.14% 212.6% —%
Givaudan SA
CH0010645932 — GIVN
38.3 B USD 4,802.3 USD 0.27% 1.7% 49.0 9.4 k Basic Materials 4.40% 1 20 4 25.77% 176.3% 1.6%
Amazon.com, Inc
US0231351067 — AMZN
1,536.5 B USD 3,331.5 USD 0.12% 72.9 3.2 M Consumer Cyclical - - 1.19% 307.3% —%
SGS SA
CH0002497458 — SGSN
21.8 B USD 3,099.1 USD 0.24% 2.9% 43.1 13.5 k Industrials 3.30% 1 21 2 6.52% 62.98% 2.9%
Alphabet Inc C
US02079K1079 — GOOG
1,373.8 B USD 2,719.8 USD 0.57% 34.9 818.2 k Communication Services - - 2.00% 43.07% 232.0% —%
Adyen N.V
NL0012969182 — ADYEN
71.7 B USD 2,707.9 USD 0.87% 236.5 40.2 k Technology - - 20.35% —%
Alphabet Inc A
US02079K3059 — GOOGL
1,364.2 B USD 2,697.1 USD 0.095% 34.4 1.0 M Communication Services - - 42.51% 219.4% —%
Transneft
RU0009091573 — TRNFP
14.6 B USD 2,175.9 USD 0.77% 7.9% 7.1 2.4 k Basic Materials 72.61% 1 13 2 13.03% 8.17% 7.9%
Booking Holdings Inc
US09857L1089 — BKNG
92.9 B USD 2,170.9 USD 0.34% 1,575.6 245.5 k Consumer Cyclical - - 7.56% 39.61% —%
Chipotle Mexican Grill, Inc
US1696561059 — CMG
40.3 B USD 1,864.4 USD 0.053% 114.4 188.4 k Consumer Cyclical - - 25.44% 357.3% —%
Straumann Holding AG
CH0012280076 — STMN
20.6 B USD 1,806.9 USD 1.55% 0.5% 213.8 16.1 k Healthcare 8.92% 1 22 6 64.28% 340.8% 0.5%
Partners Group Holding AG
CH0024608827 — PGHN
35.9 B USD 1,653.4 USD 0.81% 2.1% 42.4 31.9 k Financial Services 24.57% 1 14 11 44.87% 251.2% 2.1%
AutoZone, Inc
US0533321024 — AZO
30.3 B USD 1,630.7 USD 0.44% 17.4 110.3 k Consumer Cyclical - - 36.34% 120.6% —%
MercadoLibre, Inc
US58733R1023 — MELI
69.9 B USD 1,578.7 USD 0.63% 1.1% 2,897.3 318.7 k Consumer Cyclical 16.03% 785.4% —%
Hermès International Société en commandi
FR0000052292 — RMS
128.5 B USD 1,536.0 USD 1.63% 0.4% 79.3 42.6 k Consumer Cyclical 9.05% 2 27 1 50.64% 234.3% 0.4%
Shopify Inc
CA82509L1076 — SHOP
131.3 B USD 1,485.7 USD 1.39% 519.9 172.5 k Technology - - 23.02% 2,758.2% —%
Texas Pacific Land Trust
US8826101086 — TPL
11.9 B USD 1,478.8 USD 0.92% 0.7% 67.5 25.2 k Energy 146.9% 2 40 7 79.84% 392.3% 0.4%
Mettler-Toledo International Inc
US5926881054 — MTD
26.0 B USD 1,477.1 USD 0.23% 44.7 133.0 k Healthcare - - 1.20% 19.63% 256.3% —%
Markel Corporation
US5705351048 — MKL
15.7 B USD 1,206.3 USD 0.0083% 20.5 21.3 k Financial Services - - 21.85% 33.73% —%
RATIONAL Aktiengesellschaft
DE0007010803 — RAA
9.4 B USD 1,096.1 USD 2.07% 0.7% 99.6 7.4 k Industrials 10.89% 2 20 3 17.14% 140.1% 1.6%
Intuitive Surgical, Inc
US46120E6023 — ISRG
83.4 B USD 992.5 USD 0.11% 79.9 306.0 k Healthcare - - 33.39% 354.6% —%
Teva Pharmaceutical Industries Limited
IL0006290147 — TEVA
11.0 B USD 946.9 USD 1.09% 921.4 1.1 M Healthcare 21.78% 74.08% —%
Kering SA
FR0000121485 — KER
95.5 B USD 908.1 USD 2.42% 1.3% 37.9 137.0 k Consumer Cyclical 27.43% 3 31 4 42.37% 290.1% 1.9%
BlackRock, Inc
US09247X1019 — BLK
111.0 B USD 873.3 USD 0.70% 2.0% 22.8 367.4 k Financial Services 10.74% 4 18 11 0.50% 20.79% 156.3% 2.3%
Equinix, Inc. (REIT)
US29444U7000 — EQIX REIT
59.3 B USD 819.0 USD 0.17% 1.6% 158.8 497.2 k Real Estate 9.69% 4 7 4 13.57% 129.4% 1.7%
LVMH Moët Hennessy - Louis Vuitton, Soci
FR0000121014 — MC
373.2 B USD 805.5 USD 1.94% 1.0% 67.8 324.7 k Consumer Cyclical 6.87% 2 31 34.31% 285.7% 1.3%
Geberit AG
CH0030170408 — GEBN
23.2 B USD 791.2 USD 0.43% 1.9% 34.4 51.6 k Industrials 6.37% 1 21 7 35.77% 96.60% 1.8%
ASML Holding N.V
USN070592100 — ASML
245.0 B USD 769.6 USD 0.38% 0.6% 57.7 488.1 k Technology 28.61% 2 14 35.59% 557.8% 0.7%
ASML Holding N.V
NL0010273215 — ASML
262.0 B USD 765.3 USD 2.14% 0.5% 63.3 623.7 k Technology 29.51% 2 15 41.48% 503.4% 0.5%
LG Chem, Ltd
KR7051910008 — 051910
64.0 B USD 765.0 USD 2.61% 1.1% 71.7 309.4 k Basic Materials 11.38% 238.4% —%
Lonza Group Ltd
CH0013841017 — LONN
43.9 B USD 756.7 USD 1.30% 0.5% 47.9 165.2 k Healthcare 9.90% 1 21 1 19.23% 335.8% 0.3%
Charter Communications, Inc
US16119P1084 — CHTR
137.3 B USD 749.9 USD 0.78% 41.4 715.4 k Communication Services - - 15.96% 142.9% —%
Bio-Rad Laboratories, Inc
US0905722072 — BIO
16.8 B USD 736.5 USD 0.41% 4.4 142.4 k Healthcare - - 9.04% 23.81% 296.5% —%
Tesla, Inc
US88160R1014 — TSLA
611.9 B USD 709.7 USD 3.27% 996.1 33.0 M Consumer Cyclical - - 19.43% 1,325.5% —%
Align Technology, Inc
US0162551016 — ALGN
40.5 B USD 700.0 USD 0.60% 22.8 769.4 k Healthcare - - 31.07% 660.5% —%
IDEXX Laboratories, Inc
US45168D1046 — IDXX
40.3 B USD 678.7 USD 0.028% 70.4 348.2 k Healthcare - - 38.74% 476.5% —%
Samsung SDI Co., Ltd
KR7006400006 — 006400
40.8 B USD 661.4 USD 0.81% 0.1% 179.0 193.9 k Technology 1 13 1 5.68% 612.7% —%
Lam Research Corporation
US5128071082 — LRCX
78.3 B USD 641.8 USD 0.69% 0.9% 27.2 1.3 M Technology 35.32% 4 7 7 13.82% 511.2% 0.9%
MicroStrategy Incorporated
US5949724083 — MSTR
6.0 B USD 637.8 USD 1.88% 3,117.7 1.2 M Technology - - 14.72% 10.53% 211.0% —%
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 58.31% 720.7% 0.3%
TransDigm Group Incorporated
US8936411003 — TDG
32.1 B USD 635.3 USD 0.90% 21.6% 89.2 185.4 k Industrials 1.84% 10.22% 183.9% —%
Atrion Corporation
US0499041053 — ATRI
1.2 B USD 634.2 USD 0.84% 1.0% 36.6 8.5 k Healthcare 14.87% 4 18 7 11.31% 41.02% 1.1%
Adobe Inc
US00724F1012 — ADBE
216.2 B USD 618.8 USD 0.46% 39.3 1.4 M Technology 1.14% 30.69% 457.6% —%
Sartorius Aktiengesellschaft
DE0007165631 — SRT3
35.2 B USD 612.0 USD 2.39% 0.1% 139.8 35.9 k Healthcare 31.71% 2 27 11 33.64% 675.2% 0.3%
MSCI Inc
US55354G1004 — MSCI
34.1 B USD 610.9 USD 2.51% 0.7% 57.9 294.7 k Financial Services 29.56% 4 7 7 5.52% 51.41% 677.9% 0.7%
O'Reilly Automotive, Inc
US67103H1077 — ORLY
34.9 B USD 601.1 USD 0.45% 21.1 418.5 k Consumer Cyclical - - 33.60% 126.9% —%
Hypoport SE
DE0005493365 — HYQ
3.4 B USD 592.7 USD 0.49% 108.1 4.5 k Financial Services - - 12.24% 487.3% —%