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
Bank of China Limited
CNE1000001Z5 — 3988
139.5 B USD 0.35 USD 0.37% 6.3% 4.6 189.2 M Financial Services 2.47% 1 14 1 0.37% 2.45% 7.6%
Industrial and Commercial Bank of China
CNE1000003G1 — 1398
281.4 B USD 0.56 USD 0.69% 5.0% 5.6 168.3 M Financial Services 2.37% 1 14 1 14.03% 13.41% 5.9%
China Construction Bank Corporation
CNE1000002H1 — 0939
211.5 B USD 0.70 USD 0.55% 5.0% 5.5 156.9 M Financial Services 1.72% 15 4 0.18% 11.09% 16.60% 6.4%
Inter RAO UES
RU000A0JPNM1 — IRAO
5.2 B USD 0.058 USD 0.16% 3.9% 5.1 142.8 M Utilities 185.2% 1 6 2 19.93% 33.04% 3.9%
China Telecom Corporation Limited
CNE1000002V2 — 0728
28.2 B USD 0.41 USD 0.63% 3.9% 9.7 129.0 M Communication Services 5.64% 1 18 43.89% 0.32% 4.6%
Lloyds Banking Group plc
GB0008706128 — LLOY
409.8 M USD 0.64 USD 1.31% 1.4% 35.0 115.1 M Financial Services 36.65% 18.45% —%
Advanced Micro Devices, Inc
US0079031078 — AMD
92.3 B USD 108.6 USD 2.30% 36.9 115.0 M Technology 17.07% 996.2% —%
Geely Automobile Holdings Limited
KYG3777B1032 — 0175
28.2 B USD 3.44 USD 3.08% 0.8% 22.2 111.1 M Consumer Cyclical 58.49% 1 16 20.86% 212.5% 0.9%
New Oriental Education & Technology Grou
US6475811070 — EDU
27.2 B USD 2.17 USD 1.81% 67.8 102.6 M Consumer Defensive 98.74% 95.50% —%
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 60.78% 28.27% 8.0%
CNOOC Limited
HK0883013259 — 0883
46.9 B USD 1.00 USD 1.30% 4.6% 5.3 92.4 M Energy 2.66% 2 20 0.13% 0.19% 5.9%
China Unicom (Hong Kong) Limited
HK0000049939 — 0762
18.3 B USD 0.56 USD 2.86% 3.6% 11.2 77.7 M Communication Services 8.58% 1 3 3 9.43% 48.02% 3.7%
Xiaomi Corporation
KYG9830T1067 — 1810
86.9 B USD 3.31 USD 1.58% 27.4 70.4 M Technology - - 15.71% —%
China Petroleum & Chemical Corporation
CNE1000002Q2 — 0386
75.9 B USD 0.46 USD 1.12% 3.2% 7.5 68.6 M Energy 3.00% 20 1 6.98% 19.61% 8.5%
NIO Limited
US62914V1061 — NIO
60.0 B USD 45.85 USD 2.62% 68.1 M Consumer Cyclical - - 23.57% —%
Sundial Growers Inc
CA86730L1094 — SNDL
2.0 B USD 0.81 USD 1.26% 64.8 M Healthcare - - 35.86% —%
PetroChina Company Limited
CNE1000003W8 — 0857
111.8 B USD 0.42 USD 1.85% 6.4% 9.7 64.6 M Energy 3.25% 3 21 5 34.69% 36.85% 11.4%
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 14.59% 616.5% 3.1%
Ford Motor Company
US3453708600 — F
49.0 B USD 13.91 USD 0.29% 1.2% 674.0 61.9 M Consumer Cyclical 23.67% 1 9 1 23.21% 38.87% 1.2%
Intesa Sanpaolo S.p.A
IT0000072618 — ISP
52.2 B USD 2.71 USD 0.73% 1.6% 12.8 60.3 M Financial Services 26.95% 13.01% —%
AMC Entertainment Holdings, Inc
US00165C1045 — AMC
5.5 B USD 35.20 USD 4.92% 0.3% 58.4 M Communication Services 48.14% 1 7 1 696.4% 31.67% 0.3%
Apple Inc
US0378331005 — AAPL
2,019.2 B USD 145.5 USD 0.23% 0.7% 32.6 58.0 M Technology 9.73% 4 9 9 4.64% 411.8% 0.7%
Sino Biopharmaceutical Limited
KYG8167W1380 — 1177
19.9 B USD 0.86 USD 1.36% 0.8% 34.0 50.3 M Healthcare 24.60% 20 1 14.45% 147.5% 0.7%
Bank of America Corporation
US0605051046 — BAC
322.3 B USD 37.92 USD 1.15% 1.9% 20.0 49.2 M Financial Services 29.20% 4 35 8 20.19% 82.63% 2.0%
Square, Inc
US8522341036 — SQ
94.8 B USD 272.4 USD 10.17% 473.8 45.4 M Technology - - 4.54% 22.22% 1,764.5% —%
Vodafone Group Plc
GB00BH4HKS39 — VOD
509.2 M USD 1.61 USD 0.53% 6.7% 17.8 45.0 M Communication Services 2.41% 2 31 1 9.03% 26.48% 7.4%
Pfizer Inc
US7170811035 — PFE
199.0 B USD 43.96 USD 2.69% 4.3% 20.9 42.3 M Healthcare 6.30% 4 41 11 20.27% 72.55% 4.4%
CSPC Pharmaceutical Group Limited
HK1093012172 — 1093
15.2 B USD 1.35 USD 1.87% 1.1% 17.7 38.3 M Healthcare 25.56% 2 8 6 21.86% 141.5% 2.2%
Gazprom
RU0007661625 — GAZP
76.5 B USD 3.80 USD 0.44% 6.5% 11.0 38.3 M Basic Materials 16.18% 1 15 2.35% 32.22% 159.4% 6.5%
Rolls-Royce Holdings plc
GB00B63H8491 — RR
118.4 M USD 1.42 USD 3.78% 37.8 M Industrials 21.20% 1 15 8.61% 0.51% 47.24% 6.9%
TAL Education Group
US8740801043 — TAL
36.6 B USD 5.84 USD 3.79% 1,853.7 37.0 M Consumer Defensive 71.54% 92.32% 55.53% —%
HSBC Holdings plc
GB0005405286 — 0005
116.7 B USD 5.59 USD 0.93% 0.3% 19.1 36.8 M Financial Services 15.83% 1 31 1 1.16% 1.52% 17.41% 27.8%
WH Group Limited
KYG960071028 — 0288
12.6 B USD 0.84 USD 1.40% 0.3% 9.6 35.1 M Consumer Defensive 2 5 1 0.15% 31.56% 3.7%
Naked Brand Group Limited
AU0000069130 — NAKD
461.5 M USD 0.55 USD 3.97% 0.0 33.8 M Consumer Cyclical - - 24.43% 99.93% —%
Carnival Corporation & Plc
PA1436583006 — CCL
29.9 B USD 21.44 USD 0.97% 2.0% 6.0 33.2 M Consumer Cyclical 14.59% 1 11 11.55% 55.57% 2.0%
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% —%
Cathay Financial Holding Co., Ltd
TW0002882008 — 2882
23.7 B USD 1.96 USD 2.76% 4.9% 9.5 32.3 M Financial Services 0.091% 1 11 1 7.46% 36.10% 39.34% 4.0%
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 13.35% 17.92% 66.74% 5.9%
AT&T Inc
US00206R1023 — T
215.1 B USD 28.11 USD 0.21% 6.9% 19.2 31.7 M Communication Services 3.72% 8 37 16 0.14% 3.44% 16.43% 13.9%
Sberbank of Russia
RU0009029540 — SBER
164.2 B USD 4.09 USD 0.79% 6.6% 6.8 31.6 M Financial 110.7% 1 14 5 16.14% 84.71% 6.6%
Surgutneftegas
RU0009029524 — SNGSP
21.9 B USD 0.50 USD 0.26% 1.6% 1.7 30.4 M Basic Materials 34.76% 1 17 8.65% 64.84% 2.4%
Barclays PLC
GB0031348658 — BARC
427.5 M USD 2.42 USD 0.80% 0.5% 21.2 29.7 M Financial Services 1.59% 1 31 28.28% 11.88% 0.5%
Tencent Holdings Limited
KYG875721634 — 0700
764.5 B USD 61.10 USD 0.84% 0.2% 56.2 29.4 M Communication Services 27.23% 16 16 10.55% 38.03% 142.6% 0.3%
BP p.l.c
GB0007980591 — BP
848.2 M USD 3.99 USD 0.19% 8.7% 20.2 29.4 M Energy 3.61% 4 31 3.24% 22.84% 6.9%
Banco Bilbao Vizcaya Argentaria, S.A
ES0113211835 — BBVA
33.4 B USD 6.39 USD 0.72% 1.4% 31.1 29.0 M Financial Services 11.05% 1 29 40.21% 3.52% 1.3%
Ping An Insurance (Group) Company of Chi
CNE1000003X6 — 2318
208.9 B USD 8.78 USD 0.15% 2.4% 9.4 29.0 M Financial Services 43.84% 2 16 2 30.64% 84.54% 3.7%
Banco Santander, S.A
ES0113900J37 — SAN
57.7 B USD 3.59 USD 0.70% 4.5% 8.2 28.9 M Financial Services 23.13% 28.14% —%
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 8.77% 13.20% 7.2%
CTBC Financial Holding Co., Ltd
TW0002891009 — 2891
15.7 B USD 0.81 USD 1.09% 3.1% 10.7 27.2 M Financial Services 5.92% 1 13 1 1.09% 20.31% 52.43% 4.5%
American Airlines Group Inc
US02376R1023 — AAL
14.6 B USD 20.06 USD 1.57% 0.5% 2.8 26.5 M Industrials 24.21% 1 7 30.01% 55.78% 0.5%