Large Cap Stocks

100 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
NIKE, Inc
US6541061031 — NKE
202.8 B USD 168.6 USD 0.64% 0.8% 60.1 4.9 M Consumer Cyclical 11.73% 4 32 16 26.66% 22.94% 20.33% 32.89% 220.7% 0.8%
BHP Group
AU000000BHP4 — BHP
183.0 B USD 40.85 USD 0.39% 3.3% 26.8 3.9 M Basic Materials 1.38% 2 28 13.87% 19.47% 24.71% 44.55% 149.4% 5.5%
Novo Nordisk A/S
DK0060534915 — NOVO-B
167.0 B USD 91.58 USD 0.16% 2.0% 25.5 1.4 M Healthcare 11.46% 2 20 3 13.81% 34.55% 34.16% 30.39% 112.0% 2.5%
Tesla, Inc
US88160R1014 — TSLA
611.9 B USD 709.7 USD 3.27% 996.1 33.0 M Consumer Cyclical - - 13.78% 5.92% 2.75% 67.28% 1,618.9% —%
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 12.91% 37.72% 53.93% 116.1% 640.2% 0.7%
Oracle Corporation
US68389X1054 — ORCL
197.1 B USD 87.60 USD 0.53% 1.4% 16.4 5.5 M Technology 10.99% 4 12 7 12.16% 30.22% 37.41% 49.18% 139.5% 1.7%
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 10.98% 22.11% 19.42% 29.20% 60.62% 4.4%
Danaher Corporation
US2358511028 — DHR
155.8 B USD 297.0 USD 0.15% 0.3% 44.8 1.2 M Healthcare 11.96% 4 28 3 10.65% 34.82% 33.06% 45.00% 292.5% 0.4%
Accenture plc
IE00B4BNMY34 — ACN
170.7 B USD 316.1 USD 0.49% 1.3% 31.8 1.3 M Technology 9.12% 4 16 1 10.65% 18.83% 23.26% 37.59% 201.8% 1.3%
Alphabet Inc A
US02079K3059 — GOOGL
1,364.2 B USD 2,697.1 USD 0.095% 34.4 1.0 M Communication Services - - 10.24% 32.82% 56.25% 84.75% 230.5% —%
QUALCOMM Incorporated
US7475251036 — QCOM
144.6 B USD 148.9 USD 0.63% 2.0% 21.8 10.7 M Technology 6.68% 4 18 18 9.84% 12.33% 0.24% 35.21% 174.8% 2.0%
Costco Wholesale Corporation
US22160K1051 — COST
152.0 B USD 428.9 USD 0.19% 0.8% 35.1 1.3 M Consumer Defensive 14.23% 5 17 2 9.43% 26.03% 12.83% 27.96% 213.5% 1.0%
Abbott Laboratories
US0028241000 — ABT
210.6 B USD 120.9 USD 0.050% 1.3% 47.5 3.4 M Healthcare 8.45% 4 36 7 8.98% 0.45% 10.82% 15.77% 210.1% 1.5%
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 8.84% 18.75% 12.45% 36.08% 448.1% 0.7%
Thermo Fisher Scientific Inc
US8835561023 — TMO
174.2 B USD 533.1 USD 1.28% 0.2% 27.7 1.1 M Healthcare 7.96% 4 9 4 8.31% 17.25% 12.99% 23.97% 242.4% 0.2%
Honeywell International Inc
US4385161066 — HON
148.8 B USD 232.4 USD 0.59% 1.7% 31.8 1.9 M Industrials 12.17% 4 41 1 7.86% 9.56% 11.77% 43.53% 128.3% 1.8%
Adobe Inc
US00724F1012 — ADBE
216.2 B USD 618.8 USD 0.46% 39.3 1.4 M Technology 7.75% 34.45% 27.49% 31.54% 475.7% —%
Alphabet Inc C
US02079K1079 — GOOG
1,373.8 B USD 2,719.8 USD 0.57% 34.9 818.2 k Communication Services - - 7.53% 32.48% 57.37% 92.18% 245.6% —%
NextEra Energy, Inc
US65339F1012 — NEE
143.9 B USD 78.86 USD 1.23% 1.9% 49.6 6.6 M Utilities 12.70% 4 38 26 7.51% 6.54% 6.25% 15.96% 176.8% 2.1%
Microsoft Corporation
US5949181045 — MSFT
1,752.4 B USD 284.8 USD 0.032% 0.9% 34.6 15.2 M Technology 10.13% 4 18 15 7.37% 19.88% 30.84% 42.36% 432.5% 1.0%
The Procter & Gamble Company
US7427181091 — PG
326.4 B USD 141.9 USD 0.25% 2.4% 25.0 6.6 M Consumer Defensive 3.44% 4 41 17 6.73% 7.00% 2.95% 4.66% 83.24% 2.4%
Sony Corporation
JP3435000009 — SNEJF
136.6 B USD 104.6 USD 1.02% 44.9% 14.0 814.0 Technology 48.22% 20 5 6.14% 1.79% 8.12% 35.44% 517.3% 0.5%
Charter Communications, Inc
US16119P1084 — CHTR
137.3 B USD 749.9 USD 0.78% 41.4 715.4 k Communication Services - - 6.07% 17.60% 15.89% 18.45% 171.0% —%
Roche Holding AG
CH0012032113 — RO
291.9 B USD 413.7 USD 0.41% 2.8% 20.4 21.4 k Healthcare 2.38% 1 25 25 5.91% 22.45% 25.27% 16.74% 59.04% 2.7%
Johnson & Johnson
US4781601046 — JNJ
426.1 B USD 172.1 USD 0.046% 2.5% 29.4 3.6 M Healthcare 6.17% 4 41 41 5.84% 7.34% 9.98% 19.99% 62.35% 2.5%
Cisco Systems, Inc
US17275R1023 — CSCO
212.8 B USD 55.45 USD 0.14% 2.9% 21.1 11.5 M Technology 11.76% 4 10 10 5.10% 10.88% 26.14% 46.19% 102.5% 2.9%
The Coca-Cola Company
US1912161007 — KO
224.2 B USD 56.86 USD 0.30% 3.2% 29.1 8.1 M Consumer Defensive 4.44% 4 41 18 5.06% 10.64% 7.77% 18.87% 53.08% 3.3%
The Home Depot, Inc
US4370761029 — HD
319.2 B USD 326.9 USD 0.40% 2.1% 24.8 2.0 M Consumer Cyclical 20.52% 4 34 12 4.88% 12.73% 23.86% 23.30% 182.9% 2.3%
Linde plc
IE00BZ12WP82 — LIN
149.0 B USD 300.2 USD 0.81% 1.6% 61.9 578.9 k Basic Materials 10.29% 4 18 1 4.64% 12.80% 20.38% 27.33% 190.0% 1.7%
Broadcom Inc
US11135F1012 — AVGO
188.5 B USD 484.7 USD 0.15% 3.0% 53.4 1.5 M Technology 52.10% 4 11 1 4.36% 1.98% 13.98% 35.18% 230.0% 3.1%
Bristol-Myers Squibb Company
US1101221083 — BMY
139.6 B USD 68.02 USD 0.22% 2.9% 93.8 6.4 M Healthcare 8.98% 5 41 4 4.23% 8.62% 10.82% 17.10% 37.48% 3.9%
UnitedHealth Group Incorporated
US91324P1021 — UNH
350.8 B USD 415.5 USD 0.79% 1.3% 23.1 1.7 M Healthcare 20.83% 4 31 11 4.21% 13.26% 18.88% 41.71% 214.5% 1.3%
Wells Fargo & Company
US9497461015 — WFC
157.6 B USD 45.79 USD 0.33% 3.2% 93.0 23.5 M Financial Services 3.72% 4 41 4.16% 19.74% 54.18% 101.5% 15.60% 1.0%
Medtronic plc
IE00BTN1Y115 — MDT
157.4 B USD 131.2 USD 0.084% 2.0% 51.7 2.8 M Healthcare 9.55% 4 39 7 4.05% 12.29% 13.08% 27.07% 65.02% 2.0%
SAP SE
DE0007164600 — SAP
166.9 B USD 142.2 USD 0.38% 1.6% 27.7 1.3 M Technology 7.51% 1 27 11 4.05% 17.70% 15.17% 8.11% 57.09% 1.3%
Facebook, Inc
US30303M1027 — FB
803.4 B USD 351.9 USD 1.22% 28.0 11.8 M Communication Services - - 3.81% 19.90% 30.87% 38.16% 170.6% —%
McDonald's Corporation
US5801351017 — MCD
166.3 B USD 239.8 USD 1.18% 2.2% 35.3 2.7 M Consumer Cyclical 7.94% 4 41 31 2.55% 6.57% 14.09% 11.49% 127.4% 2.3%
Texas Instruments Incorporated
US8825081040 — TXN
164.7 B USD 190.7 USD 0.052% 2.1% 29.9 2.9 M Technology 21.59% 4 41 18 2.48% 6.68% 17.57% 42.12% 210.0% 2.3%
Toyota Motor Corporation
JP3633400001 — TOYOF
218.7 B USD 91.04 USD 1.04% 288.7% 15.7 2.4 k Consumer Cyclical 51.38% 2 19 1 2.40% 20.37% 18.71% 37.52% 62.78% 1.5%
Toyota Motor Corporation
US8923313071 — TM
209.8 B USD 181.9 USD 1.13% 1.4% 15.1 166.8 k Consumer Cyclical 3.10% 2 37 3 2.35% 20.18% 18.65% 38.51% 78.45% 2.8%
Roche Holding AG
CH0012032048 — ROG
286.1 B USD 372.7 USD 0.44% 2.9% 19.0 616.0 k Healthcare 2.38% 1 25 25 1.91% 11.79% 13.66% 3.39% 63.89% 2.9%
Visa Inc
US92826C8394 — V
458.5 B USD 239.8 USD 2.68% 0.6% 42.9 9.9 M Financial Services 19.53% 4 13 13 1.63% 15.28% 10.11% 19.73% 195.9% 0.6%
Berkshire Hathaway Inc B
US0846707026 — BRK-B
577.0 B USD 278.1 USD 0.054% 0.0 3.0 M Financial Services - - 1.27% 12.01% 21.75% 32.69% 91.82% —%
Netflix, Inc
US64110L1061 — NFLX
222.7 B USD 515.1 USD 0.47% 82.7 1.9 M Communication Services - - 1.24% 1.52% 1.47% 4.88% 437.6% —%
Berkshire Hathaway Inc A
US0846701086 — BRK-A
577.0 B USD 418,695.0 USD 0.049% 14.2 1.2 k Financial Services - - 1.16% 10.93% 21.88% 32.99% 92.28% —%
AbbVie Inc
US00287Y1091 — ABBV
183.3 B USD 115.5 USD 0.73% 4.7% 38.2 5.7 M Healthcare 18.50% 4 8 8 0.65% 9.02% 9.52% 32.08% 114.9% 5.0%
Amgen Inc
US0311621009 — AMGN
142.2 B USD 239.8 USD 0.72% 2.6% 20.0 1.6 M Healthcare 15.16% 4 10 10 0.45% 2.14% 5.79% 0.48% 54.73% 2.9%
China Mobile Limited
HK0941009539 — 0941
139.5 B USD 6.30 USD 2.40% 5.4% 9.1 26.4 M Communication Services 2.29% 2 18 1 0.41% 6.84% 11.74% 4.85% 39.59% 6.6%
Mastercard Incorporated
US57636Q1040 — MA
354.1 B USD 375.1 USD 2.82% 0.5% 56.0 3.1 M Financial Services 20.11% 4 15 9 0.094% 5.57% 6.70% 15.70% 278.5% 0.5%
T-Mobile US, Inc
US8725901040 — TMUS
152.1 B USD 144.9 USD 0.62% 46.2 3.3 M Communication Services 0.083% 16.50% 9.42% 32.94% 206.4% —%