Most Traded 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
Exxon Mobil Corporation
US30231G1022 — XOM
237.1 B USD 61.99 USD 3.29% 6.2% 61.0 28.0 M Energy 3.86% 4 41 37 3.44% 8.35% 47.95% 55.01% 44.07% 11.74% 6.3%
AT&T Inc
US00206R1023 — T
215.1 B USD 28.74 USD 1.10% 6.9% 19.2 34.6 M Communication Services 3.72% 8 37 16 7.27% 3.00% 3.96% 1.19% 2.08% 7.12% 13.9%
Microsoft Corporation
US5949181045 — MSFT
1,752.4 B USD 260.9 USD 1.37% 0.9% 34.6 25.1 M Technology 10.13% 4 18 15 5.38% 8.99% 17.75% 18.68% 33.68% 456.9% 1.0%
Pfizer Inc
US7170811035 — PFE
199.0 B USD 39.48 USD 0.46% 4.3% 20.9 19.2 M Healthcare 6.30% 4 41 11 10.61% 4.73% 7.66% 27.72% 43.55% 4.4%
JPMorgan Chase & Co
US46625H1005 — JPM
465.5 B USD 151.7 USD 2.92% 2.4% 17.2 28.6 M Financial Services 16.47% 4 37 11 5.80% 0.019% 29.62% 23.24% 58.91% 182.7% 2.4%
The Hong Kong and China Gas Company Limi
HK0003000038 — 0003
28.3 B USD 1.57 USD 0.83% 2.8% 31.6 21.3 M Utilities 8.98% 2 31 11 8.18% 2.36% 5.21% 3.59% 0.23% 41.64% 3.7%
Huntington Bancshares Incorporated
US4461501045 — HBAN
16.2 B USD 13.52 USD 5.92% 3.9% 22.9 26.9 M Financial Services 19.14% 4 37 10 0.28% 9.23% 10.19% 17.18% 15.13% 46.82% 85.03% 3.9%
Cisco Systems, Inc
US17275R1023 — CSCO
212.8 B USD 53.13 USD 0.64% 2.9% 21.1 16.9 M Technology 11.76% 4 10 10 0.28% 2.32% 9.06% 21.13% 23.23% 18.55% 116.7% 2.9%
AIA Group Limited
HK0000069689 — 1299
152.5 B USD 12.25 USD 0.11% 0.2% 26.4 14.5 M Financial Services 19.47% 2 10 10 0.26% 6.41% 2.31% 4.84% 3.25% 33.21% 129.1% 2.1%
Apple Inc
US0378331005 — AAPL
2,019.2 B USD 131.8 USD 1.26% 0.7% 32.6 96.2 M Technology 9.73% 9 9 3.91% 2.09% 0.83% 48.76% 470.9% 0.7%
Bank of America Corporation
US0605051046 — BAC
322.3 B USD 39.83 USD 4.30% 1.9% 20.0 78.6 M Financial Services 29.20% 4 35 8 9.06% 43.57% 37.83% 67.75% 238.4% 2.0%
Oracle Corporation
US68389X1054 — ORCL
197.1 B USD 77.56 USD 0.62% 1.4% 16.4 14.7 M Technology 10.99% 4 12 7 3.24% 23.29% 28.34% 28.06% 59.78% 121.5% 1.7%
Citigroup Inc
US1729674242 — C
149.8 B USD 68.86 USD 3.64% 2.9% 15.2 47.2 M Financial Services 66.38% 4 10 7 3.81% 2.92% 2.50% 25.79% 24.98% 41.16% 99.36% 2.9%
Intel Corporation
US4581401001 — INTC
252.0 B USD 57.18 USD 0.070% 2.1% 12.6 20.0 M Technology 6.58% 4 29 6 2.09% 5.17% 10.17% 13.83% 17.15% 2.30% 106.4% 2.2%
Hewlett Packard Enterprise Company
US42824C1099 — HPE
19.8 B USD 14.75 USD 5.21% 3.2% 11,200.0 14.4 M Technology 63.41% 4 6 6 5.50% 2.50% 28.33% 35.09% 59.27% 60.91% 3.3%
CSPC Pharmaceutical Group Limited
HK1093012172 — 1093
15.2 B USD 1.53 USD 1.54% 1.1% 17.7 57.0 M Healthcare 25.56% 2 8 6 19.60% 46.35% 48.37% 44.99% 255.3% 2.2%
Enel SpA
IT0003128367 — ENEL
102.3 B USD 9.47 USD 1.63% 4.2% 33.0 28.1 M Utilities 29.52% 2 21 5 1.49% 0.94% 1.00% 1.14% 4.46% 9.85% 143.2% 4.2%
PetroChina Company Limited
CNE1000003W8 — 0857
111.8 B USD 0.47 USD 1.94% 6.4% 9.7 237.0 M Energy 3.25% 3 21 5 4.40% 13.38% 17.49% 48.95% 48.33% 42.31% 19.64% 11.4%
Sberbank of Russia
RU0009029540 — SBER
164.2 B USD 4.18 USD 0.96% 6.6% 6.8 41.9 M Financial 110.7% 1 14 5 3.34% 11.16% 12.42% 15.12% 50.24% 143.0% 6.6%
Sirius XM Holdings Inc
US82968B1035 — SIRI
25.5 B USD 6.40 USD 2.44% 0.9% 205.0 25.3 M Communication Services 4 5 5 0.90% 12.95% 5.41% 3.92% 7.46% 10.66% 75.07% 1.0%
China Resources Cement Holdings Limited
KYG2113L1068 — 1313
7.8 B USD 0.97 USD 2.07% 7.1% 7.0 21.4 M Basic Materials 30.69% 2 10 4 3.38% 8.87% 11.89% 13.27% 9.93% 15.25% 336.9% 7.8%
Tesco PLC
GB0008847096 — TSCO
241.7 M USD 3.18 USD 0.43% 5.1% 2.8 14.9 M Consumer Defensive 2 4 4 1.32% 0.51% 2.35% 0.30% 2.53% 3.25% 64.18% 25.2%
China Overseas Land & Investment Limited
HK0688002218 — 0688
28.0 B USD 2.50 USD 0.21% 5.0% 4.7 17.4 M Real Estate 1.36% 2 21 4 0.82% 5.43% 8.06% 8.62% 17.58% 18.12% 0.31% 7.2%
China Construction Bank Corporation
CNE1000002H1 — 0939
211.5 B USD 0.80 USD 0.64% 5.0% 5.5 235.3 M Financial Services 1.72% 15 4 4.86% 9.06% 8.49% 6.95% 62.38% 6.4%
China Unicom (Hong Kong) Limited
HK0000049939 — 0762
18.3 B USD 0.53 USD 0.96% 3.6% 11.2 57.9 M Communication Services 8.58% 1 3 3 1.87% 5.63% 9.11% 4.99% 6.26% 5.42% 43.79% 3.7%
Hon Hai Precision Industry Co., Ltd
TW0002317005 — 2317
58.2 B USD 3.97 USD 1.35% 3.3% 16.4 18.0 M Technology 0.55% 1 21 2 1.36% 14.05% 11.11% 27.56% 12.11% 50.59% 84.59% 3.4%
Ping An Insurance (Group) Company of Chi
CNE1000003X6 — 2318
208.9 B USD 10.13 USD 0.63% 2.4% 9.4 30.8 M Financial Services 43.84% 2 16 2 2.04% 2.82% 17.95% 16.57% 15.91% 0.34% 160.6% 3.7%
China Everbright Environment Group Limit
HK0257001336 — 0257
4.0 B USD 0.57 USD 0.90% 6.0% 5.9 15.7 M Industrials 17.22% 2 17 2 3.40% 13.19% 2.25% 0.67% 12.32% 32.46% 6.4%
Inter RAO UES
RU000A0JPNM1 — IRAO
5.2 B USD 0.066 USD 0.26% 3.9% 5.1 154.0 M Utilities 185.2% 1 6 2 4.34% 4.63% 6.88% 0.23% 145.6% 3.9%
ViacomCBS Inc
US92556H2067 — VIAC
41.1 B USD 40.19 USD 3.87% 1.5% 15.8 21.6 M Communication Services 9.86% 4 18 2 0.39% 8.49% 54.87% 15.11% 13.85% 78.84% 15.20% 1.4%
China Petroleum & Chemical Corporation
CNE1000002Q2 — 0386
75.9 B USD 0.53 USD 0.96% 3.2% 7.5 83.9 M Energy 3.00% 20 1 6.49% 21.51% 18.41% 25.16% 12.36% 8.5%
Xinyi Solar Holdings Limited
KYG9829N1025 — 0968
15.1 B USD 1.77 USD 1.01% 1.9% 39.7 48.3 M Technology 20.99% 2 7 1 9.94% 26.24% 2.63% 6.31% 28.23% 122.6% 501.6% 3.1%
HSBC Holdings plc
GB0005405286 — 0005
116.7 B USD 6.21 USD 0.42% 0.3% 19.1 20.2 M Financial Services 15.83% 1 31 1 0.73% 1.13% 4.92% 15.11% 18.67% 27.32% 26.82% 27.8%
General Motors Company
US37045V1008 — GM
80.4 B USD 60.06 USD 2.75% 0.7% 12.9 18.4 M Consumer Cyclical 22.74% 1 7 1 0.86% 8.51% 1.27% 44.68% 50.11% 123.9% 145.8% 0.7%
WH Group Limited
KYG960071028 — 0288
12.6 B USD 0.91 USD 0.42% 0.3% 9.6 29.0 M Consumer Defensive 2 5 1 6.27% 0.97% 9.04% 5.95% 4.25% 40.95% 3.7%
Bank of Communications Co., Ltd
CNE100000205 — 3328
52.2 B USD 0.66 USD 0.58% 6.2% 4.5 25.9 M Financial Services 0.15% 1 15 1 0.96% 1.18% 11.26% 22.97% 25.98% 14.76% 40.33% 7.4%
China Mobile Limited
HK0941009539 — 0941
139.5 B USD 6.11 USD 0.84% 5.4% 9.1 20.6 M Communication Services 2.29% 2 18 1 1.43% 1.23% 9.14% 8.56% 9.92% 8.62% 30.67% 6.6%
Country Garden Holdings Company Limited
KYG245241032 — 2007
27.2 B USD 1.18 USD 0.87% 4.7% 4.6 28.3 M Real Estate 19.55% 2 13 1 3.34% 1.70% 4.64% 7.50% 9.14% 5.08% 269.7% 6.2%
Singapore Telecommunications Limited
SG1T75931496 — Z74
30.6 B USD 1.72 USD 2.12% 4.2% 24.7 25.3 M Communication Services 9.63% 2 16 1 1.69% 2.10% 0.43% 0.87% 5.69% 20.87% 4.2%
Industrial and Commercial Bank of China
CNE1000003G1 — 1398
281.4 B USD 0.65 USD 1.41% 5.0% 5.6 112.2 M Financial Services 2.37% 1 14 1 0.80% 1.01% 9.76% 6.85% 2.89% 3.19% 62.06% 5.9%
Cathay Financial Holding Co., Ltd
TW0002882008 — 2882
23.7 B USD 1.90 USD 0.55% 4.9% 9.5 18.1 M Financial Services 0.091% 1 11 1 1.10% 11.20% 18.12% 30.83% 28.66% 34.63% 81.65% 4.0%
Centrica plc
GB00B033F229 — CNA
45.2 M USD 0.71 USD 1.11% 80.0 15.4 M Utilities 21.80% 1 22 1 0.35% 3.08% 5.81% 19.08% 12.39% 21.89% 63.28% 6.2%
AGNC Investment Corp
US00123Q1040 — AGNC
8.9 B USD 16.99 USD 2.69% 9.4% 15.3 14.6 M Real Estate 8.85% 12 13 1 2.56% 6.98% 15.14% 14.55% 38.87% 55.01% 8.7%
Ford Motor Company
US3453708600 — F
49.0 B USD 14.77 USD 1.66% 1.2% 674.0 125.5 M Consumer Cyclical 23.67% 1 9 1 0.73% 23.46% 18.20% 65.20% 76.06% 137.0% 44.51% 1.2%
Vodafone Group Plc
GB00BH4HKS39 — VOD
509.2 M USD 1.79 USD 0.11% 6.7% 17.8 46.1 M Communication Services 2.41% 2 31 1 1.37% 8.26% 3.36% 2.58% 5.14% 3.90% 19.11% 7.4%
Marathon Oil Corporation
US5658491064 — MRO
8.3 B USD 12.89 USD 5.64% 0.6% 17.3 27.0 M Energy 34.82% 2 41 1 9.91% 17.10% 92.54% 96.49% 100.2% 12.05% 0.6%
AMC Entertainment Holdings, Inc
US00165C1045 — AMC
5.5 B USD 60.76 USD 10.11% 0.3% 295.1 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%
China Life Insurance Company Limited
CNE1000002L3 — 2628
114.5 B USD 2.01 USD 0.13% 4.1% 6.9 23.8 M Financial Services 9.54% 1 15 1 1.01% 1.26% 4.39% 8.30% 8.30% 1.92% 3.78% 4.8%
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%
CTBC Financial Holding Co., Ltd
TW0002891009 — 2891
15.7 B USD 0.78 USD 0.45% 3.1% 10.7 29.8 M Financial Services 5.92% 1 13 1 3.25% 3.01% 14.99% 13.81% 13.71% 77.93% 4.5%