Top Gainers

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
Lennar Corporation
US5260571048 — LEN
30.1 B USD 94.61 USD 3.58% 0.8% 10.1 5.7 M Consumer Cyclical 31.79% 4 37 1 1.55% 5.65% 8.32% 15.76% 24.61% 46.56% 108.0% 1.1%
TOTAL SE
FR0000120271 — FP
113.8 B USD 47.97 USD 3.09% 8.5% 12.5 5.8 M Energy 1.89% 4 31 1 0.29% 12.06% 18.22% 19.07% 29.29% 7.2%
Wm Morrison Supermarkets PLC
GB0006043169 — MRW
60.1 M USD 2.50 USD 2.89% 3.9% 45.3 10.9 M Consumer Defensive 0.44% 28 1.03% 1.11% 0.51% 1.15% 2.46% 2.50% 15.51% 8.5%
Danaher Corporation
US2358511028 — DHR
155.8 B USD 257.1 USD 5.07% 0.3% 44.8 4.5 M Healthcare 11.96% 4 28 3 0.47% 2.32% 14.46% 9.27% 9.80% 39.38% 396.1% 0.4%
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%
Canadian Utilities Limited
CA1367171057 — CU-X
7.8 B USD 29.27 USD 2.50% 5.1% 26.5 200.0 Utilities 8.08% 4 26 13 3.19% 4.53% 13.09% 14.24% 18.73% 18.37% 23.96% 5.0%
Etn. Fr. Colruyt NV
BE0974256852 — COLR
7.9 B USD 56.09 USD 4.34% 2.7% 14.1 485.9 k Consumer Defensive 4.73% 1 26 6 1.77% 5.39% 5.06% 4.89% 3.72% 8.52% 1.9%
LafargeHolcim Ltd
CH0012214059 — LHN
36.8 B USD 59.78 USD 5.97% 3.5% 20.7 1.3 M Basic Materials 4.44% 1 25 4.21% 6.73% 17.66% 15.51% 34.70% 65.81% 3.5%
ALBA SE
DE0006209901 — ABA
796.1 M USD 84.42 USD 6.67% 4.7% 162.9 10.0 Industrials 1 22 1 12.00% 1.45% 6.87% 8.53% 15.32% 66.00% 4.7%
Moody's Corporation
US6153691059 — MCO
55.4 B USD 356.1 USD 2.64% 0.8% 31.5 635.6 k Financial Services 10.49% 4 21 11 3.22% 6.64% 19.72% 25.30% 20.17% 28.11% 281.1% 0.8%
Deutsche Börse AG
DE0005810055 — DB1
31.6 B USD 168.9 USD 2.75% 2.1% 24.9 752.6 k Financial Services 6.67% 1 20 5 0.54% 0.99% 0.75% 10.64% 105.3% 2.0%
Nintendo Co., Ltd
US6544453037 — NTDOY
68.5 B USD 73.55 USD 3.00% 20.8% 16.8 464.4 k Communication Services 34.88% 1 20 4.95% 2.68% 0.15% 10.86% 6.95% 27.51% 355.0% 1.3%
Eisai Co., Ltd
US2825793092 — ESALY
19.3 B USD 103.8 USD 2.29% 2.2% 22.3 24.2 k Healthcare 9.50% 1 20 56.07% 42.32% 35.10% 40.12% 23.18% 96.65% 1.1%
China Resources Gas Group Limited
BMG2113B1081 — 1193
12.1 B USD 6.71 USD 3.37% 2.2% 17.6 2.7 M Utilities 23.73% 2 18 12 4.28% 11.80% 18.95% 25.68% 21.79% 25.88% 147.0% 3.8%
Xilinx, Inc
US9839191015 — XLNX
29.5 B USD 133.0 USD 5.37% 1.3% 48.0 2.3 M Technology 4.36% 4 17 17 7.53% 1.66% 16.34% 10.81% 36.75% 197.5% 1.2%
Geely Automobile Holdings Limited
KYG3777B1032 — 0175
28.2 B USD 2.93 USD 2.93% 0.8% 22.2 78.4 M Consumer Cyclical 58.49% 1 16 1.59% 22.53% 8.96% 2.19% 16.91% 87.82% 469.3% 0.9%
The Kroger Co
US5010441013 — KR
27.6 B USD 39.20 USD 4.38% 2.0% 11.2 19.7 M Consumer Defensive 11.48% 4 15 1 0.31% 2.70% 7.20% 23.99% 19.51% 19.34% 20.22% 2.0%
Seven & i Holdings Co., Ltd
JP3422950000 — SVNDF
37.2 B USD 46.19 USD 3.11% 241.0% 21.8 350.0 Consumer Defensive 7.97% 2 15 3 9.99% 28.37% 26.88% 28.24% 16.75% 2.3%
MTU Aero Engines AG
DE000A0D9PT0 — MTX
11.9 B USD 261.5 USD 3.34% 1.8% 42.8 201.4 k Industrials 18.86% 2 15 6 1.20% 2.02% 3.52% 0.095% 31.00% 180.1% 1.7%
Japan Tobacco Inc
JP3726800000 — JAPAF
34.1 B USD 20.63 USD 2.23% 813.1% 11.7 200.0 Consumer Defensive 8.60% 2 13 5 0.40% 5.91% 2.69% 0.56% 7.88% 33.80% 6.3%
American Water Works Company, Inc
US0304201033 — AWK
26.4 B USD 162.2 USD 2.36% 1.5% 37.3 466.1 k Utilities 10.08% 4 13 7 1.83% 6.38% 13.69% 6.72% 6.82% 24.65% 122.0% 1.5%
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%
Sunny Optical Technology (Group) Company
KYG8586D1097 — 2382
28.6 B USD 27.50 USD 7.65% 0.4% 49.6 10.5 M Technology 33.64% 1 13 1 4.51% 15.48% 11.35% 26.08% 12.54% 72.62% 714.4% 0.5%
MarketAxess Holdings Inc
US57060D1081 — MKTX
18.9 B USD 463.2 USD 3.08% 0.5% 63.4 207.5 k Financial Services 24.57% 4 12 7 0.56% 11.79% 21.62% 19.59% 10.90% 232.2% 0.5%
AAC Technologies Holdings Inc
KYG2953R1149 — 2018
7.0 B USD 7.32 USD 6.06% 0.6% 21.8 13.4 M Technology 36.39% 12 1 25.44% 25.58% 21.90% 26.59% 11.18% 0.5%
Morningstar, Inc
US6177001095 — MORN
9.7 B USD 244.3 USD 2.13% 0.5% 43.7 49.0 k Financial Services 14.79% 5 11 7 1.91% 1.23% 12.04% 2.98% 63.14% 206.2% 0.7%
L'Occitane International S.A
LU0501835309 — 0973
4.2 B USD 3.52 USD 2.82% 9.8% 33.0 284.8 k Consumer Defensive 7.31% 1 10 3.23% 3.03% 17.75% 41.67% 41.96% 103.3% 87.16% 8.1%
Agilent Technologies, Inc
US00846U1016 — A
37.1 B USD 147.5 USD 2.70% 0.6% 46.9 1.7 M Healthcare 0.95% 9 10.98% 17.39% 23.16% 21.70% 65.78% 231.6% 0.5%
Fabasoft AG
AT0000785407 — FAA
579.1 M USD 49.42 USD 4.20% 1.4% 45.9 14.5 k Technology 23.64% 1 9 2 1.82% 4.60% 5.27% 12.07% 14.30% 58.47% 845.5% 1.4%
NRG Energy, Inc
US6293775085 — NRG
9.0 B USD 38.39 USD 3.98% 3.4% 17.8 3.5 M Utilities 15.65% 4 9 2 9.77% 3.68% 11.84% 3.33% 13.75% 174.9% 3.6%
NVIDIA Corporation
US67066G1040 — NVDA
313.5 B USD 746.3 USD 4.76% 0.1% 73.3 19.7 M Technology 10.13% 4 9 25.58% 33.33% 33.33% 35.65% 92.71% 1,446.9% 0.1%
Thermo Fisher Scientific Inc
US8835561023 — TMO
174.2 B USD 485.8 USD 3.71% 0.2% 27.7 1.9 M Healthcare 7.96% 4 9 4 6.21% 1.11% 0.37% 34.50% 225.8% 0.2%
Monolithic Power Systems, Inc
US6098391054 — MPWR
15.0 B USD 356.6 USD 3.77% 0.6% 94.1 229.3 k Technology 20.11% 4 7 4 0.59% 10.60% 1.93% 1.30% 5.32% 54.14% 432.2% 0.7%
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%
TUI AG
DE000TUAG000 — TUI1
5.7 B USD 5.54 USD 2.67% 12.2% 6.2 3.8 M Consumer Cyclical 10.35% 1 7 1.58% 3.90% 3.49% 9.80% 8.39% 51.76% 7.5%
BYD Company Limited
CNE100000296 — 1211
71.6 B USD 28.68 USD 8.25% 8.3% 169.6 14.1 M Consumer Cyclical 5 0.094% 38.78% 11.39% 16.08% 4.93% 283.1% 394.3% 0.1%
BYD Electronic (International) Company L
HK0285041858 — 0285
12.9 B USD 6.52 USD 4.43% 0.5% 56.1 6.7 M Technology 2 5 1 4.78% 26.03% 9.03% 16.57% 17.69% 191.4% 1,070.9% 1.3%
China Resources Beer (Holdings) Company
HK0291001490 — 0291
27.9 B USD 9.19 USD 2.66% 0.4% 149.3 4.5 M Consumer Defensive 55.83% 4 1 1.55% 2.65% 11.03% 4.87% 5.47% 61.84% 373.0% 0.4%
Befesa S.A
LU1704650164 — BFSA
2.4 B USD 72.93 USD 7.43% 1.2% 42.6 194.6 k Industrials 3 0.17% 6.01% 8.63% 20.25% 16.38% 81.45% 1.2%
Wiit S.p.A
IT0004922826 — WIIT
459.0 M USD 21.62 USD 2.33% 0.7% 249.2 78.4 k Technology 1 3 3 1.49% 8.98% 88.46% 88.92% 89.45% 84.46% 0.9%
IHS Markit Ltd
BMG475671050 — INFO
38.4 B USD 110.8 USD 2.14% 0.7% 72.2 1.8 M Industrials 4 1 1 2.09% 5.61% 14.33% 24.92% 20.48% 53.63% 915.4% 0.8%
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% —%
Ryanair Holdings plc
IE00BYTBXV33 — RY4C
20.2 B USD 19.70 USD 3.23% 60.4 1.5 M Industrials 4.63% 1.13% 5.07% 45.70% 29.32% —%
Koss Corporation
US5006921085 — KOSS
219.7 M USD 23.90 USD 3.02% 274.5 817.7 k Technology 0.85% 29.84% 11.04% 857.3% 665.2% 1,319.2% 1,114.4% —%
Match Group, Inc
US57667L1070 — MTCH
36.2 B USD 150.2 USD 5.06% 1.4% 275.8 3.0 M Communication Services 0.32% 1.68% 7.82% 4.31% 5.06% 50.67% 910.5% —%
Tyler Technologies, Inc
US9022521051 — TYL
16.7 B USD 443.6 USD 2.92% 87.8 312.8 k Technology 1.00% 9.45% 1.27% 5.83% 0.66% 26.46% 184.8% —%
Village Farms International, Inc
CA92707Y1088 — VFF
1.0 B USD 10.30 USD 2.69% 86.1 316.8 k Consumer Defensive 25.71% 33.61% 1.11% 1.69% 63.59% 650.6% —%
Advanced Micro Devices, Inc
US0079031078 — AMD
92.3 B USD 84.72 USD 5.75% 36.9 74.3 M Technology 9.24% 1.45% 15.80% 11.65% 49.74% 1,616.8% —%
LG Chem, Ltd
KR7051910008 — 051910
64.0 B USD 739.3 USD 3.34% 1.1% 71.7 466.4 k Basic Materials 2.12% 4.77% 8.08% 7.87% 68.00% 233.8% —%
MercadoLibre, Inc
US58733R1023 — MELI
69.9 B USD 1,466.4 USD 2.74% 1.1% 2,897.3 363.9 k Consumer Cyclical 2.29% 5.09% 8.64% 16.38% 14.34% 50.13% 955.8% —%