NYSE stocks
The 2,118 companies we cover that are listed on the New York Stock Exchange, largest first by market value. Each links to its research page: share price, fundamentals, our fair value estimate and which funds own it. This is page 1 of 6: numbers 1 to 400.
Other exchanges
- Nasdaq (3,287)
- NYSE (2,118)
- OTC (1,414)
- NYSE American (260)
- ASX (102)
- TSX (102)
- LSE (94)
- JSE (92)
- HKEX (78)
- NYSE Arca (71)
- Tokyo (70)
- NSE India (63)
- Xetra (41)
- Shanghai (38)
- Euronext Paris (25)
- Shenzhen (20)
- Cboe (18)
- SIX (14)
- B3 (12)
- KRX (12)
- BME (10)
- Euronext Amsterdam (10)
- Euronext Milan (10)
- Nasdaq Stockholm (9)
- BMV (8)
- TWSE (8)
- SGX (7)
- IDX (6)
- Tadawul (6)
- Nasdaq Copenhagen (5)
- Oslo Børs (4)
- Euronext Brussels (3)
- BRK-B Berkshire Hathaway Inc.$1.08T
- BRK-A Berkshire Hathaway Inc.$1.08T
- BRK.B Berkshire Hathaway Inc.$1.07T
- LLY Eli Lilly and Company$1.06T
- JPM JPMorgan Chase & Co.$890.47B
- V Visa Inc.$680.74B
- XOM ExxonMobil Holdings Corporation$670.08B
- JNJ Johnson & Johnson$643.32B
- ABBV AbbVie Inc.$465.86B
- MA Mastercard Inc.$465.42B
- ORCL Oracle Corporation$416.04B
- CVX Chevron Corporation$402.66B
- BAC Bank of America Corporation$384.78B
- CAT Caterpillar Inc.$375.74B
- KO The Coca-Cola Company$375.25B
- MRK Merck & Co., Inc.$363.91B
- MS Morgan Stanley$350.60B
- PG The Procter & Gamble Company$343.78B
- HSBC HSBC Holdings plc$340.39B
- UNH UnitedHealth Group Incorporated$330.41B
- GE GE Aerospace$325.61B
- GS Goldman Sachs$311.29B
- RY Royal Bank of Canada$297.44B
- HD The Home Depot, Inc.$287.73B
- PM Philip Morris International$283.07B
- DELL Dell Technologies$281.05B
- SHEL Shell plc$271.23B
- IBM IBM Corp.$270.27B
- WFC Wells Fargo & Co.$266.73B
- RTX RTX Corp.$263.86B
- TMO Thermo Fisher Scientific Inc.$250.57B
- C Citigroup Inc.$240.13B
- AXP American Express$239.21B
- ANET Arista Networks$235.41B
- NVO Novo Nordisk A/S$217.13B
- BHP BHP Group Limited$215.57B
- TD The Toronto-Dominion Bank$204.19B
- APH Amphenol Corp.$195.68B
- SAN Banco Santander, S.A.$195.15B
- CRM Salesforce, Inc.$190.37B
- DIS The Walt Disney Company$182.77B
- TTE TotalEnergies SE$179.88B
- SCHW Charles Schwab$179.34B
- UBS UBS Group AG$176.41B
- VZ Verizon Communications$175.87B
- SAP SAP SE$172.57B
- SCCO Southern Copper Corporation$171.02B
- UNP Union Pacific$170.37B
- BLK BlackRock Inc.$168.47B
- TJX TJX Companies$167.19B
- MCD McDonald's Corporation$165.81B
- GLW Corning Inc.$164.29B
- ABT Abbott Laboratories$163.61B
- WELL Welltower Inc.$163.48B
- PFE Pfizer Inc.$163.32B
- NEE NextEra Energy, Inc.$158.71B
- DE Deere & Co.$158.42B
- ETN Eaton Corp.$158.15B
- BX Blackstone Inc.$150.45B
- BA The Boeing Company$149.79B
- T AT&T Inc.$146.82B
- BUD Anheuser-Busch InBev SA/NV$146.29B
- RIO Rio Tinto Group$146.12B
- BBVA Banco Bilbao Vizcaya Argentaria, S.A.$143.52B
- UBER Uber Technologies, Inc.$141.51B
- DHR Danaher Corp.$140.88B
- SONY Sony Group Corporation$136.59B
- HDB HDFC Bank Limited$135.58B
- CVS CVS Health Corporation$135.12B
- CB Chubb Ltd.$134.91B
- PLD Prologis Inc.$134.40B
- PGR Progressive Corp.$134.33B
- COP ConocoPhillips$132.84B
- SPGI S&P Global$127.43B
- SYK Stryker Corp.$126.42B
- COF Capital One Financial$124.14B
- PH Parker-Hannifin$121.20B
- LMT Lockheed Martin$120.64B
- ENB Enbridge Inc.$120.26B
- MO Altria Group$119.88B
- LOW Lowe's Companies$118.66B
- BMY Bristol-Myers Squibb$117.58B
- PBR Petróleo Brasileiro S.A. - Petrobras$115.48B
- WFC-PC Wells Fargo & Company$113.77B
- SHOP Shopify Inc.$113.41B
- BNY The Bank of New York Mellon Cor$111.43B
- NOW ServiceNow Inc.$111.08B
- PBR-A Petróleo Brasileiro S.A. - Petrobras$109.82B
- HWM Howmet Aerospace$108.37B
- SO Southern Co.$107.78B
- MDT Medtronic plc$107.36B
- TT Trane Technologies$106.04B
- IBN ICICI Bank Limited$104.94B
- WFC-PY Wells Fargo & Company$103.98B
- NEM Newmont Corp.$101.73B
- GD General Dynamics$101.43B
- PNC PNC Financial Services$101.16B
- PWR Quanta Services$98.82B
- SPOT Spotify Technology$98.65B
- DUK Duke Energy$97.82B
- USB U.S. Bancorp$97.22B
- UPS United Parcel Service$95.60B
- NET Cloudflare Inc.$95.27B
- MCK McKesson Corp.$94.36B
- BK Bank of New York Mellon$94.14B
- WM Waste Management$93.70B
- CMI Cummins Inc.$93.27B
- BCS Barclays PLC$92.82B
- ITUB Itaú Unibanco Holding S.A.$92.58B
- WMB Williams Companies$91.75B
- KKR KKR & Co. Inc.$90.64B
- SNOW Snowflake Inc.$90.62B
- ELV Elevance Health$90.39B
- HCA HCA Healthcare$90.20B
- VLO Valero Energy Corporation$89.50B
- ASX ASE Technology Holding Co., Ltd.$88.55B
- FCX Freeport-McMoRan$88.44B
- JCI Johnson Controls$87.13B
- EQNR Equinor ASA$85.73B
- MCO Moody's Corp.$85.12B
- MRSH Marsh & McLennan Companies, Inc.$84.18B
- SPG Simon Property Group$83.13B
- EPD Enterprise Products Partners L.P.$82.88B
- MPC Marathon Petroleum$82.83B
- ACN Accenture plc$82.75B
- SHW Sherwin-Williams$82.37B
- MMM 3M Co.$82.16B
- CP Canadian Pacific Kansas City Limited$81.96B
- AMT American Tower$78.54B
- CNI Canadian National Railway Company$78.27B
- EMR Emerson Electric$77.79B
- CI Cigna Group$77.63B
- ITW Illinois Tool Works$77.34B
- ECL Ecolab Inc.$77.20B
- NOC Northrop Grumman$76.65B
- RCL Royal Caribbean$76.53B
- ICE Intercontinental Exchange$76.49B
- HLT Hilton Worldwide$76.37B
- AON Aon plc$76.23B
- PSX Phillips 66$75.52B
- NGG National Grid plc$75.34B
- FDX FedEx Corp.$75.09B
- CL Colgate-Palmolive$73.81B
- NWG NatWest Group plc$73.69B
- TDG TransDigm Group$72.23B
- CVNA Carvana$72.20B
- TRV Travelers Companies$72.07B
- KMI Kinder Morgan$71.46B
- EOG EOG Resources$71.43B
- SLB Schlumberger$71.40B
- AVB AvalonBay Communities, Inc.$71.34B
- TRP TC Energy Corporation$70.78B
- APO Apollo Global Management, Inc.$70.69B
- NSC Norfolk Southern Corporation$70.30B
- GM General Motors$70.19B
- ET Energy Transfer LP$69.44B
- URI United Rentals$68.63B
- DB Deutsche Bank Aktiengesellschaft$68.19B
- DLR Digital Realty$67.88B
- NU Nu Holdings Ltd.$67.58B
- MSI Motorola Solutions, Inc.$67.44B
- RSG Republic Services$67.44B
- SE Sea Limited$66.94B
- APD Air Products$66.70B
- BSX Boston Scientific$66.54B
- RACE Ferrari N.V.$65.35B
- AJG Arthur J. Gallagher$65.03B
- GWW W.W. Grainger$64.95B
- ALL Allstate Corp.$64.77B
- TFC Truist Financial$64.37B
- HPE Hewlett Packard Enterprise$64.28B
- NOK Nokia Oyj$62.80B
- AFL Aflac Inc.$62.05B
- D Dominion Energy$61.64B
- SRE Sempra$61.58B
- TGT Target Corp.$61.38B
- STM STMicroelectronics N.V.$61.10B
- FIX Comfort Systems USA, Inc.$60.94B
- BE Bloom Energy Corporation$60.62B
- O Realty Income$59.04B
- MET MetLife Inc.$58.97B
- COR Cencora, Inc.$58.70B
- TRGP Targa Resources$58.67B
- TEL TE Connectivity plc$57.85B
- CARR Carrier Global$57.59B
- CTVA Corteva Inc.$57.30B
- MPLX MPLX LP$57.24B
- OKE ONEOK Inc.$56.65B
- PSA Public Storage$56.28B
- F Ford Motor Co.$55.79B
- CAH Cardinal Health$55.23B
- KEYS Keysight Technologies$55.04B
- LNG Cheniere Energy$54.20B
- ETR Entergy Corp.$53.68B
- AME Ametek Inc.$53.63B
- NKE NIKE, Inc.$53.18B
- EW Edwards Lifesciences$53.09B
- OXY Occidental Petroleum$52.61B
- ROK Rockwell Automation$52.53B
- NUE Nucor Corp.$51.78B
- MT ArcelorMittal S.A.$51.14B
- AZO AutoZone Inc.$50.16B
- STT State Street$49.88B
- HEI Heico Corp.$49.01B
- DVN Devon Energy$48.71B
- VST Vistra Corp.$48.15B
- GRMN Garmin$46.89B
- VTR Ventas, Inc.$46.72B
- INFY Infosys Limited$46.52B
- AMP Ameriprise Financial$45.56B
- CMG Chipotle Mexican Grill$45.22B
- YUM Yum! Brands$45.08B
- KB KB Financial Group Inc.$44.91B
- FMX Fomento Económico Mexicano, S.A.B. de C.V.$44.41B
- WAB Wabtec$44.32B
- MSCI MSCI Inc.$43.98B
- VIK Viking Holdings Ltd$43.81B
- HLN Haleon plc$43.42B
- DHI D.R. Horton$42.98B
- AIG American International Group$41.98B
- BDX Becton Dickinson$41.87B
- ARES Ares Management Corporation$41.73B
- CBRE CBRE Group, Inc.$41.41B
- ED Consolidated Edison$40.95B
- AU AngloGold Ashanti plc$40.62B
- PEG Public Service Enterprise$40.14B
- SYY Sysco Corp.$40.09B
- WDS Woodside Energy Group Ltd$39.98B
- PRU Prudential Financial, Inc.$39.96B
- BABA Alibaba Group (ADR)$39.66B
- RBLX Roblox Corp.$39.63B
- RDDT Reddit, Inc.$39.13B
- JBS JBS N.V.$38.81B
- ADM Archer-Daniels-Midland$38.75B
- FNV Franco-Nevada Corporation$38.67B
- HIG The Hartford Insurance Group, Inc.$38.59B
- VMC Vulcan Materials$38.31B
- CCL Carnival Corporation Ltd.$38.04B
- A Agilent Technologies$37.93B
- PCG PG&E Corp.$37.81B
- TEVA Teva Pharmaceutical Industries Limited$37.47B
- WEC WEC Energy Group$37.45B
- KVUE Kenvue$37.40B
- HMC Honda Motor Co., Ltd.$37.33B
- KMB Kimberly-Clark$37.31B
- WAT Waters Corporation$36.96B
- IRM Iron Mountain Incorporated$36.49B
- KR The Kroger Co.$35.91B
- TKO TKO Group Holdings, Inc.$35.49B
- MTB M&T Bank$35.49B
- PUK Prudential plc$35.38B
- HSY Hershey Co.$35.23B
- CCI Crown Castle$34.77B
- IQV IQVIA Holdings$34.69B
- MLM Martin Marietta$34.69B
- QSR Restaurant Brands International Inc.$34.49B
- USB-PP U.S. Bancorp$34.42B
- BBDO Banco Bradesco S.A.$34.35B
- SHG Shinhan Financial Group Co., Ltd.$33.56B
- UI Ubiquiti Inc.$33.26B
- CNC Centene Corp.$33.26B
- NTR Nutrien Ltd.$32.95B
- VG Venture Global, Inc.$32.87B
- RJF Raymond James$32.76B
- TWLO Twilio Inc.$32.56B
- EXR Extra Space Storage Inc.$32.07B
- ZTS Zoetis Inc.$31.68B
- HL-PB Hecla Mining Company$31.51B
- AEE Ameren Corp.$31.26B
- EQT EQT Corporation$31.10B
- LVS Las Vegas Sands$30.94B
- VEEV Veeva Systems$30.88B
- IR Ingersoll Rand$30.86B
- SUNB Sunbelt Rentals Holdings, Inc.$30.25B
- USB-PH U.S. Bancorp$30.24B
- ATO Atmos Energy Corporation$29.79B
- PBA Pembina Pipeline Corporation$29.78B
- CFG Citizens Financial$29.75B
- Q Qnity Electronics, Inc.$29.66B
- RMD ResMed Inc.$29.57B
- NRG NRG Energy, Inc.$29.43B
- FTI TechnipFMC plc$29.12B
- FICO Fair Isaac$29.01B
- DOV Dover Corp.$29.00B
- EIX Edison International$28.94B
- TDY Teledyne Technologies Incorporated$28.90B
- MTZ MasTec, Inc.$28.85B
- XYL Xylem Inc.$28.81B
- TS Tenaris S.A.$28.73B
- HAL Halliburton Co.$28.73B
- VICI VICI Properties$28.64B
- NMR Nomura Holdings, Inc.$28.50B
- TPR Tapestry$28.43B
- ES Eversource Energy$28.07B
- OTIS Otis Worldwide$28.05B
- PPL PPL Corp.$26.92B
- WRB W. R. Berkley$26.87B
- DG Dollar General Corporation$26.75B
- RF Regions Financial$26.47B
- AWK American Water Works Company, Inc.$26.38B
- EQR Equity Residential$26.37B
- MTD Mettler-Toledo$26.19B
- WSM Williams-Sonoma$26.11B
- PPG PPG Industries$26.03B
- NVT nVent Electric plc$25.79B
- ATI ATI Inc.$25.73B
- DGX Quest Diagnostics Incorporated$25.60B
- CPAY Corpay, Inc.$25.50B
- HUBB Hubbell Incorporated$25.21B
- KEY KeyCorp$25.15B
- WST West Pharmaceutical$24.99B
- SYF Synchrony Financial$24.37B
- MKL Markel Group Inc.$24.32B
- PHG Koninklijke Philips N.V.$24.21B
- RL Ralph Lauren$23.50B
- DRI Darden Restaurants$23.39B
- AER AerCap Holdings N.V.$23.14B
- STZ Constellation Brands$22.90B
- SW Smurfit Westrock Plc$22.86B
- CHD Church & Dwight$22.83B
- IHG Intercontinental Hotels Group$22.74B
- NI NiSource Inc.$22.35B
- USFD US Foods Holding Corp.$22.24B
- HPQ HP Inc.$22.15B
- KOF Coca-Cola FEMSA, S.A.B. de C.V.$21.72B
- FIS Fidelity National Information Services, Inc.$21.67B
- OMC Omnicom Group Inc.$21.59B
- FDXF FedEx Freight Holding Company, Inc.$21.55B
- IOT Samsara Inc.$21.46B
- STE Steris$21.05B
- DOW Dow Inc.$20.92B
- GPN Global Payments$20.80B
- RBA RB Global, Inc.$20.74B
- MET-PA MetLife, Inc.$20.62B
- PKG Packaging Corporation of America$20.30B
- LEN Lennar Corp.$20.30B
- SNX TD SYNNEX Corporation$20.23B
- BCE BCE Inc.$20.22B
- EFX Equifax Inc.$20.14B
- YPF YPF Sociedad Anónima$20.13B
- BSBR Banco Santander (Brasil) S.A.$19.80B
- AMCR Amcor plc$19.78B
- RS Reliance, Inc.$19.67B
- GIS General Mills$19.33B
- IP International Paper Company$19.33B
- LII Lennox International Inc.$19.09B
- FLUT Flutter Entertainment plc$19.08B
- FTV Fortive$18.96B
- DKS DICK'S Sporting Goods, Inc.$18.92B
- CF CF Industries Holdings, Inc.$18.89B
- CX CEMEX, S.A.B. de C.V.$18.86B
- RCI Rogers Communications Inc.$18.29B
- DD DuPont de Nemours, Inc.$18.21B
- LYB LyondellBasell$18.19B
- PR Permian Resources Corporation$18.08B
- BBY Best Buy Co., Inc.$17.99B
- ZBH Zimmer Biomet$17.67B
- TOST Toast, Inc.$17.63B
- GPC Genuine Parts$17.48B
- ITT ITT Inc.$17.47B
- H Hyatt Hotels Corporation$17.39B
- WY Weyerhaeuser Company$17.24B
- IEX IDEX Corporation$17.23B
- NVR NVR, Inc.$17.22B
- STLA Stellantis N.V.$17.10B
- KIM Kimco Realty Corporation$17.03B
- MAIR Madison Air Solutions Corporation$17.01B
- FN Fabrinet$17.01B
- THC Tenet Healthcare Corporation$16.78B
- WPC W. P. Carey Inc.$16.76B
- EMA Emera Incorporated$16.56B
- BEN Franklin Templeton Inc.$16.44B
- WCC WESCO International, Inc.$16.40B
- QXO QXO, Inc.$15.90B
- BSAC Banco Santander-Chile$15.89B
- BWXT BWX Technologies, Inc.$15.86B
- MAS Masco Corporation$15.71B
- JLL Jones Lang LaSalle Incorporated$15.58B
- TXT Textron Inc.$15.56B
- PKX POSCO Holdings Inc.$15.49B
- SGI Somnigroup International Inc.$15.20B
- OWL Blue Owl Capital Inc.$15.00B
- RTO Rentokil Initial plc$14.99B
- DOC Healthpeak Properties, Inc.$14.98B
- JHX James Hardie Industries plc$14.96B
- ALB Albemarle Corp.$14.87B
- UDR UDR, Inc.$14.81B
- DECK Deckers Outdoor$14.72B
- FNF Fidelity National Financial, Inc.$14.39B
- ARMK Aramark$14.31B
- PS Pershing Square Inc.$14.15B
- MLI Mueller Industries, Inc.$14.14B
- MKC McCormick & Co.$14.10B
- CRBG Corebridge Financial, Inc.$14.10B
- SWK Stanley Black & Decker, Inc.$14.02B
- RRX Regal Rexnord Corporation$13.88B
- TOL Toll Brothers, Inc.$13.85B
- TLK Perusahaan Perseroan (Persero) PT Telekomunikasi Indonesia Tbk$13.80B
- AIZ Assurant, Inc.$13.72B
- RNR RenaissanceRe Holdings Ltd.$13.67B
Market values are in US dollars, from each company’s most recent data refresh; every company page dates its own figures. SPACs, warrants, units, rights and closed-end funds are left out of this directory, as they are left out of search. Browse by name, A to Z or by sector.
