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US Stocks

Quotes, interactive charts, financial statements, earnings, dividends, insider trades and news for US-listed companies. Prices are delayed at least 15 minutes. Pick a company below or use search to find any ticker.

Most followed stocks

Stock directory A–Z

500 most-followed US stocks

A

  • AAgilent Technologies Inc.$47.64B
  • AAPLApple Inc.$4.92T
  • ABBVAbbVie Inc.$479.86B
  • ABEVAmbev S.A. ADR$48.95B
  • ABNBAirbnb Inc. Class A$96.22B
  • ABTAbbott Laboratories$170.74B
  • ACGLArch Capital Group Ltd.$32.25B
  • ACNAccenture plc Class A$121.19B
  • ADBEAdobe Inc.$90.87B
  • ADIAnalog Devices Inc.$197.33B
  • ADMArcher-Daniels-Midland Company$39.22B
  • ADPAutomatic Data Processing Inc.$104.85B
  • ADSKAutodesk Inc.$49.11B
  • AEEAmeren Corporation$28.14B
  • AEMAgnico Eagle Mines Limited$91.22B
  • AEPAmerican Electric Power Company Inc.$66.66B
  • AFLAFLAC Incorporated$56.47B
  • AIGAmerican International Group Inc. New$39.70B
  • AJGArthur J. Gallagher & Co.$58.29B
  • ALABAstera Labs Inc.$66.57B
  • ALCAlcon Inc.$30.45B
  • ALLAllstate Corporation (The)$56.77B
  • ALNYAlnylam Pharmaceuticals Inc.$30.12B
  • AMATApplied Materials Inc.$412.32B
  • AMDAdvanced Micro Devices Inc.$1.05T
  • AMEAMETEK Inc.$57.10B
  • AMGNAmgen Inc.$222.24B
  • AMPAmeriprise Financial Inc.$43.31B
  • AMTAmerican Tower Corporation (REIT)$78.12B
  • AMZNAmazon.com Inc.$2.80T
  • ANETArista Networks Inc.$272.40B
  • AONAon plc Class A$57.50B
  • APDAir Products and Chemicals Inc.$62.10B
  • APHAmphenol Corporation$216.18B
  • APOApollo Global Management Inc. (New)$68.05B
  • APPApplovin Corporation Class A$93.90B
  • ARESAres Management Corporation Class A$38.51B
  • ARGXargenx SE ADR$57.38B
  • ARMArm Holdings plc ADR$315.94B
  • ASMLASML Holding N.V. New York Registry Shares$690.07B
  • ASXASE Technology Holding Co. Ltd. ADR$100.39B
  • ATOAtmos Energy Corporation$27.03B
  • AUAngloGold Ashanti PLC$45.41B
  • AVGOBroadcom Inc.$1.78T
  • AXONAxon Enterprise Inc.$33.11B
  • AXPAmerican Express Company$204.87B
  • AZNAstraZeneca PLC$248.14B
  • AZOAutoZone Inc.$46.13B

B

  • BBarrick Mining Corporation$64.57B
  • BABoeing Company (The)$148.93B
  • BACBank of America Corporation$373.24B
  • BAMBrookfield Asset Management Inc Class A Limited Voting Shares$71.02B
  • BAPCredicorp Ltd.$29.97B
  • BBDBanco Bradesco Sa ADR$46.01B
  • BBDOBanco Bradesco Sa ADR$41.30B
  • BBVABanco Bilbao Vizcaya Argentaria S.A.$144.68B
  • BCSBarclays PLC$76.69B
  • BDXBecton Dickinson and Company$49.17B
  • BEBloom Energy Corporation Class A$84.71B
  • BHPBHP Group Limited ADR$216.94B
  • BIDUBaidu Inc. ADS$29.06B
  • BIIBBiogen Inc.$32.76B
  • BKNGBooking Holdings Inc.$117.63B
  • BKRBaker Hughes Company Class A$55.13B
  • BLKBlackRock Inc.$173.35B
  • BMOBank Of Montreal$112.64B
  • BMYBristol-Myers Squibb Company$122.07B
  • BNBrookfield Corporation Class A Limited Voting Shares$82.53B
  • BNSBank Nova Scotia Halifax Pfd 3$106.66B
  • BNYThe Bank of New York Mellon Corporation$96.66B
  • BPBP p.l.c.$115.21B
  • BRK.ABerkshire Hathaway Inc.$1.08T
  • BRK.BBerkshire Hathaway Inc.$1.08T
  • BSXBoston Scientific Corporation$60.37B
  • BTIBritish American Tobacco Industries p.l.c.$116.12B
  • BUDAnheuser-Busch Inbev SA Sponsored ADR (Belgium)$147.09B
  • BXBlackstone Inc.$133.70B

C

  • CCitigroup Inc.$212.41B
  • CAHCardinal Health Inc.$53.59B
  • CARRCarrier Global Corporation$45.49B
  • CATCaterpillar Inc.$373.81B
  • CBChubb Limited$129.73B
  • CBOECboe Global Markets Inc.$29.27B
  • CBRECBRE Group Inc$36.91B
  • CBRSCerebras Systems Inc. Class A$41.19B
  • CCEPCoca-Cola Europacific Partners plc$44.36B
  • CCICrown Castle Inc.$30.31B
  • CCJCameco Corporation$38.85B
  • CCLCarnival Corporation Ltd.$35.42B
  • CCZComcast Holdings ZONES
  • CDNSCadence Design Systems Inc.$98.79B
  • CEGConstellation Energy Corporation$105.86B
  • CFGCitizens Financial Group Inc.$26.60B
  • CHTChunghwa Telecom Co. Ltd.$35.58B
  • CIThe Cigna Group$73.87B
  • CIENCiena Corporation$63.34B
  • CLColgate-Palmolive Company$69.84B
  • CLSCelestica Inc.$46.71B
  • CMCanadian Imperial Bank of Commerce$98.56B
  • CMCSAComcast Corporation Class A$74.33B
  • CMECME Group Inc. Class A$97.13B
  • CMGChipotle Mexican Grill Inc.$39.06B
  • CMICummins Inc.$71.18B
  • CNCCentene Corporation$32.19B
  • CNICanadian National Railway Company$70.02B
  • CNQCanadian Natural Resources Limited$97.99B
  • COFCapital One Financial Corporation$120.22B
  • COHRCoherent Corp.$65.53B
  • COINCoinbase Global Inc. Class A$47.11B
  • COPConocoPhillips$156.35B
  • CORCencora Inc.$60.59B
  • COSTCostco Wholesale Corporation$417.23B
  • CPCanadian Pacific Kansas City Limited$73.66B
  • CPAYCorpay Inc.$26.40B
  • CPNGCoupang Inc. Class A$26.67B
  • CRDOCredo Technology Group Holding Ltd$41.04B
  • CRHCRH PLC$54.08B
  • CRMSalesforce Inc.$185.77B
  • CRWDCrowdStrike Holdings Inc. Class A$271.66B
  • CRWVCoreWeave Inc. Class A$48.60B
  • CSCOCisco Systems Inc.$464.97B
  • CSXCSX Corporation$87.04B
  • CTASCintas Corporation$79.13B
  • CTSHCognizant Technology Solutions Corporation Class A$25.85B
  • CVECenovus Energy Inc$56.62B
  • CVNACarvana Co. Class A$69.88B
  • CVSCVS Health Corporation$113.35B
  • CVXChevron Corporation$403.99B

D

  • DDominion Energy Inc.$53.99B
  • DALDelta Air Lines Inc.$54.55B
  • DASHDoorDash Inc. Class A$82.66B
  • DBDeutsche Bank AG$63.05B
  • DDOGDatadog Inc. Class A$97.36B
  • DEDeere & Company$177.71B
  • DELLDell Technologies Inc. Class C$369.16B
  • DEODiageo plc$47.26B
  • DGDollar General Corporation$27.21B
  • DHID.R. Horton Inc.$37.27B
  • DHRDanaher Corporation$152.95B
  • DISWalt Disney Company (The)$180.99B
  • DLRDigital Realty Trust Inc.$68.70B
  • DTEDTE Energy Company$26.54B
  • DUKDuke Energy Corporation (Holding Company)$90.19B
  • DVNDevon Energy Corporation$52.71B
  • DXCMDexCom Inc.$31.80B

E

  • EENI S.p.A.$77.65B
  • EBAYeBay Inc.$48.01B
  • ECEcopetrol S.A. ADR$34.44B
  • ECHOEchoStar Corporation$28.37B
  • ECLEcolab Inc.$78.10B
  • EDConsolidated Edison Inc.$38.80B
  • ELEstee Lauder Companies Inc. (The)$34.40B
  • ELVElevance Health Inc.$87.85B
  • EMEEMCOR Group Inc.$34.50B
  • EMREmerson Electric Company$89.10B
  • ENBEnbridge Inc$102.30B
  • EOGEOG Resources Inc.$75.80B
  • EPDEnterprise Products Partners L.P.$79.63B
  • EQIXEquinix Inc.$102.44B
  • EQNREquinor ASA$99.01B
  • EQTEQT Corporation$32.74B
  • ERICEricsson ADR$30.75B
  • ESLTElbit Systems Ltd.$31.32B
  • ETNEaton Corporation PLC$167.28B
  • ETREntergy Corporation$49.23B
  • EWEdwards Lifesciences Corporation$49.50B
  • EXCExelon Corporation$42.87B
  • EXPEExpedia Group Inc.$31.17B
  • EXRExtra Space Storage Inc$29.09B

F

  • FFord Motor Company$48.25B
  • FANGDiamondback Energy Inc.$51.37B
  • FASTFastenal Company$57.58B
  • FCXFreeport-McMoRan Inc.$103.41B
  • FDXFedEx Corporation$68.43B
  • FEFirstEnergy Corp.$25.81B
  • FERFerrovial N.V.$36.41B
  • FERGFerguson Enterprises Inc.$41.69B
  • FFIVF5 Inc.$26.54B
  • FITBFifth Third Bancorp$45.55B
  • FIXComfort Systems USA Inc.$60.90B
  • FLEXFlex Ltd.$44.18B
  • FMXFomento Economico Mexicano S.A.B. de C.V.$39.91B
  • FNVFranco-Nevada Corporation$45.65B
  • FOXAFox Corporation Class A$26.64B
  • FTITechnipFMC plc$26.92B
  • FTNTFortinet Inc.$138.78B
  • FTSFortis Inc.$27.04B

G

  • GDGeneral Dynamics Corporation$88.55B
  • GEGE Aerospace$314.85B
  • GEHCGE HealthCare Technologies Inc.$29.28B
  • GEVGE Vernova Inc.$265.26B
  • GFIGold Fields Limited ADR$31.17B
  • GFSGlobalFoundries Inc.$26.43B
  • GILDGilead Sciences Inc.$181.81B
  • GLWCorning Incorporated$141.10B
  • GMGeneral Motors Company$70.93B
  • GOOGAlphabet Inc. Class C$4.24T
  • GOOGLAlphabet Inc. Class A$4.28T
  • GRMNGarmin Ltd.$53.26B
  • GSGoldman Sachs Group Inc. (The)$257.93B
  • GSKGSK plc ADR$94.28B
  • GWWW.W. Grainger Inc.$59.62B

H

  • HALHalliburton Company$26.54B
  • HBANHuntington Bancshares Incorporated$30.66B
  • HCAHCA Healthcare Inc.$95.07B
  • HDHome Depot Inc. (The)$284.59B
  • HDBHDFC Bank Limited$113.61B
  • HEIHeico Corporation$41.42B
  • HEI.AHeico Corporation$31.03B
  • HIGThe Hartford Insurance Group Inc.$34.51B
  • HLNHaleon plc ADR$39.78B
  • HLTHilton Worldwide Holdings Inc.$72.22B
  • HMCHonda Motor Company Ltd.$41.05B
  • HONHoneywell International Inc.$66.01B
  • HONAHoneywell Aerospace Inc.$48.38B
  • HOODRobinhood Markets Inc. Class A$98.37B
  • HPEHewlett Packard Enterprise Company$96.66B
  • HPQHP Inc.$29.24B
  • HSBCHSBC Holdings plc.$320.28B
  • HSYThe Hershey Company$32.36B
  • HUMHumana Inc.$47.89B
  • HWMHowmet Aerospace Inc.$88.72B

I

  • IBKRInteractive Brokers Group Inc. Class A$149.23B
  • IBMInternational Business Machines Corporation$208.49B
  • IBNICICI Bank Limited$100.12B
  • ICEIntercontinental Exchange Inc.$85.58B
  • IDXXIDEXX Laboratories Inc.$39.98B
  • ILMNIllumina Inc.$40.70B
  • IMOImperial Oil Limited
  • INFYInfosys Limited ADR$42.91B
  • INGING Group N.V.$96.57B
  • INTCIntel Corporation$595.18B
  • INTUIntuit Inc.$79.56B
  • IQVIQVIA Holdings Inc.$42.49B
  • IRIngersoll Rand Inc.$30.14B
  • IRMIron Mountain Incorporated (Delaware)Common Stock REIT$34.65B
  • ISRGIntuitive Surgical Inc.$145.66B
  • ITWIllinois Tool Works Inc.$74.49B
  • IXORIX Corporation ADR$39.65B

J

  • JBLJabil Inc.$31.49B
  • JCIJohnson Controls International plc$94.69B
  • JDJD.com Inc. ADR$36.50B
  • JNJJohnson & Johnson$622.57B
  • JPMJP Morgan Chase & Co.$876.06B

K

  • KBKB Financial Group Inc$43.78B
  • KDPKeurig Dr Pepper Inc.$41.69B
  • KEYSKeysight Technologies Inc.$65.00B
  • KGCKinross Gold Corporation$27.47B
  • KHCThe Kraft Heinz Company$26.10B
  • KKRKKR & Co. Inc.$83.10B
  • KLACKLA Corporation$255.09B
  • KMBKimberly-Clark Corporation$32.25B
  • KMIKinder Morgan Inc.$70.98B
  • KOCoca-Cola Company (The)$369.63B
  • KRKroger Company (The)$35.19B
  • KVUEKenvue Inc.$33.83B

L

  • LHXL3Harris Technologies Inc.$43.79B
  • LINLinde plc$223.68B
  • LITELumentum Holdings Inc.$99.96B
  • LLYEli Lilly and Company$1.06T
  • LMTLockheed Martin Corporation$115.58B
  • LNGCheniere Energy Inc.$56.37B
  • LOWLowe's Companies Inc.$101.78B
  • LPLALPL Financial Holdings Inc.$25.76B
  • LRCXLam Research Corporation$409.32B
  • LYGLloyds Banking Group Plc ADR$77.68B
  • LYVLive Nation Entertainment Inc.$39.80B

M

  • MAMastercard Incorporated$501.48B
  • MARMarriott International Class A$93.08B
  • MCDMcDonald's Corporation$163.70B
  • MCHPMicrochip Technology Incorporated$42.09B
  • MCKMcKesson Corporation$106.45B
  • MCOMoody's Corporation$77.87B
  • MDBMongoDB Inc. Class A$29.18B
  • MDLNMedline Inc. Class A$47.68B
  • MDLZMondelez International Inc. Class A$76.05B
  • MDTMedtronic plc.$109.63B
  • MELIMercadoLibre Inc.$95.05B
  • METMetLife Inc.$60.99B
  • METAMeta Platforms Inc. Class A$1.84T
  • MFCManulife Financial Corporation$68.94B
  • MFGMizuho Financial Group Inc. Sponosred ADR (Japan)$130.41B
  • MLMMartin Marietta Materials Inc.$34.04B
  • MMM3M Company$83.65B
  • MNSTMonster Beverage Corporation$83.81B
  • MOAltria Group Inc.$115.99B
  • MPCMarathon Petroleum Corporation$123.66B
  • MPWRMonolithic Power Systems Inc.$70.05B
  • MRKMerck & Company Inc.$351.89B
  • MRNAModerna Inc.$78.36B
  • MRSHMarsh$82.91B
  • MRVLMarvell Technology Inc.$254.74B
  • MSMorgan Stanley$296.52B
  • MSCIMSCI Inc.$40.46B
  • MSFTMicrosoft Corporation$3.94T
  • MSIMotorola Solutions Inc.$74.55B
  • MSTRStrategy Inc$61.42B
  • MTArcelor Mittal NY Registry Shares NEW$46.97B
  • MTBM&T Bank Corporation$31.25B
  • MTDMettler-Toledo International Inc.$30.71B
  • MTSIMACOM Technology Solutions Holdings Inc.$25.82B
  • MUMicron Technology Inc.$1.22T
  • MUFGMitsubishi UFJ Financial Group Inc.$254.89B

N

  • NBISNebius Group N.V. Class A$64.10B
  • NDAQNasdaq Inc.$51.39B
  • NEENextEra Energy Inc.$160.45B
  • NEMNewmont Corporation$119.73B
  • NETCloudflare Inc. Class A$122.25B
  • NFLXNetflix Inc.$289.96B
  • NGGNational Grid Transco PLC National Grid PLC (NEW) ADR$76.65B
  • NKENike Inc.$50.98B
  • NMRNomura Holdings Inc ADR ADR$27.84B
  • NOCNorthrop Grumman Corporation$67.66B
  • NOKNokia Corporation Sponsored ADR$59.49B
  • NOWServiceNow Inc.$143.16B
  • NSCNorfolk Southern Corporation$70.59B
  • NTAPNetApp Inc.$46.48B
  • NTESNetEase Inc. ADR$77.24B
  • NTRNutrien Ltd.$33.43B
  • NTRANatera Inc.$57.00B
  • NTRSNorthern Trust Corporation$30.74B
  • NUNu Holdings Ltd. Class A$75.36B
  • NUENucor Corporation$56.26B
  • NVDANVIDIA Corporation$5.72T
  • NVONovo Nordisk A/S$168.43B
  • NVSNovartis AG$271.90B
  • NVTnVent Electric plc$27.07B
  • NWGNatWest Group plc ADR$68.42B
  • NXPINXP Semiconductors N.V.$59.04B

O

  • ORealty Income Corporation$50.54B
  • ODFLOld Dominion Freight Line Inc.$36.61B
  • OKEONEOK Inc.$55.65B
  • OKTAOkta Inc. Class A$38.07B
  • ONON Semiconductor Corporation$32.14B
  • ONCBeOne Medicines Ltd. ADR$41.16B
  • ORCLOracle Corporation$435.78B
  • ORLYO'Reilly Automotive Inc.$68.39B
  • OXYOccidental Petroleum Corporation$58.23B

P

  • PEverpure Inc. Class A$50.84B
  • PANWPalo Alto Networks Inc.$331.09B
  • PAYXPaychex Inc.$36.32B
  • PBAPembina Pipeline Corp.$26.76B
  • PBRPetroleo Brasileiro S.A. Petrobras ADS$155.57B
  • PCARPACCAR Inc.$56.49B
  • PCGPacific Gas & Electric Co.$38.37B
  • PDDPDD Holdings Inc. ADR$111.86B
  • PEGPublic Service Enterprise Group Incorporated$35.80B
  • PEPPepsiCo Inc.$169.49B
  • PFEPfizer Inc.$159.76B
  • PGProcter & Gamble Company (The)$344.92B
  • PGRProgressive Corporation (The)$124.59B
  • PHParker-Hannifin Corporation$120.35B
  • PLDPrologis Inc.$123.67B
  • PLTRPalantir Technologies Inc. Class A$464.25B
  • PMPhilip Morris International Inc$300.01B
  • PNCPNC Financial Services Group Inc. (The)$86.82B
  • PRUPrudential Financial Inc.$38.72B
  • PSAPublic Storage$53.00B
  • PSXPhillips 66$108.73B
  • PUKPrudential Public Limited Company$28.89B
  • PWRQuanta Services Inc.$105.10B
  • PYPLPayPal Holdings Inc.$47.27B

Q

  • QQnity Electronics Inc.$27.12B
  • QCOMQUALCOMM Incorporated$188.88B
  • QSRRestaurant Brands International Inc.$31.86B

R

  • RACEFerrari N.V.$67.81B
  • RBLXRoblox Corporation Class A$33.24B
  • RCLRoyal Caribbean Cruises Ltd.$76.83B
  • RDDTReddit Inc. Class A$29.46B
  • REGNRegeneron Pharmaceuticals Inc.$76.40B
  • RELXRELX PLC PLC ADR$60.06B
  • RIORio Tinto Plc$151.55B
  • RJFRaymond James Financial Inc.$30.18B
  • RKLBRocket Lab Corporation$46.04B
  • RKTRocket Companies Inc. Class A$32.18B
  • RMDResMed Inc.$31.82B
  • ROKRockwell Automation Inc.$49.24B
  • ROPRoper Technologies Inc.$35.42B
  • ROSTRoss Stores Inc.$72.73B
  • RPRXRoyalty Pharma plc Class A$32.68B
  • RSGRepublic Services Inc.$66.53B
  • RTXRTX Corporation$244.05B
  • RVMDRevolution Medicines Inc.$42.75B
  • RYRoyal Bank Of Canada$265.07B
  • RYAAYRyanair Holdings plc ADR$28.85B

S

  • SANBanco Santander S.A. Sponsored ADR (Spain)$198.29B
  • SAPSAP SE ADS$243.14B
  • SBUXStarbucks Corporation$106.50B
  • SCCOSouthern Copper Corporation$168.80B
  • SCHWCharles Schwab Corporation (The)$165.33B
  • SHELShell PLC ADR$276.06B
  • SHGShinhan Financial Group Co Ltd ADR$36.23B
  • SHOPShopify Inc. Class A Subordinate Voting Shares$216.37B
  • SHWSherwin-Williams Company (The)$76.61B
  • SKHYSK hynix Inc. ADR$1.26T
  • SKYDSkydance Corporation Class B$44.14B
  • SLBSLB Limited$71.54B
  • SLFSun Life Financial Inc.$42.15B
  • SMCISuper Micro Computer Inc.$29.89B
  • SMFGSumitomo Mitsui Financial Group Inc Unsponsored ADR$159.72B
  • SNSharkNinja Inc.$26.16B
  • SNDKSandisk Corporation$248.84B
  • SNOWSnowflake Inc.$117.72B
  • SNPSSynopsys Inc.$96.58B
  • SNYSanofi ADS$95.98B
  • SOSouthern Company (The)$98.61B
  • SONYSony Group Corporation ADR$136.88B
  • SPCXSpace Exploration Technologies Corp. Class A$2.21T
  • SPGSimon Property Group Inc.$75.26B
  • SPGIS&P Global Inc.$116.41B
  • SPOTSpotify Technology S.A.$105.26B
  • SREDBA Sempra$52.14B
  • STLDSteel Dynamics Inc.$33.66B
  • STMSTMicroelectronics N.V.$50.13B
  • STTState Street Corporation$47.73B
  • STXSeagate Technology Holdings PLC$181.65B
  • SUSuncor Energy Inc.$80.68B
  • SUNBSunbelt Rentals Holdings Inc.$30.66B
  • SYKStryker Corporation$106.06B
  • SYMSymbotic Inc. Class A$26.52B
  • SYYSysco Corporation$37.84B

T

  • TAT&T Inc.$168.57B
  • TAKTakeda Pharmaceutical Company Limited ADR$58.54B
  • TDToronto Dominion Bank (The)$185.90B
  • TDGTransdigm Group Incorporated$60.63B
  • TDYTeledyne Technologies Incorporated$28.05B
  • TEAMAtlassian Corporation Class A$49.51B
  • TECKTeck Resources Ltd$31.99B
  • TELTE Connectivity plc$62.85B
  • TERTeradyne Inc.$64.18B
  • TEVATeva Pharmaceutical Industries Limited$45.54B
  • TFCTruist Financial Corporation$55.72B
  • TGTTarget Corporation$69.37B
  • TJXTJX Companies Inc. (The)$152.75B
  • TKOTKO Group Holdings Inc. Class A$33.74B
  • TMToyota Motor Corporation$216.57B
  • TMOThermo Fisher Scientific Inc$244.26B
  • TMUST-Mobile US Inc.$181.34B
  • TRGPTarga Resources Inc.$60.87B
  • TRIThomson Reuters Corporation$43.00B
  • TRPTC Energy Corporation$61.51B
  • TRVThe Travelers Companies Inc.$75.44B
  • TSTenaris S.A. ADR$28.22B
  • TSEMTower Semiconductor Ltd.$27.82B
  • TSLATesla Inc.$1.49T
  • TSMTaiwan Semiconductor Manufacturing Company Ltd.$2.45T
  • TTTrane Technologies plc$103.03B
  • TTETotalEnergies SE$186.70B
  • TTWOTake-Two Interactive Software Inc.$38.31B
  • TWLOTwilio Inc. Class A$42.18B
  • TXNTexas Instruments Incorporated$262.79B

U

  • UALUnited Airlines Holdings Inc.$35.63B
  • UBERUber Technologies Inc.$140.11B
  • UBSUBS Group AG Registered$145.07B
  • UIUbiquiti Inc.$38.55B
  • ULUnilever PLC ADR$131.41B
  • UMCUnited Microelectronics Corporation (NEW)$58.17B
  • UNHUnitedHealth Group Incorporated$338.36B
  • UNPUnion Pacific Corporation$164.12B
  • UPSUnited Parcel Service Inc.$78.71B
  • URIUnited Rentals Inc.$64.33B
  • USBU.S. Bancorp$87.64B

V

  • VVisa Inc.$700.90B
  • VEEVVeeva Systems Inc. Class A$45.93B
  • VGVenture Global Inc. Class A$32.59B
  • VIKViking Holdings Ltd$36.33B
  • VLOValero Energy Corporation$121.72B
  • VMCVulcan Materials Company (Holding Company)$31.59B
  • VMRKVivmark Residential$46.10B
  • VODVodafone Group Plc ADR$39.09B
  • VRSNVeriSign Inc.$26.85B
  • VRTVertiv Holdings LLC Class A$94.06B
  • VRTXVertex Pharmaceuticals Incorporated$128.07B
  • VSTVistra Corp.$56.07B
  • VTRVentas Inc.$41.12B
  • VYLRVylor Inc.$52.61B
  • VZVerizon Communications Inc.$191.10B

W

  • WABWestinghouse Air Brake Technologies Corporation$47.88B
  • WATWaters Corporation$42.59B
  • WCNWaste Connections Inc.$39.22B
  • WDAYWorkday Inc. Class A$44.70B
  • WDCWestern Digital Corporation$150.80B
  • WECWEC Energy Group Inc.$33.71B
  • WELLWelltower Inc.$159.48B
  • WFCWells Fargo & Company$242.36B
  • WMWaste Management Inc.$84.07B
  • WMBWilliams Companies Inc. (The)$87.58B
  • WMTWalmart Inc.$860.03B
  • WPMWheaton Precious Metals Corp$60.71B
  • WRBW.R. Berkley Corporation$26.06B
  • WSMWilliams-Sonoma Inc.$28.51B
  • WSTWest Pharmaceutical Services Inc.$25.93B
  • WTWWillis Towers Watson Public Limited Company$27.08B

X

  • XELXcel Energy Inc.$45.42B
  • XOMExxonMobil Holdings Corporation$676.20B
  • XYZBlock Inc. Class A$45.87B

Y

  • YUMYum! Brands Inc.$38.35B

Z

  • ZMZoom Communications Inc. Class A$27.67B
  • ZSZscaler Inc.$34.80B
  • ZTSZoetis Inc. Class A$29.73B

About MetaCap stock pages

Every stock page on MetaCap starts with the latest delayed quote, an interactive price chart and twelve key statistics, followed by an automatically generated summary of how the stock is trading, the company profile, financial highlights, analyst views, earnings and dividend dates, recent headlines and a peer comparison.

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