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Name
Price
Market cap
Volume (Shares)
1D change
1M change
6M change
1Y change

1

Nvidia Corp

Nvidia

NVDA

$237.82

$5.760T

43.9M

-0.59%

—

—

—

2

Apple Inc.

Apple

AAPL

$336.65

$4.945T

9.2M

+0.91%

—

—

—

3

Alphabet Inc. Class A Common Stock

Alphabet

GOOGL

$350.33

$4.240T

7.4M

+0.76%

—

—

—

4

Alphabet Inc. Class C Capital Stock

Alphabet

GOOG

$347.16

$4.213T

5.0M

+0.74%

—

—

—

5

Microsoft Corp

Microsoft

MSFT

$529.90

$3.935T

7.6M

+0.11%

—

—

—

6

Amazon.Com Inc

Amazon.Com

AMZN

$260.11

$2.798T

13.9M

+1.49%

—

—

—

7

Taiwan Semiconductor Manufacturing Company Ltd.

Taiwan Semiconductor Manufacturing Company Ltd.

TSM

$473.75

$2.457T

4.0M

-1.77%

—

—

—

8

Vanguard Morningstar Total Stock Market ETF

Vanguard Morningstar Total Stock Market ETF

VTI

$381.30

$2.304T

1.2M

-0.32%

—

—

—

9

Space Exploration Technologies Corp. Class A Common Stock

Space Exploration Technologies

SPCX

$168.26

$2.218T

60.9M

-2.13%

—

—

—

10

Meta Platforms, Inc. Class A Common Stock

Meta Platforms

META

$722.59

$1.841T

4.9M

-2.21%

—

—

—

11

Broadcom Inc. Common Stock

Broadcom

AVGO

$376.01

$1.789T

13.7M

+0.05%

—

—

—

12

Vanguard S&P 500 ETF

Vanguard S&P 500 ETF

VOO

$714.59

$1.740T

1.9M

-0.22%

—

—

—

13

Tesla, Inc. Common Stock

Tesla

TSLA

$377.66

$1.492T

12.8M

-0.79%

—

—

—

14

SK hynix Inc. American Depositary Shares

SK hynix

SKHY

$178.65

$1.268T

7.9M

-2.14%

—

—

—

15

Micron Technology, Inc.

Micron Technology

MU

$1,085.98

$1.226T

9.5M

+3.87%

—

—

—

16

Eli Lilly & Co.

Eli Lilly & Co.

LLY

$1,184.16

$1.115T

894.1K

+2.30%

—

—

—

17

Berkshire Hathaway Inc.

Berkshire Hathaway

BRK.A

$759,717.39

$1.093T

44

+0.20%

—

—

—

18

BERKSHIRE HATHAWAY Class B

BERKSHIRE HATHAWAY Class B

BRK.B

$506.24

$1.092T

899.0K

+0.14%

—

—

—

19

Advanced Micro Devices

Advanced Micro Devices

AMD

$647.20

$1.055T

13.8M

-0.34%

—

—

—

20

iShares Core S&P 500 ETF

iShares Core S&P 500 ETF

IVV

$780.72

$904.65B

642.1K

-0.23%

—

—

—

21

JPMorgan Chase & Co.

JPMorgan Chase & Co.

JPM

$329.58

$883.11B

1.3M

-0.51%

—

—

—

22

Walmart Inc. Common Stock

Walmart

WMT

$108.16

$860.75B

7.4M

+0.90%

—

—

—

23

State Street SPDR S&P 500 ETF Trust

State Street SPDR S&P 500 ETF Trust

SPY

$777.45

$828.17B

12.2M

-0.21%

—

—

—

24

ASML Holding NV

ASML Holding NV

ASML

$1,806.49

$696.25B

630.3K

-1.51%

—

—

—

25

VISA Inc.

VISA

V

$371.83

$694.22B

1.3M

+0.32%

—

—

—

26

ExxonMobil Holdings Corporation

ExxonMobil Holdings

XOM

$164.05

$679.90B

2.4M

-0.26%

—

—

—

27

Vanguard Total International Stock ETF

Vanguard Total International Stock ETF

VXUS

$85.00

$653.32B

2.4M

-0.93%

—

—

—

28

Johnson & Johnson

Johnson & Johnson

JNJ

$258.25

$622.37B

1.9M

+1.36%

—

—

—

29

Intel Corp

Intel

INTC

$113.14

$570.68B

41.1M

+0.57%

—

—

—

30

Invesco QQQ Trust, Series 1

Invesco QQQ Trust

QQQ

$758.65

$540.56B

11.3M

-0.13%

—

—

—

31

Mastercard Incorporated

Mastercard

MA

$570.35

$500.22B

596.5K

+0.67%

—

—

—

32

ABBVIE INC.

ABBVIE INC.

ABBV

$272.27

$481.04B

1.2M

+2.09%

—

—

—

33

Cisco Systems, Inc. Common Stock (DE)

Cisco Systems

CSCO

$117.35

$462.53B

5.9M

-0.50%

—

—

—

34

Palantir Technologies Inc. Class A Common Stock

Palantir Technologies

PLTR

$193.95

$445.32B

8.8M

+0.98%

—

—

—

35

Costco Wholesale Corp

Costco Wholesale

COST

$939.01

$416.43B

463.0K

+0.36%

—

—

—

36

Oracle Corp

Oracle

ORCL

$143.94

$414.61B

7.0M

-0.57%

—

—

—

37

Applied Materials Inc

Applied Materials

AMAT

$520.80

$413.49B

1.7M

-1.79%

—

—

—

38

Lam Research Corp

Lam Research

LRCX

$329.55

$412.13B

2.8M

-1.30%

—

—

—

39

Vanguard Morningstar Growth ETF

Vanguard Morningstar Growth ETF

VUG

$92.43

$411.42B

1.8M

-0.23%

—

—

—

40

BNY Mellon Municipal Opportunities ETF

BNY Mellon Municipal Opportunities ETF

BMOP

$23.33

$409.96B

128.6K

-0.66%

—

—

—

41

Chevron Corporation

Chevron

CVX

$205.15

$408.58B

1.5M

-1.17%

—

—

—

42

Dell Technologies Inc.

Dell Technologies

DELL

$581.19

$386.06B

2.8M

+1.25%

—

—

—

43

Vanguard Total Bond Market

Vanguard Total Bond Market

BND

$69.91

$385.11B

4.7M

-0.16%

—

—

—

44

Bank of America Corporation

Bank of America

BAC

$53.59

$380.28B

8.9M

-0.93%

—

—

—

45

Caterpillar Inc.

Caterpillar

CAT

$816.25

$375.99B

778.7K

-5.47%

—

—

—

46

Coca-Cola Company

Coca-Cola Company

KO

$85.90

$369.59B

2.7M

-0.31%

—

—

—

47

Procter & Gamble Company

Procter & Gamble Company

PG

$148.32

$352.59B

1.9M

-0.06%

—

—

—

48

Merck & Co., Inc.

Merck & Co.

MRK

$142.75

$352.57B

2.9M

+0.57%

—

—

—

49

UNITEDHEALTH GROUP INCORPORATED (Delaware)

UNITEDHEALTH GROUP INCORPORATED (Delaware)

UNH

$375.94

$341.41B

1.3M

-0.10%

—

—

—

50

Palo Alto Networks, Inc. Common Stock

Palo Alto Networks

PANW

$407.56

$332.16B

2.7M

-2.94%

—

—

—

51

HSBC Holdings PLC

HSBC Holdings PLC

HSBC

$94.00

$323.05B

755.6K

-3.67%

—

—

—

52

Arm Holdings plc American Depositary Shares

Arm Holdings plc American Depositary Shares

ARM

$295.45

$315.54B

1.5M

-2.35%

—

—

—

53

GE Aerospace

GE Aerospace

GE

$303.89

$315.30B

1.1M

-1.78%

—

—

—

54

Vanguard FTSE Developed Markets ETF

Vanguard FTSE Developed Markets ETF

VEA

$70.21

$313.69B

2.1M

-1.26%

—

—

—

55

Philip Morris International Inc.

Philip Morris International

PM

$192.76

$300.44B

693.9K

+1.24%

—

—

—

56

Morgan Stanley

Morgan Stanley

MS

$189.98

$299.65B

1.6M

-0.54%

—

—

—

57

NetFlix Inc

NetFlix

NFLX

$69.88

$290.98B

13.1M

+1.73%

—

—

—

58

Home Depot, Inc.

Home Depot

HD

$285.88

$285.06B

1.3M

-0.28%

—

—

—

59

Novartis AG

Novartis AG

NVS

$143.28

$272.33B

686.4K

+1.77%

—

—

—

60

Arista Networks

Arista Networks

ANET

$216.25

$272.30B

3.3M

+0.41%

—

—

—

61

Shell plc American Depositary Shares (Each represents two Ordinary shares)

Shell plc American Depositary Shares (Each represents two Ordinary shares)

SHEL

$97.20

$271.00B

3.4M

-0.43%

—

—

—

62

CrowdStrike Holdings, Inc. Class A Common Stock

CrowdStrike Holdings

CRWD

$265.93

$270.79B

4.0M

-4.64%

—

—

—

63

GE Vernova Inc.

GE Vernova

GEV

$1,000.00

$266.33B

1.3M

-2.84%

—

—

—

64

Royal Bank of Canada

Royal Bank of Canada

RY

$191.22

$265.75B

175.8K

-2.61%

—

—

—

65

Texas Instruments Incorporated

Texas Instruments

TXN

$288.98

$263.91B

904.5K

-2.78%

—

—

—

66

Goldman Sachs Group Inc.

Goldman Sachs Group

GS

$887.42

$261.80B

534.5K

-1.09%

—

—

—

67

KLA Corporation Common Stock

KLA

KLAC

$196.85

$257.14B

4.0M

-0.31%

—

—

—

68

Alibaba Group Holding Limited American Depositary Shares, each represents eight Ordinary Shares

Alibaba Group Holding Limited American Depositary Shares

BABA

$107.17

$256.88B

4.0M

-1.91%

—

—

—

69

Mitsubishi UFJ Financial Group, Inc.

Mitsubishi UFJ Financial Group

MUFG

$22.65

$255.42B

480.2K

-2.37%

—

—

—

70

Vanguard Morningstar Value ETF

Vanguard Morningstar Value ETF

VTV

$218.21

$252.26B

914.1K

-0.37%

—

—

—

71

Sandisk Corporation Common Stock

Sandisk

SNDK

$1,695.00

$251.01B

3.4M

+2.08%

—

—

—

72

Marvell Technology, Inc. Common Stock

Marvell Technology

MRVL

$285.94

$250.42B

28.2M

-0.37%

—

—

—

73

AstraZeneca PLC

AstraZeneca PLC

AZN

$160.12

$248.33B

1.1M

+0.95%

—

—

—

74

SAP SE

SAP SE

SAP

$210.13

$244.85B

547.2K

-0.16%

—

—

—

75

Thermo Fisher Scientific, Inc.

Thermo Fisher Scientific

TMO

$662.06

$244.79B

1.1M

+0.83%

—

—

—

76

RTX Corporation

RTX

RTX

$180.50

$243.27B

1.0M

-1.52%

—

—

—

77

Wells Fargo & Co.

Wells Fargo & Co.

WFC

$80.15

$242.37B

2.6M

-1.67%

—

—

—

78

Linde plc Ordinary Share

Linde plc Ordinary Share

LIN

$483.98

$223.89B

876.2K

-1.22%

—

—

—

79

Amgen Inc

Amgen

AMGN

$413.08

$222.94B

616.7K

+2.60%

—

—

—

80

Vanguard Morningstar Mid-Cap ETF

Vanguard Morningstar Mid-Cap ETF

VO

$79.80

$220.90B

1.1M

-1.46%

—

—

—

81

Citigroup Inc.

Citigroup

C

$127.30

$218.31B

1.7M

-0.95%

—

—

—

82

Toyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares)

Toyota Motor

TM

$182.91

$216.60B

71.3K

-1.43%

—

—

—

83

BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares)

BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares)

BHP

$85.22

$216.49B

1.3M

-2.05%

—

—

—

84

Amphenol Corporation

Amphenol

APH

$87.70

$216.26B

2.9M

-1.04%

—

—

—

85

Shopify Inc. Class A subordinate voting shares

Shopify

SHOP

$166.00

$215.41B

4.6M

+0.95%

—

—

—

86

International Business Machines Corporation

International Business Machines

IBM

$220.63

$207.86B

1.1M

-0.30%

—

—

—

87

American Express Company

American Express Company

AXP

$304.21

$205.44B

499.1K

-0.11%

—

—

—

88

Analog Devices, Inc.

Analog Devices

ADI

$410.75

$200.07B

539.4K

-2.33%

—

—

—

89

Banco Santander S.A.

Banco Santander S.A.

SAN

$13.50

$198.16B

5.0M

-3.64%

—

—

—

90

Toronto Dominion Bank

Toronto Dominion Bank

TD

$113.90

$192.43B

233.4K

-3.62%

—

—

—

91

Verizon Communications

Verizon Communications

VZ

$45.92

$191.74B

7.1M

-0.13%

—

—

—

92

TotalEnergies SE

TotalEnergies SE

TTE

$84.23

$187.58B

957.1K

+0.30%

—

—

—

93

Qualcomm Inc

Qualcomm

QCOM

$177.51

$186.39B

3.0M

-1.94%

—

—

—

94

Salesforce, Inc.

Salesforce

CRM

$225.00

$184.28B

1.7M

+0.00%

—

—

—

95

Vanguard Morningstar Small-Cap ETF

Vanguard Morningstar Small-Cap ETF

VB

$287.02

$183.44B

121.3K

-1.39%

—

—

—

96

Gilead Sciences Inc

Gilead Sciences

GILD

$146.85

$182.09B

962.3K

+1.82%

—

—

—

97

iShares Core MSCI EAFE ETF

iShares Core MSCI EAFE ETF

IEFA

$96.20

$181.85B

2.7M

-1.08%

—

—

—

98

The Walt Disney Company

The Walt Disney Company

DIS

$104.54

$181.53B

1.5M

+0.49%

—

—

—

99

Seagate Technology Holdings PLC Ordinary Shares (Ireland)

Seagate Technology Holdings PLC Ordinary Shares (Ireland)

STX

$805.46

$180.61B

3.5M

-0.02%

—

—

—

100

T-Mobile US, Inc.

T-Mobile US

TMUS

$167.58

$179.76B

1.0M

+0.99%

—

—

—

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