All Stock Symbols

List of all 4813 stock symbols we support

Symbol Name Industry Market Cap Rev
NVDA NVIDIA Corporat... Semiconductors 3,848B 130.5B
MSFT Microsoft Corpo... Software - Infrastructure 3,687.2B 245.12B
AAPL Apple Inc. Consumer Electronics 3,003.1B 391.04B
AMZN Amazon.com, Inc... Specialty Retail 2,365.3B 637.96B
GOOGL Alphabet Inc. Internet Content & Information 2,169.2B 350.02B
GOOG Alphabet Inc. Internet Content & Information 2,158.7B 350.02B
META Meta Platforms,... Internet Content & Information 1,844.1B 164.5B
AVGO Broadcom Inc. Semiconductors 1,266.5B 51.57B
TSM Taiwan Semicond... Semiconductors 1,185.3B 2,894.3B
TSLA Tesla, Inc. Auto - Manufacturers 1,041B 97.69B
JPM JPMorgan Chase ... Banks - Diversified 798.18B 270.79B
WMT Walmart Inc. Discount Stores 777.49B 680.99B
LLY Eli Lilly and C... Drug Manufacturers - General 735.68B 45.04B
V Visa Inc. Financial - Credit Services 677.12B 35.93B
ORCL Oracle Corporat... Software - Infrastructure 590.36B 57.4B
NFLX Netflix, Inc. Entertainment 563.31B 39B
MA Mastercard Inco... Financial - Credit Services 497.48B 28.17B
XOM Exxon Mobil Cor... Oil & Gas Integrated 471.52B 339.25B
COST Costco Wholesal... Discount Stores 437.03B 254.45B
AZN AstraZeneca PLC Drug Manufacturers - General 433.41B 54.07B
PG The Procter & G... Household & Personal Products 375.24B 84.04B
JNJ Johnson & Johns... Drug Manufacturers - General 366.81B 88.82B
HD The Home Depot,... Home Improvement 366.53B 159.51B
BAC Bank of America... Banks - Diversified 354.79B 192.43B
SAP Sap Se Software - Application 351.49B 34.18B
ABBV AbbVie Inc. Drug Manufacturers - General 321.29B 56.33B
ASML ASML Holding N.... Semiconductors 312.85B 28.26B
NVO Novo Nordisk A/... Drug Manufacturers - General 303.29B 290.4B
KO The Coca-Cola C... Beverages - Non-Alcoholic 303.11B 47.06B
PLTR Palantir Techno... Software - Infrastructure 297.1B 2.87B
PM Philip Morris I... Tobacco 281.96B 37.88B
UNH UnitedHealth Gr... Medical - Healthcare Plans 280.18B 400.28B
BABA Alibaba Group H... Specialty Retail 272.31B 996.35B
CSCO Cisco Systems, ... Communication Equipment 272.03B 53.8B
GE General Electri... Aerospace & Defense 271.37B 38.7B
IBM International B... Information Technology Services 269.2B 62.75B
TMUS T-Mobile US, In... Telecommunications Services 267.34B 81.4B
CRM Salesforce, Inc... Software - Application 260.73B 37.9B
WFC Wells Fargo & C... Banks - Diversified 258.46B 125.4B
CVX Chevron Corpora... Oil & Gas Integrated 251.25B 193.41B
NVS Novartis AG Drug Manufacturers - General 237.66B 51.72B
ABT Abbott Laborato... Medical - Devices 233.81B 41.95B
AMD Advanced Micro ... Semiconductors 233.08B 25.79B
TM Toyota Motor Co... Auto - Manufacturers 229.82B 48,036.7B
MS Morgan Stanley Financial - Capital Markets 225.63B 103.14B
AXP American Expres... Financial - Credit Services 222.4B 74.2B
DIS The Walt Disney... Entertainment 220B 91.36B
LIN Linde plc Chemicals - Specialty 218.34B 33.01B
INTU Intuit Inc. Software - Application 216.68B 16.29B
SHEL Shell plc Oil & Gas Integrated 214.95B 284.31B
HSBC HSBC Holdings p... Banks - Diversified 212.45B 143.29B
NOW ServiceNow, Inc... Software - Application 212.07B 10.98B
GS The Goldman Sac... Financial - Capital Markets 212.02B 126.85B
MCD McDonald's Corp... Restaurants 208.7B 25.92B
T AT&T Inc. Telecommunications Services 202.02B 122.34B
MRK Merck & Co., In... Drug Manufacturers - General 198.2B 64.17B
TBB AT&T Inc. 5.35%... Telecommunications Services 198.14B 122.34B
HDB HDFC Bank Limit... Banks - Regional 196.98B 2,728.5B
RTX RTX Corporation Aerospace & Defense 193.26B 80.74B
UBER Uber Technologi... Software - Application 191.43B 43.98B
ISRG Intuitive Surgi... Medical - Instruments & Supplies 191.26B 8.35B
TXN Texas Instrumen... Semiconductors 188.19B 15.64B
BKNG Booking Holding... Travel Services 185.51B 23.74B
ACN Accenture plc Information Technology Services 184.81B 64.9B
RY Royal Bank of C... Banks - Diversified 182.79B 134.49B
CAT Caterpillar Inc... Agricultural - Machinery 181.14B 64.81B
PEP PepsiCo, Inc. Beverages - Non-Alcoholic 179.76B 91.85B
BX Blackstone Inc. Asset Management 178.51B 11.37B
VZ Verizon Communi... Telecommunications Services 178.41B 134.79B
ARM Arm Holdings pl... Semiconductors 174.94B 4.01B
QCOM QUALCOMM Incorp... Semiconductors 174.05B 38.96B
ADBE Adobe Inc. Software - Infrastructure 164.48B 21.5B
SCHW The Charles Sch... Financial - Capital Markets 163.56B 26B
BLK BlackRock, Inc. Asset Management 162.56B 20.41B
BA The Boeing Comp... Aerospace & Defense 161.78B 66.52B
MUFG Mitsubishi UFJ ... Banks - Diversified 159.77B 12,429.7B
SPGI S&P Global Inc. Financial - Data & Stock Exchanges 158.95B 14.21B
SONY Sony Group Corp... Consumer Electronics 158.61B 12,957.1B
BSX Boston Scientif... Medical - Devices 158.12B 16.75B
C Citigroup Inc. Banks - Diversified 157.65B 170.71B
SPOT Spotify Technol... Internet Content & Information 155.23B 15.67B
PGR The Progressive... Insurance - Property & Casualty 154.72B 75.34B
TMO Thermo Fisher S... Medical - Diagnostics & Research 153.9B 42.88B
SYK Stryker Corpora... Medical - Devices 150.44B 22.59B
UL Unilever PLC Household & Personal Products 149.75B 60.76B
AMGN Amgen Inc. Drug Manufacturers - General 149.1B 33.42B
SHOP Shopify Inc. Software - Application 147.97B 8.88B
HON Honeywell Inter... Conglomerates 147.12B 38.5B
AMAT Applied Materia... Semiconductors 147.03B 27.18B
NEE NextEra Energy,... Regulated Electric 146.09B 24.75B
PDD PDD Holdings In... Specialty Retail 145.93B 393.84B
GEV GE Vernova Inc. Renewable Utilities 142.07B 34.94B
DHR Danaher Corpora... Medical - Diagnostics & Research 141.84B 23.88B
MU Micron Technolo... Semiconductors 139.41B 25.11B
DE Deere & Company Agricultural - Machinery 139.05B 50.52B
ETN Eaton Corporati... Industrial - Machinery 138.44B 24.88B
UNP Union Pacific C... Railroads 138.23B 24.25B
GILD Gilead Sciences... Drug Manufacturers - General 137.72B 28.75B
PFE Pfizer Inc. Drug Manufacturers - General 137.59B 63.63B
TJX The TJX Compani... Apparel - Retail 137.51B 56.36B
TTE TotalEnergies S... Oil & Gas Integrated 137.14B 195.61B
COF Capital One Fin... Financial - Credit Services 135.2B 27.4B
PANW Palo Alto Netwo... Software - Infrastructure 133.72B 8.03B
CMCSA Comcast Corpora... Telecommunications Services 131.52B 123.73B
BUD Anheuser-Busch ... Beverages - Alcoholic 131.35B 59.77B
MELI MercadoLibre, I... Specialty Retail 129.86B 20.78B
TD The Toronto-Dom... Banks - Diversified 127.1B 119.17B
LOW Lowe's Companie... Home Improvement 125.36B 83.67B
ANET Arista Networks... Computer Hardware 124.76B 7B
CRWD CrowdStrike Hol... Software - Infrastructure 124.52B 3.95B
LRCX Lam Research Co... Semiconductors 124.41B 14.91B
GDS GDS Holdings Li... Information Technology Services 124.4B 10.32B
ADP Automatic Data ... Staffing & Employment Services 123.22B 19.2B
SAN Banco Santander... Banks - Diversified 122.6B 50.8B
KKR KKR & Co. Inc. Asset Management 119.8B 21.64B
APH Amphenol Corpor... Hardware, Equipment & Parts 118.23B 15.22B
ADI Analog Devices,... Semiconductors 117.57B 9.43B
KLAC KLA Corporation Semiconductors 117.51B 9.81B
SNY Sanofi Drug Manufacturers - General 116.5B 44.29B
CB Chubb Limited Insurance - Property & Casualty 114.22B 56.15B
COP ConocoPhillips Oil & Gas Exploration & Production 113.88B 54.74B
VRTX Vertex Pharmace... Biotechnology 113.29B 11.02B
APP AppLovin Corpor... Software - Application 113.2B 4.71B
MDT Medtronic plc Medical - Devices 110.43B 33.54B
LMT Lockheed Martin... Aerospace & Defense 107.44B 71.04B
MMC Marsh & McLenna... Insurance - Brokers 106.93B 24.46B
UBS UBS Group AG Banks - Diversified 106.58B 45.81B
NKE NIKE, Inc. Apparel - Footwear & Accessories 106.43B 51.36B
MSTR MicroStrategy I... Software - Application 105.18B 463.46M
SBUX Starbucks Corpo... Restaurants 104.72B 36.18B
ICE Intercontinenta... Financial - Data & Stock Exchanges 104.23B 11.76B
BTI British America... Tobacco 102.89B 25.87B
DASH DoorDash, Inc. Internet Content & Information 102.7B 10.72B
AMT American Tower ... REIT - Specialty 102.07B 10.13B
BN Brookfield Corp... Asset Management 101.53B 86.01B
CEG Constellation E... Renewable Utilities 100.38B 23.57B
RELX RELX Plc Publishing 99.85B 9.43B
SO The Southern Co... Regulated Electric 99.78B 26.72B
WELL Welltower Inc. REIT - Healthcare Facilities 99.52B 7.85B
MO Altria Group, I... Tobacco 99.12B 20.44B
INTC Intel Corporati... Semiconductors 99.04B 53.1B
CME CME Group Inc. Financial - Data & Stock Exchanges 99.02B 6.13B
SOJC The Southern Co... Regulated Electric 98.65B 26.72B
SMFG Sumitomo Mitsui... Banks - Diversified 98.14B 5,219.8B
PLD Prologis, Inc. REIT - Industrial 97.96B 8.2B
ENB Enbridge Inc. Oil & Gas Midstream 97.56B 53.47B
TT Trane Technolog... Construction 96.35B 19.84B
FI Fiserv, Inc. Information Technology Services 95.61B 20.46B
RIO Rio Tinto Group Industrial Materials 95.41B 53.66B
SE Sea Limited Specialty Retail 94.39B 16.82B