589 active tickers · refreshed 7/14/2026

The ticker universe

Every US equity and ETF we cover. Click any row for its TradingView chart, live news, StockTwits sentiment, and the indicators we’ve mapped to it. Use the search bar above or filter by sector below to narrow.

589 / 589 tickers
NVDA logoNVDANVIDIA CorporationTechnology$4.93T+3.0%-4.9%AAPL logoAAPLApple Inc.Technology$4.66T+7.8%+1.5%GOOGL logoGOOGLAlphabet Inc.Communication Services$4.30T-2.4%-9.6%GOOG logoGOOGAlphabet Inc.Communication Services$4.28T-2.0%-9.1%MSFT logoMSFTMicrosoft CorporationTechnology$2.90T+1.8%-8.4%AMZN logoAMZNAmazon.com, Inc.Consumer Cyclical$2.66T+2.3%-9.7%VTVTIVanguard Total Stock Market Index Fund ETF SharesBroad Market$2.30T+0.1%-0.2%AVGO logoAVGOBroadcom Inc.Technology$1.83T+4.0%-9.8%VOVOOVanguard S&P 500 ETFBroad Market$1.67T+0.4%-0.5%META logoMETAMeta Platforms, Inc.Communication Services$1.67T+7.2%+3.5%TSLA logoTSLATesla, Inc.Consumer Cyclical$1.48T-7.2%-10.7%BRK-B logoBRK-BBerkshire Hathaway Inc.Financial Services$1.07T-0.6%+4.1%MU logoMUMicron Technology, Inc.Technology$1.06T-9.2%+1.5%LLY logoLLYEli Lilly and CompanyHealthcare$1.05T-0.8%+4.9%WMT logoWMTWalmart Inc.Consumer Defensive$913.4B+5.5%-3.5%JPM logoJPMJPMorgan Chase & Co.Financial Services$896.4B+0.6%+13.3%AMD logoAMDAdvanced Micro Devices, Inc.Technology$871.4B-1.2%+3.1%SPSPYState Street SPDR S&P 500 ETF TrustBroad Market$781.2B+0.5%-0.5%V logoVVisa Inc.Financial Services$680.3B+1.9%+10.1%ASML logoASMLASML Holding N.V.Technology$665.2B-6.3%+7.5%JNJ logoJNJJohnson & JohnsonHealthcare$620.5B+1.5%+11.7%XOM logoXOMExxonMobil Holdings CorporationEnergy$599.0B+6.0%-1.7%INTC logoINTCIntel CorporationTechnology$518.3B-18.8%-14.7%QQQQQInvesco QQQ TrustBroad Market$490.1B-1.9%-3.1%MA logoMAMastercard IncorporatedFinancial Services$475.1B+3.1%+9.1%CSCO logoCSCOCisco Systems, Inc.Technology$470.0B+2.3%+0.9%AMAT logoAMATApplied Materials, Inc.Technology$456.8B-11.6%+28.0%ABBV logoABBVAbbVie Inc.Healthcare$438.2B-1.2%+13.4%CAT logoCATCaterpillar Inc.Industrials$429.0B-6.0%+4.9%BAC logoBACBank of America CorporationFinancial Services$422.2B+1.9%+17.8%LRCX logoLRCXLam Research CorporationTechnology$412.6B-15.7%+3.8%COST logoCOSTCostco Wholesale CorporationConsumer Defensive$410.9B+0.2%-6.9%BNBNDVanguard Total Bond Market Index FundFixed Income$397.9B-0.8%-0.6%UNH logoUNHUnitedHealth Group IncorporatedHealthcare$389.7B+0.6%+12.8%ORCL logoORCLOracle CorporationTechnology$378.9B-7.4%-35.2%GE logoGEGE AerospaceIndustrials$369.3B-5.6%+10.3%CVX logoCVXChevron CorporationEnergy$362.9B+10.0%-0.5%KO logoKOThe Coca-Cola CompanyConsumer Defensive$362.5B+3.6%+5.5%MS logoMSMorgan StanleyFinancial Services$348.7B+4.4%+8.5%PG logoPGThe Procter & Gamble CompanyConsumer Defensive$345.5B+0.6%+1.7%HD logoHDThe Home Depot, Inc.Consumer Cyclical$336.1B-3.9%+5.7%VEVEAVanguard FTSE Developed Markets Index Fund ETF SharesUnclassified$316.3B-0.8%-2.1%PLTR logoPLTRPalantir Technologies Inc.Technology$311.7B+3.4%-9.3%NFLX logoNFLXNetflix, Inc.Communication Services$310.9B-0.5%-14.5%GS logoGSThe Goldman Sachs Group, Inc.Financial Services$308.6B+2.6%+4.2%MRK logoMRKMerck & Co., Inc.Healthcare$306.3B-1.1%+4.2%KLAC logoKLACKLA CorporationTechnology$290.3B-16.5%+15.3%PM logoPMPhilip Morris International Inc.Consumer Defensive$280.8B+1.4%+1.7%GEV logoGEVGE Vernova Inc.Industrials$280.2B-8.1%+4.7%DELL logoDELLDell Technologies Inc.Technology$276.0B+0.4%+34.7%IBM logoIBMInternational Business Machines CorporationTechnology$272.8B+1.4%+9.8%TXN logoTXNTexas Instruments IncorporatedTechnology$271.7B+0.1%-5.5%PANW logoPANWPalo Alto Networks, Inc.Technology$269.2B-6.2%+28.1%WFC logoWFCWells Fargo & CompanyFinancial Services$268.3B+2.0%+14.4%RTX logoRTXRTX CorporationIndustrials$264.5B+2.4%+9.7%SNDK logoSNDKSandisk CorporationTechnology$247.9B-17.6%+2.0%LIN logoLINLinde plcBasic Materials$242.3B-1.8%+4.7%AXP logoAXPAmerican Express CompanyFinancial Services$241.8B+2.1%+12.8%C logoCCitigroup Inc.Financial Services$240.0B+0.4%+12.9%ANET logoANETArista Networks, Inc.Technology$228.1B+8.7%+16.7%TM logoTMToyota Motor CorporationConsumer Cyclical$206.9B+3.0%-8.9%TMUS logoTMUST-Mobile US, Inc.Communication Services$203.9B+8.9%+0.2%TMO logoTMOThermo Fisher Scientific Inc.Healthcare$196.4B+3.0%+8.6%STX logoSTXSeagate Technology Holdings plcTechnology$194.7B-6.0%-2.2%AMGN logoAMGNAmgen Inc.Healthcare$194.5B-0.2%+7.1%QCOM logoQCOMQUALCOMM IncorporatedTechnology$193.9B+1.1%-24.1%MCD logoMCDMcDonald's CorporationConsumer Cyclical$193.7B+1.2%-1.3%APH logoAPHAmphenol CorporationTechnology$191.9B-9.4%+5.8%WDC logoWDCWestern Digital CorporationTechnology$191.5B-7.2%+4.6%CRWD logoCRWDCrowdStrike Holdings, Inc.Technology$191.3B-2.7%+12.0%PEP logoPEPPepsiCo, Inc.Consumer Defensive$189.2B-1.9%-4.3%ADI logoADIAnalog Devices, Inc.Technology$188.0B-0.8%-7.6%IEIEFAiShares Core MSCI EAFE ETFUnclassified$186.5B+0.1%-0.2%NEE logoNEENextEra Energy, Inc.Utilities$184.3B+2.3%+2.0%VZ logoVZVerizon Communications Inc.Communication Services$178.2B+3.4%-9.6%SCHW logoSCHWThe Charles Schwab CorporationFinancial Services$178.1B+6.9%+19.9%UNP logoUNPUnion Pacific CorporationIndustrials$171.7B+4.1%+8.8%BA logoBAThe Boeing CompanyIndustrials$169.9B-1.4%-5.8%BLK logoBLKBlackRock, Inc.Financial Services$167.7B+5.2%-0.9%DIS logoDISThe Walt Disney CompanyCommunication Services$166.7B+0.3%-6.7%TJX logoTJXThe TJX Companies, Inc.Consumer Cyclical$166.3B-0.5%-2.8%WELL logoWELLWelltower Inc.Real Estate$165.6B+1.9%+11.5%VWVWOVanguard Emerging Markets Stock Index FundUnclassified$163.3B-0.7%-1.7%GILD logoGILDGilead Sciences, Inc.Healthcare$163.1B+4.3%-2.9%SHOP logoSHOPShopify Inc.Technology$161.9B+2.6%+8.4%IEIEMGiShares Core MSCI Emerging Markets ETFUnclassified$160.7B-2.6%-5.3%ABT logoABTAbbott LaboratoriesHealthcare$160.4B-0.1%+6.7%IBKR logoIBKRInteractive Brokers Group, Inc.Financial Services$158.7B+0.3%+12.7%DE logoDEDeere & CompanyIndustrials$158.1B-6.7%+8.9%GLW logoGLWCorning IncorporatedTechnology$157.6B-17.0%+0.2%ETN logoETNEaton Corporation plcIndustrials$156.4B-2.3%+0.2%UBER logoUBERUber Technologies, Inc.Technology$151.2B+2.2%+4.7%T logoTAT&T Inc.Communication Services$149.7B+6.6%-12.2%BX logoBXBlackstone Inc.Financial Services$149.2B+2.1%+5.1%APP logoAPPAppLovin CorporationCommunication Services$148.8B-21.6%-26.2%ISRG logoISRGIntuitive Surgical, Inc.Healthcare$144.2B+1.2%-3.9%DHR logoDHRDanaher CorporationHealthcare$141.7B+3.3%+11.0%CRM logoCRMSalesforce, Inc.Technology$140.2B+4.9%-2.6%PFE logoPFEPfizer Inc.Healthcare$139.5B+2.5%-6.3%AGAGGiShares Core U.S. Aggregate Bond ETFFixed Income$138.8B-0.8%-0.6%CB logoCBChubb LimitedFinancial Services$137.6B+0.9%+12.5%COP logoCOPConocoPhillipsEnergy$137.5B+9.3%-1.9%PGR logoPGRThe Progressive CorporationFinancial Services$136.5B+4.1%+20.6%BKNG logoBKNGBooking Holdings Inc.Consumer Cyclical$136.2B-3.8%+3.8%PLD logoPLDPrologis, Inc.Real Estate$135.6B+3.9%-1.7%CVS logoCVSCVS Health CorporationHealthcare$135.1B+1.0%+13.9%GLGLDSPDR Gold SharesCommodities$130.1B-0.9%-11.1%SPGI logoSPGIS&P Global Inc.Financial Services$129.6B+5.5%+11.1%SYK logoSYKStryker CorporationHealthcare$127.1B+5.8%+8.0%COF logoCOFCapital One Financial CorporationFinancial Services$125.1B-0.9%+8.6%XLXLKState Street Technology Select Sector SPDR ETFTechnology$123.9B-2.3%-2.9%SBUX logoSBUXStarbucks CorporationConsumer Cyclical$122.3B+3.8%+6.5%VRTX logoVRTXVertex Pharmaceuticals IncorporatedHealthcare$121.9B-3.6%+7.2%BMY logoBMYBristol-Myers Squibb CompanyHealthcare$121.2B+6.3%+5.5%LMT logoLMTLockheed Martin CorporationIndustrials$120.0B-0.2%-2.4%MO logoMOAltria Group, Inc.Consumer Defensive$120.0B+0.5%+1.4%PH logoPHParker-Hannifin CorporationIndustrials$119.9B-1.3%+11.5%FTNT logoFTNTFortinet, Inc.Technology$117.7B+1.0%+23.8%VRT logoVRTVertiv Holdings CoIndustrials$117.5B-1.8%-2.6%LOW logoLOWLowe's Companies, Inc.Consumer Cyclical$116.5B-6.4%-4.7%NOW logoNOWServiceNow, Inc.Technology$114.7B+5.2%+2.3%SO logoSOThe Southern CompanyUtilities$108.8B+1.4%+4.3%HWM logoHWMHowmet Aerospace Inc.Industrials$108.5B+1.4%+4.4%MDT logoMDTMedtronic plcHealthcare$107.0B+5.5%+11.6%TT logoTTTrane Technologies plcIndustrials$106.1B-1.0%+6.3%CDNS logoCDNSCadence Design Systems, Inc.Technology$104.2B+0.1%+1.1%BNY logoBNYThe Bank of New York Mellon CorFinancial Services$103.8B+3.6%+7.6%EQIX logoEQIXEquinix, Inc.Real Estate$102.5B+2.6%-2.8%PNC logoPNCThe PNC Financial Services Group, Inc.Financial Services$101.5B+0.5%+15.1%GD logoGDGeneral Dynamics CorporationIndustrials$100.8B+3.2%+7.3%ADP logoADPAutomatic Data Processing, Inc.Technology$100.4B+6.5%+15.1%NEM logoNEMNewmont CorporationBasic Materials$99.4B-0.2%-14.0%HOOD logoHOODRobinhood Markets, Inc.Financial Services$98.9B+1.1%+29.5%DUK logoDUKDuke Energy CorporationUtilities$98.9B+0.9%+2.5%SPOT logoSPOTSpotify Technology S.A.Communication Services$98.7B+1.6%-7.1%USB logoUSBU.S. BancorpFinancial Services$97.1B+0.6%+15.5%PWR logoPWRQuanta Services, Inc.Industrials$97.0B-6.5%-11.4%UPS logoUPSUnited Parcel Service, Inc.Industrials$96.0B+3.1%+5.8%MAR logoMARMarriott International, Inc.Consumer Cyclical$95.7B-1.5%-5.9%NET logoNETCloudflare, Inc.Technology$95.7B+9.4%+18.2%MCK logoMCKMcKesson CorporationHealthcare$95.1B+5.8%+7.4%WM logoWMWaste Management, Inc.Industrials$95.1B+5.6%+10.9%MNST logoMNSTMonster Beverage CorporationConsumer Defensive$94.9B-0.3%+10.3%SNOW logoSNOWSnowflake Inc.Technology$93.1B+2.9%+12.3%DDOG logoDDOGDatadog, Inc.Technology$92.6B-1.6%+15.5%ELV logoELVElevance Health, Inc.Healthcare$92.3B+2.2%+8.7%CEG logoCEGConstellation Energy CorporationUtilities$92.0B+8.9%-10.0%CMI logoCMICummins Inc.Industrials$91.7B-2.6%-0.6%ADBE logoADBEAdobe Inc.Technology$91.7B+9.3%-4.5%WMB logoWMBThe Williams Companies, Inc.Energy$91.1B+2.3%+2.6%KKR logoKKRKKR & Co. Inc.Financial Services$90.4B+4.7%+3.1%CME logoCMECME Group Inc.Financial Services$88.6B+6.1%-11.2%VLO logoVLOValero Energy CorporationEnergy$87.8B+9.8%+20.8%JCI logoJCIJohnson Controls International plcIndustrials$87.8B-0.6%+6.0%MRSH logoMRSHMarsh & McLennan Companies, Inc.Financial Services$87.5B+5.5%+13.8%ABNB logoABNBAirbnb, Inc.Consumer Cyclical$86.8B-0.7%+8.8%HCA logoHCAHCA Healthcare, Inc.Healthcare$86.7B-0.6%+1.9%MPC logoMPCMarathon Petroleum CorporationEnergy$86.7B+12.1%+18.1%MCO logoMCOMoody's CorporationFinancial Services$86.6B+5.8%+10.1%FCX logoFCXFreeport-McMoRan Inc.Basic Materials$86.2B-0.9%-9.0%CMCSA logoCMCSAComcast CorporationCommunication Services$85.6B+1.0%-3.4%ACN logoACNAccenture plcTechnology$84.8B+6.9%-21.4%SNPS logoSNPSSynopsys, Inc.Technology$83.1B-4.6%-9.7%IWIWMiShares Russell 2000 ETFBroad Market$83.0B-1.9%+0.7%DASH logoDASHDoorDash, Inc.Consumer Cyclical$82.6B+0.4%+21.0%MMM logoMMM3M CompanyIndustrials$82.3B-1.4%+3.2%SHW logoSHWThe Sherwin-Williams CompanyBasic Materials$81.1B-4.9%+7.8%CI logoCIThe Cigna GroupHealthcare$80.6B+9.9%+7.7%PSX logoPSXPhillips 66Energy$79.5B+13.6%+12.2%INTU logoINTUIntuit Inc.Technology$79.3B+9.0%-7.0%AMT logoAMTAmerican Tower CorporationReal Estate$79.0B+2.1%-8.3%AON logoAONAon plcFinancial Services$78.5B+6.9%+15.4%ITW logoITWIllinois Tool Works Inc.Industrials$78.1B+0.9%+9.4%ICE logoICEIntercontinental Exchange, Inc.Financial Services$77.9B+8.6%-6.8%RCL logoRCLRoyal Caribbean Cruises Ltd.Consumer Cyclical$77.4B-5.8%+3.1%EFEFAiShares MSCI EAFE ETFUnclassified$77.2B+0.2%+0.2%SMSMHVanEck Semiconductor ETFTechnology$77.2B-5.6%-2.4%NOC logoNOCNorthrop Grumman CorporationIndustrials$77.0B+4.2%-2.7%MDLZ logoMDLZMondelez International, Inc.Consumer Defensive$76.8B+0.9%-3.3%ECL logoECLEcolab Inc.Basic Materials$76.5B-2.3%+4.7%EMR logoEMREmerson Electric Co.Industrials$75.8B-3.0%-4.5%FDX logoFDXFedEx CorporationIndustrials$74.9B-0.1%-5.0%CL logoCLColgate-Palmolive CompanyConsumer Defensive$74.6B+0.5%+1.7%EOG logoEOGEOG Resources, Inc.Energy$74.4B+8.6%+3.7%AEP logoAEPAmerican Electric Power Company, Inc.Utilities$73.8B+0.4%+6.2%NSC logoNSCNorfolk Southern CorporationIndustrials$73.6B+2.7%+6.4%CTAS logoCTASCintas CorporationIndustrials$73.5B+5.5%+6.2%HLT logoHLTHilton Worldwide Holdings Inc.Consumer Cyclical$73.4B-2.9%-4.5%TRV logoTRVThe Travelers Companies, Inc.Financial Services$72.6B+2.1%+16.5%ORLY logoORLYO'Reilly Automotive, Inc.Consumer Cyclical$72.3B-5.8%-2.2%KMI logoKMIKinder Morgan, Inc.Energy$71.7B+1.6%+1.0%VNVNQVanguard Real Estate Index Fund ETF SharesReal Estate$71.3B+1.0%+2.2%CVNA logoCVNACarvana Co.Consumer Cyclical$71.3B-4.2%-11.6%SLB logoSLBSLB N.V.Energy$70.8B+5.0%-13.6%HON logoHONHoneywell International Inc.Industrials$70.4B+0.2%-9.1%ROST logoROSTRoss Stores, Inc.Consumer Cyclical$70.4B+3.6%-3.2%NXPI logoNXPINXP Semiconductors N.V.Technology$70.3B-0.3%-15.4%REGN logoREGNRegeneron Pharmaceuticals, Inc.Healthcare$69.5B+6.1%+6.7%MSI logoMSIMotorola Solutions, Inc.Technology$69.4B-0.2%+1.9%GM logoGMGeneral Motors CompanyConsumer Cyclical$69.2B+1.6%-8.8%TDG logoTDGTransDigm Group IncorporatedIndustrials$69.1B-5.7%-2.4%RSG logoRSGRepublic Services, Inc.Industrials$68.7B+4.3%+10.0%CRH logoCRHCRH plcBasic Materials$68.6B-2.4%-3.8%APO logoAPOApollo Global Management, Inc.Financial Services$68.5B+0.3%-6.8%URI logoURIUnited Rentals, Inc.Industrials$68.0B-2.4%+9.8%WBD logoWBDWarner Bros. Discovery, Inc.Communication Services$67.9B+1.0%+0.2%APD logoAPDAir Products and Chemicals, Inc.Basic Materials$67.2B-1.4%+7.1%AJG logoAJGArthur J. Gallagher & Co.Financial Services$67.1B+9.0%+29.3%DLR logoDLRDigital Realty Trust, Inc.Real Estate$66.9B+0.9%-6.4%BSX logoBSXBoston Scientific CorporationHealthcare$66.4B+3.7%-9.1%ALL logoALLThe Allstate CorporationFinancial Services$66.0B+5.5%+24.4%GWW logoGWWW.W. Grainger, Inc.Industrials$65.7B+4.0%+11.6%RACE logoRACEFerrari N.V.Consumer Cyclical$65.6B-0.5%+7.7%PCAR logoPCARPACCAR IncIndustrials$65.4B+2.5%+10.7%NKE logoNKENIKE, Inc.Consumer Cyclical$64.8B+1.6%-6.8%TFC logoTFCTruist Financial CorporationFinancial Services$64.7B+2.1%+8.7%MPWR logoMPWRMonolithic Power Systems, Inc.Technology$63.4B-3.0%-20.8%CIEN logoCIENCiena CorporationTechnology$63.1B-3.7%-21.9%AFL logoAFLAflac IncorporatedFinancial Services$62.8B+4.1%+9.5%HPE logoHPEHewlett Packard Enterprise CompanyTechnology$62.6B+7.5%+24.0%D logoDDominion Energy, Inc.Utilities$62.3B+4.4%+6.1%SRE logoSRESempraUtilities$61.7B+3.3%+5.6%TGT logoTGTTarget CorporationConsumer Defensive$61.2B+3.4%+4.8%FIX logoFIXComfort Systems USA, Inc.Industrials$60.9B-7.1%-6.6%COHR logoCOHRCoherent Corp.Technology$60.1B-16.6%-18.4%TRGP logoTRGPTarga Resources Corp.Energy$60.0B+8.4%+6.6%MET logoMETMetLife, Inc.Financial Services$59.9B+6.7%+13.5%O logoORealty Income CorporationReal Estate$59.8B+3.8%+4.9%LITE logoLITELumentum Holdings Inc.Technology$59.8B-4.1%-10.7%COR logoCORCencora, Inc.Healthcare$59.6B+6.1%+14.3%OKE logoOKEONEOK, Inc.Energy$58.1B+7.5%+5.9%TEL logoTELTE Connectivity plcTechnology$57.8B-1.6%-5.8%CTVA logoCTVACorteva, Inc.Basic Materials$57.6B+3.0%+7.0%BKR logoBKRBaker Hughes CompanyEnergy$57.2B+7.1%-10.9%CARR logoCARRCarrier Global CorporationIndustrials$57.0B-4.8%+7.5%DAL logoDALDelta Air Lines, Inc.Industrials$56.7B-7.2%+4.7%PSA logoPSAPublic StorageReal Estate$56.5B-0.4%+5.0%F logoFFord Motor CompanyConsumer Cyclical$55.2B+1.5%-16.8%KEYS logoKEYSKeysight Technologies, Inc.Technology$54.8B-4.4%-5.4%CAH logoCAHCardinal Health, Inc.Healthcare$54.7B-1.7%+17.2%OXY logoOXYOccidental Petroleum CorporationEnergy$54.5B+14.3%-3.9%FAST logoFASTFastenal CompanyIndustrials$54.0B-1.5%+5.1%FANG logoFANGDiamondback Energy, Inc.Energy$53.9B+11.4%-1.3%LHX logoLHXL3Harris Technologies, Inc.Industrials$53.8B-1.2%-7.9%ETR logoETREntergy CorporationUtilities$53.6B+1.8%+4.8%TER logoTERTeradyne, Inc.Technology$53.4B-20.2%-10.9%VST logoVSTVistra Corp.Utilities$53.3B+3.2%-1.2%AME logoAMEAMETEK, Inc.Industrials$53.2B-2.1%+3.1%NUE logoNUENucor CorporationBasic Materials$53.1B+6.4%-6.3%EW logoEWEdwards Lifesciences CorporationHealthcare$52.9B-0.2%+6.8%FITB logoFITBFifth Third BancorpFinancial Services$51.8B-0.5%+15.4%EA logoEAElectronic Arts Inc.Communication Services$51.7B+0.4%+2.6%XLXLFState Street Financial Select Sector SPDR ETFFinancials$51.4B+2.4%+9.8%ROK logoROKRockwell Automation, Inc.Industrials$51.2B-4.6%+1.2%EBAY logoEBAYeBay Inc.Consumer Cyclical$51.1B+3.4%+2.9%NDAQ logoNDAQNasdaq, Inc.Financial Services$50.5B+7.8%-1.6%DVN logoDVNDevon Energy CorporationEnergy$50.4B+8.7%-0.2%AZO logoAZOAutoZone, Inc.Consumer Cyclical$50.3B-4.3%+2.4%XEL logoXELXcel Energy Inc.Utilities$50.2B+1.0%+2.3%STT logoSTTState Street CorporationFinancial Services$49.3B+5.0%+13.6%HUM logoHUMHumana Inc.Healthcare$48.7B-0.8%+31.8%ODFL logoODFLOld Dominion Freight Line, Inc.Industrials$48.4B+6.8%+5.6%EXC logoEXCExelon CorporationUtilities$48.2B+1.8%+4.3%SOSOXXiShares Semiconductor ETFTechnology$47.8B-7.7%-2.7%IEIEFiShares 7-10 Year Treasury Bond ETFFixed Income$47.1B-0.8%-0.7%CMG logoCMGChipotle Mexican Grill, Inc.Consumer Cyclical$47.0B+4.7%+13.0%GRMN logoGRMNGarmin Ltd.Technology$47.0B+2.5%+3.5%XYZ logoXYZBlock, Inc.Technology$46.9B+2.1%+5.9%AMP logoAMPAmeriprise Financial, Inc.Financial Services$46.6B+8.0%+17.8%MUMUBiShares National Muni Bond ETFFixed Income$45.8B-0.4%+0.4%MCHP logoMCHPMicrochip Technology IncorporatedTechnology$45.7B-5.0%-12.3%TTWO logoTTWOTake-Two Interactive Software, Inc.Communication Services$45.3B-2.5%+12.0%MSCI logoMSCIMSCI Inc.Financial Services$45.1B+6.6%-1.0%ADSK logoADSKAutodesk, Inc.Technology$44.8B+6.2%-11.9%VTR logoVTRVentas, Inc.Real Estate$44.8B+2.7%+7.9%YUM logoYUMYum! Brands, Inc.Consumer Cyclical$44.6B+0.1%+7.8%IDXX logoIDXXIDEXX Laboratories, Inc.Healthcare$44.5B+5.0%-0.7%WAB logoWABWestinghouse Air Brake Technologies CorporationIndustrials$44.3B-1.2%-0.1%AXON logoAXONAxon Enterprise, Inc.Industrials$44.1B-7.9%+24.5%DIDIAState Street SPDR Dow Jones Industrial Average ETF TrustBroad Market$44.1B+0.4%+3.7%IBIBITiShares Bitcoin Trust ETFCrypto$43.2B+3.6%-15.3%LYV logoLYVLive Nation Entertainment, Inc.Communication Services$42.6B-0.4%+9.7%KDP logoKDPKeurig Dr Pepper Inc.Consumer Defensive$42.5B-6.3%+4.8%BDX logoBDXBecton, Dickinson and CompanyHealthcare$42.4B+0.6%+4.4%AIG logoAIGAmerican International Group, Inc.Financial Services$42.4B+4.3%+8.1%DHI logoDHID.R. Horton, Inc.Consumer Cyclical$42.2B-5.2%+1.3%PYPL logoPYPLPayPal Holdings, Inc.Financial Services$42.0B+8.1%+7.5%COIN logoCOINCoinbase Global, Inc.Crypto$41.5B-1.2%-13.7%ED logoEDConsolidated Edison, Inc.Utilities$41.2B+0.8%+5.2%TLTLTiShares 20+ Year Treasury Bond ETFFixed Income$41.1B-1.8%-1.3%XLXLVState Street Health Care Select Sector SPDR ETFHealthcare$40.6B+1.2%+7.5%CBRE logoCBRECBRE Group, Inc.Real Estate$40.4B-0.2%+9.2%PRU logoPRUPrudential Financial, Inc.Financial Services$40.3B+4.6%+15.5%PEG logoPEGPublic Service Enterprise Group IncorporatedUtilities$40.3B+0.8%+3.1%SYY logoSYYSysco CorporationConsumer Defensive$39.9B+0.6%+10.7%ARES logoARESAres Management CorporationFinancial Services$39.7B+6.0%-3.4%ADM logoADMArcher-Daniels-Midland CompanyConsumer Defensive$39.5B+7.1%+2.5%PAYX logoPAYXPaychex, Inc.Technology$39.4B+7.8%+16.0%UAL logoUALUnited Airlines Holdings, Inc.Industrials$39.3B-10.3%+5.3%HIG logoHIGThe Hartford Insurance Group, Inc.Financial Services$38.6B+5.2%+9.7%PCG logoPCGPG&E CorporationUtilities$38.3B+4.8%+6.9%VMC logoVMCVulcan Materials CompanyBasic Materials$38.0B-0.8%+5.8%A logoAAgilent Technologies, Inc.Healthcare$37.9B+0.5%-0.8%WEC logoWECWEC Energy Group, Inc.Utilities$37.7B-0.3%+3.8%KVUE logoKVUEKenvue Inc.Consumer Defensive$36.9B-0.5%+9.0%WAT logoWATWaters CorporationHealthcare$36.6B-1.3%+1.8%KMB logoKMBKimberly-Clark CorporationConsumer Defensive$36.6B-1.1%+11.5%CCL logoCCLCarnival Corporation Ltd.Consumer Cyclical$36.4B-6.7%-4.8%IRM logoIRMIron Mountain IncorporatedReal Estate$36.4B+0.4%-2.9%ROP logoROPRoper Technologies, Inc.Technology$36.4B+1.9%+13.1%HBAN logoHBANHuntington Bancshares IncorporatedFinancial Services$36.3B-1.0%+12.2%KR logoKRThe Kroger Co.Consumer Defensive$36.3B+5.5%-6.8%ACGL logoACGLArch Capital Group Ltd.Financial Services$36.0B+4.6%+13.7%WDAY logoWDAYWorkday, Inc.Technology$35.8B+11.2%+11.4%XLXLEState Street Energy Select Sector SPDR ETFEnergy$35.7B+7.4%+0.3%HSY logoHSYThe Hershey CompanyConsumer Defensive$35.5B-1.9%-11.1%MTB logoMTBM&T Bank CorporationFinancial Services$35.5B+0.3%+14.0%ON logoONON Semiconductor CorporationTechnology$35.2B-4.5%-27.0%CCI logoCCICrown Castle Inc.Real Estate$34.8B+4.3%-11.3%IQV logoIQVIQVIA Holdings Inc.Healthcare$34.6B+2.1%+14.6%TKO logoTKOTKO Group Holdings, Inc.Communication Services$34.6B-10.6%-9.4%MLM logoMLMMartin Marietta Materials, Inc.Basic Materials$34.2B-1.7%-0.9%NTRS logoNTRSNorthern Trust CorporationFinancial Services$34.1B+4.8%+9.9%EME logoEMEEMCOR Group, Inc.Industrials$34.1B-4.9%-9.8%XLXLIState Street Industrial Select Sector SPDR ETFIndustrials$34.0B-1.6%+4.0%STLD logoSTLDSteel Dynamics, Inc.Basic Materials$33.8B+5.6%-10.0%JBL logoJBLJabil Inc.Technology$33.7B-14.2%-11.5%CNC logoCNCCentene CorporationHealthcare$33.7B-0.1%+15.9%MSTR logoMSTRStrategy IncCrypto$33.4B-1.4%-39.3%LQLQDiShares iBoxx $ Investment Grade Corporate Bond ETFFixed Income$33.1B-1.4%-1.4%RJF logoRJFRaymond James Financial, Inc.Financial Services$32.5B+5.6%+18.0%NTAP logoNTAPNetApp, Inc.Technology$32.1B+5.2%+15.5%EXR logoEXRExtra Space Storage Inc.Real Estate$32.1B-1.3%+0.8%VEEV logoVEEVVeeva Systems Inc.Healthcare$32.0B+6.8%+19.7%EXPE logoEXPEExpedia Group, Inc.Consumer Cyclical$31.9B+0.4%+16.7%CASY logoCASYCasey's General Stores, Inc.Consumer Cyclical$31.8B+9.5%+10.0%ZTS logoZTSZoetis Inc.Healthcare$31.6B+4.1%-3.7%AEE logoAEEAmeren CorporationUtilities$31.4B+1.1%+4.9%DTE logoDTEDTE Energy CompanyUtilities$31.3B+0.1%+5.9%EQT logoEQTEQT CorporationEnergy$31.1B-5.3%-10.2%BIIB logoBIIBBiogen Inc.Healthcare$30.9B-0.3%+6.4%IR logoIRIngersoll Rand Inc.Industrials$30.7B-2.8%+10.7%LVS logoLVSLas Vegas Sands Corp.Consumer Cyclical$30.4B-0.8%-10.2%EEEEMiShares MSCI Emerging Markets ETFUnclassified$30.3B-3.0%-5.5%SATS logoSATSEchoStar CorporationCommunication Services$30.1B+0.0%+0.0%ATO logoATOAtmos Energy CorporationUtilities$30.0B+3.7%+3.7%KHC logoKHCThe Kraft Heinz CompanyConsumer Defensive$29.9B+0.9%+5.0%CFG logoCFGCitizens Financial Group, Inc.Financial Services$29.8B-2.0%+12.7%GEHC logoGEHCGE HealthCare Technologies Inc.Healthcare$29.7B+0.7%+3.9%FICO logoFICOFair Isaac CorporationTechnology$29.6B+5.9%-1.4%Q logoQQnity Electronics, Inc.Technology$29.5B-8.1%-11.3%DXCM logoDXCMDexCom, Inc.Healthcare$29.5B+10.9%+5.5%NRG logoNRGNRG Energy, Inc.Utilities$29.4B-0.9%+1.4%HAL logoHALHalliburton CompanyEnergy$29.4B+6.7%-10.1%EL logoELThe Estée Lauder Companies Inc.Consumer Defensive$29.4B-1.6%-10.3%EIX logoEIXEdison InternationalUtilities$29.2B+4.6%+9.4%VICI logoVICIVICI Properties Inc.Real Estate$29.1B+0.5%-5.3%CBOE logoCBOECboe Global Markets, Inc.Financial Services$29.0B+11.9%-19.3%TDY logoTDYTeledyne Technologies IncorporatedTechnology$28.9B-5.6%-1.6%CNP logoCNPCenterPoint Energy, Inc.Utilities$28.9B+0.9%+4.5%DOV logoDOVDover CorporationIndustrials$28.9B-1.3%+1.1%XYL logoXYLXylem Inc.Industrials$28.8B+3.4%+10.9%RMD logoRMDResMed Inc.Healthcare$28.8B-1.3%-2.4%CINF logoCINFCincinnati Financial CorporationFinancial Services$28.3B-2.4%+14.8%TPL logoTPLTexas Pacific Land CorporationEnergy$28.2B-1.5%+2.0%SLSLViShares Silver TrustCommodities$28.2B-2.6%-23.7%OTIS logoOTISOtis Worldwide CorporationIndustrials$28.2B+3.9%+3.1%ES logoESEversource EnergyUtilities$28.2B+3.7%+8.3%FE logoFEFirstEnergy Corp.Utilities$28.0B+2.9%+4.8%WTW logoWTWWillis Towers Watson Public Limited CompanyFinancial Services$27.9B+7.5%+17.7%AVB logoAVBAvalonBay Communities, Inc.Real Estate$27.6B+2.1%+6.2%TPR logoTPRTapestry, Inc.Consumer Cyclical$27.5B-5.5%-6.1%WRB logoWRBW. R. Berkley CorporationFinancial Services$27.5B+4.5%+15.9%AFRM logoAFRMAffirm Holdings, Inc.Financial Services$27.4B-2.3%+12.2%FIFISVFiserv, Inc.Unclassified$27.3B+0.9%-8.3%DG logoDGDollar General CorporationConsumer Defensive$27.2B+7.7%+12.9%MDB logoMDBMongoDB, Inc.Technology$27.2B-6.0%+3.8%PPL logoPPLPPL CorporationUtilities$27.1B+1.3%+2.9%EQR logoEQREquity ResidentialReal Estate$26.9B+1.6%+6.3%JBHT logoJBHTJ.B. Hunt Transport Services, Inc.Industrials$26.7B-2.4%+3.9%MRNA logoMRNAModerna, Inc.Healthcare$26.6B-7.6%+40.9%RF logoRFRegions Financial CorporationFinancial Services$26.5B+0.9%+12.7%MTD logoMTDMettler-Toledo International Inc.Healthcare$26.3B-0.1%+11.7%AWK logoAWKAmerican Water Works Company, Inc.Utilities$25.7B-0.2%+7.5%WSM logoWSMWilliams-Sonoma, Inc.Consumer Cyclical$25.5B-5.0%+5.4%WST logoWSTWest Pharmaceutical Services, Inc.Healthcare$25.4B-1.4%+11.8%CPRT logoCPRTCopart, Inc.Industrials$25.4B-4.7%-17.5%VRSK logoVRSKVerisk Analytics, Inc.Industrials$25.4B+5.5%+12.4%PPG logoPPGPPG Industries, Inc.Basic Materials$25.4B-7.2%+0.9%SHSHYiShares 1-3 Year Treasury Bond ETFFixed Income$25.4B-0.1%+0.0%HUBB logoHUBBHubbell IncorporatedIndustrials$25.2B-2.7%+1.0%KEY logoKEYKeyCorpFinancial Services$25.1B-0.1%+9.9%RIVN logoRIVNRivian Automotive, Inc.Consumer Cyclical$25.1B+0.8%+13.9%SYF logoSYFSynchrony FinancialFinancial Services$24.6B-4.6%+2.4%VRSN logoVRSNVeriSign, Inc.Technology$24.6B+5.6%-8.7%PFG logoPFGPrincipal Financial Group, Inc.Financial Services$24.5B+4.3%+10.8%TROW logoTROWT. Rowe Price Group, Inc.Financial Services$24.4B-2.1%+11.1%DLTR logoDLTRDollar Tree, Inc.Consumer Defensive$24.3B+4.3%+11.8%L logoLLoews CorporationFinancial Services$24.0B+2.1%+11.1%FSLR logoFSLRFirst Solar, Inc.Technology$23.8B-4.8%-27.1%FFIV logoFFIVF5, Inc.Technology$23.7B-0.8%+9.8%CPAY logoCPAYCorpay, Inc.Technology$23.7B+6.2%+2.8%PHM logoPHMPulteGroup, Inc.Consumer Cyclical$23.6B-6.7%+5.1%OMC logoOMCOmnicom Group Inc.Communication Services$23.5B+8.5%+12.6%FOXA logoFOXAFox CorporationCommunication Services$23.5B+3.3%-15.1%BRO logoBROBrown & Brown, Inc.Financial Services$23.5B+2.8%+21.8%LUV logoLUVSouthwest Airlines Co.Industrials$23.4B-5.0%+11.1%CMS logoCMSCMS Energy CorporationUtilities$23.4B-0.2%+3.5%SOFI logoSOFISoFi Technologies, Inc.Financial Services$23.3B-1.7%+6.8%CHRW logoCHRWC.H. Robinson Worldwide, Inc.Industrials$23.2B+2.7%+12.4%XLXLUState Street Utilities Select Sector SPDR ETFUtilities$23.1B+2.1%+3.1%CHD logoCHDChurch & Dwight Co., Inc.Consumer Defensive$23.0B-0.1%-0.5%STZ logoSTZConstellation Brands, Inc.Consumer Defensive$23.0B-1.7%-5.4%EXPD logoEXPDExpeditors International of Washington, Inc.Industrials$23.0B+5.2%+11.0%DGX logoDGXQuest Diagnostics IncorporatedHealthcare$23.0B-3.6%+6.1%ZS logoZSZscaler, Inc.Technology$22.9B-3.2%+9.1%INCY logoINCYIncyte CorporationHealthcare$22.8B+0.4%+17.2%VLTO logoVLTOVeralto CorporationIndustrials$22.8B+2.8%+11.5%BG logoBGBunge Global SAConsumer Defensive$22.8B+11.9%-5.1%BNTX logoBNTXBioNTech SEHealthcare$22.8B-4.1%-3.6%GDGDXVanEck Gold Miners ETFMaterials$22.8B-2.3%-15.8%LH logoLHLabcorp Holdings Inc.Healthcare$22.7B-2.5%+5.6%HPQ logoHPQHP Inc.Technology$22.7B+12.5%+0.3%SW logoSWSmurfit Westrock PlcConsumer Cyclical$22.6B-6.4%+5.2%XLXLYState Street Consumer Discretionary Select Sector SPDR ETFConsumer Discretionary$22.6B-1.7%-4.7%NI logoNINiSource Inc.Utilities$22.6B+0.4%+0.6%DRI logoDRIDarden Restaurants, Inc.Consumer Cyclical$22.5B-1.8%-3.0%RL logoRLRalph Lauren CorporationConsumer Cyclical$22.3B-5.9%+1.3%XLXLCState Street Communication Services Select Sector SPDR ETFCommunication$22.3B+1.7%-4.1%DOW logoDOWDow Inc.Basic Materials$21.9B+12.4%-11.8%FIS logoFISFidelity National Information Services, Inc.Technology$21.7B+2.8%+0.5%ROL logoROLRollins, Inc.Consumer Cyclical$21.6B+6.6%-9.1%STE logoSTESTERIS plcHealthcare$21.2B+2.2%+1.1%ROKU logoROKURoku, Inc.Communication Services$21.1B+1.3%+8.6%FOX logoFOXFox CorporationCommunication Services$21.1B+3.7%-15.2%GPN logoGPNGlobal Payments Inc.Industrials$21.0B+2.4%+4.3%CTSH logoCTSHCognizant Technology Solutions CorporationTechnology$20.9B+7.5%-18.0%EXE logoEXEExpand Energy CorporationEnergy$20.8B-2.8%-6.9%EFX logoEFXEquifax Inc.Industrials$20.8B+6.4%+5.3%SNA logoSNASnap-on IncorporatedIndustrials$20.8B-0.5%+7.1%CHTR logoCHTRCharter Communications, Inc.Communication Services$20.6B-6.1%-10.8%ESS logoESSEssex Property Trust, Inc.Real Estate$20.5B+0.8%+8.6%TSN logoTSNTyson Foods, Inc.Consumer Defensive$20.4B-0.9%-5.8%ULTA logoULTAUlta Beauty, Inc.Consumer Cyclical$20.3B+4.1%-9.0%PKG logoPKGPackaging Corporation of AmericaConsumer Cyclical$20.1B-5.1%+4.2%LEN logoLENLennar CorporationConsumer Cyclical$20.0B-4.3%-7.2%EVRG logoEVRGEvergy, Inc.Utilities$19.9B+0.3%+4.3%SBAC logoSBACSBA Communications CorporationReal Estate$19.8B+3.5%-8.6%LNT logoLNTAlliant Energy CorporationUtilities$19.8B+1.1%+6.2%AMCR logoAMCRAmcor plcConsumer Cyclical$19.6B-2.8%+8.1%IP logoIPInternational Paper CompanyConsumer Cyclical$19.6B-3.5%+11.0%GIS logoGISGeneral Mills, Inc.Consumer Defensive$19.5B-1.4%+9.9%LII logoLIILennox International Inc.Industrials$19.2B-3.5%+11.2%IFF logoIFFInternational Flavors & Fragrances Inc.Basic Materials$19.2B-7.5%-3.3%VTRS logoVTRSViatris Inc.Healthcare$19.1B+1.3%+1.7%FTV logoFTVFortive CorporationTechnology$19.0B+0.8%+5.4%LYB logoLYBLyondellBasell Industries N.V.Basic Materials$18.8B+10.9%-13.8%CF logoCFCF Industries Holdings, Inc.Basic Materials$18.6B+11.8%+3.8%CDW logoCDWCDW CorporationTechnology$18.4B+4.3%+24.3%ZBH logoZBHZimmer Biomet Holdings, Inc.Healthcare$18.2B+11.8%+13.9%AKAM logoAKAMAkamai Technologies, Inc.Technology$18.2B+10.9%-12.6%DD logoDDDuPont de Nemours, Inc.Basic Materials$17.9B-4.2%-7.3%SMCI logoSMCISuper Micro Computer, Inc.Technology$17.9B+0.0%-33.0%INVH logoINVHInvitation Homes Inc.Real Estate$17.9B-0.8%+3.5%HYHYGiShares iBoxx $ High Yield Corporate Bond ETFFixed Income$17.6B-0.1%+0.1%BR logoBRBroadridge Financial Solutions, Inc.Technology$17.5B+7.2%+1.6%NVR logoNVRNVR, Inc.Consumer Cyclical$17.4B-3.1%+4.5%BBY logoBBYBest Buy Co., Inc.Consumer Cyclical$17.2B+5.7%+10.7%GPC logoGPCGenuine Parts CompanyConsumer Cyclical$17.2B+5.2%+25.8%BEN logoBENFranklin Resources, Inc.Financial Services$17.1B-3.6%+6.3%NWS logoNWSNews CorporationCommunication Services$17.0B+7.4%+3.5%KIM logoKIMKimco Realty CorporationReal Estate$16.9B+0.1%+5.0%WY logoWYWeyerhaeuser CompanyReal Estate$16.9B-0.6%-3.9%IEX logoIEXIDEX CorporationIndustrials$16.4B-1.2%+5.8%BALL logoBALLBall CorporationConsumer Cyclical$16.3B-0.7%+9.4%MAA logoMAAMid-America Apartment Communities, Inc.Real Estate$16.2B-2.9%+3.9%HST logoHSTHost Hotels & Resorts, Inc.Real Estate$16.0B-1.2%+2.9%NDSN logoNDSNNordson CorporationIndustrials$16.0B-3.1%-0.3%TSCO logoTSCOTractor Supply CompanyConsumer Cyclical$15.9B-6.3%-3.6%GEN logoGENGen Digital Inc.Technology$15.8B+0.2%+6.6%TXT logoTXTTextron Inc.Industrials$15.5B-2.7%-2.7%MAS logoMASMasco CorporationIndustrials$15.4B-6.7%+7.8%DVA logoDVADaVita Inc.Healthcare$15.1B+3.3%+19.5%NWSA logoNWSANews CorporationCommunication Services$15.0B+7.6%+4.6%DOC logoDOCHealthpeak Properties, Inc.Real Estate$15.0B+0.4%+11.9%DECK logoDECKDeckers Outdoor CorporationConsumer Cyclical$15.0B+7.5%-5.7%EG logoEGEverest Group, Ltd.Financial Services$15.0B+5.0%+14.1%REG logoREGRegency Centers CorporationReal Estate$14.9B+0.7%+2.8%J logoJJacobs Solutions Inc.Industrials$14.9B+1.5%+6.4%UDR logoUDRUDR, Inc.Real Estate$14.9B-1.1%+6.1%ALB logoALBAlbemarle CorporationBasic Materials$14.8B-7.6%-28.5%TITIPiShares TIPS Bond ETFFixed Income$14.7B-0.2%-0.8%EMEMBiShares J.P. Morgan USD Emerging Markets Bond ETFFixed Income$14.6B-0.7%-0.1%PTC logoPTCPTC Inc.Technology$14.5B+4.7%-9.6%MKC logoMKCMcCormick & Company, IncorporatedConsumer Defensive$14.5B+2.5%+15.8%COO logoCOOThe Cooper Companies, Inc.Healthcare$13.9B-0.9%+16.8%GL logoGLGlobe Life Inc.Financial Services$13.9B-0.6%+16.4%AIZ logoAIZAssurant, Inc.Financial Services$13.9B+2.1%+13.5%LULU logoLULUlululemon athletica inc.Consumer Cyclical$13.7B+3.4%-8.4%XLXLPState Street Consumer Staples Select Sector SPDR ETFConsumer Staples$13.6B+1.6%+0.9%HRL logoHRLHormel Foods CorporationConsumer Defensive$13.5B-0.5%+4.9%SWK logoSWKStanley Black & Decker, Inc.Industrials$13.5B-5.3%+10.3%SOLV logoSOLVSolventum CorporationHealthcare$13.4B-1.2%+1.9%LDOS logoLDOSLeidos Holdings, Inc.Technology$13.4B+3.4%-18.7%GNRC logoGNRCGenerac Holdings Inc.Industrials$13.4B-16.0%-18.8%PNW logoPNWPinnacle West Capital CorporationUtilities$13.2B+2.2%+7.7%ALGN logoALGNAlign Technology, Inc.Healthcare$12.9B-0.5%+4.2%TYL logoTYLTyler Technologies, Inc.Technology$12.9B+4.2%+2.7%ERIE logoERIEErie Indemnity CompanyFinancial Services$12.9B-0.3%+13.9%AA logoAAAlcoa CorporationBasic Materials$12.9B+2.6%-35.5%ZBRA logoZBRAZebra Technologies CorporationTechnology$12.7B-0.4%+7.6%IVZ logoIVZInvesco Ltd.Financial Services$12.6B+5.8%+1.2%APTV logoAPTVAptiv PLCConsumer Cyclical$12.5B-1.7%-7.0%RVTY logoRVTYRevvity, Inc.Healthcare$12.4B-1.5%+9.8%PNR logoPNRPentair plcIndustrials$12.4B+0.2%+7.3%APA logoAPAAPA CorporationEnergy$12.3B+8.8%-5.1%TRMB logoTRMBTrimble Inc.Technology$12.2B-0.6%-4.8%AVY logoAVYAvery Dennison CorporationConsumer Cyclical$12.2B-2.4%-0.6%MGM logoMGMMGM Resorts InternationalConsumer Cyclical$12.1B-0.6%+10.0%BF-B logoBF-BBrown-Forman CorporationConsumer Defensive$12.0B+1.6%+2.0%GDDY logoGDDYGoDaddy Inc.Technology$12.0B+4.5%+5.8%BXP logoBXPBXP, Inc.Real Estate$12.0B-1.1%+11.7%SJM logoSJMThe J. M. Smucker CompanyConsumer Defensive$11.8B-3.8%+6.0%CSGP logoCSGPCoStar Group, Inc.Real Estate$11.7B-2.0%-10.9%ALLE logoALLEAllegion plcIndustrials$11.7B-2.5%+4.2%BAX logoBAXBaxter International Inc.Healthcare$11.7B+4.1%+17.3%CLX logoCLXThe Clorox CompanyConsumer Defensive$11.5B-1.4%-1.2%CPT logoCPTCamden Property TrustReal Estate$11.3B-1.3%+6.7%HAS logoHASHasbro, Inc.Consumer Cyclical$11.3B-2.4%-7.2%PODD logoPODDInsulet CorporationHealthcare$11.2B+1.4%+13.6%HII logoHIIHuntington Ingalls Industries, Inc.Industrials$11.2B+2.1%-10.8%TECH logoTECHBio-Techne CorporationHealthcare$11.1B+0.5%+40.4%CRL logoCRLCharles River Laboratories International, Inc.Healthcare$11.1B+0.3%+26.7%AAL logoAALAmerican Airlines Group Inc.Industrials$10.8B-10.1%+11.3%XBXBIState Street SPDR S&P Biotech ETFHealthcare$10.7B-0.8%+14.3%JKHY logoJKHYJack Henry & Associates, Inc.Technology$10.7B+5.8%+11.2%PSKY logoPSKYParamount Skydance CorporationCommunication Services$10.7B-6.1%-11.2%FRT logoFRTFederal Realty Investment TrustReal Estate$10.6B+1.2%+1.6%AES logoAESThe AES CorporationUtilities$10.5B+0.8%+0.5%DPZ logoDPZDomino's Pizza, Inc.Consumer Cyclical$10.3B+1.9%+0.5%FBFBTCFidelity Wise Origin Bitcoin FundCrypto$10.2B+3.6%-15.2%WYNN logoWYNNWynn Resorts, LimitedConsumer Cyclical$10.1B+1.1%-4.3%HSIC logoHSICHenry Schein, Inc.Healthcare$9.8B+1.5%+12.4%IT logoITGartner, Inc.Technology$9.5B+5.6%-12.3%FDS logoFDSFactSet Research Systems Inc.Financial Services$9.4B+7.2%+10.7%TTD logoTTDThe Trade Desk, Inc.Communication Services$9.3B+3.3%-6.4%UHS logoUHSUniversal Health Services, Inc.Healthcare$9.2B+1.4%+1.9%IBIBBiShares Biotechnology ETFHealthcare$9.1B-0.3%+10.1%NCLH logoNCLHNorwegian Cruise Line Holdings Ltd.Consumer Cyclical$9.0B-5.0%+7.4%SWKS logoSWKSSkyworks Solutions, Inc.Technology$8.8B-11.7%-28.5%ARE logoAREAlexandria Real Estate Equities, Inc.Real Estate$8.4B-9.3%-2.7%AOS logoAOSA. O. Smith CorporationIndustrials$8.2B-4.2%+3.3%XLXLBState Street Materials Select Sector SPDR ETFMaterials$8.2B-0.9%-1.1%GBGBTCGrayscale Bitcoin Trust ETFCrypto$8.1B+3.7%-15.3%XLXLREState Street Real Estate Select Sector SPDR ETFReal Estate$8.1B+1.2%+1.5%BLDR logoBLDRBuilders FirstSource, Inc.Industrials$7.9B-13.3%-4.2%POOL logoPOOLPool CorporationIndustrials$7.7B-2.3%+14.1%ETSY logoETSYEtsy, Inc.Consumer Cyclical$7.6B+10.6%+20.6%RIOT logoRIOTRiot Platforms, Inc.Crypto$7.6B-15.7%-27.2%TAP logoTAPMolson Coors Beverage CompanyConsumer Defensive$7.5B+2.1%-0.5%JNJNKState Street SPDR Bloomberg High Yield Bond ETFFixed Income$7.3B-0.1%+0.2%MOS logoMOSThe Mosaic CompanyBasic Materials$7.1B+4.7%-7.3%GDGDXJVanEck Junior Gold Miners ETFMaterials$7.1B-2.7%-16.9%CAG logoCAGConagra Brands, Inc.Consumer Defensive$6.9B+0.2%+7.1%CPB logoCPBThe Campbell's CompanyConsumer Defensive$6.6B-4.0%+8.3%URURAGlobal X Uranium ETFCommodities$6.0B-5.7%-19.8%CLF logoCLFCleveland-Cliffs Inc.Basic Materials$5.5B+3.1%-26.9%KRKREState Street SPDR S&P Regional Banking ETFFinancials$4.7B-1.4%+8.6%MARA logoMARAMARA Holdings, Inc.Crypto$4.6B-8.8%-13.4%EPAM logoEPAMEPAM Systems, Inc.Technology$4.5B+1.3%-14.8%ITITBiShares U.S. Home Construction ETFConsumer Discretionary$2.6B-5.7%+3.5%LCID logoLCIDLucid Group, Inc.Consumer Cyclical$2.2B-16.9%-14.7%USUSOUnited States Oil Fund, LPCommodities$1.9B+14.1%-9.9%PPPPLTabrdn Physical Platinum Shares ETFUnclassified$1.8B+1.6%-16.8%LILITGlobal X Lithium & Battery Tech ETFCommodities$1.8B-9.9%-19.4%XHXHBState Street SPDR S&P Homebuilders ETFConsumer Discretionary$1.6B-4.9%+4.3%DBDBCInvesco DB Commodity Index Tracking FundCommodities$1.6B+7.1%-4.7%KBKBEState Street SPDR S&P Bank ETFFinancials$1.5B-0.8%+9.0%ETETHEGrayscale Ethereum Staking ETFCrypto$1.2B+9.7%-12.0%DBDBAInvesco DB Agriculture FundCommodities$1.2B+3.2%+0.5%CPCPERUnited States Copper Index Fund, LPCommodities$738M+2.0%-2.9%VXVXXiPath Series B S&P 500 VIX Short-Term Futures ETNVolatility$441M-2.4%-11.3%FXFXYInvesco CurrencyShares Japanese Yen TrustCurrencies$431M+0.1%-2.1%UNUNGUnited States Natural Gas Fund, LPCommodities$419M-10.0%-12.8%XRXRTState Street SPDR S&P Retail ETFConsumer Discretionary$381M-0.4%+2.4%FXFXEInvesco CurrencyShares Euro Currency TrustCurrencies$374M+0.1%-2.2%UVUVXYProShares Ultra VIX Short-Term Futures ETFVolatility$234M-3.5%-17.5%SVSVXYProShares Short VIX Short-Term Futures ETFVolatility$222M+1.0%+5.3%FXFXBInvesco CurrencyShares British Pound Sterling TrustCurrencies$76M+0.6%-0.4%