Screener filters

Name Price/share Change Change % Market cap Trend Prev trend Trend change Sector Employees EPS PE Ratio (TTM) PEG Ratio (TTM) Dividend Yield (TTM) Earnings Yield (TTM) Net Profit Margin (TTM) Price/Book Ratio (TTM) Price/Sales Ratio (TTM) Return on Assets (TTM) Return on Equity (TTM)
Booking Holdings Inc. BKNG
$5,283.78 $40.62 0.77% $174.88B Consumer Cyclical 21K $148.91 34.50 7.58 0.50% 2.90% 21.85% -47.56 7.47 18.00% -136.80%
Texas Instruments Incorporated TXN
$197.23 $-4.55 -2.25% $179.92B Technology 31K $5.39 18.12 0.46 3.27% 5.52% 40.84% 8.74 7.40 24.85% 51.02%
QUALCOMM Incorporated QCOM
$162.58 $-0.45 -0.28% $180.63B Technology 51K $8.93 19.60 -0.45 2.44% 5.10% 20.19% 6.57 3.95 14.17% 35.82%
Vanguard Value Index Fund VTV
$179.72 $-0.94 -0.52% $181.68B - $8.94 - - - - - - - - -
Intuit Inc. INTU
$655.19 $19.17 3.01% $183.40B Technology 17K $10.30 61.56 3.39 0.58% 1.62% 17.59% 9.91 10.83 8.79% 16.16%
Verizon Communications Inc. VZ
$43.83 $-0.02 -0.05% $184.51B Communication Services 120K $2.31 7.51 -1.33 7.04% 13.32% 15.58% 1.61 1.17 5.43% 22.17%
The Goldman Sachs Group, Inc. GS
$598.77 $-3.31 -0.55% $187.96B Financial Services 48K $34.12 16.24 1.50 1.40% 6.16% 23.89% 1.63 3.75 0.70% 10.23%
Caterpillar Inc. CAT
$396.79 $-2.72 -0.68% $191.57B Industrials 108K $21.52 18.42 -1.25 1.33% 5.43% 16.26% 10.14 2.99 12.38% 57.98%
Intuitive Surgical, Inc. ISRG
$549.43 $7.72 1.43% $195.70B Healthcare 10K $6.23 85.97 13.11 - 1.16% 28.51% 12.38 24.54 12.64% 15.59%
General Electric Company GE
$180.95 $0.23 0.13% $195.84B Industrials 168K $5.07 31.87 -1.97 0.51% 3.14% 11.48% 10.55 3.62 4.93% 26.39%
Vanguard Developed Markets Index Fund VEA
$50.56 $0.21 0.42% $198.24B - $3.63 - - - - - - - - -
Abbott Laboratories ABT
$115.32 $-0.65 -0.56% $200.02B Healthcare 113K $3.29 35.72 16.79 1.85% 2.80% 13.99% 5.18 5.00 7.76% 14.74%
Philip Morris International Inc. PM
$129.69 $-1.33 -1.02% $201.65B Consumer Defensive 70K $6.30 19.76 -17.13 4.20% 5.06% 26.46% -20.04 5.23 14.70% -95.99%
Invesco QQQ Trust QQQ
$516.87 $1.58 0.31% $203.18B - $12.26 - - - - - - - - -
Thermo Fisher Scientific Inc. TMO
$534.42 $4.47 0.84% $204.42B Healthcare 130K $15.95 31.34 0.90 0.28% 3.19% 13.68% 4.11 4.29 6.12% 13.54%
Morgan Stanley MS
$130.44 $-0.59 -0.45% $210.14B Financial Services 82K $6.58 20.23 -4.27 3.35% 4.94% 19.20% 2.23 3.69 0.89% 11.18%
The Walt Disney Company DIS
$116.42 $-0.58 -0.49% $210.82B Communication Services 172K $2.72 42.86 8.14 0.64% 2.33% 5.44% 2.12 2.33 2.53% 4.96%
McDonald's Corporation MCD
$294.50 $2.06 0.70% $211.04B Consumer Cyclical 100K $11.40 26.33 -47.57 2.77% 3.80% 31.79% -41.94 8.33 14.68% -168.78%
American Express Company AXP
$301.46 $-1.14 -0.38% $212.36B Financial Services 64K $13.59 21.81 4.25 0.89% 4.59% 14.41% 7.26 3.13 3.65% 34.09%
International Business Machines Corporation IBM
$232.82 $3.82 1.67% $215.27B Technology 282K $6.87 32.72 -1.41 2.93% 3.06% 10.22% 8.56 3.36 4.76% 27.14%
ServiceNow, Inc. NOW
$1,057.32 $8.89 0.85% $217.81B Technology 17K $6.40 159.87 -0.00 - 0.63% 12.77% 22.99 20.40 7.25% 15.86%
PepsiCo, Inc. PEP
$161.70 $-1.35 -0.83% $221.85B Consumer Defensive 309K $6.78 24.10 -2.91 4.01% 4.15% 10.18% 11.59 2.45 9.31% 48.96%
Vanguard Small Cap Index Fund VB
$259.34 $-0.59 -0.23% $229.12B - $15.15 - - - - - - - - -
Advanced Micro Devices, Inc. AMD
$141.38 $-2.61 -1.81% $229.43B Technology 16K $1.14 121.70 0.61 - 0.82% 7.52% 3.90 9.16 2.62% 3.24%
American Funds American Balanced Fund Class A ABALX
$37.18 $0.16 0.43% $234.60B - $0.00 11.68 0.28 1.83% 8.56% 8.97% 1.27 377.98 8.38% 11.34%
Adobe Inc. ADBE
$538.02 $1.53 0.29% $236.84B Technology 29K $11.82 42.83 6.73 - 2.33% 25.59% 15.78 10.84 17.97% 34.94%
Cisco Systems, Inc. CSCO
$60.06 $0.44 0.74% $239.20B Technology 83K $2.34 25.15 -2.93 2.69% 3.98% 17.73% 5.22 4.45 7.62% 20.56%
Blackstone Inc. BX
$187.97 $2.47 1.33% $244.87B Financial Services 4K $2.91 65.99 -0.64 1.81% 1.52% 26.49% 20.95 29.65 5.22% 32.22%
Wells Fargo & Company WFC
$74.14 $-1.14 -1.51% $246.85B Financial Services 239K $4.81 8.37 0.31 3.05% 11.94% 22.70% 0.86 1.89 0.97% 10.28%
Samsung Electronics Co., Ltd. BC94.L
$951.50 $10.00 1.06% $253.19B Technology 117K $83.95 110,608.10 17.49 0.00% 0.00% 10.95% 9,429.95 1.28 6.53% 8.75%
Merck & Co., Inc. MRK
$101.85 $1.24 1.23% $257.64B Healthcare 67K $4.78 21.07 1.74 3.82% 4.75% 19.22% 5.75 4.03 11.69% 29.27%
The Coca-Cola Company KO
$62.39 $-1.13 -1.78% $268.76B Consumer Defensive 79K $2.41 26.54 -5.19 3.03% 3.77% 22.45% 10.42 5.95 9.80% 39.75%
T-Mobile US, Inc. TMUS
$244.85 $0.03 0.01% $284.15B Communication Services 75K $8.76 22.37 0.04 - 4.47% 9.93% 2.69 2.19 3.73% 11.65%
Chevron Corporation CVX
$160.30 $1.98 1.25% $288.07B Energy 43K $9.10 17.48 4.10 4.03% 5.72% 8.60% 1.87 1.50 6.43% 10.47%
American Funds The Growth Fund of America Class A AGTHX
$84.09 $0.93 1.12% $297.70B - $18.16 0.00 - 11.30% - 0.00% 0.00 0.00 0.00% 0.00%
Vanguard Institutional Index Fund VIIIX
$498.92 $0.24 0.05% $306.58B - $16.80 - - - - - - - - -
Vanguard Institutional Index Fund Institutional Shares VINIX
$498.91 $0.23 0.05% $306.58B - $16.80 - - - - - - - - -
AbbVie Inc. ABBV
$175.98 $-0.48 -0.27% $310.97B Healthcare 50K $2.79 63.18 4.80 3.39% 1.58% 9.22% 53.65 5.82 3.57% 65.72%
Vanguard Total Bond Market Index Fund Admiral Shares VBTLX
$9.66 $-0.02 -0.21% $338.04B - $0.00 - - - - - - - - -
Vanguard Total Bond Market Index Fund VBTIX
$9.66 $-0.02 -0.21% $338.04B - $0.00 - - - - - - - - -
Vanguard Total Bond Market Index Fund BND
$73.47 $-0.03 -0.04% $341.86B - $0.00 - - 3.25% - 0.00% - - 0.00% 0.00%
Salesforce, Inc. CRM
$359.17 $-8.70 -2.37% $343.37B Technology 74K $6.07 56.48 1.74 0.36% 1.77% 15.44% 5.52 8.65 6.11% 9.58%
Samsung Electronics Co., Ltd. SMSD.L
$1,072.00 $-10.00 -0.92% $349.87B Technology 117K $82.34 10.72 -0.00 0.00% 9.33% 13.13% 1.09 0.02 7.95% 10.32%
Bank of America Corporation BAC
$47.06 $0.70 1.50% $361.12B Financial Services 217K $2.76 15.73 7.18 1.56% 6.36% 24.95% 1.25 3.85 0.71% 8.03%
Johnson & Johnson JNJ
$150.22 $-2.14 -1.40% $361.67B Healthcare 142K $6.05 25.41 -0.28 3.17% 3.94% 16.74% 5.32 4.26 8.24% 20.94%
Netflix, Inc. NFLX
$902.17 $4.43 0.49% $385.64B Communication Services 11K $17.69 44.33 7.00 - 2.26% 20.71% 15.18 9.17 14.88% 35.86%
The Procter & Gamble Company PG
$175.42 $-4.28 -2.38% $413.12B Consumer Defensive 106K $5.80 27.32 6.01 2.99% 3.66% 17.06% 7.55 4.66 11.32% 28.53%
The Home Depot, Inc. HD
$426.14 $-3.22 -0.75% $423.31B Consumer Cyclical 500K $14.73 29.11 -28.93 2.10% 3.44% 9.45% 73.50 2.76 15.02% 447.13%
Costco Wholesale Corporation COST
$986.16 $-4.76 -0.48% $436.94B Consumer Defensive 304K $16.75 58.58 22.03 2.01% 1.71% 2.90% 18.27 1.69 10.55% 31.93%
Vanguard Total Intl Stock Idx Fund VTSNX
$133.44 $0.68 0.51% $441.68B - $9.83 - - - - - - - - -