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)
Carrier Global Corporation CARR
$74.48 $-0.90 -1.19% $66.83B Industrials 58K $1.70 20.08 -1.41 0.98% 4.98% 14.50% 4.75 2.90 8.64% 28.53%
Royal Caribbean Cruises Ltd. RCL
$245.90 $-0.51 -0.21% $66.12B Consumer Cyclical 85K $9.98 100.74 -8.27 - 0.99% 2.02% 6.07 2.04 0.81% 7.90%
Autodesk, Inc. ADSK
$305.54 $1.32 0.43% $65.69B Technology 13K $5.11 41.92 5.17 - 2.39% 26.29% 23.99 11.02 14.77% 65.76%
Energy Transfer LP ET
$19.06 $0.08 0.41% $65.25B Energy 13K $1.36 13.39 0.72 6.42% 7.47% 6.05% 1.93 0.81 4.07% 13.56%
Vanguard Emerging Markets Stock Index Fund VWO
$45.99 $0.19 0.41% $65.22B - $3.67 - - - - - - - - -
ONEOK, Inc. OKE
$110.51 $0.07 0.06% $64.57B Energy 3K $4.72 22.77 42.59 4.54% 4.39% 14.08% 3.78 3.20 5.48% 16.84%
Technology Select Sector SPDR Fund XLK
$236.80 $0.85 0.36% $64.42B - $5.28 - - - - - - - - -
Becton, Dickinson and Company BDX
$222.24 $0.82 0.37% $64.26B Healthcare 77K $5.86 37.23 -9.26 1.71% 2.69% 8.55% 1.12 3.18 3.01% 5.15%
SPDR Gold Shares GLD
$244.79 $0.86 0.35% $63.72B - $-9.39 - - - - 0.00% - - 0.00% 0.00%
Digital Realty Trust, Inc. DLR
$190.50 $-0.34 -0.18% $63.19B Real Estate 3K $1.22 145.46 -8.46 2.49% 0.69% 8.04% 3.02 11.83 0.97% 2.21%
Schwab U.S. Dividend Equity ETF SCHD
$29.18 $-0.16 -0.55% $63.12B - $5.27 - - - - - - - - -
Pioneer Natural Resources Company PXD
$269.62 $1.96 0.73% $63.00B Energy 2K $20.22 10.82 -0.23 6.94% 9.24% 26.22% 2.43 2.84 14.04% 22.92%
iShares Core MSCI Emerging Markets ETF IEMG
$54.68 $0.11 0.20% $62.93B - $4.40 - - 2.74% - 0.00% - - 0.00% 0.00%
iPath Series B S&P 500 VIX Short-Term Futures ETN VXXB
$26.65 $0.97 3.78% $62.41B - $0.00 - - - - - - - - -
Freeport-McMoRan Inc. FCX
$43.12 $-0.70 -1.61% $61.97B Basic Materials 25K $1.38 31.89 -0.49 1.36% 3.14% 7.88% 3.64 2.50 3.62% 11.68%
Schlumberger Limited SLB
$43.65 $0.02 0.05% $61.64B Energy 92K $3.11 18.07 0.57 2.09% 5.53% 12.97% 3.87 2.35 9.07% 22.25%
Truist Financial Corporation TFC
$46.43 $-0.55 -1.17% $61.64B Financial Services 53K $-4.86 7.41 0.87 6.59% 13.49% 23.77% 0.68 1.76 1.05% 9.15%
VMware, Inc. VMW
$142.48 $-7.43 -4.96% $61.52B Technology 38K $3.32 43.00 0.31 - 2.33% 10.48% 24.08 4.52 4.43% 84.45%
Hilton Worldwide Holdings Inc. HLT
$251.90 $0.88 0.35% $61.41B Consumer Cyclical 142K $4.67 52.97 4.57 0.24% 1.89% 10.70% -17.97 5.62 7.05% -39.97%
PACCAR Inc PCAR
$116.85 $0.61 0.52% $61.26B Industrials 28K $8.94 13.00 2.51 3.73% 7.70% 13.51% 3.28 1.75 10.88% 27.24%
Norfolk Southern Corporation NSC
$270.12 $-2.63 -0.96% $61.11B Industrials 18K $10.66 23.81 -4.67 2.49% 4.20% 21.16% 4.45 5.04 5.96% 19.78%
Roper Technologies, Inc. ROP
$566.86 $-1.77 -0.31% $60.78B Industrials 19K $13.59 45.97 1.56 0.52% 2.18% 21.14% 3.36 9.72 4.45% 7.76%
Kinder Morgan, Inc. KMI
$27.16 $-0.26 -0.97% $60.33B Energy 11K $1.13 24.72 -1.73 4.05% 4.05% 16.75% 2.06 4.14 3.58% 8.37%
Aflac Incorporated AFL
$108.43 $1.44 1.35% $60.24B Financial Services 12K $6.74 16.70 -3.01 1.75% 5.99% 22.02% 2.56 3.66 2.97% 15.81%
Target Corporation TGT
$131.45 $0.73 0.56% $60.23B Consumer Defensive 450K $9.42 17.90 -0.31 3.33% 5.59% 3.12% 5.04 0.56 6.34% 29.43%
Copart, Inc. CPRT
$62.25 $-0.72 -1.14% $59.98B Consumer Cyclical 10K $1.43 43.84 6.33 - 2.28% 31.92% 7.73 14.00 15.70% 18.96%
MFS Value Fund Class R6 MEIKX
$54.96 $-0.33 -0.60% $59.61B - $0.00 0.00 - 22.65% - 0.00% 0.00 0.00 0.00% 0.00%
The Bank of New York Mellon Corporation BK
$81.78 $1.59 1.98% $59.46B Financial Services 52K $4.47 17.05 -18.58 2.17% 5.87% 19.70% 1.44 3.32 0.83% 8.61%
MetLife, Inc. MET
$85.72 $-1.16 -1.34% $59.35B Financial Services 49K $4.93 15.30 -0.93 3.30% 6.54% 5.27% 1.86 0.79 0.53% 12.90%
The Travelers Companies, Inc. TRV
$260.59 $-2.92 -1.11% $59.16B Financial Services 30K $19.47 18.00 0.12 2.20% 5.56% 7.59% 1.84 1.36 1.85% 10.35%
iShares 20+ Year Treasury Bond ETF TLT
$93.06 $-0.81 -0.86% $59.00B - $-12.59 - - - - - - - - -
Simon Property Group, Inc. SPG
$180.63 $-0.74 -0.41% $58.93B Real Estate 2K $7.53 24.67 0.69 6.04% 4.05% 29.19% 13.49 8.26 4.90% 53.97%
Public Storage PSA
$336.09 $-7.98 -2.32% $58.85B Real Estate 6K $9.65 23.68 0.59 4.28% 4.22% 42.87% 4.47 10.17 9.59% 18.92%
Vanguard Equity-Income Fund Admiral Shares VEIRX
$98.70 $-0.52 -0.52% $58.67B - $6.19 - - - - - - - - -
iShares Russell 1000 Value ETF IWD
$196.80 $-0.80 -0.40% $58.42B - $9.62 - - 1.73% - 0.00% - - 0.00% 0.00%
Vanguard Equity Income Fund VEIPX
$47.09 $-0.25 -0.53% $58.36B - $2.95 - - - - - - - - -
SEMPRA ENERGY SREA
$23.97 $-0.06 -0.25% $58.36B Industrials - $0.00 6,965.37 -189.06 5.91% 0.01% 12.96% 2,117.26 0.45 149.63% 17.49%
Sempra SRE
$92.01 $-0.09 -0.10% $58.28B Utilities 15K $4.54 19.49 -0.29 5.65% 5.13% 14.12% 1.62 2.75 2.75% 8.49%
General Motors Company GM
$52.94 $-0.72 -1.34% $58.21B Consumer Cyclical 157K $9.37 5.60 0.06 0.65% 17.84% 6.06% 0.87 0.33 3.83% 16.37%
Vanguard Short-Term Bond Index Fund BSV
$77.60 $-0.01 -0.02% $58.14B - $0.00 - - 3.00% - - - - - -
Snowflake Inc. SNOW
$175.94 $3.52 2.04% $58.08B Technology 6K $-3.40 -63.30 5.96 - - -35.27% 10.32 22.49 -11.48% -16.08%
W.W. Grainger, Inc. GWW
$1,192.19 $-0.98 -0.08% $58.06B Industrials 23K $36.87 32.16 12.01 0.66% 3.11% 10.80% 16.79 3.47 20.07% 54.52%
Block, Inc. SQ
$93.20 $0.42 0.45% $57.77B Technology 9K $1.67 -124.35 2.71 - - -1.39% 2.01 1.73 -0.89% -1.64%
Fair Isaac Corporation FICO
$2,370.22 $24.90 1.06% $57.71B Technology 3K $20.40 113.47 10.91 - 0.88% 29.86% -60.45 33.67 29.85% -63.05%
Comcast Holdings Corp. CCZ
$60.65 $0.05 0.08% $57.45B Consumer Cyclical - $1.17 11.36 2.27 2.82% 8.80% 11.92% 1.94 1.34 5.44% 17.56%
iShares S&P 500 Growth ETF IVW
$103.11 $0.97 0.95% $57.38B - $2.97 - - 0.51% - 0.00% - - 0.00% 0.00%
Vanguard Balanced Index Fund Admiral Shares VBIAX
$51.39 $-0.03 -0.06% $57.16B - $2.17 - - - - - - - - -
Vanguard Balanced Index Fund Institutional Shares VBAIX
$51.40 $-0.03 -0.06% $57.16B - $2.17 - - - - - - - - -
Vanguard Balanced Index Fund VBINX
$51.38 $-0.04 -0.08% $57.12B - $2.17 - - - - - - - - -
Charter Communications, Inc. CHTR
$401.24 $-0.88 -0.22% $57.05B Communication Services 94K $31.93 12.08 22.78 - 8.28% 8.52% 4.01 1.03 3.13% 37.45%