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TD Stocks Screener Results: Symbol Company Name Market Capitalizationsector Industry

The document provides stock screener results for over 200 companies listed by their ticker symbol, company name, market capitalization, sector, and industry. It also includes the dividend yield and beta for each stock. The wide-ranging results cover companies across all major market sectors including technology, healthcare, financials, consumer goods, industrials and more.

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0% found this document useful (0 votes)
169 views12 pages

TD Stocks Screener Results: Symbol Company Name Market Capitalizationsector Industry

The document provides stock screener results for over 200 companies listed by their ticker symbol, company name, market capitalization, sector, and industry. It also includes the dividend yield and beta for each stock. The wide-ranging results cover companies across all major market sectors including technology, healthcare, financials, consumer goods, industrials and more.

Uploaded by

Sokhom
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as XLSX, PDF, TXT or read online on Scribd
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TD Stocks Screener Results

Symbol Company Name Market CapitalizationSector Industry

AAPL Apple Inc. $2068.7B Information Technolog Technology Hardware,

AB Alliancebernstein Hold $2.7B Financials Capital Markets

ABBV AbbVie Inc $162.1B Health Care Biotechnology

ADBE Adobe Inc $236.0B Information Technolog Software

AER AerCap Holdings N.V. $3.9B Industrials Trading Companies & Di

AKAM Akamai Technologies, I $17.6B Information Technolog IT Services

ALGN Align Technology, Inc. $24.3B Health Care Health Care Equipment

AMAT Applied Materials, Inc. $55.7B Information Technolog Semiconductors & Sem

AMT American Tower Corp $110.9B Real Estate Equity Real Estate Inv

APPS Digital Turbine Inc $2.1B Information Technolog Software

ASML ASML Holding NV (AD $153.7B Information Technolog Semiconductors & Sem

ATVI Activision Blizzard, Inc. $61.0B Communication Servic Entertainment

AX Axos Financial Inc $1.5B Financials Thrifts & Mortgage Fin

BABA Alibaba Group Holding $761.3B Consumer DiscretionarInternet & Direct Marke

BK Bank of New York Mell $33.2B Financials Capital Markets

BMA Banco Macro SA (ADR $1.2B Financials Banks

BRO Brown & Brown, Inc. $12.8B Financials Insurance


BSMX Banco Santndr Mxco S $2.0B Financials Banks

CABO Cable One Inc $11.1B Communication Servic Media

CDNS Cadence Design Syste $29.5B Information Technolog Software

CHCO City Holding Company $1.0B Financials Banks

CHD Church & Dwight Co., I $23.1B Consumer Staples Household Products

CHKP Check Point Software T $16.8B Information Technolog Software

CHRS Coherus Biosciences I $1.3B Health Care Biotechnology

CORT Corcept Therapeutics I $2.3B Health Care Pharmaceuticals

CPRT Copart, Inc. $24.3B Industrials Commercial Services &

DEI Douglas Emmett, Inc. $4.9B Real Estate Equity Real Estate Inv

EGP Eastgroup Properties I $5.2B Real Estate Equity Real Estate Inv

ENPH Enphase Energy Inc $8.3B Information Technolog Semiconductors & Sem

ESGR Enstar Group Ltd. $3.9B Financials Insurance

ESS Essex Property Trust I $14.6B Real Estate Equity Real Estate Inv

FAST Fastenal Company $26.5B Industrials Trading Companies & Di

FB Facebook Inc $805.4B Communication Servic Interactive Media & Se

FBC Flagstar Bancorp Inc $1.8B Financials Thrifts & Mortgage Fin

FCNCA First Citizens BancSha $3.5B Financials Banks

FDS FactSet Research Syst $12.6B Financials Capital Markets


FHI Federated Hermes Inc $2.4B Financials Capital Markets

FICO Fair Isaac Corporation $12.2B Information Technolog Software

FTAI Fortress Transprtn and $1.3B Industrials Trading Companies & Di

GGAL Grupo Financiero Galic $1.2B Financials Banks

GLPI Gaming and Leisure Pro $8.3B Real Estate Equity Real Estate Inv

GRMN Garmin Ltd. $19.5B Consumer DiscretionarHousehold Durables

GSK GlaxoSmithKline plc ( $96.5B Health Care Pharmaceuticals

HEP Holly Energy Partners, $1.4B Energy Oil, Gas & Consumable

HIW Highwoods Properties $3.8B Real Estate Equity Real Estate Inv

HLG Hailiang Education Gro $1.2B Consumer DiscretionarDiversified Consumer S

HLNE Hamilton Lane Inc $3.5B Financials Capital Markets

HTH Hilltop Holdings Inc. $1.9B Financials Banks

HZNP Horizon Therapeutics $15.1B Health Care Pharmaceuticals

IDXX IDEXX Laboratories, In $31.5B Health Care Health Care Equipment

INFY Infosys Ltd ADR $52.8B Information Technolog IT Services

INTC Intel Corporation $213.0B Information Technolog Semiconductors & Sem

INTU Intuit Inc. $87.2B Information Technolog Software

KNSL Kinsale Capital Group $4.3B Financials Insurance

KW Kennedy-Wilson Holdin $2.1B Real Estate Real Estate Manageme


LOGI Logitech International $11.8B Information Technolog Technology Hardware,

LRCX Lam Research Corpora $48.5B Information Technolog Semiconductors & Sem

LSI Life Storage Inc $5.1B Real Estate Equity Real Estate Inv

LULU Lululemon Athletica Inc $47.1B Consumer DiscretionarTextiles, Apparel & Lu

MA Mastercard Inc $335.4B Information Technolog IT Services

MCO Moody's Corporation $53.0B Financials Capital Markets

MGM MGM Resorts Internati $11.6B Consumer DiscretionarHotels, Restaurants &

MGRC McGrath RentCorp $1.6B Industrials Commercial Services &

MKTX MarketAxess Holdings $17.3B Financials Capital Markets

MNST Monster Beverage Cor $43.4B Consumer Staples Beverages

MOMO Momo Inc (ADR) $3.2B Communication Servic Interactive Media & Se

MPWR Monolithic Power Syste $11.5B Information Technolog Semiconductors & Sem

MS Morgan Stanley $83.1B Financials Capital Markets

MSFT Microsoft Corporation $1621.4B Information Technolog Software

NAC Nuveen California Qua $2.1B

NEM Newmont Corporation $52.5B Materials Metals & Mining

NHI National Health Investo $2.9B Real Estate Equity Real Estate Inv

NMIH NMI Holdings Inc $1.5B Financials Thrifts & Mortgage Fin

NOW ServiceNow Inc $86.4B Information Technolog Software


NRC National Research Cor $1.4B Health Care Health Care Providers

NTES NetEase Inc (ADR) $67.1B Communication Servic Entertainment

NVDA NVIDIA Corporation $311.5B Information Technolog Semiconductors & Sem

NVO Novo Nordisk A/S (AD $114.9B Health Care Pharmaceuticals

PAGS PagSeguro Digital Ltd $12.9B Information Technolog IT Services

PAYC Paycom Software Inc $15.8B Information Technolog Software

PBH Prestige Consumer Hea $1.8B Health Care Pharmaceuticals

PFSI PennyMac Financial Se $3.7B Financials Thrifts & Mortgage Fin

QDEL Quidel Corporation $6.5B Health Care Health Care Equipment

QIWI Qiwi PLC $1.0B Information Technolog IT Services

QLYS Qualys Inc $3.9B Information Technolog Software

QQQX Nuveen Nasdaq 100 Dy $1.0B

REGI Renewable Energy Gro $1.5B Energy Oil, Gas & Consumable

REGN Regeneron Pharmaceuti $61.7B Health Care Biotechnology

RMD ResMed Inc. $25.1B Health Care Health Care Equipment

ROP Roper Technologies In $44.2B Industrials Industrial Conglomerat

SAP SAP SE (ADR) $190.3B Information Technolog Software

SFNC Simmons First National $1.9B Financials Banks

SLP Simulations Plus, Inc. $1.2B Health Care Health Care Technolog
SPGI S&P Global Inc $83.2B Financials Capital Markets

STT State Street Corp $24.1B Financials Capital Markets

SUPN Supernus Pharmaceutic $1.1B Health Care Pharmaceuticals

TECH BIO-TECHNE Corp $9.5B Health Care Life Sciences Tools &

TER Teradyne, Inc. $13.1B Information Technolog Semiconductors & Sem

TFX Teleflex Incorporated $18.1B Health Care Health Care Equipment

TREX Trex Company Inc $7.9B Industrials Building Products

TRMB Trimble Inc $12.5B Information Technolog Electronic Equipment,

TSM Taiwan Semiconductor $409.2B Information Technolog Semiconductors & Sem

TTD Trade Desk Inc $20.6B Information Technolog Software

TYL Tyler Technologies, Inc $13.3B Information Technolog Software

VIRT Virtu Financial Inc $5.3B Financials Capital Markets

VRTX Vertex Pharmaceuticals $69.4B Health Care Biotechnology

WD Walker & Dunlop, Inc. $1.7B Financials Thrifts & Mortgage Fin

WUBA 58.com Inc (ADR) $8.4B Communication Servic Interactive Media & Se

ZTO ZTO Express (Cayman) $26.1B Industrials Air Freight & Logistics

ZTS Zoetis Inc $74.7B Health Care Pharmaceuticals


Dividend Yield Beta

0.68% +1.3

9.63% +1.5

5.14% +0.7

-- +1.0

-- +2.1

-- +0.3

-- +1.9

1.43% +1.3

1.74% +0.4

-- +2.1

0.78% +0.9

0.51% +0.7

-- +1.5

-- +1.5

3.36% +1.0

11.37% +1.2

0.74% +0.7
-- +1.4

0.53% +0.4

-- +1.1

3.59% +0.6

1.02% +0.4

-- +0.7

-- +1.9

-- +0.8

-- +1.1

4.00% +0.7

2.35% +0.8

-- +1.0

-- +0.6

3.74% +0.6

2.13% +1.2

-- +1.3

0.65% +1.7

0.41% +1.3

0.91% +0.8
4.54% +1.2

-- +1.1

8.46% +1.8

2.98% +1.5

1.28% +1.0

2.41% +0.9

6.40% +0.6

10.25% +1.1

5.17% +0.9

-- +0.0

1.83% +0.9

1.74% +1.3

-- +1.1

-- +0.8

1.92% +0.9

2.62% +0.7

0.69% +1.0

0.18% +0.7

6.01% +1.2
1.25% +0.8

1.52% +1.2

3.94% +0.4

-- +1.1

0.47% +1.1

0.77% +1.1

0.04% +2.4

2.54% +1.0

0.51% +0.5

-- +1.0

-- +1.6

0.76% +1.2

2.65% +1.4

0.94% +0.9

4.25% +0.2

1.51% +0.4

6.83% +0.8

-- +1.9

-- +1.3
-- +0.9

1.61% +0.7

0.12% +1.6

2.68% +0.4

-- --

-- +1.6

-- +0.8

1.18% +1.2

-- +1.0

5.95% +1.1

-- +0.8

6.11% +1.1

-- +1.4

-- +0.5

0.88% +0.4

0.48% +1.0

1.07% +1.0

3.97% +1.0

0.39% -0.1
0.76% +1.0

3.09% +1.5

-- +1.4

0.51% +1.0

0.49% +1.3

0.34% +1.0

-- +1.6

-- +1.6

2.06% +1.0

-- +2.5

-- +0.8

3.65% -0.4

-- +0.8

2.62% +1.3

-- +1.1

-- +0.3

0.50% +0.7

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