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