Company Name | Symbol | Price | Change (%) | Volume | $ Volume |
---|---|---|---|---|---|
Constellation Energy Corporation - Common Stock | CEG | 256.77 | -6.09 (-2.32%) |
4,090,528 | $1.05B |
Arm Holdings plc - American Depositary Shares | ARM | 149.16 | +2.73 (1.86%) |
7,008,197 | $1.05B |
United Airlines Holdings Inc | UAL | 58.85 | +4.74 (8.76%) |
17,678,758 | $1.04B |
Ke Holdings Inc ADR | BEKE | 19.69 | +3.34 (20.43%) |
50,613,008 | $996.57M |
Johnson & Johnson | JNJ | 161.39 | +0.79 (0.49%) |
6,121,991 | $988.03M |
Estee Lauder Co | EL | 100.78 | +9.17 (10.01%) |
9,733,238 | $980.92M |
ConocoPhillips | COP | 102.31 | -3.42 (-3.23%) |
9,522,911 | $974.29M |
Cisco Systems | CSCO | 52.85 | +0.20 (0.38%) |
18,369,634 | $970.84M |
Starbucks Corp | SBUX | 97.47 | +1.85 (1.93%) |
9,874,084 | $962.43M |
PepsiCo | PEP | 169.69 | +0.29 (0.17%) |
5,671,412 | $962.38M |
Walt Disney | DIS | 95.20 | +1.28 (1.36%) |
10,057,141 | $957.44M |
Snowflake Inc Cl A | SNOW | 112.49 | -0.13 (-0.12%) |
8,439,073 | $949.31M |
Texas Instruments | TXN | 209.28 | +4.22 (2.06%) |
4,519,836 | $945.91M |
Pfizer | PFE | 28.97 | +0.04 (0.14%) |
32,296,394 | $935.63M |
Delta Air Lines | DAL | 51.81 | +3.06 (6.28%) |
17,912,742 | $928.06M |
Vertiv Holdings Llc. | VRT | 100.62 | -0.12 (-0.12%) |
9,146,586 | $920.33M |
Booking Holdings Inc | BKNG | 4,268.94 | +93.24 (2.23%) |
213,951 | $913.34M |
Analog Devices | ADI | 232.46 | +5.82 (2.57%) |
3,882,269 | $902.47M |
Berkshire Hathaway | BRK-A | 683,340.00 | +3490.00 (0.51%) |
1,315 | $898.59M |
General Electric | GE | 184.59 | -4.46 (-2.36%) |
4,780,822 | $882.49M |
Eaton Corp Plc | ETN | 333.02 | +4.47 (1.36%) |
2,614,165 | $870.57M |
Schlumberger Ltd | SLB | 41.17 | -0.64 (-1.53%) |
20,932,755 | $861.80M |
Valero Energy | VLO | 136.62 | +3.81 (2.87%) |
6,296,969 | $860.29M |
Marvell Technology Inc | MRVL | 73.45 | +2.27 (3.19%) |
11,711,123 | $860.18M |
Procter & Gamble | PG | 173.21 | +0.95 (0.55%) |
4,957,334 | $858.66M |
Palo Alto Networks Inc | PANW | 338.73 | -1.78 (-0.52%) |
2,525,336 | $855.41M |
Southwest Airlines | LUV | 29.93 | +1.54 (5.42%) |
27,603,868 | $826.18M |
Amgen | AMGN | 319.10 | +6.24 (1.99%) |
2,555,094 | $815.33M |
Thermo Fisher Scientific | TMO | 619.33 | +19.55 (3.26%) |
1,312,846 | $813.08M |
Las Vegas Sands | LVS | 48.40 | +3.58 (7.99%) |
16,639,304 | $805.34M |