Stock Screener

Filter the universe by valuation, profitability and risk. Presets are filter sets — they describe characteristics, not recommendations.

P/E max
ROE min %
Div yield min %
Debt/Equity max
Beta max
Rev growth min %

53 match(es)

SymbolNameSectorPriceMkt CapP/EP/BROED/EDiv YieldRev GrowthBeta
AAPL Apple Inc. Technology 295.95 151.9 % 1.23 6.4 %
ABBV AbbVie Inc Health Care 221.23 391.79B 94.0 8.6 %
ADBE Adobe Inc Technology 196.28 83.79B 12.4 7.62 61.3 % 0.53 10.5 %
AMD Advanced Micro Devices Inc Technology 512.48 843.88B 195.3 13.44 6.9 % 34.3 %
AMZN Amazon.com Inc Consumer Discretionary 237.50 2.55T 33.1 6.25 18.9 % 0.17 12.4 %
AVB Avalon Banking Corp Financials 52.00 21.01B 11.2 1.25 11.2 % 1.21 3.37 % 6.4 % 0.95
AVGO Broadcom Inc Technology 392.90 1.80T 79.9 23.9 %
AXP American Express Co Financials 340.54 233.21B 22.2 7.11 32.4 % 1.68 6.4 %
BAC Bank of America Corp Financials 56.53 402.52B 14.9 1.44 10.1 % 1.05 11.0 %
BRE BlueRiver Energy plc Energy 44.36 27.50B 9.8 1.60 16.8 % 0.55 4.10 % 2.1 % 1.10
C Citigroup Inc Financials 143.78 242.84B 20.4 1.26 6.7 % 1.49 5.0 %
CMCSA Comcast Corp Communication Services 22.69 84.20B 4.4 0.90 20.6 % 0.0 %
COP ConocoPhillips Energy 111.21 134.91B 17.4 2.15 12.4 % 4.9 %
COST Costco Wholesale Corp Consumer Staples 965.59 436.30B 54.0 15.00 27.8 % 8.2 %
CRM Salesforce Inc Technology 155.02 132.20B 20.7 2.61 12.6 % 0.24 19.1 %
CVX Chevron Corp Energy 177.58 357.69B 27.1 1.79 6.6 % -4.6 %
DIS Walt Disney Co Communication Services 100.86 175.96B 14.8 1.67 11.3 % 0.38 3.4 %
EOG EOG Resources Inc Energy 133.25 70.20B 14.5 2.41 16.7 % 0.27 -4.5 %
GOOGL Alphabet Inc Communication Services 363.79 4.38T 33.5 10.65 31.8 % 0.12
GS Goldman Sachs Group Inc Financials 1,099.14 321.27B 21.2 2.77 13.7 %
HD Home Depot Inc Consumer Discretionary 327.48 335.38B 23.6 26.12 110.5 % 3.86 3.2 %
HMD Helios Microdevices Inc Technology 148.65 73.73B 24.0 6.40 26.6 % 0.12 0.00 % 17.0 % 1.25
JNJ Johnson & Johnson Health Care 234.20 564.59B 21.3 6.99 32.9 % 0.51 6.0 %
JPM JPMorgan Chase & Co Financials 333.46 884.40B 16.5 2.53 15.7 % 2.8 %
KO Coca-Cola Co Consumer Staples 79.93 344.16B 26.3 10.72 40.7 % 1.9 %
LLY Eli Lilly and Co Health Care 1,112.00 1.06T 48.9 38.04 77.8 % 44.7 %
LOW Lowe's Companies Inc Consumer Discretionary 217.27 125.33B 18.9 3.1 %
MCD McDonald's Corp Consumer Discretionary 283.82 203.82B 24.0 3.7 %
META Meta Platforms Inc Communication Services 567.58 1.45T 24.3 6.77 27.8 % 0.27 22.2 %
MO Altria Group Inc Consumer Staples 68.95 116.88B 17.0 -3.1 %
MRK Merck & Co Inc Health Care 115.44 283.96B 15.8 5.48 34.7 % 0.89 1.3 %
MS Morgan Stanley Financials 224.96 347.59B 21.6 3.14 15.1 % 3.06
MSFT Microsoft Corp Technology 378.91 2.88T 28.5 8.44 29.6 % 0.13 14.9 %
MWH Meridian Healthcare Holdings Health Care 87.94 27.26B 21.5 4.20 19.2 % 0.62 1.60 % 7.9 % 0.70
NFLX Netflix Inc Communication Services 76.96 329.58B 30.9 12.77 41.3 % 15.9 %
NKE Nike Inc Consumer Discretionary 44.19 67.14B 21.0 5.10 24.4 % 0.60 -9.8 %
NVDA NVIDIA Corp Technology 204.65 4.96T 41.8 31.94 76.3 % 0.05
NWR Northwind Retail Group Consumer Staples 31.90 25.71B 17.7 3.10 17.4 % 0.43 2.55 % 4.8 % 0.85
ORCL Oracle Corp Technology 183.53 546.74B 43.8 26.64 60.8 % 8.4 %
PEP PepsiCo Inc Consumer Staples 141.59 199.52B 24.3 9.82 40.4 % 2.27 2.3 %
PFE Pfizer Inc Health Care 25.92 147.96B 19.1 1.72 9.0 %
PG Procter & Gamble Co Consumer Staples 150.56 354.02B 23.4 7.14 30.6 % 0.3 %
PSX Phillips 66 Energy 167.17 68.87B 15.9 2.41 15.1 % -7.5 %
SBUX Starbucks Corp Consumer Discretionary 99.82 115.37B 62.1 2.8 %
SLB SLB NV Energy 50.33 79.81B 22.7 2.94 12.9 % 0.37 -1.6 %
T AT&T Inc Communication Services 22.44 159.74B 7.6 1.30 17.4 % 1.07 2.7 %
TMO Thermo Fisher Scientific Inc Health Care 461.69 176.03B 26.7 3.35 12.6 % 0.73 3.9 %
TSLA Tesla Inc Consumer Discretionary 396.38 1.52T 375.2 17.41 4.6 % 0.08 -2.9 %
UNH UnitedHealth Group Inc Health Care 399.53 371.47B 30.9 11.8 %
VZ Verizon Communications Inc Communication Services 45.84 194.16B 11.5 1.86 16.2 % 2.5 %
WFC Wells Fargo & Co Financials 83.81 258.98B 13.5 1.52 11.8 % 0.96
WMT Walmart Inc Consumer Staples 118.13 959.98B 44.2 9.71 22.0 % 0.38 4.7 %
XOM Exxon Mobil Corp Energy 140.74 584.23B 21.0 2.27 11.1 %
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