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EIA Natural Gas Storage Build Of +59 Bcf Exceeds Estimates
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Initial Claims Stable, Economic Indicators Point to Optimistic Outlook
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stocks
United States Stocks
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Sectors
Industries
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Performance
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Stock Screener
Ticker
Name
Last
Change
Change (%)
Volume
Market Cap
P/E
EPS
Sector
Industry
MSFT
Microsoft Corporation
$396.58
1.64
0.41%
254.57K
2.95T
33.71
11.55
Technology Services
Packaged Software
AAPL
Apple Inc
$171.59
2.29
1.35%
1.00M
2.65T
26.53
6.42
Electronic Technology
Telecommunications Equipment
NVDA
NVIDIA Corp
$847.46
17.05
2.05%
718.20K
2.12T
71.64
11.94
Electronic Technology
Semiconductors
GOOG
Alphabet Inc - Class C
$167.15
1.58
0.95%
282.06K
2.05T
25.25
6.52
Technology Services
Internet Software Or Services
GOOGL
Alphabet Inc - Class A
$165.35
1.49
0.91%
427.80K
2.02T
24.97
6.52
Technology Services
Internet Software Or Services
AMZN
Amazon.com Inc.
$182.17
3.17
1.77%
792.10K
1.89T
48.34
3.57
Retail Trade
Internet Retail
META
Meta Platforms Inc - Class A
$437.79
-1.40
-0.32%
367.54K
1.10T
24.36
17.41
Technology Services
Internet Software Or Services
LLY
Lilly(Eli) & Co
$765.80
-10.95
-1.41%
51,166
727.63B
107.29
6.79
Health Technology
Pharmaceuticals Major
AVGO
Broadcom Inc
$1,240.00
-2.86
-0.23%
26,861
574.64B
34.83
26.98
Electronic Technology
Semiconductors
TSLA
Tesla Inc
$179.58
-0.41
-0.23%
1.48M
572.72B
82.19
3.92
Consumer Durables
Motor Vehicles
JPM
JPMorgan Chase & Co.
$190.81
-1.05
-0.55%
85,797
548.02B
11.08
16.56
Miscellaneous
Investment Trusts Or Mutual Funds
V
Visa Inc - Class A
$267.66
0.34
0.13%
70,478
493.30B
28.55
8.95
Commercial Services
Miscellaneous Commercial Services
WMT
Walmart Inc
$59.55
0.70
1.19%
239.16K
479.96B
26.82
1.91
Retail Trade
Specialty Stores
XOM
Exxon Mobil Corp.
$116.52
0.49
0.42%
742.62K
459.44B
13.52
8.16
Energy Minerals
Integrated Oil
UNH
Unitedhealth Group Inc
$490.19
6.08
1.26%
55,901
451.01B
18.77
16.36
Health Services
Managed Health Care
MA
Mastercard Incorporated - Class A
$440.22
-1.85
-0.42%
64,433
420.92B
36.80
11.83
Commercial Services
Miscellaneous Commercial Services
PG
Procter & Gamble Co.
$163.70
0.30
0.18%
68,913
386.35B
24.88
6.12
Consumer Non Durables
Household Or Personal Care
JNJ
Johnson & Johnson
$149.93
-1.25
-0.83%
143.79K
361.30B
13.82
16.04
Health Technology
Pharmaceuticals Major
HD
Home Depot, Inc.
$332.85
0.88
0.27%
32,885
329.86B
22.13
15.10
Retail Trade
Home Improvement Chains
MRK
Merck & Co Inc
$128.97
0.17
0.13%
67,653
326.68B
59.55
0.90
Health Technology
Pharmaceuticals Major
COST
Costco Wholesale Corp
$728.13
5.91
0.82%
24,694
322.93B
46.70
15.29
Retail Trade
Specialty Stores
ORCL
Oracle Corp.
$115.53
0.90
0.79%
87,583
317.53B
25.45
3.79
Technology Services
Packaged Software
CVX
Chevron Corp.
$160.67
1.04
0.65%
126.17K
298.41B
12.89
10.87
Energy Minerals
Integrated Oil
BAC
Bank Of America Corp.
$36.87
-0.08
-0.22%
993.71K
290.93B
11.18
2.89
Finance
Major Banks
ABBV
Abbvie Inc
$159.33
-2.39
-1.48%
80,303
282.12B
14.84
3.37
Health Technology
Pharmaceuticals Major
KO
Coca-Cola Co
$61.99
0.06
0.10%
140.71K
267.25B
22.63
2.50
Consumer Non Durables
Beverages Non Alcoholic
CRM
Salesforce Inc
$271.00
2.31
0.86%
57,213
262.87B
43.52
4.20
Technology Services
Packaged Software
PEP
PepsiCo Inc
$175.32
0.17
0.10%
48,121
241.03B
22.76
6.65
Consumer Non Durables
Beverages Non Alcoholic
NFLX
Netflix Inc.
$560.71
9.00
1.63%
46,456
241.61B
38.21
14.41
Technology Services
Internet Software Or Services
AMD
Advanced Micro Devices Inc.
$144.32
0.05
0.04%
897.97K
233.24B
81.22
0.68
Electronic Technology
Semiconductors
TMO
Thermo Fisher Scientific Inc.
$570.24
-4.75
-0.83%
11,679
217.67B
26.31
15.59
Health Technology
Medical Specialties
ADBE
Adobe Inc
$472.65
3.26
0.69%
60,645
211.75B
34.67
10.46
Technology Services
Packaged Software
WFC
Wells Fargo & Co.
$59.59
0.07
0.12%
161.10K
210.97B
11.43
4.79
Finance
Major Banks
DIS
Walt Disney Co (The)
$111.65
1.17
1.06%
138.39K
204.80B
27.77
1.62
Consumer Services
Movies Or Entertainment
ACN
Accenture plc - Class A
$300.42
1.76
0.59%
37,467
201.83B
25.20
11.03
Technology Services
Information Technology Services
LIN
Linde Plc.
$418.90
-23.72
-5.36%
87,086
201.73B
31.03
12.60
Process Industries
Chemicals Specialty
QCOM
Qualcomm, Inc.
$180.22
16.11
9.82%
575.81K
201.13B
23.66
6.90
Electronic Technology
Semiconductors
MCD
McDonald`s Corp
$274.90
0.47
0.17%
39,078
198.21B
22.73
11.78
Consumer Services
Restaurants
TMUS
T-Mobile US Inc
$165.09
-0.38
-0.23%
25,672
193.46B
22.34
7.35
Communications
Wireless Telecommunications
CSCO
Cisco Systems, Inc.
$46.73
-0.11
-0.23%
193.69K
189.22B
13.09
3.29
Technology Services
Information Technology Services
ABT
Abbott Laboratories
$105.28
-1.01
-0.95%
38,048
182.68B
24.14
3.21
Health Technology
Medical Specialties
DHR
Danaher Corp.
$244.22
-2.67
-1.08%
20,586
180.89B
30.52
5.90
Health Technology
Medical Specialties
GE
GE Aerospace
$160.52
0.82
0.51%
63,420
175.71B
48.30
3.05
Producer Manufacturing
Industrial Machinery
INTU
Intuit Inc
$616.41
1.21
0.20%
10,998
172.59B
58.74
9.80
Technology Services
Packaged Software
AXP
American Express Co.
$232.54
1.08
0.47%
30,276
167.27B
19.28
12.14
Finance
Finance Or Rental Or Leasing
CAT
Caterpillar Inc.
$332.72
1.65
0.50%
32,052
162.72B
15.28
22.15
Producer Manufacturing
Trucks Or Construction Or Farm Machinery
VZ
Verizon Communications Inc
$38.97
-0.23
-0.59%
117.31K
164.03B
8.47
2.68
Communications
Wireless Telecommunications
AMAT
Applied Materials Inc.
$195.89
1.90
0.98%
28,848
162.77B
24.37
8.50
Producer Manufacturing
Industrial Machinery
TXN
Texas Instruments Inc.
$175.53
0.33
0.19%
48,990
159.82B
27.74
6.41
Electronic Technology
Semiconductors
PFE
Pfizer Inc.
$27.56
0.38
1.40%
965.89K
156.06B
14.00
0.36
Health Technology
Pharmaceuticals Major
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