TSM Taiwan Semiconductor Manufacturing | Technology | $452.44 +0.4% | 32.54 | $2.34 trillion | Buy (Score: 3.12) | $523.22 (15.6% Upside) |
LLY Eli Lilly and Company | Healthcare | $1,188.35 +0.4% | 39.88 | $1.12 trillion | Moderate Buy (Score: 2.87) | $1,311.96 (10.4% Upside) |
BRK.A Berkshire Hathaway | Finance | $757,602.50 -0.1% | 12.70 | $1.08 trillion | Hold (Score: 2.00) | $787,337.00 (3.9% Upside) |
BRK.B Berkshire Hathaway | Finance | $504.57 -0.2% | 12.68 | $1.08 trillion | Hold (Score: 2.33) | $542.50 (7.5% Upside) |
JPM JPMorgan Chase & Co. | Finance | $338.69 -1.3% | 14.51 | $899.95 billion | Moderate Buy (Score: 2.57) | $363.29 (7.3% Upside) |
XOM ExxonMobil | Energy | $162.21 +1.0% | 20.93 | $674.21 billion | Hold (Score: 2.48) | $164.78 (1.6% Upside) |
V Visa | Finance | $368.80 +0.4% | 31.33 | $657.52 billion | Buy (Score: 3.08) | $425.21 (15.3% Upside) |
JNJ Johnson & Johnson | Healthcare | $272.87 +0.6% | 31.61 | $657.36 billion | Moderate Buy (Score: 2.80) | $274.13 (0.5% Upside) |
MA Mastercard | Finance | $567.20 -0.1% | 31.19 | $496.71 billion | Moderate Buy (Score: 2.97) | $679.39 (19.8% Upside) |
ABBV AbbVie | Healthcare | $266.38 +0.8% | 75.18 | $470.22 billion | Moderate Buy (Score: 2.88) | $276.64 (3.9% Upside) |
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CVX Chevron | Energy | $206.68 +1.1% | 19.86 | $409.29 billion | Moderate Buy (Score: 2.73) | $207.65 (0.5% Upside) |
ORCL Oracle | Technology | $132.74 -3.2% | 20.77 | $400.74 billion | Moderate Buy (Score: 2.85) | $254.68 (91.9% Upside) |
BAC Bank of America | Finance | $55.86 -1.5% | 12.80 | $390.30 billion | Moderate Buy (Score: 2.78) | $64.08 (14.7% Upside) |
CAT Caterpillar | Industrials | $819.09 -0.3% | 35.16 | $375.60 billion | Moderate Buy (Score: 2.63) | $994.38 (21.4% Upside) |
KO CocaCola | Consumer Staples | $87.23 -0.7% | 26.18 | $375.12 billion | Moderate Buy (Score: 2.89) | $95.71 (9.7% Upside) |
MRK Merck & Co., Inc. | Healthcare | $148.58 -0.1% | 118.78 | $366.31 billion | Moderate Buy (Score: 2.71) | $154.24 (3.8% Upside) |
HSBC HSBC | Finance | $101.17 +0.2% | 14.32 | $346.62 billion | Hold (Score: 2.08) | N/A |
PG Procter & Gamble | Consumer Staples | $148.36 +1.5% | 22.40 | $344.41 billion | Moderate Buy (Score: 2.57) | $161.55 (8.9% Upside) |
DELL Dell Technologies | Technology | $542.16 -3.7% | 31.43 | $344.30 billion | Moderate Buy (Score: 2.78) | $567.12 (4.6% Upside) |
UNH UnitedHealth Group | Healthcare | $374.94 -0.4% | 24.13 | $336.61 billion | Moderate Buy (Score: 2.78) | $456.56 (21.8% Upside) |
GE GE Aerospace | Industrials | $318.22 -2.7% | 37.41 | $329.54 billion | Moderate Buy (Score: 2.75) | $387.22 (21.7% Upside) |
MS Morgan Stanley | Finance | $193.95 -1.2% | 15.67 | $305.76 billion | Moderate Buy (Score: 2.62) | $224.10 (15.5% Upside) |
PM Philip Morris International | Consumer Staples | $192.12 +0.9% | 27.59 | $299.35 billion | Moderate Buy (Score: 2.83) | $207.00 (7.7% Upside) |
HD Home Depot | Consumer Discretionary | $291.77 -0.5% | 20.39 | $290.66 billion | Moderate Buy (Score: 2.53) | $375.18 (28.6% Upside) |
RY Royal Bank Of Canada | Finance | $201.41 -0.3% | 17.60 | $278.94 billion | Moderate Buy (Score: 2.69) | $225.00 (11.7% Upside) |
NVS Novartis | Healthcare | $146.36 +0.6% | 22.04 | $278.81 billion | Hold (Score: 2.38) | $153.00 (4.5% Upside) |
MUFG Mitsubishi UFJ Financial Group | Finance | $23.43 -0.2% | 15.29 | $277.65 billion | Moderate Buy (Score: 2.80) | N/A |
SHEL Shell | Energy | $96.95 +1.2% | 10.72 | $272.40 billion | Hold (Score: 2.39) | $106.08 (9.4% Upside) |
BABA Alibaba Group | Consumer Discretionary | $109.55 -0.2% | 26.50 | $272.01 billion | Moderate Buy (Score: 2.86) | $187.05 (70.8% Upside) |
GS The Goldman Sachs Group | Finance | $920.03 -1.6% | 14.19 | $267.70 billion | Hold (Score: 2.38) | $1,060.10 (15.2% Upside) |
ANET Arista Networks | Technology | $205.94 -0.3% | 64.83 | $259.20 billion | Buy (Score: 3.09) | $230.74 (12.0% Upside) |
AZN Astrazeneca | Healthcare | $166.36 -0.1% | 24.82 | $257.57 billion | Moderate Buy (Score: 2.72) | $206.67 (24.2% Upside) |
SAP SAP | Technology | $209.04 -0.8% | 26.22 | $256.42 billion | Moderate Buy (Score: 2.71) | $256.29 (22.6% Upside) |
GEV GE Vernova | Industrials | $956.86 -0.1% | 27.28 | $253.88 billion | Moderate Buy (Score: 2.79) | $1,145.83 (19.7% Upside) |
RTX RTX | Industrials | $188.29 -0.6% | 33.08 | $253.25 billion | Moderate Buy (Score: 2.71) | $228.06 (21.1% Upside) |
TMO Thermo Fisher Scientific | Healthcare | $677.52 +0.4% | 36.38 | $250.08 billion | Moderate Buy (Score: 2.77) | $628.78 (-7.2% Downside) |
WFC Wells Fargo & Company | Finance | $81.59 -1.7% | 11.86 | $246.71 billion | Moderate Buy (Score: 2.72) | $99.86 (22.4% Upside) |
TM Toyota Motor | Consumer Discretionary | $188.38 -1.0% | 8.28 | $244.89 billion | Buy (Score: 3.00) | $290.00 (53.9% Upside) |
C Citigroup | Finance | $132.52 -1.3% | 14.30 | $225.89 billion | Moderate Buy (Score: 2.83) | $149.50 (12.8% Upside) |
TTE TotalEnergies | Energy | $91.07 +0.1% | 11.42 | $218.78 billion | Moderate Buy (Score: 2.50) | $92.00 (1.0% Upside) |
First Look: Elon’s “Starphone” (Ad) Rumors are swirling that Elon Musk is developing a new mobile device that could rival the iPhone. It's said to be thinner, longer-lasting on battery, and cheaper to produce, with the ability to work worldwide without relying on cell towers.
Former Bloomberg reporter and SAC Capital trader Josh Baylin says the evidence is mounting. He notes the FCC recently gave Musk a green light connected to his mobile plans, adding fuel to speculation.
Baylin previously called the smartphone boom in 2004 and predicted Apple would sell a billion phones when others expected a fraction of that. See the full evidence behind Elon Musk's rumored new device. |
BHP BHP Group | Materials | $84.17 -0.9% | N/A | $213.64 billion | Hold (Score: 2.40) | $78.00 (-7.3% Downside) |
SAN Banco Santander | Finance | $14.20 -1.5% | 11.52 | $208.07 billion | Moderate Buy (Score: 2.50) | N/A |
AXP American Express | Finance | $306.38 -0.8% | 18.57 | $206.67 billion | Moderate Buy (Score: 2.54) | $373.05 (21.8% Upside) |
IBM International Business Machines | Technology | $219.70 -2.6% | 19.46 | $206.66 billion | Moderate Buy (Score: 2.57) | $265.16 (20.7% Upside) |
APH Amphenol | Technology | $83.21 -1.0% | 41.57 | $204.53 billion | Buy (Score: 3.06) | $96.34 (15.8% Upside) |
TD Toronto Dominion Bank | Finance | $120.12 -0.4% | 17.83 | $197.35 billion | Moderate Buy (Score: 2.67) | $156.00 (29.9% Upside) |
VZ Verizon Communications | Communication Services | $46.45 -1.3% | 12.09 | $192.93 billion | Hold (Score: 2.40) | $50.97 (9.7% Upside) |
CRM Salesforce | Technology | $228.37 -2.4% | 20.77 | $187.56 billion | Moderate Buy (Score: 2.66) | $275.14 (20.5% Upside) |
DE Deere & Company | Industrials | $684.13 -0.9% | 37.95 | $184.16 billion | Moderate Buy (Score: 2.68) | $686.10 (0.3% Upside) |
KOF Coca Cola Femsa | Consumer Staples | $108.48 -1.6% | 17.11 | $182.27 billion | Hold (Score: 2.44) | $118.83 (9.5% Upside) |
DIS Walt Disney | Communication Services | $104.97 -1.1% | 21.62 | $181.01 billion | Moderate Buy (Score: 2.81) | $127.61 (21.6% Upside) |
ABT Abbott Laboratories | Healthcare | $101.02 -0.3% | 32.66 | $174.65 billion | Moderate Buy (Score: 2.96) | $119.50 (18.3% Upside) |
NVO Novo Nordisk A/S | Healthcare | $38.51 -0.8% | 9.40 | $171.61 billion | Hold (Score: 2.11) | $64.94 (68.6% Upside) |
T AT&T | Communication Services | $24.88 -2.0% | 8.23 | $170.38 billion | Moderate Buy (Score: 2.61) | $29.25 (17.6% Upside) |
SCHW Charles Schwab | Finance | $98.44 -0.6% | 17.89 | $170.18 billion | Moderate Buy (Score: 2.81) | $121.17 (23.1% Upside) |
WELL Welltower | Real Estate | $233.92 +1.1% | 107.20 | $168.43 billion | Moderate Buy (Score: 2.94) | $255.39 (9.2% Upside) |
SMFG Sumitomo Mitsui Financial Group | Finance | $26.62 +0.0% | 18.45 | $168.29 billion | Moderate Buy (Score: 2.50) | N/A |
SCCO Southern Copper | Materials | $201.19 -1.3% | 29.34 | $167.42 billion | Reduce (Score: 1.73) | $146.84 (-27.0% Downside) |
ETN Eaton | Industrials | $428.02 -2.7% | 43.42 | $165.78 billion | Buy (Score: 3.06) | $456.50 (6.7% Upside) |
BLK BlackRock | Finance | $1,070.56 -1.5% | 25.56 | $165.65 billion | Moderate Buy (Score: 2.89) | $1,310.53 (22.4% Upside) |
MCD McDonald's | Consumer Discretionary | $233.93 -1.1% | 19.00 | $165.53 billion | Moderate Buy (Score: 2.66) | $300.40 (28.4% Upside) |
PFE Pfizer | Healthcare | $28.57 -0.3% | 37.57 | $162.75 billion | Hold (Score: 2.19) | $28.39 (-0.6% Downside) |
UNP Union Pacific | Industrials | $274.13 +0.1% | 22.17 | $162.65 billion | Moderate Buy (Score: 2.90) | $327.00 (19.3% Upside) |
BBVA Banco Bilbao Viscaya Argentaria | Finance | $28.73 -0.5% | 13.03 | $159.92 billion | Hold (Score: 2.13) | N/A |
DHR Danaher | Healthcare | $226.43 +0.9% | 40.15 | $158.91 billion | Moderate Buy (Score: 2.88) | $230.23 (1.7% Upside) |
NEE NextEra Energy | Utilities | $75.25 -1.1% | 16.90 | $156.92 billion | Moderate Buy (Score: 2.74) | $100.19 (33.1% Upside) |
BUD Anheuser-Busch InBev SA/NV | Consumer Staples | $76.86 -1.5% | 16.26 | $154.95 billion | Moderate Buy (Score: 2.71) | $91.08 (18.5% Upside) |
COP ConocoPhillips | Energy | $126.62 -0.5% | 16.82 | $152.72 billion | Moderate Buy (Score: 2.61) | $141.24 (11.5% Upside) |
UBS UBS Group | Finance | $48.83 -1.7% | 16.57 | $152.23 billion | Hold (Score: 2.18) | $60.30 (23.5% Upside) |
BA Boeing | Industrials | $188.08 -5.0% | 81.22 | $148.28 billion | Moderate Buy (Score: 2.57) | $270.95 (44.1% Upside) |
TJX TJX Companies | Consumer Discretionary | $129.97 -0.1% | 23.94 | $142.47 billion | Moderate Buy (Score: 2.91) | $171.63 (32.1% Upside) |
UBER Uber Technologies | Industrials | $68.51 -1.6% | 15.03 | $139.70 billion | Moderate Buy (Score: 2.81) | $103.03 (50.4% Upside) |
SONY Sony | Consumer Discretionary | $23.29 -1.1% | 20.75 | $137.33 billion | Moderate Buy (Score: 2.71) | $22.00 (-5.5% Downside) |
MFG Mizuho Financial Group | Finance | $11.10 +0.3% | 13.51 | $136.79 billion | Strong Buy (Score: 4.00) | N/A |
NOW ServiceNow | Technology | $131.24 -3.2% | 81.90 | $135.50 billion | Moderate Buy (Score: 2.86) | $147.00 (12.0% Upside) |
PBR Petroleo Brasileiro S.A.- Petrobras | Energy | $20.75 +1.9% | 5.25 | $134.08 billion | Moderate Buy (Score: 2.71) | $21.16 (2.0% Upside) |
UL Unilever | Consumer Staples | $62.27 -0.4% | N/A | $133.98 billion | Hold (Score: 2.33) | $65.55 (5.3% Upside) |
GLW Corning | Technology | $152.25 -2.9% | 69.26 | $130.66 billion | Moderate Buy (Score: 2.67) | $176.50 (15.9% Upside) |
BMY Bristol Myers Squibb | Healthcare | $63.44 +0.9% | 13.95 | $129.38 billion | Moderate Buy (Score: 2.62) | $67.06 (5.7% Upside) |
CB Chubb | Finance | $330.45 -0.9% | 11.68 | $127.36 billion | Hold (Score: 2.45) | $360.77 (9.2% Upside) |
NET Cloudflare | Technology | $354.77 +1.6% | N/A | $125.26 billion | Moderate Buy (Score: 2.58) | $321.85 (-9.3% Downside) |
PLD Prologis | Real Estate | $133.02 0.0% | 29.59 | $123.95 billion | Moderate Buy (Score: 2.70) | $154.52 (16.2% Upside) |
NEM Newmont | Materials | $116.33 -4.2% | 14.65 | $122.26 billion | Moderate Buy (Score: 2.92) | $133.78 (15.0% Upside) |
PH Parker-Hannifin | Industrials | $971.68 -0.7% | 34.02 | $122.23 billion | Moderate Buy (Score: 2.84) | $1,119.55 (15.2% Upside) |
COF Capital One Financial | Finance | $197.71 -1.2% | 12.22 | $121.18 billion | Moderate Buy (Score: 2.88) | $259.18 (31.1% Upside) |
PBR.A Petroleo Brasileiro S.A.- Petrobras | Energy | $18.76 +1.3% | 4.75 | $121.12 billion | Buy (Score: 3.00) | $23.00 (22.6% Upside) |
PGR Progressive | Finance | $207.64 +1.0% | 10.41 | $120.71 billion | Hold (Score: 2.23) | $234.89 (13.1% Upside) |
LMT Lockheed Martin | Industrials | $520.43 +0.2% | 19.16 | $119.97 billion | Hold (Score: 2.42) | $637.56 (22.5% Upside) |
BMO Bank Of Montreal | Finance | $171.54 -0.4% | 19.33 | $119.05 billion | Hold (Score: 2.33) | $163.00 (-5.0% Downside) |
RIO Rio Tinto | Materials | $94.09 -0.5% | N/A | $117.80 billion | Hold (Score: 2.38) | $103.13 (9.6% Upside) |
First Look: Elon’s “Starphone” (Ad) Rumors are swirling that Elon Musk is developing a new mobile device that could rival the iPhone. It's said to be thinner, longer-lasting on battery, and cheaper to produce, with the ability to work worldwide without relying on cell towers.
Former Bloomberg reporter and SAC Capital trader Josh Baylin says the evidence is mounting. He notes the FCC recently gave Musk a green light connected to his mobile plans, adding fuel to speculation.
Baylin previously called the smartphone boom in 2004 and predicted Apple would sell a billion phones when others expected a fraction of that. See the full evidence behind Elon Musk's rumored new device. |
BP BP | Energy | $44.75 +1.3% | 21.89 | $117.53 billion | Moderate Buy (Score: 2.58) | $47.52 (6.2% Upside) |
SNOW Snowflake | Technology | $332.88 -0.9% | N/A | $117.42 billion | Moderate Buy (Score: 2.83) | $414.24 (24.4% Upside) |
SPGI S&P Global | Finance | $398.29 -1.2% | 24.27 | $117.19 billion | Moderate Buy (Score: 2.90) | $523.59 (31.5% Upside) |
ACN Accenture | Technology | $174.09 -1.1% | 13.89 | $116.14 billion | Hold (Score: 2.33) | $200.52 (15.2% Upside) |
MO Altria Group | Consumer Staples | $69.05 +0.3% | 14.56 | $115.26 billion | Hold (Score: 2.25) | $70.11 (1.5% Upside) |
HDB HDFC Bank | Finance | $22.44 -2.5% | 13.18 | $114.96 billion | Hold (Score: 2.25) | N/A |
MPC Marathon Petroleum | Energy | $390.18 -0.8% | 13.48 | $114.50 billion | Moderate Buy (Score: 2.81) | $360.00 (-7.7% Downside) |
CVS CVS Health | Healthcare | $88.67 -0.5% | 23.49 | $113.55 billion | Moderate Buy (Score: 2.96) | $107.24 (20.9% Upside) |
BTI British American Tobacco | Consumer Staples | $56.05 +0.7% | N/A | $113.50 billion | Moderate Buy (Score: 2.71) | $68.10 (21.5% Upside) |
BNS Bank of Nova Scotia | Finance | $93.07 -0.4% | 16.82 | $113.13 billion | Moderate Buy (Score: 2.86) | $117.00 (25.7% Upside) |
MDT Medtronic | Healthcare | $88.08 -0.6% | 21.67 | $112.52 billion | Moderate Buy (Score: 2.68) | $103.92 (18.0% Upside) |
VLO Valero Energy | Energy | $388.03 +0.2% | 16.18 | $112.30 billion | Moderate Buy (Score: 2.60) | $335.13 (-13.6% Downside) |
SGOV iShares 0-3 Month Treasury Bond ETF | | $100.67 +0.0% | N/A | $111.32 billion | N/A (Score: 0.00) | N/A |
SYK Stryker | Healthcare | $275.68 +1.2% | 28.50 | $105.48 billion | Moderate Buy (Score: 2.78) | $374.42 (35.8% Upside) |
LOW Lowe's Companies | Consumer Discretionary | $187.78 -0.8% | 15.83 | $105.08 billion | Moderate Buy (Score: 2.56) | $255.97 (36.3% Upside) |
ENB Enbridge | Energy | $46.85 +0.2% | 25.05 | $104.39 billion | Moderate Buy (Score: 2.77) | $71.17 (51.9% Upside) |
ING ING Group | Finance | $36.35 -0.5% | 13.53 | $103.72 billion | Moderate Buy (Score: 2.71) | N/A |
SPOT Spotify Technology | Communication Services | $501.05 -1.8% | 31.19 | $103.14 billion | Moderate Buy (Score: 2.79) | $594.50 (18.7% Upside) |
FCX Freeport-McMoRan | Materials | $71.65 -0.9% | 35.25 | $102.75 billion | Moderate Buy (Score: 2.88) | $70.29 (-1.9% Downside) |
CM Canadian Imperial Bank of Commerce | Finance | $112.34 -1.1% | 14.98 | $102.45 billion | Moderate Buy (Score: 2.60) | $167.00 (48.7% Upside) |
EQNR Equinor ASA | Energy | $42.64 +1.1% | 11.67 | $102.43 billion | Hold (Score: 2.23) | $43.47 (2.0% Upside) |
PSX Phillips 66 | Energy | $254.28 -0.6% | 14.55 | $101.91 billion | Moderate Buy (Score: 2.80) | $241.56 (-5.0% Downside) |
BNY Bank of New York Mellon | Finance | $149.28 -0.6% | 17.38 | $101.29 billion | Moderate Buy (Score: 2.71) | $156.73 (5.0% Upside) |
MCK McKesson | Healthcare | $861.55 -0.6% | 23.06 | $100.49 billion | Moderate Buy (Score: 2.78) | $973.44 (13.0% Upside) |
GSK GSK | Healthcare | $49.47 +0.5% | 15.45 | $99.91 billion | Hold (Score: 2.09) | $56.50 (14.2% Upside) |
CNQ Canadian Natural Resources | Energy | $47.78 +0.8% | 11.83 | $98.80 billion | Moderate Buy (Score: 2.58) | $57.00 (19.3% Upside) |
TT Trane Technologies | Industrials | $450.46 -0.9% | 34.02 | $98.79 billion | Buy (Score: 3.00) | $531.21 (17.9% Upside) |
IBN ICICI Bank | Finance | $27.33 -2.1% | 17.29 | $98.03 billion | Moderate Buy (Score: 2.75) | N/A |
ASX ASE Technology | Technology | $43.47 -1.9% | 50.34 | $96.77 billion | Buy (Score: 3.00) | N/A |
PWR Quanta Services | Industrials | $643.20 -0.9% | 73.43 | $96.37 billion | Moderate Buy (Score: 2.67) | $768.12 (19.4% Upside) |
E ENI | Energy | $55.85 +2.1% | 14.31 | $94.41 billion | Moderate Buy (Score: 2.77) | $60.77 (8.8% Upside) |
SO Southern | Utilities | $82.06 -1.0% | 19.67 | $94.35 billion | Hold (Score: 2.25) | $100.08 (22.0% Upside) |
HCA HCA Healthcare | Healthcare | $435.65 +0.0% | 14.58 | $94.31 billion | Moderate Buy (Score: 2.58) | $463.70 (6.4% Upside) |
VRT Vertiv | Industrials | $245.10 -3.2% | 55.25 | $94.01 billion | Moderate Buy (Score: 2.93) | $357.08 (45.7% Upside) |
AEM Agnico Eagle Mines | Materials | $185.20 -4.8% | 15.81 | $93.71 billion | Moderate Buy (Score: 2.71) | $227.15 (22.7% Upside) |
RACE Ferrari | Consumer Discretionary | $396.42 -3.6% | 36.71 | $92.50 billion | Moderate Buy (Score: 2.83) | $478.79 (20.8% Upside) |
USB U.S. Bancorp | Finance | $58.94 -0.7% | 11.76 | $91.76 billion | Moderate Buy (Score: 2.72) | $67.65 (14.8% Upside) |
HWM Howmet Aerospace | Industrials | $229.46 -1.3% | 49.34 | $91.61 billion | Buy (Score: 3.00) | $318.00 (38.6% Upside) |
GD General Dynamics | Industrials | $336.05 -0.2% | 20.46 | $90.75 billion | Moderate Buy (Score: 2.68) | $410.84 (22.3% Upside) |
PNC The PNC Financial Services Group | Finance | $224.92 -0.3% | 12.37 | $89.66 billion | Moderate Buy (Score: 2.86) | $268.63 (19.4% Upside) |
JCI Johnson Controls International | Industrials | $147.98 -1.5% | 25.67 | $89.39 billion | Hold (Score: 2.48) | $157.05 (6.1% Upside) |
BN Brookfield | Finance | $36.47 -1.1% | 66.12 | $89.16 billion | Moderate Buy (Score: 2.92) | $57.40 (57.4% Upside) |
EMR Emerson Electric | Industrials | $158.58 +0.2% | 34.62 | $88.61 billion | Moderate Buy (Score: 2.58) | $169.65 (7.0% Upside) |
ITUB Itau Unibanco | Finance | $7.99 -1.4% | 10.43 | $88.33 billion | Moderate Buy (Score: 2.67) | $10.00 (25.1% Upside) |
DUK Duke Energy | Utilities | $112.99 -0.3% | 16.97 | $88.11 billion | Moderate Buy (Score: 2.56) | $137.56 (21.8% Upside) |
MMM 3M | Industrials | $169.78 +0.1% | 30.09 | $87.36 billion | Hold (Score: 2.40) | $181.21 (6.7% Upside) |
BX Blackstone | Finance | $115.28 -2.7% | 25.74 | $86.38 billion | Moderate Buy (Score: 2.54) | $148.71 (29.0% Upside) |
ICE Intercontinental Exchange | Finance | $153.52 -0.5% | 21.66 | $86.09 billion | Moderate Buy (Score: 2.92) | $184.17 (20.0% Upside) |
ELV Elevance Health | Healthcare | $393.50 -0.7% | 17.50 | $85.38 billion | Moderate Buy (Score: 2.65) | $440.90 (12.0% Upside) |
WMB Williams Companies | Energy | $68.97 -0.4% | 27.52 | $84.50 billion | Buy (Score: 3.05) | $85.94 (24.6% Upside) |
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Using the 4% rule as a benchmark, that balance could translate to about $100,000 in year one, adjusted upward for inflation each year after. But the 4% rule has potential downsides and may not fit every portfolio.
A financial advisor can help size and structure a retirement budget around your income sources, taxes, and goals. SmartAsset's free quiz matches nearly 50,000 people each month with vetted fiduciary advisors. Take the free quiz to get matched with a fiduciary advisor |
KKR KKR & Co. Inc. | Finance | $93.55 -3.2% | 29.73 | $83.79 billion | Moderate Buy (Score: 2.80) | $130.00 (39.0% Upside) |
LYG Lloyds Banking Group | Finance | $5.73 -0.6% | 13.31 | $83.00 billion | Moderate Buy (Score: 2.73) | N/A |
WM Waste Management | Industrials | $206.76 0.0% | 29.27 | $82.60 billion | Moderate Buy (Score: 2.68) | $258.89 (25.2% Upside) |
HPE Hewlett Packard Enterprise | Technology | $61.92 -1.6% | 32.03 | $81.64 billion | Moderate Buy (Score: 2.74) | $69.18 (11.7% Upside) |
SU Suncor Energy | Energy | $69.04 +1.3% | 12.75 | $80.98 billion | Moderate Buy (Score: 2.82) | $80.25 (16.2% Upside) |
MRSH Marsh & McLennan Companies | Finance | $168.84 -1.3% | 20.63 | $80.55 billion | Hold (Score: 2.44) | $203.50 (20.5% Upside) |
SHW Sherwin-Williams | Materials | $329.89 +0.2% | 30.32 | $79.87 billion | Moderate Buy (Score: 2.61) | $387.47 (17.5% Upside) |
MCO Moody's | Finance | $461.18 -1.6% | 29.21 | $79.77 billion | Moderate Buy (Score: 2.80) | $553.61 (20.0% Upside) |
EPD Enterprise Products Partners | Energy | $36.82 +0.2% | 12.80 | $79.61 billion | Hold (Score: 2.39) | $40.12 (9.0% Upside) |
UPS United Parcel Service | Industrials | $93.42 -0.6% | 17.31 | $79.25 billion | Hold (Score: 2.43) | $117.41 (25.7% Upside) |
ECL Ecolab | Materials | $280.06 +0.2% | 37.53 | $78.38 billion | Moderate Buy (Score: 2.90) | $327.56 (17.0% Upside) |
AMT American Tower | Real Estate | $168.17 -0.5% | 23.10 | $78.24 billion | Moderate Buy (Score: 2.90) | $215.29 (28.0% Upside) |
ITW Illinois Tool Works | Industrials | $273.21 -0.4% | 24.72 | $77.66 billion | Reduce (Score: 1.77) | $281.25 (2.9% Upside) |
BE Bloom Energy | Industrials | $263.61 -8.7% | 351.27 | $77.59 billion | Moderate Buy (Score: 2.58) | $254.14 (-3.6% Downside) |
SLB SLB | Energy | $51.31 -0.4% | 24.84 | $76.30 billion | Moderate Buy (Score: 2.91) | $61.80 (20.4% Upside) |
TRV Travelers Companies | Finance | $363.96 +0.3% | 9.74 | $75.87 billion | Hold (Score: 2.28) | $354.53 (-2.6% Downside) |
CP Canadian Pacific Kansas City | Industrials | $86.17 -0.9% | 27.65 | $75.52 billion | Moderate Buy (Score: 2.87) | $108.60 (26.0% Upside) |
NGG National Grid Transco | Utilities | $75.03 -0.6% | N/A | $75.37 billion | Hold (Score: 2.09) | $85.50 (14.0% Upside) |
MSI Motorola Solutions | Technology | $454.84 -0.4% | 35.80 | $75.25 billion | Buy (Score: 3.00) | $519.56 (14.2% Upside) |
EOG EOG Resources | Energy | $140.75 +0.3% | 11.00 | $74.11 billion | Hold (Score: 2.43) | $158.11 (12.3% Upside) |
NWG NatWest Group | Finance | $18.33 -0.9% | 9.10 | $72.75 billion | Moderate Buy (Score: 2.75) | N/A |
CNI Canadian National Railway | Industrials | $120.49 -0.4% | 21.32 | $72.63 billion | Moderate Buy (Score: 2.50) | $138.21 (14.7% Upside) |
NOC Northrop Grumman | Industrials | $509.40 -0.2% | 16.15 | $72.23 billion | Moderate Buy (Score: 2.71) | $658.29 (29.2% Upside) |
MFC Manulife Financial | Finance | $43.53 -0.8% | 16.23 | $72.19 billion | Buy (Score: 3.13) | $59.00 (35.6% Upside) |
BAM Brookfield Asset Management | Finance | $44.19 -0.9% | 25.62 | $72.18 billion | Hold (Score: 2.46) | $58.65 (32.7% Upside) |
TGT Target | Consumer Staples | $158.29 +0.5% | 16.42 | $71.84 billion | Hold (Score: 2.25) | $159.52 (0.8% Upside) |
HLT Hilton Worldwide | Consumer Discretionary | $317.59 +1.2% | 46.54 | $71.33 billion | Moderate Buy (Score: 2.76) | $354.00 (11.5% Upside) |
CI Cigna Group | Healthcare | $269.90 -0.8% | 11.17 | $71.31 billion | Moderate Buy (Score: 2.65) | $337.10 (24.9% Upside) |
CMI Cummins | Industrials | $518.45 -1.3% | 26.44 | $71.22 billion | Moderate Buy (Score: 2.72) | $736.59 (42.1% Upside) |
GM General Motors | Consumer Discretionary | $81.25 -1.7% | 40.92 | $71.09 billion | Moderate Buy (Score: 2.78) | $98.14 (20.8% Upside) |
APO Apollo Global Management | Finance | $120.28 -1.2% | 44.04 | $71.01 billion | Moderate Buy (Score: 2.82) | $152.15 (26.5% Upside) |
NSC Norfolk Southern | Industrials | $313.17 +0.1% | 26.69 | $70.26 billion | Hold (Score: 2.33) | $350.50 (11.9% Upside) |
DB Deutsche Bank Aktiengesellschaft | Finance | $36.06 -1.4% | 9.59 | $69.75 billion | Moderate Buy (Score: 2.50) | $43.00 (19.2% Upside) |
ET Energy Transfer | Energy | $19.99 -1.0% | 13.62 | $68.95 billion | Moderate Buy (Score: 2.94) | $24.36 (21.9% Upside) |
CL Colgate-Palmolive | Consumer Staples | $86.24 +0.2% | 34.19 | $68.69 billion | Moderate Buy (Score: 2.68) | $98.94 (14.7% Upside) |
KMI Kinder Morgan | Energy | $30.71 -0.1% | 19.72 | $68.51 billion | Hold (Score: 2.42) | $35.77 (16.5% Upside) |
B Barrick Mining | Materials | $41.17 -4.0% | 10.57 | $67.51 billion | Moderate Buy (Score: 2.86) | $52.90 (28.5% Upside) |
FDX FedEx | Industrials | $285.40 -0.2% | 15.36 | $67.29 billion | Moderate Buy (Score: 2.59) | $362.99 (27.2% Upside) |
CVNA Carvana | Consumer Discretionary | $60.54 -7.0% | 33.43 | $66.51 billion | Moderate Buy (Score: 2.71) | $84.14 (39.0% Upside) |
SPG Simon Property Group | Real Estate | $204.06 -0.4% | 14.37 | $65.93 billion | Hold (Score: 2.41) | $227.64 (11.6% Upside) |
DLR Digital Realty Trust | Real Estate | $177.44 -0.7% | 86.00 | $65.73 billion | Moderate Buy (Score: 2.85) | $219.69 (23.8% Upside) |
RSG Republic Services | Industrials | $213.35 +0.6% | 30.24 | $65.37 billion | Moderate Buy (Score: 2.55) | $245.26 (15.0% Upside) |
RCL Royal Caribbean Cruises | Consumer Discretionary | $244.58 +0.8% | 15.08 | $65.27 billion | Moderate Buy (Score: 2.74) | $357.80 (46.3% Upside) |
AMX America Movil | Communication Services | $21.69 -1.6% | 13.06 | $65.13 billion | Moderate Buy (Score: 2.67) | $29.52 (36.1% Upside) |
URI United Rentals | Industrials | $1,041.44 -0.5% | 24.94 | $64.64 billion | Moderate Buy (Score: 2.78) | $1,243.63 (19.4% Upside) |
BSX Boston Scientific | Healthcare | $43.71 -0.5% | 17.66 | $63.22 billion | Moderate Buy (Score: 2.68) | $70.19 (60.6% Upside) |
TEL TE Connectivity | Technology | $216.23 -1.1% | 21.15 | $62.46 billion | Moderate Buy (Score: 2.69) | $251.36 (16.2% Upside) |
APD Air Products and Chemicals | Materials | $279.63 -0.8% | N/A | $62.23 billion | Moderate Buy (Score: 2.67) | $336.53 (20.3% Upside) |
MET MetLife | Finance | $96.57 -1.2% | 18.48 | $62.08 billion | Buy (Score: 3.00) | $104.31 (8.0% Upside) |
WPM Wheaton Precious Metals | Materials | $137.02 -4.1% | 30.27 | $62.01 billion | Moderate Buy (Score: 2.92) | $166.00 (21.2% Upside) |
Management just bought 2.8 million shares (Ad) Management just backed a $100 million buyback, repurchasing 2.8 million shares at an average price of $35.26 in one quarter.
Institutions own about 83% of shares, including BlackRock's 32 million shares worth $716 million and Vanguard's 48 million shares worth nearly $1.1 billion.
A new multi-year deal with Palantir adds an AI-driven edge to this energy producer's operations. Watch the briefing on this buyback and AI opportunity now |
TDG Transdigm Group | Industrials | $1,105.88 -0.9% | 33.45 | $61.67 billion | Hold (Score: 2.28) | $1,444.20 (30.6% Upside) |
VALE Vale | Materials | $13.54 -0.5% | 27.58 | $61.34 billion | Hold (Score: 2.19) | $16.08 (18.8% Upside) |
KEYS Keysight Technologies | Technology | $359.13 -0.8% | 49.18 | $60.96 billion | Moderate Buy (Score: 2.93) | $392.83 (9.4% Upside) |
SE SEA | Consumer Discretionary | $99.15 -0.4% | 38.25 | $60.53 billion | Moderate Buy (Score: 2.79) | $149.40 (50.7% Upside) |
NU NU | Finance | $12.49 -8.1% | 16.83 | $60.48 billion | Moderate Buy (Score: 2.50) | $18.02 (44.2% Upside) |
TAK Takeda Pharmaceutical | Healthcare | $18.89 +0.1% | 55.49 | $60.45 billion | Buy (Score: 3.00) | N/A |
UMC United Microelectronics | Technology | $23.77 -2.2% | 22.13 | $59.61 billion | Hold (Score: 2.00) | $8.60 (-63.8% Downside) |
TRGP Targa Resources | Energy | $275.94 -0.7% | 26.46 | $59.36 billion | Buy (Score: 3.05) | $317.24 (15.0% Upside) |
GWW W.W. Grainger | Industrials | $1,252.89 +0.8% | 31.92 | $58.96 billion | Hold (Score: 2.10) | $1,285.00 (2.6% Upside) |
TRP TC Energy | Energy | $58.77 0.0% | 24.40 | $58.79 billion | Moderate Buy (Score: 2.80) | $89.00 (51.5% Upside) |
AJG Arthur J. Gallagher & Co. | Finance | $229.73 -0.6% | 38.04 | $58.78 billion | Moderate Buy (Score: 2.74) | $288.17 (25.4% Upside) |
COR Cencora | Healthcare | $305.13 -0.6% | 22.67 | $58.23 billion | Moderate Buy (Score: 2.81) | $370.85 (21.5% Upside) |
CVE Cenovus Energy | Energy | $31.36 +1.4% | 12.12 | $58.06 billion | Moderate Buy (Score: 2.93) | $39.00 (24.4% Upside) |
MPLX Mplx | Energy | $56.99 +0.3% | 12.27 | $57.86 billion | Moderate Buy (Score: 2.57) | $63.80 (11.9% Upside) |
FIX Comfort Systems USA | Industrials | $1,649.73 -0.6% | 40.43 | $57.86 billion | Buy (Score: 3.00) | $2,082.86 (26.3% Upside) |
RELX Relx | Industrials | $33.08 -1.3% | N/A | $57.68 billion | Moderate Buy (Score: 2.78) | N/A |
TFC Truist Financial | Finance | $47.24 -0.9% | 10.83 | $57.66 billion | Hold (Score: 2.33) | $55.44 (17.4% Upside) |
ALL Allstate | Finance | $227.84 +0.1% | 4.55 | $57.61 billion | Hold (Score: 2.24) | $266.89 (17.1% Upside) |
AON AON | Finance | $271.38 -2.4% | 14.95 | $57.51 billion | Moderate Buy (Score: 2.58) | $397.47 (46.5% Upside) |
NOK Nokia | Technology | $10.01 -3.6% | 71.32 | $57.34 billion | Moderate Buy (Score: 2.68) | $14.12 (41.0% Upside) |
AME AMETEK | Technology | $250.76 +0.0% | 36.56 | $57.31 billion | Moderate Buy (Score: 2.76) | $266.69 (6.4% Upside) |
AFL Aflac | Finance | $113.72 0.0% | 12.18 | $56.97 billion | Hold (Score: 2.21) | $116.62 (2.5% Upside) |
OXY Occidental Petroleum | Energy | $56.69 -0.3% | 8.80 | $56.84 billion | Hold (Score: 2.37) | $65.17 (15.0% Upside) |
LNG Cheniere Energy | Energy | $272.30 +1.4% | 20.31 | $56.35 billion | Moderate Buy (Score: 2.95) | $305.65 (12.2% Upside) |
GRMN Garmin | Consumer Discretionary | $292.67 -0.5% | 30.05 | $56.22 billion | Moderate Buy (Score: 2.75) | $310.17 (6.0% Upside) |
OKE ONEOK | Energy | $88.65 +0.0% | 15.33 | $56.03 billion | Hold (Score: 2.45) | $96.88 (9.3% Upside) |
NUE Nucor | Materials | $245.82 -0.6% | 19.55 | $55.62 billion | Moderate Buy (Score: 2.76) | $276.07 (12.3% Upside) |
CRH CRH | Materials | $83.45 -1.9% | 14.69 | $55.40 billion | Moderate Buy (Score: 2.94) | $139.54 (67.2% Upside) |
DAL Delta Air Lines | Industrials | $83.18 -2.1% | 13.74 | $54.50 billion | Moderate Buy (Score: 2.92) | $100.62 (21.0% Upside) |
COHR Coherent | Technology | $278.93 -5.7% | 67.67 | $54.47 billion | Moderate Buy (Score: 2.77) | $397.63 (42.6% Upside) |
MT ArcelorMittal | Materials | $70.12 -0.8% | 29.61 | $54.16 billion | Hold (Score: 2.42) | $74.80 (6.7% Upside) |
NKE NIKE | Consumer Discretionary | $36.20 +1.2% | 17.28 | $53.58 billion | Hold (Score: 2.11) | $46.77 (29.2% Upside) |
D Dominion Energy | Utilities | $60.09 -1.0% | 20.91 | $52.79 billion | Hold (Score: 2.27) | $69.79 (16.1% Upside) |
CTVA Corteva | Materials | $78.36 -0.2% | 51.90 | $52.28 billion | Moderate Buy (Score: 2.61) | $91.90 (17.3% Upside) |
O Realty Income | Real Estate | $55.19 -0.6% | 40.25 | $52.18 billion | Hold (Score: 2.47) | $66.23 (20.0% Upside) |
DVN Devon Energy | Energy | $47.15 +0.2% | 11.24 | $52.04 billion | Moderate Buy (Score: 2.90) | $59.73 (26.7% Upside) |
CAH Cardinal Health | Healthcare | $220.79 +0.3% | 30.53 | $51.11 billion | Moderate Buy (Score: 2.84) | $266.56 (20.7% Upside) |
HMC Honda Motor | Consumer Discretionary | $32.53 -1.2% | N/A | $50.68 billion | Moderate Buy (Score: 2.60) | $34.00 (4.5% Upside) |
SRE Sempra Energy | Utilities | $77.02 -1.2% | 22.32 | $50.35 billion | Moderate Buy (Score: 2.80) | $101.69 (32.0% Upside) |
BDX Becton, Dickinson and Company | Healthcare | $182.86 -0.5% | 55.00 | $50.31 billion | Hold (Score: 2.41) | $187.67 (2.6% Upside) |
EW Edwards Lifesciences | Healthcare | $87.08 +0.9% | 49.98 | $50.08 billion | Moderate Buy (Score: 2.74) | $100.27 (15.2% Upside) |
PSA Public Storage | Real Estate | $284.21 -1.3% | 27.11 | $49.90 billion | Hold (Score: 2.33) | $326.21 (14.8% Upside) |
STT State Street | Finance | $180.22 -0.6% | 15.89 | $49.49 billion | Moderate Buy (Score: 2.75) | $185.38 (2.9% Upside) |
F Ford Motor | Consumer Discretionary | $12.40 -2.5% | N/A | $49.31 billion | Hold (Score: 2.37) | $15.68 (26.5% Upside) |
A Agilent Technologies | Healthcare | $174.80 +1.2% | 34.37 | $49.22 billion | Moderate Buy (Score: 2.80) | $170.33 (-2.6% Downside) |
WAB Wabtec | Industrials | $290.63 +0.9% | 38.98 | $48.98 billion | Moderate Buy (Score: 2.83) | $313.82 (8.0% Upside) |
CIEN Ciena | Technology | $345.12 -3.3% | 76.83 | $48.81 billion | Moderate Buy (Score: 2.80) | $492.68 (42.8% Upside) |
FNV Franco-Nevada | Materials | $249.85 -3.1% | 32.54 | $48.00 billion | Moderate Buy (Score: 2.73) | $274.90 (10.0% Upside) |
ROK Rockwell Automation | Industrials | $431.71 -0.6% | 40.37 | $47.84 billion | Hold (Score: 2.43) | $468.48 (8.5% Upside) |
DEO Diageo | Consumer Staples | $85.88 -1.9% | N/A | $47.74 billion | Hold (Score: 2.36) | $105.33 (22.7% Upside) |
HUM Humana | Healthcare | $396.27 -0.4% | 37.45 | $47.53 billion | Hold (Score: 2.47) | $408.61 (3.1% Upside) |
AZO AutoZone | Consumer Discretionary | $2,898.06 +0.9% | 18.93 | $47.24 billion | Moderate Buy (Score: 2.81) | $3,710.88 (28.0% Upside) |
AU AngloGold Ashanti | Materials | $93.24 -5.8% | 12.45 | $46.91 billion | Moderate Buy (Score: 2.60) | $113.14 (21.3% Upside) |
STM STMicroelectronics | Technology | $52.28 +0.7% | 102.27 | $46.84 billion | Moderate Buy (Score: 2.58) | $76.17 (45.7% Upside) |
VST Vistra | Utilities | $137.26 -0.9% | 23.15 | $45.99 billion | Moderate Buy (Score: 2.94) | $221.88 (61.7% Upside) |
CARR Carrier Global | Industrials | $55.40 -1.7% | 38.35 | $45.52 billion | Moderate Buy (Score: 2.67) | $73.38 (32.5% Upside) |
VEEV Veeva Systems | Healthcare | $280.18 -0.2% | 46.10 | $45.38 billion | Moderate Buy (Score: 2.64) | $284.88 (1.7% Upside) |
ETR Entergy | Utilities | $97.12 -1.5% | 24.92 | $45.35 billion | Moderate Buy (Score: 2.85) | $120.47 (24.0% Upside) |
ABEV Ambev | Consumer Staples | $2.88 -1.2% | 14.38 | $45.31 billion | Reduce (Score: 1.83) | $3.08 (7.0% Upside) |
KB KB Financial Group | Finance | $127.65 +0.3% | 10.93 | $45.18 billion | Moderate Buy (Score: 2.67) | N/A |