BRK.A Berkshire Hathaway | Finance | $629,610.00 +1.2% | 9.49 | $906.64 billion | Hold (Score: 2.00) | $621,591.00 (-1.3% Downside) |
BRK.B Berkshire Hathaway | Finance | $417.01 +1.3% | 9.42 | $901.05 billion | Hold (Score: 2.00) | $414.00 (-0.7% Downside) |
LLY Eli Lilly and Company | Medical | $778.69 +0.5% | 134.26 | $736.28 billion | Moderate Buy (Score: 2.84) | $689.52 (-11.5% Downside) |
TSM Taiwan Semiconductor Manufacturing | Computer and Technology | $136.67 -1.6% | 26.38 | $720.08 billion | Moderate Buy (Score: 2.80) | $128.25 (-6.2% Downside) |
NVO Novo Nordisk A/S | Medical | $128.05 -1.1% | 47.34 | $580.73 billion | Moderate Buy (Score: 2.75) | $126.25 (-1.4% Downside) |
JPM JPMorgan Chase & Co. | Finance | $199.52 +1.9% | 12.30 | $563.78 billion | Moderate Buy (Score: 2.63) | $181.63 (-9.0% Downside) |
|
V Visa | Business Services | $279.02 -0.6% | 32.11 | $515.32 billion | Moderate Buy (Score: 2.77) | $295.82 (6.0% Upside) |
WMT Walmart | Retail/Wholesale | $60.72 +0.3% | 31.74 | $487.59 billion | Moderate Buy (Score: 2.87) | $61.60 (1.5% Upside) |
UNH UnitedHealth Group | Medical | $493.14 +0.2% | 20.69 | $453.88 billion | Moderate Buy (Score: 2.83) | $579.33 (17.5% Upside) |
XOM Exxon Mobil | Oils/Energy | $115.05 +1.1% | 12.94 | $451.50 billion | Moderate Buy (Score: 2.56) | $128.18 (11.4% Upside) |
MA Mastercard | Business Services | $477.95 +0.2% | 40.40 | $444.80 billion | Moderate Buy (Score: 2.96) | $479.62 (0.3% Upside) |
PG Procter & Gamble | Consumer Staples | $162.61 +1.3% | 27.24 | $377.78 billion | Moderate Buy (Score: 2.67) | $168.41 (3.6% Upside) |
HD Home Depot | Retail/Wholesale | $385.89 +1.6% | 25.56 | $376.52 billion | Moderate Buy (Score: 2.63) | $368.76 (-4.4% Downside) |
JNJ Johnson & Johnson | Medical | $157.96 +1.4% | 11.44 | $375.37 billion | Hold (Score: 2.42) | $177.31 (12.2% Upside) |
ORCL Oracle | Computer and Technology | $125.28 -0.9% | 33.06 | $347.60 billion | Moderate Buy (Score: 2.61) | $130.76 (4.4% Upside) |
TM Toyota Motor | Auto/Tires/Trucks | $252.04 -0.7% | 10.74 | $343.74 billion | Hold (Score: 2.33) | N/A |
ABBV AbbVie | Medical | $180.35 +0.6% | 66.06 | $319.34 billion | Moderate Buy (Score: 2.71) | $177.43 (-1.6% Downside) |
MRK Merck & Co., Inc. | Medical | $131.75 +5.0% | 941.07 | $317.90 billion | Moderate Buy (Score: 2.60) | $129.50 (-1.7% Downside) |
CRM Salesforce | Computer and Technology | $301.41 -1.4% | 71.76 | $296.66 billion | Moderate Buy (Score: 2.76) | $304.32 (1.0% Upside) |
BAC Bank of America | Finance | $37.83 +2.0% | 12.32 | $292.66 billion | Moderate Buy (Score: 2.60) | $35.65 (-5.8% Downside) |
CVX Chevron | Oils/Energy | $156.36 +0.7% | 13.76 | $288.38 billion | Moderate Buy (Score: 2.65) | $180.39 (15.4% Upside) |
KO Coca-Cola | Consumer Staples | $61.03 +0.8% | 24.61 | $261.00 billion | Moderate Buy (Score: 2.86) | $67.00 (9.8% Upside) |
DIS Walt Disney | Consumer Discretionary | $120.98 +0.9% | 74.68 | $219.99 billion | Moderate Buy (Score: 2.83) | $116.64 (-3.6% Downside) |
SHEL Shell | Oils/Energy | $66.76
| 11.80 | $217.77 billion | Hold (Score: 2.33) | $67.00 (0.4% Upside) |
TMO Thermo Fisher Scientific | Medical | $579.37 +1.9% | 37.50 | $216.90 billion | Moderate Buy (Score: 2.67) | $599.00 (3.4% Upside) |
ACN Accenture | Business Services | $340.96 +1.4% | 30.91 | $211.02 billion | Moderate Buy (Score: 2.67) | $387.00 (13.5% Upside) |
NVS Novartis | Medical | $95.88 +0.6% | 13.35 | $201.93 billion | Hold (Score: 2.25) | $104.33 (8.8% Upside) |
MCD McDonald's | Retail/Wholesale | $282.02 +1.2% | 24.38 | $201.18 billion | Moderate Buy (Score: 2.76) | $320.10 (13.5% Upside) |
WFC Wells Fargo & Company | Finance | $57.61 +1.6% | 11.95 | $200.67 billion | Hold (Score: 2.41) | $54.31 (-5.7% Downside) |
ABT Abbott Laboratories | Medical | $113.47 +1.8% | 34.81 | $196.89 billion | Moderate Buy (Score: 2.69) | $120.00 (5.8% Upside) |
GE General Electric | Multi-Sector Conglomerates | $180.12 +3.8% | 21.52 | $189.74 billion | Moderate Buy (Score: 2.91) | $146.54 (-18.6% Downside) |
DHR Danaher | Multi-Sector Conglomerates | $248.84 +0.2% | 38.94 | $183.79 billion | Moderate Buy (Score: 2.60) | $266.00 (6.9% Upside) |
BABA Alibaba Group | Retail/Wholesale | $71.60 +0.2% | 13.21 | $181.69 billion | Moderate Buy (Score: 2.81) | $115.44 (61.2% Upside) |
CAT Caterpillar | Industrial Products | $364.65 +2.3% | 18.11 | $177.98 billion | Hold (Score: 2.39) | $297.89 (-18.3% Downside) |
VZ Verizon Communications | Computer and Technology | $41.54 +1.7% | 15.05 | $174.65 billion | Moderate Buy (Score: 2.57) | $43.86 (5.6% Upside) |
IBM International Business Machines | Computer and Technology | $190.80 +1.2% | 23.47 | $172.81 billion | Hold (Score: 2.38) | $176.85 (-7.3% Downside) |
AXP American Express | Finance | $227.79 +1.5% | 20.32 | $162.48 billion | Hold (Score: 2.20) | $189.00 (-17.0% Downside) |
UBER Uber Technologies | Computer and Technology | $78.11 +0.3% | 90.83 | $161.78 billion | Moderate Buy (Score: 2.93) | $75.41 (-3.5% Downside) |
NOW ServiceNow | Computer and Technology | $758.60 -2.6% | 90.20 | $159.61 billion | Moderate Buy (Score: 2.92) | $762.96 (0.6% Upside) |
TTE TotalEnergies | Oils/Energy | $68.48 +1.2% | 7.90 | $159.09 billion | Hold (Score: 2.00) | $64.33 (-6.1% Downside) |
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PFE Pfizer | Medical | $27.77 +0.7% | 77.14 | $156.23 billion | Hold (Score: 2.35) | $36.88 (32.8% Upside) |
HSBC HSBC | Finance | $39.00 -1.8% | 6.84 | $151.72 billion | Hold (Score: 2.22) | $560.00 (1,336.1% Upside) |
MS Morgan Stanley | Finance | $93.50 +2.4% | 18.09 | $149.27 billion | Hold (Score: 2.42) | $94.23 (0.8% Upside) |
COP ConocoPhillips | Oils/Energy | $126.88 +0.7% | 14.00 | $148.22 billion | Moderate Buy (Score: 2.76) | $135.12 (6.5% Upside) |
UNP Union Pacific | Transportation | $244.63 +1.6% | 23.39 | $146.77 billion | Moderate Buy (Score: 2.74) | $249.67 (2.1% Upside) |
BHP BHP Group | Basic Materials | $57.52 +1.7% | 0.00 | $145.69 billion | Hold (Score: 2.44) | $50.00 (-13.1% Downside) |
LOW Lowe's Companies | Retail/Wholesale | $253.33 +0.8% | 19.25 | $143.86 billion | Moderate Buy (Score: 2.50) | $251.00 (-0.9% Downside) |
NKE NIKE | Consumer Discretionary | $94.15 +1.7% | 27.69 | $140.90 billion | Moderate Buy (Score: 2.53) | $116.75 (24.0% Upside) |
PM Philip Morris International | Consumer Staples | $92.23 +2.0% | 18.37 | $140.31 billion | Moderate Buy (Score: 2.50) | $105.40 (14.3% Upside) |
RY Royal Bank of Canada | Finance | $100.39 +1.3% | 12.64 | $140.27 billion | Hold (Score: 2.40) | $131.50 (31.0% Upside) |
SPGI S&P Global | Business Services | $422.81 +0.8% | 51.37 | $134.34 billion | Buy (Score: 3.00) | $446.25 (5.5% Upside) |
SYK Stryker | Medical | $359.04 +2.5% | 43.52 | $133.12 billion | Moderate Buy (Score: 2.79) | $331.52 (-7.7% Downside) |
GS The Goldman Sachs Group | Finance | $415.21 +2.2% | 18.20 | $131.82 billion | Moderate Buy (Score: 2.74) | $406.87 (-2.0% Downside) |
MUFG Mitsubishi UFJ Financial Group | Finance | $10.31 -1.2% | 8.31 | $128.56 billion | Buy (Score: 3.00) | N/A |
RTX RTX | Industrials | $97.45 +1.4% | 43.50 | $127.73 billion | Hold (Score: 2.11) | $95.12 (-2.4% Downside) |
NEE NextEra Energy | Utilities | $63.79 +3.8% | 17.67 | $126.08 billion | Moderate Buy (Score: 2.75) | $72.46 (13.6% Upside) |
SCHW Charles Schwab | Finance | $72.41 +2.0% | 28.51 | $125.92 billion | Hold (Score: 2.36) | $71.12 (-1.8% Downside) |
ETN Eaton | Industrial Products | $314.63 +0.8% | 39.23 | $124.68 billion | Moderate Buy (Score: 2.63) | $274.20 (-12.9% Downside) |
BLK BlackRock | Finance | $835.48 +1.9% | 22.88 | $124.44 billion | Moderate Buy (Score: 2.71) | $785.73 (-6.0% Downside) |
UL Unilever | Consumer Staples | $50.13 +1.0% | 0.00 | $124.34 billion | Reduce (Score: 1.60) | $48.00 (-4.2% Downside) |
T AT&T | Computer and Technology | $17.58 +2.3% | 8.97 | $122.88 billion | Moderate Buy (Score: 2.67) | $21.61 (22.9% Upside) |
UPS United Parcel Service | Transportation | $147.33 +2.5% | 18.91 | $122.60 billion | Hold (Score: 2.27) | $166.81 (13.2% Upside) |
ELV Elevance Health | Medical | $519.90 +0.5% | 20.66 | $120.98 billion | Moderate Buy (Score: 2.89) | $569.36 (9.5% Upside) |
PGR Progressive | Finance | $206.15 +0.7% | 31.33 | $119.86 billion | Hold (Score: 2.42) | $184.50 (-10.5% Downside) |
C Citigroup | Finance | $62.75 +1.8% | 15.73 | $118.10 billion | Moderate Buy (Score: 2.63) | $59.03 (-5.9% Downside) |
BA Boeing | Aerospace | $191.96 +2.4% | -52.16 | $117.12 billion | Moderate Buy (Score: 2.67) | $242.65 (26.4% Upside) |
PLD Prologis | Finance | $128.87 +3.0% | 39.17 | $115.76 billion | Moderate Buy (Score: 2.86) | $141.67 (9.9% Upside) |
TJX TJX Companies | Retail/Wholesale | $101.08 +1.8% | 26.19 | $112.57 billion | Moderate Buy (Score: 2.80) | $102.19 (1.1% Upside) |
MDT Medtronic | Medical | $86.92 +3.8% | 27.68 | $111.14 billion | Hold (Score: 2.45) | $94.91 (9.2% Upside) |
DE Deere & Company | Industrial Products | $409.23 +2.7% | 11.92 | $110.93 billion | Moderate Buy (Score: 2.53) | $431.69 (5.5% Upside) |
UBS UBS Group | Finance | $31.40 +0.8% | 3.50 | $108.40 billion | Moderate Buy (Score: 2.80) | N/A |
BMY Bristol-Myers Squibb | Medical | $53.25 +1.3% | 13.80 | $107.92 billion | Hold (Score: 2.11) | $61.12 (14.8% Upside) |
LMT Lockheed Martin | Aerospace | $456.93 +2.5% | 16.59 | $107.26 billion | Hold (Score: 2.25) | $491.92 (7.7% Upside) |
SONY Sony Group | Consumer Discretionary | $86.54 -0.2% | 16.71 | $107.03 billion | Moderate Buy (Score: 2.80) | $108.00 (24.8% Upside) |
BP BP | Oils/Energy | $37.46 -0.3% | 7.36 | $106.38 billion | Hold (Score: 2.33) | $42.66 (13.9% Upside) |
CI The Cigna Group | Medical | $363.38 +1.6% | 20.90 | $106.24 billion | Moderate Buy (Score: 2.92) | $361.29 (-0.6% Downside) |
BUD Anheuser-Busch InBev SA/NV | Consumer Staples | $60.84 +0.8% | 22.96 | $105.69 billion | Moderate Buy (Score: 2.67) | $71.70 (17.9% Upside) |
TD Toronto-Dominion Bank | Finance | $60.63 +1.7% | 12.96 | $105.26 billion | Hold (Score: 2.29) | $89.33 (47.3% Upside) |
CB Chubb | Finance | $258.50 +0.9% | 11.84 | $104.89 billion | Moderate Buy (Score: 2.56) | $255.06 (-1.3% Downside) |
VNTRQ Venator Materials | Basic Materials | $965.00
| -294.21 | $103.26 billion | (Score: 0.00) | N/A |
HDB HDFC Bank | Finance | $55.64 +2.0% | 17.17 | $101.42 billion | Strong Buy (Score: 3.50) | N/A |
SHOP Shopify | Computer and Technology | $78.62 +0.1% | 873.65 | $101.03 billion | Hold (Score: 2.32) | $76.42 (-2.8% Downside) |
BSX Boston Scientific | Medical | $68.62 +1.0% | 64.13 | $100.86 billion | Buy (Score: 3.00) | $66.62 (-2.9% Downside) |
MMC Marsh & McLennan Companies | Finance | $205.61 +1.1% | 27.31 | $99.99 billion | Hold (Score: 2.14) | $202.71 (-1.4% Downside) |
CVS CVS Health | Retail/Wholesale | $79.43 +0.1% | 12.30 | $99.82 billion | Moderate Buy (Score: 2.81) | $90.21 (13.6% Upside) |
FI Fiserv | Business Services | $159.33 +0.4% | 31.87 | $93.68 billion | Moderate Buy (Score: 2.70) | $155.83 (-2.2% Downside) |
BX Blackstone | Finance | $130.96 +2.4% | 71.56 | $93.59 billion | Hold (Score: 2.33) | $119.53 (-8.7% Downside) |
IBN ICICI Bank | Finance | $25.98 +0.3% | 19.39 | $90.91 billion | Buy (Score: 3.00) | N/A |
AMT American Tower | Finance | $197.40 +1.7% | 62.08 | $90.52 billion | Moderate Buy (Score: 2.91) | $217.55 (10.2% Upside) |
ANET Arista Networks | Computer and Technology | $288.41 -3.2% | 43.90 | $90.17 billion | Moderate Buy (Score: 2.89) | $275.59 (-4.4% Downside) |
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STLA Stellantis | Auto/Tires/Trucks | $28.99 +1.0% | 0.00 | $89.91 billion | Hold (Score: 2.42) | $30.23 (4.3% Upside) |
KKR KKR & Co. Inc. | Finance | $100.48 -0.6% | 24.63 | $89.43 billion | Moderate Buy (Score: 2.93) | $82.60 (-17.8% Downside) |
GSK GSK | Medical | $43.00 +0.5% | 14.28 | $88.08 billion | Hold (Score: 2.40) | N/A |
ABBNY ABB | Industrial Products | $46.63 +0.0% | 23.32 | $87.76 billion | Moderate Buy (Score: 2.50) | N/A |
SHW Sherwin-Williams | Construction | $346.95 +1.4% | 37.51 | $87.03 billion | Moderate Buy (Score: 2.58) | $320.39 (-7.7% Downside) |
HCA HCA Healthcare | Medical | $331.71 +1.2% | 17.48 | $86.67 billion | Moderate Buy (Score: 2.71) | $308.26 (-7.1% Downside) |
WM Waste Management | Business Services | $213.97 +1.0% | 37.80 | $85.05 billion | Moderate Buy (Score: 2.50) | $201.47 (-5.8% Downside) |
CNI Canadian National Railway | Transportation | $131.62 +1.1% | 20.76 | $83.35 billion | Hold (Score: 2.16) | $131.60 (0.0% Downside) |
EQNR Equinor ASA | Oils/Energy | $26.91 +1.1% | 6.88 | $83.14 billion | Reduce (Score: 1.80) | $28.25 (5.0% Upside) |
DEO Diageo | Consumer Staples | $149.43 +1.3% | 0.00 | $82.38 billion | Reduce (Score: 1.63) | $166.37 (11.3% Upside) |
DELL Dell Technologies | Computer and Technology | $111.71 -2.6% | 25.56 | $81.59 billion | Moderate Buy (Score: 2.79) | $102.88 (-7.9% Downside) |
CP Canadian Pacific Kansas City | Transportation | $88.47 +1.4% | 28.18 | $81.37 billion | Hold (Score: 2.47) | $92.94 (5.0% Upside) |
RELX Relx | Computer and Technology | $43.42 +0.7% | 0.00 | $81.20 billion | Moderate Buy (Score: 2.67) | N/A |
CMG Chipotle Mexican Grill | Retail/Wholesale | $2,923.46 -1.1% | 65.92 | $81.04 billion | Moderate Buy (Score: 2.68) | $2,547.85 (-12.8% Downside) |
CNQ Canadian Natural Resources | Oils/Energy | $75.48 +0.5% | 13.62 | $81.04 billion | Hold (Score: 2.33) | $94.00 (24.5% Upside) |
TGT Target | Retail/Wholesale | $174.67 +1.2% | 19.56 | $79.71 billion | Moderate Buy (Score: 2.59) | $179.73 (2.9% Upside) |
SMFG Sumitomo Mitsui Financial Group | Finance | $11.81 -0.4% | 13.42 | $79.32 billion | Hold (Score: 2.00) | N/A |
ITW Illinois Tool Works | Industrial Products | $268.26 +1.0% | 27.54 | $79.31 billion | Reduce (Score: 1.80) | $245.50 (-8.5% Downside) |
SCCO Southern Copper | Basic Materials | $104.34 +2.2% | 33.23 | $78.93 billion | Reduce (Score: 1.60) | $76.83 (-26.4% Downside) |
ICE Intercontinental Exchange | Finance | $136.98 -0.1% | 32.61 | $78.52 billion | Moderate Buy (Score: 2.91) | $145.83 (6.5% Upside) |
RIO Rio Tinto Group | Basic Materials | $63.46 +2.1% | 0.00 | $77.87 billion | Moderate Buy (Score: 2.80) | $72.00 (13.5% Upside) |
SLB Schlumberger | Oils/Energy | $54.90 +1.5% | 18.80 | $77.18 billion | Buy (Score: 3.00) | $70.87 (29.1% Upside) |
GD General Dynamics | Aerospace | $281.90 +1.3% | 23.45 | $76.37 billion | Moderate Buy (Score: 2.70) | $271.69 (-3.6% Downside) |
MO Altria Group | Consumer Staples | $43.66 +1.3% | 9.55 | $76.04 billion | Hold (Score: 2.25) | $46.82 (7.2% Upside) |
ZTS Zoetis | Medical | $168.51 +1.7% | 33.24 | $75.85 billion | Buy (Score: 3.00) | $224.33 (33.1% Upside) |
ENB Enbridge | Oils/Energy | $35.99 +1.0% | 17.14 | $75.78 billion | Hold (Score: 2.09) | $55.20 (53.4% Upside) |
SO Southern | Utilities | $71.06 +2.6% | 19.58 | $75.57 billion | Moderate Buy (Score: 2.50) | $73.46 (3.4% Upside) |
SAN Banco Santander | Finance | $4.84 +1.5% | 6.91 | $75.49 billion | Moderate Buy (Score: 2.50) | N/A |
BTI British American Tobacco | Consumer Staples | $30.34 +1.5% | 0.00 | $74.54 billion | Moderate Buy (Score: 2.67) | N/A |
CL Colgate-Palmolive | Consumer Staples | $89.96 +1.2% | 32.36 | $74.05 billion | Moderate Buy (Score: 2.79) | $87.31 (-2.9% Downside) |
INFY Infosys | Computer and Technology | $17.80 +0.3% | 25.07 | $73.47 billion | Hold (Score: 2.42) | $20.76 (16.6% Upside) |
EOG EOG Resources | Oils/Energy | $126.41 +0.5% | 9.72 | $72.95 billion | Moderate Buy (Score: 2.55) | $140.75 (11.3% Upside) |
DUK Duke Energy | Utilities | $96.10 +2.6% | 27.07 | $72.26 billion | Moderate Buy (Score: 2.55) | $100.00 (4.1% Upside) |
FLUT Flutter Entertainment | Consumer Cyclical | $202.14 -5.9% | 0.00 | $71.56 billion | Moderate Buy (Score: 2.75) | $87.98 (-56.5% Downside) |
MCO Moody's | Finance | $390.24 -0.2% | 44.70 | $71.34 billion | Moderate Buy (Score: 2.62) | $390.42 (0.0% Upside) |
BDX Becton, Dickinson and Company | Medical | $246.53 +1.9% | 58.42 | $71.22 billion | Moderate Buy (Score: 2.83) | $279.17 (13.2% Upside) |
MPC Marathon Petroleum | Oils/Energy | $196.99 -0.2% | 8.37 | $71.12 billion | Moderate Buy (Score: 2.75) | $182.09 (-7.6% Downside) |
FDX FedEx | Transportation | $287.88 -0.4% | 16.60 | $71.11 billion | Moderate Buy (Score: 2.65) | $301.07 (4.6% Upside) |
BBVA Banco Bilbao Vizcaya Argentaria | Finance | $11.84 +1.0% | 8.51 | $70.60 billion | Moderate Buy (Score: 2.50) | N/A |
PH Parker-Hannifin | Industrial Products | $558.05 +1.6% | 27.63 | $70.52 billion | Moderate Buy (Score: 2.71) | $504.56 (-9.6% Downside) |
NOC Northrop Grumman | Aerospace | $477.36 +1.6% | 35.41 | $70.50 billion | Hold (Score: 2.25) | $494.33 (3.6% Upside) |
MCK McKesson | Medical | $539.51 +0.6% | 24.45 | $70.45 billion | Moderate Buy (Score: 2.83) | $522.21 (-3.2% Downside) |
TRI Thomson Reuters | Business Services | $155.95 +0.6% | 26.71 | $70.01 billion | Hold (Score: 2.33) | $156.85 (0.6% Upside) |
BMO Bank of Montreal | Finance | $96.36 +0.4% | 18.39 | $69.98 billion | Buy (Score: 3.00) | $131.00 (35.9% Upside) |
APH Amphenol | Computer and Technology | $115.30 +1.7% | 37.07 | $69.16 billion | Moderate Buy (Score: 2.78) | $104.40 (-9.5% Downside) |
BN Brookfield | Finance | $41.58 +1.4% | 67.06 | $68.21 billion | Moderate Buy (Score: 2.90) | $47.45 (14.1% Upside) |
TDG TransDigm Group | Aerospace | $1,233.80 +0.9% | 52.37 | $68.01 billion | Moderate Buy (Score: 2.63) | $1,119.00 (-9.3% Downside) |
TT Trane Technologies | Business Services | $299.71 +0.1% | 34.10 | $67.96 billion | Hold (Score: 2.25) | $232.31 (-22.5% Downside) |
USB U.S. Bancorp | Finance | $44.00 +2.2% | 13.41 | $67.83 billion | Hold (Score: 2.43) | $45.23 (2.8% Upside) |
PSX Phillips 66 | Oils/Energy | $158.96 +1.5% | 10.28 | $67.00 billion | Moderate Buy (Score: 2.71) | $148.69 (-6.5% Downside) |
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AON AON | Finance | $333.79 +1.2% | 26.75 | $65.42 billion | Hold (Score: 2.00) | $336.36 (0.8% Upside) |
ECL Ecolab | Basic Materials | $231.80 +1.6% | 48.39 | $65.25 billion | Hold (Score: 2.29) | $222.19 (-4.1% Downside) |
APO Apollo Global Management | Finance | $113.57 -0.3% | 13.50 | $64.53 billion | Moderate Buy (Score: 2.75) | $107.92 (-5.0% Downside) |
FCX Freeport-McMoRan | Basic Materials | $45.90 +2.6% | 36.14 | $64.16 billion | Hold (Score: 2.40) | $44.95 (-2.0% Downside) |
EMR Emerson Electric | Industrial Products | $113.45 +1.3% | 5.91 | $63.90 billion | Moderate Buy (Score: 2.88) | $113.00 (-0.4% Downside) |
HMC Honda Motor | Auto/Tires/Trucks | $37.33 +0.1% | 8.80 | $63.77 billion | Hold (Score: 2.25) | N/A |
EPD Enterprise Products Partners | Oils/Energy | $29.05 0.0% | 11.53 | $63.01 billion | Moderate Buy (Score: 2.92) | $32.55 (12.1% Upside) |
PNC The PNC Financial Services Group | Finance | $159.97 +3.2% | 12.51 | $61.67 billion | Hold (Score: 2.21) | $146.59 (-8.4% Downside) |
BNS Bank of Nova Scotia | Finance | $51.16 +1.5% | 11.32 | $61.60 billion | Reduce (Score: 1.75) | $68.00 (32.9% Upside) |
NSC Norfolk Southern | Transportation | $251.72 +1.8% | 31.39 | $60.87 billion | Moderate Buy (Score: 2.56) | $248.94 (-1.1% Downside) |
CRH CRH | Construction | $86.02 -1.4% | 0.00 | $60.14 billion | Moderate Buy (Score: 2.86) | $74.64 (-13.2% Downside) |
PXD Pioneer Natural Resources | Oils/Energy | $260.00 +1.2% | 12.85 | $60.01 billion | Hold (Score: 2.11) | $254.90 (-2.0% Downside) |
ING ING Groep | Finance | $16.26 +1.1% | 7.36 | $59.96 billion | (Score: 0.00) | N/A |
RSG Republic Services | Business Services | $191.54 +1.0% | 35.02 | $59.68 billion | Moderate Buy (Score: 2.50) | $193.54 (1.0% Upside) |
ROP Roper Technologies | Computer and Technology | $559.18 +0.9% | 43.38 | $59.34 billion | Moderate Buy (Score: 2.82) | $574.25 (2.7% Upside) |
AMX América Móvil | Computer and Technology | $18.79 +2.9% | 14.02 | $58.72 billion | Moderate Buy (Score: 2.56) | $22.57 (20.1% Upside) |
MSI Motorola Solutions | Computer and Technology | $353.31 +1.6% | 35.58 | $57.74 billion | Moderate Buy (Score: 2.88) | $337.25 (-4.5% Downside) |
NU NU | Business Services | $11.96 -2.3% | 56.93 | $57.42 billion | Moderate Buy (Score: 2.75) | $9.67 (-19.1% Downside) |
MMM 3M | Multi-Sector Conglomerates | $104.61 +1.9% | -8.28 | $56.72 billion | Hold (Score: 2.00) | $107.60 (2.9% Upside) |
EW Edwards Lifesciences | Medical | $95.15 +1.9% | 41.37 | $56.17 billion | Moderate Buy (Score: 2.50) | $88.50 (-7.0% Downside) |
OXY Occidental Petroleum | Oils/Energy | $64.21 +1.4% | 16.42 | $56.13 billion | Moderate Buy (Score: 2.57) | $69.94 (8.9% Upside) |
E ENI | Oils/Energy | $31.47 +0.5% | 10.42 | $55.91 billion | Hold (Score: 2.25) | N/A |
VLO Valero Energy | Oils/Energy | $167.83 +0.3% | 6.79 | $55.61 billion | Moderate Buy (Score: 2.69) | $165.69 (-1.3% Downside) |
AZO AutoZone | Retail/Wholesale | $3,192.79 +0.0% | 22.48 | $55.22 billion | Moderate Buy (Score: 2.82) | $3,080.72 (-3.5% Downside) |
PLTR Palantir Technologies | Business Services | $24.50 -1.6% | 272.25 | $55.07 billion | Hold (Score: 2.00) | $18.21 (-25.7% Downside) |
AJG Arthur J. Gallagher & Co. | Finance | $247.79 +0.6% | 55.81 | $54.09 billion | Hold (Score: 2.45) | $255.77 (3.2% Upside) |
APD Air Products and Chemicals | Basic Materials | $243.06 +2.2% | 23.19 | $54.03 billion | Hold (Score: 2.40) | $280.29 (15.3% Upside) |
VALE Vale | Basic Materials | $12.17 +1.2% | 6.65 | $53.89 billion | Moderate Buy (Score: 2.55) | $16.98 (39.5% Upside) |
HLT Hilton Worldwide | Consumer Discretionary | $214.34 +0.6% | 49.50 | $53.72 billion | Moderate Buy (Score: 2.56) | $197.78 (-7.7% Downside) |
COF Capital One Financial | Finance | $144.57 +2.7% | 12.10 | $53.57 billion | Hold (Score: 2.16) | $130.90 (-9.5% Downside) |
DHI D.R. Horton | Construction | $162.05 +1.7% | 11.66 | $52.85 billion | Moderate Buy (Score: 2.61) | $148.65 (-8.3% Downside) |
MET MetLife | Finance | $73.92 +1.2% | 40.39 | $52.82 billion | Moderate Buy (Score: 2.92) | $77.23 (4.5% Upside) |
AIG American International Group | Finance | $78.33 +1.2% | 15.70 | $52.70 billion | Moderate Buy (Score: 2.56) | $74.06 (-5.5% Downside) |
ET Energy Transfer | Oils/Energy | $15.54 +0.3% | 14.26 | $52.19 billion | Moderate Buy (Score: 2.80) | $17.57 (13.1% Upside) |
SPOT Spotify Technology | Business Services | $260.21 -1.0% | -87.91 | $52.12 billion | Moderate Buy (Score: 2.74) | $235.36 (-9.5% Downside) |
SNOW Snowflake | Computer and Technology | $160.05 +1.3% | -62.76 | $52.04 billion | Moderate Buy (Score: 2.56) | $202.50 (26.5% Upside) |
CARR Carrier Global | Computer and Technology | $57.68 +0.2% | 36.51 | $51.92 billion | Hold (Score: 2.08) | $58.29 (1.1% Upside) |
WELL Welltower | Finance | $92.80 +2.0% | 145.00 | $51.77 billion | Moderate Buy (Score: 2.81) | $93.69 (1.0% Upside) |
TRV Travelers Companies | Finance | $228.83 +1.6% | 17.89 | $51.63 billion | Hold (Score: 2.28) | $201.38 (-12.0% Downside) |
SQ Block | Business Services | $83.18 -0.7% | 492.94 | $51.60 billion | Moderate Buy (Score: 2.81) | $83.69 (0.6% Upside) |
MFG Mizuho Financial Group | Finance | $3.98 -1.5% | 11.06 | $51.28 billion | Buy (Score: 3.00) | N/A |
GM General Motors | Auto/Tires/Trucks | $44.61 +1.4% | 6.10 | $50.80 billion | Moderate Buy (Score: 2.75) | $50.63 (13.5% Upside) |
TFC Truist Financial | Finance | $38.59 +2.6% | -35.73 | $50.18 billion | Moderate Buy (Score: 2.56) | $39.47 (2.3% Upside) |
NGG National Grid | Utilities | $67.83 +1.0% | 0.00 | $49.96 billion | Moderate Buy (Score: 2.80) | N/A |
EL Estée Lauder Companies | Consumer Staples | $145.05 +4.1% | 111.58 | $49.94 billion | Hold (Score: 2.36) | $164.71 (13.6% Upside) |
STZ Constellation Brands | Consumer Staples | $272.07 +1.0% | 32.20 | $49.74 billion | Moderate Buy (Score: 2.85) | $290.37 (6.7% Upside) |
F Ford Motor | Auto/Tires/Trucks | $13.07 +5.1% | 12.10 | $49.43 billion | Hold (Score: 2.23) | $13.75 (5.2% Upside) |
GWW W.W. Grainger | Industrial Products | $1,020.17 +1.5% | 28.17 | $49.40 billion | Hold (Score: 2.00) | $913.89 (-10.4% Downside) |
AFL Aflac | Finance | $85.62 +0.8% | 11.05 | $49.27 billion | Hold (Score: 2.00) | $80.36 (-6.1% Downside) |
SPG Simon Property Group | Finance | $154.33 +2.4% | 22.11 | $49.10 billion | Moderate Buy (Score: 2.50) | $140.22 (-9.1% Downside) |
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COR Cencora | Medical | $244.64 +0.8% | 26.65 | $48.80 billion | Moderate Buy (Score: 2.67) | $214.90 (-12.2% Downside) |
PSA Public Storage | Finance | $288.10 +4.7% | 26.05 | $48.37 billion | Hold (Score: 2.45) | $300.00 (4.1% Upside) |
URI United Rentals | Construction | $720.15 +2.2% | 20.37 | $47.36 billion | Hold (Score: 2.23) | $572.20 (-20.5% Downside) |
SU Suncor Energy | Oils/Energy | $36.47 +0.1% | 7.76 | $46.92 billion | Moderate Buy (Score: 2.57) | $52.00 (42.6% Upside) |
CM Canadian Imperial Bank of Commerce | Finance | $50.06 -0.5% | 10.34 | $46.87 billion | Moderate Buy (Score: 2.56) | $63.00 (25.8% Upside) |
NUE Nucor | Basic Materials | $198.56 +2.6% | 11.04 | $46.57 billion | Moderate Buy (Score: 2.50) | $186.67 (-6.0% Downside) |
LEN Lennar | Construction | $168.50 +1.8% | 11.81 | $46.49 billion | Moderate Buy (Score: 2.53) | $162.69 (-3.4% Downside) |
WMB Williams Companies | Oils/Energy | $38.54 +1.2% | 14.71 | $46.41 billion | Hold (Score: 2.45) | $38.09 (-1.2% Downside) |
HES Hess | Oils/Energy | $150.55 +0.6% | 33.46 | $45.95 billion | Hold (Score: 2.45) | $175.23 (16.4% Upside) |
OKE ONEOK | Oils/Energy | $79.59 +1.2% | 14.34 | $45.88 billion | Hold (Score: 2.44) | $81.73 (2.7% Upside) |
TAK Takeda Pharmaceutical | Medical | $14.19 -1.4% | 21.50 | $45.54 billion | Buy (Score: 3.00) | $22.00 (55.0% Upside) |
O Realty Income | Finance | $53.77 +2.2% | 42.67 | $45.30 billion | Hold (Score: 2.42) | $60.96 (13.4% Upside) |
IQV IQVIA | Medical | $252.57 +1.9% | 34.65 | $44.96 billion | Moderate Buy (Score: 2.80) | $256.80 (1.7% Upside) |
ALL Allstate | Finance | $169.78 -0.6% | -136.92 | $44.66 billion | Moderate Buy (Score: 2.76) | $162.75 (-4.1% Downside) |
CCI Crown Castle | Finance | $105.59 +3.6% | 30.52 | $44.29 billion | Hold (Score: 2.43) | $121.33 (14.9% Upside) |
TEL TE Connectivity | Computer and Technology | $144.75 +2.2% | 13.73 | $44.02 billion | Hold (Score: 2.44) | $146.67 (1.3% Upside) |
WCN Waste Connections | Business Services | $171.69 +1.0% | 58.00 | $43.87 billion | Moderate Buy (Score: 2.78) | $175.82 (2.4% Upside) |
SRE Sempra | Utilities | $71.25 +2.9% | 14.87 | $43.77 billion | Moderate Buy (Score: 2.91) | $82.17 (15.3% Upside) |
MSCI MSCI | Computer and Technology | $557.00 +1.0% | 38.68 | $43.71 billion | Hold (Score: 2.33) | $578.21 (3.8% Upside) |
JCI Johnson Controls International | Industrial Products | $64.87 +1.2% | 21.13 | $43.68 billion | Hold (Score: 2.29) | $62.58 (-3.5% Downside) |
MFC Manulife Financial | Finance | $24.65 +2.0% | 12.77 | $43.63 billion | Buy (Score: 3.00) | $33.33 (35.2% Upside) |
DLR Digital Realty Trust | Finance | $143.74 +3.4% | 48.40 | $43.42 billion | Hold (Score: 2.36) | $140.57 (-2.2% Downside) |
AMP Ameriprise Financial | Finance | $435.97 +1.1% | 18.39 | $43.20 billion | Hold (Score: 2.43) | $428.83 (-1.6% Downside) |
BK Bank of New York Mellon | Finance | $56.93 +0.6% | 14.34 | $42.86 billion | Hold (Score: 2.38) | $55.65 (-2.2% Downside) |
PCG PG&E | Utilities | $16.74 +2.8% | 15.94 | $42.51 billion | Moderate Buy (Score: 2.57) | $18.72 (11.9% Upside) |
KMB Kimberly-Clark | Consumer Staples | $127.27 +0.9% | 24.48 | $42.48 billion | Reduce (Score: 1.92) | $130.36 (2.4% Upside) |
AME AMETEK | Computer and Technology | $183.72 +1.1% | 32.40 | $42.48 billion | Moderate Buy (Score: 2.78) | $180.78 (-1.6% Downside) |
FIS Fidelity National Information Services | Business Services | $73.45 +1.6% | -6.53 | $42.34 billion | Moderate Buy (Score: 2.69) | $70.73 (-3.7% Downside) |
A Agilent Technologies | Computer and Technology | $147.41 +2.1% | 35.10 | $42.32 billion | Moderate Buy (Score: 2.53) | $138.29 (-6.2% Downside) |
HUM Humana | Medical | $349.32 +0.3% | 17.62 | $42.03 billion | Moderate Buy (Score: 2.50) | $494.00 (41.4% Upside) |
CNC Centene | Medical | $78.35 +1.0% | 15.96 | $41.91 billion | Moderate Buy (Score: 2.55) | $85.46 (9.1% Upside) |
PRU Prudential Financial | Finance | $117.02 +1.0% | 17.49 | $41.58 billion | Reduce (Score: 1.90) | $105.60 (-9.8% Downside) |
CMI Cummins | Auto/Tires/Trucks | $294.69 +1.0% | 56.89 | $41.40 billion | Hold (Score: 2.27) | $271.64 (-7.8% Downside) |
LYG Lloyds Banking Group | Finance | $2.63 +1.5% | 6.56 | $41.34 billion | Hold (Score: 2.20) | $99.00 (3,671.4% Upside) |
MPLX Mplx | Oils/Energy | $41.31 +1.1% | 10.84 | $41.32 billion | Moderate Buy (Score: 2.86) | $42.71 (3.4% Upside) |
ARES Ares Management | Finance | $133.28 -0.5% | 55.77 | $41.26 billion | Hold (Score: 2.45) | $123.45 (-7.4% Downside) |
ALC Alcon | Medical | $83.28 +0.8% | 42.49 | $41.07 billion | Moderate Buy (Score: 2.64) | $90.49 (8.7% Upside) |
KR Kroger | Retail/Wholesale | $56.90 +0.9% | 19.22 | $40.57 billion | Moderate Buy (Score: 2.50) | $54.45 (-4.3% Downside) |
TRP TC Energy | Oils/Energy | $39.65 -1.9% | 19.53 | $40.41 billion | Hold (Score: 2.33) | $48.83 (23.2% Upside) |
SYY Sysco | Consumer Staples | $81.94 +1.3% | 20.03 | $40.27 billion | Moderate Buy (Score: 2.86) | $85.38 (4.2% Upside) |
LHX L3Harris Technologies | Aerospace | $212.50 +0.6% | 33.00 | $40.14 billion | Moderate Buy (Score: 2.75) | $229.00 (7.8% Upside) |
DOW DOW | Basic Materials | $58.14 +1.9% | 70.90 | $40.08 billion | Hold (Score: 2.21) | $56.00 (-3.7% Downside) |
KVUE Kenvue | Consumer Staples | $21.45 +2.5% | 0.00 | $40.07 billion | Moderate Buy (Score: 2.50) | $25.42 (18.5% Upside) |
OTIS Otis Worldwide | Construction | $99.86 +1.2% | 29.46 | $39.99 billion | Hold (Score: 2.25) | $92.29 (-7.6% Downside) |
KMI Kinder Morgan | Oils/Energy | $18.17 +1.4% | 16.98 | $39.75 billion | Hold (Score: 2.29) | $20.20 (11.2% Upside) |
CTVA Corteva | Consumer Staples | $57.00 +1.2% | 55.88 | $39.35 billion | Moderate Buy (Score: 2.76) | $63.14 (10.8% Upside) |
NEM Newmont | Basic Materials | $35.27 +3.7% | -14.82 | $39.19 billion | Moderate Buy (Score: 2.57) | $52.99 (50.2% Upside) |
D Dominion Energy | Utilities | $48.52 +3.9% | 20.82 | $39.10 billion | Hold (Score: 2.20) | $49.90 (2.8% Upside) |
ABEV Ambev | Consumer Staples | $2.48
| 13.75 | $38.98 billion | Hold (Score: 2.43) | $3.20 (29.3% Upside) |
HSY Hershey | Consumer Staples | $193.71 +1.5% | 21.40 | $38.93 billion | Hold (Score: 2.20) | $225.48 (16.4% Upside) |
STM STMicroelectronics | Computer and Technology | $43.96 +2.2% | 9.86 | $38.84 billion | Moderate Buy (Score: 2.75) | $50.75 (15.4% Upside) |
HLN Haleon | Medical | $8.54 +1.4% | 30.48 | $38.83 billion | Moderate Buy (Score: 2.60) | N/A |
GIS General Mills | Consumer Staples | $69.66 +1.9% | 15.98 | $38.81 billion | Hold (Score: 2.06) | $72.18 (3.6% Upside) |
LVS Las Vegas Sands | Consumer Discretionary | $51.48 +1.2% | 32.18 | $38.32 billion | Moderate Buy (Score: 2.86) | $68.90 (33.8% Upside) |
IR Ingersoll Rand | Industrial Products | $95.33 +0.9% | 50.17 | $38.10 billion | Moderate Buy (Score: 2.67) | $84.92 (-10.9% Downside) |
YUM Yum! Brands | Retail/Wholesale | $137.32 +1.9% | 24.57 | $37.92 billion | Hold (Score: 2.43) | $145.00 (5.6% Upside) |
LNG Cheniere Energy | Oils/Energy | $161.02 +0.8% | 3.98 | $37.79 billion | Buy (Score: 3.11) | $197.10 (22.4% Upside) |
PWR Quanta Services | Construction | $259.75 +0.2% | 51.85 | $37.78 billion | Moderate Buy (Score: 2.82) | $239.54 (-7.8% Downside) |
MLM Martin Marietta Materials | Construction | $611.86 +0.3% | 32.49 | $37.72 billion | Moderate Buy (Score: 2.77) | $564.85 (-7.7% Downside) |
VEEV Veeva Systems | Computer and Technology | $233.53 +0.4% | 72.52 | $37.47 billion | Moderate Buy (Score: 2.65) | $234.90 (0.6% Upside) |