Company directory

Explore the S&P 500 by ticker.

Search by company name, ticker, or sector. Each profile includes long-term charts and key metrics.

AAPL

Apple Inc

TECHNOLOGY

$2.9T

ABBV

AbbVie Inc

LIFE SCIENCES

$274.3B

ABNB

Airbnb Inc

TRADE & SERVICES

$92.0B

ABT

Abbott Laboratories

LIFE SCIENCES

$177.4B

ACN

Accenture plc

TRADE & SERVICES

$184.7B

ADBE

Adobe Systems Incorporated

TECHNOLOGY

$214.3B

ADI

Analog Devices Inc

MANUFACTURING

$116.4B

ADP

Automatic Data Processing Inc

TECHNOLOGY

$100.2B

AJG

Arthur J Gallagher & Co

FINANCE

$55.4B

AMAT

Applied Materials Inc

MANUFACTURING

$183.2B

AMD

Advanced Micro Devices Inc

MANUFACTURING

$277.4B

AMGN

Amgen Inc

LIFE SCIENCES

$161.0B

AMT

American Tower Corp

REAL ESTATE & CONSTRUCTION

$91.4B

AMZN

Amazon.com Inc

TRADE & SERVICES

$1.9T

ANET

Arista Networks

TECHNOLOGY

$93.3B

AON

Aon PLC

FINANCE

$61.6B

APD

Air Products and Chemicals Inc

LIFE SCIENCES

$62.1B

APH

Amphenol Corporation

MANUFACTURING

$79.5B

AVGO

Broadcom Inc

MANUFACTURING

$654.6B

AXP

American Express Company

FINANCE

$170.7B

BAC

Bank of America Corp

FINANCE

$310.5B

BDX

Becton Dickinson and Company

LIFE SCIENCES

$67.0B

BKNG

Booking Holdings Inc

ENERGY & TRANSPORTATION

$127.4B

BLK

BlackRock Inc

FINANCE

$113.2B

BMY

Bristol-Myers Squibb Company

LIFE SCIENCES

$83.3B

BSX

Boston Scientific Corp

LIFE SCIENCES

$111.1B

BX

Blackstone Group Inc

FINANCE

$146.5B

CARR

Carrier Global Corp

TECHNOLOGY

$56.3B

CAT

Caterpillar Inc

TECHNOLOGY

$169.4B

CB

Chubb Ltd

FINANCE

$110.0B

CDNS

Cadence Design Systems Inc

TECHNOLOGY

$77.9B

CEG

Constellation Energy Corp

ENERGY & TRANSPORTATION

$68.5B

CMCSA

Comcast Corp

TECHNOLOGY

$152.5B

CME

CME Group Inc

FINANCE

$73.1B

CMG

Chipotle Mexican Grill Inc

TRADE & SERVICES

$86.0B

COF

Capital One Financial Corporation

FINANCE

$53.4B

COP

ConocoPhillips

ENERGY & TRANSPORTATION

$134.2B

COST

Costco Wholesale Corp

TRADE & SERVICES

$359.1B

CPRT

Copart Inc

TRADE & SERVICES

$51.7B

CRM

Salesforce.com Inc

TECHNOLOGY

$262.1B

CSCO

Cisco Systems Inc

TECHNOLOGY

$186.5B

CSX

CSX Corporation

ENERGY & TRANSPORTATION

$66.0B

CTAS

Cintas Corporation

MANUFACTURING

$68.8B

CVS

CVS Health Corp

TRADE & SERVICES

$74.8B

CVX

Chevron Corp

ENERGY & TRANSPORTATION

$288.5B

DE

Deere & Company

TECHNOLOGY

$103.3B

DHR

Danaher Corporation

LIFE SCIENCES

$191.6B

DIS

Walt Disney Company

TRADE & SERVICES

$186.8B

DUK

Duke Energy Corporation

ENERGY & TRANSPORTATION

$79.9B

ECL

Ecolab Inc

LIFE SCIENCES

$66.3B

ELV

Elevance Health Inc

FINANCE

$120.7B

EMR

Emerson Electric Company

MANUFACTURING

$61.8B

EOG

EOG Resources Inc

ENERGY & TRANSPORTATION

$71.6B

EQIX

Equinix Inc

REAL ESTATE & CONSTRUCTION

$72.4B

ETN

Eaton Corporation PLC

TECHNOLOGY

$133.6B

EW

Edwards Lifesciences Corp

LIFE SCIENCES

$53.1B

F

Ford Motor Company

MANUFACTURING

$48.3B

FCX

Freeport-McMoran Copper & Gold Inc

ENERGY & TRANSPORTATION

$75.7B

FDX

FedEx Corporation

ENERGY & TRANSPORTATION

$61.6B

FI

Fiserv Inc.

TECHNOLOGY

$88.2B

GD

General Dynamics Corporation

MANUFACTURING

$82.2B

GE

GE Aerospace

MANUFACTURING

$184.5B

GILD

Gilead Sciences Inc

LIFE SCIENCES

$80.1B

GM

General Motors Company

MANUFACTURING

$50.3B

GOOG

Alphabet Inc Class C

TECHNOLOGY

$2.1T

GOOGL

Alphabet Inc Class A

TECHNOLOGY

$2.2T

GPS

Gap Inc

TRADE & SERVICES

$10.9B

GS

Goldman Sachs Group Inc

FINANCE

$147.4B

HCA

HCA Holdings Inc

LIFE SCIENCES

$89.0B

HD

Home Depot Inc

TRADE & SERVICES

$326.4B

HON

Honeywell International Inc

MANUFACTURING

$130.8B

IBM

International Business Machines

TECHNOLOGY

$157.0B

ICE

Intercontinental Exchange Inc

FINANCE

$76.8B

INTC

Intel Corporation

MANUFACTURING

$128.5B

INTU

Intuit Inc

TECHNOLOGY

$167.2B

ISRG

Intuitive Surgical Inc

LIFE SCIENCES

$143.1B

ITW

Illinois Tool Works Inc

TECHNOLOGY

$72.4B

JNJ

Johnson & Johnson

LIFE SCIENCES

$353.7B

JPM

JPMorgan Chase & Co

FINANCE

$576.4B

KLAC

KLA-Tencor Corporation

LIFE SCIENCES

$102.3B

KO

The Coca-Cola Company

MANUFACTURING

$265.8B

LCID

Lucid Group Inc

REAL ESTATE & CONSTRUCTION

$6.6B

LIN

Linde plc Ordinary Shares

LIFE SCIENCES

$206.7B

LLY

Eli Lilly and Company

LIFE SCIENCES

$767.4B

LMT

Lockheed Martin Corporation

MANUFACTURING

$112.9B

LOW

Lowe's Companies Inc

TRADE & SERVICES

$123.3B

LRCX

Lam Research Corp

TECHNOLOGY

$124.3B

MA

Mastercard Inc

TRADE & SERVICES

$419.4B

MAR

Marriott International Inc

REAL ESTATE & CONSTRUCTION

$66.0B

MCD

McDonald’s Corporation

TRADE & SERVICES

$179.7B

MCHP

Microchip Technology Inc

MANUFACTURING

$49.8B

MCK

McKesson Corporation

TRADE & SERVICES

$74.0B

MCO

Moodys Corporation

TRADE & SERVICES

$72.5B

MDLZ

Mondelez International Inc

MANUFACTURING

$91.9B

MDT

Medtronic PLC

LIFE SCIENCES

$106.7B

META

Meta Platforms Inc.

TECHNOLOGY

$1.2T

MMC

Marsh & McLennan Companies Inc

FINANCE

$102.3B

MMM

3M Company

LIFE SCIENCES

$55.8B

MNST

Monster Beverage Corp

MANUFACTURING

$55.2B

MPC

Marathon Petroleum Corp

ENERGY & TRANSPORTATION

$61.7B

MRK

Merck & Company Inc

LIFE SCIENCES

$328.0B

MRNA

Moderna Inc

LIFE SCIENCES

$57.9B

MSFT

Microsoft Corporation

TECHNOLOGY

$3.2T

MSI

Motorola Solutions Inc

MANUFACTURING

$61.8B

NEE

Nextera Energy Inc

ENERGY & TRANSPORTATION

$160.6B

NFLX

Netflix Inc

TRADE & SERVICES

$279.7B

NKE

Nike Inc

MANUFACTURING

$138.4B

NOC

Northrop Grumman Corporation

MANUFACTURING

$66.8B

NOW

ServiceNow Inc

TECHNOLOGY

$132.1B

NVDA

NVIDIA Corporation

MANUFACTURING

$2.6T

NXPI

NXP Semiconductors NV

MANUFACTURING

$69.6B

ORCL

Oracle Corporation

TECHNOLOGY

$337.8B

ORLY

O’Reilly Automotive Inc

TRADE & SERVICES

$57.6B

OXY

Occidental Petroleum Corporation

ENERGY & TRANSPORTATION

$52.7B

PANW

Palo Alto Networks Inc

TECHNOLOGY

$95.5B

PCAR

PACCAR Inc

MANUFACTURING

$56.4B

PEP

PepsiCo Inc

MANUFACTURING

$238.4B

PFE

Pfizer Inc

LIFE SCIENCES

$159.8B

PG

Procter & Gamble Company

LIFE SCIENCES

$390.2B

PGR

Progressive Corp

FINANCE

$121.2B

PLD

Prologis Inc

REAL ESTATE & CONSTRUCTION

$102.3B

PNC

PNC Financial Services Group Inc

FINANCE

$62.0B

PSX

Phillips 66

ENERGY & TRANSPORTATION

$58.5B

PYPL

PayPal Holdings Inc

TRADE & SERVICES

$70.1B

QCOM

Qualcomm Incorporated

MANUFACTURING

$232.4B

REGN

Regeneron Pharmaceuticals Inc

LIFE SCIENCES

$108.0B

RIVN

Rivian Automotive Inc

MANUFACTURING

$10.4B

ROP

Roper Technologies Inc. Common Stock

LIFE SCIENCES

$59.3B

RSG

Republic Services Inc

ENERGY & TRANSPORTATION

$58.9B

RTX

Raytheon Technologies Corp

MANUFACTURING

$140.6B

SBUX

Starbucks Corporation

TRADE & SERVICES

$90.9B

SCHW

Charles Schwab Corp

FINANCE

$131.4B

SHW

Sherwin-Williams Co

TRADE & SERVICES

$77.0B

SLB

Schlumberger NV

ENERGY & TRANSPORTATION

$65.6B

SNPS

Synopsys Inc

TECHNOLOGY

$85.9B

SO

Southern Company

ENERGY & TRANSPORTATION

$87.6B

SPGI

S&P Global Inc

TRADE & SERVICES

$133.0B

SYK

Stryker Corporation

LIFE SCIENCES

$129.7B

TDG

Transdigm Group Incorporated

MANUFACTURING

$75.2B

TGT

Target Corporation

TRADE & SERVICES

$72.2B

TJX

The TJX Companies Inc

TRADE & SERVICES

$116.5B

TMO

Thermo Fisher Scientific Inc

LIFE SCIENCES

$218.6B

TMUS

T-Mobile US Inc

TECHNOLOGY

$196.1B

TSLA

Tesla Inc

MANUFACTURING

$571.6B

TT

Trane Technologies plc

LIFE SCIENCES

$74.1B

TXN

Texas Instruments Incorporated

MANUFACTURING

$177.5B

UBER

Uber Technologies Inc

TRADE & SERVICES

$134.0B

UNH

UnitedHealth Group Incorporated

FINANCE

$467.7B

UNP

Union Pacific Corporation

ENERGY & TRANSPORTATION

$139.9B

UPS

United Parcel Service Inc

ENERGY & TRANSPORTATION

$117.1B

USB

U.S. Bancorp

FINANCE

$60.9B

V

Visa Inc. Class A

TRADE & SERVICES

$553.2B

VLO

Valero Energy Corporation

ENERGY & TRANSPORTATION

$50.9B

VRTX

Vertex Pharmaceuticals Inc

LIFE SCIENCES

$114.3B

VZ

Verizon Communications Inc

TECHNOLOGY

$165.7B

WELL

Welltower Inc

REAL ESTATE & CONSTRUCTION

$62.1B

WFC

Wells Fargo & Company

FINANCE

$207.4B

WMT

Walmart Inc

TRADE & SERVICES

$526.9B

XOM

Exxon Mobil Corp

ENERGY & TRANSPORTATION

$508.8B

ZTS

Zoetis Inc

LIFE SCIENCES

$77.4B