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50 Results

Sorted by Market Capitalization (high to low) · Swipe horizontally to compare columns.

MSFT Microsoft Corporation46,679,000,000$31.78B$15.80B-6,756,000,00033.13 %19.15 %
TSM Taiwan Semiconductor Manufacturing21,836,184,473.6$17.88B$10.93B-4,050,700,187.4436.54 %24.66 %
AVGO Broadcom Inc8,260,000,000$7.35B$8.01B-3,086,000,00032.85 %14.88 %
META Meta Platforms Inc - Class A32,226,000,000$26.77B$13.23B-1,346,000,00033.22 %20.76 %
TSLA Tesla Inc3,937,000,000$477.00M$1.44B04.77 %2.84 %
BRK-B Berkshire Hathaway Inc - Class B10,438,000,000$10.11B$5.45B010.31 %5.96 %
AMD Advanced Micro Devices Inc2,955,000,000$1.38B$2.57B08.08 %6.50 %
ASML ASML Holding NV17,092,705,882.35$3.34B$16.75B-785,764,705.8852.14 %20.67 %
XOM Exxon Mobil Corp8,705,000,000$4.18B$2.23B-4,334,000,0009.77 %5.58 %
CSCO Cisco Systems Inc3,757,000,000$3.37B$3.34B-1,660,000,00025.14 %9.72 %
COST Costco Wholesale Corp3,449,000,000$2.19B$2.04B028.27 %10.71 %
BAC Bank Of America Corp41,770,000,000$8.58B$41.77B-2,626,000,00010.01 %0.88 %
CVX Chevron Corp2,514,000,000$2.21B$-1.48B-3,526,000,0006.23 %3.58 %
UNH Unitedhealth Group Inc8,912,000,000$6.28B$8.15B-2,005,000,00012.59 %3.87 %
NFLX Netflix Inc5,290,205,000$5.28B$5.09B049.24 %23.81 %
PLTR Palantir Technologies Inc - Class A899,165,000$870.53M$891.76M032.18 %26.39 %
PG Procter & Gamble Company4,045,000,000$3.93B$3.03B-2,530,000,00031.23 %13.07 %
HD Home Depot Inc6,032,000,000$3.29B$5.19B-2,320,000,000113.30 %13.37 %
MRK Merck & Co Inc3,918,000,000$-4.24B$2.93B-2,105,000,00017.93 %6.97 %
NVS Novartis AG3,676,000,000$3.16B$3.33B-6,197,000,00031.67 %12.27 %
IBM International Business Machines Corp5,169,000,000$1.22B$4.79B-1,576,000,00035.54 %7.13 %
AZN Astrazeneca plc3,359,000,000$3.08B$2.82B-3,287,000,00022.27 %9.13 %
MRVL Marvell Technology Inc638,800,000$34.50M$482.60M-53,800,00016.84 %11.06 %
GEV GE Vernova LLC5,188,000,000$4.75B$4.97B-137,000,00087.98 %15.24 %
WFC Wells Fargo & Company9,143,000,000$5.25B$9.14B-1,635,000,00011.45 %0.98 %
LIN Linde Plc.2,240,000,000$1.86B$898.00M-741,000,00018.40 %8.21 %
TM Toyota Motor Corporation10,664,877,896.06$5.12B$4.64B010.10 %3.86 %
PANW Palo Alto Networks Inc871,000,000$-177.00M$788.00M06.30 %2.85 %
AXP American Express Company3,804,000,000$2.97B$2.65B-583,000,00033.95 %3.73 %
ANET Arista Networks Inc1,693,500,000$1.02B$1.64B030.58 %19.66 %
STX Seagate Technology Holdings Plc1,114,000,000$748.00M$953.00M-161,000,000916.38 %27.92 %
TMUS T-Mobile US Inc7,222,000,000$2.50B$4.69B-1,120,000,00017.82 %4.88 %
VZ Verizon Communications Inc7,984,000,000$5.04B$3.78B-2,910,000,00016.68 %4.35 %
AMGN AMGEN Inc2,189,000,000$1.82B$1.48B-1,358,000,00089.41 %8.64 %
APH Amphenol Corp - Class A1,121,500,000$933.00M$831.20M-306,700,00034.73 %13.62 %
NEE NextEra Energy Inc2,614,000,000$2.18B$-580.00M-1,300,000,00015.24 %3.91 %
DIS Walt Disney Co (The)6,914,000,000$2.25B$4.94B-1,337,000,00010.29 %5.60 %
CRM Salesforce Inc6,701,000,000$2.11B$6.56B-365,000,00014.95 %7.79 %
APP Applovin Corp - Class A1,291,393,000$1.21B$1.29B0222.04 %58.13 %
GILD Gilead Sciences Inc2,544,000,000$2.02B$2.43B-1,040,000,00042.16 %16.06 %
DE Deere & Company1,932,000,000$1.77B$1.52B-437,000,00018.25 %4.51 %
T AT&T Inc7,557,000,000$3.83B$2.68B-1,997,000,00019.52 %5.10 %
SCCO Southern Copper Corporation1,694,500,000$1.58B$1.25B-819,200,00045.92 %23.87 %
ABT Abbott Laboratories1,315,000,000$1.08B$916.00M-1,098,000,00012.09 %6.87 %
UNP Union Pacific Corp2,440,000,000$1.70B$1.50B-821,000,00040.38 %10.43 %
SCHW Charles Schwab Corp7,342,000,000$2.48B$7.20B-632,000,00018.26 %1.89 %
SHOP Shopify Inc - Class A481,000,000$-581.00M$476.00M010.53 %9.04 %
ISRG Intuitive Surgical Inc911,900,000$821.50M$854.60M017.01 %14.88 %
UBER Uber Technologies Inc2,351,000,000$263.00M$2.29B033.32 %14.17 %
COP Conoco Phillips4,295,000,000$2.18B$1.35B-1,032,000,00011.29 %5.98 %