Company | Analyst Consensus | Ratings in Last 72 Days | % Upside | Market Cap | Last Rating | Sector | Yearly Gain |
---|---|---|---|---|---|---|---|
Alphabet Class A | Strong Buy | 20 Buy 5 Hold 0 Sell | 22.80% Upside | $2.08T | Communication Services | 29.21% | |
ServiceNow | Strong Buy | 23 Buy 1 Hold 0 Sell | 5.13% Upside | $169.90B | Technology | 47.82% | |
Visa | Strong Buy | 17 Buy 3 Hold 0 Sell | 19.79% Upside | $501.61B | Financial | 11.53% | |
Chipotle | Moderate Buy | 12 Buy 8 Hold 0 Sell | 28.48% Upside | $69.79B | Consumer Cyclical | 34.94% | |
Tesla | Hold | 5 Buy 12 Hold 3 Sell | -2.55% Downside | $703.62B | Consumer Cyclical | -14.04% | |
Texas Instruments | Hold | 5 Buy 11 Hold 3 Sell | 3.73% Upside | $180.01B | Technology | 17.25% | |
Enphase Energy | Moderate Buy | 12 Buy 6 Hold 1 Sell | 6.74% Upside | $15.91B | Technology | -28.45% | |
Edwards Lifesciences | Moderate Buy | 7 Buy 11 Hold 0 Sell | 32.36% Upside | $35.98B | Healthcare | -24.55% | |
Check Point | Moderate Buy | 7 Buy 10 Hold 0 Sell | 5.00% Upside | $20.11B | Technology | 37.47% | |
Spotify Technology SA | Strong Buy | 13 Buy 2 Hold 0 Sell | 22.03% Upside | $64.23B | Communication Services | 122.72% | |
Seagate Tech | Moderate Buy | 8 Buy 6 Hold 1 Sell | 14.35% Upside | $21.83B | Technology | 72.57% | |
Fiserv | Strong Buy | 12 Buy 3 Hold 0 Sell | 14.42% Upside | $91.28B | Technology | 29.49% | |
KLA | Moderate Buy | 10 Buy 5 Hold 0 Sell | 10.44% Upside | $102.70B | Technology | 64.84% | |
Tractor Supply | Moderate Buy | 9 Buy 5 Hold 1 Sell | 5.84% Upside | $27.75B | Consumer Cyclical | 19.61% | |
Texas Roadhouse | Moderate Buy | 5 Buy 10 Hold 0 Sell | 7.82% Upside | $11.09B | Consumer Cyclical | 53.65% | |
Canadian National Railway | Moderate Buy | 5 Buy 9 Hold 0 Sell | 14.47% Upside | $71.48B | Industrial Goods | -0.47% | |
Coca-Cola | Moderate Buy | 10 Buy 4 Hold 0 Sell | 4.09% Upside | $284.63B | Consumer Defensive | 10.83% | |
Boston Scientific | Strong Buy | 11 Buy 1 Hold 0 Sell | 15.58% Upside | $109.18B | Healthcare | 41.07% | |
Comcast | Moderate Buy | 9 Buy 3 Hold 0 Sell | 19.55% Upside | $148.08B | Communication Services | -9.94% | |
Thermo Fisher | Strong Buy | 11 Buy 1 Hold 0 Sell | 4.46% Upside | $226.93B | Healthcare | 8.71% | |
Deckers Outdoor | Strong Buy | 11 Buy 1 Hold 0 Sell | 20.89% Upside | $21.38B | Consumer Cyclical | 66.60% | |
Tyler Technologies | Strong Buy | 9 Buy 3 Hold 0 Sell | 0.97% Upside | $23.96B | Technology | 54.06% | |
Nestlé SA | Moderate Buy | 5 Buy 5 Hold 1 Sell | 16.82% Upside | $259.34B | Consumer Defensive | -18.51% | |
Sherwin-Williams Company | Moderate Buy | 6 Buy 4 Hold 1 Sell | 7.00% Upside | $86.46B | Basic Materials | 27.18% | |
Crown Holdings | Moderate Buy | 8 Buy 3 Hold 0 Sell | 17.59% Upside | $10.25B | Consumer Cyclical | -7.34% | |
General Dynamics | Strong Buy | 9 Buy 2 Hold 0 Sell | 10.88% Upside | $79.95B | Industrial Goods | 34.94% | |
Old Dominion Freight | Hold | 3 Buy 7 Hold 1 Sell | -3.63% Downside | $44.70B | Industrial Goods | -1.07% | |
United Parcel | Moderate Buy | 4 Buy 6 Hold 1 Sell | 12.28% Upside | $108.72B | Industrial Goods | -27.90% | |
Kimberly Clark | Moderate Buy | 4 Buy 6 Hold 1 Sell | 6.78% Upside | $47.51B | Consumer Defensive | 13.01% | |
Dexcom | Moderate Buy | 8 Buy 3 Hold 0 Sell | 84.72% Upside | $42.89B | Healthcare | -50.52% | |
Republic Services | Moderate Buy | 4 Buy 6 Hold 0 Sell | 11.54% Upside | $59.63B | Industrial Goods | 27.11% | |
AT&T | Moderate Buy | 6 Buy 4 Hold 0 Sell | 16.78% Upside | $137.60B | Communication Services | 41.31% | |
Range Resources | Hold | 2 Buy 7 Hold 1 Sell | 18.38% Upside | $7.65B | Energy | 4.92% | |
Chubb | Moderate Buy | 7 Buy 3 Hold 0 Sell | 4.42% Upside | $106.23B | Financial | 29.76% | |
TE Connectivity | Moderate Buy | 5 Buy 5 Hold 0 Sell | 10.10% Upside | $47.32B | Technology | 10.63% | |
Pegasystems | Moderate Buy | 4 Buy 6 Hold 0 Sell | 20.68% Upside | $5.86B | Technology | 36.02% | |
Norfolk Southern | Moderate Buy | 5 Buy 4 Hold 1 Sell | 4.79% Upside | $50.36B | Industrial Goods | 7.67% | |
Waste Management | Moderate Buy | 5 Buy 5 Hold 0 Sell | 13.40% Upside | $80.18B | Industrial Goods | 22.05% | |
Argenx Se | Strong Buy | 9 Buy 1 Hold 0 Sell | 6.89% Upside | $28.81B | Healthcare | -2.87% | |
Teradyne | Moderate Buy | 7 Buy 3 Hold 0 Sell | 15.57% Upside | $19.41B | Technology | 14.81% | |
East West Bancorp | Strong Buy | 8 Buy 1 Hold 0 Sell | 7.51% Upside | $12.11B | Financial | 48.20% | |
Lockheed Martin | Moderate Buy | 5 Buy 3 Hold 1 Sell | 1.33% Upside | $124.28B | Industrial Goods | 20.27% | |
EasyJet | Moderate Buy | 6 Buy 3 Hold 0 Sell | 40.07% Upside | $4.45B | Industrial Goods | 3.63% | |
Matador Resources | Strong Buy | 9 Buy 0 Hold 0 Sell | 31.84% Upside | $7.70B | Energy | 16.87% | |
Dow Inc | Hold | 2 Buy 7 Hold 0 Sell | 10.31% Upside | $37.16B | Basic Materials | 1.26% | |
Temenos | Hold | 2 Buy 5 Hold 2 Sell | -1.31% Downside | $4.98B | Technology | -18.03% | |
Brunswick | Moderate Buy | 5 Buy 4 Hold 0 Sell | 9.61% Upside | $5.34B | Consumer Cyclical | -5.79% | |
O'Reilly Auto | Strong Buy | 7 Buy 2 Hold 0 Sell | 4.73% Upside | $64.37B | Consumer Cyclical | 20.74% | |
Prosperity Bancshares | Moderate Buy | 5 Buy 4 Hold 0 Sell | 4.81% Upside | $6.96B | Financial | 21.52% | |
Lennox International | Moderate Buy | 4 Buy 5 Hold 0 Sell | 0.73% Upside | $19.45B | Industrial Goods | 62.28% | |
Unilever | Moderate Buy | 5 Buy 2 Hold 2 Sell | 5.18% Upside | $149.71B | Consumer Defensive | 17.57% | |
Teck Resources | Strong Buy | 9 Buy 0 Hold 0 Sell | 21.20% Upside | $23.77B | Basic Materials | 13.54% | |
Moody's | Moderate Buy | 3 Buy 5 Hold 0 Sell | 6.24% Upside | $79.62B | Financial | 28.83% | |
Viking Therapeutics | Strong Buy | 8 Buy 0 Hold 0 Sell | 71.60% Upside | $7.13B | Healthcare | 381.25% | |
Knight Transportation | Moderate Buy | 6 Buy 2 Hold 0 Sell | 13.95% Upside | $8.41B | Industrial Goods | -12.78% | |
SLM | Strong Buy | 8 Buy 0 Hold 0 Sell | 18.26% Upside | $5.00B | Financial | 48.27% | |
EQT | Moderate Buy | 3 Buy 5 Hold 0 Sell | 29.61% Upside | $20.45B | Energy | -15.84% | |
Roper Technologies | Moderate Buy | 6 Buy 2 Hold 0 Sell | 10.43% Upside | $57.90B | Technology | 12.29% | |
Instructure Holdings | Moderate Buy | 1 Buy 7 Hold 0 Sell | 8.81% Upside | $3.39B | Technology | -13.27% | |
Deutsche Bank AG | Moderate Buy | 7 Buy 0 Hold 1 Sell | 16.59% Upside | $31.21B | Financial | 45.77% | |
UniCredit SpA | Strong Buy | 6 Buy 2 Hold 0 Sell | 19.32% Upside | $65.80B | Financial | 64.34% | |
AIXTRON | Moderate Buy | 5 Buy 3 Hold 0 Sell | 33.99% Upside | $2.39B | Technology | -40.67% | |
Masco | Moderate Buy | 5 Buy 3 Hold 0 Sell | 5.07% Upside | $16.70B | Industrial Goods | 27.18% | |
Carrier Global | Moderate Buy | 5 Buy 3 Hold 0 Sell | 4.24% Upside | $58.41B | Industrial Goods | 20.70% | |
Royal Caribbean | Strong Buy | 7 Buy 1 Hold 0 Sell | 20.80% Upside | $39.12B | Consumer Cyclical | 40.01% | |
TransUnion | Moderate Buy | 6 Buy 2 Hold 0 Sell | 10.17% Upside | $16.28B | Industrial Goods | 9.51% | |
Arthur J Gallagher & Co | Moderate Buy | 4 Buy 3 Hold 1 Sell | -1.93% Downside | $59.86B | Financial | 27.37% | |
Cullen/Frost Bankers | Hold | 1 Buy 6 Hold 1 Sell | -3.75% Downside | $7.56B | Financial | 15.84% | |
Coursera | Moderate Buy | 7 Buy 0 Hold 1 Sell | 58.58% Upside | $1.16B | Technology | -44.33% | |
IMAX | Strong Buy | 7 Buy 0 Hold 1 Sell | 26.08% Upside | $1.02B | Communication Services | 6.58% | |
Northern Star Resources Ltd | Moderate Buy | 5 Buy 3 Hold 0 Sell | 14.38% Upside | $10.76B | Basic Materials | 11.53% | |
Union Pacific | Strong Buy | 7 Buy 1 Hold 0 Sell | 9.18% Upside | $143.59B | Industrial Goods | 5.89% | |
Skechers USA | Strong Buy | 8 Buy 0 Hold 0 Sell | 25.43% Upside | $9.72B | Consumer Cyclical | 26.63% | |
Waste Connections | Strong Buy | 8 Buy 0 Hold 0 Sell | 13.03% Upside | $45.35B | Industrial Goods | 25.60% | |
Stellantis | Moderate Buy | 7 Buy 0 Hold 1 Sell | 50.45% Upside | $53.68B | Consumer Cyclical | -4.70% | |
Banco Santander | Moderate Buy | 5 Buy 3 Hold 0 Sell | 30.65% Upside | $76.47B | Financial | 26.97% | |
Digital Realty | Moderate Buy | 5 Buy 2 Hold 1 Sell | 7.33% Upside | $47.59B | Real Estate | 31.03% | |
Lululemon Athletica | Moderate Buy | 7 Buy 0 Hold 0 Sell | 53.43% Upside | $32.18B | Consumer Cyclical | -31.62% | |
Raytheon Technologies | Hold | 3 Buy 4 Hold 0 Sell | 4.05% Upside | $150.86B | Industrial Goods | 37.44% | |
RPM International | Moderate Buy | 3 Buy 4 Hold 0 Sell | 5.65% Upside | $15.25B | Basic Materials | 13.64% | |
AbbVie | Strong Buy | 7 Buy 0 Hold 0 Sell | 4.66% Upside | $321.69B | Healthcare | 29.20% | |
Fortune Brands Innovations | Moderate Buy | 3 Buy 4 Hold 0 Sell | 4.56% Upside | $9.03B | Industrial Goods | 6.19% | |
Columbia Banking System | Hold | 1 Buy 6 Hold 0 Sell | -8.41% Downside | $5.06B | Financial | 33.15% | |
Hartford Financial | Moderate Buy | 3 Buy 4 Hold 0 Sell | 2.34% Upside | $30.26B | Financial | 47.25% | |
Bread Financial Holdings | Hold | 2 Buy 3 Hold 2 Sell | -10.91% Downside | $2.59B | Financial | 43.00% | |
Boyd Gaming | Moderate Buy | 2 Buy 5 Hold 0 Sell | 17.02% Upside | $5.55B | Consumer Cyclical | -15.33% | |
Fortescue Metals Group Ltd | Moderate Sell | 0 Buy 2 Hold 5 Sell | -2.18% Downside | $40.62B | Basic Materials | -12.00% | |
Ford Motor | Moderate Buy | 2 Buy 4 Hold 1 Sell | 27.35% Upside | $44.55B | Consumer Cyclical | -13.99% | |
Universal Health | Moderate Buy | 4 Buy 2 Hold 1 Sell | -0.45% Downside | $12.23B | Healthcare | 55.60% | |
Graco | Moderate Buy | 2 Buy 5 Hold 0 Sell | 2.82% Upside | $14.15B | Industrial Goods | 6.48% | |
Molina Healthcare | Moderate Buy | 3 Buy 3 Hold 1 Sell | 7.20% Upside | $19.00B | Healthcare | 9.12% | |
Icon | Strong Buy | 7 Buy 0 Hold 0 Sell | 13.43% Upside | $25.89B | Healthcare | 33.86% | |
Universal Music Group | Moderate Buy | 3 Buy 4 Hold 0 Sell | 39.48% Upside | $43.10B | Communication Services | -7.30% | |
Roche Holding AG | Hold | 2 Buy 4 Hold 1 Sell | -4.92% Downside | $255.59B | Healthcare | 2.77% | |
Raymond James Financial | Moderate Buy | 3 Buy 4 Hold 0 Sell | 12.96% Upside | $24.46B | Financial | 9.22% | |
CME Group | Moderate Buy | 2 Buy 4 Hold 1 Sell | 8.71% Upside | $71.79B | Financial | 5.73% | |
Invitation Homes | Moderate Buy | 5 Buy 2 Hold 0 Sell | 11.98% Upside | $20.34B | Real Estate | 1.64% | |
Keurig Dr Pepper | Moderate Buy | 3 Buy 4 Hold 0 Sell | 11.53% Upside | $45.02B | Consumer Defensive | 2.65% | |
Lamb Weston Holdings | Moderate Buy | 4 Buy 3 Hold 0 Sell | 41.07% Upside | $7.62B | Consumer Defensive | -43.74% | |
Globe Life | Moderate Buy | 4 Buy 3 Hold 0 Sell | 12.00% Upside | $8.22B | Financial | -17.66% |