DataMelon Evaluation

Symbol Company Name vs All Stocks Sector vs Sector Price
AAPL Apple Inc 71.071 % Technology 75.529 % 252.29
ABBV AbbVie Inc 69.702 % Healthcare 75.451 % 229.57
ABNB Airbnb Inc 55.515 % Consumer Cyclical 56.373 % 122.89
ABT Abbott Laboratories 60.585 % Healthcare 68.809 % 128.54
ACN Accenture plc 67.863 % Technology 72.845 % 238.39
ADBE Adobe Systems Incorporated 83.331 % Technology 86.807 % 333.26
ADI Analog Devices Inc 59.237 % Technology 63.482 % 242.87
ADP Automatic Data Processing Inc 65.688 % Technology 70.045 % 281.27
ADSK Autodesk Inc 62.679 % Technology 66.462 % 303.66
AEM Agnico Eagle Mines Limited 68.929 % Basic Materials 72.283 % 174.49
AEP American Electric Power Co Inc 67.413 % Utilities 71.526 % 117.53
AFL Aflac Incorporated 51.619 % Financial Services 41.793 % 107.71
AJG Arthur J Gallagher & Co 60.502 % Financial Services 51.798 % 280.47
ALL The Allstate Corporation 96.225 % Financial Services 96.366 % 195.87
ALNY Alnylam Pharmaceuticals Inc 17.756 % Healthcare 34.363 % 481.67
AMAT Applied Materials Inc 63.981 % Technology 68.912 % 224.99
AMD Advanced Micro Devices Inc 65.83 % Technology 67.897 % 233.08
AMGN Amgen Inc 82.452 % Healthcare 86.874 % 298.81
AMT American Tower Corp 56.068 % Real Estate 66.291 % 191.29
AMX America Movil SAB de CV ADR 65.983 % Communication Services 68.979 % 22.45
AMZN Amazon.com Inc 61.51 % Consumer Cyclical 60.567 % 213.04
ANET Arista Networks 62.662 % Technology 67.289 % 143.1
AON Aon PLC 71.631 % Financial Services 67.484 % 346.6
APD Air Products and Chemicals Inc 57.996 % Basic Materials 60.288 % 253.2
APH Amphenol Corporation 62.893 % Technology 67.309 % 125.65
APO Apollo Global Management LLC Class A 52.811 % Financial Services 43.814 % 121.38
APP Applovin Corp 92.255 % Communication Services 95.015 % 590.03
AVGO Broadcom Inc 69.411 % Technology 72.923 % 349.33
AXON Axon Enterprise Inc. 51.674 % Industrials 47.536 % 704.67
AXP American Express Company 70.508 % Financial Services 65.306 % 346.62
AZN AstraZeneca PLC ADR 58.194 % Healthcare 66.439 % 84.69
AZO AutoZone Inc 100 % Consumer Cyclical 100 % 4,030.17
BA The Boeing Company 32.535 % Industrials 30.209 % 212.94
BABA Alibaba Group Holding Ltd 96.277 % Consumer Cyclical 94.258 % 167.05
BAC Bank of America Corp 57.185 % Financial Services 47.232 % 51.28
BAM Brookfield Asset Management Inc 53.934 % Financial Services 46.444 % 54.2
BBVA Banco Bilbao Viscaya Argentaria SA ADR 62.453 % Financial Services 53.799 % 19.57
BCS Barclays PLC ADR 62.79 % Financial Services 53.775 % 19.36
BDX Becton Dickinson and Company 65.199 % Healthcare 73.585 % 189.1
BHP BHP Group Limited 55.415 % Basic Materials 58.188 % 55.59
BK The Bank of New York Mellon Corporation 63.249 % Financial Services 54.27 % 105.98
BKNG Booking Holdings Inc 100 % Consumer Cyclical 100 % 5,070.02
BLK BlackRock Inc 94.586 % Financial Services 93.15 % 1,161.16
BMO Bank of Montreal 66.95 % Financial Services 57.968 % 124.94
BMY Bristol-Myers Squibb Company 62.282 % Healthcare 70.863 % 43.63
BNS Bank of Nova Scotia 60.247 % Financial Services 50.043 % 63.75
BP BP PLC ADR 63.518 % Energy 54.281 % 33.13
BRK-B Berkshire Hathaway Inc 100 % Financial Services 100 % 495.97
BSX Boston Scientific Corp 59.73 % Healthcare 68.522 % 99.24
BTI British American Tobacco p.l.c. 61.989 % Consumer Defensive 66.767 % 51.62
BUD Anheuser Busch Inbev NV ADR 54.093 % Consumer Defensive 54.579 % 62.14
BX Blackstone Group Inc 66.165 % Financial Services 61.316 % 156.31
C Citigroup Inc 64.011 % Financial Services 54.834 % 97.07
CAT Caterpillar Inc 74.703 % Industrials 72.988 % 527.08
CB Chubb Ltd 83.683 % Financial Services 80.02 % 268.21
CDNS Cadence Design Systems Inc 56.073 % Technology 60.302 % 326.12
CEG Constellation Energy Corp 59.293 % Utilities 65.63 % 389.56
CI Cigna Corp 93.711 % Healthcare 95.942 % 299.27
CL Colgate-Palmolive Company 57.033 % Consumer Defensive 58.473 % 79.12
CM Canadian Imperial Bank Of Commerce 59.394 % Financial Services 49.611 % 80.29
CMCSA Comcast Corp 76.591 % Communication Services 76.07 % 29.54
CME CME Group Inc 69.038 % Financial Services 60.526 % 267.935
CMG Chipotle Mexican Grill Inc 52.969 % Consumer Cyclical 53.707 % 41.86
CMI Cummins Inc 80.205 % Industrials 79.492 % 411.83
CNI Canadian National Railway Company 62.486 % Industrials 63.629 % 95.68
CNQ Canadian Natural Resources Ltd 59.178 % Energy 56.254 % 30.13
COF Capital One Financial Corporation 10.416 % Financial Services 8.282 % 211.34
COIN Coinbase Global Inc 100 % Financial Services 100 % 341.55
COP ConocoPhillips 60.91 % Energy 59.32 % 86.48
COST Costco Wholesale Corp 77.367 % Consumer Defensive 77.311 % 936.33
CP Canadian Pacific Railway Ltd 54.807 % Industrials 54.185 % 76.51
CPNG Coupang LLC 99.414 % Consumer Cyclical 99.519 % 31.76
CRH CRH PLC ADR 54.421 % Basic Materials 56.66 % 117.46
CRM Salesforce.com Inc 62.31 % Technology 66.674 % 243.08
CRWD Crowdstrike Holdings Inc 71.328 % Technology 71.073 % 488.94
CSCO Cisco Systems Inc 55.585 % Technology 60.336 % 70.13
CSX CSX Corporation 52.03 % Industrials 52.01 % 36.6
CTAS Cintas Corporation 55.23 % Industrials 54.392 % 188.1
CVS CVS Health Corp 63.918 % Healthcare 72.293 % 82.52
CVX Chevron Corp 57.965 % Energy 57.571 % 153.08
D Dominion Energy Inc 52.532 % Utilities 51.766 % 60.58
DASH DoorDash, Inc. Class A Common Stock 48.667 % Consumer Cyclical 47.368 % 270.54
DB Deutsche Bank AG 63.292 % Financial Services 54.648 % 33.59
DDOG Datadog Inc 38.368 % Technology 40.765 % 160.88
DE Deere & Company 71.506 % Industrials 69.348 % 458.5
DELL Dell Technologies Inc 66.969 % Technology 71.023 % 149.59
DEO Diageo PLC ADR 58.999 % Consumer Defensive 62.638 % 97.63
DHR Danaher Corporation 52.653 % Healthcare 62.155 % 209.06
DIS Walt Disney Company 62.614 % Communication Services 63.663 % 110.67
DLR Digital Realty Trust Inc 94.459 % Real Estate 93.576 % 172.73
DUK Duke Energy Corporation 55.857 % Utilities 57.994 % 128.53
E Eni SpA ADR 56.346 % Energy 52.369 % 34.8
ECL Ecolab Inc 59.001 % Basic Materials 62.563 % 276.75
EMR Emerson Electric Company 52.306 % Industrials 50.591 % 129.28
ENB Enbridge Inc 54.656 % Energy 50.984 % 47.08
EOG EOG Resources Inc 66.163 % Energy 66.384 % 106.22
EPD Enterprise Products Partners LP 52.688 % Energy 49.137 % 30.19
EQIX Equinix Inc 62.66 % Real Estate 79.076 % 813.93
EQNR Equinor ASA ADR 61.153 % Energy 58.479 % 23.125
ET Energy Transfer LP 57.091 % Energy 51.394 % 16.45
ETN Eaton Corporation PLC 62.994 % Industrials 60.981 % 373.3
FCX Freeport-McMoran Copper & Gold Inc 54.326 % Basic Materials 56.81 % 41.18
FDX FedEx Corporation 78.663 % Industrials 79.964 % 237.8
FTNT Fortinet Inc 67.46 % Technology 70.999 % 83.44
GD General Dynamics Corporation 70.949 % Industrials 69.842 % 331.15
GE GE Aerospace 59.906 % Industrials 58.144 % 300.14
GILD Gilead Sciences Inc 72.118 % Healthcare 77.406 % 122.81
GLW Corning Incorporated 66.338 % Technology 68.917 % 84.49
GM General Motors Company 65.748 % Consumer Cyclical 64.352 % 58.38
GOOG Alphabet Inc Class C 68.006 % Communication Services 71.67 % 253.79
GOOGL Alphabet Inc Class A 67.754 % Communication Services 71.438 % 253.3
GS Goldman Sachs Group Inc 96.528 % Financial Services 95.442 % 750.77
GSK GlaxoSmithKline PLC ADR 64.24 % Healthcare 71.654 % 43.91
HCA HCA Holdings Inc 89.447 % Healthcare 91.78 % 426.16
HD The Home Depot Inc 80.813 % Consumer Cyclical 79.187 % 391.9
HDB HDFC Bank Limited ADR 53.264 % Financial Services 44.548 % 36.74
HLT Hilton Worldwide Holdings Inc 59.808 % Consumer Cyclical 62.507 % 260.27
HON Honeywell International Inc 64.979 % Industrials 64.212 % 202.96
HOOD Robinhood Markets Inc 63.496 % Financial Services 54 % 134.95
HSBC HSBC Holdings PLC ADR 56.02 % Financial Services 47.107 % 65.86
HWM Howmet Aerospace Inc 54.34 % Industrials 52.994 % 193.03
IBKR Interactive Brokers Group Inc 56.333 % Financial Services 47.958 % 66.23
IBM International Business Machines 60.961 % Technology 65.226 % 281.28
IBN ICICI Bank Limited 62.549 % Financial Services 57.674 % 32.94
ICE Intercontinental Exchange Inc 100 % Financial Services 100 % 153.6
IDXX IDEXX Laboratories Inc 73.295 % Healthcare 79.28 % 635.4
INFY Infosys Ltd ADR 47.199 % Technology 50.993 % 16.33
ING ING Group NV ADR 59.432 % Financial Services 49.313 % 24.04
INTC Intel Corporation 34.3 % Technology 35.648 % 37.01
INTU Intuit Inc 72.94 % Technology 77.216 % 661.39
ISRG Intuitive Surgical Inc 62.153 % Healthcare 70.492 % 446.13
ITUB Itau Unibanco Banco Holding SA 76.243 % Financial Services 68.354 % 6.93
ITW Illinois Tool Works Inc 68.641 % Industrials 68.508 % 249.26
JCI Johnson Controls International PLC 46.342 % Industrials 43.953 % 108.83
JNJ Johnson & Johnson 68.115 % Healthcare 75.361 % 193.22
JPM JPMorgan Chase & Co 76.075 % Financial Services 69.383 % 297.56
KKR KKR & Co LP 54.178 % Financial Services 44.955 % 117.6
KLAC KLA-Tencor Corporation 91.395 % Technology 93.771 % 1,106.66
KMI Kinder Morgan Inc 52.457 % Energy 47.283 % 27.38
KO The Coca-Cola Company 59.998 % Consumer Defensive 62.547 % 68.44
LHX L3Harris Technologies Inc 64.273 % Industrials 63.016 % 299.99
LIN Linde plc Ordinary Shares 69.028 % Basic Materials 74.419 % 450.89
LLY Eli Lilly and Company 87.204 % Healthcare 89.826 % 802.83
LMT Lockheed Martin Corporation 79.675 % Industrials 79.674 % 495.15
LOW Lowe's Companies Inc 66.567 % Consumer Cyclical 65.315 % 244.7
LRCX Lam Research Corp 64.092 % Technology 68.693 % 141.51
LYG Lloyds Banking Group PLC ADR 56.182 % Financial Services 46.346 % 4.48
MA Mastercard Inc 85.474 % Financial Services 91.297 % 560.97
MAR Marriott International Inc 64.577 % Consumer Cyclical 67.138 % 260.85
MCD McDonald’s Corporation 69.157 % Consumer Cyclical 71.285 % 308.09
MCK McKesson Corporation 99.305 % Healthcare 99.62 % 786
MCO Moodys Corporation 70.93 % Financial Services 68.943 % 471.04
MDLZ Mondelez International Inc 50.43 % Consumer Defensive 49.603 % 62.46
MDT Medtronic PLC 55.661 % Healthcare 65.157 % 95.78
MELI MercadoLibre Inc. 97.649 % Consumer Cyclical 96.11 % 2,024.98
MET MetLife Inc 63.765 % Financial Services 57.128 % 78.46
META Meta Platforms Inc. 87.848 % Communication Services 90.374 % 716.915
MFC Manulife Financial Corp 65.838 % Financial Services 57.99 % 31.64
MFG Mizuho Financial Group Inc. 65.454 % Financial Services 59.871 % 6.23
MMC Marsh & McLennan Companies Inc 63.769 % Financial Services 58.575 % 189.59
MMM 3M Company 63.42 % Industrials 62.743 % 152.64
MNST Monster Beverage Corp 53.714 % Consumer Defensive 55.66 % 70.22
MO Altria Group 64.68 % Consumer Defensive 71.926 % 65.05
MPC Marathon Petroleum Corp 65.539 % Energy 70.033 % 184.47
MRK Merck & Company Inc 69.054 % Healthcare 75.593 % 84.79
MRVL Marvell Technology Group Ltd 45.756 % Technology 49.172 % 87.95
MS Morgan Stanley 65.049 % Financial Services 56.442 % 158.67
MSFT Microsoft Corporation 72.031 % Technology 76.793 % 513.58
MSI Motorola Solutions Inc 77.363 % Technology 81.084 % 445
MSTR MicroStrategy Incorporated 100 % Technology 100 % 289.87
MU Micron Technology Inc 84.847 % Technology 87.368 % 202.38
MUFG Mitsubishi UFJ Financial Group Inc ADR 64.375 % Financial Services 58.236 % 15
NDAQ Nasdaq Inc 58.282 % Financial Services 50.212 % 89.54
NEE Nextera Energy Inc 53.918 % Utilities 52.714 % 84.64
NEM Newmont Goldcorp Corp 69.161 % Basic Materials 72.405 % 90.54
NET Cloudflare Inc 37.849 % Technology 38.887 % 217.55
NFLX Netflix Inc 87.837 % Communication Services 90.302 % 1,215.35
NGG National Grid PLC ADR 58.703 % Utilities 61.808 % 74.25
NKE Nike Inc 45.853 % Consumer Cyclical 44.826 % 67.64
NOC Northrop Grumman Corporation 83.603 % Industrials 82.568 % 626.93
NOW ServiceNow Inc 69.929 % Technology 73.16 % 911.26
NSC Norfolk Southern Corporation 68.585 % Industrials 67.895 % 290.31
NTES NetEase Inc 94.446 % Communication Services 95.068 % 145.99
NU Nu Holdings Ltd 59.077 % Financial Services 49.659 % 14.91
NVDA NVIDIA Corporation 77.715 % Technology 82.618 % 180.03
NVO Novo Nordisk A/S 83.423 % Healthcare 86.891 % 56.66
NVS Novartis AG ADR 67.776 % Healthcare 74.82 % 130.26
NWG Natwest Group PLC 64.234 % Financial Services 56.226 % 14.69
NXPI NXP Semiconductors NV 62.372 % Technology 67.059 % 216.11
O Realty Income Corporation 44.031 % Real Estate 45.113 % 58.84
ORCL Oracle Corporation 59.866 % Technology 64.544 % 299
ORLY O’Reilly Automotive Inc 57.227 % Consumer Cyclical 57.729 % 103.05
PANW Palo Alto Networks Inc 42.361 % Technology 44.031 % 207.56
PBR Petroleo Brasileiro Petrobras SA ADR 78.935 % Energy 72.058 % 11.79
PDD PDD Holdings Inc. 98.482 % Consumer Cyclical 97.825 % 127.1
PEP PepsiCo Inc 60.379 % Consumer Defensive 62.45 % 151.54
PFE Pfizer Inc 59.115 % Healthcare 68.63 % 24.52
PG Procter & Gamble Company 60.584 % Consumer Defensive 63.053 % 149.16
PGR Progressive Corp 80.805 % Financial Services 79.409 % 240.4
PH Parker-Hannifin Corporation 82.412 % Industrials 80.422 % 736.48
PLD Prologis Inc 55.407 % Real Estate 60.44 % 115.45
PLTR Palantir Technologies Inc. Class A Common Stock 56.765 % Technology 60.181 % 179.74
PM Philip Morris International Inc 65.572 % Consumer Defensive 71.657 % 159.07
PNC PNC Financial Services Group Inc 73.958 % Financial Services 66.481 % 189.73
PSA Public Storage 62.044 % Real Estate 75.071 % 302.15
PSX Phillips 66 63.996 % Energy 65.05 % 130.84
PWR Quanta Services Inc 58.205 % Industrials 56.202 % 431.6
PYPL PayPal Holdings Inc 62.282 % Financial Services 55.971 % 69.15
QCOM Qualcomm Incorporated 70.987 % Technology 75.826 % 161.74
RACE Ferrari NV N/A Consumer Cyclical N/A 382.19
RBLX Roblox Corp 5.959 % Communication Services 7.084 % 133.28
RCL Royal Caribbean Cruises Ltd 72.424 % Consumer Cyclical 72.171 % 313.86
REGN Regeneron Pharmaceuticals Inc 91.397 % Healthcare 94.066 % 572.6
RELX Relx PLC ADR 56.637 % Industrials 57.028 % 45.43
RIO Rio Tinto ADR 64.02 % Basic Materials 68.215 % 68.22
ROP Roper Technologies, Inc. 71.091 % Technology 75.558 % 513.82
ROST Ross Stores Inc 57.303 % Consumer Cyclical 56.356 % 155.26
RSG Republic Services Inc 56.183 % Industrials 54.406 % 224.48
RTX Raytheon Technologies Corp 53.109 % Industrials 51.16 % 159.4
RY Royal Bank of Canada 70.685 % Financial Services 62.479 % 145.44
SAN Banco Santander SA ADR 54.951 % Financial Services 45.296 % 9.93
SAP SAP SE ADR 63.339 % Technology 67.696 % 270.71
SBUX Starbucks Corporation 43.27 % Consumer Cyclical 43.09 % 81.15
SCCO Southern Copper Corporation 57.189 % Basic Materials 57.685 % 130.75
SCHW Charles Schwab Corp 64.62 % Financial Services 56.14 % 93.39
SE Sea Ltd 69.061 % Consumer Cyclical 69.515 % 180.69
SHEL Shell PLC ADR 59.404 % Energy 57.841 % 71.65
SHW Sherwin-Williams Co 64.636 % Basic Materials 70.058 % 335.27
SMFG Sumitomo Mitsui Financial Group Inc 67.491 % Financial Services 62.298 % 15.53
SNOW Snowflake Inc. 28.583 % Technology 28.844 % 240.83
SNPS Synopsys Inc 60.511 % Technology 64.512 % 443.76
SNY Sanofi ADR 73.526 % Healthcare 81.591 % 49.22
SO Southern Company 48.819 % Utilities 46.91 % 99.68
SOJE Southern Company (The) Series 2 74.752 % N/A 18.27
SONY Sony Group Corp 84.097 % Technology 86.382 % 28.83
SPG Simon Property Group Inc 65.193 % Real Estate 77.401 % 175.83
SPGI S&P Global Inc 70.956 % Financial Services 64.298 % 486.69
SPOT Spotify Technology SA 54.314 % Communication Services 57.473 % 683.51
SRE Sempra Energy 50.746 % Utilities 49.625 % 91.33
SYK Stryker Corporation 62.348 % Healthcare 70.955 % 370
T AT&T Inc 55.25 % Communication Services 56.621 % 26.13
TBB AT&T Inc 92.313 % Consumer Cyclicals 100 % 23.272
TD Toronto Dominion Bank 67.198 % Financial Services 59.554 % 79.39
TDG Transdigm Group Incorporated 91.468 % Industrials 90.24 % 1,312.48
TEL TE Connectivity Ltd 57.86 % Technology 62.334 % 220.65
TFC Truist Financial Corp 60.849 % Financial Services 50.097 % 43.93
TJX The TJX Companies Inc 56.664 % Consumer Cyclical 55.972 % 144.1
TM Toyota Motor Corporation ADR 92.662 % Consumer Cyclical 84.756 % 191.74
TMO Thermo Fisher Scientific Inc 74.389 % Healthcare 81.172 % 525.83
TMUS T-Mobile US Inc 65.645 % Communication Services 67.626 % 229.42
TRI Thomson Reuters Corporation Common Shares 46.173 % Industrials 44.396 % 154.68
TRP TC Energy Corp 49.923 % Energy 47.158 % 52.07
TRV The Travelers Companies Inc 87.864 % Financial Services 85.994 % 275.64
TSLA Tesla Inc 41.854 % Consumer Cyclical 39.479 % 429.24
TSM Taiwan Semiconductor Manufacturing 73.765 % Technology 78.487 % 295.94
TT Trane Technologies plc 68.083 % Industrials 66.638 % 424.04
TTE TotalEnergies SE ADR 63.197 % Energy 61.603 % 58.39
TXN Texas Instruments Incorporated 61.459 % Technology 66.631 % 173.94
UBER Uber Technologies Inc 62.042 % Technology 65.916 % 94.25
UBS UBS Group AG 52.064 % Financial Services 42.19 % 39.99
UL Unilever PLC ADR 55.086 % Consumer Defensive 55.545 % 60.99
UNH UnitedHealth Group Incorporated 80.073 % Healthcare 85.638 % 359.93
UNP Union Pacific Corporation 69.114 % Industrials 69.286 % 227.08
UPS United Parcel Service Inc 65.526 % Industrials 67.656 % 84.05
URI United Rentals Inc 93.129 % Industrials 91.902 % 1,000.5
USB U.S. Bancorp 62.86 % Financial Services 53.634 % 47.09
V Visa Inc. Class A 71.982 % Financial Services 70.546 % 348.38
VLO Valero Energy Corporation 60.255 % Energy 64.166 % 162.19
VRT Vertiv Holdings Co 58.977 % Industrials 58.006 % 175.15
VRTX Vertex Pharmaceuticals Inc 76.97 % Healthcare 82.268 % 412.22
VST Vistra Energy Corp 56.706 % Utilities 62.687 % 205.51
VZ Verizon Communications Inc 62.05 % Communication Services 63.03 % 40.55
WDAY Workday Inc 57.572 % Technology 60.083 % 237.18
WELL Welltower Inc 47.882 % Real Estate 50.342 % 169.34
WFC Wells Fargo & Company 61.694 % Financial Services 52.52 % 84.56
WM Waste Management Inc 59.966 % Industrials 58.817 % 218.11
WMB Williams Companies Inc 54.359 % Energy 49.829 % 62.36
WMT Walmart Inc 52.994 % Consumer Defensive 50.486 % 107.21
XOM Exxon Mobil Corp 57.735 % Energy 56.496 % 112.29
ZTS Zoetis Inc 63.205 % Healthcare 70.232 % 143.46

DataMelon calculates a percentile ranking of a stock through comparing it with all stocks and its sector across 20 selected key statistics such as PE Ratio, Dividend Yield, Profit Margin, and ReturnOnAssetsTTM. Download DataMelon to get these features.

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