TGT |
TARGET CORP |
Equity |
US |
1449 |
-25.1% |
$49.96B |
-13.8% |
IWD |
ISHARES RUSSELL 1000 VALUE E |
Other |
US |
1210 |
-21.7% |
$49.90B |
2.7% |
ECL |
ECOLAB INC |
Equity |
US |
1167 |
-20.5% |
$49.71B |
-8.6% |
ROP |
ROPER TECHNOLOGIES INC |
Equity |
US |
1017 |
-16.9% |
$49.52B |
-8.2% |
RCL |
ROYAL CARIBBEAN CRUISES LTD |
Equity |
US |
803 |
-13.6% |
$49.05B |
33.9% |
VIG |
VANGUARD DIVIDEND APPREC ETF |
Other |
US |
1575 |
-23.2% |
$48.93B |
29.0% |
WDAY |
WORKDAY INC-CLASS A |
Equity |
US |
895 |
-14.3% |
$48.92B |
11.1% |
NXPI |
NXP SEMICONDUCTORS NV |
Equity |
US |
862 |
-22.3% |
$47.80B |
-13.5% |
AZO |
AUTOZONE INC |
Equity |
US |
924 |
-18.8% |
$47.64B |
-2.0% |
ASML |
ASML HOLDING NV-NY REG SHS |
Other |
US |
1195 |
-19.7% |
$47.60B |
-20.7% |
CRH |
CRH PLC |
Equity |
US |
680 |
-5.3% |
$47.28B |
1.6% |
JCI |
JOHNSON CONTROLS INTERNATION |
Equity |
US |
904 |
-14.7% |
$47.08B |
2.6% |
BK |
BANK OF NEW YORK MELLON CORP |
Equity |
US |
1099 |
-12.8% |
$46.90B |
8.2% |
MMM |
3M CO |
Equity |
US |
1552 |
-22.6% |
$46.89B |
-5.0% |
CSX |
CSX CORP |
Equity |
US |
1269 |
-22.3% |
$46.58B |
-3.5% |
HCA |
HCA HEALTHCARE INC |
Equity |
US |
925 |
-21.4% |
$46.46B |
-26.1% |
FCX |
FREEPORT-MCMORAN INC |
Equity |
US |
1123 |
-24.8% |
$46.38B |
-22.6% |
FTNT |
FORTINET INC |
Equity |
US |
987 |
-9.8% |
$46.32B |
20.2% |
CP |
CANADIAN PACIFIC KANSAS CITY |
Equity |
US |
774 |
-17.9% |
$46.20B |
-17.6% |
CVS |
CVS HEALTH CORP |
Equity |
US |
1255 |
-30.2% |
$46.17B |
-27.1% |
TRV |
TRAVELERS COS INC/THE |
Equity |
US |
1152 |
-19.2% |
$44.64B |
5.5% |
MAR |
MARRIOTT INTERNATIONAL -CL A |
Equity |
US |
1150 |
-16.7% |
$44.57B |
12.8% |
CTAS |
CINTAS CORP |
Equity |
US |
1082 |
-18.2% |
$44.46B |
-12.6% |
ENB |
ENBRIDGE INC |
Equity |
US |
962 |
-21.6% |
$44.19B |
0.4% |
BHC |
BAUSCH HEALTH COS INC |
Equity |
US |
196 |
-5.3% |
$44.11B |
2072.2% |