Company | Analyst Consensus | Ratings in Last 72 Days | % Upside | Market Cap | Last Rating | Sector | Yearly Gain |
---|---|---|---|---|---|---|---|
Nike | Moderate Buy | 12 Buy 13 Hold 0 Sell | 11.58% Upside | $133.65B | Consumer Cyclical | -5.74% | |
Tesla | Hold | 6 Buy 5 Hold 3 Sell | -14.83% Downside | $824.28B | Consumer Cyclical | 4.66% | |
Stellantis | Moderate Buy | 6 Buy 5 Hold 2 Sell | 41.53% Upside | $40.80B | Consumer Cyclical | -26.68% | |
Carnival | Strong Buy | 10 Buy 0 Hold 1 Sell | 32.19% Upside | $22.59B | Consumer Cyclical | 32.11% | |
Gerresheimer | Strong Buy | 9 Buy 2 Hold 0 Sell | 44.32% Upside | $3.04B | Industrial Goods | -19.85% | |
Humana | Moderate Buy | 5 Buy 4 Hold 1 Sell | 44.89% Upside | $33.65B | Healthcare | -43.17% | |
Equinix | Strong Buy | 7 Buy 2 Hold 0 Sell | 4.08% Upside | $83.84B | Real Estate | 23.90% | |
Apollo Global Management | Strong Buy | 7 Buy 2 Hold 0 Sell | 1.07% Upside | $75.18B | Financial | 47.33% | |
IGM Biosciences | Moderate Buy | 5 Buy 2 Hold 1 Sell | 35.83% Upside | $860.12M | Healthcare | 116.09% | |
Paychex | Hold | 0 Buy 8 Hold 0 Sell | -5.12% Downside | $50.65B | Industrial Goods | 23.74% | |
McCormick & Company | Hold | 1 Buy 6 Hold 1 Sell | 2.85% Upside | $22.59B | Consumer Defensive | 12.54% | |
CVS Health | Moderate Buy | 4 Buy 3 Hold 0 Sell | 4.43% Upside | $77.42B | Healthcare | -11.13% | |
LPL Financial | Moderate Buy | 5 Buy 2 Hold 0 Sell | 19.21% Upside | $17.18B | Financial | -3.50% | |
Diamondback | Strong Buy | 7 Buy 0 Hold 0 Sell | 22.31% Upside | $52.32B | Energy | 18.19% | |
Fiserv | Strong Buy | 7 Buy 0 Hold 0 Sell | 3.07% Upside | $104.38B | Technology | 60.66% | |
Apple | Moderate Buy | 5 Buy 1 Hold 1 Sell | 9.63% Upside | $3.44T | Technology | 30.19% | |
Lamb Weston Holdings | Moderate Buy | 4 Buy 3 Hold 0 Sell | 3.26% Upside | $9.33B | Consumer Defensive | -29.62% | |
Resmed | Moderate Buy | 3 Buy 3 Hold 0 Sell | -2.38% Downside | $35.08B | Healthcare | 63.81% | |
TC Energy | Moderate Buy | 3 Buy 3 Hold 0 Sell | 4.75% Upside | $50.23B | Energy | 44.56% | |
United Natural Foods | Hold | 0 Buy 5 Hold 1 Sell | -9.00% Downside | $1.31B | Consumer Defensive | 66.74% | |
Prime Medicine, Inc. | Strong Buy | 4 Buy 2 Hold 0 Sell | 279.01% Upside | $414.11M | Healthcare | -60.53% | |
APA | Hold | 3 Buy 2 Hold 1 Sell | 33.00% Upside | $9.49B | Energy | -35.09% | |
Magnite | Strong Buy | 5 Buy 0 Hold 0 Sell | 51.70% Upside | $1.74B | Communication Services | 69.08% | |
Alnylam Pharma | Moderate Buy | 5 Buy 0 Hold 0 Sell | 12.73% Upside | $35.44B | Healthcare | 54.26% | |
Legend Biotech | Strong Buy | 4 Buy 1 Hold 0 Sell | 73.71% Upside | $8.70B | Healthcare | -26.84% | |
Marsh & Mclennan Companies | Hold | 0 Buy 4 Hold 1 Sell | -0.80% Downside | $109.56B | Financial | 18.02% | |
Prothena | Strong Buy | 3 Buy 2 Hold 0 Sell | 283.69% Upside | $895.44M | Healthcare | -64.25% | |
Baxter International | Hold | 0 Buy 4 Hold 1 Sell | 15.51% Upside | $18.83B | Healthcare | -1.18% | |
Boeing | Moderate Buy | 3 Buy 1 Hold 1 Sell | 35.84% Upside | $95.03B | Industrial Goods | -17.89% | |
Nordic Semiconductor ASA | Moderate Buy | 3 Buy 2 Hold 0 Sell | 31.65% Upside | $1.80B | Technology | -7.13% | |
Gritstone Oncology | Moderate Buy | 2 Buy 3 Hold 0 Sell | 628.16% Upside | $25.97M | Healthcare | -87.27% | |
Capstone Copper | Strong Buy | 5 Buy 0 Hold 0 Sell | 17.18% Upside | $6.06B | Basic Materials | 98.99% | |
Zeta Global Holdings Corp | Strong Buy | 5 Buy 0 Hold 0 Sell | 14.70% Upside | $6.83B | Technology | 264.37% | |
Devon Energy | Moderate Buy | 2 Buy 3 Hold 0 Sell | 32.74% Upside | $24.90B | Energy | -12.90% | |
Harmony Biosciences Holdings | Moderate Buy | 4 Buy 0 Hold 1 Sell | 46.19% Upside | $2.23B | Healthcare | 20.96% | |
Conagra Brands | Hold | 2 Buy 2 Hold 1 Sell | 2.46% Upside | $15.67B | Consumer Defensive | 23.33% | |
Ferrari | Moderate Buy | 3 Buy 2 Hold 0 Sell | 4.82% Upside | $111.41B | Consumer Cyclical | 53.70% | |
Shattuck Labs | Moderate Buy | 2 Buy 3 Hold 0 Sell | 60.00% Upside | $91.64M | Healthcare | 28.00% | |
Bank of America | Moderate Buy | 5 Buy 0 Hold 0 Sell | 16.42% Upside | $304.33B | Financial | 51.37% | |
Acuity Brands | Moderate Buy | 2 Buy 3 Hold 0 Sell | 9.51% Upside | $9.21B | Industrial Goods | 79.07% | |
Faurecia | Moderate Buy | 3 Buy 1 Hold 0 Sell | 54.74% Upside | $1.94B | Industrial Goods | -52.90% | |
Costco | Moderate Buy | 3 Buy 1 Hold 0 Sell | 6.72% Upside | $388.97B | Consumer Cyclical | 55.28% | |
Kite Realty Group | Moderate Buy | 4 Buy 0 Hold 0 Sell | 9.45% Upside | $5.77B | Real Estate | 25.35% | |
General Dynamics | Moderate Buy | 2 Buy 2 Hold 0 Sell | 7.59% Upside | $83.90B | Industrial Goods | 36.96% | |
TTEC Holdings | Moderate Buy | 3 Buy 1 Hold 0 Sell | -5.38% Downside | $285.39M | Technology | -77.79% | |
Walt Disney | Strong Buy | 3 Buy 1 Hold 0 Sell | 22.28% Upside | $170.57B | Communication Services | 15.16% | |
Savara | Strong Buy | 4 Buy 0 Hold 0 Sell | 162.82% Upside | $656.76M | Healthcare | 12.08% | |
Ford Motor | Moderate Buy | 1 Buy 2 Hold 1 Sell | 23.66% Upside | $42.73B | Consumer Cyclical | -12.67% | |
Joby Aviation | Moderate Buy | 3 Buy 0 Hold 1 Sell | 34.36% Upside | $3.44B | Industrial Goods | -22.45% | |
Kimco Realty | Moderate Buy | 1 Buy 3 Hold 0 Sell | 6.27% Upside | $15.56B | Real Estate | 34.97% | |
Integer Holdings | Moderate Buy | 3 Buy 1 Hold 0 Sell | 2.83% Upside | $4.26B | Healthcare | 62.98% | |
Coterra Energy | Strong Buy | 4 Buy 0 Hold 0 Sell | 29.21% Upside | $17.85B | Energy | -8.24% | |
Ovintiv | Moderate Buy | 3 Buy 1 Hold 0 Sell | 39.46% Upside | $10.63B | Energy | -11.90% | |
EOG Resources | Moderate Buy | 1 Buy 3 Hold 0 Sell | 12.73% Upside | $72.19B | Energy | 2.67% | |
Antero Resources | Moderate Buy | 1 Buy 2 Hold 1 Sell | 15.60% Upside | $8.91B | Energy | 18.48% | |
Meta Platforms | Strong Buy | 4 Buy 0 Hold 0 Sell | 5.65% Upside | $1.46T | Communication Services | 87.89% | |
Kezar Life Sciences | Hold | 1 Buy 3 Hold 0 Sell | 140.96% Upside | $57.70M | Healthcare | -31.30% | |
SEMrush Holdings | Strong Buy | 3 Buy 1 Hold 0 Sell | 28.34% Upside | $2.23B | Technology | 84.95% | |
Roche Holding AG | Hold | 1 Buy 2 Hold 1 Sell | 5.40% Upside | $252.92B | Healthcare | 17.39% | |
Ollie's Bargain Outlet Holding | Moderate Buy | 4 Buy 0 Hold 0 Sell | 5.12% Upside | $5.86B | Consumer Cyclical | 22.66% | |
Willis Towers Watson | Moderate Buy | 4 Buy 0 Hold 0 Sell | 5.18% Upside | $30.53B | Financial | 44.41% | |
Comerica | Moderate Buy | 0 Buy 3 Hold 0 Sell | 1.62% Upside | $7.74B | Financial | 44.92% | |
AstraZeneca | Moderate Buy | 3 Buy 0 Hold 0 Sell | 17.00% Upside | $243.20B | Healthcare | 7.76% | |
Snowflake | Moderate Buy | 1 Buy 2 Hold 0 Sell | 54.35% Upside | $36.95B | Technology | -25.91% | |
Caterpillar | Hold | 2 Buy 0 Hold 1 Sell | -10.33% Downside | $190.27B | Industrial Goods | 44.41% | |
Vonovia | Moderate Buy | 2 Buy 0 Hold 1 Sell | 6.56% Upside | $30.58B | Real Estate | 47.04% | |
Onto Innovation | Strong Buy | 3 Buy 0 Hold 0 Sell | 24.53% Upside | $9.90B | Technology | 58.16% | |
Fair Isaac | Moderate Buy | 2 Buy 1 Hold 0 Sell | -2.01% Downside | $46.97B | Technology | 121.83% | |
BCE | Hold | 0 Buy 3 Hold 0 Sell | 8.91% Upside | $31.81B | Communication Services | -4.91% | |
Amerant Bancorp | Moderate Buy | 3 Buy 0 Hold 0 Sell | 23.89% Upside | $838.11M | Financial | 16.22% | |
Synovus | Moderate Buy | 0 Buy 3 Hold 0 Sell | 16.93% Upside | $6.12B | Financial | 59.44% | |
US Bancorp | Moderate Buy | 2 Buy 1 Hold 0 Sell | 12.86% Upside | $69.38B | Financial | 38.33% | |
Wells Fargo | Moderate Buy | 3 Buy 0 Hold 0 Sell | 15.86% Upside | $188.53B | Financial | 39.84% | |
Cullen/Frost Bankers | Hold | 0 Buy 0 Hold 3 Sell | 11.01% Upside | $6.91B | Financial | 20.55% | |
Southwest Airlines | Hold | 1 Buy 1 Hold 1 Sell | -5.55% Downside | $17.90B | Industrial Goods | 9.89% | |
CarMax | Moderate Buy | 3 Buy 0 Hold 0 Sell | 14.13% Upside | $12.11B | Consumer Cyclical | 12.09% | |
Lowe's | Moderate Buy | 1 Buy 2 Hold 0 Sell | -0.43% Downside | $154.67B | Consumer Cyclical | 32.52% | |
Canadian Pacific Kansas City | Moderate Buy | 2 Buy 1 Hold 0 Sell | 12.44% Upside | $78.63B | Industrial Goods | 15.46% | |
Union Pacific | Moderate Buy | 2 Buy 1 Hold 0 Sell | 8.27% Upside | $149.59B | Industrial Goods | 21.18% | |
Norfolk Southern | Moderate Buy | 2 Buy 1 Hold 0 Sell | 7.68% Upside | $56.10B | Industrial Goods | 29.58% | |
Ameriprise Financial | Moderate Buy | 2 Buy 0 Hold 1 Sell | -1.89% Downside | $46.46B | Financial | 45.20% | |
Marathon Oil | Moderate Buy | 2 Buy 1 Hold 0 Sell | 10.44% Upside | $15.46B | Energy | 8.01% | |
Occidental Petroleum | Moderate Buy | 0 Buy 2 Hold 1 Sell | 28.18% Upside | $48.22B | Energy | -14.74% | |
TransUnion | Moderate Buy | 1 Buy 2 Hold 0 Sell | -1.79% Downside | $20.10B | Industrial Goods | 50.05% | |
Range Resources | Hold | 2 Buy 1 Hold 0 Sell | 11.61% Upside | $7.48B | Energy | 1.44% | |
Booz Allen | Moderate Buy | 2 Buy 0 Hold 1 Sell | 2.29% Upside | $21.11B | Industrial Goods | 43.87% | |
Alphabet Class A | Strong Buy | 2 Buy 1 Hold 0 Sell | 21.86% Upside | $2.06T | Communication Services | 24.46% | |
Pinterest | Moderate Buy | 3 Buy 0 Hold 0 Sell | 28.55% Upside | $22.48B | Communication Services | 21.15% | |
SITE Centers | Moderate Buy | 0 Buy 3 Hold 0 Sell | 250.66% Upside | $893.78M | Real Estate | -64.75% | |
T Mobile US | Strong Buy | 3 Buy 0 Hold 0 Sell | 5.16% Upside | $240.47B | Communication Services | 51.07% | |
GE Vernova Inc. | Strong Buy | 2 Buy 1 Hold 0 Sell | 7.61% Upside | $70.49B | General | ― | |
General Motors | Moderate Buy | 2 Buy 0 Hold 1 Sell | 27.51% Upside | $50.44B | Consumer Cyclical | 38.22% | |
Charles Schwab | Moderate Buy | 0 Buy 2 Hold 1 Sell | 18.39% Upside | $116.91B | Financial | 19.35% | |
Rightmove | Hold | 1 Buy 0 Hold 2 Sell | 7.01% Upside | $6.58B | Communication Services | 13.60% | |
Interpublic Group of Companies | Moderate Sell | 0 Buy 2 Hold 1 Sell | -3.12% Downside | $11.73B | Communication Services | 8.97% | |
Johnson Controls | Moderate Buy | 1 Buy 2 Hold 0 Sell | 3.77% Upside | $51.31B | Industrial Goods | 46.64% | |
RPM International | Moderate Buy | 1 Buy 2 Hold 0 Sell | -1.43% Downside | $15.46B | Basic Materials | 27.50% | |
Citigroup | Moderate Buy | 2 Buy 1 Hold 0 Sell | 15.57% Upside | $117.92B | Financial | 52.62% | |
BridgeBio Pharma | Strong Buy | 2 Buy 1 Hold 0 Sell | 81.18% Upside | $4.66B | Healthcare | -2.40% | |
JPMorgan Chase & Co. | Moderate Buy | 2 Buy 1 Hold 0 Sell | 8.85% Upside | $589.06B | Financial | 44.01% |