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Most Active Stocks on Twitter - One Day ending 3/27/2020

Symbol Company Name Sector Industry One Day One Week Two Weeks Three Weeks One Month Two Months Three Months Six Months Nine Months One Year
$TSLA Tesla Motors Inc. Capital Goods Auto Manufacturing 308 1,856 4,587 7,064 10,164 38,516 53,285 77,174 93,621 126,694
$BA Boeing Company (The) Capital Goods Aerospace 243 2,081 4,095 5,359 5,944 8,310 12,154 18,092 23,078 29,191
$AAPL Apple Inc. Technology Computer Manufacturing 156 1,182 2,538 4,213 6,302 14,128 19,425 33,201 45,056 59,254
$CCL Carnival Corporation Transportation Marine Transportation 128 510 814 1,362 1,692 2,107 2,260 2,588 2,866 3,101
$NFLX Netflix Inc. Consumer Services Consumer Electronics/Video Chains 117 569 1,037 1,581 2,284 5,053 8,333 16,556 26,314 34,801
$AMZN Amazon.com Inc. Consumer Services Catalog/Specialty Distribution 113 745 1,840 2,652 3,566 9,364 12,904 23,230 32,850 43,856
$FB Facebook Inc. Technology Computer Software: Programming Data Processing 84 592 1,060 1,620 2,224 5,329 7,280 14,227 21,238 29,840
$MSFT Microsoft Corporation Technology Computer Software: Prepackaged Software 72 496 1,063 1,740 2,486 6,019 7,733 12,448 16,741 20,857
$LULU lululemon athletica inc. Consumer Non-Durables Apparel 72 145 197 229 256 513 766 1,990 2,925 4,424
$DIS Walt Disney Company (The) Consumer Services Television Services 62 422 1,020 2,032 2,641 4,942 6,460 12,812 17,464 23,259
$OPK Opko Health Inc Health Care Major Pharmaceuticals 60 214 554 1,330 1,794 1,828 1,892 2,082 2,230 2,510
$GLD SPDR Gold Shares ETF Basic Industries Precious Metals 52 534 1,058 1,690 2,494 4,378 5,557 8,318 12,968 17,386
$NVDA NVIDIA Corporation Technology Semiconductors 48 367 673 978 1,449 3,370 4,256 8,012 11,608 16,192
$TWTR Twitter Inc. Technology Computer Software: Programming Data Processing 47 270 554 1,008 1,510 3,232 4,230 8,774 13,043 17,098
$GME Gamestop Corporation Consumer Services Electronics Distribution 45 133 202 239 264 434 682 1,175 1,969 2,782
$BAC Bank of America Corporation Finance Major Banks 43 202 414 770 1,032 1,498 2,173 4,316 6,276 8,248
$JPM J P Morgan Chase & Co Finance Major Banks 42 219 435 769 1,046 1,461 2,340 4,663 6,814 8,778
$GILD Gilead Sciences Inc. Health Care Biotechnology: Biological Products (No Diagnostic Substances) 42 238 654 1,086 1,772 3,318 3,661 4,482 5,155 5,979
$AMD Advanced Micro Devices Inc. Technology Semiconductors 41 380 721 1,127 1,723 4,019 5,829 10,741 15,808 21,192
$CAKE The Cheesecake Factory Incorporated Consumer Services Restaurants 40 141 173 198 207 222 231 295 366 408
$BABA Alibaba Group Holding Consumer Services Catalog/Specialty Distribution 40 226 406 636 948 2,474 3,530 7,212 10,451 14,627
$GOOG Alphabet Inc. Technology Computer Software: Programming Data Processing 39 199 382 634 902 2,007 2,840 4,830 6,946 9,858
$NKE Nike Inc. Consumer Non-Durables Shoe Manufacturing 38 284 339 422 497 816 1,117 2,603 4,113 4,893
$F Ford Motor Company Capital Goods Auto Manufacturing 37 302 622 844 993 1,784 2,224 3,402 4,866 6,468
$SQ Square, Inc. Technology Computer Software: Prepackaged Software 36 288 536 696 969 2,446 3,135 4,664 7,274 9,415
$GM General Motors Company Capital Goods Auto Manufacturing 35 119 240 314 413 800 1,107 2,002 2,744 3,501
$CVS CVS Corporation Health Care Medical/Nursing Services 34 99 140 186 259 577 794 1,532 2,325 3,610
$CL Colgate-Palmolive Company Consumer Non-Durables Package Goods/Cosmetics 34 125 299 539 704 1,498 2,100 5,107 7,834 10,444
$GE General Electric Company Consumer Durables Consumer Electronics/Appliances 34 244 439 678 899 1,936 2,710 5,214 8,261 10,742
$GOLD Randgold Resources Limited Basic Industries Precious Metals 34 392 805 1,372 1,966 3,418 4,440 6,662 10,426 13,575
$DAL Delta Air Lines Inc. Transportation Air Freight/Delivery Services 34 290 712 1,038 1,354 1,631 1,942 2,730 3,336 3,849
$UBER Uber Technologies, Inc Miscellaneous Business Services 34 271 744 998 1,228 2,411 3,324 6,699 9,075 13,602
$LQD iShares iBoxx $ Investment Grade Corporate Bond ETF n/a n/a 34 166 282 388 411 442 471 542 645 776
$INTC Intel Corporation Technology Semiconductors 33 138 231 320 425 929 1,783 3,389 4,642 6,805
$OXY Occidental Petroleum Corporation Energy Oil & Gas Production 31 167 299 859 966 1,164 1,524 2,186 2,698 3,726
$WMT Wal-Mart Stores Inc. Consumer Services Department/Specialty Retail Stores 30 156 475 692 826 1,370 1,786 3,673 6,000 8,192
$GOOGL Alphabet Inc CL A Technology Computer Software: Programming Data Processing 30 211 400 615 844 2,248 3,317 6,332 9,618 14,050
$C Citigroup Inc. Finance Major Banks 29 116 230 381 486 722 1,288 2,563 4,206 5,530
$SBUX Starbucks Corporation Consumer Services Restaurants 28 234 494 648 837 1,616 2,113 3,521 5,473 6,744
$UAL United Continental Holdings Inc. Transportation Air Freight/Delivery Services 27 179 502 722 935 1,267 1,414 1,778 2,203 2,578
$KR Kroger Company (The) Consumer Non-Durables Food Chains 27 105 252 300 439 603 668 1,073 1,534 1,964
$NVAX Novavax Inc. Health Care Biotechnology: Biological Products (No Diagnostic Substances) 26 194 345 525 849 1,347 2,057 2,160 2,445 2,842
$KO Coca-Cola Company (The) Consumer Non-Durables Beverages (Production/Distribution) 26 139 234 306 375 724 1,087 2,141 3,316 4,244
$AMRN Amarin Corporation PLC Health Care Major Pharmaceuticals 26 96 181 341 475 1,238 2,161 6,525 9,474 11,142
$M Macys Inc Consumer Services Department/Specialty Retail Stores 25 150 260 360 472 955 1,428 2,800 4,088 4,887
$MU Micron Technology Inc. Technology Semiconductors 25 199 265 342 446 965 1,695 3,479 6,105 8,124
$TLT iShares 20+ Year Treasury Bond ET n/a n/a 24 195 622 1,356 2,158 3,293 3,950 5,690 8,920 11,434
$JNK SPDR Barclays High Yield Bond ETF n/a n/a 24 46 111 172 236 291 354 560 769 1,081
$GDX Market Vectors ETF Trust Market Vectors Gold Miners Basic Industries Precious Metals 23 196 462 703 1,098 2,097 2,772 4,425 6,546 8,538
$GDXJ Market Vectors Junior Gold Miners ETF Basic Industries Precious Metals 23 98 223 352 466 790 1,050 1,628 2,310 3,060
$GS Goldman Sachs Group Inc. (The) Finance Investment Bankers/Brokers/Service 23 166 333 514 690 1,063 1,709 3,310 5,198 7,056
$WFC Wells Fargo & Company Finance Major Banks 22 104 225 384 580 818 1,355 2,370 3,644 4,760
$SNAP Snap Inc Technology Computer Software: Programming Data Processing 22 128 230 366 577 1,378 2,262 4,219 7,561 10,329
$WYNN Wynn Resorts Limited Consumer Services Hotels/Resorts 21 158 364 456 608 1,406 1,730 2,447 3,128 3,906
$GRPN Groupon Inc. Technology Advertising 20 56 79 175 213 389 440 566 680 750
$X United States Steel Corporation Capital Goods Steel/Iron Ore 19 169 332 459 564 1,138 1,568 3,398 4,865 6,649
$XOM Exxon Mobil Corporation Energy Integrated oil Companies 19 197 442 957 1,270 2,412 2,840 3,906 4,696 5,448
$BBBY Bed Bath & Beyond Inc. Consumer Services Home Furnishings 19 38 81 116 161 518 968 1,950 2,746 3,443
$COST Costco Wholesale Corporation Consumer Services Department/Specialty Retail Stores 18 118 358 546 1,035 1,459 1,966 3,526 4,813 5,655
$CHK Chesapeake Energy Corporation Energy Oil & Gas Production 18 60 121 210 294 621 842 1,860 2,700 3,524
$MCD McDonalds Corporation Consumer Services Restaurants 18 117 317 392 462 904 1,537 3,583 5,166 6,874
$VZ Verizon Communications Inc. Public Utilities Telecommunications Equipment 18 89 146 220 312 716 983 1,954 2,542 3,258
$MDT Medtronic Inc. Health Care Biotechnology: Electromedical & Electrotherapeutic Apparatus 17 64 86 98 123 301 430 860 1,286 1,624
$ABT Abbott Laboratories Health Care Major Pharmaceuticals 17 30 68 78 110 260 418 851 1,193 1,467
$SLV iShares Silver Trust ETF Basic Industries Precious Metals 16 178 317 472 634 1,205 1,534 2,350 4,160 5,155
$PG Procter & Gamble Company (The) Consumer Non-Durables Package Goods/Cosmetics 16 46 128 192 257 569 886 1,911 2,692 3,454
$JNJ Johnson & Johnson Health Care Major Pharmaceuticals 16 99 205 280 408 865 1,326 2,977 4,473 5,654
$MGM MGM Resorts International Consumer Services Hotels/Resorts 16 172 346 425 504 749 834 1,034 1,283 1,512
$HD Home Depot Inc. (The) Consumer Services RETAIL: Building Materials 15 118 205 268 362 792 1,322 3,467 4,851 6,042
$IBB iShares NASDAQ Biotechnology Index Fund n/a n/a 15 54 145 230 300 588 842 1,771 2,470 3,664
$STZ Constellation Brands Inc Consumer Non-Durables Beverages (Production/Distribution) 15 44 67 84 119 258 480 1,078 1,565 2,205
$MRK Merck & Company Inc. Health Care Major Pharmaceuticals 14 54 100 140 198 482 875 1,904 3,009 4,199
$IMAX Imax Corporation Capital Goods Industrial Machinery/Components 14 28 42 56 62 81 91 106 132 157
$MMM 3M Company Health Care Medical/Dental Instruments 14 95 152 229 379 948 1,112 1,639 2,183 3,314
$REGN Regeneron Pharmaceuticals Inc. Health Care Major Pharmaceuticals 14 56 222 287 409 807 1,062 1,500 1,913 2,356
$RMTI Rockwell Medical Inc. Health Care Biotechnology: Electromedical & Electrotherapeutic Apparatus 14 18 41 74 134 200 230 264 332 398
$WBA Walgreen Boots Alliance Health Care Medical/Nursing Services 14 30 100 123 156 306 505 1,182 1,803 2,768
$KBH KB Home Capital Goods Homebuilding 14 32 34 42 50 65 94 226 411 524
$UTX United Technologies Corporation Capital Goods Aerospace 13 38 60 79 105 221 328 609 970 1,441
$V Visa Inc. Miscellaneous Business Services 13 124 258 378 498 1,166 1,682 2,912 3,989 5,061
$UUP PowerShares DB US Dollar Index Bullish ETF n/a n/a 13 67 135 161 192 238 284 438 680 994
$EXEL Exelixis Inc. Health Care Biotechnology: Commercial Physical & Biological Resarch 13 24 33 42 54 160 253 509 746 905
$TZA Direxion Daily Small Cap Bear 3x Shares ETF n/a n/a 13 31 44 67 85 184 238 318 447 612
$TMO Thermo Fisher Scientific Inc Capital Goods Industrial Machinery/Components 13 23 54 66 122 164 231 452 578 731
$LVS Las Vegas Sands Corp. Consumer Services Hotels/Resorts 13 40 128 173 196 380 527 711 966 1,271
$CLX Clorox Company (The) Consumer Durables Specialty Chemicals 12 54 202 290 406 604 673 829 1,006 1,180
$BMY Bristol-Myers Squibb Company Health Care Major Pharmaceuticals 12 70 114 156 214 597 924 2,070 2,916 3,864
$DRI Darden Restaurants Inc. Consumer Services Restaurants 12 52 135 150 164 254 343 557 735 954
$HAL Halliburton Company Energy Oilfield Services/Equipment 12 80 143 290 376 464 634 1,126 1,630 2,180
$QCOM QUALCOMM Incorporated Technology Radio And Television Broadcasting And Communications Equipment 11 42 72 116 190 639 1,030 1,915 2,888 5,890
$RAD Rite Aid Corporation Health Care Medical/Nursing Services 11 38 152 187 276 508 1,043 1,976 2,404 2,958
$SQQQ ProShares UltraPro Short QQQ n/a n/a 11 78 150 323 405 600 700 890 1,194 1,584
$XLF Financial Select Sector SPDR ETF Finance Diversified Financial Services 11 66 146 321 439 718 892 1,696 2,741 3,946
$CMG Chipotle Mexican Grill Inc. Consumer Services Restaurants 11 61 170 218 313 704 1,008 2,397 4,169 5,878
$MA Mastercard Incorporated Miscellaneous Business Services 11 122 201 313 433 946 1,276 2,225 3,090 3,720
$NBR Nabors Industries Ltd. Energy Oil & Gas Production 10 21 24 39 49 61 80 242 398 554
$LUV Southwest Airlines Company Transportation Air Freight/Delivery Services 10 74 216 320 425 594 766 1,063 1,375 1,673
$MS Morgan Stanley Finance Investment Bankers/Brokers/Service 10 59 102 153 213 566 1,044 1,958 2,951 3,956
$CSCO Cisco Systems Inc. Technology Computer Communications Equipment 10 99 187 286 382 864 1,101 2,208 3,319 4,466
$PEP Pepsico Inc. Consumer Non-Durables Beverages (Production/Distribution) 10 49 79 145 194 477 719 1,649 2,635 3,253