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Most Active Stocks on Twitter - One Day ending 9/21/2018

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
$MU Micron Technology Inc. Technology Semiconductors 735 1,320 2,392 3,023 3,741 6,601 9,674 22,366 31,102 38,839
$TSLA Tesla Motors Inc. Capital Goods Auto Manufacturing 547 3,848 7,962 13,546 16,906 49,335 66,229 118,525 137,478 160,632
$AMZN Amazon.com Inc. Consumer Services Catalog/Specialty Distribution 310 1,695 3,185 4,954 8,069 17,126 24,771 48,091 67,734 87,287
$AAPL Apple Inc. Technology Computer Manufacturing 249 1,372 4,058 5,328 6,920 18,893 23,364 42,526 67,870 87,170
$FB Facebook Inc. Technology Computer Software: Programming Data Processing 208 1,252 2,234 3,846 5,285 20,424 25,012 49,498 68,383 82,908
$AMD Advanced Micro Devices Inc. Technology Semiconductors 206 747 3,077 4,516 7,260 11,381 13,186 21,356 28,074 35,214
$NFLX Netflix Inc. Consumer Services Consumer Electronics/Video Chains 185 1,089 1,957 2,924 4,760 10,401 19,178 37,290 54,149 65,498
$TWTR Twitter Inc. Technology Computer Software: Programming Data Processing 128 741 1,516 2,460 3,676 12,078 16,489 31,539 46,389 56,886
$BABA Alibaba Group Holding Consumer Services Catalog/Specialty Distribution 119 700 1,866 2,452 4,302 8,626 11,549 21,391 33,073 44,734
$MSFT Microsoft Corporation Technology Computer Software: Prepackaged Software 117 459 1,055 1,357 1,784 4,515 7,038 13,655 19,290 24,275
$GOOGL Alphabet Inc CL A Technology Computer Software: Programming Data Processing 115 602 1,083 1,654 2,769 7,037 9,445 18,812 24,887 32,214
$NVDA NVIDIA Corporation Technology Semiconductors 114 613 1,170 1,525 2,251 6,046 8,222 21,647 34,384 49,377
$ACAD ACADIA Pharmaceuticals Inc. Health Care Major Pharmaceuticals 106 245 264 270 297 566 908 1,994 2,851 3,664
$MCO Moodys Corporation Finance Finance: Consumer Services 96 504 644 689 734 882 1,084 10,062 18,373 27,372
$JPM J P Morgan Chase & Co Finance Major Banks 83 427 668 830 1,193 2,758 5,233 9,636 13,882 17,757
$MCD McDonalds Corporation Consumer Services Restaurants 82 164 282 364 542 1,245 1,655 3,618 6,033 8,150
$GLD SPDR Gold Shares ETF Basic Industries Precious Metals 80 393 819 1,212 2,022 4,613 7,292 18,999 31,676 40,467
$INTC Intel Corporation Technology Semiconductors 80 277 571 724 1,128 2,955 4,082 9,102 14,835 19,178
$DIS Walt Disney Company (The) Consumer Services Television Services 78 332 526 708 1,098 2,911 4,546 9,828 13,772 19,031
$NKE Nike Inc. Consumer Non-Durables Shoe Manufacturing 74 348 934 2,819 2,966 3,644 4,211 6,042 7,968 10,860
$ABT Abbott Laboratories Health Care Major Pharmaceuticals 70 260 622 731 868 1,392 1,995 7,962 9,416 10,285
$WMT Wal-Mart Stores Inc. Consumer Services Department/Specialty Retail Stores 69 216 453 633 952 2,944 3,798 7,052 11,600 15,753
$BA Boeing Company (The) Capital Goods Aerospace 68 432 854 1,129 1,476 3,116 4,347 9,391 15,895 19,096
$GDX Market Vectors ETF Trust Market Vectors Gold Miners Basic Industries Precious Metals 68 286 582 840 1,242 2,494 3,267 6,466 10,532 14,288
$GOOG Alphabet Inc. Technology Computer Software: Programming Data Processing 66 292 538 817 1,166 3,119 4,827 11,438 15,576 19,645
$XLF Financial Select Sector SPDR ETF Finance Diversified Financial Services 66 389 547 660 848 1,892 3,745 7,995 10,824 14,137
$SRPT Sarepta Therapeutics Inc. Health Care Major Pharmaceuticals 64 261 431 520 730 1,415 2,000 4,904 7,422 9,744
$SNAP Snap Inc Technology Computer Software: Programming Data Processing 60 254 928 1,347 1,631 3,492 4,995 12,013 19,120 24,984
$XLK Select Sector SPDR-Technology ETF Technology Diversified Commercial Services 56 196 353 497 689 1,465 2,079 5,072 7,686 9,482
$TXN Texas Instruments Incorporated Technology Semiconductors 53 90 157 177 246 599 850 1,780 2,918 3,818
$ADBE Adobe Systems Incorporated Technology Computer Software: Prepackaged Software 51 166 447 525 726 1,162 1,560 3,262 4,886 6,512
$MRK Merck & Company Inc. Health Care Major Pharmaceuticals 48 241 376 539 868 2,056 2,738 5,423 7,988 10,371
$CCL Carnival Corporation Transportation Marine Transportation 48 177 348 370 426 577 866 1,480 2,000 2,520
$WFC Wells Fargo & Company Finance Major Banks 47 152 310 402 630 1,549 2,942 5,301 8,226 10,911
$CSCO Cisco Systems Inc. Technology Computer Communications Equipment 44 104 192 294 622 1,622 2,123 4,371 7,054 9,546
$SQ Square, Inc. Technology Computer Software: Prepackaged Software 44 324 612 993 1,796 3,769 5,076 11,157 17,605 24,456
$C Citigroup Inc. Finance Major Banks 43 239 389 514 820 1,686 3,345 6,931 10,068 13,368
$BAC Bank of America Corporation Finance Major Banks 42 320 480 662 980 2,606 4,996 10,599 15,612 20,284
$RHT Red Hat Inc. Technology Computer Software: Programming Data Processing 42 253 360 406 519 700 1,158 2,298 3,110 3,962
$GOLD Randgold Resources Limited Basic Industries Precious Metals 41 156 366 545 948 2,448 3,907 7,959 11,642 13,940
$KEY KeyCorp Finance Major Banks 41 140 295 340 481 872 1,390 4,278 6,562 6,928
$DDD 3D Systems Corporation Technology Computer Software: Prepackaged Software 40 159 311 361 508 1,178 1,400 2,608 3,428 4,196
$RIG Transocean Ltd. Energy Oil & Gas Production 40 122 169 262 317 684 1,117 2,666 3,550 4,330
$MA Mastercard Incorporated Miscellaneous Business Services 40 154 266 340 568 1,154 1,528 3,066 4,534 5,746
$FDX FedEx Corporation Transportation Air Freight/Delivery Services 39 222 312 372 477 761 1,239 2,811 4,520 5,908
$KO Coca-Cola Company (The) Consumer Non-Durables Beverages (Production/Distribution) 39 328 415 502 772 1,569 2,249 3,983 5,814 7,356
$V Visa Inc. Miscellaneous Business Services 39 180 336 450 637 1,565 2,260 4,754 7,056 8,367
$MDT Medtronic Inc. Health Care Biotechnology: Electromedical & Electrotherapeutic Apparatus 38 80 120 193 339 886 1,272 4,850 7,558 8,429
$BOX Box Inc. Technology Computer Software: Prepackaged Software 38 154 366 419 696 984 1,465 3,611 4,075 4,528
$PFE Pfizer Inc. Health Care Major Pharmaceuticals 38 244 426 552 1,007 2,296 3,341 5,578 8,583 10,766
$CNX CONSOL Energy Inc. Energy Coal Mining 37 146 569 699 822 1,033 1,412 6,632 11,128 13,620
$BX The Blackstone Group L.P. Finance Investment Managers 37 109 135 164 194 450 754 1,482 2,389 3,082
$TLT iShares 20+ Year Treasury Bond ET n/a n/a 37 295 489 598 863 1,768 2,596 6,414 10,986 14,152
$IBB iShares NASDAQ Biotechnology Index Fund n/a n/a 36 157 250 367 732 1,391 1,955 4,434 8,234 14,150
$GE General Electric Company Consumer Durables Consumer Electronics/Appliances 36 293 515 697 1,031 2,390 4,194 10,322 17,403 24,537
$CMG Chipotle Mexican Grill Inc. Consumer Services Restaurants 36 152 315 428 845 2,424 3,150 6,275 9,154 13,720
$CAT Caterpillar Inc. Capital Goods Construction/Ag Equipment/Trucks 35 288 464 633 914 2,308 3,203 8,829 15,246 18,683
$PM Philip Morris International Inc Consumer Non-Durables Farming/Seeds/Milling 34 101 174 217 322 832 1,436 3,030 3,908 4,685
$CRM Salesforce.com Inc Technology Computer Software: Prepackaged Software 33 119 324 477 1,057 1,669 2,373 4,498 6,447 7,996
$FEYE FireEye Inc. Technology Computer peripheral equipment 33 91 124 160 435 631 808 1,757 2,892 3,494
$EA Electronic Arts Inc. Technology Computer Software: Prepackaged Software 33 92 205 312 896 1,670 1,993 3,093 4,455 5,862
$EWZ iShares MSCI Brazil Capped ET n/a n/a 32 113 194 268 441 675 1,067 2,084 2,659 3,278
$RIO Rio Tinto Plc Basic Industries Precious Metals 32 74 98 116 157 448 664 1,420 2,362 3,160
$TGT Target Corporation Consumer Services Department/Specialty Retail Stores 31 127 239 360 1,152 1,980 2,529 6,581 12,075 15,189
$XLY Consumer Discretinary Select Sector SPDR ETF Consumer Services Other Consumer Services 31 86 162 211 359 687 958 2,186 3,393 4,374
$SPLK Splunk Inc. Technology Computer Software: Prepackaged Software 30 99 140 174 538 626 784 1,712 2,460 3,098
$XOM Exxon Mobil Corporation Energy Integrated oil Companies 30 121 376 530 702 2,006 3,320 6,732 10,080 12,192
$LLY Eli Lilly and Company Health Care Major Pharmaceuticals 29 112 173 232 341 1,062 1,308 2,546 3,640 4,498
$SAN Banco Santander S.A. Finance Commercial Banks 29 138 306 336 443 918 1,416 5,943 10,957 14,282
$GERN Geron Corporation Health Care Major Pharmaceuticals 28 98 513 664 1,287 1,601 1,843 4,930 5,732 5,992
$EEM iShares MSCI Emerging Markets ETF n/a n/a 28 146 432 687 1,068 1,974 2,835 5,305 7,205 8,857
$HD Home Depot Inc. (The) Consumer Services RETAIL: Building Materials 28 157 562 740 975 2,018 2,462 4,786 7,539 10,103
$DRYS DryShips Inc. Transportation Marine Transportation 28 140 172 247 342 808 1,548 2,748 4,308 7,476
$IBM International Business Machines Corporation Technology Computer Manufacturing 28 103 246 346 522 1,237 2,205 4,162 7,348 10,959
$UUP PowerShares DB US Dollar Index Bullish ETF n/a n/a 28 87 183 239 387 744 1,058 2,570 3,908 5,551
$ETN Eaton Corporation PLC Capital Goods Industrial Machinery/Components 28 112 300 323 678 1,645 2,726 16,061 24,668 29,108
$JNJ Johnson & Johnson Health Care Major Pharmaceuticals 27 222 390 578 866 1,778 2,822 5,282 8,058 11,484
$CMCSA Comcast Corporation Consumer Services Television Services 27 101 172 218 323 834 1,576 3,997 5,859 7,277
$LMT Lockheed Martin Corporation Consumer Services Military/Government/Technical 26 154 267 355 480 920 1,246 2,513 4,053 4,938
$TEL TE Connectivity Ltd. Capital Goods Electronic Components 25 102 248 418 536 837 1,010 3,904 6,690 7,077
$X United States Steel Corporation Capital Goods Steel/Iron Ore 25 101 173 236 466 1,314 1,900 4,556 8,376 11,416
$COP ConocoPhillips Energy Integrated oil Companies 24 85 268 332 460 1,139 1,604 3,190 3,896 4,468
$DAL Delta Air Lines Inc. Transportation Air Freight/Delivery Services 24 53 115 165 293 734 1,274 2,445 3,996 5,268
$F Ford Motor Company Capital Goods Auto Manufacturing 24 156 300 535 878 2,117 3,498 7,786 10,242 12,368
$GILD Gilead Sciences Inc. Health Care Biotechnology: Biological Products (No Diagnostic Substances) 22 208 408 517 692 1,604 2,310 5,257 8,934 14,108
$RF Regions Financial Corporation Finance Major Banks 22 83 106 125 170 458 758 1,473 1,820 2,144
$THC Tenet Healthcare Corporation Health Care Hospital/Nursing Management 22 73 156 236 376 833 1,146 6,085 13,299 18,754
$NVAX Novavax Inc. Health Care Biotechnology: Biological Products (No Diagnostic Substances) 22 26 31 34 62 153 232 888 2,761 3,179
$UTX United Technologies Corporation Capital Goods Aerospace 21 79 137 174 257 542 748 1,392 2,626 3,384
$ABBV AbbVie Inc. Health Care Major Pharmaceuticals 21 110 179 220 318 1,176 2,022 4,574 6,688 8,229
$DUK Duke Energy Corporation Public Utilities Power Generation 20 42 67 86 145 386 518 927 1,607 1,916
$FL Foot Locker Inc. Consumer Services Clothing/Shoe/Accessory Stores 20 66 103 128 359 584 690 1,607 2,306 3,245
$KNDI Kandi Technologies Group Inc. Capital Goods Auto Manufacturing 20 84 141 158 176 226 294 642 1,184 2,036
$SLV iShares Silver Trust ETF Basic Industries Precious Metals 20 130 266 424 657 1,387 2,184 5,175 7,825 10,201
$AMGN Amgen Inc. Health Care Biotechnology: Biological Products (No Diagnostic Substances) 20 82 228 291 397 856 1,184 2,379 4,079 6,046
$XLNX Xilinx Inc. Technology Semiconductors 20 40 46 53 127 302 363 774 1,218 1,541
$RDN Radian Group Inc. Finance Property-Casualty Insurers 20 122 464 520 613 881 1,172 13,883 22,785 29,601
$SBUX Starbucks Corporation Consumer Services Restaurants 18 95 182 286 526 1,346 2,310 5,050 7,191 9,514
$BB BlackBerry Limited Public Utilities Telecommunications Equipment 18 89 220 294 514 834 1,554 3,042 5,850 7,817
$BIIB Biogen Idec Inc. Health Care Biotechnology: Biological Products (No Diagnostic Substances) 18 51 72 120 192 1,178 1,895 2,962 4,119 5,306