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Bank Of America Corporation  (NYSE: BAC)
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    Sector  Financial    Industry Commercial Banks
   Industry Commercial Banks
   Sector  Financial
 

Bank Of America 's Suppliers Data

(in $ except Marketcap in Millions of $)



 
COMPANY NAME TICKER MARKET CAP REV./EMPLOYEE INC./EMPLOYEE
Bank Of America Corporation BAC 353,571 476,659 128,359
Federal National Mortgage Association Fannie Mae FNMA 58,871 4,349,286 2,331,286
Federal Home Loan Mortgage Corporation FMCC 26,422 3,071,214 1,485,007
Oracle Corporation ORCL 589,659 668,610 76,472
Jpmorgan Chase and Co JPM 776,683 544,753 187,926
Visa Inc V 668,337 1,190,538 629,304
Citigroup inc C 150,593 341,552 56,623
Hewlett Packard Enterprise Company HPE 23,743 518,836 23,852
Salesforce Inc CRM 252,811 489,158 57,015
Hp inc HPQ 23,049 1,064,667 49,353
International Business Machines Corporation IBM 265,629 205,804 17,927
Mastercard Incorporated MA 487,135 870,329 393,503
Dell Technologies Inc DELL 84,082 829,250 29,676
American Express Company AXP 209,610 1,517,708 137,748
Ishares Gold Trust IAU 43,614 - -
Accenture Plc ACN 180,985 86,849 9,936
Super Micro Computer Inc SMCI 28,180 7,703,160 411,051
Tuya Inc TUYA 1,383 229,562 3,844
Nasdaq Inc NDAQ 50,014 916,833 149,795
Intercontinental Exchange Inc ICE 102,954 932,764 214,113
News Corporation NWSA 16,222 393,347 26,569
Fiserv Inc FI 92,261 492,929 78,000
Uipath Inc PATH 6,680 343,363 -21,640
Fidelity National Information Services Inc FIS 42,570 169,867 13,433
Marqeta Inc MQ 2,752 685,301 71,449
Cognizant Technology Solutions Corporation CTSH 37,358 57,783 6,779
Ishares Silver Trust SLV 16,044 - -
Thomson Reuters Corporation TRI 90,073 272,851 108,233
Adobe Inc ADBE 165,091 735,916 225,447
Synchrony Financial SYF 24,276 612,150 144,050
Capital one financial corp COF 76,186 544,521 92,292
Arch Capital Group Ltd ACGL 34,436 2,839,375 588,438
Hello Group Inc MOMO 3,093 1,290,920 127,047
Cme Group Inc CME 98,699 1,762,833 2,278,457
Cloudflare Inc NET 61,988 480,410 -22,192
The Western Union Company WU 2,876 460,467 101,667
Pure Storage Inc PSTG 16,843 485,940 13,721
D r Horton Inc DHI 38,999 3,745,381 460,028
Spdr Gold Trust GLD 95,851 - -
Nutanix Inc NTNX 21,595 657,482 6,382
Lennar Corp LEN 29,245 2,885,172 322,994
Fidelity National Financial Inc FNF 14,881 262,745 24,148
Blend Labs Inc BLND 823 284,002 -59,570
Sprinklr Inc CXM 2,058 209,237 9,158
Microstrategy Incorporated MSTR 94,818 237,240 -2,756,418
Ss and c Technologies Holdings Inc SSNC 20,247 794,733 108,920
Discover Financial Services DFS 50,318 632,370 222,844
Old Republic International Corporation ORI 9,314 1,189,943 111,729
Clearwater Analytics Holdings Inc CWAN 5,237 270,054 246,176
Kyndryl Holdings Inc KD 9,242 188,213 3,150
Cleartronic Inc CLRI 3 215,062 -21,574
Slm Corp SLM 6,789 1,725,155 741,588
Zeta Global Holdings Corp ZETA 3,014 603,043 -29,055
Cellebrite Di Ltd CLBT 3,241 400,610 -283,007
Netapp Inc NTAP 21,480 556,949 100,508
Pultegroup Inc PHM 20,666 2,803,265 461,154
Transunion TRU 16,796 992,175 96,250
Splunk Inc SPLK 29,181 416,477 -132,675
Moody s Corporation MCO 84,929 592,295 172,705
Engagesmart Inc ESMT 3,925 615,280 42,164
Zscaler Inc ZS 46,928 346,436 -5,277
Momentive Global Inc MNTV 1,410 482,752 -76,329
Fastly Inc FSLY 969 458,577 -127,406
Jamf Holding Corp JAMF 1,273 267,733 -19,751
Ncr Voyix Corporation VYX 1,624 - -
H and r Block Inc HRB 7,465 12,375 1,881
Extreme Networks Inc EXTR 2,238 409,888 -20,281
Amplitude Inc AMPL 1,506 453,870 -140,874
Paymentus Holdings Inc PAY 4,137 104,349 5,509
Equifax Inc EFX 31,988 384,812 41,275
Tenable Holdings Inc TENB 3,877 461,731 -9,690
Sumo Logic Inc SUMO 1,418 302,656 -154,206
Ncino Inc NCNO 3,084 268,199 -19,210
Jfrog Ltd FROG 4,615 321,934 -56,392
Varonis Systems Inc VRNS 5,518 238,086 -37,846
Aci Worldwide Inc ACIW 4,763 520,808 83,979
Cboe Global Markets Inc CBOE 23,737 2,629,933 488,646
First American Financial Corporation FAF 6,134 327,215 8,365
Essent Group Ltd ESNT 6,191 2,354,674 1,349,099
Taylor Morrison Home Corp TMHC 6,050 9,292,934 1,010,156
Alkami Technology Inc ALKT 2,863 387,522 -40,587
Toll Brothers Inc TOL 10,894 2,024,453 245,906
Voya Financial Inc VOYA 6,537 1,328,000 100,833
Clear Secure Inc YOU 2,435 610,500 176,250
Enfusion inc ENFN 1,028 182,157 3,553
Tri Pointe Homes Inc TPH 2,811 3,367,520 294,152
Everi Holdings Inc EVRI 1,278 749,853 14,385
Walkme Ltd WKME 1,240 296,616 -63,059
Secureworks Corp SCWX 756 207,620 -54,788
Grid Dynamics Holdings Inc GDYN 1,010 78,295 2,305
Virtu Financial inc VIRT 3,659 3,170,257 632,469
Lesaka Technologies Inc LSAK 341 3,554,708 -210,975
Meridianlink inc MLNK 1,208 467,437 -42,743
Cantaloupe Inc CTLP 826 1,093,048 222,706
Kb Home KBH 3,778 2,896,913 264,544
Meritage Homes Corporation MTH 4,643 826,828 393,349
Cognyte Software Ltd CGNT 634 349,922 -7,234
New Relic Inc NEWR 6,131 690,665 -92,243
Unisys Corp UIS 291 118,345 -4,515
Mr Cooper Group Inc COOP 9,720 326,618 64,559
Q2 Holdings Inc QTWO 5,737 1,180,984 -32,742
Rapid7 Inc RPD 1,502 665,268 19,869
Champion Homes Inc SKY 3,503 3,310,697 268,853
Green Dot Corp GDOT 527 1,608,101 4,447
Citizens Inc CIA 196 1,722,986 62,035
Hubspot Inc HUBS 27,877 1,361,991 -11,550
Assured Guaranty ltd AGO 4,416 2,777,143 1,325,714
Blackbaud Inc BLKB 3,041 382,002 -94,517
Stonex Group Inc SNEX 4,181 27,341,044 65,644
Ishares S and p Gsci Commodity indexed Trust GSG 1,097 - -
Euronet Worldwide Inc EEFT 4,623 460,034 36,193
Deluxe Corporation DLX 669 410,692 10,863
Green Brick Partners Inc GRBK 2,730 - -
Thryv Holdings Inc THRY 545 253,160 -30,258
Morningstar inc MORN 12,956 498,191 87,085
Horace Mann Educators Corporation HMN 1,753 492,606 34,697
Veritec Inc VRTC 0 147,333 -380,667
Domo Inc DOMO 505 358,753 -76,142
Marketaxess Holdings Inc MKTX 8,277 929,049 311,216
Diebold Nixdorf Incorporated DBD 1,947 176,038 -381
Qualys Inc QLYS 4,993 626,090 183,131
Century Communities Inc CCS 1,653 9,781,971 694,085
China United Insurance Service Inc CUII 46 269,480 31,814
Beazer Homes Usa Inc BZH 654 2,099,989 82,197
Vanjia Corporation VNJA 72 - -
Stewart Information Services Corp STC 1,779 458,842 13,879
Upland Software Inc UPLD 49 803,670 -127,477
Mi Homes Inc MHO 2,972 2,759,216 334,101
Alpine 4 Holdings Inc ALPP 0 864,377 -472,933
Usio Inc USIO 38 788,161 31,035
United Fire Group Inc UFCS 750 1,176,642 60,416
Lgi Homes Inc LGIH 1,128 1,848,861 156,421
Atlantic American Corp AAME 45 1,226,173 -33,494
United States Oil Fund Lp USO 1,763 4,450,275 3,017,937
Mcx Technologies Corporation MCCX 0 - -
Intrusion Inc INTZ 43 47,085 -63,349
Dillard s inc DDS 6,381 227,930 20,044
Franklin Covey Co FC 296 341,352 4,168
Cpi Card Group Inc PMTS 276 246,131 13,011
Netsol Technologies Inc NTWK 33 40,818 -109
Oppenheimer Holdings Inc OPY 710 491,904 25,886
Bridgeline Digital Inc BLIN 15 78,853 -11,418
First Trinity Financial Corporation FTFC 0 - -
Value Line Inc VALU 358 330,582 176,385
Skillsoft Corp SKIL 116 233,132 -155,176
Cavco Industries Inc CVCO 3,281 503,648 42,759
Corecard Corporation CCRD 231 55,465 6,295
Invesco Currencyshares Japanese Yen Trust FXY 463 - -200,563
Hovnanian Enterprises Inc HOV 662 1,630,690 114,582
United States Brent Oil Fund Lp BNO 164 300,652 -429,447
Quantum Corp QMCO 41 289,326 -158,930
National Western Life Group Inc NWLI 1,768 2,492,975 648,457
Nobility Homes Inc NOBH 92 347,939 58,121
Nvr Inc NVR 22,612 1,681,595 251,942
Utg Inc UTGN 117 2,911,669 1,853,174
Achari Ventures Holdings Corp I AVHI 34 - -
United States Commodity Index Funds Trust USCI 230 - -
United States 12 month Natural Gas Fund Lp UNL 19 - -
Investors Title Co ITIC 385 871,347 99,063
Invesco Currencyshares Euro Trust FXE 191 - -
United States 12 month Oil Fund Lp USL 67 - -
United States Gasoline Fund Lp UGA 104 - -
Invesco Currencyshares Swiss Franc Trust FXF 156 - -
Invesco Currencyshares Australian Dollar Trust FXA 65 - -
Invesco Currencyshares Canadian Dollar Trust FXC 70 - -
Amerinst Insurance Group Ltd AIGT 0 - -
Invesco Currencyshares British Pound Sterling Trust FXB 56 - -
Locorr Futures Portfolio Fund L p FPF 0 - -
Bf Garden Tax Credit Fund V L p BCTC5 0 - -
Invesco Db Commodity Index Tracking Fund DBC 0 - -
Invesco Db Oil Fund DBO 0 - -
Invesco Db Us Dollar Index Bearish Fund UDN 0 - -
Black Knight inc BKI 0 286,220 33,200
M d c Holdings Inc MDC 0 2,802,581 151,985
Invesco Db Base Metals Fund DBB 0 - -
Invesco Db Us Dollar Index Bullish Fund UUP 0 - -
American National Group Inc ANGPB 0 - -
Bf Garden Tax Credit Fund Iv l p BCTC4 0 - -
Invesco Db Energy Fund DBE 0 - -
Invesco Db Agriculture Fund DBA 0 - -
Invesco Db Precious Metals Fund DBP 0 - -
AVERAGE SUBTOTAL 5,761,923 433,016 81,249






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