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Results
5,372
Clear
Symbol Company Price Change Market Cap Volume Trade
IPM
NASDAQ
Intelligent Protection Management Corp. - Common Stock
$330.96 -2.04% $1,597,000,000,000 3,782,596
INTC
NASDAQ
Intel Corporation - Common Stock
$284.95 +3.95% $1,596,000,000,000 5,527,995
FSUN
NASDAQ
FirstSun Capital Bancorp - Common Stock
$130.94 +1.94% $1,595,000,000,000 9,212,594
PFG
NASDAQ
Principal Financial Group Inc - Common Stock
$18.94 +1.94% $1,595,000,000,000 15,001,394
NOMA
NASDAQ
NOMADAR Corp. - Class A Common Stock
$26.93 -2.07% $1,594,000,000,000 49,552,193
AZ
NASDAQ
A2Z Cust2Mate Solutions Corp. - Common Shares
$350.93 +1.93% $1,594,000,000,000 38,084,593
PRHI
NASDAQ
Presurance Holdings, Inc. - Common Stock
$476.93 +3.93% $1,594,000,000,000 547,193
CPHC
NASDAQ
Canterbury Park Holding Corporation - Common Stock
$52.92 +3.92% $1,593,000,000,000 22,204,792
BITF
NASDAQ
Bitfarms Ltd. - Common Stock
$318.92 +1.92% $1,593,000,000,000 30,281,392
SKYU
NASDAQ
ProShares Ultra Cloud Computing
ETF
$304.91 +3.91% $1,592,000,000,000 49,079,991
MFVL
NASDAQ
Motley Fool Value Factor ETF
ETF
$152.91 -0.09% $1,592,000,000,000 47,414,791
BWFG
NASDAQ
Bankwell Financial Group, Inc. - Common Stock
$278.91 +1.91% $1,592,000,000,000 26,477,391
THRV
NASDAQ
Prospera Income ETF
ETF
$396.90 -0.10% $1,591,000,000,000 38,289,190
FEM
NASDAQ
First Trust Emerging Markets AlphaDEX Fund
ETF
$494.89 +1.89% $1,590,000,000,000 38,898,989
FOXXW
NASDAQ
Foxx Development Holdings Inc. - Warrant
$390.88 -2.12% $1,589,000,000,000 25,638,588
HCKT
NASDAQ
The Hackett Group, Inc. - Common Stock
$248.88 +3.88% $1,589,000,000,000 24,874,388
ITRM
NASDAQ
Iterum Therapeutics plc - Ordinary Share
$194.88 -2.12% $1,589,000,000,000 39,568,988
NITO
NASDAQ
N2OFF, Inc. - Common Stock
$130.88 +1.88% $1,589,000,000,000 44,412,588
MBLY
NASDAQ
Mobileye Global Inc. - Class A Common Stock
$218.87 +1.87% $1,588,000,000,000 19,721,387
CHAR
NASDAQ
Charlton Aria Acquisition Corporation - Class A Ordinary Shares
$226.87 +1.87% $1,588,000,000,000 28,122,187
REGN
NASDAQ
Regeneron Pharmaceuticals, Inc. - Common Stock
$78.87 +1.87% $1,588,000,000,000 8,257,387
SOHU
NASDAQ
Sohu.com Limited - American Depositary Shares
$178.87 -2.13% $1,588,000,000,000 45,067,387
SEAT
NASDAQ
Vivid Seats Inc. - Class A common stock
$288.86 +3.86% $1,587,000,000,000 48,278,386
NCI
NASDAQ
Neo-Concept International Group Holdings Limited - Class A Ordinary Shares
$90.86 +1.86% $1,587,000,000,000 10,608,586
NAMMW
NASDAQ
Namib Minerals - Warrants
$268.85 -0.15% $1,586,000,000,000 3,376,385
AEHL
NASDAQ
Antelope Enterprise Holdings Limited - Class A Ordinary Shares
$138.85 -2.15% $1,586,000,000,000 13,963,385
BACQ
NASDAQ
Inflection Point Acquisition Corp. IV - Class A Ordinary Shares
$86.85 -2.15% $1,586,000,000,000 39,308,185
CGTL
NASDAQ
Creative Global Technology Holdings Limited - Class A Ordinary Shares
$256.85 -0.15% $1,586,000,000,000 40,125,185
HCMA
NASDAQ
HCM III Acquisition Corp. - Class A Ordinary Share
$14.85 -2.15% $1,586,000,000,000 28,700,985
ANGI
NASDAQ
Angi Inc. - Class A Common Stock
$498.84 -2.16% $1,585,000,000,000 19,599,384
TAVI
NASDAQ
Tavia Acquisition Corp. - Ordinary Shares
$330.84 -2.16% $1,585,000,000,000 4,082,584
YBST
NASDAQ
GraniteShares YieldBoost Single Stock Universe ETF
ETF
$208.84 -0.16% $1,585,000,000,000 33,520,384
YOKE
NASDAQ
YOKE Core ETF
ETF
$282.84 -2.16% $1,585,000,000,000 40,377,784
WHLRD
NASDAQ
Wheeler Real Estate Investment Trust, Inc. - Series D Cumulative Preferred Stock
$492.83 +3.83% $1,584,000,000,000 848,783
KNDI
NASDAQ
Kandi Technologies Group, Inc. - Ordinary Shares
$92.83 -0.17% $1,584,000,000,000 3,558,783
LSBK
NASDAQ
Lake Shore Bancorp, Inc. - Common Stock
$496.83 +3.83% $1,584,000,000,000 25,399,183
MYFW
NASDAQ
First Western Financial, Inc. - Common Stock
$34.83 -2.17% $1,584,000,000,000 21,852,983
NCMI
NASDAQ
National CineMedia, Inc. - Common Stock
$214.83 -2.17% $1,584,000,000,000 3,320,983
ODD
NASDAQ
ODDITY Tech Ltd. - Class A Ordinary Shares
$414.83 +1.83% $1,584,000,000,000 30,190,983
PBQQ
NASDAQ
PGIM Laddered Nasdaq-100 Buffer 12 ETF
ETF
$266.83 +1.83% $1,584,000,000,000 48,226,183
PI
NASDAQ
Impinj, Inc. - Common Stock
$104.83 -0.17% $1,584,000,000,000 609,983
COMT
NASDAQ
iShares GSCI Commodity Dynamic Roll Strategy ETF
ETF
$322.83 -2.17% $1,584,000,000,000 10,681,783
FUFU
NASDAQ
BitFuFu Inc. - Class A Ordinary Shares
$500.82 -0.18% $1,583,000,000,000 15,699,582
ASML
NASDAQ
ASML Holding N.V. - New York Registry Shares
$172.82 -0.18% $1,583,000,000,000 4,566,782
XT
NASDAQ
iShares Future Exponential Technologies ETF
ETF
$428.82 +3.82% $1,583,000,000,000 6,742,382
WHLRL
NASDAQ
Wheeler Real Estate Investment Trust, Inc. - 7.00% Senior Subordinated Convertible Notes Due 2031
$248.81 -0.19% $1,582,000,000,000 31,824,381
APOG
NASDAQ
Apogee Enterprises, Inc. - Common Stock
$180.81 +3.81% $1,582,000,000,000 44,417,581
CHPS
NASDAQ
Xtrackers Semiconductor Select Equity ETF
ETF
$60.81 +3.81% $1,582,000,000,000 13,205,581
CHRI
NASDAQ
Global X S&P 500 Christian Values ETF
ETF
$134.81 -2.19% $1,582,000,000,000 24,212,981
FRPH
NASDAQ
FRP Holdings, Inc. - Common Stock
$254.81 -2.19% $1,582,000,000,000 1,924,981