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Results
5,372
Symbol Company Price Change Market Cap Volume Trade
RSVR
NASDAQ
Reservoir Media, Inc.. - Common Stock
$131.78 -1.22% $1,479,000,000,000 45,762,678
MCHPP
NASDAQ
Microchip Technology Incorporated - Depositary Shares Each Representing a 1/20th Interest in a Share of 7.50% Series A Mandatory Convertible Preferred Stock
$361.78 -3.22% $1,479,000,000,000 36,385,678
OPTZ
NASDAQ
Optimize Strategy Index ETF
ETF
$233.77 +0.77% $1,478,000,000,000 39,822,877
PAVS
NASDAQ
Paranovus Entertainment Technology Ltd. - Class A Ordinary Shares
$411.77 -1.23% $1,478,000,000,000 41,490,677
CTMX
NASDAQ
CytomX Therapeutics, Inc. - Common Stock
$9.77 -3.23% $1,478,000,000,000 12,550,477
DVXF
NASDAQ
WEBs Financial XLF Defined Volatility ETF
ETF
$185.77 -3.23% $1,478,000,000,000 17,868,077
SIDU
NASDAQ
Sidus Space, Inc. - Class A Common Stock
$95.77 +2.77% $1,478,000,000,000 45,459,077
GSRFR
NASDAQ
GSR IV Acquisition Corp. - Rights
$17.77 -3.23% $1,478,000,000,000 7,951,277
SZZL
NASDAQ
Sizzle Acquisition Corp. II - Class A ordinary shares
$159.75 -1.25% $1,476,000,000,000 815,475
CAPN
NASDAQ
Cayson Acquisition Corp - Ordinary Shares
$245.75 +0.75% $1,476,000,000,000 17,074,075
NRES
NASDAQ
Xtrackers RREEF Global Natural Resources ETF
ETF
$123.74 +2.74% $1,475,000,000,000 6,411,874
TSL
NASDAQ
GraniteShares 1.25x Long TSLA Daily ETF
ETF
$187.74 -1.26% $1,475,000,000,000 47,868,274
FUSEW
NASDAQ
Fusemachines Inc. - Warrants
$249.74 +0.74% $1,475,000,000,000 23,724,474
KOYNU
NASDAQ
CSLM Digital Asset Acquisition Corp III - Units
$147.73 +2.73% $1,474,000,000,000 21,814,273
SRBK
NASDAQ
SR Bancorp, Inc. - Common stock
$279.73 -1.27% $1,474,000,000,000 29,127,473
SABSW
NASDAQ
SAB Biotherapeutics, Inc. - Warrant
$7.72 -1.28% $1,473,000,000,000 28,600,272
TBIL
NASDAQ
US Treasury 3 Month Bill ETF
ETF
$115.72 -1.28% $1,473,000,000,000 23,461,072
EWJV
NASDAQ
iShares MSCI Japan Value ETF
ETF
$237.72 -3.28% $1,473,000,000,000 27,323,272
RDHL
NASDAQ
Redhill Biopharma Ltd. - American Depositary Shares
$499.71 +2.71% $1,472,000,000,000 31,249,471
LCDS
NASDAQ
JPMorgan Fundamental Data Science Large Core ETF
ETF
$379.71 -1.29% $1,472,000,000,000 28,687,471
MFMO
NASDAQ
Motley Fool Momentum Factor ETF
ETF
$49.71 -3.29% $1,472,000,000,000 28,154,471
MRK
NYSE
Merck & Co., Inc.
Healthcare
$411.71 -1.29% $1,472,000,000,000 1,890,671
BOLD
NASDAQ
Boundless Bio, Inc. - Common Stock
$169.71 +0.71% $1,472,000,000,000 39,716,471
LNZAW
NASDAQ
LanzaTech Global, Inc. - Warrant
$355.70 -1.30% $1,471,000,000,000 22,085,070
PBPH
NASDAQ
Portfolio Building Block World Pharma and Biotech Index ETF
ETF
$357.70 -3.30% $1,471,000,000,000 42,635,270
FGMCU
NASDAQ
FG Merger II Corp. - Unit
$255.70 +2.70% $1,471,000,000,000 41,075,070
RILYT
NASDAQ
B. Riley Financial, Inc. - 6.00% Senior Notes Due 2028
$237.69 +0.69% $1,470,000,000,000 21,473,269
COHU
NASDAQ
Cohu, Inc. - Common Stock
$353.68 -3.32% $1,469,000,000,000 35,584,868
CRACW
NASDAQ
Crown Reserve Acquisition Corp. I - Warrant
$323.67 -1.33% $1,468,000,000,000 33,781,867
PSX
NYSE
Phillips 66
Energy
$145.67 +0.67% $1,468,000,000,000 42,914,067
TSLQ
NASDAQ
Tradr 2X Short TSLA Daily ETF
ETF
$439.67 -1.33% $1,468,000,000,000 16,243,467
CCFE
NASDAQ
Concourse Capital Focused Equity ETF
ETF
$111.66 -1.34% $1,467,000,000,000 8,610,666
NXPI
NASDAQ
NXP Semiconductors N.V. - Common Stock
$71.66 +2.66% $1,467,000,000,000 26,256,666
AENT
NASDAQ
Alliance Entertainment Holding Corporation - common stock
$443.65 -1.35% $1,466,000,000,000 34,493,865
XEL
NASDAQ
Xcel Energy Inc. - Common Stock
$197.65 -3.35% $1,466,000,000,000 21,819,265
FTGC
NASDAQ
First Trust Global Tactical Commodity Strategy Fund
ETF
$407.65 +2.65% $1,466,000,000,000 8,490,265
ICG
NASDAQ
Intchains Group Limited - American Depositary Shares
$383.64 -1.36% $1,465,000,000,000 18,737,864
ASNS
NASDAQ
Actelis Networks, Inc. - Common Stock
$431.64 -1.36% $1,465,000,000,000 36,342,664
OFSSH
NASDAQ
OFS Capital Corporation - 4.95% Notes due 2028
$491.64 +2.64% $1,465,000,000,000 31,048,664
UBRL
NASDAQ
GraniteShares 2x Long UBER Daily ETF
ETF
$9.63 +0.63% $1,464,000,000,000 900,463
XWEL
NASDAQ
XWELL, Inc. - Common Stock
$265.63 -3.37% $1,464,000,000,000 27,376,063
SHLS
NASDAQ
Shoals Technologies Group, Inc. - Class A Common Stock
$333.63 +0.63% $1,464,000,000,000 35,982,863
BDSX
NASDAQ
Biodesix, Inc. - Common Stock
$163.63 -1.37% $1,464,000,000,000 32,265,863
DVSP
NASDAQ
WEBs SPY Defined Volatility ETF
ETF
$491.63 +2.63% $1,464,000,000,000 18,948,663
ESGE
NASDAQ
iShares ESG Aware MSCI EM ETF
ETF
$195.63 -1.37% $1,464,000,000,000 26,869,063
NTRBW
NASDAQ
Nutriband Inc. - Warrant
$221.62 +0.62% $1,463,000,000,000 40,071,662
OXLCI
NASDAQ
Oxford Lane Capital Corp. - 8.75% Notes due 2030
$17.62 -3.38% $1,463,000,000,000 20,451,262
BATRK
NASDAQ
Atlanta Braves Holdings, Inc. - Series C Common Stock
$417.62 +0.62% $1,463,000,000,000 15,041,262
BHFAM
NASDAQ
Brighthouse Financial, Inc. - Depositary shares each representing a 1/1,000th Interest in a Share of 4.625% Non-Cumulative Preferred Stock, Series D
$213.61 -3.39% $1,462,000,000,000 50,120,861
VTSI
NASDAQ
VirTra, Inc. - Common Stock
$97.61 +0.61% $1,462,000,000,000 23,709,261