All Stocks

Browse, filter, and search the full stock list. Tip: click a ticker to open charts, company details, and more.

Results
5,372
Symbol Company Price Change Market Cap Volume Trade
PRQR
NASDAQ
ProQR Therapeutics N.V. - Ordinary Shares
$135.69 -1.31% $1,070,000,000,000 47,013,069
SPSC
NASDAQ
SPS Commerce, Inc. - Common Stock
$359.69 +2.69% $1,070,000,000,000 26,585,469
LVO
NASDAQ
LiveOne, Inc. - Common Stock
$45.69 -3.31% $1,070,000,000,000 3,704,069
ZEO
NASDAQ
Zeo Energy Corporation - Class A Common Stock
$153.69 +0.69% $1,070,000,000,000 11,414,869
EJH
NASDAQ
E-Home Household Service Holdings Limited - Ordinary shares
$493.68 +0.68% $1,069,000,000,000 20,098,868
FKWL
NASDAQ
Franklin Wireless Corp. - common stock
$437.68 +0.68% $1,069,000,000,000 18,693,268
TBH
NASDAQ
Brag House Holdings, Inc. - Common Stock
$211.67 +2.67% $1,068,000,000,000 34,620,667
SFWL
NASDAQ
Shengfeng Development Limited - Class A Ordinary Shares
$431.66 -1.34% $1,067,000,000,000 9,242,666
CRE
NASDAQ
Cre8 Enterprise Limited - Class A Ordinary Shares
$357.66 -3.34% $1,067,000,000,000 11,735,266
EM
NASDAQ
Smart Share Global Limited - American Depositary Shares
$125.66 +0.66% $1,067,000,000,000 1,062,066
FEMB
NASDAQ
First Trust Emerging Markets Local Currency Bond ETF
ETF
$245.66 -3.34% $1,067,000,000,000 30,224,066
DNLI
NASDAQ
Denali Therapeutics Inc. - Common Stock
$153.65 -3.35% $1,066,000,000,000 36,664,865
TNONW
NASDAQ
Tenon Medical, Inc. - Warrant
$103.65 +2.65% $1,066,000,000,000 21,259,865
YMT
NASDAQ
Yimutian Inc. - American Depositary Shares; each representing 25 Class A ordinary shares
$339.64 -1.36% $1,065,000,000,000 3,783,464
PNTG
NASDAQ
The Pennant Group, Inc. - Common Stock
$119.63 +2.63% $1,064,000,000,000 37,761,463
QQQJ
NASDAQ
Invesco NASDAQ Next Gen 100 ETF
ETF
$151.63 -1.37% $1,064,000,000,000 20,514,663
FIXD
NASDAQ
First Trust Smith Opportunistic Fixed Income ETF
ETF
$263.63 -1.37% $1,064,000,000,000 19,625,863
MXCT
NASDAQ
MaxCyte, Inc. - Common Stock
$85.63 -3.37% $1,064,000,000,000 47,608,063
PAGP
NASDAQ
Plains GP Holdings, L.P. - Class A Shares representing limited partner interests
$249.63 -3.37% $1,064,000,000,000 30,274,463
XCH
NASDAQ
XCHG Limited - ADS
$37.62 -3.38% $1,063,000,000,000 3,103,262
BSCU
NASDAQ
Invesco BulletShares 2030 Corporate Bond ETF
ETF
$197.62 -3.38% $1,063,000,000,000 4,319,262
SVACW
NASDAQ
Spring Valley Acquisition Corp. III - Warrant
$205.62 -3.38% $1,063,000,000,000 720,062
CRWS
NASDAQ
Crown Crafts, Inc. - Common Stock
$45.60 +0.60% $1,061,000,000,000 26,254,060
DTCK
NASDAQ
Davis Commodities Limited - Class A Ordinary Shares
$103.60 -1.40% $1,061,000,000,000 42,709,860
BLKB
NASDAQ
Blackbaud, Inc. - Common Stock
$193.60 -3.40% $1,061,000,000,000 968,860
DOW
NYSE
Dow Inc.
Basic Materials
$323.59 +2.59% $1,060,000,000,000 22,231,859
AIQ
NASDAQ
Global X Artificial Intelligence & Technology ETF
ETF
$165.59 +0.59% $1,060,000,000,000 17,166,059
FJP
NASDAQ
First Trust Japan AlphaDEX Fund
ETF
$325.59 -3.41% $1,060,000,000,000 37,632,059
GPIX
NASDAQ
Goldman Sachs S&P 500 Premium Income ETF
ETF
$27.58 -1.42% $1,059,000,000,000 5,352,258
PLMK
NASDAQ
Plum Acquisition Corp. IV - Class A Ordinary Shares
$493.58 +0.58% $1,059,000,000,000 24,298,858
LILAK
NASDAQ
Liberty Latin America Ltd. - Class C Common Stock
$5.58 -3.42% $1,059,000,000,000 36,800,058
METCZ
NASDAQ
Ramaco Resources, Inc. - 8.375% Senior Notes due 2029
$109.58 +0.58% $1,059,000,000,000 7,760,458
NUG
NASDAQ
Leverage Shares 2X Long NU Daily ETF
ETF
$397.58 -3.42% $1,059,000,000,000 5,839,258
MLKN
NASDAQ
MillerKnoll, Inc. - Common Stock
$151.57 -1.43% $1,058,000,000,000 9,114,657
RDTY
NASDAQ
YieldMax R2000 0DTE Covered Strategy ETF
ETF
$321.57 +0.57% $1,058,000,000,000 23,331,657
HTOO
NASDAQ
Fusion Fuel Green PLC - Ordinary Shares
$81.57 +0.57% $1,058,000,000,000 45,707,657
TOIIW
NASDAQ
The Oncology Institute, Inc. - Warrant
$9.57 +0.57% $1,058,000,000,000 15,200,457
BNBX
NASDAQ
BNB Plus Corp. - Common Stock
$35.57 -1.43% $1,058,000,000,000 50,453,057
CEPO
NASDAQ
Cantor Equity Partners I, Inc. - Class A Ordinary Shares
$427.57 +2.57% $1,058,000,000,000 38,642,257
EVYM
NASDAQ
Eaton Vance High Income Municipal ETF
ETF
$191.57 -1.43% $1,058,000,000,000 9,918,657
FMUN
NASDAQ
Fidelity Systematic Municipal Bond Index ETF
ETF
$157.56 +0.56% $1,057,000,000,000 33,765,256
GTBP
NASDAQ
GT Biopharma, Inc. - Common Stock
$425.55 +0.55% $1,056,000,000,000 43,942,055
MAAY
NASDAQ
GraniteShares YieldBOOST MARA ETF
ETF
$355.55 -1.45% $1,056,000,000,000 17,285,055
NTHI
NASDAQ
NeOnc Technologies Holdings, Inc. - Common Stock
$253.55 +0.55% $1,056,000,000,000 11,274,855
PMEC
NASDAQ
Primech Holdings Ltd. - Ordinary Shares
$397.55 +0.55% $1,056,000,000,000 40,689,255
RFAIU
NASDAQ
RF Acquisition Corp II - Unit
$97.55 -3.45% $1,056,000,000,000 3,459,255
WGSWW
NASDAQ
GeneDx Holdings Corp. - Warrant
$207.55 +2.55% $1,056,000,000,000 18,970,255
MYCL
NASDAQ
SPDR SSGA My2032 Corporate Bond ETF
ETF
$471.54 -1.46% $1,055,000,000,000 6,546,654
FAMI
NASDAQ
Farmmi, INC. - Ordinary Shares
$237.54 -3.46% $1,055,000,000,000 13,823,254
GRAB
NASDAQ
Grab Holdings Limited - Class A Ordinary Shares
$419.54 -1.46% $1,055,000,000,000 7,791,454