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Results
5,372
Symbol Company Price Change Market Cap Volume Trade
MCSE
NASDAQ
Franklin Sustainable International Equity ETF
ETF
$402.73 -2.27% $974,000,000,000 15,989,773
GIS
NYSE
General Mills, Inc.
Consumer Defensive
$156.73 -0.27% $974,000,000,000 48,765,173
ACRS
NASDAQ
Aclaris Therapeutics, Inc. - Common Stock
$476.73 +3.73% $974,000,000,000 32,947,173
ALXO
NASDAQ
ALX Oncology Holdings Inc. - Common Stock
$66.73 +1.73% $974,000,000,000 17,406,173
RUSHA
NASDAQ
Rush Enterprises, Inc. - Class A Common Stock
$72.72 +3.72% $973,000,000,000 49,756,772
LCUT
NASDAQ
Lifetime Brands, Inc. - Common Stock
$178.72 +1.72% $973,000,000,000 47,817,372
MYCO
NASDAQ
SPDR SSGA My2035 Corporate Bond ETF
ETF
$432.72 +3.72% $973,000,000,000 25,892,772
CRNX
NASDAQ
Crinetics Pharmaceuticals, Inc. - Common Stock
$254.72 +1.72% $973,000,000,000 32,974,972
EMISR
NASDAQ
Emmis Acquisition Corp. - Rights
$344.72 +3.72% $973,000,000,000 25,983,972
FATBP
NASDAQ
FAT Brands Inc. - 8.25% Series B Cumulative Preferred Stock
$332.71 -0.29% $972,000,000,000 38,082,771
BEEZ
NASDAQ
Honeytree U.S. Equity ETF
ETF
$226.71 -2.29% $972,000,000,000 23,172,171
INM
NASDAQ
InMed Pharmaceuticals Inc. - Common Shares
$118.71 +1.71% $972,000,000,000 19,561,371
JL
NASDAQ
J-Long Group Limited - Class A Ordinary Shares
$378.71 -2.29% $972,000,000,000 25,387,371
ASTLW
NASDAQ
Algoma Steel Group Inc. - Warrant
$70.70 +1.70% $971,000,000,000 45,856,570
BSLK
NASDAQ
Bolt Projects Holdings, Inc. - Common Stock
$328.70 -0.30% $971,000,000,000 28,432,370
CAAS
NASDAQ
China Automotive Systems, Inc. - Ordinary Share
$120.70 -0.30% $971,000,000,000 17,711,570
DRH
NASDAQ
Diamondrock Hospitality Company - Common Stock
$362.70 +1.70% $971,000,000,000 19,535,770
EQRR
NASDAQ
ProShares Equities for Rising Rates ETF
ETF
$390.70 +1.70% $971,000,000,000 28,288,570
LEGH
NASDAQ
Legacy Housing Corporation - Common Stock
$504.70 -0.30% $971,000,000,000 6,249,970
OCG
NASDAQ
Oriental Culture Holding LTD - Ordinary Shares
$494.70 +1.70% $971,000,000,000 27,798,970
PROK
NASDAQ
ProKidney Corp. - Class A Ordinary Shares
$300.70 -0.30% $971,000,000,000 29,679,570
AUPH
NASDAQ
Aurinia Pharmaceuticals Inc - Common Shares
$222.69 -2.31% $970,000,000,000 5,221,769
MLACR
NASDAQ
Mountain Lake Acquisition Corp. - Right
$410.69 -2.31% $970,000,000,000 15,990,569
PALD
NASDAQ
Direxion Daily PANW Bear 1X Shares
ETF
$274.69 -2.31% $970,000,000,000 11,076,969
CDXS
NASDAQ
Codexis, Inc. - Common Stock
$252.69 +3.69% $970,000,000,000 2,124,769
CRWG
NASDAQ
Leverage Shares 2X Long CRWV Daily ETF
ETF
$64.69 -0.31% $970,000,000,000 18,405,969
CENN
NASDAQ
Cenntro Inc. - Common Stock
$282.68 +1.68% $969,000,000,000 6,927,768
CMRC
NASDAQ
Commerce.com, Inc. - Series 1 Common Stock
$492.68 +3.68% $969,000,000,000 37,448,768
URGN
NASDAQ
UroGen Pharma Ltd. - Ordinary Shares
$498.67 -2.33% $968,000,000,000 33,699,367
SCNI
NASDAQ
Scinai Immunotherapeutics Ltd. - American Depositary Shares
$382.66 +1.66% $967,000,000,000 7,487,766
GOU
NASDAQ
GraniteShares 2x Long GOOGL Daily ETF
ETF
$86.66 -2.34% $967,000,000,000 16,908,166
JBIO
NASDAQ
Jade Biosciences, Inc. - Common Stock
$470.66 -2.34% $967,000,000,000 30,746,566
MNDO
NASDAQ
MIND C.T.I. Ltd. - Ordinary Shares
$214.66 +1.66% $967,000,000,000 28,970,966
LZMH
NASDAQ
LZ Technology Holdings Limited - Class B Ordinary Shares
$10.65 +1.65% $966,000,000,000 44,400,565
INMB
NASDAQ
INmune Bio Inc. - Common stock
$270.65 +1.65% $966,000,000,000 16,976,565
KMTS
NASDAQ
Kestra Medical Technologies, Ltd. - Common Stock
$152.65 -0.35% $966,000,000,000 17,714,765
NOW
NYSE
ServiceNow, Inc.
Technology
$86.65 -2.35% $966,000,000,000 29,208,165
AMSF
NASDAQ
AMERISAFE, Inc. - Common Stock
$102.65 -2.35% $966,000,000,000 5,509,765
FALN
NASDAQ
iShares Fallen Angels USD Bond ETF
ETF
$282.64 +1.64% $965,000,000,000 1,027,764
TLNCU
NASDAQ
Talon Capital Corp. - Units
$162.64 -2.36% $965,000,000,000 13,365,764
NTRB
NASDAQ
Nutriband Inc. - Common Stock
$446.64 +1.64% $965,000,000,000 10,794,164
SOCAU
NASDAQ
Solarius Capital Acquisition Corp. - Units
$452.63 -0.37% $964,000,000,000 694,763
LQDT
NASDAQ
Liquidity Services, Inc. - Common Stock
$258.62 +1.62% $963,000,000,000 10,425,362
DGRW
NASDAQ
WisdomTree U.S. Quality Dividend Growth Fund
ETF
$86.62 +1.62% $963,000,000,000 30,558,162
BIVIW
NASDAQ
BioVie Inc. - Warrant
$196.62 +3.62% $963,000,000,000 47,119,162
CRAI
NASDAQ
CRA International,Inc. - Common Stock
$378.61 -2.39% $962,000,000,000 16,687,361
PGYWW
NASDAQ
Pagaya Technologies Ltd. - Warrants
$328.61 -0.39% $962,000,000,000 7,932,361
PZZA
NASDAQ
Papa John's International, Inc. - Common Stock
$290.60 -2.40% $961,000,000,000 5,078,560
RAND
NASDAQ
Rand Capital Corporation - Closed End Fund
$482.60 -2.40% $961,000,000,000 27,697,760
SOHON
NASDAQ
Sotherly Hotels Inc. - 8.25% Series D Cumulative Redeemable Perpetual Preferred Stock
$464.60 -0.40% $961,000,000,000 7,545,960