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Results
5,372
Clear
Symbol Company Price Change Market Cap Volume Trade
CRTO
NASDAQ
Criteo S.A. - American Depositary Shares
$275.56 -1.44% $657,000,000,000 35,577,056
FYT
NASDAQ
First Trust Small Cap Value AlphaDEX Fund
ETF
$211.56 +2.56% $657,000,000,000 2,020,656
INBS
NASDAQ
Intelligent Bio Solutions Inc. - Common Stock
$113.56 +0.56% $657,000,000,000 23,510,856
BDCIU
NASDAQ
BTC Development Corp. - Unit
$447.56 +2.56% $657,000,000,000 37,594,256
FDX
NYSE
FedEx Corporation
Industrials
$277.55 +0.55% $656,000,000,000 13,277,255
DTSTW
NASDAQ
Data Storage Corporation - Warrant
$443.55 +2.55% $656,000,000,000 30,743,855
LOPE
NASDAQ
Grand Canyon Education, Inc. - Common Stock
$503.55 +2.55% $656,000,000,000 28,299,855
VCLT
NASDAQ
Vanguard Long-Term Corporate Bond ETF
ETF
$63.55 -1.45% $656,000,000,000 19,505,855
APPX
NASDAQ
Tradr 2X Long APP Daily ETF
ETF
$5.54 +0.54% $655,000,000,000 26,050,054
BGRN
NASDAQ
iShares USD Green Bond ETF
ETF
$291.54 +2.54% $655,000,000,000 37,528,654
KOPN
NASDAQ
Kopin Corporation - Common Stock
$435.54 -1.46% $655,000,000,000 28,693,054
SUSC
NASDAQ
iShares ESG Aware USD Corporate Bond ETF
ETF
$169.54 -3.46% $655,000,000,000 23,066,454
NTCT
NASDAQ
NetScout Systems, Inc. - Common Stock
$285.53 -3.47% $654,000,000,000 5,528,053
CCNR
NASDAQ
ALPS/CoreCommodity Natural Resources ETF
ETF
$317.53 +0.53% $654,000,000,000 33,481,253
FEUZ
NASDAQ
First Trust Eurozone AlphaDEX ETF
ETF
$483.53 +2.53% $654,000,000,000 20,347,853
FTAIN
NASDAQ
FTAI Aviation Ltd. - 8.25% Fixed-Rate Reset Series C Cumulative Perpetual Redeemable Preferred Shares
$67.53 +2.53% $654,000,000,000 41,506,253
INLF
NASDAQ
INLIF LIMITED - Class A Ordinary shares
$459.53 +2.53% $654,000,000,000 17,545,453
BAER
NASDAQ
Bridger Aerospace Group Holdings, Inc. - Common Stock
$141.53 +0.53% $654,000,000,000 19,063,653
SPG
NYSE
Simon Property Group, Inc.
Real Estate
$155.52 -1.48% $653,000,000,000 34,165,052
ABLLL
NASDAQ
Abacus Global Management, Inc. - 9.875% Fixed Rate Senior Notes due 2028
$161.52 +0.52% $653,000,000,000 15,015,652
ALAR
NASDAQ
Alarum Technologies Ltd. - American Depositary Shares
$447.52 -1.48% $653,000,000,000 43,444,252
TVRD
NASDAQ
Tvardi Therapeutics, Inc. - Common Stock
$265.52 -3.48% $653,000,000,000 46,676,052
SWVL
NASDAQ
Swvl Holdings Corp - Ordinary Shares
$7.52 +2.52% $653,000,000,000 42,750,252
HERE
NASDAQ
Here Group Limited - American Depositary Shares
$79.52 +2.52% $653,000,000,000 24,757,452
FMET
NASDAQ
Fidelity Metaverse ETF
ETF
$289.51 +0.51% $652,000,000,000 8,628,451
IZEA
NASDAQ
IZEA Worldwide, Inc. - Common Stock
$159.51 +2.51% $652,000,000,000 16,065,451
TRSG
NASDAQ
Tungray Technologies Inc - Class A Ordinary Shares
$45.51 -3.49% $652,000,000,000 33,904,051
VCTR
NASDAQ
Victory Capital Holdings, Inc. - Common Stock
$461.51 -3.49% $652,000,000,000 14,245,651
PSA
NYSE
Public Storage
Real Estate
$13.51 -3.49% $652,000,000,000 12,400,851
RELI
NASDAQ
Reliance Global Group, Inc. - Common Stock
$273.51 +0.51% $652,000,000,000 9,526,851
CLOU
NASDAQ
Global X Cloud Computing ETF
ETF
$43.50 -1.50% $651,000,000,000 30,153,850
DYAI
NASDAQ
Dyadic International, Inc. - Common Stock
$215.49 -1.51% $650,000,000,000 7,321,049
TXG
NASDAQ
10x Genomics, Inc. - Common Stock
$197.49 -3.51% $650,000,000,000 38,419,249
NHICW
NASDAQ
NewHold Investment Corp III - Warrants
$147.49 -1.51% $650,000,000,000 27,564,249
IPST
NASDAQ
Heritage Distilling Holding Company, Inc. - Common Stock
$253.49 +0.49% $650,000,000,000 974,849
QURE
NASDAQ
uniQure N.V. - Ordinary Shares
$315.49 +2.49% $650,000,000,000 16,131,049
WM
NYSE
Waste Management, Inc.
Industrials
$373.49 +0.49% $650,000,000,000 9,786,849
AGNG
NASDAQ
Global X Aging Population ETF
ETF
$231.49 -1.51% $650,000,000,000 1,922,649
ANTX
NASDAQ
AN2 Therapeutics, Inc. - Common Stock
$295.48 -1.52% $649,000,000,000 31,429,048
OVBC
NASDAQ
Ohio Valley Banc Corp. - Common Stock
$207.48 -1.52% $649,000,000,000 12,320,248
DHCNI
NASDAQ
Diversified Healthcare Trust - 5.625% Senior Notes due 2042
$285.48 +0.48% $649,000,000,000 2,178,048
WEN
NASDAQ
Wendy's Company (The) - Common Stock
$261.48 -3.52% $649,000,000,000 29,925,648
HAS
NASDAQ
Hasbro, Inc. - Common Stock
$305.48 +0.48% $649,000,000,000 47,330,048
JIVE
NASDAQ
JPMorgan International Value ETF
ETF
$271.47 +2.47% $648,000,000,000 40,076,647
EXC
NASDAQ
Exelon Corporation - Common Stock
$101.47 -3.53% $648,000,000,000 47,009,647
ATLCP
NASDAQ
Atlanticus Holdings Corporation - 7.625% Series B Cumulative Perpetual Preferred Stock, no par value per share
$195.47 +2.47% $648,000,000,000 28,619,047
ASBP
NASDAQ
Aspire Biopharma Holdings, Inc. - Common Stock
$421.46 +0.46% $647,000,000,000 8,891,646
FSV
NASDAQ
FirstService Corporation - Common Shares
$483.46 -1.54% $647,000,000,000 13,797,846
IVDA
NASDAQ
Iveda Solutions, Inc. - Common Stock
$485.46 -3.54% $647,000,000,000 34,548,046
RDACU
NASDAQ
Rising Dragon Acquisition Corp. - Unit
$67.46 -1.54% $647,000,000,000 13,256,246