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Results
5,372
Clear
Symbol Company Price Change Market Cap Volume Trade
NOVTU
NASDAQ
Novanta Inc. - Tangible Equity Units
$200.75 -0.25% $576,000,000,000 33,319,575
SLXNW
NASDAQ
Silexion Therapeutics Corp - Warrant
$184.75 -0.25% $576,000,000,000 33,817,975
BTAI
NASDAQ
BioXcel Therapeutics, Inc. - Common Stock
$496.74 -0.26% $575,000,000,000 43,849,174
BTOC
NASDAQ
Armlogi Holding Corp. - common stock
$196.74 +3.74% $575,000,000,000 23,119,174
CPZ
NASDAQ
Calamos Long/Short Equity & Dynamic Income Trust - Closed End Fund
$324.73 -0.27% $574,000,000,000 14,581,973
EH
NASDAQ
EHang Holdings Limited - ADS
$54.73 +1.73% $574,000,000,000 34,054,973
APXTU
NASDAQ
Apex Treasury Corporation - Units
$468.73 +3.73% $574,000,000,000 36,346,373
BMBL
NASDAQ
Bumble Inc. - common stock
$396.73 +3.73% $574,000,000,000 28,139,173
SYZ
NASDAQ
Lazard US Systematic Small Cap Equity ETF
ETF
$82.72 -2.28% $573,000,000,000 4,457,772
OCCIN
NASDAQ
OFS Credit Company, Inc. - 5.25% Series E Term Preferred Stock Due 2026
$376.72 -0.28% $573,000,000,000 12,437,172
CTW
NASDAQ
CTW Cayman - Class A Ordinary Shares
$370.72 -2.28% $573,000,000,000 40,086,572
KCHVR
NASDAQ
Kochav Defense Acquisition Corp. - Right
$96.72 +3.72% $573,000,000,000 8,359,172
GMAB
NASDAQ
Genmab A/S - American Depositary Shares
$356.71 -0.29% $572,000,000,000 29,985,171
CBLL
NASDAQ
CeriBell, Inc. - Common Stock
$268.71 -0.29% $572,000,000,000 17,376,371
BOSC
NASDAQ
B.O.S. Better Online Solutions - Ordinary Shares
$298.70 -2.30% $571,000,000,000 17,279,370
MNY
NASDAQ
MoneyHero Limited - Class A Ordinary Shares
$130.70 +1.70% $571,000,000,000 16,712,570
DHC
NASDAQ
Diversified Healthcare Trust - Common Shares of Beneficial Interest
$410.69 -2.31% $570,000,000,000 5,290,569
CSCO
NASDAQ
Cisco Systems, Inc. - Common Stock
$168.69 +3.69% $570,000,000,000 14,266,369
HERZ
NASDAQ
Herzfeld Credit Income Fund, Inc. - Closed End Fund
$310.69 +1.69% $570,000,000,000 27,080,569
INDV
NASDAQ
Indivior PLC - Ordinary Shares
$200.69 +3.69% $570,000,000,000 23,669,569
GENK
NASDAQ
GEN Restaurant Group, Inc. - Class A Common Stock
$232.68 +3.68% $569,000,000,000 27,272,768
IPHA
NASDAQ
Innate Pharma S.A. - American Depositary Shares
$152.68 -0.32% $569,000,000,000 10,414,768
XBIL
NASDAQ
US Treasury 6 Month Bill ETF
ETF
$42.68 -2.32% $569,000,000,000 37,353,768
CLOV
NASDAQ
Clover Health Investments, Corp. - Class A Common stock
$196.68 +3.68% $569,000,000,000 13,719,168
LDSF
NASDAQ
First Trust Low Duration Strategic Focus ETF
ETF
$246.67 +1.67% $568,000,000,000 2,974,167
LIF
NASDAQ
Life360, Inc. - Common Stock
$336.67 +3.67% $568,000,000,000 2,983,167
VALG
NASDAQ
Leverage Shares 2X Long VALE Daily ETF
ETF
$384.67 -0.33% $568,000,000,000 19,237,967
QSI
NASDAQ
Quantum-Si Incorporated - Class A Common Stock
$298.66 +1.66% $567,000,000,000 12,929,366
JSM
NASDAQ
Navient Corporation - 6% Senior Notes due December 15, 2043
$364.66 +3.66% $567,000,000,000 15,535,966
KBAB
NASDAQ
KraneShares 2x Long BABA Daily ETF
ETF
$350.66 +1.66% $567,000,000,000 29,484,566
MLAC
NASDAQ
Mountain Lake Acquisition Corp. - Class A Ordinary Shares
$170.66 +1.66% $567,000,000,000 24,116,566
ACT
NASDAQ
Enact Holdings, Inc. - Common Stock
$140.66 -0.34% $567,000,000,000 11,763,566
BANL
NASDAQ
CBL International Limited - Ordinary Shares
$24.65 -0.35% $566,000,000,000 39,101,965
BLNK
NASDAQ
Blink Charging Co. - Common Stock
$88.65 +3.65% $566,000,000,000 12,258,365
PQJL
NASDAQ
PGIM Nasdaq-100 Buffer 12 ETF - July
ETF
$64.65 -0.35% $566,000,000,000 23,905,965
QVCGA
NASDAQ
QVC Group, Inc. - Series A Common Stock
$42.65 -2.35% $566,000,000,000 25,953,765
FID
NASDAQ
First Trust S&P International Dividend Aristocrats ETF
ETF
$130.65 -2.35% $566,000,000,000 30,762,565
IRHOU
NASDAQ
Iron Horse Acquisitions II Corp. - Units
$274.65 -2.35% $566,000,000,000 19,876,965
ICOP
NASDAQ
iShares Copper and Metals Mining ETF
ETF
$312.64 -0.36% $565,000,000,000 36,830,764
BMY
NYSE
Bristol-Myers Squibb Company
Healthcare
$122.64 -2.36% $565,000,000,000 28,861,764
EKSO
NASDAQ
Ekso Bionics Holdings, Inc. - Common Stock
$122.64 -2.36% $565,000,000,000 10,461,764
PFAI
NASDAQ
Pinnacle Food Group Limited - Class A Common Shares
$412.64 +3.64% $565,000,000,000 17,740,764
VOD
NASDAQ
Vodafone Group Plc - American Depositary Shares each representing ten Ordinary Shares
$178.63 +1.63% $564,000,000,000 35,317,363
PRCT
NASDAQ
PROCEPT BioRobotics Corporation - Common Stock
$468.63 -0.37% $564,000,000,000 41,696,363
RDTL
NASDAQ
GraniteShares 2x Long RDDT Daily ETF
ETF
$350.62 -2.38% $563,000,000,000 24,334,562
ANSCW
NASDAQ
Agriculture & Natural Solutions Acquisition Corporation - Warrant
$474.62 +1.62% $563,000,000,000 15,046,962
TRON
NASDAQ
Tron Inc. - Common Stock
$372.62 -0.38% $563,000,000,000 19,786,762
CVKD
NASDAQ
Cadrenal Therapeutics, Inc. - Common Stock
$408.62 -0.38% $563,000,000,000 33,640,362
BTSGU
NASDAQ
BrightSpring Health Services, Inc. - Tangible Equity Unit
$66.61 +1.61% $562,000,000,000 41,306,161
BUSE
NASDAQ
First Busey Corporation - Common Stock
$244.61 +3.61% $562,000,000,000 27,623,961