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Results
5,372
Symbol Company Price Change Market Cap Volume Trade
RMSGW
NASDAQ
Real Messenger Corporation - Warrants
$224.46 +3.46% $547,000,000,000 27,071,946
SAIC
NASDAQ
Science Applications International Corporation - Common Stock
$30.45 +1.45% $546,000,000,000 4,952,545
CTKB
NASDAQ
Cytek Biosciences, Inc. - Common Stock
$494.45 -2.55% $546,000,000,000 9,448,945
FERAR
NASDAQ
Fifth Era Acquisition Corp I - Rights
$432.45 -0.55% $546,000,000,000 44,742,745
SNY
NASDAQ
Sanofi - American Depositary Shares
$222.44 +1.44% $545,000,000,000 42,871,744
STAK
NASDAQ
STAK Inc. - Class A Ordinary Shares
$18.44 +1.44% $545,000,000,000 3,401,344
TCRX
NASDAQ
TScan Therapeutics, Inc. - Common Stock
$302.44 +1.44% $545,000,000,000 8,079,744
ERAS
NASDAQ
Erasca, Inc. - Common Stock
$172.43 +3.43% $544,000,000,000 40,016,743
BIDU
NASDAQ
Baidu, Inc. - American Depositary Shares, each representing 8 ordinary share
$450.43 +1.43% $544,000,000,000 9,044,543
TIPT
NASDAQ
Tiptree Inc. - Common Stock
$6.43 +1.43% $544,000,000,000 37,550,143
AIRG
NASDAQ
Airgain, Inc. - Common Stock
$66.42 -2.58% $543,000,000,000 46,656,142
ASYS
NASDAQ
Amtech Systems, Inc. - Common Stock
$90.42 +1.42% $543,000,000,000 11,808,542
BSJQ
NASDAQ
Invesco BulletShares 2026 High Yield Corporate Bond ETF
ETF
$202.42 -2.58% $543,000,000,000 1,169,742
SBFG
NASDAQ
SB Financial Group, Inc. - Common Stock
$486.42 -2.58% $543,000,000,000 13,548,142
DGNX
NASDAQ
Diginex Limited - Ordinary Shares
$418.42 +1.42% $543,000,000,000 20,141,342
HSPT
NASDAQ
Horizon Space Acquisition II Corp. - Ordinary share
$122.42 +1.42% $543,000,000,000 49,911,742
GOODN
NASDAQ
Gladstone Commercial Corporation - 6.625% Series E Cumulative Redeemable Preferred Stock
$140.40 +3.40% $541,000,000,000 36,413,540
QPUX
NASDAQ
Defiance 2X Daily Long Pure Quantum ETF
ETF
$294.40 +1.40% $541,000,000,000 21,278,940
TXXS
NASDAQ
21Shares 2x Long Sui ETF
ETF
$368.39 -0.61% $540,000,000,000 24,136,339
VBIL
NASDAQ
Vanguard 0-3 Month Treasury Bill ETF
ETF
$454.39 +1.39% $540,000,000,000 7,694,939
BPRN
NASDAQ
Princeton Bancorp, Inc. - Common Stock
$486.39 +1.39% $540,000,000,000 45,798,139
EXPI
NASDAQ
eXp World Holdings, Inc. - Common Stock
$366.39 +1.39% $540,000,000,000 20,586,139
MBCN
NASDAQ
Middlefield Banc Corp. - Common Stock
$168.39 +3.39% $540,000,000,000 47,666,339
FMSTW
NASDAQ
Foremost Clean Energy Ltd. - Warrant
$14.38 +1.38% $539,000,000,000 37,350,938
JJSF
NASDAQ
J & J Snack Foods Corp. - Common Stock
$252.37 +3.37% $538,000,000,000 48,724,737
TEXN
NASDAQ
iShares Texas Equity ETF
ETF
$46.37 -2.63% $538,000,000,000 35,204,137
CAKE
NASDAQ
The Cheesecake Factory Incorporated - Common Stock
$450.37 -2.63% $538,000,000,000 31,894,537
DOMH
NASDAQ
Dominari Holdings Inc. - Common Stock
$484.37 +3.37% $538,000,000,000 32,247,937
BLCR
NASDAQ
iShares Large Cap Core Active ETF
ETF
$76.36 -0.64% $537,000,000,000 38,457,136
SDAWW
NASDAQ
SunCar Technology Group Inc. - Warrant
$136.35 +3.35% $536,000,000,000 46,363,135
DBVT
NASDAQ
DBV Technologies S.A. - American Depositary Shares
$30.35 -2.65% $536,000,000,000 35,702,535
TERG
NASDAQ
Leverage Shares 2X Long TER Daily ETF
ETF
$158.35 -2.65% $536,000,000,000 35,115,335
VTWG
NASDAQ
Vanguard Russell 2000 Growth ETF
ETF
$504.34 -0.66% $535,000,000,000 18,249,934
HUM
NYSE
Humana Inc.
Healthcare
$418.34 +1.34% $535,000,000,000 16,041,334
BLZRW
NASDAQ
Trailblazer Acquisition Corp. - Warrant
$310.34 +1.34% $535,000,000,000 46,380,534
SHFSW
NASDAQ
SHF Holdings, Inc. - Warrants
$426.34 -2.66% $535,000,000,000 6,992,134
SBFMW
NASDAQ
Sunshine Biopharma Inc. - Warrant
$148.33 +3.33% $534,000,000,000 30,014,333
SATG
NASDAQ
Leverage Shares 2X Long SATS Daily ETF
ETF
$70.32 -2.68% $533,000,000,000 18,306,532
PGEN
NASDAQ
Precigen, Inc. - Common Stock
$276.32 -0.68% $533,000,000,000 14,477,132
FCAP
NASDAQ
First Capital, Inc. - Common Stock
$194.32 +1.32% $533,000,000,000 28,418,932
SPEG
NASDAQ
Silver Pegasus Acquisition Corp - Class A Ordinary Shares
$474.31 +1.31% $532,000,000,000 9,946,931
LAFA
NASDAQ
LaFayette Acquisition Corp. - Ordinary Share
$432.31 -0.69% $532,000,000,000 40,542,731
BHFAO
NASDAQ
Brighthouse Financial, Inc. - Depositary Shares, each representing a 1/1,000th interest in a share of 6.750% Non-Cumulative Preferred Stock, Series B
$222.29 +1.29% $530,000,000,000 49,471,729
BMGL
NASDAQ
Basel Medical Group Ltd - ordinary shares
$410.28 -2.72% $529,000,000,000 23,890,528
CVV
NASDAQ
CVD Equipment Corporation - Common Stock
$392.28 +3.28% $529,000,000,000 16,588,728
PAA
NASDAQ
Plains All American Pipeline, L.P. - Common Units representing Limited Partner Interests
$182.28 -2.72% $529,000,000,000 18,617,728
LKSPU
NASDAQ
Lake Superior Acquisition Corp. - Units
$442.27 +1.27% $528,000,000,000 32,043,727
OPRX
NASDAQ
OptimizeRx Corporation - Common Stock
$348.27 +3.27% $528,000,000,000 23,134,327
CXDO
NASDAQ
Crexendo, Inc. - Common Stock
$236.27 -0.73% $528,000,000,000 41,473,127
INTA
NASDAQ
Intapp, Inc. - Common Stock
$436.27 +3.27% $528,000,000,000 49,943,127