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Results
5,372
Clear
Symbol Company Price Change Market Cap Volume Trade
KLXE
NASDAQ
KLX Energy Services Holdings, Inc. - Common Stock
$467.47 +2.47% $248,000,000,000 11,446,247
ALMS
NASDAQ
Alumis Inc. - Common Stock
$163.46 +2.46% $247,000,000,000 37,315,846
INHD
NASDAQ
Inno Holdings Inc. - Common Stock
$479.45 +2.45% $246,000,000,000 49,197,445
INVA
NASDAQ
Innoviva, Inc. - Common Stock
$207.45 -1.55% $246,000,000,000 49,420,245
PCAPU
NASDAQ
ProCap Acquisition Corp - Unit
$201.45 +0.45% $246,000,000,000 9,819,645
REFR
NASDAQ
Research Frontiers Incorporated - Common Stock
$103.45 +2.45% $246,000,000,000 8,559,845
SEIC
NASDAQ
SEI Investments Company - Common Stock
$261.45 +0.45% $246,000,000,000 37,075,645
WOK
NASDAQ
WORK Medical Technology Group LTD - Class A Ordinary Shares
$63.45 -1.55% $246,000,000,000 6,605,845
COCO
NASDAQ
The Vita Coco Company, Inc. - Common Stock
$303.45 -1.55% $246,000,000,000 44,829,845
CALM
NASDAQ
Cal-Maine Foods, Inc. - Common Stock
$349.44 +0.44% $245,000,000,000 17,984,444
MKAM
NASDAQ
MKAM ETF
ETF
$139.44 -1.56% $245,000,000,000 40,463,444
NVMI
NASDAQ
Nova Ltd. - Ordinary Shares
$249.44 -3.56% $245,000,000,000 20,674,444
TZOO
NASDAQ
Travelzoo - Common Stock
$335.44 +2.44% $245,000,000,000 8,883,044
UCYB
NASDAQ
ProShares Ultra Nasdaq Cybersecurity
ETF
$391.44 -1.56% $245,000,000,000 8,738,644
SATL
NASDAQ
Satellogic Inc. - Class A Common Stock
$309.44 -3.56% $245,000,000,000 23,230,444
CHGX
NASDAQ
Stance Sustainable Beta ETF
ETF
$319.43 -1.57% $244,000,000,000 16,831,443
ASO
NASDAQ
Academy Sports and Outdoors, Inc. - Common Stock
$215.43 -1.57% $244,000,000,000 43,521,043
TPST
NASDAQ
Tempest Therapeutics, Inc. - Common Stock
$119.43 +2.43% $244,000,000,000 44,661,443
VOXR
NASDAQ
Vox Royalty Corp. - common stock
$421.43 +0.43% $244,000,000,000 39,491,643
SYNA
NASDAQ
Synaptics Incorporated - Common Stock
$67.42 +2.42% $243,000,000,000 5,706,242
MASS
NASDAQ
908 Devices Inc. - Common Stock
$271.42 -1.58% $243,000,000,000 20,326,642
MSGM
NASDAQ
Motorsport Games Inc. - Class A Common Stock
$229.42 +0.42% $243,000,000,000 42,972,442
PGC
NASDAQ
Peapack-Gladstone Financial Corporation - Common Stock
$221.42 -3.58% $243,000,000,000 23,121,642
MEMS
NASDAQ
Matthews Emerging Markets Discovery Active ETF
ETF
$367.41 -1.59% $242,000,000,000 13,536,241
CENX
NASDAQ
Century Aluminum Company - Common Stock
$501.41 -3.59% $242,000,000,000 40,749,641
GWAV
NASDAQ
Greenwave Technology Solutions, Inc. - Common Stock
$269.40 -3.60% $241,000,000,000 23,226,440
PGNY
NASDAQ
Progyny, Inc. - Common Stock
$247.40 +2.40% $241,000,000,000 22,674,240
ARCB
NASDAQ
ArcBest Corporation - Common Stock
$363.40 +2.40% $241,000,000,000 27,635,840
SVA
NASDAQ
Sinovac Biotech, Ltd. - Ordinary Shares (Antigua/Barbudo)
$291.39 -1.61% $240,000,000,000 39,378,639
GTR
NASDAQ
WisdomTree Target Range Fund
ETF
$391.39 +2.39% $240,000,000,000 9,488,639
CCGWW
NASDAQ
Cheche Group Inc. - Warrant
$329.38 +0.38% $239,000,000,000 37,032,438
TYRA
NASDAQ
Tyra Biosciences, Inc. - Common Stock
$481.38 -3.62% $239,000,000,000 697,638
COLA
NASDAQ
Columbus Acquisition Corp - Ordinary Shares
$107.37 +2.37% $238,000,000,000 36,310,237
GIND
NASDAQ
Goldman Sachs India Equity ETF
ETF
$413.37 +0.37% $238,000,000,000 590,837
PTLE
NASDAQ
PTL LTD - Class A Ordinary Shares
$9.36 -3.64% $237,000,000,000 33,550,436
VALN
NASDAQ
Valneva SE - American Depositary Shares
$439.35 -1.65% $236,000,000,000 43,643,435
LAFAR
NASDAQ
LaFayette Acquisition Corp. - Rights
$401.35 -3.65% $236,000,000,000 21,189,635
GLUE
NASDAQ
Monte Rosa Therapeutics, Inc. - Common Stock
$249.34 +0.34% $235,000,000,000 26,324,434
QETAU
NASDAQ
Quetta Acquisition Corporation - Unit
$503.34 +2.34% $235,000,000,000 32,799,834
CHI
NASDAQ
Calamos Convertible Opportunities and Income Fund - Closed End Fund
$153.34 +0.34% $235,000,000,000 25,114,834
LRGE
NASDAQ
ClearBridge Large Cap Growth Select ETF
ETF
$251.34 +2.34% $235,000,000,000 41,224,634
OMEX
NASDAQ
Odyssey Marine Exploration, Inc. - Common Stock
$293.34 -3.66% $235,000,000,000 26,728,834
AAL
NASDAQ
American Airlines Group, Inc. - Common Stock
$375.34 +2.34% $235,000,000,000 4,287,034
SMH
NASDAQ
VanEck Semiconductor ETF
ETF
$393.33 +0.33% $234,000,000,000 43,238,833
ATIIU
NASDAQ
Archimedes Tech SPAC Partners II Co. - Unit
$35.33 -1.67% $234,000,000,000 21,553,033
DRDBW
NASDAQ
Roman DBDR Acquisition Corp. II - Warrants
$469.33 +0.33% $234,000,000,000 796,433
EXEEL
NASDAQ
Expand Energy Corporation - Class C Warrants
$395.33 +2.33% $234,000,000,000 3,939,033
HCM
NASDAQ
HUTCHMED (China) Limited - American Depositary Shares
$357.33 -3.67% $234,000,000,000 42,035,233
INTR
NASDAQ
Inter & Co. Inc. - Class A Common Shares
$71.33 -1.67% $234,000,000,000 24,906,633
APADR
NASDAQ
A Paradise Acquisition Corp. - Rights
$219.32 -1.68% $233,000,000,000 44,471,432