All Stocks

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Results
5,372
Clear
Symbol Company Price Change Market Cap Volume Trade
VCEL
NASDAQ
Vericel Corporation - Common Stock
$456.68 +3.68% $1,369,000,000,000 35,995,168
CELZ
NASDAQ
Creative Medical Technology Holdings, Inc. - Common Stock
$286.67 -2.33% $1,368,000,000,000 14,528,167
SDM
NASDAQ
Smart Digital Group Limited - Ordinary Shares
$490.67 +1.67% $1,368,000,000,000 31,448,567
SDST
NASDAQ
Stardust Power Inc. - Common Stock
$142.66 +1.66% $1,367,000,000,000 29,863,766
INTW
NASDAQ
GraniteShares 2x Long INTC Daily ETF
ETF
$470.66 -2.34% $1,367,000,000,000 25,746,566
AMZN
NASDAQ
Amazon.com, Inc. - Common Stock
$192.66 +3.66% $1,367,000,000,000 29,768,766
ABP
NASDAQ
Abpro Holdings, Inc - Common Stock
$266.66 +1.66% $1,367,000,000,000 8,826,166
BCDA
NASDAQ
BioCardia, Inc. - Common Stock
$226.64 +1.64% $1,365,000,000,000 49,422,164
DVY
NASDAQ
iShares Select Dividend ETF
ETF
$240.64 -0.36% $1,365,000,000,000 38,923,564
DYORU
NASDAQ
Insight Digital Partners II - Units
$156.64 -0.36% $1,365,000,000,000 41,665,164
HIVE
NASDAQ
HIVE Digital Technologies Ltd - Common Shares
$440.64 -0.36% $1,365,000,000,000 42,643,564
AKTX
NASDAQ
Akari Therapeutics Plc - American Depositary Shares
$186.63 +1.63% $1,364,000,000,000 10,118,163
ZENV
NASDAQ
Zenvia Inc. - Class A Common Stock
$56.63 +3.63% $1,364,000,000,000 26,355,163
AEHR
NASDAQ
Aehr Test Systems - Common Stock
$84.62 +3.62% $1,363,000,000,000 30,607,962
BSSX
NASDAQ
Invesco BulletShares 2033 Municipal Bond ETF
ETF
$246.62 +1.62% $1,363,000,000,000 24,474,162
AMPH
NASDAQ
Amphastar Pharmaceuticals, Inc. - Common Stock
$150.61 -2.39% $1,362,000,000,000 38,714,561
IBG
NASDAQ
Innovation Beverage Group Limited - Ordinary Shares
$464.61 -0.39% $1,362,000,000,000 19,245,961
DGCB
NASDAQ
Dimensional Global Credit ETF
ETF
$360.61 -0.39% $1,362,000,000,000 7,235,561
LMTL
NASDAQ
Direxion Daily LMT Bull 2X ETF
ETF
$422.61 -2.39% $1,362,000,000,000 46,341,761
MBS
NASDAQ
Angel Oak Mortgage-Backed Securities ETF
ETF
$56.60 -0.40% $1,361,000,000,000 23,805,160
MYCM
NASDAQ
SPDR SSGA My2033 Corporate Bond ETF
ETF
$364.60 -0.40% $1,361,000,000,000 18,485,960
FORA
NASDAQ
Forian Inc. - Common Stock
$474.60 +1.60% $1,361,000,000,000 40,446,960
GIGM
NASDAQ
GigaMedia Limited - Ordinary Shares
$428.60 +3.60% $1,361,000,000,000 20,342,360
ADSK
NASDAQ
Autodesk, Inc. - Common Stock
$468.59 +3.59% $1,360,000,000,000 49,546,359
ABI
NASDAQ
VictoryShares Pioneer Asset-Based Income ETF
ETF
$200.58 +3.58% $1,359,000,000,000 30,269,558
QB
NASDAQ
ProShares Nasdaq-100 Dynamic Buffer ETF
ETF
$16.58 +3.58% $1,359,000,000,000 8,551,158
WOOF
NASDAQ
Petco Health and Wellness Company, Inc. - Class A Common Stock
$372.57 +3.57% $1,358,000,000,000 26,136,757
FUTU
NASDAQ
Futu Holdings Limited - American Depositary Shares
$18.57 +1.57% $1,358,000,000,000 15,901,357
AFRI
NASDAQ
Forafric Global PLC - Ordinary Shares
$480.56 +3.56% $1,357,000,000,000 1,597,556
MCGAU
NASDAQ
Yorkville Acquisition Corp. - Unit
$234.56 +1.56% $1,357,000,000,000 1,022,956
FVNNR
NASDAQ
Future Vision II Acquisition Corporation - Right
$356.55 +3.55% $1,356,000,000,000 3,135,155
FOFO
NASDAQ
Hang Feng Technology Innovation Co., Ltd. - Ordinary Shares
$428.54 -0.46% $1,355,000,000,000 14,392,354
QUBT
NASDAQ
Quantum Computing Inc. - Common Stock
$450.54 +1.54% $1,355,000,000,000 30,444,554
ALEC
NASDAQ
Alector, Inc. - Common Stock
$402.54 +1.54% $1,355,000,000,000 31,939,754
PELIR
NASDAQ
Pelican Acquisition Corporation - Right
$142.53 +1.53% $1,354,000,000,000 10,463,753
PIE
NASDAQ
Invesco Dorsey Wright Emerging Markets Momentum ETF
ETF
$248.53 +3.53% $1,354,000,000,000 36,174,353
TNMG
NASDAQ
TNL Mediagene - Ordinary Shares
$398.52 -2.48% $1,353,000,000,000 41,039,352
GRRR
NASDAQ
Gorilla Technology Group Inc. - Ordinary shares
$490.52 +1.52% $1,353,000,000,000 13,848,552
EXEEZ
NASDAQ
Expand Energy Corporation - Class B Warrants
$398.52 +1.52% $1,353,000,000,000 28,489,352
COLAR
NASDAQ
Columbus Acquisition Corp - Rights
$58.51 -2.49% $1,352,000,000,000 10,655,351
AVPT
NASDAQ
AvePoint, Inc. - Class A Common Stock
$400.51 -0.49% $1,352,000,000,000 10,939,551
HGBL
NASDAQ
Heritage Global Inc. - Common Stock
$470.51 -2.49% $1,352,000,000,000 22,046,551
HYLS
NASDAQ
First Trust Tactical High Yield ETF
ETF
$486.50 -2.50% $1,351,000,000,000 39,448,150
NDSN
NASDAQ
Nordson Corporation - Common Stock
$196.50 +3.50% $1,351,000,000,000 21,119,150
BSLKW
NASDAQ
Bolt Projects Holdings, Inc. - Warrant
$474.49 +1.49% $1,350,000,000,000 29,646,949
FDIV
NASDAQ
MarketDesk Focused U.S. Dividend ETF
ETF
$260.48 +3.48% $1,349,000,000,000 10,625,548
NTWO
NASDAQ
Newbury Street II Acquisition Corp - Class A Ordinary Shares
$160.48 +3.48% $1,349,000,000,000 31,665,548
MST
NASDAQ
Defiance Leveraged Long + Income MSTR ETF
ETF
$284.47 -0.53% $1,348,000,000,000 6,977,947
NKTR
NASDAQ
Nektar Therapeutics - Common Stock
$272.47 -0.53% $1,348,000,000,000 13,526,747
OCSL
NASDAQ
Oaktree Specialty Lending Corporation - Closed End Fund
$178.46 +1.46% $1,347,000,000,000 15,717,346

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