All Stocks

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Results
5,372
Symbol Company Price Change Market Cap Volume Trade
AMGN
NASDAQ
Amgen Inc. - Common Stock
$156.86 -0.14% $787,000,000,000 25,665,186
MLECW
NASDAQ
Moolec Science SA - Warrant
$406.86 -2.14% $787,000,000,000 19,240,186
CLPS
NASDAQ
CLPS Incorporation - Common Stock
$356.85 +3.85% $786,000,000,000 29,735,185
DMRC
NASDAQ
Digimarc Corporation - Common Stock
$234.85 -2.15% $786,000,000,000 7,772,985
HURC
NASDAQ
Hurco Companies, Inc. - Common Stock
$346.85 +1.85% $786,000,000,000 26,434,185
IBGA
NASDAQ
iShares iBonds Dec 2044 Term Treasury ETF
ETF
$8.85 -0.15% $786,000,000,000 29,100,385
ORLY
NASDAQ
O'Reilly Automotive, Inc. - Common Stock
$316.84 +3.84% $785,000,000,000 29,431,184
PRENW
NASDAQ
Prenetics Global Limited - Warrant
$114.84 +1.84% $785,000,000,000 22,610,984
CIFRW
NASDAQ
Cipher Mining Inc. - Warrant
$244.84 -0.16% $785,000,000,000 22,773,984
CLNN
NASDAQ
Clene Inc. - Common Stock
$230.83 -2.17% $784,000,000,000 38,722,583
OCS
NASDAQ
Oculis Holding AG - Ordinary shares
$126.83 +1.83% $784,000,000,000 14,562,183
XELB
NASDAQ
Xcel Brands, Inc - Common Stock
$276.83 +3.83% $784,000,000,000 46,227,183
UAL
NASDAQ
United Airlines Holdings, Inc. - Common Stock
$134.82 -2.18% $783,000,000,000 4,912,982
PAHC
NASDAQ
Phibro Animal Health Corporation - Class A Common Stock
$304.82 +3.82% $783,000,000,000 32,179,982
EMXC
NASDAQ
iShares MSCI Emerging Markets ex China ETF
ETF
$366.82 -2.18% $783,000,000,000 3,436,182
ERII
NASDAQ
Energy Recovery, Inc. - Common Stock
$374.81 -2.19% $782,000,000,000 23,936,981
ETOR
NASDAQ
eToro Group Ltd. - Class A Common Shares
$496.81 +3.81% $782,000,000,000 48,599,181
HBIO
NASDAQ
Harvard Bioscience, Inc. - Common Stock
$276.81 +3.81% $782,000,000,000 8,527,181
POM
NASDAQ
POMDOCTOR LIMITED - American Depositary Shares
$182.81 +1.81% $782,000,000,000 17,367,781
QABA
NASDAQ
First Trust NASDAQ ABA Community Bank Index Fund
ETF
$356.81 +3.81% $782,000,000,000 12,335,181
QQQP
NASDAQ
Tradr 2X Long Innovation 100 Quarterly ETF
ETF
$200.81 -0.19% $782,000,000,000 48,719,581
CHSCM
NASDAQ
CHS Inc - Class B Reset Rate Cumulative Redeemable Preferred Stock, Series 3
$138.80 -2.20% $781,000,000,000 24,763,380
AAPG
NASDAQ
Ascentage Pharma Group International - American Depository Shares
$282.80 -2.20% $781,000,000,000 16,177,780
BSBK
NASDAQ
Bogota Financial Corp. - Common Stock
$200.80 -0.20% $781,000,000,000 25,619,580
XLK
NYSEARCA
Technology Select Sector SPDR Fund
ETF
$208.79 +3.79% $780,000,000,000 40,270,379
TDI
NASDAQ
Touchstone Dynamic International ETF
ETF
$156.79 +3.79% $780,000,000,000 16,915,179
BTSG
NASDAQ
BrightSpring Health Services, Inc. - Common Stock
$238.78 +1.78% $779,000,000,000 46,773,378
DUOT
NASDAQ
Duos Technologies Group, Inc. - Common Stock
$328.78 +3.78% $779,000,000,000 1,982,378
HWKN
NASDAQ
Hawkins, Inc. - Common Stock
$26.78 +1.78% $779,000,000,000 50,202,178
INFR
NASDAQ
ClearBridge Sustainable Infrastructure ETF
ETF
$496.78 -0.22% $779,000,000,000 3,049,178
GPAT
NASDAQ
GP-Act III Acquisition Corp. - Class A Ordinary Share
$142.77 +1.77% $778,000,000,000 12,863,777
HOVR
NASDAQ
New Horizon Aircraft Ltd. - Class A Ordinary Shares
$408.77 -0.23% $778,000,000,000 40,140,377
LX
NASDAQ
LexinFintech Holdings Ltd. - American Depositary Shares
$318.76 -2.24% $777,000,000,000 24,631,376
SPAI
NASDAQ
Safe Pro Group Inc. - Common Stock
$362.76 -2.24% $777,000,000,000 15,385,776
INTS
NASDAQ
Intensity Therapeutics, Inc. - Common Stock
$282.75 +1.75% $776,000,000,000 48,527,775
CORZ
NASDAQ
Core Scientific, Inc. - Common Stock
$358.74 -2.26% $775,000,000,000 41,235,374
CNTY
NASDAQ
Century Casinos, Inc. - Common Stock
$348.73 +3.73% $774,000,000,000 12,334,373
TRUG
NASDAQ
TruGolf Holdings, Inc. - Class A Common Stock
$68.73 -0.27% $774,000,000,000 28,056,373
GLRE
NASDAQ
Greenlight Reinsurance, Ltd. - Class A Ordinary Shares
$104.73 -0.27% $774,000,000,000 44,109,973
KJD
NASDAQ
KraneShares 2x Long JD Daily ETF
ETF
$148.73 -0.27% $774,000,000,000 22,364,373
MDBH
NASDAQ
MDB Capital Holdings, LLC - Class A common
$64.73 +3.73% $774,000,000,000 46,655,973
MDIV
NASDAQ
Multi-Asset Diversified Income Index Fund
ETF
$314.73 -2.27% $774,000,000,000 19,480,973
XLRE
NYSEARCA
Real Estate Select Sector SPDR Fund
ETF
$182.72 +1.72% $773,000,000,000 28,967,772
DASH
NASDAQ
DoorDash, Inc. - Common Stock
$208.72 -0.28% $773,000,000,000 19,420,372
ARTNA
NASDAQ
Artesian Resources Corporation - Class A Non-Voting Common Stock
$62.72 -2.28% $773,000,000,000 24,605,772
JAKK
NASDAQ
JAKKS Pacific, Inc. - Common Stock
$164.72 +3.72% $773,000,000,000 46,915,972
HEJD
NASDAQ
VictoryShares Hedged Equity Income ETF
ETF
$212.71 +3.71% $772,000,000,000 22,720,771
WENNU
NASDAQ
Wen Acquisition Corp - Unit
$256.71 -0.29% $772,000,000,000 12,625,171
NCSM
NASDAQ
NCS Multistage Holdings, Inc. - Common Stock
$392.69 -0.31% $770,000,000,000 31,138,769
DAPP
NASDAQ
VanEck Digital Transformation ETF
ETF
$96.69 +3.69% $770,000,000,000 12,559,169

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