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| Symbol | Company | Price | Change | Market Cap | Volume | Trade |
|---|---|---|---|---|---|---|
|
CDNL
NASDAQ
|
Cardinal Infrastructure Group Inc. - Class A Common Stock
|
$55.91 | -1.09% | $492,000,000,000 | 21,705,091 | |
|
CRMG
NASDAQ
|
Leverage Shares 2X Long CRM Daily ETF
ETF
|
$149.90 | +0.90% | $491,000,000,000 | 40,564,490 | |
|
HTZWW
NASDAQ
|
Hertz Global Holdings, Inc - Warrant
|
$375.90 | -1.10% | $491,000,000,000 | 33,637,090 | |
|
ISTR
NASDAQ
|
Investar Holding Corporation - Common Stock
|
$469.90 | +0.90% | $491,000,000,000 | 11,696,490 | |
|
ABLV
NASDAQ
|
Able View Global Inc. - Class B Ordinary Shares
|
$219.90 | -1.10% | $491,000,000,000 | 40,071,490 | |
|
MDWD
NASDAQ
|
MediWound Ltd. - Ordinary Shares
|
$145.90 | -3.10% | $491,000,000,000 | 2,664,090 | |
|
SBU
NASDAQ
|
Leverage Shares 2X Long SBUX Daily ETF
ETF
|
$157.87 | +0.87% | $488,000,000,000 | 24,565,287 | |
|
FGEN
NASDAQ
|
FibroGen, Inc - Common Stock
|
$343.87 | +2.87% | $488,000,000,000 | 36,383,887 | |
|
CINF
NASDAQ
|
Cincinnati Financial Corporation - Common Stock
|
$419.86 | +2.86% | $487,000,000,000 | 3,441,486 | |
|
SCLS
NASDAQ
|
Stoneport Advisors Commodity Long Short ETF
ETF
|
$59.86 | +2.86% | $487,000,000,000 | 13,805,486 | |
|
NTRS
NASDAQ
|
Northern Trust Corporation - Common Stock
|
$197.86 | +0.86% | $487,000,000,000 | 22,769,286 | |
|
PATN
NASDAQ
|
Pacer Nasdaq International Patent Leaders ETF
ETF
|
$371.86 | +2.86% | $487,000,000,000 | 17,936,686 | |
|
SPEGR
NASDAQ
|
Silver Pegasus Acquisition Corp - Rights
|
$353.85 | -3.15% | $486,000,000,000 | 50,184,885 | |
|
DOO
NASDAQ
|
BRP Inc. - Common Subordinate Voting Shares
|
$361.85 | +0.85% | $486,000,000,000 | 25,235,685 | |
|
APLMW
NASDAQ
|
Apollomics Inc. - Warrant
|
$267.85 | -1.15% | $486,000,000,000 | 16,576,285 | |
|
TH
NASDAQ
|
Target Hospitality Corp. - Common Stock
|
$443.85 | +2.85% | $486,000,000,000 | 26,643,885 | |
|
ZBAI
NASDAQ
|
ATIF Holdings Limited - Ordinary Shares
|
$97.84 | +0.84% | $485,000,000,000 | 27,909,284 | |
|
PLTS
NASDAQ
|
Platinum Analytics Cayman Limited - Class A Ordinary Shares
|
$405.84 | +0.84% | $485,000,000,000 | 13,090,084 | |
|
MTCH
NASDAQ
|
Match Group, Inc. - Common Stock
|
$53.84 | -3.16% | $485,000,000,000 | 12,404,884 | |
|
LXEH
NASDAQ
|
Lixiang Education Holding Co., Ltd. - American Depositary Shares
|
$145.83 | -3.17% | $484,000,000,000 | 30,664,083 | |
|
MARA
NASDAQ
|
MARA Holdings, Inc. - Common Stock
|
$115.83 | -1.17% | $484,000,000,000 | 6,761,083 | |
|
BLIV
NASDAQ
|
BeLive Holdings - ordinary shares
|
$101.83 | +0.83% | $484,000,000,000 | 46,459,683 | |
|
MMLP
NASDAQ
|
Martin Midstream Partners L.P. - Common Units Representing Limited Partnership Interests
|
$97.82 | -3.18% | $483,000,000,000 | 32,559,282 | |
|
LGCL
NASDAQ
|
Lucas GC Limited - Class A Ordinary Shares
|
$377.81 | +0.81% | $482,000,000,000 | 11,337,281 | |
|
PIII
NASDAQ
|
P3 Health Partners Inc. - Class A Common Stock
|
$415.81 | +2.81% | $482,000,000,000 | 49,991,081 | |
|
FFIC
NASDAQ
|
Flushing Financial Corporation - Common Stock
|
$355.81 | +2.81% | $482,000,000,000 | 25,635,081 | |
|
TDSC
NASDAQ
|
ETC Cabana Target Drawdown 10 ETF
ETF
|
$211.80 | +2.80% | $481,000,000,000 | 28,920,680 | |
|
WISE
NASDAQ
|
Themes Generative Artificial Intelligence ETF
ETF
|
$429.80 | +0.80% | $481,000,000,000 | 34,192,480 | |
|
WAI
NASDAQ
|
Top KingWin Ltd - Class A Ordinary Shares
|
$63.79 | -1.21% | $480,000,000,000 | 43,205,879 | |
|
XWIN
NASDAQ
|
XMAX, Inc. - Common Stock
|
$153.79 | +0.79% | $480,000,000,000 | 41,414,879 | |
|
NSPR
NASDAQ
|
InspireMD Inc. - Common Stock
|
$99.79 | -1.21% | $480,000,000,000 | 46,259,479 | |
|
NUTX
NASDAQ
|
Nutex Health Inc. - Common Stock
|
$277.79 | +0.79% | $480,000,000,000 | 42,977,279 | |
|
XOM
NYSE
|
Exxon Mobil Corporation
Energy
|
$108.45 | +0.60% | $480,000,000,000 | 19,500,000 | |
|
ATEX
NASDAQ
|
Anterix Inc. - Common Stock
|
$13.78 | -3.22% | $479,000,000,000 | 29,900,878 | |
|
YDES
NASDAQ
|
YD Bio Limited - Ordinary Shares
|
$299.78 | +2.78% | $479,000,000,000 | 30,529,478 | |
|
SJLD
NASDAQ
|
SanJac Alpha Low Duration ETF
ETF
|
$99.78 | +2.78% | $479,000,000,000 | 28,309,478 | |
|
BFC
NASDAQ
|
Bank First Corporation - Common Stock
|
$183.77 | -1.23% | $478,000,000,000 | 16,717,877 | |
|
GAIA
NASDAQ
|
Gaia, Inc. - Class A Common Stock
|
$359.77 | +2.77% | $478,000,000,000 | 42,785,477 | |
|
CONI
NASDAQ
|
GraniteShares 2x Short COIN Daily ETF
ETF
|
$473.77 | -3.23% | $478,000,000,000 | 1,096,877 | |
|
MRUS
NASDAQ
|
Merus N.V. - Common Shares
|
$157.77 | +0.77% | $478,000,000,000 | 13,765,277 | |
|
OMAB
NASDAQ
|
Grupo Aeroportuario del Centro Norte S.A.B. de C.V. - American Depositary Shares each representing 8 Series B shares
|
$497.76 | +0.76% | $477,000,000,000 | 5,849,276 | |
|
GLXG
NASDAQ
|
Galaxy Payroll Group Limited - Class A Ordinary Shares
|
$195.75 | -1.25% | $476,000,000,000 | 3,369,075 | |
|
IQQQ
NASDAQ
|
ProShares Nasdaq-100 High Income ETF
ETF
|
$405.75 | +0.75% | $476,000,000,000 | 18,190,075 | |
|
POWL
NASDAQ
|
Powell Industries, Inc. - Common Stock
|
$233.75 | -3.25% | $476,000,000,000 | 5,572,875 | |
|
TDIC
NASDAQ
|
Dreamland Limited - Class A Ordinary Shares
|
$471.75 | -1.25% | $476,000,000,000 | 5,546,675 | |
|
GINX
NASDAQ
|
SGI Enhanced Global Income ETF
ETF
|
$369.74 | +0.74% | $475,000,000,000 | 1,836,474 | |
|
RNWWW
NASDAQ
|
ReNew Energy Global plc - Warrant
|
$445.73 | -3.27% | $474,000,000,000 | 21,044,073 | |
|
CCCXU
NASDAQ
|
Churchill Capital Corp X - Unit
|
$417.73 | -3.27% | $474,000,000,000 | 16,091,273 | |
|
YSPY
NASDAQ
|
GraniteShares YieldBOOST SPY ETF
ETF
|
$461.73 | +0.73% | $474,000,000,000 | 21,495,673 | |
|
MYCF
NASDAQ
|
SPDR SSGA My2026 Corporate Bond ETF
ETF
|
$379.72 | +2.72% | $473,000,000,000 | 25,137,472 |
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