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Company Name Symbol Price Change (%) Volume $ Volume
Credo Technology Group Holding Ltd - Ordinary Shares  CRDO 121.89
-12.83 (-9.53%)
4,363,127 $531.80M
Rocket Lab Corporation - Common Stock  RKLB 69.05
-2.98 (-4.14%)
7,667,846 $529.43M
AbbVie  ABBV 222.07
-0.37 (-0.17%)
2,337,642 $519.12M
Chevron Corp  CVX 185.04
+2.78 (1.52%)
2,787,951 $515.88M
Eaton Corp Plc  ETN 394.91
+17.44 (4.62%)
1,244,865 $491.61M
Coherent Corp. - Common Stock  COHR 224.72
-3.65 (-1.60%)
2,187,182 $491.51M
Wal-Mart Stores, Inc.  WMT 127.92
+1.22 (0.96%)
3,829,828 $489.89M
Bank of America  BAC 54.73
-0.66 (-1.20%)
8,753,403 $479.03M
UnitedHealth Group  UNH 273.88
+0.66 (0.24%)
1,743,488 $477.51M
SoFi Technologies, Inc. - Common Stock  SOFI 20.43
-0.75 (-3.56%)
22,980,932 $469.39M
Coca-Cola Company  KO 78.04
+1.23 (1.60%)
5,964,093 $465.44M
KLA-Tencor Corp  KLAC 1,470.00
+39.16 (2.74%)
313,266 $460.50M
Snowflake Inc. Common Stock  SNOW 175.41
-7.17 (-3.93%)
2,561,575 $449.33M
Citigroup  C 119.39
-2.76 (-2.26%)
3,720,369 $444.17M
Corning  GLW 130.36
+2.26 (1.76%)
3,385,514 $441.34M
Lyft, Inc. - Class A Common Stock  LYFT 14.17
-2.68 (-15.88%)
30,527,026 $432.71M
AT&T Inc.  T 28.32
+0.91 (3.30%)
15,025,914 $425.46M
MasterCard  MA 535.18
-5.21 (-0.96%)
792,441 $424.10M
Applied Digital Corporation - Common Stock  APLD 36.40
-1.07 (-2.86%)
11,419,451 $415.67M
Texas Instruments  TXN 227.57
+6.66 (3.01%)
1,817,285 $413.57M
Morgan Stanley  MS 174.89
-3.00 (-1.69%)
2,346,526 $410.38M
Teradyne, Inc. - Common Stock  TER 317.24
+12.35 (4.05%)
1,274,572 $404.35M
Berkshire Hathaway  BRK-B 498.00
-2.30 (-0.46%)
810,012 $403.39M
Smurfit WestRock plc Ordinary Shares  SW 51.50
+5.75 (12.57%)
7,768,088 $400.06M
Amphenol Corp A  APH 140.45
-3.69 (-2.56%)
2,805,925 $394.09M
Datadog, Inc. - Class A Common Stock  DDOG 125.84
-3.82 (-2.95%)
3,118,699 $392.47M
Reddit, Inc.  RDDT 142.19
-7.79 (-5.19%)
2,757,579 $392.10M
Procter & Gamble  PG 160.17
+1.09 (0.69%)
2,439,836 $390.79M
Boeing Co  BA 238.56
-4.03 (-1.66%)
1,615,809 $385.47M
Borg Warner  BWA 63.72
+9.74 (18.04%)
6,031,503 $384.33M
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