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Company Name Symbol Price Change (%) Volume $ Volume
Booking Holdings Inc. - Common Stock  BKNG 168.13
+0.23 (0.14%)
1,948,057 $327.54M
Celestica   CLS 344.22
+11.59 (3.48%)
948,335 $326.44M
IonQ, Inc. Common Stock  IONQ 40.52
+1.39 (3.55%)
7,986,044 $323.59M
MasterCard  MA 565.31
+0.07 (0.01%)
572,020 $323.37M
Intuitive Surgical  ISRG 397.55
+4.22 (1.07%)
806,431 $320.59M
Vistra Corp.  VST 142.03
+1.59 (1.13%)
2,124,384 $301.72M
Reddit, Inc.  RDDT 158.00
+7.15 (4.74%)
1,903,111 $300.69M
United Parcel Service  UPS 95.30
-3.76 (-3.80%)
3,140,559 $299.30M
Philip Morris International  PM 187.75
-0.87 (-0.46%)
1,575,900 $295.88M
Everpure, Inc. Class A common stock  P 113.19
+9.05 (8.69%)
2,605,424 $294.91M
Eaton Corp Plc  ETN 436.13
+11.36 (2.67%)
672,521 $293.31M
Monolithic Power Systems, Inc. - Common Stock  MPWR 1,256.41
+38.61 (3.17%)
232,630 $292.28M
Gilead Sciences  GILD 151.34
+1.23 (0.82%)
1,886,925 $285.57M
Merck & Co  MRK 149.20
+2.33 (1.59%)
1,899,353 $283.38M
Amgen  AMGN 392.02
+6.37 (1.65%)
722,324 $283.17M
Pfizer  PFE 27.64
-0.02 (-0.07%)
10,183,949 $281.50M
Freeport-McMoRan  FCX 71.93
+0.39 (0.55%)
3,908,316 $281.13M
Morgan Stanley  MS 205.39
+2.81 (1.39%)
1,359,013 $279.13M
Okta, Inc. - Class A Common Stock  OKTA 189.84
+7.47 (4.10%)
1,466,067 $278.32M
Hyperliquid Strategies Inc - Common Stock  PURR 13.66
-0.43 (-3.02%)
20,286,131 $277.21M
Shell plc  SHEL 93.27
-1.27 (-1.34%)
2,937,948 $274.02M
Riot Platforms, Inc. - Common Stock  RIOT 24.43
+0.68 (2.88%)
11,187,025 $273.35M
Phillips 66  PSX 266.07
-7.06 (-2.58%)
1,026,086 $273.02M
Boston Scientific  BSX 43.21
-0.13 (-0.30%)
6,268,871 $270.88M
HP Inc. Common Stock  HPQ 33.16
-1.24 (-3.62%)
8,145,461 $270.06M
Starbucks Corp  SBUX 94.26
-1.57 (-1.64%)
2,855,418 $269.15M
AbbVie  ABBV 264.70
+0.74 (0.28%)
1,016,495 $269.07M
UiPath, Inc. Class A Common Stock  PATH 13.58
+0.19 (1.42%)
19,470,682 $264.41M
Paramount Skydance Corporation - Class B Common Stock  PSKY 11.20
+0.98 (9.65%)
23,244,707 $260.22M
Unity Software Inc. Common Stock  U 42.90
+1.50 (3.62%)
6,064,726 $260.18M
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