Most Active Stocks

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Company Name Symbol Price Change (%) Volume $ Volume
Lam Research  LRCX 290.20
-11.29 (-3.74%)
8,254,196 $2.40B
Robinhood Markets, Inc. - Class A Common Stock  HOOD 103.51
-1.30 (-1.24%)
22,651,829 $2.34B
Wal-Mart Stores, Inc.  WMT 105.92
+1.05 (1.00%)
22,085,010 $2.34B
Bloom Energy Corporation Class A Common Stock  BE 213.63
+7.33 (3.55%)
10,793,285 $2.31B
Caterpillar  CAT 779.16
-18.31 (-2.30%)
2,948,262 $2.30B
Visa  V 372.67
-6.70 (-1.77%)
5,858,703 $2.18B
Nebius Group N.V. - Class A Ordinary Shares  NBIS 199.54
-6.78 (-3.29%)
10,857,992 $2.17B
GE Vernova Inc. Common Stock  GEV 898.53
+0.00 (0.00%)
2,337,049 $2.10B
PG&E Corp  PCG 14.06
+0.79 (5.95%)
144,658,250 $2.03B
Seagate Technology Plc  STX 816.64
-11.74 (-1.42%)
2,426,200 $1.98B
Credo Technology Group Holding Ltd - Ordinary Shares  CRDO 206.63
-19.56 (-8.65%)
9,513,664 $1.97B
MasterCard  MA 581.10
-8.21 (-1.39%)
3,310,393 $1.92B
Exxon Mobil  XOM 164.55
+3.60 (2.24%)
11,389,655 $1.87B
Goldman Sachs Group  GS 1,002.56
-18.34 (-1.80%)
1,846,399 $1.85B
Texas Instruments  TXN 253.34
-7.57 (-2.90%)
7,216,148 $1.83B
Chevron Corp  CVX 211.05
+4.91 (2.38%)
8,558,931 $1.81B
JPMorgan Chase & Co  JPM 354.95
-1.07 (-0.30%)
5,079,826 $1.80B
KLA-Tencor Corp  KLAC 170.89
-4.56 (-2.60%)
10,479,091 $1.79B
SK hynix Inc. - American Depositary Shares  SKHY 160.78
-3.80 (-2.31%)
10,875,757 $1.75B
Medtronic  MDT 92.04
+1.39 (1.53%)
18,840,903 $1.73B
Netflix  NFLX 80.81
-0.24 (-0.30%)
21,164,963 $1.71B
Wells Fargo  WFC 87.04
+0.65 (0.75%)
19,323,254 $1.68B
ASML Holding N.V. - New York Registry Shares  ASML 1,665.14
-30.87 (-1.82%)
1,005,729 $1.67B
Johnson & Johnson  JNJ 271.19
+5.34 (2.01%)
6,035,318 $1.64B
MongoDB, Inc. - Class A Common Stock  MDB 434.21
-19.16 (-4.23%)
3,603,330 $1.56B
Deere & Co  DE 676.08
+21.17 (3.23%)
2,311,020 $1.56B
Cisco Systems  CSCO 109.74
-0.75 (-0.68%)
14,173,037 $1.56B
Corning  GLW 145.56
-3.17 (-2.13%)
10,685,048 $1.56B
Bank of America  BAC 61.99
+0.05 (0.08%)
25,056,394 $1.55B
Coherent Corp. - Common Stock  COHR 272.03
-5.80 (-2.09%)
5,518,450 $1.50B
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