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Company Name Symbol Price Change (%) Volume $ Volume
SoFi Technologies, Inc. - Common Stock  SOFI 26.71
+0.54 (2.04%)
17,460,093 $466.45M
Applied Materials  AMAT 266.16
+9.17 (3.57%)
1,749,684 $465.70M
Astera Labs, Inc. - Common Stock  ALAB 177.63
+11.27 (6.77%)
2,587,113 $459.55M
Wal-Mart Stores, Inc.  WMT 111.75
+0.34 (0.30%)
4,103,760 $458.57M
Intuit  INTU 629.32
-33.10 (-5.00%)
723,126 $455.08M
Nebius Group N.V. - Class A Ordinary Shares  NBIS 90.37
+6.67 (7.96%)
5,006,705 $452.46M
Uber Technologies, Inc. Common Stock  UBER 83.41
+1.70 (2.07%)
5,289,362 $441.16M
Exxon Mobil  XOM 121.31
+0.97 (0.80%)
3,610,750 $438.00M
Johnson & Johnson  JNJ 206.81
-0.14 (-0.07%)
2,082,357 $430.65M
Rivian Automotive, Inc.  RIVN 19.20
-0.51 (-2.59%)
20,293,601 $389.64M
General Electric  GE 314.55
+6.52 (2.12%)
1,238,489 $389.57M
Workday, Inc. - Class A Common Stock  WDAY 204.91
-9.87 (-4.60%)
1,865,902 $382.34M
Seagate Technology Plc  STX 282.97
+7.58 (2.75%)
1,346,013 $380.88M
Cisco Systems  CSCO 76.12
-0.91 (-1.17%)
5,003,198 $380.87M
IonQ, Inc. Common Stock  IONQ 45.53
+0.66 (1.47%)
8,186,118 $372.71M
Walt Disney  DIS 112.02
-1.75 (-1.54%)
3,312,575 $371.07M
Accenture Plc  ACN 263.76
-4.54 (-1.69%)
1,389,742 $366.56M
Palo Alto Networks, Inc. - Common Stock  PANW 180.18
-4.02 (-2.19%)
2,012,289 $362.56M
Amphenol Corp A  APH 138.00
+2.87 (2.12%)
2,501,784 $345.26M
Oklo Inc. Class A common stock  OKLO 76.07
+4.31 (6.01%)
4,468,286 $339.92M
Credo Technology Group Holding Ltd - Ordinary Shares  CRDO 142.94
-0.95 (-0.66%)
2,371,284 $338.95M
Home Depot  HD 347.04
+2.94 (0.85%)
973,937 $338.00M
International Business Machines  IBM 292.56
-3.64 (-1.23%)
1,155,283 $338.00M
PayPal Holdings, Inc. - Common Stock  PYPL 58.47
+0.09 (0.15%)
5,750,226 $336.19M
Procter & Gamble  PG 142.04
-1.27 (-0.88%)
2,359,079 $335.10M
McDonald's Corp  MCD 302.49
-3.14 (-1.03%)
1,104,270 $334.03M
MongoDB, Inc. - Class A Common Stock  MDB 403.65
-16.04 (-3.82%)
817,242 $329.88M
Circle Internet Group, Inc. Class A Common Stock  CRCL 82.91
+3.61 (4.55%)
3,926,974 $325.59M
PDD Holdings Inc. - American Depositary Shares  PDD 116.27
+2.88 (2.54%)
2,787,228 $324.06M
Rigetti Computing, Inc. - Common stock  RGTI 22.63
+0.48 (2.17%)
14,094,861 $318.97M
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