Companies IPOs in 2003

As of 2003, 131 companies have debuted on NASDAQ and NYSE exchanges, with a combined market cap of $724.66 billion. Notable newcomers include Sumitomo Mitsui Financial Group Inc Adr (SMFG), Ishares Core U S Aggregate Bond Etf (AGG), alongside Waste Connections Inc (WCN). Among these IPOs, Immunoprecise Antibodies Ltd (IPA) is the top performer today, up +15.21% in the last 24 hours.

Symbol Name Price (After Hoursafter-market) Market Cap ▾ Volume % (1D) % (1M) % (6M)
Sumitomo Mitsui Financial Group Inc Adr
12.89
84.10B
1.16M
+3.87%
-0.69%
+11.60%
AGG
Ishares Core U S Aggregate Bond Etf
99.96
57.29B
9.63M
-0.65%
-0.83%
+2.88%
WCN
Waste Connections Inc
176.41
45.51B
713.51K
-0.95%
-4.53%
+5.45%
Trip Com Group Ltd Adr
68.43
44.56B
7.98M
+5.88%
+44.46%
+42.59%
Ferguson Enterprises Inc
194.95
39.12B
2.64M
+1.70%
-0.34%
-11.92%
Stellantis N V
13.32
38.22B
11.22M
+1.83%
-17.16%
-49.89%
CHT
Chunghwa Telecom Adr
38.84
30.13B
103.67K
+0.39%
+0.62%
-0.41%
EEM
Ishares Msci Emerging Markets Etf
46.97
29.29B
28.93M
+0.92%
+10.52%
+14.12%
Teck Resources Ltd
51.82
26.93B
2.27M
+0.88%
+14.95%
+10.44%
FTS
Fortis Inc
44.47
22.08B
637.11K
-0.98%
-0.71%
+13.85%
RSP
Invesco S P 500 Equal Weight Etf
178.57
21.95B
5.39M
+0.78%
+3.01%
+7.96%
SHG
Shinhan Financial Group Co Ltd Adr
41.35
20.77B
107.83K
-0.72%
-1.48%
+25.30%
NRG
Nrg Energy Inc
95.35
19.82B
2.48M
+1.38%
+20.50%
+34.87%
DVY
Ishares Select Dividend Etf
134.21
19.57B
224.93K
+0.62%
+0.63%
+11.04%
TIP
Ishares Tips Bond Etf
109.39
19.56B
1.90M
-0.68%
+0.04%
+2.16%
MOH
Molina Healthcare Inc
330.67
19.38B
241.54K
-0.21%
-0.17%
-11.89%
IHG
Intercontinental Hotels Group Adr
110.87
17.53B
65,319
+1.56%
+12.36%
+10.66%
EBR
Centrais Eletricas Brasileiras S A Adr
7.04
15.83B
493.58K
+0.43%
-7.73%
-13.83%
LKQ
Lkq Corp
39.22
10.32B
2.17M
+0.18%
-5.70%
-23.28%
SNX
Td Synnex Corp
117.31
9.89B
427.31K
+1.70%
+1.60%
+0.04%
TPX
Tempur Sealy International Inc
53.02
9.26B
1.59M
-0.53%
+4.91%
+0.32%
WF
Woori Financial Group Inc Adr
35.18
8.68B
75,535
+0.34%
-2.44%
+12.86%
BEP
Brookfield Renewable Partners Lp
27.32
7.79B
337.10K
+1.49%
+9.37%
+19.56%
FVD
First Trust Value Line Dividend Index Fund
45.07
7.62B
406.32K
+0.31%
+0.90%
+9.18%
AXS
Axis Capital Holdings Ltd
82.17
6.96B
784.79K
+3.32%
+4.68%
+26.75%
Nexstar Media Group Inc
164.25
5.37B
201.56K
+0.99%
-1.92%
-2.38%
Piper Sandler Cos
290.89
4.61B
85,115
+3.05%
+11.04%
+45.81%
NNI
Nelnet Inc
112.97
4.11B
45,823
+1.45%
+1.01%
+20.62%
HBM
Hudbay Minerals Inc
9.40
3.70B
3.67M
+2.06%
+28.07%
+28.59%
CNO
Cno Financial Group Inc
34.97
3.70B
506.10K
+1.66%
+1.42%
+30.68%
EGO
Eldorado Gold Corp
17.29
3.54B
1.24M
-1.43%
+7.26%
+17.38%
Formfactor Inc
46.34
3.51B
574.05K
+4.51%
+4.23%
+2.00%
Cavco Industries Inc
422.28
3.49B
53,313
-1.69%
+5.82%
+12.82%
Texas Capital Bancshares Inc
72.00
3.34B
232.16K
+2.40%
+9.87%
+23.65%
JPC
Nuveen Preferred Income Opportunities Fund
7.99
2.55B
1.24M
-0.50%
+1.65%
+12.06%
CRI
Carters Inc
64.77
2.35B
659.09K
-0.43%
-3.43%
-15.95%
PFS
Provident Financial Services Inc
17.83
2.32B
376.21K
+0.85%
-5.21%
+23.99%
Riot Platforms Inc
7.85
2.29B
20.21M
+5.65%
+14.60%
-22.96%
GDV
Gabelli Dividend Income Trust
24.37
2.19B
71,318
+0.70%
+1.97%
+8.31%
FTF
Franklin Limited Duration Income Trust
6.71
1.91B
119.06K
+0.30%
+0.60%
+8.05%
EVT
Eaton Vance Tax Advantaged Dividend Income Fund
24.65
1.84B
90,238
+0.98%
+1.94%
+6.25%
DNN
Denison Mines Corp
1.96
1.74B
14.03M
+3.16%
+28.10%
-9.26%
MAG
MAG Silver Corp.
14.96
1.55B
956.64K
+2.47%
+23.03%
+27.10%
SA
Seabridge Gold Inc
16.75
1.50B
213.09K
+0.30%
+2.76%
+4.62%
HYT
Blackrock Corporate High Yield Fund Inc
9.95
1.44B
330.96K
-0.10%
-0.30%
+2.26%
KRO
Kronos Worldwide Inc
12.07
1.39B
95,580
+1.34%
+7.29%
+0.92%
Adeia Inc
11.84
1.29B
297.70K
+2.51%
-0.50%
+9.83%
Dorchester Minerals Lp
31.26
1.25B
20,228
+0.64%
+4.48%
-11.29%
EVV
Eaton Vance Limited Duration Income Fund
10.51
1.22B
226.93K
+0.57%
+3.24%
+9.14%
NMZ
Nuveen Municipal High Income Opportunity Fund
11.66
1.19B
304.28K
-0.51%
-0.17%
+11.79%
NG
Novagold Resources Inc.
3.44
1.18B
1.57M
-5.49%
-11.79%
+13.16%
Travere Therapeutics Inc
15.23
1.16B
3.17M
+11.58%
+51.54%
+119.14%
RNP
Cohen Steers Reit Preferred Income Fund Inc
23.10
1.09B
114.55K
+0.92%
-2.37%
+13.68%
EXK
Endeavour Silver Corp
4.28
1.05B
5.90M
-0.93%
+51.24%
+58.52%
Aurinia Pharmaceuticals Inc
7.12
1.02B
818.31K
+1.42%
+2.01%
+39.88%
SVM
Silvercorp Metals Inc
4.55
999.30M
1.95M
+0.22%
+30.37%
+23.31%
Air Transport Services Group Inc
14.89
963.51M
391.05K
+1.57%
-5.10%
+16.97%
Energy Fuels Inc
5.67
927.09M
2.76M
+1.07%
+29.16%
-14.48%
CHY
Calamos Convertible And High Income Fund
12.02
925.61M
232.12K
+1.18%
+4.34%
+6.47%
SKE
Skeena Resources Ltd
8.50
908.65M
302.79K
+1.80%
+15.65%
+84.38%
MUI
Blackrock Municipal Income Fund Inc
12.61
907.82M
633.13K
-0.32%
+1.29%
+7.14%
BFC
Bank First Corp
87.24
873.60M
11,408
+0.86%
-2.64%
+5.64%
UTI
Universal Technical Institute Inc
15.41
833.28M
480.25K
+0.00%
-8.49%
+5.04%
PHK
Pimco High Income Fund
5.08
794.91M
795.79K
-0.39%
+4.31%
+2.11%
FFC
Flaherty Crumrine Preferred And Income Securities Fund Inc
16.27
783.85M
140.29K
+0.18%
+1.69%
+11.51%
JQC
Nuveen Credit Strategies Income Fund
5.72
771.62M
747.78K
+1.06%
-2.22%
+3.06%
Gladstone Commercial Corp
16.05
677.98M
170.29K
+0.00%
+5.94%
+22.24%
IYT
iShares U.S. Transportation ETF
67.40
628.49M
377.57K
+0.91%
+0.45%
-1.48%
EMD
Western Asset Emerging Markets Debt Fund Inc
10.26
599.63M
340.01K
-0.48%
+4.48%
+9.15%
Netgear Inc
19.30
552.55M
141.43K
+1.26%
+15.43%
+26.06%
HPS
John Hancock Preferred Income Fund Iii
17.21
549.74M
47,149
-0.12%
+4.43%
+12.26%
BLW
Blackrock Limited Duration Income Trust
14.45
516.37M
87,054
+0.07%
+0.28%
+4.48%
CMP
Compass Minerals International Inc
12.06
499.31M
611.99K
+2.64%
+51.70%
-15.61%
Limoneira Co
27.00
471.88M
36,848
+3.29%
+7.57%
+39.61%
Global Indemnity Group Llc
33.98
464.31M
538
+2.46%
+5.76%
+10.90%
FRA
Blackrock Floating Rate Income Strategies Fund Inc
13.45
459.78M
195.84K
+1.05%
+4.02%
+4.02%
EAD
Allspring Income Opportunities Fund
7.12
416.76M
178.85K
+0.00%
+1.57%
+8.70%
Xperi Inc
8.87
406.31M
170.39K
+2.07%
+4.72%
-19.14%
AVK
Advent Convertible And Income Fund
11.52
399.56M
204.66K
-0.26%
-7.99%
-2.21%
EFR
Eaton Vance Senior Floating Rate Trust
12.56
366.91M
82,734
+0.12%
-2.07%
-2.52%
PFL
Pimco Income Strategy Fund
8.72
339.27M
215.43K
+0.87%
+3.20%
+1.99%
EZA
Ishares Msci South Africa Etf
49.80
332.31M
103.36K
+0.08%
+9.11%
+25.50%
NCV
Virtus Convertible Income Fund
3.49
314.95M
167.60K
+0.14%
+3.25%
+7.38%
Fidelity Nasdaq Composite Index Etf
71.48
310.02M
311.74K
+1.33%
+6.08%
+12.99%
OBT
Orange County Bancorp Inc
54.64
304.41M
30,573
+3.29%
-4.53%
+16.30%
MTA
Metalla Royalty and Streaming Ltd
3.27
304.15M
287.31K
+0.62%
+14.34%
-0.61%
ERC
Allspring Multi Sector Income Fund
9.45
264.38M
34,130
-0.42%
+1.07%
+2.72%
PCB
Pcb Bancorp
18.10
254.86M
13,086
+1.51%
-2.69%
+14.41%
Red Cat Holdings Inc
3.30
248.85M
1.25M
+0.30%
+20.88%
+302.93%
Mvb Financial Corp
18.76
242.66M
17,833
+0.86%
-7.08%
-11.51%
Modivcare Inc
16.94
239.23M
310.56K
+0.83%
-46.17%
-27.67%
NCZ
Virtus Convertible Income Fund Ii
3.11
233.68M
599.53K
+1.30%
+4.36%
+6.87%
Middlefield Banc Corp
28.49
233.17M
3,210
+0.49%
+10.73%
+23.87%
NHS
Neuberger Berman High Yield Strategies Fund
8.49
223.38M
183.96K
+0.12%
+2.35%
+5.86%
MHI
Pioneer Municipal High Income Fund Inc
9.54
218.83M
34,221
-0.63%
+0.53%
+9.28%
Lifemd Inc
4.83
214.05M
511.90K
+3.21%
-3.21%
-50.05%
MAV
Pioneer Municipal High Income Advantage Fund Inc
8.81
210.93M
104.39K
-0.28%
+0.28%
+9.78%
WIA
Western Asset Inflation Linked Income Fund
8.46
197.07M
56,521
-0.59%
+2.79%
+4.70%
Paysign Inc
3.64
192.36M
136.38K
+1.11%
-18.57%
-19.65%
NRO
Neuberger Berman Real Estate Securities Income Fund Inc
3.955
190.37M
234.13K
-1.49%
-1.12%
+20.21%
Oxford Square Capital Corp
2.88
183.62M
321.41K
+1.41%
-1.71%
-8.28%
FLC
Flaherty Crumrine Total Return Fund Inc
17.28
180.90M
25,910
+0.23%
+2.49%
+13.76%
NAK
Northern Dynasty Minerals Ltd.
0.3216
179.12M
1.22M
-2.22%
+0.19%
+5.44%
EHI
Western Asset Global High Income Fund Inc
6.80
164.56M
143.11K
-0.58%
-3.41%
-3.83%
ASM
Avino Silver & Gold Mines Ltd.
1.16
154.14M
1.29M
+3.57%
+23.59%
+51.93%
China Automotive Systems Inc
4.70
141.87M
91,028
+0.21%
+30.99%
+28.77%
Fennec Pharmaceuticals Inc
4.62
127.79M
64,349
+2.21%
-16.91%
-57.65%
Cervomed Inc
14.35
118.44M
93,095
+10.30%
-15.29%
-33.69%
PED
PEDEVCO Corp
1.005
89.36M
120.08K
+0.50%
+6.01%
+24.07%
Coda Octopus Group Inc
7.47
85.04M
18,601
+0.95%
+5.66%
+14.92%
XPL
Solitario Resources Corp
0.71
59.04M
10,233
-0.01%
-6.08%
-2.61%
Theratechnologies Inc
1.2025
55.29M
18,621
-0.38%
+0.21%
-19.83%
Optimumbank Holdings Inc
4.5101
43.65M
17,529
-0.22%
+0.00%
+6.37%
Hudson Global Inc
15.72
43.47M
6,447
-1.17%
-9.71%
-9.73%
AHT
Ashford Hospitality Trust Inc
0.7251
35.39M
390.56K
-0.26%
-18.50%
-45.07%
Pluri Inc
5.19
28.39M
7,860
-4.07%
-2.08%
+3.80%
Mogo Inc
1.145
27.68M
28,035
-2.14%
-8.40%
-42.75%
Mei Pharma Inc
2.81
18.72M
7,386
+2.18%
-9.35%
-28.86%
IPA
Immunoprecise Antibodies Ltd
0.625
17.48M
603.20K
+15.21%
-9.58%
-56.90%
Nocera Inc
1.17
15.96M
832
+0.00%
+18.18%
+1.74%
Cineverse Corp
1.00
15.57M
39,610
+2.04%
+29.20%
-32.43%
Worksport Ltd
0.51
15.12M
1.27M
+4.12%
-8.50%
-15.53%
Brainstorm Cell Therapeutics Inc
2.33
12.81M
82,749
-1.69%
-44.74%
-76.99%
Gulf Resources Inc
0.97
10.41M
50,798
+5.43%
-6.73%
-30.22%
Plus Therapeutics Inc
1.30
7.78M
34,320
-0.25%
-9.41%
-32.11%
Future Fintech Group Inc
0.352
7.16M
77,282
+2.50%
+13.51%
-60.00%
Ontrak Inc
1.95
6.52M
77,816
-4.88%
-36.92%
-66.67%
Oragenics Inc
0.42
3.57M
97,587
+5.05%
-27.05%
-64.41%
Siyata Mobile Inc
0.855
2.75M
183.07K
-1.54%
-29.34%
-98.55%
Cemtrex Inc
2.01
537.95K
5.86M
-21.48%
-76.88%
-99.15%
Invesco Bloomberg Mvp Multi Factor Etf
48.44
N/A
984
+0.41%
+2.16%
+8.83%