Companies IPOs in 2020

As of 2020, 352 companies have debuted on NASDAQ and NYSE exchanges, with a combined market cap of $3.68 trillion. Notable newcomers include Space Exploration Technologies Corp (SPCX), Palantir Technologies Inc (PLTR), alongside Snowflake Inc (SNOW). Among these IPOs, Carlyle Group Inc (CCG) is the top performer today, up +16.10% in the last 24 hours.

Symbol Name Price (After Hoursafter-market) Market Cap ▾ Volume % (1D) % (1M) % (6M)
Space Exploration Technologies Corp
167.60
2.21T
77.09M
-2.51%
+13.28%
+662.51%
Palantir Technologies Inc
194.12
466.48B
15.68M
+1.07%
+11.35%
+29.35%
Snowflake Inc
332.85
117.43B
2.44M
-0.92%
-1.28%
+123.03%
Airbnb Inc
160.63
94.71B
2.54M
+0.15%
-11.71%
+28.53%
Doordash Inc
191.24
82.86B
2.01M
-1.23%
-9.68%
+22.67%
Rocket Lab Corp
71.92
45.99B
20.41M
-4.18%
+11.92%
+8.44%
Carrier Global Corp
55.00
45.34B
3.72M
-1.96%
-7.89%
-0.79%
Revolution Medicines Inc
200.87
43.05B
1.18M
+0.50%
-4.36%
+108.61%
RKT
Rocket Companies Inc
11.44
32.39B
39.94M
-1.29%
-18.63%
-21.16%
Royalty Pharma Plc
56.76
25.27B
3.67M
+0.57%
-11.26%
+21.10%
Roivant Sciences Ltd
34.75
25.10B
5.74M
-2.20%
-0.52%
+25.23%
Otis Worldwide Corp
65.74
25.03B
2.97M
-1.07%
-7.68%
-15.53%
Sofi Technologies Inc
15.66
20.23B
32.67M
-0.63%
-14.05%
-2.79%
U
Unity Software Inc
45.44
20.00B
12.80M
+1.09%
+9.07%
+106.45%
Ke Holdings Inc Adr
16.92
18.62B
2.73M
+0.95%
-5.58%
+11.39%
GFL
Gfl Environmental Inc
42.04
18.33B
2.95M
-1.13%
-3.86%
-5.63%
WMG
Warner Music Group Corp
28.16
14.73B
2.40M
+1.99%
-2.15%
+4.26%
Grab Holdings Limited
3.08
12.60B
87.61M
+0.33%
-9.94%
-12.99%
Jfrog Ltd
98.15
12.10B
773.69K
-0.37%
+12.04%
+99.98%
LI
Li Auto Inc Adr
10.99
10.74B
2.00M
+0.92%
-11.16%
-40.34%
BSY
Bentley Systems Inc
35.15
10.62B
2.38M
-2.28%
+4.27%
+2.33%
Vaxcyte Inc
66.96
9.96B
11.62M
+0.39%
+9.48%
+10.33%
Xpeng Inc Adr
9.58
9.18B
4.31M
+0.21%
-12.51%
-44.37%
Kymera Therapeutics Inc
108.35
9.01B
1.17M
+2.24%
-7.70%
+27.32%
MP
Mp Materials Corp
46.31
8.25B
5.93M
-4.57%
-15.07%
-6.43%
Praxis Precision Medicines Inc
278.02
7.76B
444.15K
-0.76%
-20.97%
-9.35%
Chord Energy Corp
136.05
7.44B
541.83K
-1.08%
-7.06%
-6.42%
Allegro Microsystems Inc
37.03
6.90B
2.41M
-4.46%
+1.15%
+11.27%
OWL
Blue Owl Capital Inc
9.11
6.23B
18.60M
+0.44%
-22.47%
+7.56%
Cipher Digital Inc
14.56
6.04B
36.47M
-6.06%
-17.93%
+3.93%
D Wave Quantum Inc
15.22
5.78B
14.34M
-3.61%
-8.20%
+10.77%
Super Group Sghc Limited
11.35
5.77B
2.14M
-0.70%
-18.87%
+9.87%
Joby Aviation Inc
5.75
5.73B
23.39M
-0.52%
-14.69%
-31.38%
ACI
Albertsons Companies Inc
11.74
5.70B
8.58M
+2.26%
-6.45%
-34.96%
Brookfield Renewable Corp
29.51
5.48B
2.01M
-0.47%
-7.06%
-27.51%
SHC
Sotera Health Co
17.90
5.11B
1.61M
-1.92%
-5.29%
+22.27%
EBC
Eastern Bankshares Inc
20.86
4.77B
1.88M
-1.60%
-6.21%
+4.56%
Brookfield Infrastructure Corp
37.64
4.63B
1.05M
-0.21%
+0.78%
-7.38%
CRC
California Resources Corp
52.06
4.62B
573.75K
-0.78%
-3.98%
-24.06%
Reynolds Consumer Products Inc
21.92
4.62B
985.29K
-1.79%
+0.32%
+2.96%
VNT
Vontier Corp
32.27
4.36B
1.43M
-1.74%
-3.09%
-8.69%
Abcellera Biologics Inc
12.83
4.16B
5.00M
-2.43%
+12.25%
+288.79%
MIR
Mirion Technologies Inc
16.45
4.00B
5.76M
+1.11%
-2.84%
-13.74%
Relay Therapeutics Inc
17.95
3.93B
3.43M
-4.22%
-5.72%
+33.16%
Madison Square Garden Entertainment Corp
82.00
3.88B
941.38K
+2.51%
+5.93%
+35.40%
Sphere Entertainment Co
106.24
3.82B
2.41M
+0.82%
-25.40%
-14.49%
Legend Biotech Corp Adr
19.12
3.72B
1.57M
+2.14%
-11.15%
+6.28%
Tango Therapeutics Inc
21.83
3.68B
3.39M
-0.32%
-3.06%
+10.25%
Stepstone Group Inc
44.18
3.64B
1.03M
-2.17%
-13.24%
-6.36%
Lemonade Inc
46.83
3.62B
1.00M
+1.14%
-12.32%
-19.29%
Archer Aviation Inc
4.67
3.60B
33.03M
+0.43%
-18.21%
-12.55%
BNL
Broadstone Net Lease Inc
18.28
3.51B
1.86M
-1.88%
-12.16%
-3.13%
Tarsus Pharmaceuticals Inc
73.61
3.44B
405.15K
-0.67%
-18.91%
+7.05%
ECO
Okeanis Eco Tankers Corp
88.04
3.44B
561.26K
+1.37%
+23.25%
+75.97%
ASO
Academy Sports And Outdoors Inc
52.62
3.24B
1.54M
+0.59%
+17.09%
-7.97%
SMR
Nuscale Power Corp
7.67
3.15B
38.44M
-4.36%
-20.93%
-16.27%
Shift 4 Payments Inc
38.99
3.08B
2.35M
+1.27%
-15.13%
-3.18%
Arcutis Biotherapeutics Inc
24.17
3.04B
1.70M
+1.05%
+1.13%
+3.87%
Enliven Therapeutics Inc
41.36
3.03B
1.46M
-2.43%
-30.28%
-4.17%
Ouster Inc
41.67
3.00B
2.79M
-7.21%
+14.38%
+115.57%
DYN
Dyne Therapeutics Inc
15.97
2.98B
3.49M
+3.70%
-34.23%
-12.06%
Cellebrite Di Ltd
11.22
2.82B
1.85M
-1.28%
-1.97%
-20.67%
QS
Quantumscape Corp
4.52
2.78B
11.24M
-2.80%
-17.52%
-27.21%
KC
Kingsoft Cloud Holdings Ltd Adr
9.23
2.76B
455.23K
-1.28%
-15.63%
-31.98%
Trueshares Structured Outcome November Etf
48.26
2.64B
1,320
-0.20%
+0.71%
+12.78%
Ardagh Metal Packaging Sa
4.40
2.63B
1.98M
-0.90%
-12.18%
+12.53%
Miniso Group Holding Ltd Adr
8.94
2.63B
685.01K
+0.34%
-6.49%
-44.47%
Beam Therapeutics Inc
24.77
2.56B
2.34M
-1.82%
-16.49%
+1.14%
Payoneer Global Inc
7.16
2.43B
1.60M
+0.14%
-0.14%
+48.86%
Clover Health Investments Corp
4.56
2.42B
7.41M
-0.87%
+7.17%
+140.00%
Nurix Therapeutics Inc
22.73
2.36B
1.51M
+0.58%
-13.05%
+39.02%
Disc Medicine Inc
61.18
2.35B
535.01K
-0.76%
-22.78%
-8.48%
RSI
Rush Street Interactive Inc
20.24
2.34B
1.70M
-1.56%
-24.14%
-8.25%
Upstart Holdings Inc
24.02
2.34B
3.17M
+0.67%
-14.37%
-9.19%
Harmony Biosciences Holdings Inc
39.34
2.29B
547.00K
-0.05%
-6.89%
+42.43%
Opendoor Technologies Inc
2.27
2.20B
35.58M
+0.00%
-27.94%
-50.11%
Butterfly Network Inc
8.27
2.20B
7.54M
-4.94%
+12.36%
+104.20%
Immunome Inc
19.09
2.17B
1.16M
-1.11%
-28.64%
-11.52%
NN
Nextnav Inc
12.71
2.15B
4.68M
-4.22%
-16.27%
-15.63%
Asana Inc
9.33
2.14B
5.47M
+0.43%
+5.90%
+50.48%
Alvotech
5.85
2.09B
864.55K
-4.72%
+9.96%
+72.57%
WGS
Genedx Holdings Corp
68.53
2.04B
659.22K
-4.18%
-20.30%
+2.45%
Schrodinger Inc
27.29
2.04B
4.56M
-5.57%
+35.84%
+139.60%
Ncino Inc
19.09
2.02B
1.87M
-0.16%
-17.43%
+5.94%
Vertex Inc
12.33
2.00B
786.63K
+0.33%
-10.46%
+3.44%
Porch Group Inc
17.31
1.97B
2.03M
+0.82%
-3.51%
+134.55%
AI
C 3 Ai Inc
11.23
1.81B
2.98M
-0.09%
+7.36%
+28.64%
Netstreit Corp
17.21
1.75B
1.46M
-2.44%
-14.34%
-12.06%
Nuvation Bio Inc
4.86
1.71B
5.45M
-0.41%
-28.63%
+7.76%
Genius Sports Limited
6.34
1.70B
10.18M
+1.93%
-15.35%
+49.88%
Compass Pathways Plc Adr
11.69
1.62B
1.58M
+1.12%
-11.91%
+111.01%
Uranium Royalty Corp
4.19
1.60B
5.16M
-1.18%
-5.63%
+18.36%
Concentrix Corp
26.16
1.60B
1.40M
+5.31%
-18.66%
-5.53%
TMC
Tmc The Metals Company Inc
3.52
1.55B
4.40M
-4.86%
-20.72%
-20.18%
Lucid Group Inc
3.89
1.53B
12.74M
-6.49%
-16.88%
-55.95%
Corsair Gaming Inc
13.59
1.47B
889.57K
-0.37%
+6.84%
+142.25%
Blackrock Capital Allocation Term Trust
13.77
1.46B
410.20K
+0.44%
-13.94%
-4.38%
Taysha Gene Therapies Inc
4.43
1.44B
3.76M
+0.91%
-20.89%
-3.06%
Inhibrx Biosciences Inc
93.36
1.37B
223.78K
-0.05%
-22.95%
+49.74%
Certara Inc
8.96
1.37B
3.42M
-3.34%
+12.85%
+59.43%
Hillman Solutions Corp
6.94
1.35B
1.95M
-1.42%
-9.64%
-12.04%
Nanobiotix Adr
24.62
1.25B
142.65K
-2.42%
-36.55%
-18.31%
Oric Pharmaceuticals Inc
12.01
1.24B
790.76K
+0.25%
-6.61%
+35.40%
PWP
Perella Weinberg Partners
15.13
1.17B
1.67M
-2.58%
-9.94%
-15.38%
Eos Energy Enterprises Inc
3.10
1.13B
17.92M
-4.91%
-20.10%
-30.80%
Goodrx Holdings Inc
3.25
1.11B
548.46K
-0.61%
-6.61%
+58.54%
Maravai Lifesciences Holdings Inc
7.43
1.11B
4.27M
-5.35%
+1.50%
+157.09%
AVO
Mission Produce Inc
12.51
1.10B
749.97K
-1.88%
-1.34%
-16.77%
Blackrock Health Sciences Term Trust
16.53
1.03B
132.18K
+0.92%
-2.59%
+16.16%
Aeva Technologies Inc
14.34
999.58M
1.19M
-1.58%
-8.60%
+14.26%
RXT
Rackspace Technology Inc
3.85
981.26M
3.62M
-4.23%
+20.69%
+327.49%
PTA
Cohen Steers Tax Advantaged Preferred Securities Income Fund
17.10
945.18M
417.60K
-0.47%
-7.22%
-9.57%
Moonlake Immunotherapeutics
10.77
916.60M
1.40M
-1.64%
-28.25%
-36.94%
Taboola Com Ltd
3.29
888.81M
2.81M
+1.86%
-14.77%
+0.30%
LU
Lufax Holding Ltd Adr
0.9814
850.57M
4.75M
-2.83%
-21.49%
-45.48%
Evolv Technologies Holdings Inc
4.69
849.48M
1.69M
+0.21%
-6.20%
-22.99%
Pubmatic Inc
18.57
845.86M
519.67K
+1.20%
+12.55%
+118.73%
Yalla Group Limited Adr
5.36
813.80M
218.51K
-1.47%
-2.19%
-18.29%
Abrdn Global Infrastructure Income Fund
19.08
804.85M
181.94K
-2.25%
-13.90%
-17.90%
IVA
Inventiva Adr
3.365
794.93M
2.40M
-2.75%
-29.60%
-36.99%
PCT
Purecycle Technologies Inc
3.80
763.44M
6.42M
-5.12%
-40.53%
-30.15%
Annexon Inc
4.01
760.21M
2.45M
-0.50%
-17.66%
-33.06%
Root Inc
47.74
739.65M
147.82K
+1.21%
-15.64%
+7.14%
4 D Molecular Therapeutics Inc
12.59
695.52M
603.57K
+0.24%
-15.90%
+22.95%
Olema Pharmaceuticals Inc
7.94
694.73M
818.55K
+0.25%
-26.14%
-47.93%
Pharming Group Nv Adr
9.65
683.01M
3,832
-0.31%
-14.07%
-41.23%
DLY
Doubleline Yield Opportunities Fund
13.21
641.20M
209.38K
-0.75%
-4.48%
-5.84%
SLN
Silence Therapeutics Plc Adr
9.82
610.35M
1.32M
-0.10%
-32.69%
+75.36%
Granite Ridge Resources Inc
4.59
605.42M
958.03K
-0.43%
-9.65%
-23.88%
Docebo Inc
23.88
595.75M
17,959
-0.95%
-3.59%
+39.89%
Array Technologies Inc
3.82
588.31M
6.05M
-5.91%
-16.96%
-44.07%
VEL
Velocity Financial Inc
14.74
581.96M
151.56K
-0.87%
-20.02%
-19.06%
New Found Gold Corp
1.51
580.38M
794.00K
-5.63%
-16.57%
-21.76%
Ibex Ltd
43.16
573.11M
65,112
-0.07%
+10.19%
+55.36%
Shattuck Labs Inc
5.655
567.55M
1.11M
-3.50%
-16.72%
-16.59%
Playstudios Inc
4.43
532.14M
36,781
-3.28%
+751.92%
+877.49%
Nuveen Dynamic Municipal Opportunities Fund
8.67
524.40M
616.43K
-1.92%
-11.08%
-15.00%
Oppfi Inc
6.06
516.36M
371.21K
-1.94%
-18.33%
-23.00%
MAX
Mediaalpha Inc
9.67
512.28M
1.26M
-0.10%
-19.75%
+1.26%
908 Devices Inc
11.78
486.91M
517.21K
-4.46%
+17.21%
+74.26%
First Trust High Yield Opportunities 2027 Term Fund
12.70
467.02M
143.47K
-0.24%
-4.15%
-5.44%
Ars Pharmaceuticals Inc
4.36
433.59M
1.30M
+1.51%
-22.42%
-46.50%
Spire Global Inc
10.63
415.79M
519.87K
-3.19%
-11.27%
-31.73%
Atea Pharmaceuticals Inc
5.01
401.83M
264.76K
-1.18%
-14.07%
-16.08%
Vital Farms Inc
9.24
396.69M
1.22M
-1.70%
-6.85%
-31.81%
Uwm Holdings Corp
1.13
389.46M
13.34M
-5.83%
-23.13%
-68.78%
Sky Harbour Group Corp
9.52
376.83M
204.10K
+1.71%
-9.16%
-4.80%
Pgim Short Duration High Yield Opportunities Fund
15.18
374.54M
81,788
-0.85%
-4.83%
-4.71%
The Real Brokerage Inc
16.29
355.03M
450.23K
-2.69%
-12.75%
+564.90%
API
Agora Inc Adr
4.15
350.88M
80,228
+0.73%
-2.12%
+13.39%
Vox Royalty Corp
5.01
348.17M
677.59K
-2.34%
-13.02%
-5.11%
Ccc Intelligent Solutions Holdings Inc
2.82
346.93M
2.27M
-2.08%
-25.00%
+2.92%
Orchestra Biomed Holdings Inc
5.66
340.19M
241.22K
-3.08%
+11.42%
+32.86%
Crescent Capital Bdc Inc
9.01
331.98M
312.15K
-0.72%
-13.11%
-27.46%
Bakkt Inc
7.27
327.65M
1.55M
-1.09%
-12.73%
-4.72%
Livewire Group Inc
1.59
326.61M
190.00K
-2.45%
+24.22%
+0.00%
TLS
Telos Corp
4.31
322.12M
425.68K
-0.69%
-10.21%
+1.41%
Prelude Therapeutics Inc
3.83
305.65M
454.55K
+0.52%
-29.85%
-12.95%
Paysafe Limited
5.71
298.15M
313.04K
+2.70%
-14.90%
-12.82%
Nexpoint Real Estate Finance Inc
15.32
288.75M
32,441
-0.91%
-13.88%
+15.62%
Holley Inc
2.36
286.11M
1.82M
+1.72%
-22.62%
-19.18%
QSI
Quantum Si Incorporated
1.28
280.17M
7.97M
+4.92%
+67.10%
+79.93%
Biodesix Inc
26.42
278.76M
57,529
-5.51%
+0.92%
+81.83%
IKT
Inhibikase Therapeutics Inc
1.94
270.70M
444.05K
-2.02%
-22.40%
+10.23%
Alight Inc
9.93
262.34M
485.65K
+9.60%
-33.45%
-2.36%
AZ
A 2 Z Cust 2 Mate Solutions Corp
5.91
260.20M
657.53K
-1.01%
-3.90%
-28.36%
Nautilus Biotechnology Inc
1.96
249.42M
12.47M
+10.73%
+116.60%
-37.18%
YSG
Yatsen Holding Ltd Adr
2.64
247.63M
55,561
+3.13%
-0.75%
-12.58%
Zentalis Pharmaceuticals Inc
2.55
241.41M
819.47K
-4.49%
-36.09%
-4.49%
Greenwich Lifesciences Inc
15.39
225.90M
147.19K
-2.53%
-3.51%
-31.63%
Keros Therapeutics Inc
11.21
222.26M
195.96K
+1.82%
-0.97%
-8.42%
American Well Corp
12.64
214.99M
97,164
+3.02%
-2.69%
+136.70%
Gdev Inc
11.19
203.40M
1,158
-3.28%
-1.84%
-23.40%
American Outdoor Brands Inc
16.07
202.82M
81,219
-0.12%
+10.98%
+82.41%
VLN
Valens Semiconductor Ltd
1.85
200.32M
425.03K
-1.60%
+8.19%
+56.78%
Direxion Daily Coin Bull 2 X Etf
6.36
183.45M
109.98K
-7.75%
-11.77%
-25.09%
Evgo Inc
1.29
182.81M
3.03M
-2.27%
-14.57%
-28.33%
Adc Therapeutics Sa
1.42
181.29M
1.74M
+11.81%
+4.41%
-61.83%
Curiositystream Inc
2.95
175.05M
283.74K
+0.34%
+8.86%
-8.67%
Neovolta Inc
2.79
164.65M
1.03M
-2.11%
-27.72%
-6.06%
Nkarta Inc
2.27
162.59M
565.50K
-1.73%
-22.26%
+0.89%
Onewater Marine Inc
9.66
160.99M
76,946
-0.62%
-23.94%
-0.92%
BNR
Burning Rock Biotech Ltd Adr
15.18
160.09M
10,630
-5.77%
+26.61%
-5.66%
Alx Oncology Holdings Inc
1.13
156.25M
764.24K
+1.80%
-43.78%
-38.25%
Owlet Inc
4.73
138.22M
124.61K
-3.27%
-5.02%
-4.44%
UP
Wheels Up Experience Inc
3.79
137.49M
112.73K
+9.22%
-13.07%
-61.14%
RNA
Atrium Therapeutics Inc
7.93
135.65M
91,812
-0.75%
-44.12%
-43.32%
Humacyte Inc
0.4723
131.20M
3.91M
-1.19%
-21.92%
-22.18%
Foghorn Therapeutics Inc
2.09
124.12M
913.13K
+6.09%
-57.52%
-57.95%
Seer Inc
2.21
122.37M
260.84K
+0.91%
+13.33%
+30.77%
Playboy Inc
1.02
122.20M
228.36K
-1.92%
-12.82%
-35.44%
Bogota Financial Corp
9.17
117.02M
3,062
+1.21%
-0.05%
+5.28%
Black Diamond Therapeutics Inc
1.83
105.14M
562.61K
+1.67%
-13.68%
-25.31%
Polypid Ltd
4.95
100.54M
113.43K
-3.51%
-8.16%
+20.15%
Vertical Aerospace Ltd
0.5525
93.17M
4.13M
-1.34%
-7.64%
-74.66%
Innoviz Technologies Ltd
0.31
92.41M
2.59M
-5.43%
-10.20%
-52.15%
Mediaco Holding Inc
1.04
87.38M
6,729
-1.89%
-8.77%
+38.67%
Pmv Pharmaceuticals Inc
1.50
80.19M
607.44K
-6.83%
+16.28%
+16.28%
Lensar Inc
6.51
79.98M
32,268
-2.84%
-24.13%
+15.63%
OM
Outset Medical Inc
4.21
79.14M
134.99K
+1.69%
+17.27%
+2.68%
Pulmonx Corp
1.84
79.02M
379.73K
+3.37%
-16.74%
+43.75%
RFM
Rivernorth Flexible Municipal Income Fund Inc
12.85
78.57M
30,716
-0.62%
-9.12%
-8.08%
Momentus Inc
3.50
76.87M
1.31M
-2.78%
-16.27%
+8.36%
Skinhealth Systems Inc
0.5899
76.77M
219.42K
+0.67%
-13.88%
-32.74%
Arbe Robotics Ltd
0.5921
75.44M
1.37M
-0.92%
-6.83%
-4.50%
Bark Inc
8.22
74.26M
24,669
+0.61%
-23.46%
-7.12%
Selectquote Inc
0.37
65.33M
2.37M
-2.63%
-31.00%
-40.49%
Pliant Therapeutics Inc
0.99
61.30M
756.50K
-3.88%
-14.66%
-24.43%
WNW
Meiwu Technology Company Ltd
2.30
60.56M
42,761
-2.13%
-1.71%
-33.33%
IH
Ihuman Inc Adr
1.15
58.78M
4,005
+0.88%
-5.74%
-32.75%
Nerdy Inc
6.90
58.65M
23,532
+2.22%
-26.20%
-45.24%
Marketwise Inc
19.51
54.49M
13,479
-1.44%
+4.67%
+7.49%
Annovis Bio Inc
1.21
51.64M
429.70K
+2.54%
-12.95%
-46.70%
Breeze Acquisition Corp Ii
10.05
48.97M
190
-0.10%
+0.40%
-11.76%
Nano X Imaging Ltd
0.595
46.76M
672.34K
-3.31%
-28.30%
-74.13%
XOS
Xos Inc
3.28
46.63M
188.19K
-1.20%
+7.54%
+89.60%
VRM
Vroom Inc
8.86
46.38M
5,165
-5.24%
-18.19%
-38.30%
Stem Inc
4.47
43.03M
261.04K
-6.29%
-19.75%
-49.26%
Vivid Seats Inc
3.35
37.66M
158.87K
+9.12%
-44.54%
-53.21%
Elutia Inc
0.8201
36.32M
261.02K
+5.56%
-0.13%
-29.30%
LSF
Laird Superfood Inc
3.12
34.92M
22,150
-2.19%
-22.39%
+32.77%
Docgo Inc
0.345
34.13M
534.15K
-4.70%
-14.33%
-39.46%
Aligos Therapeutics Inc
5.32
33.22M
19,404
-1.12%
-14.33%
-32.66%
YQ
17 Education Technology Group Inc Adr
3.36
32.55M
2,113
+0.60%
+15.07%
+90.91%
Anghami Inc
3.523
31.94M
3,009
-1.32%
+0.09%
-2.46%
MNY
Moneyhero Ltd
0.66
29.09M
5,504
-1.53%
-23.26%
-46.77%
AEI
Alset Inc
0.6501
25.29M
24,078
-4.94%
-53.89%
-66.83%
SST
Sensata Technologies Holding Plc
2.35
20.47M
46,951
-0.42%
-38.64%
-33.05%
NYC
American Strategic Investment Co
6.17
19.52M
7,256
-1.28%
-1.91%
-25.62%
Jasper Therapeutics Inc
0.5697
18.96M
362.64K
+1.71%
-19.60%
-14.69%
Getty Images Holdings Inc
0.0451
18.71M
1.15M
-9.80%
-80.94%
-94.50%
Fusion Fuel Green Plc
2.03
15.26M
3,095
-3.33%
-19.44%
-28.77%
Zhongchao Inc
1.71
15.17M
111.43K
-2.29%
+100.99%
-70.62%
Skillful Craftsman Education Technology Ltd
0.9264
15.01M
453.77K
-9.18%
+2.93%
-9.18%
CCG
Carlyle Group Inc
5.77
14.46M
51,543
+16.10%
-63.98%
-80.97%
Sadot Group Inc
9.91
14.42M
54,248
-7.38%
-22.40%
-68.44%
Offerpad Solutions Inc
2.98
14.40M
34,400
-2.93%
-27.32%
-57.43%
Huize Holding Ltd Adr
1.29
13.04M
7,464
+0.00%
-12.24%
-16.23%
Wimi Hologram Cloud Inc
0.689
12.67M
193.79K
-5.62%
-43.06%
-64.11%
Passage Bio Inc
3.855
12.40M
14,064
-5.51%
-17.10%
-53.07%
Ebang International Holdings Inc
1.89
11.87M
6,237
-5.50%
-14.86%
+5.00%
Lantern Pharma Inc
0.91
11.63M
223.47K
-4.58%
-52.23%
-48.30%
UCL
Ucloudlink Group Inc Adr
0.2808
10.70M
90,974
-1.20%
-32.17%
-79.65%
Calcimedica Inc
1.48
10.11M
7,252
-0.67%
-31.80%
+130.89%
QH
Quhuo Ltd Adr
3.50
9.63M
8,263
+2.94%
-13.15%
-99.88%
Ciso Global Inc
0.209
9.51M
103.05K
+0.29%
-10.49%
-37.20%
Fathom Holdings Inc
0.216
7.39M
609.63K
-3.31%
-68.11%
-69.14%
Amesite Inc
0.91
5.96M
44,677
-2.15%
-14.95%
-48.59%
BQ
Boqii Holding Limited ADR
0.731
5.39M
46,560
-3.04%
-17.90%
+0.23%
Intelligent Bio Solutions Inc
1.59
5.27M
20,759
+0.63%
-28.70%
-40.67%
Hydrofarm Holdings Group Inc
0.9801
4.72M
51,363
-1.00%
+2.74%
-1.99%
MRM
Medirom Healthcare Technologies Inc Adr
0.5499
4.35M
24,172
-0.02%
-40.23%
-50.90%
Vision Marine Technologies Inc
6.17
4.03M
25,954
-3.59%
-28.96%
+202.45%
Addex Therapeutics Ltd Adr
3.13
3.96M
9,403
-1.57%
-14.25%
-48.69%
Revelation Biosciences Inc
0.8281
3.30M
50,302
+10.09%
-18.01%
-26.72%
OCG
Oriental Culture Holding Ltd
1.69
3.28M
31,794
+1.20%
-1.74%
-5.62%
Prf Technologies Ltd
0.8777
3.07M
15,153
-0.28%
-9.33%
-60.99%
Vivos Therapeutics Inc
0.151
3.04M
416.67K
-1.76%
-18.99%
-87.82%
Lixiang Education Holding Co Ltd Adr
1.58
3.03M
9,146
+2.60%
+5.33%
-37.55%
Presidio Property Trust Inc
0.8442
1.21M
183.69K
-10.20%
-36.05%
-65.82%
Im Cannabis Corp
1.90
1.15M
109.74K
-2.06%
-4.04%
+447.71%
Sp Funds S P Global Reit Sharia Etf
19.36
N/A
22,980
+1.68%
+6.20%
-6.88%
Pacer Swan Sos Fund Of Funds Etf
29.51
N/A
32,320
+0.34%
+5.47%
+1.48%
Ft Cboe Vest Us Eq Buffer Etf December
45.04
N/A
19,996
+0.18%
+6.76%
+1.31%
Ft Cboe Vest Us Eq Deep Buffer Etf December
40.47
N/A
11,964
+0.16%
+5.00%
+1.22%
First Trust International Developed Capital Strength Etf
39.11
N/A
84,148
+2.03%
+5.28%
+12.84%
Adasina Social Justice All Cap Global Etf
19.30
N/A
9,997
+0.86%
+9.47%
+2.97%
Avantis Core Municipal Fixed Income Etf
44.79
N/A
11,374
+0.45%
+0.40%
-3.46%
Inspire Momentum Etf
31.83
N/A
10,251
+0.44%
+12.30%
+1.30%
Microsectors Gold Miners 3 X Inverse Leveraged Etns
4.70
N/A
4.94M
-6.37%
+13.25%
-71.62%
Microsectors Gold Miners 3 X Leveraged Etn
54.51
N/A
1.07M
+6.53%
-26.25%
+70.50%
Kraneshares Mount Lucas Managed Futures Index Strategy Etf
26.05
N/A
66,552
-0.04%
-1.40%
-8.11%
Dimensional International Core Equity Market Etf
33.29
N/A
1.00M
+1.09%
+7.87%
+12.39%
Dimensional Us Core Equity Market Etf
40.55
N/A
729.00K
+0.47%
+10.25%
-0.39%
Ishares Ibonds 2026 Term High Yield And Income Etf
23.18
N/A
121.16K
+0.13%
+1.31%
-0.17%
American Conservative Values Etf
45.25
N/A
4,491
+0.81%
+9.26%
+1.38%
Rareview Dynamic Fixed Income Etf
23.30
N/A
5,149
+0.38%
+2.78%
-2.59%
Ft Cboe Vest Us Eq Buffer Etf October
43.10
N/A
11,100
+0.30%
+6.60%
+1.44%
Janus Henderson Aaa Clo Etf
50.55
N/A
5.22M
-0.04%
+0.58%
-0.69%
Invesco Nasdaq Next Gen 100 Etf
30.97
N/A
39,818
+0.42%
+12.25%
+1.61%
Ishares Esg Advanced Msci Em Etf
41.12
N/A
2,211
+0.51%
+10.21%
+7.44%
Invesco Nasdaq 100 Etf
213.82
N/A
2.68M
+0.13%
+13.38%
+4.63%
Invesco Bulletshares 2030 Municipal Bond Etf
21.41
N/A
9,703
+0.21%
+1.04%
-2.44%
Allianzim U S Large Cap Buffer 20 Oct Etf
36.07
N/A
19,450
+0.22%
+4.48%
+1.96%
Lha Market State Tactical Beta Etf
35.85
N/A
3,355
+0.35%
+6.39%
+5.25%
Ishares 25 Year Treasury Strips Bond Etf
9.305
N/A
580.41K
+1.14%
-3.87%
-10.61%
XJR
Ishares Esg Screened S P Small Cap Etf
38.86
N/A
72,013
+0.52%
+11.55%
-10.09%
Global X Nasdaq 100 Covered Call Growth Etf
26.83
N/A
41,213
+0.30%
+6.43%
-17.32%
Global X S P 500 Covered Call Growth Etf
26.75
N/A
63,685
+0.15%
+4.22%
-17.94%
Ft Cboe Vest Us Eq Buffer Etf September
46.30
N/A
9,587
+0.27%
+6.70%
+1.84%
Invesco Bulletshares 2030 Corporate Bond Etf
16.59
N/A
330.61K
+0.48%
+0.73%
+0.79%
Fidelity U S Multifactor Etf
34.74
N/A
19,502
+0.96%
+8.49%
+0.79%
Cabana Target Beta Etf
22.00
N/A
11,961
+0.46%
+2.44%
-1.98%
Cabana Target Drawdown 10 Etf
23.97
N/A
13,690
+0.71%
+5.13%
-5.37%
Invesco Bulletshares 2028 High Yield Corporate Bond Etf
21.88
N/A
38,479
+0.30%
+2.36%
-0.79%
Goldman Sachs Access U S Aggregate Bond Etf
40.68
N/A
81,969
+0.53%
-0.20%
-0.12%
AAA
Alternative Access First Priority Clo Bond Etf
24.87
N/A
9,299
-0.24%
+0.40%
-1.07%
Advisorshares Pure Us Cannabis Etf
2.80
N/A
5.88M
+4.48%
+26.13%
-44.66%
Trueshares Structured Outcome September Etf
38.40
N/A
7,081
+0.36%
+6.85%
-2.87%
Ft Cboe Vest Fund Of Buffer Etfs
30.77
N/A
744.71K
+0.39%
+6.62%
+1.72%
T Rowe Price Dividend Growth Etf
41.29
N/A
22,941
+1.15%
+6.56%
+1.63%
T Rowe Price Equity Income Etf
41.53
N/A
8,974
+0.83%
+6.54%
-2.22%
T Rowe Price Growth Stock Etf
39.31
N/A
2,312
-0.41%
+12.54%
+1.01%
T Rowe Price Blue Chip Growth Etf
42.23
N/A
109.87K
-0.52%
+12.67%
+2.80%
Spdr S P 500 Esg Etf
55.78
N/A
12,003
+0.41%
+8.63%
-1.85%
Ishares Ibonds Dec 2030 Term Treasury Etf
19.53
N/A
64,427
+0.46%
-0.36%
+1.24%
Ft Cboe Vest Us Eq Buffer Etf July
49.60
N/A
17,526
+0.44%
+7.10%
+1.97%
Innovator Growth 100 Power Buffer Etf July
63.90
N/A
12,450
-0.08%
+8.12%
+3.92%
Innovator U S Small Cap Power Buffer Etf July
28.39
N/A
34,827
+0.25%
+5.19%
-4.18%
Toews Agility Shares Managed Risk Etf
32.57
N/A
24,899
+0.18%
+3.31%
-1.21%
Pacer Lunt Large Cap Multi Factor Alternator Etf
48.01
N/A
32,103
+1.52%
+4.67%
-6.32%
Ishares Esg Advanced Total Usd Bond Market Etf
42.82
N/A
31,119
+0.40%
-0.12%
+0.16%
Ishares Ibonds Dec 2030 Term Corporate Etf
21.65
N/A
370.09K
+0.56%
+0.79%
+0.89%
Pacer Lunt Large Cap Alternator Etf
34.00
N/A
19,675
+1.94%
+1.11%
-12.08%
Global X Variable Rate Preferred Etf
23.09
N/A
79,623
+0.52%
+1.58%
-3.87%
Ft Cboe Vest Us Eq Buffer Etf June
51.93
N/A
20,287
+0.28%
+6.82%
+1.52%
Ft Cboe Vest Us Eq Deep Buffer Etf June
43.86
N/A
21,874
+0.43%
+7.31%
+1.83%
Ishares Esg Advanced Msci Usa Etf
51.03
N/A
50,913
+0.57%
+12.52%
+0.35%
Ishares Esg Advanced Msci Eafe Etf
72.22
N/A
12,277
+0.57%
+8.13%
+9.72%
Franklin U S Treasury Bond Etf
20.25
N/A
32,307
+0.44%
-0.59%
-0.09%
Fidelity Blue Chip Growth Etf
44.57
N/A
309.37K
-0.67%
+15.38%
-0.04%
Roundhill Sports Betting Igaming Etf
21.31
N/A
13,082
-0.75%
+9.50%
+9.22%
Ishares 0 3 Month Treasury Bond Etf
100.51
N/A
9.95M
+0.00%
+0.00%
-0.01%
Jpmorgan Equity Premium Income Etf
55.96
N/A
3.60M
+0.48%
+2.66%
-5.58%
JIG
Jpmorgan International Growth Etf
67.92
N/A
4,666
+0.45%
+8.60%
+6.80%
Ft Cboe Vest Us Eq Deep Buffer Etf May
41.55
N/A
29,095
+0.29%
+8.42%
+2.59%
Ft Cboe Vest Us Eq Buffer Etf May
48.31
N/A
28,192
+0.35%
+7.86%
+2.47%
Goldman Sachs Marketbeta U S Equity Etf
81.36
N/A
74,078
+0.32%
+9.92%
+0.87%
Robo Global Artificial Intelligence Etf
50.96
N/A
5,631
-0.93%
+18.54%
+7.66%
Etc 6 Meridian Hedged Equity Index Option Etf
37.80
N/A
16,697
+1.29%
-0.17%
+0.57%
First Trust Tcw Securitized Plus Etf
20.90
N/A
2,167
+0.58%
+0.12%
+0.62%
Bny Mellon International Equity Etf
82.29
N/A
16,793
+1.23%
+8.98%
+11.99%
Bny Mellon High Yield Etf
47.62
N/A
15,017
+0.25%
+2.30%
-1.21%
Bny Mellon Us Mid Cap Core Equity Etf
100.12
N/A
8,534
+0.30%
+11.58%
-4.21%
Bny Mellon Us Large Cap Core Equity Etf
112.89
N/A
108.90K
+0.33%
+9.76%
+0.94%
FDG
American Century Focused Dynamic Growth Etf
103.22
N/A
24,446
+0.14%
+16.34%
+2.88%
Innovator U S Small Cap Power Buffer Etf April
31.65
N/A
20,832
+0.25%
+6.17%
-4.64%
Innovator U S Equity Power Buffer Etf March
41.17
N/A
35,219
+0.46%
+5.62%
+3.52%
Ishares Ibonds Dec 2029 Term Treasury Etf
21.65
N/A
159.41K
+0.37%
-0.37%
+1.12%
Ishares Ibonds Dec 2028 Term Treasury Etf
22.15
N/A
165.76K
+0.27%
-0.34%
+1.03%
Ishares Ibonds Dec 2027 Term Treasury Etf
22.35
N/A
231.01K
+0.18%
-0.31%
+0.65%
Ishares Ibonds Dec 2026 Term Treasury Etf
22.85
N/A
363.03K
+0.02%
-0.20%
+0.24%
Ft Cboe Vest Us Eq Buffer Etf February
50.62
N/A
18,749
+0.28%
+6.46%
+2.61%
Amplify Travel Tech Etf
21.23
N/A
8,127
-0.16%
+11.41%
+0.97%
Brookfield Property Partners L P 5 75 Prf Perpetual Usd 25 Cls A Ser 3
13.64
N/A
3,221
+1.53%
+10.09%
-3.94%
Innovator U S Equity Power Buffer Etf February
36.97
N/A
40,293
+0.38%
+5.60%
+1.31%
Innovator U S Equity Ultra Buffer Etf February
33.43
N/A
39,464
+0.39%
+4.93%
+1.47%
Day Hagan Smart Sector Etf
42.90
N/A
25,880
+0.46%
+9.63%
+0.82%
Ishares U S Tech Breakthrough Multisector Etf
53.86
N/A
12,778
-0.36%
+13.84%
+0.96%
Innovator Emerging Markets Power Buffer Etf January
31.12
N/A
7,871
-0.19%
+5.38%
+3.94%
Innovator Growth 100 Power Buffer Etf January
49.07
N/A
17,927
+0.12%
+7.21%
+3.83%
Innovator International Developed Power Buffer Etf January
33.23
N/A
13,866
+0.40%
+4.86%
+7.56%