Companies IPOs in 2020

As of 2020, 352 companies have debuted on NASDAQ and NYSE exchanges, with a combined market cap of $3.60 trillion. Notable newcomers include Space Exploration Technologies Corp (SPCX), Palantir Technologies Inc (PLTR), alongside Snowflake Inc (SNOW). Among these IPOs, Lixiang Education Holding Co Ltd Adr (LXEH) is the top performer today, up +13.29% in the last 24 hours.

Symbol Name Price (After Hoursafter-market) Market Cap ▾ Volume % (1D) % (1M) % (6M)
Space Exploration Technologies Corp
160.57
2.12T
68.50M
-4.19%
+4.63%
+630.53%
Palantir Technologies Inc
198.78
477.68B
41.50M
+2.40%
+16.72%
+41.22%
Snowflake Inc
343.40
121.15B
3.99M
+3.17%
+2.35%
+128.95%
Airbnb Inc
163.23
96.24B
3.45M
+1.62%
-6.48%
+24.22%
Doordash Inc
191.71
83.07B
3.24M
+0.25%
-4.36%
+19.30%
Carrier Global Corp
55.83
46.02B
4.94M
+1.51%
-5.55%
-4.22%
Rocket Lab Corp
68.40
43.74B
22.90M
-4.89%
+3.84%
-0.98%
Revolution Medicines Inc
188.12
40.32B
4.86M
-6.35%
-9.26%
+94.44%
RKT
Rocket Companies Inc
11.76
33.30B
42.98M
+2.80%
-14.84%
-22.63%
Otis Worldwide Corp
66.11
25.17B
4.54M
+0.56%
-5.64%
-16.90%
Royalty Pharma Plc
56.21
25.03B
2.54M
-0.97%
-7.23%
+17.35%
Roivant Sciences Ltd
34.21
24.71B
6.28M
-1.55%
-17.53%
+21.44%
U
Unity Software Inc
45.89
20.20B
15.43M
+0.99%
+7.35%
+106.34%
Sofi Technologies Inc
15.61
20.16B
49.65M
-0.32%
-13.33%
-5.34%
Ke Holdings Inc Adr
17.09
18.81B
5.27M
+1.00%
-1.04%
+9.34%
GFL
Gfl Environmental Inc
42.33
18.46B
2.44M
+0.69%
-1.26%
-4.47%
WMG
Warner Music Group Corp
28.91
15.12B
2.97M
+2.66%
+3.14%
+5.01%
Grab Holdings Limited
3.11
12.72B
65.35M
+0.97%
-4.31%
-14.33%
Jfrog Ltd
97.25
11.99B
1.12M
-0.92%
+12.13%
+108.42%
LI
Li Auto Inc Adr
10.90
10.65B
1.78M
-0.82%
-12.52%
-41.49%
BSY
Bentley Systems Inc
34.82
10.52B
2.26M
-0.94%
+6.03%
-0.60%
Vaxcyte Inc
65.02
9.67B
3.89M
-2.90%
+7.71%
+8.18%
Xpeng Inc Adr
9.55
9.15B
5.03M
-0.31%
-12.63%
-46.35%
Kymera Therapeutics Inc
109.30
9.09B
1.03M
+0.88%
-6.16%
+25.44%
MP
Mp Materials Corp
46.14
8.22B
5.46M
-0.37%
-16.67%
-15.25%
Chord Energy Corp
142.34
7.79B
879.64K
+4.62%
-3.57%
+5.49%
Praxis Precision Medicines Inc
263.55
7.36B
675.59K
-5.20%
-25.23%
-17.70%
Allegro Microsystems Inc
36.27
6.76B
2.57M
-2.05%
-0.55%
+1.12%
OWL
Blue Owl Capital Inc
9.27
6.34B
21.51M
+1.76%
-17.38%
+11.42%
ACI
Albertsons Companies Inc
12.34
5.99B
12.42M
+5.11%
+1.65%
-30.32%
Super Group Sghc Limited
11.54
5.86B
1.91M
+1.67%
-17.22%
+5.58%
Joby Aviation Inc
5.75
5.73B
28.44M
+0.00%
-15.94%
-33.37%
Cipher Digital Inc
13.50
5.60B
57.15M
-7.28%
-27.07%
-12.45%
D Wave Quantum Inc
14.60
5.54B
16.68M
-4.07%
-17.37%
+0.21%
Brookfield Renewable Corp
29.38
5.45B
1.80M
-0.44%
-9.77%
-31.52%
SHC
Sotera Health Co
17.83
5.09B
2.25M
-0.39%
-4.09%
+16.99%
EBC
Eastern Bankshares Inc
21.08
4.82B
2.27M
+1.05%
-3.04%
+1.84%
CRC
California Resources Corp
53.05
4.71B
905.65K
+1.90%
-4.53%
-20.12%
Reynolds Consumer Products Inc
21.98
4.63B
1.65M
+0.27%
+0.50%
+0.18%
Brookfield Infrastructure Corp
37.13
4.57B
1.14M
-1.35%
-0.99%
-11.02%
VNT
Vontier Corp
32.20
4.35B
1.31M
-0.22%
-1.14%
-12.69%
MIR
Mirion Technologies Inc
16.22
3.95B
5.83M
-1.40%
-4.14%
-19.46%
Sphere Entertainment Co
109.25
3.92B
1.15M
+2.83%
-23.28%
-16.56%
Abcellera Biologics Inc
12.02
3.90B
8.47M
-6.31%
+5.07%
+250.44%
Madison Square Garden Entertainment Corp
81.66
3.86B
501.21K
-0.41%
+6.40%
+33.67%
Relay Therapeutics Inc
17.41
3.82B
4.33M
-3.01%
-8.90%
+19.99%
Tango Therapeutics Inc
22.57
3.81B
5.07M
+3.39%
-0.57%
+12.51%
ECO
Okeanis Eco Tankers Corp
94.44
3.69B
1.03M
+7.27%
+35.01%
+85.36%
Legend Biotech Corp Adr
18.71
3.64B
2.15M
-2.14%
-8.69%
+2.24%
Archer Aviation Inc
4.72
3.63B
28.81M
+1.07%
-19.04%
-15.41%
Lemonade Inc
46.91
3.63B
1.54M
+0.17%
-7.20%
-20.41%
Stepstone Group Inc
43.91
3.61B
1.15M
-0.61%
-13.46%
-9.54%
BNL
Broadstone Net Lease Inc
18.24
3.50B
2.79M
-0.22%
-12.98%
-6.51%
Tarsus Pharmaceuticals Inc
72.22
3.38B
555.51K
-1.89%
-17.20%
+0.46%
ASO
Academy Sports And Outdoors Inc
52.76
3.25B
1.31M
+0.27%
+18.00%
-6.12%
Shift 4 Payments Inc
39.52
3.12B
2.36M
+1.36%
-6.55%
-6.24%
Arcutis Biotherapeutics Inc
24.49
3.08B
2.61M
+1.32%
+0.41%
-0.49%
DYN
Dyne Therapeutics Inc
16.37
3.06B
6.28M
+2.50%
-19.40%
-10.94%
SMR
Nuscale Power Corp
7.32
3.00B
43.15M
-4.56%
-34.53%
-25.76%
Enliven Therapeutics Inc
40.63
2.98B
1.65M
-1.76%
-31.56%
-5.36%
Ouster Inc
39.53
2.85B
2.33M
-5.14%
+5.44%
+95.11%
Cellebrite Di Ltd
11.34
2.85B
1.06M
+1.02%
-0.96%
-15.56%
QS
Quantumscape Corp
4.58
2.82B
21.88M
+1.33%
-18.07%
-27.30%
Ardagh Metal Packaging Sa
4.46
2.67B
4.10M
+1.36%
-9.53%
+7.47%
Miniso Group Holding Ltd Adr
9.07
2.67B
747.76K
+1.45%
-3.10%
-46.04%
Trueshares Structured Outcome November Etf
48.06
2.63B
2,342
-0.41%
+0.72%
+10.36%
KC
Kingsoft Cloud Holdings Ltd Adr
8.74
2.62B
1.99M
-5.31%
-16.12%
-40.26%
Beam Therapeutics Inc
24.60
2.54B
2.42M
-0.69%
-8.31%
-3.30%
Clover Health Investments Corp
4.58
2.43B
5.18M
+0.44%
+6.76%
+138.54%
Payoneer Global Inc
7.16
2.43B
1.34M
+0.00%
+0.42%
+53.98%
Upstart Holdings Inc
24.19
2.35B
4.20M
+0.71%
-10.34%
-11.42%
RSI
Rush Street Interactive Inc
20.32
2.35B
2.22M
+0.40%
-24.80%
-8.51%
Disc Medicine Inc
60.77
2.33B
819.75K
-0.67%
-20.91%
-8.30%
Harmony Biosciences Holdings Inc
39.60
2.31B
803.22K
+0.66%
-5.87%
+39.09%
Nurix Therapeutics Inc
22.21
2.30B
2.14M
-2.29%
-15.00%
+42.37%
Asana Inc
9.87
2.26B
6.48M
+5.79%
+12.29%
+63.14%
Opendoor Technologies Inc
2.29
2.22B
28.71M
+0.88%
-25.41%
-50.65%
Immunome Inc
19.31
2.19B
2.13M
+1.13%
-27.97%
-11.01%
Butterfly Network Inc
8.03
2.14B
6.97M
-2.90%
+6.78%
+93.96%
Ncino Inc
19.68
2.08B
2.33M
+3.09%
-11.11%
+10.94%
Vertex Inc
12.77
2.07B
1.36M
+3.57%
-1.16%
+10.09%
Alvotech
5.67
2.02B
668.88K
-3.08%
+9.25%
+58.38%
WGS
Genedx Holdings Corp
67.73
2.02B
734.64K
-1.17%
-21.12%
+3.26%
Porch Group Inc
17.53
1.99B
1.06M
+1.27%
+4.78%
+144.15%
Schrodinger Inc
26.39
1.97B
3.08M
-3.30%
+31.75%
+129.48%
NN
Nextnav Inc
11.60
1.96B
6.90M
-8.73%
-23.78%
-20.49%
AI
C 3 Ai Inc
11.34
1.82B
4.45M
+0.98%
+7.90%
+29.16%
Genius Sports Limited
6.63
1.77B
7.31M
+4.57%
-9.30%
+51.37%
Netstreit Corp
17.43
1.77B
1.43M
+1.28%
-13.80%
-11.84%
Nuvation Bio Inc
4.95
1.74B
9.29M
+1.85%
-25.11%
+9.27%
Concentrix Corp
27.07
1.65B
1.89M
+3.48%
-4.24%
-2.38%
Compass Pathways Plc Adr
11.47
1.59B
2.81M
-1.88%
-18.30%
+100.52%
Uranium Royalty Corp
4.055
1.55B
2.45M
-3.22%
-15.87%
+9.59%
TMC
Tmc The Metals Company Inc
3.43
1.51B
5.46M
-2.56%
-22.57%
-26.71%
Lucid Group Inc
3.82
1.51B
12.33M
-1.80%
-17.49%
-56.69%
Taysha Gene Therapies Inc
4.43
1.44B
3.81M
+0.00%
-19.16%
-2.64%
Blackrock Capital Allocation Term Trust
13.63
1.44B
605.36K
-1.02%
-15.24%
-7.40%
Corsair Gaming Inc
13.09
1.42B
1.16M
-3.68%
+6.77%
+129.65%
Inhibrx Biosciences Inc
92.76
1.37B
208.04K
-0.64%
-18.87%
+38.18%
Hillman Solutions Corp
7.01
1.36B
2.01M
+1.01%
-7.15%
-16.15%
Certara Inc
8.64
1.32B
4.09M
-3.57%
+11.63%
+59.12%
Oric Pharmaceuticals Inc
12.03
1.25B
2.70M
+0.17%
-4.68%
+32.93%
PWP
Perella Weinberg Partners
15.20
1.18B
1.84M
+0.46%
-8.32%
-20.96%
Nanobiotix Adr
22.90
1.17B
116.62K
-6.99%
-40.04%
-25.67%
Goodrx Holdings Inc
3.36
1.15B
1.06M
+3.38%
-4.55%
+57.01%
Maravai Lifesciences Holdings Inc
7.21
1.07B
3.59M
-2.96%
+0.28%
+131.83%
AVO
Mission Produce Inc
11.79
1.03B
2.73M
-5.76%
-8.39%
-23.14%
Blackrock Health Sciences Term Trust
16.26
1.02B
133.42K
-1.63%
-4.18%
+12.68%
Eos Energy Enterprises Inc
2.765
1.01B
39.63M
-10.81%
-35.70%
-39.76%
Aeva Technologies Inc
13.69
954.27M
1.84M
-4.53%
-15.75%
+5.23%
Taboola Com Ltd
3.51
948.25M
2.56M
+6.69%
-8.12%
+4.15%
PTA
Cohen Steers Tax Advantaged Preferred Securities Income Fund
17.05
942.41M
261.86K
-0.29%
-6.42%
-10.50%
RXT
Rackspace Technology Inc
3.62
922.64M
5.68M
-5.97%
+12.07%
+272.50%
Moonlake Immunotherapeutics
10.58
900.43M
3.60M
-1.76%
-29.18%
-43.12%
Pubmatic Inc
18.68
850.88M
997.70K
+0.59%
+14.67%
+122.12%
Evolv Technologies Holdings Inc
4.58
829.56M
3.23M
-2.35%
-9.66%
-25.04%
LU
Lufax Holding Ltd Adr
0.9467
820.49M
3.32M
-3.54%
-23.03%
-50.43%
Yalla Group Limited Adr
5.38
816.84M
214.65K
+0.37%
-1.65%
-17.36%
Abrdn Global Infrastructure Income Fund
19.06
804.01M
139.36K
-0.10%
-14.26%
-20.18%
PCT
Purecycle Technologies Inc
3.93
789.56M
10.46M
+3.42%
-39.63%
-28.80%
IVA
Inventiva Adr
3.32
784.30M
2.17M
-1.34%
-28.91%
-37.36%
Annexon Inc
4.00
758.32M
3.21M
-0.25%
-14.35%
-33.88%
Root Inc
48.56
752.35M
317.14K
+1.72%
-11.14%
+4.57%
4 D Molecular Therapeutics Inc
12.70
701.60M
970.76K
+0.87%
-13.19%
+25.74%
Olema Pharmaceuticals Inc
7.82
684.23M
1.40M
-1.51%
-28.81%
-50.16%
Pharming Group Nv Adr
9.53
674.52M
5,117
-1.24%
-17.13%
-43.88%
DLY
Doubleline Yield Opportunities Fund
13.24
642.66M
127.13K
+0.23%
-4.40%
-6.50%
Granite Ridge Resources Inc
4.80
633.12M
1.69M
+4.58%
-5.88%
-15.64%
Docebo Inc
24.26
605.23M
20,174
+1.59%
+2.93%
+43.89%
New Found Gold Corp
1.54
591.91M
746.88K
+1.99%
-13.97%
-23.00%
SLN
Silence Therapeutics Plc Adr
9.52
591.71M
1.11M
-3.05%
-30.46%
+62.74%
Ibex Ltd
44.40
589.57M
72,273
+2.87%
+20.33%
+58.68%
VEL
Velocity Financial Inc
14.91
588.67M
204.16K
+1.15%
-17.72%
-20.10%
Array Technologies Inc
3.75
577.53M
5.53M
-1.83%
-20.21%
-48.63%
Shattuck Labs Inc
5.66
568.06M
2.49M
+0.09%
-12.92%
-19.37%
MAX
Mediaalpha Inc
10.68
565.78M
2.08M
+10.44%
-9.26%
+9.88%
Nuveen Dynamic Municipal Opportunities Fund
8.77
530.45M
480.38K
+1.15%
-9.77%
-15.35%
Oppfi Inc
6.09
518.92M
807.34K
+0.50%
-17.70%
-25.00%
Playstudios Inc
4.23
508.11M
53,952
-4.51%
+762.56%
+789.96%
908 Devices Inc
11.55
477.40M
448.05K
-1.95%
+17.74%
+64.30%
First Trust High Yield Opportunities 2027 Term Fund
12.72
467.75M
106.09K
+0.16%
-3.49%
-5.57%
Ars Pharmaceuticals Inc
4.56
453.48M
1.58M
+4.59%
-15.40%
-44.32%
Atea Pharmaceuticals Inc
5.155
413.46M
350.92K
+2.89%
-9.24%
-13.07%
Spire Global Inc
10.38
406.01M
642.32K
-2.35%
-14.50%
-49.37%
Vital Farms Inc
9.435
405.06M
1.81M
+2.11%
-6.40%
-26.12%
Sky Harbour Group Corp
9.54
377.62M
136.27K
+0.21%
-7.92%
-6.56%
Uwm Holdings Corp
1.09
375.67M
11.94M
-3.54%
-21.58%
-72.12%
Pgim Short Duration High Yield Opportunities Fund
15.14
373.55M
118.06K
-0.26%
-4.90%
-5.96%
The Real Brokerage Inc
17.08
372.25M
717.63K
+4.85%
-17.47%
+580.48%
Vox Royalty Corp
5.08
353.04M
455.54K
+1.40%
-11.34%
-8.30%
Ccc Intelligent Solutions Holdings Inc
2.85
350.62M
2.83M
+1.06%
-19.72%
-1.72%
Orchestra Biomed Holdings Inc
5.73
344.40M
241.87K
+1.24%
+5.52%
+34.19%
API
Agora Inc Adr
4.04
341.58M
87,168
-2.65%
-1.70%
+6.88%
Crescent Capital Bdc Inc
9.09
334.93M
214.01K
+0.89%
-11.66%
-27.45%
TLS
Telos Corp
4.37
326.60M
674.56K
+1.39%
-6.22%
+4.55%
Bakkt Inc
7.03
316.84M
1.61M
-3.30%
-14.89%
-11.57%
Prelude Therapeutics Inc
3.88
309.64M
423.50K
+1.31%
-26.79%
-8.06%
Livewire Group Inc
1.47
301.96M
189.08K
-7.55%
+19.51%
-11.45%
Paysafe Limited
5.74
299.72M
227.83K
+0.53%
-11.96%
-20.17%
Holley Inc
2.44
295.81M
3.45M
+3.39%
-18.12%
-20.78%
Nexpoint Real Estate Finance Inc
15.58
293.65M
40,504
+1.70%
-11.17%
+14.90%
Biodesix Inc
25.63
270.43M
95,951
-2.99%
-3.76%
+79.86%
QSI
Quantum Si Incorporated
1.22
267.04M
5.73M
-4.69%
+60.53%
+62.56%
IKT
Inhibikase Therapeutics Inc
1.91
266.51M
417.26K
-1.55%
-21.40%
+9.77%
Alight Inc
9.76
257.85M
565.18K
-1.71%
-27.43%
-0.45%
AZ
A 2 Z Cust 2 Mate Solutions Corp
5.83
256.67M
491.29K
-1.35%
-5.36%
-27.85%
Zentalis Pharmaceuticals Inc
2.51
237.63M
1.27M
-1.57%
-37.72%
-9.06%
YSG
Yatsen Holding Ltd Adr
2.51
235.44M
51,277
-4.92%
-8.06%
-18.77%
Nautilus Biotechnology Inc
1.82
231.60M
6.58M
-7.14%
+96.14%
-41.85%
Keros Therapeutics Inc
11.64
230.79M
245.66K
+3.84%
+4.21%
-7.25%
Greenwich Lifesciences Inc
15.14
222.23M
129.09K
-1.62%
-4.78%
-37.44%
American Well Corp
12.53
213.12M
72,509
-0.87%
-6.07%
+119.44%
American Outdoor Brands Inc
16.30
205.73M
59,098
+1.43%
+10.36%
+73.40%
Adc Therapeutics Sa
1.59
202.99M
5.54M
+11.97%
+22.31%
-57.37%
Gdev Inc
11.11
201.94M
1,946
-0.72%
-3.05%
-22.04%
VLN
Valens Semiconductor Ltd
1.76
190.57M
604.08K
-4.86%
+4.14%
+34.35%
Direxion Daily Coin Bull 2 X Etf
5.9733
183.45M
142.74K
-6.08%
-11.77%
-29.47%
Evgo Inc
1.27
179.98M
3.39M
-1.55%
-9.93%
-33.51%
Curiositystream Inc
2.94
174.45M
667.94K
-0.34%
+10.94%
-12.24%
Alx Oncology Holdings Inc
1.18
163.17M
1.76M
+4.42%
-41.00%
-37.73%
Onewater Marine Inc
9.62
160.32M
100.60K
-0.41%
-17.71%
-4.37%
BNR
Burning Rock Biotech Ltd Adr
15.20
160.30M
14,094
+0.13%
+41.92%
-6.40%
Nkarta Inc
2.22
159.01M
720.14K
-2.20%
-31.27%
-3.90%
Neovolta Inc
2.60
153.43M
1.04M
-6.81%
-33.67%
-16.13%
RNA
Atrium Therapeutics Inc
8.26
141.29M
645.64K
+4.16%
-27.22%
-39.71%
UP
Wheels Up Experience Inc
3.89
141.11M
85,352
+2.64%
-11.99%
-62.34%
Owlet Inc
4.66
136.17M
151.68K
-1.48%
-6.43%
-9.51%
Humacyte Inc
0.4471
124.20M
5.44M
-5.34%
-24.84%
-31.37%
Seer Inc
2.17
120.16M
265.93K
-1.81%
+11.28%
+28.40%
Playboy Inc
0.9867
118.21M
919.78K
-3.26%
-16.38%
-37.55%
Foghorn Therapeutics Inc
1.99
118.18M
1.22M
-4.78%
-58.80%
-59.30%
Bogota Financial Corp
9.07
115.75M
1,408
-1.09%
-2.47%
+4.86%
Black Diamond Therapeutics Inc
1.81
103.99M
783.75K
-1.09%
-13.81%
-27.60%
Polypid Ltd
4.90
99.53M
88,717
-1.01%
-8.07%
+15.84%
Vertical Aerospace Ltd
0.5443
91.79M
2.73M
-1.48%
-7.73%
-78.05%
Innoviz Technologies Ltd
0.3071
91.55M
2.53M
-0.94%
-12.61%
-53.92%
Mediaco Holding Inc
1.04
87.38M
26,710
+0.00%
-7.96%
+39.43%
Pmv Pharmaceuticals Inc
1.49
79.65M
461.39K
-0.67%
+11.19%
+19.20%
Lensar Inc
6.45
79.24M
24,824
-0.92%
-25.00%
+16.64%
RFM
Rivernorth Flexible Municipal Income Fund Inc
12.81
78.33M
16,300
-0.31%
-9.08%
-10.61%
Pulmonx Corp
1.81
77.74M
229.15K
-1.63%
-12.98%
+40.31%
OM
Outset Medical Inc
4.09
76.88M
240.97K
-2.85%
+17.87%
-2.62%
Momentus Inc
3.38
74.24M
377.80K
-3.43%
-20.47%
-7.14%
Bark Inc
8.21
74.16M
45,470
-0.12%
-15.36%
-5.41%
Skinhealth Systems Inc
0.5689
74.04M
397.67K
-3.56%
-22.82%
-38.95%
Arbe Robotics Ltd
0.566
72.11M
1.50M
-4.41%
-23.83%
-15.53%
Selectquote Inc
0.3706
65.44M
912.36K
+0.16%
-30.78%
-43.21%
Pliant Therapeutics Inc
1.00
61.92M
568.04K
+1.01%
-11.89%
-26.47%
IH
Ihuman Inc Adr
1.15
58.78M
1,220
+0.00%
-6.88%
-34.55%
WNW
Meiwu Technology Company Ltd
2.20
57.93M
34,249
-4.35%
-4.76%
-43.30%
Nerdy Inc
6.79
57.72M
12,380
-1.59%
-24.30%
-48.54%
Marketwise Inc
19.76
55.18M
23,962
+1.28%
+8.75%
+13.60%
Annovis Bio Inc
1.17
49.93M
803.52K
-3.31%
-10.00%
-49.13%
Breeze Acquisition Corp Ii
10.07
48.97M
2,228
+0.19%
+0.59%
-11.60%
VRM
Vroom Inc
8.96
46.90M
17,680
+1.13%
-17.04%
-45.17%
XOS
Xos Inc
3.22
45.78M
234.93K
-1.83%
+11.81%
+76.92%
Nano X Imaging Ltd
0.5663
44.50M
1.13M
-4.82%
-39.13%
-75.70%
Stem Inc
4.20
40.43M
159.12K
-6.04%
-25.53%
-56.61%
Vivid Seats Inc
3.34
37.55M
104.23K
-0.30%
-35.65%
-54.68%
Elutia Inc
0.8273
36.64M
115.32K
+0.88%
-0.33%
-27.43%
LSF
Laird Superfood Inc
3.08
34.47M
13,418
-1.28%
-21.83%
+28.87%
Docgo Inc
0.3387
33.51M
481.07K
-1.83%
-12.71%
-38.40%
Aligos Therapeutics Inc
5.31
33.16M
37,364
-0.19%
-7.81%
-33.54%
YQ
17 Education Technology Group Inc Adr
3.34
32.35M
19,692
-0.60%
-11.87%
+86.59%
Anghami Inc
3.53
32.00M
16,238
+0.20%
+2.02%
-9.02%
MNY
Moneyhero Ltd
0.6602
29.10M
8,742
+0.03%
-24.11%
-51.10%
AEI
Alset Inc
0.6903
26.85M
9,976
+6.18%
-45.00%
-63.28%
SST
Sensata Technologies Holding Plc
2.27
19.77M
45,836
-3.40%
-54.60%
-25.33%
Getty Images Holdings Inc
0.0475
19.70M
1.11M
+0.00%
-81.56%
-94.38%
Jasper Therapeutics Inc
0.56
18.63M
362.25K
-1.70%
-21.06%
-20.80%
NYC
American Strategic Investment Co
5.66
17.91M
10,299
-8.27%
-9.73%
-29.78%
Skillful Craftsman Education Technology Ltd
0.9799
15.87M
18,383
+5.78%
+3.21%
-2.01%
Fusion Fuel Green Plc
1.92
14.43M
23,374
-5.42%
-19.50%
-30.69%
Sadot Group Inc
9.89
14.39M
35,325
-0.20%
-23.57%
-69.29%
Zhongchao Inc
1.58
14.02M
100.97K
-7.60%
+86.54%
-72.72%
Offerpad Solutions Inc
2.78
13.44M
50,250
-6.71%
-30.50%
-60.68%
Huize Holding Ltd Adr
1.30
13.14M
10,621
+0.78%
-12.75%
-15.03%
CCG
Carlyle Group Inc
5.15
12.90M
20,414
-10.75%
-63.24%
-82.21%
Ebang International Holdings Inc
2.02
12.69M
1,611
+6.88%
-6.21%
+8.60%
Passage Bio Inc
3.78
12.16M
15,793
-1.95%
-22.06%
-59.31%
Wimi Hologram Cloud Inc
0.6461
11.88M
146.79K
-6.23%
-42.82%
-65.45%
Lantern Pharma Inc
0.83
10.61M
250.35K
-8.79%
-54.89%
-57.22%
UCL
Ucloudlink Group Inc Adr
0.2751
10.48M
107.94K
-2.03%
-31.72%
-80.35%
QH
Quhuo Ltd Adr
3.68
10.12M
2,710
+5.14%
-8.46%
-99.88%
Calcimedica Inc
1.30
8.88M
221.34K
-12.16%
-35.64%
+108.67%
Ciso Global Inc
0.1936
8.81M
186.19K
-7.37%
-21.62%
-47.68%
Fathom Holdings Inc
0.2209
7.56M
669.49K
+2.27%
-66.45%
-74.84%
Amesite Inc
0.89
5.83M
42,648
-2.20%
-16.04%
-50.00%
BQ
Boqii Holding Limited ADR
0.7567
5.58M
77,412
+3.52%
-12.96%
+0.92%
Intelligent Bio Solutions Inc
1.57
5.21M
17,449
-1.26%
-26.98%
-40.75%
Hydrofarm Holdings Group Inc
0.96
4.63M
120.14K
-2.05%
+3.75%
-2.49%
MRM
Medirom Healthcare Technologies Inc Adr
0.55
4.35M
8,430
+0.02%
-40.22%
-50.00%
Vision Marine Technologies Inc
6.30
4.11M
11,743
+2.11%
-30.31%
+211.88%
Addex Therapeutics Ltd Adr
3.18
4.03M
11,678
+1.60%
-14.05%
-50.93%
Lixiang Education Holding Co Ltd Adr
1.79
3.43M
61,058
+13.29%
+15.48%
-10.81%
OCG
Oriental Culture Holding Ltd
1.67
3.24M
33,200
-1.18%
+4.37%
-19.32%
Revelation Biosciences Inc
0.7739
3.08M
63,270
-6.55%
-23.38%
-36.04%
Vivos Therapeutics Inc
0.1495
3.01M
1.84M
-0.99%
-16.81%
-87.54%
Prf Technologies Ltd
0.8587
3.00M
20,491
-2.16%
-9.13%
-63.30%
Presidio Property Trust Inc
0.891
1.28M
82,156
+5.54%
-33.51%
-63.93%
Im Cannabis Corp
1.72
1.04M
166.63K
-9.47%
-12.24%
+404.40%
Pacer Swan Sos Fund Of Funds Etf
29.51
N/A
32,320
+0.34%
+5.47%
+1.48%
Sp Funds S P Global Reit Sharia Etf
19.36
N/A
22,980
+1.68%
+6.20%
-6.88%
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 Leveraged Etn
54.51
N/A
1.07M
+6.53%
-26.25%
+70.50%
Microsectors Gold Miners 3 X Inverse Leveraged Etns
4.70
N/A
4.94M
-6.37%
+13.25%
-71.62%
Kraneshares Mount Lucas Managed Futures Index Strategy Etf
26.05
N/A
66,552
-0.04%
-1.40%
-8.11%
Dimensional Us Core Equity Market Etf
40.55
N/A
729.00K
+0.47%
+10.25%
-0.39%
Dimensional International Core Equity Market Etf
33.29
N/A
1.00M
+1.09%
+7.87%
+12.39%
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%
Janus Henderson Aaa Clo Etf
50.55
N/A
5.22M
-0.04%
+0.58%
-0.69%
Ft Cboe Vest Us Eq Buffer Etf October
43.10
N/A
11,100
+0.30%
+6.60%
+1.44%
Invesco Nasdaq 100 Etf
213.82
N/A
2.68M
+0.13%
+13.38%
+4.63%
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 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%
Cabana Target Drawdown 10 Etf
23.97
N/A
13,690
+0.71%
+5.13%
-5.37%
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%
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 Blue Chip Growth Etf
42.23
N/A
109.87K
-0.52%
+12.67%
+2.80%
T Rowe Price Growth Stock Etf
39.31
N/A
2,312
-0.41%
+12.54%
+1.01%
T Rowe Price Equity Income Etf
41.53
N/A
8,974
+0.83%
+6.54%
-2.22%
Spdr S P 500 Esg Etf
55.78
N/A
12,003
+0.41%
+8.63%
-1.85%
Ft Cboe Vest Us Eq Buffer Etf July
49.60
N/A
17,526
+0.44%
+7.10%
+1.97%
Ishares Ibonds Dec 2030 Term Treasury Etf
19.53
N/A
64,427
+0.46%
-0.36%
+1.24%
Innovator U S Small Cap Power Buffer Etf July
28.39
N/A
34,827
+0.25%
+5.19%
-4.18%
Innovator Growth 100 Power Buffer Etf July
63.90
N/A
12,450
-0.08%
+8.12%
+3.92%
Pacer Lunt Large Cap Alternator Etf
34.00
N/A
19,675
+1.94%
+1.11%
-12.08%
Ishares Ibonds Dec 2030 Term Corporate Etf
21.65
N/A
370.09K
+0.56%
+0.79%
+0.89%
Ishares Esg Advanced Total Usd Bond Market Etf
42.82
N/A
31,119
+0.40%
-0.12%
+0.16%
Pacer Lunt Large Cap Multi Factor Alternator Etf
48.01
N/A
32,103
+1.52%
+4.67%
-6.32%
Toews Agility Shares Managed Risk Etf
32.57
N/A
24,899
+0.18%
+3.31%
-1.21%
Global X Variable Rate Preferred Etf
23.09
N/A
79,623
+0.52%
+1.58%
-3.87%
Ft Cboe Vest Us Eq Deep Buffer Etf June
43.86
N/A
21,874
+0.43%
+7.31%
+1.83%
Ft Cboe Vest Us Eq Buffer Etf June
51.93
N/A
20,287
+0.28%
+6.82%
+1.52%
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%
JIG
Jpmorgan International Growth Etf
67.92
N/A
4,666
+0.45%
+8.60%
+6.80%
Jpmorgan Equity Premium Income Etf
55.96
N/A
3.60M
+0.48%
+2.66%
-5.58%
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%
Etc 6 Meridian Hedged Equity Index Option Etf
37.80
N/A
16,697
+1.29%
-0.17%
+0.57%
Robo Global Artificial Intelligence Etf
50.96
N/A
5,631
-0.93%
+18.54%
+7.66%
First Trust Tcw Securitized Plus Etf
20.90
N/A
2,167
+0.58%
+0.12%
+0.62%
Bny Mellon High Yield Etf
47.62
N/A
15,017
+0.25%
+2.30%
-1.21%
Bny Mellon International Equity Etf
82.29
N/A
16,793
+1.23%
+8.98%
+11.99%
Bny Mellon Us Large Cap Core Equity Etf
112.89
N/A
108.90K
+0.33%
+9.76%
+0.94%
Bny Mellon Us Mid Cap Core Equity Etf
100.12
N/A
8,534
+0.30%
+11.58%
-4.21%
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 2026 Term Treasury Etf
22.85
N/A
363.03K
+0.02%
-0.20%
+0.24%
Ishares Ibonds Dec 2027 Term Treasury Etf
22.35
N/A
231.01K
+0.18%
-0.31%
+0.65%
Ishares Ibonds Dec 2028 Term Treasury Etf
22.15
N/A
165.76K
+0.27%
-0.34%
+1.03%
Ishares Ibonds Dec 2029 Term Treasury Etf
21.65
N/A
159.41K
+0.37%
-0.37%
+1.12%
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 Ultra Buffer Etf February
33.43
N/A
39,464
+0.39%
+4.93%
+1.47%
Innovator U S Equity Power Buffer Etf February
36.97
N/A
40,293
+0.38%
+5.60%
+1.31%
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%