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Company Name Symbol Price Change (%) Volume $ Volume
First Solar  FSLR 226.77
-14.14 (-5.87%)
3,072,856 $696.83M
Quanta Services  PWR 678.02
+7.44 (1.11%)
1,022,868 $693.52M
Walt Disney  DIS 103.22
-0.31 (-0.30%)
6,717,520 $693.38M
Honeywell Aerospace Inc. - Common Stock  HONA 167.80
+1.87 (1.13%)
4,088,496 $686.05M
AstraZeneca PLC - American Depositary Shares  AZN 158.50
-0.25 (-0.16%)
4,326,193 $685.70M
FedEx Corp  FDX 326.77
+4.34 (1.35%)
2,082,232 $680.41M
SoFi Technologies, Inc. - Common Stock  SOFI 17.94
-0.04 (-0.22%)
37,161,813 $666.68M
AvalonBay Communities  AVB 179.79
-1.97 (-1.08%)
3,706,011 $666.30M
TJX Companies  TJX 152.61
-3.13 (-2.01%)
4,344,862 $663.07M
Allstate Corp  ALL 255.84
-6.39 (-2.44%)
2,591,140 $662.92M
Cadence Design Systems, Inc. - Common Stock  CDNS 323.13
-4.40 (-1.34%)
2,048,916 $662.07M
DoorDash, Inc. - Common Stock  DASH 212.49
+0.49 (0.23%)
3,105,240 $659.83M
Philip Morris International  PM 186.19
-0.03 (-0.02%)
3,541,225 $659.34M
Axon Enterprise, Inc. - Common Stock  AXON 599.78
-36.53 (-5.74%)
1,079,711 $647.59M
Ross Stores  ROST 248.25
-3.56 (-1.41%)
2,601,119 $645.73M
NextEra Energy  NEE 85.78
+0.04 (0.05%)
7,473,347 $641.06M
MongoDB, Inc. - Class A Common Stock  MDB 437.83
-1.33 (-0.30%)
1,455,208 $637.13M
Sherwin-Williams  SHW 360.20
-4.22 (-1.16%)
1,766,338 $636.23M
Tractor Supply  TSCO 36.43
+1.14 (3.23%)
17,443,435 $635.46M
S&P Global Inc. Common Stock  SPGI 410.10
+1.41 (0.35%)
1,541,003 $631.97M
WEC Energy Group Inc  WEC 109.11
+2.43 (2.28%)
5,786,347 $631.35M
Lockheed Martin  LMT 606.72
+8.95 (1.50%)
1,036,835 $629.07M
Agnico-Eagle Mines   AEM 185.18
+3.43 (1.89%)
3,395,681 $628.81M
Atlassian Corporation - Class A Common Stock  TEAM 155.24
+1.16 (0.75%)
4,031,762 $625.89M
Danaher Corp  DHR 205.79
-1.65 (-0.80%)
3,038,432 $625.28M
Nu Holdings Ltd. Class A Ordinary Shares  NU 13.56
-0.09 (-0.66%)
45,797,390 $621.01M
PDD Holdings Inc. - American Depositary Shares  PDD 89.03
-1.47 (-1.62%)
6,960,838 $619.76M
Fortinet, Inc. - Common Stock  FTNT 160.84
-1.05 (-0.65%)
3,850,862 $619.37M
Circle Internet Group, Inc. Class A Common Stock  CRCL 71.28
+0.12 (0.17%)
8,679,234 $618.66M
Brinker International, Inc. Common Stock  EAT 245.89
+24.51 (11.07%)
2,508,080 $616.71M
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