Click any ticker to view up to 20 trading days of interactive relative volume history.
Ticker | Type | Liquidity | MCAP | Prev. Close | Name |
---|---|---|---|---|---|
SPY | ETF | 36.15B | 350.14B | $381.24 | SSgA Active Trust - S&P 500 ETF TRUST ETF |
TSLA | Stock | 21.97B | 706.60B | $681.79 | Tesla Inc |
QQQ | ETF | 18.49B | 154.23B | $282.13 | Invesco Capital Management LLC - Invesco QQQ Trust Series 1 |
AAPL | Stock | 11.47B | 2.25T | $138.93 | Apple Inc |
AMD | Stock | 8.23B | 119.38B | $73.67 | Advanced Micro Devices Inc. |
NVDA | Stock | 8.08B | 363.08B | $145.23 | NVIDIA Corp |
AMZN | Stock | 7.61B | 1.11T | $109.56 | Amazon.com Inc. |
MSFT | Stock | 7.37B | 1.94T | $259.58 | Microsoft Corporation |
SQQQ | ETF | 6.40B | 4.04B | $57.62 | ProShares Trust - ProShares UltraPro Short QQQ |
META | Stock | 5.68B | 456.73B | $160.03 | Meta Platforms Inc - Class A |
IWM | ETF | 5.19B | 51.95B | $171.41 | BlackRock Institutional Trust Company N.A. - iShares Russell 2000 ETF |
TQQQ | ETF | 4.77B | 10.94B | $24.39 | ProShares Trust - ProShares UltraPro QQQ |
GOOGL | Stock | 4.13B | 1.47T | $2174.75 | Alphabet Inc - Class A |
BABA | Stock | 3.88B | 314.47B | $116.00 | Alibaba Group Holding Ltd - ADR |
HYG | ETF | 3.57B | 13.06B | $73.98 | BlackRock Institutional Trust Company N.A. - iShares iBoxx USD High Yield Corporate Bond ETF |
GOOG | Stock | 3.40B | 1.47T | $2181.62 | Alphabet Inc - Class C |
XOM | Stock | 3.02B | 368.81B | $87.55 | Exxon Mobil Corp. |
XLE | ETF | 3.02B | 34.38B | $72.58 | SSgA Active Trust - The Energy Select Sector SPDR Fund |
IVV | ETF | 2.74B | 281.09B | $383.09 | BlackRock Institutional Trust Company N.A. - iShares Core S&P 500 ETF |
LQD | ETF | 2.38B | 31.52B | $111.12 | BlackRock Institutional Trust Company N.A. - iShares iBoxx USD Investment Grade Corporate Bond ETF |
TLT | ETF | 2.27B | 20.42B | $115.82 | BlackRock Institutional Trust Company N.A. - iShares 20+ Year Treasury Bond ETF |
VOO | ETF | 2.14B | 240.67B | $350.44 | Vanguard Group, Inc. - Vanguard S&P 500 ETF |
XLF | ETF | 2.12B | 29.62B | $31.88 | SSgA Active Trust - Financial Select Sector SPDR |
UNH | Stock | 2.10B | 485.41B | $517.40 | Unitedhealth Group Inc |
OXY | Stock | 1.99B | 56.64B | $60.44 | Occidental Petroleum Corp. |
EEM | ETF | 1.96B | 25.98B | $39.85 | BlackRock Institutional Trust Company N.A. - iShares MSCI Emerging Markets ETF |
CVX | Stock | 1.94B | 287.86B | $146.51 | Chevron Corp. |
EFA | ETF | 1.90B | 45.44B | $62.64 | BlackRock Institutional Trust Company N.A. - iShares MSCI EAFE ETF |
NFLX | Stock | 1.64B | 79.50B | $179.95 | NetFlix Inc |
BAC | Stock | 1.62B | 254.28B | $31.56 | Bank Of America Corp. |
JPM | Stock | 1.55B | 334.97B | $114.05 | JPMorgan Chase & Co. |
NIO | Stock | 1.53B | 33.30B | $21.36 | NIO Inc - ADR |
BA | Stock | 1.51B | 82.73B | $139.84 | Boeing Co. |
INTC | Stock | 1.48B | 148.59B | $36.34 | Intel Corp. |
FXI | ETF | 1.36B | 5.92B | $33.94 | BlackRock Institutional Trust Company N.A. - iShares China Large-Cap ETF |
JNJ | Stock | 1.35B | 472.39B | $179.52 | Johnson & Johnson |
CRM | Stock | 1.34B | 167.36B | $168.20 | Salesforce Inc |
SHOP | Stock | 1.34B | 3.79B | $31.41 | Shopify Inc - Class A |
QCOM | Stock | 1.32B | 138.98B | $123.53 | Qualcomm, Inc. |
HD | Stock | 1.29B | 286.83B | $279.08 | Home Depot, Inc. |
ADBE | Stock | 1.29B | 172.45B | $368.48 | Adobe Inc |
JNK | ETF | 1.28B | 6.00B | $91.04 | SPDR Series Trust - SPDR Bloomberg High Yield Bond ETF |
XOP | ETF | 1.26B | 4.26B | $120.92 | SPDR Series Trust - SPDR Oil & Gas Exploration and Production ETF |
ARKK | ETF | 1.25B | 8.18B | $41.22 | ARK Investment Management LLC - ARK Innovation ETF |
GLD | ETF | 1.25B | 60.95B | $168.32 | SSgA Active Trust - SPDR Gold Shares ETF |
SQ | Stock | 1.25B | 27.16B | $63.90 | Block Inc - Class A |
V | Stock | 1.22B | 438.99B | $199.18 | Visa Inc - Class A |
XLV | ETF | 1.21B | 37.92B | $129.68 | SSgA Active Trust - Health Care Select Sector SPDR |
MRK | Stock | 1.19B | 233.71B | $92.42 | Merck & Co Inc |
XLK | ETF | 1.19B | 38.02B | $127.41 | SSgA Active Trust - Technology Select Sector SPDR ETF |
XLU | ETF | 1.18B | 15.93B | $71.85 | SSgA Active Trust - Utilities Select Sector SPDR ETF |
MU | Stock | 1.17B | 59.18B | $53.65 | Micron Technology Inc. |
DIA | ETF | 1.17B | 26.96B | $310.85 | SSgA Active Trust - SPDR Dow Jones Industrial Average ETF |
COST | Stock | 1.15B | 215.17B | $485.76 | Costco Wholesale Corp |
PYPL | Stock | 1.15B | 82.68B | $71.40 | PayPal Holdings Inc |
PG | Stock | 1.15B | 350.56B | $146.11 | Procter & Gamble Co. |
DIS | Stock | 1.15B | 175.04B | $96.14 | Walt Disney Co (The) |
AVGO | Stock | 1.14B | 192.96B | $477.84 | Broadcom Inc |
LIN | Stock | 1.12B | 143.50B | $285.44 | Linde Plc |
SMH | ETF | 1.08B | 5.99B | $195.99 | VanEck ETF Trust - VanEck Semiconductor ETF |
C | Stock | 1.07B | 92.84B | $46.87 | Citigroup Inc |
PFE | Stock | 1.07B | 293.51B | $52.31 | Pfizer Inc. |
KO | Stock | 1.05B | 279.09B | $64.38 | Coca-Cola Co |
CSCO | Stock | 1.05B | 176.41B | $42.60 | Cisco Systems, Inc. |
XLP | ETF | 1.04B | 15.56B | $73.22 | SSgA Active Trust - Consumer Staples Select Sector SPDR |
TGT | Stock | 1.04B | 66.02B | $142.38 | Target Corp |
MA | Stock | 1.04B | 307.08B | $318.24 | Mastercard Incorporated - Class A |
VZ | Stock | 1.03B | 216.87B | $51.64 | Verizon Communications Inc |
VTI | ETF | 1.01B | 245.10B | $190.61 | Vanguard Group, Inc. - Vanguard Total Stock Market ETF |
SNOW | Stock | 1.00B | 41.10B | $144.53 | Snowflake Inc - Class A |
BMY | Stock | 1.00B | 163.60B | $76.84 | Bristol-Myers Squibb Co. |
COP | Stock | 998.51M | 117.68B | $90.98 | Conoco Phillips |
XBI | ETF | 997.82M | 7.11B | $76.54 | SPDR Series Trust - SPDR Biotech ETF |
LLY | Stock | 986.13M | 308.53B | $324.71 | Lilly(Eli) & Co |
CMCSA | Stock | 985.17M | 180.12B | $40.29 | Comcast Corp - Class A |
WMT | Stock | 982.30M | 336.15B | $122.63 | Walmart Inc |
WFC | Stock | 980.93M | 151.31B | $39.92 | Wells Fargo & Co. |
PDD | Stock | 980.91M | 75.35B | $64.82 | Pinduoduo Inc - ADR |
DVN | Stock | 975.28M | 36.37B | $55.11 | Devon Energy Corp. |
XLY | ETF | 967.94M | 14.27B | $140.01 | SSgA Active Trust - Consumer Discretionary Select Sector SPDR |
IEF | ETF | 954.01M | 19.80B | $103.24 | BlackRock Institutional Trust Company N.A. - iShares 7-10 Year Treasury Bond ETF |
TXN | Stock | 938.22M | 136.97B | $148.54 | Texas Instruments Inc. |
NKE | Stock | 935.29M | 158.84B | $101.18 | Nike, Inc. - Class B |
RBLX | Stock | 930.72M | 19.31B | $35.07 | Roblox Corporation - Class A |
ABBV | Stock | 929.78M | 271.78B | $153.80 | Abbvie Inc |
SOXL | ETF | 926.57M | 3.00B | $11.60 | Direxion Shares ETF Trust - Direxion Daily Semiconductor Bull 3X Shares |
VLO | Stock | 924.32M | 44.07B | $107.98 | Valero Energy Corp. |
MPC | Stock | 921.09M | 45.70B | $84.48 | Marathon Petroleum Corp |
UVXY | ETF | 892.28M | 940.53M | $13.99 | ProShares Trust - ProShares Ultra VIX Short-Term Futures ETF |
IEMG | ETF | 891.56M | 65.10B | $48.70 | BlackRock Institutional Trust Company N.A. - iShares Core MSCI Emerging Markets ETF |
AMGN | Stock | 886.76M | 131.17B | $245.55 | AMGEN Inc. |
BKNG | Stock | 886.56M | 71.82B | $1767.98 | Booking Holdings Inc |
XLI | ETF | 886.15M | 12.90B | $88.10 | SSgA Active Trust - Industrial Select Sector SPDR |
TSM | Stock | 879.68M | 399.33B | $77.00 | Taiwan Semiconductor Manufacturing - ADR |
JD | Stock | 875.27M | 102.56B | $65.95 | JD.com Inc - ADR |
IEFA | ETF | 871.30M | 84.59B | $58.93 | BlackRock Institutional Trust Company N.A. - iShares Core MSCI EAFE ETF |
VICI | Stock | 863.57M | 29.58B | $30.72 | VICI Properties Inc |
PXD | Stock | 860.48M | 54.18B | $223.94 | Pioneer Natural Resources Co. |
KWEB | ETF | 855.98M | 8.43B | $33.18 | Krane Shares Trust - KraneShares CSI China Internet ETF |
ABNB | Stock | 848.27M | 55.07B | $91.41 | Airbnb Inc - Class A |