Click any ticker to view up to 20 trading days of interactive relative volume history.
Ticker | Type | Liquidity | MCAP | Prev. Close | Name |
---|---|---|---|---|---|
PEP | Stock | 838.90M | 234.21B | $169.39 | PepsiCo Inc |
EWZ | ETF | 838.01M | 4.80B | $27.07 | BlackRock Institutional Trust Company N.A. - iShares MSCI Brazil ETF |
FDX | Stock | 832.60M | 57.95B | $223.61 | Fedex Corp |
SPGI | Stock | 832.56M | 116.70B | $343.33 | S&P Global Inc |
T | Stock | 830.68M | 152.56B | $21.31 | AT&T, Inc. |
VEA | ETF | 823.32M | 91.59B | $40.89 | Vanguard Group, Inc. - Vanguard FTSE Developed Markets ETF |
MO | Stock | 820.92M | 76.50B | $42.25 | Altria Group Inc. |
AMAT | Stock | 816.54M | 75.05B | $86.27 | Applied Materials Inc. |
ROKU | Stock | 808.69M | 10.65B | $83.91 | Roku Inc - Class A |
GS | Stock | 805.03M | 102.77B | $299.23 | Goldman Sachs Group, Inc. |
AGG | ETF | 793.30M | 81.69B | $102.34 | BlackRock Institutional Trust Company N.A. - iShares Core U.S. Aggregate Bond ETF |
ON | Stock | 785.11M | 20.35B | $46.84 | ON Semiconductor Corp. |
COIN | Stock | 779.73M | 12.81B | $49.04 | Coinbase Global Inc - Class A |
MUB | ETF | 770.81M | 28.92B | $106.59 | BlackRock Institutional Trust Company N.A. - iShares National Muni Bond ETF |
UBER | Stock | 759.20M | 39.71B | $21.34 | Uber Technologies Inc |
ORCL | Stock | 754.03M | 188.86B | $70.87 | Oracle Corp. |
MRNA | Stock | 741.26M | 59.64B | $149.95 | Moderna Inc |
ACN | Stock | 740.99M | 186.40B | $280.65 | Accenture plc - Class A |
FCX | Stock | 738.95M | 42.32B | $29.20 | Freeport-McMoRan Inc |
NEE | Stock | 737.00M | 157.82B | $80.56 | NextEra Energy Inc |
LOW | Stock | 733.80M | 113.36B | $177.36 | Lowe`s Cos., Inc. |
MCD | Stock | 728.14M | 187.08B | $252.96 | McDonald`s Corp |
SPXL | ETF | 725.66M | 2.22B | $67.67 | Direxion Shares ETF Trust - Direxion Daily S&P 500 Bull 3X Shares |
IYR | ETF | 718.63M | 4.39B | $93.71 | BlackRock Institutional Trust Company N.A. - iShares U.S. Real Estate ETF |
IBM | Stock | 715.11M | 126.93B | $141.12 | International Business Machines Corp. |
SHV | ETF | 705.14M | 22.02B | $110.02 | BlackRock Institutional Trust Company N.A. - iShares Short Treasury Bond ETF |
CAT | Stock | 704.53M | 95.09B | $178.29 | Caterpillar Inc. |
CRWD | Stock | 693.44M | 38.26B | $179.25 | Crowdstrike Holdings Inc - Class A |
NOW | Stock | 676.59M | 97.09B | $484.36 | ServiceNow Inc |
BIL | ETF | 676.28M | 21.03B | $91.43 | SPDR Series Trust - SPDR Bloomberg 1-3 Month T-Bill ETF |
NXPI | Stock | 673.47M | 38.36B | $146.09 | NXP Semiconductors NV |
SLB | Stock | 670.98M | 50.39B | $35.65 | Schlumberger Ltd. |
INTU | Stock | 670.85M | 106.41B | $388.31 | Intuit Inc |
F | Stock | 668.21M | 44.70B | $11.32 | Ford Motor Co. |
PANW | Stock | 659.51M | 50.64B | $508.25 | Palo Alto Networks Inc |
GDX | ETF | 656.46M | 11.20B | $28.16 | VanEck ETF Trust - VanEck Gold Miners ETF |
IWF | ETF | 652.71M | 57.73B | $221.02 | BlackRock Institutional Trust Company N.A. - iShares Russell 1000 Growth ETF |
MS | Stock | 652.44M | 134.26B | $76.75 | Morgan Stanley |
EOG | Stock | 645.81M | 65.38B | $111.62 | EOG Resources, Inc. |
SH | ETF | 643.62M | 2.87B | $16.33 | ProShares Trust - ProShares Short S&P500 |
SBUX | Stock | 640.98M | 90.90B | $79.26 | Starbucks Corp. |
KDP | Stock | 636.72M | 51.17B | $36.07 | Keurig Dr Pepper Inc |
CHTR | Stock | 631.55M | 80.73B | $480.92 | Charter Communications Inc. - Class A |
TMO | Stock | 619.04M | 214.63B | $548.27 | Thermo Fisher Scientific Inc. |
TIP | ETF | 609.49M | 31.00B | $115.17 | BlackRock Institutional Trust Company N.A. - iShares TIPS Bond ETF |
UNP | Stock | 606.70M | 135.19B | $215.26 | Union Pacific Corp. |
SCHW | Stock | 604.93M | 120.11B | $63.92 | Charles Schwab Corp. |
TMUS | Stock | 604.82M | 170.92B | $136.81 | T-Mobile US Inc |
EMB | ETF | 602.67M | 14.15B | $86.15 | BlackRock Institutional Trust Company N.A. - iShares J.P. Morgan USD Emerging Markets Bond ETF |
UPS | Stock | 601.56M | 159.91B | $184.99 | United Parcel Service, Inc. - Class B |
VWO | ETF | 599.49M | 70.89B | $41.40 | Vanguard Group, Inc. - Vanguard FTSE Emerging Markets ETF |
XLB | ETF | 599.46M | 6.39B | $74.12 | SSgA Active Trust - Materials Select Sector SPDR |
AMT | Stock | 598.65M | 117.92B | $258.40 | American Tower Corp. |
CCL | Stock | 597.68M | 9.74B | $8.82 | Carnival Corp. (Paired Stock) |
MRO | Stock | 595.84M | 15.96B | $22.55 | Marathon Oil Corporation |
LI | Stock | 594.86M | 33.84B | $37.70 | Li Auto Inc - ADR |
ABT | Stock | 583.46M | 192.99B | $110.22 | Abbott Laboratories |
SDS | ETF | 579.60M | 1.17B | $49.33 | ProShares Trust - ProShares UltraShort S&P500 |
ZM | Stock | 578.51M | 31.74B | $110.97 | Zoom Video Communications Inc - Class A |
PLD | Stock | 575.20M | 88.85B | $120.03 | Prologis Inc |
DE | Stock | 571.58M | 92.19B | $301.63 | Deere & Co. |
SPXS | ETF | 570.76M | 652.62M | $25.87 | Direxion Shares ETF Trust - Direxion Daily S&P 500 Bear 3X Shares |
DHR | Stock | 570.40M | 187.62B | $258.05 | Danaher Corp. |
LRCX | Stock | 566.48M | 54.77B | $394.83 | Lam Research Corp. |
MDT | Stock | 566.19M | 122.59B | $91.38 | Medtronic Plc |
ELV | Stock | 564.94M | 117.16B | $485.98 | Elevance Health Inc |
AXP | Stock | 564.30M | 105.73B | $140.40 | American Express Co. |
DOCU | Stock | 563.84M | 12.24B | $61.22 | DocuSign Inc |
VNQ | ETF | 562.68M | 39.95B | $92.75 | Vanguard Group, Inc. - Vanguard Real Estate Index Fund ETF |
SHY | ETF | 562.50M | 26.51B | $82.96 | BlackRock Institutional Trust Company N.A. - iShares 1-3 Year Treasury Bond ETF |
LMT | Stock | 554.77M | 115.36B | $433.52 | Lockheed Martin Corp. |
GM | Stock | 550.26M | 46.94B | $32.19 | General Motors Company |
HON | Stock | 550.19M | 119.20B | $175.11 | Honeywell International Inc |
VALE | Stock | 548.27M | 70.74B | $14.15 | Vale S.A. - ADR |
PM | Stock | 546.82M | 154.58B | $99.72 | Philip Morris International Inc |
BX | Stock | 544.70M | 65.05B | $92.83 | Blackstone Inc |
BND | ETF | 539.04M | 80.28B | $75.71 | Vanguard Group, Inc. - Vanguard Total Bond Market ETF |
ADI | Stock | 527.68M | 74.29B | $142.91 | Analog Devices Inc. |
AAL | Stock | 526.26M | 8.53B | $13.13 | American Airlines Group Inc |
ENPH | Stock | 524.69M | 26.43B | $195.72 | Enphase Energy Inc |
BLK | Stock | 519.72M | 93.43B | $616.70 | Blackrock Inc. |
DAL | Stock | 514.31M | 18.92B | $29.52 | Delta Air Lines, Inc. |
SNAP | Stock | 513.58M | 19.62B | $13.17 | Snap Inc - Class A |
BIDU | Stock | 506.74M | 52.76B | $151.49 | Baidu Inc - ADR |
FANG | Stock | 504.75M | 21.51B | $121.21 | Diamondback Energy Inc |
TWTR | Stock | 502.94M | 29.19B | $38.23 | Twitter Inc |
ZEN | Stock | 499.68M | 9.18B | $74.51 | Zendesk Inc |
MRVL | Stock | 497.45M | 36.16B | $42.55 | Marvell Technology Inc |
SLV | ETF | 494.43M | 10.73B | $18.31 | BlackRock Institutional Trust Company N.A. - iShares Silver Trust |
GE | Stock | 491.74M | 69.94B | $63.54 | General Electric Co. |
DDOG | Stock | 486.55M | 28.61B | $101.05 | Datadog Inc - Class A |
VRTX | Stock | 485.91M | 73.48B | $287.32 | Vertex Pharmaceuticals, Inc. |
IWD | ETF | 485.79M | 51.54B | $146.78 | BlackRock Institutional Trust Company N.A. - iShares Russell 1000 Value ETF |
CSX | Stock | 484.40M | 63.79B | $29.34 | CSX Corp. |
SOXS | ETF | 483.66M | 299.15M | $73.44 | Direxion Shares ETF Trust - Direxion Daily Semiconductor Bear 3X Shares |
CI | Stock | 483.59M | 85.04B | $268.03 | Cigna Corp. |
AMC | Stock | 481.08M | 6.99B | $13.53 | AMC Entertainment Holdings Inc - Class A |
MELI | Stock | 480.78M | 33.25B | $659.95 | MercadoLibre Inc |
GILD | Stock | 477.77M | 78.22B | $62.36 | Gilead Sciences, Inc. |
WDAY | Stock | 477.43M | 2.70B | $142.35 | Workday Inc - Class A |