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Top Stock Gainers

Symbol Company Chart Price Change Volume Market Cap 52w Range
1
 
 
Sadot Group Inc.
Chart $25.30 11.05
77.54%
23,779,103 $26.7m
 
2.63
460.00
2
 
 
Osisko Development Corp. Warrant expiring 5/27/2027
Chart $0.0869 0.0366
72.76%
5,515 $10.3m
 
0.0869
0.2300
3
 
 
Southland Holdings, Inc.
Chart $1.14 0.4587
67.33%
203,551,695 $61.8m
 
0.620
5.34
4
 
 
Callan JMB Inc.
Chart $1.22 0.3590
41.70%
46,576,853 $5.8m
 
0.650
5.88
5
 
 
Callan JMB Inc.
Chart $1.22 0.3590
41.70%
46,576,853 $5.8m
 
0.650
5.88
6
 
 
Baiya International Group Inc. Ordinary Shares
Chart $4.14 1.10
36.18%
22,033,952 $11.2m
 
2.75
247.00
7
 
 
Blueport Acquisition Ltd
Chart $0.2000 0.0494
32.80%
826 $1.2m
 
0.2000
0.2000
8
 
 
Blueport Acquisition Ltd
Chart $0.2000 0.0494
32.80%
826 $1.2m
 
0.2000
0.2000
9
 
 
Flag Ship Acquisition Corporation
Chart $0.0975 0.0215
28.29%
20 $490k
 
0.0767
0.1190
10
 
 
Phoenix Asia Holdings Limited Ordinary Shares
Chart $31.32 6.57
26.55%
117,158 $676.5m
 
6.66
133.12
11
 
 
Lulu's Fashion Lounge Holdings, Inc.
Chart $12.56 2.36
23.16%
52,836 $36m
 
2.98
32.32
12
 
 
SemiLEDs Corporation
Chart $3.01 0.560
22.86%
5,054,787 $24.9m
 
1.01
3.62
13
 
 
AlphaTON Capital Corp.
Chart $0.2926 0.0541
22.68%
13,966,730 $666.6k
 
0.1760
13.80
14
 
 
Brenmiller Energy Ltd
Chart $0.835 0.1449
21.01%
14,653,165 $430.2k
 
0.640
85.40
15
 
 
American Well Corporation
Chart $13.23 2.28
20.82%
438,209 $221.1m
 
3.71
13.25
16
 
 
American Well Corporation
Chart $13.23 2.28
20.82%
438,209 $221.1m
 
3.71
13.25
17
 
 
Greenland Mines Ltd.
Chart $0.2091 0.0352
20.24%
43,912,433 $15.2m
 
0.1578
0.530
18
 
 
Amplitech Group, Inc. Series A Right
Chart $1.68 0.2800
20.00%
25,230 $36.9m
 
1.44
1.68
19
 
 
Amplitech Group, Inc. Series A Right
Chart $1.68 0.2800
20.00%
25,230 $36.9m
 
1.44
1.68
20
 
 
KRAKacquisition Corp Warrants
Chart $0.540 0.0900
20.00%
900 $18.6m
 
0.4500
0.540
21
 
 
ARC Group Acquisition I Corp Right
Chart $0.2400 0.0400
20.00%
54 $3.1m
 
0.1500
0.3000
22
 
 
Armata Pharmaceuticals, Inc.
Chart $4.51 0.750
19.95%
269,842 $165.6m
 
2.32
16.34
23
 
 
Foremost Lithium Resource & Technology Ltd.
Chart $1.93 0.3200
19.88%
508,953 $24m
 
1.33
4.57
24
 
 
Drugs Made In America Acquisition II Corp. Right
Chart $0.0997 0.0162
19.40%
0 $6.9m
 
0.0835
0.0997
25
 
 
Drugs Made In America Acquisition II Corp. Right
Chart $0.0997 0.0162
19.40%
0 $6.9m
 
0.0835
0.0997


Stock Lists

View Stocks
Basic Materials
Basic materials stocks represent companies that produce or extract raw materials like metals, chemicals, and forestry products—essential inputs for manufacturing and construction.

Investors in this sector can expect cyclical performance, often thriving during economic growth and infrastructure booms, but declining during slowdowns or when commodity prices fall.
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Communication Services
Companies that provide media, entertainment, internet, and telecommunications services, such as streaming platforms, wireless carriers, and social networks.

Investors can expect growth potential tied to digital trends, but also volatility driven by regulation, competition, and shifts in consumer behavior.
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Consumer Cyclical
The consumer cyclical sector includes companies that sell non-essential goods and services like cars, apparel, travel, and luxury items—things people spend more on during economic upswings.

Investors can expect high growth during booms but heightened risk and volatility during recessions, as spending in this sector is closely tied to consumer confidence.
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Consumer Defensive
The consumer defensive sector comprises companies that produce essential goods like food, beverages, household products, and personal care items—things people buy regardless of the economy.

Investors can expect steady performance and lower volatility, making this sector a common safe haven during market downturns.
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Energy
Energy stocks include companies involved in the production and distribution of oil, natural gas, and renewable energy sources.

Investors can expect strong returns during periods of high commodity prices, but should be prepared for cyclical swings, geopolitical risk, and regulatory pressures.
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Financial Services
Financial services stocks represent banks, insurance companies, asset managers, and fintech firms that facilitate lending, investing, and financial planning.

Investors can expect gains during periods of economic growth and rising interest rates, but should be mindful of credit risk, regulatory changes, and market volatility.
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Healthcare
The healthcare sector includes companies in pharmaceuticals, biotechnology, medical devices, and healthcare services, all focused on treating and preventing illness.

Investors can expect long-term growth driven by aging populations and innovation, with defensive characteristics that help the sector perform relatively well during economic downturns.
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Industrials
The industrials sector includes companies involved in manufacturing, construction, aerospace, defense, and logistics—key players in building and moving goods.

Investors can expect cyclical performance tied to economic growth, with opportunities during infrastructure booms but potential slowdowns during recessions or supply chain disruptions.
View Stocks
Real Estate
Real estate stocks include companies that own, operate, or finance properties, such as real estate investment trusts (REITs) covering residential, commercial, or industrial assets.

Investors can expect steady income through dividends and long-term asset appreciation, but performance is sensitive to interest rates, property values, and economic cycles.
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Technology
Technology stocks represent companies that develop software, hardware, semiconductors, and digital services, driving innovation across nearly every industry.

Investors can expect high growth potential and market disruption, but also elevated volatility and sensitivity to interest rates, competition, and regulatory scrutiny.
View Stocks
Utilities
The utilities sector includes companies that provide essential services like electricity, water, and natural gas—necessities regardless of economic conditions.

Investors can expect stable, dividend-paying stocks with lower volatility, though growth is typically modest and sensitive to interest rate changes and regulation.
Top Gainers  
Name / Symbol Price Change
 
  SDOT
$25.30
77.54%
 
  ODVWZ
$0.0869
72.76%
 
  SLND
$1.14
67.33%
 
  CJMB
$1.22
41.70%
 
  BIYA
$4.14
36.18%
* Financial Data Delayed


Top Losers  
Name / Symbol Price Change
 
  VIVK
$2.26
-46.95%
 
  NIXXW
$0.0024
-46.67%
 
  STAK
$1.92
-46.37%
 
  BURU
$0.0727
-39.21%
 
  QMLS
$14.28
-33.36%
* Financial Data Delayed


U.S. Commodities  
Name / Symbol Year High Year Low Last Price
Gold Futures 5626.8 3300 $4018.8
0.66882%
Silver Futures 121.3 36.345 $56.326
0.24739%
Brent Crude Oil 119.4 58.72 $88.1
4.59456%
* Financial Data Delayed


 
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Mutual Funds
 
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Behavioral Finance


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