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Most Active ETF's

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Company Name Symbol Price Change (%) Volume $ Volume
S&P Depository Receipts  SPY 499.72
+4.56 (0.92%)
67,963,099 $33.96B
Nasdaq ETF  QQQ 418.82
+4.17 (1.01%)
47,978,514 $20.09B
Russell 2000 Ishares ETF  IWM 195.30
+2.16 (1.12%)
31,849,034 $6.22B
Ultrapro QQQ 3X ETF  TQQQ 50.92
+1.44 (2.91%)
71,302,390 $3.63B
High Yield Corp Bond Ishares Iboxx $ ETF  HYG 76.40
+0.42 (0.55%)
40,772,750 $3.12B
SPDR GOLD  GLD 215.57
-5.46 (-2.47%)
13,404,310 $2.89B
Invst Grade Corp Bond Ishares Iboxx $ ETF  LQD 105.27
+0.26 (0.25%)
26,842,442 $2.83B
S&P 500 ETF Vanguard  VOO 459.05
+3.95 (0.87%)
5,818,656 $2.67B
20+ Year Treas Bond Ishares ETF  TLT 89.00
-0.15 (-0.17%)
24,969,091 $2.22B
S&P 500 Ishares Core ETF  IVV 502.12
+4.59 (0.92%)
4,210,796 $2.11B
Semiconductor Bull 3X Direxion  SOXL 32.07
+1.28 (4.16%)
65,097,476 $2.09B
FINANCIAL SEL  XLF 40.87
+0.49 (1.21%)
50,707,235 $2.07B
Vaneck Semiconductor ETF  SMH 203.02
+3.81 (1.91%)
9,801,707 $1.99B
Ultrapro Short QQQ -3X ETF  SQQQ 12.47
-0.37 (-2.88%)
157,168,692 $1.96B
Dow Industrials SPDR  DIA 382.37
+2.57 (0.68%)
4,128,985 $1.58B
Energy Select Sector SPDR  XLE 95.59
+0.62 (0.65%)
15,122,703 $1.45B
Vaneck Gold Miners ETF  GDX 32.53
-1.54 (-4.52%)
41,107,758 $1.34B
MSCI EAFE ETF  EFA 77.01
+0.89 (1.17%)
17,314,239 $1.33B
TECHNOLOGY  XLK 194.25
+1.72 (0.89%)
6,646,722 $1.29B
INDUSTRIAL SEL  XLI 121.38
+0.91 (0.76%)
10,484,898 $1.27B
HEALTHCARE  XLV 139.48
+0.53 (0.38%)
8,531,347 $1.19B
iShares Bitcoin Trust  IBIT 37.93
+1.26 (3.44%)
29,881,189 $1.13B
Emrg Mkts Ishares MSCI ETF  EEM 40.14
+0.43 (1.08%)
25,738,765 $1.03B
China Largecap Ishares ETF  FXI 24.42
+0.41 (1.71%)
42,054,014 $1.03B
Silver Trust Ishares  SLV 24.93
-1.27 (-4.85%)
37,156,890 $926.32M
CONSUMERS STA  XLP 75.15
+0.71 (0.95%)
12,181,844 $915.47M
iShares Trust S&P Semiconductor Index Fund  SOXX 201.66
+3.27 (1.65%)
4,493,795 $906.22M
S&P Biotech SPDR  XBI 83.75
+0.92 (1.11%)
10,695,416 $895.74M
EAFE MSCI ETF  IEFA 71.57
+0.79 (1.12%)
12,460,864 $891.82M
Semiconductor Bear -3X Direxion  SOXS 43.97
-2.16 (-4.68%)
19,609,285 $862.22M
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