Trading Hours Gainers Yesterday (US Stock Market)

Below we list yesterday's top regular trading hours gainers sorted by largest price percentage increase for the US stock market. This includes the NYSE, Nasdaq and AMEX stock exchanges. Volume and change are calculated using start of regular trading hours to market close yesterday (-1 Day 9:30am to 4:00pm EST).

Symbol
Change %
Change
Price
Volume
Vol * Price
FBGLFBS Global Limited Ordinary Shares
+53.01%
+0.2123
$0.6128
4.325M
$2.40M
FXHOUTime Limited Class A Ordinary Shares
+45.50%
+5.95
$19.01
5.4M
$102.87M
LGPSLogProstyle Inc.
+40.00%
+0.2800
$0.9800
1.554M
$1.46M
CCTGCCSC Technology International Holdings Limited Ordinary Shares
+31.76%
+0.27
$1.12
3.757M
$4.17M
LICNLichen China Limited Class A Ordinary Shares
+26.83%
+0.33
$1.56
412.381K
$592.08K
INLFINLIF LIMITED Ordinary Shares
+26.45%
+1.32
$6.31
4.56M
$33.74M
CLGNCollPlant Biotechnologies Ltd Ordinary Shares
+25.79%
+0.0877
$0.4277
91.51K
$35.13K
YYGHYY Group Holding Limited Class A Ordinary Shares
+25.20%
+0.32
$1.57
1.484M
$2.17M
ZKHZKH Group Limited American Depositary Shares, each representing thirty-five (35) Class A Ordinary Shares
+24.42%
+0.53
$2.70
64.043K
$160.81K
DSCDSC Holdings Ltd. American Depositary Shares
+23.98%
+1.65
$8.53
195.833K
$1.58M
TDTHTrident Digital Tech Holdings Ltd American Depository Shares
+23.47%
+0.35
$1.82
2.218M
$4.17M
PLAGPlanet Green Holdings Corp.
+23.28%
+0.44
$2.33
42.876K
$96.58K
ILAGIntelligent Living Application Group Inc. Ordinary Shares
+23.21%
+0.81
$4.30
45.073K
$179.30K
CRTOCriteo S.A.
+21.95%
+4.17
$23.17
2.593M
$58.48M
XTLBXTL Biopharmaceuticals Ltd. American Depositary Shares
+21.24%
+0.55
$3.14
143.734K
$446.99K
AMCIAMC Robotics Corporation Common Stock
+21.00%
+1.05
$6.05
381.88K
$2.30M
FCHLFitness Champs Holdings Limited Common Stock
+20.87%
+0.24
$1.39
1.14M
$1.58M
TBITrueblue, Inc.
+20.29%
+1.38
$8.18
545.71K
$4.09M
SONMSonim Technologies, Inc. Common Stock
+19.83%
+0.70
$4.23
62.428K
$257.14K
PFSAProfusa, Inc. Common Stock
+19.74%
+0.0184
$0.1116
4.268M
$453.98K
KMRKK-Tech Solutions Company Limited Class A Ordinary Shares
+19.57%
+0.18
$1.10
241.901K
$253.21K
WBXWallbox N.V.
+18.94%
+0.89
$5.59
828.318K
$4.58M
ICGIntchains Group Limited American Depositary Shares
+18.53%
+0.1510
$0.9659
187.92K
$166.56K
EVTVEnvirotech Vehicles, Inc. Common Stock
+18.44%
+0.31
$1.98
757.605K
$1.43M
AHGAkso Health Group ADS
+18.18%
+0.26
$1.69
8.701K
$13.10K
ALITAlight, Inc.
+18.14%
+2.57
$16.74
1.186M
$19.29M
CELUCelularity Inc. Class A Common Stock
+17.90%
+0.1128
$0.7428
924.045K
$729.47K
MYNDMynd.ai, Inc. American Depositary Shares, each representing ten (10) Class A Ordinary Shares
+16.67%
+0.0550
$0.3850
5.29K
$1.90K
AIOSAIOS Tech Inc. Class A Common Shares
+16.59%
+2.09
$14.69
65.86K
$990.85K
ZONECleanCore Solutions Inc.
+16.44%
+0.1200
$0.8500
2.491M
$2.06M
TOPTOP Financial Group Limited Ordinary Shares
+16.38%
+0.29
$2.06
377.753K
$724.73K
LOBOLOBO EV TECHNOLOGIES LTD. Ordinary shares
+16.38%
+0.1065
$0.7565
4.316M
$3.40M
AEMDAETHLON MEDICAL INC
+16.25%
+0.1089
$0.7789
307.694K
$223.97K
SLAISOLAI Limited American Depositary Shares (each representing one hundred (100) Class A Ordinary Shares)
+16.00%
+0.44
$3.19
70.68K
$205.47K
YDESYD Bio Limited Ordinary Shares
+15.74%
+0.31
$2.29
4.784M
$12.58M
TONXTON Strategy Company Common Stock
+15.70%
+0.46
$3.39
857.486K
$2.89M
DSYBig Tree Cloud Holdings Limited Ordinary Shares
+15.48%
+0.63
$4.70
497.598K
$2.19M
ANLAdlai Nortye Ltd. American Depositary Shares
+15.46%
+1.47
$10.98
277.945K
$2.79M
CUECue Biopharma, Inc.
+15.39%
+4.31
$32.32
119.863K
$3.83M
LUCYInnovative Eyewear, Inc. Common Stock
+15.25%
+0.16
$1.21
146.012M
$186.15M
RPDRapid7, Inc. Common Stock
+15.19%
+1.39
$10.51
2.948M
$29.97M
OXBROxbridge Re Holdings Limited
+15.15%
+0.20
$1.52
71.566K
$102.80K
RYOJrYojbaba Co., Ltd. Common Shares
+14.77%
+0.39
$3.03
29.086K
$81.01K
AGPUAxe Compute Inc. Common Stock
+14.73%
+1.08
$8.38
389.924K
$3.26M
DGNXDiginex Limited Ordinary Shares
+14.50%
+0.15
$1.15
1.18M
$1.35M
DLXYDelixy Holdings Limited Ordinary Shares
+14.34%
+0.0602
$0.4800
96.968K
$43.56K
YRDYiren Digital Ltd.
+14.29%
+0.19
$1.52
2.026M
$2.93M
BGMQilian International Holding Group Ltd. Class A Ordinary Shares
+14.23%
+0.0461
$0.3701
5.522M
$2.32M
RTBRTB Digital, Inc. Common Stock
+14.20%
+2.06
$16.57
83.313K
$1.31M
PMECPrimech Holdings Ltd. Ordinary Shares
+13.94%
+0.0770
$0.6295
7.447K
$4.33K
YOULYoulife Group Inc. American Depositary Shares
+13.81%
+0.0716
$0.5900
100.926K
$56.98K
PHOEPhoenix Asia Holdings Limited Ordinary Shares
+13.76%
+2.36
$19.51
6.232K
$113.60K
CNEYCN Energy Group Inc. Class A Ordinary Shares
+13.75%
+0.0623
$0.5153
167.827K
$77.76K
NNVCNanoViricides Inc.
+13.64%
+0.18
$1.50
573.953K
$837.80K
BTCTBTC Digital Ltd. Ordinary Shares
+13.44%
+0.13
$1.11
1.544M
$1.70M
DHDefinitive Healthcare Corp. Class A Common Stock
+13.41%
+0.1023
$0.8650
296.204K
$255.73K
STEXStreamex Corp. Common Stock
+12.89%
+0.13
$1.10
1.775M
$2.00M
WRAPWrap Technologies, Inc. Common Stock
+12.83%
+0.19
$1.67
2.282M
$3.86M
TRIBTrinity Biotech plc
+12.81%
+0.0460
$0.4050
633.314K
$244.09K
SCAGScage Future American Depositary Shares
+12.78%
+0.0460
$0.4060
1.056M
$408.02K
ENOVEnovis Corporation
+12.70%
+2.92
$25.91
1.847M
$46.79M
CWDCaliberCos Inc. Class A Common Stock
+12.69%
+0.12
$1.05
6.93M
$6.86M
COSMCosmos Holdings Inc. Common Stock
+12.67%
+0.0304
$0.2704
20.003M
$5.31M
MYOMyomo Inc.
+12.62%
+0.13
$1.16
368.185K
$411.37K
UPCUniverse Pharmaceuticals Inc. Ordinary Shares
+12.45%
+0.66
$5.96
194.739K
$1.11M
CRMTAmerica's Car Mart Inc
+12.45%
+0.33
$2.98
346.287K
$981.94K
DUKRDUKE Robotics Corp. Common Stock
+12.42%
+0.59
$5.34
72.24K
$378.75K
BLINBridgeline Digital Inc.
+12.30%
+0.15
$1.37
679.555K
$904.14K
DTCXDatacentrex, Inc. Common Stock
+12.21%
+0.21
$1.93
322.676K
$623.99K
TRUGTruGolf Holdings, Inc. Class A Common Stock
+12.21%
+0.17
$1.53
949.124K
$1.44M
BESSBimergen Energy Corporation
+12.09%
+0.55
$5.10
116.532K
$578.99K
AIMDAinos, Inc. Common Stock
+11.89%
+0.22
$2.07
28.251K
$56.02K
FRMMForum Markets, Incorporated Common Stock
+11.84%
+0.72
$6.80
1.021M
$6.84M
ROMARoma Green Finance Limited Ordinary Shares
+11.78%
+0.94
$8.92
14.94K
$125.65K
OMEROmeros Corporation
+11.78%
+1.09
$10.34
1.585M
$16.16M
EXFYExpensify, Inc. Class A Common Stock
+11.68%
+0.20
$1.87
2.167M
$3.94M
BVSBioventus Inc. Class A Common Stock
+11.61%
+1.23
$11.78
1.402M
$16.33M
QNTQuantinuum Inc. Class A Common Stock
+11.54%
+8.61
$83.21
3.958M
$326.39M
WYFIWhiteFiber, Inc. Ordinary Shares
+11.45%
+3.65
$35.53
1.959M
$68.49M
CHRNChronoScale Corporation Common Stock
+11.43%
+1.87
$18.19
401.656K
$7.39M
LZMHLZ Technology Holdings Limited Class B Ordinary Shares
+11.38%
+0.14
$1.37
86.108K
$115.58K
CVMCel-Sci Corporation
+11.30%
+0.13
$1.28
947.689K
$1.25M
MYPSPLAYSTUDIOS, Inc. Class A Common Stock
+11.25%
+0.0676
$0.6686
716.739K
$475.10K
DAICCID HoldCo, Inc. Common Stock
+11.11%
+0.21
$2.10
442.15K
$903.16K
BRIABrilliA Inc
+11.10%
+0.16
$1.60
1.676K
$2.56K
BFRIBiofrontera Inc. Common Stock
+11.06%
+0.12
$1.16
984.472K
$1.11M
HAOHaoxi Health Technology Limited Class A Ordinary Shares
+10.99%
+0.11
$1.11
346.675K
$382.20K
RXTRackspace Technology, Inc. Common Stock
+10.97%
+0.64
$6.43
11.893M
$76.24M
RAYRaytech Holding Limited Ordinary Shares
+10.96%
+0.32
$3.24
12.044K
$35.83K
TLPHTalphera, Inc. Common Stock
+10.85%
+0.12
$1.18
853.872K
$971.45K
JZXNJiuzi Holdings, Inc. Ordinary Shares
+10.81%
+0.12
$1.23
159.732K
$186.96K
CNCKCoincheck Group N.V. Ordinary Shares
+10.71%
+0.24
$2.48
73.534K
$172.16K
SWVLSwvl Holdings Corp Class A Common Shares
+10.64%
+0.15
$1.56
52.887K
$78.61K
BIOXBioceres Crop Solutions Corp. Ordinary Shares
+10.58%
+0.0340
$0.3555
160.191K
$56.10K
SMXSMX (Security Matters) Public Limited Company Class A Ordinary Shares
+10.56%
+1.59
$16.64
77.594K
$1.31M
MSLESatellos Bioscience Inc. Common Stock
+10.52%
+0.77
$8.09
46.389K
$370.65K
AEYEAudioEye, Inc. Common Stock
+10.51%
+0.69
$7.21
282.194K
$2.01M
PMIPicard Medical, Inc.
+10.32%
+0.0162
$0.1732
1.547M
$259.99K
AIRTAir T Inc
+10.31%
+2.99
$31.99
5.88K
$186.01K
SHAZSharonAI Holdings, Inc. Class A Common Stock
+10.28%
+7.45
$79.95
2.838M
$225.69M