Companies IPOs in 2004

As of 2004, 139 companies have debuted on NASDAQ and NYSE exchanges, with a combined market cap of $3.63 trillion. Notable newcomers include Alphabet Inc (GOOGL), Salesforce Inc (CRM), alongside Vanguard Small Cap Etf (VB). Among these IPOs, Monolithic Power System Inc (MPWR) is the top performer today, up +6.90% in the last 24 hours.

Symbol Name Price Market Cap ▾ Volume % (1D) % (1M) % (6M)
Alphabet Inc
186.34
2.34T
14.22M
-2.80%
-4.74%
+17.17%
CRM
Salesforce Inc
332.88
316.59B
1.97M
+0.72%
+2.55%
+38.81%
VB
Vanguard Small Cap Etf
249.53
160.59B
152.98K
-0.18%
+3.27%
+16.07%
VUG
Vanguard Growth Etf
421.39
59.95B
310.00K
-0.34%
+2.10%
+23.25%
VTV
Vanguard Value Etf
177.21
57.88B
771.47K
-0.01%
+4.31%
+10.60%
DLR
Digital Realty Trust Inc
167.97
55.76B
205.12K
+0.04%
-6.51%
+14.30%
GLD
Spdr Gold Shares Etf
266.17
49.49B
2.80M
+1.08%
+8.88%
+20.73%
Cbre Group Inc
144.12
44.24B
144.78K
-0.28%
+12.08%
+35.61%
Alnylam Pharmaceuticals Inc
273.79
35.89B
70,450
-1.56%
+16.09%
+5.28%
EXR
Extra Space Storage Inc
155.50
33.08B
74,453
-0.37%
+4.75%
-3.81%
Monolithic Power System Inc
704.48
32.24B
1.16M
+6.90%
+13.06%
-6.68%
LVS
Las Vegas Sands Corp
43.97
31.53B
1.79M
+3.90%
-11.17%
+14.27%
VO
Vanguard Mid Cap Etf
277.97
31.43B
255.45K
+0.42%
+4.76%
+16.38%
VNQ
Vanguard Real Estate Index Fund Etf
91.62
30.34B
677.86K
-0.30%
+4.79%
+2.08%
WPM
Wheaton Precious Metals Corp
67.59
30.34B
228.91K
+1.09%
+18.92%
+26.59%
Ishares Core S P Total U S Stock Market Etf
133.10
28.45B
196.09K
-0.19%
+3.01%
+17.36%
VV
Vanguard Large Cap Etf
279.02
19.93B
58,402
-0.28%
+2.95%
+17.39%
VBR
Vanguard Small Cap Value Etf
204.36
15.33B
58,727
-0.34%
+3.06%
+11.72%
Ares Capital Corp
22.73
15.26B
732.91K
+0.11%
+3.10%
+12.09%
WLK
Westlake Corporation
111.98
14.54B
31,031
-0.93%
+0.21%
-22.00%
DPZ
Dominos Pizza Inc
468.38
13.89B
89,474
-0.86%
+13.54%
+9.11%
VHT
Vanguard Health Care Etf
271.25
13.24B
48,455
+0.02%
+5.14%
+1.54%
Texas Roadhouse Inc
176.79
11.90B
167.58K
-0.92%
-2.46%
+7.33%
AIZ
Assurant Inc
214.62
11.17B
30,377
-0.08%
+3.69%
+26.11%
VBK
Vanguard Small Cap Growth Etf
292.91
10.15B
56,619
-0.27%
+3.08%
+21.73%
Cubesmart
41.97
9.55B
93,400
-1.05%
+0.90%
-11.40%
Marketaxess Holdings Inc
201.00
7.59B
122.34K
-0.11%
-8.27%
-12.31%
Beacon Roofing Supply Inc
120.77
7.46B
195.00K
+0.29%
+18.39%
+48.72%
Halozyme Therapeutics Inc
57.75
7.37B
105.73K
-0.29%
+12.86%
+6.75%
Corcept Therapeutics Inc
68.91
7.13B
113.65K
+1.43%
+34.65%
+102.67%
Cytokinetics Inc
44.56
5.45B
690.79K
-3.48%
-8.13%
-12.99%
KRG
Kite Realty Group Trust
23.31
5.09B
147.05K
+0.56%
-2.22%
-2.51%
AGO
Assured Guaranty Ltd
93.96
4.95B
14,561
-0.38%
+4.55%
+22.83%
VIS
Vanguard Industrials Etf
266.38
4.54B
9,111
+0.27%
+4.09%
+14.21%
CNS
Cohen Steers Inc
89.03
4.51B
16,697
-0.22%
-0.37%
+9.20%
VDE
Vanguard Energy Etf
125.12
4.50B
41,909
+0.52%
+0.51%
+2.74%
Liberty Global Ltd
11.34
4.06B
258.97K
-0.09%
-10.71%
-39.55%
Blackbaud Inc
78.78
3.99B
8,448
+0.04%
+4.74%
+3.00%
VPU
Vanguard Utilities Etf
169.85
3.98B
39,146
+0.33%
+3.53%
+6.97%
ORA
Ormat Technologies Inc
64.38
3.88B
29,083
+0.17%
-8.01%
-11.27%
ENS
Enersys
98.66
3.80B
103.86K
+2.53%
+5.50%
+4.09%
FXI
Ishares China Large Cap Etf
33.20
3.66B
21.76M
+2.80%
+12.04%
+33.33%
LPL
Lg Display Co Ltd Adr
3.22
3.38B
101.20K
-4.44%
-0.62%
-15.22%
NWE
NorthWestern Corporation
53.46
3.28B
38,053
-0.19%
+2.89%
+3.29%
GNW
Genworth Financial Inc
7.405
3.24B
369.89K
+0.07%
+7.47%
+17.73%
Acadia Pharmaceuticals Inc
19.04
3.18B
195.70K
-0.52%
+9.43%
+25.45%
Bancorp Inc
62.15
2.98B
49,424
-0.62%
+18.28%
+33.61%
CSQ
Calamos Strategic Total Return Fund
18.35
2.95B
46,995
-0.19%
+3.76%
+16.23%
UTG
Reaves Utility Income Fund
33.83
2.94B
65,982
+1.26%
+4.09%
+20.44%
AG
First Majestic Silver Corporation
5.95
2.79B
3.92M
+1.98%
+0.08%
+23.13%
ABR
Arbor Realty Trust Inc
13.81
2.62B
370.24K
+0.02%
+1.70%
+4.54%
NGD
New Gold Inc
3.095
2.36B
6.29M
+3.68%
+18.77%
+51.22%
UTF
Cohen Steers Infrastructure Fund Inc
24.47
2.35B
54,809
+0.37%
+1.96%
-0.12%
KYN
Kayne Anderson Energy Infrastructure Fund Inc
13.38
2.26B
38,273
+0.65%
+4.01%
+31.25%
SHO
Sunstone Hotel Investors Inc
11.30
2.25B
173.87K
+0.80%
-6.38%
+19.45%
Huron Consulting Group Inc
126.42
2.25B
4,457
-0.35%
+2.87%
+23.43%
HTH
Hilltop Holdings Inc
32.21
2.13B
46,853
-1.71%
+15.91%
+6.27%
Ishares Morningstar Small Cap Etf
61.00
1.96B
378
-0.24%
+2.80%
+14.12%
Prospect Capital Corp
4.2068
1.85B
427.42K
-0.47%
-2.32%
-14.08%
VOX
Vanguard Communication Services Etf
166.80
1.75B
29,278
+0.14%
+5.50%
+26.64%
EVO
Evotec Se Adr
4.57
1.67B
6,290
-2.66%
-0.33%
+49.51%
Ultra Clean Hldgs Inc
37.91
1.64B
43,716
-2.45%
-3.35%
+9.27%
Dynavax Technologies Corp
13.12
1.63B
227.45K
+0.15%
+2.34%
+22.14%
Mannkind Corp
5.69
1.56B
230.17K
+0.62%
-9.19%
+13.47%
Nuveen S P 500 Buy Write Income Fund
14.15
1.48B
35,098
-0.07%
+2.38%
+11.49%
ETG
Eaton Vance Tax Advantaged Global Dividend Income Fund
19.05
1.46B
42,414
+0.09%
+3.85%
+8.70%
SFL
Sfl Corporation Ltd
10.90
1.45B
98,339
+0.55%
+3.61%
-2.33%
Midcap Financial Investment Corporation
14.07
1.32B
29,782
+0.12%
+6.00%
+8.11%
JFR
Nuveen Floating Rate Income Fund
8.55
1.15B
237.45K
+0.00%
-5.11%
+0.35%
Innoviva Inc
18.36
1.14B
35,849
+0.52%
+6.22%
+1.19%
BXC
Bluelinx Hldgs Inc
104.10
888.94M
2,705
-1.04%
+6.63%
+10.86%
PEY
Invesco High Yield Equity Dividend Achievers Etf
21.71
884.66M
24,961
-0.21%
+3.06%
+5.72%
CII
Blackrock Enhanced Large Cap Core Fund Inc
20.78
880.05M
33,171
-0.81%
+2.31%
+12.62%
EOI
Eaton Vance Enhanced Equity Income Fund
20.75
839.23M
20,364
-0.19%
-0.62%
+14.14%
HTD
John Hancock Tax Advantaged Dividend Income
23.12
821.31M
11,828
-0.24%
+4.54%
+9.60%
IGR
Cbre Global Real Estate Income Fund
5.245
730.90M
280.79K
+0.56%
+8.01%
-5.93%
PFN
Pimco Income Strategy Fund Ii
7.6299
668.36M
97,235
+0.20%
+1.40%
+5.90%
New York Mortgage Trust Inc
6.09
558.88M
77,964
-1.38%
+0.08%
-2.48%
HLF
Herbalife Ltd
5.395
540.85M
206.02K
+0.74%
-18.89%
-40.81%
WIW
Western Asset Inflation Linked Opportunities Income Fund
8.695
534.75M
16,148
-0.51%
+5.39%
+2.54%
BBW
Build A Bear Workshop Inc
38.69
526.44M
24,340
-0.71%
-15.97%
+58.93%
TYG
Tortoise Energy Infrastructure Corp
45.44
489.16M
25,844
+0.00%
+4.15%
+29.94%
Angiodynamic Inc
11.11
449.17M
39,980
+0.09%
+18.19%
+53.88%
ETO
Eaton Vance Tax Advantaged Global Dividend Opportunities Fund
26.00
425.60M
6,220
+0.02%
+2.10%
+6.98%
FFA
First Trust Enhanced Equity Income Fund
20.75
416.15M
7,885
+0.28%
+2.40%
+11.47%
Farmers Merchants Bancorp Inc
27.02
373.31M
1,060
-0.26%
+1.38%
+14.35%
EFT
Eaton Vance Floating Rate Income Trust
13.46
352.49M
8,486
+0.75%
+2.98%
+3.37%
BGR
Blackrock Energy Resources Trust
13.44
349.86M
34,544
+0.26%
+2.48%
+5.29%
Baycom Corp
28.45
323.52M
2,449
-2.18%
+10.08%
+35.82%
Cardiff Oncology Inc
4.39
307.34M
502.52K
-4.76%
+7.06%
+105.61%
SCD
Lmp Capital And Income Fund Inc
17.21
298.20M
34,921
+0.46%
+1.41%
+13.43%
First Internet Bancorp
33.34
295.06M
1,405
-1.91%
-1.13%
+4.28%
BGT
Blackrock Floating Rate Income Trust
12.69
289.59M
28,051
-0.55%
-1.02%
-0.32%
FCT
First Trust Senior Floting Rate Income Fund Ii
10.43
269.97M
29,534
+0.00%
+0.97%
+2.87%
Bankwell Financial Group Inc
32.12
256.70M
7,463
-1.38%
+12.23%
+23.69%
LGI
Lazard Global Total Return And Income Fund Inc
16.80
219.40M
41,441
-0.18%
+5.19%
+4.79%
New Pacific Metals Corp
1.235
212.66M
69,317
-0.06%
+1.57%
-0.86%
EMX
EMX Royalty Corporation
1.861
204.01M
185.74K
+1.62%
+9.35%
+14.02%
Stereotaxis Inc
2.42
178.78M
31,990
-1.02%
+1.05%
+35.67%
Citizens Community Bancorp Inc Md
15.57
158.71M
2,749
-2.08%
-2.32%
+27.19%
The 9 Limited Adr
15.94
144.47M
33,432
+3.56%
+3.22%
+167.00%
PGJ
Invesco Golden Dragon China Etf
28.62
137.54M
25,566
+2.04%
+11.47%
+34.83%
MCN
Xai Madison Equity Premium Income Fund
6.4552
136.01M
13,439
+0.08%
-3.22%
-8.70%
PLG
Platinum Group Metals Ltd.
1.265
130.47M
76,387
-0.79%
-10.64%
+7.69%
First Guaranty Bancshares Inc
10.43
130.05M
5,218
+0.14%
-2.57%
-0.33%
PHD
Pioneer Floating Rate Fund Inc
9.67
119.67M
1,901
+0.00%
-0.41%
+0.83%
ERH
Allspring Utilities And High Income Fund
11.15
100.28M
9,006
+0.40%
+4.09%
+9.29%
GLU
Gabelli Global Utility Income Trust
15.57
93.41M
4,347
-0.52%
+1.79%
+4.83%
Oramed Pharmaceuticals Inc
2.2386
89.09M
22,637
+1.13%
-7.64%
+1.13%
Marchex Inc
1.9797
84.30M
12,174
+2.58%
-4.36%
+7.59%
Comstock Holding Co Inc
8.3735
83.07M
3,888
-3.33%
-2.05%
+27.87%
Commercial Vehicle Group Inc
1.995
71.07M
52,414
-2.91%
-9.91%
-42.69%
GLV
Clough Global Dividend And Income Fund
5.505
68.13M
531
+0.91%
+1.84%
-0.63%
Broadwind Inc
1.75
39.36M
25,966
-1.69%
-14.22%
-33.46%
Supercom Ltd
9.33
32.57M
94,484
-1.17%
+3.00%
+128.30%
Top Ships Inc
6.1895
27.80M
2,145
+1.86%
-15.02%
-28.61%
Cohen & Company Inc
9.6378
18.80M
6,801
+1.15%
-5.93%
+20.88%
NanoViricides Inc
1.21
17.65M
31,769
-0.92%
-20.35%
-38.45%
Sotherly Hotels Inc
0.8101
15.74M
18,169
+2.13%
-12.37%
-33.11%
Origin Agritech Ltd
2.3505
14.73M
6,646
-2.69%
+11.97%
-21.27%
Abvc Biopharma Inc
0.45
10.85M
26,810
-1.75%
-22.41%
-33.21%
Cutera Inc
0.4649
9.47M
28,814
-0.04%
-17.50%
-54.47%
Neurometrix Inc
4.3723
8.95M
1,514
+0.01%
+8.16%
+47.48%
Star Equity Holdings Inc
2.10
6.89M
920
+0.00%
-7.76%
-49.17%
Cyclacel Pharmaceuticals Inc
0.32
3.71M
79,764
-3.58%
-22.67%
-78.61%
Ishares Morningstar Small Cap Growth Etf
51.68
N/A
5,227
-0.02%
+3.26%
+16.56%
Ishares Morningstar Small Cap Value Etf
65.20
N/A
1,369
-0.15%
+3.00%
+11.97%
Ishares Morningstar Mid Cap Etf
79.71
N/A
51,542
+0.44%
+3.97%
+15.40%
Ishares Morningstar U S Equity Etf
83.92
N/A
6,647
-0.15%
+3.02%
+17.57%
Ishares Morningstar Value Etf
83.95
N/A
6,860
-0.22%
+3.39%
+10.90%
Ishares Morningstar Mid Cap Value Etf
76.10
N/A
5,360
+0.25%
+2.13%
+7.99%
Ishares Morningstar Mid Cap Growth Etf
80.35
N/A
21,849
+0.41%
+5.47%
+22.73%
Ishares Morningstar Growth Etf
92.69
N/A
10,172
-0.21%
+2.52%
+24.80%
First Trust Dividend Strength Etf
51.92
N/A
1,156
-1.06%
+2.49%
+7.24%
VDC
Vanguard Consumer Staples Etf
218.20
N/A
21,046
-0.06%
+4.80%
+5.20%
VAW
Vanguard Materials Etf
198.16
N/A
6,587
-0.54%
+6.01%
+3.84%
VFH
Vanguard Financials Etf
127.30
N/A
195.88K
+0.11%
+7.69%
+26.60%
VCR
Vanguard Consumer Discretionary Etf
382.82
N/A
12,161
-1.08%
+2.36%
+31.11%
VGT
Vanguard Information Technology Etf
626.41
N/A
111.60K
-0.14%
-0.21%
+21.72%