Low Float Stocks

LowFloat.com provides a convenient sorted database of stocks which have a float of under 10 million shares. Additional key data such as the number of outstanding shares, short interest, and company industry is displayed. Data is presented for the Nasdaq Stock Market, the New York Stock Exchange, the American Stock Exchange, and the Over the Counter Bulletin Board. You can view the data for all exchanges together or only view exchanges of interest by clicking on the appropriate tab.

Low float stocks are often very volatile and are well known for making explosive upside moves. Stock traders will often flock to such stocks for no reason other than the fact that they have a low float and the price can potentially move up very quickly.

Disclaimer: We have made our best effort to provide accurate data, but always do your own research and double check the information presented here before making an investment.

Todays Hot Penny Stocks

AllAll (with OTCBB)NasdaqNYSEAMEXOTCBBHigh Short Interest Stocks
SUWG Sunway Global Inc. OTCBB 50K 1.85M N/A Medical Equipment & Supplies
BPOL Blackpoll Fleet International OTCBB 73K 373K N/A Misc. Transportation
EACO EACO Corp OTCBB 101K 4.86M N/A Electronic Instruments & Controls
SPNI Sputnik Enterprises, Inc OTCBB 115K 295K N/A Misc. Financial Services
IBAL International Baler Corporatio OTCBB 135K 5.18M N/A Misc. Capital Goods
JANL Janel Corp OTCBB 151K 560K N/A Misc. Transportation
FRFC First Robinson Financial Corp. OTCBB 197K 427K N/A Regional Banks
MERR Merriman Holdings Inc OTCBB 241K 4.52M N/A Investment Services
SEB Seaboard Corp AMEX 263K 1.17M 2.51% Fish/Livestock
PFHO Pacific Health Care Org OTCBB 266K 797K N/A Healthcare Facilities
LCTC Lifeloc Technologies Inc OTCBB 295K 2.45M N/A Scientific & Technical Instruments
DIT Amcon Distributing Co AMEX 303K 616K 0.08% Retail (Grocery)
HMG HMG Courtland Properties AMEX 334K 1.04M 0.46% Real Estate Operations
IMKI Immediatek Inc OTCBB 337K 15.87M N/A Computer Services
SOFT Softech Inc OTCBB 345K 894K N/A Computer Networks
PYHH Phyhealth Corp. OTCBB 346K 7.58M N/A Insurance (Accident & Health)
HMNY Helios & Matheson North America Nasdaq 357K 2.33M 0.58% Computer Services
HKNI HKN, Inc. OTCBB 391K 391K N/A Chemical Manufacturing
MAYS JW Mays Inc Nasdaq 403K 2.02M 0.27% Real Estate Operations
PNRG PrimeEnergy Corp Nasdaq 407K 2.31M 0.25% Oil & Gas Operations
PNBK Patriot National Bancorp Inc Nasdaq 414K 3.95M 1.17% Regional Banks
MUSS Multi Solutions II Inc OTCBB 423K 1.90M N/A Misc. Financial Services
OLCB Ohio Legacy Corp OTCBB 468K 1.97M N/A Regional Banks
CUO Continental Materials Corp AMEX 495K 1.66M 0.43% Misc. Capital Goods
ATVK ATVROCKN OTCBB 500K 66.50M N/A Appliances & Tools
FMCB Farmers & Merchants Bancorp OTCBB 509K 778K N/A Regional Banks
VBFC Village Bank and Trust Financial Corp Nasdaq 534K 1.41M 0.19% Regional Banks
AMFC AMB Financial Corp OTCBB 534K 982K N/A S&Ls/Savings Banks
VIDE Video Display Corp Nasdaq 541K 5.89M N/A Electronic Instruments & Controls
SENEB Seneca Foods Corp Nasdaq 577K 1.97M 0.03% Food Processing
AMIC American Independence Corp Nasdaq 580K 8.08M 0.30% Insurance (Miscellaneous)
DEWY Dewey Electronics Corp OTCBB 583K 1.36M N/A Scientific & Technical Instruments
BDL Flanigan's Enterprises Inc AMEX 587K 1.86M 0.49% Restaurants
MPAD Micropac Industries Inc OTCBB 605K 2.58M N/A Semiconductors
CCBC Chino Commercial Bancorp OTCBB 620K 1.03M N/A Regional Banks
UNDT Universal Detection Technology OTCBB 668K 1.50M N/A Scientific & Technical Instruments
RBCL RBC Life Sciences Inc OTCBB 668K 2.21M N/A Personal & Household Products
BDMS Birner Dental Management Services Inc Nasdaq 706K 1.86M 0.35% Healthcare Facilities
QKLS QKL Stores Inc Nasdaq 727K 1.52M 0.09% Retail (Grocery)
DXR Daxor Corp AMEX 729K 3.91M 3.78% Healthcare Facilities
SCND Scientific Industries Inc OTCBB 738K 1.48M N/A Scientific & Technical Instruments
CAPN Capnia Inc Nasdaq 740K 7.98M N/A Biotechnology & Drugs
ALMG Alamogordo Financial Corp OTCBB 741K 1.68M N/A Regional Banks
ISRL Isramco Inc Nasdaq 745K 2.72M 3.30% Oil & Gas Operations
SBTB SBT Bancorp Inc OTCBB 772K 907K N/A Regional Banks
CVR Chicago Rivet & Machine Co AMEX 785K 966K 0.18% Misc. Fabricated Products
IOT Income Opportunity Realty Trust AMEX 787K 4.17M 0.38% Construction Services
INTG Intergroup Corp Nasdaq 813K 2.38M 1.06% Real Estate Operations
PFED Park Bancorp Inc OTCBB 817K 1.19M N/A S&Ls/Savings Banks
GBR New Concept Energy Inc AMEX 823K 1.95M 0.35% Healthcare Facilities
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Database last updated on September 27, 2015