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.





AllAll (with OTCBB)NasdaqNYSEAMEXOTCBBHigh Short Interest StocksPenny Stocks
TickerCompanyExchangeFloatOutstdShortIntIndustry
KIDZ KIDZ AI Inc. Nasdaq 860K 860K 3.80% Diversified Consumer Services
YHGJ Yunhong Green CTI Ltd. Nasdaq 860K 2.60M 0.60% Household Durables
AIOS AIOS Tech Inc. Nasdaq 860K 3.24M 1.33% Software
IPW iPower Inc. Nasdaq 870K 960K 5.01% Trading Companies & Distributors
SMX Security Matters PLC Nasdaq 890K 1.09M 4.53% Software
DAIC CID HoldCo, Inc. Nasdaq 890K 1.46M 17.57% Software
RYM RYTHM , Inc. Nasdaq 900K 2.15M 1.41% Fishing & Farming
CUPR Cuprina Holdings Limited Nasdaq 920K 920K 0.12% Health Care Equipment & Supplies
FEED ENvue Medical, Inc. Nasdaq 920K 920K 0.80% Health Care Equipment & Supplies
DBGI Digital Brands Group, Inc. Nasdaq 920K 970K 7.45% Specialty Retail
CIIT Tianci International, Inc. Nasdaq 930K 970K 1.94% Marine Transportation
NDRA ENDRA Life Sciences Inc. Nasdaq 930K 1.50M 2.21% Health Care Equipment & Supplies
MDRR Medalist Diversified REIT Inc Nasdaq 940K 1.63M 0.59% REITs - Commercial
BBGI Beasley Broadcast Group Inc Nasdaq 960K 1.02M 10.31% Broadcasting
HTCR Heartcore Enterprises Inc Nasdaq 960K 1.52M 1.70% Biotechnology & Medical Research
EOCN EoCene Ltd. Nasdaq 970K 1.07M 0.46% Biotechnology & Medical Research
ATPC Agape ATP Corporation Nasdaq 980K 1.00M 2.10% Health Care Providers & Services
QNCX Quince Therapeutics, Inc. Nasdaq 980K 1.02M 5.62% Biotechnology
BYAH Park Ha Biological Technology Co., Ltd. Nasdaq 990K 990K 2.70% Specialty Retail
PAVS Paranovus Entertainment Technology Ltd. Nasdaq 990K 990K 4.90% Personal Care Products
CLRO ClearOne, Inc. Nasdaq 990K 2.68M 2.83% Communications Equipment
NSYS Nortech Systems Inc Nasdaq 1.05M 2.85M 0.30% Electronic Instruments & Controls
VSA VisionSys AI Inc. Nasdaq 1.06M 2.79M 0.34% Diversified Consumer Services
SNTG Sentage Holdings Inc Nasdaq 1.06M 2.81M 1.08% Corporate Financial Services
SHPH Shuttle Pharmaceuticals, Inc Nasdaq 1.08M 1.59M 6.81% Pharmaceuticals
PPBT Purple Biotech Ltd Nasdaq 1.08M 1.63M 1.73% Pharmaceuticals
CRE Cre8 Enterprise Limited Nasdaq 1.10M 1.64M 0.11% Commercial Services & Supplies
JUNS Jupiter Neurosciences, Inc. Nasdaq 1.11M 1.32M 5.00% Pharmaceuticals
INTJ Intelligent Group Limited Nasdaq 1.11M 1.46M 1.04% Media
DCOY Decoy Therapeutics Inc Nasdaq 1.11M 1.66M 2.02% Biotechnology & Medical Research
STFS Star Fashion Culture Holdings Ltd Nasdaq 1.12M 1.16M 4.51% Media
ILAG Intelligent Living Application Group Inc Nasdaq 1.14M 2.08M 0.17% Building Products
NIKI Niki BioSolutions, Inc. Nasdaq 1.15M 630K 0.47% Biotechnology
BIAF bioAffinity Technologies, Inc. Nasdaq 1.15M 1.60M 1.50% Biotechnology
VCIG VCI Global Limited Nasdaq 1.15M 1.62M 0.86% Professional Services
FCUV Focus Universal Inc. Nasdaq 1.15M 1.70M 2.52% Electronic Equipment, Instruments & Components
NCEW New Century Logistics Ltd Nasdaq 1.16M 3.20M 1.22% Air Freight & Logistics
MTEX Mannatech,Inc. Nasdaq 1.19M 1.93M 2.10% Biotechnology & Drugs
ERNA Ernexa Therapeutics Inc. Nasdaq 1.20M 1.17M 2.69% Biotechnology
SQFT Presidio Property Trust, Inc. Nasdaq 1.21M 1.43M 5.89% Diversified REITs
SPHL Springview Holdings Ltd Nasdaq 1.21M 2.26M 2.79% Household Durables
RAND Rand Capital Corp Nasdaq 1.21M 2.97M 0.03% Misc. Financial Services
ASBP Aspire Biopharma Holdings, Inc. Nasdaq 1.22M 1.40M 3.11% Pharmaceuticals
SSM Sono Group N.V. Nasdaq 1.23M 1.42M 2.73% Automobile Components
NIVF NewGenIvf Group Ltd Nasdaq 1.23M 2.37M 1.44% Healthcare Facilities & Services
VRM Vroom Inc Nasdaq 1.24M 5.21M 2.09% Online Services
NXTT Next Technology Holding Inc. Nasdaq 1.25M 1.27M 5.19% Software
APLM Apollomics, Inc. Nasdaq 1.25M 2.91M 0.41% Biotechnology
MGIH Millennium Group International Nasdaq 1.25M 11.25M 3.88% Paper Packaging
IPST IP Strategy Holdings, Inc. Nasdaq 1.26M 1.72M 7.22% Beverages

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Database last updated on September 14, 2026