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
TickerCompanyExchangeFloatOutstdShortIntIndustry
SGTI Shengtai Pharmaceutical Inc. OTCBB 4.57M 9.59M N/A Biotechnology & Drugs
AVGG Advanced Technologies Group Lt OTCBB 4.57M 14.42M N/A Software & Programming
DFFN Diffusion Pharmaceuticals Inc. Nasdaq 4.59M 4.70M 1.51% Pharmaceuticals
TCFC Community Financial Corp Nasdaq 4.59M 5.58M 0.55% Regional Banks
AMRK A-Mark Precious Metals Inc Nasdaq 4.59M 7.03M 0.35% Metal Mining
FORK Fuling Global Inc Nasdaq 4.60M 15.80M 0.18% Personal & Household Products
IBAL International Baler Corporatio OTCBB 4.61M 5.18M N/A Misc. Capital Goods
ENTX Entera Bio Ltd Nasdaq 4.61M 11.46M 0.13% Biotechnology & Medical Research
LLIT Lianluo Smart Nasdaq 4.61M 17.81M 0.12% Medical Equipment & Supplies
NEGY Nation Energy Inc OTCBB 4.62M 1.05B N/A Misc. Financial Services
RBKB Rhinebeck Bancorp Inc Nasdaq 4.63M 11.13M 0.20% Banks
COKE Coca-Cola Bottling Co Consolidated Nasdaq 4.66M 7.14M 5.58% Beverages (Non-Alcoholic)
AGHC AEON Global Health Corp OTCBB 4.66M 9.91M N/A Software & Programming
WINR Simplicity Esports and Gaming OTCBB 4.67M 6.95M N/A Casinos & Gaming
PETZ TDH Holdings Nasdaq 4.67M 12.52M 11.46% Misc. Capital Goods
EVBN Evans Bancorp Inc Nasdaq 4.69M 4.92M 0.45% Regional Banks
ORGO Organogenesis Holdings Inc Nasdaq 4.70M 91.34M 13.42% Pharmaceuticals
CTO Consolidated-Tomoka Land Co AMEX 4.72M 4.93M 4.44% Construction Services
CBLI Cleveland BioLabs, Inc. Nasdaq 4.73M 11.30M 0.51% Biotechnology & Drugs
SCKT Socket Mobile Inc Nasdaq 4.75M 6.00M 0.25% Computer Hardware
NVEC NVE Corp Nasdaq 4.76M 4.85M 1.35% Electronic Instruments & Controls
AVNW Aviat Networks Inc Nasdaq 4.76M 5.38M 0.07% Communications Equipment
WEYS Weyco Group Inc Nasdaq 4.76M 10.00M 1.68% Footwear
HYDI Hydromer Inc OTCBB 4.77M 4.77M N/A Chemical Manufacturing
RDVT Red Violet Inc Nasdaq 4.80M 10.29M 8.41% Software & Programming
OCC Optical Cable Corp Nasdaq 4.82M 7.46M 0.13% Misc. Fabricated Products
FGBI First Guaranty Bancshares, Inc OTCBB 4.83M 8.81M 0.52% Regional Banks
PSSS Puissant Industries Inc OTCBB 4.84M 15.24M N/A Oil & Gas Operations
ACER Acer Therapeutics Inc Nasdaq 4.85M 10.09M 15.04% Biotechnology & Drugs
DYNT Dynatronics Corp Nasdaq 4.86M 8.42M 0.13% Medical Equipment & Supplies
JVA Coffee Holding Co Inc AMEX 4.90M 5.57M 0.24% Food Processing
SSBI Summit State Bank Nasdaq 4.91M 5.93M 0.25% Regional Banks
SGA Saga Communications Inc AMEX 4.92M 5.03M 1.28% Broadcasting & Cable TV
NPK National Presto Industries Inc NYSE 4.92M 7.00M 21.06% Appliances & Tools
AMCF Andatee China Marine Fuel Services Nasdaq 4.93M 10.26M N/A Oil & Gas Operations
SSY SunLink Health Systems Inc AMEX 4.96M 6.99M 0.12% Healthcare Facilities
MYOS MYOS RENS Technology Inc Nasdaq 4.96M 9.17M 1.70% Biotechnology & Drugs
BNGO BioNano Genomics Inc Nasdaq 4.96M 10.85M 0.05% Advanced Medical Equipment & Technology
IHC Independence Holding Co NYSE 4.97M 14.94M 1.74% Insurance (Life)
FKYS First Keystone Corp OTCBB 4.98M 5.78M N/A Regional Banks
ALTX Altex Industries, Inc. OTCBB 5.03M 12.26M N/A Misc. Capital Goods
ODC Oil-Dri Corp of America NYSE 5.07M 5.35M 0.68% Personal & Household Products
PMD Psychemedics Corp AMEX 5.07M 5.52M 0.33% Biotechnology & Drugs
NYNY Empire Resorts Inc Nasdaq 5.08M 34.41M 4.03% Casinos & Gaming
KTYB Kentucky Bancshares Inc OTCBB 5.09M 5.98M N/A Regional Banks
NEON Neonode, Inc Nasdaq 5.09M 8.80M 5.94% Electronic Instruments & Controls
NAHD New Asia Holdings Inc OTCBB 5.10M 72.29M N/A Misc. Financial Services
CCUR Concurrent Computer Corp Nasdaq 5.12M 8.94M N/A Computer Services
CVV CVD Equipment Corp AMEX 5.15M 6.56M 0.15% Semiconductors
ICBK County Bancorp Inc Nasdaq 5.15M 6.71M 0.16% Regional Banks
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Database last updated on September 15, 2019