H1 2026 listings by primary exchange: count, dollars, and the unit-offering share
Answered against 22 years of US equities and 12 years of US options data and published with the query that produced it. This result is stored as of 2026-07-26, from IPO Market 2026: The First Half in Numbers.
| exchange | listings | raised_bn_usd | unit_offerings |
|---|---|---|---|
| Nasdaq | 130 | 116.7 | 77 |
| NYSE | 44 | 16.4 | 22 |
| NYSE American | 9 | 0.5 | 2 |
| OTC markets | 1 | 0 | 0 |
- Rows × columns
- 4 × 4
- Computed
- Completeness
- No missing values
- Source
- US exchange, SIP and OPRA market data
- Licence
- Strasmore terms · free, no signup
What each column holds
| Column | Type | Range | Notes |
|---|---|---|---|
exchange |
text | 4 distinct values (NYSE, NYSE American, Nasdaq…) | |
listings |
number | 1 to 130 | |
raised_bn_usd |
number | 0 to 116.7 | US dollars |
unit_offerings |
number | 0 to 77 |
Computed from Strasmore's warehouse of US exchange, SIP and OPRA market data. Equity prices are delayed; options greeks and implied volatility are end-of-day. This result is stored, not recomputed on load — it is exactly the numbers that were returned on , and the query below is what returned them.
Run it yourself
This is the exact query behind the result above. Change a ticker, a date or a column and run it against the warehouse — no account, no key. The no-signup tier is smaller than the one this page was computed on; a query that reaches past it comes back saying which plan runs it.
SELECT multiIf(primary_exchange = 'XNAS', 'Nasdaq',
primary_exchange = 'XNYS', 'NYSE',
primary_exchange = 'XASE', 'NYSE American',
'OTC markets') AS exchange,
count() AS listings,
round(sum(total_offer_size) / 1e9, 1) AS raised_bn_usd,
countIf(security_type IN ('SP', 'UNIT')) AS unit_offerings
FROM global_markets.stocks_ipos
WHERE ipo_status = 'history'
AND currency_code = 'USD'
AND listing_date >= '2026-01-01'
AND listing_date <= '2026-06-30'
GROUP BY exchange
ORDER BY listings DESC
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