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LCTU
iShares U.S. Carbon Transition Readiness Aware Active ETF
stock NYSE ETF

At Close
Jul 13, 2026 3:56:36 PM EDT
80.63USD-0.710%(-0.58)3,583,958
0.00Bid   0.00Ask   0.00Spread
Pre-market
0.00USD-100.000%(-81.21)0
After-hours
Jul 13, 2026 4:10:30 PM EDT
80.59USD-0.050%(-0.04)1
OverviewOption ChainMax PainOptionsHistoricalExchange VolumeDark Pool LevelsDark Pool PrintsExchangesShort VolumeShort Interest - DailyShort InterestBorrow Fee (CTB)Failure to Deliver (FTD)ShortsTrends
LCTU Reddit Mentions
Subreddits
Limit Labels     

We have sentiment values and mention counts going back to 2017. The complete data set is available via the API.
Take me to the API
LCTU Specific Mentions
As of Jul 14, 2026 8:32:54 AM EDT (1 min. ago)
Includes all comments and posts. Mentions per user per ticker capped at one per hour.
251 days ago • u/Forsaken_Tomorrow454 • r/RobinHood • is_a_20_yearly_increase_considered_good • Shitpost • B
I own: VTV, QUAL, SPYG, TSM, DIA, NULC, VONG, XLF, SPSM, MA, BOTZ, NULV, IVVB, SPHQ, VOOG, LCTU, NULG, VIG, ROBT, SLYV, LRGE, WMT, ABBV, RSP, IBIT, XSD, V, MAXJ, EME, QQQM, SOXX, SPY, SPYV, VOO, SCHG, VYM, UBER, RDDT, VGT, NVDA, VBK, AMZN, QQQ, SMH, IVV, FTEC, VUG, VB, SCHX, JUST, XLK, IWF, YLDE, SCHD, SPYM, VTI, ATO, IVVM, VT, CLOA, VBR, SPMO, ITT, VOOV, IWB, & IWD
Why: I bought these stocks and ETFs to build a well balanced portfolio that combines growth, value, dividends, and innovation. The mix includes broad market funds for stability, tech and automation exposure for long-term growth, and high quality dividend payers for consistent returns. Together, they give me a blend of reliable performance and potential upside across different sectors and market conditions.
sentiment 0.88
251 days ago • u/Forsaken_Tomorrow454 • r/RobinHood • is_a_20_yearly_increase_considered_good • Shitpost • B
I own: VTV, QUAL, SPYG, TSM, DIA, NULC, VONG, XLF, SPSM, MA, BOTZ, NULV, IVVB, SPHQ, VOOG, LCTU, NULG, VIG, ROBT, SLYV, LRGE, WMT, ABBV, RSP, IBIT, XSD, V, MAXJ, EME, QQQM, SOXX, SPY, SPYV, VOO, SCHG, VYM, UBER, RDDT, VGT, NVDA, VBK, AMZN, QQQ, SMH, IVV, FTEC, VUG, VB, SCHX, JUST, XLK, IWF, YLDE, SCHD, SPYM, VTI, ATO, IVVM, VT, CLOA, VBR, SPMO, ITT, VOOV, IWB, & IWD
Why: I bought these stocks and ETFs to build a well balanced portfolio that combines growth, value, dividends, and innovation. The mix includes broad market funds for stability, tech and automation exposure for long-term growth, and high quality dividend payers for consistent returns. Together, they give me a blend of reliable performance and potential upside across different sectors and market conditions.
sentiment 0.88


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