Filter options

Records  5501 - 5550 Of 11,347 Page 111 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
ISGN ISIGN SOLUTIONS INC Software - Application Technology USA 0.95M 0.15 0.00% 8
ITI Iteris, Inc. Communication Equipment Technology USA 180.49M 4.24 2.66% 68,227
SITS SOUTHERN ITS INTERNATIONAL INC Conglomerates Industrials USA 4M 0.05 -22.42% 852,703
ITOCY ITOCHU CORP SPON ADR EA REPR 2 Conglomerates Industrials Japan 56.54B 77.70 -2.36% 16,828
ITMPF ITM POWER Specialty Industrial Machinery Industrials United Kingdom 708.58M 1.15 -0.86% 3,801
TIAJF TELECOM ITALIA SPA Telecom Services Communication Services Italy 6.17B 0.27 0.00% 2,139
ITVPY ITV UNSP ADR EACH REPR 10 ORD Broadcasting Communication Services United Kingdom 3.72B 9.24 -1.48% 4,357
ITMSF INTERMAP TECHNOLOGIES CORP Software - Application Technology USA 18.66M 0.50 0.00% 6,500
ITMMF ITAMAR MEDICAL LTD Medical Devices Healthcare Israel 773.51M 0.75 0.00% 400
ITMC ITOCO INC Biotechnology Healthcare USA 25.69K 0.02 0.00% 1,100
ITMZF REACT GAMING GROUP INC Gambling Consumer Cyclical Canada 4.61M 0.00110 0.00% 21,908
TIAOF TELECOM ITALIA SPA Telecom Services Communication Services Italy 6.52B 0.32 0.00% 1,712
ITTOY ITOCHU TECHNO-SOLUTIONS CORP UN Information Technology Services Technology Japan 7.01B 14.75 18.88% 1,989
ITVPF ITV Broadcasting Communication Services United Kingdom 3.66B 0.91 0.00% 1,325
ITOCF ITOCHU CORP Conglomerates Industrials Japan 57.15B 39.00 -2.01% 213
IVAC Intevac, Inc. Specialty Industrial Machinery Industrials USA 90.74M 3.50 -1.13% 151,828
IVIXF INVION LTD Drug Manufacturers - Specialty & Generic Healthcare Australia 30.26M 0.00451 0.00% 100
IVRO INVITRO INTERNATIONAL Diagnostics & Research Healthcare USA 0.94M 0.07 11.53% 53,100
IVR-PB Invesco Mortgage Capital Inc. P REIT - Mortgage Real Estate USA 2.02B 24.98 -0.04% 23,508
IZQVF INDIVIOR PLC Drug Manufacturers Healthcare USA 2.89B 20.97 0.00% 530
MJTV MICHAEL JAMES ENTERPRISES INC - - USA 135.35K 0.00040 0.00% 575,000
STJPF ST JAMES'S PLACE Asset Management Financial Services United Kingdom 8.20B 13.42 0.00% 19
JETMF GLOBAL CROSSING AIRLINES GROUP Airlines Industrials USA 32.27M 0.85 -1.16% 6,473
JROOF JERICHO ENERGY VENTURES INC Oil & Gas E&P Energy Canada 55.33M 0.24 -5.02% 38,915
TMT.L TMT INVESTMENTS PLC ORD NPV Asset Management Financial Services Jersey 267.05M 9.15 -2.40% 2,648
JTBK JETBLACK CORP Capital Markets Financial Services USA 5.54M 0.00315 -14.86% 5,500
JRNGF JOURNEY ENERGY INC Oil & Gas E&P Energy Canada 266.84M 4.38 -2.67% 99,387
JPM-PD J P Morgan Chase & Co Depositar Banks - Diversified Financial Services USA 359.51B 27.06 -0.15% 74,010
JPM-PC J P Morgan Chase & Co Depositar Banks - Diversified Financial Services USA 364.41B 27.78 -0.14% 77,850
JUBPF JUBILEE METALS GROUP PLC Other Industrial Metals & Mining Basic Materials United Kingdom 301.19M 0.11 0.00% 1,500
KAJMY KAJIMA CORP UNSP ADR EACH REP 1 Engineering & Construction Industrials Japan 7.49B 15.55 1.80% 132
SMFKY SMURFIT KAPPA GROUP PLC UNSP AD Packaging & Containers Consumer Cyclical Ireland 10.34B 39.75 0.44% 9,633
KPCPY KASIKORNBANK PUBLIC COMPANY LIM Banks - Regional Financial Services Thailand 8.54B 14.42 -2.30% 7,070
KZMYY KAZ MINERALS PLC - - United Kingdom 5.45B 5.77 1.14% 325
SMFTF SMURFIT KAPPA GROUP PLC Packaging & Containers Consumer Cyclical Ireland 10.59B 40.71 0.00% 85
KTHGF KANTONE HLDGS Information Technology Services Technology Hong Kong 13.68M 0.05 0.00% 11,191
KDDIF KDDI CORPORATION Telecom Services Communication Services Japan 64.14B 29.73 0.00% 570
KKOYY KESKO OYJ UNSP ADR EACH REPR 0. Grocery Stores Consumer Defensive Finland 7.82B 9.72 -2.85% 32,007
RYKKY RYOHIN KEIKAKU CO UNSPN ADS EAC Department Stores Consumer Cyclical Japan 3.45B 12.78 0.00% 220
KRRYF KERRY LOGISTICS NETWORK LIMITED Integrated Freight & Logistics Industrials Hong Kong 3.19B 1.82 0.00% 500
KREVF KEPPEL REIT REIT - Office Real Estate Singapore 2.63B 0.70 0.00% 976
KPELY KEPPEL CORP SPON ADR-EACH CNV I Conglomerates Industrials Singapore 9.68B 10.89 -1.04% 412
KRYAY KERRY GROUP SPON ADR EA REP 1 O Packaged Foods Consumer Defensive Ireland 18.15B 101.69 3.20% 2,441
KGSPY KINGSPAN GROUP UNSP ADR EACH RE Building Products & Equipment Industrials Ireland 15.01B 81.53 2.66% 409
KHRIF CYPHERPUNK HOLDINGS INC Capital Markets Financial Services Canada 17.14M 0.10 0.00% 35,600
KHTRF KNIGHT THERAPEUTICS INC Drug Manufacturers - Specialty & Generic Healthcare Canada 392.27M 3.66 0.00% 200
KWIPF KIWI PROPERTY GROUP LIMITED REIT - Diversified Real Estate New Zealand 0.96B 0.61 0.00% 500
KSKGF KINGSGATE CONSOLIDATED LIMITED Gold Basic Materials Australia 201.46M 0.78 -6.14% 770
KLSVF KLONDIKE SILVER CORP Silver Basic Materials Canada 14.53M 0.05 81.48% 682,087
KLYCY KUNLUN ENERGY COMPANY LIMITED U Oil & Gas Refining & Marketing Energy Hong Kong 7.08B 8.07 -3.64% 390