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Records  5701 - 5750 Of 6,988 Page 115 of 140
Ticker Company Industry Sector Country Market Cap Price Change Volume
NMRD Nemaura Medical Inc. Medical Devices Healthcare USA 27.58M 0.95 6.03% 16,808
PTRS Partners Bancorp Banks - Regional Financial Services USA 132.37M 7.36 3.08% 2,399
SSTI SoundThinking, Inc. Software - Application Technology USA 273.44M 22.33 -0.45% 30,987
QRHC Quest Resource Holding Corporat Waste Management Industrials USA 130.13M 6.59 0.46% 31,375
BTTR Better Choice Company Inc. Packaged Foods Consumer Defensive USA 6.90M 0.23 -0.88% 57,589
RNDB Randolph Bancorp, Inc. Banks Financial Services USA 140.47M 27.00 0.04% 6,383
ESBA Empire State Realty OP, L.P. Se REIT - Office Real Estate USA 2.43B 9.00 0.00% 34
VGII Virgin Group Acquisition Corp. Shell Companies Financial Services USA 299.86M 5.96 -3.56% 54,571
AURI AURI INC Oil & Gas Equipment & Services Energy USA 364.19K 0.00040 0.00% 3,224,998
AZYO Aziyo Biologics, Inc. Medical Devices Healthcare USA 34.09M 2.10 0.00% 6,058
EHVVF EHAVE INC Software - Application Technology USA 279.53K 0.00100 25.00% 274,704
KRT Karat Packaging Inc. Packaging & Containers Consumer Cyclical USA 388.01M 19.51 -0.81% 27,621
SPLP Steel Partners Holdings LP LTD Conglomerates Industrials USA 1.04B 47.96 0.00% 61
MOBQ Mobiquity Technologies, Inc. Advertising Agencies Communication Services USA 2.40M 0.09 -5.97% 1,435,534
AMAM Ambrx Biopharma Inc. Biotechnology Healthcare USA 890.04M 14.68 -2.52% 499,565
OCC Optical Cable Corporation Communication Equipment Technology USA 31.07M 3.95 7.63% 5,871
BZFD BuzzFeed, Inc. Internet Content & Information Communication Services USA 93.60M 0.64 -5.44% 349,990
LMB Limbach Holdings, Inc. Building Products & Equipment Industrials USA 285.64M 27.00 -1.24% 153,465
CLRD CLEARDAY INC Medical Care Facilities Healthcare USA 18.20M 0.70 0.00% 27
BY Byline Bancorp, Inc. Banks - Regional Financial Services USA 819.05M 21.72 0.05% 81,424
HCP HashiCorp, Inc. Software - Infrastructure Technology USA 5.37B 27.98 -4.11% 1,660,372
PL Planet Labs PBC Aerospace & Defense Industrials USA 0.94B 3.40 -9.81% 2,004,411
PRPB CC Neuberger Principal Holdings Shell Companies Financial Services USA 1.01B 9.35 9.10% 241,239
VCSA Vacasa, Inc. Software - Application Technology USA 333.50M 0.73 -0.27% 328,020
AHPA Avista Public Acquisition Corp. Shell Companies Financial Services USA 176.09M 6.13 -10.45% 64,532
DGHI Digihost Technology Inc. Capital Markets Financial Services USA 51.83M 1.80 -3.23% 76,990
CRHC Cohn Robbins Holdings Corp. Shell Companies Financial Services USA 1.04B 10.00 0.00%
BBAI BigBear.ai, Inc. Information Technology Services Technology USA 282.92M 1.98 -6.60% 2,425,290
CET 11017 Asset Management Financial Services USA 1.03B 36.65 -1.25% 12,511
HGTY Hagerty, Inc. Insurance - Property & Casualty Financial Services USA 5.03B 8.58 -1.27% 65,102
PIK Kidpik Corp. Internet Retail Consumer Cyclical USA 5.14M 0.66 11.99% 5,660,746
REFI Chicago Atlantic Real Estate Fi REIT - Mortgage Real Estate USA 272.42M 15.06 -0.46% 81,852
RWAY Runway Growth Finance Corp. Credit Services Financial Services USA 512.04M 12.64 -0.08% 94,801
SLDP Solid Power, Inc. Auto Parts Consumer Cyclical USA 469.47M 2.64 -7.69% 2,269,396
NES Nuverra Environmental Solutions Waste Management Industrials USA 34.83M 2.15 11.35% 248,019
LEGH Legacy Housing Corporation Residential Construction Consumer Cyclical USA 572.20M 23.47 -0.55% 39,444
CRGY Crescent Energy Company Oil & Gas Integrated Energy USA 2.23B 11.48 -0.95% 279,379
PKO Pimco Income Opportunity Fund Asset Management Financial Services USA 499.46M 23.77 -0.38% 50,778
SVFC SVF Investment Corp. 3 Shell Companies Financial Services USA 373.46M 9.10 -1.30% 137,339
KIDS OrthoPediatrics Corp. Medical Devices Healthcare USA 0.94B 40.33 1.50% 122,659
TMX Terminix Global Holdings, Inc. Personal Services Consumer Cyclical USA 4.63B 37.87 0.00% 25,883,318
GIIX Gores Holdings VIII, Inc. Shell Companies Financial Services USA 433.84M 10.06 0.00% 82,744
CING Cingulate Inc. Biotechnology Healthcare USA 6.88M 0.59 6.14% 103,950
HFBL Home Federal Bancorp, Inc. of L Banks - Regional Financial Services USA 46.82M 14.99 -1.45% 98
IKNA Ikena Oncology, Inc. Biotechnology Healthcare USA 220.71M 5.22 -2.06% 105,808
SIDU Sidus Space, Inc. Aerospace & Defense Industrials USA 8.45M 0.17 1.14% 3,169,223
AULT Ault Alliance, Inc. Aerospace & Defense Industrials USA 3.62M 2.61 -9.06% 607,368
VINE Fresh Vine Wine, Inc. Beverages - Wineries & Distilleries Consumer Defensive USA 7.57M 0.48 1.39% 334,012
SILO Silo Pharma, Inc. Biotechnology Healthcare USA 6.82M 2.16 0.93% 325,213
BH Biglari Holdings Inc. Restaurants Consumer Cyclical USA 626.80M 203.50 0.05% 1,563