Filter options

Records  6601 - 6650 Of 6,988 Page 133 of 140
Ticker Company Industry Sector Country Market Cap Price Change Volume
ICU SeaStar Medical Holding Corpora Biotechnology Healthcare USA 9.26M 0.51 -1.19% 36,633
NML 1525 Asset Management Financial Services USA 393.78M 6.95 -2.25% 153,169
GRND Grindr Inc. Software - Application Technology USA 1.01B 5.79 0.52% 124,220
SCLX Scilex Holding Company Drug Manufacturers - General Healthcare USA 892.20M 6.00 14.94% 695,494
GSTC GLOBESTAR THERAPEUTICS CORP Biotechnology Healthcare USA 2.36M 0.00300 -6.25% 612,581
RBC RBC Bearings Incorporated Tools & Accessories Industrials USA 6.42B 220.37 -0.79% 71,966
PTIC PropTech Investment Corporation Shell Companies Financial Services USA 308.49M 10.73 7.95% 28,414
SELF Global Self Storage, Inc. REIT - Specialty Real Estate USA 58.51M 5.25 0.96% 29,567
PAFO Pacifico Acquisition Corp. Shell Companies Financial Services USA 31.48M 4.20 -47.04% 185,333
MKGP MAVERICK ENERGY GROUP LTD Oil & Gas E&P Energy USA 1.97M 0.02 3.45% 46,350
hmco HumanCo Acquisition Corp. Shell Companies Financial Services USA 386.68M 10.06 0.00% 80,170
NCSM NCS Multistage Holdings, Inc. Oil & Gas Equipment & Services Energy USA 41.83M 17.15 3.16% 11,151
PMO Putnam Municipal Opportunities Asset Management Financial Services USA 341.16M 10.10 -0.49% 64,459
PIM Putnam Master Intermediate Inco Asset Management Financial Services USA 157.53M 3.19 -0.31% 167,338
EVI EVI Industries, Inc. Industrial Distribution Industrials USA 322.92M 25.68 1.99% 8,661
PMM Putnam Managed Municipal Income Asset Management Financial Services USA 287.01M 5.91 -0.84% 230,275
CNNA CANN AMERICAN CORP Drug Manufacturers - Specialty & Generic Healthcare USA 422 0.00100 0.00% 260,000
PTALF PETROTAL CORP Oil & Gas E&P Energy USA 489.68M 0.54 -3.71% 109,521
VANI Vivani Medical, Inc. Medical Devices Healthcare USA 50.23M 0.99 -0.02% 24,872
DRS Leonardo DRS, Inc. Aerospace & Defense Industrials USA 4.54B 17.39 5.71% 1,596,689
TRON Corner Growth Acquisition Corp. Shell Companies Financial Services USA 72.31M 11.15 0.54% 105
RITE MINERALRITE CORP Other Precious Metals & Mining Basic Materials USA 1.17M 0.00050 -9.09% 5,105,335
POWL Powell Industries, Inc. Electrical Equipment & Parts Industrials USA 1.01B 85.54 39.57% 785,464
FG F&G Annuities & Life, Inc. Insurance - Life Financial Services USA 3.32B 26.30 -0.64% 93,989
HGLB Highland Global Allocation Fund - - USA 193.59M 8.61 0.35% 76,589
HURC Hurco Companies, Inc. Specialty Industrial Machinery Industrials USA 146.43M 22.66 0.27% 6,917
CBFV CB Financial Services, Inc. Banks - Regional Financial Services USA 115.33M 22.57 -0.88% 2,511
STEL Stellar Bancorp, Inc. Banks - Regional Financial Services USA 1.31B 24.55 0.86% 102,761
FLME Flame Acquisition Corp. Shell Companies Financial Services USA 160.73M 10.29 0.00% 1,399
VENG VISION ENERGY CORP Utilities - Renewable Utilities USA 115.77M 2.75 -0.90% 5,137
ETV Eaton Vance Corporation Eaton V Asset Management Financial Services USA 1.43B 13.11 -1.06% 198,802
JEWL Adamas One Corp. Luxury Goods Consumer Cyclical USA 34.90M 1.51 16.15% 533,767
CPNG Coupang, Inc. Internet Retail Consumer Cyclical USA 30.45B 16.54 3.05% 5,046,586
SVT Servotronics, Inc. Aerospace & Defense Industrials USA 28.43M 11.26 2.27% 814
LSPR Larkspur Health Acquisition Cor Shell Companies Financial Services USA 225.66M 22.50 132.68% 122,046
ADHC AMERICAN DIVERSIFIED HOLDINGS C Consulting Services Industrials USA 1.46M 0.00180 0.00% 1,267,504
YRIV YANGTZE RIVER PORT & LOGISTICS Real Estate - Diversified Real Estate USA 7M 0.00010 0.00% 4,950
HNRC HOUSTON NAT RES CORP Waste Management Industrials USA 2.55M 0.08 -2.84% 255,847
GETR Getaround, Inc. Software - Application Technology USA 62.53M 0.68 4.62% 803,392
OSA ProSomnus, Inc. Medical Devices Healthcare USA 34.15M 2.09 -0.24% 3,294
POND Angel Pond Holdings Corporation Shell Companies Financial Services USA 368.40M 11.10 11.22% 179,864
REVRQ Revlon, Inc. New Household & Personal Products Consumer Defensive USA 3.84M 0.07 0.00% 1,393,559
WRAC Williams Rowland Acquisition Co Shell Companies Financial Services USA 95.39M 10.35 0.00% 3,282
KSM DWS Strategic Municipal Income Asset Management Financial Services USA 94.67M 8.45 -0.59% 100,294
KA Kineta, Inc. Biotechnology Healthcare USA 33.51M 3.17 5.32% 44,812
IGI Western Asset Investment Grade Asset Management Financial Services USA 177.26M 16.34 -1.39% 23,687
KTF DWS Municipal Income Trust Asset Management Financial Services USA 338.52M 8.57 -1.04% 78,137
NZF Nuveen Municipal Credit Income Asset Management Financial Services USA 2.27B 11.71 -0.76% 646,441
ATLXD ATLAS LITHIUM CORP Other Precious Metals & Mining Basic Materials USA 39.47M 8.10 0.00% 68,175
WEA Western Asset Bond Fund Share o Asset Management Financial Services USA 128.62M 10.84 -1.36% 44,677