Filter options

Records  6651 - 6700 Of 6,988 Page 134 of 140
Ticker Company Industry Sector Country Market Cap Price Change Volume
STRW Strawberry Fields REIT, Inc. REIT - Healthcare Facilities Real Estate USA 375.93M 7.06 0.00% 3,442
LJAQ LightJump Acquisition Corporati Shell Companies Financial Services USA 76.68M 12.10 0.00% 311,143
CLVSQ Clovis Oncology, Inc. Biotechnology Healthcare USA 2.17M 0.02 0.00% 889,642
ALBT Avalon GloboCare Corp. Real Estate Services Real Estate USA 13.31M 1.30 -6.47% 36,163
GEHCV GE HealthCare Technologies Inc. Health Information Services Healthcare USA 25.46B 56.00 -4.08% 1,794,102
PGZ Principal Real Estate Income Fu Asset Management Financial Services USA 64.39M 9.56 -1.95% 34,207
RACY Relativity Acquisition Corp. Shell Companies Financial Services USA 54.04M 12.28 0.00% 46,417
BCAT - - USA 1.65B 15.22 -0.98% 206,793
IIF Morgan Stanley India Investment Asset Management Financial Services USA 232.01M 22.08 -1.16% 15,343
RELT RELIANT HOLDINGS INC Engineering & Construction Industrials USA 1.57M 0.09 0.00% 4,000
RLBY RELIABILITY INC Staffing & Employment Services Industrials USA 11.85M 0.04 -18.39% 700
TOVX Theriva Biologics, Inc. Biotechnology Healthcare USA 10.39M 0.69 5.68% 127,579
DUUO DUO WORLD INC Software - Application Technology USA 846.64K 0.01 -10.47% 2,000
COYA Coya Therapeutics, Inc. Biotechnology Healthcare USA 39.19M 3.94 -1.01% 32,590
PCQ PIMCO California Municipal Inco Asset Management Financial Services USA 193.27M 10.19 -0.97% 44,410
GEHC GE HealthCare Technologies Inc. Health Information Services Healthcare USA 34.84B 76.59 -1.42% 2,997,422
CORZQ CORE SCIENTIFIC INC Software - Infrastructure Technology USA 342.64M 0.91 -3.20% 565,120
RNER Mount Rainier Acquisition Corp. Shell Companies Financial Services USA 38.04M 4.99 0.00% 10,675,947
UNTC UNIT CORP Oil & Gas Integrated Energy USA 451.04M 46.82 0.30% 18,209
KEGS 1812 BREWING CO INC Asset Management Financial Services USA 2.70K 0.00010 100.00% 25,391,100
ALNAQ ALLENA PHARMACEUTICALS INC Biotechnology Healthcare USA 12.21K 0.00010 0.00% 7,519
TMPO Tempo Automation Holdings, Inc. Electronic Components Technology USA 8.30M 0.27 -1.78% 65,226
KNOS KRONOS ADVANCED TECH INC Pollution & Treatment Controls Industrials USA 264.19K 0.00605 -5.47% 125,800
LIPO Lipella Pharmaceuticals Inc. Biotechnology Healthcare USA 12.29M 2.14 1.90% 6,432
VTLE Vital Energy, Inc. Oil & Gas E&P Energy USA 0.95B 50.88 -3.65% 443,637
ZVSA ZyVersa Therapeutics, Inc. Biotechnology Healthcare USA 4.02M 0.17 -0.18% 908,446
BOAC Bluescape Opportunities Acquisi Shell Companies Financial Services USA 226.89M 10.05 0.05% 21,057
UHG United Homes Group, Inc Residential Construction Consumer Cyclical USA 512.44M 10.60 -3.02% 5,088
WGS GeneDx Holdings Corp. Health Information Services Healthcare USA 153.60M 0.40 1.07% 1,152,399
MGOL MGO Global Inc. Advertising Agencies Communication Services USA 24.92M 1.75 -3.85% 132,870
ENX 19801 Asset Management Financial Services USA 173.69M 9.67 0.21% 10,613
NIR Near Intelligence, Inc. Software - Application Technology USA 66.52M 1.31 -10.27% 189,302
INBS Intelligent Bio Solutions Inc. Medical Devices Healthcare USA 3.75M 1.61 -12.50% 98,710
CVKD Cadrenal Therapeutics, Inc. Biotechnology Healthcare USA 11.08M 0.85 -2.31% 53,124
BRKH BurTech Acquisition Corp. Shell Companies Financial Services USA 182.68M 10.47 -0.10% 8,615
AVCTQ American Virtual Cloud Technolo Information Technology Services Technology USA 6.04M 0.18 0.00% 295,098
PRTYQ Party City Holdco Inc. Specialty Retail Consumer Cyclical USA 3.12M 0.03 -7.56% 172,460
PAXS PIMCO Access Income Fund Asset Management Financial Services USA 649.01M 14.75 0.07% 198,602
BPRN Princeton Bancorp, Inc. Banks - Regional Financial Services USA 190.66M 30.45 -1.20% 8,638
EU enCore Energy Corp. Uranium Energy USA 350.15M 2.44 -2.40% 511,454
TCDAQ Tricida, Inc. Biotechnology Healthcare USA 580 0.00001 0.00% 2,307,577
MBC MasterBrand, Inc. Furnishings, Fixtures & Appliances Consumer Cyclical USA 1.63B 12.66 -1.17% 501,430
BAER Bridger Aerospace Group Holding Security & Protection Services Industrials USA 274.43M 6.27 3.47% 13,722
NEOV NeoVolta Inc. Electrical Equipment & Parts Industrials USA 102.95M 3.11 -2.66% 40,513
DHY 146692 Asset Management Financial Services USA 194.61M 1.88 -0.53% 955,968
AVTA Avantax, Inc. Asset Management Financial Services USA 1.39B 29.05 1.93% 833,324
HPX HPX Corp. Shell Companies Financial Services USA 149.02M 17.57 1.21% 1,011,752
LION Lionheart III Corp Shell Companies Financial Services USA 100.63M 6.44 -21.75% 298,602
DSHK DRIVE SHACK INC Leisure Consumer Cyclical USA 23.71M 0.26 -0.91% 14,191
RVIV REVIV3 PROCARE CO Household & Personal Products Consumer Defensive USA 50.30M 0.43 22.74% 11,100