Filter options

Records  7851 - 7900 Of 11,347 Page 158 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
INTT inTest Corporation Semiconductor Equipment & Materials Technology USA 226.64M 20.36 -3.05% 166,192
PECO Phillips Edison & Company, Inc. REIT - Retail Real Estate USA 4.72B 35.87 1.04% 957,620
PAY Paymentus Holdings, Inc. Software - Infrastructure Technology USA 1.33B 10.80 -1.73% 63,376
OMP Oasis Midstream Partners LP Oil & Gas Midstream Energy USA 1.16B 23.86 0.00% 1,698,447
TGGI TRANS GLOBAL GROUP INC Shell Companies Financial Services China 7.80M 0.00110 -15.38% 4,304,080
SAML SAMSARA LUGGUAGE INC Footwear & Accessories Consumer Cyclical USA 113.69K 0.02 2.22% 2,000
CMLT CM Life Sciences III Inc. Shell Companies Financial Services USA 599.61M 8.69 -5.65% 563,420
UNRV UNRIVALED BRANDS I Drug Manufacturers - Specialty & Generic Healthcare USA 13.08M 0.02 8.00% 984,227
CYXT Cyxtera Technologies, Inc. Information Technology Services Technology USA 11.72M 0.07 0.00% 369,807,770
AXLA Axcella Health Inc. Biotechnology Healthcare USA 13.70M 0.19 -1.64% 39,915
BDR Blonder Tongue Laboratories, In Communication Equipment Technology USA 4.06M 0.31 0.00% 190,324
IJR iShares Core S&P Small-Cap ETF - - - 58.71B 103.77 -0.83% 3,181,938
CDAK Codiak BioSciences, Inc. Biotechnology Healthcare USA 2.83M 0.06 0.00% 12,929,980
SIC Select Interior Concepts, Inc. Residential Construction Consumer Cyclical USA 375.96M 14.49 0.00% 121,857
BIVI BioVie Inc. Biotechnology Healthcare USA 159.27M 4.39 -3.09% 75,128
STRPF STARR PEAK MINING LTD Other Industrial Metals & Mining Basic Materials Canada 28.46M 0.54 1.09% 11,434
DMYI dMY Technology Group, Inc. III Shell Companies Financial Services USA 390M 10.40 -4.85% 4,857,927
VSCO Victorias Secret & Co. Apparel Retail Consumer Cyclical USA 1.52B 19.69 -0.66% 2,160,614
PTY Pimco Corporate & Income Opport Asset Management Financial Services USA 1.88B 14.43 -0.14% 603,896
AUNXF AXP ENERGY LTD Oil & Gas E&P Energy USA 9.41M 0.00120 0.00% 70,000
III Information Services Group, Inc Information Technology Services Technology USA 244.33M 5.05 -2.13% 100,884
EXFO EXFO Inc - Subordinate Voting S - - Canada 355.86M 6.25 0.08% 8,460
HMPT Home Point Capital Inc. Mortgage Finance Financial Services USA 321.25M 2.32 0.00% 8,679
BAMR Brookfield Asset Management Rei Insurance Financial Services Bermuda 1.54B 33.92 0.83% 24,159
IFRX InflaRx N.V. Biotechnology Healthcare Germany 243.19M 4.13 -1.20% 238,608
GNLN Greenlane Holdings, Inc. Tobacco Consumer Defensive USA 2.05M 0.95 2.22% 35,819
FREE Whole Earth Brands, Inc. Packaged Foods Consumer Defensive USA 169.41M 4.01 0.00% 150,867
DEFTF DEFI TECHNOLOGIES INC Capital Markets Financial Services Canada 67.08M 0.10 -1.17% 101,244
APHLF ALPHA LITHIUM CORPORATION Other Industrial Metals & Mining Basic Materials Canada 176.46M 0.98 0.18% 317,240
DMS Digital Media Solutions, Inc. Advertising Agencies Communication Services USA 12.53M 0.31 -0.13% 10,274
GDLC GRAYSCALE DIGITAL LAR CAP FUND - - USA 141.38M 8.91 -0.89% 28,761
IVVD Adagio Therapeutics, Inc. Biotechnology Healthcare USA 504.98M 4.64 0.87% 534,999
PRVA Privia Health Group, Inc. Health Information Services Healthcare USA 3.11B 26.91 -2.85% 887,639
ICUSF ICECURE MEDICAL LTD Medical Care Facilities Healthcare Israel 343.99M 10.80 0.00% 7,418
GTES Gates Industrial Corporation pl Specialty Industrial Machinery Industrials USA 3.84B 13.48 -1.39% 660,457
NOHO NOVATION HLDGS INC Shell Companies Financial Services USA 14.94K 0.00000 0.00% 977,500
SOLY Soliton, Inc. Medical Devices Healthcare USA 487.65M 22.58 0.00% 1,347,169
ANTE AirNet Technology Inc. Advertising Agencies Communication Services China 12.05M 1.35 -1.46% 377
ALKT Alkami Technology, Inc. Software - Application Technology USA 1.50B 16.15 -3.52% 368,577
SOLCF SOL GLOBAL INVESTMENTS CORP Asset Management Financial Services Canada 5.39M 0.09 -3.79% 54,900
BYFC Broadway Financial Corporation Banks - Regional Financial Services USA 74.23M 1.01 -0.98% 29,325
VITL Vital Farms, Inc. Farm Products Consumer Defensive USA 430.53M 10.54 -1.54% 493,965
IHSI INTELLIGENT HIGHWAY SOLUTIONS I Railroads Services USA 0.91M 0.00010 0.00% 4,500,000
ALJJ ALJ Regional Holdings, Inc. Specialty Business Services Industrials USA 74.23M 1.92 0.00% 184,093
BFCH BITFRONTIER CAPITAL HOLDINGS IN Capital Markets Financial Services USA 1.27K 0.01 2.22% 298,100
SCPE SC Health Corporation Shell Companies Financial Services Singapore 273.24M 15.84 0.00% 762,835
BSY Bentley Systems, Incorporated Software - Application Technology USA 15.19B 51.79 -3.75% 756,565
DOMA Doma Holdings, Inc. Insurance - Property & Casualty Financial Services USA 108.05M 8.11 -9.89% 51,290
RSP Invesco S&P 500 Equal Weight ET - - - 23.77B 152.78 -0.95% 6,036,155
JOUT Johnson Outdoors Inc. Leisure Consumer Cyclical USA 586.19M 57.17 -1.29% 48,508