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Under 1M
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Drug Manufacturers—General
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Software—Infrastructure
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Oil & Gas E&P
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REIT—Mortgage
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REIT—Specialty
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REIT—Hotel & Motel
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REIT—Diversified
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REIT—Healthcare Facilities
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Real Estate—Development
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Shell Companies
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Conglomerates
Cigarettes
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Multimedia & Graphics Software
Residential Construction
Basic Materials Wholesale
Broadcasting - TV
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Luxury Goods
Copper
Building Materials
Personal Services
Money Center Banks
Advertising Agencies
Regional - Mid-Atlantic Banks
Resorts & Casinos
Internet Software & Services
Discount Stores
Regional - Southeast Banks
Department Stores
Diversified Communication Services
Regional - Northeast Banks
Grocery Stores
Recreational Vehicles
General Building Materials
Utilities—Renewable
Regional - Southwest Banks
Financial Conglomerates
Savings & Loans
Cleaning Products
Food Wholesale
Marketing Services
Regional - Pacific Banks
Wireless Communications
Independent Oil & Gas
Aerospace/Defense Products & Services
Telecom Services - Domestic
Financial Data & Stock Exchanges
Confectioners
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Computers Wholesale
Semiconductor - Broad Line
Uranium
Entertainment - Diversified
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Paper & Paper Products
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Beverages - Soft Drinks
Staffing & Outsourcing Services
Foreign Utilities
Gambling
Music & Video Stores
Investment Brokerage - National
Shipping
Specialty Retail, Other
Oil & Gas Drilling
Diversified Machinery
Internet Information Providers
Discount, Variety Stores
Specialized Health Services
Business Services
Regional - Midwest Banks
Application Software
Infrastructure Operations
Technical Services
Coking Coal
Oil & Gas Pipelines
Diversified Utilities
Air Services, Other
Diversified Investments
Business Software & Services
Textile - Apparel Footwear & Accessories
Closed-End Fund - Equity
Processed & Packaged Goods
Drug Stores
Management Services
Medical Appliances & Equipment
Networking & Communication Devices
Industrial Metals & Minerals
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Trucks & Other Vehicles
REIT - Office
Home Furnishings & Fixtures
Medical Practitioners
Electronic Equipment
Semiconductor - Integrated Circuits
Internet Service Providers
Drug Manufacturers - Other
Healthcare Information Services
Diagnostic Substances
Property Management
Diversified Computer Systems
Food - Major Diversified
Real Estate Development
Long Distance Carriers
Drug Manufacturers - Major
Home Improvement Stores
Information & Delivery Services
Sporting Activities
Agricultural Chemicals
Forward P/E
Any
Profitable (Over 0)
Low (<15)
High (>50)
Under 1
Under 3
Under 5
1 to 3
3 to 5
5 to 10
10 to 50
50 to 100
Over 1
Over 3
Over 5
Return on Equity
Any
Postive (>0%)
Negative (<0%)
0% to 5%
5% to 10%
10% to 25%
25% to 50%
50% to 100%
Over +100%
0% to -5%
-5% to -10%
-10% to -25%
-25% to -50%
-50% to -100%
Under -100%
EPS next Y
Any
Low (Under 1%)
High (>25%)
1% to 10%
10% to 20%
20% to 30%
Under 30%
Above 30%
Float Short
Any
Low (Under 5%)
High (>20%)
5% to 10%
10% to 20%
20% to 30%
Under 30%
Above 30%
Sector
Any
Technology
Financial Services
Consumer Cyclical
Communication Services
Consumer Defensive
Industrials
Basic Materials
Healthcare
Energy
Real Estate
Utilities
Consumer Goods
Conglomerates
Services
Financial
Industrial Goods
Price/Book
Any
Low (Under 1)
High (>5)
Under 5
Under 10
Under 15
Under 100
1 to 3
3 to 5
5 to 10
10 to 50
50 to 100
Over 100
Over 5
Over 10
Over 15
Current Ratio
Any
Low (<1)
High (>3)
0 to 1
1 to 2
2 to 3
3 to 5
5 to 10
Under 3
Under 5
Under 10
Over 3
Over 5
Over 10
EPS past 5Y
Any
Low (Under 1%)
High (>25%)
1% to 10%
10% to 20%
20% to 30%
Under 30%
Above 30%
Shares Outstanding
Any
Under 1M
Under 50M
Under 100M
1M to 5M
5M to 10M
10M to 50M
50M to 100M
Over 50M
Over 100M
Market Cap
Any
Mega (200bln & more)
Large (10bln to 200bln)
Mid (2bln to 10bln)
Small (300mln to 2bln)
Nano (under 50mln)
PEG
Any
Low (<1)
Under 2
Under 5
Under 10
Over 5
Over 10
Over 15
0 to 1
1 to 2
2 to 3
3 to 5
High (>5)
Debt/Equity
Any
Low (<0.1)
High (>0.5)
Under 1
Under 3
Under 5
Under 10
Under 20
Under 25
Under 30
Over 1
Over 3
Over 5
Over 10
Over 20
Over 25
Over 30
EPS next 5Y
Any
Low (Under 1%)
High (>25%)
1% to 10%
10% to 20%
20% to 30%
Under 30%
Above 30%
Insider Own
Any
Low (Under 10%)
High (>30%)
Over 20%
Over 30%
Over 40%
Over 50%
Over 60%
Over 70%
Change(%)
Any
Up
Down
Under 10%
Under 25%
Under 50%
Up 0% to 5%
Up 5% to 10%
Up 10% to 25%
Up 25% to 50%
Up 50% to 100%
Up +100%
Down 0% to 5%
Down 5% to 10%
Down 10% to 25%
Down 25% to 50%
Down 50% to 100%
Down -100%
Over 10%
Over 25%
Over 50%
Earnings
Any
Today
Tomorrow
Yesterday
This Week
Next Week
Last Week
This Month
Next Month
Dividend Yield
Any
None (0%)
Positive (Under 1%)
High (>10%)
Under 5%
Under 10%
Under 15%
1% to 5%
5% to 10%
Over 1%
Over 5%
Over 10%
Over 15%
Beta
Any
Under 0
Under 0.5
Under 5
0.5 to 1
1 to 2
2 to 3
3 to 5
Over 1
Over 3
Over 5
Institutional Own
Any
Price
Any
Under 1
Under 3
Under 5
Under 10
Under 50
Under 100
1 to 3
1 to 5
1 to 10
10 to 50
50 to 100
Over 1
Over 3
Over 5
Over 10
Over 50
Over 100
Profit Margin
Any
Postive (>0%)
Negative (<0%)
0% to 5%
5% to 10%
10% to 25%
25% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +25%
Over +50%
Over +100%
0% to -5%
-5% to -10%
-10% to -25%
-25% to -50%
-50% to -100%
Under -100%
Gross Margin
Any
Postive (>0%)
Negative (<0%)
0% to 5%
5% to 10%
10% to 25%
25% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +25%
Over +50%
Over +100%
0% to -5%
-5% to -10%
-10% to -25%
-25% to -50%
-50% to -100%
Under -100%
Operating Margin
Any
Postive (>0%)
Negative (<0%)
Under 25%
Under 50%
Under 100%
0% to 5%
5% to 10%
10% to 25%
25% to 50%
50% to 100%
0% to -5%
-5% to -10%
-10% to -25%
-25% to -50%
-50% to -100%
Over +25%
Over +50%
Over +100%
Ern Qtrly Grth
Any
Postive (>0%)
Negative (<0%)
0% to 5%
% to 10%
10% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +100%
0% to -5%
w -5% to -10%
-10% to -50%
-50% to -100%
Volume
Any
Under 50K
Under 100K
Under 500K
Under 1M
50K to 100K
50K to 500K
500K to 1M
1M to 2M
1M to 5M
5M to 10M
10M to 20M
Over 50K
Over 100K
Over 500K
Over 1M
Over 5M
Over 20M
50D Avg Chg
Any
Postive (>0%)
Negative (<0%)
0% to 5%
5% to 10%
10% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +50%
Over +100%
0% to -5%
-5% to -10%
-10% to -50%
-50% to -100%
200D Avg Chg
Any
Postive (>0%)
Negative (<0%)
0% to 5%
5% to 10%
10% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +50%
Over +100%
0% to -5%
-5% to -10%
-10% to -50%
-50% to -100%
52W High Chg
Any
Postive (>0%)
Negative (<0%)
0% to 5%
0% to 10%
10% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +50%
Over +100%
0% to -5%
0% to -10%
-10% to -50%
-50% to -100%
52W Low Chg
Any
Postive (>0%)
Negative (<0%)
0% to 5%
0% to 10%
10% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +50%
Over +100%
0% to -5%
0% to -10%
-10% to -50%
-50% to -100%
Analyst Recom.
Any
Strong Buy (1)
Buy or better
Buy
Hold or better
Hold
Hold or worse
Sell
Sell or worse
Strong Sell (5)
Records
8101 - 8150
Of 11,347
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Ticker
Company
Industry
Sector
Country
Market Cap
Price
Change
Volume
SLCR
Silver Crest Acquisition Corpor
Shell Companies
Financial Services
Hong Kong
344.57M
7.99
1.78%
260,459
MLSS
Milestone Scientific, Inc.
Medical Instruments & Supplies
Healthcare
USA
71.40M
1.02
-5.56%
120,190
CALT
Calliditas Therapeutics AB
Biotechnology
Healthcare
Sweden
473.88M
17.52
-8.37%
4,297
CREX
Creative Realities, Inc.
Software - Application
Technology
USA
27.34M
3.69
-2.38%
34,381
MEDIF
MEDIPHARM LABS CORP
Drug Manufacturers - Specialty & Generic
Healthcare
Canada
22.63M
0.06
8.61%
209,553
UTG
53270
Asset Management
Financial Services
USA
2.07B
27.76
0.04%
246,821
TCRX
TScan Therapeutics, Inc.
Biotechnology
Healthcare
USA
103.10M
2.17
-0.91%
32,734
FNGD
MicroSectors FANG Index -3X In
-
-
-
5.69B
8.73
10.37%
15,825,283
ZENV
Zenvia Inc.
Software - Application
Technology
Brazil
33.29M
0.80
-4.09%
127,565
ERAS
Erasca, Inc.
Biotechnology
Healthcare
USA
396.49M
2.63
-0.75%
302,927
HCDI
Harbor Custom Development, Inc.
Real Estate - Development
Real Estate
USA
2.27M
2.54
-0.39%
95,585
TSSLF
TELESITES SAB DE CV
Telecom Services
Communication Services
Mexico
3.27B
0.70
0.00%
14,686
SHCO
Soho House & Co Inc.
Lodging
Consumer Cyclical
USA
1.23B
6.27
0.80%
65,541
INDP
Indaptus Therapeutics, Inc.
Biotechnology
Healthcare
USA
16.63M
1.98
-2.94%
10,849
VIRX
Viracta Therapeutics, Inc.
Biotechnology
Healthcare
USA
59.54M
1.55
-0.64%
41,400
ONVO
Organovo Holdings, Inc.
Biotechnology
Healthcare
USA
14.38M
1.65
1.85%
15,506
FOF
Cohen & Steers Closed-End Oppor
Asset Management
Financial Services
USA
302.47M
11.03
-0.81%
65,476
RIV
RiverNorth Opportunities Fund,
Asset Management
Financial Services
USA
246.07M
11.47
-0.35%
93,003
MNXXF
MANGANESE X ENERGY CORP
Other Industrial Metals & Mining
Basic Materials
Canada
11.20M
0.08
-4.72%
8,400
GRIN
Grindrod Shipping Holdings Ltd.
Marine Shipping
Industrials
Singapore
166.39M
8.55
-0.75%
28,744
XLK
SPDR Select Sector Fund - Techn
-
-
-
47.40B
174.23
-2.47%
7,901,792
GOF
Guggenheim Strategic Opportunit
Asset Management
Financial Services
USA
1.79B
15.95
-0.93%
796,306
CRDL
Cardiol Therapeutics Inc.
Drug Manufacturers - Specialty & Generic
Healthcare
Canada
69.24M
1.07
-0.93%
236,640
ERBB
AMERICAN GREEN INC
Drug Manufacturers - Specialty & Generic
Healthcare
USA
25.28M
0.00085
-5.56%
6,136,852
ALC
Alcon Inc.
Medical Instruments & Supplies
Healthcare
Switzerland
40.72B
82.10
-1.86%
669,333
znog
Zion Oil
Oil & Gas E&P
Energy
USA
36.58M
0.07
-1.46%
1,066,414
AYRWF
AYR WELLNESS INC
Drug Manufacturers - Specialty & Generic
Healthcare
USA
75.08M
1.03
-0.96%
53,550
XLY
SPDR Select Sector Fund - Consu
-
-
-
20.29B
168.69
-1.79%
4,851,560
TINO
TAMINO MINERALS INC
Other Industrial Metals & Mining
Basic Materials
Mexico
7.62M
0.00010
0.00%
17
AVK
Advent Claymore Convertible Sec
Asset Management
Financial Services
USA
407.51M
11.78
-1.51%
58,978
SVAD
SILVERTON ADVENTURES INC
Advertising Agencies
Communication Services
USA
622.44K
0.00040
-20.00%
504,690
ADVZF
ADVENTUS MINING CORPORATION
Other Industrial Metals & Mining
Basic Materials
Canada
40.42M
0.23
-9.27%
111,027
BWAY
Brainsway Ltd.
Medical Devices
Healthcare
Israel
39.47M
2.38
1.71%
3,252
NVOS
Novo Integrated Sciences, Inc.
Medical Care Facilities
Healthcare
USA
15.78M
0.11
-2.48%
1,608,065
PMBC
Pacific Mercantile Bancorp
Banks
Financial Services
USA
224.57M
9.40
-1.16%
149,544
SKYI
SKY CENTURY INVESTMENT INC
Drug Manufacturers - Specialty & Generic
Healthcare
USA
40.57M
0.00590
0.00%
1,200
CADL
Candel Therapeutics, Inc.
Biotechnology
Healthcare
USA
31.23M
1.08
2.86%
38,028
HUIZ
Huize Holding Limited
Insurance Brokers
Financial Services
China
63.45M
1.24
-6.77%
18,217
GRCL
Gracell Biotechnologies Inc.
Biotechnology
Healthcare
China
235.65M
3.48
-5.43%
84,017
NLLSF
NEL ASA
Specialty Industrial Machinery
Industrials
Norway
2.09B
1.25
-5.30%
15,248
INST
Instructure Holdings, Inc.
Software - Application
Technology
USA
3.90B
27.17
-0.69%
79,085
IHT
InnSuites Hospitality Trust Sha
REIT - Hotel & Motel
Real Estate
USA
17.56M
1.95
1.04%
1,707
NOVRF
NOVA ROYALTY CORP
Other Industrial Metals & Mining
Basic Materials
Canada
116.92M
1.24
-3.50%
54,898
NFGFF
NEW FOUND GOLD CORP
Gold
Basic Materials
Canada
1.06B
6.38
0.00%
125,354
SILV
SilverCrest Metals Inc.
Other Precious Metals & Mining
Basic Materials
Canada
653.41M
4.43
-0.89%
5,613,393
USAS
Americas Gold and Silver Corpor
Other Industrial Metals & Mining
Basic Materials
Canada
81.81M
0.38
-5.43%
299,936
ADF
Aldel Financial Inc.
Shell Companies
Financial Services
USA
159.34M
10.66
4.51%
49,591
ALIT
Alight, Inc.
Software - Application
Technology
USA
4.76B
8.55
-11.67%
8,520,786
WHGLY
WH GROUP LIMITED SPON ADR EACH
Packaged Foods
Consumer Defensive
Hong Kong
6.74B
10.44
-1.46%
156,243
VINO
Gaucho Group Holdings, Inc.
Real Estate - Diversified
Real Estate
USA
3.53M
0.52
1.61%
827,098