Filter options

Records  8151 - 8200 Of 11,347 Page 164 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
MYTE MYT Netherlands Parent B.V. Luxury Goods Consumer Cyclical Germany 342.92M 4.04 -1.70% 76,200
ITOT iShares Core S&P Total U.S. Sto - - - 31.76B 99.66 -1.40% 1,005,051
SPYV SPDR Series Trust SPDR Portfoli - - - 3.93B 44.06 -1.17% 1,581,257
NLSP NLS Pharmaceutics Ltd. Biotechnology Healthcare Switzerland 28.92M 0.89 -1.53% 112,941
TSNDF TERRASCEND CORP Drug Manufacturers - Specialty & Generic Healthcare Canada 601.91M 1.72 0.00% 125,794
ATIF ATIF Holdings Limited Capital Markets Financial Services USA 14.63M 1.52 5.56% 299
SNES SenesTech, Inc. Specialty Chemicals Basic Materials USA 2.64M 0.89 -2.20% 19,697
VAL Valaris Limited Oil & Gas Equipment & Services Energy Bermuda 5.64B 74.96 -1.26% 1,309,837
IEMG iShares Core MSCI Emerging Mark - - - 57.98B 50.38 -2.33% 10,251,958
VB Vanguard Small-Cap ETF - - - 181.17B 205.07 -1.38% 665,591
OXSQ Oxford Square Capital Corp. Asset Management Financial Services USA 173.14M 3.07 0.33% 302,183
ETD Ethan Allen Interiors Inc. Furnishings, Fixtures & Appliances Consumer Cyclical USA 777.18M 30.65 -2.05% 181,400
GCAN GREATER CANNABIS CO INC Drug Manufacturers - Specialty & Generic Healthcare USA 549.48K 0.00075 -6.25% 3,334,806
DOGZ Dogness (International) Corpora Leisure Consumer Cyclical China 29.40M 0.74 2.09% 36,012
RKLY Rockley Photonics Holdings Limi Semiconductors Technology United Kingdom 25.54M 0.19 0.00%
EQNR Equinor ASA Oil & Gas Integrated Energy Norway 92.81B 29.83 -2.10% 1,622,254
BTWN Bridgetown Holdings Limited Shell Companies Financial Services Hong Kong 308.67M 10.30 0.00% 17,918
BHR Braemar Hotels & Resorts Inc. REIT - Hotel & Motel Real Estate USA 286.73M 3.39 -6.61% 861,899
NNOMF NANO ONE MATLS CORP Specialty Chemicals Basic Materials Canada 257.83M 2.50 -2.34% 13,698
INTA Intapp, Inc. Software - Application Technology USA 2.55B 37.84 -8.04% 308,841
ALXO ALX Oncology Holdings Inc. Biotechnology Healthcare USA 235.81M 5.77 -3.19% 81,047
LOMA Loma Negra Compania Industrial Building Materials Basic Materials Argentina 1.50B 6.33 -3.51% 218,292
LICY Li-Cycle Holdings Corp. Waste Management Industrials Canada 1.04B 5.88 -2.00% 1,041,835
EXROF EXRO TECHNOLOGIES INC Electrical Equipment & Parts Industrials Canada 279.75M 1.67 -1.53% 25,524
PRAX Praxis Precision Medicines, Inc Biotechnology Healthcare USA 128.54M 1.00 4.41% 383,980
IYW iShares U.S. Technology ETF - - - 2.28B 110.44 -2.77% 684,635
SV Spring Valley Acquisition Corp. Shell Companies Financial Services USA 287.50M 10.00 0.00% 674,903
AHAC Alpha Healthcare Acquisition Co Shell Companies Financial Services USA 140.89M 10.96 7.98% 295,507
GRAM TPCO HOLDING CORP Tobacco Consumer Defensive USA 20.12M 0.16 0.00% 86,353
RGC Regencell Bioscience Holdings L Drug Manufacturers - Specialty & Generic Healthcare Hong Kong 234.23M 18.00 -0.33% 3,850
HPNN HOP-ON INC Communication Equipment Technology USA 5.21M 0.00070 0.00% 3,016,310
BYRN Byrna Technologies, Inc. Aerospace & Defense Industrials USA 74.50M 3.39 -3.14% 143,885
NICH NITCHE'S INC Apparel Manufacturing Consumer Cyclical USA 816.90K 0.00250 0.00% 57,000
NCLTF NITORI HOLDINGS CO LTD Furnishings, Fixtures & Appliances Consumer Cyclical Japan 13.95B 123.38 1.21% 70
NCLTY NITORI HOLDINGS CO LTD UNSPN AD Furnishings, Fixtures & Appliances Consumer Cyclical Japan 13.34B 11.80 -2.07% 40,914
XNTK SPDR NYSE Technology ETF - - - 1.51B 143.16 -3.40% 16,402
XNYIF XINYI SOLAR HOLDINGS LIMITED Solar Technology China 10.24B 1.07 0.00% 1,662
VOBIF VOBILE GROUP LTD Software - Application Technology Hong Kong 859.18M 0.33 0.00% 7,200
NGCA NextGen Acquisition Corp. II Shell Companies Financial Services USA 442.37M 9.25 -3.34% 539,800
NMTC NeuroOne Medical Technologies C Medical Devices Healthcare USA 18.44M 1.05 -0.94% 270,490
RTLR Rattler Midstream LP Oil & Gas Midstream Energy USA 2.23B 15.22 0.00% 4,666,784
TOMDF TODOS MEDICAL LIMITED Diagnostics & Research Healthcare Israel 844.88K 0.00060 20.00% 7,157,125
NUVB Nuvation Bio Inc. Biotechnology Healthcare USA 402.24M 1.83 -3.17% 280,371
ETWO E2open Parent Holdings, Inc. Software - Application Technology USA 1.49B 4.91 -3.35% 1,092,904
BTO John Hancock Financial Opportun Asset Management Financial Services USA 579.82M 30.10 -1.08% 121,007
SPEYF SPEY RESOURCES CORP Other Industrial Metals & Mining Basic Materials Canada 3.48M 0.03 -7.74% 271,232
JPST JPMorgan Ultra-Short Income ETF - - - 7.42B 50.02 0.04% 3,135,962
VXIT VIREXIT TECHNOLOGIES INC Utilities - Renewable Utilities USA 2M 0.00070 0.00% 3,935,338
PETZ TDH Holdings, Inc. Restaurants Consumer Cyclical China 12.90M 1.25 -3.85% 10,917
KLXE KLX Energy Services Holdings, I Oil & Gas Equipment & Services Energy USA 178.68M 10.89 -5.71% 169,695