Filter options

Records  8201 - 8250 Of 11,347 Page 165 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
SITC SITE Centers Corp. REIT - Retail Real Estate USA 2.94B 14.06 0.50% 2,345,457
QUAL iShares MSCI USA Quality Factor - - - 16.62B 137.79 -1.56% 1,103,175
QIPT Quipt Home Medical Corp. Medical Devices Healthcare USA 217.25M 5.14 -0.96% 57,992
JNCE Jounce Therapeutics, Inc. Biotechnology Healthcare USA 101.59M 1.88 0.00% 11,600,631
TLLTF TILT HOLDINGS INC Drug Manufacturers - Specialty & Generic Healthcare USA 11.16M 0.03 -2.33% 112,102
MITO Stealth BioTherapeutics Corp. Biotechnology Healthcare Cayman Islands 23.54M 0.32 0.00% 1,299,739
FORA Forian Inc. Health Information Services Healthcare USA 83.09M 2.55 -7.27% 8,512
LEU Centrus Energy Corp. Uranium Energy USA 541.06M 34.95 -5.69% 121,945
BXMX Nuveen S&P 500 Buy-Write Income Asset Management Financial Services USA 1.40B 13.42 -1.03% 127,464
JFIN Jiayin Group Inc. Internet Content & Information Communication Services China 343.57M 6.43 -8.40% 140,851
CLXT Calyxt, Inc. Biotechnology Healthcare USA 31.33M 6.30 5.53% 254,088
DEH D8 Holdings Corp. Shell Companies Financial Services Hong Kong 498.96M 11.57 4.23% 899,461
VRCA Verrica Pharmaceuticals Inc. Biotechnology Healthcare USA 225.16M 5.38 -4.10% 256,755
EYEN Eyenovia, Inc. Biotechnology Healthcare USA 80.19M 2.11 0.96% 113,675
PGJ Invesco Golden Dragon China ETF - - - 157.39M 29.98 -4.40% 86,905
FTSSF ELECTRA BATTERY MATERIALS CORP Other Industrial Metals & Mining Basic Materials Canada 132.78M 0.25 -0.48% 300,497
MWRK METAWORKS PLATFORMS INC Software - Application Technology USA 6.60M 0.07 6.06% 36,141
CURV Torrid Holdings Inc. Apparel Retail Consumer Cyclical USA 284.60M 2.74 1.11% 60,758
RMGB RMG Acquisition Corp. II Shell Companies Financial Services USA 381.66M 8.85 -1.01% 161,604
RXST RxSight, Inc. Medical Devices Healthcare USA 1.11B 32.75 -1.27% 311,432
AUID authID Inc. Software - Infrastructure Technology USA 65.29M 8.32 -2.58% 9,435
BRBL BREWBILT BREWING CO Specialty Industrial Machinery Industrials USA 733.24K 0.00010 0.00% 1,061,127
SHZHY SHENZHOU INTERNATIONAL GROUP HL - - Hong Kong 14.61B 9.72 -1.92% 17,391
SEGI SYCAMORE ENTERTAINMENT GROUP IN Entertainment Communication Services USA 218.50K 0.00120 5.26% 850,794
SYBX Synlogic, Inc. Biotechnology Healthcare USA 35.28M 0.52 -0.50% 60,686
HPQFF HPQ SILICON INC Other Industrial Metals & Mining Basic Materials Canada 70.87M 0.20 4.44% 64,284
SLLTF RECHARGE RESOURCES LTD Other Industrial Metals & Mining Basic Materials Canada 178.16K 0.02 -14.44% 146,088
CEPU Central Puerto S.A. Utilities - Regulated Electric Utilities Argentina 1.93B 6.35 -0.31% 310,583
CLRO ClearOne, Inc. Communication Equipment Technology USA 18.92M 0.79 -2.09% 63,408
NXTP NextPlay Technologies, Inc. Software - Infrastructure Technology USA 7.60M 1.28 -3.03% 22,056
AAPT ALL AMERICAN PET COMPANY INC Specialty Business Services Industrials USA 345.74K 0.00020 -33.33% 273,458
AAPJ AAP INC Real Estate Services Real Estate USA 28.39K 0.00070 -22.22% 68,944,699
JDCMF JD.COM INC Internet Retail Consumer Cyclical China 60.92B 19.10 0.00% 332
JFU 9F Inc. Information Technology Services Technology China 53.45M 4.54 2.25% 10,721
RMR The RMR Group Inc. Real Estate Services Real Estate USA 386.90M 23.28 -0.94% 59,869
INTEQ INTELSAT SA Telecom Services Communication Services Luxembourg 298.59K 0.00210 -30.00% 3,142
QH Quhuo Limited - American Deposi Software - Application Technology China 11.84M 1.92 2.13% 15,000
BGI Birks Group Inc. Luxury Goods Consumer Cyclical Canada 62.33M 3.31 1.85% 24,577
FATBB FAT Brands Inc. Restaurants Consumer Cyclical USA 129.95M 8.10 0.00% 160
PSTX Poseida Therapeutics, Inc. Biotechnology Healthcare USA 143.18M 1.65 -2.94% 347,056
TIL Instil Bio, Inc. Biotechnology Healthcare USA 71.28M 0.55 -0.36% 236,569
MDRR Medalist Diversified REIT, Inc. REIT - Diversified Real Estate USA 12.10M 5.45 -6.52% 5,050
ARSMF ARES STRATEGIC MINING INC Other Industrial Metals & Mining Basic Materials Canada 24.80M 0.17 -2.68% 82,786
ABXXF ABAXX TECHNOLOGIES INC Software - Application Technology Canada 131.13M 5.35 -5.43% 7,208
KOD Kodiak Sciences Inc Biotechnology Healthcare USA 165.45M 3.16 5.33% 1,009,541
EM Smart Share Global Limited Personal Services Consumer Cyclical China 231.24M 0.89 -8.10% 46,798
GWAC Good Works Acquisition Corp. Shell Companies Financial Services USA 225.52M 10.50 -7.41% 1,013,605
KDNY Chinook Therapeutics, Inc. Biotechnology Healthcare USA 2.69B 40.19 -0.25% 8,174,954
ALTU Altitude Acquisition Corp. Shell Companies Financial Services USA 88.70M 10.04 -0.30% 159
VBK Vanguard Small-Cap Growth ETF - - - 11.28B 233.22 -2.05% 165,689