Filter options

Records  8301 - 8350 Of 11,347 Page 167 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
VIH VPC Impact Acquisition Holdings Shell Companies Financial Services USA 242.63M 9.36 -1.06% 1,530,241
ENIC Enel Chile S.A. Utilities - Regulated Electric Utilities Chile 4.66B 3.36 -2.04% 1,259,688
DRMA Dermata Therapeutics, Inc. Biotechnology Healthcare USA 4.05M 1.27 0.00% 57,364
VWTR Vidler Water Resources, Inc. Utilities Utilities USA 288.22M 15.75 0.00% 220,179
SPNV Supernova Partners Acquisition Shell Companies Financial Services USA 442.75M 8.80 0.00% 209,435
BRAG Bragg Gaming Group Inc. Gambling Consumer Cyclical Canada 117.74M 5.41 5.05% 33,462
TEO Telecom Argentina SA Telecom Services Communication Services Argentina 3.35B 5.92 -2.79% 89,133
GNPK Genesis Park Acquisition Corp. Shell Companies Financial Services USA 214.96M 10.50 4.69% 412,684
PLTXF PLANTX LIFE INC Internet Retail Consumer Cyclical Canada 18.23K 0.02 11.11% 58,502
BRYYF AMANI GOLD LTD Gold Basic Materials Australia 16.93M 0.00020 0.00% 17,225,302
ICNAF LEEF BRANDS INC Drug Manufacturers Healthcare Canada 56.28M 0.06 0.00% 16,806
BPRMF BLUE PRISM GROUP PLC Software Technology United Kingdom 1.63B 16.32 0.00% 4,255
ELTK Eltek Ltd. Electronic Components Technology Israel 44.52M 7.61 -3.67% 12,520
PONGF ATARI Electronic Gaming & Multimedia Communication Services France 61.57M 0.14 -22.22% 47,183
VBIO VITALITY BIOPHARMA INC Biotechnology Healthcare USA 19.77M 0.39 11.43% 64,215
HUMA Humacyte, Inc. Biotechnology Healthcare USA 322.63M 3.12 -2.80% 768,639
IRON Disc Medicine, Inc. Biotechnology Healthcare USA 1.14B 49.93 -0.85% 127,404
EWC iShares MSCI Canada Index Fund - - - 3.31B 34.91 -1.99% 1,594,826
IWD iShares Russell 1000 Value ETF - - - 49.32B 161.48 -0.84% 1,413,853
RQHTF RELIQ HEALTH TECHNOLOGIES INC Health Information Services Healthcare Canada 78.12M 0.38 -0.75% 16,916
AAMC Altisource Asset Management Cor Mortgage Finance Financial Services USA 75.61M 43.00 4.02% 25,135
IWO iShares Russell 2000 Growth ETF - - - 11.11B 248.28 -1.71% 712,646
VQS VIQ Solutions Inc. Software - Application Technology Canada 10.18M 0.29 -0.38% 36,598
AADI Aadi Bioscience, Inc. Biotechnology Healthcare USA 128.54M 5.26 0.19% 224,819
ICCM IceCure Medical Ltd. Medical Devices Healthcare Israel 54.29M 1.19 0.00% 85,366
UNAM Unico American Corporation Insurance - Property & Casualty Financial Services USA 93.90K 0.02 0.00% 2
BCDA BioCardia, Inc. Biotechnology Healthcare USA 39.56M 1.96 -2.49% 11,925
DDI DoubleDown Interactive Co., Ltd Electronic Gaming & Multimedia Communication Services South Korea 435.49M 8.79 -0.92% 367
EVAX Evaxion Biotech A/S Biotechnology Healthcare Denmark 34M 1.23 -2.38% 18,325
CCAJ COASTAL CAPITAL ACQUISITION COR Engineering & Construction Industrials USA 2.97M 0.00130 0.00% 1
TMVWY TEAMVIEWER SE UNSPON ADS EACH R Software - Application Technology Germany 3.17B 8.95 -1.67% 598
GAEGF GAGE GROWTH CORP Drug Manufacturers Healthcare Canada 193.78M 1.40 -3.45% 10,747
REX REX American Resources Corporat Chemicals Basic Materials USA 640.30M 36.82 -1.02% 69,270
OPP RiverNorth/DoubleLine Strategic Asset Management Financial Services USA 198.01M 8.62 -1.49% 89,148
JPS Nuveen Preferred & Income Secur Asset Management Financial Services USA 1.34B 6.51 -0.31% 531,575
SHLDQ SEARS HOLDINGS CORP Department Stores Consumer Cyclical USA 10.79M 0.10 0.00% 11,944
SCHP Schwab U.S. TIPs ETF - - - 5.99B 51.66 -0.19% 2,680,224
ELSE Electro-Sensors, Inc. Scientific & Technical Instruments Technology USA 15.08M 4.40 0.46% 4,056
SY So-Young International Inc. - A Health Information Services Healthcare China 167.23M 1.65 -3.51% 47,014
SMMT Summit Therapeutics Inc. Biotechnology Healthcare USA 1.36B 1.95 -6.70% 1,129,333
VWAPY VOLKSWAGEN AG UNSPON ADS EACH R Auto Manufacturers Consumer Cyclical Germany 74.43B 12.94 -1.45% 132,834
VWAPY VOLKSWAGEN AG - - - 149.05B 23.89 0.87% 79,017
ALKM ALKAME HOLDINGS INC Beverages - Non-Alcoholic Consumer Defensive USA 1.73M 0.00020 -33.33% 5,387,000
GIGM GigaMedia Limited Electronic Gaming & Multimedia Communication Services Taiwan 16.80M 1.52 -0.65% 8,497
GIGM GigaMedia Limited - - - 34.81M 3.15 9.37% 433,471
CENH Centricus Acquisition Corp. Shell Companies Financial Services United Kingdom 360.09M 8.35 -0.48% 150,445
AIRC Apartment Income REIT Corp. REIT - Residential Real Estate USA 5.15B 34.55 0.44% 1,305,346
IPOD Social Capital Hedosophia Holdi Shell Companies Financial Services USA 576.72M 10.03 -0.10% 605,476
AVNT Avient Corporation Specialty Chemicals Basic Materials USA 3.65B 40.13 -1.64% 289,807
AIVN AMERICAN INTERNATIONAL VENTURES Gold Basic Materials USA 2.09M 0.00010 0.00% 855