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Records  8401 - 8450 Of 11,347 Page 169 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
QGSI QUANTGATE SYS INC Software - Application Technology USA 40.03M 0.14 -11.87% 207,037
RKFL ROCKETFUEL BLOCKCHAIN INC Software - Infrastructure Technology USA 6.32M 0.17 -0.57% 23,960
ABIT ATHENA BITCOIN GLOBAL Capital Markets Financial Services USA 285.79M 0.07 -0.14% 20,480
EFTR eFFECTOR Therapeutics, Inc. Biotechnology Healthcare USA 43.85M 0.71 -4.20% 695,066
RPTX Repare Therapeutics Inc. Biotechnology Healthcare Canada 351.02M 8.34 -7.13% 78,943
AIRT Air T, Inc. Conglomerates Industrials USA 62.84M 22.30 -0.84% 1,938
GANX Gain Therapeutics, Inc. Biotechnology Healthcare USA 46.60M 3.78 -5.03% 32,077
JMP JMP Group LLC Capital Markets Financial Services USA 149.69M 7.50 0.27% 41,783
PPIH Perma-Pipe International Holdin Building Products & Equipment Industrials USA 68.59M 8.57 7.80% 63,451
PNDHF POND TECHNOLOGIES HOLDINGS INC Farm Products Consumer Defensive Canada 1.91M 0.03 0.00% 6,000
AAGC ALL AMERICAN GOLD CORP Leisure Consumer Cyclical USA 144.95K 0.00030 50.00% 156,660
BEDU Bright Scholar Education Holdin Education & Training Services Consumer Defensive China 33.29M 1.12 1.82% 4,210
SNRY SOLAR ENERGY INITIATIVES INC Shell Companies Financial Services USA 824.93K 0.00120 0.00% 255,240
BBDO Banco Bradesco Sa Banks - Regional Financial Services Brazil 35.17B 3.06 -0.86% 7,055
FFZY FANSFRENZY CORPORATION Software - Infrastructure Technology USA 1.51M 0.04 0.00% 100
INZY Inozyme Pharma, Inc. Biotechnology Healthcare USA 209.17M 4.75 -5.38% 604,578
GROY Gold Royalty Corp. Gold Basic Materials Canada 242.72M 1.68 -3.45% 440,165
CGNMF CGN MINING COMPANY LTD Uranium Energy Hong Kong 896.88M 0.12 7.27% 20,000
INCR Intercure Ltd. Drug Manufacturers - Specialty & Generic Healthcare Israel 72M 1.58 1.28% 17,168
BVAXF BIOVAXYS TECHNOLOGY CORP Biotechnology Healthcare Canada 2.18M 0.02 -5.42% 200
JILL J. Jill, Inc. Apparel Retail Consumer Cyclical USA 239.65M 22.64 0.62% 21,701
TUEM TUESDAY MORNING CORP Discount Stores Consumer Defensive USA 2.85M 0.48 0.00% 89,787
CNTA Centessa Pharmaceuticals plc Biotechnology Healthcare United Kingdom 672.16M 7.03 -5.13% 2,271,839
BLFY Blue Foundry Bancorp Banks - Regional Financial Services USA 271.56M 10.27 0.10% 53,372
SEAH Sports Entertainment Acquisitio Shell Companies Financial Services USA 457.88M 8.14 0.00% 533,958
SMNEY SIEMENS ENERGY AG SPON ADS EACH Specialty Industrial Machinery Industrials Germany 13.57B 17.13 1.09% 7,345
NRGV Energy Vault Holdings, Inc. Utilities - Renewable Utilities USA 440.53M 3.10 -6.91% 767,996
BIOX Bioceres Crop Solutions Corp. Agricultural Inputs Basic Materials Argentina 794.06M 12.64 -0.55% 69,582
USDP USD Partners LP Railroads Industrials USA 27M 0.80 1.25% 85,709
OPAD Offerpad Solutions Inc. Real Estate Services Real Estate USA 311.19M 11.43 -3.30% 89,530
OTMO Otonomo Technologies Ltd. Software - Application Technology Israel 44.39M 0.30 -3.23% 645,098
DMAN DEMAND BRANDS INC Drug Manufacturers - Specialty & Generic Healthcare USA 1.49M 0.00220 -8.33% 1,227,000
AMRK A-Mark Precious Metals, Inc. Capital Markets Financial Services USA 0.92B 39.41 -2.98% 131,924
PVSP PERVASIP CORPORATION Advertising Agencies Communication Services USA 1.89M 0.00050 14.94% 920,000
EWS iShares Inc iShares MSCI Singap - - - 478.19M 19.36 -2.71% 192,847
RIBT RiceBran Technologies Packaged Foods Consumer Defensive USA 5.75M 0.90 -1.64% 11,282
CNICF CHINA INTL CAPITAL CORPORATION Capital Markets Financial Services China 18.01B 1.72 0.00% 258
MNTK Montauk Renewables, Inc. Utilities - Diversified Utilities USA 1.21B 8.44 -1.97% 156,956
VKIN VIKING ENERGY GROUP INC Oil & Gas E&P Energy USA 100.54M 0.81 0.00% 699,658
TNT Peak Fintech Group Inc. Information Technology Services Technology Canada 607.26M 9.09 0.00%
VNCE Vince Holding Corp. Apparel Manufacturing Consumer Cyclical USA 33.95M 2.72 -1.45% 4,121
RELI Reliance Global Group, Inc. Insurance Brokers Financial Services USA 5.07M 3.11 -4.31% 11,210
RLLWF RELIANCE WORLDWIDE CORPORATION Building Products & Equipment Industrials USA 2.21B 2.75 0.00% 30
RICE Rice Acquisition Corp. Shell Companies Financial Services USA 541.87M 18.27 1.11% 233,924
AGGI ALLIED ENERGY INC FLA Shell Companies Financial Services USA 119.43K 0.00160 -56.64% 2,000
ALID ALLIED CORP Drug Manufacturers - Specialty & Generic Healthcare Canada 24.26M 0.25 8.81% 2,600
THCP Thunder Bridge Capital Partners Shell Companies Financial Services USA 246.17M 10.13 0.00% 5,074
VSBGF VSBLTY GROUPE TECHNOLOGIES CORP Software - Application Technology Canada 14.77M 0.06 15.19% 838,568
AVVH AVVAA WORLD HEALTH CARE PROD IN Shell Companies Financial Services USA 22K 0.00160 0.00% 150,819
BBBT BLACK BIRD BIOTECH INC Drug Manufacturers - Specialty & Generic Healthcare USA 65.89K 0.00010 -50.00% 14,012,000