Filter options

Records  8501 - 8550 Of 11,347 Page 171 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
BROS Dutch Bros Inc. Restaurants Consumer Cyclical USA 1.74B 29.88 -3.02% 741,636
ONON On Holding AG Footwear & Accessories Consumer Cyclical Switzerland 11.05B 34.83 -3.20% 2,798,694
TWKS Thoughtworks Holding, Inc. Information Technology Services Technology USA 2.25B 7.09 1.00% 419,859
PPGH Poema Global Holdings Corp. Shell Companies Financial Services USA 549.41M 12.74 23.69% 5,986,014
TERN Terns Pharmaceuticals, Inc. Biotechnology Healthcare USA 408.66M 7.21 0.42% 280,719
PRCT PROCEPT BioRobotics Corporation Medical Devices Healthcare USA 1.62B 36.00 6.13% 2,014,766
HIVE HIVE Digital Technologies Ltd Capital Markets Financial Services Canada 421.47M 4.98 -3.86% 1,156,719
DH Definitive Healthcare Corp. Health Information Services Healthcare USA 1.26B 11.44 0.88% 729,771
DICE DICE Therapeutics, Inc. Biotechnology Healthcare USA 2.26B 47.38 0.36% 2,911,156
JZZI JZZ TECHNOLOGIES INC Conglomerates Industrials USA 69.94K 0.00030 0.00% 340,500
TYRA Tyra Biosciences, Inc. Biotechnology Healthcare USA 621.40M 14.60 1.39% 42,123
FLNG FLEX LNG Ltd. Oil & Gas Midstream Energy Bermuda 1.70B 31.61 -0.38% 307,653
MIMO Airspan Networks Holdings Inc. Telecom Services Communication Services USA 12.38M 0.17 0.06% 276,466
GSFI GREEN STREAM HOLDINGS INC Utilities - Renewable Utilities USA 1M 0.00020 100.00% 9,562,617
CTAC Cerberus Telecom Acquisition Co Shell Companies Financial Services USA 260.62M 7.81 -15.93% 449,026
FSFG First Savings Financial Group, Banks - Regional Financial Services USA 123.59M 18.00 1.87% 1,746
RNW ReNew Energy Global plc Utilities - Renewable Utilities United Kingdom 2.34B 6.04 -1.63% 395,450
LXXGF LEXAGENE HOLDINGS INC Medical Devices Healthcare USA 11.34M 0.08 0.00% 1,417,642
CBLAQ CBL & ASSOCIATES PROPERTIES INC REIT Real Estate USA 34.18M 0.17 0.00% 118,998
SLGC SomaLogic, Inc. Health Information Services Healthcare USA 405.96M 2.16 -9.62% 1,547,882
FBCD FBC HOLDING INC Apparel Retail Consumer Cyclical USA 8.34K 0.00015 50.00% 472,129
VBHI VERDE BIO HLDGS INC Oil & Gas E&P Energy USA 848.69K 0.00055 10.00% 10,779,178
FLUX Flux Power Holdings, Inc. Electrical Equipment & Parts Industrials USA 85.01M 5.21 -2.80% 86,972
BMEA Biomea Fusion, Inc. Biotechnology Healthcare USA 679.70M 19.20 -7.51% 641,861
FRG FRGAP Franchise Group, Inc. Specialty Retail Consumer Cyclical USA 1.05B 27.51 2.50% 448,329
ROT Rotor Acquisition Corp. Shell Companies Financial Services USA 346.72M 10.05 -2.14% 328,143
GUT Gabelli Utility Trust (The) Asset Management Financial Services USA 511.44M 6.89 -0.43% 122,878
TONR TONNER ONE WORLD HOLDINGS INC Software - Application Technology USA 101.22K 0.00020 0.00% 1,006,531
FORG ForgeRock, Inc. Software - Infrastructure Technology USA 1.82B 20.52 -1.11% 250,345
BKSY BlackSky Technology Inc. Scientific & Technical Instruments Technology USA 256.37M 1.84 -6.60% 718,099
ACT Enact Holdings, Inc. Insurance - Specialty Financial Services USA 4.55B 28.18 4.22% 423,793
BTCWF BLUESKY DIGITAL ASSETS CORP Capital Markets Financial Services Canada 3.46M 0.03 -2.28% 901,713
HMLA HIMALAYA TECHNOLOGIES INC Internet Content & Information Communication Services USA 242.94K 0.00130 18.18% 3,500,000
PRKR PARKERVISION INC Semiconductors Technology USA 9.37M 0.11 13.99% 71,200
VRME VerifyMe, Inc. Security & Protection Services Industrials USA 11.36M 1.21 -0.41% 8,447
CZOO Cazoo Group Ltd Auto & Truck Dealerships Consumer Cyclical United Kingdom 54.90M 1.42 -13.41% 363,055
AXTG AXIS TECHNOLOGIES GROUP INC. Capital Markets Financial Services USA 104.97K 0.00140 0.00% 332
CRXT Clarus Therapeutics Holdings, I Drug Manufacturers Healthcare USA 2.47M 0.05 -31.16% 2,737,134
PACE TPG Pace Tech Opportunities Cor Shell Companies Financial Services USA 630M 11.20 0.00% 1,050,217
PRTH Priority Technology Holdings, I Software - Infrastructure Technology USA 332.44M 4.34 -0.57% 6,419
DVY iShares Select Dividend ETF - - - 20.44B 116.74 -0.38% 526,396
NEXI NexImmune, Inc. Biotechnology Healthcare USA 7.43M 0.29 -3.98% 44,599
IDW IDW Media Holdings Publishing Communication Services USA 6.07M 0.43 0.00% 105,693
CGNT Cognyte Software Ltd. Software - Infrastructure Technology Israel 369.21M 5.35 -7.12% 187,614
LSRCY LASERTEC CORP UNSPON EACH ADR R Semiconductor Equipment & Materials Technology Japan 13.27B 29.44 -3.29% 26,916
BONZ BONANZA GOLDFIELDS CORP Entertainment Communication Services Singapore 4.10M 0.00090 -30.77% 20,000
SAPX SEVEN ARTS ENTERTAINMENT INC Entertainment Communication Services USA 97.67K 0.00060 9.09% 2,881,744
LIQT LiqTech International, Inc. Pollution & Treatment Controls Industrials Denmark 21.56M 3.81 2.97% 7,823
RDGL VIVOS INC Medical Devices Healthcare USA 22.23M 0.06 -4.76% 382,522
ATRO Astronics Corporation Aerospace & Defense Industrials USA 689.97M 21.06 -2.18% 183,483