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Records  9301 - 9350 Of 11,347 Page 187 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
CYAD Celyad Oncology SA Biotechnology Healthcare Belgium 14.24M 0.47 -12.96% 48,998
ENFA 890 5th Avenue Partners, Inc. Shell Companies Financial Services USA 353.20M 9.62 -2.93% 926,456
APSG Apollo Strategic Growth Capital Shell Companies Financial Services USA 793.50M 7.39 0.00% 1,080,801
MSNVF MISSION READY SOLUTIONS INC Aerospace & Defense Industrials Canada 7.44M 0.03 0.00% 13,400
BAB Invesco Taxable Municipal Bond - - - 0.92B 25.99 -0.42% 198,662
ASAI Sendas Distribuidora S A Grocery Stores Consumer Defensive Brazil 3.84B 14.23 -0.35% 327,901
IEF iShares 7-10 Year Treasury Bond - - - 13.83B 94.75 -0.20% 8,008,872
DAWN Day One Biopharmaceuticals, Inc Biotechnology Healthcare USA 1.11B 12.80 -4.12% 994,626
ACET Adicet Bio, Inc. Biotechnology Healthcare USA 106.53M 2.48 -1.98% 306,137
MEDAF MEDARO MNG CORP Other Industrial Metals & Mining Basic Materials Canada 6.69M 0.08 -3.38% 44,019
CFIV CF Acquisition Corp. IV Shell Companies Financial Services USA 249.51M 10.51 -0.24% 181
ACP Aberdeen Income Credit Strategi Asset Management Financial Services United Kingdom 357.24M 6.86 -0.29% 256,967
CBAH CBRE Acquisition Holdings, Inc. Shell Companies Financial Services USA 454.32M 10.75 6.44% 1,081,738
CIVI Civitas Resources, Inc. Oil & Gas E&P Energy USA 5.89B 73.14 -3.00% 743,822
SONX Sonendo, Inc. Medical Devices Healthcare USA 70.78M 1.38 -1.43% 30,195
TKAYF JUST EAT TAKEAWAY.COM N.V Internet Retail Consumer Cyclical Netherlands 4.38B 17.90 0.00% 177
RCRT Recruiter.com Group, Inc. Staffing & Employment Services Industrials USA 3.35M 0.19 -0.10% 99,408
TESS TESSCO Technologies Incorporate Communication Equipment Technology USA 83.30M 8.99 0.00% 5,525
OACB Oaktree Acquisition Corp. II Shell Companies Financial Services USA 293.12M 9.38 -1.16% 23,084
TPGS TPG Pace Solutions Corp. Shell Companies Financial Services USA 386.54M 9.97 2.36% 259,606
GOCOF GO METALS CORP Other Industrial Metals & Mining Basic Materials Canada 1.09M 0.04 6.25% 5,000
ELEV Elevation Oncology, Inc. Biotechnology Healthcare USA 26.53M 1.09 -7.63% 342,146
NMRD Nemaura Medical Inc. Medical Devices Healthcare USA 27.58M 0.95 6.03% 16,808
GRAB Grab Holdings Limited Software - Application Technology Singapore 14.23B 3.66 -3.68% 18,614,993
PTRS Partners Bancorp Banks - Regional Financial Services USA 132.37M 7.36 3.08% 2,399
JT Jianpu Technology Inc. Credit Services Financial Services China 28.86M 1.36 -2.42% 41,378
AOD Aberdeen Total Dynamic Dividend Asset Management Financial Services United Kingdom 865.59M 8.21 -1.44% 305,902
SSTI SoundThinking, Inc. Software - Application Technology USA 273.44M 22.33 -0.45% 30,987
QRHC Quest Resource Holding Corporat Waste Management Industrials USA 130.13M 6.59 0.46% 31,375
BTTR Better Choice Company Inc. Packaged Foods Consumer Defensive USA 6.90M 0.23 -0.88% 57,589
RNDB Randolph Bancorp, Inc. Banks Financial Services USA 140.47M 27.00 0.04% 6,383
ESBA Empire State Realty OP, L.P. Se REIT - Office Real Estate USA 2.43B 9.00 0.00% 34
VGII Virgin Group Acquisition Corp. Shell Companies Financial Services USA 299.86M 5.96 -3.56% 54,571
AURI AURI INC Oil & Gas Equipment & Services Energy USA 364.19K 0.00040 0.00% 3,224,998
AZYO Aziyo Biologics, Inc. Medical Devices Healthcare USA 34.09M 2.10 0.00% 6,058
EHVVF EHAVE INC Software - Application Technology USA 279.53K 0.00100 25.00% 274,704
VECT VectivBio Holding AG Biotechnology Healthcare Switzerland 1.06B 16.85 0.00% 130,404
KRT Karat Packaging Inc. Packaging & Containers Consumer Cyclical USA 388.01M 19.51 -0.81% 27,621
SPLP Steel Partners Holdings LP LTD Conglomerates Industrials USA 1.04B 47.96 0.00% 61
GTBAF GREAT BEAR RESOURCES LTD Gold Basic Materials Canada 1.30B 22.43 1.95% 6,064
MOBQ Mobiquity Technologies, Inc. Advertising Agencies Communication Services USA 2.40M 0.09 -5.97% 1,435,534
AMAM Ambrx Biopharma Inc. Biotechnology Healthcare USA 890.04M 14.68 -2.52% 499,565
BSN Broadstone Acquisition Corp. Shell Companies Financial Services United Kingdom 407.58M 10.68 19.06% 653,829
VLNCD THE VALENS COMPANY INC Drug Manufacturers Healthcare Canada 245.70M 3.61 0.00% 57,265
OCC Optical Cable Corporation Communication Equipment Technology USA 31.07M 3.95 7.63% 5,871
BZFD BuzzFeed, Inc. Internet Content & Information Communication Services USA 93.60M 0.64 -5.44% 349,990
LMB Limbach Holdings, Inc. Building Products & Equipment Industrials USA 285.64M 27.00 -1.24% 153,465
CLRD CLEARDAY INC Medical Care Facilities Healthcare USA 18.20M 0.70 0.00% 27
BY Byline Bancorp, Inc. Banks - Regional Financial Services USA 819.05M 21.72 0.05% 81,424
NU Nu Holdings Ltd. Banks - Regional Financial Services Brazil 36.67B 7.81 -1.26% 15,739,676