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Records  9451 - 9500 Of 11,347 Page 190 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
FCCY 1st Constitution Bancorp (NJ) Banks Financial Services USA 286.84M 27.79 3.81% 596,162
ELNSF ELEMENT NUTRITIONAL SCIENCES IN Packaged Foods Consumer Defensive Canada 16.56M 0.15 1.36% 80,000
BXSL Blackstone Secured Lending Fund Asset Management Financial Services USA 4.64B 28.05 -0.78% 330,321
EQRX EQRx, Inc. Biotechnology Healthcare USA 1.06B 2.17 7.43% 63,258,845
AGL agilon health, inc. Medical Care Facilities Healthcare USA 8.02B 19.33 5.63% 3,134,254
RBNC Reliant Bancorp, Inc. Banks Financial Services USA 588.47M 35.50 1.40% 501,823
AIMD Ainos, Inc. Medical Devices Healthcare USA 19.24M 0.96 -1.35% 19,763
MACQ AdTheorent Holding Company, Inc Advertising Agencies Communication Services USA 502.60M 5.60 3.32% 122,112
CYT Cyteir Therapeutics, Inc. Biotechnology Healthcare USA 96.95M 2.73 0.00% 356,901
BRT BRT Apartments Corp. (MD) REIT - Residential Real Estate USA 370.75M 19.33 0.47% 24,332
GLLI Globalink Investment Inc. Shell Companies Financial Services USA 86.96M 10.62 0.00% 75,102
HPURF HEXAGON PURUS ASA Industrial Distribution Industrials Norway 569.90M 1.95 0.00% 1,867
DNAY Codex DNA, Inc. Medical Devices Healthcare USA 38.38M 1.30 8.33% 19,945
DNAY Codex DNA, Inc. - - - 215.99M 7.37 9.84% 663,785
GF New Germany Fund, Inc. (The) Asset Management Financial Services Germany 154.05M 8.95 -2.29% 30,927
DSGR Distribution Solutions Group, I Industrial Distribution Industrials USA 1.07B 54.38 0.53% 21,708
CNGT CANNAGISTICS INC Shell Companies Financial Services USA 29.63K 0.00010 0.00% 60,726
PBHG PBS HOLDING INC Staffing & Employment Services Industrials USA 243.17M 0.00010 0.00% 500,195
EVIO EVIO INC Drug Manufacturers - Specialty & Generic Healthcare USA 134.45K 0.00005 0.00% 1,056,499
PRDS Pardes Biosciences, Inc. Biotechnology Healthcare USA 130.22M 2.11 0.96% 1,815,543
ROAG ROGUE ONE INC Packaged Foods Consumer Defensive USA 531.51K 0.00170 0.00% 500
NWN Northwest Natural Holding Compa Utilities - Regulated Gas Utilities USA 1.51B 42.08 -0.40% 114,205
CURUF CONSOLIDATED URANIUM INC Other Industrial Metals & Mining Basic Materials Canada 100.43M 1.01 -1.03% 28,045
TQLB TORQUE LIFESTYLE BRANDS INC Packaged Foods Consumer Defensive USA 444.41K 0.00320 -9.86% 13,500
ABCE ABCO ENERGY INC Solar Technology USA 130.26K 0.00050 0.00% 100,000
DCAC DANIELS CORPORATE ADVISORY CO I Consulting Services Industrials USA 174.12K 0.00010 0.00% 80,000
AKTX Akari Therapeutics Plc Biotechnology Healthcare United Kingdom 25.95M 0.26 -4.04% 916,728
NYC American Strategic Investment C Real Estate Services Real Estate USA 17.05M 7.40 -4.15% 3,305
JANX Janux Therapeutics, Inc. Biotechnology Healthcare USA 587.25M 12.77 -3.55% 62,386
GHC Graham Holdings Company Education & Training Services Consumer Defensive USA 2.77B 584.01 0.22% 23,138
CHWRF CHINA TOWER CORP LTD Telecom Services Communication Services China 20.93B 0.12 -4.28% 100
AGE AgeX Therapeutics, Inc. Biotechnology Healthcare USA 28.46M 0.75 1.02% 2,735
PINE Alpine Income Property Trust, I REIT - Retail Real Estate USA 259.04M 16.96 -0.47% 80,920
PEAR Pear Therapeutics, Inc. Health Information Services Healthcare USA 4.17M 0.03 0.00% 66,303,236
MRPI MERA PHARMACEUTICALS INC Biotechnology Healthcare USA 222.92K 0.00010 0.00% 500
MLAI McLaren Technology Acquisition Shell Companies Financial Services USA 261.37M 10.39 -0.10% 1,257
MTRY Monterey Innovation Acquisition Shell Companies Financial Services USA 47.52M 10.96 -0.36% 4
MCB Metropolitan Bank Holding Corp. Banks - Regional Financial Services USA 510.21M 46.42 0.78% 107,521
GMII Gores Metropoulos II, Inc. Shell Companies Financial Services USA 470.81M 8.37 -1.30% 402,695
MCBS MetroCity Bankshares, Inc. Banks - Regional Financial Services USA 543.26M 21.49 0.09% 13,204
JGH Nuveen Global High Income Fund Asset Management Financial Services USA 266.54M 11.50 -1.29% 51,129
HLGN Heliogen, Inc. Utilities - Renewable Utilities USA 51.11M 0.25 -2.50% 377,598
FEN 17547 Asset Management Financial Services USA 272.49M 14.00 -1.48% 49,246
GLDG GoldMining Inc. Gold Basic Materials Canada 161.58M 0.92 -1.18% 376,743
VGID V GROUP INC Beverages - Non-Alcoholic Consumer Defensive USA 756.76K 0.00020 0.00% 510,000
MXSG MEXUS GOLD US Other Precious Metals & Mining Basic Materials USA 1.29M 0.00100 -23.08% 23,488,935
PLYM Plymouth Industrial REIT, Inc. REIT - Industrial Real Estate USA 0.98B 22.62 -0.40% 135,783
FEZ SPDR DJ Euro STOXX 50 Etf - - - 2.75B 45.29 -2.22% 2,313,985
STMH STEM HOLDINGS INC Drug Manufacturers - Specialty & Generic Healthcare USA 3.02M 0.01 0.00% 144,664
CNVCF BIOHARVEST SCIENCES INC Packaged Foods Consumer Defensive Canada 63.72M 0.14 0.07% 43,200