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Records  9951 - 10000 Of 11,347 Page 200 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
BBU Brookfield Business Partners L. Conglomerates Industrials Bermuda 1.30B 17.49 -0.91% 10,750
NPRFF NEPRA FOODS INC Packaged Foods Consumer Defensive USA 2.12M 0.04 -30.13% 1,023,934
HONE HarborOne Bancorp, Inc. Banks - Regional Financial Services USA 483.92M 10.39 -0.48% 135,716
FNWD Finward Bancorp Banks - Regional Financial Services USA 107.60M 25.00 1.63% 369
CRGE Charge Enterprises, Inc. Telecom Services Communication Services USA 187.75M 0.88 -4.89% 277,159
EVBN Evans Bancorp, Inc. Banks - Regional Financial Services USA 160.93M 29.46 -0.20% 13,153
RGF The Real Good Food Company, Inc Packaged Foods Consumer Defensive USA 106.89M 4.13 2.48% 12,057
EIM 100401 Asset Management Financial Services USA 702.31M 9.87 -0.60% 234,681
FCRD First Eagle Alternative Capital Asset Management Financial Services USA 135.85M 4.54 -3.40% 286,432
ESQ Esquire Financial Holdings, Inc Banks - Regional Financial Services USA 408.39M 49.85 0.02% 28,842
ALOT AstroNova, Inc. Computer Hardware Technology USA 103.40M 13.94 -3.03% 13,600
DINO HF Sinclair Corporation Oil & Gas Refining & Marketing Energy USA 9.93B 51.62 -1.36% 2,685,137
ISDR Issuer Direct Corporation Software - Application Technology USA 86.13M 22.72 6.92% 12,935
CDRE Cadre Holdings, Inc. Aerospace & Defense Industrials USA 887.03M 23.60 1.16% 57,305
CDRE Cadre Holdings, Inc. - - - 889.50M 25.87 3.56% 37,657
MIRO Miromatrix Medical Inc. Biotechnology Healthcare USA 37.05M 1.36 -3.55% 8,201
TROO TROOPS, Inc. Software - Application Technology Hong Kong 419.60M 4.13 -8.86% 15,953
EWW iShares Inc iShares MSCI Mexico - - - 1.17B 61.96 -2.64% 3,116,535
ALST ALLSTAR HEALTH BRANDS INC Pharmaceutical Retailers Healthcare Canada 165.82M 0.00060 0.00% 1
MSTO MASTERBEAT CORP Real Estate Services Real Estate USA 96.26K 0.00030 0.00% 2,265,506
SMBC Southern Missouri Bancorp, Inc. Banks - Regional Financial Services USA 534.35M 47.16 -1.42% 17,944
PMD Psychemedics Corporation Diagnostics & Research Healthcare USA 28.74M 5.01 0.10% 2,010
THER THERALINK TECHNOLOGIES INC Biotechnology Healthcare USA 12.92M 0.00210 5.00% 9,976,065
AHG Akso Health Group Medical Distribution Healthcare China 6.40M 0.28 3.70% 12,180
ALOR ALSP Orchid Acquisition Corpora Shell Companies Financial Services USA 77.15M 10.68 0.00% 1
HBB Hamilton Beach Brands Holding C Furnishings, Fixtures & Appliances Consumer Cyclical USA 133.92M 9.50 -1.66% 19,338
CEA China Eastern Airlines Corporat Airlines Industrials China 15.48B 20.09 2.55% 17,065
AKAN Akanda Corp. Drug Manufacturers - Specialty & Generic Healthcare United Kingdom 2.18M 0.56 -7.75% 230,295
TSAT Telesat Corporation Communication Equipment Technology Canada 461.62M 9.10 -2.47% 54,779
WLFC Willis Lease Finance Corporatio Rental & Leasing Services Industrials USA 293.32M 43.13 0.77% 8,793
WLFC Willis Lease Finance Corporatio - - - 195.88M 32.56 -5.02% 24,114
HRT HireRight Holdings Corporation Staffing & Employment Services Industrials USA 764.96M 10.36 -2.45% 189,728
XIACY XIAOMI CORPORATION UNSPON ADS E Consumer Electronics Technology China 38.16B 7.55 -1.31% 15,210
PPCB PROPANC BIOPHARMA INC Biotechnology Healthcare Australia 226.57K 0.07 -8.62% 581,193
DRTS Alpha Tau Medical Ltd. Biotechnology Healthcare Israel 262.55M 3.79 -2.32% 14,894
BOC Boston Omaha Corporation Advertising Agencies Communication Services USA 595.73M 19.03 -0.31% 82,232
ALCUF ALPHA COPPER CORP Other Industrial Metals & Mining Basic Materials Canada 11.83M 0.14 3.67% 76,997
DSGN Design Therapeutics, Inc. Biotechnology Healthcare USA 433.58M 7.75 0.65% 267,862
ZTEK Zentek Ltd. Medical Instruments & Supplies Healthcare Canada 162.37M 1.63 0.00% 17,649
ALLG Allego N.V. Specialty Retail Consumer Cyclical Netherlands 672.58M 2.53 -5.60% 63,956
FCO 17210 Asset Management Financial Services United Kingdom 76.61M 5.99 -2.60% 52,179
SLSSF SOLARIS RESOURCES INC Other Precious Metals & Mining Basic Materials Canada 689.89M 4.70 -0.33% 2,532
SLSDF SELECT SANDS CORP Other Industrial Metals & Mining Basic Materials USA 1.67M 0.02 0.00% 245
SNPO Snap One Holdings Corp. Electronics & Computer Distribution Technology USA 811M 10.64 2.01% 30,165
TSI TCW Strategic Income Fund, Inc. Asset Management Financial Services USA 223.16M 4.67 0.00% 187,214
EMCF Emclaire Financial Corp Banks Financial Services USA 86.43M 31.60 -3.36% 18,678
BLAGF BLUE LAGOON RESOURCES INC Gold Basic Materials Canada 14.28M 0.12 3.34% 26,166
IYM iShares U.S. Basic Materials ET - - - 568.43M 135.34 -1.69% 108,960
IDR Idaho Strategic Resources, Inc. Gold Basic Materials USA 64.10M 5.23 1.36% 2,276
GAXYD GALAXY NEXT GENERATION INC Consumer Electronics Technology USA 5.76M 0.33 -8.33% 128,184