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Any
Low (Under 1%)
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Float
Any
Under 1M
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Drug Manufacturers—General
Insurance—Diversified
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Software—Infrastructure
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Steel
Drugs - Generic
Oil & Gas E&P
Staffing & Employment Services
REIT—Mortgage
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Insurance Brokers
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REIT—Specialty
Engineering & Construction
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Water Utilities
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Specialty Chemicals
Insurance—Specialty
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REIT—Hotel & Motel
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REIT—Diversified
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Industrial Equipment Wholesale
REIT—Healthcare Facilities
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REIT—Office
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Diversified Electronics
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Real Estate—Diversified
Other Precious Metals & Mining
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REIT—Industrial
Real Estate—Development
Auto Manufacturers
Beverages—Non-Alcoholic
Property & Casualty Insurance
Shell Companies
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Medical Laboratories & Research
Leisure
Conglomerates
Cigarettes
Tools & Accessories
Multimedia & Graphics Software
Residential Construction
Basic Materials Wholesale
Broadcasting - TV
Travel Services
Luxury Goods
Copper
Building Materials
Personal Services
Money Center Banks
Advertising Agencies
Regional - Mid-Atlantic Banks
Resorts & Casinos
Internet Software & Services
Discount Stores
Regional - Southeast Banks
Department Stores
Diversified Communication Services
Regional - Northeast Banks
Grocery Stores
Recreational Vehicles
General Building Materials
Utilities—Renewable
Regional - Southwest Banks
Financial Conglomerates
Savings & Loans
Cleaning Products
Food Wholesale
Marketing Services
Regional - Pacific Banks
Wireless Communications
Independent Oil & Gas
Aerospace/Defense Products & Services
Telecom Services - Domestic
Financial Data & Stock Exchanges
Confectioners
Oil & Gas Drilling & Exploration
Computers Wholesale
Semiconductor - Broad Line
Uranium
Entertainment - Diversified
Semiconductor - Specialized
Paper & Paper Products
Electric Utilities
Beverages - Soft Drinks
Staffing & Outsourcing Services
Foreign Utilities
Gambling
Music & Video Stores
Investment Brokerage - National
Shipping
Specialty Retail, Other
Oil & Gas Drilling
Diversified Machinery
Internet Information Providers
Discount, Variety Stores
Specialized Health Services
Business Services
Regional - Midwest Banks
Application Software
Infrastructure Operations
Technical Services
Coking Coal
Oil & Gas Pipelines
Diversified Utilities
Air Services, Other
Diversified Investments
Business Software & Services
Textile - Apparel Footwear & Accessories
Closed-End Fund - Equity
Processed & Packaged Goods
Drug Stores
Management Services
Medical Appliances & Equipment
Networking & Communication Devices
Industrial Metals & Minerals
CATV Systems
Trucks & Other Vehicles
REIT - Office
Home Furnishings & Fixtures
Medical Practitioners
Electronic Equipment
Semiconductor - Integrated Circuits
Internet Service Providers
Drug Manufacturers - Other
Healthcare Information Services
Diagnostic Substances
Property Management
Diversified Computer Systems
Food - Major Diversified
Real Estate Development
Long Distance Carriers
Drug Manufacturers - Major
Home Improvement Stores
Information & Delivery Services
Sporting Activities
Agricultural Chemicals
Forward P/E
Any
Profitable (Over 0)
Low (<15)
High (>50)
Under 1
Under 3
Under 5
1 to 3
3 to 5
5 to 10
10 to 50
50 to 100
Over 1
Over 3
Over 5
Return on Equity
Any
Postive (>0%)
Negative (<0%)
0% to 5%
5% to 10%
10% to 25%
25% to 50%
50% to 100%
Over +100%
0% to -5%
-5% to -10%
-10% to -25%
-25% to -50%
-50% to -100%
Under -100%
EPS next Y
Any
Low (Under 1%)
High (>25%)
1% to 10%
10% to 20%
20% to 30%
Under 30%
Above 30%
Float Short
Any
Low (Under 5%)
High (>20%)
5% to 10%
10% to 20%
20% to 30%
Under 30%
Above 30%
Sector
Any
Technology
Financial Services
Consumer Cyclical
Communication Services
Consumer Defensive
Industrials
Basic Materials
Healthcare
Energy
Real Estate
Utilities
Consumer Goods
Conglomerates
Services
Financial
Industrial Goods
Price/Book
Any
Low (Under 1)
High (>5)
Under 5
Under 10
Under 15
Under 100
1 to 3
3 to 5
5 to 10
10 to 50
50 to 100
Over 100
Over 5
Over 10
Over 15
Current Ratio
Any
Low (<1)
High (>3)
0 to 1
1 to 2
2 to 3
3 to 5
5 to 10
Under 3
Under 5
Under 10
Over 3
Over 5
Over 10
EPS past 5Y
Any
Low (Under 1%)
High (>25%)
1% to 10%
10% to 20%
20% to 30%
Under 30%
Above 30%
Shares Outstanding
Any
Under 1M
Under 50M
Under 100M
1M to 5M
5M to 10M
10M to 50M
50M to 100M
Over 50M
Over 100M
Market Cap
Any
Mega (200bln & more)
Large (10bln to 200bln)
Mid (2bln to 10bln)
Small (300mln to 2bln)
Nano (under 50mln)
PEG
Any
Low (<1)
Under 2
Under 5
Under 10
Over 5
Over 10
Over 15
0 to 1
1 to 2
2 to 3
3 to 5
High (>5)
Debt/Equity
Any
Low (<0.1)
High (>0.5)
Under 1
Under 3
Under 5
Under 10
Under 20
Under 25
Under 30
Over 1
Over 3
Over 5
Over 10
Over 20
Over 25
Over 30
EPS next 5Y
Any
Low (Under 1%)
High (>25%)
1% to 10%
10% to 20%
20% to 30%
Under 30%
Above 30%
Insider Own
Any
Low (Under 10%)
High (>30%)
Over 20%
Over 30%
Over 40%
Over 50%
Over 60%
Over 70%
Change(%)
Any
Up
Down
Under 10%
Under 25%
Under 50%
Up 0% to 5%
Up 5% to 10%
Up 10% to 25%
Up 25% to 50%
Up 50% to 100%
Up +100%
Down 0% to 5%
Down 5% to 10%
Down 10% to 25%
Down 25% to 50%
Down 50% to 100%
Down -100%
Over 10%
Over 25%
Over 50%
Earnings
Any
Today
Tomorrow
Yesterday
This Week
Next Week
Last Week
This Month
Next Month
Dividend Yield
Any
None (0%)
Positive (Under 1%)
High (>10%)
Under 5%
Under 10%
Under 15%
1% to 5%
5% to 10%
Over 1%
Over 5%
Over 10%
Over 15%
Beta
Any
Under 0
Under 0.5
Under 5
0.5 to 1
1 to 2
2 to 3
3 to 5
Over 1
Over 3
Over 5
Institutional Own
Any
Price
Any
Under 1
Under 3
Under 5
Under 10
Under 50
Under 100
1 to 3
1 to 5
1 to 10
10 to 50
50 to 100
Over 1
Over 3
Over 5
Over 10
Over 50
Over 100
Profit Margin
Any
Postive (>0%)
Negative (<0%)
0% to 5%
5% to 10%
10% to 25%
25% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +25%
Over +50%
Over +100%
0% to -5%
-5% to -10%
-10% to -25%
-25% to -50%
-50% to -100%
Under -100%
Gross Margin
Any
Postive (>0%)
Negative (<0%)
0% to 5%
5% to 10%
10% to 25%
25% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +25%
Over +50%
Over +100%
0% to -5%
-5% to -10%
-10% to -25%
-25% to -50%
-50% to -100%
Under -100%
Operating Margin
Any
Postive (>0%)
Negative (<0%)
Under 25%
Under 50%
Under 100%
0% to 5%
5% to 10%
10% to 25%
25% to 50%
50% to 100%
0% to -5%
-5% to -10%
-10% to -25%
-25% to -50%
-50% to -100%
Over +25%
Over +50%
Over +100%
Ern Qtrly Grth
Any
Postive (>0%)
Negative (<0%)
0% to 5%
% to 10%
10% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +100%
0% to -5%
w -5% to -10%
-10% to -50%
-50% to -100%
Volume
Any
Under 50K
Under 100K
Under 500K
Under 1M
50K to 100K
50K to 500K
500K to 1M
1M to 2M
1M to 5M
5M to 10M
10M to 20M
Over 50K
Over 100K
Over 500K
Over 1M
Over 5M
Over 20M
50D Avg Chg
Any
Postive (>0%)
Negative (<0%)
0% to 5%
5% to 10%
10% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +50%
Over +100%
0% to -5%
-5% to -10%
-10% to -50%
-50% to -100%
200D Avg Chg
Any
Postive (>0%)
Negative (<0%)
0% to 5%
5% to 10%
10% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +50%
Over +100%
0% to -5%
-5% to -10%
-10% to -50%
-50% to -100%
52W High Chg
Any
Postive (>0%)
Negative (<0%)
0% to 5%
0% to 10%
10% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +50%
Over +100%
0% to -5%
0% to -10%
-10% to -50%
-50% to -100%
52W Low Chg
Any
Postive (>0%)
Negative (<0%)
0% to 5%
0% to 10%
10% to 50%
50% to 100%
Under +25%
Under +50%
Under +100%
Over +50%
Over +100%
0% to -5%
0% to -10%
-10% to -50%
-50% to -100%
Analyst Recom.
Any
Strong Buy (1)
Buy or better
Buy
Hold or better
Hold
Hold or worse
Sell
Sell or worse
Strong Sell (5)
Records
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Of 11,347
Page 200 of 227
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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
Conglomerates
Industrials
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