Filter options

Records  10051 - 10100 Of 11,347 Page 202 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
CRKR CREEK ROAD MINERS INC Capital Markets Financial Services USA 33.08M 0.19 -1.05% 5,473
ISAA Iron Spark I Inc. Shell Companies Financial Services USA 222.17M 10.08 0.00% 20,035
REZZF GLOBAL BATTERY METALS LTD Other Industrial Metals & Mining Basic Materials Canada 9.22M 0.12 -0.41% 772
EMBC Embecta Corp. Medical Instruments & Supplies Healthcare USA 1.20B 20.98 -0.90% 565,107
AVLNF AVALON ADVANCED MATERIALS INC Other Industrial Metals & Mining Basic Materials Canada 63.52M 0.11 -3.95% 90,497
RNVAD Rennova Health, Inc. Diagnostics & Research Healthcare USA 20.80K 0.00720 -20.00% 4,125,313
CCD Calamos Dynamic Convertible & I Asset Management Financial Services USA 550.61M 20.81 -1.84% 86,863
BRID Bridgford Foods Corporation Packaged Foods Consumer Defensive USA 106.71M 11.76 -0.28% 2,306
WBDWV Discovery, Inc. - Series A Entertainment Communication Services USA 12.42B 24.47 7.47% 646,377
KSPN Kaspien Holdings Inc. Software - Application Technology USA 796.88K 0.16 -6.20% 16,069
HLXA Helix Acquisition Corp. Shell Companies Financial Services USA 196.17M 13.25 19.80% 554,068
MLVF Malvern Bancorp, Inc. Banks Financial Services USA 129.73M 16.97 0.00% 44,645
RFMZ - - USA 347.74M 14.28 1.13% 50,333
RFMZ - - - 410.21M 16.85 2.09% 119,929
UTAA UTA Acquisition Corporation Shell Companies Financial Services USA 305.33M 10.62 -0.09% 38,314
ELBMF ELECTRA BATTERY MATERIALS CORP Other Industrial Metals & Mining Basic Materials Canada 7.94M 0.25 -2.08% 1,538,861
AAIC Arlington Asset Investment Corp REIT - Mortgage Real Estate USA 129.04M 4.55 -0.44% 131,653
CGSI CGS INTERNATIONAL INC (US) Agricultural Inputs Basic Materials Philippines 14.68K 0.00040 0.00% 6,050
JRS Nuveen Real Estate Income Fund Asset Management Financial Services USA 221.03M 7.65 -0.52% 85,998
JRS Nuveen Real Estate Income Fund - - - 340.64M 11.79 -0.17% 62,488
STRY STARRY GROUP HOLDINGS INC Telecom Services Communication Services USA 1.34M 0.00800 0.00% 10,129,390
STRY Starry Group Holdings, Inc. - - - 1.35B 8.10 -3.57% 437,167
FPH Five Point Holdings, LLC Real Estate - Development Real Estate USA 494.36M 3.33 -2.63% 86,776
FPH Five Point Holdings, LLC - - - 0.91B 6.14 -0.32% 201,082
HIX Western Asset High Income Fund Asset Management Financial Services USA 325.43M 4.92 -0.81% 234,360
GGR Gogoro Inc. Auto Manufacturers Consumer Cyclical Taiwan 732.59M 3.00 -9.09% 511,240
NUTX Nutex Health Inc. Health Information Services Healthcare USA 268.92M 0.41 1.80% 385,587
ORPHY Orphazyme A/S Biotechnology Healthcare Denmark 1.06M 0.03 -62.50% 23,208
DC Dakota Gold Corp. Gold Basic Materials USA 222.93M 2.96 -0.34% 88,222
XPON Expion360 Inc. Electrical Equipment & Parts Industrials USA 36.42M 5.27 0.00% 8,439
LND Brasilagro Brazilian Agric Real Farm Products Consumer Defensive Brazil 538.49M 5.45 -0.91% 18,528
AZMCF ARIZONA METALS COR Other Industrial Metals & Mining Basic Materials Canada 251.09M 2.16 -2.74% 162,697
SWVL Swvl Holdings Corp Software - Application Technology United Arab Emirates 5.83M 1.08 -3.73% 22,497
MMD MainStay MacKay DefinedTerm Mun Asset Management Financial Services USA 467.19M 16.76 -0.95% 53,433
VERY Vericity, Inc. Insurance - Life Financial Services USA 107.55M 7.23 2.99% 867
AMAO American Acquisition Opportunit Shell Companies Financial Services USA 34.80M 10.70 -0.47% 50,589
CMPO CompoSecure, Inc. Metal Fabrication Industrials USA 562.07M 7.17 -2.05% 49,279
NRC National Research Corporation Health Information Services Healthcare USA 1.08B 43.84 2.29% 24,952
MCARY MERCARI INC UNSPON ADS EACH REP Internet Retail Consumer Cyclical Japan 3.99B 12.33 -8.12% 3,696
NMLSF NOVA MENTIS LIFE SCIENCE CORP Biotechnology Healthcare Canada 4.12M 0.03 0.00% 5,085
ESAB ESAB Corporation Metal Fabrication Industrials USA 4.32B 71.73 -2.21% 354,040
AFB AllianceBernstein National Muni Asset Management Financial Services USA 304.70M 10.60 -0.28% 63,017
FUND Sprott Focus Trust, Inc. - Clos Asset Management Financial Services Canada 246.12M 8.22 -2.26% 9,130
WBD Warner Bros. Discovery, Inc. - Entertainment Communication Services USA 46.77B 19.27 0.10% 19,393,366
IIM Invesco Value Municipal Income Asset Management Financial Services USA 559.17M 11.88 -0.17% 147,105
VKI 9268 Asset Management Financial Services USA 372.12M 8.38 -0.59% 125,956
SCPH scPharmaceuticals Inc. Biotechnology Healthcare USA 293.31M 8.20 -1.32% 295,161
GNS Genius Group Limited Education & Training Services Consumer Defensive Singapore 28.96M 0.57 -11.44% 1,669,570
GNS Genius Group Ltd - - - 154.08M 7.16 -63.15% 5,331,545
SNCE Science 37 Holdings, Inc. Health Information Services Healthcare USA 34.28M 0.29 6.76% 463,264