Filter options

Records  10401 - 10450 Of 11,347 Page 209 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
FFHL Fuwei Films (Holdings) Co., Ltd Packaging & Containers Consumer Cyclical China 27.11M 8.30 0.00%
HKD AMTD Digital Inc. Software - Application Technology France 1.27B 6.61 -0.30% 752,819
GRRR Gorilla Technology Group Inc. Software - Infrastructure Technology United Kingdom 125.74M 1.86 -7.00% 1,984,860
WETG WeTrade Group Inc. Software - Application Technology China 9.20M 8.72 -3.75% 19,510
HGTXU HUGOTON ROYALTY TRUST Oil & Gas E&P Energy USA 32M 0.80 1.27% 23,823
NUVG NUVUS GRO CORP Entertainment Communication Services USA 2.23M 0.04 78.97% 521,996
GDL GDL Fund, The of Beneficial In Asset Management Financial Services USA 99.37M 7.90 -0.13% 3,845
ETY Eaton Vance Tax-Managed Diversi Asset Management Financial Services USA 1.94B 12.33 -0.96% 200,930
MOND Mondee Holdings, Inc. Travel Services Consumer Cyclical USA 666.90M 7.94 -4.57% 138,634
HLFFF HELLOFRESH SE Restaurants Consumer Cyclical Germany 4.49B 25.91 0.00% 5
FIPWV FTAI Infrastructure Inc. - - - 327.32M 3.30 -10.57% 879,740
DFP Flaherty & Crumrine Dynamic Pre Asset Management Financial Services USA 372.97M 18.16 -0.27% 48,066
GWAV Greenwave Technology Solutions, Waste Management Industrials USA 11.48M 1.02 2.00% 46,774
VRAX Virax Biolabs Group Limited Biotechnology Healthcare United Kingdom 7.16M 0.40 -0.25% 49,193
BSPK BESPOKE EXCTRACTS INC Drug Manufacturers - Specialty & Generic Healthcare USA 1.88M 0.19 0.00% 88
FAZE FaZe Holdings Inc. Internet Content & Information Communication Services USA 29.89M 0.40 -0.77% 210,668
HLN Haleon plc Drug Manufacturers - Specialty & Generic Healthcare United Kingdom 38.42B 8.32 -2.69% 2,987,466
OBIO Orchestra BioMed Holdings, Inc. Biotechnology Healthcare USA 191.29M 5.35 -2.73% 21,127
OPAL OPAL Fuels Inc. Utilities - Regulated Gas Utilities USA 1.41B 8.19 0.86% 54,598
CBAN Colony Bankcorp, Inc. Banks - Regional Financial Services USA 188.24M 10.70 -0.19% 36,902
ACU Acme Household & Personal Products Consumer Defensive USA 108.04M 30.47 -1.04% 7,565
FRGT Freight Technologies, Inc. Software - Application Technology USA 7.16M 0.75 -1.94% 116,024
STEK STEMTECH CORP Drug Manufacturers - Specialty & Generic Healthcare USA 3.05M 0.05 4.67% 41,406
LMST Limestone Bancorp, Inc. Banks Financial Services USA 178.68M 23.42 0.00% 1,907
PPCCF PICC PROPERTY & CASUALTY CO Insurance - Property & Casualty Financial Services China 25.12B 1.19 0.00% 925
IYC iShares U.S. Consumer Discretio - - - 320.13M 71.14 -1.66% 84,430
HOUS Anywhere Real Estate Inc. - - - 1.25B 10.89 3.32% 1,335,331
HOUS Anywhere Real Estate Inc. - - - 1.12B 9.45 -9.44% 396,247
HOUS Anywhere Real Estate Inc. - - - 1.12B 9.45 -9.44% 396,247
GETY Getty Images Holdings, Inc. Internet Content & Information Communication Services USA 1.93B 4.80 -2.44% 214,489
AVVIY AVIVA UNSPON ADR EACH REP 2 ORD Insurance - Diversified Financial Services United Kingdom 13.20B 9.64 -2.53% 34,589
VIVXF AVIVAGEN INC Drug Manufacturers - Specialty & Generic Healthcare Canada 884.44K 0.01 0.00% 20,000
BCAC Brookline Capital Acquisition C Shell Companies Financial Services USA 153.20M 22.71 127.33% 586,499
MGAM Mobile Global Esports Inc. Electronic Gaming & Multimedia Communication Services USA 13.27M 0.65 -22.62% 2,006,613
MAIA MAIA Biotechnology, Inc. Biotechnology Healthcare USA 29.84M 2.19 0.00% 30,997
ETO Eaton Vance Tax-Advantage Globa Asset Management Financial Services USA 379.22M 23.14 -1.20% 41,870
OIG Orbital Infrastructure Group, I Engineering & Construction Industrials USA 18.49M 3.94 -1.99% 98,374
EHAB Enhabit, Inc. Medical Care Facilities Healthcare USA 656.81M 13.11 -3.46% 390,052
ZFOX ZeroFox Holdings, Inc. Software - Infrastructure Technology USA 137.65M 1.16 1.75% 72,884
ERO Ero Copper Corp. Copper Basic Materials Canada 2.09B 22.62 -3.66% 114,326
AIU Meta Data Limited Education & Training Services Consumer Defensive Hong Kong 19.73B 1.03 0.97% 38,044
ASPC Alpha Capital Acquisition Compa - - - 199.82M 6.95 -31.53% 395,433
HSCS Heart Test Laboratories, Inc. Medical Devices Healthcare USA 9.22M 0.89 -2.05% 11,859
EDBL Edible Garden AG Incorporated Farm Products Consumer Defensive USA 3.45M 1.22 -2.40% 12,926
NOTE FiscalNote Holdings, Inc. Information Technology Services Technology USA 432.64M 3.23 -0.92% 487,507
POL Polished Inc. Specialty Retail Consumer Cyclical USA 19.57M 0.19 -6.95% 15,303,690
FIP FTAI Infrastructure Inc. Conglomerates Industrials USA 343.09M 3.45 -1.43% 413,153
AVASF AVAST PLC - - - 8.63B 8.02 0.00% 188
CSTR CapStar Financial Holdings, Inc Banks - Regional Financial Services USA 309.51M 14.82 1.09% 21,476
RITM Rithm Capital Corp. REIT - Mortgage Real Estate USA 4.93B 10.21 1.49% 5,802,763