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Records  10451 - 10500 Of 11,347 Page 210 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
IONM Assure Holdings Corp. Medical Care Facilities Healthcare USA 3.91M 0.73 -7.59% 36,575
APGN Apexigen, Inc. Biotechnology Healthcare USA 11.01M 0.44 12.41% 67,856
VHI Valhi, Inc. Chemicals Basic Materials USA 418.54M 14.80 -2.12% 6,755
HIHO Highway Holdings Limited Metal Fabrication Industrials Hong Kong 8.81M 1.99 -0.80% 4,530
ALR AlerisLife Inc. Medical Care Facilities Healthcare USA 44.18M 1.32 0.00% 111,995
HNW Pioneer Diversified High Income Asset Management Financial Services USA 85.35M 10.24 -0.29% 36,356
SSBK Southern States Bancshares, Inc Banks - Regional Financial Services USA 217.67M 24.93 -0.08% 8,754
MEGL Magic Empire Global Limited Capital Markets Financial Services Hong Kong 29.98M 1.48 0.68% 102,291
CPTK Crown PropTech Acquisitions Shell Companies Financial Services USA 114.85M 10.35 0.19% 7,986
BRSH Bruush Oral Care Inc. Household & Personal Products Consumer Defensive Canada 70.31M 5.50 10.00% 703,710
IYZ iShares U.S. Telecommunications - - - 304.94M 22.34 -0.84% 734,005
QNCX Quince Therapeutics, Inc. Biotechnology Healthcare USA 36.04M 1.00 0.77% 181,458
QBTS D-Wave Quantum Inc. Computer Hardware Technology Canada 288.07M 2.25 -16.67% 13,725,860
HEQ John Hancock Hedged Equity & In Asset Management Financial Services USA 130.87M 10.70 -1.02% 35,705
BRDG Bridge Investment Group Holding Asset Management Financial Services USA 1.89B 12.00 -2.12% 67,086
BRDG Bridge Investment Group Holding - - - 2.57B 16.77 1.51% 23,629
HPF John Hancock Pfd Income Fund II Asset Management Financial Services USA 332.35M 15.48 -1.96% 38,164
PDT John Hancock Premium Dividend F Asset Management Financial Services USA 541.90M 11.02 -1.08% 142,778
RDBBY REDBUBBLE LTD SPON ADS EACH REP Internet Retail Consumer Cyclical Australia 144.83M 5.10 0.00% 13
RDBBF REDBUBBLE LTD Internet Retail Consumer Cyclical Australia 152.32M 0.47 0.67% 6,750
HTY John Hancock Tax-Advantaged Glo Asset Management Financial Services USA 51.33M 4.70 -1.88% 41,771
HTD John Hancock Tax Advantaged Div Asset Management Financial Services USA 730.60M 20.62 -1.01% 48,070
HPS John Hancock Preferred Income F Asset Management Financial Services USA 451.63M 14.18 -0.14% 43,614
HPI John Hancock Preferred Income F Asset Management Financial Services USA 409.40M 15.49 -1.78% 47,995
JHS John Hancock Income Securities Asset Management Financial Services USA 125.78M 10.80 -0.46% 16,418
JHI John Hancock Investors Trust Asset Management Financial Services USA 113.33M 12.96 -0.23% 20,262
SAI SAI.TECH Global Corporation Capital Markets Financial Services Singapore 39.18M 1.65 -5.71% 40,517
ZFOX ZeroFox Holdings, Inc. - - - 1.12B 9.53 -3.20% 57,079
ENBA Enbridge Inc 6.375% Fixed-to-Fl - - - 41.78B 25.40 0.00% 21,497
VVX V2X, Inc. - - - 1.03B 33.69 0.39% 48,376
CGAU Centerra Gold Inc. Gold Basic Materials Canada 1.30B 5.95 0.00% 203,978
STIX Semantix, Inc. Software - Application Technology Brazil 147.05M 1.87 -3.36% 7,031
ZRFY ZERIFY INC Software - Infrastructure Technology USA 3.42M 0.00250 -21.88% 9,091,561
CNF CNFinance Holdings Limited Mortgage Finance Financial Services China 212.60M 3.10 0.00% 13,885
CNFN CFN ENTERPRISES INC Advertising Agencies Communication Services USA 6.96M 0.17 0.00% 9,600
NCRA Nocera, Inc. Packaged Foods Consumer Defensive Taiwan 13.53M 1.35 1.50% 14,670
PLLTL PIEDMONT LITHIUM INC Other Industrial Metals & Mining Basic Materials USA 1B 0.52 -5.45% 6,200
RVAC Riverview Acquisition Corp. Shell Companies Financial Services USA 348.44M 11.15 -2.71% 479,109
BACK IMAC Holdings, Inc. Medical Care Facilities Healthcare USA 3.74M 0.11 -1.31% 942,726
TVPC TWIN VEE POWERCATS INC Leisure Consumer Cyclical USA 658.77K 0.07 0.00% 60,090
KNRRY KNORR BREMSE AG UNSPON ADS EACH Auto Parts Consumer Cyclical Germany 11.12B 17.24 -0.75% 36,431
PET Wag! Group Co. Software - Application Technology USA 91.47M 2.44 2.09% 58,307
PET - - - 271.67M 7.75 -5.49% 182,583
FRZA Forza X1, Inc. Recreational Vehicles Consumer Cyclical USA 19.41M 1.23 -2.38% 90,462
CHG Corphousing Group Inc. Real Estate Services Real Estate USA 34.49M 1.30 0.00% 5,265
ODV Osisko Development Corp. Gold Basic Materials Canada 356.01M 4.24 -2.08% 24,582
SRNW STRATOS RENERABLES CORPORATION Shell Companies Financial Services USA 15.96M 0.19 0.00% 31,073
AMPS Altus Power, Inc. Utilities Utilities USA 754.53M 4.71 6.56% 1,290,915
HNVR Hanover Bancorp, Inc. Banks - Regional Financial Services USA 132.13M 18.40 1.88% 2,325
CXAI KINS Technology Group Inc. Software - Application Technology USA 77.91M 9.94 11.69% 82,359