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Records  10501 - 10550 Of 11,347 Page 211 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
LUCY Innovative Eyewear, Inc. Medical Instruments & Supplies Healthcare USA 10.44M 0.81 0.40% 100,643
TGL Treasure Global Inc. Software - Application Technology USA 12.37M 0.70 2.50% 185,691
SLVRF SILVER ONE RESOURCES INC Silver Basic Materials Canada 58.08M 0.26 -8.05% 258,610
SLVRF SILVER ONE RESOURCES INC - - - 61.11M 0.29 29.44% 794,366
HYB New America High Income Fund, I Asset Management Financial Services USA 158.01M 6.76 -0.59% 58,317
PLUR Pluri Inc. Biotechnology Healthcare Israel 33.64M 1.03 0.00% 14,710
ABMD ABIOMED, Inc. Medical Devices Healthcare USA 17.18B 381.02 0.00% 15,702,662
LBPH Longboard Pharmaceuticals, Inc. Biotechnology Healthcare USA 164.23M 7.15 -2.72% 42,249
SLN Silence Therapeutics Plc - Amer Biotechnology Healthcare United Kingdom 194.88M 5.42 4.23% 123,815
REUN Reunion Neuroscience Inc. Biotechnology Healthcare Canada 13.01M 1.11 0.00% 19,005
MEME Listed Funds Trust Roundhill ME - - - 1.79B 41.62 -2.90% 5,290
GCT GigaCloud Technology Inc Software - Infrastructure Technology USA 360.17M 8.84 -1.78% 219,794
GRFX Graphex Group Limited Other Industrial Metals & Mining Basic Materials Hong Kong 50.37M 1.20 0.84% 29,434
IDU iShares U.S. Utilities ETF - - - 482.20M 82.43 0.07% 69,162
CNWGY CINEWORLD GROUP UNSP ADR EACH R - - - 54.02M 0.12 0.00% 1,096,152
GBNH Greenbrook TMS Inc. Medical Care Facilities Healthcare Canada 17.63M 0.42 -13.04% 449,855
REBN Reborn Coffee, Inc. Restaurants Consumer Cyclical USA 9.48M 0.72 -4.10% 15,600
CSVI COMPUTER SERVICES INC Information Technology Services Technology USA 1.59B 57.98 0.00% 5,204
NAAS Naas Technology Inc. Specialty Retail Consumer Cyclical China 1.16B 5.19 -4.16% 990,600
RBT Rubicon Technologies, Inc. Software - Application Technology USA 331.16M 1.73 41.80% 29,778,973
PHVS Pharvaris N.V. Biotechnology Healthcare Netherlands 576.83M 17.03 -0.12% 23,049
GEHI Gravitas Education Holdings, In Education & Training Services Consumer Defensive China 18.67M 13.54 0.00% 117
RAM Aries I Acquisition Corporation Shell Companies Financial Services Cayman Islands 62.43M 10.60 0.00% 1,017
STBX Starbox Group Holdings Ltd. Internet Content & Information Communication Services Malaysia 204.99M 3.77 0.27% 239,822
SNWGF SNOWLINE GOLD CORP Gold Basic Materials Canada 524.97M 3.74 3.89% 79,485
IVCTF INVICTUS ENERGY LTD Oil & Gas E&P Energy Australia 135.25M 0.11 -8.18% 215,201
AKLI Akili, Inc. Health Information Services Healthcare USA 94.57M 1.21 0.00% 16,843
PAC Grupo Aeroportuario Del Pacific Airports & Air Services Industrials Mexico 9.11B 180.33 -2.81% 38,672
NRGX PIMCO Energy and Tactical Credi - - USA 737.22M 16.49 -1.14% 44,347
GBLBY GROUPE BRUXELLES LAMBERT UNSP A Asset Management Financial Services Belgium 10.94B 7.90 -1.01% 410
BCML BayCom Corp Banks - Regional Financial Services USA 245.26M 19.92 0.50% 21,524
PWP Perella Weinberg Partners Capital Markets Financial Services USA 873.50M 10.06 -1.85% 281,369
JZ Jianzhi Education Technology Gr Education & Training Services Consumer Defensive China 60.56M 1.00 -0.99% 6,625
PXMD PaxMedica, Inc. Biotechnology Healthcare USA 8.64M 0.59 -7.28% 191,063
APE AMC Entertainment Holdings, Inc Entertainment Communication Services USA 4.52B 1.81 0.56% 6,171,285
ENDPQ Endo International plc Drug Manufacturers - Specialty & Generic Healthcare Ireland 2.59M 0.01 -26.67% 13,937
JFBR Jeffs' Brands Ltd Internet Retail Consumer Cyclical Israel 5.81M 0.70 -0.26% 62,346
ERC 109188 Asset Management Financial Services USA 265.79M 9.47 -0.94% 50,879
EOD Wells Fargo Global Dividend Opp Asset Management Financial Services USA 191.69M 4.43 -1.77% 48,039
ERH 40135 Asset Management Financial Services USA 94.32M 10.15 -0.65% 20,752
EAD 238549 Asset Management Financial Services USA 381.05M 6.38 -0.31% 196,482
GUER GUERRILLA RF INC Semiconductors Technology USA 31.95M 4.70 -6.00% 308
DVLP GOLDEN DEVELOPING SOLUTIONS INC Drug Manufacturers - Specialty & Generic Healthcare USA 1.31M 0.00050 -9.09% 4,605,337
PROK ProKidney Corp. Biotechnology Healthcare USA 3.03B 12.88 -1.53% 179,908
PMETF PATRIOT BATTERY METALS INC Other Industrial Metals & Mining Basic Materials Canada 1.04B 10.10 -10.63% 71,692
MCHX Marchex, Inc. Advertising Agencies Communication Services USA 88.43M 2.04 2.51% 11,768
NATR Nature's Sunshine Products, Inc Packaged Foods Consumer Defensive USA 264.73M 13.90 1.02% 16,845
SPFI South Plains Financial, Inc. Banks - Regional Financial Services USA 456.79M 26.77 1.02% 15,587
ATXG Addentax Group Corp. Integrated Freight & Logistics Industrials China 12.68M 3.39 -6.61% 66,293
CHRA Charah Solutions, Inc. Waste Management Industrials USA 20.96M 6.16 3.36% 100