Filter options

Records  10601 - 10650 Of 11,347 Page 213 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
JDSPY JD SPORTS FASHION PLC UNSP ADR Apparel Retail Consumer Cyclical United Kingdom 10.39B 2.01 0.00% 48
PRST Presto Automation, Inc. Software - Application Technology USA 203.56M 3.61 -7.20% 265,224
KITL KISSES FROM ITALY INC Restaurants Consumer Cyclical USA 7.43M 0.03 -2.65% 173,450
JKHCF JUST KITCHEN HOLDINGS CORP Restaurants Consumer Cyclical Canada 6.21M 0.06 0.00% 3
KTYCF KITS EYE CARE LTD Specialty Retail Consumer Cyclical Canada 105.27M 3.32 0.00% 1,720
APCOF AMERICAN POTASH CORP NEW Other Industrial Metals & Mining Basic Materials Canada 3M 0.04 -14.85% 1,000
MBGAF MERCEDES-BENZ GROUP AG Auto Manufacturers Consumer Cyclical Germany 83.72B 77.71 -0.25% 23,578
LVVV LIVEWIRE ERGOGENICS INC Drug Manufacturers - Specialty & Generic Healthcare USA 12.91M 0.00490 3.16% 1,878,200
HOLO MicroCloud Hologram Inc. Electronic Components Technology China 153.96M 3.03 -7.06% 79,729
CSR D/B/A Centerspace REIT - Residential Real Estate USA 1.04B 65.00 -2.36% 89,285
PEPG PepGen Inc. Biotechnology Healthcare USA 132.94M 5.59 -5.89% 118,668
MHGVY MOWI ASA SPON ADS EACH REP 1 OR Farm Products Consumer Defensive Norway 8.94B 17.26 -2.40% 6,755
BTDPY BARRATT DEVELOPMENTS UNSP ADR E Residential Construction Consumer Cyclical United Kingdom 5.69B 11.68 -0.23% 3,534
TGEN Tecogen Inc. Electrical Equipment & Parts Industrials USA 26.34M 1.06 -12.40% 2,802
ACOPY THE A2 MILK COMPANY LTD UNSPON Packaged Foods Consumer Defensive New Zealand 2.44B 3.25 -0.06% 200
LVWR LiveWire Group, Inc. Auto Manufacturers Consumer Cyclical USA 2.27B 11.22 -5.48% 35,025
LASE Laser Photonics Corporation Specialty Industrial Machinery Industrials USA 21.04M 2.67 -0.74% 67,366
FSI Flexible Solutions Internationa Specialty Chemicals Basic Materials Canada 35.94M 2.89 0.00% 15,328
GXII GX Acquisition Corp. II Shell Companies Financial Services USA 280.13M 6.69 -10.44% 207,372
FONR Fonar Corporation Diagnostics & Research Healthcare USA 112.72M 16.91 0.00% 10,785
MODG Topgolf Callaway Brands Corp. Leisure Consumer Cyclical USA 3.98B 21.55 -2.13% 744,534
DFLI Chardan NexTech Acquisition 2 C Electrical Equipment & Parts Industrials USA 95.34M 14.00 -12.39% 94,431
SHFS SHF Holdings, Inc. Banks - Regional Financial Services USA 24.49M 0.53 0.36% 11,529
IWV iShares Russell 3000 ETF - - - 14.24B 259.10 -1.42% 142,530
RWR SPDR DJ Wilshire REIT ETF - - - 2.40B 92.28 -0.39% 115,161
RFI Cohen & Steers Total Return Rea Asset Management Financial Services USA 312.85M 11.84 -0.42% 54,903
AMV Atlis Motor Vehicles, Inc. Auto Parts Consumer Cyclical USA 17.83M 0.50 -1.88% 460,274
RLTY Cohen & Steers Real Estate Oppo Asset Management Financial Services USA 239.93M 14.32 -1.72% 41,686
CEM ClearBridge MLP and Midstream F Asset Management Financial Services USA 485.39M 36.44 -2.02% 32,019
ATEYY ADVANTEST CORP SPON ADR EACH RE Semiconductor Equipment & Materials Technology Japan 24.39B 132.40 -5.91% 13,484
CINGF COINSILIUM GROUP LTD Software - Application Technology United Kingdom 1.87M 0.01 -10.83% 7,000
BCSA Blockchain Coinvestors Acquisit Shell Companies Financial Services Cayman Islands 163.02M 10.93 0.18% 12
CRNCY CAPRICORN ENERGY PLC Oil & Gas E&P Energy United Kingdom 342.98M 4.79 0.00% 104
OPT Opthea Limited Biotechnology Healthcare Australia 180.93M 3.10 -4.62% 9,387
CRRVF CVR MEDICAL CORP Medical Devices Healthcare Canada 15.44K 0.00000 0.00% 34,750
CRRTF CRESCITA THERAPEUTICS INC Drug Manufacturers - Specialty & Generic Healthcare Canada 10.79M 0.53 0.00% 7
MPCFF METRO PACIFIC INVESTMENTS CO - - Philippines 2.87B 0.10 0.00% 100
GPOX GPO PLUS INC Specialty Business Services Industrials USA 5.45M 0.15 -3.50% 25,607
DFLI Dragonfly Energy Holdings Corp Electrical Equipment & Parts Industrials USA 153.82M 2.69 -8.98% 2,365,305
LNLHF LEANLIFE HEALTH INC Packaged Foods Consumer Defensive Canada 3.04M 0.00500 0.00% 1,750
ERNA Eterna Therapeutics Inc. Biotechnology Healthcare USA 9.12M 3.10 -6.06% 9,153
UPXI Upexi, Inc. Internet Content & Information Communication Services USA 68.61M 3.82 -1.04% 36,581
LMAO LMF Acquisition Opportunities I Shell Companies Financial Services USA 161.06M 12.35 13.41% 560,236
IRL New Ireland Fund, Inc (The) Asset Management Financial Services USA 37.76M 10.41 -0.09% 24,930
EMO ClearBridge Energy Midstream Op Asset Management Financial Services USA 400.43M 31.32 -2.28% 18,959
OCGSF OUTCROP SILVER & GOLD CORPORATI Other Precious Metals & Mining Basic Materials Canada 31.31M 0.14 0.92% 86,950
IVVD Invivyd, Inc. Biotechnology Healthcare USA 165.32M 1.51 4.14% 501,748
XTNT Xtant Medical Holdings, Inc. Medical Devices Healthcare USA 140.50M 1.09 3.81% 171,938
SGLDF SABRE GOLD MINES CORP Gold Basic Materials Canada 7.72M 0.10 0.00% 30
VRE Veris Residential, Inc. REIT Real Estate USA 1.87B 18.53 -0.48% 255,381