Filter options

Records  10651 - 10700 Of 11,347 Page 214 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
TBLD Thornburg Income Builder Opport - - USA 493.10M 15.37 -0.77% 42,098
TBLLF TOMBILL MINES LIMITED Gold Basic Materials Canada 2M 0.01 0.00% 10,000
EDD Morgan Stanley Emerging Markets Asset Management Financial Services USA 312.95M 4.76 -0.83% 224,766
SDRL Seadrill Limited Oil & Gas Drilling Energy Bermuda 3.75B 46.94 -1.53% 492,894
FLAG First Light Acquisition Group, Shell Companies Financial Services USA 104.11M 10.54 -0.09% 6,785
IWS iShares Russell Mid-cap Value E - - - 13.61B 113.05 -1.07% 291,799
ATLX Atlas Lithium Corporation Other Industrial Metals & Mining Basic Materials Brazil 245.72M 24.63 -2.57% 106,504
MLBEF WEBCENTRAL LTD Information Technology Services Technology Australia 100.13M 0.08 5,230.00% 1,540
ACRDF ACREAGE HOLDINGS INC Drug Manufacturers - Specialty & Generic Healthcare USA 21.59M 0.23 13.75% 1,494
PRME Prime Medicine, Inc. Biotechnology Healthcare USA 1.36B 14.03 -5.46% 317,036
XPRO Expro Group Holdings N.V. Oil & Gas Equipment & Services Energy USA 2.40B 22.12 -0.18% 516,520
VENA Venus Acquisition Corporation Shell Companies Financial Services Cayman Islands 63.34M 10.47 0.00% 3,974
MBLY Mobileye Global Inc. Auto Parts Consumer Cyclical Israel 29.98B 37.21 -2.77% 2,851,946
CTGL CITRINE GLOBAL Packaged Foods Consumer Defensive Israel 36.25M 0.04 18.66% 100
IGNY Ignyte Acquisition Corp. Shell Companies Financial Services USA 95.10M 13.05 14.57% 164,801
CDIO Cardio Diagnostics Holdings Inc Biotechnology Healthcare USA 11.27M 1.13 -4.24% 219,763
PAQC Provident Acquisition Corp. Shell Companies Financial Services Taiwan 316.25M 11.00 0.00% 369,657
BUDFF ANHEUSER-BUSCH INBEV SA/NV Beverages - Brewers Consumer Defensive Belgium 110.18B 56.12 -1.36% 628,328
COEP Coeptis Therapeutics Holdings, Biotechnology Healthcare USA 30.09M 1.24 1.64% 25,819
DBMM DIGITAL BRAND MEDIA&MKT GR INC Advertising Agencies Communication Services USA 3.63M 0.00440 -6.38% 3,208,813
ONEI ONEMETA AI Software - Application Technology USA 484.75K 0.21 0.00% 2
ISD PGIM Short Duration High Yield Asset Management Financial Services USA 406.40M 12.22 -0.65% 151,721
NPFD Asset Management Financial Services USA 391.46M 16.20 -0.74% 41,437
XPH SPDR S&P Pharmaceuticals ETF - - - 236.40M 42.98 -0.58% 16,919
GNENY GANFENG LITHIUM GROUP CO LTD UN Chemicals Basic Materials China 15.59B 6.29 -2.02% 2,164
SLNA Selina Hospitality PLC Resorts & Casinos Consumer Cyclical United Kingdom 105.07M 0.99 14.99% 3,392,752
PPT Putnam Premier Income Trust Asset Management Financial Services USA 347.99M 3.55 -1.11% 200,995
BVH Bluegreen Vacations Holding Cor Resorts & Casinos Consumer Cyclical USA 636.43M 38.78 0.73% 59,624
SATX SatixFy Communications Ltd. Communication Equipment Technology Israel 26.36M 0.33 0.34% 100,828
OMAB Grupo Aeroportuario del Centro Airports & Air Services Industrials Mexico 4.66B 85.47 -2.82% 41,111
MFIC 31653 Asset Management Financial Services USA 717.35M 10.96 1.95% 307,876
PERF Perfect Corp. Software - Application Technology Taiwan 533.37M 4.51 -2.49% 2,409
VIHD VISION HYDROGEN CORP Utilities Utilities USA 463.07M 22.00 10.00% 126,131
RXO RXO, Inc. Trucking Industrials USA 2.30B 19.65 -10.36% 2,122,224
FLAC Frazier Lifesciences Acquisitio Shell Companies Financial Services USA 175.20M 9.87 2.92% 13,488
TRCA Twin Ridge Capital Acquisition Shell Companies Financial Services USA 122.11M 10.78 0.84% 100
CTM Castellum, Inc. Information Technology Services Technology USA 21.20M 0.45 -1.62% 71,182
PKBO Peak Bio, Inc. Biotechnology Healthcare USA 17.52M 0.84 0.12% 100
ACDC ProFrac Holding Corp. Oil & Gas Equipment & Services Energy USA 1.96B 12.30 -3.76% 459,065
ACLLY ACCELLERON INDUSTRIES AG UNSPON Aerospace & Defense Industrials Switzerland 2.48B 25.94 -0.73% 2,524
OABI OmniAb, Inc. Biotechnology Healthcare USA 608.06M 5.26 -5.05% 640,637
LTMAY LATAM AIRLINES GROUP SA SPONS A Airlines Industrials Chile 444.87B 0.74 -1.87% 162,896
GEN Gen Digital Inc. Software Technology USA 10.35B 16.20 1.28% 7,536,869
VIHDD VISION ENERGY CORP Utilities Utilities USA 621.36M 14.76 0.00% 74,072
SNAL Snail, Inc. Electronic Gaming & Multimedia Communication Services USA 63.04M 1.72 -5.49% 25,940
FFNTF 4FRONT VENTURES CORP Drug Manufacturers - Specialty & Generic Healthcare USA 87.56M 0.14 0.00% 35,554
CATV 4CABLE TV INTL INC Drug Manufacturers - Specialty & Generic Healthcare USA 32.87K 0.00040 33.33% 68,000
AGBA AGBA Group Holding Limited Asset Management Financial Services Hong Kong 72.91M 1.16 -4.92% 187,353
ASPI ASP Isotopes Inc. Chemicals Basic Materials USA 52.71M 1.41 11.90% 542,487
ARRRF ARDEA RESOURCES LTD Other Industrial Metals & Mining Basic Materials Australia 73.11M 0.43 -2.23% 10,000