Filter options

Records  1051 - 1100 Of 6,988 Page 22 of 140
Ticker Company Industry Sector Country Market Cap Price Change Volume
SCI Service Corporation Internation Personal Services Consumer Cyclical USA 9.75B 63.67 -5.37% 2,831,531
SCHL Scholastic Corporation Publishing Communication Services USA 1.38B 43.59 -0.93% 201,262
SC Santander Consumer USA Holdings Credit Services Financial Services USA 12.73B 41.60 0.02% 9,810,939
PRGS Progress Software Corporation Software - Infrastructure Technology USA 2.62B 60.36 -0.17% 333,354
PNW Pinnacle West Capital Corporati Utilities - Regulated Electric Utilities USA 9.35B 82.57 0.35% 757,384
OGE OGE Energy Corp Utilities - Regulated Electric Utilities USA 7.25B 36.18 0.53% 817,990
NWS News Corporation Entertainment Communication Services USA 11.35B 20.04 -0.40% 967,874
LSCC Lattice Semiconductor Corporati Semiconductors Technology USA 12.55B 91.16 -1.96% 3,089,852
LEA Lear Corporation Auto Parts Consumer Cyclical USA 8.97B 151.90 -1.64% 740,780
IRBT iRobot Corporation Furnishings, Fixtures & Appliances Consumer Cyclical USA 1.08B 39.03 -2.28% 278,301
HTGC Hercules Capital, Inc. Asset Management Financial Services USA 2.42B 16.99 0.12% 1,029,072
NVRI Harsco Corporation Waste Management Industrials USA 729.61M 9.15 0.00% 1,938,649
FOX Fox Corporation Entertainment Communication Services USA 16.31B 31.26 0.10% 660,358
WBD Warner Bros. Discovery, Inc. - Entertainment Communication Services USA 30.57B 12.55 -2.49% 19,712,588
CRIS Curis, Inc. Biotechnology Healthcare USA 78.95M 0.79 -2.61% 110,540
CMP Compass Minerals Intl Inc Other Industrial Metals & Mining Basic Materials USA 1.58B 38.48 -0.70% 282,289
CAMP CalAmp Corp. Communication Equipment Technology USA 33.62M 0.89 -4.48% 223,277
USM United States Cellular Corporat Telecom Services Communication Services USA 1.47B 17.37 -0.63% 196,567
UFS Domtar Corporation (NEW) Paper & Paper Products Basic Materials USA 2.80B 55.49 0.02% 3,952,659
SXT Sensient Technologies Corporati Specialty Chemicals Basic Materials USA 2.70B 63.95 0.41% 203,251
SON Sonoco Products Company Packaging & Containers Consumer Cyclical USA 5.69B 58.08 -2.73% 676,412
SBRA Sabra Health Care REIT, Inc. REIT - Healthcare Facilities Real Estate USA 2.97B 12.86 -0.62% 1,190,724
ZWS Zurn Elkay Water Solutions Corp Pollution & Treatment Controls Industrials USA 5.30B 30.38 -0.10% 643,595
RKT Rocket Companies, Inc. Mortgage Finance Financial Services USA 20.47B 10.30 -3.38% 2,261,150
PAR PAR Technology Corporation Software - Application Technology USA 0.97B 34.99 1.42% 168,084
NCLH Norwegian Cruise Line Holdings Travel Services Consumer Cyclical USA 7.91B 18.64 -3.97% 19,835,845
KODK Eastman Kodak Company Specialty Business Services Industrials USA 417.35M 5.26 -2.77% 424,654
JOE St. Joe Company (The) Real Estate - Diversified Real Estate USA 3.62B 62.07 -1.32% 262,080
JBL Jabil Inc. Electronic Components Technology USA 14.36B 108.20 -0.70% 1,059,802
HFWA Heritage Financial Corporation Banks - Regional Financial Services USA 657.50M 18.76 1.41% 263,215
FUL H. B. Fuller Company Specialty Chemicals Basic Materials USA 3.93B 72.94 -1.27% 180,616
FMCC FEDERAL HOME LOAN MORTGAGE CORP Mortgage Finance Financial Services USA 299.01M 0.46 -2.16% 415,353
LAB Standard BioTools Inc. Medical Devices Healthcare USA 196.75M 2.51 0.00% 125,606
DVAX Dynavax Technologies Corporatio Drug Manufacturers - Specialty & Generic Healthcare USA 1.74B 13.54 -1.96% 3,183,539
CVI CVR Energy Inc. Oil & Gas Refining & Marketing Energy USA 3.69B 36.75 1.74% 1,682,767
CRMD CorMedix Inc. Biotechnology Healthcare USA 218.91M 4.14 -3.50% 548,683
CRI Carter's, Inc. Apparel Retail Consumer Cyclical USA 2.79B 74.05 -0.80% 832,865
CPRX Catalyst Pharmaceuticals, Inc. Biotechnology Healthcare USA 1.45B 13.47 -2.04% 1,029,018
COHU Cohu, Inc. Semiconductor Equipment & Materials Technology USA 2.04B 42.82 -1.20% 392,302
CHH Choice Hotels International, In Lodging Consumer Cyclical USA 6.60B 129.44 -0.52% 391,182
VC Visteon Corporation Auto Parts Consumer Cyclical USA 4.23B 149.21 -3.93% 286,614
UVV Universal Corporation Tobacco Consumer Defensive USA 1.24B 50.51 0.26% 103,059
UTL UNITIL Corporation Utilities - Diversified Utilities USA 811.44M 50.44 0.14% 43,233
UNF Unifirst Corporation Specialty Business Services Industrials USA 3.11B 166.15 1.71% 96,509
UMPQ Umpqua Holdings Corporation Banks Financial Services USA 3.83B 17.66 0.00% 24,809,230
TPC Tutor Perini Corporation Engineering & Construction Industrials USA 432.27M 8.37 -3.68% 172,895
SKT Tanger Factory Outlet Centers, REIT - Retail Real Estate USA 2.46B 23.38 -0.43% 588,615
SEM Select Medical Holdings Corpora Medical Care Facilities Healthcare USA 3.86B 30.36 1.47% 375,618
PRMW Primo Water Corporation Beverages - Non-Alcoholic Consumer Defensive USA 2.26B 14.17 1.29% 820,822
ORC Orchid Island Capital, Inc. REIT - Mortgage Real Estate USA 456.53M 10.40 -0.67% 720,439