Filter options

Records  1101 - 1150 Of 6,988 Page 23 of 140
Ticker Company Industry Sector Country Market Cap Price Change Volume
NHC National HealthCare Corporation Medical Care Facilities Healthcare USA 0.92B 59.79 -0.10% 25,260
NDSN Nordson Corporation Specialty Industrial Machinery Industrials USA 14.12B 247.82 -1.13% 162,225
IGC IGC Pharma, Inc. Biotechnology Healthcare USA 18.63M 0.35 -0.31% 288,552
GRA W.R. Grace & Co. Specialty Chemicals Basic Materials USA 4.64B 69.99 0.03% 1,156,293
GEOS Geospace Technologies Corporati Oil & Gas Equipment & Services Energy USA 105.37M 8.00 -0.25% 27,216
FCN FTI Consulting, Inc. Consulting Services Industrials USA 6.27B 184.58 3.12% 377,720
ECPG Encore Capital Group Inc Mortgage Finance Financial Services USA 1.21B 51.39 -2.85% 248,138
DLX Deluxe Corporation Advertising Agencies Communication Services USA 808.80M 18.61 -1.01% 126,926
CVEO Civeo Corporation (Canada) Lodging Consumer Cyclical USA 275.70M 18.32 -6.00% 25,924
VRE Mack-Cali Realty Corporation REIT - Residential Real Estate USA 1.67B 18.35 -0.22% 867,596
CHE Chemed Corp Medical Care Facilities Healthcare USA 7.86B 523.07 0.40% 93,254
CCK Crown Holdings, Inc. Packaging & Containers Consumer Cyclical USA 10.91B 90.82 -2.31% 740,042
CBT Cabot Corporation Specialty Chemicals Basic Materials USA 3.92B 69.88 -1.02% 249,325
CALX Calix, Inc Software - Infrastructure Technology USA 2.85B 43.04 -2.58% 1,052,846
CAC Camden National Corporation Banks - Regional Financial Services USA 509.42M 35.00 0.69% 37,440
vicr Vicor Corporation Electronic Components Technology USA 3.46B 78.35 -10.97% 1,505,621
TEX Terex Corporation Farm & Heavy Construction Machinery Industrials USA 4.32B 63.74 2.76% 1,934,035
SMG Scotts Miracle-Gro Company (The Agricultural Inputs Basic Materials USA 3.24B 57.86 -19.01% 3,597,561
SATS EchoStar Corporation Communication Equipment Technology USA 1.60B 19.11 -0.68% 127,091
POOL Pool Corporation Industrial Distribution Industrials USA 14.83B 379.91 -1.87% 387,973
NEU NewMarket Corp Specialty Chemicals Basic Materials USA 4.40B 457.27 0.33% 35,669
LOPE Grand Canyon Education, Inc. Education & Training Services Consumer Defensive USA 3.33B 108.45 -0.42% 227,246
LNN Lindsay Corporation Farm & Heavy Construction Machinery Industrials USA 1.46B 132.76 0.11% 52,810
LINC Lincoln Educational Services Co Education & Training Services Consumer Defensive USA 225.02M 7.18 -0.42% 71,225
FSTR L.B. Foster Company Railroads Industrials USA 162.29M 14.64 1.81% 19,368
EVER EverQuote, Inc. Internet Content & Information Communication Services USA 218.71M 6.63 -2.07% 240,380
DMRC Digimarc Corporation Information Technology Services Technology USA 595.95M 29.32 -3.04% 191,213
CNS Cohen & Steers Inc Asset Management Financial Services USA 3.11B 63.41 -0.31% 88,542
CLSN Celsion Corporation Biotechnology Healthcare USA 13.91M 1.96 0.00% 57,866
CLDT Chatham Lodging Trust (REIT) REIT - Hotel & Motel Real Estate USA 478.67M 9.56 1.27% 251,547
CDK CDK Global, Inc. Software Technology USA 6.39B 54.76 0.00% 16,774,575
CASH Pathward Financial, Inc. Banks - Regional Financial Services USA 1.41B 52.51 -0.49% 121,739
WLK Westlake Corporation Specialty Chemicals Basic Materials USA 17.15B 134.39 -1.77% 641,956
VOXX VOXX International Corporation Consumer Electronics Technology USA 213.75M 9.36 -0.74% 56,959
VAC Marriott Vacations Worldwide Co Resorts & Casinos Consumer Cyclical USA 4.60B 124.85 -1.33% 343,973
UGI UGI Corporation Utilities - Regulated Gas Utilities USA 5.60B 26.75 1.02% 1,798,290
UAN CVR Partners, LP Agricultural Inputs Basic Materials USA 887.74M 83.99 -2.44% 143,518
TTC Toro Company (The) Tools & Accessories Industrials USA 10.79B 103.83 0.40% 418,928
SUI Sun Communities, Inc. REIT - Residential Real Estate USA 16.78B 129.57 -0.27% 691,803
SSD Simpson Manufacturing Company, Lumber & Wood Production Basic Materials USA 6.72B 157.52 -0.30% 129,701
RM Regional Management Corp. Credit Services Financial Services USA 309.65M 32.11 -3.17% 33,837
REG Regency Centers Corporation REIT - Retail Real Estate USA 11.28B 65.69 -0.08% 713,728
PNNT PennantPark Investment Corporat Asset Management Financial Services USA 427.22M 6.55 -0.76% 256,894
ON ON Semiconductor Corporation Semiconductors Technology USA 44.73B 103.57 -4.18% 6,749,495
NVRO Nevro Corp. Medical Devices Healthcare USA 718.49M 20.06 -18.69% 2,296,174
MTH Meritage Homes Corporation Residential Construction Consumer Cyclical USA 5.44B 148.01 -0.83% 273,842
MANT ManTech International Corporati Software Technology USA 3.93B 95.98 0.00% 2,997,216
LMNX Luminex Corporation Medical Instruments & Supplies Healthcare USA 1.75B 36.99 0.00% 1,017,936
HRZN Horizon Technology Finance Corp Asset Management Financial Services USA 423.40M 13.27 0.68% 308,689
GORO Gold Resource Corporation Gold Basic Materials USA 51.31M 0.58 -6.45% 453,021