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Records  13601 - 13650 Of 13,744 Page 273 of 275
Ticker Company Industry Sector Country Market Cap Price Change Volume
WLDFF WILDFLOWER BRANDS INC Drug Manufacturers Healthcare Canada 17.02M 0.00010 9,900.00% 11,200
PEPG PepGen Inc. Biotechnology Healthcare USA 353.06M 14.94 6.71% 94,406
MHGVY MOWI ASA SPON ADS EACH REP 1 OR Farm Products Consumer Defensive Norway 8.26B 15.82 -1.00% 32,233
BTDPY BARRATT DEVELOPMENTS UNSP ADR E Residential Construction Consumer Cyclical United Kingdom 5.14B 10.13 1.50% 8,607
TGEN Tecogen Inc. Electrical Equipment & Parts Industrials USA 34.04M 1.37 -1.62% 105
ACOPY THE A2 MILK COMPANY LTD UNSPON Packaged Foods Consumer Defensive New Zealand 3.06B 3.97 0.00% 32
AHAHF DESIGN MILK CO LTD Internet Retail Consumer Cyclical USA 9.30M 0.26 0.00% 28
LVWR LiveWire Group, Inc. Auto Manufacturers Consumer Cyclical USA 1.39B 6.88 1.18% 6,032
LASE Laser Photonics Corporation Specialty Industrial Machinery Industrials USA 17.81M 2.26 6.10% 111,027
FSI Flexible Solutions Internationa Specialty Chemicals Basic Materials Canada 40M 3.23 0.31% 8,722
GXII GX Acquisition Corp. II Shell Companies Financial Services USA 372M 9.92 0.00% 1,093
FONR Fonar Corporation Medical Devices Healthcare USA 123.19M 18.48 -1.44% 9,377
MODG Topgolf Callaway Brands Corp. Leisure Consumer Cyclical USA 4.07B 22.02 2.42% 818,135
NBEVQ NEWAGE INC Beverages Consumer Defensive USA 73.41K 0.00050 0.00% 177,474
CNTQ Chardan NexTech Acquisition 2 C Shell Companies Financial Services USA 95.34M 14.00 -12.39% 94,431
SHFS SHF Holdings, Inc. Banks Financial Services USA 86.39M 4.15 6.68% 3,432
IWV iShares Russell 3000 ETF - - - 12.92B 235.20 -0.11% 211,251
RWR SPDR DJ Wilshire REIT ETF - - - 2.40B 92.50 -0.17% 220,595
RFI Cohen & Steers Total Return Rea Asset Management Financial Services USA 345.16M 13.10 0.69% 34,663
AMV Atlis Motor Vehicles, Inc. Auto Parts Consumer Cyclical USA 90.75M 9.35 1.96% 13,233
RLTY Cohen & Steers Real Estate Oppo - - USA 249.65M 14.90 1.36% 146,563
CEM ClearBridge MLP and Midstream F Asset Management Financial Services USA 499.10M 35.44 -0.20% 55,625
ATEYY ADVANTEST CORP SPON ADR EACH RE Semiconductor Equipment & Materials Technology Japan 13.27B 70.67 1.21% 2,388
INTG The Intergroup Corporation Lodging Consumer Cyclical USA 105.35M 47.51 0.00% 76
CINGF COINSILIUM GROUP LTD Software Technology United Kingdom 3.15M 0.02 0.00% 13,186
BCSA Blockchain Coinvestors Acquisit Shell Companies Financial Services Cayman Islands 422.31M 10.22 0.10% 1,670
CRNCY CAPRICORN ENERGY PLC UNSP ADS E Oil & Gas E&P Energy United Kingdom 0.99B 6.26 4.25% 1,503
CRKT CIRMAKER TECHNOLOGY CORPORATION Specialty Business Services Industrials Taiwan 139.94K 0.03 0.00% 130,000
OPT Opthea Limited Biotechnology Healthcare Australia 248.05M 4.90 -2.00% 59
CRRVF CVR MEDICAL CORP Medical Devices Healthcare Canada 1.54M 0.00040 0.00% 65,000
ZHUZY ZHUZHOU CRRC TIMES ELECTRIC CO Railroads Industrials China 9.13B 22.30 0.00% 4
CRRTF CRESCITA THERAPEUTICS INC Drug Manufacturers Healthcare Canada 9.65M 0.47 -1.25% 509
MPCFF METRO PACIFIC INVESTMENTS CO Conglomerates Industrials Philippines 2.83B 0.08 0.00% 7,351
GPOX GPO PLUS INC Specialty Business Services Industrials USA 7.97M 0.25 -2.00% 161,908
DFLI Dragonfly Energy Holdings Corp Electrical Equipment & Parts Industrials USA 376.47M 8.70 0.23% 7,472
LNLHF LEANLIFE HEALTH INC Packaged Foods Consumer Defensive Canada 3.73M 0.02 0.00% 299,148
ERNA Eterna Therapeutics Inc. Biotechnology Healthcare USA 9.71M 3.30 -1.79% 8,242
UPXI Upexi, Inc. Internet Content & Information Communication Services USA 77.59M 4.32 -2.70% 43,349
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 33.73M 9.30 0.43% 12,195
EMO ClearBridge Energy Midstream Op Asset Management Financial Services USA 390.93M 30.26 0.46% 40,067
OCGSF OUTCROP SILVER & GOLD CORPORATI Other Precious Metals & Mining Basic Materials Canada 55.97M 0.31 15.26% 920,986
IVVD Invivyd, Inc. Biotechnology Healthcare USA 252.84M 2.32 4.98% 260,949
XTNT Xtant Medical Holdings, Inc. Medical Devices Healthcare USA 65.03M 0.60 2.10% 15,944
SGLDF SABRE GOLD MINES CORP Gold Basic Materials Canada 12.22M 0.02 6.11% 382,037
SGLA SINO GREEN LAND CORPORATION Farm Products Consumer Defensive Malaysia 1M 0.68 0.00% 2
SGLN SURGLINE INTL INC - - - 5.69K 0.00000 0.00% 363,800
VRE Veris Residential, Inc. REIT Real Estate USA 1.62B 16.23 1.50% 835,826
TBLD Thornburg Income Builder Opport - - USA 469.36M 14.63 -0.07% 100,752
TBLLF TOMBILL MINES LIMITED Gold Basic Materials Canada 2.25M 0.01 -10.96% 123,000