Filter options

Records  1451 - 1500 Of 6,988 Page 30 of 140
Ticker Company Industry Sector Country Market Cap Price Change Volume
JJSF J & J Snack Foods Corp. Packaged Foods Consumer Defensive USA 3.41B 177.17 3.94% 107,404
IIN IntriCon Corporation Medical Instruments & Supplies Healthcare USA 225.49M 24.24 0.04% 94,327
HZN Horizon Global Corporation Auto Parts Consumer Cyclical USA 48.81M 1.76 0.00% 128,413
HCCI Heritage-Crystal Clean, Inc. Waste Management Industrials USA 1.13B 46.37 -0.83% 486,433
HAE Haemonetics Corporation Medical Instruments & Supplies Healthcare USA 4.69B 92.63 0.40% 201,482
FOXF Fox Factory Holding Corp. Auto Parts Consumer Cyclical USA 4.56B 107.89 -1.04% 154,136
FLIC The First of Long Island Corpor Banks - Regional Financial Services USA 307.88M 13.65 -1.02% 59,087
EXTN Exterran Corporation Oil & Gas Equipment & Services Energy USA 152.58M 4.58 -5.37% 2,673,258
DOOR Masonite International Corporat Building Products & Equipment Industrials USA 2.30B 104.02 -1.01% 99,953
CODI D/B/A Compass Diversified Holdi Conglomerates Industrials USA 1.59B 22.12 -1.21% 86,939
CLOW CLOUDWEB INC Shell Companies Financial Services USA 2.23M 0.08 0.00% 450
CENTA Central Garden & Pet Company Packaged Foods Consumer Defensive USA 2.08B 37.92 -0.11% 180,294
WTFC Wintrust Financial Corporation Banks - Regional Financial Services USA 5.11B 83.56 0.14% 404,481
VIDE VIDEO DISPLAY CORP Computer Hardware Technology USA 6.76M 1.15 0.00% 1
TMHC Taylor Morrison Home Corporatio Residential Construction Consumer Cyclical USA 5.32B 48.78 -1.18% 919,741
SENEA Seneca Foods Corp. Packaged Foods Consumer Defensive USA 282.20M 36.98 0.11% 46,942
ROG Rogers Corporation Electronic Components Technology USA 2.97B 159.64 -4.46% 198,737
QTMM QUANTUM MATERIALS CORP Solar Technology USA 28.06M 0.04 0.00% 486,186
MRCC Monroe Capital Corporation Asset Management Financial Services USA 184.81M 8.53 -0.35% 31,700
LMNR Limoneira Co Farm Products Consumer Defensive USA 280.65M 15.61 -1.45% 56,305
JW-A John Wiley & Sons, Inc. Publishing Communication Services USA 3.17B 56.51 -0.86% 95,590
ICD Independence Contract Drilling, Oil & Gas Drilling Energy USA 39.80M 2.83 -9.87% 47,978
GTLS Chart Industries, Inc. Specialty Industrial Machinery Industrials USA 7.31B 171.06 -4.43% 548,710
HD Home Depot, Inc. (The) Home Improvement Retail Consumer Cyclical USA 330.27B 328.50 -1.08% 2,730,108
DLTR Dollar Tree, Inc. Discount Stores Consumer Defensive USA 33.36B 151.36 -1.09% 1,409,542
D Dominion Energy, Inc. Utilities - Regulated Electric Utilities USA 43.75B 52.34 0.08% 3,648,881
DRI Darden Restaurants, Inc. Restaurants Consumer Cyclical USA 19.87B 164.13 -1.35% 1,106,952
XRAY DENTSPLY SIRONA Inc. Medical Instruments & Supplies Healthcare USA 8.64B 40.67 -1.69% 1,702,119
DHI D.R. Horton, Inc. Residential Construction Consumer Cyclical USA 42.53B 125.74 -1.70% 2,328,624
DGX Quest Diagnostics Incorporated Diagnostics & Research Healthcare USA 15.09B 134.76 0.12% 886,819
DFS Discover Financial Services Credit Services Financial Services USA 25.79B 103.15 -1.59% 1,059,472
ODP The ODP Corporation Specialty Retail Consumer Cyclical USA 1.89B 48.93 -2.06% 194,325
DLR Digital Realty Trust, Inc. REIT - Specialty Real Estate USA 35.94B 123.36 -0.02% 2,325,076
DPZ Domino's Pizza Inc Restaurants Consumer Cyclical USA 13.98B 398.30 -0.34% 414,319
DDS Dillard's, Inc. Department Stores Consumer Cyclical USA 5.63B 341.66 -1.21% 100,518
DBD Diebold Nixdorf Incorporated Software - Application Technology USA 20M 0.25 0.00% 330,872
DY Dycom Industries, Inc. Engineering & Construction Industrials USA 2.95B 100.64 -0.17% 213,076
DKS Dick's Sporting Goods Inc Specialty Retail Consumer Cyclical USA 12B 139.14 -0.82% 935,805
DXCM DexCom, Inc. Medical Devices Healthcare USA 47.99B 123.81 1.48% 3,172,027
DVA DaVita Inc. Medical Care Facilities Healthcare USA 9.31B 101.97 -0.41% 572,987
DRQ Dril-Quip, Inc. Oil & Gas Equipment & Services Energy USA 0.94B 27.61 1.81% 496,112
DLB Dolby Laboratories Specialty Business Services Industrials USA 8.39B 87.87 -1.13% 334,255
ODFL Old Dominion Freight Line, Inc. Trucking Industrials USA 44.80B 408.58 -0.98% 698,182
DK Delek US Holdings, Inc. Oil & Gas Refining & Marketing Energy USA 1.84B 27.95 1.08% 1,434,089
DAKT Daktronics, Inc. Electronic Components Technology USA 335.46M 7.34 -0.14% 259,842
KTOS Kratos Defense & Security Solut Aerospace & Defense Industrials USA 1.87B 14.69 -2.46% 685,026
FANG Diamondback Energy, Inc. Oil & Gas E&P Energy USA 26.58B 146.79 -0.74% 2,403,816
DMLP Dorchester Minerals, L.P. Oil & Gas E&P Energy USA 1.15B 29.99 -0.66% 57,092
DCO Ducommun Incorporated Aerospace & Defense Industrials USA 699.74M 48.11 -1.17% 58,014
DOC Physicians Realty Trust REIT - Healthcare Facilities Real Estate USA 3.59B 14.45 -0.69% 1,132,242