Filter options

Records  1751 - 1800 Of 11,347 Page 36 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
CANN TREES CORPORATION Drug Manufacturers - Specialty & Generic Healthcare USA 7.77M 0.07 -6.83% 10,055
VUZI Vuzix Corporation Consumer Electronics Technology USA 314.20M 4.97 -3.31% 559,883
UVSP Univest Financial Corporation Banks - Regional Financial Services USA 573.87M 19.50 -0.05% 97,405
TAST Carrols Restaurant Group, Inc. Restaurants Consumer Cyclical USA 308.95M 5.67 -4.71% 353,910
SUNS SLR Senior Investment Corp. REIT - Mortgage Real Estate USA 227.25M 14.16 0.00% 1
SSB SouthState Corporation Banks - Regional Financial Services USA 5.86B 77.13 -0.14% 431,452
RYI Ryerson Holding Corporation Metal Fabrication Industrials USA 1.14B 33.01 -6.88% 524,343
QBAK QUALSTAR CORP Electrical Equipment & Parts Industrials USA 4.29M 2.23 0.00% 300
PKOH Park-Ohio Holdings Corp. Specialty Industrial Machinery Industrials USA 252.05M 19.67 0.31% 36,619
PCYG Park City Group, Inc. Software - Application Technology USA 182.27M 9.93 0.81% 47,766
NSANY NISSAN MOTOR CO SPONS ADR(CNV I Auto Manufacturers Consumer Cyclical Japan 17.09B 8.73 -2.46% 31,832
JSDA JONES SODA CO Beverages - Non-Alcoholic Consumer Defensive USA 18.63M 0.19 0.11% 98,907
ITRN Ituran Location and Control Ltd Scientific & Technical Instruments Technology Israel 552.38M 27.47 -1.22% 30,752
GULTU GULF COAST ULTRA DEEP ROYALTY T Oil & Gas E&P Energy USA 2.99M 0.01 3.59% 49,297
GSV Gold Standard Ventures Corporat - - Canada 155.95M 0.40 0.50% 1,596,732
GLDD Great Lakes Dredge & Dock Corpo Engineering & Construction Industrials USA 600.40M 9.04 -4.34% 727,261
FFIC Flushing Financial Corporation Banks - Regional Financial Services USA 452.37M 15.62 0.64% 120,396
CZFS Citizens Financial Services, In Banks - Regional Financial Services USA 334.21M 70.60 0.57% 7,099
CVCO Cavco Industries, Inc. Residential Construction Consumer Cyclical USA 2.48B 286.18 -1.60% 52,078
CRVS Corvus Pharmaceuticals, Inc. Biotechnology Healthcare USA 101.05M 2.17 -3.12% 198,968
COTY Coty Inc. Household & Personal Products Consumer Defensive USA 10.34B 12.12 3.50% 3,348,109
CNR Cornerstone Building Brands, In Building Products & Equipment Industrials USA 3.14B 24.66 0.04% 3,320,409
CNET ZW Data Action Technologies Inc Advertising Agencies Communication Services China 9.58M 1.33 -0.75% 5,047
CLIR ClearSign Technologies Corporat Pollution & Treatment Controls Industrials USA 48.18M 1.25 -0.79% 25,670
CLFD Clearfield, Inc. Communication Equipment Technology USA 706.25M 46.30 0.78% 181,140
VGZ Vista Gold Corp Gold Basic Materials USA 61.66M 0.51 0.00% 126,898
TNDM Tandem Diabetes Care, Inc. Medical Devices Healthcare USA 2.10B 32.50 0.78% 1,717,246
SMED Sharps Compliance Corp. Waste Management Industrials USA 170.01M 8.75 0.00% 91,867
SIEB Siebert Financial Corp. Capital Markets Financial Services USA 87.45M 2.16 -2.49% 10,222
PRTY Party City Holdco Inc. Specialty Retail Consumer Cyclical USA 42.40M 0.37 0.00% 886,349
PFLT PennantPark Floating Rate Capit Asset Management Financial Services USA 561.97M 11.30 -0.09% 295,509
KCLI KANSAS CITY LIFE INSURANCE CO Insurance - Life Financial Services USA 242.09M 25.00 -1.05% 300
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
WMMVY WAL-MART DE MEXICO SAB DE CV AD Discount Stores Consumer Defensive Mexico 71.30B 40.71 -2.65% 26,273
WTW Willis Towers Watson Public Lim Insurance Brokers Financial Services United Kingdom 22.68B 213.16 0.26% 443,619
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