Filter options

Records  2151 - 2200 Of 6,988 Page 44 of 140
Ticker Company Industry Sector Country Market Cap Price Change Volume
LTRPB Liberty TripAdvisor Holdings, I Internet Content & Information Communication Services USA 201.79M 39.39 -4.56% 188
CGRW CANNAGROW HOLDINGS INC Specialty Business Services Industrials USA 1.14M 0.01 4.17% 1,370
SPNE SeaSpine Holdings Corporation Medical Devices Healthcare USA 360.18M 9.54 8.29% 1,161,199
SENS Senseonics Holdings, Inc. Medical Devices Healthcare USA 411.35M 0.86 -3.62% 5,769,068
SCRH SCORES HOLDING COMPANY INC Leisure Consumer Cyclical USA 165.19K 0.00100 0.00% 200
INQD INDOOR HARVEST CORP Drug Manufacturers - Specialty & Generic Healthcare USA 5.10M 0.00180 -2.70% 4,022,706
HYDI HYDROMER INC Specialty Chemicals Basic Materials USA 3.74M 0.51 0.00% 9,300
HEI-A Heico Corporation Aerospace & Defense Industrials USA 16.35B 116.40 -0.04% 95,965
CELH Celsius Holdings, Inc. Beverages - Non-Alcoholic Consumer Defensive USA 10.70B 139.34 -2.17% 1,248,572
CAFS CAFE SERENDIPITY HOLDINGS Shell Companies Financial Services USA 73.14K 0.05 0.00% 30
UEEC UNITED HEALTH PRODUCTS INC Medical Instruments & Supplies Healthcare USA 78.68M 0.33 0.03% 9,683
TLCC TWINLAB CONSOLIDATED HOLDINGS I Packaged Foods Consumer Defensive USA 16.06M 0.06 0.00% 27
SCNG SC HLDGS CORP Oil & Gas E&P Energy USA 128 0.00030 0.00% 9
RMSL REMSLEEP HOLDINGS INC Medical Devices Healthcare USA 19M 0.01 15.04% 3,062,284
PRLX PARALLAX HEALTH SCIENCES INC Conglomerates Conglomerates USA 27.07K 0.00010 0.00% 635
OPXS Optex Systems Holdings, Inc. Aerospace & Defense Industrials USA 23.47M 3.47 0.58% 9,880
MFON MOBIVITY HOLDINGS CORP Software - Application Technology USA 54.09M 0.82 0.00% 9,279
LGMH LIGHT MEDIA HOLDINGS INC Entertainment Communication Services USA 817.32K 0.01 0.00% 15,050
HTSC HERE TO SERVE HOLDINGS CORP Home Improvement Retail Consumer Cyclical USA 3.38M 0.03 0.00% 70,100
HON.L HONEYWELL INTERNATIONAL INCORPO Conglomerates Industrials USA 157.70B 159.07 0.00% 278
HCLC HEALTH-CHEM CORP Diagnostics & Research Healthcare USA 73.99K 0.00010 0.00% 1
COSM Cosmos Health Inc. Medical Distribution Healthcare USA 16.34M 1.25 -14.97% 1,738,821
BRZL SCEPTER HLDGS INC Packaged Foods Consumer Defensive USA 7.37M 0.00084 -7.22% 525,100
TXHG TX HOLDINGS INC Industrial Distribution Industrials USA 1.73M 0.04 0.00% 5,000
JALA BE ACTIVE HLDGS INC - - USA 3.52K 0.00070 0.00% 29,700
IHAI INNOVATIVE HOLDINGS ALLIANCE IN Shell Companies Financial Services USA 3.12M 0.17 -8.11% 125
HNGR Hanger, Inc. Medical Care Facilities Healthcare USA 732.39M 18.72 0.00% 2,377,921
HHSE HANNOVER HOUSE INC Entertainment Communication Services USA 8.07M 0.00784 -7.76% 34,000
HEWA HEALTHWAREHOUSE.COM INC Pharmaceutical Retailers Healthcare USA 8.13M 0.15 0.00% 20,005
GRYN GREEN HYGIENICS HLDGS INC Drug Manufacturers - Specialty & Generic Healthcare USA 44 0.00000 0.00% 150
GIGL GIGGLES N HUGS INC Restaurants Services USA 68 0.00001 0.00% 80
AGTK AGRITEK HLDGS INC Real Estate Services Real Estate USA 6.39K 0.00010 0.00% 2,000
STHI SPROUT TINY HOMES DE INC Residential Construction Consumer Cyclical USA 3M 0.03 -21.05% 10,000
SOME SOMERSET TRUST HLDG CO Banks - Regional Financial Services USA 100.08M 40.85 0.00% 1,620
SLCH SPOTLIGHT CAPITAL HOLDINGS INC Entertainment Communication Services USA 187.64K 0.00360 0.00% 1
SIGN SIGNET INTERNATIONAL HOLDINGS I Conglomerates Industrials USA 4.15M 0.20 0.00% 1,080
SIBE SIBLING GROUP HOLDINGS INC Education & Training Services Consumer Defensive USA 1.27M 0.00600 -4.00% 748,272
SETO SETO HLDGS INC Shell Companies Financial Services USA 686.06K 0.00500 0.00% 200
TSLA Tesla, Inc. Auto Manufacturers Consumer Cyclical USA 805.40B 254.11 -2.67% 101,069,495
WMT Walmart Inc. Discount Stores Consumer Defensive USA 428.75B 159.22 0.07% 4,219,319
NFLX Netflix, Inc. Entertainment Communication Services USA 191.02B 429.70 -2.03% 4,874,490
PFE Pfizer, Inc. Drug Manufacturers - General Healthcare USA 199.56B 35.35 -0.73% 34,241,200
NKE Nike, Inc. Footwear & Accessories Consumer Cyclical USA 165.24B 107.51 -1.73% 6,168,989
QCOM QUALCOMM Incorporated Semiconductors Technology USA 144.01B 129.27 -2.13% 12,264,310
PEP Pepsico, Inc. Beverages - Non-Alcoholic Consumer Defensive USA 259.22B 188.31 0.80% 4,206,818
MU Micron Technology, Inc. Semiconductors Technology USA 74.67B 68.17 -3.66% 13,926,424
PM Philip Morris International Inc Tobacco Consumer Defensive USA 152.02B 97.94 -0.32% 2,836,679
V Visa Inc. Credit Services Financial Services USA 497.55B 237.56 -0.93% 4,865,122
REGN Regeneron Pharmaceuticals, Inc. Biotechnology Healthcare USA 80.32B 732.12 -0.94% 606,072
KMI Kinder Morgan, Inc. Oil & Gas Midstream Energy USA 38.68B 17.36 -1.14% 10,180,889