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Records  2901 - 2950 Of 11,347 Page 59 of 227
Ticker Company Industry Sector Country Market Cap Price Change Volume
KHOLY KOC HOLDING UNSP ADR EACH REPR Conglomerates Industrials Turkey 13.32B 24.43 -1.55% 546
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
HVRRY HANNOVER RUECK SE ADR (EACH REP Insurance - Reinsurance Financial Services Germany 25.55B 105.18 -2.00% 961
HUMRF HUMMINGBIRD RESOURCES PLC Gold Basic Materials United Kingdom 98.38M 0.16 0.00% 2,000
HRTFF HARTE GOLD CORP Gold Basic Materials Canada 2.15M 0.00200 0.00% 450,000
HNGR Hanger, Inc. Medical Care Facilities Healthcare USA 732.39M 18.72 0.00% 2,377,921
HNDAF HONDA MOTOR CO Auto Manufacturers Consumer Cyclical Japan 51.09B 30.84 0.00% 51,600
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
HERB YASHENG GROUP Farm Products Consumer Defensive China 31.47M 0.12 0.00% 42,400
HENKY HENKEL AG&CO. KGAA SPON ADS EAC Household & Personal Products Consumer Defensive Germany 30.38B 17.12 -0.47% 91,351
HELKF HENKEL AG&CO. KGAA Household & Personal Products Consumer Defensive Germany 31.39B 68.64 0.00% 6,000
HBCYF HSBC HOLDINGS PLC Banks - Diversified Financial Services United Kingdom 159.57B 8.03 -3.31% 64,117
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
CICOY COSCO SHIPPING HOLDINGS UNSP AD Marine Shipping Industrials China 21B 5.15 -1.81% 6,012
BOSSY HUGO BOSS AG SPON ADR EA REPR 1 Apparel Manufacturing Consumer Cyclical Germany 5.74B 16.05 2.95% 2,445
AHOTF AMERICAN HOTEL INCOME PPTYS REI REIT - Hotel & Motel Real Estate Canada 138.02M 1.75 -2.78% 7,547
AHL-PC Aspen Insurance Holdings Limite Insurance - Property & Casualty Financial Services Bermuda 1.64B 27.48 0.40% 8,500
XYIGY XINYI GLASS HLDGS UNSP ADS EACH Building Materials Basic Materials Hong Kong 6.47B 31.50 1.43% 3,664
WLWHY WOOLWORTHS HLDGS SPONS GDR EACH Department Stores Consumer Cyclical South Africa 4.13B 4.50 0.00% 37
UTOLF SHIFTCARBON INC Software Technology British Virgin Islands 2.91M 0.06 0.00% 10
AGTK AGRITEK HLDGS INC Real Estate Services Real Estate USA 6.39K 0.00010 0.00% 2,000
TDHOY T&D HOLDINGS INC UNSP ADR EACH Insurance - Life Financial Services Japan 8.12B 7.45 -10.67% 122
TCYMF TINGYI(CAYMAN ISLANDS)HLDG CORP Packaged Foods Consumer Defensive China 8.37B 1.49 -1.00% 422
TCLHF TCL ELECTRONICS HOLDINGS LTD Consumer Electronics Technology Hong Kong 1.27B 0.50 0.00% 970
SYCRF SYNCORA HLDGS LTD Insurance Financial Services Bermuda 26.99M 0.03 0.00% 96,299
SUTNY SUMITOMO MITSUI TRUST HOLDINGS Banks - Regional Financial Services Japan 13.42B 3.64 -3.70% 24,984
SUHJF SUN HUNG KAI PROPERTIES LTD Real Estate - Development Real Estate Hong Kong 36.38B 12.55 0.00% 9
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
SNYYF SANY HEAVY EQUIPMENT INTL HLDG Farm & Heavy Construction Machinery Industrials China 5.33B 1.59 11.62% 200
SLCH SPOTLIGHT CAPITAL HOLDINGS INC Entertainment Communication Services USA 187.64K 0.00360 0.00% 1
SKHSF SEKISUI HOUSE Residential Construction Consumer Cyclical Japan 13.54B 20.30 -1.47% 600
SJMHY SJM HOLDINGS LIMITED UNSPON ADR Resorts & Casinos Consumer Cyclical Hong Kong 3.07B 1.69 0.00% 500
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
RSNHF RESONA HOLDINGS Banks - Regional Financial Services Japan 12.20B 5.06 -5.46% 246
RHUHF RICHELIEU HARDWARE Furnishings, Fixtures & Appliances Consumer Cyclical Canada 1.81B 32.46 -2.17% 205
RHCO READEN HOLDING CORP Asset Management Financial Services Netherlands 7.51M 0.05 42.39% 800
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