Filter options

Records  3251 - 3300 Of 6,988 Page 66 of 140
Ticker Company Industry Sector Country Market Cap Price Change Volume
IMII INCEPTION MINING INC Gold Basic Materials USA 2.73M 0.00110 0.00% 29,842
IPDQF IMPEDIMED LIMITED Medical Devices Healthcare USA 286.62M 0.14 7.54% 33,000
IMTL IMAGE PROTECT INC Software - Application Technology USA 326.63K 0.00010 0.00% 140,000
IOSP Innospec Inc. Specialty Chemicals Basic Materials USA 2.68B 107.72 -0.15% 44,457
IOFB IOWA FIRST BANCSHARES CORP Banks Financial Services USA 52.55M 42.99 0.00% 100
INIS INTERNATIONAL ISOTOPES INC Drug Manufacturers - Specialty & Generic Healthcare USA 39.26M 0.08 -5.25% 6,357
ISGN ISIGN SOLUTIONS INC Software - Application Technology USA 0.95M 0.15 0.00% 8
ITI Iteris, Inc. Communication Equipment Technology USA 180.49M 4.24 2.66% 68,227
SITS SOUTHERN ITS INTERNATIONAL INC Conglomerates Industrials USA 4M 0.05 -22.42% 852,703
ITMSF INTERMAP TECHNOLOGIES CORP Software - Application Technology USA 18.66M 0.50 0.00% 6,500
ITMC ITOCO INC Biotechnology Healthcare USA 25.69K 0.02 0.00% 1,100
IVAC Intevac, Inc. Specialty Industrial Machinery Industrials USA 90.74M 3.50 -1.13% 151,828
IVRO INVITRO INTERNATIONAL Diagnostics & Research Healthcare USA 0.94M 0.07 11.53% 53,100
IVR-PB Invesco Mortgage Capital Inc. P REIT - Mortgage Real Estate USA 2.02B 24.98 -0.04% 23,508
IZQVF INDIVIOR PLC Drug Manufacturers Healthcare USA 2.89B 20.97 0.00% 530
MJTV MICHAEL JAMES ENTERPRISES INC - - USA 135.35K 0.00040 0.00% 575,000
JETMF GLOBAL CROSSING AIRLINES GROUP Airlines Industrials USA 32.27M 0.85 -1.16% 6,473
JTBK JETBLACK CORP Capital Markets Financial Services USA 5.54M 0.00315 -14.86% 5,500
JPM-PD J P Morgan Chase & Co Depositar Banks - Diversified Financial Services USA 359.51B 27.06 -0.15% 74,010
JPM-PC J P Morgan Chase & Co Depositar Banks - Diversified Financial Services USA 364.41B 27.78 -0.14% 77,850
KYZN KYZEN CORP Specialty Chemicals Basic Materials USA 2.53M 4.17 0.00% 5,000
LPPI LEEP INC Building Products & Equipment Industrials USA 17.46K 0.00010 0.00% 8,000,000
LEGX LEGACYXCHANGE INC - - USA 722 0.00010 0.00% 118
LXP-PC Lexington Realty Trust Preferr REIT - Industrial Real Estate USA 2.66B 61.95 0.00% 22
LFGP LEDYARD FINANCIAL GROUP INC Banks - Regional Financial Services USA 49.66M 14.82 -1.13% 2,300
LVWD LIVEWORLD INC Software - Application Technology USA 1.38M 0.18 0.00% 800
LTUM LITHIUM CORPORATION Other Industrial Metals & Mining Basic Materials USA 11.13M 0.10 2.74% 36,605
LTUS LOTUS PHARMACEUTICALS INC Shell Companies Financial Services USA 1.05M 0.00690 1.47% 11,000
LUDG LUDWIG ENTERPRISES INC Medical Devices Healthcare USA 82.05M 0.24 0.00% 67,600
MNAT MARQUETTE NATIONAL CORP Banks - Regional Financial Services USA 123.16M 28.20 0.00% 200
MHTX MANHATTAN SCIENTIFICS INC Medical Devices Healthcare USA 3.36M 0.00600 20.00% 23,725
PCMC PUBLIC COMPANY MANAGEMENT CORP Shell Companies Financial Services USA 1.75M 0.05 -16.39% 1,200
MBCI MABCURE INC Solar Technology USA 643.64K 0.00030 0.00% 1,000
MSEZ MEDIA SENTIMENT INC Internet Content & Information Communication Services USA 1.23K 0.04 1.32% 37,350
MEDH MEDX HOLDINGS INC - - USA 58 0.00000 0.00% 30,000
WRIT WRIT MEDIA GROUP INC Entertainment Communication Services USA 302.97K 0.00470 0.00% 1
SCYYF SCANDIUM INTERNATIONAL MINING C Other Industrial Metals & Mining Basic Materials USA 17.51M 0.05 31.96% 41,000
MMEX MMEX RESOURCES CORPORATION Oil & Gas E&P Energy USA 681.18K 0.00015 -25.00% 555,969,670
MMMM QUAD M SOLUTIONS INC Insurance - Specialty Financial Services USA 2.39M 0.01 -2.27% 535,828
MLMN MILLENNIUM PRIME INC Beverages - Wineries & Distilleries Consumer Defensive USA 5.24M 0.00220 0.00% 7,500
MLGF MALAGA FINANCIAL CORP Banks - Regional Financial Services USA 42.74M 23.25 0.00% 100
MVES MOVIE STUDIO INC Entertainment Communication Services USA 354.37K 0.00180 20.00% 140,064
MRCR MORO CORP Engineering & Construction Industrials USA 10.98M 1.38 0.00% 190
MS-PE Morgan Stanley DEPOSITARY SHARE Capital Markets Financial Services USA 73.06B 28.80 0.03% 29,402
MRPT MACREPORT.NET INC Internet Content & Information Communication Services USA 2.70M 0.14 0.00% 4,250
MRDH MERIDIAN HOLDINGS INC COLO Consulting Services Industrials USA 290.49K 0.04 0.00% 50
CANOF CALIFORNIA NANOTECHNOLOGIES COR Specialty Chemicals Basic Materials USA 4.60M 0.13 -1.33% 360
NTLK NET TALK.COM INC - - USA 106 0.00000 0.00% 1,021,358
USNU U S NEUROSURGICAL HOLDINGS INC Medical Care Facilities Healthcare USA 779.22K 0.10 0.00% 10,000
INNX INFINITE NETWORKS CORPORATION Shell Companies Financial Services USA 2.05M 0.01 0.00% 20,165