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Ticker Company Industry Sector Country Market Cap Price Change Volume
NYSE:NYCB New York Community Bancorp, Inc Banks Financial Services USA 9.71B 13.45 -1.18% 6,769,723
KMI Kinder Morgan, Inc. Oil & Gas Midstream Energy USA 38.68B 17.36 -1.14% 10,180,889
JPM JP Morgan Chase & Co. Banks - Diversified Financial Services USA 451.61B 155.40 -1.13% 8,209,716
SNR New Senior Investment Group Inc REIT Real Estate USA 741.44M 8.82 -1.12% 15,918,090
TLT iShares 20+ Year Treasury Bond - - - 10.65B 97.09 -1.07% 38,077,619
BXS BancorpSouth Bank Banks Financial Services USA 3.12B 28.76 -1.07% 19,265,226
APLS Apellis Pharmaceuticals, Inc. Biotechnology Healthcare USA 2.79B 23.96 -1.07% 6,490,768
ET Energy Transfer LP Oil & Gas Midstream Energy USA 41.28B 13.14 -1.05% 14,387,275
CSX CSX Corporation Railroads Industrials USA 66.13B 32.96 -1.05% 8,975,854
XLI SPDR Select Sector Fund - Indus - - - 14.97B 109.59 -1.05% 9,902,338
FHN First Horizon Corporation Banks - Regional Financial Services USA 7.37B 13.19 -1.05% 5,220,506
CX Cemex, S.A.B. de C.V. Sponsored Building Materials Basic Materials Mexico 10.97B 7.56 -1.05% 5,817,870
CNHI CNH Industrial N.V. Farm & Heavy Construction Machinery Industrials United Kingdom 19.21B 14.41 -1.03% 6,388,193
PBR Petroleo Brasileiro S.A.- Petro Oil & Gas Integrated Energy Brazil 91.64B 14.05 -0.99% 22,437,251
HPE Hewlett Packard Enterprise Comp Communication Equipment Technology USA 22.27B 17.24 -0.98% 10,412,032
VICI VICI Properties Inc. REIT - Diversified Real Estate USA 31.46B 31.33 -0.98% 5,044,469
DIA SPDR Dow Jones Industrial Avera - - - 28.66B 352.74 -0.97% 5,033,865
RSP Invesco S&P 500 Equal Weight ET - - - 23.77B 152.78 -0.95% 6,036,155
SILV SilverCrest Metals Inc. Other Precious Metals & Mining Basic Materials Canada 653.41M 4.43 -0.89% 5,613,393
MTCH Match Group, Inc. Internet Content & Information Communication Services USA 12.74B 45.75 -0.87% 13,943,281
PR Permian Resources Corporation Oil & Gas E&P Energy USA 6.44B 11.56 -0.86% 8,810,050
XLF SPDR Select Sector Fund - Finan - - - 30.95B 35.03 -0.85% 48,634,898
LSI Life Storage, Inc. REIT Real Estate USA 11.54B 133.10 -0.76% 7,208,602
EWZ iShares Inc iShares MSCI Brazil - - - 6.61B 32.97 -0.75% 18,630,664
KEY KeyCorp Banks - Regional Financial Services USA 11.14B 11.90 -0.75% 11,419,174
PFE Pfizer, Inc. Drug Manufacturers - General Healthcare USA 199.56B 35.35 -0.73% 34,241,200
USB U.S. Bancorp Banks - Regional Financial Services USA 58.91B 38.43 -0.72% 9,900,527
DASH DoorDash, Inc. Internet Content & Information Communication Services USA 33.41B 85.98 -0.70% 5,137,508
AGNC AGNC Investment Corp. REIT - Mortgage Real Estate USA 6.06B 10.04 -0.69% 9,932,077
AUY Yamana Gold Inc. Gold Basic Materials Canada 5.63B 5.85 -0.68% 42,248,515
LQD iShares iBoxx $ Investment Grad - - - 31.04B 105.76 -0.61% 28,496,136
HAL Halliburton Company Oil & Gas Equipment & Services Energy USA 35.21B 39.03 -0.61% 5,868,468
MPW Medical Properties Trust, Inc. REIT - Healthcare Facilities Real Estate USA 5.90B 9.86 -0.60% 7,405,432
BKR Baker Hughes Company Oil & Gas Equipment & Services Energy USA 36.15B 35.56 -0.59% 5,691,186
ARR ARMOUR Residential REIT, Inc. REIT - Mortgage Real Estate USA 1.16B 5.10 -0.58% 7,400,603
SCHW Charles Schwab Corporation (The Capital Markets Financial Services USA 118.92B 65.34 -0.58% 8,889,104
IYR iShares U.S. Real Estate ETF - - - 4.31B 87.37 -0.58% 6,485,492
BTE Baytex Energy Corp Oil & Gas E&P Energy Canada 3.40B 3.96 -0.50% 5,159,903
IPG Interpublic Group of Companies, Advertising Agencies Communication Services USA 13.04B 33.79 -0.50% 5,401,346
EPD Enterprise Products Partners L. Oil & Gas Midstream Energy USA 57.78B 26.57 -0.49% 5,663,939
CMCSA Comcast Corporation Telecom Services Communication Services USA 187.97B 45.09 -0.49% 16,409,330
GLD SPDR Gold Trust - - - 46.75B 179.60 -0.48% 6,298,714
IAU iShares Gold Trust Shares of th - - - 35.58B 36.67 -0.46% 10,187,495
RF Regions Financial Corporation Banks - Regional Financial Services USA 19.01B 20.26 -0.44% 8,869,455
ENB Enbridge Inc Oil & Gas Midstream Energy Canada 73.29B 36.20 -0.44% 5,917,820
HYG iShares iBoxx $ High Yield Corp - - - 14.56B 74.45 -0.43% 37,063,721
TLRY Tilray Brands, Inc. Drug Manufacturers - Specialty & Generic Healthcare Canada 1.61B 2.37 -0.42% 39,084,660
VOD Vodafone Group Plc Telecom Services Communication Services United Kingdom 25.51B 9.43 -0.42% 6,989,759
NIO NIO Inc. Auto Manufacturers Consumer Cyclical China 25.91B 14.57 -0.41% 78,665,637
SIRI Sirius XM Holdings Inc. Entertainment Communication Services USA 19.19B 4.96 -0.40% 19,867,541