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Records  301 - 350 Of 403 Page 7 of 9
Ticker Company Industry Sector Country Market Cap Price Change Volume
DRVN Driven Brands Holdings Inc. Auto & Truck Dealerships Consumer Cyclical USA 2.55B 15.20 -41.15% 20,434,411
MULN Mullen Automotive, Inc. Auto Manufacturers Consumer Cyclical USA 78.43M 0.12 -5.65% 113,754,032
ICNM ICON MEDIA HOLDINGS INC Internet Content & Information Communication Services USA 33.29K 0.00030 -25.00% 5,250,000
HOOD Robinhood Markets, Inc. Capital Markets Financial Services USA 11.23B 12.44 -3.34% 13,117,900
MVST Microvast Holdings, Inc. Electrical Equipment & Parts Industrials USA 824.62M 2.67 -5.16% 5,150,088
CLVT Clarivate Plc Information Technology Services Technology United Kingdom 6.07B 8.98 -3.23% 5,750,901
MNGG MINING GLOBAL INC Gold Basic Materials USA 2.17M 0.00030 -25.00% 5,126,567
SHLS Shoals Technologies Group, Inc. Solar Technology USA 4.16B 24.51 -6.13% 6,164,885
IWM iShares Russell 2000 ETF - - - 54.84B 195.11 -1.36% 27,350,075
SMH VanEck Semiconductor ETF - - - 1.80B 154.64 -3.67% 10,019,431
EWZ iShares Inc iShares MSCI Brazil - - - 6.61B 32.97 -0.75% 18,630,664
TLT iShares 20+ Year Treasury Bond - - - 10.65B 97.09 -1.07% 38,077,619
XLB Materials Select Sector SPDR - - - 6.06B 84.28 -1.24% 9,634,374
EEM iShares MSCI Emerging Index Fun Closed-End Fund - Foreign Financial USA 30.42B 40.43 -2.39% 33,929,094
VWO Vanguard FTSE Emerging Markets - - - 58.92B 41.55 -2.17% 7,743,292
WHSI WEARABLE HEALTH SOLUTIONS INC Medical Instruments & Supplies Healthcare USA 1.56M 0.00100 -16.67% 9,944,582
XLF SPDR Select Sector Fund - Finan - - - 30.95B 35.03 -0.85% 48,634,898
AGG iShares Core U.S. Aggregate Bon - - - 55.28B 96.54 -0.24% 8,446,467
MOHO ECMOHO Limited Internet Retail Consumer Cyclical China 4.94M 0.10 -42.72% 53,639,022
SLV iShares Silver Trust - - - 7.43B 21.75 -2.42% 16,299,518
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
VGK Vanguard FTSEEuropean ETF - - - 17.39B 61.65 -1.82% 8,265,278
DIA SPDR Dow Jones Industrial Avera - - - 28.66B 352.74 -0.97% 5,033,865
TLGT Teligent, Inc. Drug Manufacturers Healthcare USA 16.10M 0.17 -13.85% 72,246,596
FTXP FOOTHILLS EXPLORATION INC Oil & Gas E&P Energy USA 335.37K 0.00020 -33.33% 10,059,010
EBET EBET, INC. Gambling Consumer Cyclical USA 2.41M 0.06 -13.93% 31,813,278
UNG United States Natural Gas Fund - - - 80.60M 6.67 -3.61% 19,016,751
XLE SPDR Select Sector Fund - Energ - - - 16.02B 85.93 -1.31% 22,953,560
QQQ Invesco QQQ Trust, Series 1 - - - 147.17B 374.39 -2.19% 72,276,708
QRTEA Liberty Interactive Corporation Internet Retail Consumer Cyclical USA 427.95M 0.96 -4.95% 10,106,278
CYBN Cybin Inc. Biotechnology Healthcare Canada 60.41M 0.29 -8.52% 5,956,213
XLI SPDR Select Sector Fund - Indus - - - 14.97B 109.59 -1.05% 9,902,338
RSP Invesco S&P 500 Equal Weight ET - - - 23.77B 152.78 -0.95% 6,036,155
HYG iShares iBoxx $ High Yield Corp - - - 14.56B 74.45 -0.43% 37,063,721
JOBY Joby Aviation, Inc. Airports & Air Services Industrials USA 5.62B 8.29 -5.26% 9,078,117
BRGO BERGIO INTL INC Luxury Goods Consumer Cyclical USA 12.80K 0.00090 -43.75% 15,615,114
LQD iShares iBoxx $ Investment Grad - - - 31.04B 105.76 -0.61% 28,496,136
EFA iShares MSCI EAFE ETF - - - 67.71B 72.16 -1.86% 16,517,745
XLK SPDR Select Sector Fund - Techn - - - 47.40B 174.23 -2.47% 7,901,792
ERBB AMERICAN GREEN INC Drug Manufacturers - Specialty & Generic Healthcare USA 25.28M 0.00085 -5.56% 6,136,852
SILV SilverCrest Metals Inc. Other Precious Metals & Mining Basic Materials Canada 653.41M 4.43 -0.89% 5,613,393
ALIT Alight, Inc. Software - Application Technology USA 4.76B 8.55 -11.67% 8,520,786
IEMG iShares Core MSCI Emerging Mark - - - 57.98B 50.38 -2.33% 10,251,958
AAPJ AAP INC Real Estate Services Real Estate USA 28.39K 0.00070 -22.22% 68,944,699
KDNY Chinook Therapeutics, Inc. Biotechnology Healthcare USA 2.69B 40.19 -0.25% 8,174,954
SPY SPDR S&P 500 - - - 413.12B 450.13 -1.39% 80,808,040
HLBZ Helbiz, Inc. Recreational Vehicles Consumer Cyclical USA 36.30M 0.12 -4.50% 36,806,466
ALKM ALKAME HOLDINGS INC Beverages - Non-Alcoholic Consumer Defensive USA 1.73M 0.00020 -33.33% 5,387,000
IYR iShares U.S. Real Estate ETF - - - 4.31B 87.37 -0.58% 6,485,492