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Records  351 - 400 Of 474 Page 8 of 10
Ticker Company Industry Sector Country Market Cap Price Change Volume
MMLP Martin Midstream Partners L.P. Oil & Gas Midstream Energy USA 95.34M 2.45 -3.54% 344,407
SHLX Shell Midstream Partners, L.P. Oil & Gas Midstream Energy USA 6.22B 15.82 -0.06% 23,673,756
LMRK Landmark Infrastructure Partner Real Estate Services Real Estate USA 420.31M 16.49 0.00% 290,795
LFUS Littelfuse, Inc. Electronic Components Technology USA 6.57B 264.51 -12.42% 292,787
CCLP CSI Compressco LP Oil & Gas Equipment & Services Energy USA 166.13M 1.17 2.63% 145,298
CAPL CrossAmerica Partners LP Oil & Gas Refining & Marketing Energy USA 770.45M 20.30 -1.88% 102,393
PBFX PBF Logistics LP Oil & Gas Midstream Energy USA 1.25B 19.90 -2.40% 6,892,524
MED MEDIFAST INC Personal Services Consumer Cyclical USA 1.10B 101.25 1.32% 202,883
MN Manning & Napier, Inc. Asset Management Financial Services USA 245.75M 12.85 0.16% 423,573
UL Unilever PLC Household & Personal Products Consumer Defensive United Kingdom 133.30B 52.97 -1.06% 2,151,242
UGP Ultrapar Participacoes S.A. (Ne Oil & Gas Refining & Marketing Energy Brazil 4.30B 3.90 -0.51% 698,052
RPT RPT Realty REIT - Retail Real Estate USA 0.95B 10.72 -0.83% 1,250,208
PINC Premier, Inc. Health Information Services Healthcare USA 3.31B 27.76 -1.10% 566,783
CXP Columbia Property Trust, Inc. REIT Real Estate USA 2.22B 19.28 0.10% 4,070,256
VNO Vornado Realty Trust REIT - Office Real Estate USA 4.68B 22.69 0.75% 4,278,642
REPYY REPSOL SA SPON ADR-EACH CNV INT Oil & Gas Integrated Energy Spain 19.32B 14.79 -1.60% 134,284
WIR-U.TO WPT INDUSTRIAL REIT USD - - Canada 1.81B 21.76 -0.14% 581,417
GIC Global Industrial Company Industrial Distribution Industrials USA 1.13B 29.65 2.35% 151,934
SCM Stellus Capital Investment Corp Asset Management Financial Services USA 312.74M 15.01 -0.20% 58,214
H78.SI HongkongLand USD Real Estate - Development Real Estate Bermuda 9.85B 4.22 -1.40% 1,975,700
VSH Vishay Intertechnology, Inc. Semiconductors Technology USA 3.84B 27.52 -2.41% 761,138
WETF WisdomTree Investments, Inc. Asset Management Financial Services USA 775.11M 5.26 0.00% 1,013,153
DBOEY DEUTSCHE BOERSE AG UNSP ADR EAC Financial Data & Stock Exchanges Financial Services Germany 34.23B 18.41 -1.46% 99,437
SYIEY SYMRISE AG UNSP ADR EACH REPR 0 Specialty Chemicals Basic Materials Germany 14.47B 25.62 -4.30% 59,761
SAUHY STRAUMANN HOLDING AG UNSP ADS E Medical Instruments & Supplies Healthcare Switzerland 25.67B 15.82 -3.12% 96,799
CTTAY CONTINENTAL AG SPON ADS EACH RE Auto Parts Consumer Cyclical Germany 16.10B 7.88 -1.78% 893,740
ALTA Altabancorp Banks Financial Services USA 834.07M 44.16 -1.25% 410,642
CFRUY COMPAGNIE FINANCIERE RICHEMONT Luxury Goods Consumer Cyclical Switzerland 88.54B 15.28 -2.92% 254,929
SBGSY SCHNEIDER ELECTRIC SE UNSPON AD Specialty Industrial Machinery Industrials France 99.36B 35.43 0.34% 385,773
ENLAY ENEL SPA UN SPON ADR EA REPR 1 Utilities - Diversified Utilities Italy 66.85B 6.58 -2.81% 196,816
ENGIY ENGIE SPON ADR EACH REPR 1 SHAR Utilities - Diversified Utilities France 38.80B 16.03 -2.20% 88,581
MFIN Medallion Financial Corp. Credit Services Financial Services USA 231.59M 9.93 -1.39% 109,698
RTMVY RIGHTMOVE UNSP ADR EACH REP 2 O Internet Content & Information Communication Services United Kingdom 5.85B 14.36 -2.64% 50,041
RGP Resources Connection, Inc. Consulting Services Industrials USA 536.75M 15.94 -0.75% 130,399
VONOY VONOVIA SE UNSPN ADR EACH REP 0 Real Estate Services Real Estate Germany 18.61B 11.05 -3.41% 72,814
BCSF Bain Capital Specialty Finance, Asset Management Financial Services USA 0.96B 14.90 0.00% 229,914
BRY Berry Corporation (bry) Oil & Gas E&P Energy USA 612.80M 7.95 2.32% 1,102,062
DBI Designer Brands Inc. Footwear & Accessories Consumer Cyclical USA 648.19M 9.85 0.41% 1,116,174
EAF GrafTech International Ltd. Electrical Equipment & Parts Industrials USA 1.33B 5.19 -1.89% 772,943
FHB First Hawaiian, Inc. Banks - Regional Financial Services USA 2.61B 20.49 0.54% 910,298
HOPE Hope Bancorp, Inc. Banks - Regional Financial Services USA 1.26B 10.54 -0.28% 628,059
NMRK Newmark Group, Inc. Real Estate Services Real Estate USA 1.80B 7.52 8.20% 2,151,647
PK Park Hotels & Resorts Inc. REIT - Hotel & Motel Real Estate USA 2.96B 13.34 -1.19% 2,681,597
REYN Reynolds Consumer Products Inc. Packaging & Containers Consumer Cyclical USA 5.83B 27.76 1.13% 211,713
SWCH Switch, Inc. Information Technology Services Technology USA 8.27B 34.25 0.06% 7,548,836
UI Ubiquiti Inc. Communication Equipment Technology USA 10.62B 175.72 -0.25% 77,114
VRS Verso Corporation Paper & Paper Products Basic Materials USA 786.88M 26.99 0.15% 1,394,504
RTX RTX Corporation Aerospace & Defense Industrials USA 124.87B 85.46 -2.85% 8,603,903
UNIT Uniti Group Inc. REIT - Specialty Real Estate USA 1.32B 5.53 -0.90% 2,182,726
OGN Organon & Co. Drug Manufacturers - General Healthcare USA 5.56B 21.81 0.37% 1,771,141