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Ticker Company Industry Sector Country Market Cap Price Change Volume
GNS Genius Group Ltd - - - 154.08M 7.16 -63.15% 5,331,545
SPRT Support.com, Inc. Software Technology USA 286.01M 11.80 -38.22% 50,179,617
EMBK Embark Technology, Inc. Software Technology USA 715.36M 1.59 -30.57% 7,108,400
NRDY Nerdy Inc. Software Technology USA 161.95M 1.93 -24.90% 6,824,260
BCYP Big Cypress Acquisition Corp. Marketing Services Services USA 124.85M 8.44 -19.23% 15,335,164
VIAC ViacomCBS Inc. Entertainment Communication Services USA 19.26B 29.58 -17.81% 87,342,172
NAKD Cenntro Electric Group Limited Auto Manufacturers Consumer Cyclical USA 681.88M 2.61 -14.98% 15,025,250
AGC Altimeter Growth Corp. Shell Companies Financial Services USA 688.12M 11.01 -13.44% 8,848,771
WMT Walmart Inc. Discount Stores Consumer Defensive USA 361.58B 131.35 -11.38% 43,974,977
NU Nu Holdings Ltd. Banks Financial Services Brazil 18.81B 4.08 -6.21% 100,080,041
CHMA Chiasma, Inc. Biotechnology Healthcare USA 237.81M 3.76 -6.00% 8,196,718
NAT Nordic American Tankers Limited Marine Shipping Industrials Bermuda 528.38M 2.62 -5.07% 5,564,499
LTCH Latch, Inc. Software Technology USA 346.13M 2.41 -4.37% 6,304,025
KR Kroger Company (The) Grocery Stores Consumer Defensive USA 37.07B 51.23 -3.70% 10,336,869
IAG Iamgold Corporation Gold Basic Materials Canada 1.01B 2.10 -3.67% 10,785,882
NLY Annaly Capital Management Inc REIT Real Estate USA 9.42B 6.45 -3.59% 109,200,653
AGRI AgriFORCE Growing Systems Ltd. Farm Products Consumer Defensive Canada 40.67M 2.68 -3.25% 24,168,560
STL Sterling Bancorp Banks Financial Services USA 5.06B 26.29 -3.24% 19,410,604
RPAI Retail Properties of America, I REIT Real Estate USA 2.82B 13.15 -3.17% 52,727,711
XEC Cimarex Energy Co Oil & Gas E&P Energy USA 8.97B 87.20 -3.11% 7,106,791
BBWI Bath & Body Works, Inc. Specialty Retail Consumer Cyclical USA 11.21B 47.00 -2.91% 15,490,027
TOST Toast, Inc. Software Technology USA 6.92B 13.51 -2.81% 7,545,077
KDP Keurig Dr Pepper Inc. Beverages Consumer Defensive USA 51.03B 35.97 -2.73% 18,560,661
MULN Mullen Automotive, Inc. Auto Manufacturers Consumer Cyclical USA 324.65M 1.14 -2.56% 55,525,642
ISBC Investors Bancorp, Inc. Banks Financial Services USA 3.46B 13.87 -2.46% 133,025,189
BBL BHP Group PlcSponsored Other Industrial Metals & Mining Basic Materials Australia 162.31B 64.18 -2.43% 14,421,592
VER VEREIT, Inc. REIT Real Estate USA 11.53B 50.30 -2.39% 29,651,656
RDS-A Royal Dutch Shell PLC Royal Dut Oil & Gas Integrated Energy Netherlands 150.33B 38.34 -2.27% 6,190,154
DDOG Datadog, Inc. Software Technology USA 29.94B 95.05 -2.20% 9,592,728
KHC The Kraft Heinz Company Packaged Foods Consumer Defensive USA 52.83B 43.16 -2.09% 7,579,632
DT Dynatrace, Inc. Software Technology USA 9.90B 32.81 -2.06% 6,567,259
WRI Weingarten Realty Investors REIT Real Estate USA 4.02B 31.44 -2.06% 26,456,004
RLX RLX Technology Inc. Tobacco Consumer Defensive China 3.06B 1.98 -1.98% 6,535,316
NET Cloudflare, Inc. Software Technology USA 18.36B 56.27 -1.90% 9,192,640
RBGLY RECKITT BENCKISER GROUP PLC SPO Household & Personal Products Consumer Defensive United Kingdom 56.45B 15.79 -1.86% 5,028,258
KSU Kansas City Southern Railroads Industrials USA 26.71B 293.59 -1.69% 40,645,849
ZIM ZIM Integrated Shipping Service Marine Shipping Industrials Israel 7.79B 65.04 -1.66% 5,506,421
GWB Great Western Bancorp, Inc. Banks Financial Services USA 1.70B 30.88 -1.59% 14,975,967
AGNC AGNC Investment Corp. REIT Real Estate USA 6.34B 12.11 -1.46% 15,309,869
TME Tencent Music Entertainment Gro Internet Content & Information Communication Services China 6.93B 4.09 -1.45% 21,312,792
TGT Target Corporation Discount Stores Consumer Defensive USA 99.82B 215.28 -1.41% 6,523,532
VEDL Vedanta Limited Other Industrial Metals & Mining Basic Materials India 15.37B 16.50 -1.32% 16,853,794
PVG Pretium Resources, Inc. Industrial Metals & Minerals Basic Materials Canada 2.87B 15.05 -1.31% 11,729,628
PBR-A Petroleo Brasileiro S.A.- Petro Oil & Gas Integrated Energy Brazil 65.98B 9.79 -1.31% 10,676,429
MNTV Momentive Global Inc. Software Technology USA 2.40B 15.97 -1.24% 6,031,750
TLT iShares 20+ Year Treasury Bond - - - 12.56B 114.46 -1.21% 13,112,247
CZR Caesars Entertainment, Inc. Resorts & Casinos Consumer Cyclical USA 11.02B 51.40 -1.13% 5,055,025
SNR New Senior Investment Group Inc REIT Real Estate USA 741.44M 8.82 -1.12% 15,918,090
BXS BancorpSouth Bank Banks Financial Services USA 3.12B 28.76 -1.07% 19,265,226
CAG ConAgra Brands, Inc. Packaged Foods Consumer Defensive USA 16.94B 35.31 -0.93% 5,080,560