Filter options

Records  1 - 50 Of 79 Page 1 of 2
Ticker Company Industry Sector Country Market Cap Price Change Volume
SYTA Siyata Mobile, Inc. Communication Equipment Technology Canada 25.43M 5.28 82.70% 145,295,541
IRNT IronNet, Inc. Software Technology USA 1.39B 16.34 58.64% 70,083,299
AGRI AgriFORCE Growing Systems Ltd. Farm Products Consumer Defensive Canada 47.50M 3.17 46.76% 268,623,646
GRTX Galera Therapeutics, Inc. Biotechnology Healthcare USA 63.54M 2.41 27.51% 14,903,851
GHSI Guardion Health Sciences, Inc. Drug Manufacturers Healthcare USA 36.64M 1.50 27.12% 85,758,222
ENPH Enphase Energy, Inc. Solar Technology USA 29.11B 216.22 24.65% 15,027,061
CETX Cemtrex Inc. Software Technology USA 27.43M 1.32 24.53% 74,186,387
BKKT Software Technology USA 1.47B 29.40 23.63% 56,161,996
KAVL Kaival Brands Innovations Group Tobacco Consumer Defensive USA 52.12M 1.84 21.05% 97,079,086
LEJU Leju Holdings Limited Real Estate Services Real Estate China 195.62M 1.43 20.17% 7,469,355
IONQ IonQ, Inc. Computer Hardware Technology USA 2.36B 12.28 16.73% 7,805,040
DGLY Digital Ally, Inc. Security & Protection Services Industrials USA 72.69M 1.40 16.67% 12,810,711
CTK CooTek (Cayman) Inc. Software Technology China 79.92M 1.22 15.64% 5,953,325
SRNG Soaring Eagle Acquisition Corp. Shell Companies Financial Services USA 2.46B 11.42 12.73% 7,380,087
PHUN Phunware, Inc. Software Technology USA 363.33M 4.78 9.89% 171,531,331
DWAC Digital World Acquisition Corp. Shell Companies Financial Services USA 2.33B 64.89 9.85% 46,597,719
KTTA Pasithea Therapeutics Corp. Biotechnology Healthcare USA 38.65M 2.96 9.23% 8,721,577
MITQ Moving iMage Technologies, Inc. Communication Equipment Technology USA 30.74M 2.89 9.06% 8,443,973
VTNR Vertex Energy, Inc Oil & Gas Refining & Marketing Energy USA 285.94M 4.67 9.00% 10,523,513
JNPR Juniper Networks, Inc. Communication Equipment Technology USA 9.70B 29.82 8.48% 9,854,864
BLUW Blue Water Acquisition Corp. Shell Companies Financial Services USA 69.77M 9.63 7.84% 5,919,992
GMVD G Medical Innovations Holdings Medical Instruments & Supplies Healthcare Israel 31.31M 2.25 6.13% 7,448,513
CCIV Churchill Capital Corp IV Shell Companies Financial Services USA 6.27B 24.25 5.90% 17,905,570
LKCO Luokung Technology Corp Internet Content & Information Communication Services China 428.29M 1.12 5.66% 9,878,019
BENE Benessere Capital Acquisition C Shell Companies Financial Services USA 166.66M 11.19 5.37% 6,392,594
OCGN Ocugen, Inc. Biotechnology Healthcare USA 1.91B 9.61 5.03% 40,137,161
SPWR SunPower Corporation Solar Technology USA 5.37B 31.09 4.96% 6,670,071
NVAX Novavax, Inc. Biotechnology Healthcare USA 10.57B 141.51 4.83% 7,917,978
MSFT Microsoft Corporation Software Technology USA 2.43T 323.17 4.21% 52,304,402
HOG Harley-Davidson, Inc. Recreational Vehicles Consumer Cyclical USA 5.65B 36.73 3.55% 6,867,803
CRTD Creatd Inc. Internet Content & Information Communication Services USA 59.06M 4.22 3.43% 8,996,109
LVS Las Vegas Sands Corp. Resorts & Casinos Consumer Cyclical USA 30.79B 40.30 3.25% 10,321,169
RUN Sunrun Inc. Solar Technology USA 11.16B 54.20 3.08% 8,149,096
MCD McDonald's Corporation Restaurants Consumer Cyclical USA 181.27B 242.73 2.67% 5,189,325
MPW Medical Properties Trust, Inc. REIT Real Estate USA 12.69B 21.30 2.60% 5,903,142
FNGD MicroSectors FANG Index -3X In - - - 1.28B 1.97 2.60% 8,891,057
UNG United States Natural Gas Fund - - - 247.13M 20.45 2.56% 12,173,021
CMO Capstead Mortgage Corporation REIT Real Estate USA 634.02M 6.50 2.52% 8,319,861
AGC Altimeter Growth Corp. Shell Companies Financial Services USA 827.50M 13.24 2.48% 7,043,673
LCID Lucid Group, Inc. Auto Manufacturers Consumer Cyclical USA 44.49B 27.02 2.43% 51,441,431
TIGR UP Fintech Holding Limited Capital Markets Financial Services China 1.44B 8.85 2.08% 10,783,636
HVBT Hive Blockchain Technologies Lt Capital Markets Financial Services Canada 1.18B 3.06 2.00% 5,192,544
TSLA Tesla, Inc. Auto Manufacturers Consumer Cyclical USA 1.04T 1,038.31 1.95% 38,013,916
KO Coca-Cola Company (The) Beverages Consumer Defensive USA 239.66B 55.52 1.93% 23,633,228
TLT iShares 20+ Year Treasury Bond - - - 16.20B 147.68 1.77% 20,804,938
UMC United Microelectronics Corpora Semiconductors Technology Taiwan 26.85B 10.86 1.59% 14,151,218
IVR INVESCO MORTGAGE CAPITAL INC REIT Real Estate USA 0.92B 3.17 1.28% 5,589,960
XPEV XPeng Inc. Auto Manufacturers Consumer Cyclical China 39.28B 45.90 1.24% 11,045,908
AES The AES Corporation Utilities Utilities USA 17.10B 25.66 1.14% 5,305,318
BBD Banco Bradesco Sa Banks Financial Services Brazil 35.66B 3.68 1.10% 34,301,544