Company SCORE PRICE CHG YIELD P/E MKT CAP
NUTRNusaTrip Incorporated
Consumer Cyclical
50
$9.00+0.00%0.00%n/a$174.4M
ACUAcme United Corporation
Consumer Defensive
53
$56.76+0.93%1.41%19.6$173.6M
INGNInogen Inc.
Healthcare
41
$6.44+0.31%0.00%n/a$173.3M
BVFLBV Financial Inc.
Financial Services
63
$20.71-0.17%0.16%14.8$173.2M
PEDPEDEVCO Corp
Energy
49
$10.63+2.61%0.00%7.4$172.9M
LAWRRobot Consulting Co., Ltd. ADR
Industrials
50
$3.75+0.00%0.00%n/a$172.3M
NBPNovaBridge Biosciences American Depositary Shares
Healthcare
46
$1.60-2.74%0.00%n/a$172.3M
TGENTecogen Inc.
Industrials
49
$3.33+4.06%0.00%n/a$171.4M
HNVRHanover Bancorp, Inc.
Financial Services
67
$26.33-0.83%1.67%22.8$171.3M
ABOSAcumen Pharmaceuticals, Inc.
Healthcare
57
$2.15-1.15%0.00%n/a$171.2M
PERFPerfect Corp.
Technology
49
$1.93-0.26%48.75%33.6$171.1M
ANTXAN2 Therapeutics, Inc.
Healthcare
51
$5.38+0.94%0.00%n/a$170.7M
EPSNEpsilon Energy Ltd.
Energy
56
$5.59+1.64%4.45%22.8$170.0M
ALECAlector Inc.
Healthcare
43
$1.51-7.10%0.00%n/a$169.9M
ECBKEcb Bancorp Inc.
Financial Services
77
$20.46+0.84%0.00%16.7$169.1M
PLXProtalix Biotherapeutics Inc.
Healthcare
49
$2.37+4.19%0.00%11.0$168.4M
KVHIKVH Industries Inc.
Communication Services
53
$9.32+0.54%0.00%56.6$168.1M
KRROKorro Bio Inc.
Healthcare
31
$10.33-1.15%0.00%n/a$167.4M
PCQPIMCO California Municipal Income Fund Common Stock
Financial Services
51
$8.59+0.23%4.88%293.0$166.8M
NTPNam Tai Property Inc
Real Estate
50
$4.22+219.32%6.64%3.4$165.5M
HOFTHooker Furnishings Corporation
Consumer Cyclical
37
$13.73-2.00%4.48%134.7$165.4M
IPHAInnate Pharma S.A. Sponsored ADR
Healthcare
43
$1.72-1.43%0.00%n/a$165.3M
LNDCLandec Corp
50
$4.33-2.26%0.00%n/a$164.8M
NRXPNRX Pharmaceuticals Inc.
Healthcare
51
$3.15+0.80%0.00%0.4$164.4M
ANTAAntalpha Platform Holding Co.
Financial Services
68
$3.05-4.65%0.00%8.3$164.1M
GBLGAMCO Investors Inc
Financial Services
51
$24.25+0.00%0.66%5.3$164.0M
KZIAKazia Therapeutics Ltd Sponsored ADR
Healthcare
46
$12.67-1.17%0.00%n/a$163.2M
VLCNEmpery Digital Inc.
Consumer Cyclical
50
$3.08+2.33%0.00%0.0$162.3M
KOREKORE Group Holdings, Inc.
Communication Services
54
$9.25+0.00%0.00%n/a$161.8M
PSJInvesco Dynamic Software ETF
53
$97.26+0.39%0.01%14.6$161.6M
FLXBingEx Limited American Depositary Receipt
Industrials
50
$2.20+2.57%0.00%13.8$161.6M
ENLVEnlivex Therapeutics Ltd.
Healthcare
52
$2.11+7.95%0.00%0.0$161.5M
BMNBlackRock 2037 Municipal Target Term Trust Common Shares of Beneficial Interest
Financial Services
51
$25.14+0.00%4.36%22.4$161.4M
LAFAULaFayette Acquisition Corp. Unit
Financial Services
48
$10.15-0.20%0.00%n/a$160.3M
CHCIComstock Holding Companies, Inc.
Real Estate
75
$14.42-1.94%0.00%9.3$160.1M
EMISEmmis Acquisition Corp. Class A Ordinary Shares
Financial Services
54
$10.15+0.00%0.00%n/a$160.1M
BZUNBaozun Inc.
Consumer Cyclical
57
$2.87-3.69%0.00%n/a$159.9M
QREDQuasarEdge Acquisition Corporation
Financial Services
52
$10.00+0.00%0.00%n/a$159.7M
LKSPLake Superior Acquisition Corp.
Financial Services
54
$10.17+0.00%0.00%112.7$159.1M
BRCBBlack Rock Coffee Bar, Inc. Class A Common Stock
Consumer Cyclical
53
$8.01+0.50%0.00%n/a$159.0M
LAFALaFayette Acquisition Corp.
Financial Services
44
$10.12+0.20%0.00%252.5$158.7M
TUSKMammoth Energy Services Inc.
Industrials
52
$2.66+2.12%16.13%23.3$158.5M
PSIGPs International Group Ltd.
Industrials
54
$1.17-1.68%0.00%3.4$158.4M
NNBRNn Inc.
Industrials
53
$3.28-1.95%9.29%n/a$158.3M
LGSTSemper Paratus Acquisition Corporation
Financial Services
50
$6.72+13.13%0.00%50.1$158.3M
CRBUCaribou Biosciences, Inc.
Healthcare
41
$1.45-3.97%0.00%n/a$158.2M
MISTMilestone Pharmaceuticals Inc.
Healthcare
47
$1.10-4.35%0.00%n/a$158.1M
DTILPrecision Biosciences Inc.
Healthcare
67
$7.00-0.07%0.00%4.4$157.4M
FMACFuture Money Acquisition Corporation
Financial Services
52
$10.02+0.00%0.00%n/a$157.2M
BMHLBluemount Holdings Limited
Financial Services
59
$5.60+0.00%0.00%55.7$156.3M