| | | | | |
GTN.A Gray Media, Inc. Class A | $6,6100 | -2,79% | $688,34M | $828,00 | |
VEL Velocity Financial, Inc. | $17,8200 | +1,02% | $687,35M | $60,07K | |
STTK Shattuck Labs, Inc. Common Stock | $7,9300 | +8,78% | $686,70M | $1,44M | |
NKLR Terra Innovatum Global N.V. Ordinary shares | $6,2100 | +21,05% | $686,21M | $1,12M | |
EVO Evotec SE American Depositary Shares | $1,9400 | +0,00% | $685,90M | $16,18K | |
| $13,5600 | -3,69% | $685,77M | $50,47K | |
CWBC Community West Bancshares Common Stock | $25,8300 | +1,41% | $685,68M | $297,65K | |
| $9,2300 | -3,15% | $682,31M | $1,87M | |
AXG Solowin Holdings Class A Ordinary Share | $2,9750 | -1,49% | $682,12M | $332,56K | |
ADTN ADTRAN Holdings, Inc. Common Stock | $8,7400 | -1,35% | $682,00M | $5,01M | |
BBOT BridgeBio Oncology Therapeutics, Inc. Common Stock | $8,8500 | +7,27% | $680,91M | $507,08K | |
AGMB AgomAb Therapeutics NV American Depositary Shares | $14,7400 | +9,02% | $680,11M | $87,36K | |
BCAL California BanCorp Common Stock | $21,5650 | +0,54% | $679,45M | $172,54K | |
WDI Western Asset Diversified Income Fund | $13,0285 | -0,09% | $678,49M | $250,77K | |
RVI Robinhood Ventures Fund I | $27,9300 | +2,12% | $678,45M | $438,93K | |