StockVS

NYSE & NASDAQ Stocks - Complete List & Prices (7,163)

Page 69 of 144
FFA

First Trust Enhanced Equity Income Fund

$448.73M

Financial Services / Asset Management

P/E 5.56
OVID

Ovid Therapeutics Inc.

$447.94M

Healthcare / Biotechnology

CMCO

Columbus McKinnon Corporation

$447.77M

Industrials / Farm & Heavy Construction Machinery

RBB

RBB Bancorp

$447.75M

Financial Services / Banks - Regional

P/E 10.85
NQP

Nuveen Pennsylvania Quality Municipal Income Fund

$447.73M

Financial Services / Asset Management

VMD

Viemed Healthcare, Inc.

$447.39M

Healthcare / Medical Devices

P/E 31.54
BXC

BlueLinx Holdings Inc.

$446.71M

Industrials / Industrial Distribution

FSTR

L.B. Foster Company

$446.69M

Industrials / Railroads

P/E 41.47
PRTA

Prothena Corporation plc

$446.57M

Healthcare / Biotechnology

SPIR

Spire Global, Inc.

$446.34M

Industrials / Specialty Business Services

P/E 7.25
ACTG

Acacia Research Corporation

$446.24M

Industrials / Business Equipment & Supplies

NBB

Nuveen Taxable Municipal Income Fund

$445.92M

Financial Services / Asset Management

P/E 16.14
WOW

WideOpenWest, Inc.

$445.86M

Communication Services / Telecom Services

GEVO

Gevo, Inc.

$445.44M

Basic Materials / Specialty Chemicals

IEAG

Infinite Eagle Acquisition Corp.

$444.77M

Financial Services / Shell Companies

FRPH

FRP Holdings, Inc.

$444.18M

Real Estate / Real Estate Services

P/E 463.40
CABA

Cabaletta Bio, Inc.

$443.51M

Healthcare / Biotechnology

KYTX

Kyverna Therapeutics, Inc.

$443.20M

Healthcare / Biotechnology

OFIX

Orthofix Medical Inc.

$443.02M

Healthcare / Medical Devices

SWMR

Swarmer, Inc

$442.99M

Technology / Software - Infrastructure

KBON

Karbon Capital Partners Corp.

$442.79M

Financial Services / Shell Companies

NPFD

Nuveen Variable Rate Preferred & Income Fund

$442.69M

Financial Services / Asset Management

P/E 8.52
BFK

BlackRock Municipal Income Trust

$442.50M

Financial Services / Asset Management

TITN

Titan Machinery Inc.

$442.28M

Industrials / Industrial Distribution

SRTA

Strata Critical Medical, Inc.

$440.42M

Healthcare / Medical Care Facilities

SPT

Sprout Social, Inc.

$439.97M

Technology / Software - Application

FRBA

First Bank

$438.38M

Financial Services / Banks - Regional

P/E 10.41
MBVI

M3-Brigade Acquisition Vi Corp.

$438.15M

Financial Services / Shell Companies

GBFH

GBank Financial Holdings Inc.

$437.87M

Financial Services / Banks - Regional

P/E 24.80
TLNC

Talon Capital Corp.

$435.47M

Financial Services / Shell Companies

ULH

Universal Logistics Holdings, Inc.

$435.10M

Industrials / Trucking

PACB

Pacific Biosciences of California, Inc.

$434.84M

Healthcare / Medical Devices

CLPT

ClearPoint Neuro, Inc.

$434.55M

Healthcare / Medical Devices

ERII

Energy Recovery, Inc.

$433.50M

Industrials / Pollution & Treatment Controls

P/E 23.36
PBFS

Pioneer Bancorp, Inc.

$433.33M

Financial Services / Banks - Regional

P/E 21.07
SGMT

Sagimet Biosciences Inc.

$432.88M

Healthcare / Biotechnology

MATV

Mativ Holdings, Inc.

$432.67M

Basic Materials / Specialty Chemicals

P/E 5.57
ITRG

Integra Resources Corp.

$431.91M

Basic Materials / Other Precious Metals & Mining

P/E 53.25
MESH

Meshflow Acquisition Corp.

$431.68M

Financial Services / Shell Companies

IBEX

IBEX Limited

$431.26M

Technology / Information Technology Services

P/E 10.07
NMG

Nouveau Monde Graphite Inc.

$431.14M

Basic Materials / Other Industrial Metals & Mining

MFI

mF International Limited

$431.02M

Technology / Software - Application

P/E 4.99
KRAQ

KRAKacquisition Corp.

$430.82M

Financial Services / Shell Companies

AMCX

AMC Global Media Inc.

$430.05M

Communication Services / Entertainment

P/E 11.38
OCGN

Ocugen, Inc.

$429.92M

Healthcare / Biotechnology

DCTH

Delcath Systems, Inc.

$429.10M

Healthcare / Medical Devices

P/E 1243.00
SERV

Serve Robotics Inc.

$428.85M

Industrials / Specialty Industrial Machinery

HPI

John Hancock Preferred Income Fund

$428.67M

Financial Services / Asset Management

P/E 12.40
GLAD

Gladstone Capital Corporation

$428.36M

Financial Services / Asset Management

P/E 10.25
CCRN

Cross Country Healthcare, Inc.

$428.06M

Healthcare / Medical Care Facilities