StockVS

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

Page 91 of 144
SKYX

SKYX Platforms Corp.

$149.28M

Industrials / Electrical Equipment & Parts

NVX

NOVONIX Limited

$148.89M

Industrials / Electrical Equipment & Parts

SPE

Special Opportunities Fund, Inc.

$148.83M

Financial Services / Asset Management

P/E 7.08
MSD

Morgan Stanley Emerging Markets Debt Fund, Inc.

$148.74M

Financial Services / Asset Management

P/E 7.00
CMTL

Comtech Telecommunications Corp.

$148.08M

Technology / Communication Equipment

BOOM

DMC Global Inc.

$147.99M

Industrials / Conglomerates

PFD

Flaherty & Crumrine Preferred Income Fund Inc.

$146.90M

Financial Services / Asset Management

P/E 11.91
EQ

Equillium, Inc.

$146.69M

Healthcare / Biotechnology

CRBP

Corbus Pharmaceuticals Holdings, Inc.

$146.55M

Healthcare / Biotechnology

USGO

U.S. GoldMining Inc.

$146.10M

Basic Materials / Other Industrial Metals & Mining

ACR

ACRES Commercial Realty Corp.

$146.01M

Real Estate / REIT - Mortgage

P/E 29.91
GUTS

Fractyl Health, Inc.

$145.61M

Healthcare / Biotechnology

MED

Medifast, Inc.

$145.55M

Consumer Cyclical / Personal Services

MRSN

Mersana Therapeutics, Inc.

$145.36M

Healthcare / Biotechnology

CURV

Torrid Holdings Inc.

$145.27M

Consumer Cyclical / Apparel Retail

MPA

BlackRock MuniYield Pennsylvania Quality Fund

$144.78M

Financial Services / Asset Management

P/E 33.88
ORIQU

Origin Investment Corp I

$144.64M

Financial Services / Shell Companies

CTW

CTW

$144.14M

Communication Services / Electronic Gaming & Multimedia

P/E 77.00
EVG

Eaton Vance Short Duration Diversified Income Fund

$143.85M

Financial Services / Asset Management

P/E 9.72
CMCM

Cheetah Mobile Inc.

$143.71M

Communication Services / Internet Content & Information

XFLH

XFLH Capital Corporation

$143.16M

Financial Services / Shell Companies

WHF

WhiteHorse Finance, Inc.

$143.07M

Financial Services / Asset Management

P/E 16.15
RMBI

Richmond Mutual Bancorporation, Inc.

$142.98M

Financial Services / Banks - Regional

P/E 11.70
KZIA

Kazia Therapeutics Limited

$142.95M

Healthcare / Biotechnology

AXR

AMREP Corporation

$142.60M

Real Estate / Real Estate - Development

P/E 11.15
SPRB

Spruce Biosciences, Inc.

$142.60M

Healthcare / Biotechnology

SKLZ

Skillz Inc.

$142.18M

Communication Services / Electronic Gaming & Multimedia

AMWL

American Well Corporation

$141.69M

Healthcare / Health Information Services

HOFT

Hooker Furnishings Corporation

$141.29M

Consumer Cyclical / Furnishings, Fixtures & Appliances

ARBE

Arbe Robotics Ltd.

$141.05M

Technology / Scientific & Technical Instruments

HEQ

John Hancock Diversified Income Fund

$141.01M

Financial Services / Asset Management

P/E 7.47
RCEL

AVITA Medical, Inc.

$140.96M

Healthcare / Medical Devices

PAL

Proficient Auto Logistics, Inc.

$140.79M

Industrials / Integrated Freight & Logistics

FNWD

Finward Bancorp

$140.72M

Financial Services / Banks - Regional

P/E 14.19
MSLE

Satellos Bioscience Inc.

$140.61M

Healthcare / Biotechnology

CAAS

China Automotive Systems, Inc.

$140.60M

Consumer Cyclical / Auto Parts

P/E 3.28
SHIM

Shimmick Corporation

$140.55M

Industrials / Engineering & Construction

DLNG

Dynagas LNG Partners LP

$140.07M

Energy / Oil & Gas Midstream

P/E 2.79
CODA

Coda Octopus Group, Inc.

$139.94M

Industrials / Aerospace & Defense

P/E 33.54
SBFG

SB Financial Group, Inc.

$139.94M

Financial Services / Banks - Regional

P/E 8.75
SNWV

SANUWAVE Health, Inc.

$139.82M

Healthcare / Medical Devices

P/E 16.94
NTHI

NeOnc Technologies Holdings, Inc.

$138.91M

Healthcare / Biotechnology

CIK

Credit Suisse Asset Management Income Fund, Inc.

$138.79M

Financial Services / Asset Management

P/E 18.07
SRBK

SR Bancorp, Inc.

$138.58M

Financial Services / Banks - Regional

P/E 32.14
DLTH

Duluth Holdings Inc.

$138.41M

Consumer Cyclical / Apparel Retail

WW

WW International, Inc.

$138.38M

Healthcare / Medical Care Facilities

P/E 1.55
AGEN

Agenus Inc.

$138.25M

Healthcare / Biotechnology

P/E 1.62
BGX

Blackstone Long-Short Credit Income Fund

$138.01M

Financial Services / Asset Management

P/E 15.51
ZVIA

Zevia PBC

$137.81M

Consumer Defensive / Beverages - Non-Alcoholic

RFAM

RF Acquisition Corp III

$137.38M

Financial Services / Shell Companies