StockVS

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

Page 92 of 144
CEE

The Central and Eastern Europe Fund, Inc.

$137.30M

Financial Services / Asset Management

P/E 3.89
LGCY

Legacy Education Inc.

$137.27M

Consumer Defensive / Education & Training Services

P/E 18.08
UAC

United Acquisition Corp. I

$137.15M

Financial Services / Shell Companies

AFBI

Affinity Bancshares, Inc.

$137.01M

Financial Services / Banks - Regional

P/E 16.41
ESGL

ESGL Holdings Limited

$136.92M

Financial Services / Asset Management

TLYS

Tilly's, Inc.

$136.59M

Consumer Cyclical / Apparel Retail

SIF

SIFCO Industries, Inc.

$136.15M

Industrials / Aerospace & Defense

P/E 18.29
SCPQ

Social Commerce Partners Corporation

$136.15M

Financial Services / Shell Companies

GRX

The Gabelli Healthcare & Wellness Trust

$135.91M

Financial Services / Asset Management

P/E 60.20
BRR

ProCap Financial, Inc.

$135.86M

Financial Services / Capital Markets

CNTB

Connect Biopharma Holdings Limited

$135.65M

Healthcare / Biotechnology

NXXT

NextNRG, Inc.

$135.40M

Utilities / Utilities - Renewable

P/E 1.08
HYI

Western Asset High Yield Opportunity Fund Inc.

$135.19M

Financial Services / Asset Management

P/E 14.07
VWAV

VisionWave Holdings, Inc.

$135.06M

Industrials / Aerospace & Defense

GNLX

Genelux Corporation

$134.97M

Healthcare / Biotechnology

CGO

Calamos Global Total Return Fund

$134.93M

Financial Services / Asset Management

P/E 6.05
HSDT

Solana Company

$134.29M

Financial Services / Asset Management

P/E 0.01
JMG

JM Group Limited

$134.27M

Consumer Cyclical / Specialty Retail

P/E 44.07
GNT

GAMCO Natural Resources, Gold & Income Trust

$133.86M

Financial Services / Asset Management

P/E 2.86
EMPD

Empery Digital Inc.

$133.80M

Consumer Cyclical / Auto Manufacturers

BDTX

Black Diamond Therapeutics, Inc.

$133.51M

Healthcare / Biotechnology

IHD

Voya Emerging Markets High Dividend Equity Fund

$132.84M

Financial Services / Asset Management

P/E 3.07
CRDF

Cardiff Oncology, Inc.

$132.64M

Healthcare / Biotechnology

BWG

Legg Mason BW Global Income Opportunities Fund Inc.

$132.49M

Financial Services / Asset Management

P/E 8.58
QMCO

Quantum Corporation

$132.47M

Technology / Computer Hardware

JYNT

The Joint Corp.

$131.43M

Healthcare / Medical Care Facilities

P/E 102.44
MRDN

Meridian Holdings Inc.

$131.21M

Communication Services / Electronic Gaming & Multimedia

NEOV

NeoVolta Inc.

$131.12M

Industrials / Electrical Equipment & Parts

BYRN

Byrna Technologies Inc.

$130.90M

Industrials / Aerospace & Defense

P/E 16.03
BTA

BlackRock Long-Term Municipal Advantage Trust

$130.64M

Financial Services / Asset Management

VTVT

vTv Therapeutics Inc.

$130.61M

Healthcare / Biotechnology

ACNT

Ascent Industries Co.

$130.60M

Basic Materials / Chemicals

SMJF

SMJ International Holdings Inc.

$130.21M

Consumer Cyclical / Textile Manufacturing

P/E 156.67
FORR

Forrester Research, Inc.

$129.87M

Industrials / Consulting Services

CLPR

Clipper Realty Inc.

$129.55M

Real Estate / REIT - Residential

JHS

John Hancock Income Securities Trust

$129.34M

Financial Services / Asset Management

P/E 11.69
NNBR

NN, Inc.

$129.30M

Industrials / Conglomerates

ZEPP

Zepp Health Corporation

$129.05M

Technology / Consumer Electronics

STEC

Santech Holdings Limited

$128.52M

Technology / Software - Application

NYXH

Nyxoah SA

$128.27M

Healthcare / Medical Instruments & Supplies

NNOX

Nano-X Imaging Ltd.

$128.05M

Healthcare / Medical Devices

ACOG

Alpha Cognition Inc. Common Stock

$128.03M

Healthcare / Biotechnology

DWSN

Dawson Geophysical Company

$127.94M

Energy / Oil & Gas Equipment & Services

P/E 25.75
SUIG

SUI Group Holdings Limited

$127.82M

Financial Services / Credit Services

EML

The Eastern Company

$127.19M

Industrials / Tools & Accessories

P/E 27.04
BNAI

Brand Engagement Network, Inc.

$127.16M

Technology / Software - Infrastructure

TTEC

TTEC Holdings, Inc.

$127.00M

Technology / Information Technology Services

QTRX

Quanterix Corporation

$126.72M

Healthcare / Medical Devices

AFJK

Aimei Health Technology Co., Ltd

$126.65M

Financial Services / Shell Companies

P/E 235.29
BRLT

Brilliant Earth Group, Inc.

$126.50M

Consumer Cyclical / Luxury Goods