StockVS

All Stocks - Prices, Analysis & Market Data (8,093)

Page 73 of 162
FBYD

Falcon's Beyond Global, Inc.

$516.59M

Industrials / Conglomerates

P/E 58.56
PRTH

Priority Technology Holdings, Inc.

$514.72M

Technology / Software - Infrastructure

P/E 8.93
CTRN

Citi Trends, Inc.

$514.03M

Consumer Cyclical / Apparel Retail

P/E 43.15
DIAX

Nuveen Dow 30 Dynamic Overwrite Fund

$512.77M

Financial Services / Asset Management

P/E 9.79
PHX.TO

PHX Energy Services Corp.

$512.30M

Energy / Oil & Gas Drilling

P/E 12.61
NXJ

Nuveen New Jersey Quality Municipal Income Fund

$512.11M

Financial Services / Asset Management

RZLT

Rezolute, Inc.

$511.31M

Healthcare / Biotechnology

CLCO

Cool Company Ltd.

$511.23M

Energy / Oil & Gas Midstream

P/E 9.21
BGY

BlackRock Enhanced International Dividend Trust

$511.07M

Financial Services / Asset Management

P/E 6.27
GCGR

General Catalyst Global Resilience Merger Corp.

$510.67M

Financial Services / Shell Companies

GUG

Guggenheim Active Allocation Fund

$510.53M

Financial Services / Asset Management

P/E 12.29
GOGO

Gogo Inc.

$509.85M

Communication Services / Telecom Services

P/E 37.70
RMAX

RE/MAX Holdings, Inc.

$509.77M

Real Estate / Real Estate Services

P/E 462.50
ALOY

REalloys Inc.

$509.69M

Basic Materials / Other Industrial Metals & Mining

HKD

AMTD Digital Inc.

$509.13M

Technology / Software - Application

P/E 9.53
AIAI

AIAI Holdings Corporation

$509.07M

Industrials / Conglomerates

ACQ.TO

AutoCanada Inc.

$508.76M

Consumer Cyclical / Auto & Truck Dealerships

P/E 59.70
ASPI

ASP Isotopes Inc.

$508.65M

Basic Materials / Chemicals

AIOT

PowerFleet, Inc.

$508.55M

Technology / Software - Infrastructure

TF.TO

Timbercreek Financial Corp.

$508.10M

Financial Services / Mortgage Finance

P/E 16.59
TWI

Titan International, Inc.

$507.89M

Industrials / Farm & Heavy Construction Machinery

SOPH

SOPHiA GENETICS SA

$507.57M

Healthcare / Health Information Services

DRX.TO

ADF Group Inc.

$507.10M

Industrials / Metal Fabrication

P/E 16.91
TOI

The Oncology Institute, Inc.

$506.91M

Healthcare / Medical Care Facilities

BGB

Blackstone Strategic Credit 2027 Term Fund

$504.42M

Financial Services / Asset Management

P/E 16.85
COFS

ChoiceOne Financial Services, Inc.

$504.21M

Financial Services / Banks - Regional

P/E 7.94
NWAX

New America Acquisition I Corp.

$503.98M

Financial Services / Shell Companies

YORW

The York Water Company

$503.46M

Utilities / Utilities - Regulated Water

P/E 21.13
MTW

The Manitowoc Company, Inc.

$503.45M

Industrials / Farm & Heavy Construction Machinery

P/E 66.76
ALTI

AlTi Global, Inc.

$503.37M

Financial Services / Asset Management

FSZ.TO

Fiera Capital Corporation

$503.26M

Financial Services / Asset Management

P/E 24.84
BLE

BlackRock Municipal Income Trust II

$503.04M

Financial Services / Asset Management

ZURA

Zura Bio Limited

$501.92M

Healthcare / Biotechnology

NGS

Natural Gas Services Group, Inc.

$500.51M

Energy / Oil & Gas Equipment & Services

P/E 22.60
NPCE

NeuroPace, Inc.

$500.50M

Healthcare / Medical Devices

IGD

Voya Global Equity Dividend and Premium Opportunity Fund

$500.03M

Financial Services / Asset Management

P/E 8.34
ASMB

Assembly Biosciences, Inc.

$499.79M

Healthcare / Biotechnology

P/E 315.25
OBT

Orange County Bancorp, Inc.

$499.31M

Financial Services / Banks - Regional

P/E 10.92
PANL

Pangaea Logistics Solutions Ltd.

$499.12M

Industrials / Marine Shipping

P/E 13.87
MG

Mistras Group, Inc.

$498.57M

Industrials / Security & Protection Services

P/E 22.39
METCB

Ramaco Resources, Inc.

$497.67M

Basic Materials / Coking Coal

MEVO

M Evo Global Acquisition Corp II

$497.50M

Financial Services / Shell Companies

FTHY

First Trust High Yield Opportunities 2027 Term Fund

$497.17M

Financial Services / Asset Management

P/E 13.13
MSIF

MSC Income Fund, Inc.

$496.08M

Financial Services / Asset Management

P/E 5.98
ETO

Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund

$495.25M

Financial Services / Asset Management

P/E 3.59
TWN

The Taiwan Fund, Inc.

$494.96M

Financial Services / Asset Management

P/E 2.28
EIM

Eaton Vance Municipal Bond Fund

$494.72M

Financial Services / Asset Management

P/E 41.87
FRX.TO

Fennec Pharmaceuticals Inc.

$493.96M

Healthcare / Biotechnology

YEXT

Yext, Inc.

$493.22M

Technology / Software - Infrastructure

P/E 61.50
ADUR

Aduro Clean Technologies Inc.

$492.66M

Industrials / Pollution & Treatment Controls