StockVS

All Stocks - Prices, Analysis & Market Data (7,890)

Page 94 of 158
SRI

Stoneridge, Inc.

$212.33M

Consumer Cyclical / Auto Parts

EFSI

Eagle Financial Services, Inc.

$212.22M

Financial Services / Banks - Regional

P/E 10.29
EGHA

EGH Acquisition Corp.

$212.07M

Financial Services / Shell Companies

P/E 47.02
CTAA

ClearThink 1 Acquisition Corp.

$211.99M

Financial Services / Shell Companies

LUCD

Lucid Diagnostics Inc.

$211.74M

Healthcare / Medical Devices

VATE

INNOVATE Corp.

$211.72M

Industrials / Engineering & Construction

PNE.TO

Pine Cliff Energy Ltd.

$211.69M

Energy / Oil & Gas E&P

ACH

Accendra Health, Inc.

$211.37M

Healthcare / Medical Distribution

IMMR

Immersion Corporation

$211.18M

Technology / Software - Application

BOS.TO

AirBoss of America Corp.

$211.08M

Basic Materials / Specialty Chemicals

IPOD

Collective Acquisition Corp.

$210.83M

Financial Services / Shell Companies

P/E 40.08
RDIB

Reading International, Inc.

$210.82M

Communication Services / Entertainment

OPBK

OP Bancorp

$210.60M

Financial Services / Banks - Regional

P/E 7.73
IDE

Voya Infrastructure, Industrials and Materials Fund

$210.52M

Financial Services / Asset Management

P/E 3.36
SMTI

Sanara MedTech Inc.

$210.13M

Healthcare / Medical Instruments & Supplies

P/E 382.17
PALO

Paloma Acquisition Corp I

$209.93M

Financial Services / Shell Companies

MPAA

Motorcar Parts of America, Inc.

$209.59M

Consumer Cyclical / Auto Parts

P/E 121.22
NEN

New England Realty Associates Limited Partnership

$209.15M

Real Estate / Real Estate Services

MRBK

Meridian Corporation

$209.03M

Financial Services / Banks - Regional

P/E 9.50
ECO.TO

EcoSynthetix Inc.

$208.90M

Basic Materials / Specialty Chemicals

CRDL.TO

Cardiol Therapeutics Inc.

$208.64M

Healthcare / Drug Manufacturers - Specialty & Generic

HAVA

Harvard Ave Acquisition Corporation

$208.59M

Financial Services / Shell Companies

P/E 112.00
CPSS

Consumer Portfolio Services, Inc.

$208.09M

Financial Services / Credit Services

P/E 11.28
IMDX

Insight Molecular Diagnostics Inc.

$207.95M

Healthcare / Diagnostics & Research

XLY.TO

Auxly Cannabis Group Inc.

$207.87M

Healthcare / Drug Manufacturers - Specialty & Generic

P/E 7.25
IIF

Morgan Stanley India Investment Fund, Inc.

$207.76M

Financial Services / Asset Management

JACK

Jack in the Box Inc.

$207.71M

Consumer Cyclical / Restaurants

UTMD

Utah Medical Products, Inc.

$207.66M

Healthcare / Medical Instruments & Supplies

P/E 19.30
III

Information Services Group, Inc.

$207.62M

Technology / Information Technology Services

P/E 20.67
HITI

High Tide Inc.

$207.44M

Healthcare / Pharmaceutical Retailers

BOIL.TO

Beyond Oil Ltd.

$207.41M

Consumer Defensive / Packaged Foods

ETX

Eaton Vance Municipal Income 2028 Term Trust

$207.24M

Financial Services / Asset Management

P/E 24.38
ETX

Eaton Vance Municipal Income 2028 Term Trust

$207.24M

Financial Services / Asset Management

P/E 24.38
MVIS

MicroVision, Inc.

$206.63M

Technology / Scientific & Technical Instruments

INBK

First Internet Bancorp

$206.24M

Financial Services / Banks - Regional

GORO

Gold Resource Corporation

$205.59M

Basic Materials / Other Precious Metals & Mining

P/E 25.40
MOLY.TO

GREENLAND RESOURCES INC

$205.49M

Basic Materials / Other Industrial Metals & Mining

GPRO

GoPro, Inc.

$205.18M

Technology / Consumer Electronics

LFMD

LifeMD, Inc.

$205.06M

Healthcare / Health Information Services

ARCT

Arcturus Therapeutics Holdings Inc.

$204.93M

Healthcare / Biotechnology

KULR

KULR Technology Group, Inc.

$204.92M

Technology / Electronic Components

BRCC

BRC Inc.

$204.76M

Consumer Defensive / Packaged Foods

NBP

NovaBridge Biosciences

$204.70M

Healthcare / Biotechnology

ACB

Aurora Cannabis Inc.

$204.58M

Healthcare / Drug Manufacturers - Specialty & Generic

INSG

Inseego Corp.

$204.27M

Technology / Communication Equipment

P/E 19.61
PLG

Platinum Group Metals Ltd.

$204.19M

Basic Materials / Other Precious Metals & Mining

TNXP

Tonix Pharmaceuticals Holding Corp.

$203.56M

Healthcare / Biotechnology

AOMR

Angel Oak Mortgage REIT, Inc.

$203.55M

Real Estate / REIT - Mortgage

P/E 12.97
KPTI

Karyopharm Therapeutics Inc.

$203.29M

Healthcare / Biotechnology

FT

Franklin Universal Trust

$202.81M

Financial Services / Asset Management

P/E 6.21