StockVS

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

Page 99 of 158
GLED

GalaxyEdge Acquisition Corporation

$158.87M

Financial Services / Shell Companies

NNY

Nuveen New York Municipal Value Fund

$158.83M

Financial Services / Asset Management

P/E 26.28
LAFA

LaFayette Acquisition Corp.

$158.55M

Financial Services / Shell Companies

P/E 252.25
CURI

CuriosityStream Inc.

$158.30M

Communication Services / Broadcasting

COE

51Talk Online Education Group

$157.99M

Consumer Defensive / Education & Training Services

FMAC

Future Money Acquisition Corporation

$157.99M

Financial Services / Shell Companies

SPEG

Silver Pegasus Acquisition Corp.

$157.01M

Financial Services / Shell Companies

P/E 146.29
MOLN

Molecular Partners AG

$156.80M

Healthcare / Biotechnology

OGI

Organigram Global Inc.

$156.26M

Healthcare / Drug Manufacturers - Specialty & Generic

WPAC

White Pearl Acquisition Corp.

$156.19M

Financial Services / Shell Companies

HURA

TuHURA Biosciences, Inc.

$156.02M

Healthcare / Biotechnology

FGBI

First Guaranty Bancshares, Inc.

$155.92M

Financial Services / Banks - Regional

ROOT.TO

Roots Corporation

$155.68M

Consumer Cyclical / Apparel Retail

P/E 33.08
TUSK

Mammoth Energy Services, Inc.

$155.59M

Industrials / Conglomerates

RGP

Resources Connection, Inc.

$155.51M

Industrials / Consulting Services

WEF.TO

Western Forest Products Inc.

$155.31M

Basic Materials / Lumber & Wood Production

WATT

Energous Corporation

$155.24M

Technology / Communication Equipment

JELD

JELD-WEN Holding, Inc.

$155.07M

Industrials / Building Products & Equipment

RCMT

RCM Technologies, Inc.

$154.79M

Industrials / Conglomerates

P/E 10.30
MNTS

Momentus Inc.

$154.68M

Industrials / Aerospace & Defense

NRDY

Nerdy Inc.

$154.66M

Technology / Software - Application

WHG

Westwood Holdings Group, Inc.

$154.27M

Financial Services / Asset Management

P/E 19.59
USBC

USBC, Inc.

$154.09M

Technology / Scientific & Technical Instruments

BDSX

Biodesix, Inc.

$153.37M

Healthcare / Diagnostics & Research

RAIL

FreightCar America, Inc.

$153.29M

Industrials / Railroads

P/E 11.13
GRO

Brazil Potash Corp.

$153.24M

Basic Materials / Other Industrial Metals & Mining

MHF

Western Asset Municipal High Income Fund Inc.

$153.23M

Financial Services / Asset Management

P/E 38.33
PLBY

Playboy, Inc.

$153.08M

Consumer Cyclical / Leisure

EPM

Evolution Petroleum Corporation

$152.96M

Energy / Oil & Gas E&P

DOYU

DouYu International Holdings Limited

$152.10M

Communication Services / Internet Content & Information

ASRT

Assertio Holdings, Inc.

$151.60M

Healthcare / Drug Manufacturers - Specialty & Generic

IGA

Voya Global Advantage and Premium Opportunity Fund

$151.57M

Financial Services / Asset Management

P/E 8.03
PIM

Putnam Master Intermediate Income Trust

$151.30M

Financial Services / Asset Management

P/E 14.27
SRG

Seritage Growth Properties

$150.95M

Real Estate / Real Estate Services

BNR

Burning Rock Biotech Limited

$150.92M

Healthcare / Diagnostics & Research

INAC

Indigo Acquisition Corp.

$150.80M

Financial Services / Shell Companies

P/E 36.50
BZUN

Baozun Inc.

$150.55M

Consumer Cyclical / Internet Retail

BCV

Bancroft Fund Ltd.

$150.51M

Financial Services / Asset Management

P/E 3.51
CEPS

Cantor Equity Partners VI, Inc.

$150.27M

Financial Services / Shell Companies

P/E 341.33
FURY.TO

Fury Gold Mines Limited

$150.20M

Basic Materials / Other Industrial Metals & Mining

P/E 13.17
CRDL

Cardiol Therapeutics Inc.

$149.85M

Healthcare / Drug Manufacturers - Specialty & Generic

TORO

Toro Corp.

$149.74M

Energy / Oil & Gas Midstream

P/E 86.50
YCY

AA Mission Acquisition Corp. II

$149.71M

Financial Services / Shell Companies

BFIN

BankFinancial Corporation

$149.53M

Financial Services / Banks - Regional

P/E 63.16
SAFX

XCF Global, Inc.

$149.42M

Utilities / Utilities - Renewable

P/E 2.04
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