StockVS

Actions NYSE & NASDAQ - Liste Complète et Prix (7,163)

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PANL

Pangaea Logistics Solutions Ltd.

$524.63M

Industrie / Transport Maritime

PER 14.85
XWIN

XMax Inc

$524.08M

Consommation Cyclique / Furnishings, Fixtures & Appliances

KYTX

Kyverna Therapeutics, Inc.

$523.45M

Santé / Biotechnologie

XOMA

XOMA Royalty Corporation

$523.21M

Santé / Biotechnologie

PER 26.57
BDN

Brandywine Realty Trust

$522.87M

Immobilier / REIT - Bureaux

ACIC

American Coastal Insurance Corporation

$522.44M

Services Financiers / Assurance - Biens et Risques Divers

PER 5.04
KRNY

Kearny Financial Corp.

$522.34M

Services Financiers / Banques - Régionales

PER 14.56
BBNX

Beta Bionics, Inc.

$522.26M

Santé / Dispositifs Médicaux

BGY

BlackRock Enhanced International Dividend Trust

$519.22M

Services Financiers / Gestion d'Actifs

PER 6.37
WIW

Western Asset Inflation-Linked Opportunities & Income Fund

$518.84M

Services Financiers / Gestion d'Actifs

PER 11.94
CBNK

Capital Bancorp, Inc.

$517.80M

Services Financiers / Banques - Régionales

PER 9.58
THW

Abrdn World Healthcare Fund

$516.66M

Services Financiers / Gestion d'Actifs

PER 9.55
EBF

Ennis, Inc.

$516.48M

Industrie / Équipements et Fournitures de Bureau

PER 12.30
IQI

Invesco Quality Municipal Income Trust

$516.15M

Services Financiers / Gestion d'Actifs

PER 28.71
RMAX

RE/MAX Holdings, Inc.

$516.14M

Immobilier / Services Immobiliers

PER 469.00
ANGX

Angel Studios, Inc.

$514.50M

Services de Communication / Divertissement

UROY

Uranium Royalty Corp.

$513.07M

Énergie / Uranium

PER 116.67
DDD

3D Systems Corporation

$512.85M

Technologie / Matériel Informatique

PER 7.93
DIAX

Nuveen Dow 30 Dynamic Overwrite Fund

$512.77M

Services Financiers / Gestion d'Actifs

PER 9.79
CTKB

Cytek Biosciences, Inc.

$512.70M

Santé / Dispositifs Médicaux

HBCP

Home Bancorp, Inc.

$512.59M

Services Financiers / Banques - Régionales

PER 10.98
BME

BlackRock Health Sciences Trust

$512.57M

Services Financiers / Gestion d'Actifs

PER 6.70
OLP

One Liberty Properties, Inc.

$512.54M

Immobilier / REIT - Diversifié

PER 18.79
CRNC

Cerence Inc.

$512.43M

Technologie / Logiciels - Applications

TREE

LendingTree, Inc.

$512.22M

Services Financiers / Conglomérats Financiers

PER 2.84
CTNM

Contineum Therapeutics, Inc.

$512.19M

Santé / Biotechnologie

NXJ

Nuveen New Jersey Quality Municipal Income Fund

$512.11M

Services Financiers / Gestion d'Actifs

ADUR

Aduro Clean Technologies Inc.

$511.98M

Industrie / Contrôle de la Pollution et Traitement

AQST

Aquestive Therapeutics, Inc.

$511.84M

Santé / Fabricants de Médicaments - Spécialité et Génériques

VCV

Invesco California Value Municipal Income Trust

$511.77M

Services Financiers / Gestion d'Actifs

PER 40.58
CLCO

Cool Company Ltd.

$511.23M

Énergie / Pétrole et Gaz Midstream

PER 9.21
ETD

Ethan Allen Interiors Inc.

$508.93M

Consommation Cyclique / Furnishings, Fixtures & Appliances

PER 12.66
TATT

TAT Technologies Ltd.

$508.03M

Industrie / Aérospatiale et Défense

PER 30.33
BGB

Blackstone Strategic Credit 2027 Term Fund

$506.66M

Services Financiers / Gestion d'Actifs

PER 16.93
NWAX

New America Acquisition I Corp.

$504.47M

Services Financiers / Sociétés Écrans

EIM

Eaton Vance Municipal Bond Fund

$503.45M

Services Financiers / Gestion d'Actifs

BLE

BlackRock Municipal Income Trust II

$503.04M

Services Financiers / Gestion d'Actifs

BSRR

Sierra Bancorp

$502.76M

Services Financiers / Banques - Régionales

PER 11.24
FTHY

First Trust High Yield Opportunities 2027 Term Fund

$502.69M

Services Financiers / Gestion d'Actifs

PER 13.27
FLGT

Fulgent Genetics, Inc.

$501.84M

Santé / Diagnostics et Recherche

WILC

G. Willi-Food International Ltd.

$501.77M

Consommation Défensive / Distribution Alimentaire

PER 15.94
CHCT

Community Healthcare Trust Incorporated

$501.72M

Immobilier / REIT - Établissements de Santé

PER 146.33
ITRG

Integra Resources Corp.

$501.58M

Matériaux de Base / Autres Métaux Précieux et Mines

PER 62.00
SIDU

Sidus Space, Inc.

$501.36M

Industrie / Aérospatiale et Défense

IGD

Voya Global Equity Dividend and Premium Opportunity Fund

$500.82M

Services Financiers / Gestion d'Actifs

PER 8.36
BETR

Better Home & Finance Holding Company

$499.48M

Services Financiers / Financement Hypothécaire

OWLS

Obook Holdings Inc.

$499.08M

Technologie / Logiciels - Infrastructure

ETO

Eaton Vance Tax-Advantaged Global Dividend Opportunities Fund

$498.04M

Services Financiers / Gestion d'Actifs

PER 5.65
MNRO

Monro, Inc.

$497.13M

Consommation Cyclique / Pièces Automobiles

ASPN

Aspen Aerogels, Inc.

$494.78M

Industrie / Produits et Équipements de Construction