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1,292 matching tickers (of 9,976) · page 13 of 13 · 100 per page. · Clear filters
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Ticker Name Market Cap▼ Last Daily % 52W High 52W Low Volume ADV30 Sparkline Insider 30d Exchange Sector Site Sent Social
#1 HLIO HELIOS TECHNOLOGIES, INC. $2.24B $67.92 -0.92% $94.91 $46.79 676,179 350,506 — NYSE Industrials — —
#2 ETY Eaton Vance Tax-Managed Diversified Equity Income Fund $2.24B $14.05 -0.21% $14.77 $12.60 824,176 314,983 — NYSE Unknown — —
#3 PBI PITNEY BOWES INC /DE/ $2.24B $16.32 +0.18% $18.96 $8.77 2,470,295 1,614,246 — NYSE Unknown — —
#4 UPST Upstart Holdings, Inc. $2.24B $22.99 -0.65% $55.22 $22.78 3,503,187 4,359,053 — Nasdaq Financials — —
#5 SMSGY Samsonite International SA/ADR $2.24B $8.20 +0.74% $14.10 $7.54 19,246 55,155 — OTC Unknown — —
#6 ANDE Andersons, Inc. $2.23B $65.70 -0.77% $81.87 $38.86 388,972 384,232 — Nasdaq Consumer Discretionary — —
#7 GPCR Structure Therapeutics Inc. $2.23B $31.27 -4.34% $94.90 $25.59 2,177,082 1,210,639 — Nasdaq Health Care — —
#8 PHVS Pharvaris N.V. $2.23B $31.72 -0.03% $43.25 $20.65 839,811 962,047 — Nasdaq Health Care — —
#9 GSG iShares S&P GSCI Commodity-Indexed Trust $2.22B $35.57 +1.31% $37.30 $22.37 791,239 1,541,718 — NYSE Financials — —
#0 MLYS Mineralys Therapeutics, Inc. $2.22B $25.13 +2.66% $47.65 $22.30 2,051,862 1,300,739 — Nasdaq Health Care — —
VVX V2X, Inc. $2.22B $70.77 -2.79% $93.98 $50.89 534,203 638,933 — NYSE Unknown — —
KVYO Klaviyo, Inc. $2.22B $15.73 +3.15% $33.35 $12.53 4,980,234 6,260,531 — NYSE Information Technology — —
WAFD WAFD INC $2.22B $29.93 -1.19% $39.20 $25.48 1,109,862 1,085,235 — Nasdaq Financials — —
BKE BUCKLE INC $2.21B $42.95 -0.65% $56.63 $39.44 615,890 498,980 — NYSE Consumer Discretionary — —
RXRX RECURSION PHARMACEUTICALS, INC. $2.21B $4.13 +2.48% $7.18 $2.77 32,650,872 19,694,012 — Nasdaq Health Care — —
DHY UBS ASSET MANAGEMENT HIGH YIELD CREDIT FUND $2.21B $16.00 +893.79% — — 429,206 383,461 — NYSE Unknown — —
GEF-B GREIF, INC $2.20B $102.89 -1.98% $114.64 $55.33 79,685 89,853 — NYSE Industrials — —
BFLY Butterfly Network, Inc. $2.19B $8.96 -1.54% $10.05 $1.87 4,549,918 5,171,414 — NYSE Health Care — —
BNT Brookfield Wealth Solutions Ltd. $2.19B $36.52 +0.27% $49.61 $36.04 14,695 17,196 — NYSE Financials — —
FIGS FIGS, Inc. $2.19B $13.86 -1.42% $17.48 $6.67 3,143,184 2,558,246 — NYSE Consumer Discretionary — —
BGSI Boyd Group Services Inc. $2.18B $78.41 -0.71% $182.47 $77.70 19,606 57,147 — NYSE Consumer Discretionary — —
BHC Bausch Health Companies Inc. $2.18B $5.83 +0.52% $8.00 $4.33 1,417,987 2,360,633 — NYSE Health Care — —
KEEL Keel Infrastructure Corp. $2.18B $3.53 -1.40% $7.37 $1.68 19,132,182 33,725,039 — Nasdaq Financials — #212 +100%
SXGCF Southern Cross Gold Consolidated Ltd. $2.18B $8.08 -1.46% $9.58 $4.36 7,633 69,848 — OTC Unknown — —
PHIN PHINIA INC. $2.18B $59.43 -1.64% $86.55 $49.91 631,797 377,850 — NYSE Consumer Discretionary — —
HG Hamilton Insurance Group, Ltd. $2.18B $33.04 -0.93% $37.31 $21.18 452,218 375,077 — NYSE Financials — —
PATK PATRICK INDUSTRIES INC $2.18B $67.78 -1.94% $146.39 $67.00 430,081 536,089 — Nasdaq Consumer Discretionary — —
PBH Prestige Consumer Healthcare Inc. $2.17B $45.87 -1.86% $71.07 $42.62 583,489 543,686 — NYSE Health Care — —
NWBI Northwest Bancshares, Inc. $2.17B $14.84 -0.54% $15.96 $10.79 1,450,330 1,035,361 — Nasdaq Financials — —
CALX CALIX, INC $2.16B $34.36 +2.48% $71.22 $32.35 1,129,742 1,019,575 — NYSE Communication Services — —
HCI HCI Group, Inc. $2.16B $173.82 -1.51% $208.47 $144.06 122,954 155,222 — NYSE Financials — —
HTH Hilltop Holdings Inc. $2.16B $37.66 +0.16% $40.14 $30.12 389,864 311,515 — NYSE Financials — #467 +0%
WGS GeneDx Holdings Corp. $2.16B $72.30 -4.60% $170.87 $32.21 904,678 671,136 — Nasdaq Health Care — —
PDFS PDF SOLUTIONS INC $2.16B $51.05 +2.57% $71.69 $23.55 1,069,513 638,090 — Nasdaq Information Technology — —
SMSOF Samsonite International SA/ADR $2.15B $1.58 +0.00% $2.76 $1.50 0 2,180 — OTC Unknown — —
AUPH Aurinia Pharmaceuticals Inc. $2.15B $16.19 -1.37% $19.25 $10.90 913,839 906,591 — Nasdaq Health Care — —
EFSC ENTERPRISE FINANCIAL SERVICES CORP $2.13B $58.95 -0.62% $68.35 $50.04 249,394 272,483 — Nasdaq Financials — —
AMR Alpha Metallurgical Resources, Inc. $2.13B $168.22 +1.34% $253.82 $133.64 339,946 354,055 — NYSE Energy — —
FLYW Flywire Corp $2.13B $17.50 +0.98% $19.73 $10.55 2,183,081 1,440,936 — Nasdaq Industrials — —
BCRX BIOCRYST PHARMACEUTICALS INC $2.13B $8.33 +0.73% $11.22 $6.00 13,098,983 4,554,189 — Nasdaq Health Care — —
RVT ROYCE SMALL-CAP TRUST, INC. $2.13B $17.13 +0.06% $18.77 $13.73 243,112 189,517 — NYSE Unknown — —
NZF Nuveen Municipal Credit Income Fund $2.13B $10.83 +2.07% $12.49 $10.45 2,118,197 1,042,437 — NYSE Unknown — —
PEB Pebblebrook Hotel Trust $2.12B $18.76 +0.27% $19.93 $9.97 1,643,452 2,077,825 — NYSE Real Estate — —
OFG OFG BANCORP $2.12B $50.08 -0.77% $54.47 $35.14 325,420 268,917 — NYSE Financials — —
SONO Sonos Inc $2.12B $17.89 +0.22% $19.82 $12.44 2,319,064 1,826,319 — Nasdaq Industrials — —
CDLR Cadeler A/S $2.11B $21.89 -3.10% $30.01 $15.37 139,126 75,528 — NYSE Industrials — —
PTON PELOTON INTERACTIVE, INC. $2.11B $4.99 -0.99% $9.20 $3.65 6,452,566 8,451,702 — Nasdaq Unknown — #356 -50%
DRD DRDGOLD LTD $2.10B $24.25 -0.98% $37.93 $18.94 253,303 304,337 — NYSE Materials — —
WELPP WISCONSIN ELECTRIC POWER CO $2.10B $63.00 +0.00% $65.63 $60.18 0 293 — OTC Utilities — —
KSS KOHLS Corp $2.09B $18.46 +0.76% $24.48 $11.22 4,348,850 4,550,972 — NYSE Consumer Discretionary — —
GLPGF Lakefront Biotherapeutics NV $2.09B $31.95 +0.00% $34.00 $26.24 0 3 — Nasdaq Health Care — —
DV DoubleVerify Holdings, Inc. $2.09B $13.49 +0.67% $13.65 $7.64 2,167,220 3,168,937 — NYSE Information Technology — —
MD Pediatrix Medical Group, Inc. $2.09B $25.73 -1.27% $27.94 $15.70 779,500 735,287 — NYSE Health Care — #463 +0%
RUM RUM Group Inc. $2.09B $7.56 -2.07% $10.60 $4.62 4,984,770 5,484,229 — Nasdaq Information Technology — —
SHO Sunstone Hotel Investors, Inc. $2.08B $11.21 -0.80% $11.98 $8.46 1,964,918 2,032,621 — NYSE Consumer Discretionary — —
EVT Eaton Vance Tax-Advantaged Dividend Income Fund $2.08B $27.91 -0.89% $29.40 $21.61 118,857 81,119 — NYSE Unknown — —
DBD DIEBOLD NIXDORF, Inc $2.08B $61.22 +1.61% $92.08 $54.48 337,442 239,315 — NYSE Information Technology — —
CTOS Custom Truck One Source, Inc. $2.07B $9.11 -1.19% $12.23 $5.18 684,514 878,847 — NYSE Industrials — —
ALGT Allegiant Travel CO $2.07B $75.79 -1.61% $123.63 $57.11 491,629 527,168 — Nasdaq Industrials — —
ALVO Alvotech $2.07B $5.80 -2.03% $9.05 $2.94 1,135,428 1,251,888 — Nasdaq Health Care — —
NKTR NEKTAR THERAPEUTICS $2.07B $60.54 +2.20% $109.00 $33.40 1,203,222 1,106,734 — Nasdaq Health Care — —
MPT MEDICAL PROPERTIES TRUST INC $2.07B $3.46 -1.42% $6.09 $3.36 10,297,005 9,874,814 — NYSE Real Estate — —
ADUS Addus HomeCare Corp $2.06B $110.54 -2.14% $124.44 $87.95 248,792 208,803 — Nasdaq Health Care — —
LIND LINDBLAD EXPEDITIONS HOLDINGS, INC. $2.06B $31.43 +0.51% $35.00 $11.37 1,066,485 872,180 — Nasdaq Industrials — —
AILLI Ameren Illinois Co $2.06B $81.00 +0.00% $89.23 $79.13 0 8 — OTC Utilities — —
MCRI MONARCH CASINO & RESORT INC $2.06B $115.00 -0.94% $135.59 $87.15 125,585 178,253 — Nasdaq Consumer Discretionary — —
VCEL Vericel Corp $2.06B $40.14 -1.16% $49.32 $28.95 585,376 522,213 — Nasdaq Health Care — —
FCF FIRST COMMONWEALTH FINANCIAL CORP /PA/ $2.04B $20.23 -0.49% $22.19 $14.56 979,391 895,943 — NYSE Financials — #49 +25%
PRGO PERRIGO Co plc $2.04B $14.76 -1.60% $21.16 $8.81 2,548,731 2,807,351 — NYSE Health Care — —
CC Chemours Co $2.04B $13.57 -2.30% $28.40 $10.29 2,400,468 1,756,366 — NYSE Materials — #76 -12%
TRVI Trevi Therapeutics, Inc. $2.04B $14.32 -0.69% $20.22 $8.99 2,725,667 1,584,399 — Nasdaq Health Care — —
DOO BRP Inc. $2.04B $56.12 -2.16% $81.21 $48.54 179,588 303,210 — Nasdaq Unknown — —
SDGR Schrodinger, Inc. $2.04B $31.05 +2.37% $32.45 $10.94 3,889,988 1,962,433 — Nasdaq Health Care — #350 +0%
WERN WERNER ENTERPRISES INC $2.04B $33.98 -0.21% $47.49 $22.78 797,537 839,798 — Nasdaq Industrials — —
MTX MINERALS TECHNOLOGIES INC $2.04B $65.40 -1.07% $84.07 $53.68 147,285 178,550 — NYSE Materials — —
SRCE 1ST SOURCE CORP $2.03B $84.50 -0.48% $91.24 $55.57 130,106 102,987 — Nasdaq Financials — —
TRN TRINITY INDUSTRIES INC $2.03B $25.54 -4.38% $38.31 $24.06 995,051 626,465 — NYSE Unknown — —
LCII LCI INDUSTRIES $2.03B $83.67 -2.00% $154.85 $80.98 282,647 313,088 — NYSE Consumer Discretionary — —
UNIT Uniti Group Inc. $2.03B $8.38 -2.22% $12.94 $5.30 2,721,942 1,987,078 — Nasdaq Communication Services — —
GRDN Guardian Pharmacy Services, Inc. $2.03B $40.78 +0.25% $48.33 $23.14 540,208 605,470 — NYSE Consumer Staples — —
FWONA Liberty Media Corp $2.03B $84.63 -0.84% — — 241,527 170,068 — Nasdaq Communication Services — —
CTRI Centuri Holdings, Inc. $2.02B $20.04 -1.47% $42.99 $19.03 2,375,863 1,635,789 — NYSE Utilities — —
STNE StoneCo Ltd. $2.02B $9.34 +0.65% $16.22 $9.04 5,536,247 5,746,265 — Nasdaq Information Technology — —
BSTZ BlackRock Science & Technology Term Trust $2.02B $29.42 -0.71% $30.20 $18.21 357,705 159,267 — NYSE Unknown — —
BHVN Biohaven Ltd. $2.02B $13.35 +0.45% $18.57 $7.48 1,432,112 3,460,690 — NYSE Health Care — —
SBET Sharplink, Inc. $2.02B $9.28 -1.90% $19.54 $4.46 5,913,726 9,729,468 — Nasdaq Financials — —
NLST NETLIST INC $2.01B $5.75 +5.70% $7.00 $0.4500 433,297 2,503,777 — OTC Information Technology — —
INSP Inspire Medical Systems, Inc. $2.01B $69.36 -5.22% $147.03 $38.91 997,141 737,011 — NYSE Health Care — —
ECPG ENCORE CAPITAL GROUP INC $2.00B $94.44 -0.85% $104.98 $39.95 170,561 354,342 — Nasdaq Financials — —
WLY JOHN WILEY & SONS, INC. $2.00B $47.76 +0.04% $57.45 $27.93 445,479 538,234 — NYSE Unknown — —
AILLM Ameren Illinois Co $2.00B $78.60 +0.00% $80.24 $74.28 0 0 — OTC Utilities — —
WHR WHIRLPOOL CORP /DE/ $2.00B $30.68 +0.03% $93.59 $30.21 2,975,601 2,671,300 — NYSE Industrials — #297 +0%
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