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1,747 matching tickers (of 10,069) · page 1 of 18 · 100 per page. · Clear filters
All capsAll Mega ($200B+)$200B+ Large ($10–200B)$10–200B Mid ($2–10B)$2–10B Small ($300M–2B)$300M–2B Micro (<$300M)<$300M [+] Crypto
Ticker Name Market Cap Last Daily % 52W High 52W Low Volume ADV30 Sparkline Insider 30d Exchange Sector Site Sent Social
#1 NVCR NovoCure Ltd $2.00B $17.24 +2.31% $18.92 $10.14 1,380,122 1,877,727 Nasdaq Health Care
#2 AILLN Ameren Illinois Co $2.00B $78.45 +0.00% $79.65 $78.25 0 128 OTC Utilities
#3 ATHM Autohome Inc. $1.99B $17.26 -0.63% $19.87 $15.57 662,040 613,561 NYSE Information Technology
#4 AILIM Ameren Illinois Co $1.99B $78.00 +0.00% $80.00 $75.82 100 23 OTC Utilities
#5 BVC BitVentures Ltd $1.98B $11.79 +26.84% $11.99 $7.53 539,682 25,859 Nasdaq Financials
#6 EVT Eaton Vance Tax-Advantaged Dividend Income Fund $1.98B $26.55 -0.67% $27.46 $23.44 88,935 101,874 NYSE Unknown
#7 WSO-B WATSCO INC $1.98B $350.00 +0.00% $453.37 $350.00 0 13 NYSE Consumer Discretionary
#8 AVVOF Avio S.p.A./ADR $1.98B $43.20 -4.00% $50.20 $34.36 100 130 OTC Unknown
#9 OFG OFG BANCORP $1.98B $46.74 +0.67% $47.62 $37.87 182,682 258,656 NYSE Financials
#0 BVENY Brava Energia S.A. $1.97B $4.25 +23.55% $4.96 $3.33 250 33,434 OTC Unknown
HRMY Harmony Biosciences Holdings, Inc. $1.97B $34.10 +5.28% $34.99 $26.34 1,059,365 749,432 Nasdaq Health Care
NTST NETSTREIT Corp. $1.97B $20.29 +1.60% $20.95 $18.27 1,104,767 1,305,886 NYSE Real Estate
AIN ALBANY INTERNATIONAL CORP /DE/ $1.97B $69.52 +0.61% $71.26 $48.36 225,867 250,749 NYSE Consumer Staples
FCF FIRST COMMONWEALTH FINANCIAL CORP /PA/ $1.97B $19.35 +0.89% $19.71 $16.21 499,394 684,310 NYSE Financials #180 +0%
TCNNF Trulieve Cannabis Corp. $1.97B $11.58 -10.92% $13.28 $5.00 420,590 535,606 OTC Materials
WMK WEIS MARKETS INC $1.96B $79.26 -0.53% $80.84 $59.70 125,758 143,919 NYSE Consumer Staples
KOSCF Kose Corporation/ADR $1.96B $34.51 +0.00% $38.78 $33.00 0 0 OTC Unknown
PBATF PT Bukit Asam Tbk/ADR $1.96B $0.1700 +0.00% $0.1700 $0.1311 0 20 OTC Unknown
INVX Innovex International, Inc. $1.95B $28.43 -1.46% $32.25 $23.62 295,777 423,403 NYSE Industrials
GSG iShares S&P GSCI Commodity-Indexed Trust $1.95B $31.24 -1.61% $34.94 $27.86 1,164,363 1,037,612 NYSE Financials
PCT PureCycle Technologies, Inc. $1.95B $10.80 -10.15% $14.19 $4.93 6,643,318 4,985,704 Nasdaq Materials
FWONA Liberty Media Corp $1.95B $81.18 +1.15% $87.51 $73.70 100,349 141,438 Nasdaq Communication Services
KOD Kodiak Sciences Inc. $1.94B $31.06 +4.90% $47.84 $21.00 689,082 671,049 Nasdaq Health Care
MD Pediatrix Medical Group, Inc. $1.94B $23.66 +5.30% $24.36 $19.27 551,320 878,627 NYSE Health Care
NGL NGL Energy Partners LP $1.94B $15.69 -1.20% $18.80 $10.89 243,266 329,966 NYSE Utilities
CMRE Costamare Inc. $1.94B $16.05 +1.78% $17.94 $15.00 388,800 501,413 NYSE Industrials
PEB Pebblebrook Hotel Trust $1.94B $17.09 +1.48% $17.23 $11.55 1,567,186 2,339,113 1 NYSE Real Estate
STEL Stellar Bancorp, Inc. $1.93B $37.99 +0.93% $38.33 $34.99 407,749 289,258 NYSE Financials
TGLS Tecnoglass Inc. $1.93B $43.59 +2.95% $47.03 $37.52 138,227 323,738 NYSE Unknown
AMSC AMERICAN SUPERCONDUCTOR CORP /DE/ $1.93B $40.53 -6.48% $60.18 $28.55 1,554,433 1,364,304 Nasdaq Industrials
BHC Bausch Health Companies Inc. $1.93B $5.17 +1.17% $6.29 $4.93 1,685,736 2,027,598 NYSE Health Care
TRVI Trevi Therapeutics, Inc. $1.93B $13.59 +0.67% $16.12 $10.25 867,995 1,282,943 Nasdaq Health Care
RTEZ REST EZ Inc. $1.93B $70.00 +0.00% $70.00 $70.00 0 0 OTC Health Care
AVAL Grupo Aval Acciones Y Valores S.A. $1.93B $5.09 +4.73% $5.37 $3.86 238,249 291,375 NYSE Financials
HMN HORACE MANN EDUCATORS CORP /DE/ $1.92B $47.67 +2.32% $47.93 $41.29 207,937 219,371 NYSE Financials
CMGMF Chemring Group PLC/ADR $1.92B $7.11 +2.30% $7.55 $6.05 300 567 OTC Unknown
SPB Spectrum Brands Holdings, Inc. $1.92B $82.72 +1.62% $86.44 $68.41 280,383 388,953 NYSE Unknown
ECO Okeanis Eco Tankers Corp. $1.91B $49.04 +2.49% $56.27 $41.88 313,564 462,775 NYSE Industrials
SLDE Slide Insurance Holdings, Inc. $1.91B $16.71 +1.27% $20.17 $15.95 674,600 1,423,280 Nasdaq Financials
NBHC National Bank Holdings Corp $1.91B $42.68 +1.64% $43.53 $37.14 248,185 301,253 NYSE Financials
BBAI BigBear.ai Holdings, Inc. $1.91B $3.99 -7.42% $5.46 $3.01 43,660,468 48,987,639 NYSE Information Technology #184 +300%
XXI Twenty One Capital, Inc. $1.91B $5.50 -5.82% $9.34 $5.49 1,138,933 1,348,794 NYSE Financials
BAND Bandwidth Inc. $1.90B $63.36 -7.96% $75.98 $14.82 942,148 1,362,742 Nasdaq Information Technology
NKTR NEKTAR THERAPEUTICS $1.90B $56.23 -0.69% $109.00 $54.13 1,158,208 945,974 Nasdaq Health Care
ASTH Astrana Health, Inc. $1.90B $38.29 -0.26% $39.93 $22.90 465,092 469,570 Nasdaq Unknown
SKWD Skyward Specialty Insurance Group, Inc. $1.90B $46.76 +1.32% $48.90 $40.60 265,472 399,119 Nasdaq Financials
CTS CTS CORP $1.89B $66.27 +1.63% $67.82 $45.46 311,754 295,898 NYSE Information Technology
LB LandBridge Co LLC $1.89B $67.98 -2.41% $80.12 $60.95 205,956 369,925 NYSE Unknown
VCEL Vericel Corp $1.89B $37.03 +3.52% $40.85 $28.95 617,182 649,649 Nasdaq Health Care
FCNCB FIRST CITIZENS BANCSHARES INC /DE/ $1.89B $1880.00 +2.45% $2070.00 $1547.97 3 153 Nasdaq Financials
BHFAL Brighthouse Financial, Inc. $1.89B $15.77 +0.96% $18.80 $15.61 18,327 21,081 Nasdaq Financials
NAC Nuveen California Quality Municipal Income Fund $1.89B $12.08 +0.50% $12.14 $11.24 366,293 644,383 NYSE Unknown
BWIN Baldwin Insurance Group, Inc. $1.89B $19.36 +0.62% $26.96 $18.74 1,359,502 1,444,630 Nasdaq Financials
ADMA ADMA BIOLOGICS, INC. $1.88B $8.12 +0.74% $16.39 $7.21 3,028,298 5,503,287 Nasdaq Health Care
NUV NUVEEN MUNICIPAL VALUE FUND INC $1.88B $9.06 +0.11% $9.21 $8.76 666,762 543,985 NYSE Unknown
EZPW EZCORP INC $1.88B $32.07 +2.69% $37.13 $24.40 550,508 729,740 Nasdaq Unknown
IPSOF IPSOS/ADR $1.87B $44.28 +0.00% $45.10 $37.22 0 0 OTC Unknown
NWL NEWELL BRANDS INC. $1.87B $4.41 +4.75% $4.66 $3.20 13,583,743 8,777,518 Nasdaq Unknown
LTC LTC PROPERTIES INC $1.87B $36.61 +2.75% $39.73 $34.53 765,042 435,848 1 NYSE Real Estate
CENTA CENTRAL GARDEN & PET CO $1.87B $36.49 +3.55% $37.71 $30.79 223,466 314,139 Nasdaq Consumer Discretionary
GEL GENESIS ENERGY LP $1.87B $15.29 -1.16% $18.16 $14.92 165,631 274,131 NYSE Unknown
WLY JOHN WILEY & SONS, INC. $1.87B $43.96 +0.27% $44.62 $35.33 358,738 342,798 NYSE Unknown
ZLAB Zai Lab Ltd $1.87B $16.65 +1.03% $25.28 $16.26 1,380,165 858,422 Nasdaq Health Care
AILIN Ameren Illinois Co $1.86B $73.25 +0.00% $73.25 $72.14 0 0 OTC Utilities
FORTY FORMULA SYSTEMS (1985) LTD $1.86B $121.50 -6.18% $139.05 $100.32 726 358 Nasdaq Information Technology
TY TRI-CONTINENTAL Corp $1.86B $34.97 +1.13% $35.65 $30.53 69,325 29,854 NYSE Unknown
ALG ALAMO GROUP INC $1.86B $152.96 +1.52% $180.97 $145.76 117,387 202,286 NYSE Industrials
POET POET TECHNOLOGIES INC. $1.86B $10.77 -12.30% $20.81 $4.87 43,202,822 55,753,817 Nasdaq Information Technology #139 +0%
HMDCF HUTCHMED (China) Ltd $1.86B $2.16 +0.00% $2.82 $2.16 0 6 Nasdaq Health Care
LPG DORIAN LPG LTD. $1.86B $43.40 +0.46% $48.12 $28.19 498,805 640,800 NYSE Industrials
OCUL OCULAR THERAPEUTIX, INC $1.85B $8.47 +3.80% $10.18 $7.38 2,160,908 2,637,664 Nasdaq Health Care
PDO PIMCO Dynamic Income Opportunities Fund $1.85B $13.01 -0.61% $13.38 $12.13 599,079 664,259 NYSE Unknown
FIGS FIGS, Inc. $1.85B $11.66 +0.69% $17.44 $10.76 2,197,677 3,530,423 NYSE Consumer Discretionary
OMCL OMNICELL, INC. $1.85B $40.69 -3.00% $46.89 $31.75 667,036 619,898 Nasdaq Information Technology
GLPGF Lakefront Biotherapeutics NV $1.85B $28.08 +0.00% $33.27 $28.08 0 33 Nasdaq Health Care
CLOV CLOVER HEALTH INVESTMENTS, CORP. /DE $1.85B $4.29 +9.44% $4.44 $1.58 15,017,041 7,767,148 Nasdaq Financials
CNXN PC CONNECTION INC $1.85B $73.28 +2.09% $74.14 $55.70 146,498 102,593 Nasdaq Consumer Discretionary
INTR Inter & Co, Inc. $1.85B $5.67 +1.80% $8.79 $5.51 5,206,623 7,535,001 Nasdaq Financials
MESO MESOBLAST LTD $1.85B $14.28 +3.48% $16.89 $13.30 173,561 166,242 Nasdaq Health Care
SRCE 1ST SOURCE CORP $1.85B $76.70 +0.99% $78.10 $64.87 131,042 115,158 Nasdaq Financials
ANIP ANI PHARMACEUTICALS INC $1.85B $81.20 +1.34% $87.76 $70.15 266,360 378,119 Nasdaq Health Care
MTPLF Metaplanet Inc. $1.84B $1.44 -2.70% $2.48 $1.38 296,445 1,284,968 OTC Unknown
XPRO EXPRO GROUP HOLDINGS N.V. $1.84B $16.26 -4.01% $18.57 $14.54 1,503,792 1,015,873 NYSE Energy
INTA Intapp, Inc. $1.83B $23.79 -1.78% $27.11 $19.01 931,691 1,129,476 Nasdaq Information Technology
SONO Sonos Inc $1.83B $15.38 +2.81% $16.77 $12.44 1,407,663 1,701,775 Nasdaq Industrials
JBLU JETBLUE AIRWAYS CORP $1.83B $4.92 +3.36% $6.16 $3.87 29,133,270 25,111,096 Nasdaq Industrials
STOK Stoke Therapeutics, Inc. $1.83B $29.37 +1.28% $40.22 $28.02 400,563 534,559 Nasdaq Health Care
HCM HUTCHMED (China) Ltd $1.83B $10.63 -2.03% $15.79 $10.43 53,931 51,528 Nasdaq Health Care
SOC Sable Offshore Corp. $1.83B $11.83 -9.83% $19.25 $11.59 5,738,163 3,420,812 NYSE Energy #361 +0%
SGRY Surgery Partners, Inc. $1.83B $13.96 +0.76% $15.17 $11.41 816,909 1,597,314 Nasdaq Health Care
STRA Strategic Education, Inc. $1.82B $80.51 -0.41% $84.80 $69.17 254,236 257,011 Nasdaq Unknown
KSS KOHLS Corp $1.82B $16.05 -1.05% $16.77 $11.38 5,705,683 5,470,006 NYSE Consumer Discretionary
TILE INTERFACE INC $1.82B $31.35 +2.79% $31.61 $24.38 539,149 576,312 Nasdaq Consumer Staples
NNWWF North West Co Inc./ADR $1.82B $38.28 +1.16% $40.24 $36.40 100 3,587 OTC Unknown
WD Walker & Dunlop, Inc. $1.82B $52.89 +2.12% $56.07 $41.98 297,720 331,974 NYSE Financials
CBZ CBIZ, Inc. $1.81B $33.74 +0.48% $36.42 $24.29 517,359 820,455 NYSE Industrials
BHFAP Brighthouse Financial, Inc. $1.81B $15.26 +0.30% $16.58 $14.70 14,489 26,930 Nasdaq Financials
RLX RLX Technology Inc. $1.81B $1.98 +0.51% $2.40 $1.96 4,019,975 2,818,899 NYSE Consumer Staples
CHCO CITY HOLDING CO $1.81B $128.18 +1.69% $129.40 $112.44 121,939 89,238 Nasdaq Financials
PLPC PREFORMED LINE PRODUCTS CO $1.81B $370.03 -0.85% $397.34 $240.82 103,584 110,183 Nasdaq Industrials
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