| | | | | |
SBC SBC Medical Group Holdings Incorporated Common Stock | $4,4300 | +7,52% | $423,72M | $199,81K | |
CMDB Costamare Bulkers Holdings Limited | $24,9097 | +4,01% | $423,48M | $75,15K | |
SI Shoulder Innovations, Inc. | $19,9900 | -1,62% | $423,04M | $85,74K | |
TRVG trivago N.V. American Depositary Shares | $5,8650 | -2,09% | $422,64M | $81,32K | |
FISN Deep Fission, Inc. Common Stock | $6,9700 | -2,52% | $421,17M | $250,34K | |
FINS Angel Oak Financial Strategies Income Term Trust | $12,5700 | -0,24% | $421,05M | $36,06K | |
HPI John Hancock Preferred Income Fund | $15,6500 | -0,26% | $420,36M | $31,36K | |
PROK ProKidney Corp. Class A Ordinary Shares | $1,9800 | -1,49% | $419,94M | $874,91K | |
PACB Pacific Biosciences of California, Inc. | $1,3100 | -2,96% | $419,62M | $3,73M | |
NUAI New Era Energy & Digital, Inc. Common Stock | $6,6000 | +22,00% | $418,33M | $14,89M | |
KFII K&F Growth Acquisition Corp. II Class A Ordinary shares | $10,6400 | -0,09% | $418,07M | $45,00 | |
SGU Star Group, L.P. Common Units Representing Limited Partner Interest | $12,8200 | +0,63% | $418,01M | $20,12K | |
| $12,0873 | -2,76% | $417,52M | $616,43K | |
BCCQ Bleichroeder Acquisition Corp. III Class A Ordinary Shares | $10,0000 | +0,10% | $417,49M | $181,75K | |
HBB Hamilton Beach Brands Holding Company Class A Common Stock | $31,1100 | +0,36% | $416,71M | $80,23K | |