| | | | | |
CRGO Freightos Limited Ordinary shares | $1,2100 | -4,72% | $72,87M | $60,46K | |
CEV Eaton Vance California Municipal Income Trust | $10,1190 | -1,28% | $72,86M | $13,10K | |
AMTD AMTD IDEA Group American Depositary Shares, each representing six (6) Class A Ordinary Shares | $0,76000 | +0,80% | $72,76M | $5,67K | |
SFWL Shengfeng Development Limited Class A Ordinary Shares | $10,9450 | -4,20% | $72,72M | $22,63K | |
CSBR Champions Oncology, Inc. | $4,9260 | -2,46% | $72,65M | $4,27K | |
TENX Tenax Therapeutics, Inc. | $2,1450 | +8,33% | $72,60M | $5,01M | |
NTRB Nutriband Inc. Common Stock | $5,7700 | -5,41% | $72,57M | $31,01K | |
RANG Range Capital Acquisition Corp. Ordinary Shares | $10,8050 | +0,42% | $72,07M | $15,00 | |
CLST Catalyst Bancorp, Inc. Common Stock | $18,1350 | -0,06% | $71,84M | $6,18K | |
PLRX Pliant Therapeutics, Inc. Common Stock | $1,1550 | +1,76% | $71,82M | $193,05K | |
WWR Westwater Resources, Inc. | $0,60100 | +1,33% | $71,80M | $441,06K | |
BTCS BTCS Inc. Common Stock | $1,3750 | -2,48% | $71,72M | $676,63K | |
NCTY The9 Limited American Depository Shares representing three class A ordinary shares | $4,1150 | -8,56% | $71,63M | $91,05K | |
OPXS Optex Systems Holdings, INC | $10,1260 | -0,82% | $71,61M | $7,88K | |
PRTS CarParts.com, Inc. Common Stock | $9,3700 | -1,37% | $71,49M | $46,07K | |