| | | | | |
NNDM Nano Dimension Ltd. American Depositary Shares | $1,5750 | +0,32 % | $333,12M | $1,30M | |
VLN Valens Semiconductor Ltd. | $1,7150 | -3,65 % | $333,02M | $489,61K | |
PMTS CPI Card Group Inc. Common Stock | $28,4600 | -1,76 % | $332,42M | $50,44K | |
RMR The RMR Group Inc. Class A Common Stock | $19,1150 | -1,06 % | $332,38M | $27,41K | |
CEPT Cantor Equity Partners II, Inc. Class A Ordinary Share | $11,7750 | -0,04 % | $332,09M | $958,69K | |
PNRG PrimeEnergy Resources Corporation Common Stock | $218,04 | +3,30 % | $331,87M | $197,85K | |
BRW Saba Capital Income & Opportunities Fund | $6,5550 | -0,08 % | $331,83M | $220,87K | |
MRLN Merlin, Inc. Common Stock | $2,8250 | -6,77 % | $331,50M | $2,09M | |
BGT BlackRock Floating Rate Income Trust | $11,0810 | -0,71 % | $331,35M | $28,61K | |
PPHC Public Policy Holding Company, Inc. Common Stock | $10,9600 | +1,11 % | $331,17M | $24,58K | |
HIO Western Asset High Income Opportunity Fund, Inc. | $3,4850 | -0,14 % | $330,94M | $252,49K | |
BCML BayCom Corp Common Stock | $29,6600 | -0,57 % | $330,77M | $17,47K | |
PPT Franklin Premier Income Trust | $3,4250 | -0,44 % | $330,66M | $51,28K | |
SAAQ Space Asset Acquisition Corp. Class A Ordinary Shares | $10,1350 | +0,25 % | $330,19M | $904,00 | |
AGD abrdn Global Dynamic Dividend Fund | $12,2850 | -1,72 % | $329,79M | $72,44K | |