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CRGO Freightos Limited Ordinary shares | $1,2290 | -3,23 % | $72,87M | $81,19K | |
CEV Eaton Vance California Municipal Income Trust | $10,0950 | -1,51 % | $72,86M | $16,49K | |
AMTD AMTD IDEA Group American Depositary Shares, each representing six (6) Class A Ordinary Shares | $0,75200 | -0,27 % | $72,76M | $7,22K | |
SFWL Shengfeng Development Limited Class A Ordinary Shares | $10,9050 | -4,55 % | $72,72M | $25,65K | |
CSBR Champions Oncology, Inc. | $5,0260 | -0,48 % | $72,65M | $18,90K | |
TENX Tenax Therapeutics, Inc. | $2,1950 | +10,86 % | $72,60M | $6,30M | |
NTRB Nutriband Inc. Common Stock | $5,8450 | -4,18 % | $72,57M | $34,26K | |
RANG Range Capital Acquisition Corp. Ordinary Shares | $10,8050 | +0,42 % | $72,07M | $16,00 | |
CLST Catalyst Bancorp, Inc. Common Stock | $18,2990 | +0,85 % | $71,84M | $6,20K | |
PLRX Pliant Therapeutics, Inc. Common Stock | $1,1550 | +1,76 % | $71,82M | $256,28K | |
WWR Westwater Resources, Inc. | $0,59600 | +0,49 % | $71,80M | $743,62K | |
BTCS BTCS Inc. Common Stock | $1,3840 | -1,84 % | $71,72M | $1,10M | |
NCTY The9 Limited American Depository Shares representing three class A ordinary shares | $3,8800 | -13,80 % | $71,63M | $180,06K | |
OPXS Optex Systems Holdings, INC | $10,0400 | -1,67 % | $71,61M | $15,17K | |
PRTS CarParts.com, Inc. Common Stock | $9,4750 | -0,26 % | $71,49M | $58,30K | |