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Ticker Name Market Cap Last Daily % 52W High 52W Low Volume ADV30 Sparkline Insider 30d Exchange Sector Site Sent Social
#1 QMCI QUOTEMEDIA INC $13.66M $0.1510 +0.67% $0.1800 $0.1500 45,999 52,057 OTC Industrials
#2 APHP American Picture House Corp $13.65M $0.1200 +0.00% $0.1469 $0.1000 0 1,590 OTC Unknown
#3 AWCA Awaysis Capital, Inc. $13.63M $0.0333 -23.09% $0.1036 $0.0152 197 12,396 OTC Real Estate
#4 NROM NOBLE ROMANS INC $13.62M $0.6000 -6.25% $0.7700 $0.2500 15,750 21,042 OTC Consumer Discretionary
#5 AETN AETERNUM HEALTH, INC. $13.55M $0.1410 -19.89% $0.1900 $0.0600 15,000 42,167 OTC Unknown
#6 FNFI FIRST NILES FINANCIAL INC $13.54M $8.80 +0.00% $9.00 $7.44 352 662 OTC Financials
#7 MTWO M2i Global, Inc. $13.54M $0.0170 +10.32% $0.0288 $0.0103 699,546 484,889 OTC Consumer Discretionary
#8 COSM Cosmos Health Inc. $13.53M $0.2179 +5.27% $0.3500 $0.1620 908,367 7,818,232 Nasdaq Consumer Discretionary
#9 MODD Modular Medical, Inc. $13.48M $2.49 +33.16% $6.00 $1.74 109,144 230,061 Nasdaq Health Care
#0 TOMZ TOMI Environmental Solutions, Inc. $13.48M $1.75 -6.42% $3.24 $1.39 49,447 36,593 Nasdaq Materials
WVVIP WILLAMETTE VALLEY VINEYARDS INC $13.45M $2.71 +2.64% $2.99 $2.40 4,280 12,396 Nasdaq Consumer Staples
CFOO China Foods Holdings Ltd. $13.45M $0.6639 +0.00% $0.6639 $0.6639 0 0 OTC Materials
AEON AEON Biopharma, Inc. $13.44M $0.2751 +1.51% $0.8870 $0.2220 182,354 2,693,935 NYSE Health Care
CCM Concord Medical Services Holdings Ltd $13.40M $4.76 +3.25% $6.04 $3.97 517,268 82,772 NYSE Health Care
CJMB CALLAN JMB INC. $13.38M $2.37 +3.04% $3.92 $0.6500 557,096 4,289,500 Nasdaq Industrials
SAGT SAGTEC GLOBAL Ltd $13.32M $0.6990 +1.75% $1.61 $0.6200 286,575 369,756 Nasdaq Information Technology
ALAR Alarum Technologies Ltd. $13.30M $1.81 -1.09% $10.79 $1.62 51,806 365,530 Nasdaq Information Technology
PBM PSYENCE BIOMEDICAL LTD. $13.27M $3.48 -2.25% $5.34 $2.62 18,566 80,976 Nasdaq Health Care
JBDI JBDI Holdings Ltd $13.23M $1.39 +2.21% $2.08 $0.7840 18,828 55,168 Nasdaq Industrials
YQ 17 Education & Technology Group Inc. $13.22M $2.33 -2.72% $2.81 $1.68 966 8,136 Nasdaq Unknown
AKTX Akari Therapeutics Plc $13.20M $7.54 +7.71% $29.32 $3.15 164,161 49,732 Nasdaq Health Care
SKYQ Sky Quarry Inc. $13.19M $2.75 +0.36% $7.00 $1.10 1,281,667 9,009,009 Nasdaq Industrials
SVRN OceanPal Inc. $13.11M $6.99 +4.48% $15.07 $5.32 2,657 11,295 Nasdaq Industrials
ARAI Arrive AI Inc. $13.09M $0.2525 +5.21% $0.7200 $0.2220 521,662 550,469 Nasdaq Industrials
OHCFF Light AI Inc. $13.07M $0.1068 +0.00% $0.2890 $0.1059 0 14,024 OTC Unknown
WFF WF Holding Ltd $13.06M $1.44 -11.66% $10.53 $1.39 648,782 1,437,866 Nasdaq Unknown
ZDAI DirectBooking Technology Co., Ltd. $13.03M $1.62 -4.42% $3.20 $1.30 41,823 62,211 Nasdaq Industrials
MPU Mega Matrix Inc $13.02M $0.2098 +4.90% $0.7800 $0.1900 65,928 249,028 NYSE Communication Services
GLBZ GLEN BURNIE BANCORP $12.97M $4.42 -3.28% $4.89 $4.42 400 2,450 Financials
GP GREENPOWER MOTOR Co INC. $12.97M $1.82 +15.19% $1.84 $1.02 1,015,136 238,151 Nasdaq Consumer Discretionary
LIMX Limitless X Holdings Inc. $12.95M $0.7000 +0.00% $1.16 $0.5362 0 317 OTC Consumer Discretionary
COOT Australian Oilseeds Holdings Ltd $12.93M $0.4301 -7.51% $0.7200 $0.3500 5,255 190,885 Nasdaq Consumer Staples
MTEK Maris Tech Ltd. $12.93M $1.24 +2.48% $1.44 $0.9400 61,428 50,984 Nasdaq Information Technology
THH TryHard Holdings Ltd $12.91M $2.58 +0.00% $4.99 $0.1900 32,761 247,539 Nasdaq Consumer Discretionary
PDSB PDS Biotechnology Corp $12.90M $0.2306 -1.03% $1.50 $0.2170 1,721,627 1,606,181 Nasdaq Health Care
INUV Inuvo, Inc. $12.89M $0.7819 -9.08% $1.70 $0.7713 506,482 353,419 NYSE Unknown
BTOC Armlogi Holding Corp. $12.86M $0.2830 -3.08% $0.3920 $0.2250 77,393 178,700 Nasdaq Industrials
LBRDB Liberty Broadband Corp $12.83M $33.16 +0.00% $38.50 $26.99 0 117 Nasdaq Communication Services
LHAI Linkhome Holdings Inc. $12.82M $0.7757 -3.04% $2.84 $0.6500 79,022 4,709,744 Nasdaq Real Estate
PLAG Planet Green Holdings Corp. $12.81M $0.9000 -20.35% $6.81 $0.4900 2,196,396 10,724,770 NYSE Consumer Staples
NAII NATURAL ALTERNATIVES INTERNATIONAL INC $12.80M $2.04 -5.99% $2.77 $2.01 17,664 57,062 Nasdaq Materials
PFHO PACIFIC HEALTH CARE ORGANIZATION INC $12.80M $1.00 +0.00% $1.15 $0.8000 5,000 9,440 OTC Health Care
KPEA Kun Peng International Ltd. $12.80M $0.3200 +0.00% $0.4400 $0.2000 0 397 OTC Unknown
SITS SOUTHERN ITS INTERNATIONAL, INC. $12.79M $0.0391 -6.90% $0.0440 $0.0110 182,754 181,262 OTC Information Technology
MIMI Mint Inc Ltd $12.72M $2.00 -7.83% $4.41 $1.58 92,214 1,905,114 Nasdaq Industrials
ICU SeaStar Medical Holding Corp $12.71M $3.18 +0.32% $5.38 $2.59 58,780 85,606 Nasdaq Health Care
FLUX Flux Power Holdings, Inc. $12.71M $0.5950 +0.17% $1.16 $0.4700 63,416 144,067 Nasdaq Unknown
MDWK MDWerks, Inc. $12.70M $0.0539 +0.00% $0.1200 $0.0500 0 717 OTC Consumer Staples
GARWF Golden Arrow Resources Corp $12.67M $0.0748 -6.50% $0.0800 $0.0500 13,500 143,663 OTC Unknown
PHIO Phio Pharmaceuticals Corp. $12.66M $1.09 +0.00% $1.14 $0.8400 93,415 1,072,330 Nasdaq Health Care
TVC Tennessee Valley Authority $12.64M $24.08 +0.25% $24.15 $23.70 12,864 9,942 NYSE Utilities
FRTT Fort Technology Inc $12.61M $1.11 +3.74% $4.09 $0.7200 850,406 3,714,474 Nasdaq Materials
BLIN Bridgeline Digital, Inc. $12.60M $1.00 -9.09% $1.42 $0.8600 170,158 100,049 Nasdaq Information Technology
CABR Caring Brands, Inc. $12.55M $1.38 +5.34% $1.84 $0.8600 53,870 84,452 Nasdaq Materials
CLWT EURO TECH HOLDINGS CO LTD $12.53M $1.69 +3.05% $2.68 $1.02 54,346 54,952 Nasdaq Consumer Discretionary
SEED Origin Agritech LTD $12.49M $1.03 -1.90% $1.25 $0.8700 22,693 290,243 Nasdaq Unknown
IVFH INNOVATIVE FOOD HOLDINGS INC $12.48M $0.2284 -6.81% $0.3240 $0.2100 254,654 68,475 OTC Consumer Discretionary
SYRA Syra Health Corp $12.46M $0.9000 -9.82% $1.15 $0.3000 4,538 46,298 OTC Industrials
RSMXF Regency Silver Corp. $12.42M $0.0900 +0.00% $0.1000 $0.0754 0 3,628 OTC Unknown
SDOT Sadot Group Inc. $12.41M $11.74 +6.63% $106.00 $2.63 77,327 1,695,718 Nasdaq Consumer Discretionary
OXBR OXBRIDGE RE HOLDINGS Ltd $12.40M $1.53 +17.69% $1.86 $0.7000 203,559 79,519 Nasdaq Financials
NEWH NewHydrogen, Inc. $12.38M $0.0151 -4.43% $0.0280 $0.0119 62,222 830,552 OTC Unknown
PBSV Pharma-Bio Serv, Inc. $12.37M $0.5400 +0.00% $0.5800 $0.4200 0 1,417 OTC Unknown
GMVMF GMV Minerals Inc. $12.36M $0.1008 -0.20% $0.1358 $0.0802 3,000 33,973 OTC Unknown
TVE Tennessee Valley Authority $12.35M $23.52 +0.13% $23.67 $23.21 5,685 6,686 NYSE Utilities
KLGDF Kalo Gold Corp. $12.33M $0.1047 -9.04% $0.1666 $0.0822 490 10,888 OTC Unknown
AIRI AIR INDUSTRIES GROUP $12.32M $2.54 +1.20% $3.14 $2.51 5,521 35,594 NYSE Industrials
NVNI Nvni Group Ltd $12.28M $1.05 -6.25% $1.69 $0.7690 11,696 98,110 Nasdaq Information Technology
FXBY FOXBY CORP. $12.26M $23.50 +0.00% $23.99 $20.00 0 300 OTC Unknown
ANEB Anebulo Pharmaceuticals, Inc. $12.24M $0.3000 +0.00% $0.8700 $0.0010 0 330 OTC Health Care
CISO CISO Global, Inc. $12.21M $0.2695 -0.19% $0.4800 $0.2120 91,069 141,796 Nasdaq Unknown
PFAI Pinnacle Food Group Ltd $12.21M $3.02 +5.04% $4.92 $2.05 12,460 12,032 Nasdaq Unknown
EVTK EVENTIKO INC. $12.20M $2.91 +0.00% $4.34 $2.91 0 25 Consumer Discretionary
ICMB Investcorp Credit Management BDC, Inc. $12.11M $0.8390 +1.82% $1.50 $0.7310 19,229 53,284 Nasdaq Unknown
ULTHF NordX Metals Corp. $12.09M $0.2765 +0.00% $0.2765 $0.2765 921 921 OTC Unknown
CXAI CXApp Inc. $12.06M $0.1106 -37.16% $0.3350 $0.0926 41,392,476 5,917,933 Nasdaq Information Technology #70 -36%
MTEX MANNATECH INC $12.06M $6.25 +1.63% $7.06 $3.80 3,933 10,171 Nasdaq Materials
MILIF Military Metals Corp. $12.04M $0.1497 -0.13% $0.2936 $0.1137 990 52,936 OTC Unknown
BLRX BioLineRx Ltd. $12.01M $2.76 +1.47% $3.95 $2.52 2,949 16,195 Nasdaq Health Care
BANL CBL International Ltd $12.00M $10.93 +55.92% $12.10 $0.2660 510,600 294,160 Nasdaq Consumer Discretionary
NVGLF NV Gold Corp $11.99M $0.3700 -9.98% $0.4490 $0.1500 59,500 11,090 OTC Unknown
GYRO Gyrodyne, LLC $11.88M $5.40 -0.74% $7.96 $5.31 6,436 1,491 Nasdaq Real Estate
VTGN Vistagen Therapeutics, Inc. $11.88M $0.2676 -0.89% $0.8000 $0.2000 891,426 5,362,141 Nasdaq Health Care
ALTUF Altura Energy Corp. $11.85M $0.1600 +10.93% $0.2920 $0.1017 51,000 25,844 OTC Unknown
MBAI Check-Cap Ltd $11.79M $8.72 +518.44% $9.24 $0.9500 28,293 61,400 Nasdaq Health Care
EDUC EDUCATIONAL DEVELOPMENT CORP $11.76M $1.38 +0.00% $1.65 $1.30 102,749 290,995 Nasdaq Consumer Discretionary
BIOE Bio Essence Corp $11.70M $0.2500 +0.00% $0.4260 $0.1820 0 13 Health Care
STQN STRATEGIC ACQUISITIONS INC /NV/ $11.67M $0.2500 +0.00% $0.2500 $0.2500 0 0 OTC Financials
NGLD Nevada Canyon Gold Corp. $11.67M $0.4080 -0.97% $0.5870 $0.3420 5,700 5,443 OTC Materials
AMSS AMASS BRANDS $11.65M $1.02 -7.27% $17.00 $0.8300 18,695 331,323 Nasdaq Consumer Staples
FRECF Frequency Exchange Corp. $11.65M $0.1976 +0.00% $0.2700 $0.1600 0 7,453 OTC Unknown
SGTM Sustainable Green Team, Ltd. $11.63M $0.1000 -15.25% $0.1680 $0.0700 35,500 13,120 OTC Unknown
ALRTF ALR Technologies SG Ltd. $11.62M $0.0180 +0.00% $0.0245 $0.0140 0 51,758 OTC Health Care
ELECF Electric Royalties Ltd. $11.59M $0.0886 +3.02% $0.0940 $0.0639 7,800 15,847 OTC Unknown
SOS SOS Ltd $11.57M $0.8741 -4.68% $1.19 $0.7500 53,844 72,921 NYSE Financials
RMCF Rocky Mountain Chocolate Factory, Inc. $11.52M $1.22 -26.06% $2.30 $0.6600 1,806,094 7,013,473 Nasdaq Consumer Staples
VNOV VitaNova Life Sciences Corp $11.51M $1.38 +0.00% $1.38 $1.38 0 0 OTC Consumer Discretionary
WVVI WILLAMETTE VALLEY VINEYARDS INC $11.48M $2.30 -4.08% $2.98 $2.16 70,850 7,858 Nasdaq Consumer Staples
XERI XERIANT, INC. $11.47M $0.0124 +3.33% $0.0300 $0.0100 1,034,105 2,586,124 OTC Industrials
CETY Clean Energy Technologies, Inc. $11.34M $0.9325 +1.36% $1.04 $0.6700 14,848 35,355 Nasdaq Unknown
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