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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 SFL SFL Corp Ltd. $1.77B $12.78 -1.54% $13.98 $6.37 1,207,500 1,469,147 — NYSE Industrials — —
#2 XNCR Xencor Inc $1.77B $23.80 -0.34% $30.61 $10.38 1,169,700 1,445,503 — Nasdaq Health Care — —
#3 HOPE HOPE BANCORP INC $1.77B $13.83 +0.80% $14.59 $9.49 858,700 857,513 — Nasdaq Financials — —
#4 FORTY FORMULA SYSTEMS (1985) LTD $1.76B $114.99 +0.87% $170.47 $98.95 13,800 737 — Nasdaq Information Technology — —
#5 ETOR eToro Group Ltd. $1.76B $26.39 -1.57% $44.21 $24.74 825,800 1,204,170 — Nasdaq Financials — —
#6 SEPN Septerna, Inc. $1.76B $37.77 -0.94% $51.10 $16.65 344,300 349,460 — Nasdaq Health Care — —
#7 PSNL Personalis, Inc. $1.76B $16.46 -0.66% $18.89 $4.95 1,014,000 3,213,310 — Nasdaq Health Care — —
#8 STBA S&T BANCORP INC $1.76B $49.82 +0.44% $53.11 $33.26 313,000 262,500 — Nasdaq Financials — —
#9 SMA SmartStop Self Storage REIT, Inc. $1.76B $31.73 +1.54% $36.96 $28.68 462,700 733,293 — NYSE Real Estate — —
#0 CMRE Costamare Inc. $1.76B $14.53 -0.89% $17.79 $10.68 263,400 363,790 — NYSE Industrials — —
ZBIO Zenas BioPharma, Inc. $1.76B $26.95 -2.00% $44.60 $13.50 747,800 738,410 — Nasdaq Health Care — —
NVAX NOVAVAX INC $1.75B $10.63 +0.28% $11.97 $6.20 3,909,900 5,672,660 — Nasdaq Health Care — —
FSUN FIRSTSUN CAPITAL BANCORP $1.75B $39.74 +1.27% $42.34 $29.95 272,900 335,250 — Nasdaq Financials — —
NEXT NextDecade Corp $1.75B $6.56 -1.58% $9.24 $4.75 2,649,000 2,458,150 — Nasdaq Utilities — —
MNR MACH NATURAL RESOURCES LP $1.74B $10.40 -1.14% $13.97 $9.35 712,200 999,757 — NYSE Energy — —
LOB Live Oak Bancshares, Inc. $1.73B $37.48 +0.56% $44.50 $29.26 205,300 207,837 — NYSE Financials — —
TMC TMC the metals Co Inc. $1.73B $3.93 -1.75% $11.35 $3.40 2,531,600 6,356,413 — Nasdaq Materials — —
CPRI Capri Holdings Ltd $1.73B $15.10 -0.59% $28.27 $12.40 2,641,900 5,445,040 — NYSE Unknown — —
VOYG Voyager Technologies, Inc./TX $1.73B $31.35 +0.80% $52.40 $17.41 2,518,500 1,997,983 — NYSE Unknown — —
GEL GENESIS ENERGY LP $1.73B $14.17 -1.12% $18.20 $13.57 189,000 276,440 — NYSE Unknown — —
AIN ALBANY INTERNATIONAL CORP /DE/ $1.73B $60.98 +0.56% $76.61 $40.33 182,000 261,370 — NYSE Consumer Staples — —
TSLX Sixth Street Specialty Lending, Inc. $1.73B $18.14 -0.06% $21.04 $15.67 342,000 417,117 — NYSE Unknown — —
MDCOY PT Medco Energi Internasional Tbk/ADR $1.73B $7.00 +0.00% $7.47 $6.47 0 0 — OTC Unknown — —
GENI Genius Sports Ltd $1.72B $6.44 +11.03% $13.52 $3.83 13,214,500 6,073,630 — NYSE Consumer Discretionary — —
WRD WeRide Inc. $1.72B $5.53 -4.49% $12.40 $5.18 3,737,200 2,317,887 — Nasdaq Information Technology — —
STEW SRH Total Return Fund, Inc. $1.71B $17.72 +0.68% $19.05 $16.19 32,500 56,873 — NYSE Unknown — —
RLJ RLJ Lodging Trust $1.71B $11.20 +0.72% $12.89 $6.21 1,157,500 1,622,580 — NYSE Real Estate — —
STRA Strategic Education, Inc. $1.71B $76.83 -3.75% $89.07 $68.66 308,800 284,080 — Nasdaq Unknown — —
ALHC Alignment Healthcare, Inc. $1.70B $8.21 +7.04% $25.12 $7.37 10,647,700 8,542,750 — Nasdaq Financials — —
CTS CTS CORP $1.70B $59.60 +0.10% $69.46 $35.92 242,600 203,377 — NYSE Information Technology — —
DXC DXC Technology Co $1.70B $10.65 -1.48% $15.68 $7.90 2,633,900 2,500,577 — NYSE Information Technology — —
BDJ BlackRock Enhanced Equity Dividend Trust $1.70B $9.61 +0.31% $9.88 $8.03 446,400 404,677 — NYSE Unknown — —
ANIP ANI PHARMACEUTICALS INC $1.70B $74.00 -0.05% $97.00 $69.58 278,700 400,013 — Nasdaq Health Care — —
PDO PIMCO Dynamic Income Opportunities Fund $1.70B $11.73 +0.60% $13.26 $11.55 1,054,500 1,134,050 — NYSE Unknown — —
BST BlackRock Science & Technology Trust $1.70B $48.90 +0.35% $50.16 $32.21 87,900 86,133 — NYSE Unknown — —
NUV NUVEEN MUNICIPAL VALUE FUND INC $1.70B $8.18 +0.62% $9.16 $8.05 2,303,600 757,280 — NYSE Unknown — —
NBTX Nanobiotix S.A. $1.69B $33.31 -0.45% $57.14 $14.78 124,600 160,157 — Nasdaq Health Care — —
BY BYLINE BANCORP, INC. $1.69B $37.44 +0.89% $40.03 $25.20 255,900 274,157 — NYSE Financials — —
AMBQ Ambiq Micro, Inc. $1.69B $69.79 +1.26% $91.61 $22.12 268,500 517,633 — NYSE Information Technology — —
BFC Bank First Corp $1.69B $152.13 +1.20% $158.47 $117.30 86,100 72,420 — Nasdaq Financials — —
IE Ivanhoe Electric Inc. $1.69B $10.56 +5.71% $21.55 $7.86 2,046,400 2,093,520 — NYSE Materials — —
RNW ReNew Energy Global plc $1.68B $6.84 -0.15% $8.24 $4.39 1,030,400 2,217,503 — Nasdaq Utilities — —
EVTC EVERTEC, Inc. $1.68B $28.18 -0.07% $34.58 $21.74 396,400 438,883 — NYSE Information Technology — —
NYAX Nayax Ltd. $1.68B $45.03 +0.63% $76.86 $39.17 20,900 30,433 2 Nasdaq Information Technology — —
PLBL Polibeli Group Ltd $1.68B $5.26 -7.88% $11.75 $5.10 170,000 224,533 — Nasdaq Consumer Discretionary — —
XHR Xenia Hotels & Resorts, Inc. $1.68B $18.17 +1.34% $22.06 $11.45 1,016,200 815,920 — NYSE Consumer Discretionary — —
AI C3.ai, Inc. $1.68B $10.65 -1.02% $20.22 $7.68 4,278,400 5,078,890 — NYSE Information Technology — —
TCBK TRICO BANCSHARES / $1.67B $52.38 +0.54% $61.30 $39.29 421,000 266,100 — Nasdaq Financials — —
MGRT Mega Fortune Co Ltd $1.67B $121.71 +0.02% $170.00 $4.04 2,300 14,653 — Nasdaq Information Technology — —
ABSI Absci Corp $1.67B $9.74 -5.85% $12.06 $2.24 3,192,700 3,467,783 — Nasdaq Health Care — —
FLNG Flex LNG Ltd. $1.67B $30.88 -0.61% $32.97 $21.60 310,000 424,727 — NYSE Industrials — —
LBTYA Liberty Global Ltd. $1.67B $9.45 +0.32% $13.52 $9.28 2,387,900 2,249,167 — Nasdaq Communication Services — —
INTR Inter & Co, Inc. $1.66B $5.11 +0.99% $10.23 $5.02 3,619,300 4,087,897 — Nasdaq Financials — —
JBLU JETBLUE AIRWAYS CORP $1.66B $4.40 +1.15% $6.62 $3.87 15,808,600 19,857,640 — Nasdaq Industrials — —
XERS Xeris Biopharma Holdings, Inc. $1.66B $9.10 +1.68% $10.08 $5.25 1,547,000 1,784,183 — Nasdaq Health Care — —
AILIH Ameren Illinois Co $1.66B $65.15 +0.00% $67.32 $62.09 0 20 — OTC Utilities — —
OBK Origin Bancorp, Inc. $1.65B $53.64 +0.64% $55.32 $31.56 139,900 163,733 — NYSE Financials — —
RBCAA REPUBLIC BANCORP INC /KY/ $1.65B $94.55 +0.45% $101.68 $62.42 71,800 107,423 — Nasdaq Financials — —
OCFC OCEANFIRST FINANCIAL CORP $1.65B $17.10 +1.36% $20.12 $16.44 995,100 1,018,727 — Nasdaq Financials — —
QCRH QCR HOLDINGS INC $1.65B $100.92 +0.50% $107.95 $66.35 98,000 126,577 — Nasdaq Financials — —
WBI WaterBridge Infrastructure LLC $1.65B $29.80 -0.47% $36.83 $18.54 354,700 629,863 — NYSE Energy — —
CNXC Concentrix Corp $1.65B $27.08 -7.86% $49.10 $18.81 2,705,100 1,595,503 — Nasdaq Industrials — —
ETON Eton Pharmaceuticals, Inc. $1.65B $57.68 -3.04% $66.37 $14.27 514,400 612,127 — Nasdaq Health Care — —
NEXA Nexa Resources S.A. $1.65B $12.44 -1.58% $16.72 $4.86 451,700 812,323 — NYSE Materials — —
NTLA Intellia Therapeutics, Inc. $1.65B $11.75 -3.37% $28.25 $7.95 2,975,900 3,771,943 — Nasdaq Health Care — —
NAC Nuveen California Quality Municipal Income Fund $1.65B $10.53 -0.38% $11.97 $10.19 1,491,700 932,763 — NYSE Unknown — —
BLX BLADEX, INC. $1.65B $54.74 +0.15% $62.45 $36.43 84,800 175,773 — NYSE Financials — —
DEI Douglas Emmett Inc $1.64B $9.82 +1.55% $15.00 $8.79 2,867,700 1,722,027 — NYSE Real Estate — #313 +0%
TR TOOTSIE ROLL INDUSTRIES INC $1.64B $38.04 +0.74% $44.95 $33.21 462,000 160,667 — NYSE Consumer Staples — —
GHRS GH Research PLC $1.64B $23.84 -2.49% $31.44 $12.04 180,000 193,310 — Nasdaq Health Care — —
NAT NORDIC AMERICAN TANKERS Ltd $1.63B $7.72 +0.78% $8.33 $2.74 5,634,800 4,496,343 — NYSE Industrials — —
USAS Americas Gold & Silver Corp $1.63B $4.83 +3.21% $10.50 $3.28 6,479,800 4,494,953 — NYSE Materials — —
RAPP Rapport Therapeutics, Inc. $1.63B $33.91 +0.24% $52.93 $23.75 711,800 388,840 — Nasdaq Health Care — —
BL BLACKLINE, INC. $1.63B $27.99 +0.36% $59.57 $24.70 826,500 904,703 — Nasdaq Information Technology — —
MQ Marqeta, Inc. $1.63B $16.96 +3.16% $22.28 $14.80 984,600 730,107 — Nasdaq Information Technology — —
SNDX Syndax Pharmaceuticals Inc $1.63B $18.20 +1.28% $25.59 $12.99 1,343,100 1,579,223 — Nasdaq Health Care — —
COAG Hemab Therapeutics Holdings, Inc. $1.62B $34.74 -2.74% $55.42 $23.00 266,500 497,073 — Nasdaq Health Care — —
DSGR Distribution Solutions Group, Inc. $1.62B $34.96 +0.03% $35.06 $19.02 260,400 210,843 — Nasdaq Consumer Discretionary — —
PRGS PROGRESS SOFTWARE CORP /MA $1.61B $39.34 -2.21% $47.37 $23.82 375,200 481,283 — Nasdaq Information Technology — —
GLP GLOBAL PARTNERS LP $1.61B $47.54 -0.65% $54.29 $37.17 33,000 60,350 1 NYSE Consumer Discretionary — —
SBH Sally Beauty Holdings, Inc. $1.61B $17.18 +1.06% $17.92 $11.54 1,008,500 1,183,363 — NYSE Consumer Discretionary — —
CBL CBL & ASSOCIATES PROPERTIES INC $1.61B $51.91 -0.76% $59.71 $26.56 216,100 241,990 — NYSE Real Estate — —
LCID Lucid Group, Inc. $1.60B $4.07 -1.93% $25.23 $2.37 8,342,300 11,463,820 — Nasdaq Consumer Discretionary — —
STOK Stoke Therapeutics, Inc. $1.60B $24.80 -1.94% $40.22 $20.32 1,218,100 851,040 — Nasdaq Health Care — —
ATEX Anterix Inc. $1.60B $81.42 +0.11% $113.00 $17.58 168,900 311,023 — Nasdaq Communication Services — —
EFC Ellington Financial Inc. $1.59B $12.36 -0.08% $13.69 $10.63 1,575,300 1,173,420 — NYSE Real Estate — —
BVENY Brava Energia S.A. $1.59B $3.43 -8.89% $4.96 $3.33 268 684 — OTC Unknown — —
KMTS KESTRA MEDICAL TECHNOLOGIES, LTD. $1.59B $27.14 +5.36% $30.00 $17.34 339,700 343,287 — Nasdaq Health Care — —
TRIN Trinity Capital Inc. $1.59B $17.66 +0.97% $18.72 $12.54 631,600 871,843 — NYSE Unknown — —
AILLP Ameren Illinois Co $1.59B $62.25 +0.00% $67.38 $61.15 0 167 — OTC Utilities — —
LWSCF Sienna Senior Living Inc./ADR $1.59B $14.31 +0.00% $17.33 $12.64 0 67,987 — OTC Unknown — —
IMCR Immunocore Holdings plc $1.58B $30.72 -1.82% $40.72 $27.56 272,000 376,157 — Nasdaq Health Care — —
GIC GLOBAL INDUSTRIAL Co $1.58B $41.50 +0.65% $42.40 $25.69 330,100 133,830 — NYSE Consumer Discretionary — —
FXCNY FIH Mobile Ltd $1.58B $20.18 +0.00% $35.00 $19.31 0 7 — OTC Unknown — —
KOS Kosmos Energy Ltd. $1.58B $2.65 -5.02% $3.34 $0.8400 11,796,800 12,361,527 — NYSE Energy — —
UROY Uranium Royalty Corp. $1.58B $4.14 -2.59% $5.52 $2.56 1,860,700 3,650,500 — Nasdaq Financials — —
HAWK HawkEye 360, Inc. $1.58B $16.10 +0.63% $35.73 $15.45 901,800 1,320,077 — NYSE Information Technology — —
TGLS Tecnoglass Holdings Inc. $1.57B $35.44 +1.87% $67.90 $34.19 256,700 265,780 — NYSE Unknown — —
HE HAWAIIAN ELECTRIC INDUSTRIES INC $1.57B $9.10 -0.76% $17.38 $9.00 2,543,600 2,642,577 — NYSE Utilities — #262 +0%
OPRA Opera Ltd $1.57B $17.65 -0.28% $20.78 $11.48 286,700 387,270 — Nasdaq Information Technology — —
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