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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 DSGR Distribution Solutions Group, Inc. $1.27B $27.39 -0.51% $28.28 $24.96 48,359 63,189 Nasdaq Consumer Discretionary
#2 TMP TOMPKINS FINANCIAL CORP $1.26B $87.93 -2.70% $93.02 $72.15 83,820 60,284 NYSE Financials
#3 WLTH WEALTHFRONT CORP $1.26B $8.43 -0.12% $12.42 $7.68 2,810,899 1,757,837 Nasdaq Financials
#4 AKTS Aktis Oncology, Inc. $1.26B $23.53 +3.98% $25.26 $14.72 516,480 211,793 Nasdaq Health Care
#5 VTOL Bristow Group Inc. $1.26B $42.43 -1.65% $50.23 $40.17 200,876 216,909 NYSE Industrials
#6 AMN AMN HEALTHCARE SERVICES INC $1.26B $32.38 +1.57% $33.13 $17.45 1,415,478 1,298,203 NYSE Industrials
#7 TBN Tamboran Resources Corp $1.25B $36.00 -1.18% $52.21 $29.84 194,625 248,878 NYSE Energy
#8 HBNB Hotel101 Global Holdings Corp. $1.25B $5.36 -0.28% $8.10 $5.00 2,338 7,335 Nasdaq Consumer Discretionary
#9 BLDP Ballard Power Systems Inc. $1.25B $4.16 +0.73% $6.57 $2.28 6,456,088 11,892,490 Nasdaq Industrials
#0 IDT IDT CORP $1.25B $53.83 -0.48% $58.37 $46.87 173,199 152,383 NYSE Communication Services
TROLB TOOTSIE ROLL INDUSTRIES INC $1.25B $39.00 +0.00% $42.50 $35.00 0 30 NYSE Consumer Staples
VZLA Vizsla Silver Corp. $1.25B $3.58 -2.98% $4.19 $2.95 6,560,767 6,702,719 NYSE Materials
CEVA CEVA INC $1.25B $44.91 -1.94% $51.25 $17.02 447,200 983,167 Nasdaq Information Technology
BLFS BIOLIFE SOLUTIONS INC $1.25B $25.58 -2.96% $28.09 $17.89 848,108 705,684 Nasdaq Health Care
XPEL XPEL, Inc. $1.25B $45.24 +0.85% $52.65 $36.99 416,214 276,390 Nasdaq Industrials
DMLP DORCHESTER MINERALS, L.P. $1.25B $25.83 -0.54% $28.89 $25.52 131,391 151,376 Nasdaq Energy
SBH Sally Beauty Holdings, Inc. $1.25B $13.05 -2.47% $15.75 $11.54 928,496 1,562,170 NYSE Consumer Discretionary
MPLT MapLight Therapeutics, Inc. $1.24B $29.21 +7.55% $33.28 $16.30 408,279 280,023 Nasdaq Health Care
INNV InnovAge Holding Corp. $1.24B $9.15 -1.40% $9.49 $7.00 313,585 330,333 Nasdaq Health Care
YELP YELP INC $1.24B $22.53 -3.30% $29.59 $20.80 813,954 1,354,015 NYSE Consumer Discretionary
GOLD Gold.com, Inc. $1.24B $42.71 -2.33% $49.58 $37.58 305,520 520,464 NYSE Consumer Discretionary #173 +300%
DSL DoubleLine Income Solutions Fund $1.24B $10.81 -1.46% $11.13 $10.28 469,484 472,393 NYSE Unknown
CTBI COMMUNITY TRUST BANCORP INC /KY/ $1.24B $68.08 -1.26% $70.95 $56.75 168,987 87,173 Nasdaq Financials
COAG Hemab Therapeutics Holdings, Inc. $1.24B $26.45 +3.68% $36.61 $23.00 366,013 201,244 Nasdaq Health Care
CCEC Capital Clean Energy Carriers Corp. $1.24B $20.55 -3.11% $23.92 $16.65 17,042 14,091 Nasdaq Industrials
UFCS UNITED FIRE GROUP INC $1.23B $47.98 -0.54% $49.71 $35.77 107,378 136,066 Nasdaq Financials
BLKB BLACKBAUD INC $1.23B $26.77 -4.43% $45.42 $26.56 732,626 706,034 Nasdaq Information Technology
JFR NUVEEN FLOATING RATE INCOME FUND $1.22B $7.61 +0.13% $7.64 $6.94 346,902 688,800 NYSE Unknown
ASTE ASTEC INDUSTRIES INC $1.22B $53.17 +1.14% $65.52 $45.89 145,040 217,385 Nasdaq Industrials
ADTN ADTRAN Holdings, Inc. $1.22B $15.09 +2.03% $19.98 $10.76 1,767,929 2,592,054 Nasdaq Information Technology
SCL STEPAN CO $1.22B $53.79 -0.72% $55.49 $43.82 75,951 120,082 NYSE Materials
ALVO Alvotech $1.22B $3.91 +1.16% $4.59 $2.94 874,474 855,172 Nasdaq Health Care
CCO Clear Channel Outdoor Holdings, Inc. $1.22B $2.40 -0.41% $2.42 $2.33 6,609,571 7,152,522 NYSE Unknown
GIC GLOBAL INDUSTRIAL Co $1.22B $31.87 -1.12% $34.15 $27.75 64,599 100,213 NYSE Consumer Discretionary
LGIH LGI Homes, Inc. $1.22B $52.36 -2.97% $57.00 $33.55 459,992 398,810 Nasdaq Industrials
CDNA CareDx, Inc. $1.21B $23.48 +0.99% $24.85 $15.56 943,559 714,752 Nasdaq Health Care
FMBH FIRST MID BANCSHARES, INC. $1.21B $45.55 -0.98% $49.03 $38.48 219,291 110,596 Nasdaq Financials
MNKD MANNKIND CORP $1.21B $3.92 +1.29% $4.29 $2.23 3,576,291 6,725,336 Nasdaq Health Care
NMZ NUVEEN MUNICIPAL HIGH INCOME OPPORTUNITY FUND $1.21B $10.29 -0.39% $10.51 $9.79 412,996 714,447 NYSE Unknown
TROX Tronox Holdings plc $1.21B $7.57 -0.26% $10.53 $6.79 2,559,433 3,048,231 NYSE Materials
LNN LINDSAY CORP $1.21B $116.10 +0.01% $121.48 $96.93 190,680 194,829 NYSE Industrials
CDRE Cadre Holdings, Inc. $1.21B $28.17 -2.02% $34.28 $25.73 795,118 411,067 NYSE Health Care
HLF HERBALIFE LTD. $1.20B $11.62 -1.69% $17.46 $11.18 1,030,778 1,627,799 NYSE Consumer Discretionary
PNTG Pennant Group, Inc. $1.20B $34.58 +2.07% $37.54 $28.19 487,120 285,397 Nasdaq Health Care
ROCK GIBRALTAR INDUSTRIES, INC. $1.20B $40.52 -2.29% $42.90 $33.56 383,086 389,130 Nasdaq Materials
UHAL U-Haul Holding Co /NV/ $1.20B $61.27 -1.73% $63.34 $41.95 261,740 264,418 NYSE Consumer Discretionary
ENOV Enovis CORP $1.20B $20.85 -3.38% $27.89 $20.55 843,129 1,168,034 1 NYSE Health Care
NAK NORTHERN DYNASTY MINERALS LTD $1.20B $2.14 +0.47% $2.43 $1.08 6,849,814 7,204,654 NYSE Materials
PZZA PAPA JOHNS INTERNATIONAL INC $1.20B $36.42 +11.41% $38.06 $30.18 2,263,601 1,325,730 Nasdaq Consumer Discretionary
ASM AVINO SILVER & GOLD MINES LTD $1.20B $6.83 -1.73% $8.19 $5.16 7,201,658 4,783,669 NYSE Materials
XZO Exzeo Group, Inc. $1.19B $13.14 -0.30% $17.82 $12.36 130,948 259,928 NYSE Information Technology
ASAN Asana, Inc. $1.19B $7.10 -3.66% $9.34 $5.38 4,619,277 6,530,539 NYSE Information Technology
XERS Xeris Biopharma Holdings, Inc. $1.19B $6.90 +0.00% $7.08 $5.25 1,445,942 1,785,148 Nasdaq Health Care
PRCT PROCEPT BioRobotics Corp $1.19B $20.91 -5.38% $29.74 $20.67 2,796,078 1,620,756 Nasdaq Health Care
LNTCY Lens Technology Co., Ltd./ADR $1.19B $15.76 +26.59% $15.76 $12.05 200 1,286 OTC Unknown
EVOTF Evotec SE $1.19B $6.69 +0.00% $6.69 $5.24 0 7 Nasdaq Health Care
INSP Inspire Medical Systems, Inc. $1.18B $41.12 -0.65% $58.98 $38.91 460,293 1,141,006 NYSE Health Care
PBT PERMIAN BASIN ROYALTY TRUST $1.18B $25.40 -4.04% $32.23 $19.98 107,623 196,974 NYSE Unknown
NAT NORDIC AMERICAN TANKERS Ltd $1.18B $5.57 +0.91% $6.08 $4.81 2,250,406 3,369,564 NYSE Industrials
ARRY Array Technologies, Inc. $1.18B $7.66 -2.54% $9.55 $6.57 7,041,870 5,900,176 Nasdaq Information Technology
BV BrightView Holdings, Inc. $1.18B $12.63 -1.17% $13.87 $11.34 571,121 638,144 NYSE Unknown
UAN CVR PARTNERS, LP $1.18B $111.28 +0.23% $135.08 $107.00 44,901 58,580 NYSE Materials
RUSHB RUSH ENTERPRISES INC \TX\ $1.17B $70.18 -1.87% $78.91 $58.73 87,684 67,136 Nasdaq Consumer Discretionary
ZBIO Zenas BioPharma, Inc. $1.17B $18.58 +2.14% $24.08 $16.41 602,622 542,994 Nasdaq Health Care
WB WEIBO Corp $1.17B $7.42 -1.07% $8.93 $7.42 2,192,645 1,476,018 Nasdaq Information Technology #242 -60%
RVI Robinhood Ventures Fund I $1.17B $42.98 -3.50% $77.39 $22.64 376,290 1,050,383 NYSE Unknown
LU Lufax Holding Ltd $1.17B $1.35 -0.74% $2.33 $1.29 952,478 1,259,793 NYSE Financials
UMAC Unusual Machines, Inc. $1.17B $24.45 -2.98% $34.36 $10.64 3,995,116 7,977,461 NYSE Information Technology #359 +0%
MUX McEwen Inc. $1.17B $19.54 -3.74% $26.43 $17.13 1,021,785 1,141,613 NYSE Materials
PWP Perella Weinberg Partners $1.17B $15.98 -3.09% $22.90 $14.54 1,141,374 1,353,542 Nasdaq Financials
PFBC Preferred Bank $1.17B $98.39 -1.76% $102.40 $85.53 182,476 99,959 Nasdaq Unknown
AVNS AVANOS MEDICAL, INC. $1.17B $24.87 -0.36% $25.49 $13.03 1,226,640 1,228,755 NYSE Health Care
EOS Eaton Vance Enhanced Equity Income Fund II $1.16B $21.84 -0.50% $22.94 $19.05 103,318 129,814 NYSE Unknown
IRMD IRADIMED CORP $1.16B $91.09 -0.82% $103.41 $76.77 120,581 136,116 Nasdaq Health Care
TBLA Taboola.com Ltd. $1.16B $4.78 -5.16% $5.26 $2.96 2,311,415 3,413,874 Nasdaq Information Technology
TDAY USA TODAY Co., Inc. $1.16B $7.92 +2.06% $8.28 $6.21 1,058,953 1,563,088 NYSE Unknown
ACDC ProFrac Holding Corp. $1.16B $6.40 -2.44% $8.22 $5.50 1,437,949 1,437,588 Nasdaq Energy
UVSP UNIVEST FINANCIAL Corp $1.15B $41.47 -0.86% $43.26 $31.22 228,036 179,575 Nasdaq Financials
MCB Metropolitan Bank Holding Corp. $1.15B $93.16 -2.85% $97.84 $77.83 115,208 109,740 NYSE Financials
RDWR RADWARE LTD $1.15B $27.33 -3.29% $31.92 $23.24 175,826 220,481 Nasdaq Industrials
CRF CORNERSTONE TOTAL RETURN FUND INC $1.15B $7.08 +0.28% $7.23 $6.25 775,126 1,208,071 NYSE Unknown
MNSKY MoneySupermarket.com Group PLC/ADR $1.15B $8.88 +0.00% $10.85 $8.53 0 0 OTC Unknown
VIA Via Transportation, Inc. $1.15B $14.82 +4.44% $18.77 $12.95 1,458,232 847,878 1 NYSE Information Technology
CDNL Cardinal Infrastructure Group Inc. $1.15B $74.89 +6.02% $77.44 $29.11 560,115 527,590 Nasdaq Industrials #410 +0%
WVE Wave Life Sciences Ltd. $1.14B $5.95 +3.66% $12.67 $5.02 5,108,401 3,810,937 Nasdaq Health Care
OPY OPPENHEIMER HOLDINGS INC $1.14B $107.67 +1.23% $118.52 $81.71 219,799 88,050 NYSE Financials
RMIX Suncrete, Inc. $1.14B $23.42 +0.95% $23.89 $9.20 758,605 370,617 Nasdaq Unknown
LQDT LIQUIDITY SERVICES INC $1.14B $36.54 -2.48% $38.83 $27.89 190,897 166,600 Nasdaq Industrials
TEN TSAKOS ENERGY NAVIGATION LTD $1.14B $37.81 -1.84% $45.85 $34.71 147,869 312,969 NYSE Industrials
HQH abrdn Healthcare Investors $1.14B $19.90 +1.79% $20.00 $16.62 141,212 143,507 NYSE Unknown
UAMY UNITED STATES ANTIMONY CORP $1.14B $7.66 +8.04% $12.64 $6.72 8,700,646 10,675,362 1 NYSE Materials
HFWA HERITAGE FINANCIAL CORP /WA/ $1.13B $27.52 -2.58% $29.29 $24.24 386,626 247,824 Nasdaq Financials
KDK Kodiak AI, Inc. $1.13B $5.85 -2.66% $10.60 $5.77 2,037,657 1,379,435 Nasdaq Information Technology
BRUN Boost Run Inc. $1.12B $35.24 -1.89% $42.00 $10.63 1,556,571 2,018,852 Nasdaq Information Technology
UA Under Armour, Inc. $1.12B $5.53 -2.30% $6.65 $4.66 2,162,046 3,208,318 NYSE Consumer Discretionary
SPH SUBURBAN PROPANE PARTNERS LP $1.12B $16.90 -1.57% $20.53 $16.63 451,583 190,766 NYSE Unknown
ABSI Absci Corp $1.12B $7.18 +2.57% $8.17 $2.71 6,294,393 4,964,180 Nasdaq Health Care
AVEX AEVEX Corp. $1.12B $19.82 -0.15% $42.34 $19.32 1,268,873 2,275,609 NYSE Industrials #423 +0%
BRELY Brazilian Rare Earths Limited/ADR $1.12B $19.98 +0.00% $24.16 $13.61 0 629 OTC Unknown
ARCO Arcos Dorados Holdings Inc. $1.12B $8.56 -1.50% $9.75 $7.42 531,088 1,379,473 NYSE Consumer Discretionary
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