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December 11th, 2017
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Losers (% change)
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Company Name
Symbol
Price
Prev. Close
Volume
Change
% Change
NETCLASS TECHNOLOGY INC - Class A Ordinary Shares
NTCL
2.270
2.400
24,219
-0.13
-5.42%
Radiopharm Theranostics Limited - American Depositary Shares
RADX
2.280
2.410
49,624
-0.13
-5.39%
Huize Holding Limited - American Depositary Shares
HUIZ
1.580
1.670
96,229
-0.09
-5.39%
Bonk, Inc. - Common Stock
BNKK
1.230
1.300
146,685
-0.07
-5.38%
Republic Airways Holdings Inc. - Common Stock
RJET
17.41
18.40
88,188
-0.99
-5.38%
Skye Bioscience, Inc. - Common Stock
SKYE
1.680
1.775
70,740
-0.09
-5.35%
CBL International Limited - Class B Ordinary Shares
BANL
15.24
16.10
27,283
-0.86
-5.34%
XCHG Limited - ADS
XCH
3.550
3.750
8,956
-0.20
-5.33%
Marriott Vacations Worldwide Corporation Common Stock
VAC
104.26
110.09
568,709
-5.83
-5.30%
Einride AB - American Depositary Shares
ENRD
5.010
5.290
112,681
-0.28
-5.29%
Nicola Mining Inc. - American Depositary Shares
NICM
6.520
6.880
511
-0.36
-5.23%
Titan Mining Corporation Common Shares
TII
2.900
3.060
318,514
-0.16
-5.23%
Strata Critical Medical, Inc. - Class A Common Stock
SRTA
5.660
5.970
966,088
-0.31
-5.19%
Ambow Education Holding Ltd. American Depository Shares (each representing
AMBO
2.010
2.120
1,557
-0.11
-5.19%
ProMIS Neurosciences Inc. - Common Shares
PMN
13.07
13.79
24,570
-0.71
-5.19%
Enlivex Ltd. - Ordinary Shares
ENLV
1.280
1.350
403,712
-0.07
-5.19%
QT Imaging Holdings, Inc. - Common Stock
QTI
2.930
3.090
74,522
-0.16
-5.18%
BancFirst Corporation - 7.2% Cumulative Trust Preferred Securities
BANFP
27.50
29.00
613
-1.50
-5.17%
Air Water Ventures Limited - Ordinary Shares
WATR
2.200
2.320
120,688
-0.12
-5.17%
OFS Credit Company, Inc. - Closed End Fund
OCCI
2.570
2.710
722,798
-0.14
-5.17%
Empire State Realty OP, L.P. Series ES Operating
ESBA
4.410
4.650
1,060
-0.24
-5.16%
Paysafe Limited Common Shares
PSFE
6.440
6.790
384,594
-0.35
-5.15%
Floor & Decor Holdings, Inc. Common Stock
FND
50.27
53.00
2,150,485
-2.73
-5.15%
Bending Spoons S.p.A. - Ordinary Shares
BSP
41.35
43.59
657,812
-2.24
-5.14%
Shuttle Pharmaceuticals Holdings, Inc. - common stock
SHPH
3.360
3.540
51,994
-0.18
-5.08%
Insight Molecular Diagnostics Inc. - Common Stock
IMDX
3.920
4.130
102,404
-0.21
-5.08%
IP Strategy Holdings, Inc. - Common Stock
IPST
3.940
4.150
118,683
-0.21
-5.06%
Choice Hotels International, Inc. Common Stock
CHH
103.36
108.86
637,330
-5.50
-5.05%
Direct Digital Holdings, Inc. - Class A Common Stock
DRCT
2.260
2.380
18,955
-0.12
-5.04%
Dave Inc. - Class A Common Stock
DAVE
359.52
378.55
506,990
-19.03
-5.03%
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