Gainers ($ change)     

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Company Name Symbol Price Prev. Close Volume % Change Change
VirnetX Holding Corp - Common Stock  VHC 17.05 17.29 114,472
-1.41%
-0.24
Texxon Holding Limited - Ordinary shares  NPT 5.355 5.600 18,722
-4.37%
-0.24
Novanta Inc. - Tangible Equity Units  NOVTU 55.77 56.02 245,323
-0.45%
-0.25
Merchants Bancorp - Depositary Shares 6.00% Fixed Rate Series C Non-Cumulative  MBINN 18.59 18.84 24,858
-1.34%
-0.25
Lulu's Fashion Lounge Holdings, Inc. - Common Stock  LVLU 5.155 5.408 12,579
-4.68%
-0.25
BGM Group Ltd. - Class A Ordinary Shares  BGM 3.850 4.120 9,301
-6.55%
-0.27
LanzaTech Global, Inc. - Common Stock  LNZA 13.11 13.38 1,134
-2.06%
-0.28
Texas Community Bancshares, Inc. - Common Stock  TCBS 17.16 17.44 1,488
-1.62%
-0.28
Here Group Limited - American Depositary Shares  HERE 5.110 5.400 302,800
-5.37%
-0.29
Smart Logistics Global Limited - Ordinary Shares  SLGB 1.060 1.350 237,226
-21.48%
-0.29
Nuvectis Pharma, Inc. - Common Stock  NVCT 7.380 7.680 48,076
-3.91%
-0.30
Rent the Runway, Inc. - Class A Common Stock  RENT 8.345 8.650 126,427
-3.53%
-0.30
Adlai Nortye Ltd. - American Depositary Shares  ANL 1.490 1.800 607,028
-17.22%
-0.31
Summit State Bank - Common Stock  SSBI 11.36 11.70 6,522
-2.91%
-0.34
Unicycive Therapeutics, Inc. - Common Stock  UNCY 5.590 5.930 581,641
-5.73%
-0.34
Powell Max Limited - Class A Ordinary Shares  PMAX 1.930 2.270 73,918
-14.98%
-0.34
Champions Oncology, Inc. - Common Stock  CSBR 6.551 6.900 8,834
-5.05%
-0.35
Lantern Pharma Inc. - Common Stock  LTRN 3.060 3.410 106,843
-10.26%
-0.35
Agencia Comercial Spirits Ltd - Class A Ordinary Share  AGCC 10.00 10.35 167,355
-3.38%
-0.35
Nova Minerals Limited - American Depositary Shares  NVA 6.260 6.620 906,048
-5.44%
-0.36
Bio Green Med Solution, Inc. - 6% Convertible Preferred Stock  BGMSP 3.840 4.200 1,846
-8.57%
-0.36
eXoZymes Inc. - Common Stock  EXOZ 11.12 11.49 3,543
-3.18%
-0.37
Raytech Holding Limited - Ordinary Shares  RAY 1.860 2.230 102,310
-16.59%
-0.37
ScanTech AI Systems Inc. - Common stock  STAI 2.320 2.690 80,753
-13.75%
-0.37
Block, Inc. Class A Common Stock  XYZ 65.54 65.92 2,958,489
-0.58%
-0.38
Presidio Property Trust, Inc. - 9.375% Series D Cumulative Redeemable Perpetual  SQFTP 15.06 15.44 1,560
-2.49%
-0.38
PayPal Holdings, Inc. - Common Stock  PYPL 59.10 59.49 11,473,160
-0.66%
-0.39
Alliance Entertainment Holding Corporation - common stock  AENT 8.030 8.430 32,424
-4.74%
-0.40
Instil Bio, Inc.  TIL 10.38 10.78 106,829
-3.76%
-0.40
Virtus Investment Partners, Inc. - Common Stock  VRTS 164.13 164.54 50,159
-0.25%
-0.41
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