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Company Name Symbol Price Prev. Close Volume Change % Change
Nano Labs Ltd - Class A Ordinary Shares  NA 4.650 0.5600 37,311
+4.09
+730.36%
Nuwellis Inc  NUWE 2.833 1.360 94,507,189
+1.47
+108.33%
Advent Technologies Hldg Inc  ADN 3.110 1.900 63,640,748
+1.21
+63.68%
Singular Genomics Systems Inc  OMIC 21.55 13.46 295,605
+8.09
+60.10%
Staffing 360 Solutions Inc  STAF 2.720 1.700 50,121,402
+1.02
+60.00%
U.S. GoldMining Inc. - Warrant  USGOW 1.540 0.9700 11,822
+0.57
+58.76%
Earlyworks Co., Ltd. - American Depositary Shares  ELWS 4.300 2.800 1,600,883
+1.50
+53.57%
Nutriband Inc WT  NTRBW 1.830 1.300 8,676
+0.53
+40.77%
Biosig Technologies  BSGM 1.530 1.110 1,106,075
+0.42
+37.84%
Vistra Energy Corp  VSTE 6.570 4.800 20,397,926
+1.77
+36.88%
Tenaya Therapeutics Inc  TNYA 2.640 1.940 34,303,858
+0.70
+36.08%
Globalstar  GSAT 1.810 1.380 102,579,955
+0.43
+31.16%
Autozi Internet Technology (Global) Ltd. - Class A Ordinary Shares  AZI 1.380 1.070 739,654
+0.31
+28.97%
Disc Medicine, Inc. - Common Stock  IRON 59.79 47.13 1,581,343
+12.66
+26.86%
Air Transport  ATSG 22.00 17.40 11,761,426
+4.60
+26.44%
Integra Lifesciences  IART 24.35 19.28 2,264,443
+5.07
+26.30%
NewAmsterdam Pharma Company N.V. - Warrant  NAMSW 9.990 8.000 6,135
+1.99
+24.88%
Scienture Holdings, Inc. - Common Stock  SCNX 8.660 7.210 36,765
+1.45
+20.10%
Alarum Technologies Ltd. - American Depositary Shares  ALAR 14.56 12.34 342,747
+2.22
+17.98%
Nisun Int Ent Dev Grp Ltd  NISN 9.185 7.810 211,778
+1.38
+17.61%
Baird Medical Investment Holdings Ltd - Ordinary Share  BDMD 3.080 2.620 24,799
+0.46
+17.56%
Cardiff Oncology Inc  CRDF 3.717 3.200 1,243,752
+0.52
+16.17%
Atara Biotherap  ATRA 11.28 9.710 206,784
+1.57
+16.17%
Vyne Therapeutics Inc  VYNE 3.070 2.650 231,638
+0.42
+15.85%
Chemours Company  CC 20.62 17.82 3,949,133
+2.80
+15.71%
Cohen & Company Inc  COHN 9.788 8.460 352,427
+1.33
+15.70%
Landsea Homes Corp  LSEA 11.93 10.34 422,057
+1.59
+15.38%
Canopy Growth Corp  CGC 5.595 4.860 11,463,108
+0.73
+15.12%
XIAO-I Corporation - American Depositary Shares  AIXI 6.610 5.750 392,791
+0.86
+14.96%
Eaton Vance Ohio Municipal Income Trust  EVO 4.420 3.880 367,588
+0.54
+13.92%
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