| | | | | |
MOBX Mobix Labs, Inc. Class A Common Stock | $0,93620 | -8,22% | $19,85M | $1,36M | |
AEHL Antelope Enterprise Holdings Limited Class A Ordinary Shares | $4,9300 | -18,80% | $19,81M | $201,01K | |
BTLN Brightline Interactive, Inc. Common Stock | $0,73570 | -9,18% | $19,74M | $248,17K | |
RADX Radiopharm Theranostics Limited American Depositary Shares | $1,5200 | -24,40% | $19,70M | $164,32K | |
BHV BlackRock Virginia Muni Bond Trust | $12,4500 | -1,74% | $19,67M | $6,17K | |
ADGM Adagio Medical Holdings, Inc Common Stock | $0,45320 | +0,60% | $19,61M | $313,04K | |
NYC American Strategic Investment Co. | $6,0700 | -0,49% | $19,61M | $4,64K | |
| $3,0800 | -2,22% | $19,59M | $40,32K | |
| $0,78140 | -3,58% | $19,59M | $44,43K | |
ACCL Acco Group Holdings Limited Class A Ordinary Shares | $2,9400 | +3,89% | $19,52M | $204,69K | |
MDRR Medalist Diversified, Inc. Common Stock | $12,1050 | +4,17% | $19,52M | $10,82K | |
GGRP The Glimpse Group, Inc. Common Stock | $0,92290 | -0,87% | $19,52M | $263,88K | |
ALLR Allarity Therapeutics, Inc. Common Stock | $1,1200 | -4,27% | $19,41M | $155,65K | |
LICN Lichen China Limited Class A Ordinary Shares | $1,0350 | -3,27% | $19,39M | $89,25K | |
DYAI Dyadic International, Inc. | $0,42220 | -0,52% | $19,39M | $377,84K | |