| | | | | |
AMTD AMTD IDEA Group American Depositary Shares, each representing six (6) Class A Ordinary Shares | $0,96500 | −0,61 % | $96,80M | $7,43K | |
SMJF SMJ International Holdings Inc. | $4,9030 | +4,32 % | $96,69M | $17,97K | |
NEOV NeoVolta Inc. Common Stock | $2,8350 | +2,72 % | $96,52M | $173,27K | |
BMEA Biomea Fusion, Inc. Common Stock | $1,4050 | −0,36 % | $96,15M | $433,81K | |
QTTB Q32 Bio Inc. Common Stock | $12,2420 | +72,67 % | $96,14M | $16,81M | |
IGI Western Asset Investment Grade Defined Opportunity Trust Inc. | $16,2310 | −0,06 % | $96,07M | $3,00K | |
SLSN Solesence, Inc. Common Stock | $1,2250 | −4,30 % | $96,06M | $33,35K | |
TZOO Travelzoo Common Stock | $10,2150 | +0,94 % | $95,90M | $18,87K | |
RMI RiverNorth Opportunistic Municipal Income Fund, Inc. Common Stock | $15,2550 | +0,33 % | $95,74M | $5,86K | |
SDHC Smith Douglas Homes Corp. | $12,2530 | +2,19 % | $95,40M | $34,01K | |
HCAT Health Catalyst, Inc Common Stock | $1,2750 | +1,19 % | $95,32M | $440,00K | |
| $3,9290 | −0,03 % | $95,06M | $69,61K | |
PMN ProMIS Neurosciences Inc. Common Shares (ON) | $10,2450 | −1,11 % | $95,05M | $1,79K | |
| $9,6770 | −0,60 % | $94,87M | $4,43K | |
BCIC BCP Investment Corporation Common Stock | $7,5050 | +0,60 % | $94,31M | $13,12K | |