52 Week High

(NASDAQ, NYSE)

Symbol Name Market Cap ▾ Price Volume Low High % (1D)
IESC IES Holdings Inc 3.26B 161.39 386.94K 148.99 171.50 +17.92%
PIPR Piper Sandler Co's 3.22B 206.14 73,029 202.93 207.06 +1.47%
PRMW Primo Water Corporation 3.18B 19.89 1.05M 19.64 19.93 +1.22%
HTGC Hercules Capital Inc 3.15B 19.43 1.37M 19.21 19.70 +0.67%
IIPR Innovative Industrial Properties Inc 3.10B 109.48 284.42K 107.44 111.71 +1.10%
LRN Stride Inc 3.02B 69.82 565.36K 68.32 69.98 +2.21%
FBP First Bancorp PR 3.01B 18.08 678.70K 17.98 18.32 +0.61%
GOGL Golden Ocean Group Limited 2.95B 14.79 1.25M 14.58 14.81 +0.89%
TNDM Tandem Diabetes Care Inc 2.89B 44.72 6.22M 42.46 47.00 +22.32%
HIW Highwoods Properties, Inc. 2.84B 26.77 614.72K 26.65 27.57 +0.53%
NHI National Health Investors, Inc. 2.81B 64.72 208.55K 63.85 65.23 +0.43%
INSW International Seaways Inc 2.76B 56.17 581.04K 55.46 56.77 +0.77%
SLVM Sylvamo Corp 2.69B 64.98 196.77K 64.41 65.93 -0.29%
GVA Granite Construction Inc. 2.62B 59.39 744.35K 58.00 59.61 +3.72%
NMIH NMI Holdings Inc 2.61B 32.51 606.92K 31.85 32.80 +0.12%
SPEM SPDR Portfolio Emerging Markets ETF 2.61B 37.63 1.07M 37.40 37.65 +0.72%
PRIM Primoris Services Corp 2.54B 47.30 442.25K 46.95 48.40 +0.57%
SMTC Semtech Corp. 2.52B 39.01 1.24M 38.65 39.69 +0.85%
EXG Eaton Vance Tax-Managed Global Diversified Equity Income Fund 2.49B 8.14 513.72K 8.10 8.17 +1.37%
TRN Trinity Industries, Inc. 2.49B 30.44 623.54K 29.78 30.65 +1.30%
EAT Brinker International, Inc. 2.45B 54.98 1.06M 54.78 56.30 +1.18%
AKO.B Embotelladora Andina S A 2.41B 18.67 5,317 18.21 18.71 +4.01%
LAUR Laureate Education Inc 2.32B 14.98 874.53K 14.34 15.05 +5.27%
RXST RxSight Inc 2.29B 61.68 531.63K 59.59 61.85 +3.44%
EWU iShares MSCI United Kingdom ETF 2.26B 35.34 2.17M 35.12 35.44 +0.83%
PRK Park National Corp. 2.21B 136.79 32,006 136.15 138.60 +0.29%
BBAR BBVA Argentina ADR 2.14B 10.49 1.64M 9.60 10.54 +9.27%
AMRX Amneal Pharmaceuticals Inc 2.09B 6.76 3.84M 5.81 6.90 +8.86%
UFPT UFP Technologies Inc. 2.01B 262.14 73,177 249.48 265.94 +2.69%
EPAC Enerpac Tool Group Corp 2.00B 36.83 202.20K 36.38 36.87 +0.96%
USLM United States Lime & Minerals Inc. 1.94B 340.19 24,883 326.47 340.63 +4.14%
MSGE Madison Square Garden Entertainment Corp. 1.93B 40.30 878.52K 39.93 41.58 +2.08%
ASPN Aspen Aerogels Inc. 1.93B 25.11 3.33M 23.40 25.65 +5.28%
KAR Openlane Inc. 1.92B 17.69 986.28K 17.47 17.85 +0.63%
TRMK Trustmark Corp. 1.89B 30.86 299.90K 30.42 31.12 +0.92%
HTLF Heartland Financial USA, Inc. 1.88B 43.94 766.30K 43.41 44.04 +1.57%
AVDL Avadel Pharmaceuticals plc ADR 1.81B 18.82 874.88K 17.91 19.09 +2.84%
TTMI TTM Technologies Inc 1.76B 17.31 1.11M 16.77 17.32 +3.96%
NTB The Bank of N.T. Butterfield & Son Limited 1.63B 35.37 265.75K 35.19 36.00 +0.71%
PRDO Perdoceo Education Corporation 1.60B 24.34 1.26M 23.42 24.66 +0.95%
ADMA Adma Biologics Inc 1.58B 6.81 2.90M 6.65 6.81 +1.04%
GEL Genesis Energy L.P. 1.56B 12.77 519.06K 12.10 12.83 +4.24%
KALU Kaiser Aluminum Corp 1.54B 96.11 155.35K 93.42 96.47 +1.89%
CTS CTS Corp. 1.52B 49.59 243.35K 49.04 49.67 +2.23%
PDO Pimco Dynamic Income Opportunities Fund 1.51B 13.28 342.18K 13.17 13.31 +0.84%
CMRE Costamare Inc 1.48B 12.48 283.80K 12.23 12.49 +0.97%
BKD Brookdale Senior Living Inc 1.45B 7.49 2.26M 7.29 7.50 +4.17%
DBD Diebold Nixdorf Inc 1.43B 38.00 315.27K 37.27 38.99 +10.08%
APOG Apogee Enterprises Inc. 1.41B 63.54 117.03K 63.16 64.30 -0.08%
VSEC VSE Corp. 1.31B 82.90 181.78K 80.07 83.14 +3.12%