52 Week High

(NASDAQ, NYSE)

Simbolo Nome Cap. di mercato ▾ Prezzo Volume Basso Alto % (1D)
ANPA Rich Sparkle Holdings Ltd 1.09B 86.85 2.86M 45.68 108.68 +258.88%
GROY Gold Royalty Corp 987.32M 4.42 2.79M 4.405 4.53 +0.45%
GOLD Gold Com Inc 961.13M 39.00 562.06K 38.16 39.48 +2.44%
AXL American Axle Manufacturing Holdings Inc 929.39M 7.83 4.39M 7.30 7.86 +4.54%
RYI Ryerson Holding Corp 909.27M 28.23 347.41K 27.30 28.50 +2.73%
BW Babcock Wilcox Enterprises Inc 883.25M 7.95 4.94M 7.13 8.005 +4.19%
BCX Blackrock Resources Commodities Strategy Trust 868.35M 11.39 183.56K 11.39 11.50 +0.26%
KALV Kalvista Pharmaceuticals Inc 849.18M 16.80 4.99M 16.01 19.00 +6.19%
ABX Abacus Global Management Inc 842.63M 8.62 537.45K 8.29 8.79 -1.15%
DJCO Daily Journal Corporation 838.40M 608.54 97,942 581.26 613.93 +4.52%
XME State Street Spdr S P Metals Mining Etf 829.86M 116.90 2.55M 114.86 117.82 +2.52%
NAT Nordic American Tankers Ltd 827.95M 3.91 4.09M 3.8482 3.93 +0.26%
PLOW Douglas Dynamics Inc 827.63M 35.92 141.13K 35.19 36.13 +0.76%
IYY Ishares Dow Jones U S Etf 815.43M 168.96 52,845 168.14 169.22 +0.58%
URTH Ishares Msci World Etf 810.96M 189.53 644.98K 188.31 189.77 +0.69%
MTUS Metallus Inc 804.24M 19.31 261.07K 18.81 19.44 +1.52%
IGE iShares North American Natural Resources ETF 797.78M 52.83 106.44K 52.51 52.93 +1.05%
FTA First Trust Large Capital Value Alphadex Fund 764.76M 88.84 38,651 88.68 89.19 +0.24%
APEI American Public Education Inc 729.01M 40.31 308.91K 39.84 40.76 +0.52%
XRT State Street Spdr S P Retail Etf 718.87M 90.09 10.81M 88.23 90.87 +0.28%
ADAM Adamas Trust Inc 700.79M 7.76 633.43K 7.625 7.8388 +1.84%
DNL Wisdomtree Global Ex U S Quality Growth Fund 694.04M 43.25 221.56K 42.98 43.30 +1.60%
WRN Western Copper and Gold Corporation 650.62M 3.22 1.19M 3.01 3.22 +6.62%
NWPX Nwpx Infrastructure Inc 633.66M 65.94 81,329 64.55 66.60 +3.60%
IYT iShares U.S. Transportation ETF 628.49M 77.99 571.27K 77.36 78.59 +0.14%
NRIM Northrim Bancorp Inc 619.64M 28.05 157.22K 27.80 28.48 -0.60%
ALRS Alerus Financial Corp 613.34M 24.15 114.48K 23.90 24.42 +1.43%
BWMX Betterware De Mexico S A P I De C V 602.66M 16.15 38,710 16.02 16.25 -0.25%
BCSS Bain Capital Gss Investment Corp 592.76M 10.15 116.73K 10.15 10.17 -0.15%
DRTS Alpha Tau Medical Ltd 590.88M 6.93 598.34K 6.3898 6.99 +8.11%
RMT Royce Micro Cap Trust Inc 586.41M 11.15 123.37K 11.07 11.21 +0.45%
FEIM Frequency Electronics Inc 574.93M 58.80 176.12K 57.40 59.74 +2.62%
VGM Invesco Trust For Investment Grade Municipals 567.81M 10.47 146.95K 10.41 10.47 +0.38%
LPTH Lightpath Technologies Inc 561.84M 12.34 1.99M 12.10 12.75 -2.30%
VPG Vishay Precision Group Inc 553.34M 41.67 157.99K 40.12 42.01 +3.19%
ZEUS Olympic Steel Inc 538.49M 48.09 94,664 46.39 48.40 +2.78%
IYM Ishares U S Basic Materials Etf 534.28M 164.94 90,734 163.07 164.94 +1.40%
SYLD Cambria Shareholder Yield ETF 526.18M 73.53 64,325 72.71 73.73 +0.53%
MOV Movado Group Inc 501.65M 22.66 157.76K 22.10 22.68 +1.12%
SOHU Sohu Com Ltd Adr 493.67M 16.42 34,099 16.31 16.90 -2.15%
VELO Velo 3 D Inc 493.43M 20.10 1.25M 18.80 21.65 -0.40%
OIS Oil States International Inc 480.35M 8.04 748.38K 7.8013 8.085 +1.39%
VBNK Versabank 479.82M 15.02 97,056 14.99 15.58 +1.01%
ATCX Atlas Technical Consultants Inc 471.04M 8.80 177.71K 8.21 10.75 -28.16%
ANSC Agriculture Natural Solutions Acquisition Corp 464.08M 11.17 306.58K 11.17 11.19 +0.00%
PKE Park Aerospace Corp 463.41M 23.28 318.97K 23.27 24.67 -1.27%
BSRR Sierra Bancorp 458.40M 34.00 68,538 33.83 34.91 -1.16%
ETB Eaton Vance Tax Managed Buy Write Income Fund 453.84M 15.45 42,467 15.43 15.51 +0.13%
NRC National Research Corp 446.80M 19.72 47,309 19.34 19.85 +1.18%
FFA First Trust Enhanced Equity Income Fund 441.94M 22.11 21,280 22.03 22.21 +0.41%