Trade Alert Note: A strong market rebound of over 6% making a new high in over 6 weeks is a signal that indicates to Get-Back-in-Early without waiting until month-end. It indicates a renewed bull market appeaars to have taken hold and neutralizes any other conflicting StormGuard-Armor triggers.    

Scott Juds

Quality Stocks Momentum Screener

Best U.S. Stocks w/Dividends & Volume for Investment Strategies

See ETF Screener
 

Stock Screening SectorSurfer Style:

This stock screener doesn't directly generate a best stock "buy list". It qualifies stocks to participate as one of the dozen best stocks in a SectorSurfer Strategy. The Strategy's algorithm performs the final comparative analysis to determine which one, and only one, of them to own next month. Your job is to provide the algorithm with excellent stock selection alternatives. This stock screener is designed for U.S. stocks with > 3 years of data

The Stk. Rank column in the table below is a composite measure of trend quality, 3-yr excess return, 1-yr excess return, and the stock's volatility relative to the S&P500 market index. Stk. Rank should be your primary stock screening method to find the best stocks for your Strategies.  Additional technical analysis columns are provided to further help you select your top stock candidates. Please also review this material: Stocks vs. Sectors & Asset Classes.

HHow to Select the Best U.S. Stocks for Your Investment Strategies:

1) Don't use performance measures such as daily volume, P/E Ratio, and dividends that are poorly correlated to near term price performance and don't foretell next month's returns. Use Stk. Rank as your most important stock screening method.

2) Although Stk. Rank is already adjusted for relative volatility (a measure of the variability in results to expect), you may sleep better at night focusing on lower volatility U.S. stocks. Performance with peace of mind is not a bad thing.

3) Finally, select a set of quality stocks that aren't clones of one another to increase the likelihood that at least one will be doing well when the others are not. Stock from different market sectors have the best chance of having sequential periods of great performance...  one dies off but a stock in another sector takes off as markets rotate to its sector.
Stock Screener Strategy Examples 

This is not a stock buy-list. It's a ranking of stocks likely qualified to be in a Strategy. See above.

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Quality Stocks Screener

(See Parameter Definitions Below Table)

 

Total Stocks Listed: 5419

3/5/2026 2:23:31 AM

Download CSV Spreadsheet File

Symbol Company Name Stk. Rank TrendQual 3YrExcess 1YrExcess 1QtrExcess 1MoExcess Volatility 1YrRange
SP-CP S&P 500 US Market Index 0.0 43% 0% 0% 0% 0% 1.00 95%
A Agilent Technologies -265.9 -83% -86% -21% -20% -9% 2.00 37%
AA ALCOA CORP -60.2 -30% -40% 82% 47% 7% 3.85 90%
AACAY AAC Technologies Holdings Inc 2.9 48% 13% -46% -16% -10% 3.36 0%
AACG ATA Creativity Global -957.3 -455% -120% 16% -11% -1% 5.70 14%
AAGIY AIA GROUP LTD -42.3 -21% -66% 23% -1% -8% 2.23 76%
AAIGF AIA Group 28.9 24% -43% 58% 3% -7% 3.69 81%
AAL American Airlines -399.9 -141% -93% -28% -12% -7% 3.06 47%
AAME Atlantic American Corp -137.8 -69% -65% 62% 1% -1% 4.05 59%
AAMI Acadian Asset Management Inc 96.6 38% 49% 105% 24% -1% 2.31 95%
AAOI Applied Optoelectronics Inc -172.9 -86% 3677% 445% 275% 127% 8.76 97%
AAON AAON 18.8 22% 7% 14% 4% 8% 3.05 70%
AAP Advance Auto Parts -306.7 -139% -134% 30% -3% 7% 3.59 60%
AAPD Direxion Daily AAPL Bear 1X Shares -647.9 -255% -116% -30% 7% 4% 1.70 13%
AAPL Apple Inc 7.1 14% 8% -7% -8% -1% 1.70 80%
AAPU Direxion Daily AAPL Bull 15X Share -44.7 -13% 23% -17% -18% -5% 3.13 68%
AAT American Assets Trust Inc -265.3 -83% -80% -23% 3% 12% 2.11 75%
AATC Autoscope Technologies Corp 17.6 44% 62% -37% -5% 6% 2.12 19%
AAUKD Anglo American plc -63.7 -32% -51% 20% 19% 3% 3.28 74%
AB AllianceBernstein Holding LP 8.3 33% -43% -7% -5% -4% 1.90 73%
ABAT American Battery Technology Co -63.4 -32% -136% 264% 3% -8% 7.59 25%
ABB Abb Ltd ADR 114.3 74% 106% 46% 21% 2% 1.73 87%
ABBV AbbVie Inc 36.4 50% -2% -2% 5% 6% 1.59 94%
ABCB Ameris Bancorp 10.2 9% -1% 8% 4% 1% 2.34 82%
ABCL AbCellera Biologics Inc -429.0 -208% -129% 36% 4% 5% 4.71 40%
ABEO Abeona Therapeutics Inc -246.2 -118% 45% -20% 3% -2% 4.52 26%
ABEV Ambev SA ADR -100.9 -50% -32% 38% 21% 7% 1.91 81%
ABG Asbury Automotive -131.8 -4% -79% -36% -9% -8% 2.62 3%
ABLZF ABB 76.2 66% 97% 54% 22% 4% 3.01 88%
ABM ABM Industries -263.9 -73% -77% -33% 2% -3% 1.90 30%
ABNB Airbnb-A -353.6 -135% -63% -21% 13% 5% 2.52 81%
ABOS Acumen Pharmaceuticals Inc 93.4 198% -109% 170% 73% 29% 6.10 100%
ABP Abpro Holdings Inc Ordinary Shares -1331.7 -492% -172% -117% -99% -93% 5.50 0%
ABR Arbor Realty Trust -387.5 -130% -88% -34% 0% 20% 2.72 34%
ABSI Absci Corp -304.1 -96% -49% -40% -13% -10% 6.81 15%
ABT Abbott Laboratories -216.5 -56% -52% -35% -12% 5% 1.43 22%
ABTC American Bitcoin Corp -178.7 0% -171% -32% -69% -18% 9.04 6%
ABTS ABITS GROUP INC -255.6 0% -156% -76% -60% -24% 8.33 13%
ABUS Arbutus Biopharma Corp 26.1 30% 7% 21% 12% 10% 3.11 90%
ABVC ABVC BioPharma Inc 15.5 25% -151% 93% -45% -22% 7.65 20%
ABVE Above Food Ingredients Inc 45.0 10% -161% 260% -59% -34% 8.60 17%
ABX Abacus Global Management Inc -427.7 -204% -72% 14% 52% 25% 3.84 100%
AC Associated Capital Group Inc Shs -A -90.6 -16% -58% -10% 3% 1% 1.67 86%
ACA Arcosa Inc 43.3 46% 9% 21% 6% -2% 2.24 73%
ACAD Acadia Pharmaceuticals -69.8 -29% -52% 11% -7% -9% 3.15 67%
ACB Aurora Cannabis -525.6 -178% -129% -42% -20% -5% 5.47 12%
ACCO ACCO Brands Corp -612.0 -257% -86% -20% 15% 3% 2.66 67%
ACCS ACCESS Newswire Inc -672.6 -247% -143% -41% -11% -13% 3.39 10%
ACCYY Accor 29.0 53% -1% -11% -3% -4% 1.88 71%
ACDC ProFrac Holding Corp -1064.8 -444% -147% -40% 35% -6% 5.36 25%
ACDVF Air Canada -370.0 -166% -79% 7% 1% -2% 2.35 61%
ACEL Accel Entertainment-A -124.8 -58% -29% 5% 26% 16% 2.17 100%
ACET Adicet Bio Inc -686.8 -226% -167% -62% -23% -4% 6.44 11%
ACFN Acorn Energy Inc 35.4 29% 185% 20% 50% 24% 5.23 50%
ACGBY Agricultural Bank China 76.4 88% 66% -3% -11% -4% 1.80 51%
ACGL Arch Capital Group 22.5 50% -23% -12% 5% 3% 1.74 79%
ACHC Acadia Healthcare Company Inc -388.2 -111% -143% -35% 42% 84% 3.11 66%
ACHR Archer Aviation Inc -196.7 -89% 68% -32% -10% -3% 6.17 8%
ACHV Achieve Life Sciences Inc -95.6 -48% -80% 43% -2% 8% 4.96 68%
ACI Albertsons Companies Inc -268.6 -75% -81% -32% -6% 3% 1.48 18%
ACIC American Coastal Insurance Corp 118.0 85% 638% -5% 11% 6% 3.96 99%
ACIU AC IMMUNE SA -343.0 -157% -46% 1% 3% -12% 4.96 54%
ACIW ACI Worldwide -21.6 7% -10% -40% -9% -1% 2.33 21%
ACLS Axcelis Technologies Inc -11.7 -6% -103% 40% 5% -1% 3.60 76%
ACLX Arcellx Inc 63.4 10% 235% 65% 62% 66% 3.83 100%
ACM AECOM -134.2 -29% -59% -18% -7% 0% 1.70 19%
ACMR ACM Research 75.3 34% 321% 96% 55% -14% 5.30 64%
ACN Accenture PLC -251.1 -41% -89% -55% -19% -20% 1.83 12%
ACNB ACNB -103.5 -47% -23% 3% 5% 0% 2.69 85%
ACOG Alpha Cognition Inc -1128.4 -525% -86% -10% 3% 20% 11.33 28%
ACON Aclarion Inc -346.8 0% -173% -116% -53% 9% 9.25 0%
ACP abrdn Income Credit Strategies -134.7 -41% -51% -10% 6% 1% 0.95 88%
ACR ACRES Commercial Realty Corp 14.3 38% 27% -23% -11% -1% 2.30 32%
ACRE Ares Commercial Real Estate Corp -619.6 -284% -103% 8% 2% 1% 2.66 80%
ACRS Aclaris Therapeutics Inc -69.4 -26% -147% 41% 18% -13% 5.45 59%
ACRV Acrivon Therapeutics Inc -1046.1 -384% -164% -85% -31% -5% 6.52 14%
ACSAY ACS Actividades 222.2 86% 312% 118% 39% 13% 1.78 95%
ACT Enact Holdings Inc 74.8 82% 19% 8% 8% 7% 1.57 87%
ACTG Acacia Research -103.1 -14% -74% -12% 8% 4% 2.52 97%
ACU Acme United Corp 7.4 7% 17% 2% 20% 3% 3.00 83%
ACV Virtus Diversified Income & Convert 55.3 33% 9% 26% 9% 0% 1.26 95%
ACVA ACV Auctions Inc -361.7 -57% -128% -82% -30% -27% 3.52 8%
ACXP Acurx Pharmaceuticals Inc -814.8 -245% -170% -106% -58% -35% 7.07 0%
AD Array Digital Infrastructure Inc 83.6 45% 262% 38% 45% 5% 3.06 94%
ADAG Adagene Inc -341.5 -171% 2% 25% 55% 1% 6.46 79%
ADAM Adamas Trust Inc 14.4 6% -44% 33% 15% 5% 2.39 89%
ADAP Adaptimmune Therapeutics PLC ADR -499.0 -79% -171% -114% -51% 2% 8.96 2%
ADBE Adobe -183.2 -7% -88% -55% -16% -5% 2.19 13%
ADC Agree Realty 27.8 49% -41% -2% 10% 17% 1.33 99%
ADCT ADC Therapeutics SA -26.1 -13% -68% 149% -1% 10% 7.02 89%
ADDYY Adidas AG -41.1 6% -58% -53% -13% -5% 2.26 0%
ADEA Adeia Inc 24.1 8% 52% 23% 67% 12% 2.95 99%
ADGM Adagio Medical Holdings Inc Ordinar -405.9 -137% -163% -12% 2% -1% 4.98 16%
ADI Analog Devices 49.7 37% 24% 35% 28% 10% 2.23 91%
ADM Archer-Daniels Midland 3.5 0% -81% 32% 11% 1% 1.86 92%
ADMA ADMA Biologics 58.2 47% 301% -13% -15% -4% 3.62 24%
ADNT Adient PLC -71.8 -28% -121% 33% 15% 7% 3.01 71%
ADP Automatic Data Processing -33.1 32% -68% -48% -15% -11% 1.30 10%
ADPT Adaptive Biotechnologies Corp 57.6 90% 23% 86% -14% -9% 5.35 71%
ADRNY Koninklijke Ahold Delhaize NV 68.7 58% -5% 23% 15% 24% 1.31 93%
ADSE ADS-TEC Energy PLC -5.4 -3% 224% -40% -8% 6% 3.86 46%
ADSK Autodesk -181.0 -54% -41% -23% -16% 2% 2.02 36%
ADT ADT -167.8 -32% -78% -26% -16% -13% 2.31 0%
ADTN Adtran 17.0 98% -112% -20% 29% 11% 3.74 87%
ADTX ADiTx Therapeutics Inc -349.8 0% -173% -117% -84% -40% 11.01 0%
ADUR Aduro Clean Technologies Inc 84.2 33% 264% 107% -12% -9% 4.42 54%
ADUS Addus HomeCare Corporation -162.9 -51% -73% -6% -13% 2% 2.20 48%
ADV Advantage Solutions Inc -45.4 5% -148% -93% -40% -48% 5.06 4%
ADVQ NASDAQ Advances Index 0.0 0% -48% 209% 125% 21% 63.55 83%
ADX Adams Diversified Equity 69.2 51% 32% 11% 4% 1% 1.09 97%
ADXN Addex Therapeutics Ltd -884.9 -359% -156% -31% -14% 1% 7.32 49%
AEC Anfield Energy Inc -665.2 -333% -25% 104% 5% -5% 7.15 46%
AEE Ameren 1.9 15% -24% -5% 10% 12% 1.36 100%
AEF abrdn Emerging Markets ex-China 130.4 82% 34% 64% 25% 7% 1.41 86%
AEG Aegon NV 18.7 26% -6% 3% -9% -7% 1.87 71%
AEHL Antelope Enterprise Holdings Ltd -1076.6 -372% -172% -109% -88% -51% 9.80 0%
AEHR Aehr Test Systems 96.6 9% -40% 365% 89% 65% 6.46 96%
AEI Alset EHome International Inc 0.0 0% -83% 83% -30% -38% 7.47 31%
AEIS Advanced Energy Industries 154.2 46% 186% 191% 58% 28% 2.88 96%
AEM Agnico-Eagle Mines 182.2 69% 371% 128% 35% 24% 2.51 88%
AENT Alliance Entertainment-A -302.4 -151% -40% 32% 2% -12% 7.41 71%
AEO American Eagle Outfitters -32.2 -16% -4% 72% 5% -7% 3.47 70%
AEON AEON Biopharma Inc Ordinary Shares -1354.1 -677% -172% 61% 37% -5% 8.67 69%
AEP American Electric Power 52.3 55% -7% 11% 11% 15% 1.43 99%
AER AerCap Holdings NV 80.9 56% 73% 33% 13% 5% 1.79 93%
AERT Aeries Technology Inc Class A -19.0 50% -169% -58% -31% -22% 5.75 10%
AES AES -191.2 -78% -107% 18% 3% -1% 2.81 63%
AETUF Arc Resources Ltd 42.8 75% 11% -7% 3% 5% 2.37 40%
AEVA AEVA TECHNOLOGIES INC -7.1 -4% 11% 333% 45% 19% 7.44 35%
AEYE AudioEye Inc -242.4 -46% -63% -54% -37% -14% 5.84 13%
AFB AllianceBernstein National Muni Inc -26.7 9% -53% -15% 3% 2% 0.71 95%
AFBI Affinity Bancshares Inc -0.2 21% -36% -9% 1% -1% 1.61 45%
AFCG AFC Gamma Inc -1145.1 -438% -148% -85% -15% 9% 3.05 6%
AFG American Financial Group -3.4 20% -54% -7% -1% 5% 1.59 68%
AFL AFLAC 23.4 40% 4% -13% 2% 3% 1.38 79%
AFLYY Air France-KLM SA -6.7 11% -107% 11% -9% -7% 3.16 43%
AFRI Forafric Global PLC -216.5 -73% -83% -7% -2% 0% 1.86 61%
AFRM Affirm Holdings Inc-A -112.3 -56% 223% -35% -27% -17% 5.64 27%
AFYA Afya Ltd -430.1 -162% -55% -35% -12% -11% 2.50 4%
AG First Majestic Silver Corp 194.6 13% 304% 418% 84% 42% 4.47 87%
AGAE Allied Gaming & Entertainment Inc -1184.9 -456% -150% -87% -14% 19% 6.02 2%
AGCO AGCO -98.4 -49% -68% 32% 25% 19% 2.37 91%
AGD abrdn Global Dynamic Dividend 56.9 48% 1% 14% 4% 0% 1.20 79%
AGEN Agenus -92.5 0% -164% 9% -27% 13% 7.03 31%
AGESY Ageas 57.0 46% 24% 18% 6% 0% 1.52 81%
AGI Alamos Gold Inc 151.2 65% 347% 109% 40% 43% 2.83 90%
AGIG Abundia Global Impact Group Inc -305.0 0% -166% -97% -6% -20% 7.25 3%
AGIO Agios Pharmaceuticals Inc -309.6 -102% -61% -32% 0% 2% 3.46 25%
AGL Agilon Health Inc -709.7 -204% -169% -94% 12% -14% 6.13 7%
AGM Federal Agricultural Mortgage -133.0 -14% -49% -36% -8% -5% 2.14 18%
AGMA Federal Agricultural Mortgage Corp -88.6 -3% -46% -26% 4% 6% 2.27 56%
AGMH AGM Group Holdings -1267.6 -479% -171% -98% -59% -23% 8.70 0%
AGNC AGNC INVT CORP 25.2 33% -15% 6% 7% 1% 1.65 80%
AGO Assured Guaranty -99.7 -23% -24% -18% -4% 4% 1.71 72%
AGPU Axe Compute Inc -630.0 -150% -171% -108% -68% -35% 7.94 0%
AGRO Adecoagro SA -136.2 -28% -44% -25% 19% 12% 2.41 60%
AGX Argan Inc 311.3 78% 1083% 267% 27% 32% 3.54 100%
AGYS Agilysys -138.8 -30% -72% -16% -34% -9% 3.08 19%
AHCHY Anhui Conch Cement Co 9.3 45% -78% -3% -3% -2% 2.41 56%
AHCO AdaptHealth Corp -608.0 -232% -129% -30% -2% -3% 3.87 64%
AHEXY Adecco SA -118.3 -15% -85% -16% -6% -9% 2.38 30%
AHH Armada Hoffler Properties Inc -685.1 -263% -114% -42% -3% -6% 1.93 18%
AHKSY Asahi Kasei Corp 84.2 80% -19% 41% 34% 17% 1.72 80%
AHODF Koninklijke Ahold 56.1 52% -14% 27% 17% 25% 1.67 94%
AHT Ashford Hospitality Trust Inc -916.3 -326% -167% -76% -2% -17% 5.07 5%
AI C3 AI Inc-A -695.5 -229% -131% -75% -35% -13% 5.07 6%
AIEV Thunder Power Holdings Inc -1631.1 -689% -171% -70% -22% -7% 8.47 29%
AIFF Firefly Neuroscience Inc -800.1 -265% -166% -79% -5% 82% 9.71 20%
AIG American International Group -93.6 -15% -35% -21% 2% 7% 1.66 44%
AIHS Senmiao Technology -385.7 -39% -156% -102% 16% 19% 6.27 3%
AIIO Roboai Inc -397.4 -54% -171% -87% -76% -23% 8.76 2%
AIM AIM ImmunoTech Inc -999.6 -331% -171% -112% -56% -41% 7.09 0%
AIMD Ainos Inc -221.2 0% -164% -56% -28% -32% 7.33 7%
AIN Albany International-A -967.9 -409% -112% -37% 24% 5% 2.27 55%
AIO Virtus AI & Tech Opportunities Fund 28.3 37% 11% -6% 6% 3% 1.40 93%
AIOT PowerFleet Inc -227.6 -39% -41% -61% -26% -28% 4.42 4%
AIP Arteris Inc -190.4 -95% 78% 81% 13% 10% 5.04 77%
AIQUY Air Liquide -79.4 -21% -28% -9% 3% 8% 1.44 65%
AIR AAR 52.9 3% 44% 70% 45% 11% 2.30 98%
AIRG Airgain Inc -24.7 10% -118% -35% 1% -2% 4.21 42%
AIRI AIR INDUSTRIES GROUP -185.0 -35% -102% -24% 20% 9% 4.48 61%
AIRJ Montana Technologies Corp Class A S -892.9 -325% -140% -75% 13% 3% 4.54 10%
AIRS AirSculpt Technologies Inc -624.2 -192% -144% -72% -46% -27% 6.11 3%
AIRT Air T Inc -200.3 -74% -82% 1% -4% -8% 4.76 56%
AISP Airship AI Holdings Inc Ordinary Sh -1447.7 -640% -146% -36% -25% -7% 7.29 7%
AIT Applied Industrial Technologies 31.7 39% 29% 0% 9% 5% 2.04 87%
AIV Apartment Investment & Management-A -236.1 -70% -58% -29% 1% 0% 1.87 44%
AIXC AIxCrypto Holdings Inc -276.3 0% -171% -81% -53% -33% 6.58 3%
AIZ Assurant 21.5 28% 19% -5% 2% -2% 1.66 84%
AJG Arthur J Gallagher & Company -6.2 59% -47% -51% -9% -6% 1.54 15%
AKA AKA Brands Holding Corp -17.3 12% -114% -45% -25% -6% 7.19 36%
AKAM Akamai Technologies -106.3 -52% -32% 10% 17% 8% 1.98 80%
AKBA Akebia Therapeutics Inc -240.9 -66% -20% -48% -18% -8% 5.65 2%
AKOA Embotelladora Andina SA ADR 44.3 58% 52% 24% -5% -14% 3.50 53%
AKOB Embotelladora Andina SA ADR 48.0 56% 41% 17% -4% -15% 2.62 52%
AKR Acadia Realty Trust -5.6 16% -9% -21% 6% 9% 1.87 82%
AL Air Lease Corp 26.5 15% -12% 26% 1% 2% 1.81 100%
ALAR Alarum Technologies Ltd -3.7 -2% 159% -1% -22% -3% 6.94 12%
ALB Albemarle 59.2 58% -104% 128% 31% 4% 4.11 81%
ALBT Avalon Globocare Corp -326.3 0% -170% -107% -29% 36% 9.54 5%
ALC Alcon Inc -139.4 -25% -52% -28% 7% 8% 1.71 47%
ALCO Alico 14.2 1% -11% 24% 16% 0% 2.06 92%
ALDX Aldeyra Therapeutics -219.8 -45% -99% -32% -2% -3% 5.51 68%
ALEC Alector Inc -341.6 -157% -148% 35% 74% 10% 5.89 52%
ALEX Alexander & Baldwin Inc -358.0 -170% -42% 5% 35% 2% 1.51 99%
ALFVY Alfa Laval 60.7 69% 9% 14% 19% -2% 1.85 89%
ALG Alamo Group -143.0 -32% -71% -16% 9% -7% 2.05 28%
ALGM Allegro Microsystems Inc -136.4 -53% -93% 16% 30% -7% 3.68 67%
ALGN Align Technology -211.8 -55% -113% -13% 23% 13% 2.91 70%
ALGS Aligos Therapeutics Inc -1550.8 -654% -155% -70% -27% -12% 6.79 27%
ALGT Allegiant Travel -49.5 -14% -78% 15% 20% 3% 3.98 69%
ALHC Alignment Healthcare Inc 7.4 7% 24% 4% -2% -15% 4.12 59%
ALIT Alight Inc -606.0 -147% -162% -102% -60% -39% 2.90 4%
ALK Alaska Air Group -529.3 -193% -72% -48% 13% -7% 2.91 33%
ALKS Alkermes -16.8 25% -65% -32% 0% -15% 2.42 34%
ALKT Alkami Technology Inc -210.0 -21% -67% -62% -22% -16% 3.14 6%
ALL Allstate 15.9 29% 5% -9% 2% 9% 1.78 100%
ALLE Allegion PLC 12.8 18% -28% 8% -6% -4% 1.70 63%
ALLO Allogene Therapeutics Inc -490.0 -224% -133% 23% 84% 37% 5.94 86%
ALLR Allarity Therapeutics Inc -111.2 0% -173% 2% -17% 11% 7.86 28%
ALLT Allot Ltd 21.4 45% 28% 3% -27% -28% 4.36 33%
ALLY Ally Financial Inc -21.7 -5% -21% 1% -3% -3% 2.45 64%
ALMU Aeluma Inc -54.3 -27% 439% 184% 38% 17% 7.02 69%
ALNT Allient Inc 78.5 20% -17% 151% 19% 2% 3.21 89%
ALNY Alnylam Pharmaceuticals -23.8 -12% 0% 17% -29% -2% 2.67 39%
ALOT AstroNova -206.0 -36% -101% -33% 21% 2% 2.78 38%
ALPMF Astellas Pharma Inc 2174.1 82% 8976% 3073% 13% 10% 4.65 79%
ALPMY Astellas Pharma Inc -0.7 0% -67% 35% 16% 9% 1.78 77%
ALRM Alarmcom Holdings Inc -117.5 -3% -74% -31% -3% 5% 2.09 36%
ALRS Alerus Financial 6.3 11% -32% 10% 14% 1% 2.28 88%
ALSN Allison Transmission Holdings Inc 81.9 73% 105% 13% 41% 17% 1.95 100%
ALT Altimmune Inc -683.9 -250% -136% -46% -14% -22% 6.13 21%
ALTG Alta Equipment Group Inc -363.6 -158% -132% 20% 50% 7% 4.38 68%
ALTI AlTi Global Inc -91.4 -19% -123% 14% 13% -5% 5.15 72%
ALTO Alto Ingredients Inc -256.3 -128% -83% 56% -2% 3% 5.02 79%
ALTS ALT5 Sigma Corp -729.0 -249% -77% -90% -9% -20% 8.67 5%
ALV Autoliv 16.2 34% -41% 4% -6% -5% 2.05 70%
ALVO Alvotech -470.5 -105% -145% -82% -20% -25% 3.22 1%
ALX Alexander's 1.8 12% -34% 2% 12% -1% 2.03 80%
ALXO ALX Oncology Holdings Inc -933.2 -467% -140% 95% 65% 32% 7.51 81%
ALYA Alithya Group Inc -737.6 -284% -116% -47% -18% -22% 3.67 5%
ALZN Alzamend Neuro Inc -291.8 0% -172% -88% -6% -7% 6.56 4%
AM Antero Midstream Corp 91.0 66% 86% 25% 26% 25% 1.63 98%
AMADY Amadeus IT Group SA -151.7 -16% -66% -38% -16% -8% 1.78 22%
AMAL Amalgamated Bank 26.4 36% 5% 9% 30% -1% 2.51 84%
AMAT Applied Materials 126.1 76% 155% 120% 40% 11% 2.93 86%
AMBA Ambarella Inc -388.4 -139% -111% -18% -21% -9% 3.77 29%
AMBC Ambac Financial Group Inc -559.2 -176% -138% -57% -37% 0% 2.73 10%
AMBI Ambipar Emergency Response -4353.9 -2003% -172% -116% -90% -36% 8.79 0%
AMBO Ambow Education Holding Ltd -173.4 0% -125% -45% -68% -44% 8.10 0%
AMBP Ardagh Metal Packaging SA 45.5 27% -36% 70% 24% 8% 2.72 92%
AMBR Amber International Holding Ltd -472.9 -129% -101% -74% 20% 19% 6.85 12%
AMC AMC Entertainment Holdings Clss A -271.3 0% -171% -79% -51% -14% 5.38 2%
AMCI AMC Robotics Corp -7.0 81% -106% -59% -19% 13% 2.89 21%
AMCR Amcor PLC -269.4 -88% -77% -21% 8% 8% 1.62 66%
AMCX AMC Networks Inc -515.0 -214% -137% 2% -9% 3% 4.26 59%
AMD Advanced Micro Devices 61.1 24% 84% 88% -9% -16% 3.60 67%
AME Ametek 53.6 57% -3% 9% 19% 5% 1.42 93%
AMG Affiliated Managers Group 64.9 25% 19% 64% 12% -3% 1.92 85%
AMGN Amgen 52.9 62% 5% 8% 12% 12% 1.74 93%
AMH American Homes 4 Rent Class A -297.2 -91% -70% -34% -6% -1% 1.52 7%
AMKBY A P MOLLAR-MRSK 39.5 28% 14% 45% 28% 7% 2.95 97%
AMKR Amkor Technology 65.0 28% 14% 112% 21% -4% 3.44 75%
AMLI American Lithium Corp -319.7 -160% -155% 55% -5% -14% 5.65 40%
AMLX Amylyx Pharmaceuticals Inc -0.6 0% -128% 384% 5% 4% 5.10 87%
AMN AMN HealthCare Services -605.4 -224% -149% -29% 28% 2% 3.48 57%
AMOD Alpha Modus Holdings Inc Ordinary S -14.5 101% -167% -88% -22% -37% 4.89 7%
AMP Ameriprise Financial -89.1 -7% -29% -28% 3% -10% 1.74 41%
AMPG AmpliTech Group Inc -328.5 -164% -65% 61% -14% -12% 6.45 44%
AMPH Amphastar Pharmaceutical Inc -254.4 -45% -111% -45% -28% -27% 2.88 1%
AMPL Amplitude Inc -628.7 -222% -114% -55% -26% -13% 3.48 21%
AMPX Amprius Technologies Inc 99.1 13% 27% 419% 17% -3% 7.91 83%
AMPY Amplify Energy Corp -47.7 -2% -101% 12% 3% 28% 3.95 99%
AMR Alpha Metallurgical Resources 18.1 43% -62% 21% 18% -8% 3.80 55%
AMRC Ameresco Inc -302.4 -151% -118% 149% -20% -6% 5.39 56%
AMRK A-MARK PRECIOUS METALS INC -48.7 -24% 37% 103% 91% 11% 3.07 82%
AMRN Amarin PLC ADR -448.1 -205% -133% 25% -8% -2% 4.48 53%
AMRX Amneal Pharmaceuticals Inc 125.6 89% 443% 34% 7% -5% 3.32 77%
AMS American Shared Hospital Services -266.5 -50% -116% -44% 0% -1% 2.73 4%
AMSC American Superconductor -62.2 -31% 432% 42% 6% 8% 5.94 32%
AMSF Amerisafe -174.8 -13% -88% -45% -9% -6% 1.55 18%
AMST Amesite Operating Co -722.3 -276% -111% -48% -28% -6% 6.27 0%
AMSYF ArcelorMittal 121.0 55% 31% 84% 32% 8% 1.46 80%
AMT American Tower-A -238.4 -75% -64% -23% 8% 11% 1.85 37%
AMTB Amerant Bancorp -504.3 -201% -92% -20% 14% 1% 2.69 80%
AMTD AMTD IDEA Group -336.1 -102% -151% -15% -4% 7% 3.38 30%
AMTX Aemetis Inc -923.2 -382% -136% -34% -17% -9% 6.62 6%
AMWD American Woodmark -193.0 -25% -93% -40% -16% -23% 2.85 0%
AMWL American Well Corp -218.8 0% -163% -55% 35% 21% 5.54 32%
AMX America Movil S A B de C V 42.7 8% -40% 65% 12% 22% 1.84 93%
AMZE Amaze Holdings Inc -342.8 0% -171% -114% -28% -19% 9.86 1%
AMZN Amazon com 12.9 13% 59% -12% -8% -9% 2.22 57%
AN AutoNation 25.5 59% -32% -6% -8% -3% 2.33 56%
ANAB AnaptysBio 135.9 48% 74% 296% 46% 21% 4.42 100%
ANDE Andersons 29.3 16% -22% 42% 25% 4% 2.41 89%
ANET Arista Networks Inc 75.9 50% 218% 39% 4% -1% 3.27 72%
ANF Abercrombie & Fitch-A 16.4 5% 160% -19% -7% -4% 3.89 47%
ANFGF Antofagasta 114.2 53% 124% 125% 46% 11% 2.85 84%
ANGH ANGHAMI INC -258.8 0% -158% -77% -6% 7% 6.43 11%
ANGI ANGI Homeservices -702.9 -242% -137% -63% -24% -28% 4.27 11%
ANGO Angiodynamics -120.7 -33% -84% 0% -16% 7% 3.52 50%
ANGPY Anglo American Platinum 94.1 14% 39% 233% 41% 20% 4.54 84%
ANGX Angel Studios Inc -640.7 -199% -130% -79% 0% 19% 2.54 3%
ANIK Anika Therapeutics -334.2 -91% -127% -34% 46% 51% 2.66 69%
ANIOY ACERINOX SA ADR 43.0 32% -9% 18% 10% 3% 1.15 80%
ANIP ANI Pharmaceuticals Inc 33.5 42% 10% 13% -10% -3% 2.49 46%
ANIX Anixa Biosciences Inc -641.2 -271% -103% -15% -35% 1% 4.86 19%
ANNA AleAnna Inc Class A Shares -544.6 -159% -141% -66% -3% 26% 3.26 6%
ANNX Annexon Inc -47.2 -24% -69% 116% 35% -11% 6.24 75%
ANTX AN2 Therapeutics Inc -681.9 -290% -161% 2% 27% 21% 4.91 63%
ANVS Annovis Bio Inc -724.3 -356% -156% 46% -41% 2% 7.37 38%
ANZGY ANZ Group Holdings Ltd ADR 75.8 60% 18% 35% 19% 7% 1.67 85%
AOD abrdn Total Dynamic Dividend 76.7 61% 0% 15% 8% 4% 1.00 86%
AOMR Angel Oak Mortgage Inc -38.8 -10% 12% -13% 0% 1% 2.20 75%
AON Aon -244.0 -70% -57% -33% -3% -1% 1.42 33%
AORT Artivion Inc 56.7 25% 124% 36% -17% -5% 2.60 64%
AOS AO Smith -53.4 -4% -54% -5% 11% 0% 1.73 68%
AOSL Alpha & Omega Semiconductor Ltd -378.3 -113% -97% -44% 1% -7% 4.33 27%
AOUT American Outdoor Brands Inc -204.5 -16% -77% -60% 28% -1% 3.35 28%
AP Ampco-Pittsburgh -376.8 -188% 139% 330% 277% 67% 5.40 98%
APA APA Corp -9.2 -5% -84% 56% 23% 22% 3.01 96%
APAM Artisan Partners Asset Management I -6.3 11% -19% -15% -2% -9% 2.14 58%
APD Air Products and Chemicals -150.5 -26% -69% -27% 5% 3% 1.70 57%
APEI American Public Education Inc 90.6 59% 230% 108% 29% 10% 4.37 98%
APG APi Group Corp 88.4 44% 104% 56% 10% 4% 2.03 91%
APH Amphenol 144.6 66% 182% 93% -5% -7% 2.04 69%
API Agora Inc -13.7 12% -60% -32% 17% 3% 4.91 55%
APLD Applied Blockchain Inc -129.6 -65% 929% 299% 1% -16% 8.64 66%
APLE Apple Hospitality REIT Inc -437.8 -167% -80% -25% 7% 8% 1.78 69%
APLM Apollomics Inc 97.7 349% -171% 193% 46% -4% 8.94 51%
APLS Apellis Pharmaceuticals -477.8 -157% -142% -35% -7% -11% 4.22 26%
APM Aptorum Group Ltd -146.4 0% -147% -24% -38% -1% 9.79 3%
APNHY ASPEN PHARMACR -29.5 13% -67% -33% 47% 23% 1.89 63%
APO Apollo Global Management LLC -10.7 25% -9% -40% -17% -16% 2.43 10%
APOG Apogee Enterprises -176.1 -27% -83% -33% 4% 4% 2.37 42%
APP AppLovin Corp 421.6 52% 3428% 26% -23% 1% 4.79 51%
APPF AppFolio Inc A -18.7 5% -30% -29% -18% -2% 2.66 16%
APPN Appian -540.9 -202% -108% -32% -34% 2% 3.51 19%
APPS Digital Turbine -702.6 -325% -133% 18% -10% -13% 6.56 39%
APRE Aprea Therapeutics Inc -732.2 -237% -155% -78% -19% 23% 5.53 16%
APT Alpha Pro Tech Ltd -88.0 -12% -48% -16% 17% 9% 2.58 94%
APTO Aptose Biosciences -1000.5 -381% -172% -62% -6% -4% 6.14 25%
APTV Aptiv -162.5 -42% -109% -3% -5% -4% 2.51 63%
APVO Aptevo Therapeutics Inc -348.7 0% -173% -117% -73% -9% 8.98 0%
APYX Apyx Medical Corp -44.3 -22% -64% 133% -19% -23% 6.56 69%
AQB AQUABOUNTY TECHNOLOGIES INC -106.0 -21% -166% 23% -9% 2% 6.63 16%
AQMS Aqua Metals Inc -1017.5 -362% -170% -90% -37% 3% 7.62 6%
AQN Algonquin Power & Utilities Corp -73.3 -37% -65% 36% 15% 9% 2.07 100%
AQST Aquestive Therapeutics Inc -50.0 -25% 381% 47% -30% 8% 5.75 41%
AR Antero Resources Corp -3.5 17% -32% -13% 5% 14% 3.03 57%
ARAY Accuray -489.7 -103% -155% -90% -50% -33% 4.61 1%
ARBE Arbe Robotics Ltd -989.6 -373% -160% -68% -40% -30% 5.96 2%
ARBK Argo Blockchain PLC -340.8 0% -172% -113% -94% -16% 9.25 0%
ARCB ArcBest Corporation 34.9 72% -63% 24% 59% 7% 3.32 88%
ARCC Ares Capital Corporation 0.2 42% -42% -27% -6% 0% 1.17 32%
ARCO Arcos Dorados Holdings Inc -65.8 -9% -61% -3% 12% 3% 2.43 78%
ARCT Arcturus Therapeutics Holdings Inc -604.9 -192% -125% -69% 16% 4% 5.55 10%
ARDC Ares Dynamic Credit Allocation 14.5 46% -38% -20% -5% -4% 0.82 45%
ARDX Ardelyx Inc -11.6 -6% 59% 13% 18% -13% 4.88 72%
ARE Alexandria Real Estate Equities -1064.0 -426% -132% -62% 2% 0% 2.35 18%
AREC American Resources Corp -667.1 -334% 26% 394% 13% 11% 7.58 44%
AREN The Arena Group Holdings Inc -16.4 -8% -134% 89% -25% -20% 7.80 19%
ARES Ares Management LP -107.0 -2% -15% -47% -27% -19% 2.42 5%
ARGTF Artemis Gold Inc 227.4 85% 801% 155% 14% 10% 3.46 82%
ARGX argenx SE 26.2 30% 30% 3% -17% -9% 2.29 55%
ARHS Arhaus Inc -322.7 -93% -116% -30% -25% -24% 4.05 14%
ARI Apollo Commercial Real Estate Finan -201.4 -88% -41% 1% 8% 1% 1.96 92%
ARKO ARKO Corp -528.7 -264% -88% 41% 34% 16% 3.12 92%
ARKR Ark Restaurants Corp -646.6 -227% -131% -53% 0% 5% 3.13 15%
ARL American Realty Investors -309.1 -123% -99% 1% 11% 0% 3.87 97%
ARLO Arlo Technologies Inc 34.1 2% 221% 6% 5% 19% 3.82 60%
ARLP Alliance Resource Partners LP 53.2 70% 11% 1% 15% 13% 1.83 97%
ARMK Aramark -323.2 -140% -58% -2% 11% 9% 1.93 80%
ARMN Aris Mining Corp 280.0 45% 554% 453% 49% 18% 3.88 91%
ARMP Armata Pharmaceuticals Inc 152.4 47% 277% 466% 71% 52% 6.95 98%
ARMSQ NASDAQ Closing Arms TRIN Ix -125.0 0% -65% -41% 2% -27% 58.09 37%
AROC Archrock Inc 92.6 64% 211% 30% 53% 28% 2.55 100%
AROW Arrow Financial 12.1 21% -42% 14% 13% 0% 2.46 86%
ARQQ Arqit Quantum Inc -329.4 -143% -120% 18% -38% -16% 8.73 12%
ARQT Arcutis Biotherapeutics Inc 38.0 61% -22% 71% -21% -4% 5.53 62%
ARR Armour Residential Reit Inc -240.4 -96% -62% -4% 7% 7% 1.88 85%
ARRY Array Technologies Inc 2.0 34% -134% 17% -3% -33% 5.54 42%
ARTL ARTELO BIOSCIENCES INC -694.3 -195% -166% -97% -35% -25% 5.81 0%
ARTNA Artesian Resources-A -448.1 -182% -106% -6% 10% 6% 1.88 91%
ARVN Arvinas Inc -274.5 -62% -127% -33% 16% 1% 4.67 63%
ARW Arrow Electronics -34.2 -17% -50% 18% 32% 9% 1.88 77%
ARWR Arrowhead Pharmaceuticals -1.1 -1% 27% 250% 15% -9% 4.42 87%
ARZGY Generali 77.4 68% 65% 5% 0% -3% 1.44 73%
ASA ASA Gold and Precious Metals 239.1 96% 382% 199% 45% 25% 2.54 95%
ASAI Sendas Distribuidora SA -221.5 -95% -126% 26% -7% -1% 3.76 52%
ASAN Asana Inc -789.2 -279% -120% -76% -40% -20% 4.21 9%
ASAZY Assa Abloy AB 52.3 57% 3% 16% 7% 2% 1.81 83%
ASB Associated Banc-Corp -4.5 12% -44% -5% 2% -3% 2.35 75%
ASBFY Associated British Foods PLC -12.4 8% -52% -7% -8% 0% 1.73 36%
ASBP ASPIRE BIOPHARMA HLDGS INC -1157.3 -407% -172% -114% -68% -21% 5.50 0%
ASC Ardmore Shipping Corp 35.2 21% -67% 68% 38% 32% 2.77 99%
ASG Liberty All Star Growth -174.9 -64% -45% -8% -3% -1% 1.33 79%
ASGI abrdn Global Infrastructure Income 104.1 67% 20% 36% 13% 9% 1.11 91%
ASGLY Asahi Glass Co Ltd 9.9 20% -67% 15% 14% 9% 1.56 71%
ASGN ASGN Inc -407.3 -109% -125% -53% -8% -20% 2.50 6%
ASH Ashland Global Holdings Inc -157.1 -31% -109% -12% 3% 0% 2.07 77%
ASIX AdvanSix Inc -645.7 -241% -121% -41% 29% 22% 2.83 47%
ASLE AerSale Corp -632.8 -264% -134% -7% 18% 2% 3.18 57%
ASM Avino Silver & Gold Mines Ltd 334.9 43% 1104% 588% 55% -7% 4.97 74%
ASMB Assembly Biosciences Inc 55.6 28% 7% 126% -13% 15% 4.62 71%
ASML ASML Holding NV 84.3 56% 55% 84% 28% -1% 2.76 86%
ASMLF ASML Holding 82.0 58% 51% 85% 29% -2% 2.88 86%
ASND Ascendis Pharma A/S ADR -0.7 0% 44% 41% 14% 9% 2.95 99%
ASNS Actelis Networks Inc -338.2 0% -171% -112% -83% 16% 10.10 3%
ASO Academy Sports and Outdoors Inc -214.5 -94% -67% 9% 23% 10% 3.04 99%
ASPI ASP Isotopes Inc -80.9 -40% 116% 18% -6% -11% 8.27 14%
ASPN Aspen Aerogels -501.4 -133% -142% -71% -1% 5% 5.58 12%
ASPS Altisource Portfolio Solutions SA -438.4 -172% -158% 6% -22% 38% 6.39 22%
ASR Grupo Aeroportuario Del Sure SAB de 17.2 5% -22% 31% 13% 0% 2.24 77%
ASRT Assertio Therapeutics Inc -296.2 -83% -157% -13% 2% 0% 4.78 62%
ASRV AmeriServ Financial Inc -88.7 -44% -63% 42% 24% 10% 2.91 96%
ASTC ASTROTECH CORPORATION -925.9 -336% -151% -77% -22% -16% 3.66 0%
ASTE Astec Industries 40.3 19% -28% 65% 42% 25% 2.73 96%
ASTH Astrana Health Inc -232.9 -62% -100% -21% 10% 16% 3.65 47%
ASTI Ascent Solar Technologies Inc 0.0 0% -172% 267% 311% 6% 9.16 68%
ASTL Algoma Steel Group Inc -440.6 -138% -107% -47% 20% 13% 3.62 39%
ASTS AST SpaceMobile Inc -71.7 -36% 1482% 292% 99% 2% 7.52 83%
ASUR Asure Software -174.7 -31% -89% -26% 18% -3% 3.39 56%
ASX ASE Technology Holding Co 133.4 71% 180% 117% 48% 15% 2.72 83%
ASYS Amtech Systems -54.0 -27% -25% 167% 78% -19% 4.16 72%
ATAI ATAI Life Sciences NV -72.7 -36% 50% 129% -5% -2% 6.14 47%
ATAT Atour Lifestyle Holdings Ltd ADR -12.4 -6% -16% 10% -10% 2% 3.31 70%
ATDRY Auto Trader Group PLC -212.4 -26% -81% -53% -25% -11% 1.69 1%
ATEC Alphatec Holdings Inc -255.4 -88% -85% -11% -42% -9% 3.78 28%
ATEN A10 Networks Inc -10.0 6% -27% -14% 20% 19% 2.26 97%
ATER Aterian Inc -291.4 0% -168% -90% -27% -18% 5.74 0%
ATEX Anterix Inc -969.9 -453% -42% -18% 90% 39% 2.89 92%
ATGE Adtalem Global Education 32.1 44% 84% -17% 6% -3% 2.46 17%
ATGFF AltaGas 79.3 61% 47% 25% 10% 15% 1.58 97%
ATHE Alterity Therapeutics Ltd -342.5 -124% -68% -24% 3% 11% 5.84 21%
ATHM Autohome Inc ADR -553.7 -193% -102% -50% -21% -16% 2.40 0%
ATI ATI Inc 150.2 40% 229% 162% 62% 34% 2.71 96%
ATKR Atkore International Group Inc -195.4 -47% -127% -8% -3% -8% 2.94 44%
ATLC Atlanticus Holdings Corp -102.9 -51% 6% -1% 0% 10% 3.49 43%
ATLCY Atlas Copco 31.8 46% 6% 2% 14% -1% 2.11 82%
ATLKF Atlas Copco AB 48.7 37% 105% 28% 15% 1% 3.12 81%
ATLKY Atlas Copco AB 26.3 38% 5% 2% 16% -2% 2.12 81%
ATLN Atlantic International Corp -160.4 0% -162% -26% 69% -25% 9.34 37%
ATLO Ames National 30.8 25% -42% 35% 27% 4% 1.98 96%
ATLX Atlas Lithium Corp -1291.8 -580% -134% -21% -4% 7% 6.64 35%
ATNI ATN International Inc -241.0 -121% -92% 73% 41% 23% 3.29 100%
ATNM Actinium Pharmaceuticals Inc -764.4 -327% -160% -1% -11% 2% 5.47 21%
ATO Atmos Energy 40.4 38% 2% 7% 9% 14% 1.24 99%
ATOM Atomera Inc -794.7 -338% -97% -27% 99% 74% 7.09 50%
ATON AlphaTON Capital Corp -329.2 0% -172% -107% -76% -33% 10.54 0%
ATR AptarGroup -24.7 10% -51% -23% 11% 12% 1.37 51%
ATRA Atara Biotherapeutics Inc -269.7 -39% -167% -40% -61% 8% 7.72 9%
ATRC Atricure -165.4 -13% -94% -38% -13% -14% 3.32 14%
ATRO Astronics 213.7 54% 364% 280% 48% 4% 3.26 97%
ATS ATS Corp -219.8 -76% -93% -3% 27% 17% 2.63 95%
ATUSF Altius Minerals 86.6 28% 62% 92% 23% 12% 2.25 96%
ATXG Addentax Group Corp -472.3 -93% -170% -87% -40% -13% 6.62 0%
ATXI Avenue Therapeutics Inc -296.2 0% -172% -91% -67% 60% 8.49 14%
AU Anglogold Ashanti ADR 226.2 42% 559% 285% 32% 21% 3.53 85%
AUB Atlantic Union Bankshares -118.2 -33% -60% -6% 9% -3% 2.50 78%
AUBN Auburn National Bancorp -0.4 12% -54% 5% 4% 3% 2.89 65%
AUDC AudioCodes -721.6 -283% -117% -39% -6% -2% 2.91 32%
AUGO Aura Minerals Inc 500.0 95% 1195% 470% 114% 42% 2.85 95%
AUID AuthID Inc -477.6 -117% -128% -79% 36% -1% 7.66 11%
AUPH Aurinia Pharmaceuticals Inc 40.8 15% 8% 71% -8% 0% 3.35 85%
AUR Aurora Innovation Inc 3.0 21% 129% -53% 12% 12% 6.19 16%
AURA Aura Biosciences Inc -576.0 -219% -111% -32% -2% 6% 4.14 47%
AUST Austin Gold Corp -627.3 -314% 35% 29% -3% -5% 6.77 39%
AUTL Autolus Therapeutics PLC -391.6 -142% -88% -24% 17% 20% 5.52 32%
AUUD Auddia Inc Ordinary Shares -1253.9 -468% -172% -102% -36% -20% 8.49 1%
AVA Avista -65.7 -2% -59% -11% 0% 0% 1.50 72%
AVAH Aveanna Healthcare Holdings Inc -58.9 -29% 436% 67% -21% -9% 5.12 57%
AVAL Grupo Aval Acciones y Valores SA A 61.9 60% 39% 39% 2% -12% 2.63 66%
AVAV Aerovironment 33.9 4% 92% 41% -13% -15% 3.48 39%
AVB AvalonBay Communities -201.2 -43% -61% -37% -1% 3% 1.52 16%
AVBH Avidbank Holdings Inc 48.0 59% -39% 6% 10% -2% 1.15 84%
AVD American Vanguard -403.6 -129% -150% -22% 1% -7% 3.60 52%
AVGO Broadcom Ltd 113.0 47% 395% 54% -18% -3% 3.12 65%
AVIFY Advanced Info Service PCL 102.6 53% 56% 37% 24% 9% 1.12 84%
AVIR Atea Pharmaceuticals Inc -15.6 -8% -33% 54% 60% 24% 3.47 100%
AVK Advent Convertible & Income 19.9 29% -27% 1% 1% 0% 1.09 93%
AVNS Avanos Medical Inc -643.6 -255% -123% -26% 19% 5% 2.57 72%
AVNT Avient Corp -126.9 -22% -73% -18% 31% 11% 2.36 79%
AVNW Aviat Networks Inc -459.0 -212% -96% 15% 25% 20% 3.06 100%
AVO Mission Produce Inc -54.0 -8% -52% -2% 17% 8% 2.24 90%
AVPT AvePoint Inc -12.9 1% 53% -44% -13% -4% 2.83 12%
AVT Avnet 32.4 38% -21% 16% 34% 2% 1.90 86%
AVTE Aerovate Therapeutics Inc -307.3 -138% -157% 37% 15% -15% 5.21 70%
AVTR Avantor Inc -289.6 -36% -137% -63% -27% -20% 2.65 0%
AVTX Avalo Therapeutics Inc 29.5 51% -170% 157% 9% 19% 9.21 90%
AVVID Aviva PLC Unsponsored ADR 69.1 57% 35% 21% 4% 2% 1.60 88%
AVX AVAX One Technology Ltd -861.5 -261% -173% -112% -61% 4% 9.07 1%
AVXL Anavex Life Sciences -371.6 -89% -121% -57% 30% 12% 5.06 19%
AVY Avery Dennison -95.8 -13% -63% -14% 9% 2% 1.53 77%
AWF AllianceBernstein Global High Incom 9.4 38% -43% -16% -2% 0% 0.71 67%
AWH ASPIRA WOMEN'S HEALTH INC 0.0 0% -167% 89% -18% -27% 8.58 46%
AWI Armstrong World Industries 49.5 58% 46% -5% -11% -7% 1.75 57%
AWK American Water Works Co Inc -296.1 -108% -68% -17% 4% 10% 1.62 55%
AWP abrdn Global Premier Property -72.7 -25% -30% -2% 6% 8% 1.47 93%
AWR American States Water -372.8 -143% -81% -16% 5% 9% 1.58 79%
AWX Avalon Holdings Corp -27.1 4% -80% -38% -3% -5% 3.49 7%
AX Axos Financial Inc 20.6 15% 17% 19% 8% -7% 2.85 76%
AXAHF AXA 21.6 37% -19% 4% 1% 0% 2.17 64%
AXAHY Asa SA 42.3 54% -2% 1% 0% 0% 1.60 60%
AXGN AxoGen Inc 41.8 11% 178% 34% 2% -15% 3.99 76%
AXIA AXIA Energia SA -11.8 -6% 28% 80% 1% 13% 2.48 90%
AXIL AXIL Brands Inc -124.1 0% -85% -34% 32% 2% 7.84 40%
AXL American Axle & Manufacturing Holdi -330.0 -141% -104% 11% -6% -22% 3.43 51%
AXON Axon Enterprise Inc 29.2 24% 120% -9% 6% 25% 2.77 36%
AXP American Express 0.8 8% 14% -11% -14% -10% 1.86 53%
AXR Amrep Corp 5.8 11% 24% -6% 16% 26% 3.25 75%
AXS Axis Capital Holdings 34.2 52% 12% -9% 1% 2% 1.74 78%
AXSM Axsome Therapeutics Inc 23.9 9% 84% 12% 9% -10% 3.08 73%
AXTA Axalta Coating Systems Ltd -142.4 -21% -67% -28% 4% -5% 1.98 55%
AXTI AXT 720.4 71% 703% 2407% 262% 88% 6.53 84%
AYI Acuity Brands 0.4 30% -28% -20% -25% -11% 2.10 35%
AYTU Aytu BioScience Inc -29.0 -14% -77% 89% 25% -3% 4.70 84%
AZ A2Z Smart Technologies Corp -155.9 -31% -26% -38% -22% -13% 6.77 5%
AZO AutoZone 27.0 55% -28% -11% -7% 1% 1.63 43%
AZTA Azenta Inc -680.2 -245% -116% -56% -29% -32% 3.15 3%
AZZ AZZ 97.7 75% 164% 29% 26% 6% 2.24 88%
B Barrick Mining Corp 129.8 28% 142% 153% 11% 3% 2.52 84%
BA Boeing -105.0 -49% -59% 16% 21% -1% 2.26 79%
BABA Alibaba Group Ltd ADS -5.0 9% -15% -14% -20% -19% 2.98 39%
BAC Bank of America 9.2 22% -13% -4% -6% -5% 1.79 70%
BACHY Bank of China Ltd 67.2 88% 24% -11% -3% -2% 1.51 65%
BACK IMAC Holdings Inc -328.5 0% -172% -107% 19% -23% 11.14 5%
BAER Bridger Aerospace Group-A -140.5 -43% -135% 18% 47% -11% 5.93 65%
BAESF BAE Systems 61.2 40% 107% 26% 42% 15% 2.34 100%
BAESY Bae Systems PLC 83.7 46% 124% 34% 41% 17% 1.88 100%
BAFN Bayfirst Finl Corp -564.8 -154% -137% -83% -20% -3% 3.12 3%
BAH Booz Allen Hamilton Holding Corp -30.5 21% -86% -39% -5% -8% 2.07 8%
BAK Braskem S A Sp ADR Pfd A -1302.3 -615% -117% 3% 48% 24% 4.15 97%
BALL Ball Corp -197.3 -90% -52% 9% 32% 16% 1.90 88%
BAM Brookfield Asset Managmt Ltd-A -7.2 25% -18% -30% -10% -6% 2.17 26%
BAMXF Bayerische Motoren Werke AG 5.6 34% -73% 0% -3% 1% 2.48 68%
BANC Banc of California Inc 2.5 14% -60% 10% -3% -9% 2.82 70%
BAND Bandwidth -282.7 -111% -67% -8% 16% 18% 3.95 73%
BANF BancFirstOK -15.9 9% -41% -20% 1% 2% 2.19 38%
BANR Banner -97.6 -2% -65% -25% -4% -1% 2.25 50%
BANX ArrowMark Financial Corp 14.3 38% -26% -13% -8% -8% 1.35 54%
BAOS Baosheng Media Group Holdings Ltd O -88.9 0% -118% -5% -18% -13% 9.20 30%
BAP Credicorp 139.9 70% 145% 78% 32% -6% 1.80 83%
BASFY BASF SE -114.4 -33% -45% -10% 2% -1% 2.11 62%
BATL Battalion Oil Corp -514.9 -257% 25% 1172% 1528% 529% 7.03 66%
BATRA ATLANTA BRAVES HLDGS INC -8.2 5% -28% -6% 12% 12% 1.54 85%
BATRK ATLANTA BRAVES HLDGS INC -64.2 -10% -41% -8% 10% 11% 1.58 73%
BAX Baxter International -792.8 -294% -121% -62% -1% -3% 2.22 9%
BAYRY Bayer AG 43.6 51% -99% 56% 22% -16% 2.42 60%
BAYZF Bayer AG 36.6 40% -101% 57% 23% -16% 2.46 62%
BB BlackBerry -254.0 -61% -83% -38% -13% -1% 3.72 29%
BBAI BigBearai Holdings Inc -780.9 -337% -51% -37% -38% -18% 8.42 22%
BBAR Banco BBVA Argentina SA 12.6 17% 181% -40% -12% -27% 4.81 45%
BBBY Bed Bath & Beyond -758.8 -298% -147% -33% -13% -15% 5.82 17%
BBCP Concrete Pumping Holdings Inc -220.2 -79% -70% -7% 12% 18% 2.95 77%
BBD Bank Bradesco SA -27.1 -14% 21% 96% 9% -3% 2.43 88%
BBDC Barings BDC Inc 25.9 64% -31% -24% -3% -3% 1.35 67%
BBDO Bank Bradesco ADR -29.2 -15% 17% 84% 10% -3% 2.94 86%
BBGI Beasley Broadcast Group-A -1040.5 -404% -154% -65% -1% -17% 5.84 2%
BBIO Bridgebio Pharma 95.4 30% 402% 84% -8% -13% 4.20 73%
BBLG Bone Biologics Corp -299.0 0% -172% -92% -19% -22% 8.18 3%
BBN BlackRock Taxable Municipal Bond Tr -4.7 27% -55% -13% -4% 4% 0.90 77%
BBSEY BB Seguridade Participacoes SA -58.8 -16% -40% 0% 10% 0% 1.72 80%
BBSI Barrett Business Services -40.3 6% -48% -44% -17% -22% 1.73 10%
BBT Beacon Financial Corp -107.6 -31% -57% -4% 18% 7% 2.28 83%
BBU Brookfield Business Partners LP 53.6 62% 31% 28% -1% -3% 2.73 85%
BBUC Brookfield Business Corp 17.0 16% 14% 12% -2% -4% 2.79 82%
BBVA Banco Bilbao Vizcaya Argentaria SA 117.1 77% 178% 56% 1% -13% 2.30 73%
BBVXF Banco Bilbao Vizcaya Argentaria 85.5 61% 145% 57% -5% -16% 2.89 69%
BBW Build-A-Bear Workshop 21.5 29% 63% -4% -16% -22% 3.30 30%
BBWI Bath & Body Works Inc -558.6 -192% -112% -50% 21% 6% 3.32 43%
BBY Best Buy -386.8 -132% -78% -36% -12% 4% 2.34 46%
BC Brunswick -98.6 -42% -77% 19% 17% -3% 2.67 78%
BCAB BioAtla Inc -747.3 -257% -167% -61% -79% 2% 8.23 3%
BCAL California Bancorp -174.0 -64% -63% -2% -6% 2% 1.71 79%
BCAT BlackRock Capital Allocation 68.1 60% 0% 7% 11% 8% 0.96 100%
BCBP BCB Bancorp -354.2 -111% -115% -28% 4% 4% 2.67 48%
BCC Boise Cascade Co -22.0 15% -45% -40% 4% -2% 2.65 35%
BCCLF Becle -563.4 -244% -133% 7% -14% 0% 4.95 29%
BCDA BioCardia Inc -918.0 -332% -169% -71% -15% 0% 6.68 5%
BCDRF Banco Santander 68.1 67% 164% 55% 5% -12% 4.19 75%
BCE BCE -522.0 -232% -98% 4% 13% 4% 1.42 100%
BCG BINAH CAP GROUP INC -611.5 -231% -153% -23% -14% -13% 5.66 42%
BCH Banco de Chile ADR 86.3 55% 73% 42% 2% -12% 1.82 66%
BCHG Grayscale Bitcoin Cash Trust -211.0 -105% 212% -10% -17% -8% 7.69 40%
BCIC BCP Investment Corp -308.3 -86% -92% -37% -13% -4% 1.42 33%
BCLI Brainstorm Cell Therapeutics Inc -461.9 -98% -171% -76% 6% 12% 7.61 15%
BCLYF Barclays 62.0 68% 117% 32% 0% -15% 3.48 66%
BCO Brink's 60.2 61% 20% 24% 9% -2% 2.05 78%
BCOW 1895 Bancorp of Wisconsin Inc 18.6 54% -60% -8% 1% 3% 1.79 87%
BCPC Balchem -13.6 3% -30% -11% 17% 8% 1.69 99%
BCRX Biocryst Pharmaceuticals -250.3 -82% -78% -17% 19% 31% 3.79 47%
BCS Barclays PLC ADR 93.4 78% 136% 33% 3% -13% 2.34 74%
BCSF Bain Capital Specialty Finance Inc -19.5 27% -34% -39% -7% 0% 1.45 8%
BCTX BriaCell Therapeutics Corp -812.1 -244% -172% -105% -59% -7% 7.48 1%
BCV Bancroft 85.3 79% -11% 18% 2% -3% 1.18 83%
BCX BlackRock Resources&Commodities Str 44.8 18% -12% 38% 23% 7% 1.35 86%
BCYC Bicycle Therapeutics PLC -610.8 -192% -148% -64% -21% -12% 4.16 7%
BDC Belden 32.3 45% -8% 12% 21% 14% 2.33 79%
BDJ BlackRock Enhanced Equity Dividend 44.8 55% -34% 1% 7% 1% 0.99 95%
BDL Flanigan'S Enterprises Inc 3.0 0% -46% 21% 13% 8% 3.04 90%
BDMD Baird Medical Investment Holdings L -1443.6 -652% -139% -24% 133% 236% 5.99 42%
BDN Brandywine Realty Trust -413.8 -132% -95% -44% -4% 14% 2.93 26%
BDORY Banco Do Brasil SA 3.1 11% -8% -3% 22% 7% 2.12 84%
BDOUY BDO Unibank Inc -148.8 -29% -48% -29% -3% -6% 2.33 17%
BDRAD Bombardier Inc-A 180.4 37% 244% 251% 25% 16% 3.10 96%
BDRBD Bombardier Inc-B 162.5 32% 243% 261% 28% 21% 3.60 98%
BDRX Biodexa Pharmaceuticals Plc ADR -343.5 0% -173% -114% -81% -43% 10.15 0%
BDSX Biodesix Inc -270.6 -80% -136% -10% 96% 50% 6.29 84%
BDTX Black Diamond Therapeutics Inc -125.2 -61% -40% 11% -36% -2% 6.54 33%
BDVSY Bidvest Group 20.3 47% -42% 0% 12% 3% 2.21 84%
BDX Becton Dickinson -331.9 -93% -96% -41% -11% -14% 1.54 14%
BE Bloom Energy Corp -16.5 -8% 590% 586% 66% 7% 5.91 94%
BEAM Beam Therapeutics Inc -743.6 -330% -102% -8% 13% 0% 5.02 62%
BEEM BEAM GLOBAL -851.0 -326% -163% -45% -14% 0% 5.80 8%
BEKE KE Holdings Inc -479.2 -176% -73% -39% 2% -6% 3.45 16%
BELFA Bel Fuse 145.8 61% 368% 128% 48% 0% 3.27 84%
BELFB Bel Fuse 167.6 64% 454% 143% 37% 1% 3.27 86%
BEN Franklin Resources -126.2 -63% -67% 24% 19% 0% 2.05 87%
BEP Brookfield Renewable Partners LP -104.6 -52% -36% 31% 9% 5% 2.36 88%
BEPC Brookfield Renewable Corp -24.3 -12% -5% 43% 1% 2% 2.48 85%
BETR Better Home & Finance Holding Co Or 30.2 7% -166% 171% -31% 18% 7.07 29%
BFA Brown Forman-A -353.7 -100% -129% -34% -8% -1% 1.99 12%
BFAM Bright Horizons Family Solutions In -214.6 -23% -76% -59% -28% -16% 2.25 14%
BFB Brown Forman-B -559.2 -201% -130% -36% -12% -2% 2.08 9%
BFC Bank First National Corp 39.8 39% 12% 19% 10% -2% 2.13 79%
BFH Bread Financial Holdings Inc 21.5 8% 22% 30% 10% 5% 3.18 85%
BFLY Butterfly Network Inc -30.8 -15% 9% 15% 43% 7% 7.22 75%
BFRG Bullfrog AI Holdings Inc -270.4 0% -150% -85% -37% 7% 7.93 9%
BFRI Biofrontera Inc -515.6 -188% -167% -14% 10% 2% 7.19 57%
BFS Saul Centers -208.8 -68% -64% -15% 15% 11% 1.70 97%
BFST Business First Bancshares 10.2 37% -30% -10% 5% -2% 2.42 74%
BG Bunge Limited -52.0 -26% -43% 48% 19% 3% 1.98 85%
BGB 2027 Blackstone Strategic Credit T 34.7 60% -38% -18% -5% -2% 0.67 58%
BGC BGC Group Inc Ordinary Shares Clas 18.3 38% 36% -17% 11% 6% 2.63 66%
BGH Barings Global Short Duration High 21.9 46% -27% -17% -4% -3% 0.83 57%
BGL BLUE GOLD LTD -21.3 91% -154% -101% -55% -30% 4.75 0%
BGLC BioNexus Gene Lab Corp -188.3 0% -168% -38% -42% -6% 12.14 7%
BGM Qilian International Holding Group -29.4 35% -160% -106% -86% -61% 7.46 1%
BGMS Bio Green Med Solution Inc -1018.0 -336% -172% -116% -43% -14% 9.39 0%
BGR BlackRock Energy & Resources 58.4 62% -18% 12% 15% 11% 1.31 93%
BGS B&G Foods Inc -501.0 -200% -109% -14% 31% 33% 3.40 73%
BGSF BGSF Inc -667.3 -334% -109% 64% 34% 7% 3.28 93%
BGSI Boyd Group Services Inc -29.4 0% -66% -16% -1% 3% 1.59 71%
BGX Blackstone Long-Short Credit Income 29.2 65% -45% -24% -7% -4% 0.73 35%
BGY BlackRock Enhanced Intern'l Dividen 25.3 42% -32% -6% 5% 0% 1.07 83%
BH Biglari Holdings Inc 35.3 26% 16% 34% 14% -10% 2.70 52%
BHA Biglari Holdings 68.8 44% 31% 49% 19% -7% 2.00 56%
BHAT BLUE HAT INTERACTIVE ENTERTAIN -1512.2 -582% -172% -117% -99% -94% 7.85 0%
BHB Bar Harbor Bankshares -8.7 11% -46% -11% 9% -2% 2.53 76%
BHC Bausch Health Companies Inc -705.9 -277% -112% -39% -21% -1% 3.46 33%
BHE Benchmark Electronics 71.7 56% 84% 37% 27% 8% 2.37 89%
BHF Brighthouse Financial -477.6 -204% -66% -13% -8% -3% 2.58 78%
BHKLY BOC Hong Kong Ltd 101.9 85% 18% 40% 10% 4% 1.58 82%
BHM Bluerock Homes Trust Inc -150.8 -28% -111% -10% 25% 26% 2.94 52%
BHP BHP ADR -62.8 -31% -22% 49% 41% 14% 2.05 89%
BHPLF BHP Billiton -82.6 -41% -23% 54% 53% 16% 4.55 92%
BHRB Burke & Herbert Financial Services -202.5 -65% -76% -10% 0% 0% 2.46 81%
BHST BioHarvest Sciences Inc -168.7 -18% -104% -32% -33% -9% 11.20 0%
BHVN Biohaven LTD -36.5 7% -103% -84% 13% -8% 5.08 12%
BIAF bioAffinity Technologies Inc -30.5 19% -170% -109% -26% -17% 8.59 1%
BIDU Baidu 22.8 53% -87% 24% -1% -18% 3.19 49%
BIIB Biogen 20.0 48% -102% 17% 6% 8% 2.02 87%
BILI Bilibili 6.8 9% -35% 21% 3% -16% 4.66 60%
BILL Bill com Holdings -829.7 -342% -121% -33% -15% 6% 3.74 39%
BIO Bio Rad Labs-A -459.8 -186% -114% -6% -12% -3% 2.48 55%
BIOX Bioceres Crop Solutions Corp -727.3 -204% -168% -104% -68% -36% 4.01 2%
BIP Brookfield Infrastructure Partners -93.1 -47% -37% 15% 10% 9% 2.03 95%
BIPC Brookfield Infrastructure-A -31.2 -12% -46% 12% 9% 2% 2.16 91%
BIRD Allbirds -771.7 -259% -167% -71% -46% -26% 6.18 1%
BIREF Birchcliff Energy 18.6 36% -72% 23% -9% 0% 2.75 72%
BIT BlackRock Multi-Sector Income -26.1 15% -55% -19% 1% 1% 0.67 58%
BITF Bitfarms Ltd -399.7 -200% 63% 86% -33% 1% 7.23 27%
BITQ Bitwise Crypto Industry Innovators -10.1 -5% 241% 29% -8% 4% 4.81 53%
BITW Bitwise 10 Crypto Index Fund 45.0 15% 377% -24% -15% -5% 4.20 14%
BIVI BioVie Inc -355.8 -15% -172% -105% -4% 18% 7.72 3%
BJ BJs Wholesale Club 10.4 44% -35% -17% 12% 10% 1.97 38%
BJRI BJ'S Restaurants -229.1 -71% -65% -22% -6% -17% 2.96 36%
BK Bank of New York Mellon 79.4 57% 80% 19% 6% -1% 1.60 83%
BKD Brookdale Senior Living 128.8 28% 281% 150% 35% -2% 3.21 85%
BKE Buckle -49.2 -25% -2% 31% -2% 12% 2.26 83%
BKH Black Hills 11.3 15% -34% 10% 5% 7% 1.50 100%
BKKT Bakkt Holdings Inc -179.6 0% -144% -42% -27% -15% 9.61 8%
BKNG Booking Holdings 0.7 32% -1% -31% -14% -15% 1.95 20%
BKR Baker Hughes Co 56.1 49% 38% 25% 21% 10% 2.10 86%
BKRKY PT Bank Rakyat Indonesia Persero Tb -285.8 -104% -86% -10% 2% -3% 2.14 33%
BKSC Bank of South Carolina -9.9 6% -62% 0% -1% -2% 1.91 68%
BKSY BlackSky Technology Inc -320.7 -160% -2% 71% 46% 15% 6.43 71%
BKT BlackRock Income Trust -7.7 28% -58% -15% 2% 2% 0.72 74%
BKTI BK Technologies Corp -0.1 0% 367% 200% 38% 17% 4.80 99%
BKU BankUnited Inc -29.9 -15% -21% 14% 6% 0% 2.90 84%
BKYI BIO-key International Inc -270.9 -31% -167% -49% -5% 6% 7.19 22%
BL BLACKLINE INC -599.9 -220% -119% -40% -35% -20% 2.73 17%
BLBD Blue Bird Corp -10.8 -5% 123% 61% 14% 16% 3.50 87%
BLCO Bausch & Lomb Corp -11.4 7% -71% -4% 8% 9% 2.57 93%
BLD TopBuild Corp 46.1 52% 29% 25% -6% -8% 2.77 53%
BLDP Ballard Power Systems -66.9 -33% -134% 75% -21% -5% 4.60 38%
BLDR Builders Firstsource -21.8 19% -55% -46% -16% -14% 3.17 2%
BLFS BioLife Solutions -274.1 -76% -84% -33% -19% -6% 4.00 6%
BLFY Blue Foundry Bancorp -214.8 -107% -61% 20% 17% 3% 2.42 86%
BLK Blackrock -0.7 8% -7% -7% 1% -5% 1.63 62%
BLKB Blackbaud -39.2 10% -85% -41% -14% -3% 2.04 14%
BLMN Bloomin Brands Inc -316.4 -75% -144% -35% -5% 12% 3.73 19%
BLND Blend Labs Inc -17.5 23% -64% -60% -46% -27% 5.62 4%
BLNE BEELINE HOLDINGS INC -266.7 0% -167% -78% 45% -13% 9.00 30%
BLRX Biolinerx Ltd Sponsored Ads -244.7 -40% -160% -29% -17% -5% 5.94 11%
BLTE Belite Bio Inc 163.9 78% 381% 194% 15% 4% 3.86 91%
BLX Banco Latinoamericano de Comercio E 106.7 81% 185% 11% 11% 3% 1.88 92%
BLZE Backblaze Inc -488.1 -156% -104% -54% -17% -13% 4.36 1%
BMA Banco Macro SA 29.5 13% 274% -24% -12% -24% 4.48 54%
BMBL Bumble Inc -1441.1 -612% -160% -56% -19% -8% 3.95 5%
BMBLF Brambles Ltd 87.6 103% 59% 29% 5% 13% 2.47 95%
BME BlackRock Health Sciences -122.0 -40% -52% -3% 4% 2% 0.93 96%
BMEA Biomea Fusion Inc -473.0 -118% -161% -65% 37% 28% 7.02 22%
BMEZ BlackRock Health Sciences Term -8.3 14% -41% -9% -2% 0% 1.17 81%
BMI Badger Meter -36.3 4% -44% -46% -15% 0% 2.12 5%
BMM Blue Moon Metals Inc -268.0 -134% 432% 125% 113% 44% 4.92 97%
BMN 2037 BlackRock Municipal Target Te 56.1 71% -49% -7% 9% 5% 0.69 91%
BMNR BitMine Immersion Technologies Inc 0.0 0% -48% 274% -28% -6% 15.52 14%
BMO Bank of Montreal 53.9 33% 2% 32% 18% 7% 1.42 96%
BMRC Bank Of Marin Bancorp -17.3 1% -73% -9% -7% -6% 2.70 72%
BMRN Biomarin Pharmaceutical -718.3 -289% -114% -32% 9% 6% 2.07 42%
BMY Bristol-Myers Squibb 20.0 59% -70% -8% 27% 13% 1.79 100%
BN Brookfield Corp-A 18.5 24% 24% -2% -8% -6% 2.20 69%
BNAI Brand Engagement Network Inc -806.9 -403% -127% 1217% 1197% 102% 8.89 74%
BNBX Applied DNA Sciences Inc -348.7 0% -173% -117% -78% -52% 8.74 0%
BNC CEA Industries Inc -281.9 -21% -141% -73% -44% -22% 7.06 0%
BNCDY Mediolanum 221.5 75% 99% 72% -5% -12% 0.62 74%
BNED Barnes & Noble Education Inc -151.5 0% -168% -20% -3% -4% 7.09 46%
BNGO Bionano Genomics Inc -739.4 -224% -172% -89% -34% -8% 6.18 2%
BNKK Bonk Inc -550.9 -127% -153% -97% -43% -13% 9.43 3%
BNL Broadstone Net Lease Inc 18.6 36% -44% 3% 9% 5% 1.61 84%
BNPQF BNP Paribas 24.2 32% -15% 21% 17% -4% 2.97 72%
BNPQY BNP Paribas SA 53.8 49% 14% 29% 21% -3% 2.09 80%
BNR Burning Rock Biotech Ltd 77.7 81% -101% 248% 15% -43% 6.61 51%
BNRG BRENMILLER ENERGY LTD -344.7 0% -172% -115% -85% -57% 8.00 0%
BNS Bank Nova Scotia ADR 89.0 62% -4% 42% 9% 0% 1.30 90%
BNT Brookfield Wealth Solutions Ltd-A 90.1 42% 132% 61% -5% -4% 2.28 82%
BNTC Benitec Biopharma Inc 11.2 67% 1% -30% -12% -11% 5.80 9%
BNTGY Brenntag AG -233.2 -52% -94% -34% -6% -7% 1.94 7%
BNTX BioNTech SE -384.0 -137% -93% -24% 6% -3% 2.90 51%
BNZI Banzai International Inc Ordinary S -1899.7 -784% -172% -109% -15% -2% 7.88 1%
BOC Boston Omaha Corp -711.6 -291% -119% -25% 1% 3% 2.13 35%
BODI Beachbody Co Inc -13.4 12% -149% -12% -17% -31% 6.27 55%
BOE BlackRock Enhanced Global Dividend 79.2 71% -10% 9% 13% 0% 0.92 91%
BOH Bank of Hawaii -123.5 -40% -52% -4% 19% 6% 2.52 95%
BOIVF Bollore -190.2 -41% -76% -29% -4% -5% 2.04 10%
BOKF BOK Financial 23.3 45% -40% 4% 12% 1% 2.06 87%
BOLT Bolt Biotherapeutics Inc -1100.5 -431% -158% -67% -11% -23% 4.42 3%
BON Bon Natural Life Ltd -902.2 -283% -172% -111% -11% -3% 6.90 1%
BOOM DMC Global -899.7 -352% -151% -48% -6% -32% 3.91 5%
BOOT Boot Barn Holdings 35.6 8% 70% 43% -6% 2% 3.20 80%
BORR Borr Drilling Ltd 57.5 43% -83% 135% 69% 26% 4.23 94%
BOS Bostoncoin Diversified Crypto -5.5 -3% -99% 42% 49% 27% 3.24 99%
BOSC BOS Better Online Solutions Ltd 68.7 107% 29% 17% 12% 2% 2.88 49%
BOTJ Bank of the James Financial Group I 60.8 60% -6% 39% 10% 1% 2.19 87%
BOX BOX INC CL A -438.7 -151% -93% -37% -11% 3% 1.88 27%
BP BP Plc ADR 1.7 10% -59% 12% 7% 6% 1.78 96%
BPAQF BP -1.2 6% -64% 13% 9% 6% 2.51 100%
BPOP Popular 50.6 43% 36% 24% 17% 1% 2.11 83%
BPRN Princeton Bancorp Inc -187.8 -68% -63% -5% 1% -6% 2.20 70%
BPTH Bio-Path Holdings Inc -689.2 -203% -172% -84% -15% -13% 8.71 6%
BR Broadridge Financial Solutions 3.5 54% -31% -39% -17% -3% 1.41 22%
BRAG Bragg Gaming Group Inc -624.5 -185% -134% -82% -29% -26% 3.75 0%
BRBR Bellring Brands Inc -57.0 32% -116% -93% -44% -27% 2.51 0%
BRBS Blue Ridge Bankshares Inc 12.7 71% -137% 2% -9% -3% 3.24 71%
BRC Brady-A 51.0 50% 3% 14% 16% 6% 1.58 86%
BRCC BRC INC-A -954.8 -337% -161% -87% -38% -7% 4.76 8%
BRDCY Bridgestone Corp -15.8 4% -57% -5% -5% 0% 1.60 61%
BRFH Barfresh Food Group Inc -1011.2 -484% 69% -45% -23% -15% 7.17 18%
BRID Bridgford Foods -1000.7 -413% -116% -49% -7% -4% 2.44 4%
BRKA Berkshire Hathaway 3.7 31% -14% -22% -5% 2% 1.16 33%
BRKB Berkshire Hathaway-B 6.0 32% -12% -22% -5% 2% 1.12 35%
BRKR Bruker -275.1 -64% -116% -35% -20% -10% 3.02 37%
BRLS Borealis Foods Inc Ordinary Shares -696.0 -205% -157% -90% -11% 66% 5.38 16%
BRLT Brilliant Earth Group Inc -424.3 -185% -136% 18% -8% 7% 4.73 28%
BRN BARNWELL INDUSTRIES INC -468.1 -165% -123% -29% 1% 19% 3.72 26%
BRNS Barinthus Biotherapeutics PLC -210.9 0% -150% -56% -22% -15% 6.25 1%
BRO Brown & Brown -32.8 30% -42% -57% -12% 3% 1.49 9%
BROS Dutch Bros Inc -137.7 -16% -12% -48% -12% -4% 3.50 19%
BRQS Borqs Technologies -242.3 0% -169% -65% -10% -8% 13.10 6%
BRSL Brightstar Lottery PLC -123.6 -11% -99% -18% -14% -4% 2.30 36%
BRSP BrightSpire Capital Inc -326.6 -135% -56% -10% 7% 1% 2.25 91%
BRT BRT Apartments -593.4 -236% -91% -30% 1% 3% 2.01 27%
BRTX BioRestorative Therapies Inc -683.9 -184% -165% -103% -80% -79% 6.00 1%
BRW Saba Capital Income & Opportunities 11.9 49% -49% -21% -4% 1% 0.90 27%
BRX Brixmor Property Group Inc -72.4 -27% -18% -3% 19% 17% 1.62 99%
BRZE Braze Inc -472.5 -137% -110% -62% -32% -5% 3.59 15%
BSAC Banco Santander Chile ADR 71.3 51% 53% 36% 5% -10% 1.94 68%
BSBK Bogota Financial Corp -197.4 -54% -100% -11% -3% -1% 2.02 56%
BSBR Banco Santander Brasil SA ADR -79.0 -40% -34% 40% 1% -8% 2.33 73%
BSET Bassett Furniture Industries -275.9 -95% -79% -17% -3% -2% 2.50 28%
BSL Blackstone Senior Floating Rate Ter 33.3 61% -44% -19% -5% -2% 0.59 7%
BSM Black Stone Minerals LP 0.9 18% -42% -3% 7% 8% 1.55 97%
BSRR Sierra Bancorp 35.3 49% 22% 4% 13% -2% 2.44 83%
BST BlackRock Science & Technology Trus 31.4 30% -4% 9% 2% 0% 1.40 88%
BSTZ BlackRock Science & Technology Term 32.1 26% 6% 13% 4% 1% 1.59 90%
BSVN Bank7 Corp -51.7 -7% -19% -12% 1% -6% 2.35 52%
BSX Boston Scientific -13.4 38% -18% -49% -29% -20% 1.47 0%
BSY Bentley Systems Inc -208.5 -54% -72% -26% -8% 15% 2.13 26%
BTAFF British American Tobacco 66.0 85% 20% 48% 7% 4% 3.26 93%
BTAI BioXcel Therapeutics -663.7 -201% -172% -73% -21% 6% 8.03 8%
BTBT BIT DIGITAL INC -372.5 -143% -21% -37% -18% -3% 7.47 13%
BTCS BTCS Inc -66.5 0% -40% -20% -37% -11% 7.63 10%
BTCT BTC Digital Ltd -266.2 0% -142% -86% -26% 2% 7.95 8%
BTDR Bitdeer Technologies Group Ordinary -730.7 -285% -98% -48% -40% -38% 8.44 4%
BTE Baytex Energy 47.2 54% -75% 79% 23% 20% 3.60 100%
BTG B2Gold Corp 48.3 8% 11% 91% 19% 13% 3.26 80%
BTGOF BT Group 13.8 6% -7% 25% 19% 12% 3.18 86%
BTI British American Tobacco PLC ADR 130.6 101% 29% 46% 6% 2% 1.41 92%
BTLCY British Land -126.1 -49% -56% 5% -1% -6% 2.10 67%
BTMD Biote Corpclass A -457.9 -119% -128% -68% -18% -6% 4.47 2%
BTOG Bit Origin Ltd -1943.1 -813% -172% -101% -81% 14% 10.44 2%
BTQ BTQ Technologies Corp 0.0 0% 8202% 47% -50% 6% 11.26 17%
BTT 2030 BlackRock Municipal Target Te 28.0 48% -56% -8% 2% 2% 0.51 98%
BTTC Black Titan Corp -612.6 -171% -165% -81% -50% -18% 7.07 0%
BTU Peabody Energy -27.1 -14% -34% 159% 33% 6% 3.38 89%
BTX BlackRock Technology & Private Eqty -131.4 -40% -48% -10% -1% 2% 1.70 80%
BTZ Blackrock Credit Allocation Income 2.3 27% -42% -11% -2% 1% 0.74 83%
BUD Anheuser-Busch InBev SA ADR -2.7 1% -42% 10% 21% 6% 1.54 78%
BUDFF Anheuser-Busch InBev SA/NV -12.5 -1% -46% 10% 20% 6% 1.90 78%
BUI BlackRock Utility Infrastruct&Power 84.5 55% 2% 33% 21% 13% 1.11 100%
BULL WEBULL CORP -20.4 64% -114% -65% -35% -9% 2.87 1%
BUR Burford Capital Ltd -443.9 -142% -67% -58% -12% -13% 2.76 1%
BURBY Burberry Group PLC -187.4 -40% -119% -14% -7% -1% 3.06 63%
BURL BURLINGTON STORES INC COM -24.3 -11% -34% 10% 23% 2% 2.71 83%
BUSE First Busey Corp Class A -2.0 20% -52% -6% 9% 2% 2.14 81%
BV Brightview Holdings 5.1 11% 35% -13% 4% -1% 2.62 32%
BVN Compaa de Minas Buenaventura SAA 195.9 47% 379% 198% 55% 17% 2.79 86%
BVS Bioventus Inc 38.7 13% 408% -34% 11% 5% 4.95 50%
BW Babcock & Wilcox Enterprises -137.8 -69% 11% 1028% 92% 19% 8.00 100%
BWA BorgWarner -5.6 -3% -62% 68% 23% 12% 2.28 68%
BWAY Brainsway Ltd 225.3 62% 1145% 149% 46% 9% 4.27 94%
BWB Bridgewater Bancshares 20.0 40% -46% 11% 4% -4% 2.56 80%
BWEN BROADWIND INC -425.0 -213% -117% 47% -17% -16% 5.25 41%
BWFG Bankwell Financial Group Inc 44.3 32% 0% 40% 4% 0% 2.27 87%
BWG BrandywineGLOBAL Global Income Op 18.8 39% -31% -11% -1% -2% 0.87 73%
BWIN Baldwin Insurance Group Inc -35.5 16% -95% -61% -22% 9% 3.31 19%
BWLP BW LPG Ltd 61.3 30% 106% 67% 50% 20% 3.32 96%
BWMN Bowman Consulting Group Ltd 16.9 4% -54% 50% -8% -3% 3.29 56%
BWMX Betterware de Mexico SAB de CV 54.6 45% 63% 54% 18% -5% 3.40 84%
BWXT BWX Technologies Inc 139.9 76% 171% 87% 17% 1% 2.14 90%
BX Blackstone Group -124.4 -8% -33% -43% -22% -17% 2.48 4%
BXBLY Brambles Ltd 82.2 70% 49% 20% 12% 14% 1.58 96%
BXC BlueLinx Holdings -292.3 -79% -96% -35% 2% -7% 3.33 32%
BXMT Blackstone MTG -89.0 -18% -45% -11% 2% 1% 2.08 83%
BXP BXP Inc -272.8 -80% -75% -32% -22% -9% 2.57 5%
BXSL Blackstone Secured Lending Fund 8.7 61% -44% -36% -10% -1% 1.31 12%
BXSY Bexil Investment Trust 33.9 22% -6% 18% 8% 0% 1.24 91%
BY Byline Bancorp 4.6 22% -37% -3% 12% -1% 2.10 85%
BYD Boyd Gaming -108.6 -35% -40% -6% -1% -1% 1.88 75%
BYDDF BYD Co 11.0 50% -9% -26% -4% 7% 2.95 15%
BYDDY BYD Co 1.6 53% -36% -39% -4% 6% 2.65 8%
BYFC Broadway Financial Corp -436.5 -175% -97% -11% 25% -4% 3.65 75%
BYND Beyond Meat -295.8 0% -168% -92% -42% 10% 6.46 7%
BYRN Byrna Technologies Inc -172.0 -18% -9% -65% -31% -6% 5.35 4%
BYSI BeyondSpring -742.0 -314% -93% -26% -24% 0% 5.92 19%
BZ Kanzhun Ltd -228.7 -69% -92% -15% -30% -14% 3.64 21%
BZAI BLAIZE HLDGS INC -654.0 -195% -161% -78% -50% -3% 3.92 2%
BZFD BuzzFeed Inc -1264.0 -501% -160% -78% -18% -8% 6.11 3%
BZH Beazer Homes USA -29.2 -2% -14% -8% 3% 7% 3.37 57%
BZLFY Bunzl PLC -231.7 -46% -88% -40% 0% 6% 1.53 19%
BZUN Baozun Inc ADR -544.2 -188% -134% -39% -18% -8% 4.74 8%
C Citigroup 75.0 59% 72% 31% 8% -3% 2.02 81%
CAAP Corporacion America Airports 71.9 65% 109% 31% 2% -8% 2.67 75%
CAAS China Automotive Systems -224.4 -57% -104% -20% 1% -5% 3.37 39%
CABA Cabaletta Bio Inc -47.7 -24% -134% 88% 40% 39% 6.98 93%
CABGY Carlsberg AS -98.9 -31% -60% 2% 15% 7% 1.65 65%
CABO Cable One Inc -1221.6 -489% -155% -70% -6% 33% 3.80 20%
CAC Camden National 23.1 57% -42% -5% 16% -2% 2.34 77%
CACC Credit Acceptance -248.1 -89% -62% -15% 6% -3% 2.52 60%
CACI CACI International-A 106.7 65% 39% 72% 1% 4% 1.81 89%
CADL Candel Therapeutics Inc -428.4 -185% 77% -55% 10% -14% 7.42 12%
CAE CAE 24.2 36% -36% 14% 16% -2% 2.10 76%
CAF Morgan Stanley China-A 48.3 46% -43% 25% 12% 0% 1.37 90%
CAG Conagra Brands -457.2 -152% -112% -40% 8% 4% 1.67 31%
CAH Cardinal Health 116.9 50% 132% 58% 7% 3% 1.59 94%
CAIXY CaixaBank 132.8 88% 188% 61% 3% -11% 2.19 78%
CAJ Canon ADR -104.3 -4% -42% -34% -3% -5% 1.74 22%
CAJFF Canon 190.3 37% 314% 197% 0% -9% 2.56 78%
CAKE Cheesecake Factory -22.7 -11% 13% 11% 35% 11% 2.58 86%
CAL Caleres Inc -175.7 -2% -125% -44% -8% -8% 3.65 24%
CALC CalciMedica Inc -1069.2 -390% -165% -89% -86% -6% 7.32 2%
CALM Cal-Maine Foods 27.0 50% 13% -11% 6% 7% 2.24 40%
CALX Calix Inc -62.3 -31% -65% 34% -2% 16% 2.81 64%
CALY Callaway Golf Co -132.9 -66% -111% 113% 15% 2% 3.65 86%
CAMT Camtek 128.5 48% 460% 123% 57% 19% 4.05 96%
CAN Canaan Inc -2205.5 -980% -153% -72% -44% -11% 8.05 7%
CANF Can-Fite Biopharma Ltd -433.6 -63% -161% -100% -24% 47% 4.98 7%
CAPL CrossAmerica Partners LP -8.0 20% -37% -18% 4% -2% 1.68 59%
CAPR Capricor Therapeutics Inc -232.6 -116% 393% 69% 283% 12% 6.81 82%
CAPS Capstone Holding Corp -2216.1 -949% -171% -102% -32% -2% 3.72 2%
CAPT Captivision Inc -1236.4 -530% -168% -32% -47% -25% 8.09 7%
CAR Avis Budget Group -306.9 -123% -127% 12% -27% -16% 3.77 26%
CARE Carter Bank & Trust -142.4 -59% -51% 5% 12% -2% 2.19 86%
CARG CarGurus -102.5 -47% 24% -12% -7% 5% 2.53 60%
CARR Carrier Global Corp 7.2 41% -31% -20% 12% 3% 2.23 37%
CARS Carscom -687.9 -249% -129% -52% -30% -25% 2.88 5%
CARV Carver Bancorp Inc -1735.2 -798% -138% -24% -8% -4% 5.06 13%
CASH Pathward Financial Inc 10.3 11% 7% 3% 25% 2% 2.11 85%
CASI Casi Pharmaceuticals Inc -563.9 -120% -161% -108% -80% -77% 7.07 0%
CASS Cass Information Systems -176.4 -55% -69% -11% 8% 1% 1.94 92%
CASY Casey's General Stores 148.1 99% 157% 51% 19% 11% 1.74 99%
CAT Caterpillar 148.8 73% 148% 106% 28% 7% 2.07 91%
CATO Cato-A -1269.1 -579% -132% -11% -10% 4% 3.62 35%
CATX Perspective Therapeutics Inc -154.6 -77% -30% 97% 140% 6% 7.01 90%
CATY Cathay General Bancorp -143.5 -49% -46% -8% 2% -2% 2.22 79%
CB Chubb Ltd 30.6 39% -8% -1% 13% 9% 1.36 89%
CBAN Colony Bankcorp 58.4 81% 3% 5% 16% 2% 1.96 87%
CBAT CBAK ENERGY TECHNOLOGY INC -342.6 -158% -70% 9% 15% 33% 4.40 68%
CBC Central Bancompany Inc 252.4 99% 43% 77% 5% 1% 0.51 95%
CBFV CB Financial Services 37.6 44% -10% 14% 0% -1% 1.91 85%
CBIO CRESCENT BIOPHARMA INC -681.0 -212% -165% -73% -20% 19% 6.23 13%
CBL CBL & Associates Properties Inc 44.0 42% 14% 16% 13% 6% 1.84 100%
CBNK Capital Bancorp Inc -77.5 -17% -19% -15% 7% -2% 2.03 48%
CBOE CBOE Global Markets 97.7 77% 72% 24% 17% 16% 1.56 96%
CBPSD Wellington Core Bond Plus Series 4 -156.8 -38% -70% -17% -1% 2% 0.43 73%
CBRE CBRE Group 2.1 22% -6% -17% -12% -15% 2.00 48%
CBRL Cracker Barrel Old Country Store -615.7 -220% -140% -41% 7% -1% 3.66 13%
CBSH Commerce Bancshares -120.8 -4% -76% -31% 0% 0% 1.80 26%
CBT Cabot -104.4 -4% -72% -24% 18% 5% 2.15 64%
CBU Community Bank System -12.3 19% -61% -19% 5% -3% 2.33 67%
CBUS Cibus Inc 5.1 15% -157% 60% 126% 62% 7.71 84%
CBZ CBIZ -70.1 7% -116% -80% -42% -28% 2.21 3%
CC Chemours Co -997.3 -473% -115% 12% 36% 15% 3.87 70%
CCAP Crescent Capital BDC Inc -8.4 41% -51% -34% -4% -5% 1.49 21%
CCB Coastal Financial Corp -12.3 19% -4% -41% -34% -21% 2.89 5%
CCBG Capital City Bank Group 10.6 25% -37% 4% 3% 3% 2.14 80%
CCC CCC Intelligent Solutions Holdings -513.1 -163% -106% -58% -19% -19% 2.05 21%
CCCC C4 Therapeutics Inc -53.8 0% -115% 11% 21% 66% 6.95 81%
CCD Calamos Dynamic Convertible & Incom 17.3 36% -33% -5% 9% 3% 1.23 93%
CCEC Capital Clean Energy Carriers Corp 44.5 61% 5% 13% 14% 9% 2.40 88%
CCEP Coca-Cola European Partners PLC 72.8 70% 31% 6% 12% 15% 1.37 81%
CCI Crown Castle International Corp -500.9 -203% -91% -18% 3% 9% 1.85 39%
CCIF Carlyle Credit Income -238.4 -18% -112% -64% -33% -15% 1.30 0%
CCJ Cameco 137.3 27% 263% 176% 37% 2% 3.23 86%
CCK Crown Holdings -171.3 -82% -40% 10% 13% 5% 1.77 87%
CCL Carnival 18.1 6% 87% 4% 8% -12% 3.30 67%
CCLD CareCloud Inc -709.6 -288% -105% -32% -14% -1% 6.46 54%
CCM Concord Medical Services -182.6 0% -146% -43% -2% 0% 8.12 8%
CCNE CNB Financial Corporation 12.2 32% -40% 1% 9% 3% 2.21 87%
CCOI Cogent Communications Group -367.2 -57% -130% -83% 18% -5% 2.97 13%
CCRN Cross Country Healthcare -810.9 -295% -139% -64% -12% 0% 3.00 17%
CCS Century Communities Inc -90.3 -5% -59% -20% 0% 5% 2.76 60%
CCSI Consensus Cloud Solutions Inc -473.3 -209% -98% 5% 41% 43% 3.85 100%
CCU United Breweries -127.1 -13% -83% -23% -6% -10% 2.07 35%
CDE Coeur Mining 202.0 57% 619% 345% 39% 18% 5.02 85%
CDEVY City Developments Ltd 126.6 95% -39% 80% 28% -1% 1.55 85%
CDIO Cardio Diagnostics-Inc -20.6 9% -159% -76% 81% 264% 10.62 29%
CDLX Cardlytics -565.3 -150% -156% -81% -25% -3% 8.42 3%
CDNA CareDx -133.7 -25% -43% -27% 10% -5% 5.07 78%
CDNS Cadence Design Systems 3.5 2% -14% 9% -2% 7% 2.37 52%
CDP COPT Defense Properties -5.4 -3% -27% 10% 7% 8% 1.63 100%
CDRE Cadre Holdings Inc 41.2 31% 44% 24% 7% 13% 2.41 97%
CDRO Codere Online Luxembourg SA 15.0 21% 76% -12% 10% 2% 3.62 78%
CDT Conduit Pharmaceuticals Inc -1674.3 -663% -173% -117% -57% -35% 9.19 0%
CDW CDW Corp -206.6 -23% -108% -44% -13% 0% 1.92 5%
CDXS Codexis Inc -889.9 -317% -149% -78% -35% -23% 5.88 4%
CDZI Cadiz 2.7 1% -39% 19% 6% 6% 4.53 71%
CE Celanese -175.6 -37% -127% -8% 22% 13% 3.04 58%
CECO CECO Environmental Corp 95.9 36% 205% 111% 6% -17% 3.49 61%
CEE The Central and Eastern Europe 78.3 79% 52% 18% 15% 1% 1.93 89%
CEF Sprott Physical Gold and Silver Tru 170.2 100% 141% 83% 25% 12% 1.70 81%
CEG Constellation Energy Corp 65.8 33% 248% 22% -11% 21% 3.19 65%
CEL Cellcom Israel Ltd 84.8 82% 145% 75% 17% 16% 3.84 100%
CELC Celcuity 549.7 60% 792% 1143% 13% 2% 4.34 95%
CELH Celsius Holdings Inc 32.7 28% -21% 60% 6% -10% 3.95 51%
CELU Celularity Inc Ordinary Shares - Cl -251.3 -64% -154% -11% -39% 1% 7.93 6%
CELZ Creative Medical Technology Holding -626.6 -184% -142% -82% -27% -9% 6.22 2%
CENT Central Garden & Pet -530.4 -232% -77% -7% 13% 13% 2.15 78%
CENTA Central Garden & Pet -75.7 -38% 181% -9% 9% 9% 2.55 67%
CENX Century Aluminum -24.0 -12% 301% 179% 80% 14% 4.70 98%
CEPU Central Puerto -7.7 -4% 111% 7% -9% -7% 4.00 71%
CERS Cerus 1.2 6% -94% 29% 24% -2% 5.21 68%
CERT Certara Inc -500.0 -150% -132% -56% -18% -10% 3.48 11%
CET Central Securities Corporation 57.0 51% 1% 2% 4% 2% 0.87 96%
CETX Cemtrex Inc -341.3 0% -173% -113% -67% -30% 8.65 0%
CETY Clean Energy Technologies Inc -326.6 0% -171% -106% -29% 43% 7.61 5%
CEV Eaton Vance CA Municipal Income -20.8 7% -47% -9% 3% 5% 0.73 92%
CEVA Ceva -415.9 -119% -108% -53% -4% -1% 3.62 13%
CF CF Industries Holdings -85.8 -43% -41% 20% 31% 19% 2.28 96%
CFBK CF Bankshares Inc 30.5 41% -21% 14% 27% 1% 2.12 78%
CFFI C&F Financial -66.1 -2% -33% -20% 8% -1% 2.85 76%
CFFN Capitol Federal Financial -132.2 -53% -69% 10% 10% -2% 2.40 83%
CFG Citizens Financial Group Inc 24.5 23% -7% 21% 10% -5% 2.44 77%
CFLT Confluent Inc -151.0 -46% -45% -14% 40% 2% 3.90 91%
CFR Cullen/Frost Bankers -9.4 14% -56% -11% 12% 3% 2.16 85%
CFRUY Compagnie Financiere Richemont AG -97.0 -10% -41% -25% -15% -3% 2.16 54%
CG Carlyle Group LP -1.8 4% -4% -6% -3% -11% 2.72 54%
CGAU Centerra Gold Inc 144.1 21% 165% 232% 45% 16% 3.27 89%
CGBD Carlyle Secured Lending Inc -29.9 32% -71% -46% -9% -6% 1.50 3%
CGC Canopy Growth -172.5 0% -168% -30% -5% 1% 8.10 23%
CGEM Cullinan Management Inc -118.4 -59% -26% 86% 51% 30% 4.61 100%
CGEMY Capgemini SE -486.3 -174% -102% -35% -22% -20% 2.17 10%
CGEN Compugen -753.7 -377% 109% 1% 41% 20% 5.48 81%
CGNT Cognyte Software Ltd -59.1 -20% 51% -27% 0% -9% 3.32 37%
CGNX Cognex -254.6 -127% -56% 51% 39% 35% 2.59 84%
CGO Calamos Global Total Return 42.4 46% -10% 3% 9% 0% 1.19 85%
CHAI Core AI Holdings Inc 0.0 0% 812% -52% -23% 16% 36.30 12%
CHCI Comstock Holding Co Inc 33.4 15% 24% 63% -15% 5% 4.11 42%
CHCO City Holding 7.2 36% -39% -13% 0% -2% 1.75 60%
CHCT Community Healthcare Trust Inc -394.4 -147% -114% -13% 13% 4% 2.07 93%
CHD Church & Dwight 7.6 49% -46% -25% 21% 7% 1.38 70%
CHDN Churchill Downs -333.1 -96% -97% -38% -19% -3% 1.93 14%
CHE Chemed -405.3 -123% -95% -48% -7% -4% 1.57 7%
CHEF Chefs Warehouse Holdings LLC 17.2 41% 18% -17% 4% 0% 2.57 58%
CHGG Chegg Inc -1225.8 -503% -168% -54% -25% -8% 5.91 14%
CHH Choice Hotels International -202.3 -30% -82% -44% 16% 4% 1.95 34%
CHI Calamos Convertible Opportunity & I -35.1 -11% -40% 7% 8% 4% 1.25 95%
CHKP Check Point Software Technologie -15.6 40% -46% -46% -16% -11% 1.71 7%
CHMG Chemung Financial -118.2 -40% -50% -3% 8% -6% 1.76 68%
CHMI Cherry Hill Mortgage Inv -671.9 -278% -106% -22% 14% 3% 2.32 63%
CHNR CHINA NATURAL RESOURCES INC -706.0 -258% -160% -42% -9% -16% 6.88 5%
CHPT ChargePoint Holdings Inc -475.7 -118% -170% -63% -16% 16% 5.80 8%
CHR Cheer Holding Inc Ordinary Shares -1255.2 -454% -172% -116% -42% -6% 5.68 0%
CHRD Chord Energy Corp -61.9 -4% -70% -4% 19% 20% 2.35 100%
CHRS Coherus BioSciences Inc -66.1 -33% -147% 59% 38% -17% 6.69 58%
CHRW CH Robinson Worldwide 123.3 96% 30% 76% 18% -3% 1.95 91%
CHT Chunghwa Telecom ADR -16.5 1% -44% -3% 4% 5% 0.97 73%
CHTR Charter Communications Inc A -556.9 -187% -111% -55% 17% 10% 2.52 20%
CHW Calamos Global Dynamic Income 72.8 65% 1% 12% 10% 1% 1.12 88%
CHWY Chewy-A -301.6 -68% -110% -46% -28% -9% 3.61 7%
CHY Calamos Convertible & High Income -61.1 -25% -38% 7% 6% 4% 1.16 96%
CI Cigna -117.5 -11% -71% -24% 4% 6% 1.84 45%
CIA Citizens -59.6 -27% 13% -7% 1% -5% 4.52 74%
CIB Bancolombia SA 126.5 81% 177% 63% 7% -17% 2.22 64%
CIBEY Commercial International Bank-Egypt 55.9 30% -14% 64% 17% -10% 2.19 65%
CICHY China Construction Bank Corp 89.8 98% 37% 7% -3% 1% 1.61 81%
CIEN Ciena 291.3 70% 567% 343% 70% 29% 3.13 97%
CIF MFS Intermediate High Income 17.1 41% -46% -11% -2% 0% 0.84 86%
CIFR Cipher Mining Inc -150.7 -75% 926% 299% -19% 3% 8.59 62%
CIG Energy Company of Minas Gerais ADR -14.7 -7% -11% 22% 10% 5% 2.45 84%
CIGC Energy Company of Minas Gerais 26.6 49% -6% 7% 14% 3% 3.07 82%
CIGI Colliers International Group Inc -214.4 -60% -71% -23% -18% -12% 2.19 18%
CIHKY China Merchants Bank Co 13.7 42% -42% -6% -9% 0% 2.24 64%
CII BlackRock Enhanced LargeCap Core 46.4 32% -3% 17% -4% -1% 1.07 91%
CIIT Tianci International Inc -341.0 -22% -151% -98% -10% -33% 6.21 2%
CILJF China Life Insurance Co 61.0 51% 49% 77% 7% -12% 3.72 73%
CIM Chimera Investment Corp -200.5 -67% -74% -9% 10% 13% 2.34 93%
CINF Cincinnati Financial 15.5 29% -23% -1% 1% 5% 1.65 90%
CING Cingulate Inc 29.0 141% -171% 53% 85% 12% 8.40 78%
CINT CI&T Inc -254.0 -54% -82% -46% 12% 4% 3.56 35%
CION CION Invt Corp -194.1 -38% -54% -41% -15% -9% 1.62 17%
CISO CISO Global Inc -1015.8 -371% -168% -81% -22% 2% 8.09 6%
CIVB Civista Bancshares -123.9 -44% -50% -1% 2% -3% 2.35 82%
CIX Compx International 5.2 11% -2% 3% 12% 8% 4.22 54%
CIZN Citizens Holding -32.0 10% -104% -24% 26% 9% 1.99 82%
CJPRY Central Japan Railway 25.2 22% -44% 27% 3% 5% 1.68 83%
CKHUF CK Hutchison Holdings 103.1 100% 34% 97% 7% -2% 3.04 85%
CKHUY Ck Hutchison Holdings Ltd 96.7 95% -22% 42% 6% -1% 1.68 78%
CL Colgate-Palmolive -56.0 -5% -34% -12% 19% 5% 1.32 84%
CLAR Clarus -587.1 -204% -138% -44% -11% -15% 3.55 11%
CLB Core Laboratories NV -133.5 -34% -103% 2% 7% -14% 3.58 69%
CLBK Columbia Financial Inc -0.5 32% -85% -4% 13% 5% 2.39 97%
CLBT Cellebrite DI Ltd 0.9 20% 65% -40% -18% -3% 2.90 26%
CLCGY Clicks Group -76.0 -11% -36% -15% -7% -7% 1.81 42%
CLDI Calidi Biotherapeutics Inc -700.8 -184% -172% -109% -47% -19% 8.36 1%
CLDT Chatham Lodging Trust -677.4 -296% -99% -10% 25% 17% 2.15 100%
CLDX Celldex Therapeutics Inc -278.2 -139% -104% 35% 13% 21% 4.04 92%
CLF Cleveland-Cliffs -277.8 -89% -120% -10% -17% -20% 3.92 48%
CLFD Clearfield -306.7 -96% -121% -17% 11% 7% 3.36 33%
CLGN CollPlant Biotechnologies Ltd -1149.5 -420% -167% -99% -70% -64% 5.26 2%
CLH Clean Harbors 49.4 31% 48% 24% 27% 14% 1.86 96%
CLIR ClearSign Technologies Corp -453.9 -142% -107% -49% -26% -8% 6.29 7%
CLLS Cellectis SA ADR -13.6 -7% 0% 173% -21% 0% 5.39 62%
CLM Cornerstone Strategic Investment 10.9 16% -10% -1% -4% -5% 1.19 76%
CLMB Climb Global Solutions Inc 9.6 37% 67% -40% -12% -23% 3.12 3%
CLMT Calumet Specialty Products -108.5 -54% -22% 100% 51% 31% 3.51 96%
CLNE Clean Energy Fuels -499.2 -210% -132% 4% 5% 7% 4.42 57%
CLNN Clene Inc -1025.9 -473% -150% 10% -43% 38% 6.37 31%
CLOV Clover Health Investments Corp -147.6 -21% 15% -58% -14% 0% 5.14 10%
CLPBY Coloplast A/S -289.5 -62% -105% -48% -19% -13% 1.76 0%
CLPHY CLP Holdings Ltd 71.4 80% -19% 1% 7% 1% 1.10 77%
CLPS CLPS Inc -219.8 -59% -80% -25% 18% 0% 4.24 30%
CLPT CLEARPOINT NEURO INC -251.8 -53% -65% -51% -36% -31% 5.22 0%
CLRB CELLECTAR BIOSCIENCES INC -469.9 -97% -166% -83% -23% -6% 6.10 3%
CLRO ClearOne Inc -493.1 -129% -117% -79% -13% -26% 5.74 8%
CLS Celestica 327.4 61% 1901% 174% -16% -4% 4.31 71%
CLSD Clearside Biomedical -370.8 -17% -169% -112% 57% -18% 7.16 2%
CLSK CLEANSPARK INC -303.0 -151% 208% 19% -25% -2% 7.65 24%
CLST Catalyst Bancorp Inc 69.1 72% -45% 23% 9% 8% 1.30 94%
CLVLY Clinuvel Pharmaceuticals -223.4 -43% -121% -28% -14% -9% 2.92 28%
CLVT Clarivate PLC -819.6 -303% -148% -58% -33% -3% 3.37 29%
CLW Clearwater Paper Corp -340.1 -67% -134% -58% -18% -13% 2.93 4%
CLWT Euro Tech Holdings Co Ltd -598.7 -265% -62% -14% 29% 12% 3.41 68%
CLX Clorox -319.4 -91% -88% -39% 11% 5% 1.61 40%
CLYM Climb Bio Inc 140.4 85% 27% 422% 306% 55% 6.35 98%
CM Canadian Imperial Bank of Commerce 129.7 69% 81% 59% 19% 8% 1.39 95%
CMBM Cambium Networks Corp -489.2 -245% -166% 68% -31% -10% 7.65 29%
CMBT Euronav NV 36.3 37% -44% 44% 32% 10% 2.70 90%
CMC Commercial Metals 19.6 7% -31% 36% 11% -10% 2.38 73%
CMCL Caledonia Mining Corp PLC -32.5 -16% 80% 177% 10% 6% 4.08 70%
CMCM Cheetah Mobile Inc ADR 33.2 46% 108% 20% -8% 10% 5.15 61%
CMCSA Comcast -228.5 -64% -78% -25% 21% 10% 1.71 60%
CMCT Creative Media & Community Trust -418.7 -49% -172% -103% -36% -16% 6.93 2%
CME CME Group 37.8 27% 22% 10% 14% 12% 1.34 92%
CMG Chipotle Mexican Grill -35.4 12% -50% -50% 6% -3% 2.07 24%
CMI Cummins 89.6 58% 80% 47% 15% -2% 1.94 91%
CMND Clearmind Medicine Inc -344.7 0% -172% -115% -80% -45% 7.55 0%
CMP Compass Minerals IntL -129.7 -65% -107% 128% 28% -1% 3.74 90%
CMPGY Compass Group -10.0 32% -37% -32% -3% -1% 1.38 27%
CMPR Cimpress NV 54.3 72% 30% 34% 3% -11% 3.29 75%
CMPS Compass Pathways PLC 16.3 8% -89% 75% 34% 8% 5.45 77%
CMPX Compass Therapeutics Inc -22.1 -11% -28% 91% 3% -11% 5.77 81%
CMRC Commercecom Inc -1030.2 -394% -142% -74% -35% -4% 3.74 12%
CMRE Costamare Inc -21.2 -11% 13% 65% 12% 2% 2.60 96%
CMS CMS Energy 5.2 24% -29% -9% 7% 13% 1.33 100%
CMT Core Molding Technologies 22.7 35% -58% 30% 3% -1% 3.08 71%
CMTG Claros Mortgage Trust Inc -516.4 -216% -149% 7% -19% -2% 3.96 28%
CMTL Comtech Telecomm -91.0 -45% -139% 215% 69% -2% 6.17 87%
CMU MFS High Yield Municipal 22.8 47% -43% -13% 4% 3% 0.75 91%
CMWAY Commonwealth Bank -11.4 -6% 25% 10% 23% 19% 1.71 87%
CNA CNA Financial -9.0 10% -30% -11% 11% 8% 1.48 94%
CNC Centene -423.1 -135% -108% -41% 18% 7% 2.43 51%
CNCK COINCHECK GROUP NV -304.9 -18% -150% -84% -73% -9% 3.53 1%
CNDT Conduent -687.5 -223% -137% -75% -30% -3% 3.76 4%
CNET ZW Data Action Technologies Inc -843.2 -299% -160% -70% -52% -32% 6.16 3%
CNEY CN Energy Group Inc -338.0 -19% -172% -93% -17% 10% 8.24 15%
CNF CNFinance Holdings Ltd -20.1 53% -150% -70% -15% -15% 5.71 31%
CNH CNH Industrial NV -302.1 -102% -94% -18% 27% 10% 2.39 59%
CNI Canadian National Railway -375.5 -163% -70% -2% 16% 17% 1.50 90%
CNK Cinemark Holdings 21.5 25% 36% 2% 6% 18% 2.63 58%
CNL Collective Mining Ltd 157.5 56% 461% 202% 69% 16% 4.22 88%
CNM Core & Main Inc 31.8 42% 58% -7% 11% 1% 2.40 44%
CNMD Conmed -507.6 -169% -126% -43% -4% 11% 2.76 23%
CNNE Cannae Holdings -705.0 -259% -117% -54% -28% -17% 2.20 0%
CNO CNO Financial Group 0.9 13% 5% -14% 4% 1% 1.94 78%
CNOB ConnectOne Bancorp Inc -4.7 18% -52% -9% 3% 0% 2.70 76%
CNP CenterPoint Energy 26.9 21% -5% 13% 12% 14% 1.38 100%
CNQ Canadian Natural Resources 64.3 43% 7% 57% 31% 23% 2.16 99%
CNR CORE NATURAL RESOURCES INC 17.1 19% 3% 17% 21% 6% 3.36 80%
CNS Cohen and Steers -171.4 -25% -70% -37% 8% 7% 2.22 30%
CNSP CNS Pharmaceuticals Inc -326.5 0% -172% -106% -56% -42% 9.37 0%
CNTA Centessa Pharmaceuticals PLC 90.4 8% 586% 60% -7% 8% 4.84 83%
CNTB Connect Biopharma Holdings Ltd -68.5 -34% 53% 180% -7% 7% 7.62 78%
CNTX Context Therapeutics Inc 67.1 4% 161% 196% 142% 11% 6.55 100%
CNTY Century Casinos -1153.7 -465% -155% -60% 11% 10% 4.30 21%
CNVS Cineverse Corp Class A -208.6 -29% -137% -29% 24% 49% 5.78 24%
CNVVY ConvaTec Group -106.8 -17% -52% -19% 3% 4% 1.53 33%
CNX CNX Resources 81.1 68% 103% 31% 7% 15% 2.27 100%
CNXC Concentrix Corp -1415.3 -620% -147% -38% -10% -15% 3.26 10%
CNXN PC Connection -141.2 -43% -26% -18% 6% 5% 1.93 44%
COCO Vita Coco Co Inc 87.1 75% 159% 51% 1% 1% 3.10 88%
COCP Cocrystal Pharma -679.6 -240% -119% -60% -1% 7% 4.98 16%
CODA Coda Octopus Group Inc 50.5 24% 37% 75% 60% 32% 3.40 93%
CODGF Compagnie de Saint-Gobain 5.0 37% -18% -24% -7% -6% 1.91 21%
CODI Compass Diversified Holdings -485.5 -114% -135% -84% 0% 15% 3.04 15%
CODX Co-Diagnostics Inc -315.7 0% -170% -101% -79% -2% 6.82 0%
CODYY Compagnie de Saint-Gobain 12.2 48% -7% -26% -10% -8% 2.14 19%
COE 51 Talk Online Education Group 41.4 21% 223% 15% -42% -6% 4.37 26%
COEP Coeptis Therapeutics Holdings -85.5 -5% -130% 5% -24% -7% 6.75 50%
COF Capital One Financial 12.3 31% 17% -16% -12% -11% 2.28 44%
COFS ChoiceOne Financial Services Inc -253.5 -88% -55% -21% -3% 1% 2.42 66%
COGT Cogent Biosciences Inc -48.1 -24% 111% 411% -8% -1% 5.11 87%
COHN Cohen & Co Inc -96.4 -48% 80% 72% -5% -20% 4.64 38%
COHR Coherent 174.6 32% 475% 285% 67% 25% 4.44 90%
COHU Cohu 34.2 51% -91% 50% 23% 3% 3.13 79%
COIN Coinbase Global -111.1 -56% 182% -16% -20% 13% 5.73 24%
COKE Coca-Cola Consolidated 114.1 83% 198% 31% 27% 36% 2.15 100%
COLB Columbia Banking System -139.6 -47% -58% -3% 2% -1% 2.80 72%
COLD Americold Realty Trust -406.7 -104% -125% -58% 15% 2% 2.21 23%
COLL Collegium Pharmaceutical Inc -11.5 -6% -25% 22% -16% -14% 2.61 59%
COLM Columbia Sportswear -459.7 -152% -101% -44% 8% 10% 2.19 33%
COMP Compass Inc 29.5 63% 93% -8% -12% -21% 4.79 47%
COO Cooper Companies -278.4 -87% -74% -28% 5% 3% 1.87 65%
COP ConocoPhillips -46.0 -17% -52% 12% 28% 16% 2.03 93%
COR Cencora Inc 92.1 58% 69% 28% 2% 3% 1.36 95%
CORT Corcept Therapeutics -18.5 14% -2% -57% -56% -11% 3.70 2%
COSM Cosmos Holdings Inc -564.5 -191% -161% -38% -31% -14% 6.86 8%
COSO CoastalSouth Bancshares Inc 55.7 72% -26% 1% 10% 3% 1.30 91%
COST Costco Wholesale 36.1 50% 43% -21% 10% 5% 1.41 78%
COTY Coty Inc Class A -342.5 -48% -151% -73% -28% -23% 2.80 0%
COUR Coursera Inc -648.0 -253% -115% -32% -20% 6% 3.32 11%
COVTY Covestro 30.4 44% -11% -2% 2% 0% 1.55 80%
COYA Coya Therapeutics Inc -327.3 -98% -44% -51% -22% 6% 5.05 27%
CP Canadian Pacific Railway -234.6 -96% -58% -2% 19% 17% 1.66 89%
CPA Copa Holdings Sa-A 36.9 24% 0% 35% 11% -4% 2.18 73%
CPAC Cementos Pacasmayo SAA 136.6 94% 103% 82% 56% 2% 2.08 91%
CPAY Corpay Inc 9.6 48% -16% -28% 10% 9% 2.13 66%
CPB Campbell Soup -309.2 -61% -120% -54% -18% -7% 1.75 0%
CPF Central Pacific Financial 21.4 40% -9% -2% 6% 0% 2.26 81%
CPHC Canterbury Park Holding Corp -379.6 -112% -110% -41% 2% 2% 2.65 20%
CPHI China Pharma Holding Inc -598.6 -154% -171% -88% -68% -34% 6.82 1%
CPIX Cumberland Pharmaceuticals -407.3 -155% -9% -46% 68% -3% 5.95 36%
CPK Chesapeake Utilities -2.8 24% -58% -8% 0% 10% 1.60 97%
CPNG Coupang Inc-A -167.6 -31% -47% -37% -29% -3% 2.51 14%
CPRI Capri Holdings Ltd -497.1 -169% -135% -34% -26% -17% 2.95 43%
CPRT Copart -33.5 25% -64% -48% -4% -3% 1.62 9%
CPRX Catalyst Pharmaceuticals -50.1 -14% -12% -7% 8% 0% 2.87 77%
CPS Cooper-Standard Holdings Inc -59.9 -30% 56% 130% 14% 14% 4.86 72%
CPSH CPS Technologies Corp 81.5 56% -34% 158% 33% -22% 3.96 56%
CPSS Consumer Portfolio Services Inc -409.7 -142% -97% -30% 4% -3% 3.67 40%
CPT Camden Property Trust -136.8 -18% -69% -28% 3% 3% 1.62 50%
CPYYY Centrica PLC 56.9 41% 52% 24% 14% 0% 1.92 90%
CPZ Calamos Long/Short Equity & Dynamic -64.8 -6% -44% -12% 1% 2% 0.91 57%
CQP Cheniere Energy Partners LP -64.2 -11% -14% -17% 17% 17% 2.09 98%
CRAI CRA International -14.5 3% -20% -20% 2% -2% 2.32 43%
CRARF Credit Agricole SA 38.9 54% 6% 13% 8% 0% 2.55 73%
CRARY Credit Agricole SA 56.6 53% 35% 11% 5% -5% 1.68 72%
CRBG Corebridge Financial Inc -15.4 15% -11% -38% -11% -14% 2.39 15%
CRBP Corbus Pharmaceuticals Holdings Inc -173.2 -87% 112% 4% -23% 3% 7.35 24%
CRBU Caribou Biosciences Inc -322.3 -161% -142% 51% 1% 25% 6.17 51%
CRC California Resources Corp 25.6 5% -11% 44% 30% 19% 2.56 100%
CRCT Cricut Inc -338.0 -111% -111% -21% -4% 1% 3.65 31%
CRDA Crawford & Company-A -66.0 -20% 37% -26% -1% -1% 2.78 67%
CRDB Crawford & Company-B -91.9 -29% 30% -27% 0% 2% 3.10 59%
CRDF CARDIFF ONCOLOGY INC -490.4 -162% -52% -66% -10% 17% 6.19 17%
CRDO Credo Technology Group Holding Ltd -3.6 -2% 819% 86% -41% -13% 5.30 44%
CREG Smart Powerr Corp -24.4 73% -166% -103% -6% 1% 5.93 3%
CRESY Cresud SA ADR -82.4 -36% 14% -10% -5% -16% 3.33 49%
CREX Creative Realities Inc -70.3 -35% 0% 80% 31% 18% 5.29 97%
CRF Cornerstone Total Return 11.1 19% -11% -2% -5% -5% 1.28 76%
CRGO Freightos Ltd -767.7 -270% -142% -67% -58% -38% 6.17 0%
CRGY Crescent Energy Co -162.3 -48% -61% -13% 22% 24% 3.41 90%
CRH CRH PLC 61.5 68% 83% -3% -6% -8% 2.03 65%
CRHKY China Resources Beer -222.4 -65% -123% -5% -7% 2% 2.86 53%
CRI Carter -389.5 -125% -118% -30% 11% -2% 2.81 57%
CRIS Curis Inc -1645.5 -686% -164% -82% -19% 20% 6.10 9%
CRK Comstock Resources 4.7 9% 7% 0% -21% -3% 3.88 39%
CRL Charles River Laboratories Intl -121.8 -23% -91% -8% 1% -14% 2.74 63%
CRM SalesForcecom -32.3 17% -53% -51% -18% -7% 2.22 13%
CRMD Cormedix Inc -182.1 -47% -3% -43% -28% -11% 4.85 12%
CRML Critical Metals Corp -75.9 -38% -76% 483% 33% -19% 7.78 30%
CRMT Americas Car-Mart -403.6 -88% -148% -65% -4% -18% 4.01 6%
CRNC Cerence Inc -365.2 -90% -145% -44% -30% -29% 6.33 10%
CRNT Ceragon Networks -200.6 -57% -46% -29% 16% -2% 3.63 49%
CRNX Crinetics Pharmaceuticals Inc -77.8 -39% 33% -2% -14% -18% 3.80 45%
CRON Cronos Group -19.1 -9% -48% 16% 4% 6% 3.54 61%
CROX CROCS -229.7 -46% -105% -34% -4% -2% 3.35 22%
CRRFY Carrefour SA -109.2 -55% -65% 29% 12% 7% 1.71 81%
CRS Carpenter Technology 177.0 47% 706% 83% 29% 34% 3.12 100%
CRSP CRISPR THERAPEUTICS AG -224.5 -112% -50% 24% 14% 18% 4.24 63%
CRSR Corsair Gaming Inc -585.8 -185% -137% -62% -4% 20% 3.53 22%
CRT Cross Timbers Royalty Trust -183.9 -29% -112% -26% 5% 7% 2.82 40%
CRTO Criteo SA -56.7 7% -115% -67% -2% 2% 2.46 11%
CRUS Cirrus Logic 22.3 33% -38% 18% 16% 7% 2.49 88%
CRVL Corvel -38.3 35% -84% -68% -27% -22% 2.22 10%
CRVO CervoMed Inc -132.6 -66% -127% 70% -57% -16% 7.05 16%
CRVS Corvus Pharmaceuticals Inc -54.5 -27% 2175% 334% 109% -13% 6.65 66%
CRWD Crowdstrike Hldgs-A -2.3 -1% 165% -11% -20% -6% 3.19 40%
CRWS Crown Crafts Inc -175.4 -16% -105% -36% 10% 2% 1.64 38%
CRZBY Commerzbank AG 103.6 78% 166% 54% -7% -9% 2.63 71%
CSAN Cosan SA -436.6 -155% -129% -20% -7% 6% 3.39 35%
CSBR Champions Oncology Inc -293.3 -73% -43% -60% -1% -14% 4.53 6%
CSCI Cosciens Biopharma Inc -2210.5 -998% -160% -54% -18% -18% 4.72 1%
CSCO Cisco Systems 107.1 114% 8% 13% 6% 2% 1.43 83%
CSGP Costar Group -368.5 -95% -105% -54% -31% -21% 2.17 6%
CSGS CSG Systems International 35.7 47% -22% 9% 2% 2% 1.73 99%
CSIQ Canadian Solar Inc -109.8 -55% -129% 56% -39% -9% 5.20 38%
CSL Carlisle Companies 9.4 20% -17% 1% 22% 15% 2.12 69%
CSLLY CSL -484.0 -148% -120% -54% -17% -16% 1.71 0%
CSPI CSP Inc -177.0 -25% -10% -60% -21% -21% 5.19 4%
CSQ Calamos Strategic Total Return 29.8 33% -4% 0% 0% -1% 1.17 88%
CSR Centerspace -190.3 -54% -63% -20% -5% 0% 1.80 71%
CSTE Caesarstone Ltd -447.8 -78% -158% -93% -53% -60% 4.68 1%
CSTL Castle Biosciences Inc -246.4 -119% -59% 15% -29% -27% 4.28 48%
CSTM Constellium NV Class A 99.1 70% -2% 132% 57% 14% 3.07 100%
CSUAY China Shenhua Energy Co 108.8 88% 80% 49% 12% 12% 2.02 100%
CSV Carriage Services -8.6 1% -34% -3% 5% 5% 2.16 75%
CSW CSW Industrials Inc 19.0 50% 23% -25% 1% 9% 2.39 46%
CSWC Capital Southwest 58.4 78% -1% -5% 8% 0% 1.48 89%
CSX CSX 10.9 4% -27% 19% 22% 13% 1.55 98%
CTAS Cintas 17.5 36% 16% -20% 7% 7% 1.40 42%
CTBI Community Trust Bancorp 22.4 38% -11% -1% 10% -1% 1.99 81%
CTEV Claritev Corp -303.5 -84% -128% -25% -63% -34% 7.31 7%
CTGO Contango Ore Inc -80.9 -40% -53% 200% 16% 5% 4.40 81%
CTKB Cytek Biosciences Inc -324.6 -104% -131% -15% -18% -13% 4.39 58%
CTLP Cantaloupe Inc 14.5 32% 8% -10% -3% -2% 2.45 82%
CTM Castellum Inc 1.3 73% -78% -41% -8% 6% 7.81 21%
CTMX CytomX Therapeutics Inc -149.6 -75% 63% 663% 17% -15% 6.09 82%
CTO CTO Realty Growth Inc 22.2 43% -31% -5% 11% 13% 1.47 97%
CTOR Citius Oncology Inc -867.1 -367% -162% -13% -34% 2% 4.93 11%
CTOS Custom Truck One Source Inc -170.6 -85% -75% 53% 10% 9% 3.41 88%
CTPCY CITIC 62.2 44% -10% 23% -2% 1% 1.06 83%
CTRA Coterra Energy Inc 19.0 38% -38% 3% 13% 11% 2.00 88%
CTRE CareTrust REIT Inc 93.1 64% 55% 38% 6% 9% 1.58 89%
CTRN Citi Trends -48.7 -24% 5% 85% 8% 10% 3.63 99%
CTS CTS 15.3 38% -51% 4% 21% -1% 2.32 76%
CTSH Cognizant Technology Solutions-A -300.5 -90% -65% -38% -16% -20% 1.70 16%
CTSO CytoSorbents -464.1 -142% -148% -41% 4% 18% 5.47 25%
CTTAY Continental AG -11.8 5% -54% -6% 2% -1% 2.28 54%
CTVA Corteva Inc -68.4 -33% -42% 13% 17% 8% 1.75 90%
CUBE CubeSmart -290.3 -107% -71% -15% 12% 13% 1.75 86%
CUBI Customers Bancorp Inc -58.7 -29% 54% 16% 2% -10% 3.43 72%
CUE Cue Biopharma -855.0 -281% -162% -92% -51% -10% 6.89 6%
CUK Carnival PLC ADR 29.5 10% 113% 16% 17% -11% 3.28 70%
CULP Culp -514.5 -166% -113% -54% -16% -3% 2.60 6%
CURI CuriosityStream Inc 19.9 5% 61% 40% -24% -6% 5.60 34%
CURLF Curaleaf Holdings Inc -75.1 -38% -109% 80% -5% 9% 6.47 40%
CURR Currenc Group Inc -516.1 -197% -151% -11% -18% 56% 5.72 55%
CURV Torrid Holdings Inc -534.4 -124% -132% -99% -21% -3% 5.67 3%
CUZ Cousins Properties -211.6 -52% -59% -34% -6% -2% 2.12 30%
CVBF CVB Financial -21.6 5% -80% -17% -1% -2% 2.57 65%
CVCO Cavco Industries 14.2 22% 32% -6% -2% 26% 2.76 61%
CVE Cenovus Energy Inc 65.6 59% -38% 69% 28% 19% 2.51 98%
CVEO Civeo Corp -74.4 -32% -74% 20% 30% 14% 2.52 100%
CVGI Commercial Vehicle Group -218.8 -32% -151% -28% 0% 17% 4.40 74%
CVI CVR Energy Inc -19.9 -10% -74% 32% -25% 19% 3.23 43%
CVKD Cadrenal Therapeutics Inc -386.2 -75% -146% -70% -9% 26% 7.08 23%
CVLG Covenant Logistics Group-A 24.6 37% 5% 4% 47% 13% 2.49 100%
CVLT Commvault Systems -22.7 33% -26% -64% -29% 2% 2.53 5%
CVM CEL-SCI CORPORATION -268.7 0% -168% -78% -47% -29% 7.48 15%
CVNA Carvana 334.5 37% 3369% 27% -17% -21% 6.10 49%
CVR Chicago Rivet & Machine Co -355.3 -120% -122% -17% 52% 12% 3.62 87%
CVRX CVRx Inc -497.6 -167% -100% -49% -11% 21% 5.40 46%
CVS CVS Health Corp -99.8 -39% -66% 11% 2% 8% 2.10 87%
CVU CPI Aerostructures -118.4 -59% -52% 17% 76% 28% 3.68 100%
CVV CVD Equipment Corp -266.9 -110% -137% 22% 17% -9% 4.79 52%
CVX Chevron -3.6 0% -43% 10% 22% 9% 1.57 94%
CW Curtiss-Wright 177.0 71% 234% 109% 30% 9% 1.91 97%
CWAN Clearwater Analytics Holdings Inc -239.7 -67% -40% -40% 10% -1% 2.37 52%
CWBC Community West Bancshares -208.7 -88% -73% 8% 2% -4% 2.14 80%
CWBHF Charlottes Web Holdings Inc -877.8 -439% -3% 613% 629% 32% 6.74 78%
CWCO Consolidated Water Co 61.3 49% 90% 26% 15% 2% 2.41 100%
CWEN Clearway Energy Inc 49.9 59% -28% 29% 8% 9% 2.14 83%
CWENA Clearway Energy Inc 58.4 73% -27% 28% 8% 9% 2.15 84%
CWGL Crimson Wine Group Ltd -283.9 -74% -94% -36% -8% -5% 1.67 14%
CWH CAMPING WORLD HLDGS INC -763.8 -262% -135% -75% -31% -40% 3.86 0%
CWK Cushman & Wakefield PLC -82.2 -17% -68% -1% -20% -16% 3.20 59%
CWST Casella Waste Systems -152.0 -23% -53% -35% -4% -7% 1.82 29%
CWT California Water Service -562.7 -240% -86% -13% 4% 8% 1.75 62%
CX Cemex S A B de C V 91.7 54% 76% 86% 12% -4% 2.62 85%
CXDO Crexendo Inc -3.5 -2% 175% -8% -4% -10% 5.17 70%
CXE MFS High Income Municipal -1.9 26% -46% -12% 4% 3% 0.89 89%
CXH MFS Investment Grade Muni -0.8 27% -44% -13% 2% 3% 0.63 90%
CXM Sprinklr Inc -301.7 -66% -119% -46% -19% -4% 2.78 17%
CXT Crane NXT Co -132.1 -22% -51% -27% -14% -2% 2.30 25%
CXW CoreCivic -119.0 -49% 16% -16% 2% 1% 2.62 34%
CYCN Cyclerion Therapeutics Inc -226.3 0% -161% -60% -12% 2% 8.68 12%
CYD China Yuchai International 133.6 49% 354% 130% 21% -6% 3.44 69%
CYDY Cytodyn Inc -508.1 -190% -98% -32% -28% -2% 6.04 17%
CYH Community Health Systems -419.6 -164% -117% -7% -6% 9% 4.62 51%
CYN Cyngn Inc -723.6 -212% -172% -92% -53% -4% 10.37 1%
CYPH Cypherpunk Technologies Inc -1495.8 -748% -159% 54% -42% -4% 9.22 18%
CYRBY Cyrela Brazil Realty 75.3 24% 108% 96% 7% 17% 3.14 87%
CYRX CryoPort -494.3 -247% -132% 65% -6% -8% 5.16 61%
CYTK Cytokinetics Inc -191.4 -96% -28% 28% -7% -3% 3.88 81%
CZFS Citizens Financial Services Inc -8.8 14% -87% -4% 16% -2% 3.33 73%
CZNC Citizens and Northern Corporation 17.1 49% -51% -3% 14% 2% 2.40 85%
CZR Caesars Entertainment Inc -895.9 -371% -122% -36% 10% 26% 3.45 55%
CZWI Citizens Community Bancorp Inc 41.5 63% -20% 2% 4% 0% 1.83 86%
D Dominion Energy 26.6 51% -42% -2% 4% 7% 1.64 82%
DAC Danaos 48.9 20% 40% 35% 18% 12% 1.79 91%
DAIC CID HOLDCO INC -45.4 75% -170% -115% -85% -28% 3.24 0%
DAKT Daktronics 104.4 66% 373% 34% 19% -5% 3.31 66%
DAL Delta Air Lines -50.7 -19% 1% -7% -1% -6% 2.71 71%
DAN Dana Holding Corp 81.0 13% 64% 129% 52% 18% 3.03 94%
DANOY Danone 34.4 44% -13% 0% -9% 3% 1.31 55%
DAO Youdao Inc 0.5 16% -42% -1% 6% 3% 4.53 59%
DAR Darling Ingredients -340.1 -170% -94% 37% 44% 14% 2.88 97%
DARE Dare Bioscience Inc -1443.2 -602% -160% -66% -7% -10% 4.48 0%
DASH DoorDash-A 49.2 69% 156% -28% -14% -13% 2.78 14%
DASTY Dassault Systemes SA -415.5 -103% -117% -66% -25% -21% 1.94 6%
DAVA Endava PLC -1022.5 -361% -166% -95% -16% -14% 3.79 4%
DAVE Dave-A 254.7 30% 2315% 104% 3% 22% 6.11 66%
DAWN Day One Biopharmaceuticals Inc -310.4 -155% -102% 39% 46% 13% 4.45 100%
DB Deutsche Bank AG 79.3 49% 124% 42% -6% -14% 2.32 67%
DBGI Digital Brands Group Inc -208.6 0% -172% -47% -48% -53% 11.02 6%
DBI Designer Brands-A -15.8 -8% -94% 80% 68% 7% 5.15 76%
DBL Doubleline Opportunistic Credit 15.7 42% -43% -15% -2% 0% 0.68 71%
DBOEY Deutsche Boerse AG 14.9 32% -4% -12% 7% 13% 1.54 48%
DBRG DigitalBridge Group Inc -57.3 -29% -47% 21% 61% 1% 3.26 100%
DBSDF DBS Group Holdings 35.5 58% 15% 20% -1% -8% 3.68 70%
DBSDY DBS Group Holdings Ltd 107.2 86% 52% 17% 3% -5% 1.25 81%
DBVT DBV Technologies SA ADR 169.9 108% -10% 458% 75% 7% 5.62 92%
DBX Dropbox -103.9 -21% -45% -16% -12% 4% 2.00 24%
DC Dakota Gold Corp 69.4 69% 48% 93% 32% 7% 4.15 83%
DCBO Docebo Inc -395.7 -97% -119% -61% -11% -4% 2.81 14%
DCGO DocGo Inc -705.7 -205% -165% -93% -26% -5% 4.68 2%
DCI Donaldson 72.8 77% -18% 20% 6% -6% 1.53 68%
DCO Ducommun 104.1 15% 86% 123% 55% 23% 2.21 100%
DCOM Dime Community Bancshares Inc 1.6 25% -51% -5% 14% -5% 2.91 74%
DCTH Delcath Systems Inc -2.4 37% 15% -48% -4% -6% 4.62 10%
DCX Digital Currency X Technology Inc -1455.1 -553% -173% -117% -88% -41% 11.00 0%
DD Dupont De Nemours Inc 39.1 25% -5% 32% 20% 10% 1.84 89%
DDAIF Daimler AG -12.3 12% -74% -5% -4% -2% 1.86 74%
DDD 3D Systems Corporation -838.7 -319% -152% -50% 4% -3% 5.73 30%
DDI Doubledown Interactive Co Ltd ADR -166.7 -34% -76% -24% -1% 5% 3.60 35%
DDL Dingdong Cayman Ltd -160.6 -13% -114% -29% 58% -9% 5.43 56%
DDOG Datadog Inc - A -275.8 -118% -20% -13% -26% -7% 3.18 28%
DDS Dillard's -24.6 -12% 35% 63% -4% 1% 2.96 83%
DE Deere & Company -162.9 -81% -21% 16% 31% 17% 1.89 81%
DEA Easterly Government Properties Inc -383.4 -132% -93% -28% 6% 2% 1.87 59%
DEC Diversified Energy Co PLC -253.5 -101% -101% 8% 0% 16% 3.36 79%
DECK Deckers Outdoor -17.2 9% -12% -38% 17% -5% 2.81 51%
DECLQ NASDAQ Declines Index -209.6 0% -93% -74% -56% -26% 58.74 24%
DEFT DeFi Technologies Inc 18.0 36% 427% -87% -45% -7% 9.22 2%
DEI Douglas Emmett -270.4 -54% -87% -52% -14% 2% 2.86 9%
DELL Dell Technologies Class C 81.3 69% 208% 39% 11% 25% 3.36 82%
DEO Diageo PLC ADR -569.4 -204% -121% -40% -12% -9% 1.76 0%
DERM Journey Medical Corp -28.3 -14% 277% 42% 5% -5% 5.93 71%
DFH Dream Finders Homes Inc -19.2 3% -26% -41% -10% -1% 3.84 4%
DFIN Donnelley Financial Solutions INC -158.9 -57% -49% -6% 10% 4% 2.42 54%
DFLI Dragonfly Energy Holdings Corp -28.1 10% -172% -98% -66% 7% 9.30 7%
DFP Flah&Crum Dynamic Preferred & Inco 22.6 40% -39% -5% 2% 2% 0.90 91%
DFSC DEFSEC TECHNOLOGIES INC -292.9 0% -172% -89% -30% 30% 14.49 19%
DFTX Definium Therapeutics Inc -3.8 -2% 311% 175% 44% -1% 5.59 96%
DG Dollar General Corporation 96.2 97% -98% 98% 38% 7% 2.38 95%
DGICA Donegal Group 2.5 33% -41% -16% -11% -4% 1.73 32%
DGICB Donegal Group 6.6 40% -55% -5% -7% -3% 3.98 40%
DGII Digi International -213.1 -107% -20% 55% 21% 14% 2.72 98%
DGX Quest Diagnostics 8.0 12% -13% 3% 13% 14% 1.47 94%
DGXX DIGI PWR X INC -934.0 -467% 34% 112% -24% 20% 8.22 39%
DH Definitive Healthcare Corp -899.0 -321% -162% -74% -55% -46% 4.15 3%
DHC Diversified Healthcare Trust -4.5 -2% 590% 160% 56% 31% 4.72 100%
DHF BNY Mellon High-Yield Strategies 13.1 38% -33% -15% -3% -2% 0.95 71%
DHI DR Horton Inc 4.1 2% -1% 5% -4% 4% 2.36 56%
DHIL Diamond Hill Investment Group -356.7 -166% -59% 7% 47% 2% 1.75 98%
DHR Danaher -407.0 -157% -89% -17% -9% -7% 1.86 45%
DHT DHT Holdings Inc 68.7 36% 37% 75% 47% 34% 2.58 91%
DHX DHI Group -715.1 -306% -117% -13% 32% 40% 5.10 61%
DHY Credit Suisse High Yield Bond 4.4 41% -43% -22% -5% -3% 0.97 52%
DIAX Nuveen Dow 30 Dynamic Overwrite 8.0 29% -44% -7% 4% 1% 0.87 88%
DIBS 1stdibscom Inc 16.7 22% -62% 35% -5% 5% 3.39 82%
DIDI DiDi Global Inc -142.1 -16% -72% -31% -27% -10% 3.49 21%
DIN Dine Brands Global Inc -61.4 -11% -125% 22% 3% -10% 3.15 64%
DINO HF SINCLAIR CORPORATION 40.9 23% -46% 64% 7% 12% 2.51 95%
DIOD Diodes -84.8 -30% -100% 21% 42% 11% 3.24 73%
DIS Walt Disney -372.8 -139% -68% -25% -4% 0% 1.79 52%
DIT Amcon Distributing Co -279.1 -72% -102% -34% 9% 3% 2.97 41%
DJCO Daily Journal 28.6 28% 2% 27% 16% -7% 2.92 60%
DJT Trump Media & Technology Group Corp -294.7 -44% -99% -70% -1% -10% 6.11 6%
DK Delek US Holdings 85.1 19% 10% 168% 8% 52% 3.46 100%
DKILY Daikin Industries -136.0 -30% -102% -4% -7% 0% 2.17 53%
DKL Delek Logistics Partners LP 38.5 44% -23% 21% 16% 10% 1.97 92%
DKNG DraftKings-A -205.6 -34% -37% -56% -26% -6% 3.45 14%
DKS Dicks Sporting Goods 3.4 30% -6% -22% -4% 0% 2.69 53%
DLAKY Deutsche Lufthansa AG 3.7 7% -69% 22% 0% -6% 2.39 70%
DLB Dolby Labboratories -298.0 -83% -90% -36% -3% 2% 1.53 19%
DLHC DLH Holdings Corp -263.6 -92% -122% 1% -5% 5% 3.02 82%
DLNG Dynagas LNG Partners LP 6.8 25% -29% -3% 14% 12% 2.66 100%
DLO DLocal Ltd -245.7 -106% -88% 13% -8% -10% 3.62 56%
DLPN Dolphin Entertainment Inc 25.0 82% -132% 37% 2% 4% 4.99 82%
DLR Digital Realty Trust 7.3 3% 14% 3% 17% 12% 1.98 100%
DLTR Dollar Tree 29.1 27% -91% 54% 6% 2% 2.52 71%
DLX Deluxe -20.0 -10% 12% 72% 41% 4% 2.70 98%
DMAC DiaMedica Therapeutics Inc 45.2 34% 287% 8% -6% -3% 5.10 73%
DMLP Dorchester Minerals 0.1 35% -57% -16% 26% 12% 1.74 89%
DMO Western Asset Mortgage Defined Opp 47.1 61% -24% -11% 0% 5% 0.79 87%
DMRC Digimarc Corporation -522.7 -125% -149% -87% -39% -20% 4.49 3%
DMYY dMY Squared Technology Group Inc -7.0 25% -59% -13% -4% 0% 1.01 18%
DNA Ginkgo Bioworks Holdings Inc -741.1 -283% -161% -34% -23% -25% 7.39 11%
DNLI Denali Therapeutics -180.3 -75% -97% 17% 11% -9% 4.21 79%
DNN Denison Mines Corp -29.9 -15% 157% 183% 63% 11% 4.12 92%
DNOW Dnow Inc -376.8 -128% -75% -35% -11% -19% 2.78 13%
DNP DNP Select Income -36.0 -2% -55% 3% 6% 8% 0.99 100%
DNPLY Dai Nippon Printing Co -10.1 -5% -24% 18% 18% 13% 1.76 89%
DNTH Dianthus Therapeutics Inc 115.3 36% 306% 199% 43% 18% 4.84 100%
DNUT Krispy Kreme Inc -646.7 -219% -143% -56% -11% 20% 3.59 31%
DNZOY Denso Corp -93.7 -7% -73% -15% 0% -2% 2.07 54%
DOC Healthpeak Properties Inc -318.1 -100% -91% -28% -2% 6% 1.88 46%
DOCN DigitalOcean Holdings Inc -125.0 -63% -5% 12% 17% -11% 4.12 62%
DOCS Doximity Inc -401.5 -91% -92% -79% -49% -28% 3.28 5%
DOCU DocuSign -210.6 -13% -95% -61% -33% -10% 2.98 9%
DOGZ Dogness International Corp -696.4 -181% -165% -112% -88% 16% 8.58 2%
DOLE Dole PLC -14.6 1% -33% -10% 5% -3% 1.77 76%
DOMH Dominari Holdings Inc -245.2 -34% -72% -64% -28% -20% 6.21 2%
DOMO Domo Inc -729.3 -255% -145% -61% -63% -26% 4.50 5%
DOO BRP Inc -4.5 -2% -87% 74% 3% -6% 2.82 80%
DORM Dorman Products -9.8 29% -48% -29% -12% -7% 2.19 14%
DOUG Douglas Elliman Inc -124.9 -41% -116% 17% -14% -15% 5.22 46%
DOV Dover 13.0 25% -19% -1% 19% 9% 1.64 87%
DOW Dow Inc -225.1 -56% -105% -22% 36% 15% 2.26 80%
DOX Amdocs -287.3 -76% -93% -36% -9% -14% 1.40 9%
DOYU DouYu International Holdings Ltd 0.8 38% 16% -41% -28% -18% 4.18 14%
DPG Duff & Phelps Utility and Infrastru 41.4 45% -35% 13% 13% 12% 1.26 96%
DPMLF Dundee Precious Metals 264.9 90% 507% 236% 50% 21% 2.74 93%
DPRO Draganfly Inc -730.8 -365% -159% 201% -2% -12% 8.33 42%
DPSGY Deutsche Post AG 29.6 20% -21% 29% 5% 1% 1.83 82%
DPZ Domino's Pizza Inc -149.9 -33% -29% -32% -5% 1% 1.88 28%
DQ Daqo New Energy Corp ADR -1.0 28% -120% 9% -29% -2% 4.71 47%
DRCT Direct Digital Holdings Inc -951.7 -303% -172% -115% -85% -50% 11.46 0%
DRD DRDGold 146.9 56% 350% 185% 12% 8% 3.87 81%
DRH Diamondrock Hospitality -157.4 -72% -49% 10% 12% 10% 1.97 92%
DRI Darden Restaurants -3.8 11% -15% -10% 17% 3% 1.65 67%
DRIO DarioHealth Corp -196.0 0% -162% -44% -21% -13% 6.95 29%
DRMA Dermata Therapeutics Inc -329.2 0% -172% -107% -61% -40% 8.30 0%
DRS Leonardo DRS Inc 70.0 24% 192% 40% 40% 18% 2.66 93%
DRTS ALPHA TAU MEDICAL LTD 56.4 5% 52% 124% 85% 2% 4.19 77%
DRTT Dirtt Environmental Solutions Ltd -7.0 21% -73% -19% -9% 10% 5.40 63%
DRUG Bright Minds Biosciences Inc Ordina 189.2 60% 2516% 110% 12% 2% 9.66 77%
DRVN Driven Brands Holdings Inc -422.4 -113% -134% -53% -23% -28% 2.73 1%
DSDVY DSV A/S UNS ADR 28.0 45% -31% 8% 10% -8% 2.07 68%
DSEEY Daiwa Securities Group Inc 55.8 65% 23% 15% 12% 2% 2.14 71%
DSGN Design Therapeutics Inc 39.9 30% -25% 112% 15% 1% 5.72 93%
DSGR Distribution Solutions Group Inc 9.4 43% -37% -13% 8% 3% 2.73 61%
DSGX Descartes Systems Group -215.9 -26% -80% -55% -18% -5% 1.87 10%
DSL DoubleLine Income Solutions -8.0 25% -42% -18% 3% 2% 0.87 69%
DSM BNY Mellon Strategic Municipal Bond -18.0 13% -51% -12% 4% 1% 0.80 87%
DSNKY Daiichi Sankyo -42.1 5% -116% -44% -28% -3% 2.68 0%
DSS DSS Inc -840.6 -351% -153% -19% -17% -23% 5.05 8%
DSWL Deswell Industries Inc -24.1 -12% -25% 36% -7% 4% 2.59 64%
DSX Diana Shipping 3.0 10% -100% 29% 34% 15% 2.74 94%
DT Dynatrace Inc -292.4 -67% -86% -51% -17% -1% 2.15 16%
DTCX Datacentrex Inc -444.6 -127% -146% -47% -40% 8% 6.80 4%
DTE DTE Energy Holding 7.3 19% -23% -3% 13% 14% 1.34 100%
DTEGF Deutsche Telekom 20.1 42% 8% -8% 21% 18% 2.68 89%
DTEGY Deutsche Telekom AG 31.6 45% 15% -12% 19% 15% 1.38 81%
DTF 2028 DTF Tax-Free Income Term 61.7 77% -54% -12% 2% 2% 0.51 89%
DTI Drilling Tools International Holdin -311.0 -101% -140% -7% 36% -12% 4.45 68%
DTIL PRECISION BIOSCIENCES -617.9 -234% -158% -22% -5% 21% 5.27 24%
DTM DT Midstream Inc 118.6 72% 146% 38% 17% 16% 1.67 100%
DTST Data Storage Corp 18.5 41% 52% -8% -11% -14% 4.39 44%
DUK Duke Energy 27.1 40% -18% -2% 9% 13% 1.32 100%
DUO Fangdd Network Group Ltd Class A -321.0 0% -172% -103% -39% -19% 10.00 1%
DUOL Duolingo Inc -277.6 -32% -64% -85% -49% -26% 4.06 0%
DV DoubleVerify Holdings Inc -585.1 -200% -133% -48% -4% -1% 2.86 20%
DVA DaVita Inv 20.6 38% 14% -9% 29% 41% 2.22 97%
DVLT Datavault AI Inc -949.8 -384% -172% -34% -63% 12% 10.44 14%
DVN Devon Energy -5.7 5% -82% 12% 15% 10% 2.37 92%
DVS Dolly Varden Silver Corp -95.4 -48% -4% 67% 1% 4% 4.62 72%
DWAHY Daiwa House Industry -10.4 10% -25% -15% 2% 3% 1.61 39%
DWSN Dawson Geophysical -275.1 -138% 145% 159% 89% 70% 5.93 100%
DWTX Dogwood Therapeutics Inc Ordinary S -531.7 -176% -133% -45% -52% 7% 9.91 5%
DX Dynex Capital 30.1 47% -16% -3% 1% 2% 1.56 82%
DXC DXC Technology -957.3 -388% -128% -48% -8% -17% 2.86 9%
DXCM Dexcom -683.1 -273% -107% -33% 14% 2% 2.78 52%
DXF Eason Technology Ltd -326.4 0% -172% -106% -61% -22% 54.14 1%
DXLG Destination XL Group -914.6 -312% -163% -91% -41% -21% 4.22 3%
DXPE DXP Enterprises 99.7 54% 317% 48% 53% 8% 3.16 81%
DXR Daxor Corp -14.3 -7% -32% 34% -12% -3% 3.71 59%
DY Dycom Industries 145.7 46% 288% 123% 10% 2% 2.64 85%
DYAI Dyadic International Inc -1093.2 -452% -107% -59% -13% -3% 5.04 9%
DYN Dyne Therapeutics Inc -146.8 -61% -56% 6% -27% -17% 5.51 48%
E Eni S P A ADR 84.4 41% 28% 58% 24% 16% 1.58 98%
EA Electronic Arts 38.4 2% 12% 39% -1% 1% 1.35 96%
EAD Allspring Income Opportunities 9.1 32% -38% -12% 0% 1% 0.72 94%
EADSY Airbus Group 29.5 47% -7% -2% -9% -8% 1.87 55%
EAF GrafTech International -787.2 -281% -161% -59% -54% -54% 6.62 8%
EARN Ellington Residential Mortgage REIT -257.0 -75% -75% -28% -6% -6% 1.67 56%
EAT Brinker International 17.2 3% 190% -30% -10% -13% 3.20 44%
EB Eventbrite Inc -389.8 -195% -121% 65% 78% 2% 3.92 98%
EBAY eBay 61.7 57% 38% 24% 9% -1% 2.04 78%
EBC Eastern Bankshares Inc 4.4 25% -37% -5% 3% -6% 2.46 70%
EBCOY Ebara 96.7 50% 215% 70% 27% 6% 2.97 81%
EBF Ennis -103.0 -26% -42% -11% 23% 10% 1.53 100%
EBKDY Erste Group Bank AG 131.9 82% 186% 56% 4% -10% 2.03 77%
EBMT Eagle Bancorp Montana 56.7 77% -28% 11% 31% 0% 1.78 84%
EBON Ebang International Holdings Inc -492.2 -139% -139% -61% -31% -13% 5.68 6%
EBS Emergent Biosolutions -314.7 -132% -110% 11% -20% -24% 6.91 47%
EC Ecopetrol SA ADR 30.3 35% -6% 19% 16% -4% 2.41 72%
ECAT BlackRock ESG Capital Allocation 41.9 51% -3% -7% -3% -1% 1.04 84%
ECBK ECB Bancorp Inc -4.9 17% -62% -3% 0% -2% 1.82 72%
ECC Eagle Point Credit -34.7 51% -105% -59% -32% -19% 1.49 3%
ECF Ellsworth Growth and Income 82.4 69% 1% 19% -2% -5% 1.15 81%
ECL Ecolab 55.3 63% 20% -6% 9% 7% 1.32 88%
ECO Okeanis Eco Tankers Corp 173.8 121% 165% 152% 45% 31% 2.77 93%
ECOR Electrocore Inc -124.4 -16% 52% -63% 66% 23% 5.45 33%
ECPG Encore Capital Grp -232.5 -116% -35% 91% 38% 34% 2.72 100%
ECVT Ecovyst Inc -114.0 -57% -61% 60% 24% 8% 2.61 97%
ECX ECARX Holdings Inc Ordinary Shares -687.2 -262% -134% -37% -1% -5% 6.81 39%
ED Consolidated Edison -71.8 -19% -35% -6% 15% 9% 1.37 97%
EDAP Edap TMS SA -206.2 -103% -137% 49% 82% -4% 4.46 82%
EDD Morgan Stanley Emerg Mkts Domestic 88.1 76% -3% 16% 5% 0% 1.05 80%
EDF Virtus Stone Harbor Emerg Mkts Inco 13.6 28% -17% -4% 6% 5% 1.65 83%
EDIT Editas Medicine Inc -1186.8 -550% -148% 6% -1% 10% 6.14 38%
EDN Empresa Distribuidora y Comercializ -16.1 -5% 114% -41% -27% -11% 5.00 51%
EDPFY EDP - Energias -54.5 -27% -59% 46% 11% 0% 1.92 84%
EDRY EuroDry Ltd -120.6 -60% -58% 79% 65% 48% 2.79 86%
EDSA Edesa Biotech Inc -33.3 -17% -130% 90% 149% 249% 5.62 98%
EDU New Oriental Education & Technology 1.7 13% -32% 2% 1% -12% 3.40 58%
EDUC Educational Development -517.3 -189% -137% -24% 1% -4% 4.91 36%
EDVMF Endeavour Mining 149.9 37% 172% 216% 37% 17% 3.14 85%
EE Excelerate Energy Inc 33.6 50% 14% 12% 37% 8% 2.94 78%
EEA European Equity 19.2 21% -31% 9% 8% -1% 1.09 86%
EEFT Euronet Worldwide -381.4 -113% -104% -43% -1% 4% 2.13 15%
EEX Emerald Expositions Events -126.9 -38% -55% -8% 29% -17% 3.46 53%
EFC Ellington Financial Inc -78.7 -10% -33% -18% -8% -1% 1.50 55%
EFOI Energy Focus Inc -173.7 0% -122% -46% -16% -18% 6.01 12%
EFR Eaton Vance Senior Floating Rate -19.1 29% -53% -28% -4% -3% 0.72 37%
EFSC Enterprise Financial Servics -215.1 -68% -61% -19% 3% -2% 2.11 71%
EFSI Eagle Financial Services Inc 4.2 32% -63% -6% -8% -7% 1.01 54%
EFT Eaton Vance Floating Rate Income -2.3 41% -49% -27% -3% -2% 0.72 40%
EFX Equifax -302.5 -96% -67% -32% -2% 5% 2.16 30%
EFXT Enerflex Ltd 137.1 28% 189% 186% 61% 23% 3.03 96%
EG Everest Group Ltd -118.2 -12% -76% -21% 6% 2% 1.76 52%
EGAN eGain -291.4 -146% -54% 79% -3% -7% 3.68 45%
EGBN Eagle Bancorp Inc -140.4 -31% -105% -4% 30% -4% 3.33 83%
EGHT 8x8 -621.9 -250% -130% -18% 19% 36% 4.98 63%
EGO Eldorado Gold Corp 156.2 33% 286% 190% 33% 8% 3.08 78%
EGP EastGroup Properties -222.1 -89% -41% -8% 8% 10% 1.59 97%
EGY VAALCO Energy -74.8 -37% -35% 32% 49% 8% 3.36 98%
EH EHang Holdings Ltd -865.2 -348% -67% -62% -19% -6% 5.10 3%
EHAB Enhabit Inc -35.5 -18% -85% 44% 40% 28% 3.26 100%
EHC Encompass Health 7.1 12% 13% -8% -6% 18% 1.55 47%
EHI Western Asset Global High Income -8.3 19% -49% -11% 2% 0% 0.92 86%
EHTH eHealth -444.2 -72% -154% -98% -59% -39% 5.53 5%
EIC Eagle Point Income -34.4 32% -73% -46% -12% -6% 1.21 0%
EIG Employers Holdings -37.4 8% -67% -33% 5% -3% 1.58 46%
EIM Eaton Vance Municipal Bond -36.7 0% -54% -14% 2% 3% 0.71 95%
EIPAF Eni 88.9 128% 53% 55% 24% 25% 3.52 95%
EIX Edison International -60.7 -30% -47% 25% 28% 23% 1.80 95%
EJH E-Home Household SVC Hldgs Ltd -898.4 -277% -173% -115% -4% 5% 9.62 0%
EJPRY East Japan Railway -105.8 -42% -33% 0% -9% -2% 1.70 53%
EKSO Ekso Bionics Holdings -677.3 -328% -124% 31% 125% 15% 6.80 77%
EKTAY Elekta -7.1 18% -87% -1% 4% 2% 2.47 76%
EL Estee Lauder-A -199.5 -83% -129% 26% 4% -15% 2.96 71%
ELA Envela Corp 86.9 71% 29% 117% 27% 14% 3.54 99%
ELAN Elanco Animal Health Inc 72.5 32% 38% 99% 7% 0% 2.97 87%
ELBM Electra Battery Materials Corp -859.0 -303% -164% -72% -23% -16% 7.08 0%
ELDN Eledon Pharmaceuticals Inc -293.4 -70% -66% -55% 63% 12% 5.62 38%
ELE Elemental Royalty Corp 102.9 36% 74% 152% 50% 14% 3.14 95%
ELF E L F BEAUTY INC -3.4 4% -64% 8% 4% -5% 4.25 31%
ELLO Ellomay Capital Ltd 24.6 7% 27% 41% 19% -3% 3.67 71%
ELMD Electromed Inc 8.6 41% 7% -25% -12% -18% 3.36 51%
ELME Elme Communities -258.5 -63% -92% -35% -21% 2% 1.71 5%
ELS Equity Lifestyle Properties -287.0 -106% -65% -16% 9% 9% 1.51 96%
ELSE Electro-Sensors Inc -126.3 -14% -78% -23% -6% 2% 2.37 43%
ELTX Elicio Therapeutics Inc -269.9 -135% 12% 38% 34% 52% 6.53 81%
ELUT Elutia Inc -407.1 -76% -144% -80% 79% 18% 6.39 25%
ELV Elevance Health Inc -362.0 -103% -108% -42% -12% -13% 1.95 11%
ELVA Electrovaya Inc -50.5 -25% 29% 276% 76% -26% 4.46 66%
ELVN Enliven Therapeutics Inc -12.3 -6% -30% 35% 50% 8% 5.13 100%
EMA Emera Inc 42.6 38% -17% 21% 8% 8% 1.51 100%
EMAT Evolution Metals & Technologies Cor 18.4 108% -90% -41% -19% 20% 3.01 17%
EMBC Embecta Corp -723.9 -277% -138% -39% -20% -9% 3.64 11%
EMBJ Embraer SA 117.0 61% 409% 26% 15% -3% 2.82 77%
EMD Western Asset Emerging Marktes Debt 66.4 66% -13% 4% 3% 0% 0.98 85%
EME Emcor Group 139.4 70% 277% 70% 21% 3% 2.34 85%
EMF Templeton Emerging Markets 133.4 92% 35% 51% 19% -1% 1.31 84%
EML Eastern Co -32.2 10% -78% -48% -2% 0% 2.97 9%
EMN Eastman Chemical -179.4 -29% -75% -36% 19% 4% 2.12 46%
EMO ClearBridge Energy Midstream Opport 46.2 43% 51% -1% 16% 11% 1.55 93%
EMPD Empery Digital Inc -217.7 0% -173% -51% -8% -5% 8.81 6%
EMR Emerson Electric 53.7 62% 15% 9% 10% 0% 1.82 77%
ENAKF EON SE 82.0 30% 60% 63% 23% 15% 1.74 95%
ENB Enbridge 65.3 56% 1% 17% 11% 15% 1.26 99%
ENFY Enlightify Inc -1106.3 -379% -172% -117% -90% -65% 7.20 0%
ENGGY Enagas -99.3 -50% -49% 24% 5% 5% 1.51 81%
ENGIY Engie SA 156.5 83% 106% 74% 25% 9% 1.46 83%
ENGN enGene Holdings Inc 31.2 79% -79% 49% 22% -1% 5.55 74%
ENGQF Engie 89.4 85% 93% 72% 25% 8% 3.21 83%
ENIC Enel Chile SA ADR 56.2 61% 68% 9% 2% -8% 2.30 68%
ENLAY Enel SpA 102.1 62% 66% 44% 9% 3% 1.50 83%
ENLT Enlight Renewable Energy Ltd 257.0 109% 283% 323% 86% 27% 3.09 98%
ENOV Enovis Corp -839.3 -328% -127% -49% -13% 18% 2.68 23%
ENPH Enphase Energy -474.8 -150% -152% -37% 48% 19% 4.58 44%
ENR Energizer Holdings Inc -286.7 -55% -112% -51% 10% -13% 2.28 18%
ENS Enersys 53.6 26% 20% 53% 17% -9% 2.22 80%
ENSC Ensysce Biosciences Inc -330.7 0% -172% -108% -70% -28% 8.05 3%
ENSG Ensign Group Inc 62.3 17% 63% 46% 15% 24% 1.70 96%
ENTA Enanta Pharmaceuticals Inc -201.5 -101% -140% 93% 8% 18% 4.74 89%
ENTG Entegris 5.8 2% -17% 17% 68% 10% 3.45 88%
ENTX ENTERA BIO LTD -648.3 -268% -20% -50% -44% -1% 5.85 12%
ENVA Enova International Inc 74.0 65% 126% 27% 10% -14% 2.64 68%
ENVB Enveric Biosciences Inc -336.4 0% -172% -111% -64% -27% 8.08 0%
ENVX Enovix Corp -526.3 -171% -113% -55% -31% -24% 6.30 0%
EOD Allspring Global Dividend Opportuni 64.2 51% 2% 15% 7% 3% 1.09 95%
EOG EOG Resources -199.9 -77% -48% -7% 17% 19% 1.93 97%
EOI Eaton Vance Enhanced Equity Income 18.5 30% -8% -8% 4% -1% 1.10 90%
EOLS Evolus -256.2 -13% -110% -78% -19% 15% 3.75 14%
EONGY EON SE 83.3 30% 52% 59% 23% 6% 1.56 88%
EONR EON Resources Inc -6.8 47% -168% -19% 15% 39% 7.17 64%
EOS Eaton Vance Enhanced Equity Income 19.6 35% 0% -13% -2% 0% 1.22 76%
EOSE Eos Energy Enterprises Inc -0.8 0% 124% 52% -51% -51% 8.28 22%
EOT Eaton Vance National Municipal Oppo -60.3 -2% -58% -9% 7% 3% 0.74 100%
EP Empire Petroleum Corp -421.8 -97% -146% -65% 11% 18% 5.39 14%
EPAC Enerpac Tool Group Corp -15.0 12% -22% -28% 7% -2% 2.06 39%
EPAM EPAM Systems Inc -625.7 -224% -127% -46% -27% -32% 2.74 13%
EPC Edgewell Personal Care Co -394.7 -111% -120% -47% 23% 11% 2.13 35%
EPD Enterprise Products Partners LP 115.6 115% 6% 1% 15% 14% 1.04 98%
EPM Evolution Petroleum -281.1 -97% -84% -16% 13% 14% 2.81 63%
EPOAY EPIROC AKTIEBOLAG 53.8 66% -17% 25% 29% 0% 2.16 82%
EPR EPR Properties 5.3 3% 8% 1% 14% 13% 1.62 96%
EPRT Essential Properties Realty Trust I -6.6 7% -22% -8% 10% 16% 1.57 100%
EPRX Eupraxia Pharmaceuticals Inc 72.2 48% 100% 90% 36% 5% 3.75 86%
EPSN Epsilon Energy Ltd -129.4 -10% -67% -32% 13% 15% 2.54 29%
EQ Equillium Inc -343.6 -172% 24% 126% 103% 17% 7.40 86%
EQBK Equity Bancshares Inc A 24.1 52% -13% -9% 3% -2% 2.22 76%
EQH Equitable Holdings Inc -21.2 19% -35% -41% -12% -12% 2.24 7%
EQIX Equinix Inc -140.0 -54% -23% -9% 32% 22% 1.77 98%
EQNR Equinor -18.1 -9% -40% 30% 39% 25% 2.22 96%
EQR Equity Residential -257.0 -77% -63% -31% 2% 3% 1.57 33%
EQS Equus Total Return Inc -197.3 -64% -84% -6% -28% 3% 3.50 36%
EQT EQT 22.6 24% 19% 10% 1% 14% 2.53 98%
EQX Equinox Gold Corp -7.0 -3% 315% 147% 21% 23% 4.02 88%
ERAS Erasca Inc 349.2 37% 247% 1064% 403% 44% 5.77 100%
ERC Allspring Multi-Sector Income -18.1 9% -50% -8% 0% 1% 0.70 88%
ERH Allspring Utilities and High Income 66.1 66% -19% 8% 5% 11% 1.06 97%
ERIC Telefonaktiebolaget L M Ericsson AD 80.9 77% 61% 25% 19% 6% 2.03 96%
ERIE Erie Indemnity-A -22.4 39% -51% -56% -8% -2% 2.01 8%
ERII Energy Recovery Inc -242.9 -34% -123% -47% -27% -27% 3.01 6%
ERO Ero Copper Corp 78.5 19% 24% 161% 23% -6% 3.79 78%
ES Eversource Energy -33.5 -4% -61% 8% 14% 12% 1.75 96%
ESAB ESAB Corp 18.2 38% 31% -19% 6% 4% 2.23 44%
ESBA Empire State Realty OP -346.2 -86% -94% -56% -18% -9% 3.72 1%
ESCA Escalade -3.6 14% -37% -9% 20% 4% 3.12 85%
ESE ESCO Technologies 116.7 81% 133% 55% 36% 22% 2.09 96%
ESEA EUROSEAS LTD 115.5 54% 266% 98% 14% 23% 3.15 97%
ESG FlexShares STOXX US ESG Select Ix 46.3 49% -1% -3% 1% 0% 0.96 93%
ESGG FlexShares STOXX Global ESG Selec 62.8 57% 0% 4% 3% 0% 0.94 92%
ESGL ESGL Holdings Ltd -48.8 -24% -141% 98% -18% -7% 6.11 66%
ESI Element Solutions Inc 30.8 32% 0% 18% 32% 16% 2.24 86%
ESLA Estrella Immunopharma Inc -424.6 -151% -162% -7% -40% 2% 7.92 14%
ESLOY Essilor International SA 7.4 47% -18% -31% -29% -14% 1.71 6%
ESLT Elbit Systems 236.4 96% 366% 149% 94% 28% 2.10 100%
ESNT Essent Group Ltd 25.8 53% -23% -11% -5% -4% 1.66 56%
ESOA Energy Services of America Corp 79.3 45% 467% 30% 75% 60% 4.82 91%
ESOCF Enel SpA 71.1 49% 57% 48% 11% 9% 2.27 87%
ESP Espey Manufacturing & Electronics C 117.1 83% 139% 109% 47% 8% 3.07 87%
ESPR Esperion Therapeutics Inc -46.1 -23% -125% 67% -23% -15% 6.54 65%
ESQ Esquire Financial Holdings 48.6 44% 57% 17% 0% -5% 2.32 70%
ESRT EMPIRE ST RLTY TR INC CL A -304.1 -70% -90% -52% -19% -10% 2.51 1%
ESS Essex Property Trust -172.7 -38% -47% -33% -1% 5% 1.71 20%
ESTA Establishment Labs Holdings Inc -136.6 -68% -66% 48% 4% 1% 4.63 84%
ESTC Elastic NV -507.1 -157% -83% -69% -28% -19% 3.38 0%
ET Energy Transfer LP 31.6 44% 15% -11% 13% 7% 1.44 93%
ETB Eaton Vance Tax-Managed Buy-Write I 6.7 15% -22% -1% 2% 1% 0.86 97%
ETD Ethan Allen Interiors Inc -252.8 -71% -74% -30% -5% 1% 2.26 15%
ETG Eaton Vance Tax-Advantaged Glbl Div 74.2 65% 6% 12% 2% -3% 1.12 88%
ETHXB CI Galaxy Ethereum ETF -301.0 -114% -41% -23% -25% -6% 4.60 18%
ETHZ ETHZilla Corp -964.5 -333% -172% -92% -66% -13% 9.70 0%
ETJ Eaton Vance Risk-Mngd Dvrsfd Eqty I 28.9 46% -27% -9% 1% 0% 0.93 93%
ETN Eaton 48.3 51% 40% 12% 4% 0% 2.14 73%
ETO Eaton Vance Tax-Advantaged Glbl Div 64.2 60% -4% 8% 2% -1% 1.09 90%
ETON Eton Pharmaceuticals Inc -31.1 -16% 300% -1% 13% 17% 4.20 55%
ETR Entergy 80.6 76% 51% 7% 12% 14% 1.47 98%
ETSY Etsy Inc -301.4 -105% -126% -4% 1% 5% 3.40 43%
ETV Eaton Vance Tax-Managed Buy-Write O 18.5 30% -25% -3% 3% 1% 0.97 97%
ETW Eaton Vance Tax-Managed Glb BuyWrit 53.5 52% -19% 5% 4% 1% 0.91 95%
ETX 2028 Eaton Vance Muni Income Term 31.1 49% -48% -8% 0% 4% 0.64 93%
EU enCore Energy Corp -44.2 -22% -81% 39% -21% -25% 4.80 33%
EUDA Euda Health Holdings Ltd -16.1 58% -102% -96% -76% -33% 8.01 2%
EVAX Evaxion Biotech AS -82.6 -32% -168% 47% -44% 2% 7.86 19%
EVCM EverCommerce Inc -220.4 -103% -49% 9% 42% 4% 2.91 80%
EVER EVERQUOTE -345.9 -96% -76% -51% -38% -24% 4.35 17%
EVEX EVE HLDG INC -402.7 -124% -117% -38% -27% -17% 4.67 3%
EVF Eaton Vance Senior Income Trust 12.9 55% -51% -27% -3% -2% 0.74 39%
EVG Eaton Vance Short Duration Diversif 33.3 56% -39% -14% -1% 1% 0.75 84%
EVGN Evogene Ltd -1066.3 -422% -161% -58% -19% -16% 5.63 2%
EVGO EVgo Inc -427.2 -156% -130% -14% -20% -15% 5.66 6%
EVH Evolent Health Inc A -541.9 -140% -162% -77% -12% 10% 3.89 11%
EVI EVI Industries INC -2.8 7% -67% 8% 3% -15% 4.29 30%
EVLV Evolv Technologies Holdings Inc -113.6 -57% 16% 43% -15% -11% 5.13 41%
EVMT Invesco ElctcVhcl Mtls Cmd Stgy No -23.3 -2% -79% 17% 14% 5% 1.28 90%
EVO Evotec SE -860.3 -344% -138% -40% 2% -3% 4.17 20%
EVR Evercore Partners 43.5 30% 80% 18% -2% -10% 2.47 69%
EVRG Evergy 53.3 58% -13% 9% 11% 13% 1.34 100%
EVT Eaton Vance Tax-Advantaged Dividend -41.4 -12% -30% 1% 9% 2% 1.02 95%
EVTC EVERTEC Inc -425.4 -143% -92% -40% 1% -1% 2.02 32%
EVTL Vertical Aerospace Ltd -739.4 -305% -152% -14% -10% -11% 7.40 28%
EVTV Envirotech Vehicles Inc -603.4 -173% -169% -73% 15% -30% 8.48 29%
EVV Eaton VanceLimited Duration Income 13.0 41% -45% -14% -3% 0% 0.75 81%
EW Edwards Lifesciences -268.7 -116% -62% 2% -1% 5% 1.89 90%
EWBC East West Bancorp 9.3 16% -14% 5% 4% -1% 2.46 79%
EWCZ European Wax Center Inc -481.9 -170% -142% -23% 44% 42% 4.08 81%
EWTX Edgewise Therapeutics Inc -16.3 -8% 133% -4% 13% 1% 5.16 89%
EXAS Exact Sciences 49.6 1% -1% 100% 1% 3% 3.09 100%
EXC Exelon -33.2 -1% -40% -3% 8% 15% 1.42 100%
EXE Expand Energy Corp 6.5 21% -24% -3% -14% 1% 2.05 48%
EXEL Exelixis 48.0 64% 66% -9% -5% -1% 2.22 61%
EXG Eaton Vance Tax-Managed Glbl Div Eq 42.3 39% -11% 7% 4% -1% 0.97 91%
EXK Endeavour Silver Corporation 114.7 26% 256% 228% 31% 17% 4.91 85%
EXLS Exlservice Holdings -32.0 28% -76% -50% -20% -17% 1.93 19%
EXN Excellon Resources Inc -364.6 -182% -15% 293% 70% 15% 9.39 79%
EXOD Exodus Movement Inc -541.1 -238% 165% -88% -19% 10% 8.92 6%
EXP Eagle Materials 11.5 46% -19% -20% -5% 2% 2.33 38%
EXPD Expeditors International of WA 24.1 34% -29% 8% -1% -9% 1.69 71%
EXPE Expedia -64.8 -32% 37% -2% -15% -18% 2.77 52%
EXPGF Experian -138.2 -9% -64% -39% -19% -2% 1.43 18%
EXPGY Experian PLC -145.0 -10% -64% -41% -19% -2% 1.79 16%
EXPI eXp World Holdings -357.5 -94% -115% -46% -39% -22% 3.75 0%
EXPO Exponent -369.7 -124% -99% -28% -1% 1% 1.97 41%
EXR Extra Space Storage -157.9 -40% -68% -16% 14% 13% 1.92 92%
EXTR Extreme Networks -26.2 0% -95% -20% -16% -1% 2.90 30%
EYE National Vision Holdings -142.4 -71% -96% 112% 3% 9% 3.34 98%
EYPT EyePoint Pharmaceuticals -138.0 -69% 362% 197% 25% 37% 6.73 94%
EZPW EZCorp 162.9 131% 126% 78% 36% 24% 2.08 95%
F Ford Motor 32.5 43% -44% 26% -2% -5% 2.35 74%
FA First Advantage Corp -285.2 -87% -72% -32% -13% -9% 2.52 34%
FAF First American Financial Corp -149.8 -56% -37% -7% 6% 10% 1.84 96%
FAMI Farmmi Inc -248.6 0% -170% -68% -15% 5% 5.32 11%
FANG Diamondback Energy Inc 29.2 53% -32% 5% 12% 13% 2.25 96%
FANUY Fanuc Corp 23.8 40% -56% 19% 21% 3% 2.38 75%
FARM Farmer Bros -998.9 -377% -145% -74% -20% -22% 4.45 0%
FAST Fastenal 48.6 45% 21% 10% 15% 5% 1.56 77%
FAT FAT Brands Inc -910.7 -287% -170% -112% -70% -13% 4.30 1%
FATE Fate Therapeutics -260.2 -104% -148% 23% 40% 19% 6.84 78%
FAX abrdn Asia-Pacific Income 0.8 16% -34% -4% 5% 2% 1.05 84%
FBASF Fibra Uno Administracion -8.6 -4% -53% 31% 16% 12% 4.02 74%
FBIN Fortune Brands Innovations Inc -281.1 -77% -86% -35% -2% -5% 2.48 34%
FBIO Fortress Biotech 11.1 1% -145% 87% 13% 0% 5.97 57%
FBIOP Fortress Biotech Preferred-A -288.6 -144% -83% 131% 99% 18% 3.72 97%
FBIZ First Business Financial Services 7.7 25% -5% -10% 3% -5% 2.35 71%
FBK FB Financial Corp 14.7 41% -21% -9% -4% -6% 2.48 67%
FBNC First Bancorp NC 23.1 21% -19% 25% 13% 1% 2.45 85%
FBP First BanCorp -16.3 0% -9% -5% 7% -3% 2.17 74%
FBRT Franklin BSP Realty Trust Inc -307.6 -91% -79% -36% -6% -7% 1.82 26%
FBRX Forte Biosciences Inc 114.8 150% -49% 296% 74% -6% 6.50 88%
FC Franklin Covey -1411.3 -581% -145% -76% -20% -37% 2.66 0%
FCAP First Capital 54.6 62% 49% 28% 7% -7% 2.91 52%
FCBC First Community Bancshares -122.4 -41% -19% -14% 26% 9% 2.28 94%
FCCO First Community -60.4 -25% -18% 1% -1% -2% 1.96 81%
FCEL FuelCell Energy -274.1 -127% -164% 45% 33% 18% 7.07 63%
FCF First Commonwealth Financial -95.5 -27% -48% -5% 9% 0% 2.10 81%
FCFS FirstCash Inc 89.5 46% 56% 59% 22% 15% 1.77 98%
FCN FTI Consulting 5.9 53% -83% -17% 0% -5% 1.67 42%
FCNCA First Citizens Bancshares-A 15.1 11% 97% -18% 3% -4% 2.41 65%
FCO abrdn Global Income -203.3 -19% -83% -55% 11% -1% 1.76 16%
FCPT Four Corners Property Trust Inc -92.6 -1% -63% -24% 8% 6% 1.40 58%
FCT First Trust Senior Floating Rate In 22.5 41% -33% -10% 4% 0% 0.68 91%
FCX FreePort-McMoRan Inc -10.4 -5% 0% 71% 53% 10% 2.88 93%
FDBC Fidelity D & D Bancorp -205.7 -68% -72% -10% 4% 0% 2.80 69%
FDMT 4D Molecular Therapeutics Inc -116.3 -58% -126% 98% -16% -1% 5.81 66%
FDP Fresh Del Monte Produce -1.3 -1% -20% 30% 17% 10% 1.77 100%
FDS FactSet Research Systems -452.0 -119% -117% -68% -19% -7% 1.76 13%
FDUS Fidus Investment Corp BDC -13.8 27% -43% -28% -4% -2% 1.19 54%
FDX FedEx 102.0 101% 28% 35% 40% 16% 1.85 98%
FEAM 5E Advanced Materials Inc -245.9 0% -171% -66% -49% -7% 7.75 5%
FEDM FlexShares ESG&Climate DvMkt xUS 30.2 32% -22% 6% 6% 1% 1.03 87%
FEDU Four Seasons Education -240.8 -73% -61% -27% -33% -2% 6.00 31%
FEED ENvue Medical Inc -1051.3 -356% -172% -112% -55% -25% 8.62 1%
FEIG FlexShares ESG&Climate InvGr CorpC 8.0 35% -53% -12% 0% 3% 0.47 97%
FEIM Frequency Electronics Inc 237.4 54% 779% 246% 95% 4% 3.72 88%
FELE Franklin Electric -14.6 16% -63% -16% 7% 1% 1.79 68%
FEMY Femasys Inc -977.6 -367% -122% -82% -39% 7% 8.42 17%
FENC Fennec Pharmaceuticals -205.2 -79% -81% 4% 5% 6% 3.68 66%
FENG Phoenix New Media Ltd ADR -522.5 -201% -94% -29% -17% -1% 5.12 16%
FERG Ferguson PLC 45.3 37% 8% 27% -2% -2% 1.97 83%
FET Forum Energy Technologies Inc 112.9 35% 23% 217% 81% 30% 3.60 93%
FEUS FlexShares ESG&Climate US LgCap C 30.6 35% -4% -3% -1% -1% 0.99 91%
FFA First Trust Enhanced Equity Income 33.0 37% -8% -1% 2% 1% 0.97 95%
FFAI Faraday Future Intelligent Electric -995.6 -357% -172% -84% -59% -57% 13.05 0%
FFBC First Financial Bancorp OH -133.5 -42% -44% -10% 12% -1% 2.17 71%
FFC Flah&Crum Preferred and Income 2.3 24% -44% -7% 1% 1% 0.94 91%
FFIC Flushing Financial -92.7 -24% -74% 3% -4% -1% 2.94 75%
FFIN First Financial Bankshares -138.4 -6% -84% -35% -4% -4% 2.31 10%
FFIV F5 Networks 28.7 47% 31% -17% 19% 3% 1.79 52%
FFWM First Foundation Inc -454.1 -186% -132% 2% 11% -5% 4.49 74%
FFXDF Fairfax India Holdings -7.9 14% -31% -15% 10% 3% 1.73 60%
FG F&G Annuities & Life Inc -38.8 1% -53% -62% -29% -20% 3.01 4%
FGBI First Guaranty Bancshares -514.8 -207% -125% -9% 76% -3% 3.21 76%
FGI FGI Industries Ltd -87.3 0% -125% -2% -32% -29% 6.28 31%
FHB First Hawaiian Inc -125.2 -20% -67% -20% -1% -2% 2.17 66%
FHI Federated Hermes Inc 38.2 18% -6% 35% 15% 9% 1.63 100%
FHN First Horizon National 1.6 27% -66% -2% 4% -4% 2.45 73%
FHTX Foghorn Therapeutics Inc -1163.8 -570% -76% 14% 28% -2% 6.56 71%
FIBK First Interstate Bancsystem 12.2 35% -54% 5% 7% -2% 2.53 79%
FICO Fair Isaac -10.0 6% 46% -39% -18% 2% 2.47 24%
FIEE FiEE Inc 144.0 16% -36% 931% 167% 28% 11.99 89%
FIGS FIGS Inc -26.2 -13% 16% 251% 57% 54% 4.19 99%
FILG Grayscale Filecoin Trust FIL -329.3 0% -160% -111% -47% -6% 14.32 1%
FINV FinVolution Group -12.9 41% -52% -48% 4% 7% 2.75 11%
FINW FinWise Bancorp -119.9 -30% 3% -31% -8% -10% 2.55 35%
FIP FTAI Infrastructure Inc 8.9 16% 36% -5% 37% 3% 4.11 68%
FIS Fidelity National Information Servi -47.1 7% -89% -46% -25% -9% 1.92 9%
FISI Financial Institutions 30.4 56% -22% 3% 4% -5% 2.41 77%
FISV Fiserv Inc -58.8 48% -118% -91% -1% 1% 1.80 2%
FITB Fifth Third Bancorp 6.0 13% -17% 2% 13% -3% 2.15 76%
FIVE Five Below Inc -77.0 -38% -65% 144% 35% 13% 3.05 97%
FIVN Five9 Inc -1066.2 -419% -146% -66% -11% 1% 3.56 10%
FIX Comfort Systems USA 309.1 74% 813% 298% 48% 23% 3.16 97%
FIZZ National Beverage -484.9 -188% -87% -25% 5% 9% 1.91 35%
FJTSY Fujitsu Ltd 26.6 51% -1% -8% -18% -20% 2.25 36%
FKWL Franklin Wireless Corp -228.0 -21% -96% -61% -17% -5% 2.67 3%
FLC Flah&Crum Total Return 13.0 32% -42% -6% 2% 1% 0.82 92%
FLD FTAC Emerald Acquisition Corp -644.8 -181% -158% -89% -53% -23% 2.69 1%
FLEX Flex Ltd 69.1 36% 104% 60% 12% 0% 2.78 82%
FLG Flagstar Financial Inc -190.4 -49% -120% -6% 4% -2% 3.76 71%
FLGT Fulgent Genetics -424.9 -143% -130% -26% -52% -45% 2.88 1%
FLNC Fluence Energy Inc -53.9 -27% -90% 187% -19% -47% 6.29 43%
FLNG Flex LNG Ltd -31.0 -16% -54% 35% 19% 15% 1.86 100%
FLNT Fluent -1326.9 -629% -135% 11% 83% -14% 5.23 71%
FLO Flowers Foods -433.3 -104% -136% -67% -18% -18% 1.70 0%
FLR Fluor -73.9 -37% -38% 13% 13% 4% 2.83 67%
FLS Flowserve 77.0 53% 81% 42% 16% 6% 2.16 83%
FLUT Flutter Entertainment PLC -59.5 1% -103% -76% -46% -29% 2.65 3%
FLUX Flux Power Holdings Inc -555.0 -223% -151% -4% -4% 14% 6.68 8%
FLWS 1-800 Flowerscom -558.7 -169% -138% -64% 1% -14% 4.04 10%
FLXS Flexsteel Industries 33.3 36% 101% 8% 30% 28% 3.69 83%
FLYW Flywire Corp -453.3 -189% -120% 2% -8% 4% 3.31 69%
FLYX flyExclusive Inc Ordinary Shares - -761.1 -288% -148% -43% -25% -19% 5.82 9%
FMAO Farmers & Merchants -6.7 16% -56% -11% 7% -4% 3.25 60%
FMC FMC Corp -801.3 -270% -161% -77% -1% -11% 3.04 5%
FMCC Federal Home Loan Mortgage 135.9 60% 1164% -6% -38% -16% 5.50 20%
FMN Federated Hermes Premier Municipal -13.1 18% -50% -12% 2% 3% 0.66 96%
FMNB Farmers National Banc Corporation -395.6 -154% -65% -22% -3% 3% 2.16 50%
FMS Fresenius Medical Care AG & Co KGa -12.4 13% -48% -17% -3% 3% 2.17 23%
FMST Foremost Lithium Resource & Technol -40.6 -20% -144% 144% -17% 10% 21.07 35%
FMTO Femto Technologies Inc -349.8 0% -173% -117% -15% -11% 10.61 0%
FMX Formento Economico Mexicano SAB de 14.8 22% -36% 11% 17% 8% 1.79 91%
FMY First Trust Mortgage Income 44.1 67% -43% -11% 1% 1% 0.86 81%
FN Fabrinet 138.0 53% 290% 179% 25% 14% 3.75 88%
FNB F N B Corp Pa -93.1 -37% -39% 4% 2% -2% 2.11 77%
FND Floor & Decor Holdings -337.9 -87% -102% -48% -2% -1% 3.01 20%
FNF Fidelity National Financial Inc -110.0 -9% -29% -36% -15% -6% 1.79 3%
FNGR FingerMotion Inc -559.1 -233% -99% -14% -11% -14% 7.59 4%
FNKO Funko -42.0 0% -129% -78% 46% 14% 4.73 24%
FNLC First Bancorp -105.1 -33% -58% 0% 12% 3% 2.21 81%
FNMA Federal National Mortgage Associati 148.7 57% 1345% -10% -35% -16% 5.66 20%
FNV Franco-Nevada Corp 88.4 56% 40% 70% 26% 14% 2.15 87%
FNWB First Northwest Bancorp -478.9 -175% -104% -30% -7% -12% 2.06 59%
FNWD Finward Bancorp 7.6 15% -65% 18% -7% -2% 1.95 70%
FOA Finance of America Companies Inc -120.1 -8% -47% -36% -22% -20% 5.59 0%
FOF Cohen & Steers Closed-End Opportuni 46.0 40% -7% 8% 10% 1% 0.96 87%
FOLD Amicus Therapeutics -167.1 -84% -64% 40% 45% 2% 2.79 99%
FOR Forestar Group 30.4 37% 23% 11% 7% 4% 2.66 78%
FORA Forian Inc -569.5 -223% -132% -17% -5% 0% 4.29 45%
FORM FormFactor 119.2 60% 133% 177% 68% 31% 3.71 84%
FORR Forrester Research -355.3 -67% -154% -60% -15% -22% 3.06 12%
FORTY Formula Systems 1985 44.4 66% 24% 19% -20% -17% 3.20 44%
FOSL Fossil Group Inc -474.8 -237% -68% 210% 42% 28% 6.28 90%
FOUR Shift4 Payments Inc -359.4 -82% -89% -68% -36% -17% 3.22 5%
FOX Fox Corp Class B 21.9 47% -2% -16% -11% -16% 1.75 41%
FOXA Fox Corp Class A 26.1 50% -1% -14% -12% -17% 1.78 40%
FOXF Fox Factory Holding Corp -506.1 -149% -157% -52% 15% -1% 3.34 27%
FPAFY First Pacific Co 83.6 72% 111% 20% -4% 2% 2.08 72%
FPF First Trust Intermed Durtn Prefd & 3.7 23% -34% -8% 3% 2% 0.84 91%
FPH Five Point Holdings -34.6 -17% 81% -18% -10% 9% 2.99 47%
FPI Farmland Partners Inc -245.5 -113% -25% -1% 36% 17% 1.76 98%
FQVLF First Quantum Minerals Ltd 60.2 50% -38% 116% 21% -2% 4.10 83%
FR First Industrial Realty Trust -125.7 -43% -46% -4% 10% 10% 1.61 95%
FRA BlackRock Floating Rate Income Stra 24.1 55% -39% -20% -2% -1% 0.81 46%
FRAF Franklin Financial Services Corp -34.9 -17% 7% 26% -1% 4% 1.61 84%
FRBA First Bank -13.1 5% -47% -10% 2% -1% 2.15 67%
FRCOY Fast Retailing Co 54.8 62% 35% 14% 13% 7% 2.18 75%
FRD Friedman Industries Inc -5.4 -3% 0% 6% 3% -4% 3.50 63%
FRFHF Fairfax Financial Holdings Ltd 68.9 60% 84% 4% 0% 5% 1.68 68%
FRGT Freight Technologies Inc -338.2 0% -172% -112% -67% -2% 8.45 0%
FRHC Freedom Holding Corp 11.5 46% 9% -28% -3% 8% 2.59 24%
FRME First Merchants -114.8 -11% -65% -25% 5% -3% 2.27 62%
FRO Frontline Ltd 103.5 75% 95% 117% 59% 29% 3.30 88%
FROG JFrog Ltd -119.5 -50% -2% -9% -35% -28% 3.43 27%
FRPH FRP Holdings Inc -199.4 -31% -85% -41% 4% 3% 1.86 20%
FRPT Freshpet Inc -157.4 -39% -35% -28% 48% 24% 2.80 77%
FRSH Freshworks Inc -354.1 -73% -116% -66% -29% -19% 3.21 16%
FRST Primis Financial Corp 22.6 37% -45% 17% 19% -3% 2.39 88%
FRT Federal Realty Investment Trust -175.8 -61% -56% -9% 13% 11% 1.54 99%
FRX Forest Road Acquisition Corp -278.0 -106% -82% -6% -3% 9% 2.75 58%
FSBC Five Star Bancorp -15.8 -8% -17% 14% 12% -1% 2.19 86%
FSBW FS Bancorp -88.2 -18% -48% -10% -1% -3% 2.36 66%
FSCO FS Credit Opportunities Corp 3.5 44% -13% -36% -13% -11% 1.42 8%
FSI Flexible Solutions International In -124.3 -50% 13% -17% -20% -8% 3.94 24%
FSK FS KKR Capital Corp -35.6 47% -84% -62% -28% -17% 1.40 2%
FSLR First Solar 12.5 11% -54% 37% -26% -13% 3.79 47%
FSLY Fastly Inc-A -232.7 -116% -27% 189% 70% 119% 4.87 93%
FSM FORTUNA MNG CORP 113.5 31% 213% 171% 24% 28% 3.81 86%
FSNUY FRESENIUS SE&CO 57.8 52% 38% 22% 3% 1% 2.01 35%
FSP Franklin Street Properties -493.2 -123% -141% -76% -27% -11% 3.45 1%
FSS Federal Signal 54.3 38% 53% 29% 2% 6% 2.12 79%
FSTR LB Foster 21.6 11% 79% 5% 18% 3% 2.90 95%
FSUGY Fortescue Metals Group Ltd -28.2 -11% -55% 15% -6% -7% 2.65 70%
FSUN Firstsun Capital Bancorp -134.7 -25% -60% -23% 11% -5% 1.56 69%
FSV FirstService Corp -246.0 -71% -61% -31% -4% 0% 1.69 2%
FT Franklin Universal Trust 29.1 39% -30% -2% 3% 4% 0.82 99%
FTAI FTAI Aviation Ltd 230.4 89% 995% 123% 66% 5% 3.73 88%
FTCI FTC Solar Inc -7.0 -3% -146% 138% -17% -27% 7.89 50%
FTDR Frontdoor Inc 55.3 19% 68% 50% 26% 18% 2.29 95%
FTEK Fuel Tech Inc -198.2 -83% -79% 10% -30% -11% 3.59 11%
FTHM Fathom Holdings Inc -607.9 -230% -155% -22% -29% -18% 6.63 7%
FTHY FIRST TRUST HIGH YIELD OPPS 20 28.0 49% -39% -13% 0% 0% 0.67 88%
FTI TECHNIPFMC PLC 160.3 83% 252% 115% 42% 17% 2.53 95%
FTK Flotek Industries 54.1 10% 86% 118% 21% 0% 4.79 84%
FTLF FitLife Brands Inc -2.9 15% -11% -17% -18% -6% 2.92 46%
FTNT Fortinet Inc -184.9 -41% -34% -40% 0% 3% 2.38 24%
FTS FORTIS INC 38.2 28% -11% 18% 11% 12% 1.21 100%
FTV Fortive Corp 18.9 63% -56% -20% 9% 10% 1.66 75%
FUBO FuboTV Inc -1129.2 -454% -111% -74% -58% -44% 6.56 2%
FUFU BitFuFu Inc Class A Ordinary Share -304.2 -40% -146% -63% -9% 1% 5.12 16%
FUJHY Subaru Corp -11.3 29% -66% -27% -24% -19% 2.49 20%
FUJIY Fujifilm Holdings Corp -84.0 0% -52% -25% -12% -4% 1.85 17%
FUL HB Fuller Co -88.3 -18% -77% 0% 10% 7% 1.98 84%
FULC Fulcrum Therapeutics Inc -326.1 -163% -29% 140% -16% -21% 5.97 48%
FULT Fulton Financial 9.0 32% -34% -6% 15% 2% 2.31 80%
FUN Six Flags Entertainment Corp -583.6 -168% -135% -79% 12% -7% 3.09 13%
FUNC First United 16.3 26% 29% -12% -5% -7% 1.90 70%
FUND Sprott Focus Trust -13.1 -7% -27% 28% 19% 8% 1.21 98%
FUPBY Fuchs Petrolub -120.1 -12% -56% -30% -5% -1% 1.81 8%
FURY Fury Gold Mines Ltd -162.5 -81% -63% 72% 16% -5% 4.58 59%
FUSB First US Bancshares Inc 12.9 33% -10% -5% 10% -5% 2.75 79%
FUSE Fusemachines Inc -16.8 132% -159% -106% -18% -48% 2.26 1%
FUTU Futu Holdings 37.3 23% 150% 24% -15% -8% 4.18 58%
FV First Trust DorsyWrgt Focus 5 ETF -52.7 -10% -34% -5% 4% -2% 1.39 85%
FVCB FVCBankcorp Inc 5.3 6% -58% 24% 21% 1% 2.98 88%
FVRR Fiverr Intl -610.7 -183% -145% -74% -48% -34% 3.82 2%
FWDI Forward Industries Inc -151.0 -29% -127% -4% -36% -9% 5.75 5%
FWONA Liberty Formula One Group -23.0 8% -47% -26% -10% 1% 1.92 29%
FWONK Liberty Formula One Group -12.1 25% -49% -26% -11% 2% 1.89 27%
FWRD Forward Air -925.0 -405% -149% -8% 1% -14% 4.16 65%
FWRG First Watch Restaurant Group Inc -381.8 -103% -92% -57% -35% -24% 3.16 0%
FXNC First National Corp 27.6 45% -9% -4% 9% 1% 1.76 84%
G Genpact Ltd -195.4 -31% -83% -39% -8% -6% 1.83 29%
GABC German American Bancorp -13.9 9% -57% -11% 5% -2% 1.95 77%
GAIA Gaia -194.8 -33% -68% -41% -8% -4% 4.10 9%
GAIN Gladstone Investments -49.9 -11% -25% -5% 0% 2% 1.37 91%
GALT Galectin Therapeutics -179.0 -90% -17% 91% -44% 5% 5.66 36%
GAM General American Investors 94.3 61% 37% 18% 4% 2% 0.92 96%
GAMB Gamblingcom Group Ltd -34.0 63% -129% -86% -23% -5% 2.88 2%
GANX Gain Therapeutics Inc -301.2 -127% -113% 14% -22% 46% 6.32 41%
GAP Gap Inc -113.2 -57% 72% 20% 1% -2% 3.62 89%
GAPFF Aimia 5.1 26% -97% 15% 10% 2% 2.26 82%
GASNY Naturgy Energy Group SA -31.4 -1% -47% 1% -7% -5% 1.50 60%
GASS StealthGas 86.2 51% 153% 63% 44% 23% 2.82 100%
GATX GATX 28.1 39% 6% -3% 16% 3% 1.69 78%
GAU Galiano Gold Inc 137.7 58% 475% 170% 36% 25% 4.60 89%
GBAB Guggenheim Tax Muni & Inv Grade Deb -73.0 -7% -55% -11% 1% 2% 0.99 90%
GBAT Grayscale Basic Attention Token BAT -490.2 -112% -129% -90% -68% -26% 11.89 1%
GBCI Glacier Bancorp -6.0 32% -67% -20% 5% -9% 2.72 51%
GBDC Golub Capital BDC Inc -3.2 41% -48% -28% -9% -3% 1.20 18%
GBERY Geberit AG 14.1 8% -20% 17% -1% 4% 1.66 76%
GBFH GBank Financial Holdings Inc 32.0 56% 77% -28% -7% -6% 2.36 5%
GBLI Global Indemnity PLC -9.6 39% -61% -34% 0% -1% 2.15 22%
GBNY Generations Bancorp NY Inc 13.0 53% -37% -21% -17% -15% 2.06 4%
GBOOF Grupo Financiero Banorte SAB de CV 230.4 23% 604% 439% 93% -4% 4.76 86%
GBOOY Grupo Financiero Banorte SAB de CV 41.7 22% 1% 53% 21% 1% 2.63 86%
GBR New Concept Energy Inc -334.2 -94% -107% -37% -1% 9% 4.37 15%
GBTG Global Business Travel Groupcom-A -402.2 -120% -92% -50% -27% -13% 2.89 21%
GBX Greenbrier Companies -3.5 -1% 27% -10% 27% 12% 2.50 89%
GCBC Greene County Bancorp Inc -18.0 19% -86% -29% 0% -2% 3.31 44%
GCMG GCM Grosvenor Inc -94.0 -15% -6% -30% 8% 5% 1.70 53%
GCO Genesco -546.7 -194% -113% -41% -27% -7% 4.41 44%
GCSAE GAMCO Convertible Securities Class -3.3 29% -58% -13% -2% -1% 0.78 66%
GCSAF GAMCO Convertible Securities Class -77.6 -2% -66% -15% -3% -1% 0.76 60%
GCSAU GAMCO Convertible Securities Class -3.7 24% -51% -10% -2% 0% 0.78 73%
GCSFF GAMCO Convertible Securities Class -1.9 29% -56% -12% -2% -1% 0.77 68%
GCSFU GAMCO Convertible Securities Class 1.7 27% -49% -9% -1% 0% 0.77 74%
GCSID GAMCO Convertible Securities I USD 3.1 29% -49% -10% -2% 0% 0.77 74%
GCSIE GAMCO Convertible Securities Class -3.8 28% -57% -12% -2% -1% 0.77 68%
GCSIF GAMCO Convertible Securities Class -85.9 -7% -64% -14% -3% -1% 0.77 61%
GCSIU GAMCO Convertible Securities I USD 2.9 29% -49% -10% -2% 0% 0.77 74%
GCSRR GAMCO Convertible Securities Class -6.2 26% -58% -13% -2% -1% 0.77 67%
GCSRU GAMCO Convertible Securities Class -3.1 24% -51% -10% -2% 0% 0.77 73%
GCSXU GAMCO Convertible Securities Class 8.0 32% -47% -9% -1% 0% 0.77 76%
GCT GigaCloud Technology Inc 119.2 34% 695% 160% 16% 11% 6.14 93%
GCTK GlucoTrack Inc -335.4 0% -172% -110% -77% -23% 10.45 0%
GCTS GCT SEMICONDUCTOR HLDG INC -538.9 -153% -162% -62% -22% -8% 5.92 7%
GCV Gabelli Convertible & Income 71.3 77% -38% 17% 11% 1% 1.29 96%
GD General Dynamics 54.9 36% -4% 29% 10% 7% 1.33 99%
GDDY GODADDY INC CL A -58.4 2% -56% -68% -32% -10% 1.87 8%
GDEN Golden Entertainment Inc -859.4 -378% -92% -21% -2% 9% 2.46 73%
GDLC Grayscale Digital Large Cap -4.0 -2% 389% -27% -18% -5% 4.56 13%
GDO Western Asset Global Corp Defined O -53.1 -5% -49% -5% -2% 0% 0.68 84%
GDOT Green Dot Corp -352.9 -176% -107% 58% -7% -2% 3.32 61%
GDRX GoodRx Holdings Inc -406.1 -87% -131% -72% -21% -3% 4.23 10%
GDRZF Gold Reserve Inc -6.5 -3% 162% 113% 182% 8% 5.54 93%
GDS GDS HOLDINGS 22.3 62% 21% 3% 10% -14% 5.42 69%
GDV Gabelli Dividend & Income 43.0 40% -11% 7% 6% 2% 1.00 94%
GDYN Grid Dynamics Holdings Inc -260.4 -14% -113% -79% -18% -12% 3.53 8%
GE GE Aerospace 163.7 76% 356% 52% 17% 12% 2.01 97%
GECC Great Elm Capital -212.7 -22% -79% -58% -22% -17% 1.92 0%
GEF Greif-A -333.5 -163% -60% 16% 8% 1% 1.87 82%
GEFB Greif-B -147.6 -74% -50% 37% 23% 3% 1.98 90%
GEG Great Elm Group Inc -117.0 -28% -80% -4% -21% 0% 2.34 19%
GEHC GE HealthCare Technologies Inc -117.0 -10% -68% -26% -1% 0% 2.04 69%
GEL Genesis Energy LP 20.4 4% 12% 28% 19% 14% 2.56 100%
GELHY Genting Bhd -13.8 17% -31% -33% -12% -3% 2.81 23%
GELYF Geely Automobile Holdings 21.6 56% 23% -17% -10% -3% 3.30 44%
GEN Gen Digital Inc -178.1 -36% -54% -35% -16% -4% 1.97 6%
GENC Gencor Industries 5.7 15% -58% 15% 22% 13% 2.86 90%
GENI Genius Sports Ltd -158.6 -18% -50% -45% -42% -26% 3.86 4%
GEO GEO Group Inc -155.4 -16% -5% -60% -8% -3% 3.37 10%
GEOS Geospace Technologies -31.0 -15% -7% 11% -25% -38% 4.95 19%
GERN Geron -489.7 -174% -119% -31% 23% -3% 4.80 45%
GETY Getty Images Holdings-A -1557.2 -653% -159% -73% -39% -30% 4.88 13%
GEVO GEVO INC -323.7 -162% -69% 32% -11% 2% 6.32 55%
GF New Germany -28.9 -9% -44% 9% 7% -4% 1.28 79%
GFAI Guardforce AI Co Ltd -233.5 0% -165% -62% -34% 11% 8.38 18%
GFF Griffon 29.0 27% 72% 1% 10% 3% 2.59 58%
GFI Gold Fields ADR 150.9 31% 442% 168% 19% 4% 3.59 76%
GFL GFL Environmental Inc -5.2 22% -26% -21% -1% 6% 1.82 34%
GFR Greenfire Resources Ltd -411.5 -159% -114% -9% 29% 15% 2.96 95%
GFS GLOBALFOUNDRIES Inc -182.0 -69% -99% 12% 32% 14% 3.04 88%
GGAL Grupo Financiero Galicia SA ADR 18.3 16% 211% -37% -16% -17% 4.33 49%
GGG Graco -52.4 -8% -35% -7% 13% 7% 1.49 91%
GGN GAMCO Global Gold Natural Resource 112.4 80% 35% 35% 12% 12% 1.26 95%
GGR Gogoro Inc -1174.0 -454% -168% -76% -13% 8% 4.92 11%
GGT Gabelli Multimedia -13.3 3% -43% -6% 5% 2% 1.63 89%
GGZ Gabelli Global Small/MidCap Value 44.6 31% -16% 23% 16% 4% 1.19 94%
GH Guardant Health Inc -21.3 -11% 134% 111% -12% -18% 4.34 70%
GHC Graham Holdings Co 31.9 51% 3% -5% -3% -8% 1.92 64%
GHG GreenTree Hospitality Group -330.9 -54% -136% -66% -26% -8% 3.40 2%
GHI Greystone Housing Impact Investors -502.1 -168% -111% -46% 22% 0% 1.98 33%
GHM Graham 169.3 63% 430% 165% 55% 19% 3.38 95%
GHRS GH Research PLC -319.3 -160% -5% 56% 12% 3% 5.47 68%
GHY PGIM Global High Yield 45.7 67% -26% -15% 2% -1% 0.92 82%
GIB CGI Group-A -174.3 -10% -91% -46% -18% -14% 1.47 6%
GIC Global Industrial Co 38.0 42% -42% 31% 17% 7% 2.11 73%
GIFT RDE Inc -577.2 -172% -145% -68% -20% -15% 4.39 0%
GIII G-III Apparel Group 19.6 35% 15% -2% 4% 4% 2.88 88%
GIL Gildan Activewear 56.6 53% 56% 12% 16% 2% 1.95 85%
GILD Gilead Sciences 70.8 74% 31% 14% 19% 5% 1.77 88%
GILT Gilat Satellite Networks 117.9 58% 129% 143% 54% -4% 3.13 84%
GIPR Generation Income Properties Inc -885.4 -294% -164% -94% -60% -41% 4.07 0%
GIS General Mills -223.4 -31% -112% -44% -7% -3% 1.50 6%
GK AdvisorShares Gerber Kawasaki ETF -0.2 3% -22% 4% -3% -1% 1.39 84%
GKOS Glaukos Corp 24.5 37% 70% -12% 8% 0% 3.02 79%
GL Globe Life Inc -103.1 -31% -50% -4% 9% 2% 1.85 94%
GLAD Gladstone Capital -43.6 9% -51% -46% -10% -6% 1.49 5%
GLAXD Gsk Plc 50.2 69% 4% 37% 23% 12% 3.29 82%
GLBE Global E Online Ltd -187.1 -47% -50% -30% -11% -1% 3.48 50%
GLBS Globus Maritime Ltd -136.5 -68% -2% 39% 43% 34% 4.11 86%
GLBZ Glen Burnie Bancorp -630.0 -254% -112% -23% 8% 7% 3.57 47%
GLCNF Glencore -80.3 -40% -49% 61% 46% 5% 2.57 97%
GLDD Great Lakes Dredge & Dock 76.1 17% 118% 96% 32% 14% 3.00 100%
GLDG GoldMining Inc -60.5 -30% -14% 81% 14% 9% 3.54 64%
GLMD Galmed Pharmaceuticals -687.4 -199% -172% -87% -40% -10% 7.37 3%
GLNCY Glencore PLC -19.1 -10% -35% 59% 45% 5% 2.46 96%
GLNG Golar Lng Ltd Bermuda 33.1 24% 54% 13% 25% 15% 2.32 100%
GLO Clough Global Opportunities 57.1 50% -3% 13% 4% 0% 1.17 90%
GLOB Globant SA -552.9 -148% -141% -81% -20% -19% 3.22 10%
GLP Global Partners -11.4 9% -5% -28% 11% 7% 2.48 63%
GLPEY Galp Energia SGPS SA 40.6 33% 28% 18% 7% 12% 1.97 89%
GLPG Galapagos NV ADR -187.7 -78% -83% 12% 7% 0% 2.04 73%
GLPI Gaming and Leisure Properties Inc -140.6 -39% -60% -11% 15% 14% 1.37 99%
GLQ Clough Global Equity 74.2 55% 15% 19% 6% 1% 1.15 93%
GLRE Greenlight Capital Reinsurance 10.7 35% -17% -14% 7% 4% 1.83 80%
GLSI Greenwich LifeSciences Inc -575.7 -288% 9% 113% 227% -14% 5.00 74%
GLTO Galecto Inc -3046.9 -1523% -116% 623% 66% 10% 7.95 86%
GLU Gabelli Global Utility & Income 95.4 82% 9% 25% 15% 6% 1.30 92%
GLUE Monte Rosa Therapeutics Inc 69.5 2% 136% 218% 17% -9% 6.61 69%
GLV Clough Global Dividend and Income 75.8 74% -25% 9% 3% 2% 0.98 92%
GLW Corning 245.2 99% 283% 187% 74% 33% 2.11 87%
GM General Motors Co 63.8 45% 34% 50% 7% -5% 2.32 82%
GMAAE GAMCO Merger Arbitrage Class A EU -10.3 25% -61% -11% -1% 1% 0.32 92%
GMAAS GAMCO Merger Arbitrage Class A SE -35.3 9% -62% -12% -1% 1% 0.33 88%
GMAAU GAMCO Merger Arbitrage Class A US -2.2 26% -54% -9% 0% 2% 0.31 96%
GMAB Genmab -9.9 11% -98% 5% -11% -14% 2.36 59%
GMAIC GAMCO Merger Arbitrage Class I CH -85.4 -7% -67% -13% -1% 1% 0.32 88%
GMAIE GAMCO Merger Arbitrage Class I EU -2.7 28% -59% -10% 0% 1% 0.31 93%
GMAIS GAMCO Merger Arbitrage Class I SE -12.0 23% -60% -11% -1% 1% 0.33 88%
GMAIU GAMCO Merger Arbitrage Class I US 4.3 30% -53% -9% 0% 2% 0.31 96%
GMARU GAMCO Merger Arbitrage Class R US 1.9 28% -53% -9% 0% 2% 0.31 96%
GMASE GAMCO Merger Arbitrage Class S EU -5.5 25% -57% -10% 0% 1% 0.31 94%
GMASU GAMCO Merger Arbitrage Class S US 24.7 42% -52% -9% 0% 2% 0.31 96%
GMBXF Grupo Mexico 109.0 49% 99% 142% 37% 11% 3.11 94%
GME GameStop -1389.4 -659% -48% -20% 4% -6% 5.07 26%
GMED Globus Medical Inc Class A -118.0 -49% -19% -3% 0% 2% 2.17 86%
GMIGA GAMCO Merger Arbitrage I GBP unhed -4.4 31% -64% -13% 0% 4% 0.57 96%
GMIGH GAMCO Merger Arbitrage I GBP hedge 6.0 30% -53% -8% 0% 1% 0.31 94%
GMRE Global Medical REIT Inc -550.8 -219% -80% -30% 12% 6% 2.04 60%
GMREH GAMCO Merger Arbitrage R EUR hedge -3.6 28% -59% -11% 0% 1% 0.31 93%
GMRGH GAMCO Merger Arbitrage R GBP hedge 2.8 29% -54% -9% 0% 1% 0.31 94%
GNE Genie Energy -83.3 -12% -41% -16% 4% 9% 2.81 8%
GNENF GANFENG LITHIUM CO LTD 72.1 70% -19% 146% 27% 0% 4.82 77%
GNFT Genfit SA 83.4 28% 60% 178% 91% 48% 4.42 92%
GNGBY GETINGE AB -346.0 -144% -66% -7% -6% 0% 2.27 59%
GNK Genco Shipping & Trading Limited 44.9 19% -22% 65% 27% 15% 2.40 98%
GNL Global Net Lease Inc -99.5 -35% -74% 10% 16% 3% 2.22 87%
GNLX Genelux Corp -339.1 -75% -151% -44% -46% 0% 7.57 10%
GNPX Genprex -754.0 -214% -172% -106% -28% -15% 9.91 1%
GNRC Generac Holdings Inc -180.1 -90% 12% 51% 47% 31% 3.08 88%
GNS Genius Group Ltd -100.4 0% -171% 7% -39% -8% 9.98 18%
GNSS Genasys Inc -392.4 -117% -121% -39% -17% 5% 4.31 39%
GNT GAMCO Natural Resources Gold & Inc 114.2 71% 46% 47% 23% 14% 1.32 92%
GNTA Genenta Science SPA -407.0 -58% -158% -93% -56% -7% 5.89 3%
GNTX Gentex -138.7 -19% -88% -21% 0% -2% 1.72 29%
GNW Genworth Financial 18.2 34% -35% 6% -2% 3% 2.20 78%
GO Grocery Outlet -33.5 20% -141% -40% -23% -4% 2.97 0%
GOCO GoHealth Inc -877.5 -279% -162% -106% -43% -22% 5.45 2%
GOF Guggenheim Strategic Opportunities -128.9 -13% -65% -30% 0% -1% 1.10 14%
GOFPY Greek Organisation 13.6 41% -24% -14% -17% -15% 1.79 10%
GOGO GOGO INC COM -729.6 -277% -136% -43% -25% 19% 3.80 10%
GOLF Acushnet HLDGS 92.8 94% 40% 40% 19% 3% 2.17 92%
GOOD Gladstone Commercial -18.5 25% -57% -32% 16% 10% 1.76 53%
GOOG Alphabet Inc Class C 133.5 86% 167% 63% -4% -10% 2.06 79%
GOOGL Alphabet Inc Class A 133.9 85% 167% 65% -5% -10% 2.07 80%
GOOS CANADA GOOSE HOLDINGS INC -290.0 -113% -109% 4% -19% -5% 3.37 59%
GORO Gold Resource -123.9 -62% -8% 185% 90% 9% 7.17 79%
GOSS Gossamer Bio Inc -302.4 -36% -140% -68% -82% -75% 6.78 6%
GOTU Gaotu Techedu Inc -465.6 -142% -110% -54% -11% -2% 5.34 6%
GP GreenPower Motor Company Inc -2030.5 -843% -172% -115% 12% 6% 6.29 1%
GPC Genuine Parts -20.8 26% -102% -21% -11% -17% 1.77 27%
GPCR Structure Therapeutics Inc -12.2 -6% 91% 165% 82% -28% 5.44 62%
GPDNF Danone SA 19.7 35% -23% 1% -9% 4% 1.87 57%
GPGI GPGI Inc 88.5 37% 187% 76% 19% -1% 2.96 85%
GPI Group 1 Automotive -7.6 40% -24% -45% -19% -6% 2.34 4%
GPK Graphic Packaging Holding -67.1 13% -123% -74% -32% -23% 2.04 0%
GPMT Granite Point Mortgage Trust -658.2 -236% -131% -50% -34% -17% 3.32 19%
GPN Global Payments -481.9 -166% -102% -41% 1% 9% 2.29 31%
GPOR Gulfport Energy Corp 62.4 54% 141% 8% -6% 9% 2.49 80%
GPRE Green Plains -20.3 -10% -129% 163% 48% 32% 4.32 97%
GPRK GeoPark Ltd -395.3 -166% -94% 0% 1% 5% 3.27 93%
GPRO GoPro Inc Class A -91.3 -28% -152% 33% -35% 1% 4.97 25%
GPUS Hyperscale Data Inc -337.6 0% -173% -111% -30% -8% 10.44 0%
GRAB Grab Holdings Inc -132.9 -21% -43% -31% -23% -5% 2.89 21%
GRBK Green Brick Partners Inc 29.7 30% 62% 5% 6% 5% 2.76 67%
GRC Gorman-Rupp 107.0 84% 76% 56% 41% 17% 2.11 93%
GRDX GridAI Technologies Corp -791.3 -357% -171% 18% -1% -19% 9.29 32%
GREE Greenidge Generation Holdings Inc -11.2 -4% -146% 47% -10% 3% 8.53 44%
GRF Eagle Capital Growth 31.7 54% -19% -2% 5% -3% 1.84 69%
GRFS Grifols SA ADR -244.2 -82% -77% -15% -2% -6% 3.28 52%
GRFX Graphex Group Ltd -762.8 -216% -171% -108% -85% -67% 22.55 3%
GRI GRI Bio Inc -347.6 0% -173% -116% -96% -15% 9.40 0%
GRID First Trust Nasdaq ClnEdge StGidIf 74.1 50% 14% 33% 13% 4% 1.36 90%
GRMN Garmin 67.0 63% 99% -5% 27% 23% 1.73 91%
GRND Grindr Inc -12.6 29% 8% -57% -13% 4% 3.08 9%
GRNQ Greenpro Capital -429.2 -215% -51% 62% 14% -5% 6.35 54%
GRNT Granite Ridge Resources-A -341.5 -137% -53% -16% 3% 11% 3.04 53%
GROV Grove Collaborative-A -1799.6 -826% -113% -36% -4% -9% 5.00 45%
GROW US Global Investors Inc -12.8 -6% -38% 27% 33% 7% 1.89 83%
GROY Gold Royalty Corp 116.3 54% 36% 214% 3% 2% 3.81 80%
GRPN Groupon Inc 3.0 9% -4% 2% -28% -12% 5.76 10%
GRPU Granite Real Estate Investment Trus -45.7 -23% -50% 29% 20% 4% 2.15 92%
GRRR Gorilla Technology Group Inc -359.6 -46% -157% -82% -13% -11% 8.06 2%
GRTX Galera Therapeutics Inc -600.7 -251% -170% 8% 149% 152% 8.04 100%
GRVY GRAVITY Co -47.6 -3% -54% -3% 12% -9% 2.57 54%
GRWG GrowGeneration Corp -522.2 -199% -146% -14% -27% -12% 5.62 19%
GRX Gabelli Health & WellnessRx -114.8 -30% -53% -10% 5% 4% 1.03 95%
GS Goldman Sachs Group 80.6 60% 85% 29% 7% -6% 1.92 80%
GSAT Globalstar Inc 83.0 6% 180% 175% 1% 2% 4.81 78%
GSBC Great Southern Bancorp -7.5 15% -55% -8% 3% 2% 2.12 76%
GSBD Goldman Sachs BDC Inc -238.5 -60% -85% -31% -4% 2% 1.28 30%
GSHD Goosehead Insurance -26.2 38% -51% -75% -34% -14% 3.13 9%
GSIT GSI Technology 72.9 23% 321% 194% 36% 16% 7.91 58%
GSK GSK PLC 105.1 99% 11% 38% 21% 11% 1.69 86%
GSL Global Ship Lease Inc 94.0 34% 78% 85% 14% 9% 2.08 96%
GSM Ferroglobe PLC -19.4 -10% -66% 37% 15% 7% 3.33 84%
GSUN Golden Sun Health Technology Group -289.5 0% -168% -89% -37% -17% 7.50 2%
GT Goodyear Tire & Rubber -547.6 -213% -102% -27% -9% -13% 3.21 25%
GTBIF Green Thumb Industries -184.5 -36% -93% -25% -4% -2% 4.78 35%
GTE Gran Tierra Energy Inc -32.7 -16% -91% 45% 49% 36% 4.25 100%
GTEC GREENLAND TECHNOLOGIES HLDG -1699.1 -741% -135% -63% -21% -1% 6.33 8%
GTES Gates Industrial 31.9 33% 15% 14% 16% 12% 2.22 86%
GTLB GitLab Inc -491.5 -134% -115% -73% -40% -28% 4.04 3%
GTLS Chart Industries -155.4 -78% -19% 9% 1% 1% 3.18 100%
GTM ZoomInfo Technologies Inc -918.7 -347% -147% -63% -39% -19% 3.60 4%
GTN Gray Television -453.0 -226% -117% 47% 21% 26% 4.59 87%
GTNA Gray Television -207.3 -104% -70% 47% 16% -14% 6.73 56%
GTX Garrett Motion Inc 77.0 17% 86% 89% 18% 9% 2.48 88%
GTY Getty Realty -9.2 10% -56% -3% 19% 14% 1.49 96%
GUG Guggenheim Active Allocation 45.0 59% -24% -7% 5% 4% 0.99 93%
GUIGH GAMCO All Cap Value Class I GBP h -8.9 2% -40% 2% 10% 5% 1.21 94%
GURE Gulf Resources Inc -969.7 -373% -160% -58% 59% -2% 6.04 23%
GUREH GAMCO All Cap Value Class R EUR h -50.2 -9% -46% -1% 10% 5% 1.21 94%
GURGH GAMCO All Cap Value Class R GBP h -9.5 1% -40% 2% 10% 5% 1.21 94%
GUSAC GAMCO All Cap Value Class A CHF -117.5 -36% -56% -4% 9% 5% 1.21 93%
GUSAE GAMCO All Cap Value Class A EUR -61.1 -14% -47% -1% 10% 5% 1.22 94%
GUSAU GAMCO All Cap Value Class A USD -9.7 1% -40% 1% 10% 5% 1.21 94%
GUSFU GAMCO All Cap Value Class F USD 15.8 30% -36% 0% 10% 5% 1.21 94%
GUSIC GAMCO All Cap Value Class I CHF -103.4 -30% -54% -3% 9% 5% 1.21 93%
GUSIE GAMCO All Cap Value Class I EUR -48.5 -9% -45% -1% 10% 5% 1.22 94%
GUSIU GAMCO All Cap Value Class I USD -1.3 9% -37% 2% 10% 5% 1.21 94%
GUSRU GAMCO All Cap Value Class R USD -5.6 4% -37% 2% 10% 5% 1.22 94%
GUSXU GAMCO All Cap Value Class X USD 32.2 43% -33% 3% 11% 5% 1.21 95%
GUT Gabelli Utility Trust -137.0 -63% -49% 11% 3% 6% 1.38 97%
GVA Granite Construction 99.5 51% 142% 46% 24% 9% 1.90 94%
GVDNY Givaudan -117.8 -11% -44% -33% -12% 0% 1.60 0%
GWAV Greenwave Technology Solutions Inc -1595.1 -636% -173% -104% -41% -18% 9.16 1%
GWH ESS Tech Inc -257.9 0% -167% -73% -41% -11% 8.65 8%
GWLIF Great-West Lifeco 74.5 65% 29% 15% 3% 2% 1.41 86%
GWRE Guidewire Software Inc 26.9 68% 47% -39% -28% 12% 2.30 23%
GWRS Global Water Resources -609.4 -237% -99% -35% 8% 7% 2.20 28%
GWW WW Grainger 30.2 40% 2% -2% 21% 7% 1.59 81%
GXAI GaxosAI Inc -121.3 0% -168% -5% -1% -11% 9.50 12%
GXO GXO Logistics Inc -80.4 -40% -49% 40% 18% 7% 2.49 83%
GXYEF Galaxy Entertainment Gr 27.4 28% -69% 47% -12% -10% 2.81 71%
GYRE Gyre Therapeutics Inc -331.3 -140% 57% -45% 7% 2% 7.13 32%
GYRO Gyrodyne LLC -375.3 -153% -65% -13% -7% -2% 2.14 43%
H Hyatt Hotels Corporation -32.3 -5% -31% -1% 0% 6% 2.24 86%
HAE Haemonetics -550.8 -227% -92% -18% -21% 0% 2.31 43%
HAFC Hanmi Financial -1.2 13% -42% -2% -6% -1% 2.52 71%
HAFN Hafnia Ltd 78.1 51% 15% 92% 38% 31% 2.79 100%
HAIN Hain Celestial Group -1024.4 -358% -169% -98% -35% -41% 4.37 0%
HAL Halliburton -92.9 -46% -73% 25% 30% 7% 2.49 92%
HALO Halozyme Therapeutics -22.8 -5% -28% 3% 2% -4% 2.65 66%
HAS Hasbro 78.1 72% 28% 41% 17% 6% 2.13 86%
HASI Hannon Armstrong Sustainable Infras -20.5 -10% -36% 24% 9% 9% 3.15 85%
HAYW Hayward Holdings Inc 0.4 29% -50% -12% -6% -2% 2.52 71%
HBAN Huntington Bancshares -14.0 3% -46% -9% 2% -4% 2.16 66%
HBB Hamilton Beach Brands Holding -50.1 -4% -15% -16% 20% -3% 3.77 79%
HBCP Home Bancorp Inc 26.7 31% -5% 16% 8% 2% 2.37 91%
HBCYF HSBC Holdings 79.7 92% 74% 36% 20% 0% 2.82 84%
HBIO Harvard Bioscience -456.9 -130% -153% -48% -27% 16% 5.34 53%
HBM HudBay Minerals Inc 173.9 51% 331% 243% 46% 4% 3.65 84%
HBNC Horizon Bancorp Industries 4.0 36% -44% -14% -1% -4% 2.67 71%
HBT HBT Financial Inc 8.2 26% -33% -2% 15% 1% 2.15 82%
HCA HCA Holdings Inc 70.6 23% 52% 59% 8% 11% 1.81 100%
HCAT Health Catalyst Inc -1035.1 -390% -158% -75% -34% -14% 4.53 11%
HCC Warrior Met Coal 58.1 47% 58% 59% 8% -4% 3.33 71%
HCI HCI Group Inc 54.2 36% 169% 8% -1% 13% 2.72 57%
HCKT Hackett Group -304.8 -52% -91% -70% -25% -23% 1.92 7%
HCM HUTCHMED China Ltd -264.1 -72% -86% -32% -6% -5% 4.22 25%
HCMLF LafargeHolcim -5.4 40% -29% -38% -10% -15% 1.80 35%
HCMLY Holcim Ltd 51.1 60% 46% -3% -8% -15% 1.84 31%
HCSG Healthcare Services Group -46.3 -23% -15% 86% 12% 12% 2.53 92%
HCWB HCW Biologics Inc -698.6 -179% -172% -113% -67% -42% 8.15 1%
HD Home Depot -142.9 -38% -38% -20% 3% -1% 1.59 44%
HDB Hdfc Bank -240.5 -80% -78% -15% -14% -7% 1.63 17%
HDLMY HEIDELBERG MATERIALS AG 93.9 78% 161% 20% -17% -22% 2.24 47%
HDSN Hudson Technology Inc -10.6 0% -102% 12% -3% -2% 3.01 36%
HE Hawaiian Electric Industries 46.9 118% -131% 31% 42% 8% 3.48 88%
HEGIY Hengan Intl Group Co 3.4 11% -80% 21% -1% 2% 1.75 89%
HEI Heico 43.3 54% 11% 3% 3% -2% 1.79 69%
HEIA Heico Corporation Class A 33.4 47% 5% -2% 0% -4% 1.77 64%
HEINY Heineken NV -232.0 -74% -84% -14% 3% 4% 1.57 46%
HELE Helen of Troy -861.3 -292% -157% -86% -15% -4% 3.49 1%
HELP Cybin Inc -683.1 -297% -132% -1% 41% 26% 5.24 88%
HENKY Henkel 20.7 45% -41% -7% 10% 4% 1.27 73%
HENOY Henkel 10.8 38% -40% -13% 10% 5% 1.33 68%
HEQ JHancock Hedged Equity & Income 18.8 31% -44% 1% 6% 4% 0.84 93%
HERE Here Group Ltd -135.5 -68% -136% 71% -9% -9% 7.33 18%
HERZ Herzfeld Caribbean Basin -186.9 -13% -114% -43% -40% -17% 1.83 8%
HESAY Hermes International -30.3 8% -46% -38% -11% -5% 1.99 7%
HESM Hess Midstream Partners 27.0 48% 4% -14% 18% 16% 1.61 83%
HFBL Home Federal Bancorp Inc of louisia 69.6 117% -53% 39% 25% 7% 2.99 99%
HFFG HF Foods Group Inc -599.8 -257% -119% -3% -14% 11% 4.34 20%
HFRO Highland Opportunities and Income 7.1 43% -90% -3% 2% -1% 1.70 82%
HFWA Heritage Financial -105.7 -23% -65% -8% 10% 1% 2.36 75%
HGKGY Power Assets Holdings 56.6 54% 5% 9% 17% 4% 1.28 92%
HGLB Highland Global Allocation 20.8 35% -41% 5% -7% 4% 1.50 72%
HGTY Hagerty Inc 3.4 33% -53% -9% -19% -13% 2.27 45%
HGV Hilton Grand Vacations -313.3 -118% -79% -12% 5% -2% 2.63 64%
HHH Howard Hughes Holdings Inc -384.8 -138% -88% -25% -21% -9% 2.02 30%
HHS Harte-Hanks Inc -233.4 -3% -148% -65% -28% -11% 3.07 0%
HIFS Hingham Institution for Savings -2.6 22% -68% -5% -3% -5% 3.14 59%
HIG Hartford Financial Services Group 49.3 50% 22% 3% 5% 6% 1.45 98%
HII Huntington Ingalls Industries Inc 142.9 54% 42% 140% 42% 6% 1.92 94%
HIMS Hims & Hers Health Inc -210.1 -27% -2% -77% -57% -36% 5.71 4%
HIMX Himax Technologies ADR -318.2 -109% -55% -32% 1% -2% 3.52 49%
HIND Vyome Holdings Inc -344.2 0% -172% -115% -38% 42% 9.26 1%
HINKF Heineken -173.9 -43% -86% -15% 6% 7% 2.45 58%
HIO Western Asset High Income Opp 8.3 37% -45% -15% 1% 1% 0.78 89%
HIPO Hippo Holdings Inc -126.5 -44% 1% -19% -11% -5% 4.44 44%
HITI High Tide Inc -151.3 -65% 9% -14% -7% 11% 4.25 33%
HIVE HIVE Blockchain Technologies Ltd -611.7 -280% -89% 4% -28% -5% 6.35 18%
HIW Highwoods Properties -171.5 -30% -67% -34% -15% -5% 2.25 17%
HIX Western Asset High Income II -186.7 -64% -58% -10% 1% 0% 0.96 84%
HKD AMTD Digital Inc -203.7 0% -153% -51% -1% 14% 4.39 15%
HKHHY Heineken Holding NV -144.1 -42% -72% -6% 10% 8% 1.47 67%
HKXCY Hong Kong Exchanges -28.5 -8% -33% 4% -3% -3% 2.21 66%
HL Hecla Mining 168.4 41% 263% 312% 26% 3% 4.23 63%
HLDCY Henderson Land Dev 53.9 35% -19% 51% 12% 10% 1.94 89%
HLF HerbalLife Nutrition 41.0 40% -86% 95% 36% 0% 4.18 80%
HLI Houlihan Lokey Inc 19.5 46% 8% -21% -8% -2% 1.82 32%
HLIO Helios Technologies -139.9 -70% -66% 71% 31% 6% 2.82 89%
HLIT Harmonic -423.6 -161% -96% -19% 8% 4% 2.89 73%
HLLY Holley Inc -351.5 -176% -19% 13% -21% -13% 4.34 65%
HLMAF Halma 47.1 38% 39% 39% 16% 16% 2.79 90%
HLMN Hillman Solutions Corp -235.6 -62% -81% -29% -5% -13% 2.68 41%
HLN Haleon PLC 9.7 40% -34% -17% 6% 1% 1.57 67%
HLNE Hamilton Lane -16.9 26% -28% -46% -12% -23% 2.48 9%
HLPPY Hang Lung Properties Ltd 40.2 62% -96% 37% 3% 3% 2.34 82%
HLT Hilton Worldwide Holdings Inc 30.5 29% 39% -1% 7% 2% 1.65 84%
HLX Helix Energy Solutions Group -6.2 11% -63% -2% 34% 15% 3.11 72%
HMC Honda Motor 16.5 50% -50% -9% -5% -6% 1.93 42%
HMN Horace Mann Educators -1.0 24% -40% -12% -4% -1% 1.73 63%
HMST HomeStreet Inc -178.1 -89% -109% 40% 2% -1% 4.04 94%
HMY Harmony Gold Mining ADR 117.7 32% 529% 88% 4% -2% 4.03 64%
HNDAF Honda Motor Co 1652.1 71% 9350% 2051% -6% -3% 5.34 87%
HNI HNI -63.5 -4% -21% -21% 3% -9% 2.05 38%
HNNA Hennessy Advisors 3.0 35% -28% -21% 0% 2% 2.35 41%
HNNMY Hennes & Mauritz AB 39.2 24% 9% 38% 7% 4% 2.33 86%
HNRG Hallador Energy 59.3 52% 80% 89% -5% 7% 4.64 68%
HNST Honest Co Inc -227.0 -31% -68% -60% 7% 19% 4.71 24%
HNVR Hanover Bancorp Inc -93.5 -2% -57% -26% -6% -7% 1.71 50%
HOCPY Hoya 55.9 61% 7% 28% 16% 7% 2.28 86%
HOFT Hooker Furniture -223.0 -78% -98% -1% 21% 1% 3.38 75%
HOG Harley-Davidson -476.3 -159% -128% -37% -19% 2% 2.72 14%
HOKCY Hong Kong & China Gas Co 62.3 81% -53% 10% 2% 4% 1.35 87%
HOLO Microcloud Hologram Inc -2419.5 -1041% -172% -111% -33% -2% 14.36 0%
HOLX Hologic -93.1 -23% -78% 2% 0% 3% 1.38 100%
HOMB Home Bancshares -98.9 -13% -46% -21% -1% -2% 1.94 61%
HON Honeywell International -167.9 -73% -36% 1% 29% 10% 1.42 97%
HOOD Robinhood Markets Inc 111.5 23% 673% 58% -34% -7% 4.47 41%
HOOK HOOKIPA Pharma Inc -2080.6 -942% -161% -44% 19% 5% 5.26 29%
HOPE Hope Bancorp Inc 0.4 30% -69% -6% 6% -4% 2.43 71%
HOTH Hoth Therapeutics Inc -87.7 0% -134% 1% -10% 19% 6.23 25%
HOV Hovnanian Enterprises Inc-A -35.5 -18% 0% 3% -10% 7% 4.52 43%
HOWL Werewolf Therapeutics Inc -1072.3 -422% -152% -64% -35% -9% 6.84 4%
HP Helmerich & Payne -43.6 -22% -79% 28% 21% 2% 3.13 92%
HPAI Helport AI Ltd -681.4 -217% -145% -75% -27% -2% 3.26 6%
HPE Hewlett Packard Enterprise Co -0.7 8% -23% -1% -2% -1% 2.56 67%
HPF JHancock Preferred Income II -11.7 16% -46% -13% 1% 3% 1.01 91%
HPI JHancock Preferred Income -55.2 -1% -43% -13% -2% 3% 1.01 81%
HPK HighPeak Energy Inc -695.3 -225% -152% -72% -23% 16% 4.50 16%
HPP Hudson Pacific Properties Inc -1075.5 -402% -161% -82% -46% -11% 4.72 10%
HPQ HP Inc -196.8 -14% -99% -51% -21% -2% 2.15 9%
HPS JHancock Preferred Income III -20.5 6% -44% -12% 1% 3% 1.01 87%
HQH abrdn Healthcare Investors 47.5 56% -24% 7% 1% 1% 1.31 85%
HQI HireQuest Inc -371.8 -107% -120% -39% 32% 2% 3.58 55%
HQL abrdn Life Sciences Investors 66.7 59% -3% 22% -3% 0% 1.40 90%
HQY HealthEquity Inc -176.1 -32% -48% -40% -22% -5% 2.59 20%
HR Healthcare Realty Trust Inc -81.5 -22% -55% 0% 4% 17% 1.86 100%
HRB H&R Block -46.6 14% -80% -57% -26% -18% 2.01 9%
HRI Herc Holdings Inc -188.8 -57% -70% -14% 4% -6% 3.63 47%
HRL Hormel Foods -1148.0 -506% -112% -31% 5% 1% 1.66 36%
HRMY Harmony Biosciences Holdings Inc -361.3 -116% -109% -29% -20% -23% 3.11 18%
HROW Harrow Health Inc 29.2 27% 58% 36% -2% -11% 4.61 52%
HRTG Heritage Insurance Holdings Inc 156.6 9% 937% 124% -2% 8% 4.69 85%
HRTX Heron Therapeutics Inc -434.1 -109% -124% -67% -3% -17% 6.04 5%
HRZN Horizon Tech Finance -334.9 -69% -116% -60% -27% -28% 1.77 0%
HSAI Hesai Group 24.6 63% -33% 42% 32% 12% 6.63 76%
HSBC HSBC Holdings PLC ADR 132.1 100% 114% 35% 21% -1% 1.62 85%
HSCS Heart Test Laboratories Inc -193.5 0% -171% -40% 6% -17% 7.24 12%
HSDT Helius Medical Technologies Inc -349.8 0% -173% -117% -39% -6% 8.86 0%
HSHP Himalaya Shipping Ltd 135.3 44% 174% 184% 62% 39% 3.23 100%
HSIC Henry Schein -328.0 -137% -70% -4% 9% 9% 1.84 87%
HSON Hudson Global Inc -274.6 -69% -135% -23% -4% -1% 3.37 46%
HSPO Horizon Space Acquisition I Corp 70.4 87% -52% -12% -3% 2% 0.64 11%
HST Host Hotels & Resorts -78.3 -39% -35% 14% 16% 9% 1.93 97%
HSTM Healthstream -197.4 -19% -84% -51% -14% 2% 1.72 15%
HSY Hershey -0.1 6% -67% 17% 25% 19% 1.70 95%
HTBI HomeTrust Bancshares Inc 3.9 9% -15% 2% 4% -1% 2.21 81%
HTBK Heritage Commerce -83.1 -34% -50% 9% 13% -1% 2.33 81%
HTCO Caravelle International Group -1177.1 -437% -143% -104% -30% -1% 8.78 7%
HTCR HeartCore Enterprises Inc -540.5 -133% -140% -90% -45% 5% 7.99 5%
HTD JHancock Tax-Advantaged Dividend In 34.8 47% -32% 1% 6% 7% 1.15 98%
HTGC Hercules Capital INC -12.5 33% -39% -36% -15% -14% 1.67 18%
HTH Hilltop Holdings -105.7 -36% -52% 1% 8% 1% 1.96 81%
HTHIY Hitachi Ltd 61.3 70% 126% 1% -4% -9% 2.71 63%
HTHT H World Group Ltd -166.0 -83% -49% 35% 12% 13% 2.78 87%
HTLD Heartland Express -319.9 -119% -102% -7% 40% 6% 2.32 88%
HTO H2O America -366.8 -149% -89% -4% 25% 14% 1.76 100%
HTT High Templar Tech Ltd 22.6 47% 69% -13% -41% 0% 4.02 23%
HTZ Hertz Global Holdings Inc -1058.8 -470% -149% -10% -14% -11% 5.28 19%
HUBB Hubbell Inc Class B 66.8 72% 30% 23% 14% 1% 2.13 83%
HUBG Hub Group-A -119.8 -26% -78% -8% 9% -12% 2.30 56%
HUBS Hubspot Inc -303.5 -40% -101% -78% -26% 3% 3.01 14%
HUIZ Huize Holding Ltd -728.8 -253% -145% -63% -48% -5% 6.03 8%
HUM Humana -584.9 -201% -135% -46% -25% -1% 2.49 6%
HUMA Humacyte Inc -522.8 -137% -134% -80% -11% 14% 6.87 11%
HUN Huntsman -1174.0 -515% -122% -31% 24% 14% 2.81 59%
HURA TuHURA Biosciences Inc -197.4 0% -172% -42% -12% 217% 9.23 32%
HURC Hurco Companies -736.8 -308% -111% -24% 11% 6% 2.70 55%
HURN Huron Consulting Group 56.0 93% 38% -18% -10% -12% 2.15 41%
HUYA HUYA 23.3 26% 9% 34% 23% -20% 4.46 54%
HVRRY Hannover Rueck SE 26.2 45% -8% -9% -3% 3% 1.58 51%
HVT Haverty Furniture -241.5 -81% -99% -7% -5% -9% 2.65 63%
HVTA Haverty -218.3 -82% -91% 4% 13% 1% 2.08 42%
HWBK Hawthorn Bancshares -18.2 -2% -13% -2% 3% 1% 2.32 86%
HWC Hancock Whitney -50.4 -20% -25% 4% 7% -4% 2.43 72%
HWH HWH International Inc -709.4 -266% -170% -32% -16% -19% 8.39 8%
HWKN Hawkins 92.4 65% 211% 32% 14% 23% 2.62 60%
HWM Howmet Aerospace 200.6 76% 448% 82% 30% 27% 2.06 97%
HXGBY Hexagon -261.4 -85% -71% -22% -7% -3% 2.21 56%
HXL Hexcel -0.7 0% -43% 35% 22% 14% 2.06 93%
HY Hyster-Yale Materials Handling Inc 1.8 48% -45% -29% 32% 14% 3.23 64%
HYFM Hydrofarm Holdings Group Inc -294.4 0% -167% -92% -35% -20% 6.43 0%
HYFT MindWalk Holdings Corp 57.6 52% -144% 240% -36% -26% 7.48 30%
HYI Western Asset High Yield Defined Op -28.0 11% -52% -17% 1% 2% 0.65 64%
HYLN Hyliion Holdings Corp -158.4 -64% -99% 18% 9% -2% 6.58 65%
HYMC Hycroft Mining Holding Corp 632.1 87% 990% 1991% 303% 37% 6.62 85%
HYPD Hyperion DeFi Inc -152.9 -76% -171% 90% -14% -20% 10.25 15%
HYPR Hyperfine Inc -498.2 -219% -93% 1% 13% -4% 5.96 34%
HYT BlackRock Corp High-Yield -16.7 17% -40% -19% -5% 1% 0.82 68%
HZO MarineMax -253.5 -103% -84% 4% 30% 1% 3.83 91%
IAC IAC InterActive -541.0 -204% -99% -33% 6% 5% 2.42 36%
IAE Voya Asia Pacific High Dividend Eq 78.6 62% -2% 23% 6% -2% 1.15 87%
IAF abrdn Australia Equity -89.1 -35% -38% 3% 9% 0% 1.40 85%
IAG IAMGold 246.0 48% 842% 294% 48% 27% 4.06 91%
IART Integra LifeSciences Holdings -1109.5 -432% -154% -71% -21% -5% 3.19 0%
IAUX i-80 Gold Corp 41.0 32% -93% 119% 51% 10% 4.86 84%
IBCP Independent BankMI 1.3 9% 6% -9% 6% 0% 2.25 84%
IBDRY Iberdrola SA 85.9 43% 42% 45% 9% 3% 1.38 85%
IBDSF Iberdrola SA 72.0 40% 40% 44% 9% 5% 1.73 85%
IBEX IBEX Holdings Ltd 21.8 61% -65% 1% -16% -21% 2.69 36%
IBIO iBio Inc -421.1 -84% -161% -73% 156% 25% 7.71 39%
IBKR Interactive Brokers Group 87.4 79% 154% 21% 8% -6% 2.44 78%
IBM International Business Machines 67.5 92% 40% -15% -19% -19% 1.69 35%
IBN ICICI Bank ADR 21.5 45% -25% -11% -4% -2% 1.38 32%
IBOC International Bancshares 9.7 32% -19% -11% 3% -2% 2.07 72%
IBP Installed Building Products Inc 85.4 42% 122% 88% 23% 16% 3.01 92%
IBRX ImmunityBio Inc -238.6 -119% 185% 198% 290% 48% 7.88 74%
ICAGY International Consolidated Airlines 58.6 60% 113% 3% -2% -11% 2.44 70%
ICCC ImmuCell Corp -171.6 -72% -65% 8% 35% 7% 3.58 63%
ICCM Icecure Medical Ltd -301.8 -44% -114% -69% -11% 6% 4.80 10%
ICE IntercontinentalExchange Group Inc -9.4 10% -2% -20% 5% -2% 1.33 50%
ICFI ICF International Inc -193.4 -45% -97% -19% -4% -18% 2.14 2%
ICHR ICHOR HOLDINGS -87.7 -44% -29% 49% 181% 51% 4.39 82%
ICL ICL Group Ltd -178.7 -26% -93% -32% -12% -7% 2.53 4%
ICLR Icon PLC -347.8 -75% -123% -58% -40% -37% 2.72 25%
ICU Seastar Medical Holding Corp -29.7 8% -172% -103% -20% 1% 9.30 1%
ICUI ICU Medical -243.4 -74% -92% -17% -3% -4% 2.85 68%
IDA Idacorp 46.6 53% -20% 7% 11% 12% 1.31 100%
IDAI T Stamp Inc -403.4 -151% -167% 5% -33% -13% 8.71 40%
IDCBY Industrial & Commercial Bank of Chi 85.5 97% 33% 3% -1% 0% 1.60 83%
IDCC InterDigital 166.7 80% 353% 64% 6% 15% 2.13 90%
IDE Voya Infrastructure Industrials & M 110.3 76% 26% 30% 22% 7% 1.08 96%
IDEXF Industria de Diseno Textil SA 36.8 54% 40% 3% 8% -2% 2.87 73%
IDN Intellicheck Inc -30.4 -15% 41% 84% -16% -6% 4.82 58%
IDR Idaho Strategic Resources Inc 168.2 55% 601% 246% 13% 10% 4.97 74%
IDT IDT-B 5.4 12% 5% -5% 4% 9% 2.09 27%
IDXX Idexx Laboratories -101.4 -51% -34% 31% -12% 3% 2.09 71%
IDYA IDEAYA Biosciences Inc 45.7 33% 27% 64% 0% 3% 3.65 86%
IE Ivanhoe Electric Inc 56.2 28% -64% 157% 21% -13% 4.83 72%
IEP Icahn Enterprises -1499.6 -687% -144% -15% 1% 7% 2.85 80%
IESC IES Holdings Inc 228.6 74% 983% 175% 20% 23% 4.04 91%
IEX Idex -317.8 -129% -76% -5% 19% 7% 1.62 90%
IFBD Infobird Co Ltd -237.6 0% -172% -61% 2% 21% 8.46 26%
IFF International Flavors & Fragrances -154.8 -31% -83% -19% 13% 14% 1.97 80%
IFJPY Informa -67.0 -10% -29% -14% -14% -9% 1.60 58%
IFN India 1.3 31% -49% -14% -8% -4% 1.21 34%
IFNNF Infineon Technologies -11.8 -6% -30% 17% 20% 1% 3.02 82%
IFNNY Infineon Technologies AG -22.0 -11% -26% 19% 24% 6% 2.84 85%
IFS Intercorp Financial Services Inc 82.8 68% 54% 32% 16% -6% 1.87 79%
IGA Voya Global Advantage and Premium O 42.4 49% -19% -4% 5% 3% 0.83 98%
IGD Voya Global Equity Dividend & Premi 43.5 48% -21% 2% 6% 5% 0.96 99%
IGI Western Asset Investment Grd Define -119.5 -26% -57% -15% 0% 1% 0.62 81%
IGIC International General Insurance Hol 74.3 81% 158% -14% 4% 2% 2.21 82%
IGR CBRE Global Real Estate Income -196.3 -70% -56% -9% 11% 7% 1.73 96%
IH iHuman Inc -24.1 0% -109% -26% -37% -1% 4.17 6%
IHD Voya Emerging Markets High Dividend 100.2 81% 8% 24% 10% 1% 1.15 85%
IHG InterContinental Hotels 36.0 46% 35% -9% 1% -3% 1.69 75%
IHRT iHeartMedia Inc -1.3 -1% -129% 75% -22% -5% 6.55 51%
IHS IHS Holding Ltd 60.7 64% -65% 105% 13% -6% 3.84 87%
IHT InnSuites Hospitality Trust -274.2 -22% -110% -79% -21% -10% 5.15 0%
IIF Morgan Stanley India Investment 29.8 44% -14% -10% -8% -3% 1.02 39%
III Information Services 22.0 13% -68% 50% -9% -14% 2.65 61%
IIIN Insteel Industries -89.4 -45% -31% 22% 18% 7% 2.43 86%
IIIV i3 Verticals Inc -203.1 -52% -76% -24% 0% 9% 2.71 29%
IIM Invesco Value Municipal Income 38.3 52% -42% -4% 6% 8% 0.77 98%
IIPR Innovative Industrial Properties -254.9 -77% -79% -24% 17% 19% 2.59 67%
IITSF Intesa Sanpaolo 77.4 69% 86% 15% -3% -9% 1.91 72%
IKT Inhibikase Therapeutics Inc -372.4 -112% -127% -32% 29% 26% 6.61 51%
ILAG Intelligent Living Application Grou -648.7 -202% -153% -71% -52% -26% 7.01 2%
ILLR Triller Group Inc -21.9 24% -168% -101% -53% 2% 11.13 10%
ILMN Illumina -142.9 -71% -107% 36% -1% -7% 3.13 70%
ILPT Industrial Logistics Properties Tru -129.5 -65% -14% 56% 18% 25% 4.17 100%
IMA IMAGENEBIO -481.7 -110% -160% -78% -9% -12% 4.65 3%
IMAX Imax 82.4 76% 53% 47% 11% 19% 2.41 92%
IMBBY Imperial Tobacco Group PLC 62.3 51% 41% 11% 2% 7% 1.43 90%
IMCC IM Cannabis Corp -271.8 0% -160% -82% -62% -44% 8.01 0%
IMCR Immunocore Holdings PLC -200.0 -63% -110% -1% -11% 4% 3.08 59%
IMDX Insight Molecular Diagnostics Inc -150.4 -75% -99% 79% -6% -19% 5.55 50%
IMG CIMG Inc -341.0 0% -172% -113% -87% -34% 10.31 0%
IMKTA Ingles Markets-A 2.2 3% -75% 26% 14% 12% 1.75 88%
IMMP Immutep Ltd -86.4 -43% -8% 29% 37% -3% 4.26 75%
IMMR Immersion -141.0 -7% -84% -35% -8% -9% 2.73 22%
IMNM Immunome Inc 91.6 48% 339% 134% 22% -12% 5.44 79%
IMNN Imunon Inc -276.4 0% -154% -87% -13% 10% 6.85 1%
IMO Imperial Oil 112.3 81% 83% 68% 22% 18% 2.15 96%
IMOS Chipmos Technologies Ltd 98.7 72% 13% 99% 39% 4% 2.55 77%
IMPP Imperial Petroleum Inc 15.3 1% -35% 52% -10% 20% 4.42 46%
IMPUY Impala Platinum Holdings Ltd 112.4 79% 33% 239% 38% 2% 4.86 73%
IMRN Immuron Ltd -1223.2 -489% -135% -77% -57% -15% 5.35 3%
IMRX Immuneering Corp -82.8 -41% -65% 232% -28% 9% 7.52 50%
IMTE Integrated Media Technology Ltd -237.8 0% -161% -65% -15% -16% 7.30 5%
IMTX Immatics NV -38.8 -19% -55% 126% -2% 3% 4.20 80%
IMUX Immunic Inc -592.8 -243% -111% -17% 71% 82% 5.82 86%
IMVT Immunovant Inc 17.0 18% -16% 29% 18% 5% 3.96 95%
IMXI International Money Express Inc -457.2 -179% -110% -13% 2% 3% 2.29 99%
INAB IN8bio Inc -950.2 -324% -169% -95% -13% -10% 7.46 8%
INBK First Internet -33.2 4% -96% -49% 3% -10% 3.61 25%
INBS INTELLIGENT BIO SOLUTIONS INC -25.6 24% -172% -96% -33% -43% 9.16 2%
INCY Incyte 32.3 41% -43% 23% -4% -2% 2.10 79%
INCZY Incitec Pivot -7.2 -4% -48% 23% 12% -1% 2.11 89%
INDB Independent BankMA -66.0 -16% -62% 3% 8% -2% 2.48 80%
INDI Indie Semiconductor Inc -251.1 -52% -147% -24% -27% -33% 5.51 22%
INDO Indonesia Energy Corp Ltd 6.9 3% -93% 53% 57% 26% 6.24 52%
INDP Indaptus Therapeutics Inc -1126.8 -399% -168% -108% 2% 2% 7.11 2%
INDV Indivior PLC 121.1 53% 2% 219% -5% -7% 3.50 84%
INFU InfuSystems Holdings Inc -340.5 -161% -71% 15% 3% 18% 3.64 81%
INFY Infosys ADR -336.2 -96% -87% -43% -19% -20% 1.85 8%
ING Ing Group NV 83.2 56% 68% 41% 5% -9% 1.87 76%
INGN Inogen Inc -598.9 -215% -134% -40% -10% 7% 4.26 21%
INGR Ingredion -35.5 3% -50% -28% 5% -2% 1.33 26%
INGVF ING Groep 83.8 53% 46% 47% 8% -2% 1.75 75%
INKT MiNK Therapeutics Inc -65.3 0% -118% 7% -2% -5% 7.66 7%
INLX Intellinetics Inc 5.1 68% -2% -54% -13% -7% 4.32 0%
INMD Inmode Ltd -455.5 -138% -134% -46% -6% -17% 2.99 5%
INN Summit Hotel Properties Inc -701.4 -277% -103% -40% -8% 10% 2.62 45%
INNV InnovAge Holding Corp -119.2 -60% -34% 210% 93% 87% 5.00 100%
INO Inovio Pharmaceuticals Inc -730.3 -288% -161% -23% -11% 3% 5.82 27%
INOD INNODATA INC -13.4 -7% 459% -30% -20% -18% 6.94 23%
INSE Inspired Entertainment -489.5 -172% -118% -34% 0% -7% 3.23 52%
INSG Inseego -254.2 -117% -41% 3% 10% 4% 6.87 47%
INSM Insmed 149.0 42% 574% 79% -30% -1% 3.19 58%
INSP Inspire Medical Systems -563.9 -150% -148% -82% -50% -11% 4.02 5%
INSW International Seaways Inc 108.9 66% 38% 125% 46% 26% 2.73 98%
INTA Intapp Inc -253.5 -18% -103% -74% -37% -17% 3.35 17%
INTC Intel 53.6 36% 15% 83% 13% -5% 3.64 76%
INTR Inter & Co Inc 61.9 20% 245% 51% -7% -7% 3.91 67%
INTT inTest Corp 5.4 5% -86% 38% 58% 37% 4.14 100%
INTU Intuit -33.0 13% -64% -44% -31% -8% 2.12 18%
INTZ Intrusion Inc -76.5 0% -170% 18% -22% 3% 9.02 16%
INUV Inuvo Inc -649.1 -256% -94% -37% 3% 60% 6.20 31%
INV Innventure Inc -20.9 74% -140% -77% -35% 2% 3.79 13%
INVA Innoviva Inc -17.4 -9% 17% 10% 7% 10% 1.68 80%
INVE Identiv Inc -524.8 -196% -125% -25% -3% 1% 3.75 34%
INVH Invitation Homes -366.5 -120% -80% -37% -3% 4% 1.55 16%
INVX Innovex International Inc -72.2 -36% -86% 35% 15% 9% 3.18 81%
IONQ IonQ Inc -130.3 -65% 629% 43% -22% -2% 7.14 30%
IONR Ioneer Ltd -623.9 -257% -133% -10% -11% -6% 5.66 29%
IONS Ionis Pharmaceuticals Inc 82.1 12% 47% 126% -4% -3% 2.75 88%
IOR Income Opportunity Realty Investors 27.1 54% -15% -7% 5% 6% 2.09 72%
IOSP Innospec -218.9 -38% -100% -38% 3% -6% 1.86 23%
IOT Samsara Inc -15.2 16% 4% -55% -24% 10% 3.89 19%
IOVA Iovance Biotherapeutics -621.7 -261% -113% -12% 90% 65% 6.21 100%
IP International Paper -16.2 24% -39% -37% 9% 7% 2.19 39%
IPAR Inter Parfums -243.9 -47% -88% -46% 17% -3% 2.33 26%
IPDN PROFESSIONAL DIVERSITY NETWORK -505.0 -126% -170% -70% -31% 4% 9.28 3%
IPGP IPG Photonics 64.1 40% -68% 104% 62% 38% 2.80 76%
IPHA Innate Pharma SA -523.1 -183% -117% -40% -16% -9% 5.01 5%
IPI Intrepid Potash Inc -126.3 -63% -59% 29% 40% 12% 3.32 81%
IPSC Century Therapeutics Inc -44.6 -22% -119% 281% 349% 34% 6.01 90%
IPW iPower Inc -320.5 0% -163% -106% -81% -47% 8.63 0%
IPWR Ideal Power Inc -1093.8 -443% -145% -56% -7% -35% 5.28 11%
IPX IperionX Ltd 125.0 54% 641% 108% 50% 3% 5.00 77%
IPXHY Inpex Corp 120.5 100% 64% 74% 18% 16% 2.24 89%
IQ iQIYI -538.0 -172% -154% -46% -31% -26% 4.13 0%
IQI Invesco Quality Municipal Income 8.4 31% -43% -9% 2% 3% 0.74 89%
IQST iQSTEL Inc -610.2 -152% -158% -100% -53% -25% 7.36 1%
IQV IQVIA Holdings -345.2 -122% -87% -21% -23% -22% 2.21 38%
IR Ingersoll-Rand 25.0 48% -15% -6% 15% 5% 1.98 78%
IRD Opus Genetics Inc 120.0 42% -41% 354% 128% 99% 5.36 100%
IRDM Iridium Communications Inc -371.6 -106% -130% -36% 50% 26% 2.88 54%
IREN Iris Energy Ltd -219.0 -110% 1427% 462% -10% -16% 8.34 54%
IRM Iron Mountain Inc 22.7 10% 55% 6% 31% 22% 2.02 86%
IRMD iRadimed 113.1 76% 120% 83% 14% 8% 2.51 100%
IRON Disc Medicine Inc Ordinary Shares -9.5 -5% 78% -5% -34% -23% 4.00 45%
IROQ IF Bancorp Inc 60.4 81% -6% 1% 6% 4% 1.66 100%
IRS IRSA Inversiones y Representaciones -18.5 -9% 146% 5% -1% -10% 3.63 59%
IRT Independence Realty Trust Inc -205.5 -39% -76% -38% -2% 3% 1.83 28%
IRTC IRHYTHM TECHNOLOGIES INC -209.4 -83% -66% 0% -31% -16% 3.41 34%
IRWD Ironwood Pharmaceuticals Inc -49.8 -25% -140% 129% 6% -23% 5.40 66%
ISBA Isabella Bank Corp 102.6 68% 53% 84% 10% -2% 2.30 75%
ISD PGIM High Yield Bond 47.9 60% -21% -9% -1% 0% 0.83 90%
ISMAY Indra Sistemas Serie 344.9 61% 521% 195% 44% 19% 1.50 100%
ISNPY Intesa Sanpaolo SpA 89.5 71% 129% 17% -3% -9% 1.93 72%
ISOU IsoEnergy Ltd -37.4 -19% -47% 78% 26% 0% 4.75 75%
ISRG Intuitive Surgical -38.9 -5% 44% -29% -13% 2% 1.97 44%
ISSC Innovative Solutions and Support In -130.8 -65% 201% 317% 205% 51% 3.76 100%
ISTR Investar Holding 58.6 65% -19% 38% 13% -3% 2.32 87%
ISUZY Isuzu Motors -37.6 -14% -36% 7% 7% 3% 1.95 69%
IT Gartner -311.1 -32% -122% -83% -29% -16% 2.01 6%
ITGR Integer Holdings Corp -11.6 47% -57% -46% 19% 2% 2.03 36%
ITIC Investors Title -68.7 -14% -10% -17% -14% -12% 2.32 46%
ITOCY ITOCHU 60.4 49% 44% 27% 11% 5% 1.98 77%
ITRG Integra Resources Corp 123.7 52% 121% 256% 4% 12% 4.63 81%
ITRI Itron -1.7 26% 6% -31% -6% -7% 2.37 6%
ITRN Ituran Location And Control 106.0 136% 67% 4% 15% 2% 2.07 84%
ITT ITT Corp 64.3 48% 53% 28% 8% 8% 1.91 89%
ITUB Itau Unibanco Holding SA ADR 67.1 11% 77% 68% 17% 1% 2.13 81%
ITVPY ITV -82.5 -30% -54% 7% -6% -7% 2.07 67%
ITW Illinois Tool Works -12.4 4% -40% -5% 16% 10% 1.38 85%
IVA Inventiva SA -4.3 -2% -59% 86% 38% 3% 5.35 74%
IVF INVO Fertility Inc -348.2 0% -172% -117% -48% -27% 10.59 0%
IVPAF Ivanhoe Mines 0.9 13% -47% 4% 1% -14% 3.77 51%
IVR Invesco Mortgage Capital Inc -158.2 -62% -57% 2% 8% -3% 2.11 78%
IVT InvenTrust Properties Corp -9.1 9% -31% -11% 8% 6% 1.56 92%
IVVD Invivyd Inc -338.1 -169% -75% 64% -32% 0% 8.47 51%
IVZ Invesco -50.0 -25% -6% 39% 2% -6% 2.40 77%
IX Orix ADR 107.3 85% 32% 47% 20% 9% 1.67 80%
J Jacobs Engineering Group Inc -9.8 11% -56% -6% 4% 3% 1.70 53%
JACK Jack In The Box -667.8 -209% -152% -75% -23% -26% 3.61 4%
JAGX JAGUAR HEALTH INC -340.9 0% -172% -113% -46% 3% 9.22 0%
JAKK Jakks Pacific Inc -314.3 -101% -59% -36% 27% 14% 3.46 57%
JANX Janux Therapeutics Inc -686.5 -242% -86% -72% -59% 4% 5.63 10%
JAPAY JAPAN TOB INC 46.7 30% 3% 25% -5% 0% 1.41 72%
JAPSY Japan Airlines Ltd -129.6 -22% -79% -16% -8% -6% 1.60 34%
JAZZ Jazz Pharmaceuticals PLC 24.3 34% -39% 17% 9% 14% 2.13 92%
JBAXY Julius Baer Gruppe 33.0 51% -30% 8% 14% 0% 1.99 81%
JBGS JBG SMITH Properties -189.9 -54% -79% -15% -16% -6% 2.43 14%
JBHT JB Hunt Transport Services 14.3 3% -41% 33% 30% 13% 2.11 100%
JBI Janus International Group Inc -283.5 -75% -108% -31% 12% -1% 2.87 22%
JBL Jabil 107.5 84% 135% 57% 21% 6% 2.47 86%
JBLU JetBlue Airways -851.8 -349% -111% -39% 12% -3% 4.38 53%
JBS JBS NV 51.0 6% 107% 49% 9% 5% 2.57 92%
JBSS John B Sanfilippo & Son 4.6 34% -75% -2% 11% 1% 1.90 84%
JBTM JBT Marel Corp 11.5 27% -30% 3% 10% -4% 2.43 82%
JCE Nuveen Core Equity Alpha 0.0 9% -9% -6% 1% 0% 1.14 92%
JCI Johnson Controls International PLC 96.9 62% 65% 55% 21% 15% 1.85 93%
JCSE JE Cleantech Holdings Ltd -87.9 0% -101% -10% 21% -7% 7.70 36%
JCTC Jewett-Cameron Trading Co Ltd -519.6 -134% -142% -79% -33% -12% 3.39 0%
JD JDcom Inc ADR -394.9 -108% -111% -52% -16% -9% 3.28 0%
JEF Jefferies Financial Group -126.2 -3% -43% -45% -22% -24% 2.41 16%
JELD JELD-WEN Holding -365.6 -49% -157% -81% -23% -20% 4.24 4%
JFIN Jiayin Group Inc 8.6 17% 101% -25% -8% -4% 4.98 4%
JFU 9F Inc Sponsored ADS 72.8 82% 55% 196% 4% 4% 7.15 51%
JG Aurora Mobile Ltd -10.1 54% -117% -53% 6% -2% 6.56 17%
JGCCY JGC 137.4 106% -65% 70% 14% 2% 1.25 83%
JGH Nuveen Global High Income 24.8 45% -29% -12% 4% 2% 0.84 88%
JHG Janus Henderson Group 34.3 24% 42% 11% 16% 8% 1.86 93%
JHS JHancock Income Securities 45.9 66% -52% -12% -1% -1% 0.63 76%
JILL JJill -227.5 -40% -107% -38% 11% 10% 3.27 48%
JJSF J&J Snack Foods -594.7 -211% -108% -50% -8% -8% 1.83 10%
JKHY Jack Henry & Associates -202.1 -57% -67% -22% -4% -4% 1.58 48%
JKS JinkoSolar Holding Co Ltd ADR 11.1 67% -117% 3% -8% -4% 4.63 63%
JLL Jones Lang LaSalle 3.7 3% 12% -1% -5% -11% 2.43 69%
JMHLY Jardine Matheson Holdings 120.1 93% 3% 77% 11% 3% 1.85 83%
JMIA Jumia Technologies Ag ADS -37.2 -19% 64% 227% -36% -34% 6.20 48%
JMM Nuveen Multi-Market Income -9.7 25% -53% -16% -1% 1% 0.84 69%
JMSB John Marshall Bancorp Inc -185.1 -56% -92% -6% 0% -3% 3.24 82%
JNJ Johnson & Johnson 52.7 24% 0% 33% 19% 8% 1.19 97%
JOB GEE Group Inc -269.2 -89% -113% -8% 25% 6% 3.42 67%
JOBY Joby Aviation Inc -230.2 -115% 45% 36% -27% -5% 5.35 30%
JOE St Joe -3.8 -2% 1% 36% 17% 10% 2.10 97%
JOF Japan Smaller Capitalization 115.1 78% 28% 40% 13% 6% 1.23 83%
JOUT Johnson Outdoors-A 58.4 54% -89% 78% 20% 4% 2.49 91%
JOYY JOYY Inc 45.5 48% 40% 20% -5% -6% 2.58 70%
JPC Nuveen Preferred & Income Opportuni 33.4 45% -28% -5% 1% 2% 0.85 96%
JPM JPMorgan Chase & Company 62.3 63% 54% 0% -3% -1% 1.58 72%
JPXGY Japan Exchange Group 35.1 55% -4% 0% 12% 21% 2.08 74%
JQC Nuveen Credit Strategies Income -5.7 27% -43% -18% -2% -3% 0.86 60%
JRS Nuveen Real Estate Income -149.1 -43% -45% -17% 6% 8% 1.42 97%
JRSH Jerash Holdings US Inc -195.4 -45% -91% -23% 5% 7% 1.74 62%
JRVR James River Group Holdings Ltd 16.3 57% -140% 25% 19% 3% 3.34 95%
JSAIY J Sainsbury PLC 45.0 22% -1% 39% 8% 7% 1.72 90%
JSPR Jasper Therapeutics Inc -501.0 -103% -165% -92% -18% -2% 6.02 5%
JVA Coffee Holding Co Inc -10.2 39% -19% -64% -13% 10% 5.10 5%
JWEL Jowell Global Ltd -145.8 0% -136% -27% 2% 15% 7.58 74%
JXG JX Luxventure Ltd -1118.7 -397% -171% -105% 11% 2% 7.38 3%
JXN Jackson Financial Inc 40.2 18% 121% 17% 18% -5% 2.73 86%
JYNT Joint -487.1 -168% -114% -37% 6% -10% 3.30 24%
JZ Jianzhi Education Technology Group -328.8 0% -170% -108% -37% 16% 6.30 3%
JZXN Jiuzi Holdings Inc -399.1 -26% -173% -116% -79% 34% 11.13 0%
KAI Kadant 2.1 30% -9% -24% 24% 8% 2.35 79%
KALA Kala Bio Inc -1489.6 -576% -169% -112% -75% -32% 6.59 0%
KALU Kaiser Aluminum -8.5 -4% 21% 80% 35% 1% 3.01 86%
KALV KalVista Pharmaceuticals -40.7 -20% 51% 33% 17% 3% 4.28 92%
KAOOY Kao -199.6 -54% -64% -25% -1% 1% 1.54 19%
KARO Karooooo Ltd 24.0 49% 33% -7% 5% -4% 3.39 45%
KAVL Kaival Brands Innovations Group Inc -344.7 0% -172% -115% -97% 2% 10.56 1%
KB KB Financial Group ADR 105.8 50% 138% 83% 22% 14% 2.39 83%
KBCSY KBC Group SA 84.4 69% 35% 38% 3% -9% 1.81 76%
KBH KB Home 5.4 24% 4% -16% -7% 6% 2.55 58%
KBR KBR -148.7 -10% -97% -32% -3% -3% 1.80 6%
KBSX FST CORP -549.8 -125% -160% -96% -11% 14% 3.57 4%
KC Kingsoft Cloud Holdings Ltd 7.9 18% 144% -36% 2% -9% 6.53 22%
KCDMY Kimberly-Clark de Mexico SAB de CV 38.9 17% -29% 53% 13% 12% 2.13 95%
KD Kyndryl Holdings Inc -47.9 17% -89% -82% -50% -42% 2.95 8%
KDDIY KDDI -262.4 -97% -58% -15% -2% 0% 1.51 48%
KDP Keurig Dr Pepper Inc -565.1 -224% -84% -30% 3% 7% 1.45 39%
KE Kimball Electronics Inc -9.2 -5% -75% 30% -15% -20% 2.71 58%
KELYA Kelly Services-A -281.6 -61% -112% -43% 7% -14% 2.44 21%
KELYB Kelly Services -132.6 -52% -80% 12% 68% 8% 3.78 23%
KEN Kenon Hldgs 213.4 87% 292% 200% 42% 21% 2.60 100%
KEP Korea Electric Power ADR 93.9 28% 81% 120% -1% -12% 2.75 62%
KEQU Kewaunee Scientific Corp -34.6 -9% 91% -38% 8% 4% 3.63 35%
KEX Kirby 32.9 29% 11% 16% 17% 13% 1.97 99%
KEY KeyCorp 2.3 5% -37% 12% 13% -3% 2.70 78%
KEYS Keysight Technologies Inc -27.5 -14% 14% 76% 51% 36% 2.02 93%
KF Korea 181.2 88% 72% 140% 50% 12% 1.77 83%
KFFB Kentucky First Federal Bancorp 37.5 89% -102% 34% 8% 3% 3.70 86%
KFRC KForce -507.5 -152% -125% -60% -9% -25% 2.36 11%
KFS Kingsway Financial Servs -17.7 -9% -44% 33% -9% -12% 2.44 48%
KFY Korn/Ferry International -136.6 -36% -51% -16% -4% -8% 1.92 29%
KGC Kinross Gold 263.1 67% 811% 201% 19% 9% 3.09 85%
KGEI Kolibri Global Energy Inc -29.9 6% -63% -57% 14% 19% 3.83 22%
KGFHF Kingfisher 39.0 32% -13% 44% 15% 3% 2.65 78%
KGFHY Kingfisher PLC 29.4 14% -12% 36% 14% 2% 2.12 82%
KHC Kraft Heinz Co -414.1 -137% -102% -36% -6% 4% 1.53 19%
KHOLY Koc Holding 4.5 37% -56% -10% 5% -7% 2.66 51%
KIDS OrthoPediatrics -782.3 -310% -131% -38% 2% 8% 3.39 23%
KIDZ CLASSOVER HLDGS INC -50.4 12% -172% -115% -71% -40% 5.34 0%
KINS Kingstone Companies 135.7 41% 1109% -17% 9% 8% 4.79 40%
KIO KKR Income Opportunities 28.9 50% -32% -13% 0% 0% 0.81 70%
KITT Nauticus Robotics Inc -30.7 6% -173% -109% -4% -25% 9.46 0%
KKPNF Koninklijke KPN 36.8 26% -4% 30% 19% 11% 2.00 92%
KKPNY Koninklijke KPN NV 75.8 48% 11% 31% 19% 13% 1.18 91%
KKR KKR & Co LP -24.4 3% 0% -46% -24% -16% 2.57 10%
KLAC KLA-Tencor 118.6 58% 228% 98% 27% 6% 2.91 81%
KLBAY Klabin -76.9 -30% -35% 3% 18% 8% 1.70 52%
KLIC Kulicke and Soffa Industries -111.1 -56% -38% 73% 51% 19% 2.79 85%
KLRS KALARIS THERAPEUTICS INC -1111.8 -474% -167% -27% 66% 1% 6.39 74%
KLTO Klotho Neurosciences Inc -235.6 -86% -168% 24% -5% 53% 9.19 15%
KLTR Kaltura Inc -248.0 -53% -93% -40% 3% -2% 4.12 28%
KLXE KLX Energy Services Holdings Inc -332.5 -62% -152% -54% 61% 7% 5.92 32%
KMB Kimberly-Clark -56.3 3% -80% -41% -3% 7% 1.30 16%
KMDA Kamada 76.9 106% 52% 22% 36% 13% 2.77 97%
KMI Kinder Morgan Inc 88.1 76% 57% 13% 25% 16% 1.45 100%
KMPR Kemper Corp -238.2 -12% -116% -69% -21% -15% 2.31 4%
KMT Kennametal 54.4 10% -11% 84% 52% 20% 2.30 100%
KMTUF Komatsu 2441.5 104% 13394% 2752% 42% 18% 5.00 92%
KMTUY Komatsu Ltd 67.6 72% 11% 32% 35% 14% 2.18 76%
KMX CarMax Group -291.6 -43% -110% -66% 8% -4% 2.77 22%
KN Knowles Corporation -87.3 -44% -13% 50% 18% 7% 2.20 88%
KNBWY Kirin Holdings Co -407.9 -188% -61% 4% 4% 12% 1.39 81%
KNDI Kandi Technologies Group -186.4 -8% -129% -42% 7% -4% 3.96 23%
KNOP KNOT Offshore Partners LP 60.8 44% -1% 74% 5% 0% 2.86 91%
KNSA Kiniksa Pharmaceuticals Ltd -6.6 -3% 182% 103% 15% 7% 3.15 98%
KNSL Kinsale Capital Group Inc 4.7 53% -51% -28% 1% -1% 2.37 20%
KNTK Kinetik Holdings Inc 24.5 65% 26% -31% 31% 17% 2.48 67%
KNX Knight-Swift Transportation Holding -140.1 -65% -58% 14% 34% 9% 2.39 100%
KNYJY KONE 4.0 5% -22% 7% 3% -1% 1.64 79%
KO Coca-Cola -3.5 12% -30% -6% 8% 5% 1.09 79%
KODK Eastman Kodak Co -242.5 -116% 28% -15% -9% -5% 4.04 37%
KOF Coca-Cola Femsa S A B de C V ADR 37.1 42% -6% 12% 24% 4% 1.84 82%
KOP Koppers Holdings -80.5 -40% -60% 23% 29% 31% 2.62 100%
KOPN Kopin -198.9 -99% 29% 65% 2% -9% 6.33 47%
KORE Kore Group Holdings Inc 80.2 96% -76% 249% 119% 83% 6.98 99%
KOS Kosmos Energy Ltd -291.4 -82% -143% -16% 128% 88% 4.67 98%
KOSS Koss Corp -694.2 -282% -88% -36% -14% -11% 4.69 5%
KPCPY Kasikornbank Public 47.0 28% 10% 28% 1% 3% 1.55 79%
KPELY Keppel Corp 144.8 92% 116% 75% 18% 13% 1.85 84%
KPLT Katapult Holdings Inc -992.7 -384% -148% -63% -6% -8% 6.23 1%
KPRX Kiora Pharmaceuticals Inc -213.8 0% -168% -51% 5% -11% 5.08 11%
KPTI Karyopharm Therapeutics Inc -304.7 -110% -152% 9% 58% 47% 6.68 86%
KR Kroger 5.5 16% -5% -7% 0% 10% 1.64 63%
KRC Kilroy Realty -356.0 -132% -70% -23% -27% -7% 2.61 24%
KREF KKR Real Estate Finance Trust -480.3 -164% -101% -43% -10% -9% 2.19 20%
KRG Kite Realty Group Trust -49.6 -12% -36% -1% 14% 11% 1.74 96%
KRKR 36KR Holdings Inc -609.5 -213% -157% -39% -20% -23% 6.05 4%
KRMD KORU Medical Systems Inc -119.1 -60% -55% 30% -18% -13% 4.04 63%
KRNY Kearny Financial Corp -119.2 -38% -78% 4% 13% 0% 2.67 86%
KRO Kronos Worldwide -37.2 6% -116% -47% 18% 7% 3.27 37%
KROS Keros Therapeutics Inc -394.8 -155% -147% 7% -21% -24% 3.79 34%
KRP Kimbell Royalty Partners -65.7 -14% -44% -4% 15% 11% 1.75 99%
KRRO Korro Bio Inc -1068.8 -418% -142% -69% 106% -13% 7.57 13%
KRT Karat Packaging Inc 2.1 29% 13% -29% 11% 0% 2.54 37%
KRUS Kura Sushi USA Inc -554.9 -250% -62% -6% 36% -1% 4.51 47%
KRYAY Kerry Group PLC -228.8 -46% -85% -40% -13% -5% 1.60 0%
KRYS Krystal Biotech 67.1 51% 167% 37% 22% -5% 3.28 84%
KSCP Knightscope Inc -200.5 0% -165% -45% -7% 27% 8.54 21%
KSPI Kaspikz JSC 5.3 77% -65% -47% -6% -3% 2.14 8%
KSS Kohl's -281.5 -129% -105% 23% -37% -13% 4.51 50%
KT KT Corp 42.0 17% 56% 20% 23% 12% 1.65 80%
KTB Kontoor Brands -71.6 -36% 26% 10% 4% 29% 2.74 78%
KTCC Key Tronic Corp -584.5 -235% -129% -15% 10% 1% 2.99 46%
KTF DWS Municipal Income 32.5 54% -41% -14% 3% 3% 0.62 93%
KTOS Kratos Defense & Security Solutions 205.4 60% 533% 225% 21% -6% 3.51 60%
KTTA Pasithea Therapeutics Corp -195.2 0% -164% -43% -30% -2% 6.81 37%
KUBTF Kubota Corp 332.6 113% 223% 358% 27% 25% 2.28 82%
KUBTY Kubota Corp 75.1 108% -54% 29% 20% 20% 2.16 69%
KULR KULR TECHNOLOGY GROUP INC -1621.7 -677% -142% -87% 0% -13% 8.62 6%
KURA Kura Oncology Inc -106.8 -20% -100% 0% -26% 5% 4.14 46%
KUST Kustom Entertainment Inc -1337.1 -494% -173% -117% -71% -29% 7.55 0%
KVHI KVH Industries -172.5 -37% -113% -12% 0% -5% 2.81 45%
KW Kennedy-Wilson Holdings Inc -388.3 -165% -95% 2% 12% 12% 2.57 99%
KWM K WAVE MEDIA LTD -725.1 -200% -166% -107% -16% -26% 5.89 3%
KWR Quaker Chemical -169.3 -42% -97% -10% 3% -9% 2.52 54%
KXIN Kaixin Holdings -567.7 -110% -173% -116% -92% -66% 10.82 0%
KYMR Kymera Therapeutics Inc -178.8 -89% 97% 168% 28% 15% 4.50 88%
KYN Kayne Anderson Energy Infrastructur 63.6 65% 33% 2% 15% 9% 1.46 94%
KYNB Kyntra Bio Inc -705.3 -251% -171% -45% -20% -14% 7.61 24%
KYOCY Kyocera 40.3 44% -39% 24% 20% 11% 1.75 82%
KZIA Kazia Therapeutics Ltd -687.0 -343% -153% 99% -5% 43% 8.82 45%
KZR Kezar Life Sciences Inc -1138.9 -527% -161% 11% 17% 21% 4.14 100%
L Loews 67.1 62% 12% 11% 4% 7% 1.28 98%
LAB Standard BioTools Inc -423.6 -161% -114% -12% -26% -23% 5.16 18%
LAD Lithia Motors-A -231.0 -61% -64% -33% -16% -15% 2.65 3%
LADR Ladder Capital Corp Class A -170.7 -44% -57% -22% -4% -3% 1.66 55%
LAKE Lakeland Industries -53.4 3% -111% -78% -40% -4% 3.21 7%
LAMR Lamar Advertising Co Class A -79.2 -33% -19% 0% 5% 10% 1.72 100%
LAND Gladstone Land -564.7 -246% -93% -5% 32% 14% 1.96 89%
LANV Lanvin Group Holdings LTD-A -8.7 54% -147% -33% -25% 11% 5.52 36%
LAR LITHIUM ARGENTINA AG 74.0 51% -144% 219% 25% 3% 5.00 75%
LARK Landmark Bancorp 53.1 77% -16% 11% 2% 4% 2.11 95%
LASE Laser Photonics Corp -276.1 0% -153% -87% -65% -24% 9.35 7%
LASR nLight 335.7 8% 430% 690% 102% 41% 4.01 99%
LAUR Laureate Education 122.0 97% 114% 44% 3% -6% 1.94 79%
LAW CS Disco Inc -431.2 -153% -108% -27% -43% -33% 3.93 23%
LAZ Lazard -87.7 -23% -22% -14% -5% -8% 2.62 65%
LBLCF Loblaw Companies 98.9 74% 44% 27% 1% 1% 1.33 76%
LBRDA Liberty Broadband Corp-A -324.4 -72% -112% -53% 18% 10% 2.57 20%
LBRDK Liberty Broadband Corp-C -315.3 -67% -111% -53% 18% 10% 2.58 20%
LBRT Liberty Oilfield Services -15.9 -8% 14% 59% 51% 7% 3.45 95%
LBTYA Liberty Global PLC Class A -538.0 -225% -111% -7% 11% 17% 2.27 93%
LBTYB Liberty Global -581.7 -250% -112% -4% 12% 21% 2.85 43%
LBTYK Liberty Global PLC -768.6 -332% -115% -14% 9% 15% 2.29 94%
LC LendingClub Corp -34.3 -17% -6% 11% -14% -6% 3.79 54%
LCID Lucid Group Inc -1214.2 -484% -161% -69% -19% 1% 5.29 4%
LCII LCI Industries Inc 20.5 29% -39% 22% 18% -7% 2.64 75%
LCNB LCNB -126.8 -48% -59% 5% 11% 3% 2.38 98%
LCUT Lifetime Brands -213.2 -16% -127% -49% -17% 2% 4.41 12%
LDI loanDepot Inc -457.8 -197% -82% -5% -32% -14% 5.55 24%
LDNXF London Stock Exchange Gr -32.4 3% -45% -39% -4% 6% 2.16 29%
LDOS Leidos Holdings Inc 48.0 38% 15% 21% -7% -4% 1.65 69%
LDP Cohen & Steers Limited Duration Prf -8.9 13% -38% -9% 0% 1% 0.83 92%
LDWY Lendway Inc -549.3 -216% -129% -15% 8% -12% 4.48 29%
LE Lands' End Inc 22.3 29% 32% 22% -4% -10% 4.55 72%
LEA Lear Corporation 14.2 28% -78% 21% 13% 6% 2.16 73%
LECO Lincoln Electric Holdings 30.6 19% 3% 26% 19% 7% 1.96 88%
LEDS SemiLEDs Corp -208.7 -42% -107% -27% -15% -13% 5.51 2%
LEE Lee Enterprises -506.8 -200% -124% -12% 126% 69% 4.51 79%
LEG Leggett & Platt -3.7 27% -136% 11% -6% -6% 2.89 74%
LEGH Legacy Housing Corp -323.9 -110% -67% -29% 8% 4% 2.48 26%
LEGN Legend Biotech Corp -279.4 -32% -134% -63% -34% 6% 3.34 4%
LEN Lennar-A -120.3 -16% -56% -25% -19% 0% 2.33 14%
LENB Lennar-B -84.9 0% -43% -28% -18% 1% 2.41 14%
LENZ LENZ Therapeutics Inc -319.2 -71% -93% -57% -58% -19% 4.69 4%
LEO BNY Mellon Strategic Municipals 28.4 54% -55% -10% 4% 2% 0.79 93%
LESL Leslie's Inc -1250.5 -455% -172% -113% -70% -32% 6.47 0%
LEU Centrus Energy Corp -53.9 -27% 261% 124% -20% -22% 5.69 39%
LEVI Levi Strauss & Co -26.9 -6% -43% 7% -7% 8% 2.55 71%
LFCR Lifecore Biomedical Inc -238.8 -109% -50% 6% -11% -16% 4.73 53%
LFMD LifeMD Inc -269.9 -85% 5% -51% -13% -3% 6.01 4%
LFST LifeStance Health Group Inc -218.9 -76% -27% -25% 14% 4% 3.19 81%
LFT Lument Finance Trust Inc -27.2 39% -76% -62% -8% 1% 2.55 8%
LFUS Littelfuse 30.6 28% -38% 36% 33% 6% 2.34 83%
LFVN Lifevantage Corp -14.7 55% -29% -88% -26% -8% 4.71 3%
LGGNF Legal & General Group 0.5 15% -50% 3% 7% -8% 3.52 64%
LGGNY Legal & General Group PLC 28.8 45% -27% 4% 7% -3% 1.76 80%
LGHL Lion Group Holding Ltd -347.1 0% -172% -116% -83% -11% 8.98 0%
LGI Lazard Global Total Return & Income 46.5 39% -8% 13% 12% 5% 1.13 90%
LGIH LGI Homes Inc -593.5 -207% -126% -48% -8% -2% 3.43 23%
LGL LGL Group Inc 4.5 22% -15% -7% 26% 1% 3.20 77%
LGND Ligand Pharmaceuticals 92.6 66% 114% 69% 5% 7% 2.73 100%
LGO Largo Resources Ltd -877.7 -374% -146% -16% 75% 44% 5.13 51%
LH Labcorp Holdings Inc -123.0 -39% -51% -6% 4% 6% 1.57 89%
LHX L3harris Technologies Inc 98.4 57% 14% 64% 35% 10% 1.55 95%
LI Li Auto Inc -218.2 -22% -99% -54% -5% 6% 3.89 9%
LICN Lichen China Ltd -904.2 -329% -172% -66% -1% 2% 7.98 5%
LIDR AEye Inc -210.6 -105% -163% 167% -33% 5% 9.21 29%
LIEN Chicago Atlantic BDC Inc 27.3 62% -9% -18% -8% -1% 1.97 62%
LII Lennox International 30.0 54% 52% -23% 12% 13% 2.24 49%
LILA Liberty Latin America -112.2 -34% -79% 4% -6% 7% 3.00 84%
LILAK Liberty Latin America -107.0 -34% -78% 7% -7% 7% 3.02 84%
LIN Linde PLC -12.3 2% -22% -8% 22% 10% 1.22 92%
LINC Lincoln Educational Services Corp 146.3 71% 444% 80% 70% 34% 3.10 95%
LIND Lindblad Expeditions Holdings Inc -92.9 -46% -1% 50% 53% 8% 4.08 81%
LINK Interlink Electronics Inc -716.1 -281% -93% -46% -18% 1% 5.98 5%
LIT Global X Lithium & Battery Technolo 64.6 66% -58% 59% 12% 3% 2.27 87%
LITB LightInTheBox Holding Co -190.9 -95% -136% 140% 29% 3% 6.13 56%
LITE Lumentum Holdings Inc 507.9 69% 1124% 919% 113% 62% 4.37 86%
LITM Snow Lake Resources Ltd -668.5 -208% -162% -72% -4% -6% 8.95 6%
LITS Lite Strategy Inc -819.1 -296% -137% -68% -29% 9% 4.44 5%
LIVE Live Ventures Inc -251.3 -126% -131% 64% 41% -31% 4.97 43%
LIVN LivaNova PLC -165.8 -83% -37% 39% 3% -1% 2.48 85%
LIXT Lixte Biotech Holdings Inc 0.0 0% -140% 115% -32% -20% 7.41 40%
LK Luckin Coffee 2.4 17% -58% 8% -5% 5% 4.20 46%
LKFN Lakeland Financial -166.9 -30% -81% -26% 0% -2% 2.32 51%
LKQ LKQ -669.5 -259% -112% -38% 8% 0% 1.86 27%
LLY Eli Lilly & Company 71.6 75% 152% -9% -6% -2% 2.28 78%
LMAT LeMaitre Vascular Inc 30.2 34% 50% -1% 28% 25% 2.29 80%
LMB Limbach Holdings Inc 70.9 41% 452% -5% 24% 3% 4.27 25%
LMFA LM Funding America Inc -286.9 0% -167% -88% -53% 21% 8.22 3%
LMND Lemonade Inc -2.0 -1% 172% 36% -28% -30% 5.54 41%
LMNR Limoneira Co -40.5 9% -75% -51% 5% 1% 2.29 22%
LMT Lockheed Martin 52.7 37% -21% 34% 51% 7% 1.42 96%
LNC Lincoln National 13.6 59% -38% -20% -14% -16% 2.76 41%
LND Brasilagro - Cia Bras -277.7 -115% -71% 0% 13% 7% 2.05 88%
LNG Cheniere Energy -48.8 -17% -11% -4% 18% 22% 1.79 100%
LNKB Linkbancorp Inc 32.0 67% -46% 5% 15% 1% 2.50 83%
LNN Lindsay -333.0 -129% -78% -11% 15% 8% 2.15 70%
LNSR LENSAR Inc 20.6 11% 221% -27% 18% -3% 4.62 36%
LNT Alliant Energy 21.2 35% -17% -4% 7% 13% 1.34 100%
LNTH Lantheus Holdings Inc -164.6 -25% -65% -35% 31% 19% 3.29 46%
LNVGY Lenovo Group Ltd 6.8 56% -25% -34% -5% 4% 2.99 38%
LNW Light & Wonder Inc -200.9 -61% -21% -33% -8% -19% 2.61 42%
LNZA LanzaTech Global Inc Ordinary Share -2522.9 -1101% -170% -104% -33% -20% 8.26 2%
LOAN Manhattan Bridge Capital Inc -18.2 32% -71% -32% -6% -2% 1.61 5%
LOB Live Oak Bancshares Inc -228.0 -92% -67% 0% 12% -10% 3.23 72%
LOCL Local Bounti Corp -642.4 -201% -160% -67% -59% -44% 7.33 0%
LOCO El Pollo Loco Holdings Inc -287.7 -102% -79% -15% 2% 9% 2.41 81%
LODE Comstock Mining Inc -908.3 -452% -67% 20% -2% 18% 7.35 55%
LOGC ContextLogic Inc -2.4 45% -119% -11% 4% 5% 4.04 77%
LOGI Logitech International S A -67.1 -12% 2% -22% -19% 6% 2.18 47%
LOMA Loma Negra Cia Industria Argentina -57.7 -3% -8% -23% -18% -9% 3.39 45%
LONA LeonaBio Inc -716.2 -347% -153% 40% 40% 30% 5.87 70%
LOOP Loop Industries -723.8 -316% -118% -7% 18% 8% 5.71 37%
LOPE Grand Canyon Education Inc -155.2 -40% -30% -28% 2% -6% 1.78 17%
LOT Lotus Technology Inc -952.3 -360% -162% -63% -16% -8% 4.05 1%
LOVE Lovesac Co -674.0 -241% -128% -54% -13% -4% 4.21 9%
LOW Lowe's Companies -10.7 8% -38% -10% 5% -2% 1.71 64%
LPA Logistic Properties of the Americas -852.9 -288% -147% -90% -21% -11% 6.77 3%
LPCN LIPOCINE INC -260.5 -130% -62% 163% 154% -5% 5.40 68%
LPG Dorian LPG Ltd 68.9 31% 64% 87% 54% 29% 3.04 98%
LPL LG Display ADR -3.7 11% -99% 15% 0% 12% 2.92 57%
LPLA LPL Financial Holdings Inc -21.6 9% -44% -30% -14% -16% 2.35 25%
LPRO Open Lending Corp-A -952.4 -339% -153% -86% -22% -22% 4.33 15%
LPSN LivePerson -308.6 0% -171% -97% -34% 6% 7.20 3%
LPTH LightPath Technologies Inc 195.7 26% 522% 437% 64% 14% 5.50 80%
LPX Louisiana-Pacific -116.9 -15% -27% -34% -2% -3% 2.46 23%
LQDA Liquidia Technologies Inc 82.8 4% 282% 114% 6% -21% 4.11 65%
LQDT Liquidity Service 20.3 21% 86% -15% 8% 1% 2.48 93%
LRCX Lam Research 168.5 66% 305% 180% 44% -4% 3.12 86%
LRLCY L'Oreal SA -52.5 -7% -59% 0% -2% -3% 1.82 66%
LRMR Larimar Therapeutics Inc -88.7 -44% -86% 88% 53% 57% 6.48 88%
LRN Stride Inc -98.2 -4% 30% -55% 38% 2% 2.32 24%
LSCC Lattice Semiconductor 6.4 2% -63% 34% 33% 12% 3.73 79%
LSF Laird Superfood Inc -495.4 -195% 63% -73% 1% -12% 6.45 11%
LSPD Lightspeed POS Inc -645.4 -247% -109% -39% -16% -9% 3.34 27%
LSTA Lisata Therapeutics Inc -395.8 -198% -40% 83% 114% -4% 4.62 86%
LSTR Landstar System -97.5 -14% -76% -9% 26% 5% 1.90 100%
LTBR LIGHTBRIDGE CORPORATION -551.7 -276% 129% 17% -16% -13% 7.59 29%
LTC LTC Properties 59.7 92% -46% -5% 8% 9% 1.40 80%
LTCH Latch Inc -629.0 -270% -141% 3% 117% 43% 10.89 95%
LTCN Grayscale Litecoin Trust -296.9 -52% -67% -74% -31% -9% 7.39 7%
LTGHY Life Healthcare Group -203.9 -70% -50% -16% 9% 2% 2.40 65%
LTH Life Time Group Holdings Inc -100.5 -7% -27% -34% -5% -12% 2.96 20%
LTRN Lantern Pharma Inc -845.5 -342% -119% -41% -20% -6% 6.21 9%
LTRX Lantronix Inc -99.4 -50% -55% 117% 13% -12% 4.53 75%
LU Lufax Holding Ltd -263.2 -62% -108% -33% -6% -5% 4.89 3%
LULU Lululemon Athletica Inc -420.1 -104% -117% -68% -6% -2% 2.60 7%
LUMN LUMEN TECHNOLOGIES INC -42.7 -21% 32% 28% -17% -21% 5.98 44%
LUNG Pulmonx Corp -715.0 -204% -159% -100% -19% -10% 5.01 2%
LUNMF Lundin Mining Corp 184.1 40% 336% 258% 56% 15% 3.45 86%
LUNR Intuitive Machines Inc Ordinary Sha -266.0 -127% -80% 21% 100% 6% 7.91 74%
LUV Southwest Airlines 28.5 18% -22% 40% 35% -3% 2.57 75%
LUXE LuxExperience BV -94.4 -1% -59% -27% 0% 20% 4.84 67%
LVLU Lulus Fashion Lounge Holdings Inc -213.5 -84% -141% 24% 180% -16% 6.78 48%
LVMUY LVMH-Moet Hennessy Louis Vuitton S -281.3 -74% -98% -34% -22% -5% 2.20 33%
LVRO Lavoro LTD-A -1280.7 -469% -171% -115% -88% -86% 6.18 0%
LVS Las Vegas Sands -118.8 -46% -67% 9% -20% 3% 2.32 67%
LVWR Livewire Group Inc -386.3 -111% -148% -32% -57% -26% 6.68 12%
LW Lamb Weston HLD -484.0 -178% -124% -23% -23% 4% 2.23 24%
LWAY Lifeway Foods -96.3 -48% 195% -13% -13% -1% 3.98 12%
LWLG Lightwave Logic Inc -158.1 -79% -72% 357% 39% 72% 6.64 93%
LXEH Lixiang Education Holding Co Ltd -454.7 -57% -167% -114% -21% 2% 13.43 0%
LXFR Luxfer Holdings PLC -87.4 -6% -85% -9% 0% -17% 2.73 54%
LXP LXP Industrial Trust -357.6 -153% -66% -4% 1% 1% 1.75 86%
LXRX Lexicon Pharmaceuticals Inc -156.3 -78% -97% 445% 19% 32% 7.06 91%
LXU LSB Industries -137.6 -69% -79% 65% 37% 40% 3.42 100%
LYB LyondellBasell Industries NV -164.2 -28% -92% -24% 30% 26% 2.13 72%
LYEL Lyell Immunopharma Inc -35.3 -18% -118% 63% 7% -2% 6.99 52%
LYFT Lyft Inc - A -278.4 -120% -34% -8% -36% -18% 4.26 27%
LYG Lloyds Banking Group plc 85.9 71% 80% 35% 6% -11% 2.10 71%
LYRA Lyra Therapeutics Inc -627.8 -153% -171% -104% -67% -36% 7.00 1%
LYTS LSI Industries 2.1 14% -32% 0% 15% -5% 2.65 68%
LYV Live Nation Entertainment 22.2 23% 48% -6% 20% 12% 2.03 74%
LZ LegalZoomcom Inc -316.3 -77% -91% -51% -28% -26% 3.23 8%
LZAGY Lonza Group Ag -16.2 8% -59% -12% -3% 1% 1.99 64%
LZB La-Z-Boy -22.8 13% -54% -33% -10% -2% 2.31 48%
LZM Lifezone Metals Ltd -623.6 -239% -130% -30% 19% -15% 4.76 47%
LZRFY Localiza Rent A Car -15.7 -8% -67% 102% 18% 4% 3.47 91%
M Macy's -93.8 -47% -65% 26% -16% -8% 3.28 67%
MA Mastercard 4.7 39% -23% -26% -5% -4% 1.34 38%
MAA Mid-America Apartment Communities -229.4 -53% -79% -36% -1% 3% 1.55 23%
MAC Macerich -8.5 -4% 9% -3% 17% 10% 2.82 94%
MAGN Magnera Corp -209.2 0% -148% -55% -17% -7% 4.98 35%
MAIA MAIA Biotechnology Inc -336.1 -97% -137% -26% 29% -18% 6.76 33%
MAIN Main Street Capital Corporation BDC 58.4 80% 4% -13% 3% -5% 1.33 66%
MAKSY Marks and Spencer Group PLC 51.5 55% 100% -7% 9% 2% 2.17 68%
MAMA Mamas Creations Inc 186.8 77% 677% 154% 38% 7% 3.89 91%
MAN Manpower -961.4 -369% -135% -67% -3% -22% 2.46 6%
MANA Grayscale Decentraland Trust -317.9 0% -159% -106% -38% -13% 11.47 1%
MANH Manhattan Associates -151.3 -17% -73% -35% -20% -3% 2.32 14%
MANU Manchester United PLC Class A -292.1 -124% -87% 7% 12% 2% 2.67 79%
MAR Marriott International-A 29.4 26% 32% 5% 10% 7% 1.81 84%
MARA Marathon Digital Holdings Inc -720.1 -296% -42% -50% -20% 3% 7.09 16%
MAS Masco -81.2 -6% -35% -23% 5% 5% 1.99 54%
MASI Masimo Corporation -247.4 -75% -69% -25% 21% 28% 2.74 76%
MASS 908 Devices Inc -277.6 -139% -98% 223% 9% 10% 6.07 66%
MAT Mattel -233.7 -46% -85% -42% -25% -24% 2.32 17%
MATH Metalpha Technology Holding Ltd -3.3 30% -36% -30% -56% -34% 5.92 2%
MATV Mativ Holdings Inc -184.6 -92% -129% 59% -19% -19% 3.90 53%
MATW Matthews International-A -10.6 15% -95% -3% 7% 1% 2.73 78%
MATX Matson 46.3 50% 83% 3% 49% 3% 2.52 95%
MAX MediaAlpha Inc -364.2 -143% -106% -3% -20% 3% 4.15 47%
MAXN Maxeon Solar Technologies Ltd -303.2 -44% -172% -50% -22% -17% 8.46 0%
MAYS J W Mays Inc 62.9 105% -75% -5% 6% 7% 1.41 27%
MBAI Check-Cap Ltd -440.2 -220% -115% 115% 13% 31% 7.30 50%
MBC MasterBrand Inc -207.0 -34% -75% -45% -15% -22% 3.01 3%
MBFJF Mitsubishi UFJ Financial 1639.0 107% 10298% 1566% 9% -1% 5.23 84%
MBGYY Mercedes-Benz Group AG-ADR -5.6 19% -65% -6% -5% -3% 1.93 72%
MBI MBIA -361.8 -167% -61% 7% -8% 9% 3.88 70%
MBIN Merchants Bancorp -9.5 3% -27% -11% 28% 1% 2.64 72%
MBLY Mobileye Global Inc -447.8 -113% -152% -60% -29% -6% 4.21 1%
MBOT Microbot Medical Inc -68.9 -34% -89% 63% 8% 39% 6.57 35%
MBRX MOLECULIN BIOTECH INC -646.3 -156% -172% -109% -66% -42% 8.14 0%
MBUU Malibu Boats Inc Class A -903.4 -378% -126% -31% -3% -13% 3.20 24%
MBWM Mercantile Bank Co 3.4 11% -2% -4% 13% 0% 2.39 87%
MC Moelis & Company Class A -74.9 -7% -14% -26% -7% -14% 2.58 42%
MCB Metropolitan Bank Holding 20.1 33% -22% 24% 11% -10% 3.91 74%
MCBS MetroCity Bankshares Inc -11.0 4% -16% -18% 7% 0% 2.44 76%
MCD McDonald's 0.6 19% -37% -6% 9% 6% 1.20 87%
MCFT MasterCraft Boat Holdings Inc -150.2 -47% -109% 8% 17% -1% 2.94 65%
MCHP Microchip Technology -62.1 -11% -79% 7% 31% -8% 2.98 77%
MCI Barings Corporate Investors 49.3 72% 16% -13% -1% -1% 1.62 64%
MCK McKesson 113.0 76% 107% 35% 13% 17% 1.59 95%
MCN XAI Madison Equity Premium Income -145.9 -43% -65% -8% 4% 3% 1.10 96%
MCO Moody's -15.0 5% -6% -23% -4% -7% 1.61 53%
MCR MFS Charter Income -15.7 17% -50% -13% -1% 1% 0.64 88%
MCRB Seres Therapeutics Inc -861.5 -320% -163% -57% -48% -38% 7.43 11%
MCRI Monarch Casino & Resort -76.1 -19% -32% -8% 2% 9% 1.63 76%
MCS Marcus -79.0 -4% -57% -17% 11% 15% 2.09 83%
MCW Mister Car Wash Inc -753.8 -311% -95% -34% 32% 27% 2.97 63%
MCY Mercury General 87.7 50% 125% 55% 0% 7% 2.33 93%
MD Pediatrix Medical Group Inc 23.5 42% -47% 20% -18% -6% 2.91 62%
MDB MongoDB -95.5 -9% -53% -22% -25% -32% 3.84 35%
MDGL Madrigal Pharmaceuticals Inc -86.1 -43% -12% 21% -26% -10% 3.90 50%
MDIA MediaCo Holding Inc -202.7 0% -119% -62% -36% -1% 8.05 9%
MDIBY Mediobanca 56.3 67% 54% -2% 0% -6% 1.95 48%
MDLZ Mondelez International-A -249.6 -74% -76% -25% 4% 2% 1.42 40%
MDNA Medicenna Therapeutics Corp -332.6 -124% -69% -19% -46% 0% 6.11 13%
MDRR Medalist Diversified REIT Inc -331.2 -112% -89% -24% -13% 0% 3.10 37%
MDRX Veradigm Inc -1215.9 -527% -147% -32% -12% -10% 3.10 25%
MDT Medtronic -158.7 -51% -46% -13% -8% -5% 1.42 65%
MDV Modiv Inc -0.3 15% -13% -11% 6% 2% 2.30 84%
MDWD MediWound -6.7 10% -34% -14% 1% -1% 3.70 36%
MDXG MiMedx Group Inc -306.3 -70% -70% -59% -29% -4% 3.22 2%
MEC Mayville Engineering Co Inc -35.3 -18% -51% 23% 17% 0% 3.45 75%
MED Medifast -190.3 0% -162% -41% -1% -5% 3.24 6%
MEDP Medpace Holdings Inc 34.5 13% 66% 29% -22% -19% 2.69 55%
MEG Montrose Environmental Group Inc -470.5 -216% -119% 20% 6% 19% 4.51 81%
MEGI MainStay CBRE Glob Infra Megatrend 23.3 16% -23% 19% 10% 11% 1.28 91%
MEGL Magic Empire Global Ltd -208.7 0% -158% -52% -27% -17% 6.39 7%
MEI Methode Electronics-A -606.6 -223% -153% -30% 8% 2% 3.75 65%
MELI Mercadolibre Inc -122.3 -22% -23% -32% -15% -16% 2.72 6%
MEOH Methanex -205.4 -97% -59% 14% 47% 13% 2.75 100%
MESO Mesoblast Ltd ADR -149.8 -71% 55% -23% -15% -14% 5.51 42%
MET MetLife Inc -151.8 -26% -60% -29% -4% -6% 1.81 41%
META Meta Platforms Inc 80.4 76% 224% -15% 3% -4% 2.37 60%
METC Ramaco Resources -58.4 -29% -1% 63% 5% -13% 5.43 19%
MFA MFA Financial Inc -104.9 -38% -30% -4% 10% 8% 1.95 99%
MFC Manulife Financial 48.3 50% 32% 3% 0% -6% 1.60 74%
MFCSF Medical Facilities 44.4 53% 50% -12% 8% 5% 1.62 98%
MFG Mizuho Financial Group Inc ADR 106.0 97% 120% 33% 14% -6% 2.20 68%
MFIC MidCap Financial Investment Corp -20.2 22% -51% -29% -10% -2% 1.46 36%
MFIN Medallion Financial -104.6 -52% -27% 14% 0% -1% 2.72 77%
MFM MFS Municipal Income -18.3 10% -44% -13% 4% 3% 0.93 94%
MG Mistras Group Inc 56.2 24% 116% 48% 30% 10% 2.95 100%
MGA Magna International-A -151.0 -75% -46% 65% 26% 23% 2.20 84%
MGDDY Michelin -73.3 -14% -42% -9% 12% 2% 1.64 65%
MGEE MGE Energy -26.6 10% -50% -28% 1% 5% 1.57 28%
MGF MFS Government Markets Income -12.5 25% -60% -16% -4% 0% 0.74 44%
MGLD The Marygold Companies Inc -315.6 -121% -101% -3% 8% -13% 7.59 69%
MGM MGM Resorts International -335.7 -132% -87% -7% 3% 11% 2.52 78%
MGNI Magnite Inc -327.0 -123% -53% -23% -7% 0% 4.12 28%
MGNX Macrogenics Inc -223.9 -40% -138% -26% 42% 20% 5.83 75%
MGPI MGP Ingredients -478.0 -129% -153% -59% -20% -24% 2.65 1%
MGRC McGrath RentCorp -157.5 -37% -58% -23% 9% -2% 1.86 51%
MGTX MeiraGTx Holdings PLC -130.0 -37% -76% -3% -6% -4% 4.74 60%
MGY Magnolia Oil & Gas Corp -93.5 -47% -34% 14% 22% 18% 2.41 100%
MGYR Magyar Bancorp Inc 34.8 50% -25% 5% 4% 1% 1.71 81%
MHD BlackRock MuniHoldings -3.8 26% -52% -12% 4% 3% 0.73 100%
MHF Western Asset Municipal High Income -17.0 17% -47% -17% 2% 2% 0.86 52%
MHH Mastech Digital Inc -409.2 -109% -120% -55% -15% -6% 4.01 15%
MHK Mohawk Industries -264.3 -93% -61% -18% -1% -3% 2.53 41%
MHO M/I Homes 23.7 9% 79% 8% 5% 9% 2.67 75%
MI NFT Ltd Ordinary Shares-Class A 30.7 48% -159% 136% 29% 32% 7.53 93%
MIDD Middleby -332.7 -125% -69% -18% 35% 9% 2.22 86%
MIELY Mitsubishi Electric 142.0 92% 133% 105% 27% 14% 2.40 84%
MIGI Mawson Infrastructure Group Inc -293.3 0% -167% -91% -39% -28% 10.65 0%
MIN MFS Intermediate Income -16.1 19% -54% -15% -3% 1% 0.80 63%
MIND MIND Technology Inc -287.6 -131% -20% -6% -20% -6% 5.89 35%
MINE Mayfair Gold Corp 44.4 51% 11% 33% 12% -1% 2.96 67%
MIR Mirion Technologies Inc 47.2 44% 68% 26% -15% -12% 2.96 52%
MIRM Mirum Pharmaceuticals Inc 102.3 49% 231% 85% 32% -9% 3.13 78%
MIST Milestone Pharmaceuticals Inc -276.7 -81% -121% -17% -39% -14% 5.07 43%
MITEY Mitsubishi Estate Co 128.1 75% 82% 92% 32% 24% 2.04 85%
MITK Mitek Systems Inc -167.6 -84% -6% 49% 69% 49% 2.89 100%
MITQ Moving iMage Technologies Inc -1467.2 -677% -130% -14% -27% -24% 5.25 6%
MITSF Mitsui & Co 1332.7 51% 4609% 2098% 41% 14% 4.53 93%
MITT AG Mortgage Investment Trust Inc 31.9 49% 9% -1% -2% -6% 2.20 69%
MIY BlackRock MuniYield MI Quality 56.8 64% -41% -2% 10% 5% 0.72 100%
MJ Amplify Alternative Harvest ETF -253.3 -92% -112% 3% -3% -1% 4.02 39%
MJDLF Major Drilling Group 68.4 21% 0% 118% 36% 22% 3.07 95%
MKC McCormick -405.8 -139% -79% -38% -1% 9% 1.69 23%
MKCV McCormick & Co -365.2 -118% -79% -38% -1% 7% 2.14 22%
MKGAF Merck -169.7 -40% -96% -13% 2% -2% 2.53 66%
MKKGY Merck -268.4 -85% -95% -17% 5% -2% 1.98 69%
MKL Markel 30.6 54% -19% -11% -2% 2% 1.41 70%
MKSI MKS Instruments 96.3 31% 89% 159% 50% 2% 3.56 87%
MKTAY Makita Corp -50.1 -9% -28% -6% 22% 0% 2.40 70%
MKTW Marketwise Inc -587.1 -241% -126% -11% -10% -8% 4.99 55%
MKTX MarketAxess Hldgs -415.6 -151% -115% -18% 18% 16% 2.09 46%
MLAB Mesa Laboratories -408.1 -116% -119% -48% 17% 17% 3.71 45%
MLCO Melco Crown Entertainment Ltd ADR -207.2 -48% -125% -14% -39% -5% 3.43 22%
MLEC Moolec Science SA -38.4 10% -172% -109% 55% 85% 7.12 5%
MLGO Microalgo Inc -18.9 15% -172% -114% -46% -19% 15.63 0%
MLI Mueller Industries 105.8 81% 160% 34% 8% -13% 2.18 71%
MLKN MillerKnoll Inc -167.5 -39% -78% -18% 27% 0% 2.92 71%
MLM Martin Marietta Materials 68.1 65% 15% 24% 7% 3% 1.75 82%
MLP Maui Land & Pineapple -3.9 18% 12% -30% 6% 0% 2.94 49%
MLR Miller Industries -3.4 30% -2% -35% 19% 9% 2.30 50%
MLTX MOONLAKE IMMUNOTHERAPEUTICS -220.3 -13% -75% -72% 36% 16% 4.90 21%
MLYS Mineralys Therapeutics Inc -74.9 -37% -5% 204% -30% -5% 4.87 52%
MMD MainStay MacKay DefinedTerm Muni O -199.0 -65% -69% -12% 6% 2% 0.79 93%
MMI Marcus & Millichap Inc -636.9 -240% -92% -47% -9% 0% 2.32 11%
MMLP Martin Midstream Partners -17.1 22% -55% -38% 12% 4% 3.12 45%
MMM 3M Company 36.5 66% -8% -11% -6% 7% 1.90 74%
MMS Maximus -153.4 -58% -73% 6% -11% -16% 1.79 41%
MMSI Merit Medical Systems -151.7 -8% -67% -45% -15% -8% 1.85 0%
MMT MFS Multi-Market Income 19.3 39% -40% -10% 0% 1% 0.63 84%
MMU Western Asset Managed Muni 10.9 35% -49% -10% 4% 2% 0.71 96%
MMYT MakeMyTrip Ltd -5.9 46% 22% -66% -33% -21% 3.19 0%
MNDO MIND CTI Ltd -44.9 23% -98% -51% 1% 5% 1.71 22%
MNDY MondayCom Ltd -329.3 -33% -124% -90% -50% -31% 3.81 2%
MNKD MannKind -272.6 -37% -118% -60% -47% -49% 3.57 1%
MNOV MediciNova -383.1 -128% -107% -27% 1% -12% 3.79 37%
MNPR Monopar Therapeutics Inc -520.9 -260% 172% 62% -34% -14% 9.10 37%
MNRO Monro Muffler/Brake -422.4 -172% -127% 3% 7% 9% 3.07 69%
MNSB MainStreet Bancshares Inc -220.5 -104% -90% 24% 16% 3% 2.36 97%
MNSO MINISO Group Holding Ltd -139.2 -20% -63% -28% -14% -6% 4.01 24%
MNST Monster Beverage Corp 28.6 18% -19% 25% 3% -2% 1.57 75%
MNTK Montauk Renewables Inc -675.5 -223% -156% -63% 0% -3% 4.91 13%
MNTS Momentus Inc -328.5 0% -173% -107% -58% -27% 10.29 1%
MNY MoneyHero Ltd Ordinary Shares - Cla -434.6 -217% -158% 52% 16% 23% 5.89 53%
MO Altria Group 38.8 29% 14% 10% 16% 11% 1.27 91%
MOBQ Mobiquity Technologies Inc -24.3 13% -147% -85% -42% 11% 8.97 10%
MOBX Mobix Labs Inc Ordinary Shares - Cl -1027.0 -420% -165% -39% 81% 333% 7.86 63%
MOD Modine Manufacturing 167.7 55% 696% 155% 31% 9% 4.27 83%
MODD Modular Medical Inc -520.2 -113% -165% -93% -56% -59% 5.96 3%
MOGA Moog Inc Class A 137.3 73% 173% 88% 50% 10% 2.19 96%
MOGB Moog 165.5 68% 180% 83% 51% 13% 1.55 99%
MOGU MOGU Inc ADR -547.7 -219% -94% -24% -19% -15% 5.66 8%
MOH Molina Healthcare -488.6 -136% -120% -68% 3% -16% 2.69 12%
MOLN Molecular Partners AG -323.4 -118% -94% -12% 22% 9% 5.16 89%
MOMO Hello Group Inc -205.1 -47% -86% -27% -13% -6% 2.96 27%
MORN Morningstar -222.2 -28% -81% -56% -14% -4% 1.80 21%
MOS Mosaic Company -259.7 -88% -119% -2% 4% -3% 2.68 25%
MOV Movado Group -51.8 -24% -82% 26% 18% 7% 2.51 93%
MOVE Movano Inc -283.8 0% -172% -85% 53% -6% 7.86 24%
MP MP Materials Corp 55.6 4% -2% 156% 5% 6% 4.74 54%
MPA BlackRock MuniYield PA Quality -20.4 12% -52% -13% 3% 3% 0.76 95%
MPAA Motorcar Parts of America Inc -222.2 -61% -93% -19% -22% -19% 4.81 20%
MPB Mid Penn Bancorp -59.6 -12% -55% 1% 11% -1% 2.30 84%
MPC Marathon Petroleum Corp 72.5 75% 14% 37% 12% 27% 2.22 100%
MPLX MPLX LP 88.0 78% 44% 0% 9% 10% 1.10 98%
MPTI M-Tron Industries Inc 83.6 37% 471% 52% 30% 4% 4.89 98%
MPV Barings Participation Investors 57.2 57% 12% 8% -4% 2% 1.42 81%
MPW Medical Properties Trust -459.5 -180% -102% -16% -1% 9% 3.81 76%
MPWR Monolithic Power Systems 59.6 44% 59% 74% 18% -5% 3.60 83%
MPX Marine Products -155.7 -22% -99% -23% -9% -20% 2.76 16%
MQ Marqeta Inc -286.8 -89% -102% -20% -16% -2% 3.42 10%
MQBKY Macquarie Group -276.4 -101% -55% -19% 4% -6% 1.83 62%
MQY BlackRock MuniYield Quality -92.0 -14% -55% -14% 4% 2% 0.76 92%
MRAAY Murata Manufacturing Inc -138.0 -59% -86% 19% 11% 19% 2.41 74%
MRAI Marpai Inc -8.4 77% -160% -69% -49% -38% 9.78 5%
MRAM Everspin Technologies 41.2 18% -16% 80% 36% -17% 3.51 55%
MRBK Meridian Bank 18.5 24% -32% 15% 22% 4% 2.09 90%
MRCC Monroe Capital Corp -211.4 -24% -87% -53% -23% -23% 1.88 0%
MRCY Mercury Systems 76.0 67% -5% 87% 33% -3% 3.01 77%
MREO Mereo BioPharma Group PLC -324.5 -20% -127% -100% -79% -3% 5.63 5%
MRK Merck & Company 58.4 78% -52% 17% 18% 8% 1.65 93%
MRKR Marker Therapeutics Inc -490.1 -192% -105% -18% 21% -14% 7.89 44%
MRM MEDIROM Healthcare Technologies In -560.6 -280% -151% 78% -36% -9% 6.53 37%
MRNA Moderna Inc -57.3 -29% -131% 74% 138% 37% 4.29 100%
MRNO Murano Global Investments PLC -899.0 -283% -166% -111% -63% -55% 6.63 1%
MRSH Marsh & McLennan Cos Inc -25.7 28% -53% -39% 0% 0% 1.22 20%
MRTN Marten Transport -156.8 -21% -108% -21% 32% 5% 2.01 90%
MRVI Maravai LifeSciences Holdings Inc -156.3 -39% -146% 9% 12% 15% 4.96 91%
MRVL Marvell Technology -63.3 -7% 6% -26% -15% 1% 3.96 57%
MS Morgan Stanley 38.2 34% 19% 16% -1% -8% 1.92 76%
MSA MSA Safety Incorporated 15.9 24% -24% 5% 17% 8% 1.63 87%
MSADY MS&AD Insurance Group Holdings Inc 62.8 79% 60% 1% 13% 3% 2.19 77%
MSB Mesabi Trust 13.0 16% 9% 8% -1% -6% 3.08 50%
MSBI Midland States Bancorp Inc -285.8 -128% -68% 8% 38% 0% 2.33 88%
MSCI MSCI Inc -346.2 -134% -60% -19% 2% -6% 1.81 59%
MSD MS Emerging Markets Debt 63.9 81% -13% -16% 5% 1% 0.91 76%
MSEX Middlesex Water -754.6 -325% -98% -19% 8% 9% 2.20 43%
MSFT Microsoft 1.9 17% -7% -12% -17% -3% 1.63 28%
MSGM Motorsport Games Inc -557.5 -279% -131% 217% 50% 1% 6.90 80%
MSGS Madison Square Garden Sports Corp-A 65.1 44% -4% 42% 41% 15% 1.60 88%
MSI Motorola Solutions Inc 13.8 15% 16% -4% 28% 20% 1.34 92%
MSM MSC Industrial Direct 9.6 26% -51% 4% 7% 5% 1.81 86%
MSN Emerson Radio Corp -533.3 -197% -108% -33% -15% 2% 3.94 9%
MSTR MicroStrategy -32.5 -16% 394% -59% -15% 6% 6.34 11%
MT ArcelorMittal 95.7 56% 43% 94% 40% 10% 2.44 86%
MTA Metalla Royalty & Streaming Ltd 101.8 26% 29% 211% 17% 17% 3.84 96%
MTB M&T Bank 37.2 60% -15% 2% 15% -1% 2.08 80%
MTBL Moatable Inc 71.3 42% 123% 195% 10% 10% 6.79 95%
MTC MMTEC Inc 0.0 0% -103% 257% 62% 46% 11.47 94%
MTCH Match Group Inc -401.4 -156% -96% -13% -9% -1% 2.58 36%
MTD Mettler-Toledo International -152.0 -32% -83% -16% -13% -6% 2.15 59%
MTDR Matador Resources Co -344.7 -147% -70% -2% 23% 25% 2.90 97%
MTEK Maris Tech Ltd -8.8 5% 5% -33% 38% 7% 5.05 25%
MTEX Mannatech Inc -255.3 -26% -131% -58% -28% -10% 5.17 0%
MTG MGIC Investment 51.1 63% 37% -6% -6% 0% 1.71 64%
MTH Meritage Homes -65.8 -8% -34% -14% -2% 3% 2.69 49%
MTLS Materialise NV ADR -517.2 -207% -112% -15% -11% -4% 3.43 45%
MTN Vail Resorts -638.0 -257% -106% -26% -1% 6% 2.17 28%
MTNB Matinas BioPharma Holdings Inc -171.3 -21% -170% -8% -24% 2% 8.17 5%
MTNOY MTN Group Ltd 64.5 42% 2% 82% 33% 8% 2.86 90%
MTR Mesa Royalty Trust -200.5 -27% -136% -28% 10% 11% 3.74 27%
MTRN Materion Corp 40.2 16% -24% 67% 31% 16% 2.71 93%
MTRX Matrix Service -122.6 -39% 5% -24% -2% -19% 3.55 22%
MTSFY Mitsui Fudosan Co Ltd 52.2 50% 26% 23% 8% 11% 2.14 71%
MTSI MACOM Technology Solutions Holding 110.8 60% 178% 102% 37% 6% 3.00 89%
MTUS Metallus Inc -65.6 -16% -79% 10% 4% -12% 2.96 63%
MTVA MetaVia Inc -327.8 0% -170% -107% -81% -29% 6.34 1%
MTW Manitowoc Co 6.6 11% -93% 35% 28% 10% 3.38 92%
MTX Minerals Technologies -132.0 -38% -54% -11% 22% 8% 2.09 90%
MTZ MasTec 98.0 29% 142% 121% 42% 25% 3.02 100%
MU Micron Technology 246.2 81% 530% 327% 66% -7% 3.74 90%
MUA BlackRock MuniAssets -5.3 23% -50% -12% 4% 1% 1.00 77%
MUC BlackRock MuniHoldings CA Quality -24.2 10% -54% -13% 4% 1% 0.69 95%
MUFG Mitsubishi UFJ Financial 87.8 80% 98% 24% 10% -2% 2.12 77%
MUJ BlackRock MuniHoldings NJ Quality 60.2 67% -41% -3% 7% 4% 0.64 96%
MUR Murphy Oil -152.1 -76% -77% 29% 8% 18% 2.81 95%
MURGY Muenchener Rueck Ges in Mnhn AG 39.7 51% 30% -8% -2% 3% 1.64 46%
MUSA Murphy USA Inc 19.7 62% -14% -28% 7% -1% 2.00 37%
MUX McEwen Mining Inc 145.7 33% 241% 269% 39% 12% 4.24 86%
MVBF MVB Financial -111.0 -56% -63% 34% -1% -6% 2.70 84%
MVIS Microvision Inc -924.0 -360% -141% -55% -11% 0% 6.08 12%
MVST Microvast Holdings Inc -658.9 -329% -3% 32% -36% -13% 8.58 20%
MWA Mueller Water Products 54.3 66% 49% 1% 22% 8% 2.06 92%
MX Magnachip Semiconductor Corp -938.0 -365% -145% -56% -2% -6% 3.13 19%
MXC Mexco Energy Corp -495.9 -201% -85% -18% 23% 4% 4.16 57%
MXE Mexico Equity & Income 43.9 22% -27% 41% 14% 4% 1.45 87%
MXF Mexico 63.0 36% -17% 50% 14% 3% 1.54 91%
MXL MaxLinear Inc -416.7 -177% -122% 10% 7% 0% 4.62 77%
MYE Myers Industries 62.9 24% -78% 113% 21% 6% 2.52 93%
MYFW First Western Financial Inc 23.6 57% -74% 13% 5% 0% 2.81 78%
MYGN Myriad Genetics -360.7 -66% -144% -67% -26% -2% 3.97 22%
MYI BlackRock MuniYield Quality III -81.3 -13% -51% -11% 4% 2% 0.74 96%
MYN BlackRock MuniYield NY Quality -81.5 -10% -54% -13% 0% 2% 0.73 91%
MYNZ Mainz Biomed BV -313.7 0% -172% -99% -20% -18% 7.82 6%
MYO MYOMO INC -237.1 -1% -49% -101% -12% -8% 6.40 3%
MYPS PLAYSTUDIOS Inc -813.2 -271% -159% -83% -20% -10% 4.11 7%
MYRG MYR Group Inc 77.1 22% 59% 109% 26% 8% 2.92 96%
MYSE Myseum Inc -154.0 0% -145% -29% -10% 3% 8.81 7%
MZDAY Mazda Motor Corporation 7.9 52% -89% -7% 2% 1% 2.87 62%
MZHOF Mizuho Financial Group 2527.6 173% 13417% 1490% 14% -8% 3.85 74%
MZTI The Marzetti Co -300.0 -97% -79% -27% 2% -2% 1.75 42%
NA Nano Labs Ltd -882.0 -326% -146% -66% -28% -7% 8.77 0%
NAAS Naas Technology Inc ADS -21.4 62% -172% -106% -44% -31% 8.50 0%
NABL N-able Inc -48.5 15% -131% -51% -34% -19% 2.28 10%
NABZY National Australia Bank Ltd 41.4 12% 18% 39% 26% 12% 1.74 88%
NAC Nuveen CA Quality Municipal Income 56.2 65% -39% -6% 3% 2% 0.65 96%
NAD Nuveen Quality Municipal Income 48.0 63% -41% -8% 3% 2% 0.71 92%
NAGE Niagen Bioscience Inc -75.7 -38% 116% -28% -27% -17% 4.67 1%
NAII Natural Alternatives International -2274.1 -1042% -142% -47% -22% -29% 3.50 9%
NAK Northern Dynasty Minerals Ltd 85.7 37% 446% 109% -27% -31% 5.87 35%
NALT NA -12.9 22% -65% -11% 7% 6% 0.64 100%
NAMM Namib Minerals -38.8 38% -140% -87% 137% -15% 3.95 8%
NAMS Newamsterdam Pharma Co Nv 25.2 7% 64% 36% -22% 0% 4.15 61%
NAN Nuveen NY Quality Municipal Income 7.1 32% -41% -13% 1% 3% 0.65 88%
NAT Nordic American Tanker 121.8 67% 21% 147% 63% 40% 2.62 95%
NATH Nathan's Famous Inc -9.5 8% -28% -13% 9% 1% 2.03 58%
NATR Natures Sunshine Products 91.4 84% 73% 73% 28% 4% 2.96 96%
NAUT Nautilus Biotechnology Inc -313.0 -156% -42% 94% 31% 32% 5.83 88%
NAVI Navient Corp -696.8 -257% -118% -52% -30% -11% 2.33 1%
NAZ Nuveen AZ Quality Municipal Income 47.4 75% -43% -19% 3% 4% 0.74 85%
NB NioCorp Developments Ltd 43.4 59% -116% 140% -9% -14% 6.41 35%
NBB Nuveen Taxable Municipal Income 10.1 37% -47% -12% 0% 4% 0.84 90%
NBH Neuberger Berman Municipal -2.6 29% -53% -14% 3% 2% 0.73 92%
NBHC National Bank Holdings Corp Class A -165.7 -46% -63% -16% 8% 2% 2.24 83%
NBIS Nebius Group NV 191.4 49% 484% 231% -3% 12% 3.61 67%
NBIX Neurocrine Biosciences -97.6 -34% -42% -1% -12% -2% 2.07 67%
NBN Northeast Bank 34.3 37% 79% -5% 22% -5% 2.40 68%
NBP NovaBridge Biosciences -60.0 -30% -99% 221% -20% -8% 6.06 42%
NBR Nabors Industries 22.2 5% -120% 97% 54% 22% 4.58 100%
NBTB NBT Bancorp -115.3 -16% -55% -23% 4% -3% 2.17 64%
NBTX Nanobiotix SA 322.9 58% 851% 898% 75% 70% 6.68 100%
NBXG Neuberger Berman NextGen Connectivt 42.6 50% 11% -1% -6% -3% 1.47 73%
NC Nacco Industries 75.9 76% -1% 68% 28% 10% 2.80 98%
NCA Nuveen CA Municipal Value -6.7 14% -49% -4% 5% 0% 0.80 90%
NCLH Norwegian Cruise Line Holdings Ltd -338.3 -133% -45% -21% 13% -9% 3.52 49%
NCMI National Cinemedia -150.3 -11% -14% -60% -16% -2% 4.62 11%
NCNA NuCana -338.0 0% -172% -112% -48% -16% 4.22 0%
NCNO Ncino Inc -682.2 -240% -112% -64% -34% -20% 2.89 10%
NCPL Netcapital Inc -947.0 -322% -172% -94% -64% -36% 8.44 0%
NCRA Nocera Inc -802.3 -278% -139% -77% -64% -32% 6.69 1%
NCSM NCS Multistage Holdings 21.4 20% -9% 35% 5% 3% 3.86 53%
NCTY The9 Ltd -323.0 -65% -109% -60% -5% 6% 6.64 14%
NCV Virtus Convertible & Income 14.1 6% -18% 16% 7% 3% 1.24 94%
NCZ Virtus Convertible & Income II 36.3 29% -6% 16% 7% 3% 1.36 96%
NDAQ Nasdaq Group 19.0 34% -7% -7% -1% -6% 1.57 66%
NDBKY Nedbank Group 13.7 4% 19% 13% 22% 10% 2.39 83%
NDEKY Nitto Denko 36.5 68% 0% -10% -15% -4% 2.19 46%
NDMO Nuveen Dynamic Municipal Opportunit -176.2 -61% -53% -9% 2% 3% 0.96 96%
NDRA ENDRA LIFE SCIENCES INC -174.4 0% -172% -30% -39% 3% 8.84 10%
NDSN Nordson -90.9 -45% -37% 24% 22% 6% 1.59 92%
NDVLY New World Development Co 29.7 42% -120% 62% 38% -3% 3.32 74%
NE Noble Corp 58.7 39% -45% 94% 49% 30% 2.99 100%
NECB NorthEast Community Bancorp Inc 4.9 16% -1% -8% 14% 1% 1.97 93%
NEE NextEra Energy 18.3 21% -32% 16% 9% 10% 1.89 93%
NEGG Newegg Commerce Inc 0.0 0% -15% 466% -41% -12% 8.32 32%
NEM Newmont Goldcorp 136.1 38% 127% 170% 29% 8% 2.68 86%
NEO NeoGenomics Inc -419.7 -149% -116% -22% -25% -25% 4.09 51%
NEOG Neogen -191.7 -55% -115% -3% 82% 7% 3.47 92%
NEON Neonode Inc -765.9 -236% -151% -96% -20% -4% 6.58 0%
NEOV NeoVolta Inc -210.6 -84% -37% -9% -14% -27% 7.19 36%
NEPH Nephros Inc 81.2 31% 188% 153% -28% -15% 5.09 55%
NERV Minerva Neurosciences Inc -426.3 -213% 150% 329% 79% 47% 6.23 99%
NESR National Energy Services Reunited 118.2 58% 157% 162% 61% 11% 3.61 82%
NESRF Northern Star Resources 71.2 29% 146% 81% 19% 16% 3.45 92%
NET Cloudflare - A -45.9 -23% 136% 13% -7% 3% 3.68 57%
NEU Newmarket 23.7 25% 24% -2% -16% -4% 1.67 36%
NEWP New Pacific Metals Corp -126.3 -63% 43% 397% 85% 63% 5.42 91%
NEWT NewtekOne Inc -297.6 -105% -94% -13% 19% -4% 2.98 65%
NEXA Nexa Resources -47.9 -24% 51% 129% 75% 0% 3.09 78%
NEXM NexMetals Mining Corp -659.1 -234% -158% -43% -6% 0% 5.58 5%
NEXT NextDecade -249.8 -59% -90% -36% -2% 18% 4.39 16%
NFBK Northfield Bancorp Inc -210.0 -85% -67% 3% 23% 0% 2.52 94%
NFE New Fortress Energy LLC -419.1 -48% -170% -105% -17% -14% 6.21 0%
NFG National Fuel Gas 62.3 66% 6% 10% 14% 14% 1.50 100%
NFGC New Found Gold Corp -42.1 -21% -96% 33% -10% -5% 4.52 65%
NFJ Virtus Dividend Interest & Premium -31.7 -6% -26% -1% 4% 0% 0.98 87%
NFLX Netflix 33.7 27% 133% -16% -10% 21% 2.29 39%
NG Novagold Resources -97.3 -49% 57% 300% 24% 50% 4.31 87%
NGD New Gold Inc 299.2 66% 1166% 324% 41% 20% 4.20 85%
NGEN NervGen Pharma Corp -127.8 -64% 116% 105% 2% 4% 4.90 59%
NGG National Grid -56.1 -28% -8% 35% 19% 8% 1.50 91%
NGGTF National Grid PLC -34.1 -17% -28% 31% 17% 6% 3.44 86%
NGL NGL Energy Partners LP 112.5 33% 209% 138% 21% -1% 3.27 94%
NGLOD Anglo American PLC -135.4 -68% -40% 22% 22% 2% 2.91 82%
NGNE Neurogene Inc -77.4 -39% 62% 30% 16% 32% 6.32 61%
NGS Natural Gas Services Group 73.0 47% 184% 44% 24% 15% 3.17 100%
NGVC Natural Grocers by Vitamin Cottage -5.2 10% 99% -54% -4% -4% 3.16 8%
NGVT Ingevity Corp -289.6 -145% -93% 37% 35% 5% 3.28 86%
NHC National Healthcare 122.0 58% 159% 72% 26% 17% 2.00 100%
NHI National Health Investors 40.2 46% 8% 4% 9% 7% 1.61 75%
NHS Neuberger Berman High-Yield Strateg 16.6 32% -34% -5% 8% 4% 0.92 96%
NHTC Natural Health Trends Corp -33.9 3% -77% -43% 9% -11% 2.84 43%
NHYDY Norsk Hydro ASA -152.9 -76% -20% 47% 32% 9% 2.65 98%
NHYKF Norsk Hydro -167.0 -83% 10% 98% 34% 8% 3.47 99%
NI NiSource 53.5 57% 18% 1% 11% 10% 1.40 100%
NIC Nicolet Bankshares Inc 37.0 34% 44% 13% 22% 6% 2.32 89%
NICE NICE ADR -507.4 -190% -111% -27% 18% 18% 2.60 38%
NIE Virtus Equity & Convertble Income 43.0 43% -1% 1% 2% 1% 1.02 95%
NIM Nuveen Select Maturities Municipal 1.1 29% -56% -9% 5% 4% 0.66 94%
NINOY Nikon Corp 16.8 42% -48% 2% 2% 0% 2.30 87%
NIO NIO Inc -415.0 -164% -121% -3% -7% 9% 4.95 36%
NISN NiSun International Enterprise Deve -544.3 -111% -161% -108% -83% -32% 6.99 3%
NITO N2OFF Inc -335.3 0% -172% -110% -72% -19% 9.69 1%
NIU Niu Technologies 9.1 9% -81% 46% 10% 27% 5.22 48%
NIVF NewGenIvf Group Ltd Ordinary Share -1023.2 -337% -173% -117% -90% -48% 8.42 0%
NIXX Nixxy Inc -678.8 -198% -162% -88% -48% -16% 8.40 2%
NJDCY Nidec Corp -962.3 -413% -111% -31% 18% 7% 2.48 32%
NJR New Jersey Resources -58.9 -11% -52% -1% 17% 12% 1.40 100%
NKE Nike-B -538.6 -189% -120% -41% -11% -4% 2.18 26%
NKSH National Bankshares Inc -100.5 -50% -66% 27% 28% 3% 2.67 95%
NKTR Nektar Therapeutics -134.0 -67% 169% 475% 16% 88% 7.04 96%
NKTX Nkarta Inc -350.6 -175% -108% 51% 50% 28% 6.36 100%
NKX Nuveen CA AMT-Free Quality Municip 33.3 55% -41% -12% 2% 2% 0.81 89%
NL NL Industries -2.4 28% -60% -13% 14% 8% 3.35 37%
NLY Annaly Capital Management 35.6 45% -7% 4% 3% 3% 1.63 83%
NMAI Nuveen Multi-Asset Income 65.6 64% -15% 2% 3% 1% 0.87 90%
NMCO Nuveen Municipal Credit Opportuniti -97.6 -16% -55% -14% 2% 3% 0.90 89%
NMFC New Mountain Finance Corp -237.2 -53% -82% -38% -13% -3% 1.18 19%
NMG Nouveau Monde Graphite Inc 6.4 22% -131% 40% -24% -1% 4.91 24%
NMI Nuveen Municipal Income -81.5 -11% -52% -12% 0% 2% 0.79 75%
NMIH NMI Holdings Inc Class A 21.9 42% -4% -10% 1% 2% 1.81 62%
NML Neuberger Berman Energy Infrs & Inc 48.2 47% 14% 7% 19% 14% 1.45 94%
NMM Navios Maritime Partners LP 80.2 39% 98% 64% 32% 22% 2.37 97%
NMR Nomura Holdings ADR 83.1 96% 54% 17% 6% -3% 2.15 72%
NMRK Newmark Group -32.7 -12% 23% -12% -13% -12% 2.94 53%
NMS Nuveen MN Quality Municipal Income 35.2 60% -51% -13% 2% 2% 0.73 93%
NMT Nuveen MA Quality Municipal Income 59.5 73% -41% -11% 4% 4% 0.65 100%
NMTC NeuroOne Medical Technologies Corp -635.2 -232% -127% -44% 15% -3% 6.21 55%
NMZ Nuveen Municipal High Income Opport 2.8 35% -48% -17% 1% 3% 0.86 90%
NN NextNav Inc -3.4 -2% 420% 47% 16% 12% 4.98 81%
NNBR NN -290.0 -51% -93% -63% 25% 2% 4.83 24%
NNDM NANO DIMENSION LTD -406.3 -139% -108% -28% 6% 2% 3.58 62%
NNGRY NN Group 87.3 46% 66% 45% 7% -1% 1.58 85%
NNI Nelnet 30.6 50% -22% -3% 4% 4% 1.56 88%
NNN NNN REIT Inc -128.3 -40% -55% -6% 11% 10% 1.40 92%
NNOX Nano X Imaging Ltd -232.2 0% -135% -71% -35% -1% 5.86 12%
NNVC NANOVIRICIDES INC -841.3 -352% -96% -37% -15% -1% 5.91 9%
NOA North American Construction -93.3 -10% -66% -14% 16% 15% 2.49 82%
NOAH Noah Holdings Ltd ADR -249.8 -95% -85% -2% 9% -2% 3.36 80%
NOC Northrop Grumman 95.9 78% -4% 44% 38% 12% 1.52 96%
NODK NI Holdings -137.6 -19% -77% -24% -2% -1% 1.90 39%
NOG Northern Oil & Gas -126.1 -30% -68% -11% 25% 20% 2.90 81%
NOK Nokia Oyj ADR 65.7 48% 20% 50% 33% 25% 2.20 97%
NOKBF Nokia 83.5 84% 35% 61% 34% 26% 2.75 99%
NOM Nuveen MO Quality Municipal Income 39.4 70% -49% -10% -1% -3% 1.23 61%
NOMD Nomad Foods Ltd -422.1 -111% -112% -63% -15% -15% 1.84 0%
NONOF Novo Nordisk -33.2 35% -111% -69% -22% -34% 3.29 3%
NOTE Fiscalnote Holdings-A -555.7 -111% -169% -110% -55% -18% 7.75 1%
NOV NOV Inc -202.4 -100% -78% 25% 26% 8% 2.66 89%
NOVT Novanta Inc -100.2 -3% -84% -19% 25% 6% 2.70 88%
NOW ServiceNow Inc -37.4 4% -40% -55% -32% -2% 2.45 12%
NPCE NeuroPace Inc -89.2 -45% 106% 1% -12% -11% 5.26 58%
NPCT Nuveen Core Plus Impact 22.2 42% -36% -11% 1% 4% 0.79 92%
NPK National Presto Industries 94.4 99% 34% 27% 54% 9% 1.90 100%
NPO Enpro Industries 41.6 20% 68% 31% 20% 9% 2.56 89%
NPPXF Nippon Telegraph & Telephone Corp 651.4 68% 3382% 1164% -8% 2% 6.24 84%
NPSNY Naspers 3.6 21% -19% -8% -17% -12% 2.69 33%
NPV Nuveen VA Quality Municipal Income 23.9 55% -52% -17% 5% 6% 0.71 98%
NPWR NET Power Inc Ordinary Shares - Cl -327.9 -26% -153% -87% -31% -12% 5.23 10%
NQP Nuveen PA Quality Municipal Income -12.0 12% -44% -7% 0% 2% 0.63 95%
NRC National Research -380.7 -122% -141% -22% -22% -39% 2.97 26%
NRDBY Nordea Bank Abp 77.2 70% 13% 32% 3% -4% 1.76 82%
NRDS Nerdwallet Inc -512.7 -211% -116% -7% -28% -8% 3.75 41%
NRDY Nerdy Inc -778.9 -286% -135% -58% -25% -10% 5.10 9%
NREF NexPoint Real Estate Finance Inc -108.3 -24% -47% -15% 6% 1% 2.41 94%
NRG NRG Energy 111.6 44% 358% 48% -2% 11% 2.79 80%
NRGV ENERGY VAULT HOLDINGS INC -105.6 -53% -76% 157% -1% -26% 7.99 50%
NRIM Northrim BanCorp 13.9 7% 37% 6% -3% 1% 2.63 59%
NRIX Nurix Therapeutics Inc -7.7 -4% 9% -3% -5% -3% 5.01 61%
NRK Nuveen NY AMT-Free Quality Municip -63.7 -5% -49% -11% 5% 5% 0.63 94%
NRP Natural Resources Partners LP 71.1 74% 83% 9% 14% 7% 2.11 86%
NRSN NeuroSense Therapeutics Ltd -497.1 -174% -126% -33% -25% -3% 6.41 10%
NRT North European Oil Royalty Trust 50.2 20% -70% 124% 44% -1% 3.80 93%
NRXP NRX Pharmaceuticals Inc -2059.6 -953% -154% -25% -23% -11% 7.11 10%
NSA National Storage Affiliates Trust -226.9 -67% -74% -22% 18% 10% 1.98 68%
NSANF Nissan Motor -7.2 46% -107% -31% -2% 7% 4.56 37%
NSANY Nissan Motor Co -20.6 31% -111% -35% -3% -1% 2.91 33%
NSC Norfolk Southern -117.2 -59% -22% 15% 9% 11% 1.64 100%
NSIT Insight Enterprises -48.0 21% -107% -59% 0% 5% 2.09 11%
NSNHQ NASDAQ New Highs Index -64.3 0% -75% -7% -19% -55% 55.95 13%
NSNLQ NASDAQ New Lows Index -243.6 0% -73% -98% -9% -63% 49.01 4%
NSP Insperity Inc -688.9 -202% -153% -91% -39% -49% 2.63 1%
NSPR INSPIREMD INC -354.6 -103% -33% -64% -20% 0% 4.63 2%
NSRGF Nestle -207.1 -67% -79% -11% 2% 7% 1.61 72%
NSRGY Nestle SA -227.2 -80% -75% -9% 3% 8% 1.37 73%
NSRPF Novo Resources -59.0 0% -136% 16% -12% -26% 5.93 14%
NSSC NAPCO Security Technologies 44.4 29% -30% 70% 15% 8% 3.04 87%
NSTS NSTS Bancorp Inc 3.1 39% -56% -17% 9% 0% 1.32 68%
NSYS Nortech Systems Inc -128.2 -3% -106% -26% 38% -1% 3.75 76%
NTAP NetApp 6.0 23% -8% -11% -12% 4% 2.07 49%
NTB Bank of NT Butterfield&Son LTD 20.7 13% -7% 20% 8% -1% 1.98 89%
NTCT NetScout Systems 45.5 72% -66% 22% 12% 7% 2.19 100%
NTDOY Nintendo Co -112.3 -5% -27% -42% -35% -11% 2.31 4%
NTES NetEase ADR 22.2 39% -16% 5% -20% -8% 2.56 39%
NTGR NetGear 1.6 51% -52% -30% -17% 5% 3.01 11%
NTIC Northern Technologies International -375.2 -116% -100% -39% 18% 1% 2.82 42%
NTIOF National Bank of Canada 98.7 47% 41% 60% 17% 18% 1.46 100%
NTLA Intellia Therapeutics Inc -270.3 -118% -137% 29% 63% 7% 5.35 35%
NTNX NUTANIX INC -221.7 -36% -29% -65% -15% 2% 2.87 7%
NTOIY Neste 106.4 64% -111% 178% 33% 6% 2.85 99%
NTR Nutrien -28.6 -14% -66% 37% 23% 9% 2.19 93%
NTRA Natera Inc 72.5 42% 254% 24% -14% -11% 3.18 58%
NTRB Nutriband Inc -161.3 -4% -60% -56% -16% -9% 6.81 3%
NTRP NextTrip Inc -625.9 -236% -147% -27% -22% 0% 8.66 32%
NTRS Northern Trust 37.9 38% -3% 19% 11% -3% 1.93 86%
NTST Netstreit Corp -2.3 -1% -50% 31% 18% 16% 1.64 100%
NTTYY Nippon Telegraph -224.1 -63% -90% -19% -5% -3% 1.37 12%
NTWK Netsol Technologies Inc 21.2 39% -45% 25% 19% -8% 3.62 44%
NTZ Natuzzi SpA -692.5 -248% -125% -57% 28% -7% 4.29 26%
NU Nu Holdings Ltd 67.1 63% 129% 26% -15% -16% 2.94 59%
NUAI New Era Energy & Digital Inc -579.1 -290% -126% 128% -2% -20% 5.87 57%
NUE Nucor -44.1 -18% -61% 16% 9% -1% 2.32 80%
NUS Nu Skin Enterprises-A -274.4 -71% -152% -15% -22% -26% 3.48 31%
NUTX Nutex Health Inc 21.9 39% -117% 92% -10% -31% 7.41 45%
NUV Nuveen Municipal Value -11.4 19% -56% -9% 1% 2% 0.57 93%
NUVB Nuvation Bio Inc 53.9 4% 66% 143% -41% -14% 5.28 39%
NUVL Nuvalent Inc 49.7 32% 162% 27% -4% -1% 3.58 82%
NUW Nuveen AMT-Free Municipal Value 6.6 34% -54% -11% 2% 1% 0.63 93%
NUWE Nuwellis Inc -343.7 0% -172% -114% -36% -58% 9.52 0%
NVAX Novavax -492.0 -235% -58% 8% 47% 15% 6.14 77%
NVCR NovoCure Ltd -571.3 -189% -155% -45% 14% 12% 4.77 30%
NVCT Nuvectis Pharma Inc -23.4 -11% -90% 30% 51% 10% 5.00 64%
NVDA Nvidia 134.6 50% 607% 43% 1% 0% 3.39 79%
NVEC NVE Corp -77.2 -12% -65% -5% 10% 4% 2.69 69%
NVG Nuveen AMT-Free Municipal Credit I 39.1 56% -38% -8% 4% 3% 0.80 84%
NVGS Navigator Holdings Ltd 16.9 2% -14% 28% 18% 17% 2.03 99%
NVMI Nova Measuring Instruments Ltd 109.7 54% 325% 76% 44% -1% 3.36 83%
NVNI Nvni Group Ltd -1589.6 -655% -171% -83% -57% -20% 10.29 1%
NVNO enVVeno Medical Corp -1259.0 -467% -167% -107% -24% -1% 5.66 1%
NVNXF NOVONIX LIMITED -162.0 -2% -151% -29% -22% -10% 7.07 4%
NVO Novo Nordisk ADR -38.4 40% -116% -73% -21% -33% 2.73 4%
NVR NVR -3.1 23% -32% -17% -4% -5% 1.82 30%
NVRI Enviri Corp -1.4 -1% 43% 175% -2% -4% 3.45 92%
NVS Novartis AG ADR 107.3 75% 44% 37% 27% 11% 1.37 95%
NVSEF Novartis 58.6 62% 17% 36% 21% 8% 2.55 82%
NVST Envista -159.8 -79% -98% 32% 36% 24% 2.70 88%
NVT nVent Electric 103.5 69% 86% 87% 7% 0% 2.55 90%
NVTS Navitas Semiconductor Corp -170.0 -85% -30% 285% 10% 8% 7.00 49%
NVVE Nuvve Holding Corp -347.0 0% -172% -116% -83% -27% 10.20 0%
NVX NOVONIX Ltd -158.8 0% -151% -29% -14% -2% 6.23 2%
NVZMY Novonesis A/S -22.9 5% -47% -22% -8% -2% 1.80 14%
NWE NorthWestern 25.3 26% -30% 15% 6% 7% 1.47 100%
NWFL Norwood Financial -266.8 -114% -72% 5% 5% -3% 2.63 81%
NWG NatWest Group PLC 75.8 68% 109% 21% -4% -13% 2.29 66%
NWL Newell Brands -653.6 -241% -137% -41% 20% 8% 3.73 46%
NWN Northwest Natural Gas 9.1 15% -46% 12% 8% 12% 1.57 97%
NWPX Northwest Pipe 64.4 22% 38% 75% 41% 21% 2.41 100%
NWS News Corporation Class B -102.6 -12% -16% -34% -9% -12% 1.68 11%
NWSA News Corporation Class A -139.2 -27% -30% -32% -7% -9% 1.67 19%
NX Quanex Building Products -392.9 -154% -93% -11% 50% 5% 3.07 75%
NXDR Nextdoor Holdings Inc -426.5 -165% -94% -17% -4% -13% 3.88 22%
NXE NexGen Energy -28.1 -14% 137% 150% 43% 7% 3.77 88%
NXG Cushing NextGen Infrastructure Inco 58.6 57% 36% 13% 10% 9% 1.79 95%
NXGL NexGel Inc -315.1 -43% -100% -81% -38% -22% 5.56 0%
NXJ Nuveen NJ Quality Municipal Income 9.7 30% -41% -8% -1% 2% 0.63 91%
NXL Nexalin Technology Inc -279.4 0% -121% -99% -53% -21% 9.58 2%
NXPI NXP Semiconductor NV 3.3 36% -44% -16% 8% -5% 2.75 66%
NXPL NextPlat Corp -464.9 -121% -140% -65% -21% -24% 5.87 2%
NXRT NexPoint Residential Trust Inc -264.0 -49% -108% -47% -10% -7% 2.26 4%
NXST Nexstar Media Group Inc -83.5 -42% -29% 30% 31% 20% 2.44 95%
NXT NEXTracker Inc 99.5 66% 175% 128% 18% -9% 4.06 76%
NXTC Nextcure Inc -195.5 -88% -108% 26% -7% 17% 5.36 85%
NXTT Next Technology Holding Inc -4.4 142% -172% -115% -51% -21% 12.70 0%
NXXT NA -301.4 0% -165% -96% -51% -29% 8.44 1%
NYAX Nayax Ltd 61.2 70% 131% 33% 26% 1% 3.78 83%
NYC American Strategic Investment Co -417.4 -142% -98% -34% 10% -8% 4.37 16%
NYT New York Times-A 62.8 10% 44% 57% 25% 12% 1.59 99%
NYXH Nyxoah SA -818.6 -299% -97% -78% -22% -15% 4.95 2%
NZF Nuveen Municipal Credit Income 31.1 49% -40% -8% 2% 5% 0.77 92%
NZTCF Spark New Zealand -531.4 -238% -119% 12% 5% 10% 4.00 77%
O Realty Income 8.0 23% -52% 4% 16% 11% 1.35 91%
OABI Omniab Inc -282.2 -34% -127% -65% 3% 3% 3.85 26%
OBDC Blue Owl Capital Corp -13.8 30% -39% -33% -11% 2% 1.35 19%
OBE Obsidian Energy Ltd -85.6 -43% -56% 52% 37% 22% 3.54 100%
OBIO Orchestra BioMed Holdings Inc -266.9 -85% -127% -6% -9% 15% 7.30 74%
OBK Origin Bancorp Inc 30.1 70% -50% -5% 14% -3% 2.25 81%
OBT Orange County Bancorp Inc -75.2 -38% -43% 18% 23% 6% 3.28 84%
OBTC Osprey Bitcoin 27.6 18% 224% -27% -12% -5% 3.78 18%
OC Owens Corning -12.5 32% -47% -37% 3% -3% 2.33 33%
OCAND NA 265.1 78% 488% 381% 51% 17% 3.69 88%
OCC Optical Cable Corp -534.3 -267% -23% 56% -19% 32% 5.16 48%
OCCI OFS Credit Company -59.3 21% -117% -65% -38% -32% 1.80 0%
OCDGF Ocado Group -756.3 -294% -138% -38% 12% -6% 3.97 12%
OCFC Oceanfirst Financial -176.7 -52% -83% -8% -2% -1% 2.64 73%
OCG Oriental Culture Holding Ltd -377.1 -14% -172% -117% -101% -59% 8.96 0%
OCGN OCUGEN INC 61.5 2% 27% 204% 65% 39% 5.99 100%
OCS Oculis Holding AG 38.0 21% 94% 24% 45% -3% 3.06 85%
OCSL Oaktree Specialty Lending -349.3 -109% -91% -35% -14% -4% 1.35 9%
OCUL Ocular Therapeutix -49.6 -25% 13% 69% -7% 22% 5.14 50%
ODC Oil-Dri Corporation of America 99.8 70% 207% 37% 27% 13% 2.52 98%
ODFL Old Dominion Freight Lines 14.2 31% -44% 9% 54% 18% 2.51 100%
ODOT Osprey Polkadot Trust -287.7 0% -147% -95% -41% -9% 11.30 6%
ODV Osisko Development Corp 109.4 67% -65% 242% 27% 33% 4.25 91%
ODYS Odysight ai Inc -687.3 -286% -67% -35% 49% -12% 4.44 59%
OEC Orion Engineered Carbons SA -433.2 -89% -151% -77% 3% -17% 3.32 10%
OESX ORION ENERGY SYSTEMS INC -181.7 -72% -115% 20% -32% -22% 4.24 45%
OFG OFG Bancorp -151.1 -48% -26% -19% 0% 1% 2.08 58%
OFIX Orthofix Medical -447.3 -145% -110% -42% -20% -3% 3.09 36%
OFLX Omega Flex -410.2 -148% -137% -11% 37% 5% 2.67 83%
OFS OFS Capital -231.2 -18% -109% -61% -16% -9% 2.07 1%
OGE OGE Energy -0.9 13% -20% -8% 9% 15% 1.32 96%
OGEN Oragenics Inc -1948.2 -810% -172% -107% 2% 4% 7.20 3%
OGFGY Origin Energy 92.3 68% 17% 14% 10% 13% 0.89 94%
OGI Organigram Hldgs -271.1 -105% -129% 12% -12% -6% 5.01 41%
OGN Organon & Co -318.6 -43% -141% -69% -10% -14% 3.15 6%
OGS ONE Gas Inc -41.1 -5% -51% 2% 6% 12% 1.59 100%
OHI Omega Healthcare Investors 84.5 74% 47% 16% 4% 13% 1.51 94%
OI O-I Glass Inc -175.8 -46% -116% -3% -8% -19% 2.96 40%
OII Oceaneering International 40.3 35% -9% 52% 41% 17% 3.19 84%
OIS Oil States International 65.7 37% -36% 128% 96% 49% 3.68 83%
OKE Oneok -69.6 -1% -26% -25% 16% 14% 1.82 64%
OKLO Oklo Inc -140.7 -70% 477% 106% -26% -9% 5.95 30%
OKTA OKTA INC -284.5 -83% -72% -35% -12% -17% 2.90 4%
OKUR OnKure Therapeutics Inc Class A Sha -527.1 -158% -162% -52% 11% 22% 5.34 40%
OKYO OKYO Pharma Ltd -0.7 26% -130% 14% -12% -19% 6.47 28%
OLB OLB Group Inc -236.9 0% -166% -63% -39% 27% 7.85 16%
OLED Universal Display -162.7 -3% -96% -47% -15% -13% 2.73 0%
OLLI Ollie's Bargain Outlet Holdings Inc 40.4 82% 15% -12% -11% 0% 2.67 24%
OLMA Olema Pharmaceuticals inc 177.9 20% 453% 461% -14% -4% 6.10 65%
OLN Olin -334.2 -114% -128% -10% 14% 13% 3.07 78%
OLOX Olenox Industries Inc -1654.1 -654% -172% -115% -73% -25% 10.93 0%
OLP One Liberty Properties -6.8 25% -40% -21% 17% 11% 1.69 74%
OLPX Olaplex Holdings Inc -339.2 -135% -140% 12% 55% 14% 4.97 100%
OLYMY Olympus Corp ADR - Unsponsor -385.2 -98% -121% -54% -36% -26% 2.24 0%
OM Outset Medical Inc -1983.1 -852% -171% -82% -17% -27% 6.90 2%
OMAB Grupo Aeroportuario del Centro Nort 38.7 23% 6% 45% 8% 0% 2.60 72%
OMC Omnicom Group -194.1 -67% -68% -7% 20% 14% 1.90 100%
OMCC Old Market Capital Corp -314.2 -86% -97% -39% -2% 36% 3.59 55%
OMCL Omnicell -183.2 -53% -94% -7% 14% -13% 3.24 63%
OMEX Odyssey Marine Exploration Inc -386.9 -193% -125% 285% -16% -13% 7.48 34%
OMF OneMain Holdings Inc 12.8 29% -11% -4% -12% -13% 2.36 52%
OMI Owens & Minor -653.4 -182% -160% -92% -11% 7% 4.56 6%
OMRNY OMRON -455.0 -173% -115% -16% 19% 24% 2.43 58%
OMVKY OMV AG 81.4 67% 4% 43% 14% 12% 1.74 93%
ON ON Semiconductor 22.5 60% -92% 22% 23% 3% 3.58 76%
ONB Old National Bancorp 1.6 26% -27% -15% 7% -4% 2.29 72%
ONC BeiGene Ltd 9.2 27% -34% 4% -12% -12% 3.34 54%
ONCO Onconetix Inc -343.6 0% -172% -114% -75% -51% 9.02 0%
ONCY Oncolytics Biotech -632.1 -316% -103% 43% 12% 11% 5.66 67%
ONDS Ondas Holdings Inc -55.9 -28% 408% 1119% 38% 0% 9.31 74%
ONEW OneWater Marine-A -1213.8 -512% -133% -51% -4% -18% 3.97 9%
ONEXF Onex -36.5 -2% -23% -8% -3% -7% 2.05 54%
ONFO Onfolio Holdings Inc -1490.8 -627% -140% -72% -38% -18% 6.88 6%
ONIT Onity Group Inc -185.7 -90% -59% 17% -9% -6% 3.06 55%
ONL Orion Office REIT Inc -1086.4 -443% -137% -54% 15% 9% 3.52 41%
ONMD OneMedNet Corp Inc -4.9 77% -166% -47% -57% -15% 9.53 11%
ONON On Holding AG -36.2 -1% 30% -27% -4% -4% 3.42 32%
ONTF ON24 Inc -135.4 -68% -76% 28% 41% 2% 2.71 99%
ONTO Onto Innovation 50.7 59% 82% 36% 41% 5% 3.83 88%
OOMA Ooma -150.7 -27% -74% -24% 17% 10% 2.86 69%
OPAD Offerpad Solutions Inc -615.0 -182% -164% -71% -58% -26% 7.78 0%
OPAL Opal Fuels Inc-A -0.4 79% -146% -32% -11% -11% 4.05 31%
OPBK OP Bancorp -86.6 -22% -36% -10% 1% -4% 2.33 71%
OPCH Option Care Health Inc -430.5 -164% -73% -27% -2% -10% 2.26 44%
OPEN Opendoor Technologies -626.9 -313% 166% 286% -32% 3% 7.96 44%
OPFI OppFi Inc 27.6 3% 280% -19% -7% -4% 4.65 19%
OPGN OpGen Inc 0.0 0% -25% 1413% 83% -23% 22.91 44%
OPHC OptimumBank Holdings Inc 3.4 7% -36% 11% 30% 14% 2.12 99%
OPHLY Ono Pharmaceutical 103.2 149% -97% 26% 12% 3% 1.78 77%
OPK Opko Health Inc -210.5 -34% -66% -49% -10% -5% 3.45 6%
OPLN OPENLANE Inc 39.8 40% 28% 12% 11% -2% 2.12 80%
OPP RiverNorth/DoubleLine Strategic Opp 3.0 30% -35% -15% 1% 2% 0.83 63%
OPRA Opera Ltd -6.7 2% 24% -27% 17% 9% 4.11 40%
OPRT Oportun Financial Corp -16.5 17% -83% -42% 3% -4% 5.46 34%
OPRX OptimizeRx -96.4 -48% -128% 44% -46% -26% 4.88 21%
OPTU Optimum Communications Inc -463.7 -126% -131% -62% -21% -2% 5.37 7%
OPTX Syntec Optics Holdings Inc Ordinary 122.1 67% -104% 511% 335% 6% 7.91 77%
OPXS Optex Systems Holdings Inc 106.1 38% 287% 127% -5% -9% 3.91 69%
OPY Oppenheimer Holdings 45.0 31% 42% 24% 35% 3% 2.08 93%
ORA Ormat Technologies 43.7 40% -42% 40% -4% -13% 2.03 66%
ORAN Orange SA ADR 95.0 35% 41% 62% 24% 11% 1.33 91%
ORBS Eightco Holdings Inc -180.4 0% -170% -34% -57% -11% 14.33 0%
ORC Orchid Island Capital Inc -93.9 -17% -58% -10% 7% -1% 1.80 77%
ORCL Oracle 4.9 29% 7% -22% -25% -3% 2.69 15%
ORGN Origin Materials Inc -587.6 -139% -169% -98% -65% -14% 6.72 1%
ORGO Organogenesis Holdings Inc -502.5 -168% -55% -64% -44% -31% 5.54 5%
ORGS Orgenesis -952.3 -317% -169% -103% -26% -5% 72.55 11%
ORI Old Republic International 54.9 56% 27% 2% -1% 10% 1.43 86%
ORIC ORIC Pharmaceuticals Inc -197.3 -99% 124% 59% 20% 23% 5.48 91%
ORIO Orion Digital Corp -945.0 -424% -118% -9% -7% -4% 5.32 20%
ORKA Oruka Therapeutics Inc 121.5 67% 49% 236% 26% 4% 4.25 98%
ORKLY Orkla Asa 81.4 54% 62% 26% 22% 12% 1.48 87%
ORLA Orla Mining Ltd 122.8 41% 293% 167% 42% 36% 3.99 88%
ORLY O'Reilly Automotive 27.7 51% -5% -15% -8% -2% 1.50 38%
ORMP Oramed Pharmaceuticals -523.3 -262% 13% 76% 40% 8% 3.95 94%
ORN Orion Group Holdings 81.4 29% 318% 89% 33% 5% 4.51 89%
ORRF Orrstown Financial Services 16.2 29% 3% -5% 0% 0% 2.10 80%
OSBC Old Second Bancorp -161.9 -59% -47% -6% 5% 1% 2.13 81%
OSCR Oscar Health Inc -79.7 -40% 108% -18% -10% 9% 5.24 32%
OSIS OSI Systems 75.8 57% 135% 27% 7% 16% 2.40 92%
OSK Oshkosh -9.6 -5% 26% 57% 31% 14% 2.34 89%
OSOL Osprey Solana Trust -217.2 -32% 9% -80% -25% -11% 7.86 9%
OSPN OneSpan -219.1 -28% -90% -52% -14% -10% 3.21 1%
OSS One Stop Systems Inc -78.7 -39% 119% 180% 41% -11% 5.80 66%
OSUR OraSure Technologies -364.0 -108% -124% -33% 24% 5% 3.52 58%
OSW OneSpaWorld Holdings Ltd 11.9 22% 8% -5% 3% 5% 2.31 70%
OTCM OTC Markets Group -267.1 -101% -71% -9% 0% -2% 1.71 62%
OTEX Open Text -168.0 -38% -92% -15% -26% 3% 2.09 15%
OTIS OTIS Worldwide -91.9 -1% -58% -25% 3% 8% 1.42 40%
OTLK Outlook Therapeutics Inc -1109.8 -412% -171% -86% -77% 2% 7.17 2%
OTLY Oatly Group AB -260.9 -89% -147% 8% -8% -7% 5.34 28%
OTSKY Otsuka Holdings 59.9 62% 38% 15% 14% 10% 1.97 80%
OTTR Otter Tail 32.8 64% -38% -4% 10% 4% 1.86 100%
OUST OUSTER INC -202.4 -101% 31% 174% 2% 12% 7.00 52%
OUT Outfront Media Inc 34.6 2% 34% 49% 25% 16% 2.62 99%
OVBC Ohio Valley Banc 23.3 14% 11% 21% 11% 6% 2.31 95%
OVCHY Oversea-Chinese Banking 124.0 102% 36% 19% 13% 0% 1.14 88%
OVID Ovid Therapeutics -14.7 -7% -105% 225% -8% 13% 5.61 90%
OVLY Oak Valley -42.2 -17% -44% 10% 19% 4% 2.29 94%
OVV Ovintiv Inc -110.1 -55% -50% 17% 25% 23% 2.73 98%
OWL Blue Owl Capital Inc -40.6 15% -76% -65% -31% -20% 2.72 1%
OWLT Owlet Inc -111.6 -56% 51% 147% -9% 0% 5.45 66%
OXBR Oxbridge Re Holdings Ltd -326.7 -32% -123% -90% -25% -4% 6.22 0%
OXLC Oxford Lane Capital -87.1 1% -114% -73% -40% -23% 1.54 0%
OXM Oxford Industries -375.2 -93% -135% -50% -2% 6% 3.22 26%
OXSQ Oxford Square Capital -286.4 -76% -85% -39% 4% 4% 1.62 44%
OXY Occidental Petroleum -145.2 -47% -77% 0% 27% 24% 2.06 97%
OZ Belpointe PREP LLC -244.5 -48% -119% -34% -13% -1% 2.02 9%
OZK Bank OZK -192.4 -62% -59% -14% 1% -2% 2.55 67%
PAA Plains All American Pipeline LP 68.0 76% 37% 2% 27% 15% 1.66 100%
PAAS Pan American Silver 128.6 45% 277% 149% 34% 17% 3.46 86%
PAC Grupo Aeroportuario del Pacifico SA 15.4 13% -21% 21% 4% -8% 2.51 62%
PACB Pacific Biosciences of California I -360.7 -129% -155% 1% -31% -23% 6.70 37%
PACK Ranpak Hldgs Corp-A -559.0 -213% -87% -37% 7% 7% 4.94 64%
PAG Penske Automotive Group 4.9 45% -54% -20% -2% 3% 1.98 47%
PAGP Plains Group Holdings LP 66.5 72% 39% 2% 27% 16% 1.62 100%
PAGS PagSeguro Digital -88.1 -44% -44% 39% 2% -6% 3.46 73%
PAHC Phibro Animal Health Corp Class A 102.4 54% 183% 98% 27% 26% 3.15 93%
PAI Western Asset Investment Grade Inco -7.5 26% -52% -15% 1% 1% 0.74 72%
PALI Palisade Bio Inc 0.0 0% -167% 92% -8% 10% 7.53 61%
PAM Pampa Energia SA ADR 8.2 14% 59% -16% -15% -8% 3.37 58%
PAMT PAMT Corp -774.3 -307% -137% -35% 14% -12% 3.81 18%
PANW Palo Alto Networks Inc -72.9 -4% -4% -31% -16% -8% 2.56 21%
PAR PAR Technology -264.0 -5% -117% -88% -46% -23% 3.46 4%
PARR Par Pacific Holdings Inc 133.4 36% 3% 259% 4% 33% 3.43 100%
PASG Passage Bio Inc -377.3 -113% -139% -30% 2% -29% 6.88 22%
PATH UiPath Inc -592.8 -241% -97% -23% -22% -10% 3.84 13%
PATK Patrick Industries 71.6 72% 91% 19% 13% -3% 2.40 66%
PAVM PAVMED INC -248.2 0% -172% -67% -1% 14% 7.68 23%
PAVS Paranovus Entertainment Technology -720.3 -186% -172% -117% -85% -21% 7.68 0%
PAX Patria Investments Ltd -172.2 -60% -79% 0% -17% -14% 2.06 39%
PAXS PIMCO Access Income 41.0 63% -31% -11% -2% -2% 1.04 84%
PAY Paymentus Holdings Inc -25.7 -13% 115% -24% -27% -5% 3.64 13%
PAYC Paycom Software Inc -580.4 -192% -126% -56% -18% 2% 2.49 13%
PAYO Payoneer Global Inc -244.1 -32% -89% -60% -17% -20% 3.09 13%
PAYS Paysign Inc -97.6 -49% -70% 41% -25% -7% 4.21 28%
PAYX Paychex -183.1 -13% -78% -53% -13% -5% 1.53 12%
PB Prosperity Bancshares Inc -158.4 -34% -67% -23% 0% 2% 1.93 57%
PBA Pembina Pipeline Corp 39.4 47% -16% 4% 15% 10% 1.33 96%
PBF PBF Energy Inc 64.6 59% -62% 114% 29% 41% 3.71 100%
PBFS Pioneer Bancorp Inc 17.6 33% -41% 6% 10% 5% 1.93 93%
PBH Prestige Consumer Healthcare Inc -32.9 12% -58% -36% 14% 7% 1.65 37%
PBHC Pathfinder Bancorp Inc -156.5 -10% -97% -36% -4% 1% 2.68 32%
PBI Pitney Bowes 30.4 43% 103% -12% 11% 5% 3.33 67%
PBR Petroleo Brasileiro SA ADR 76.7 76% 74% 24% 37% 13% 2.25 92%
PBT Permian Basin Royalty Trust 41.9 14% -81% 95% 16% 16% 2.95 100%
PBYI Puma Biotechnology Inc -171.5 -86% -10% 74% 28% -5% 4.97 74%
PCAR Paccar 54.6 66% 21% 5% 21% 2% 1.83 90%
PCB PCB Bancorp 0.5 7% -31% 4% 4% 2% 2.23 87%
PCF High Income Securities -33.5 1% -45% -17% 0% 3% 0.89 93%
PCG PG&E -160.5 -62% -51% -2% 19% 27% 1.73 96%
PCM PCM -190.9 -55% -80% -14% -1% 3% 1.19 65%
PCN PIMCO Corporate & Income Strategy 0.7 32% -45% -16% 1% 0% 0.82 83%
PCOR Procore Technologies Inc -233.4 -49% -84% -39% -24% 4% 2.95 32%
PCQ PIMCO CA Municipal Income -10.1 30% -71% -15% 3% 2% 0.74 90%
PCRFF Panasonic 1125.4 104% 5501% 1150% 27% 23% 4.49 92%
PCRX Pacira BioSciences Inc -376.7 -132% -117% -18% -4% 9% 3.14 46%
PCSA Processa Pharmaceuticals Inc -303.6 0% -172% -95% -59% 8% 9.41 9%
PCT PureCycle Technologies Inc -456.3 -152% -74% -51% -26% -32% 6.41 6%
PCTY Paylocity Holding Corp -314.8 -58% -113% -62% -23% -14% 2.42 12%
PCVX Vaxcyte Inc -1.1 42% -30% -34% 31% 6% 3.58 67%
PCYO Pure Cycle -145.7 -30% -51% -26% -5% -6% 2.18 42%
PD Pagerduty -777.4 -266% -147% -74% -36% -25% 3.19 10%
PDBA Invesco Agriculture Cmdty Str No K- 48.6 72% -26% -14% 2% 4% 1.02 63%
PDD PDD Holdings Inc -234.0 -71% -55% -28% -15% -1% 3.16 26%
PDEX Pro-Dex Inc 30.5 16% 143% 16% 27% 21% 4.22 54%
PDFS PDF Solutions -20.3 -10% -83% 37% 22% 8% 3.20 86%
PDI PIMCO Dynamic Income 23.0 46% -33% -14% 2% 0% 0.80 78%
PDLB Ponce Financial Group Inc 16.3 19% 4% 5% 4% -2% 2.14 83%
PDM Piedmont Office Realty Trust Inc -12.8 17% -77% -15% -14% -8% 2.80 55%
PDO PIMCO Dynamic Income Opportunities 39.6 52% -29% -7% 1% 2% 0.79 93%
PDS Precision Drilling Corp -22.2 -11% -20% 74% 39% 12% 2.92 96%
PDSB PDS BIOTECHNOLOGY CORPORATION -969.0 -370% -163% -60% -4% -14% 5.91 5%
PDT JHancock Premium Dividend 52.8 72% -38% -5% 5% 6% 1.07 97%
PDX PIMCO Dynamic Income Strategy 19.2 32% 19% -14% 11% 5% 1.46 90%
PDYN Palladyne AI Corp -0.6 0% 24% -8% 38% 10% 8.93 38%
PEB Pebblebrook Hotel Trust -493.8 -208% -83% -11% 15% 14% 2.66 96%
PEBK Peoples Bancorp NC -134.0 -67% -44% 32% 19% 6% 2.07 91%
PEBO Peoples Bancorp Inc Marietta OH -106.1 -28% -48% -9% 10% 2% 1.98 84%
PECO Phillips Edison & Co Inc -132.2 -44% -44% -8% 12% 11% 1.47 95%
PED PEDEVCO Corp -264.2 -59% -114% -35% 20% 3% 3.62 45%
PEG Public Service Enterprise Group 0.0 19% -22% -12% 3% 6% 1.46 64%
PEGA Pegasystems -2.7 -1% 32% 5% -15% 10% 3.02 45%
PEN Penumbra Inc -78.3 -26% -44% 1% 16% -3% 2.56 85%
PENG Penguin Solutions Inc -11.0 9% -57% -15% -6% -1% 3.63 32%
PENN Penn National Gaming -1127.4 -479% -122% -44% 2% 23% 3.72 39%
PEO Adams Natural Resources 59.8 58% -12% 18% 25% 12% 1.39 100%
PEP PepsiCo 6.8 39% -70% -8% 10% 7% 1.33 86%
PEPG PepGen Inc -593.9 -297% -130% 123% 16% 35% 8.06 93%
PERF Perfect Corp -27.8 7% -153% -33% -20% -1% 4.51 14%
PERI Perion Network -244.7 -67% -147% -7% -14% 3% 3.03 40%
PESI Perma-Fix Environmental Services In -9.5 -5% 27% 66% 13% -9% 4.69 82%
PETS Petmed Express -524.1 -157% -157% -53% 57% -9% 4.17 43%
PEYUF Peyto Exploration & Dev 140.7 101% 121% 84% 25% 15% 2.21 100%
PFBC Preferred Bank Los Angeles CA -6.9 10% -30% -11% -6% 5% 2.14 60%
PFD Flah&Crum Preferred Income 20.1 41% -49% -5% 1% 1% 0.92 94%
PFE Pfizer -23.4 8% -94% -9% 6% 1% 1.74 85%
PFG Principal Financial Group -105.1 -26% -55% -8% 11% -1% 1.78 87%
PFGC Performance Food Group Co -59.2 -16% -16% -8% -6% -3% 1.80 52%
PFIS Peoples Financial Services Corp -100.1 -36% -47% 2% 11% 4% 2.47 89%
PFL PIMCO Income Strategy 46.1 57% -33% -7% 1% 2% 0.68 97%
PFLT PennantPark Floating Rate Capital -183.9 -37% -64% -34% -6% -8% 1.30 14%
PFN PIMCO Income Strategy-II 33.3 50% -33% -10% -1% 0% 0.73 84%
PFO Flah&Crum Preferred Income Opportun 13.9 36% -45% -8% 1% -1% 0.86 86%
PFS Provident Financial Services Inc -85.9 -28% -64% 7% 11% -3% 2.40 79%
PFSI PennyMac Financial Services Inc -75.5 -3% -18% -29% -33% -1% 2.35 3%
PFX PhenixFIN Corp 3.3 58% -52% -36% 1% 4% 1.89 18%
PG Procter & Gamble -10.3 30% -50% -25% 7% 5% 1.20 62%
PGC Peapack-Gladstone Financial -203.5 -67% -78% -8% 26% 6% 2.71 91%
PGEN PRECIGEN INC -77.8 -39% 109% 95% -2% -25% 6.25 59%
PGNY Progyny Inc -636.6 -243% -115% -37% -30% -25% 3.15 2%
PGP PIMCO Global StocksPLUS & Income 51.4 49% -5% 7% 3% 0% 1.09 89%
PGR Progressive 1.5 44% -9% -38% -2% 6% 1.70 24%
PGY Pagaya Technologies Ltd -373.0 -143% -80% -17% -52% -39% 6.62 8%
PGZ Principal Real Estate Income 30.3 47% -35% -7% 5% 6% 0.85 96%
PH Parker Hannifin 106.9 76% 119% 36% 15% 5% 1.84 93%
PHAR Pharming Group -46.9 -23% -36% 60% -1% -3% 5.21 63%
PHAT Phathom Pharmaceuticals Inc -151.3 -76% -58% 95% -27% -18% 5.89 56%
PHG Koninklijke Philips NV 47.0 62% 20% 5% 8% 9% 2.11 84%
PHGE BiomX Inc -2087.5 -921% -163% -68% 48% 3% 8.19 42%
PHI PLDT Inc ADR -12.3 9% -51% -9% 4% 5% 1.72 77%
PHIO Phio Pharmaceuticals Corp -219.6 -23% -170% -30% -9% 18% 7.84 14%
PHK PIMCO High Income 23.6 39% -35% -7% 2% 0% 0.75 91%
PHM PulteGroup 50.0 43% 80% 13% 3% 6% 2.30 80%
PHR Phreesia Inc -527.6 -150% -138% -68% -38% -3% 3.73 5%
PHUN Phunware Inc Ordinary Shares -559.0 -169% -169% -54% -12% 8% 7.69 9%
PHVS Pharvaris NV 48.9 41% 158% 58% 2% -1% 5.16 85%
PHYS Sprott Physical Gold Trust 156.9 89% 107% 58% 20% 13% 1.33 91%
PI Impinj Inc -76.0 -21% -84% 11% -31% -22% 4.38 28%
PIAIF Ping An Insurance Group 100.3 65% 130% 112% 16% -9% 3.39 81%
PII Polaris Industries 8.6 35% -117% 21% -13% -10% 2.89 61%
PIII P3 Health Partners Inc -962.7 -334% -169% -91% -56% 59% 7.09 10%
PIM Putnam Master Intermediate Income 8.8 32% -42% -10% 0% 1% 0.75 79%
PINE Alpine Income Property Trust Inc -58.7 -25% -42% 9% 15% 12% 1.69 87%
PINS Pinterest Inc-A -379.5 -95% -95% -63% -29% -10% 2.93 17%
PIPR Piper Sandler Cos 27.7 38% 46% -6% -7% -9% 2.38 59%
PJT PJT Partners Inc 9.0 29% 23% -22% -11% -13% 2.13 36%
PK Park Hotels & Resorts -288.4 -107% -66% -15% 9% 6% 2.39 90%
PKBK Parke Bancorp 20.4 9% -19% 30% 20% 1% 2.15 94%
PKE Park Electrochemical 100.4 49% 40% 103% 55% 19% 2.30 100%
PKG Packaging Corporation of America 29.0 37% 12% -4% 14% 5% 1.60 81%
PKOH Park-Ohio Holdings 20.7 34% 33% -2% 29% 14% 3.15 89%
PKX POSCO ADR 16.7 35% -64% 20% 14% 3% 2.94 68%
PL Planet Labs PBC 214.4 43% 390% 494% 121% 15% 5.22 89%
PLAB Photronics 45.5 12% 41% 74% 68% 7% 3.36 79%
PLAG Planet Green Holdings Corp -586.9 -252% -132% 3% -13% -41% 8.71 47%
PLAY Dave & Busters Entertainment Inc -554.5 -196% -134% -37% -13% -22% 4.11 11%
PLBC Plumas -113.9 -45% -40% 1% 17% 1% 2.28 85%
PLBY PLBY Group Inc -780.0 -372% -85% 10% 0% 24% 6.20 52%
PLD ProLogis -387.4 -176% -49% -1% 8% 9% 1.85 94%
PLG Platinum Group Metals Ltd 29.9 2% -6% 93% 0% -9% 5.23 57%
PLMR Palomar Hldgs 9.9 27% 33% -20% 1% 2% 2.68 22%
PLNT Planet Fitness Inc A -253.7 -73% -71% -30% -26% -9% 2.27 4%
PLOW Douglas Dynamics Inc -48.8 -24% -33% 67% 45% 21% 2.19 97%
PLPC Preformed Line Products 121.6 128% 118% 88% 24% 0% 3.19 85%
PLRX Pliant Therapeutics Inc -807.0 -323% -168% -24% -17% 10% 4.85 26%
PLSE Pulse Biosciences -192.0 -96% 511% -16% 36% 34% 6.06 43%
PLTK Playtika Holding Corp -673.3 -232% -139% -58% -35% -22% 3.00 0%
PLTR Palantir Technologies Inc 264.0 57% 1735% 66% -9% 5% 4.31 59%
PLUS Eplus 22.4 33% -24% 12% -9% -6% 2.34 68%
PLX Protalix BioTherapeutics Inc -28.6 -12% -21% 5% 66% 10% 4.74 82%
PLXS Plexus 47.9 28% 32% 38% 38% -2% 2.19 89%
PM Philip Morris International Inc 29.0 24% 37% -1% 15% 1% 1.47 77%
PML PIMCO Municipal Income II -44.3 3% -71% -21% 3% 3% 0.90 77%
PMM Putnam Managed Municipal Income -69.9 -4% -62% -10% 6% 5% 0.98 91%
PMN ProMIS Neurosciences Inc 0.0 0% 308% 3318% 243% 73% 12.01 98%
PMO Putnam Municipal Opportunities -119.6 -25% -66% -12% 4% 3% 0.88 93%
PMT PennyMac Mortgage Investment Trust -149.7 -37% -41% -24% -5% 2% 1.79 36%
PMVP PMV Pharmaceuticals Inc -626.0 -259% -152% -4% 15% 43% 4.95 69%
PNBK Patriot National Bancorp Inc -364.8 -128% -161% -1% 2% -15% 6.76 8%
PNC PNC Financial Services Group 9.8 21% -20% 0% 11% -5% 1.90 71%
PNFP Pinnacle Financial Partners -129.5 -13% -50% -35% -2% -5% 2.60 21%
PNGAY Ping An Insurance Co of China Ltd 35.4 42% -28% 32% 12% -7% 2.63 74%
PNI PIMCO NY Municipal Income II -17.8 23% -64% -17% 3% 3% 0.71 89%
PNNT Pennant park Investment -10.8 34% -35% -35% -11% -9% 1.48 10%
PNR Pentair PLC 13.5 27% 8% -11% -8% -7% 1.87 59%
PNRG PrimeEnergy Resources 34.0 70% 49% -10% 12% 18% 3.52 74%
PNTG Pennant Group Inc -54.6 -27% 53% 31% 17% 20% 2.96 98%
PNW Pinnacle West Capital 30.0 44% -15% -4% 16% 14% 1.40 100%
POAHY Porsche Automobil -123.8 -17% -90% -15% -9% -5% 1.86 45%
POCI Precision Optics Corp Inc -626.9 -255% -112% -22% -6% -15% 3.45 20%
PODD Insulet -149.4 -18% -86% -28% -23% -4% 2.59 5%
POET POET Technologies Inc -368.4 -184% -6% 81% 48% 19% 6.98 60%
POLA Polar Power Inc -1095.0 -451% -159% -44% -35% 2% 6.38 3%
POOL Pool -546.9 -185% -108% -52% -10% -12% 2.23 4%
POST Post Holdings Inc -11.2 29% -56% -24% 6% 7% 1.48 47%
POWI Power Integrations -412.1 -133% -113% -35% 39% 3% 3.00 53%
POWL Powell Industries 226.2 72% 1024% 212% 60% 18% 4.53 82%
PPC Pilgrims Pride Corp 23.3 55% 28% -29% 6% -4% 2.05 31%
PPCB Propanc Biopharma Inc -344.2 0% -173% -115% -83% -25% 12.93 0%
PPCCY PICC Property and Casualty Co Ltd 78.4 86% 90% 8% -11% 0% 2.17 45%
PPERY PT Bank Mandiri Persero TBK -7.6 15% -63% -6% 2% 5% 2.19 62%
PPG PPG Industries -167.4 -49% -77% -9% 18% 3% 1.71 68%
PPIH Perma-Pipe International Holdings I 78.9 27% 138% 119% 26% 8% 3.85 91%
PPL PPL -2.3 9% -17% -6% 8% 9% 1.32 94%
PPRUY Kering SA -17.7 15% -117% -9% -15% 0% 2.72 57%
PPSI PIONEER POWER SOLUTIONS INC -112.9 -55% 4% -3% -1% -12% 4.86 48%
PPT Putnam Premier Income Trust -6.3 19% -46% -9% 0% 1% 0.81 85%
PPTA Perpetua Resources Corp 213.1 67% 880% 283% 34% 26% 5.04 90%
PR Permian Resources-A 22.4 5% 15% 32% 27% 19% 2.77 97%
PRA ProAssurance -7.8 -4% -42% 37% 2% 3% 2.00 100%
PRAA PRA Group Inc -1006.9 -428% -131% -32% 4% 34% 3.67 57%
PRAX Praxis Precision Medicines Inc 271.8 2% 467% 852% 75% 7% 6.43 93%
PRCH Porch Group Inc -225.1 -113% 135% 1% -13% 6% 7.55 25%
PRCT PROCEPT BioRobotics Corp -38.8 9% -101% -74% -13% -7% 4.08 9%
PRDO Perdoceo Ed Corp 40.4 13% 93% 19% 23% 7% 2.12 77%
PRDSY Prada -188.6 -11% -88% -54% -10% 8% 2.48 11%
PRE Prenetics Global Ltd 65.5 56% -81% 193% 3% -19% 5.78 65%
PRG PROG Holdings Inc -2.3 3% -30% 3% 16% 4% 2.87 61%
PRGO Perrigo Company PLC -2092.6 -927% -135% -74% -14% -15% 2.34 2%
PRGS Progress Software -367.6 -103% -104% -46% -9% -4% 2.03 12%
PRHI Presurance Holdings Inc -703.2 -284% -119% -28% -9% 22% 7.24 26%
PRI Primerica Inc 7.5 43% -25% -25% 2% 1% 1.70 47%
PRIM Primoris Services Corporation 156.0 80% 394% 93% 16% -4% 2.90 79%
PRK Park National -13.9 2% -30% -14% 8% 3% 2.24 76%
PRKS United Parks & Resorts Inc -569.9 -195% -119% -50% -4% -3% 2.91 15%
PRLB Proto Labs Inc -92.1 -46% 31% 47% 25% 20% 2.79 88%
PRLD Prelude Therapeutics Inc -661.2 -331% -122% 296% 80% 40% 7.89 65%
PRM Perimeter Solutions SA 101.5 57% 112% 127% -13% -6% 3.35 73%
PRMB Primo Brands Corp Ordinary Shares - -8.7 38% -10% -48% 37% 22% 2.06 40%
PRME Prime Medicine Inc -393.5 -197% -149% 66% 17% 10% 6.82 54%
PRMRF Paramount Resources Ltd 108.3 73% 31% 96% 24% 18% 2.32 100%
PROF Profound Medical Corp -329.1 -115% -116% -10% 16% -2% 4.43 76%
PROK Prokidney Corp-A -1106.3 -553% -151% 106% 8% 22% 9.00 42%
PROP Prairie Operating Co -1295.5 -518% -106% -95% -15% -13% 9.01 0%
PROV Provident Financial Hldgs -102.1 -30% -43% -7% 6% 3% 1.60 98%
PRPL Purple Innovation -156.9 0% -156% -26% -11% 8% 6.40 22%
PRPO PRECIPIO INC 83.8 10% -11% 252% 18% 10% 5.17 100%
PRQR ProQR Therapeutics -365.6 -106% -116% -38% -21% 11% 5.21 30%
PRSO Peraso Inc -119.3 0% -170% -3% -6% 0% 8.22 18%
PRSU Pursuit Attractions and Hospitality -96.0 -16% -31% -22% 9% 8% 2.89 83%
PRTA Prothena Corporation PLC -697.0 -248% -154% -49% -5% 12% 4.31 49%
PRTC PureTech Health PLC -778.2 -327% -114% -24% 1% -3% 4.47 57%
PRTH Priority Technology Holdings Inc -203.8 -37% -29% -55% -5% -1% 4.98 21%
PRTS CARPARTSCOM INC -430.5 -135% -159% -27% 57% 66% 4.98 51%
PRU Prudential Financial -207.8 -59% -57% -26% -8% -9% 1.74 32%
PRVA Privia Health Group Inc -281.9 -93% -83% -20% 0% 5% 2.94 72%
PSA Public Storage -221.0 -79% -53% -13% 15% 16% 1.70 100%
PSEC Prospect Capital -999.5 -420% -116% -41% 11% 4% 1.84 33%
PSF Cohen & Steers Select Preferred & I -61.8 -5% -48% -10% 0% 1% 0.83 89%
PSFE Paysafe Ltd -356.4 -54% -135% -79% -8% 8% 4.17 11%
PSHZF Pershing Square Holdings LTD 15.6 34% -7% -11% -14% -9% 1.62 56%
PSIG PS International Group Ltd -558.5 -279% -165% 58% 60% 4% 4.94 97%
PSIX Power Solutions International Inc 205.0 29% 2058% 74% 13% -15% 6.70 43%
PSLV Sprott Physical Silver Trust 172.4 92% 214% 137% 40% 7% 2.48 65%
PSMMY Persimmon -30.3 -6% -50% 7% 2% -5% 2.47 63%
PSMT Pricesmart 103.4 69% 57% 58% 25% 9% 1.83 94%
PSN Parsons Corporation 9.9 22% -27% 2% -21% -2% 2.00 31%
PSNL Personalis Inc -78.7 -39% 123% 100% -9% -3% 7.46 72%
PSNY Polestar Automotive Hldg UK ADS -949.2 -360% -161% -61% 0% 26% 6.17 21%
PSO Pearson PLC ADR -122.3 -6% -45% -40% -1% 1% 1.48 20%
PSQH Psq Holdings-A -10.8 109% -166% -93% -50% -17% 6.25 1%
PSTG Pure Storage Inc A -23.9 -12% 42% 7% -32% -11% 3.43 39%
PSTL Postal Realty Trust Inc -2.9 -1% -1% 41% 33% 15% 1.41 96%
PSTV Plus Therapeutics Inc -1152.8 -450% -167% -70% -47% 31% 9.05 9%
PSX Phillips 66 67.3 83% 4% 19% 18% 18% 2.09 100%
PSZKY PKO Bank Polski 88.0 68% 80% 29% 11% -6% 1.80 75%
PTA Cohen & Steers Tax-Adv Preferrd Sec -6.0 18% -41% -11% 3% 2% 0.95 85%
PTAIY PT Astra International Tbk 25.2 31% -45% 22% -6% -1% 1.99 63%
PTC PTC -114.8 -27% -43% -16% -8% 5% 1.73 33%
PTCT PTC Therapeutics Inc 28.4 69% -20% 4% -20% -13% 3.67 56%
PTEN Patterson UTI Energy -141.2 -45% -101% 7% 52% 20% 3.43 100%
PTGX Protagonist Therapeutics Inc 142.4 66% 410% 129% 10% 16% 3.65 99%
PTIX Protagenic Therapeutics Inc -915.4 -296% -171% -105% -75% 4% 9.08 1%
PTLO Portillos Inc -1035.9 -388% -149% -80% 1% -7% 3.33 7%
PTN Palatin Technologies Inc -1586.5 -674% -157% -67% 5% 25% 8.54 45%
PTON Peloton Interactive - A -439.1 -109% -143% -63% -43% -32% 5.59 0%
PTY PIMCO Corporate & Income Opportuni 0.0 35% -41% -22% -3% 0% 0.75 47%
PUBGY Publicis Groupe SA -30.0 3% -53% -28% -13% -14% 1.89 17%
PUBM PubMatic Inc -473.0 -166% -115% -33% -4% 23% 3.67 33%
PUK Prudential Plc ADR 31.0 26% -67% 47% 2% -9% 2.28 76%
PULM PULMATRIX INC -334.9 -41% -109% -90% -54% -15% 4.71 4%
PUMP ProPetro Holding -423.8 -212% -35% 45% 27% 7% 3.95 99%
PVH PVH Corp -301.5 -97% -89% -24% -23% 7% 2.87 20%
PVL Permianville Royalty Trust -66.1 -8% -89% 4% -7% -6% 3.13 65%
PVLA Palvella Therapeutics Inc 167.9 31% -60% 576% 42% 71% 5.98 90%
PW Power REIT -191.3 -11% -153% -34% 5% -6% 7.66 27%
PWP Perella Weinberg Partners -59.2 -4% 22% -32% 4% -14% 2.96 38%
PWR Quanta Services 138.0 59% 178% 109% 25% 20% 2.30 99%
PX P10 Inc -288.3 -59% -97% -53% -16% -25% 2.61 0%
PXLW Pixelworks -777.9 -299% -140% -43% -8% 1% 5.54 13%
PXS Pyxis Tankers Inc -79.1 -9% -101% 3% 43% 30% 2.92 86%
PY Principal Value ETF -52.8 -7% -33% -8% 3% 2% 0.97 97%
PYPD PolyPid Ltd 6.6 45% -151% 26% 9% -11% 5.20 75%
PYPL PayPal Holdings Inc -46.5 3% -109% -50% -26% -9% 2.57 20%
PYRGF PyroGenesis Inc -181.5 -17% -126% -31% 184% 96% 5.17 80%
PYXS Pyxis Oncology Inc -315.1 -139% -106% 17% -67% -1% 6.88 14%
PZG Paramount Gold Nevada Corp 305.0 60% 637% 558% 100% 40% 4.44 90%
PZZA Papa John's International -949.1 -386% -131% -45% -26% -6% 2.96 7%
QBIEY QBE Insurance Group 30.1 44% -4% -1% 20% 14% 1.80 89%
QBTS D-Wave Quantum Inc -218.8 -109% 2529% 268% -13% -8% 9.94 36%
QCEQP CREF Equity Index Account-R2 42.9 41% 2% 1% 0% 0% 1.01 95%
QCGLP CREF Global Equities Account-R2 65.4 59% 3% 6% 3% 0% 1.00 91%
QCGLR CREF Global Equities Account-R1 64.9 58% 2% 6% 3% 0% 1.00 91%
QCGRP CREF Growth Account-R2 41.7 41% 27% -1% -6% -2% 1.36 75%
QCGRR CREF Growth Account-R1 41.1 41% 27% -1% -6% -2% 1.36 75%
QCLN First Trust Nasdaq Cln Edge GrnEngy -13.0 -6% -81% 49% 8% -1% 2.64 87%
QCLS Q/C Technologies Inc -330.8 0% -172% -108% 9% -6% 9.11 2%
QCOM Qualcomm -119.2 -18% -51% -25% -17% -7% 2.44 26%
QCRH QCR Holdings Inc 27.5 46% -6% 1% 6% -3% 2.22 78%
QCSTP CREF Stock Account-R2 62.6 56% -2% 6% 3% 1% 0.96 91%
QCSTR CREF Stock Account-R1 62.0 56% -3% 6% 3% 1% 0.96 91%
QDEL QuidelOrtho Corp -1398.7 -587% -148% -63% -21% -22% 3.61 7%
QFIN Qifu Technology Inc -225.3 -6% -89% -77% -25% -1% 3.55 2%
QGEN Qiagen NV -137.9 -50% -71% 5% -2% -9% 1.68 51%
QH QUHUO LIMITED -349.7 0% -172% -117% -91% -88% 8.26 0%
QHY WisdomTree US High Yield Corp Bd 36.4 50% -46% -9% 0% 2% 0.40 97%
QIPT Quipt Home Medical Corp -85.7 -39% -114% 34% 51% 3% 3.53 100%
QLYS Qualys Inc -298.9 -78% -89% -42% -32% -26% 2.29 17%
QMCO Quantum Corp -248.4 0% -151% -74% -37% -22% 9.38 1%
QNRX Quoin Pharmaceuticals Ltd ADR -185.3 0% -169% -36% -57% 8% 7.14 19%
QNST QuinStreet Inc -218.2 -20% -105% -54% -16% -9% 3.35 15%
QNTM Quantum BioPharma Ltd Ordinary Sha -243.8 -36% -169% -29% -56% -9% 8.21 1%
QQQX Nuveen NASDAQ 100 Dynamic Overwri 11.4 16% -20% 3% 1% 1% 1.18 94%
QRHC Quest Resource Holding Corp -434.9 -87% -148% -81% -13% -25% 4.06 11%
QRVO Qorvo Inc -256.4 -94% -93% -3% -8% 1% 2.58 61%
QS QuantumScape Corp -554.4 -277% -96% 47% -41% -18% 5.55 24%
QSI Quantum-Si Inc -791.6 -308% -122% -47% -30% -16% 8.08 0%
QSR Restaurant Brands International Inc -95.4 -27% -52% -3% 0% 8% 1.61 89%
QTRH Quarterhill -355.0 -86% -121% -51% 8% 6% 2.77 14%
QTRX Quanterix -280.2 -66% -119% -35% -17% -8% 4.97 42%
QTTB Q32 Bio Inc -229.9 -115% -156% 102% 23% 20% 6.80 94%
QTWO Q2 Holdings Inc -12.4 37% -13% -58% -32% -16% 3.01 6%
QUAD Quad/Graphics Inc Class A -324.9 -157% -23% 3% 21% 13% 3.91 86%
QUBT Quantum Computing Inc -35.0 -18% 382% 33% -26% -11% 8.72 18%
QUIK QuickLogic 10.9 1% -18% 38% 44% 20% 5.03 96%
QURE uniQure -1003.5 -424% -129% -34% -67% -62% 6.47 1%
QVCGA NA -987.2 -343% -169% -94% -64% -68% 7.95 9%
QXO QXO Inc -121.1 -61% -66% 71% 26% 7% 5.97 74%
R Ryder System 60.7 52% 64% 21% 25% 8% 2.10 91%
RA Brookfield Real Assets Income -109.6 -27% -66% -5% 4% 5% 0.74 93%
RAAS Cloopen Group Holding Ltd 0.0 0% -104% 100% 13% -23% 57.59 66%
RACE Ferrari NV -8.5 36% -30% -38% -6% 10% 1.91 19%
RAIL FreightCar America -67.8 -34% 192% 59% 65% 14% 4.57 87%
RAMP LiveRamp Holdings Inc -312.3 -119% -50% -20% -1% 18% 2.71 53%
RAND Rand Capital Corp -21.9 38% -44% -64% -13% 5% 2.74 11%
RARE Ultragenyx Pharmaceutical Inc -779.5 -284% -122% -65% -36% -10% 3.43 10%
RAVE Rave Restaurant Group Inc -70.6 -15% 1% -20% -4% -16% 3.48 44%
RAYA Erayak Power Solution Group Inc -1238.8 -445% -172% -117% -78% -37% 8.97 0%
RBA RB Global Inc 24.7 47% 8% -16% 5% -8% 1.76 48%
RBB RBB Bancorp 25.6 48% -47% 15% 9% 6% 2.64 97%
RBBN Ribbon Communications Inc -398.4 -96% -118% -64% -16% -13% 3.64 16%
RBC RBC Bearings Inc 80.9 50% 72% 43% 28% 14% 1.89 95%
RBCAA Republic Bancorp KY 19.6 43% -1% -11% 2% -2% 2.17 64%
RBCN Rubicon Technology Inc 35.6 3% 331% 25% 5% 15% 6.74 50%
RBKB Rhinebeck Bancorp Inc 46.3 31% 2% 43% 48% 39% 2.22 100%
RBLX Roblox Corp -26.9 -8% 11% -9% -29% 1% 3.51 18%
RBOT Vicarious Surgical Inc -1209.0 -440% -171% -108% -67% -55% 8.27 0%
RC Ready Capital Corp -1082.8 -420% -146% -73% -19% 1% 2.75 13%
RCAT Red Cat Holdings Inc -17.5 -9% 1006% 147% 110% 10% 7.66 79%
RCEL Avita Medical Ltd -381.6 -85% -135% -61% 37% 19% 4.93 24%
RCG RENN 30.0 58% 5% -8% 15% 10% 2.49 100%
RCI Rogers Communications-B -174.5 -87% -77% 36% 4% 11% 1.57 97%
RCKT Rocket Pharmaceuticals -550.1 -164% -146% -63% 52% 40% 4.85 36%
RCKY Rocky Brands -172.4 -86% 9% 127% 51% 39% 3.93 94%
RCL Royal Caribbean Cruises 68.5 48% 233% 3% 7% -12% 2.77 59%
RCMT Rcm Technologies Inc -70.4 -15% -36% -8% 1% -4% 2.86 39%
RCON Recon Technology Ltd -617.0 -216% -168% -37% 5% 17% 6.29 10%
RCRRF Recruit Holdings Co Ltd 24.0 52% 114% -10% -16% -21% 5.60 31%
RCS PIMCO Strategic Income -6.8 23% -36% -19% -10% 0% 1.60 32%
RCUS Arcus Biosciences -24.7 -12% -47% 99% -14% 6% 4.48 82%
RDCM Radcom -4.8 28% -62% -18% -12% -7% 3.06 25%
RDEIY Red Electrica Corporacion SA -123.7 -28% -54% -16% -3% 2% 1.41 7%
RDGT Ridgetech Inc -683.6 -278% -171% -6% -59% 13% 7.36 21%
RDHL Redhill Biopharma Ltd ADR -291.9 0% -172% -89% -25% -17% 7.89 0%
RDI Reading International -1034.1 -425% -144% -45% -22% -3% 3.70 2%
RDIB Reading International 19.8 29% -107% 78% 7% 9% 6.18 79%
RDN Radian Group 40.6 65% 4% -9% -3% 8% 1.80 72%
RDNT RadNet Inc 63.6 48% 166% 23% -12% 2% 2.96 66%
RDNW RideNow Group Inc -978.6 -489% -99% 50% 31% 28% 6.16 93%
RDVT Red Violet Inc 7.0 1% 51% -3% -17% 3% 3.11 44%
RDW Redwire Corp -59.0 -9% 66% -42% 80% -13% 6.47 27%
RDWR Radware -8.2 10% -56% -5% 7% 1% 2.38 43%
RDY Dr Reddy Laboratories ADR -227.9 -61% -145% -5% 2% 6% 1.68 53%
RDZN Roadzen Inc -1779.4 -828% -160% -8% -21% -26% 7.40 36%
REAL Realreal -97.8 -49% 733% 77% -15% -16% 6.08 61%
REAX Real Brokerage Inc -137.2 -19% 29% -59% -30% -17% 4.39 9%
REE REE Automotive Ltd -1508.7 -590% -168% -109% -32% -7% 13.99 1%
REED Reed's Inc -1160.3 -435% -163% -91% -66% -3% 7.29 2%
REFI Chicago Atlantic Real Estate Financ -17.8 24% -46% -30% 1% 1% 1.45 29%
REFR Research Frontiers Inc -243.2 -45% -119% -37% -44% -10% 4.30 3%
REG Regency Centers -218.0 -82% -35% -15% 12% 12% 1.45 99%
REGN Regeneron Pharmaceutical -66.8 -9% -68% -2% 4% 6% 1.96 93%
REI Ring Energy Inc -257.9 -103% -102% 8% 60% 33% 4.21 99%
REKR REKOR SYSTEMS INC -514.8 -179% -113% -41% -48% -14% 7.00 8%
RELL Richardson Electronics -231.8 -58% -110% -21% 20% 7% 3.25 69%
RELX RELX PLC ADR -37.8 17% -54% -46% -15% -2% 1.49 23%
RELY Remitly Global Inc -7.9 43% -48% -43% 30% 32% 3.04 42%
RENT Rent the Runway Inc -521.3 -200% -165% -6% 8% -21% 7.92 27%
REPL Replimune Group Inc -577.0 -185% -139% -58% -26% 5% 5.83 45%
REPX Riley Exploration Permian Inc -117.0 -32% -56% -8% 8% 8% 3.45 100%
REPYY Repsol SA 112.7 75% 8% 79% 27% 23% 1.80 96%
RERE ATRenew Inc 46.2 31% 47% 86% 21% -2% 4.75 82%
RES RPC -330.9 -135% -99% 3% 14% -5% 3.05 80%
RETO ReTo Eco-Solutions Inc Ordinary Sha -343.4 0% -172% -114% -58% 26% 8.62 1%
REVB REVELATION BIOSCIENCES INC -343.9 0% -172% -114% -68% -32% 7.23 0%
REX REX American Resources 64.5 6% 55% 86% 12% 11% 2.43 100%
REXR Rexford Industrial Realty Inc -713.1 -298% -105% -24% -10% -6% 2.01 49%
REYN Reynolds Consumer Products Inc -345.5 -128% -79% -19% -5% 4% 1.47 63%
REZI Resideo Technologies Inc 54.8 11% 31% 83% 9% 7% 2.80 76%
RF Regions Financial -0.7 2% -34% 8% 10% -2% 2.12 78%
RFI Cohen & Steers Total Return Realty -150.3 -45% -52% -12% 7% 10% 1.28 99%
RFIL RF Industries Ltd 109.3 53% 78% 190% 109% 17% 3.93 97%
RFM RiverNorth Flexible Municipal Incom -85.5 -9% -53% -16% 5% 4% 0.80 99%
RFMZ RiverNorth Flexible Municipal Incom -112.2 -21% -54% -17% 4% 2% 0.88 93%
RGA Reinsurance Group of America 15.6 37% -17% -9% 9% 5% 1.78 77%
RGB01 RGB US Treasury Index -31.5 9% -61% -13% 0% 3% 0.52 89%
RGB02 RGB Corporate Bond Index 15.9 41% -53% -12% 0% 2% 0.42 94%
RGB03 RGB Floating Rate Index 67.5 68% -48% -14% -1% 1% 0.12 86%
RGB04 RGB Junk Bond Index 52.7 58% -43% -11% 1% 2% 0.25 99%
RGB05 RGB Muni Bond Index -40.9 7% -58% -13% 1% 2% 0.24 92%
RGB06 RGB High-Yield Muni Index -35.3 10% -55% -15% 1% 2% 0.31 91%
RGB07 RGB Securitized Credit Index 75.8 75% -50% -11% 1% 2% 0.26 94%
RGB08 RGB Emerging Market Debt Index 61.8 58% -35% -5% 2% 2% 0.36 94%
RGB09 RGB Inflation Protected Bond Index -1.8 31% -58% -13% 0% 2% 0.34 92%
RGB10 RGB Preferred Securities Index 19.8 38% -49% -9% 1% 2% 0.25 95%
RGC Regencell Bioscience Holdings Ltd 0.0 0% -81% 511% 112% -8% 11.95 2%
RGCO RGC Resources 6.7 31% -67% 3% 2% 4% 2.43 84%
RGEN Repligen -553.8 -207% -100% -36% -25% -15% 3.34 27%
RGLD Royal Gold 85.0 36% 76% 75% 39% 10% 2.20 85%
RGNX Regenxbio Inc -389.0 -188% -131% 37% -28% -14% 5.12 36%
RGP Resources Connection Inc 4.6 119% -148% -61% -21% -17% 2.63 8%
RGR Sturm Ruger -547.4 -220% -103% -19% 28% 6% 1.79 52%
RGS Regis -489.6 -200% -92% -14% -18% -2% 6.18 44%
RGT Royce Global Value 40.5 29% -8% 18% 14% 2% 1.20 91%
RGTI Rigetti Computing -328.4 -164% 2134% 113% -25% 2% 9.62 21%
RH RH -630.1 -206% -123% -68% -7% -21% 4.29 7%
RHE Regional Health Properties Inc -271.8 -92% -136% 1% 1% 8% 6.09 14%
RHHBY Roche Holding AG 63.6 57% 3% 24% 19% 3% 1.56 89%
RHHVF Roche Holding 43.1 44% -8% 24% 18% 4% 2.03 89%
RHI Robert Half International -993.5 -380% -138% -71% -10% -25% 2.26 4%
RHP Ryman Hospitality Properties -162.0 -53% -52% -11% 6% 7% 1.89 81%
RICK RCI Hospitality Holdings -456.1 -114% -143% -67% 0% 2% 2.76 9%
RIG Transocean 54.7 43% -80% 121% 46% 34% 4.05 96%
RIGL RIGEL PHARMACEUTICALS INC -304.3 -152% 22% 15% -38% -16% 5.29 39%
RIGS ALPS RiverFront Strategic Income F 16.1 44% -55% -12% 0% 2% 0.57 88%
RILY B Riley Financial Inc -538.3 -233% -151% 14% 76% -13% 7.13 60%
RIME ALGORHYTHM HLDGS INC -174.6 0% -172% -30% 32% 80% 9.80 41%
RIO Rio Tinto PLC ADR -28.8 -14% 2% 50% 33% 6% 1.88 91%
RIOCF Riocan REIT -310.2 -132% -65% -1% 8% 3% 1.55 98%
RIOT Riot Blockchain -231.3 -116% 103% 69% 6% 9% 6.79 61%
RITM Rithm Capital Corp -25.9 5% -30% -28% -14% -8% 1.58 26%
RIV RiverNorth Opportunities 15.3 31% -25% -8% 4% 1% 0.92 92%
RIVN Rivian Automotive Inc -557.3 -260% -92% 12% -14% 5% 4.87 36%
RJET Republic Airways Holdings Inc -610.1 -282% -128% 20% 6% 17% 5.55 67%
RJF Raymond James Financial -11.5 3% -21% -12% 0% -5% 1.88 64%
RKDA Arcadia Biosciences Inc -935.5 -347% -155% -69% -51% -7% 5.86 6%
RKLB Rocket Lab USA Inc 239.2 40% 1394% 268% 77% -1% 5.46 69%
RKT Rocket Companies Inc -14.2 -7% 50% 7% -19% -10% 3.89 45%
RKUNF Rakuten -21.7 8% -68% -28% -12% -7% 2.90 18%
RKUNY Rakuten Inc -121.4 -2% -70% -35% -18% -14% 2.70 9%
RL Ralph Lauren-A 75.3 53% 146% 21% -2% 2% 2.27 88%
RLAY Relay Therapeutics Inc -45.8 -23% -111% 200% 36% 26% 5.33 99%
RLGT Radiant Logistics Inc -75.5 -23% -36% -3% 20% 11% 2.68 77%
RLI RLI 1.3 58% -70% -33% 0% 8% 1.60 28%
RLJ RLJ Lodging Trust -440.3 -164% -91% -26% 10% 11% 2.04 70%
RLMD Relmada Therapeutics Inc -141.3 -71% -33% 1717% 7% 26% 7.08 98%
RLTY Cohen & Steers Real Estate Opp & In -64.7 -14% -31% -8% 7% 9% 1.42 98%
RLX RLX Technology Inc -195.8 -72% -47% -10% -2% 6% 3.19 73%
RLXXF RELX -0.1 3% -57% -47% -14% 0% 1313.95 22%
RM Regional Management Corp -93.2 -22% -52% -8% -10% -10% 2.99 43%
RMAX RE MAX HLDGS INC CL A -468.2 -145% -137% -44% -24% -18% 3.59 2%
RMBI Richmond Mutual Bancorp Inc -48.7 -4% -50% -4% 4% 1% 2.20 82%
RMBS Rambus -18.2 -9% 37% 57% -3% -18% 4.10 59%
RMCF Rocky Mountain Chocolate Factory In -1654.5 -827% -121% 43% 51% 9% 4.01 81%
RMCO Royalty Management Holding Corp 111.6 125% -132% 297% 71% 2% 5.77 89%
RMD ResMed -195.2 -77% -47% -5% 4% 3% 2.03 63%
RMI Rivernorth Opportunistic Muni Incom -87.1 -16% -54% -9% 10% 7% 0.88 93%
RMM RiverNorth Managed Duration Muni In -105.6 -19% -56% -15% 5% 3% 0.91 91%
RMMZ RiverNorth Managed Duration Muni In -206.7 -70% -51% -17% 3% 3% 0.92 85%
RMNI Rimini Street -12.8 13% -86% -18% -4% 8% 4.24 33%
RMR RMR Group Inc A -431.8 -174% -94% -10% 16% 15% 1.87 90%
RMSG Real Messenger Corp -778.5 -251% -167% -83% -72% -5% 4.61 0%
RMT Royce MicroCap -7.9 -4% -4% 32% 22% 8% 1.49 98%
RMTI Rockwell Medical -328.5 -62% -122% -61% -6% -20% 5.72 10%
RNAC Cartesian Therapeutics Inc -465.1 -108% -156% -72% 7% 17% 6.40 13%
RNAZ TransCode Therapeutics Inc -779.8 -233% -173% -99% 8% 7% 10.80 7%
RNECF Renesas Electronics 26.1 3% 255% -14% 43% 2% 4.66 69%
RNECY Renesas Electronics -4.3 20% -40% -16% 42% 7% 3.40 70%
RNG RingCentral Inc Class A -445.1 -223% -57% 23% 35% 50% 3.63 98%
RNGR Ranger Energy Services -0.8 6% -1% -7% 27% 12% 2.92 98%
RNLSY RENAULT SA -227.7 -33% -89% -51% -18% -9% 2.38 0%
RNP Cohen & Steers REIT & Preferred In -63.7 -6% -43% -12% 7% 9% 1.31 99%
RNR RenaissanceRe Holdings 23.9 37% -27% 8% 13% 7% 1.96 89%
RNST Renasant -59.5 -4% -56% -7% 7% 4% 2.37 79%
RNTX Rein Therapeutics Inc -608.0 -220% -89% -54% -21% -5% 6.79 10%
RNW Renew Energy Global PLC -323.3 -114% -47% -32% -29% 2% 2.78 9%
RNWZ TrueShares Eagle Global Renewable E 23.9 2% -32% 35% 13% 7% 1.22 93%
RNXT RenovoRx Inc -648.5 -246% -150% -28% -2% -15% 6.61 17%
ROAD Construction Partners 122.0 63% 325% 79% 25% 21% 3.10 96%
ROCK Gibraltar Industries -212.0 -24% -92% -51% -14% -16% 2.60 0%
ROG Rogers 12.1 24% -99% 31% 29% 14% 2.52 96%
ROIV Roivant Sciences Ltd 157.2 71% 195% 173% 45% 36% 2.93 100%
ROK Rockwell Automation 16.5 15% -35% 22% -2% -9% 2.08 79%
ROKU ROKU INC -140.7 -69% -16% 4% 0% 3% 3.88 71%
ROL Rollins 36.6 53% -1% -7% -6% -7% 1.51 52%
ROOT Root Inc -47.6 -24% 807% -79% -39% -22% 6.56 1%
ROP Roper Technologies -272.0 -52% -87% -55% -19% -2% 1.34 17%
ROST Ross Stores -17.9 -9% 26% 40% 20% 14% 1.56 100%
RPAY Repay Holdings Corp -408.0 -85% -136% -74% -8% -9% 3.42 8%
RPD Rapid7 Inc -1093.4 -400% -158% -94% -57% -42% 3.16 2%
RPID Rapid Micro Biosystems Inc 47.5 23% 239% 52% 5% 6% 5.52 88%
RPM RPM International -156.0 -37% -42% -27% 2% 3% 1.69 43%
RPRX Royalty Pharma PLC 32.1 26% -30% 26% 19% 14% 1.62 100%
RQI Cohen & Steers Quality Income Realt -214.2 -87% -36% -8% 15% 11% 1.48 99%
RRBI Red River Bancshares Inc 68.4 54% 12% 49% 31% 5% 2.13 99%
RRC Range Resources 9.8 23% -7% -3% 5% 19% 2.56 87%
RRGB Red Robin Gourmet Burgers -796.0 -335% -119% -24% 7% 23% 4.93 41%
RRR Red Rock Resorts Inc A -54.2 -27% -18% 12% 3% -2% 2.41 81%
RRTS Roadrunner Transportation Systems -180.6 -10% -58% -61% 30% 4% 5.03 33%
RRX Regal Rexnord Corp -19.1 -10% -35% 54% 44% 25% 2.86 89%
RS Reliance Steel and Aluminum -4.6 14% -39% -7% 10% -4% 1.80 53%
RSF RiverNorth Capital and Income Fund 43.9 59% -46% -11% 2% 1% 0.50 92%
RSG Republic Services-A 20.9 38% 13% -20% 8% 9% 1.14 53%
RSI Rush Street Interactive Inc 90.8 54% 328% 62% 10% 15% 3.96 83%
RSKD Riskified Ltd -400.6 -139% -90% -32% -9% 4% 2.87 22%
RSNHF Resona Holdings Inc 508.1 105% 1167% 779% 8% 3% 4.01 75%
RSSS Research Solutions Inc -163.3 -22% -62% -39% -21% -15% 3.34 6%
RSVR Reservoir Media Inc -171.6 -86% -27% 11% 30% 33% 2.34 100%
RTO Rentokil Initial PLC 28.4 70% -75% 0% 2% -8% 2.21 66%
RTX RTX Corp 102.3 70% 52% 41% 24% 6% 1.51 97%
RUM Rumble Inc -488.7 -157% -106% -52% -18% 2% 5.30 6%
RUN Sunrun Inc -125.1 -63% -120% 80% -35% -32% 6.59 41%
RUSHA Rush Entprises-A 39.6 47% 22% 9% 35% 8% 2.22 87%
RUSHB Rush Enterprises -53.6 -6% -60% -1% 21% 8% 2.54 89%
RVLV Revolve Group Inc -435.4 -173% -79% -19% -2% -10% 3.85 53%
RVMD Revolution Medicines Inc 125.9 54% 243% 146% 33% 6% 3.48 76%
RVP RETRACTABLE TECHNOLOGIES INC -495.9 -170% -137% -32% -18% -3% 3.20 14%
RVPH Reviva Pharmaceuticals Holdings Inc -753.2 -222% -167% -99% -62% -16% 8.14 4%
RVSB Riverview Bancorp -345.2 -134% -88% -9% 4% 3% 1.97 45%
RVT Royce Value 14.1 4% -10% 16% 16% 5% 1.44 92%
RVTY Revvity Inc -239.9 -61% -92% -28% -5% -6% 2.33 45%
RVYL Ryvyl Inc -308.7 0% -169% -98% -53% -9% 10.00 2%
RWAY Runway Growth Finance Corp -207.3 -42% -78% -36% -12% -10% 1.69 12%
RWEOY RWE AG -32.4 -16% -13% 82% 22% 0% 1.79 93%
RWT Redwood Trust -287.8 -113% -60% -11% 12% 14% 2.26 74%
RXO Rxo Inc -148.1 -8% -92% -36% 24% 8% 3.52 61%
RXRX Recursion Pharmaceuticals Inc -839.7 -316% -125% -62% -17% -11% 6.56 7%
RXST RxSight Inc -28.7 53% -115% -88% -33% -9% 4.10 6%
RXT Rackspace Technology Inc -201.1 -62% -70% -15% 136% 334% 7.09 98%
RY Royal Bank of Canada 77.6 55% 10% 29% 8% 0% 1.25 87%
RYAAY Ryanair Holdings PLC ADR 28.7 23% 12% 20% -3% -8% 2.23 76%
RYAM Rayonier Advanced Materials Inc -68.8 -34% -10% 27% 71% 40% 4.31 100%
RYAN Ryan Specialty Group Holdings Inc -26.5 46% -79% -60% -33% -15% 2.02 4%
RYCEF Rolls-Royce Holdings 241.0 77% 870% 62% 29% 8% 2.56 95%
RYCEY Rolls-Royce Holdings PLC 258.2 79% 888% 70% 32% 10% 2.44 99%
RYDAF Shell PLC 34.5 65% -28% 11% 13% 11% 2.82 97%
RYI Ryerson Holding Corp -280.7 -103% -92% -7% 14% -8% 3.31 65%
RYKKY Ryohin Keikaku 101.8 32% 265% 47% 9% 10% 2.29 77%
RYM RYTHM Inc -148.2 0% -158% -21% -8% 18% 9.49 11%
RYTM Rhythm Pharmaceuticals -115.1 -58% 196% 56% -14% -15% 3.81 62%
RZC 7125 Fixed-Rate Rst Sbd Dbtrs due 21.4 46% -53% -12% 1% 2% 0.50 94%
RZLT Rezolute Inc -13.9 2% -41% -38% -65% 3% 6.16 20%
RZLV Rezolve AI Ltd -552.5 -275% -145% 48% 0% 4% 5.84 24%
S Sentinelone Inc -224.4 -33% -87% -50% -17% -5% 3.64 14%
SA Seabridge Gold -64.7 -32% 150% 211% 23% 27% 3.66 85%
SABA Saba Capital Income & Opportunities 0.5 32% -44% -17% -2% 4% 0.93 66%
SABR Sabre Corporation -706.9 -242% -134% -67% 24% 51% 4.86 35%
SABS SAB Biotherapeutics Inc 33.0 31% -116% 134% 3% -9% 6.70 84%
SACH Sachem Capital Corp -466.4 -189% -133% 0% 7% 2% 3.16 64%
SAFE Safehold Inc -486.4 -171% -136% -27% 17% 12% 2.94 54%
SAFRY Safran SA 88.0 62% 102% 25% 14% 8% 1.76 85%
SAFT Safety Insurance Group -155.9 -44% -63% -13% 2% -1% 1.60 76%
SAH Sonic Automotive -80.9 -5% -52% -18% 2% 8% 2.74 29%
SAIA Siai 3.6 26% -19% -11% 41% 14% 3.39 99%
SAIC Science Applications International -195.4 -52% -82% -19% 8% -6% 1.88 28%
SAIH Saiheat Ltd -708.8 -276% -133% -35% 0% -1% 9.61 33%
SALM Salem Media Group -369.5 -87% -142% -51% -20% 9% 7.35 4%
SAM Boston Beer-A -1407.2 -646% -102% -24% 17% 10% 2.26 71%
SAMG Silvercrest Asset Mgmt Gr -274.3 -86% -72% -27% 14% 6% 2.24 59%
SAN Banco Santander SA 123.1 78% 173% 67% 6% -10% 2.29 79%
SANA Sana Biotechnology Inc -493.1 -247% -69% 40% -5% -15% 7.13 54%
SANG Sangoma Technologies Corp -176.9 -37% -65% -30% -11% 0% 4.22 26%
SANM Sanmina 75.4 59% 56% 65% -9% -6% 2.80 63%
SAP SAP SE ADR 1.1 47% 4% -47% -20% -4% 1.86 0%
SAPGF SAP -0.1 47% -1% -47% -21% -5% 2.15 0%
SAR Saratoga Investment -16.4 4% -42% -9% 7% 2% 1.34 100%
SATL SATELLOGIC INC A 37.4 171% -59% 1% 110% -7% 7.14 50%
SATS EchoStar Corp -99.8 -50% 401% 250% 55% -1% 4.28 85%
SAVA CASSAVA SCIENCES -1077.2 -456% -164% -28% -28% 15% 6.20 30%
SAXPY Sampo PLC -69.5 -30% -34% 6% -10% -3% 1.37 61%
SB Safe Bulkers Inc 67.5 37% 30% 67% 26% 13% 2.38 96%
SBAC SBA Communications Corporation -517.5 -201% -93% -27% 3% 10% 1.91 28%
SBC SBC Medical Group Holdings Inc -29.8 10% -136% -35% 8% -21% 3.73 32%
SBCF Seacoast Banking Corporation of FL -51.1 -3% -60% -3% -2% -4% 2.45 73%
SBDS Solo Brands Inc -547.9 -125% -168% -93% -24% 16% 8.26 21%
SBET SharpLink Gaming Ltd Ordinary Share -24.5 0% -157% 40% -16% 6% 9.30 7%
SBEV SPLASH BEVERAGE GROUP INC -358.4 -179% -123% 336% -50% 2% 12.97 8%
SBFG SB Financial Group 14.4 55% -37% -17% -5% -6% 2.60 57%
SBFM Sunshine Biopharma Inc -250.3 0% -172% -68% -19% -5% 7.15 1%
SBGI Sinclair Broadcast Group-A -256.7 -109% -59% 0% -1% 7% 4.02 69%
SBGSY Schneider Electric SE 43.5 51% 24% 9% 11% 5% 2.14 79%
SBH Sally Beauty Holdings -149.9 -75% -78% 59% -6% -3% 3.51 83%
SBLK Star Bulk Carriers Corp 24.5 3% -44% 54% 28% 12% 2.40 91%
SBLX StableX Technologies Inc -1260.9 -485% -170% -89% -16% -8% 5.66 2%
SBR Sabine Royalty Trust 5.2 16% -45% 6% -6% 6% 1.85 73%
SBRA Sabra Health Care REIT Inc 45.4 40% 37% 11% 6% 14% 1.78 89%
SBS Companhia de Sameamento ADR 92.5 25% 150% 77% 16% 8% 2.29 91%
SBSI Southside Bancshares -231.9 -82% -77% -8% 6% -1% 2.09 81%
SBSW Sibanye Stillwater Ltd 135.5 23% 18% 350% 14% -9% 4.60 66%
SBUX Starbucks -271.3 -82% -70% -30% 15% 9% 1.94 59%
SCAG SCAGE FUTURE -37.3 79% -156% -103% -8% -27% 3.08 2%
SCBFF Standard Chartered 60.9 77% 70% 20% -2% -14% 2.96 72%
SCCO Southern Copper 130.8 62% 161% 137% 55% 10% 2.85 92%
SCD LMP Capital & Income 14.5 30% 0% -14% 10% 5% 1.24 96%
SCGLY Societe Generale Group 124.3 66% 157% 87% 17% -7% 2.30 84%
SCHL Scholastic -59.7 -30% -90% 50% 17% 1% 2.82 97%
SCHW Charles Schwab -39.1 -12% -44% 7% 3% -7% 2.04 72%
SCHYF Sands China Ltd -105.5 -46% -89% 23% -12% -6% 3.73 62%
SCHYY Sands China -264.3 -75% -108% -21% -21% -1% 2.69 48%
SCI Service Corp International -3.6 24% -46% -13% 4% 3% 1.56 72%
SCKT Socket Mobile Inc -664.3 -246% -129% -43% -27% -22% 3.46 2%
SCL Stepan -561.7 -212% -121% -29% 10% -13% 2.25 33%
SCLX Scilex Holding Co -512.6 -168% -170% -31% -56% -3% 8.38 18%
SCM Stellus Capital Inv -153.7 -5% -82% -44% -14% -17% 1.37 2%
SCMWY Swisscom AG 64.2 19% -6% 51% 29% 15% 1.14 96%
SCOR comScore Inc -494.5 -204% -142% 4% 3% -16% 5.08 56%
SCRYY Scor SE 41.7 54% -3% 15% 8% 6% 2.24 85%
SCSC ScanSource -111.4 -27% -50% -12% -8% -12% 2.38 54%
SCVL Shoe Carnival -170.4 -34% -92% -20% 19% 5% 3.29 46%
SCWO 374Water Inc -771.8 -297% -164% -34% -5% -15% 7.47 17%
SCYX SCYNEXIS Inc -153.7 0% -119% -37% 16% 7% 5.31 33%
SCZM Santacruz Silver Mining Ltd 273.5 42% 907% 919% 23% -8% 8.23 62%
SD SandRidge Energy 54.8 43% 0% 54% 24% 16% 2.54 100%
SDA SunCar Technology Group Inc Ordinar -725.2 -234% -154% -77% -8% 2% 6.21 5%
SDGR Schrodinger Inc -459.0 -137% -111% -56% -24% -5% 4.46 12%
SDHY PGIM Short-Duration High Yield Opp 48.1 60% -34% -10% 2% 2% 0.60 93%
SDOT Sadot Group Inc -404.8 -35% -171% -111% -25% -28% 7.05 3%
SDRL Seadrill Ltd 43.7 47% -70% 64% 36% 12% 3.03 89%
SDST Stardust Power Inc Ordinary Shares 4.9 140% -169% -68% 7% -14% 5.20 29%
SDVKY Sandvik 94.3 56% 45% 76% 35% 7% 2.10 90%
SDXAY Sodexo SA -47.5 9% -81% -46% 6% 4% 1.69 15%
SE Sea -8.8 35% -25% -46% -36% -21% 3.37 0%
SEAT Vivid Seats Inc -696.6 -182% -169% -110% -21% -12% 4.65 1%
SEB SEABOARD CORP 70.2 51% -44% 64% 6% -1% 1.87 82%
SEDG SolarEdge Technologies Inc COM -9.8 -5% -160% 151% 14% 25% 6.19 78%
SEE Sealed Air -107.4 -41% -82% 15% -2% 2% 2.21 94%
SEER Seer Inc -401.1 -131% -125% -28% -3% 4% 3.96 27%
SEGG Lotterycom Inc -334.7 0% -172% -110% -33% -37% 10.80 2%
SEI Solaris Energy Infrastructure Inc 85.3 35% 464% 46% 2% -10% 4.53 83%
SEIC SEI Investments -8.4 12% -30% -13% 2% -6% 1.45 59%
SEKEY Seiko Epson Corp -169.8 -14% -83% -43% 1% 0% 1.95 13%
SELX Semilux International Ltd -1578.7 -649% -168% -85% -10% -33% 5.62 0%
SEM Select Medical Holdings Corporation -242.7 -60% -109% -25% 6% 10% 2.44 72%
SEMR SEMrush Holdings Inc -255.4 -109% -26% -10% 0% 2% 3.27 100%
SENEA Seneca Foods-A 91.6 74% 77% 51% 15% 16% 2.29 100%
SENEB Seneca Foods 108.3 82% 71% 54% 15% 18% 1.96 100%
SENS Senseonics Holdings Inc -1778.3 -765% -138% -78% 13% -4% 5.87 13%
SEOAY Stora Enso Oyj -45.2 0% -73% 2% 7% 11% 2.49 74%
SER Serina Therapeutics Inc -929.8 -326% -164% -84% -58% -37% 7.00 2%
SERA Sera Prognostics Inc -505.8 -144% -121% -69% -38% -26% 6.21 19%
SES SES AI CORPORATION-A 35.3 20% -119% 183% -9% -13% 8.22 42%
SEVN Seven Hills Realty Trust -33.8 11% -61% -39% 3% 1% 1.82 13%
SF Stifel Financial 14.2 26% 7% -7% -7% -7% 2.04 65%
SFBC Sound Financial Bancorp Inc -37.9 3% -60% -30% -3% -1% 1.44 4%
SFBS Servisfirst Bancshares Inc -117.3 -11% -59% -28% 11% -4% 2.74 56%
SFE Safeguard Scientifics -1000.1 -406% -172% -37% -12% -12% 4.51 3%
SFIX Stitch Fix -315.8 -78% -104% -45% -26% -33% 5.61 14%
SFL SFL Corp Ltd 15.2 9% -31% 24% 36% 23% 1.94 94%
SFM Sprouts Farmers Market Inc 2.6 45% 75% -65% -12% 11% 2.43 10%
SFNC Simmons First National-A -208.6 -60% -70% -21% 8% 0% 2.29 68%
SFST Southern First Bancshares Inc 39.2 39% -36% 45% 5% -1% 2.67 80%
SFTBF SoftBank Group 138.6 40% 390% 195% -5% -8% 4.26 47%
SFTBY Softbank Corp 37.7 10% 62% 53% -12% -9% 3.41 39%
SG Sweetgreen Inc -401.8 -73% -109% -92% -15% -8% 5.12 2%
SGA Saga Communications-A -335.9 -128% -106% -4% -1% 5% 2.25 54%
SGAPY Singapore Telecommunications Ltd 107.2 66% 80% 41% 5% 7% 1.50 88%
SGBLY Standard Bank Group 57.4 18% 65% 53% 22% 1% 2.25 87%
SGC Superior Group Of Companies Inc -133.1 -5% -70% -39% 4% 5% 3.21 39%
SGHC SUPER GROUP SGHC LIMITED -28.2 -14% 163% 53% 8% 25% 3.55 73%
SGHT Sight Sciences Inc -241.9 -121% -122% 98% -35% -14% 5.77 48%
SGI Somnigroup International Inc 52.3 55% 35% 22% -9% -5% 2.38 72%
SGML Sigma Lithium Corp -133.7 -20% -137% -1% 12% 22% 5.82 71%
SGMO Sangamo Therapeutics Inc -713.8 -230% -159% -74% -8% -28% 8.25 7%
SGRP SPAR Group Inc -28.6 39% -112% -66% -13% -2% 3.51 1%
SGRY Surgery Partners Inc -707.1 -251% -131% -59% -18% -3% 3.31 6%
SGSOY SGS SA 1.5 6% -27% 5% 7% 2% 1.48 87%
SGU Star Partners LP -9.6 12% -46% -11% 9% 5% 2.07 90%
SH ProShares Short S&P500 ETF -148.2 -9% -105% -30% 0% 3% 0.99 6%
SHAK Shake Shack -135.9 -46% 4% -23% 12% 7% 3.08 33%
SHBI Shore Bancshares 0.6 9% -52% 9% 5% -3% 2.25 80%
SHC Sotera Health Co -227.2 -104% -81% 17% -10% -12% 2.58 62%
SHCAY Sharp -660.4 -229% -119% -61% -26% -16% 2.56 0%
SHECY Shin-Etsu Chemical Co -0.1 5% -39% 7% 25% 16% 2.31 86%
SHEL Shell PLC 69.0 81% -20% 12% 11% 12% 1.50 94%
SHEN Shenandoah Telecommunications -255.1 -124% -89% 26% 44% 32% 2.97 100%
SHG Shinhan Financial Group ADR 91.4 31% 76% 89% 16% 11% 2.19 82%
SHIP Seanergy Maritime Holdings Corp 66.2 10% 85% 105% 42% 38% 3.35 99%
SHLS Shoals Technologies Group Inc -63.3 -32% -147% 95% -22% -33% 5.21 41%
SHMD Schmid Group NV Ordinary Shares - -100.0 -50% -92% 212% 79% -14% 4.54 75%
SHO Sunstone Hotel Investors Inc -330.8 -119% -76% -21% 6% 13% 1.93 82%
SHOO Steven Madden -75.7 -21% -64% 4% -16% -19% 2.59 63%
SHOP Shopify Inc A 27.5 11% 148% 4% -14% 0% 3.66 52%
SHPH Shuttle Pharmaceuticals Holdings In -336.2 0% -172% -111% -45% -47% 6.78 0%
SHTDY Sinopharm Group -3.7 23% -62% -8% 0% 1% 2.07 76%
SHW Sherwin-Williams -7.2 13% -12% -19% 1% -1% 1.63 59%
SHZHY Shenzhou International Group Holdin -454.4 -184% -96% -11% -18% -4% 2.90 50%
SI SILVERGATE CAPITAL CORPORATION -753.9 -300% -170% -20% -18% -30% 13.52 23%
SIBN SI-BONE Inc -463.7 -170% -86% -34% -23% -9% 3.40 20%
SID Companhia Siderurgica Nacional ADR -263.9 -88% -112% -7% -3% -17% 3.54 34%
SIDU Sidus Space Inc -119.9 0% -170% -3% 234% -17% 9.50 34%
SIEB Siebert Financial -281.5 -78% -71% -39% -37% -34% 4.48 1%
SIEGY Siemens AG 34.3 48% 19% -1% 4% -8% 2.15 73%
SIF SIFCO Industries Inc -2.8 -1% 239% 351% 136% 139% 4.58 98%
SIFY Sify Technologies 69.4 37% -14% 212% 31% -3% 6.05 81%
SIG Signet Jewelers -117.3 -59% -37% 82% 0% 3% 3.36 83%
SIGA SIGA Technologies 3.5 14% -56% 13% 7% -7% 3.80 35%
SIGI Selective Insurance Group -155.5 -28% -86% -21% 4% -1% 1.84 50%
SII Sprott Inc 281.2 67% 359% 289% 85% 39% 2.38 100%
SILA Sila Realty Trust Inc -128.5 -32% -60% -12% 6% 6% 748.02 73%
SILC Silicom Ltd Ord -205.3 -75% -120% 13% 32% 2% 3.10 91%
SIM Grupo Simec SAB de CV -79.5 -11% -84% 0% 12% 0% 4.07 77%
SIMO Silicon Motion Technology ADR 87.0 60% 22% 109% 38% 4% 3.04 80%
SINGY Singapore Airlines 7.9 26% -24% -9% 4% 6% 1.22 68%
SINT SINTX Technologies Inc -667.2 -255% -172% -21% -16% -10% 8.57 28%
SIRI Sirius XM Holdings Inc -563.3 -225% -116% -18% 9% 14% 3.44 75%
SITC SITE Centers Corp -894.7 -375% -148% -23% -2% 4% 2.07 52%
SITE SiteOne Landscape Supply Inc -169.8 -53% -79% -6% 4% -2% 2.73 59%
SITM SiTime Corp 65.0 1% 150% 134% 33% 4% 4.69 82%
SJ Scienjoy Holding Corp -558.2 -245% -140% 13% 83% -16% 6.12 69%
SJM JM Smucker -423.9 -172% -86% -11% 12% 12% 1.75 95%
SJT San Juan Basin Royalty -4.0 41% -120% -9% -9% -10% 3.19 17%
SKE Skeena Resources Ltd 197.6 98% 519% 248% 62% 21% 4.25 89%
SKFRY SKF AB 32.3 52% -19% 7% 0% 2% 2.27 80%
SKHHY Sonic Healthcare -754.3 -328% -90% -19% 6% 4% 1.71 60%
SKHSY Sekisui House Ltd -18.9 9% -52% -17% 3% 5% 1.66 60%
SKIL Skillsoft Corp -491.9 -92% -159% -100% -50% -56% 6.43 1%
SKIN Beauty Health Co -1065.7 -448% -163% -31% -27% -25% 6.23 15%
SKLZ Skillz Inc -495.1 -147% -145% -52% -36% -4% 5.14 5%
SKM SK Telecom LTD ADR -138.9 -69% 23% 33% 55% 14% 1.54 86%
SKT Tanger Factory Outlet Centers 19.6 19% 50% -8% 12% 18% 1.80 98%
SKWD Skyward Specialty Insurance Group I 34.7 61% 80% -28% 1% 10% 2.48 26%
SKY Champion Homes Inc 0.2 42% -43% -28% 4% 20% 2.99 74%
SKYE Skye Bioscience Inc -284.3 0% -163% -88% -40% -19% 10.11 0%
SKYH SKY HARBOUR GROUP CORPORATION- -175.5 -58% 4% -30% 1% 4% 4.00 22%
SKYT SkyWater Technology Inc -39.7 -20% 77% 234% 91% -5% 5.91 81%
SKYW SkyWest 92.6 66% 356% -13% 0% 1% 2.70 47%
SKYX SKYX Platforms Corp -427.0 -214% -109% 42% -5% -15% 6.04 50%
SLAB Silicon Laboratories -193.7 -97% -57% 35% 60% 43% 3.23 97%
SLB Schlumberger 0.8 21% -77% 6% 32% 2% 2.28 81%
SLCJY SLC Agricola -306.4 -137% -73% 9% 22% 5% 2.13 88%
SLDB Solid Biosciences -204.9 -83% -65% 2% 17% -3% 6.49 80%
SLDP Solid Power Inc -42.4 -21% -74% 177% -32% -21% 6.38 32%
SLE SUPER LEAGUE ENTERPRISE IN -652.9 -154% -172% -115% -65% -26% 9.01 0%
SLF Sun Life Financial 22.8 27% -18% 5% 14% 5% 1.28 84%
SLG SL Green Realty -150.2 -16% -30% -49% -13% -3% 3.35 15%
SLGL Sol-Gel Technologies 315.6 79% 28% 1264% 128% 39% 7.57 90%
SLGN Silgan Holdings -250.0 -71% -81% -27% 18% 10% 1.71 50%
SLI Standard Lithium Corp -40.5 -20% -68% 253% 5% 3% 5.63 74%
SLLDY Sanlam 35.8 15% 61% 22% 13% -3% 2.21 82%
SLM SLM -125.1 -5% -27% -49% -35% -27% 2.36 6%
SLMT Brera Holdings Plc -301.5 0% -168% -95% -37% 3% 9.40 1%
SLN Silence Therapeutics PLC -148.8 -50% -124% 16% -13% 19% 5.63 69%
SLNG Stabilis Solutions Inc -186.3 -61% -40% -19% 9% -8% 4.21 67%
SLNH Soluna Holdings Inc -394.1 -122% -161% -21% -43% -10% 10.60 14%
SLNO Soleno Therapeutics Inc 174.7 23% 1834% -34% -23% -8% 5.87 2%
SLP Simulations Plus Inc -414.3 -86% -140% -74% -29% -25% 3.26 4%
SLQT SelectQuote Inc -346.4 -28% -139% -99% -44% -42% 6.19 0%
SLRC Solar Capital Ltd 23.7 65% -40% -25% -5% 0% 1.26 54%
SLS SEELAS Life Sciences Group -76.6 -38% 148% 360% 268% 41% 5.93 100%
SLSN Solesence Inc -233.9 -14% -92% -72% -45% -19% 6.86 0%
SLSR Solaris Resources Inc 121.3 85% 68% 221% 36% 9% 4.41 93%
SLVM Sylvamo Corp -161.0 -10% -68% -48% -2% -2% 2.64 28%
SLXN Biomotion Sciences -898.4 -285% -172% -107% -40% -5% 5.89 1%
SM SM Energy -22.4 13% -84% -33% 25% 31% 3.29 53%
SMAWF Siemens AG 28.7 46% 11% -1% 4% -9% 2.39 68%
SMBC Southern Missouri Bancorp Inc -95.6 -33% -27% -6% 11% 1% 2.38 89%
SMBK SmartFinancial 17.0 35% -20% -1% 9% -3% 2.15 82%
SMC Summit Midstream Corp 6.3 50% 17% -43% 25% 14% 3.17 54%
SMCAY SMC Corporation -1.6 26% -88% 0% 19% 13% 2.39 70%
SMCI Super Micro Computer 13.9 27% 150% -27% -3% 11% 6.27 14%
SMFG Sumitomo Mitsui Financial Group Inc 92.3 90% 93% 22% 12% 0% 2.10 74%
SMFNF Sumitomo Mitsui Financial 891.0 96% 3129% 1620% 12% 0% 5.19 83%
SMG Scotts Miracle-Gro-A -208.6 -90% -78% 11% 21% 13% 2.95 93%
SMGZY Smiths Group PLC 72.0 63% 8% 24% 10% 5% 1.48 92%
SMHI Seacor Marine Holdings -0.9 0% -96% 29% 7% 13% 4.11 88%
SMID Smith-Midland Corp -150.8 -75% 23% 0% 12% 5% 4.18 68%
SMMNY Siemens Healthineers AG -259.5 -74% -76% -30% -1% 0% 1.73 23%
SMMT Summit Therapeutics -37.9 -19% 706% -37% -12% 11% 7.50 7%
SMNNY Shimano -547.3 -197% -106% -41% -3% -7% 2.13 15%
SMP Standard Motor Products -45.7 -23% -62% 25% 3% -7% 2.21 74%
SMPL Simply Good Foods Co -638.4 -202% -130% -74% -16% -8% 2.09 4%
SMR NUSCALE PWR CORP -162.1 -28% -49% -36% -31% -22% 7.85 0%
SMRT SmartRent Inc -112.4 -46% -105% 25% 6% 9% 4.38 76%
SMSEY Samsonite International -212.9 -44% -87% -33% -14% -10% 2.62 51%
SMSI SMITH MICRO SOFTWARE INC -1172.6 -460% -168% -70% -9% 0% 6.22 13%
SMTC Semtech 69.0 18% 123% 135% 24% 4% 4.61 91%
SMTI Sanara MedTech Inc -544.4 -174% -125% -56% -2% -7% 3.79 7%
SMTK SmartKem Inc -1034.0 -355% -171% -105% -80% -54% 10.08 2%
SMWB Similarweb Ltd -386.8 -62% -132% -88% -66% -46% 4.18 2%
SNA Snap-On 48.1 61% -5% 0% 13% 5% 1.51 94%
SNAL Snail Inc -229.2 0% -130% -71% -23% -4% 6.93 8%
SNAP SNAP INC -471.2 -134% -118% -62% -31% -18% 3.83 11%
SNBR Sleep Number -2502.7 -1126% -157% -73% -2% -47% 6.46 21%
SNCAF SNC-Lavalin Group 96.2 75% 165% 26% 10% 0% 2.25 77%
SNCY Sun Country Airlines Holdings Inc -300.2 -122% -82% -1% 33% 3% 3.77 74%
SND SMART SAND INC 67.6 43% 86% 89% 26% -12% 3.74 63%
SNDA Sonida Senior Living Inc 41.1 16% 138% 40% 16% 15% 3.95 100%
SNDL Sundial Growers -679.8 -290% -94% -19% -9% 2% 4.40 20%
SNDR Schneider National -152.0 -46% -67% -7% 23% 0% 2.15 78%
SNDX Syndax Pharmaceuticals Inc -81.0 -35% -84% 22% 12% 3% 3.88 96%
SNEJF Sony 128.5 53% 680% 52% -29% -3% 4.16 46%
SNES SENESTECH INC -760.6 -279% -172% -44% -21% 7% 7.85 17%
SNEX StoneX Group Inc 64.2 75% 12% 33% 40% 10% 2.49 88%
SNMRY Snam 52.2 17% 3% 45% 12% 11% 1.40 88%
SNN Smith & Nephew PLC -36.8 -15% -36% 8% 10% 8% 1.69 85%
SNNUF Smith & Nephew -68.9 -28% -45% 8% 13% 17% 2.11 93%
SNOA Sonoma Pharmaceuticals Inc -78.7 0% -162% 15% -14% -11% 6.86 27%
SNOW Snowflake-A -274.3 -95% -64% -21% -34% -10% 3.34 26%
SNPHY Santen Pharmaceutical 1.6 22% -39% -6% 0% -6% 1.84 43%
SNPS Synopsys -135.5 -30% -54% -20% -3% -4% 2.60 19%
SNSE Sensei Biotherapeutics Inc -725.8 -363% -70% 248% 273% 245% 7.13 88%
SNT Senstar Technologies Ltd 5.8 23% 58% -29% -9% -19% 3.64 17%
SNTI Senti Biosciences Inc -2002.5 -862% -166% -84% -55% -4% 7.77 3%
SNWV SANUWAVE Health Inc 3.8 25% 47% -26% -28% -6% 6.80 5%
SNX TD Synnex Corp 16.5 20% 0% 3% 5% 1% 1.83 85%
SNY Sanofi-Aventis ADR -128.0 -11% -63% -32% -8% -1% 1.71 10%
SNYNF Sanofi SA -171.1 -22% -76% -38% -9% -2% 2.50 5%
SO Southern 13.9 24% -4% -6% 10% 13% 1.34 97%
SOAR Volato Group Inc -997.9 -340% -172% -102% -73% -43% 7.97 1%
SOBR Sobr Safe Inc -324.1 0% -172% -105% -53% -44% 8.91 0%
SOC Sable Offshore Corp -34.1 6% -74% -79% 110% 14% 4.70 21%
SODI SOLITRON DEVICES INC 73.0 61% 82% 38% 26% 24% 2.48 97%
SOFI SoFi Technologies Inc -4.5 -2% 119% 20% -36% -14% 4.45 41%
SOGP Sound Group Inc 0.0 0% 5% 545% 15% 4% 7.33 39%
SOHU Sohucom 17.4 39% -57% 13% 5% -2% 2.72 92%
SOMLY Secom Co -199.6 -77% -43% -8% 9% 4% 1.51 61%
SON Sonoco Products -359.9 -162% -68% 4% 30% 17% 1.71 89%
SONM SONIM TECHNOLOGIES INC -1152.5 -417% -167% -104% -9% -10% 6.92 4%
SONO Sonos Inc -254.0 -97% -93% 1% -18% 5% 3.06 67%
SONVY SONOVA HOLDING -281.0 -84% -63% -35% 2% -1% 1.75 22%
SONXD Sonendo Inc -323.4 0% -172% -104% 13% 94% 14.94 13%
SONY Sony Group Corp -21.5 8% -38% -28% -24% 1% 2.00 9%
SOPA Society Pass Inc -238.2 0% -168% -63% -47% -65% 9.15 1%
SOPH Sophia Genetics SA -99.9 -50% 3% 1% -14% -20% 5.49 55%
SOR Source Capital 71.3 71% -1% -1% -1% -1% 0.97 88%
SOS SOS Ltd -291.5 0% -172% -88% 19% 3% 7.44 5%
SOTGY SUNNY OPTICAL TECH GRP CO LTD A -38.9 7% -113% -54% -22% -10% 3.36 0%
SOTK Sono-Tek Corp -456.2 -188% -98% -8% 8% -2% 2.92 53%
SOUHY South32 Ltd -212.8 -106% -52% 29% 47% 6% 2.64 92%
SOUN SoundHound AI Inc -747.5 -365% 88% -38% -30% -2% 7.73 7%
SOWG Sow Good Inc -34.7 8% -161% -99% -38% -30% 7.34 2%
SPB Spectrum Brands Holdings Inc 34.5 80% -42% -11% 33% 20% 2.13 90%
SPCB SuperCom Ltd -429.8 -145% -150% -20% -11% -10% 15.35 36%
SPCE Virgin Galactic Holdings Inc -197.0 0% -170% -42% -32% -1% 6.60 11%
SPE Special Opportunities 54.3 58% 2% -8% 2% 2% 0.86 93%
SPFI South Plains Financial Inc 9.6 12% -6% 5% 10% 0% 2.16 90%
SPG Simon Property Group 9.3 9% 22% -4% 10% 8% 1.65 99%
SPGI S&P Global Inc -126.6 -18% -39% -33% -11% -14% 1.48 33%
SPH Suburban Propane Partners 19.1 40% -6% -11% 7% 5% 1.80 100%
SPHR Sphere Entertainment Co 138.4 55% 266% 190% 39% 24% 3.82 97%
SPIR Spire Global Inc -184.7 -43% -58% -30% 16% -17% 6.25 31%
SPKKY Spark New Zealand Ltd -284.8 -106% -117% 2% 2% 1% 1.75 71%
SPNT SiriusPoint Ltd 88.4 76% 130% 23% 0% 5% 2.22 83%
SPOK Spok Holdings Inc 4.2 47% -9% -38% -7% -9% 2.24 5%
SPOT Spotify Technology 66.4 59% 285% -28% -9% 7% 2.77 33%
SPPP Sprott Physical Platinum & Palladiu 73.6 61% -23% 68% 18% 3% 2.31 62%
SPRB Spruce Biosciences Inc -416.3 -208% -137% 96% -32% -25% 8.56 30%
SPRC SciSparc Ltd -348.3 0% -172% -117% -98% -92% 9.67 0%
SPRO Spero Therapeutics -36.3 -18% -21% 180% 0% 4% 4.33 70%
SPRU Spruce Power Holding Corp 6.9 25% -125% 38% -31% -33% 5.08 49%
SPRY ARS Pharmaceuticals Inc -8.4 26% -66% -29% -5% -11% 4.85 20%
SPSC SPS Commerce Inc -370.0 -71% -130% -70% -24% -28% 2.48 8%
SPT Sprout Social Inc -1177.3 -442% -162% -92% -33% -21% 3.77 1%
SPWH Sportsman's Warehouse Holdings -972.2 -429% -157% -5% -41% 8% 5.49 15%
SPXC SPX 86.3 59% 142% 43% 6% 6% 2.45 83%
SQFT Presidio Property Trust Inc -1155.9 -463% -142% -68% -21% 19% 5.76 8%
SQM Sociedad Quimica y Minera de Chile 26.2 12% -85% 76% 12% -3% 3.50 76%
SQNS Sequans Communications SA -2005.8 -844% -167% -103% -44% -21% 5.88 1%
SR Spire Inc 34.9 46% -25% 5% 6% 9% 1.47 100%
SRAD Sportradar Group AG -80.4 -8% -15% -28% -13% 7% 2.73 19%
SRCE 1st Source 6.2 26% -24% -9% 8% 2% 1.99 87%
SRE Sempra Energy -87.8 -44% -37% 20% 4% 12% 1.53 97%
SRG Seritage Growth Properties -1143.0 -488% -148% -34% -22% -9% 2.83 23%
SRGHY Shoprite Holdings -110.6 -37% -32% -8% -2% -2% 2.06 68%
SRI Stoneridge -375.8 -166% -139% 24% 39% 4% 3.91 74%
SRL Scully Royalty Ltd -318.9 -139% -54% -3% 44% 0% 3.63 74%
SRPT Sarepta Therapeutics -378.4 -35% -159% -102% -19% -21% 4.16 4%
SRRK Scholar Rock Holding Corp -209.8 -105% 384% 13% 12% 3% 5.95 98%
SRTA Strata Critical Medical Inc -329.3 -165% -65% 35% 16% 5% 5.04 69%
SRTS Sensus Healthcare Inc -180.3 -35% -109% -19% 9% -12% 4.97 52%
SRUUF Sprott Physical Uranium 16.1 4% -9% 30% 13% -6% 2.76 66%
SRV NXG Cushing Midstream Energy Fund 41.5 44% 28% 0% 15% 10% 1.57 97%
SRZN Surrozen Inc 53.2 35% 22% 149% 76% 31% 6.18 100%
SSB SouthState Corp -129.9 -36% -41% -15% 10% -2% 2.26 70%
SSBI Summit State Bank 29.3 50% -88% 37% 17% -5% 2.95 82%
SSD Simpson Manufacturing 11.4 12% 8% 4% 12% 8% 2.21 75%
SSDOY Shiseido -484.5 -187% -130% -12% 34% 13% 2.65 68%
SSEZY SSE PLC 60.0 1% 15% 74% 22% 9% 1.68 95%
SSII SS Innovations International Inc -213.8 0% -111% -70% -26% 27% 9.92 17%
SSKN Strata Skin Sciences Inc -1322.1 -495% -171% -109% -85% -80% 6.55 2%
SSL Sasol LTD ADR 37.5 38% -108% 86% 32% 23% 3.70 95%
SSM Sono Group NV -128.6 0% -155% -13% 11% 7% 16.76 34%
SSMXY Sysmex Corporation -405.1 -93% -127% -67% -4% -2% 2.06 7%
SSNC SS&C Technologies Holdings -23.1 15% -40% -31% -13% -7% 1.52 29%
SSP E W Scripps-A -661.3 -331% -141% 164% -4% 19% 6.49 77%
SSREY Swiss Re Ltd 22.0 34% 16% -11% -6% 6% 1.56 44%
SSRM SSR Mining 128.5 46% 75% 230% 47% 48% 3.69 100%
SSSS SURO CAPITAL CORP 59.2 41% 96% 45% -1% 3% 2.98 91%
SST SYSTEM1 INC - A -439.4 -110% -165% -55% -19% -20% 7.10 2%
SSTI SoundThinking Inc -669.4 -207% -153% -77% 5% -8% 4.15 3%
SSTK Shutterstock Inc -702.2 -275% -146% -28% -12% -11% 3.51 30%
SSUMY Sumitomo 77.0 53% 43% 46% 18% -3% 1.97 72%
SSYS Stratasys -436.7 -163% -97% -23% 13% -10% 3.61 38%
ST Sensata Technologies Holding NV -107.4 -33% -100% 12% 7% 0% 2.44 84%
STAA Staar Surgical -898.2 -402% -138% -1% -27% 8% 4.00 31%
STAG Stag Industrial Inc -98.1 -30% -44% -5% 0% 7% 1.62 98%
STBA S&T Bancorp -56.8 -6% -45% -8% 7% 1% 2.19 84%
STBFY Suntory Beverage & Food -299.1 -97% -88% -23% -4% -4% 1.58 3%
STC Stewart Information Services 12.8 33% 7% -15% -9% 4% 2.12 68%
STE Steris -77.2 -18% -40% -7% -8% -6% 1.55 60%
STEL Stellar Bancorp Inc 14.1 21% -37% 14% 17% 2% 2.22 85%
STEM STEM INC -139.8 -23% -166% 8% -41% -34% 8.83 18%
STEP StepStone Group Inc -5.4 22% 9% -35% -24% -31% 2.80 16%
STEW SRH Total Return 27.1 39% -13% -8% -1% 0% 0.97 81%
STEX BioSig Technologies Inc -418.4 -209% -155% 99% -50% -35% 10.94 15%
STG Sunlands Technology Group -709.3 -268% -124% -46% -20% -7% 6.36 2%
STGW Stagwell Inc -438.0 -153% -97% -34% -3% -13% 3.75 36%
STI Solidion Technology Inc -1092.7 -399% -172% -90% -62% -45% 10.24 4%
STIM Neuronetics Inc -575.6 -152% -148% -86% -7% -32% 6.49 2%
STK Columbia Seligman Premium Tech Gro 58.4 40% 28% 25% 7% 0% 1.55 93%
STKE Sol Strategies Inc -553.2 -215% 140% -108% -43% -4% 14.19 1%
STKH Steakholder Foods Ltd -345.0 0% -172% -115% -55% -43% 6.40 0%
STKL SunOpta -10.9 12% -87% -8% 74% 40% 3.53 92%
STLA Stellantis NV -46.8 2% -119% -52% -31% -23% 2.82 4%
STLD Steel Dynamics -4.6 -2% -6% 33% 15% 5% 2.49 88%
STM STMicroelectronics NV ADR -165.1 -71% -101% 22% 44% 17% 2.99 91%
STMEF STMicroelectronics -159.9 -65% -104% 20% 40% 19% 3.25 90%
STN Stantec 25.2 43% -10% -6% -3% -7% 1.66 41%
STNE StoneCo Ltd -59.5 -30% -8% 39% -16% -14% 3.51 50%
STNG Scorpio Tankers Inc 67.8 44% -32% 94% 43% 27% 2.76 100%
STOHF Statoil 19.0 26% -55% 26% 41% 26% 2.62 91%
STOK Stoke Therapeutics Inc -71.5 -36% 224% 348% 14% 13% 5.45 93%
STRA Strategic Education -159.6 -42% -71% -14% 3% -4% 1.93 49%
STRL Sterling Construction 250.8 62% 924% 228% 30% 16% 3.77 89%
STRO Sutro Biopharma Inc -614.3 -293% -135% 31% 166% 43% 6.58 100%
STRS Stratus Properties -70.6 -35% -31% 54% 38% 1% 3.63 97%
STRT Strattec Security 91.4 59% 238% 62% 9% 4% 3.38 90%
STRW Strawberry Fields REIT Inc 34.0 61% 14% -1% 3% 0% 2.80 87%
STSS Sharps Technology Inc -345.6 0% -172% -115% -40% 13% 9.14 0%
STT State Street 19.3 16% -15% 17% 7% -3% 1.87 84%
STTK Shattuck Labs Inc -411.9 -206% -71% 270% 95% 24% 7.48 98%
STVN Stevanato Group SPA -11.4 24% -90% -21% -23% 13% 3.63 24%
STWD Starwood Property Trust Inc -14.7 17% -51% -19% 0% 3% 1.67 51%
STX Seagate Technology 236.2 50% 466% 264% 38% -12% 2.97 81%
STXS Stereotaxis Inc -232.6 -84% -86% -4% -7% 1% 4.44 30%
STZ Constellation Brands-A -229.4 -52% -101% -29% 10% -1% 1.68 38%
SU Suncor Energy 90.6 79% 21% 49% 29% 11% 1.97 100%
SUBCY Subsea 7 SA 86.3 58% 62% 69% 36% 4% 2.40 85%
SUHJY Sun Hung Kai Properties Ltd 60.9 14% -23% 77% 37% 17% 1.74 92%
SUI Sun Communities -372.1 -150% -70% -12% 6% 9% 1.76 95%
SUIG SUI Group Holdings Ltd -379.3 -113% -109% -41% -21% -1% 6.36 5%
SUN Sunoco LP 5.2 11% -4% -3% 14% 14% 1.76 94%
SUNE SUNation Energy Inc -344.0 0% -173% -114% 11% 56% 9.66 1%
SUOPY SUMCO CORP ADR 14.3 41% -99% 19% 25% 3% 2.78 77%
SUPN Supernus Pharmaceuticals Inc -70.6 -35% -26% 58% 24% 15% 2.42 95%
SUPV Grupo Supervielle SA ADR -9.1 -1% 144% -51% -22% -22% 5.40 35%
SUTNY Sumitomo Mitsui Trust 61.4 86% 2% 5% 8% 0% 2.00 65%
SUZ Suzano SA -73.5 -22% -42% 0% 23% 17% 1.95 78%
SVC Service Properties Trust -812.6 -321% -148% -36% 35% 19% 3.39 53%
SVM Silvercorp Metals Inc 147.8 37% 267% 245% 58% 28% 4.02 88%
SVNDY Seven and I Holdings Co -520.0 -202% -85% -29% -8% -8% 2.10 11%
SVNLY Svenska Handelsbanken 58.1 56% 26% 19% 10% -1% 1.89 88%
SVRA Savara 69.6 47% 55% 125% -5% 3% 4.45 74%
SVRN OceanPal Inc -691.0 -173% -172% -115% -61% -41% 6.53 0%
SWAG Stran & Co Inc -5.0 -3% -74% 50% -8% -8% 4.59 33%
SWBI Smith & Wesson Brands 84.5 157% -46% 1% 39% 10% 2.36 99%
SWDBY Swedbank AB 86.2 67% 46% 46% 14% -4% 1.98 85%
SWGAY Swatch Group AG 1.0 31% -100% 4% 10% 1% 2.21 73%
SWIM Latham Group Inc -90.2 -45% 53% 13% 0% 15% 5.16 70%
SWK Stanley Black & Decker -341.3 -130% -66% -18% 12% 2% 2.55 68%
SWKH SWK Holdings Corp 0.8 8% -57% 12% 0% -2% 1.62 85%
SWKS Skyworks Solutions -447.3 -157% -117% -28% -14% 2% 2.51 27%
SWRAY Swire Pacific Ltd -21.2 -11% -13% 10% 17% 8% 1.83 82%
SWVL Swvl Holdings Corp -441.2 -101% -97% -87% -43% -25% 7.52 2%
SWX Southwest Gas 41.0 56% -17% 5% 8% 11% 1.70 100%
SWZ Swiss Helvetia -88.9 -15% -40% -16% -1% 3% 0.93 37%
SXC SunCoke Energy Inc -350.2 -103% -93% -41% 0% -16% 2.58 21%
SXI Standex International 64.2 58% 62% 30% 9% 9% 2.38 100%
SXT Sensient Technologies 19.0 15% -37% 25% 0% 3% 1.91 54%
SY So Young International -126.0 -63% -59% 205% 2% 4% 5.67 42%
SYBT Stock Yards Bancorp Inc -12.0 22% -51% -26% -1% -2% 2.41 20%
SYF Synchrony Financial 11.8 4% 36% 4% -12% -4% 2.41 58%
SYIEY Symrise -396.9 -132% -90% -36% -1% 2% 1.69 11%
SYK Stryker -65.4 -5% -23% -20% 2% 5% 1.45 70%
SYM Symbotic Inc-A 52.0 7% 150% 139% -37% 1% 6.53 52%
SYNA Synaptics -350.3 -144% -108% 5% 14% -8% 3.38 69%
SYPR Sypris Solutions Inc -306.6 -153% 8% 111% 75% 7% 4.14 86%
SYRE Spyre Therapeutics Inc 65.4 39% 259% 111% 42% 27% 6.23 90%
SYY Sysco -92.6 -32% -47% 2% 15% 7% 1.43 86%
T AT&T 18.8 30% 7% -8% 13% 12% 1.61 100%
TAC TransAlta Corporation 25.4 30% -2% 16% -7% 6% 2.55 54%
TACK Fairlead Tactical Sector 25.0 36% -32% -3% 5% 5% 0.79 97%
TACT Transact Technologies -448.4 -158% -122% -25% -24% 1% 3.40 9%
TAIT Taitron Components Inc -371.6 -91% -123% -53% 26% -10% 2.40 22%
TAK Takeda Pharmaceutical Co Ltd 11.1 15% -38% 11% 25% 6% 1.33 90%
TALO Talos Energy Inc 3.4 2% -100% 39% 14% 14% 3.40 91%
TANH Tantech Holdings Ltd -288.1 0% -172% -87% -27% 3% 7.82 1%
TAOP Taoping Inc -317.1 0% -172% -101% -37% -18% 7.27 1%
TAOX TAO Synergies Inc -36.3 -18% -155% 60% -25% 14% 7.34 32%
TAP Molson Coors Brewing-B -46.2 1% -76% -38% 1% -1% 1.71 25%
TARA Protara Therapeutics Inc -212.0 -106% -1% 63% -9% -10% 5.76 72%
TARS Tarsus Pharmaceuticals Inc 75.3 14% 336% 61% -6% 17% 3.97 86%
TASK TaskUs Inc -427.2 -142% -118% -32% -3% 3% 3.28 18%
TATT TAT Technologies Ltd 208.4 86% 897% 105% 54% 21% 3.70 100%
TAYD Taylor Devices Inc 132.1 41% 356% 170% 86% 22% 3.99 99%
TBBK Bancorp -75.7 -17% -12% -17% -15% -10% 3.17 36%
TBCH Turtle Beach Corp -241.6 -82% -12% -35% -7% 5% 3.52 45%
TBHC The Brand House Collective Inc -1298.3 -563% -140% -39% -13% -13% 4.61 4%
TBI TrueBlue -1184.6 -501% -149% -42% -18% -21% 3.65 20%
TBLA Taboolacom Ltd -222.4 -84% -69% -4% -23% -20% 3.23 31%
TBLD Thornburg Income Builder Opportunit 93.3 70% 10% 16% 12% 6% 0.91 91%
TBLU Tortoise Global Water ESG Fund 64.1 58% -8% 12% 12% 2% 1.12 90%
TBPH Theravance Biopharma Inc 12.5 6% -43% 32% -31% -30% 2.76 43%
TBRG TruBridge Inc -33.9 18% -110% -52% -15% -4% 3.15 5%
TC TuanChe Ltd -220.3 0% -172% -53% -37% 0% 6.55 34%
TCBI Texas Capital Bancshares 4.9 12% -27% 6% 4% -5% 2.49 78%
TCBK TriCo Bancshares -60.7 -8% -65% -1% 2% -2% 2.40 82%
TCBP TC BioPharm Holdings PLC -344.8 0% -173% -115% -70% -36% 13.11 1%
TCBX Third Coast Bancshares Inc 37.2 55% 44% -5% 3% -3% 2.50 79%
TCEHY Tencent Holding Ltd 5.5 29% -24% -12% -19% -14% 2.18 29%
TCI Transcontinental Realty -6.1 5% -88% 13% -17% -31% 2.63 32%
TCMD Tactile Systems Technology Inc -88.0 -44% 32% 97% 20% 7% 3.34 88%
TCNNF Trulieve Cannabis Corp -229.3 -115% -68% 33% 4% -9% 6.01 40%
TCOM Trip com Group Ltd -1.2 36% -29% -29% -28% -16% 2.82 0%
TCPC BlackRock TCP Capital Corp -743.2 -273% -122% -58% -29% -17% 1.80 5%
TCRT Alaunos Therapeutics Inc -359.4 -180% -169% 97% 12% 24% 8.42 52%
TCRX TScan Therapeutics Inc -291.5 -42% -136% -59% 5% 7% 6.40 11%
TCTZF Tencent Holdings 11.2 31% -17% -3% -19% -11% 2.95 41%
TCX Tucows Inc -448.6 -165% -97% -27% -18% -20% 4.21 33%
TD Toronto-Dominion Bank -8.1 -4% -2% 55% 18% 6% 1.34 100%
TDAY USA TODAY Co Inc 23.6 3% 34% 50% 25% 7% 4.38 97%
TDC Teradata Corporation -350.5 -146% -103% 5% -3% 4% 2.46 51%
TDF Templeton Dragon -4.9 4% -60% 9% 0% -2% 1.71 80%
TDG Transdigm Group 22.8 35% 33% -15% -4% -7% 1.74 45%
TDOC Teladoc Health Inc -751.9 -262% -154% -63% -32% -3% 4.07 13%
TDS Telephone and Data Systems Com 66.4 55% 231% 11% 13% 1% 3.33 84%
TDUP ThredUp Inc -21.8 -11% 77% 62% -47% -18% 6.28 18%
TDW Tidewater 60.2 47% 13% 89% 52% 31% 3.66 93%
TDY Teledyne Technologies -34.2 -17% -14% 16% 38% 13% 1.53 98%
TE T1 Energy Inc 97.5 40% -97% 405% 58% -16% 7.47 72%
TEAD Teads Holding Co -404.2 -52% -152% -100% 35% 37% 4.53 7%
TEAM Atlassian Corporation -413.6 -75% -126% -89% -50% -31% 3.47 4%
TECH Bio-Techne Corp -489.6 -192% -92% -22% -10% -10% 2.69 46%
TECK Teck Resources -36.6 -18% -28% 24% 28% 3% 3.03 82%
TECS Direxion Daily Technology Bear 3X S -495.3 -109% -166% -83% 3% 11% 4.77 5%
TECX Tectonic Therapeutic Inc -62.7 -27% -12% 0% 33% 23% 5.50 100%
TEF Telefonica SA ADR -67.5 -4% -45% -15% 4% 4% 1.62 24%
TEI Templeton Emerging Markets Income 82.6 65% 4% 25% 9% 1% 1.21 88%
TEL TE Connectivity Ltd 43.7 37% 0% 23% -8% -6% 1.76 70%
TELA TELA Bio Inc -541.4 -134% -165% -82% -26% -9% 4.47 7%
TELNY Telenor ASA 72.5 58% 21% 28% 25% 9% 1.56 90%
TEN Tsakos Energy Navigation Ltd 91.3 51% 9% 126% 54% 37% 2.95 96%
TENB Tenable Holdings Inc -407.1 -98% -126% -63% -23% -6% 2.46 14%
TENX Tenax Therapeutics Inc 16.8 18% -151% 93% 31% -6% 6.16 52%
TEO Telecom Argentina SA -100.7 -50% 45% -10% -10% -11% 4.12 70%
TER Teradyne 143.4 86% 133% 172% 69% 24% 3.22 86%
TERN Terns Pharmaceuticals Inc 355.9 25% 232% 1137% 54% 17% 5.96 90%
TEVA Teva Pharmaceutical Industries ADR 112.5 60% 160% 88% 22% -6% 2.59 86%
TEX Terex 49.8 59% -51% 61% 47% 15% 3.10 94%
TEZNY Terna 31.8 13% -3% 26% 8% 8% 1.39 85%
TFC Truist Financial Corp -10.1 4% -50% -4% 6% -4% 2.24 72%
TFII TFI Intl 13.9 25% -72% 23% 33% 7% 2.35 86%
TFIN Triumph Financial Inc -216.8 -59% -72% -25% 10% -2% 2.91 62%
TFPM Triple Flag Precious Metals Corp 124.0 59% 131% 119% 16% 17% 2.56 92%
TFSL TFS Financial -120.3 -45% -45% 0% 0% 2% 1.79 75%
TFX Teleflex -835.8 -349% -121% -28% 3% 17% 2.17 47%
TG Tredegar -212.6 -90% -87% 13% 17% 7% 3.21 94%
TGB Taseko Mines Ltd 159.6 40% 329% 278% 56% 8% 4.36 90%
TGEN Tecogen Inc 24.4 21% 142% 28% -50% -11% 6.88 14%
TGL Treasure Global Inc -343.3 0% -172% -114% -57% -9% 10.66 1%
TGLS Tecnoglass -26.3 12% -42% -53% -10% -4% 3.14 2%
TGNA Tegna Inc 36.8 66% -44% 4% 8% 11% 1.99 98%
TGOPY 3i Group 13.0 32% 57% -32% 5% -5% 1.96 15%
TGS Transportadora de Gas del Sur SA 13.8 5% 92% -1% -8% -5% 4.02 67%
TGT Target -444.5 -178% -92% -13% 32% 12% 2.25 98%
TGTX TG Therapeutics Inc -102.9 -22% 11% -33% -9% 2% 4.42 15%
TH Target Hospitality Corp -134.4 -56% -118% 28% 1% 16% 3.32 71%
THAR Tharimmune Inc 0.0 0% -171% 205% 97% -13% 8.28 55%
THC Tenet Healthcare 106.4 35% 246% 79% 13% 32% 2.67 100%
THCH TH International LTD -35.1 6% -164% -50% -23% 10% 4.64 16%
THFF First Financial 42.7 59% -10% 11% 9% -1% 2.12 86%
THG Hanover Insurance Group 12.8 40% -35% -12% -4% 4% 1.64 82%
THM International Tower Hill Mines Ltd 225.0 32% 489% 572% 70% 36% 5.82 90%
THO Thor Industries -266.1 -86% -67% -24% -16% -18% 2.63 48%
THQ abrdn Healthcare Opportunities -92.6 -18% -38% -16% 3% 1% 1.26 85%
THR Thermon Group Holdings Inc 46.9 32% 9% 50% 35% 3% 2.61 81%
THRM Gentherm Inc -409.4 -143% -124% -20% -16% -2% 2.60 47%
THRY Thryv Holdings Inc -866.4 -282% -159% -98% -44% -31% 3.54 7%
THW Tekla World Healthcare -89.0 -28% -48% -1% 0% 1% 1.29 91%
TI Telecom Italia SpA 116.2 51% 47% 136% 27% 5% 2.49 88%
TIA Telecom Italia SpA ADR 189.7 76% 94% 142% 30% 4% 1.63 88%
TIGO Millicom International Cellular SA 223.8 94% 258% 193% 39% 21% 2.34 95%
TIGR Up Fintech Holding Ltd ADR -75.4 -38% 34% -7% -13% -8% 5.02 15%
TII Titan Mining Corp 434.5 62% 452% 1383% 48% 3% 6.35 78%
TIL Instil Bio Inc -417.1 -101% -115% -70% -24% 23% 6.75 7%
TILE Interface Inc Class A 79.0 58% 156% 35% 3% -8% 2.66 66%
TIMB TIM SA 100.2 21% 117% 97% 20% 15% 2.15 94%
TIPT Tiptree -152.6 -13% -62% -43% -10% -4% 2.39 3%
TIRX Tian Ruixiang Holdings Ltd -349.1 0% -172% -117% -98% -61% 8.69 0%
TITN Titan Machinery Inc -161.0 -46% -130% 9% 16% 19% 3.35 76%
TIVC Tivic Health Systems Inc -320.1 0% -172% -103% -55% -23% 8.93 1%
TJX TJX Companies 88.7 70% 46% 15% 6% 10% 1.26 100%
TK Teekay 97.6 41% 102% 105% 36% 24% 2.69 99%
TKAMY thyssenkrupp AG 57.7 44% 56% 66% 10% -11% 3.44 64%
TKC Turkcell Iletisim Hizmetleri AS AD -51.1 -2% -9% -20% 15% 1% 2.46 58%
TKLF Tokyo Lifestyle Co Ltd -605.2 -219% -147% -35% 12% -12% 5.65 27%
TKNO Alpha Teknova Inc -281.9 -20% -129% -78% -51% 0% 6.28 7%
TKO TKO Group Holdings Inc 80.8 65% 95% 31% 11% 9% 2.15 90%
TKOMY Tokio Marine Holdings Inc 18.9 41% 10% -13% 8% 5% 2.34 53%
TKR Timken 13.6 15% -43% 21% 32% 13% 2.21 92%
TLF Tandy Leather Factory Inc -370.8 -144% -73% -17% 15% 15% 2.18 62%
TLGY TLGY Acquisition Corp 10.6 34% -47% -8% 7% 8% 0.99 34%
TLK PT Telkom Indonesia Persero Tbk -134.3 -67% -80% 30% -9% -2% 1.91 71%
TLRY Tilray Inc -651.5 -267% -146% -10% -7% 0% 6.24 21%
TLS Telos Corp -140.5 -70% -55% 41% -20% -16% 5.81 45%
TLSA Tiziana Life Sciences PLC -90.1 -45% 83% 9% -21% 1% 6.71 38%
TLSI TriSalus Life Sciences Inc -1133.1 -497% -123% -29% -29% -1% 4.28 36%
TLSNY Telia Company AB 119.7 99% 61% 42% 25% 11% 1.70 93%
TLYS Tilly's Inc -737.0 -237% -155% -79% 0% 4% 4.60 23%
TM Toyota Motor ADR 34.1 32% 14% 14% 16% 2% 1.95 83%
TMC TMC The Metals Co Inc -32.6 -16% 493% 241% -4% -7% 7.23 49%
TMCI Treace Medical Concepts Inc -1123.8 -406% -166% -101% -49% -33% 4.64 0%
TMDX TransMedics Group Inc -44.1 -22% 17% 96% -3% 12% 4.23 97%
TME Tencent Music Entertainment Group A 21.8 43% 16% -1% -24% -13% 3.33 15%
TMHC Taylor Morrison Home Corp 14.3 34% 6% -12% 0% 5% 2.35 53%
TMICY Trend Micro Inc -407.5 -98% -100% -73% -34% -13% 2.25 4%
TMO Thermo Fisher Scientific -153.2 -32% -77% -19% -13% -10% 1.77 49%
TMP Tompkins Financial 1.8 19% -54% 3% 13% 0% 2.58 81%
TMQ Trilogy Metals 184.0 249% 566% 186% -10% -16% 5.77 31%
TMSNY Temenos -43.4 -9% -40% 1% 1% 7% 2.34 65%
TMUS T-MOBILE US INC 5.8 47% -14% -36% 6% 15% 1.50 43%
TNC Tennant -148.5 -7% -82% -40% -14% -18% 1.97 8%
TNDM Tandem Diabetes Care -91.8 -5% -107% -5% 13% 18% 4.78 73%
TNET Trinet Group Inc -217.3 0% -128% -66% -37% -39% 2.39 6%
TNGX Tango Therapeutics Inc -99.3 -50% 78% 533% 18% 5% 6.48 94%
TNK Teekay Tankers Ltd 78.3 47% 29% 97% 39% 20% 2.92 98%
TNL TravelLeisure Co 29.4 16% 31% 23% 10% 7% 2.33 94%
TNMG TNL Mediagene -709.7 -188% -171% -110% -51% -11% 5.27 3%
TNON Tenon Medical Inc -2063.8 -918% -172% -56% -31% -7% 8.10 3%
TOELY Tokyo Electron Ltd 45.3 20% 53% 56% 26% 3% 3.14 80%
TOI THE ONCOLOGY INSTITUTE INC -54.7 -27% 33% 278% -4% 8% 8.04 54%
TOL Toll Brothers 57.4 41% 94% 25% 9% 7% 2.42 84%
TOLWF Trican Well Service 96.1 111% 50% 44% 10% -4% 2.57 82%
TOMZ TOMI Environmental Solutions Inc -1142.9 -503% -77% -43% -18% -12% 5.39 7%
TONX TON Strategy Co -1402.7 -572% -172% -72% -19% 16% 9.24 3%
TOON Kartoon Studios Inc -450.5 -165% -156% -8% -21% -17% 4.63 14%
TOPS TOP Ships Inc -539.9 -184% -126% -44% -29% -13% 3.79 0%
TORXF Torex Gold Resources 114.9 24% 313% 144% 23% 24% 3.74 91%
TOST Toast Inc -87.8 -1% -18% -37% -15% -5% 3.56 18%
TOTLQ NASDAQ Total Issues Traded Ix 28.8 60% -68% -8% 0% 1% 1.04 89%
TOUR Tuniu Corp ADR -854.6 -335% -133% -49% -8% 5% 4.26 20%
TOWN Towne Bank Inc -4.0 32% -48% -22% 1% -3% 2.02 55%
TOYO Toyo Co Ltd 72.6 64% -94% 163% 25% -8% 4.40 73%
TOYOF Toyota Motor 1445.4 82% 6063% 1326% 9% -4% 3.74 88%
TPB Turning Point Brands Inc 109.5 83% 247% 22% -2% -20% 2.42 49%
TPC Tutor Perini 178.1 46% 714% 146% 10% -6% 3.84 78%
TPG TPG Inc -15.5 4% -14% -28% -21% -19% 2.59 24%
TPH TRI Pointe Inc 43.8 34% 25% 32% 36% 40% 2.42 99%
TPL Texas Pacific Land Trust 33.5 29% 108% 2% 88% 61% 3.00 100%
TPR Tapestry 110.4 51% 222% 72% 40% 23% 2.57 96%
TPST Tempest Therapeutics Inc -1218.7 -461% -162% -94% -24% -4% 15.37 1%
TPZ Tortoise Power And Energy Infrastru 71.3 65% 36% -3% 7% 11% 1.09 95%
TR Tootsie Roll Industries 9.4 10% -62% 24% 14% 13% 1.79 97%
TRAK ReposiTrak -18.6 45% -25% -72% -33% -18% 2.83 2%
TRAW Traws Pharma Inc -398.4 -100% -165% -44% -33% -16% 6.64 29%
TRC Tejon Ranch -350.7 -151% -79% 2% 12% 13% 1.88 72%
TRDA Entrada Therapeutics Inc -169.0 -57% -62% -7% 25% 7% 5.12 96%
TREE LendingTree Inc -76.1 -36% -25% 7% -17% -10% 5.12 33%
TREX Trex -222.9 -30% -94% -50% 13% -2% 2.90 26%
TRGP Targa Resources Corp 88.8 71% 173% 10% 37% 24% 2.11 99%
TRI Thomson Reuters Com -216.9 -22% -85% -58% -22% -2% 1.57 18%
TRIB Trinity Biotech -188.0 -24% -159% -17% -32% -13% 6.87 13%
TRIN Trinity Capital Inc 47.9 72% 1% -10% 9% -5% 1.62 64%
TRIP TripAdvisor Inc -250.3 -37% -125% -46% -34% -21% 3.20 7%
TRMB Trimble -17.3 3% -37% -17% -15% 5% 2.09 49%
TRMD TORM 57.1 42% -26% 78% 46% 27% 2.92 99%
TRMK Trustmark 36.7 59% -12% 3% 11% 3% 2.14 91%
TRMLF Tourmaline Oil -8.1 4% -41% -3% 5% 9% 2.12 100%
TRN Trinity Industries -96.8 -40% -31% 2% 30% 19% 2.37 93%
TRNO Terreno Realty Corporation -323.6 -124% -60% -18% 3% 7% 1.73 91%
TRNS Transcat -5.5 28% -81% -12% 44% 28% 2.89 65%
TROO TROOPS Inc -158.3 -79% -83% 137% 117% -24% 6.94 52%
TROW T Rowe Price Group -315.8 -108% -78% -24% -9% -12% 1.89 46%
TRP TC Energy Corp 86.1 69% 17% 33% 19% 12% 1.49 96%
TRS Trimas -8.4 -4% -37% 72% 16% 15% 2.00 98%
TRSSF TerrAscend -1031.3 -507% -129% 35% 20% 11% 7.55 43%
TRST TrustCo Bank Corporation of NY 17.9 15% -35% 24% 4% 1% 2.08 92%
TRT Trio-Tech International 49.2 63% 43% 39% 14% -13% 3.74 48%
TRTX TPG RE Finance Trust 12.9 34% -27% -4% -4% -4% 2.32 77%
TRU TransUnion -119.5 -11% -53% -31% -8% 2% 2.63 32%
TRUG NA -1197.5 -428% -172% -113% -41% 22% 7.04 1%
TRUP Trupanion Inc -285.0 -70% -123% -31% -19% -10% 4.54 7%
TRV Travelers Companies 40.8 45% 6% 4% 7% 11% 1.48 100%
TRVG Trivago NV ADS -516.5 -171% -109% -51% -7% 5% 3.78 7%
TRVI Trevi Therapeutics Inc 114.6 43% 370% 186% -4% 19% 5.14 87%
TRX TRX Gold Corp 252.1 69% 247% 489% 134% 9% 4.08 78%
TRYIY Toray Industries Inc 45.5 85% -41% -4% 17% 6% 1.95 64%
TS Tenaris SA ADR 24.5 1% 6% 34% 31% 22% 2.06 96%
TSAT Telesat Corp 65.3 38% 207% 96% 34% 23% 5.21 99%
TSBK Timberland Bancorp -81.5 -39% -45% 14% 12% 2% 2.11 98%
TSCDF Tesco 51.3 63% 46% 22% 3% 14% 2.89 86%
TSCO Tractor Supply -142.2 -28% -59% -24% -6% -3% 1.88 23%
TSE Trinseo SA -602.2 -129% -172% -115% -88% -74% 7.09 0%
TSEM Tower Semiconductor 150.4 70% 133% 180% 10% -8% 2.91 80%
TSHA Taysha Gene Therapies Inc 93.2 100% 311% 169% 4% 1% 7.00 73%
TSI TCW Strategic Income 7.3 40% -56% -16% -4% -3% 0.63 36%
TSLA Tesla Inc -71.3 -36% 23% 25% -6% -2% 4.14 69%
TSLL Direxion Daily TSLA Bull 15X Share -309.4 -147% -42% 7% -17% -8% 7.63 51%
TSLS Direxion Daily TSLA Bear 1X Shares -457.1 -114% -149% -65% 4% 5% 4.16 11%
TSLX Sixth Street Specialty Lending Inc -3.4 41% -42% -31% -14% -12% 1.29 17%
TSM Taiwan Semiconductor Manufacturing 141.2 83% 256% 92% 24% 6% 2.68 88%
TSN Tyson Foods-A -5.2 24% -56% -12% 8% -2% 1.66 85%
TSQ Townsquare Media -67.4 -5% -38% -17% 53% 12% 3.01 79%
TSRYY Treasury Wine Estates -550.1 -158% -137% -71% -22% -17% 2.08 0%
TSSI TSS Inc 115.6 13% 1545% -9% 8% 0% 7.97 15%
TT Trane Technologies PLC 54.7 39% 78% 12% 8% 6% 1.81 83%
TTC Toro -89.1 -34% -77% 15% 43% 10% 1.99 97%
TTD Trade Desk Inc A -353.4 -54% -127% -80% -37% -14% 3.33 2%
TTEC TTEC Holdings -658.5 -226% -167% -47% -31% -25% 4.78 9%
TTEK Tetra Tech -85.6 -42% -37% 11% 4% -2% 1.96 57%
TTFNF TotalEnergies SE 22.5 33% -41% 16% 17% 9% 2.16 86%
TTI Tetra Technologies 63.0 27% 46% 119% 11% -26% 4.13 63%
TTMI TTM Technologies 280.1 48% 611% 341% 54% 4% 3.23 92%
TTNDF Techtronic Industries 71.6 75% 60% 46% 33% 20% 2.94 84%
TTNDY Techtronic Industries Co -47.4 -16% -7% -6% 33% 17% 2.57 90%
TTRAF Telstra -49.5 -25% -26% 28% 13% 24% 1.84 98%
TTSH Tile Shop Holdings Inc -518.2 -151% -111% -71% -48% 2% 2.87 3%
TTWO Take-Two Interactive Software 10.7 21% 24% -14% -14% -1% 1.87 35%
TU TELUS -491.4 -196% -87% -20% 9% 2% 1.32 38%
TUSK Mammoth Energy Services Inc -372.0 -147% -126% 3% 46% 10% 4.07 70%
TUWOY Tullow Oil PLC -664.1 -250% -134% -37% 99% 62% 5.29 56%
TUYA Tuya Inc -233.9 -63% -47% -39% 8% 19% 4.63 29%
TV Grupo Televisa SAB -61.2 -31% -103% 40% 6% -10% 3.56 71%
TVGN Tevogen Bio Holdings Inc -1020.7 -352% -171% -101% -53% -35% 6.65 0%
TVRD TVARDI THERAPEUTICS INC -1069.7 -389% -171% -88% 2% 2% 6.70 1%
TVTX Travere Therapeutics Inc 8.6 14% -43% 25% -21% -13% 4.65 55%
TW Tradeweb Mkts-A 8.8 37% 5% -26% 16% 23% 1.78 51%
TWAV TaoWeave Inc -294.1 0% -171% -90% -51% -32% 8.64 7%
TWI Titan International -350.3 -142% -110% 3% 19% -1% 3.60 62%
TWIN Twin Disc -44.7 -22% 6% 111% 20% 7% 3.43 97%
TWLO Twilio Inc A -14.3 -2% 20% -12% -4% 4% 3.24 66%
TWN Taiwan 146.2 68% 146% 79% 26% 10% 1.68 94%
TWO Two Harbors Investment -391.6 -133% -81% -36% 0% -15% 2.12 19%
TWST Twist Bioscience Corp 21.8 29% 75% 12% 60% 4% 5.11 78%
TX Ternium SA ADR 19.6 6% -45% 40% 11% -1% 2.15 85%
TXG 10X Genomics - A -88.3 -44% -126% 110% 23% 14% 4.49 95%
TXMD TherapeuticsMD Inc 99.3 188% -129% 134% 41% -3% 4.62 70%
TXN Texas Instruments -271.9 -112% -43% -10% 20% -9% 2.13 72%
TXNM TXNM Energy Inc 33.6 48% -40% -1% 1% 2% 1.02 97%
TXO TXO Energy Partners LP -479.5 -166% -100% -41% 0% 9% 2.06 30%
TXRH Texas Roadhouse -0.7 13% 11% -17% 4% -1% 1.83 59%
TXT Textron 7.5 5% -36% 17% 20% 15% 1.69 96%
TY Tri-Continental Corporation 50.0 50% -11% 0% 2% 1% 0.87 97%
TYG Tortoise Energy Infrastructure 64.0 53% 43% 12% 16% 16% 1.47 96%
TYGO Tigo Energy Inc -61.8 -31% -137% 314% 111% 20% 6.75 84%
TYL Tyler Technologies -32.5 30% -59% -57% -22% 3% 1.85 24%
TYRA Tyra Biosciences Inc 100.8 62% 123% 197% 69% 15% 4.96 100%
TZOO Travelzoo -239.7 -29% -45% -76% -11% 7% 4.26 11%
U Unity Software Inc -397.2 -133% -104% -31% -54% -28% 4.76 11%
UA Under Armour Inc-C -490.8 -204% -94% -10% 52% 12% 3.16 70%
UAA Under Armour Inc - A -472.9 -187% -102% -16% 48% 12% 3.31 67%
UAL United Continental Holdings Inc -11.5 -6% 26% -8% -1% -5% 3.21 72%
UAMY UNITED STATES ANTIMONY CORPORA 355.0 26% 2310% 633% 76% 25% 7.05 52%
UAN CVR Partners LP -1.7 -1% -3% 51% 17% 12% 2.14 90%
UAVS AgEagle Aerial Systems Inc -190.0 0% -172% -38% -10% 3% 8.99 14%
UBCP United Bancorp Inc 13.4 39% -48% 2% 14% 10% 2.65 100%
UBER Uber Technologies 24.2 40% 56% -14% -12% -4% 2.64 34%
UBFO United Security -0.7 3% -9% -1% 8% -3% 1.94 81%
UBS UBS Group AG 38.6 48% 26% 2% 2% -15% 2.04 60%
UBSFY Ubisoft -354.9 -46% -151% -82% -40% -5% 3.62 1%
UBSI United Bankshares -111.0 -38% -58% 2% 10% -2% 2.12 72%
UCB United Community Banks Inc -167.4 -50% -64% -12% 5% -5% 2.34 71%
UCL Ucloudlink Group Inc -296.4 -104% -139% 2% -20% 1% 6.28 25%
UCTT Ultra Clean Hldgs -11.6 -6% 17% 135% 132% 30% 3.96 76%
UDMY Udemy Inc -964.2 -380% -119% -63% 1% 6% 3.28 12%
UDN Invesco DB US Dollar Index Bearish -59.7 -2% -59% -8% 0% 0% 0.52 74%
UDR UDR -251.9 -69% -74% -32% 5% 4% 1.61 41%
UE Urban Edge Properties -70.8 -16% -22% -12% 9% 8% 1.78 93%
UEC Uranium Energy -23.0 -12% 238% 188% 27% -6% 4.74 68%
UEIC Universal Electronics -273.3 -24% -143% -65% 21% 1% 3.93 24%
UFCS United Fire Group Inc 21.5 16% -23% 26% 7% 9% 2.24 98%
UFI Unifi -505.4 -164% -134% -44% 14% 3% 3.27 39%
UFPI UFP Industries Inc -13.9 18% -53% -22% 6% -4% 2.26 40%
UFPT UFP Technologies 15.7 57% 1% -23% -9% -19% 3.37 23%
UG United-Guardian Inc -224.1 -28% -105% -49% 14% -11% 3.00 26%
UGI UGI 15.6 47% -59% -5% -7% -7% 1.91 65%
UGP Ultrapar Participacoes SA Inc ADR 68.2 40% 44% 73% 28% 3% 2.74 85%
UHAL U-Haul Holding Co -194.2 -22% -94% -44% -5% -9% 2.04 11%
UHG United Homes Group Inc Ordinary Sha -2673.7 -1201% -161% -83% 12% -40% 6.32 4%
UHS Universal Health Services-B -69.7 -22% -32% -2% -16% 2% 2.05 54%
UHT Universal Health Realty Income -426.0 -188% -71% -1% 8% 11% 1.79 95%
UI Ubiquiti Inc 111.6 73% 134% 127% 41% 48% 3.38 100%
UIS Unisys -485.4 -142% -122% -60% -10% -9% 4.62 8%
UK Ucommune International Ltd -252.4 0% -168% -70% -49% -16% 5.89 6%
UL Unilever PLC ADR -13.8 5% -38% -7% 2% 3% 1.20 60%
ULBI Ultralife -158.8 -44% -35% -23% -1% -13% 4.06 28%
ULCC Frontier Group Holdings Inc -536.9 -161% -138% -61% -16% -22% 5.27 23%
ULH Universal Logistics Holdings Inc -267.3 -49% -112% -48% 21% 5% 3.61 30%
ULTA Ulta Beauty Inc -11.9 -6% -46% 72% 20% 1% 2.15 88%
UMBF UMB Financial -7.1 5% -34% -6% 6% -5% 2.46 69%
UMC United Microelectronics 43.0 35% -25% 46% 30% 0% 2.35 61%
UMH UMH Properties -141.5 -14% -70% -34% 0% -1% 1.68 29%
UMICY Umicore 51.3 18% -103% 116% 18% -8% 2.88 73%
UNB Union Bankshares -242.2 -73% -59% -29% 8% -1% 2.65 23%
UNCFF UniCredit 114.6 72% 261% 41% 7% -6% 2.48 74%
UNCHQ NASDAQ Unchanged Index 0.0 0% -91% 68% 19% -7% 20.72 67%
UNCRY UniCredit 126.0 75% 300% 37% 5% -8% 2.36 72%
UNCY UNICYCIVE THERAPEUTICS INC -619.8 -310% -22% 19% 17% 11% 7.09 63%
UNF UniFirst -336.3 -143% -52% -8% 30% 13% 1.99 89%
UNFI United Natural Foods 7.8 29% -78% 14% 11% 2% 3.55 78%
UNH UnitedHealth Group -346.1 -83% -109% -53% -10% 4% 2.08 16%
UNICY Unicharm -429.3 -138% -122% -36% 4% 1% 1.87 13%
UNM Unum Group 48.5 89% 7% -25% -3% -2% 1.71 41%
UNP Union Pacific -170.0 -66% -38% -6% 16% 16% 1.48 100%
UNTC Unit Corp Ordinary Shares New 40.5 32% -11% 30% 4% 7% 1.83 100%
UNTY Unity Bancorp 41.7 58% 38% -1% 4% -3% 2.35 81%
UONE Urban One -317.2 -73% -155% -34% -7% -5% 4.77 27%
UOVEF United Overseas Bank 41.5 91% -36% -19% 6% -10% 1.88 49%
UOVEY United Overseas Bank Ltd 24.0 45% -22% -12% 6% -5% 1.09 67%
UPBD Upbound Group Inc -185.2 -37% -81% -29% 16% 6% 2.82 46%
UPC Universe Pharmaceuticals Inc -1550.7 -655% -172% -62% -31% -39% 10.43 0%
UPLD Upland Software Inc -906.4 -308% -159% -92% -58% -40% 5.70 0%
UPS United Parcel Service-B -389.0 -142% -102% -18% 17% 3% 1.79 80%
UPST Upstart Holdings Inc -509.9 -178% -17% -71% -37% -27% 6.42 2%
UPWK Upwork Inc -439.4 -177% -50% -26% -33% -31% 3.72 16%
UPXI Upexi Inc -762.2 -246% -171% -78% -60% -32% 9.66 3%
URBN Urban Outfitters 24.2 28% 77% -4% -15% -6% 3.08 60%
URG Ur-Energy Inc -82.2 -41% -26% 74% 20% -7% 4.41 66%
URGN UroGen Pharma -147.8 -74% 27% 100% -30% 4% 5.35 64%
URI United Rentals 22.4 14% 17% 22% 5% 11% 2.67 65%
UROY Uranium Royalty Corp -20.1 -10% -2% 113% 10% -8% 4.42 66%
USAC USA Compression Partners LP 35.5 55% 0% -3% 11% 11% 1.94 99%
USAS Americas Gold And Silver 266.1 38% 557% 690% 100% 37% 5.87 94%
USAU US Gold Corp 86.5 34% 300% 119% 10% 12% 4.84 74%
USB US Bancorp -52.7 -18% -41% 5% 10% -4% 2.16 75%
USBC USBC Inc -465.5 -69% -172% -107% -50% -22% 9.86 0%
USCB USCB Financial Holdings Inc 29.7 69% -11% -13% 7% 2% 2.55 75%
USEA United Maritime Corp -174.5 -74% -84% 15% 36% 21% 2.88 97%
USEG US Energy Corp -270.4 -51% -121% -44% 8% 13% 4.73 15%
USFD US Foods Holding Corp 65.5 49% 73% 15% 19% 12% 1.72 79%
USIO USIO INC -1236.2 -567% -98% -19% -4% 2% 3.79 19%
USLM United States Lime & Minerals Inc 86.7 58% 229% 24% 8% 5% 2.67 85%
USNA USANA Health Sciences -491.8 -146% -141% -53% -2% -9% 2.53 4%
USNZY Usinas Siderurgicas de Minas Gerais -80.9 -38% -64% 19% 30% 9% 2.96 92%
USPH US Physical Therapy -136.6 -31% -83% -9% 14% 2% 2.17 70%
UTF Cohen & Steers Infrastructure 7.5 19% -34% 0% 13% 7% 1.19 94%
UTG Reaves Utility Income 55.5 41% 9% 17% 10% 12% 1.19 94%
UTHR United Therapeutics 46.2 23% 26% 41% 1% 5% 2.11 83%
UTI Universal Technical Institute Inc 66.0 17% 317% 15% 49% 25% 3.17 89%
UTL Unitil -12.5 26% -65% -21% 7% 8% 1.69 67%
UTMD Utah Medical Products -245.9 -88% -96% -3% 20% 9% 1.68 90%
UTSI UTStarcom Holdings -306.5 -95% -117% -19% -5% -1% 4.77 65%
UTZ Utz Brands Inc -444.4 -129% -118% -54% -12% -17% 2.52 0%
UUGRY United Utilities Group PLC 29.3 3% -5% 38% 12% 9% 1.72 92%
UUP Invesco DB US Dollar Index Bullish 39.0 70% -61% -20% 0% 3% 0.51 66%
UUU Universal Security Instruments Inc 70.4 20% 60% 191% 17% 2% 5.58 69%
UUUU Energy Fuels -11.2 -6% 150% 457% 54% 5% 4.97 76%
UVE Universal Insurance Holdings Inc 55.1 32% 51% 51% 11% 18% 2.62 100%
UVSP Univest Financial Corp 13.7 37% -37% -1% 5% 2% 2.31 88%
UVV Universal -136.1 -41% -45% -12% 3% -6% 1.63 37%
UWMC UWM Holdings Corp -25.9 8% -53% -49% -28% -17% 3.47 16%
UXIN Uxin Ltd -173.3 0% -160% -33% 21% 5% 7.08 29%
V Visa Inc -24.3 8% -24% -28% -4% -2% 1.32 22%
VABK Virginia National Bankshares Corp -176.8 -66% -59% -3% 1% -3% 2.44 61%
VAC Marriott Vacations Worldwide Corp -838.6 -360% -122% -18% 27% 29% 2.95 65%
VAL Valaris Limited -A -12.3 -6% -31% 170% 63% 65% 3.32 98%
VALE Vale S A ADR -14.5 -7% -40% 76% 32% 1% 2.22 85%
VALN Valneva SE -206.3 -103% -79% 43% 22% 21% 4.38 82%
VALU Value Line -287.4 -93% -98% -18% 2% 0% 3.20 27%
VANI Vivani Medical Inc 40.1 144% -58% -8% -12% -18% 4.79 24%
VATE Innovate Corp -499.7 -140% -156% -58% -3% -13% 6.36 17%
VB Vanguard SmallCap ETF -40.4 -14% -27% 3% 7% 3% 1.37 95%
VBF Invesco Bond -36.1 4% -62% -14% -1% 2% 0.73 88%
VBIX ViewBix Inc -258.5 0% -133% -85% 13% -8% 9.52 8%
VBNK VersaBank 32.2 28% 41% 13% 29% 1% 2.38 84%
VC Visteon Corp -150.8 -30% -117% -7% -10% -2% 2.47 42%
VCEL Vericel -192.8 -30% -59% -47% -11% -4% 3.36 24%
VCISY Vinci SA -16.9 -8% -19% 21% 9% 10% 1.59 79%
VCTR Victory Capital Holdings 51.7 71% 56% -5% 11% -2% 2.29 68%
VCV Invesco CA Value Municipal Income 32.7 51% -32% -10% 7% 2% 0.84 94%
VCYT Veracyte Inc -267.1 -117% -23% -9% -23% -3% 3.68 50%
VDMCY Vodacom Group 60.4 52% -5% 46% 24% 4% 2.20 89%
VECO Veeco Instruments 32.2 36% -18% 35% 11% 4% 3.04 88%
VEEE Twin Vee PowerCats Co -1288.5 -480% -170% -108% -86% -71% 7.41 1%
VEEV Veeva Systems Inc Class A -15.1 27% -59% -31% -22% -6% 2.19 12%
VEL Velocity Financial Inc 16.0 41% 16% -21% -7% -9% 2.27 46%
VEOEY Veolia Environnement SA 8.4 5% -28% 15% 13% 6% 1.66 73%
VEON VEON Ltd 53.5 54% 140% 4% 4% 4% 2.94 68%
VERA Vera Therapeutics Inc -82.3 -41% 360% 22% 19% -11% 4.98 56%
VERI Veritone -1286.8 -601% -130% 1% -33% -19% 8.15 24%
VERO VENUS CONCEPT INC -323.2 0% -171% -104% -79% -70% 9.67 1%
VERU Veru -513.1 -134% -166% -67% 2% -1% 6.54 8%
VERX Vertex Inc -35.7 21% -75% -70% -22% -17% 3.14 10%
VET Vermilion Energy Inc 23.7 36% -79% 39% 29% 24% 3.15 100%
VFC V F -20.9 16% -88% -39% 3% -7% 3.94 64%
VFF Village Farms International Inc -23.7 -12% 192% 380% -15% 6% 5.71 80%
VFL abrdn National Municipal Income -12.8 24% -57% -16% 4% 2% 0.79 93%
VFS VinFast Auto Ltd 45.8 222% -141% -28% -5% -2% 5.46 48%
VGAS Verde Clean Fuels Inc Ordinary Shar -1453.5 -589% -162% -84% -53% -27% 6.10 13%
VGI Virtus Global Multi-Sector Income 41.0 50% -30% -6% 2% 2% 0.65 91%
VGM Invesco Trust for Investment Grade 25.7 43% -42% -7% 4% 4% 0.73 93%
VGZ Vista Gold Corp 131.5 14% 326% 258% 31% 19% 4.79 81%
VHC VirnetX Holding Corp -17.1 -9% -65% 42% -33% -27% 5.84 41%
VHI Valhi -20.0 14% -110% -27% 12% 1% 3.94 36%
VIAV Viavi Solutions Inc 163.0 67% 130% 180% 84% 29% 2.57 90%
VICI VICI Properties -236.9 -75% -68% -21% 5% 8% 1.37 46%
VICR Vicor 141.5 54% 282% 218% 126% 24% 4.17 96%
VINP Vinci Partners Investments Ltd 9.4 13% -27% 11% -3% -6% 2.22 69%
VIOT Viomi Technology Co Ltd -96.3 -5% -39% -30% -46% 6% 5.40 5%
VIPS Vipshop Holdings Ltd ADR -72.0 -7% -57% -10% -23% -7% 2.96 42%
VIR Vir Biotechnology Inc -788.3 -354% -131% 3% 57% 26% 4.41 92%
VIRC Virco Manufacturing Corp -23.9 8% -34% -55% -13% -8% 3.83 5%
VIRT Virtu Financial Inc A 15.9 3% 73% -2% 17% 6% 2.20 74%
VISL VISLINK TECHNOLOGIES INC -635.7 -220% -157% -46% -20% -22% 5.65 5%
VISN Vistance Networks Inc 58.2 17% 61% 167% -12% -5% 5.99 83%
VIST Vista Oil & Gas SAB de CV 42.8 41% 153% 4% 21% 1% 3.44 97%
VITL Vital Farms Inc -29.0 5% -50% -54% -40% -26% 3.53 0%
VIV Telefonica Brasil SA -9.7 -5% 78% 86% 27% 17% 2.01 94%
VIVHY Vivendi SA -228.4 -28% -147% -37% -15% -10% 1.99 3%
VIVS VivoSim Labs Inc -731.3 -215% -166% -95% -15% -22% 6.90 7%
VKI Invesco Advantage Municipal Income 24.6 40% -39% -5% 9% 7% 0.78 97%
VKQ Invesco Municipal -14.2 14% -45% -11% 5% 3% 0.77 93%
VKTX Viking Therapeutics -11.4 -6% 120% 8% -8% 9% 5.83 55%
VLDXD VELO3D -652.1 -326% -172% 254% 148% -1% 11.02 51%
VLEEY Valeo SA -6.8 7% -103% 13% 1% -7% 3.18 68%
VLGEA Village Super Market-A 51.6 48% 29% 18% 18% 12% 1.94 100%
VLN Valens Semiconductor Ltd -831.1 -322% -140% -46% -9% -12% 4.39 3%
VLO Valero Energy 70.8 53% 11% 64% 25% 27% 2.39 100%
VLRS Controladora Vuela Compania de Avia -120.5 -26% -108% 2% 3% -25% 3.60 57%
VLT Invesco High Income II 19.4 36% -34% -8% -2% 0% 0.65 88%
VLVLY Volvo Ab 63.7 73% 53% 7% 23% 2% 2.07 87%
VLY Valley National Bancorp -18.8 -9% -48% 20% 10% 1% 2.91 81%
VMC Vulcan Materials 55.8 71% -6% 7% 1% -2% 1.73 69%
VMD Viemed Healthcare Inc -64.8 -11% -74% 3% 31% 15% 2.85 100%
VMI Valmont Industries 32.4 40% -23% 18% 11% 1% 2.13 88%
VMO Invesco Municipal Opportunities -0.7 23% -44% -9% 5% 4% 0.75 94%
VNCE Vince Holding -840.9 -368% -132% -8% 5% 5% 6.49 51%
VNDA Vanda Pharmaceuticals 98.3 196% -47% 56% 63% 7% 3.81 86%
VNET VNET Group Inc 13.1 36% 78% -14% 14% -5% 6.27 59%
VNNHF Belo Sun Mining Corp -67.6 -34% 1587% 511% 125% 97% 6.50 97%
VNO Vornado Realty Trust -133.8 -13% -24% -45% -22% -6% 3.20 8%
VNOM Viper Energy Partners LP 17.7 39% 10% -13% 17% 10% 2.27 77%
VNT Vontier Corp -36.3 -8% -15% -5% 12% 9% 1.90 80%
VO Vanguard MidCap IxFd ETF -7.3 3% -24% -2% 4% 3% 1.06 95%
VOC VOC Energy Trust 1.8 30% -112% 10% 20% 19% 2.82 88%
VOD Vodafone Group PLC ADR 94.2 79% -15% 60% 23% 2% 1.84 90%
VOLVF Volvo 106.6 78% 151% 80% 22% 1% 2.91 88%
VOR Vor Biopharma Inc -182.2 0% -159% -38% 95% 19% 7.63 24%
VOXR Vox Royalty Corp 114.9 65% 112% 144% 30% 20% 3.30 95%
VOYA Voya Financial Inc -135.0 -27% -70% -17% 0% -7% 1.92 69%
VPG Vishay Precision Group Inc 62.3 49% -65% 96% 35% -6% 2.98 76%
VPV Invesco PA Value Municipal Income 29.8 48% -44% -9% 3% 3% 0.65 81%
VRA Vera Bradley Inc -258.8 -64% -123% -25% -1% 7% 4.36 64%
VRAR The Glimpse Group Inc -746.0 -254% -158% -66% -44% -28% 6.69 5%
VRAX Virax Biolabs Group Ltd -321.4 0% -169% -104% -47% -21% 8.00 1%
VRCA Verrica Pharmaceuticals Inc -492.5 -157% -165% -34% -30% -27% 6.45 35%
VRDN Viridian Therapeutics Inc -183.8 -92% -80% 93% -4% -7% 4.22 85%
VREX Varex Imaging -450.1 -176% -100% -16% 12% -7% 2.84 82%
VRME VerifyMe Inc -623.4 -265% -113% -9% 47% -6% 6.57 55%
VRNS Varonis Systems Inc -285.3 -53% -86% -61% -28% -18% 2.64 6%
VRRM Verra Mobility Corp -32.8 23% -76% -46% -26% -8% 1.92 3%
VRSK Verisk Analytics Inc -38.7 12% -45% -45% -4% 2% 1.47 31%
VRSN VeriSign -16.2 14% -51% -17% -5% -3% 1.47 30%
VRT VERTIV HOLDINGS LLC 277.0 68% 1427% 177% 39% 34% 4.21 95%
VRTS Virtus Investment Partners Inc -418.3 -141% -96% -37% -12% -12% 2.36 7%
VRTX Vertex Pharmaceuticals 2.6 24% -6% -19% 11% 3% 1.81 76%
VS Versus Systems Inc -187.0 0% -58% -74% -42% -25% 10.17 5%
VSA TCTM Kids IT Education Inc -817.3 -240% -172% -112% -78% -45% 8.95 0%
VSAT ViaSat 139.4 9% -27% 456% 46% 11% 5.53 98%
VSCO Victorias Secret & Co -92.1 -46% -19% 133% 35% 6% 4.62 88%
VSEC VSE 116.3 74% 227% 80% 28% 19% 2.95 97%
VSEE VSee Health Inc -531.7 -114% -170% -96% -47% -17% 5.73 0%
VSH Vishay Intertechnology -181.5 -55% -84% -8% 29% -12% 2.81 71%
VST Vistra Energy 114.1 53% 594% 15% -7% 7% 3.66 55%
VSTD Vestand Inc -355.8 -18% -166% -104% -49% -11% 9.12 1%
VSTM Verastem Oncology -653.0 -289% -74% -13% -45% -6% 6.25 25%
VT Vanguard Total World Stock ETF 64.2 57% -1% 7% 4% 1% 0.96 92%
VTAK Catheter Precision Inc -302.0 0% -172% -94% -30% -21% 7.66 2%
VTEX Vtex -278.0 -76% -81% -36% -13% 16% 3.21 20%
VTN Invesco Trust NY Investment Grade 32.5 44% -37% -3% 0% 1% 0.74 77%
VTOL Bristow Group Inc -128.0 -64% -9% 14% 20% 3% 2.57 86%
VTR Ventas 17.6 7% 22% 9% 8% 14% 1.62 99%
VTRS Viatris Inc -45.7 -23% -22% 48% 37% 9% 2.13 84%
VTS Vitesse Energy Inc -15.3 16% -34% -33% -10% -6% 2.59 8%
VTSI VirTra Inc -304.6 -87% -75% -40% -14% -5% 4.53 17%
VTVT vTv Therapeutics Inc 22.9 19% -57% 80% 52% -4% 6.06 77%
VTYX Ventyx Biosciences Inc 223.8 38% -140% 855% 48% 2% 6.56 100%
VV Vanguard LargeCap ETF 47.5 44% 8% 1% 0% 0% 1.02 94%
VVOS Vivos Therapeutics Inc -1154.2 -449% -163% -74% -33% -10% 9.44 2%
VVPR VIVOPOWER INTERNATIONAL PLC 0.0 0% -126% 176% -10% 20% 10.10 24%
VVR Invesco Senior Income -104.8 -4% -56% -30% -1% -1% 1.08 34%
VVV VALVOLINE INC -137.2 -32% -67% -14% 21% 13% 2.00 68%
VVX V2X Inc 51.7 57% -17% 44% 35% 13% 2.67 100%
VWAGY Volkswagen AG -204.9 -56% -96% -14% -6% -7% 2.18 56%
VWAPY Volkswagen AG -81.9 -4% -74% -13% -6% -8% 1.99 57%
VWAV VISIONWAVE HOLDINGS INC -555.6 -182% -107% -60% -27% -24% 3.18 35%
VXRT Vaxart Inc -717.8 -359% -75% 44% 99% 26% 6.20 92%
VYGR Voyager Therapeutics Inc -321.0 -110% -115% -12% 4% 5% 4.55 54%
VYNE VYNE THERAPEUTICS INC -925.5 -319% -155% -92% 59% 5% 6.22 14%
VYX NCR Voyix Corp -671.0 -250% -141% -39% -20% -18% 3.00 8%
VZ Verizon Communications 12.8 12% -11% 7% 27% 16% 1.50 100%
VZLA VIZSLA SILVER CORP 80.7 67% 160% 102% -19% -16% 4.50 48%
W Wayfair Inc -14.5 -7% 28% 98% -29% -23% 4.99 57%
WAB Westinghouse Air Brake Technologies 91.5 65% 82% 27% 24% 13% 1.60 96%
WABC Westamerica Bancorp -105.0 -15% -68% -14% 6% 2% 1.99 84%
WAFD WaFd Inc -89.9 -15% -73% -6% -1% -2% 2.29 83%
WAFU Wah Fu Education Group Limited -711.5 -290% -100% -32% 3% 0% 4.07 53%
WAL Western Alliance Bancorp -95.4 -11% -55% -19% -1% -7% 3.70 61%
WALD Waldencast Acquisition Corp -1579.7 -671% -154% -67% -34% -15% 5.34 6%
WARFY Wharf Holdings -15.0 -8% -24% 18% 0% -2% 1.85 71%
WASH Washington Trust Bancorp 13.3 48% -70% -1% 21% -1% 2.59 81%
WAT Waters -17.2 27% -70% -32% -21% -14% 2.28 31%
WATT Energous Corp -335.5 -105% -169% -6% 78% 22% 7.72 58%
WAVE Eco Wave Power Global AB -155.4 -28% -14% -44% -22% 12% 7.31 15%
WB Weibo Corp ADR -93.9 -1% -112% -9% -7% -6% 3.25 45%
WBD Warner Bros Discovery Inc 61.4 3% 3% 136% 16% 3% 3.56 91%
WBRBY Wienerberger -183.5 -48% -67% -22% -14% -8% 2.13 24%
WBRUR Blackrock US Debt IxFd-R -1.3 30% -57% -12% 1% 3% 0.42 92%
WBS Webster Financial -46.9 -23% -27% 15% 16% 8% 2.56 89%
WBX Wallbox NV -308.4 -20% -170% -78% -17% 6% 6.00 12%
WCC Wesco International 38.1 20% 5% 53% 7% -2% 2.89 84%
WCN Waste Connections Inc -26.6 13% -45% -28% -3% 3% 1.26 31%
WD Walker & Dunlop Inc -406.0 -111% -110% -56% -23% -18% 2.60 11%
WDAY Workday Inc Class A -336.0 -75% -95% -61% -34% -16% 2.25 10%
WDC Western Digital 311.2 67% 509% 440% 59% -2% 3.35 87%
WDFC Wd-40 -12.2 4% -24% -13% 24% 7% 1.87 87%
WDH Waterdrop Inc -21.3 -2% -109% 27% -5% 4% 3.29 73%
WDS Woodside Energy Group Ltd 26.5 19% -53% 40% 32% 29% 2.09 100%
WEA Western Asset Premier Bond 18.8 41% -41% -9% -1% 1% 0.89 84%
WEAV Weave Communications Inc -242.6 -25% -68% -74% -17% -17% 3.70 5%
WEBNF Westpac Banking 28.1 14% 21% 37% 19% 20% 3.11 94%
WEC WEC Energy Group Inc 12.4 29% -27% -5% 8% 9% 1.32 100%
WEDXD WESTAIM CORPORATION -14.8 35% -40% -42% 9% -7% 1.66 19%
WELL Welltower 92.4 63% 123% 16% 1% 12% 1.59 90%
WEN Wendy's Co -796.7 -287% -134% -67% -12% -4% 2.10 4%
WERN Werner Enterprises -261.6 -92% -95% -7% 33% -4% 2.23 77%
WES Western Midstream Partners LP 76.2 91% 40% 0% 9% 7% 1.76 87%
WEST Westrock Coffee Co -667.9 -237% -137% -52% -6% -16% 3.29 8%
WETH Wetouch Technology Inc -377.1 -137% -120% -12% -24% -12% 12.56 24%
WEX WEX Inc -185.5 -53% -86% -11% 12% 9% 2.24 82%
WEYS Weyco Group -6.4 2% -11% -10% 9% 4% 2.59 88%
WF Woori Financial Group ADS 118.3 37% 142% 96% 25% 15% 2.04 76%
WFAFY Wesfarmers 49.3 60% 9% 2% 0% -5% 1.62 62%
WFC Wells Fargo 25.7 38% 21% -6% -2% -7% 2.00 67%
WFCF Where Food Comes From Inc -196.5 -60% -85% -10% -5% 8% 2.71 61%
WFG West Fraser Timber CoLtd -217.6 -52% -80% -30% 7% -3% 2.15 40%
WFRD Weatherford International PLC 38.5 37% -27% 54% 24% 5% 3.22 84%
WFSTD WESTERN FST PRODS -262.7 -88% -132% 1% 31% -6% 2.78 67%
WGO Winnebago Industries -261.5 -81% -106% -14% 6% -14% 3.00 51%
WGS GeneDx Holdings Corp Ordinary Share 28.7 42% 319% -33% -52% -18% 6.99 21%
WH Wyndham Hotels & Resorts Inc -210.7 -44% -62% -40% 10% 13% 1.95 33%
WHD Cactus -229.3 -76% -65% -17% 15% -10% 2.84 66%
WHF WhiteHorse Finance Inc -310.8 -85% -88% -41% 1% 6% 1.66 29%
WHG Westwood Holdings Group 16.4 32% -9% 0% 6% -2% 2.62 73%
WHGLY WH Group 132.0 106% 99% 55% 15% 7% 1.95 84%
WHR Whirlpool -468.5 -141% -120% -53% -24% -22% 2.69 0%
WHWK Whitehawk Therapeutics Inc -61.8 -7% -143% 24% 43% 14% 5.05 87%
WIA Western Asset Inflation-Linked Inco 42.0 60% -48% -11% 0% 1% 0.59 83%
WILC G Willi-Food International Ltd 94.2 94% 68% 60% 13% -5% 2.75 87%
WINA Winmark -26.0 -13% 10% 35% 14% 5% 2.36 88%
WING Wingstop Inc -4.7 11% -33% -10% -12% -9% 3.16 19%
WIT Wipro -394.4 -110% -122% -47% -18% -17% 2.03 6%
WIW Western Asset Inflation-Linked Opps 42.8 60% -48% -10% 0% 3% 0.61 90%
WIX Wixcom Ltd -218.9 -10% -79% -73% -13% 2% 3.24 16%
WJRYY West Japan Railway Co -193.1 -59% -67% -16% 2% 3% 1.63 30%
WK Workiva Inc Class A -346.4 -94% -102% -46% -33% -18% 2.69 12%
WKC World Kinect Corp -222.4 -57% -69% -32% 5% -8% 2.05 29%
WKEY WISeKey International Holding Ltd -508.9 -254% -65% 76% -16% -2% 7.84 27%
WKHS Workhorse Group -949.4 -306% -172% -111% -66% -27% 7.62 0%
WKSP Worksport Ltd -562.7 -129% -164% -98% -52% -30% 6.97 0%
WLDN Willdan Group Inc 141.5 68% 300% 149% -15% -33% 3.48 51%
WLFC Willis Lease Finance 28.8 21% 176% -20% 63% 6% 3.15 89%
WLK Westlake Chemical -19.1 9% -79% -17% 57% 29% 2.57 95%
WLKP Westlake Chemical Partners LP -97.6 -16% -51% -16% 20% 5% 1.17 99%
WLY John Wiley & Sons Inc -25.7 26% -96% -35% -16% -1% 2.19 10%
WLYB John Wiley & Sons Inc-B -17.8 37% -93% -33% -14% -1% 2.00 13%
WM Waste Management 13.0 27% -3% -12% 13% 11% 1.20 100%
WMB Williams Companies 100.7 77% 110% 19% 24% 16% 1.63 98%
WMG Warner Music Group Corp -402.4 -145% -77% -30% 0% -4% 1.99 34%
WMK Weis Markets -157.0 -25% -85% -25% 0% -7% 2.00 12%
WMMVF Wal - Mart de Mexico 60.9 34% 76% 68% 19% 1% 3.18 84%
WMMVY Wal-Mart de Mexico SAB de CV -175.0 -67% -81% 6% -3% 3% 2.17 76%
WMS Advanced Drainage Systems Inc 47.4 48% 13% 33% 5% 5% 2.58 82%
WMT Walmart Inc 114.2 85% 109% 15% 14% 5% 1.37 88%
WNC Wabash National -326.4 -97% -133% -22% 13% -7% 3.23 59%
WNEB Western New England Bancorp Inc -26.8 -13% -31% 19% 4% -5% 2.03 80%
WNW Meiwu Technology Co Ltd -813.2 -279% -171% -71% 37% -2% 7.80 22%
WOOF Petco Health and Wellness Co Inc -600.4 -234% -149% -17% -19% -7% 5.46 7%
WOR Worthington Industries -95.8 -36% -78% 15% -3% -3% 2.46 53%
WPC W P Carey & Company -89.7 -24% -66% 2% 9% 8% 1.52 92%
WPM Wheaton Precious Metals 138.4 62% 213% 108% 39% 18% 2.49 88%
WPP WPP -443.3 -103% -140% -72% -13% -15% 2.30 4%
WPPGF WPP -458.1 -103% -141% -79% -18% -14% 2.40 3%
WPRT Westport Fuel Systems Inc -1715.5 -738% -154% -68% 17% 10% 4.02 20%
WRAP Wrap Technologies Inc -546.8 -199% -102% -40% -21% -17% 6.34 22%
WRB WR Berkley Corp 23.0 34% -1% -4% -3% 6% 1.54 61%
WRBY Warby Parker Inc -60.6 -30% 37% -4% 45% 7% 3.98 82%
WRLD World Acceptance -0.5 10% -15% -6% -7% 20% 3.16 46%
WRN Western Copper and Gold Corporation 89.3 24% 33% 184% 31% -3% 3.90 71%
WSBC Wesbanco -17.7 4% -62% -12% 8% -1% 2.31 77%
WSBF Waterstone Financial Inc 26.2 40% -44% 15% 12% -3% 2.08 87%
WSC WillScot -555.4 -185% -130% -49% 7% 9% 2.88 40%
WSFS WSFS Financial 6.4 18% -37% 5% 16% 0% 2.42 79%
WSM Williams-Sonoma 44.1 45% 154% -11% 7% -7% 2.86 71%
WSO Watsco -4.7 35% -29% -33% 19% 6% 2.11 45%
WSR Whitestone REIT Class B 3.5 5% 6% -2% 15% 7% 1.74 96%
WST West Pharmaceutical Services -344.1 -133% -92% -8% -10% 6% 2.32 51%
WT WisdomTree Inc 118.6 71% 134% 78% 59% 11% 2.26 100%
WTBA West Bancorporation -53.8 -15% -35% -1% 11% 0% 2.50 86%
WTFC Wintrust Financial 8.5 13% -8% 4% 6% -1% 2.25 76%
WTI W&T Offshort 17.6 7% -119% 79% 73% 44% 4.19 92%
WTKWY Wolters Kluwer NV -208.3 -3% -102% -67% -26% -15% 1.64 8%
WTM White Mountain Insurance 54.6 81% -20% 1% 9% 10% 1.78 97%
WTRG Essential Utilities Inc -313.7 -123% -70% -11% 2% 8% 1.62 83%
WTS Watts Water Technologies 64.3 49% 14% 36% 16% 6% 1.79 90%
WTTR Select Energy Services -26.2 -13% 31% 7% 35% 19% 2.94 94%
WTW Willis Towers Watson PLC -33.0 0% -39% -27% -6% -2% 1.40 35%
WU Western Union 53.6 123% -77% -19% 13% 2% 1.92 69%
WULF TeraWulf Inc -93.1 -47% 2267% 301% 0% 16% 8.65 84%
WVE WAVE Life Sciences Ltd -89.2 -45% 150% 19% 84% 4% 5.65 52%
WVVI Willamette Valley Vineyards Inc -532.0 -150% -130% -73% -9% 0% 2.75 5%
WWD Woodward Inc 175.9 100% 218% 92% 27% 19% 2.02 93%
WWR WESTWATER RESOURCES INC 22.4 87% -81% 12% -2% -10% 5.44 13%
WWW Wolverine World Wide -123.5 -52% -56% 9% 4% -1% 3.88 35%
WY Weyerhaeuser -659.8 -261% -92% -38% 11% -2% 1.78 35%
WYNMY Wynn Macau -253.3 -80% -99% -14% -15% -3% 2.57 38%
WYNN Wynn Resorts -103.3 -28% -71% 0% -23% -4% 2.43 56%
WYY WIDEPOINT CORPORATION -68.1 -34% 59% 15% -33% -24% 4.77 44%
XAIR Beyond Air Inc -620.7 -152% -172% -101% -28% -23% 7.29 3%
XB BondBloxx B Rated USD HiYld Corp B 23.1 43% -46% -12% 0% 1% 0.38 98%
XBIO XENETIC BIOSCIENCES INC -466.8 -134% -126% -58% -2% 9% 5.95 5%
XBIT XBiotech -380.4 -109% -103% -47% -3% -4% 4.94 16%
XBP XBP Europe Holdings Inc 28.2 225% -165% -50% 11% -1% 7.53 28%
XC WisdomTree Emerg Mkt xChina ETF 26.7 45% -36% -5% -9% -3% 1.08 68%
XCUR Exicure Inc -584.5 -168% -114% -86% -34% -13% 9.39 1%
XEL Xcel Energy -91.9 -37% -32% 2% 4% 13% 1.44 95%
XELA Exela Technologies Inc -325.9 0% -172% -106% -26% -13% 23.90 8%
XELB Xcel Brands Inc -901.5 -340% -152% -60% 67% 12% 6.60 24%
XENE Xenon Pharmaceuticals -159.5 -62% -61% 3% -2% 5% 2.79 83%
XERS Xeris Pharmaceuticals Inc 57.4 9% 302% 47% -14% -16% 4.46 38%
XFLT XAI Octagon Floating Rate&Alterntiv -51.6 35% -95% -57% -26% -23% 1.08 0%
XFOR X4 Pharmaceuticals Inc -916.1 -320% -160% -85% 10% -11% 7.68 21%
XGN Exagen Inc -102.4 -40% -34% 0% -53% -5% 5.13 8%
XHR Xenia Hotels & Resorts Inc -89.8 -32% -51% 5% 14% 7% 2.18 94%
XIACF Xiaomi Corp 8.7 37% 99% -51% -21% -6% 3.48 3%
XIACY Xiaomi Corp 7.5 37% 98% -55% -22% -7% 2.98 1%
XIFR XPLR Infrastructure LP -633.3 -267% -153% 2% 11% 5% 3.48 72%
XMTR Xometry Inc -90.2 -45% -28% 60% -20% -23% 5.18 48%
XNCR Xencor Inc -579.1 -216% -134% -29% -24% 7% 3.89 52%
XNGSY ENN Energy Holdings -117.7 -45% -103% 21% -4% 5% 2.69 83%
XOM Exxon Mobil 58.9 61% -22% 26% 29% 11% 1.70 92%
XOMA XOMA -123.9 -51% -49% 6% -16% 1% 3.91 37%
XOS Xos Inc -448.2 -105% -164% -65% -13% -9% 5.69 12%
XP XP Inc -53.4 -27% 16% 32% 6% 6% 3.14 79%
XPEL XPEL Inc -49.8 -14% -116% 27% -7% -15% 3.24 64%
XPER Xperi Inc -1005.7 -425% -117% -39% 11% 13% 3.17 39%
XPEV XPeng Inc -144.3 -40% 16% -38% -25% 0% 5.37 2%
XPO XPO Logistics Inc 133.7 62% 460% 62% 49% 33% 3.15 99%
XPOF Xponential Fitness Inc -666.1 -205% -151% -77% -18% -37% 5.00 13%
XPON Expion360 Inc -219.6 0% -172% -52% -38% -10% 7.79 3%
XPRO Expro Group Holdings NV -39.8 -20% -101% 35% 15% 4% 3.49 85%
XRAY Dentsply Sirona Inc -272.2 -63% -130% -29% 21% 12% 2.46 55%
XRTX XORTX Therapeutics Inc -260.1 0% -165% -75% -35% -17% 7.57 1%
XRX Xerox Holdings -528.1 -122% -159% -89% -34% -22% 3.71 1%
XT iShares Exponential Technologies ET 36.0 38% -19% 11% 4% 0% 1.35 93%
XTIA XTI Aerospace Inc -154.4 0% -172% -20% 66% 55% 9.02 38%
XTLB XTL Biopharmaceuticals Ltd -417.9 -114% -107% -60% -7% -2% 7.16 16%
XTNT Xtant Medical Holdings -161.3 -70% -101% 23% 6% 7% 5.23 46%
XWEL XWELL Inc -69.2 0% -156% 18% 72% 337% 6.19 75%
XWIN XMAX Inc 258.0 81% -10% 1027% 13% 6% 7.56 98%
XYF X Financial -12.0 37% -8% -67% -29% -7% 4.45 0%
XYL Xylem Inc -8.9 19% -42% -17% -8% -6% 1.55 55%
XYZ Block Inc -399.0 -157% -86% -14% 1% 10% 3.53 54%
YAHOY LY Corp -281.0 -64% -86% -48% -12% -5% 2.08 1%
YALA Yalla Group Ltd -47.3 -24% -10% 61% -1% 1% 2.80 60%
YANG Direxion Daily FTSE China Bear 3X -371.4 -81% -158% -52% 24% 27% 6.02 20%
YARIY Yara International 40.9 15% -46% 62% 36% 11% 2.00 98%
YASKY YASKAWA Electric 1.2 42% -94% -8% 13% -2% 2.95 66%
YCBD cbdMD Inc -297.3 0% -172% -91% 32% -10% 7.97 12%
YDES YD Bio Ltd 30.0 129% -93% -39% -33% -25% 2.91 18%
YDKG Yueda Digital Holding -2018.8 -837% -172% -116% -53% -9% 10.16 0%
YELL Yellow Corp -680.3 -169% -171% -114% -63% 52% 25.78 2%
YELP Yelp Inc Class A -217.6 -31% -93% -47% -18% -12% 2.17 19%
YETI YETI Holdings Inc -36.0 0% -63% 3% -1% -7% 3.01 66%
YEXT Yext -154.8 -16% -91% -31% -34% 6% 3.10 20%
YHGJ Yunhong Green CTI Ltd -327.0 -36% -157% -75% -50% -30% 6.14 1%
YI 111 Inc -488.5 -168% -145% -28% 102% 5% 4.92 60%
YJ Yunji Inc-A -276.8 -49% -165% -34% -4% -20% 6.80 29%
YMM Full Truck Alliance Co Ltd 15.6 82% -38% -37% -20% -9% 3.17 2%
YORW York Water -417.7 -164% -91% -15% 4% 2% 1.61 66%
YOU Clear Secure Inc -36.3 -18% 3% 92% 40% 49% 3.17 98%
YPF YPF Sociedad Anonima Spon ADR-D 10.6 0% 118% -15% -4% -8% 3.69 72%
YQ 17 Education & Technology Group Inc -121.5 -61% -112% 40% -39% -10% 6.09 35%
YRD Yiren Digital Ltd -146.1 -15% -11% -54% -15% -1% 4.53 4%
YSG Yatsen Holding Ltd -151.7 -26% -116% -11% -33% -3% 5.27 6%
YUM Yum Brands -20.2 3% -39% -14% 6% 4% 1.39 71%
YUMC Yum China Holdings Inc -3.0 29% -79% -8% 9% 6% 2.36 69%
YYAI Connexa Sports Technologies Inc -342.8 0% -172% -114% 19% -4% 12.79 0%
YZCAY Yankuang Energy Group Co Ltd 62.0 49% -5% 69% 35% 28% 2.78 95%
Z Zillow Group Inc C -219.0 -33% -63% -56% -39% -25% 3.09 6%
ZBAI ATIF Holdings Ltd -565.2 -145% -158% -85% -10% 8% 8.42 6%
ZBH Zimmer Biomet Holdings -423.9 -155% -93% -26% 0% 13% 1.65 38%
ZBRA Zebra Technologies -213.3 -33% -94% -42% -9% -3% 2.66 14%
ZD Ziff Davis Inc -1241.8 -571% -119% -10% 29% 15% 2.86 100%
ZDGE Zedge Inc -103.2 -48% -59% 16% 35% -9% 5.35 44%
ZEM BMO MSCI Emerging Mkts Index 111.7 100% -6% 18% 8% 1% 1.07 83%
ZEO Zeo Energy Corp Ordinary Shares - C -982.9 -378% -162% -59% -21% 10% 5.97 7%
ZEPP Zepp Health Corp -277.7 -139% 111% 615% -27% 11% 6.19 30%
ZETA Zeta Global Holdings Corp -84.9 -38% -1% -4% 4% 2% 4.43 58%
ZG Zillow Group Inc A -181.4 -17% -61% -53% -36% -24% 3.09 7%
ZGN Ermenegildo Zegna NV 7.5 26% -85% 16% 3% 23% 2.75 85%
ZH Zhihu Inc -399.9 -99% -137% -55% -11% -10% 4.19 0%
ZIM ZIM Integrated Shipping Services Lt -82.3 -41% 57% 69% 49% 30% 4.88 98%
ZION Zions 12.1 43% -43% -4% 8% -2% 3.05 73%
ZIP ZipRecruiter Inc -1278.7 -506% -160% -80% -58% -11% 3.89 9%
ZIVO Zivo Bioscience Inc -405.8 -91% -126% -70% -23% -12% 8.55 18%
ZKIN ZK International Group -233.3 -41% -145% -27% -40% -14% 7.37 15%
ZLAB Zai Lab -20.8 40% -119% -57% -4% 20% 4.43 11%
ZLNDY Zalando -289.0 -51% -115% -55% -17% -19% 3.14 4%
ZM Zoom Video Communications-A 0.9 36% -67% -12% -9% -14% 2.34 38%
ZNB Color Star Technology Co Ltd -2193.6 -923% -172% -117% -73% -65% 10.26 0%
ZNOG Zion Oil & Gas 39.8 19% 227% 49% 134% 7% 6.23 94%
ZS Zscaler -152.3 -23% -54% -35% -37% -21% 3.06 7%
ZTO ZTO Express Cayman Inc -91.1 -24% -69% 2% 9% 5% 2.32 72%
ZTR Virtus Total Return 62.1 57% -23% 14% 8% 11% 1.03 95%
ZTS Zoetis Inc -259.0 -56% -94% -42% -1% 2% 1.79 20%
ZUMZ Zumiez -25.8 -13% -61% 72% -3% 5% 3.64 75%
ZURA Zura Bio Ltd-A 117.1 60% -106% 480% 87% 23% 7.62 100%
ZURVY Zurich Insurance Group Ltd 29.0 40% -1% -7% -4% -1% 1.26 63%
ZVIA Zevia PBC -458.0 -128% -134% -56% -46% -19% 5.92 4%
ZVRA Zevra Therapeutics Inc -84.1 -40% -19% 4% 6% -3% 4.04 38%
ZWS Zurn Water Solutions Corp 54.1 34% 53% 28% 5% 9% 1.93 90%
ZYME Zymeworks 64.0 19% 129% 81% -4% 10% 3.46 87%


Definition of Parameters:

Stk. Rank
A composite indicator that includes the Trend Quality Indicator, the 3-Yr Excess Return Indicator, the 1-Yr Excess Return Indicator and a volatility indicator. The Stk. Rank indicator has the objective of ranking the "likely future value" of including a stock in a SectorSurfer Strategy.. It does not directly indicate which stocks are hot to buy today, but rather indicates which stocks have characteristics that will make them excellent candidates for SectorSurfer's selection algorithm. Make this your primary stock screening parameter. Please also view this Freshly Fit for Duty comment.

Trend Quality

A measure of the probability that a trend will continue from one month to the next. It is calculated over the most recent five years as the ratio of the sum of all actual monthly returns during months that SectorSurfer's trend indicator predicted would be positive, divided by the sum of all of the positive return amounts predicted.  Some stocks inherently have poor trend quality because they are thinly traded or have small capitalization and are easily buffeted by traders responding to economic, sector, or competitor headlines. Knowing whether a trend indication has meaning or is more likely irrelevant market noise is important to improving the batting average in stock selection. An example of a nice steady trend characteristic is Southern Company (SO), while others, such as Guess (GES), are fraught with regular sharp trend reversals that negate signal reliability.

3-Yr Excess Return
The relative recent price strength as measured by the cumulative returns in excess of the S&P 500 over the past three years.  Companies that have outperformed the S&P500 index in recent periods have likely done so for a reason, and are more likely to do so again in the future. While many companies do well during an initial growth phase, most later go dormant. However, some do have additional growth phases. For example, while DELL was a rising star in the late 90s, it has since been dormant for over a decade and serves no purpose in a current SectorSurfer Stock Strategy. See example DELL chart.

1-Yr Excess Return
The relative recent price strength as measured by the cumulative returns in excess of the S&P 500 over the past one year.

1-Qtr Excess Return
The relative recent price strength as measured by the cumulative returns in excess of the S&P 500 over the past one quarter.

1-Mo Excess Return
The relative recent price strength as measured by the cumulative returns in excess of the S&P 500 over the past one month.

Relative Volatility
The ratio of the stock's daily price volatility to the S&P500's daily price volatility, where volatility is measured by the standard deviation of the percentage change in daily price during the past three years. The daily volatility of the S&P500 typically runs about 1.2%. A stock with 2.5 times the daily volatility will show a value of 2.5 in the table. Volatility is a measure of market noise that reduces reliability of the trend signal. The higher the volatility, the more likely an erroneous head-fake signal will be generated — and as you know, having a reliable handoff of the baton in a relay race is critical. A relative volatility rating of about 1.5 or less is recommended.

1-Yr Price Range
The current price as a percentage of the range between the 52-week high and the 52-week low. For example, if the current price is $80, the 52-week high was $100 and the 52-weeek low was $50 then the value = ($80 - $50) / ($100 - $50) = 60%. At a glance you will know if you are going to be bottom fishing or investing in something powering on to new highs.


Spreadsheet Download
The link just above-right of the table enables downloading current data in the .csv spreadsheet file format. The file name contains both the current month and year so that the data from the last day of each month remains available on the server and accessible for your further experimentation. You can retrieve any of the files by using the following URL web address format: https://www.sumgrowth.com/Data/SGSETFScreener-mm-yyyy.csv where mm and yyyy are replaced with the current month and year respectively. The first ETF spreadsheet is for 07-2013, and the first stocks spreadsheet is for 06-2012. The service was interrupted in 2018 for many months, but then restored in December of 2019 with a somewhat different set of reporting parameters because some prior data sources dried up and the screener software had to be re-written.

For example:
•    https://www.sumgrowth.com/Data/SGSETFScreener-12-2019.csv for ETFs, and
•    https://www.sumgrowth.com/Data/SGSStockScreener-12-2019.csv for stocks.