| | | | | |
JMSB John Marshall Bancorp, Inc. Common Stock | $22,0610 | +1,20 % | $312,86M | $5,29K | |
BKTI BK Technologies Corporation | $82,8900 | +2,01 % | $312,26M | $13,19K | |
BRBS Blue Ridge Bankshares, Inc. | $3,5250 | +1,00 % | $311,99M | $36,25K | |
LPAA Launch One Acquisition Corp. Class A Ordinary shares | $10,9050 | -0,86 % | $311,93M | $1,52K | |
MTAL Metals Acquisition Corp. II | $10,1790 | -0,40 % | $311,57M | $3,81K | |
NNDM Nano Dimension Ltd. American Depositary Shares | $1,4850 | -1,00 % | $311,55M | $973,38K | |
FHTX Foghorn Therapeutics Inc. Common Stock | $5,2380 | -2,64 % | $311,18M | $62,13K | |
SPCE Virgin Galactic Holdings, Inc. | $2,7360 | +4,83 % | $311,06M | $6,59M | |
CV CapsoVision, Inc. Common Stock | $6,1850 | -2,75 % | $310,77M | $21,91K | |
SAR SARATOGA INVESTMENT CORP. NEW | $19,6310 | +2,25 % | $310,71M | $55,53K | |
ASLE AerSale Corporation Common Stock | $6,0650 | +0,92 % | $310,45M | $48,44K | |
NREF NexPoint Real Estate Finance, Inc. | $16,8250 | +1,42 % | $310,42M | $17,04K | |
AACO Abony Acquisition Corp. I Class A Ordinary Share | $9,9750 | -0,05 % | $310,16M | $2,000 | |
NCA Nuveen California Municipal Value Fund | $9,3550 | +0,05 % | $310,02M | $6,83K | |
| $40,8460 | -0,25 % | $310,00M | $2,75K | |