| | | | | |
DTSQ DT Cloud Star Acquisition Corporation Ordinary Shares | $11,2800 | −0,18 % | $41,17M | $385,00 | |
SCWO 374Water Inc. Common Stock | $2,2800 | −6,17 % | $41,11M | $55,14K | |
WYHG Wing Yip Food Holdings Group Limited American Depositary Shares | $0,88150 | −5,41 % | $41,11M | $34,90K | |
JRSH Jerash Holdings (US), Inc. Common Stock | $3,4100 | +4,60 % | $41,02M | $78,98K | |
MIRA MIRA Pharmaceuticals, Inc. Common Stock | $0,96500 | −2,72 % | $40,66M | $68,92K | |
RAVE Rave Restaurant Group, Inc. | $2,9100 | +0,69 % | $40,64M | $104,59K | |
STG Sunlands Technology Group, American Depositary Shares, American Depositary Shares, every two (2) ADSs representing one (1) Class A Ordinary Share | $2,9000 | +7,01 % | $40,58M | $2,84K | |
MBBC Marathon Bancorp, Inc. Common Stock | $13,9800 | +4,56 % | $40,57M | $3,86K | |
| $7,0200 | +1,89 % | $40,47M | $142,92K | |
LTRN Lantern Pharma Inc. Common Stock | $3,3800 | −3,43 % | $40,44M | $224,58K | |
SLMT Brera Holdings PLC Class B Ordinary Shares | $6,1800 | +2,83 % | $40,42M | $140,73K | |
MDBH MDB Capital Holdings, LLC Class A common | $3,9100 | +0,25 % | $40,18M | $176,00 | |
CREX CREATIVE REALITIES, INC. | $3,7150 | −1,72 % | $40,15M | $49,81K | |
QNTM Quantum Biopharma Ltd. Class B Subordinate Voting Shares | $7,0700 | −23,50 % | $40,11M | $1,78M | |
VTSI VirTra, Inc. Common Stock | $3,4000 | −2,02 % | $40,02M | $51,83K | |