| | | | | |
CCM Concord Medical Services Holding Limited | $4,6500 | +2,88% | $20,66M | $90,03K | |
AVAT Avalanche Treasury Corporation Class A Common Stock | $0,72790 | +1,10% | $20,64M | $357,23K | |
CRMT America's Car Mart Inc | $2,2400 | +0,00% | $20,61M | $91,28K | |
CTRM Castor Maritime Inc. Common Stock | $2,3300 | -0,43% | $20,48M | $10,34K | |
SAIH SAIHEAT Limited Class A Ordinary Shares | $26,9900 | +17,60% | $20,44M | $70,72K | |
ICCM IceCure Medical Ltd. Ordinary Shares | $2,2500 | -1,32% | $20,42M | $71,33K | |
BRFH Barfresh Food Group Inc. Common Stock | $1,2850 | -0,39% | $20,38M | $43,87K | |
BTLN Brightline Interactive, Inc. Common Stock | $0,93400 | -0,93% | $20,27M | $66,08K | |
FUSE Fusemachines Inc. Common stock | $0,59130 | -7,25% | $20,20M | $170,92K | |
BHV BlackRock Virginia Muni Bond Trust | $12,5700 | -0,08% | $20,19M | $4,88K | |
RAIN Rain Enhancement Technologies Holdco, Inc. Class A Common Stock | $0,88470 | -0,32% | $20,14M | $244,64K | |
MXC Mexco Energy Corporation | $9,9500 | +5,68% | $20,09M | $194,97K | |
CMMB Chemomab Therapeutics Ltd. American Depositary Share | $2,7750 | +1,65% | $19,93M | $47,82K | |
AEHL Antelope Enterprise Holdings Limited Class A Ordinary Shares | $5,3800 | +7,60% | $19,81M | $399,05K | |
NYC American Strategic Investment Co. | $6,1100 | -2,08% | $19,81M | $5,88K | |