إعلان
إعلان

سوق الأسهم الأمريكي

نظرة عامة
الأداء
XYF logoX Financial - ADRXYF$14.720.71
+5.07%
$601.85M184.65K2.765.34
MOFG logoMidWestOne Financial GroupMOFG$28.930.40
+1.40%
$599.03M25.26K-8.17-3.54
ORKA logoOruka Therapeutics, Inc. Common StockORKA$15.991.09
+7.34%
$598.99M1.30M-2.55-6.26
NEXN logoNexxen International Ltd. Ordinary SharesNEXN$9.44-0.06
-0.68%
$598.34M132.92K235.880.04
LXU logoLSB INDUSTRIES INCLXU$8.300.33
+4.14%
$597.07M108.86K-22.43-0.37
CLB logoCore Laboratories Inc.CLB$12.72-0.13
-0.97%
$596.72M121.75K20.520.62
PRTH logoPriority Technology Holdings, Inc.PRTH$7.430.18
+2.48%
$593.79M145.26K-17.69-0.42
OFIX logoOrthofix Medical Inc. Common Stock (DE)OFIX$15.010.17
+1.15%
$592.85M67.42K-4.80-3.13
MGTX logoMeiraGTx Holdings plc Ordinary SharesMGTX$7.360.04
+0.49%
$591.77M111.93K-3.17-2.32
MGPI logoMGP Ingredients IncMGPI$27.77-0.05
-0.18%
$591.30M67.20K61.710.45
VSTM logoVerastem, Inc.VSTM$9.570.44
+4.87%
$589.30M1.17M-3.00-3.19
CEVA logoCEVA Inc.CEVA$24.660.29
+1.17%
$588.84M70.47K-58.70-0.42
NUS logoNuSkin Enterprises, Inc.NUS$11.890.17
+1.45%
$588.53M106.06K-4.03-2.95
AQST logoAquestive Therapeutics, Inc. Common StockAQST$4.86-0.01
-0.18%
$588.05M392.47K-6.94-0.70
E
EQV Ventures Acquisition Corp. IIEVAC
$9.940.00
-0.02%
$586.45M327----
VLGEA logoVillage Super MarketVLGEA$39.630.36
+0.93%
$584.85M10.06K11.423.47
DGICB logoDonegal Group IncDGICB$16.00-0.60
-3.61%
$584.14M977.242.21
BNC logoCEA Industries Inc. Common StockBNC$13.71-1.44
-9.48%
$583.78M216.98K-3.24-4.23
CVLG logoCovenant Logistics Group, Inc.CVLG$23.28-0.26
-1.12%
$582.36M80.13K17.771.31
BLMN logoBloomin' Brands, Inc. Common StockBLMN$6.830.04
+0.51%
$581.44M559.10K-136.70-0.05
GHM logoGraham CorporationGHM$52.950.66
+1.25%
$581.23M30.06K47.711.11
CCAP logoCrescent Capital BDC, Inc. Common stockCCAP$15.660.20
+1.33%
$580.57M47.35K13.051.20
CLNE logoClean Energy Fuels Corp.CLNE$2.650.04
+1.73%
$580.02M648.33K-2.94-0.90
BBBY logoBed Bath & Beyond, Inc.BBBY$10.090.28
+2.85%
$579.23M759.83K-2.48-4.07
ARKO logoARKO Corp. Common StockARKO$5.130.05
+1.08%
$578.93M178.26K64.190.08
ICHR logoIchor HoldingsICHR$16.85-0.21
-1.23%
$578.45M602.27K-35.11-0.48
SKYT logoSkyWater Technology, Inc. Common StockSKYT$11.960.46
+3.95%
$576.42M965.23K-34.19-0.35
ALRS logoAlerus Financial Corporation Common StockALRS$22.700.21
+0.96%
$576.37M16.43K13.431.69
KFRC logoKforce Inc.KFRC$30.970.28
+0.91%
$576.01M71.29K12.152.55
UHT logoUniversal Health Realty Income TrustUHT$41.480.47
+1.15%
$575.50M19.05K31.661.31
C
Churchill Capital Corp X Class A Ordinary SharesCCCX
$11.040.35
+3.23%
$574.37M1.31M----
KOP logoKoppers Holdings, Inc.KOP$29.120.49
+1.71%
$574.12M43.95K25.101.16
C
Cantor Equity Partners IV, Inc. Class A Ordinary SharesCEPF
$10.15-0.02
-0.15%
$573.76M5.39K----
RHLD logoResolute Holdings Management Common StockRHLD$67.26-0.79
-1.16%
$573.46M37.11K----
DNUT logoKrispy Kreme, Inc. Common StockDNUT$3.350.23
+7.28%
$573.01M2.76M-1.26-2.65
HONE logoHarborOne Bancorp, Inc. Common StockHONE$13.260.22
+1.65%
$572.07M79.79K20.390.65
G
GBank Financial Holdings Inc. Common StockGBFH
$40.040.32
+0.81%
$571.76M5.11K29.231.37
CCD logoCalamos Dynamic Convertible & Income FundCCD$21.120.10
+0.48%
$571.40M30.88K----
GTN logoGray Media, Inc.GTN$5.590.00
-0.09%
$571.17M385.61K2.422.31
APPS logoDigital Turbine, Inc.APPS$5.26-0.08
-1.40%
$570.60M1.91M-6.84-0.77
TCPC logoBlackRock TCP Capital Corp. Common StockTCPC$6.71-0.01
-0.15%
$570.59M478.78K-13.42-0.50
HKD logoAMTD Digital Inc. - ADRHKD$1.81-0.01
-0.27%
$570.42M141.97K----
ASIX logoAdvanSix Inc.ASIX$21.230.39
+1.87%
$569.90M39.77K7.482.84
SHBI logoShore Bancshares IncSHBI$17.050.19
+1.14%
$569.83M41.61K12.821.33
HCKT logoHackett Group Inc (The).HCKT$20.70-0.02
-0.12%
$569.33M93.53K24.350.85
HZO logoMarineMax, Inc.HZO$26.470.22
+0.85%
$568.23M143.48K-19.76-1.34
ARVN logoArvinas, IncARVN$7.700.06
+0.77%
$565.24M478.18K-7.62-1.01
BCAL logoCalifornia BanCorp Common StockBCAL$17.380.23
+1.31%
$564.99M29.03K19.970.87
WASH logoWashington Trust Bancorp IncWASH$29.360.37
+1.28%
$562.40M25.40K-18.94-1.55
NAKA logoKindly MD, Inc. Common StockNAKA$1.500.00
-0.33%
$562.30M28.98M-1.94-0.77
AVNS logoAvanos Medical, Inc.AVNS$12.120.22
+1.89%
$562.17M204.81K-1.20-10.07
TWI logoTitan International, Inc.(Delaware)TWI$8.780.04
+0.50%
$561.26M128.45K-73.20-0.12
ANAB logoAnaptysBio, Inc. Common StockANAB$20.010.61
+3.14%
$559.74M367.94K-4.47-4.48
USNA logoUSANA Health Sciences IncUSNA$30.590.02
+0.07%
$558.94M38.30K10.812.83
CASS logoCass Information Systems IncCASS$42.220.22
+0.51%
$557.91M17.24K22.701.86
FIP logoFTAI Infrastructure Inc. Common StockFIP$4.83-0.04
-0.88%
$555.53M709.75K-3.15-1.53
GNTY logoGuaranty Bancshares, Inc.GNTY$48.951.00
+2.10%
$555.52M5.92K15.593.14
VENU logoVenu Holding CorporationVENU$12.730.08
+0.63%
$554.60M93.06K----
FMNB logoFarmers National Banc CorpFMNB$14.720.20
+1.38%
$554.16M22.52K10.991.34
ESPR logoEsperion Therapeutics, Inc.ESPR$2.75-0.02
-0.90%
$553.45M2.87M-5.60-0.49
ASPN logoAspen Aerogels, Inc.ASPN$6.710.01
+0.10%
$552.39M360.99K-1.76-3.81
TCBX logoThird Coast Bancshares, Inc. Common StockTCBX$39.800.20
+0.49%
$551.61M37.20K14.372.77
CODI logoCompass DiversifiedCODI$7.320.02
+0.23%
$550.50M281.77K-5.72-1.28
MNRO logoMonro, Inc. Common StockMNRO$18.330.36
+1.99%
$549.45M143.06K-91.64-0.20
CBNK logoCapital Bancorp, Inc.CBNK$32.950.61
+1.90%
$546.51M11.66K12.342.67
CRESY logoCresud SACRESY$8.970.16
+1.80%
$545.03M208.85K7.801.15
CCSI logoConsensus Cloud Solutions, Inc. Common StockCCSI$28.720.44
+1.56%
$545.02M26.06K6.924.15
CTO logoCTO Realty Growth, Inc.CTO$16.540.18
+1.11%
$544.89M92.24K-14.38-1.15
URG logoUr-Energy Inc.URG$1.49-0.01
-1.00%
$541.77M2.47M-11.42-0.13
BALY logoBally's CorporationBALY$11.021.02
+10.21%
$541.38M295.35K----
ACIC logoAmerican Coastal Insurance Corporation Common StockACIC$11.090.19
+1.74%
$540.81M60.98K6.801.63
HELE logoHelen Of Troy LtdHELE$23.530.11
+0.47%
$540.14M194.35K-1.62-14.52
ASC logoARDMORE SHIPPING CORPORATIONASC$13.270.03
+0.23%
$540.01M197.92K12.881.03
VSTS logoVestis CorporationVSTS$4.09-0.02
-0.36%
$539.88M889.25K51.190.08
OLMA logoOlema Pharmaceuticals, Inc. Common StockOLMA$7.86-0.03
-0.34%
$539.67M252.72K-3.59-2.19
P
Picard Medical, Inc.PMI
$7.38-0.22
-2.96%
$538.09M1.12M----
THRY logoThryv Holdings, Inc. Common StockTHRY$12.240.12
+0.99%
$537.78M87.04K-1.27-9.67
CWCO logoConsolidated Water Co IncCWCO$33.730.34
+1.00%
$537.29M24.65K----
BLZE logoBackblaze, Inc. Class A Common StockBLZE$9.50-0.05
-0.51%
$536.45M156.96K-10.68-0.89
FISI logoFinancial Institutions IncFISI$26.640.35
+1.33%
$536.25M19.19K-17.53-1.52
GAIN logoGladstone Investment CorporationGAIN$14.03-0.01
-0.07%
$536.22M104.05K7.881.78
CRD.A logoCrawford & Company Class ACRD.A$10.770.35
+3.36%
$534.62M15.54K18.250.59
BHB logoBar Harbor BanksharesBHB$32.020.41
+1.31%
$534.10M9.82K12.412.58
IBEX logoIBEX Limited Common SharesIBEX$39.911.02
+2.61%
$533.63M78.69K17.432.29
BAND logoBandwidth Inc. Class A Common StockBAND$17.681.16
+7.03%
$532.95M116.04K-52.01-0.34
ZIMV logoZimVie Inc. Common StockZIMV$18.88-0.02
-0.08%
$532.48M122.99K-26.96-0.70
OTLY logoOatly Group AB - ADROTLY$17.480.08
+0.46%
$529.83M24.81K-2.57-6.80
JELD logoJELD-WEN Holding, Inc.JELD$6.20-0.05
-0.86%
$529.16M263.26K-1.54-4.03
L
Lithium Argentina AGLAR
$3.250.04
+1.40%
$528.29M481.85K-46.50-0.07
A
AIRO Group Holdings, Inc. Common StockAIRO
$19.23-0.60
-3.02%
$527.36M495.48K----
DAVA logoEndava plc - ADRDAVA$9.700.06
+0.67%
$526.71M390.00K21.540.45
UNTY logoUnity BancorpUNTY$52.371.09
+2.14%
$525.43M19.23K12.904.06
OPT logoOpthea Limited - ADROPT$3.410.00
0.00%
$524.82M3.02K----
PFIS logoPeoples Financial Services Corp.PFIS$52.451.16
+2.27%
$524.17M36.42K46.411.13
WEST logoWestrock Coffee Company Common StockWEST$5.530.27
+5.04%
$523.26M199.02K-5.88-0.94
L
LZ Technology Holdings Limited Class B Ordinary SharesLZMH
$3.440.00
0.00%
$523.12M137.26K----
PSNL logoPersonalis, Inc. Common StockPSNL$5.880.01
+0.26%
$521.86M183.20K-3.50-1.68
CMTG logoClaros Mortgage Trust, Inc.CMTG$3.720.13
+3.51%
$519.58M269.03K-1.25-2.98
GLAD logoGladstone Capital CorpGLAD$23.250.31
+1.37%
$519.28M104.36K5.903.94
GMRE logoGlobal Medical REIT Inc.GMRE$7.750.13
+1.77%
$518.64M282.35K258.500.03
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