| | | | | |
TRVG trivago N.V. American Depositary Shares | $5,8500 | -0,17 % | $423,35M | $139,69K | |
HBB Hamilton Beach Brands Holding Company Class A Common Stock | $31,5100 | +3,45 % | $422,76M | $86,51K | |
DFP FLAHERTY & CRUMRINE DYNAMIC PREFERRED AND INCOME FUND INCORPORATED | $20,4000 | -0,10 % | $422,05M | $51,01K | |
FIP FTAI Infrastructure Inc. Common Stock | $3,3900 | +0,30 % | $421,90M | $972,07K | |
PACK Ranpak Holdings Corp. | $4,5000 | +0,67 % | $420,21M | $450,00K | |
SFIX Stitch Fix, Inc. Class A Common Stock | $3,1000 | +2,99 % | $419,62M | $1,75M | |
| $12,2300 | +4,17 % | $419,20M | $714,06K | |
RDIB Reading International, Inc (Class B | $15,3700 | -13,20 % | $419,11M | $49,45K | |
SKYH Sky Harbour Group Corporation | $10,3500 | +0,29 % | $418,39M | $213,59K | |
NUAI New Era Energy & Digital, Inc. Common Stock | $5,1300 | +5,77 % | $418,33M | $5,46M | |
KFII K&F Growth Acquisition Corp. II Class A Ordinary shares | $10,6500 | +0,00 % | $418,07M | $303,08K | |
BCCQ Bleichroeder Acquisition Corp. III Class A Ordinary Shares | $10,0400 | +0,00 % | $417,49M | $46,10K | |
ISTR Investar Holding Corporation | $30,4150 | +2,20 % | $417,30M | $96,20K | |
BOC Boston Omaha Corporation | $13,8000 | +0,73 % | $417,25M | $138,17K | |
CWH Camping World Holdings, Inc. | $6,7500 | +4,01 % | $416,79M | $1,58M | |