| | | | | |
VRRM Verra Mobility Corporation Class A Common Stock | $4,2350 | -2,42 % | $653,19M | $1,47M | |
| $6,6950 | +0,23 % | $651,69M | $227,46K | |
ACP abrdn Income Credit Strategies Fund | $5,2350 | -0,29 % | $651,19M | $186,17K | |
CCOI Cogent Communications Holdings, Inc. | $11,9130 | -2,23 % | $650,50M | $362,53K | |
BBOT BridgeBio Oncology Therapeutics, Inc. Common Stock | $8,2350 | -2,08 % | $649,66M | $136,24K | |
TRTX TPG RE Finance Trust, Inc. Common Stock | $8,4150 | +0,90 % | $649,38M | $177,36K | |
VINP Vinci Compass Investments Ltd. Class A Common Shares | $9,7920 | -1,29 % | $649,26M | $4,17K | |
CNNE Cannae Holdings, Inc. Common Stock | $14,4850 | +0,73 % | $646,80M | $192,28K | |
| $15,6480 | +4,25 % | $645,70M | $160,90K | |
DRUG Bright Minds Biosciences Inc. Common Stock | $64,8650 | -2,69 % | $645,53M | $93,82K | |
ANL Adlai Nortye Ltd. American Depositary Shares | $10,7840 | -1,25 % | $643,97M | $58,19K | |
EVH Evolent Health, Inc Class A Common Stock | $5,4850 | -4,44 % | $642,26M | $1,27M | |
SGP SpyGlass Pharma, Inc. Common Stock | $19,4650 | +1,96 % | $640,24M | $58,91K | |
DMII Drugs Made In America Acquisition II Corp. Ordinary Shares | $10,0900 | +0,00 % | $638,91M | $15,09K | |
PDT John Hancock Premium Dividend Fund | $12,9950 | +0,04 % | $636,45M | $102,69K | |