| | | | | |
TSSI TSS, Inc. Common Stock | $8.6650 | -6.22% | $275.68M | $621.23K | |
ELDN Eledon Pharmaceuticals, Inc. Common Stock | $3.3050 | -2.79% | $275.56M | $997.05K | |
NHIV NewHold Investment Corp IV Class A Ordinary Shares | $10.1300 | +0.30% | $274.74M | $6.41K | |
TTGT TechTarget, Inc. Common Stock | $4.5100 | +0.90% | $274.73M | $476.41K | |
| $10.8450 | +0.05% | $274.40M | $108.19K | |
| $2.1400 | -1.38% | $273.68M | $259.16K | |
XSLL Xsolla SPAC 1 Class A Ordinary Shares | $9.9300 | +0.10% | $273.47M | $242.00 | |
RILY BRC Group Holdings, Inc. Common Stock | $6.5650 | -2.31% | $273.32M | $536.18K | |
| $3.0800 | -9.14% | $272.87M | $1.67M | |
PMM Franklin Managed Municipal Income Trust | $6.3000 | -0.47% | $272.84M | $113.36K | |
HVII Hennessy Capital Investment Corp. VII Ordinary Shares | $10.4750 | -0.05% | $272.72M | $83.09K | |
OSUR OraSure Technologies Inc | $3.9700 | -1.24% | $272.64M | $283.86K | |
ZH Zhihu Inc. American Depositary Shares, each representing three (3) Class A Ordinary Shares | $3.3400 | +2.45% | $272.52M | $241.85K | |
MIN Aberdeen Intermediate Income Fund | $2.4200 | +0.83% | $271.97M | $66.52K | |
ALXO ALX Oncology Holdings Inc. Common Stock | $1.9500 | -2.01% | $271.81M | $381.14K | |