Stock Rankings by Market Cap - Rankings 4401 to 4500
Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 4401 to 4500.
4401
SHOT Safety Shot, Inc. Common Stock $0.4325
$62.66M
3.054M
$1.32M
4402
MOBX Mobix Labs, Inc. Class A Common Stock $1.14
$62.57M
1.855M
$2.11M
4403
$5.86
$62.49M
26.867K
$157.44K
4404
JG Aurora Mobile Limited American Depositary Shares $10.39
$62.38M
8.995K
$93.47K
4405
XHG XChange TEC.INC American Depositary Shares $1.21
$62.37M
7.316K
$8.85K
4406
ANL Adlai Nortye Ltd. American Depositary Shares $1.69
$62.36M
1.204K
$2.03K
4407
NSTS NSTS Bancorp, Inc. Common Stock $11.90
$62.34M
202
$2.40K
4408
ENGS Energys Group Limited Ordinary Shares $4.37
$62.27M
987.829K
$4.32M
4409
ODYS Odysight.ai Inc. Common Stock $3.81
$62.22M
102
$388.62
4410
HCHL Happy City Holdings Limited Class A Ordinary shares $3.25
$62.08M
413.351K
$1.34M
4411
IXHL Incannex Healthcare Limited American Depositary Shares $0.6598
$61.82M
83.59M
$55.15M
4412
SELF Global Self Storage, Inc. Common Stock $5.45
$61.79M
29.164K
$158.94K
4413
ACET Adicet Bio, Inc. Common Stock $0.7395
$61.57M
190.455K
$140.84K
4414
FORA Forian Inc. Common Stock $1.97
$61.29M
6.946K
$13.68K
4415
KSCP Knightscope, Inc. Class A Common Stock $6.00
$61.10M
222.014K
$1.33M
4416
DSY Big Tree Cloud Holdings Limited Ordinary Shares $1.07
$61.06M
1.1K
$1.18K
4417
MAXN Maxeon Solar Technologies, Ltd. Ordinary Shares $3.60
$60.96M
85.738K
$308.66K
4418
CJET Chijet Motor Company, Inc. Ordinary Shares $1.97
$60.85M
4.462K
$8.79K
4419
DSWL Deswell Industries Inc $3.81
$60.71M
6.447K
$24.56K
4420
LOAN Manhattan Bridge Capital, Inc $5.31
$60.70M
26.385K
$140.03K
4421
$0.7894
$60.66M
81.041K
$63.97K
4422
AUID authID Inc. Common Stock $4.51
$60.63M
2.517K
$11.35K
4423
ALXO ALX Oncology Holdings Inc. Common Stock $1.13
$60.51M
521.268K
$589.03K
4424
SOGP Sound Group Inc. American Depositary Shares $12.25
$60.46M
12.66M
$155.08M
4425
$19.67
$60.41M
2.485K
$48.87K
4426
IZEA IZEA Worldwide, Inc. Common Stock $3.55
$60.38M
156.298K
$554.86K
4427
RMTI Rockwell Medical, Inc. (DE) Common Stock $1.75
$60.25M
7.483M
$13.10M
4428
$1.94
$60.25M
208.67K
$404.82K
4429
$0.9564
$60.03M
50.93K
$48.71K
4430
HOWL Werewolf Therapeutics, Inc. Common Stock $1.31
$59.90M
135.149K
$177.05K
4431
BRLS Borealis Foods Inc. Class A Common Shares $2.80
$59.87M
1.325K
$3.71K
4432
$1.99
$59.85M
112.526K
$223.36K
4433
KPTI Karyopharm Therapeutics Inc. $6.90
$59.83M
121.067K
$835.36K
4434
STEC Santech Holdings Limited American Depositary Shares $0.7088
$59.54M
18.18K
$12.89K
4435
SACH Sachem Capital Corp. Common Shares $1.26
$59.51M
190.536K
$239.50K
4436
EQ Equillium, Inc. Common Stock $1.66
$59.30M
1.581M
$2.62M
4437
WKEY WISeKey International Holding AG American Depositary Shares $5.28
$59.22M
50.678K
$267.58K
4438
$6.56
$59.20M
5.549K
$36.40K
4439
$21.88
$59.13M
210
$4.59K
4440
MCRP Micropolis Holding Company $1.69
$58.96M
49.729K
$84.04K
4441
JFB JFB Construction Holdings Class A Common Stock $6.20
$58.88M
29.914K
$185.47K
4442
LASE Laser Photonics Corporation Common Stock $4.12
$58.81M
643.254K
$2.65M
4443
OPTX Syntec Optics Holdings, Inc. Class A Common Stock $1.60
$58.70M
35.042K
$56.07K
4444
VHC VirnetX Holding Corporation $13.69
$58.47M
111
$1.52K
4445
$2.07
$57.82M
57.969K
$120.00K
4446
BTOC Armlogi Holding Corp. common stock $1.37
$57.69M
5.547K
$7.60K
4447
$6.15
$57.66M
30.2K
$185.73K
4448
NVNI Nvni Group Limited Ordinary Shares $0.6249
$57.65M
2.517M
$1.57M
4449
$8.48
$57.38M
34.754K
$294.71K
4450
CMTL Comtech Telecommunications $1.95
$57.34M
104.666K
$204.15K
4451
$7.11
$57.20M
28.564K
$203.09K
4452
DTIL Precision BioSciences, Inc. Common Stock $4.85
$57.17M
38.859K
$188.47K
4453
NOTV Inotiv, Inc. Common Stock $1.66
$57.03M
166.517K
$276.42K
4454
PDSB PDS Biotechnology Corporation Common Stock $1.22
$56.89M
396.153K
$483.27K
4455
$6.28
$56.81M
6.213K
$39.02K
4456
BTAI BioXcel Therapeutics, Inc. Common Stock $3.89
$56.63M
2.579M
$10.03M
4457
$0.6131
$56.39M
458.109K
$280.87K
4458
SRTS Sensus Healthcare, Inc $3.43
$56.39M
106.312K
$364.65K
4459
RENB Renovaro Inc. Common Stock $0.2428
$56.07M
713.532K
$173.25K
4460
FTHM Fathom Holdings Inc. Common Stock $1.99
$56.02M
641.585K
$1.28M
4461
LGCL Lucas GC Limited Ordinary Shares $0.5000
$55.81M
26.831K
$13.42K
4462
NYMTZ New York Mortgage Trust, Inc. 7.000% Series G Cumulative Redeemable Preferred Stock, $0.01 par value per share $18.59
$55.78M
540
$10.04K
4463
TDTH Trident Digital Tech Holdings Ltd American Depository Shares $0.7245
$55.73M
291.338K
$211.07K
4464
$2.74
$55.67M
17.125K
$46.92K
4465
NRXP NRX Pharmaceuticals, Inc. Common Stock $2.34
$55.62M
561.267K
$1.31M
4466
ATNM Actinium Pharmaceuticals, Inc $1.78
$55.53M
140.65K
$250.36K
4467
FLNT Fluent, Inc. Common Stock $2.28
$55.33M
290.18K
$661.61K
4468
YSXT YSX Tech. Co., Ltd Class A Ordinary Shares $2.36
$55.31M
121.457K
$286.64K
4469
INMB INmune Bio Inc. Common stock $2.07
$55.03M
519.412K
$1.08M
4470
DXR Daxor Corporation Common Stock $11.00
$54.58M
7.303K
$80.33K
4471
PYPD PolyPid Ltd. Ordinary Shares $3.43
$54.53M
19.698K
$67.56K
4472
AEI Alset Inc. Common Stock (TX) $1.39
$54.52M
37.13K
$51.61K
4473
$4.32
$54.39M
1.475K
$6.36K
4474
SCWO 374Water Inc. Common Stock $0.3599
$54.36M
2.076M
$747.14K
4475
TPCS Techprecision Corporation $5.46
$54.34M
60.465K
$330.14K
4476
FSEA First Seacoast Bancorp, Inc. Common Stock $11.50
$54.08M
1.652K
$19.00K
4477
BDL Flanigan's Enterprises Inc $29.04
$53.98M
2.315K
$67.23K
4478
$22.15
$53.96M
4.389K
$97.22K
4479
CDLX Cardlytics, Inc. Common Stock $1.01
$53.77M
868.258K
$877.03K
4480
YI 111, Inc. American Depositary Shares $6.20
$53.74M
51.98K
$322.28K
4481
ZONE CleanCore Solutions Inc. $6.75
$53.70M
219.506K
$1.48M
4482
SURG SurgePays, Inc. Common Stock $2.72
$53.58M
102.448K
$278.15K
4483
SOTK Sono-Tek Corporation Common Stock $3.40
$53.47M
11.003K
$37.41K
4484
CPIX Cumberland Pharmaceuticals Inc $3.57
$53.41M
26.333K
$94.01K
4485
CLST Catalyst Bancorp, Inc. Common Stock $12.83
$53.10M
678
$8.70K
4486
BIRD Allbirds, Inc. Class A Common Stock $6.50
$52.95M
14.503K
$94.27K
4487
CLNN Clene Inc. Common Stock $5.30
$52.95M
32.027K
$169.74K
4488
HTCO Caravelle International Group Ordinary Shares $9.28
$52.88M
114.448K
$1.06M
4489
VRCA Verrica Pharmaceuticals Inc. Common Stock $5.60
$52.85M
36.965K
$206.82K
4490
BHM Bluerock Homes Trust, Inc. $12.98
$52.82M
336
$4.36K
4491
CRT Cross Timbers Royalty Trust $8.80
$52.80M
4.33K
$38.10K
4492
TORO Toro Corp. Common Stock $2.75
$52.45M
31.919K
$87.78K
4493
LOCL Local Bounti Corporation $2.37
$52.43M
10.225K
$24.23K
4494
MDAI Spectral AI, Inc. Class A Common Stock $1.96
$52.39M
359.151K
$703.94K
4495
TBMC Trailblazer Merger Corporation I Class A Common Stock $11.63
$52.32M
116
$1.35K
4496
$6.35
$52.25M
139.206K
$883.96K
4497
VVPR VivoPower International PLC $5.16
$52.18M
867.178K
$4.47M
4498
PHUN Phunware, Inc. Common Stock $2.58
$52.08M
176.517K
$455.41K
4499
BEDU Bright Scholar Education Holdings Limited American Depositary Shares, each representing four (4) Class A Ordinary Shares $1.75
$52.02M
700
$1.23K
4500
UBXG U-BX Technology Ltd. Ordinary Shares $2.50
$51.96M
326.628K
$816.57K