| | | | | |
IGR CBRE Global Real Estate Income Fund | $4,5450 | -1,41% | $694,92M | $369,41K | |
BTBT Bit Digital, Inc. Ordinary Shares | $1,8050 | +0,28% | $694,88M | $24,96M | |
MTA Metalla Royalty & Streaming Ltd. | $7,6750 | +0,85% | $693,34M | $311,96K | |
| $19,2950 | +2,31% | $693,19M | $70,48K | |
ADSE ADS-TEC ENERGY PLC Ordinary Shares | $11,8500 | -7,06% | $690,80M | $8,36K | |
PFN PIMCO Income Strategy Fund II | $7,1550 | +0,35% | $690,20M | $331,04K | |
PSTL Postal Realty Trust, Inc | $24,8600 | +0,89% | $687,95M | $247,38K | |
NKLR Terra Innovatum Global N.V. Ordinary shares | $4,8460 | -1,50% | $686,21M | $154,81K | |
SATL Satellogic Inc. Class A Ordinary Shares | $5,7250 | +0,09% | $684,88M | $3,95M | |
VRRM Verra Mobility Corporation Class A Common Stock | $4,2650 | +0,35% | $683,57M | $2,86M | |
TCMD Tactile Systems Technology, Inc. | $30,6460 | +2,91% | $683,00M | $107,05K | |
| $8,2250 | +6,82% | $682,62M | $1,56M | |
AXG Solowin Holdings Class A Ordinary Share | $3,2650 | -0,15% | $682,12M | $10,18K | |
SWBI Smith & Wesson Brands, Inc. Common Stock | $15,0350 | -0,03% | $681,19M | $281,03K | |
AGMB AgomAb Therapeutics NV American Depositary Shares | $11,8660 | -8,55% | $680,11M | $81,25K | |