| | | | | |
| $2,3000 | +5,51 % | $71,57M | $94,31K | |
AMTD AMTD IDEA Group American Depositary Shares, each representing six (6) Class A Ordinary Shares | $0,80240 | +13,00 % | $71,19M | $24,45K | |
ASRV AmeriServ Financial Inc | $4,4700 | -3,46 % | $71,08M | $26,22K | |
IH iHuman Inc. American depositary shares, each representing five Class A ordinary shares | $1,2900 | -4,44 % | $71,04M | $8,18K | |
| $1,8800 | +9,30 % | $71,04M | $801,21K | |
OSTX OS Therapies Incorporated | $1,6300 | +5,16 % | $71,03M | $341,12K | |
| $4,9000 | -2,39 % | $71,01M | $54,22K | |
FRMM Forum Markets, Incorporated Common Stock | $5,8500 | +11,43 % | $70,93M | $150,89K | |
KAZR Skyline Builders Group Holding Limited Class A Ordinary Shares | $2,1400 | +1,91 % | $70,86M | $92,30K | |
CEV Eaton Vance California Municipal Income Trust | $10,2000 | +1,29 % | $70,75M | $29,05K | |
PROP Prairie Operating Co. Common Stock | $0,75360 | +2,32 % | $70,71M | $1,03M | |
OCCI OFS Credit Company, Inc. Common Stock | $2,4700 | -1,59 % | $70,64M | $165,48K | |
BLNK Blink Charging Co. Common Stock | $0,56220 | +3,57 % | $70,40M | $938,92K | |
FVN Future Vision II Acquisition Corporation Ordinary shares | $10,6000 | +0,28 % | $70,38M | $72,33K | |
SUIG Sui Group Holdings Limited Common Stock | $0,88040 | +1,18 % | $70,38M | $127,31K | |