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Symbol
Company
Sector
Industry
Employees
RPE
Revenue
EBITDA
Income
Current ratio
Quick ratio
Headquarters Location
IPO year
Performance today
180 Degree Capital Corp Finance Asset Management & Custody Banks 35 $104.274k $3.650M $42.276M -$24.12 23.14 22.01 United States 1983 +0.30%
1st Constitution Bancorp Finance Regional Banks 211 N/A N/A N/A $21.576M N/A N/A United States 2000 +3.81%
AAON Inc. Materials Construction Materials 1,392 $857.955k $1.194B $296.161M $186.371M 2.99 1.70 United States 1991 +3.94%
Abeona Therapeutics Inc Health Care Biotechnology 99 $0.00 $0.00 N/A -$52.60 7.48 7.48 United States 2003 +0.54%
Acacia Research Corp Industrials Business Services 29 $5.260M $152.553M $47.314M $60.471M 11.17 10.90 United States 2002 -0.85%
Acadia Healthcare Company Inc Health Care Health Care Services 40,600 $75.301k $3.057B $672.171M -$5.12 1.18 1.18 United States 2011 +1.02%
Adobe Inc Technology Application Software 22,516 $907.310k $20.429B $6.368B $5.079B 1.16 1.16 United States 1986 +1.03%
ADTRAN Holdings Inc Technology Communications Equipment 1,335 $711.591k $949.974M N/A -$557.10 2.31 1.31 United States 1994 +3.81%
Advanced Emissions Solutions Inc Industrials Environmental & Facilities Services 0 N/A N/A N/A -$18.71 4.15 3.31 United States 2013 +3.07%
Advanced Micro Devices Inc. Technology Semiconductors 25,000 $931.040k $23.276B $3.375B $1.354B 2.82 2.01 United States 1978 +4.91%
Agilysys, Inc Technology Application Software 1,905 $128.564k $244.915M $27.380M $98.008M 2.41 2.34 United States 1978 +1.07%
Air T Inc Industrials Transportation Infrastructure 125 $2.255M $281.813M $9.063M -$6.62 2.15 0.92 United States 1984 -0.04%
Alaska Communications Systems Group Inc Communication Services Telecommunication Services 0 N/A $242.971M $61.608M -$2.85 1.26 0.99 United States 1999 +0.29%
Alico Inc. Consumer Staples Agricultural Products 0 N/A $46.388M -$31.08 $26.037M 2.67 0.90 United States 1978 -1.42%
Allegiance Bancshares Inc Finance Regional Banks 598 $438.207k $262.048M $114.145M $75.712M N/A N/A United States 2015 -0.86%
Allegiant Travel Industrials Airlines 3,084 $810.328k $2.499B $359.472M -$14.24 0.74 0.71 United States 2006 +3.12%
Allied Healthcare Product Inc. Health Care Health Care Equipment 146 N/A N/A N/A -$5.36 2.69 0.95 United States 1992 +0.00%
Allied Motion Technologies Inc Technology Electronic Components 0 $533.269k $557.799M N/A $23.389M 2.73 1.40 United States 1980 +2.07%
Veradigm Inc Technology Application Software 6,445 $129.898k $837.191M $110.009M $60.634M 3.20 3.20 United States 1999 -0.10%
Alphabet Inc Technology Internet Services & Infrastructure 190,234 $1.726M $328.284B $110.006B $66.990B 2.52 2.47 United States 2004 +1.43%
Alphabet Inc Technology Internet Services & Infrastructure 190,234 $1.726M $328.284B $110.006B $87.657B 2.08 2.08 United States 2004 +1.68%
Altisource Portfolio Solutions S.A. Industrials Business Services 6,400 $23.275k $148.960M -$16.75 -$42.00 0.20 0.20 Luxembourg 2009 +1.92%
Altra Industrial Motion Corp Industrials Industrial Conglomerates 9,300 $209.194k $1.946B $353.000M $127.000M 2.22 1.32 United States 2006 -0.02%
Amazon.com Inc. Consumer Discretionary Specialty Retail 1,541,000 $392.170k $604.334B $63.780B $44.419B 1.10 0.88 United States 1997 +2.77%
Amdocs Ltd Technology Internet Services & Infrastructure 25,000 $199.347k $4.984B $812.419M $541.621M 1.32 1.32 United States 1998 -0.92%
Amedisys Inc. Health Care Health Care Services 0 $282.705k $2.290B $197.040M $91.983M 1.16 1.16 United States 2000 -0.54%
U-Haul Holding Company Industrials Diversified Support Services 30,000 $187.795k $5.634B $1.964B $567.286M 3.09 2.72 United States 1994 +0.72%
Greystone Housing Impact Investors LP Finance Specialized Finance 2,020 N/A N/A N/A $64.836M 8.36 7.65 United States 1986 -2.77%
America Movil, S.A.B. de C.V. Communication Services Telecommunication Services 181,205 MXN$2.438M MXN$441.784B MXN$286.109B MXN$185.894B 0.69 0.63 Mexico 2001 -1.10%
American Airlines Group Inc Industrials Airlines 133,700 $399.761k $53.448B $6.918B -$121.00 0.60 0.50 United States 2013 -2.00%
American National Group Inc Finance Property & Casualty Insurance 0 N/A $3.850B $389.733M $637.921M 1.23 1.06 United States 1978 +0.18%
American River Bancshares Finance Regional Banks 100 N/A N/A N/A $8.895M N/A N/A United States 2000 +2.00%
American Woodmark Corp. Consumer Discretionary Home Furnishings 10,070 $179.580k $1.808B $239.977M $107.999M 1.98 1.14 United States 1986 -0.94%
Amerisafe Inc Finance Property & Casualty Insurance 0 $809.097k $309.075M $77.383M $57.060M 2.70 1.78 United States 2005 -2.01%
Ameriserv Financial Inc Miscellaneous n/a 314 N/A N/A N/A N/A N/A N/A N/A 1998 +8.16%
Apple Inc Consumer Discretionary Consumer Electronics 164,000 $2.351M $385.603B $131.781B $101.956B 0.95 0.91 United States 1980 +1.16%
ARCA biopharma Inc Health Care Biotechnology 21 $0.00 $0.00 N/A -$7.20 26.61 26.61 United States 2009 -4.00%
Arch Capital Group Ltd Finance Multi-line Insurance 4,500 N/A N/A N/A $1.658B 2.13 1.21 Bermuda 2016 +0.04%
Art`s-way Manufacturing Co. Inc. Industrials Agricultural & Farm Machinery 28 $979.406k $27.423M N/A -$880.29 1.56 0.36 United States 1978 -0.54%
ASML Holding NV Technology Semiconductor Equipment 37,704 €747.167k €28.171B €9.685B €7.678B 1.54 0.88 Netherlands 1995 +6.49%
Aspen Technology Inc Technology Application Software 0 $315.468k $1.127B $419.542M -$9.77 2.60 2.60 United States 1994 -0.90%
Asta Funding, Inc. Finance Consumer Finance 56 N/A N/A N/A $3.242M 2.22 2.19 United States 1995 -0.15%
Astronics Corp. Industrials Aerospace & Defense 451 $1.644M $741.402M $27.781M -$11.65 2.92 1.50 United States 1978 +0.48%
AstroNova Inc Technology Systems Software 0 $591.980k $145.627M N/A $5.027M 3.07 1.10 United States 1983 +1.15%
Atlanticus Holdings Corp Finance Consumer Finance 0 $835.966k $363.645M $147.920M $76.712M 22.07 21.25 United States 1995 +0.72%
Autodesk Inc. Technology Application Software 18,990 $268.773k $5.104B $1.086B $917.000M 0.64 0.64 United States 1985 +0.53%
Avis Budget Group Inc Industrials Diversified Support Services 30,000 $397.567k $11.927B $5.019B $785.000M 0.86 0.86 United States 2010 +2.49%
Aware Inc. Technology Application Software 0 $123.405k $19.498M N/A -$5.17 5.11 5.11 United States 1996 +1.86%
Axogen Inc. Health Care Health Care Equipment 0 $415.031k $173.483M N/A -$16.54 3.51 2.32 United States 2003 +0.84%
B Communications Ltd. Communication Services Telecommunication Services 0 N/A $2.506B N/A -$853.00 1.29 1.24 Israel 2007 +0.00%