1 | GBLIGlobal Indemnity Group LLC (DE) | United States | $476.1M | 5.1K | $28.74 | 27.51 |
2 | UNHUnitedHealth Group | United States | $548.3B | 8.3M | $418.49 | 27.70 |
3 | CGTLCREATIVE GLOBAL TECHNOLOGY HOLDINGS LIMITED | Hong Kong | $128.2M | 824.9K | $1.51 | 23.71 |
4 | CHDNChurchill Downs Incorporated | United States | $9.0B | 990.5K | $88.35 | 28.65 |
5 | NHICNEWHOLD INVESTMENT CORP III | United States | $274.7M | 24.3K | $9.95 | 0.00 |
6 | MYGNMyriad Genetics Inc. | United States | $744.7M | 1.4M | $7.42 | 29.29 |
7 | INTSIntensity Therapeutics Inc. Common stock | United States | $30.8M | 239.3K | $0.57 | 13.81 |
8 | SDASunCar Technology Group Inc. | China | $548.5M | 185.4K | $2.86 | 29.32 |
9 | | United States | $148.7M | 811.4K | $1.70 | 23.23 |
10 | WTFWATON FINANCIAL LIMITED | Hong Kong | $339.6M | 2.4M | $7.39 | 20.44 |
11 | | United States | $419.8M | 546.5K | $6.71 | 29.90 |
12 | | United States | $718.0M | 146.5K | $29.15 | 25.42 |
13 | OKURONKURE THERAPEUTICS INC | United States | $76.6M | 77.2K | $2.60 | 21.24 |
14 | CCRNCross Country Healthcare Inc. $0.0001 Par Value | United States | $452.6M | 237.9K | $13.75 | 21.80 |
15 | YXTYXT.COM GROUP HOLDING LIMITED SPON ADS EA REP 3 CL A SHS | China | $102.1M | 87.9K | $0.50 | 23.81 |
16 | | United States | $1.0B | 1.3M | $14.95 | 29.28 |
17 | NOVASunnova Energy International Inc. | United States | $95.9M | 12.9M | $0.21 | 29.47 |
18 | MERCMercer International Inc. | Canada | $468.8M | 467.5K | $4.46 | 26.52 |
19 | LCUTLifetime Brands Inc. | United States | $84.0M | 61.3K | $3.59 | 24.17 |
20 | | United States | $895.0M | 68.4M | $0.81 | 25.72 |
21 | LRFCLogan Ridge Finance Corporation | United States | $47.7M | 10.6K | $18.00 | 26.07 |
22 | AKAa.k.a. Brands Holding Corp. | United States | $126.7M | 7.4K | $7.66 | 27.69 |
23 | BMYBristol-Myers Squibb Company | United States | $120.5B | 15.3M | $47.88 | 26.51 |
24 | APLSApellis Pharmaceuticals Inc. | United States | $3.3B | 2.8M | $17.49 | 26.80 |
25 | LSBLAKESHORE BIOPHARMA CO LTD | China | $31.5M | 27.4K | $1.22 | 28.36 |
26 | WRDWERIDE INC. SPON ADS EACH REP 3 CL A ORD SHS | China | $5.5B | 2.7M | $7.04 | 28.62 |
27 | CGBSCrown LNG Holdings Limited Ordinary Shares | Jersey | $110.7M | 1.0M | $0.13 | 29.75 |
28 | BHRBraemar Hotels & Resorts Inc. | United States | $131.4M | 364.3K | $1.92 | 28.73 |
29 | DJTWWTrump Media & Technology Group Corp. | United States | $2.8B | 172.0K | $16.67 | 3.28 |
30 | ASYSAmtech Systems Inc. | United States | $70.3M | 67.6K | $3.50 | 28.50 |
31 | | Belgium | $394.1M | 286.4K | $5.87 | 29.73 |
32 | | Luxembourg | $3.4B | 143.3K | $7.94 | 29.94 |
33 | AZULAzul S.A. (each representing three preferred shares) | Brazil | $214.5M | 5.2M | $0.94 | 20.14 |
34 | EMLEastern Company (The) | United States | $130.9M | 13.7K | $19.61 | 27.15 |
35 | BNRBurning Rock Biotech Limited | China | $30.9M | 17.4K | $2.84 | 23.18 |
36 | WHWKWhitehawk Therapeutics Inc. Common Stock | United States | $48.3M | 92.2K | $1.45 | 27.49 |
37 | DEAEasterly Government Properties Inc. | United States | $844.3M | 2.0M | $8.17 | 29.16 |
38 | AONAon plc (Ireland) | Ireland | $81.3B | 1.7M | $335.92 | 29.50 |
39 | ASGNASGN Incorporated | United States | $2.6B | 537.5K | $51.41 | 26.54 |
40 | NTICNorthern Technologies International Corporation | United States | $105.9M | 50.0K | $7.47 | 29.65 |
41 | HXHXHaoxin Holdings Limited Class A Ordinary Shares | China | $36.9M | 1.8M | $2.07 | 20.79 |
42 | HELEHelen of Troy Limited | United States | $1.3B | 811.4K | $28.61 | 24.96 |
43 | HITHealth In Tech Inc. Class A Common Stock | United States | $37.2M | 671.9K | $0.66 | 25.63 |
44 | DXLGDestination XL Group Inc. | United States | $128.2M | 328.0K | $0.98 | 28.19 |