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Ticker
Name
Financial Strength
Piotroski-F Score
Price
Industry
Sector
Index Fund
PE Ratio
Forward PE Ratio
LILAK
Liberty Latin America Ltd. Class C Common Stock
0.3
3
13.26
Television Services
Consumer Services
48.14
LOPE
Grand Canyon Education Inc. Common Stock
0.7
7
89.66
Other Consumer Services
Consumer Services
16.08
13.39
LRN
Stride Inc. Common Stock
0.5
7
28.68
Other Consumer Services
Consumer Services
18.62
22.25
LYFT
Lyft Inc. Class A Common Stock
0.5
2
58.55
Business Services
Miscellaneous
89.69
MCY
Mercury General Corporation Common Stock
0.5
8
62.1
Property-Casualty Insurers
Finance
5.67
18.58
MGF
MFS Government Markets Income Trust Common Stock
0.5
3
4.41
12.84
MMS
Maximus Inc. Common Stock
0.7
7
87.7
Business Services
Miscellaneous
20.06
19.71
MRVL
Marvell Technology Group Ltd. Common Stock
0.4
4
56.27
Semiconductors
Technology
30.59
OPT
Opthea Limited American Depositary Shares
0.6
3
7.56
RAPT
RAPT Therapeutics Inc. Common Stock
1
4
33.7
Major Pharmaceuticals
Health Care
RPAI
Retail Properties of America Inc. Class A Common Stock
0.3
3
11.15
Real Estate Investment Trusts
Consumer Services
308.65
SCHN
Schnitzer Steel Industries Inc. Class A Common Stock
0.6
5
49.49
Industrial Specialties
Consumer Durables
11.48
9.0
SFIX
Stitch Fix Inc. Class A Common Stock
0.6
4
59.08
Catalog/Specialty Distribution
Consumer Services
SPR
Spirit Aerosystems Holdings Inc. Common Stock
0.2
1
46.27
Military/Government/Technical
Capital Goods
750.5
STT
State Street Corporation Common Stock
0.4
4
79.59
Major Banks
Finance
S&P 500
13.4
10.12
XGN
Exagen Inc. Common Stock
0.6
14.35
Medical Specialities
Health Care
CRMD
CorMedix Inc. Common Stock
0.7
4
6.9
Major Pharmaceuticals
Health Care
DWIN
Delwinds Insurance Acquisition Corp. Class A Common Stock
0.5
9.8
Business Services
Finance
DWSN
Dawson Geophysical Company Common Stock
0.6
3
2.66
Oil & Gas Production
Energy
EMN
Eastman Chemical Company Common Stock
0.4
5
111.52
Major Chemicals
Basic Industries
S&P 500
31.66
12.47
ENOB
Enochian Biosciences Inc. Common Stock
0.5
2
4.95
Major Pharmaceuticals
Health Care
ESLT
Elbit Systems Ltd. Ordinary Shares
0.4
5
127.6
Military/Government/Technical
Capital Goods
23.26
15.87
ETR
Entergy Corporation Common Stock
0.3
6
102.27
Electric Utilities: Central
Public Utilities
S&P 500
12.89
16.28
EWBC
East West Bancorp Inc. Common Stock
0.3
6
69.11
Major Banks
Finance
15.89
12.5
FGRO
Fidelity Growth Opportunities ETF
21.04
FRBA
First Bank Common Stock
0.3
7
13.04
10.03
9.09
FRSX
Foresight Autonomous Holdings Ltd. American Depositary Shares
0.6
2
3.87
Computer Software: Prepackaged Software
Technology
GOGL
Golden Ocean Group Limited Common Stock
0.4
7
10.07
Marine Transportation
Consumer Services
37.52
6.8
GTEC
Greenland Technologies Holding Corporation Ordinary Shares
0.4
5
7.51
Industrial Machinery/Components
Technology
8.9
10.37
IEC
IEC Electronics Corp. Common Stock
0.4
4
10.77
Electrical Products
Technology
22.69
12.24
JHG
Janus Henderson Group plc Ordinary Shares
0.7
7
38.06
Investment Managers
Finance
12.4
10.44
KRO
Kronos Worldwide Inc Common Stock
0.5
6
13.62
Major Chemicals
Basic Industries
28.57
13.06
LKFN
Lakeland Financial Corporation Common Stock
0.3
8
58.42
Major Banks
Finance
16.53
17.39
MLSS
Milestone Scientific Inc. Common Stock
0.7
2
2.08
Industrial Specialties
Health Care
NMS
Nuveen Minnesota Quality Municipal Income Fund
0.5
4
16.17
NTZ
Natuzzi S.p.A.
0.3
7
19.35
Home Furnishings
Consumer Durables
NVEE
NV5 Global Inc. Common Stock
0.6
5
93.82
Other Consumer Services
Consumer Services
54.65
20.17
OCCI
OFS Credit Company Inc. Common Stock
0.6
6
14.3
3.26
OMAB
Grupo Aeroportuario del Centro Norte S.A.B. de C.V. ADS
0.5
5
52.75
Aerospace
Transportation
94.73
16.25
OYST
Oyster Point Pharma Inc. Common Stock
0.7
17.35
Biotechnology: Biological Products (No Diagnostic Substances)
Health Care
PFIN
P & F Industries Inc. Class A Common Stock
0.4
4
6.75
Industrial Machinery/Components
Technology
PFO
Flaherty & Crumrine Preferred and Income Opportunity Fund Incorporated
0.2
4
13.54
15.35
PIXY
ShiftPixy Inc. Common Stock
0.3
3
1.98
Diversified Commercial Services
Technology
PNC
PNC Financial Services Group Inc. (The) Common Stock
0.3
7
183.23
Major Banks
Finance
S&P 500
21.01
13.71
REAL
The RealReal Inc. Common Stock
0.3
3
18.08
Other Specialty Stores
Consumer Services
RNA
Avidity Biosciences Inc. Common Stock
0.7
24.42
Major Pharmaceuticals
Health Care
SFBC
Sound Financial Bancorp Inc. Common Stock
0.3
6
43.83
Savings Institutions
Finance
11.55
SIVB
SVB Financial Group Common Stock
0.4
5
544.87
Major Banks
Finance
S&P 500
18.2
21.24
SSBI
Summit State Bank Common Stock
0.2
6
15
8.13
VRTX
Vertex Pharmaceuticals Incorporated Common Stock
0.8
7
197.74
Major Pharmaceuticals
Health Care
S&P 500
18.93
16.07
WU
Western Union Company (The) Common Stock
0.4
6
22.94
Business Services
Miscellaneous
S&P 500
12.84
10.15
ZNTE
Zanite Acquisition Corp. Class A Common Stock
0.5
10.05
Business Services
Finance
FEIM
Frequency Electronics Inc. Common Stock
0.5
8
9.7
Electrical Products
Capital Goods
141.88
FHI
Federated Hermes Inc. Common Stock
0.7
5
32.6
Investment Managers
Finance
9.89
10.59
GLP
Global Partners LP Global Partners LP Common Units representing Limited Partner Interests
24.77
Oil Refining/Marketing
Energy
10.22
15.76
GRBK
Green Brick Partners Inc. Common Stock
0.5
5
21.93
Homebuilding
Capital Goods
9.39
6.02
HLIO
Helios Technologies Inc. Common Stock
0.4
5
77.34
Metal Fabrications
Capital Goods
46.78
20.09
HSBC
HSBC Holdings plc. Common Stock
0.3
4
28.17
Savings Institutions
Finance
19.69
19.46
ICFI
ICF International Inc. Common Stock
0.5
6
88.88
Professional Services
Consumer Services
27.45
17.65
IGT
International Game Technology Ordinary Shares
0.2
3
22.5
Services-Misc. Amusement & Recreation
Consumer Services
17.44
IKNX
Ikonics Corporation
0.6
4
20.58
Industrial Machinery/Components
Miscellaneous
ISEE
IVERIC bio Inc. Common Stock
0.6
2
9.42
Major Pharmaceuticals
Health Care
JBLU
JetBlue Airways Corporation Common Stock
0.2
2
16.06
Air Freight/Delivery Services
Transportation
15.05
JOBS
51job Inc. American Depositary Shares
0.7
6
77.11
Diversified Commercial Services
Technology
35.93
22.33
JRSH
Jerash Holdings (US) Inc. Common Stock
0.7
2
6.7
Apparel
Consumer Non-Durables
18.17
9.78
KINZ
KINS Technology Group Inc. Class A Common Stock
0.5
9.88
Business Services
Finance
GSIT
GSI Technology Common Stock
0.7
1
5.16
Semiconductors
Technology
HGLB
Highland Global Allocation Fund Common Stock
0.7
9.11
HQH
Tekla Healthcare Investors Common Stock
0.7
5
25.77
4.69
ICMB
Investcorp Credit Management BDC Inc. Common Stock
0.3
5
5.74
8.82
INM
InMed Pharmaceuticals Inc. Common Shares
0.7
1
2.87
Major Pharmaceuticals
Health Care
JAMF
Jamf Holding Corp. Common Stock
0.8
33.1
Computer Software: Prepackaged Software
Technology
105.0
JMIA
Jumia Technologies AG American Depositary Shares each representing two Ordinary Shares
0.7
4
25.56
Catalog/Specialty Distribution
Consumer Services
LEVL
Level One Bancorp Inc. Common Stock
0.2
7
26
Major Banks
Finance
8.36
8.9
LIN
Linde plc Ordinary Share
0.5
7
286.99
Major Chemicals
Basic Industries
S&P 500
53.25
26.45
MYO
Myomo Inc. Common Stock
0.6
5
9.67
Industrial Specialties
Health Care
NEX
NexTier Oilfield Solutions Inc. Common Stock
0.4
3
4.51
Oilfield Services/Equipment
Energy
NODK
NI Holdings Inc. Common Stock
0.7
9
19.32
Property-Casualty Insurers
Finance
7.75
NTST
NetSTREIT Corp. Common Stock
0.4
23.94
Real Estate Investment Trusts
Consumer Services
304.43
69.31
OMEX
Odyssey Marine Exploration Inc. Common Stock
6.04
Marine Transportation
Consumer Services
PGEN
Precigen Inc. Common Stock
0.2
5
6.02
Major Pharmaceuticals
Health Care
PLXP
PLx Pharma Inc. Common Stock
0.5
3
12.55
Major Pharmaceuticals
Health Care
POWW
AMMO Inc. Common Stock
0.7
5
8.13
Ordnance And Accessories
Capital Goods
19.6
PTSI
P.A.M. Transportation Services Inc. Common Stock
0.4
5
53.14
Trucking Freight/Courier Services
Transportation
9.9
REPX
Riley Exploration Permian Inc. Common Stock
0.4
4
24.07
Oil & Gas Production
Energy
7.53
SJW
SJW Group Common Stock (DE)
0.3
6
64.55
Water Supply
Public Utilities
30.42
26.18
SON
Sonoco Products Company Common Stock
0.5
6
66.99
Containers/Packaging
Consumer Durables
34.21
17.83
TLIS
Talis Biomedical Corporation Common Stock
0.6
10.05
Biotechnology: Laboratory Analytical Instruments
Capital Goods
WFG
West Fraser Timber Co. Ltd Common stock
0.7
7
74.91
Forest Products
Basic Industries
XELA
Exela Technologies Inc. Common Stock
0.1
4
2.8
Business Services
Miscellaneous
ZCMD
Zhongchao Inc. Class A Ordinary Shares
0.8
4
1.74
Other Consumer Services
Consumer Services
9.39
AACG
ATA Creativity Global American Depositary Shares
0.4
3
2.66
Other Consumer Services
Consumer Services
ACCD
Accolade Inc. Common Stock
0.7
7
52.36
ACER
Acer Therapeutics Inc. Common Stock (DE)
0.4
3
2.54
Major Pharmaceuticals
Health Care
ACKIT
Ackrell SPAC Partners I Co. Subunits
9.96
Business Services
Finance
AEL
American Equity Investment Life Holding Company Common Stock
0.5
7
30.4
Life Insurance
Finance
4.32
6.51
AIN
Albany International Corporation Common Stock
0.6
7
86.65
Textiles
Basic Industries
24.36
25.82
AM
Antero Midstream Corporation Common Stock
0.3
7
10.31
Natural Gas Distribution
Public Utilities
13.81
12.77
ANDA
Andina Acquisition Corp. III Ordinary Shares
0.8
3
10.21
Business Services
Finance
ATC
Atotech Limited Common Shares
0.3
24.8
Major Chemicals
Basic Industries
34.58
ATEC
Alphatec Holdings Inc. Common Stock
0.4
6
14.08
Medical/Dental Instruments
Health Care
ATHA
Athira Pharma Inc. Common Stock
0.7
10.57
Biotechnology: Biological Products (No Diagnostic Substances)
Health Care
AVCO
Avalon GloboCare Corp. Common Stock
0.3
5
0.93
Professional Services
Consumer Services
AVEO
AVEO Pharmaceuticals Inc. Common Stock
0.2
2
5.8
Major Pharmaceuticals
Health Care
BCAC
Brookline Capital Acquisition Corp. Common Stock
0.5
9.96
Business Services
Finance
BKE
Buckle Inc. (The) Common Stock
0.5
7
44.86
Clothing/Shoe/Accessory Stores
Consumer Services
11.21
12.35
BMEZ
BlackRock Health Sciences Trust II Common Shares of Beneficial Interest
0.7
29.34
BRT
BRT Apartments Corp. (MD) Common Stock
0.2
3
17.71
Real Estate Investment Trusts
Consumer Services
BTNB
Bridgetown 2 Holdings Limited Class A Ordinary Shares
0.5
10.01
Business Services
Finance
BVS
Bioventus Inc. Class A Common Stock
0.4
6
16.24
Medical/Dental Instruments
Health Care
13.14
BYND
Beyond Meat Inc. Common Stock
0.4
3
139.23
Packaged Foods
Consumer Non-Durables
CBFV
CB Financial Services Inc. Common Stock
0.4
4
22.28
Major Banks
Finance
12.64
CFG
Citizens Financial Group Inc. Common Stock
0.3
6
43.54
Major Banks
Finance
S&P 500
12.45
10.36
CM
Canadian Imperial Bank of Commerce Common Stock
0.3
5
112.02
Commercial Banks
Finance
11.9
8.32
CPG
Crescent Point Energy Corporation Ordinary Shares (Canada)
0.2
4
3.96
Oil & Gas Production
Energy
25.12
CPZ
Calamos Long/Short Equity & Dynamic Income Trust Common Stock
0.3
20.25
ERH
Wells Fargo Utilities and High Income Fund
0.3
4
14.38
79.44
ERYP
Erytech Pharma S.A. American Depositary Shares
0.4
1
4.65
Biotechnology: Biological Products (No Diagnostic Substances)
Health Care
ESTA
Establishment Labs Holdings Inc. Common Shares
0.5
3
82.66
Industrial Specialties
Health Care
ESTE
Earthstone Energy Inc. Class A Common Stock
0.3
2
11.02
Oil & Gas Production
Energy
10.73
EVA
Enviva Partners LP Common units representing limited partner interests
0.3
4
52.86
Forest Products
Basic Industries
223.31
23.85
FAST
Fastenal Company Common Stock
0.7
5
53
RETAIL: Building Materials
Consumer Services
S&P 500
35.66
31.39
FDEC
FT Cboe Vest U.S. Equity Buffer ETF - December
33.18
FENC
Fennec Pharmaceuticals Inc. Common Stock
0.8
5
6.55
Biotechnology: Biological Products (No Diagnostic Substances)
Health Care
FIF
First Trust Energy Infrastructure Fund Common Shares of Beneficial Interest
0.5
6
13.39
FORR
Forrester Research Inc. Common Stock
0.5
8
47.02
Diversified Commercial Services
Consumer Services
61.62
23.68
GSBC
Great Southern Bancorp Inc. Common Stock
0.3
3
50.6
Major Banks
Finance
11.34
11.25
HHC
Howard Hughes Corporation (The) Common Stock
0.2
4
92.86
Real Estate Investment Trusts
Consumer Services
162.29
24.06
KINS
Kingstone Companies Inc. Common Stock
0.4
9
7.41
Property-Casualty Insurers
Finance
13.4
12.62
LE
Lands' End Inc. Common Stock
0.4
6
38.62
Clothing/Shoe/Accessory Stores
Consumer Services
37.84
31.75
LPL
LG Display Co Ltd AMERICAN DEPOSITORY SHARES
0.4
9
10.02
Industrial Machinery/Components
Capital Goods
24.78
8.45
MMT
MFS Multimarket Income Trust Common Stock
0.3
4
6.33
23.27
MODN
Model N Inc. Common Stock
0.4
5
33.34
Computer Software: Programming Data Processing
Technology
88.61
MP
MP Materials Corp. Common Stock
0.6
36.71
Precious Metals
Basic Industries
49.15
MTRN
Materion Corporation
0.6
5
71.93
Industrial Specialties
Capital Goods
42.95
18.0
MTSI
MACOM Technology Solutions Holdings Inc. Common Stock
0.5
7
58.47
Semiconductors
Technology
25.79
NFBK
Northfield Bancorp Inc. Common Stock (Delaware)
0.2
7
15.61
Savings Institutions
Finance
15.3
13.88
NGM
NGM Biopharmaceuticals Inc. Common Stock
1
2
21.7
Major Pharmaceuticals
Health Care
NHC
National HealthCare Corporation Common Stock
0.7
6
70.6
Hospital/Nursing Management
Health Care
12.08
ORMP
Oramed Pharmaceuticals Inc. Common Stock
0.6
3
12.25
Major Pharmaceuticals
Health Care
PEO
Adams Natural Resources Fund Inc. Common Stock
0.7
5
15.72
PFE
Pfizer Inc. Common Stock
0.5
6
39.25
Major Pharmaceuticals
Health Care
S&P 500
23.59
11.45
PLD
Prologis Inc. Common Stock
0.4
5
123.11
Real Estate Investment Trusts
Consumer Services
S&P 500
67.97
57.48
PRTA
Prothena Corporation plc Ordinary Shares
0.6
3
55.22
Major Pharmaceuticals
Health Care
QUMU
Qumu Corporation Common Stock
0.5
5
2.83
Computer Software: Prepackaged Software
Technology
RCS
PIMCO Strategic Income Fund Inc.
0.2
4
7.79
24.81
RENN
Renren Inc. American Depositary Shares each representing fifteen Class A ordinary shares
0.5
5
11.48
Automotive Aftermarket
Consumer Durables
RUBY
Rubius Therapeutics Inc. Common Stock
0.6
2
23.97
Biotechnology: Biological Products (No Diagnostic Substances)
Health Care
RUN
Sunrun Inc. Common Stock
0.3
1
52.7
Industrial Specialties
Capital Goods
SPNS
Sapiens International Corporation N.V. Common Shares (Cayman Islands)
0.6
7
26.07
Computer Software: Prepackaged Software
Technology
38.11
21.03
TESS
TESSCO Technologies Incorporated Common Stock
0.4
3
6.78
Electronic Components
Technology
TMDI
Titan Medical Inc. Ordinary Shares
0.5
4
1.71
Medical/Dental Instruments
Health Care
TTM
Tata Motors Ltd Tata Motors Limited
0.3
4
19.92
Auto Manufacturing
Capital Goods
UMPQ
Umpqua Holdings Corporation Common Stock
0.3
7
17.62
Savings Institutions
Finance
8.99
10.81
UNP
Union Pacific Corporation Common Stock
0.4
6
218.34
Railroads
Transportation
S&P 500
29.54
20.92
USCR
U.S. Concrete Inc. Common Stock
0.3
7
74.41
Building Materials
Capital Goods
60.12
23.74
VBIV
VBI Vaccines Inc. New Common Stock (Canada)
3.23
Major Pharmaceuticals
Health Care
WB
Weibo Corporation American Depositary Share
0.5
2
59.72
Computer Software: Programming Data Processing
Technology
44.38
19.0
WOOF
Petco Health and Wellness Company Inc. Class A Common Stock
0.3
6
20.71
Other Specialty Stores
Consumer Services
397.17
25.73
XYL
Xylem Inc. Common Stock New
0.5
4
119.19
Fluid Controls
Capital Goods
S&P 500
72.21
36.78
ZNTEU
Zanite Acquisition Corp. Unit
0.5
10.62
Business Services
Finance
EXFO
EXFO Inc
0.7
7
5.94
Electrical Products
Capital Goods
593.0
21.8
FET
Forum Energy Technologies Inc. Common Stock
0.4
4
22.47
Metal Fabrications
Energy
FNLC
First Bancorp Inc (ME) Common Stock
0.2
6
27.85
Major Banks
Finance
10.6
FRPT
Freshpet Inc. Common Stock
0.7
4
159.97
Packaged Foods
Consumer Non-Durables
236.63
FTFT
Future FinTech Group Inc. Common Stock
0.6
3
2.76
Business Services
Miscellaneous
GOOS
Canada Goose Holdings Inc. Subordinate Voting Shares
0.5
4
41.83
Apparel
Consumer Non-Durables
82.46
65.97
HCI
HCI Group Inc. Common Stock
0.4
7
91.83
Property-Casualty Insurers
Finance
22.83
23.96
HUGE
FSD Pharma Inc. Class B Subordinate Voting Shares
1.64
Major Pharmaceuticals
Health Care
IDXX
IDEXX Laboratories Inc. Common Stock
0.5
8
659.94
Biotechnology: In Vitro & In Vivo Diagnostic Substances
Health Care
S&P 500
85.63
73.13
INSG
Inseego Corp. Common Stock
0.2
5
9.41
Telecommunications Equipment
Capital Goods
JPI
Nuveen Preferred and Income Term Fund Common Shares of Beneficial Interest
0.3
4
25.55
LBRDA
Liberty Broadband Corporation Class A Common Stock
0.4
4
171.72
Television Services
Consumer Services
69.79
48.63
LESL
Leslie's Inc. Common Stock
0.3
25.52
Other Specialty Stores
Consumer Services
30.32
LODE
Comstock Mining Inc. Common Stock
0.6
5
3.14
Precious Metals
Basic Industries
4.42
LTC
LTC Properties Inc. Common Stock
0.3
5
38.22
Real Estate Investment Trusts
Consumer Services
33.6
21.58
MATW
Matthews International Corporation Class A Common Stock
0.4
6
33.8
Metal Fabrications
Capital Goods
83.59
10.85
MVT
Blackrock MuniVest Fund II Inc. Common Stock
0.4
4
15.99
49.23
NEPT
Neptune Wellness Solutions Inc. Ordinary Shares
0.6
4
1.09
Major Pharmaceuticals
Health Care
ONB
Old National Bancorp Common Stock
0.2
8
16.66
Major Banks
Finance
9.65
10.7
PAA
Plains All American Pipeline L.P. Common Units representing Limited Partner Interests
0.4
6
10.75
Natural Gas Distribution
Energy
16.37
8.06
PESI
Perma-Fix Environmental Services Inc. Common Stock
0.4
5
6.34
Environmental Services
Basic Industries
84.08
PLUS
ePlus inc. Common Stock
0.7
5
86.06
Retail: Computer Software & Peripheral Equipment
Technology
15.51
12.45
QRHC
Quest Resource Holding Corporation Common Stock
0.6
7
7.26
Diversified Commercial Services
Technology
50.7
41.87
RDCM
Radcom Ltd. Ordinary Shares
0.7
5
11.08
Computer peripheral equipment
Technology
RM
Regional Management Corp. Common Stock
0.2
7
45.3
Finance: Consumer Services
Finance
8.73
9.58
SJT
San Juan Basin Royalty Trust Common Stock
0.8
5
4.95
Oil & Gas Production
Energy
21.81
SNDX
Syndax Pharmaceuticals Inc. Common Stock
0.6
3
16.32
Major Pharmaceuticals
Health Care
TISI
Team Inc. Common Stock
0.3
3
6.38
Other Consumer Services
Consumer Services
TMUS
T-Mobile US Inc. Common Stock
0.3
5
146.86
Telecommunications Equipment
Public Utilities
S&P 500
68.03
45.27
TRMB
Trimble Inc. Common Stock
0.5
6
81.49
Industrial Machinery/Components
Capital Goods
S&P 500
47.46
29.74
AA
Alcoa Corporation Common Stock
0.5
5
35.36
Aluminum
Basic Industries
8.01
ABNB
Airbnb Inc. Class A Common Stock
0.5
142.53
Diversified Commercial Services
Finance
ACEL
Accel Entertainment Inc.
0.4
4
10.81
Services-Misc. Amusement & Recreation
Consumer Services
13.76
ACN
Accenture plc Class A Ordinary Shares (Ireland)
0.7
7
309.15
Business Services
Miscellaneous
S&P 500
34.6
31.41
API
Agora Inc. American Depositary Shares
0.7
35.91
Computer Software: Prepackaged Software
Technology
AWR
American States Water Company Common Stock
0.4
5
82.16
Water Supply
Public Utilities
33.53
32.24
BAND
Bandwidth Inc. Class A Common Stock
0.4
3
130.01
Computer Software: Prepackaged Software
Technology
203.58
BATRK
Liberty Media Corporation Series C Liberty Braves Common Stock
0.3
2
26.86
Broadcasting
Consumer Services
BCV
Bancroft Fund Ltd.
0.7
6
32.06
6.69
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