| | | | | |
| $2,2700 | +0,00% | $519,32M | $762,17K | |
PKOH Park-Ohio Holdings Corp | $38,9300 | -0,33% | $518,33M | $136,24K | |
| $13,5100 | +0,00% | $517,59M | $222,42K | |
GUG Guggenheim Active Allocation Fund | $15,8200 | +0,00% | $517,12M | $28,14K | |
| $41,0000 | -0,17% | $516,75M | $103,70K | |
WIW Western Asset Inflation-Linked Opportunities & Income Fund | $8,3900 | -0,12% | $515,78M | $510,00K | |
LXFR Luxfer Holdings PLC Ordinary Shares | $18,5700 | +0,00% | $515,28M | $114,09K | |
DPG Duff & Phelps Utility and Infrastructure Fund Inc. | $14,6500 | +0,00% | $514,49M | $46,94K | |
BME Blackrock Health Sciences Trust | $42,4100 | +0,00% | $514,37M | $60,15K | |
| $21,8900 | +0,00% | $514,31M | $177,14K | |
THW abrdn World Healthcare Fund | $13,1000 | +0,00% | $512,21M | $197,06K | |
FLGT Fulgent Genetics, Inc. Common Stock | $20,0000 | +0,20% | $511,21M | $324,80K | |
OWLS OBOOK Holdings Inc. Class A Common Shares | $5,6600 | -0,35% | $509,68M | $8,85K | |
ITRG Integra Resources Corp. | $2,3300 | +0,00% | $509,67M | $2,27M | |
HKD AMTD Digital Inc. American Depositary Shares (every five of which represent two Class A Ordinary Shares) | $1,6400 | +3,15% | $509,13M | $89,25K | |