| | | | | |
TSSI TSS, Inc. Common Stock | €8,4447 | +12,36 % | €239,26M | €477,30K | |
ELDN Eledon Pharmaceuticals, Inc. Common Stock | €2,9595 | +3,02 % | €239,15M | €939,56K | |
NHIV NewHold Investment Corp IV Class A Ordinary Shares | €8,7658 | +0,00 % | €238,45M | €448,70 | |
TTGT TechTarget, Inc. Common Stock | €3,9056 | -0,44 % | €238,44M | €402,50K | |
| €9,4211 | +0,09 % | €238,15M | €145,80 | |
| €1,9962 | +7,48 % | €237,53M | €1,21M | |
XSLL Xsolla SPAC 1 Class A Ordinary Shares | €8,6182 | +0,20 % | €237,35M | €210,89 | |
RILY BRC Group Holdings, Inc. Common Stock | €6,0666 | +6,56 % | €237,21M | €553,70K | |
| €2,9075 | +8,77 % | €236,82M | €1,23M | |
PMM Franklin Managed Municipal Income Trust | €5,4417 | -0,48 % | €236,80M | €80,75K | |
HVII Hennessy Capital Investment Corp. VII Ordinary Shares | €9,0913 | -0,14 % | €236,69M | €8,68K | |
OSUR OraSure Technologies Inc | €3,4542 | +0,25 % | €236,62M | €144,95K | |
ZH Zhihu Inc. American Depositary Shares, each representing three (3) Class A Ordinary Shares | €2,8467 | -1,80 % | €236,52M | €131,00K | |
MIN Aberdeen Intermediate Income Fund | €2,0830 | -0,83 % | €236,04M | €147,95K | |
ALXO ALX Oncology Holdings Inc. Common Stock | €1,6881 | +0,00 % | €235,91M | €368,47K | |