ATOS (36.91) drops after 2 years high (42.0).
It is 153.2% higher than previous year high (14.58) 687 days ago, and 2306775.0% higher than 52 week low (0.0016) 178 days ago.
ATOS (36.91) drops after 2 years high (42.0).
It is 153.2% higher than previous year high (14.58) 687 days ago, and 2306775.0% higher than 52 week low (0.0016) 178 days ago.
ATOS (37.79) drops after 2 years high (42.0).
It is 158.4% higher than previous year high (14.625) 728 days ago, and 2361775.0% higher than 52 week low (0.0016) 167 days ago.
ATOS (37.5) drops after 2 years high (42.0).
It is 156.4% higher than previous year high (14.625) 722 days ago, and 2343650.0% higher than 52 week low (0.0016) 161 days ago.
ATOS (36.4) drops after 2 years high (42.0).
It is 148.9% higher than previous year high (14.625) 710 days ago, and 2274900.0% higher than 52 week low (0.0016) 149 days ago.
ATOS rises 1199900.0% (42.0) over last 20 days.
It rises on average 399966.7% per week.
ATOS is at 2 years high (42.0).
52 weeks high is 42.0. Previous year low is 1.69, and 52 weeks low is 0.0016. It is 187.2% higher than previous year high (14.625) 708 days ago, and 2624900.0% higher than 52 week low (0.0016) 147 days ago.
ATOS rises 1199900.0% (42.0) over last 20 days.
It rises on average 399966.7% per week.
ATOS is at 2 years high (42.0).
52 weeks high is 42.0. Previous year low is 1.69, and 52 weeks low is 0.0016. It is 187.2% higher than previous year high (14.625) 707 days ago, and 2624900.0% higher than 52 week low (0.0016) 146 days ago.
ATOS rises 1168471.4% (40.9) over last 20 days.
It rises on average 389490.5% per week.
ATOS is at 2 years high (40.9).
52 weeks high is 40.9. Previous year low is 1.69, and 52 weeks low is 0.0016. It is 179.7% higher than previous year high (14.625) 704 days ago, and 2556150.0% higher than 52 week low (0.0016) 143 days ago.
ATOS rises 1114185.7% (39.0) over last 20 days.
It rises on average 371395.2% per week.
ATOS is at 2 years high (39.0).
52 weeks high is 39.0. Previous year low is 1.69, and 52 weeks low is 0.0016. It is 166.7% higher than previous year high (14.625) 703 days ago, and 2437400.0% higher than 52 week low (0.0016) 142 days ago.
ATOS rises 1078927.8% (38.845) over last 20 days.
It rises on average 359642.6% per week.
ATOS is at 2 years high (38.845).
52 weeks high is 38.845. Previous year low is 1.69, and 52 weeks low is 0.0016. It is 165.6% higher than previous year high (14.625) 702 days ago, and 2427712.5% higher than 52 week low (0.0016) 141 days ago.
ATOS rises 925541.0% (36.1) over last 20 days.
It rises on average 308513.7% per week. It is 146.8% higher than previous year high (14.625) 701 days ago, and 2256150.0% higher than 52 week low (0.0016) 140 days ago.
ATOS rises 911610.5% (34.645) over last 20 days.
It rises on average 303870.2% per week. It is 136.9% higher than previous year high (14.625) 700 days ago, and 2165212.5% higher than 52 week low (0.0016) 139 days ago.
ATOS rises 958278.4% (35.46) over last 20 days.
It rises on average 319426.1% per week. It is 142.5% higher than previous year high (14.625) 697 days ago, and 2216150.0% higher than 52 week low (0.0016) 136 days ago.
ATOS rises 966386.5% (35.76) over last 20 days.
It rises on average 322128.8% per week. It is 144.5% higher than previous year high (14.625) 695 days ago, and 2234900.0% higher than 52 week low (0.0016) 134 days ago.
ATOS rises 1016185.7% (35.57) over last 20 days.
It rises on average 338728.6% per week. It is 143.2% higher than previous year high (14.625) 694 days ago, and 2223025.0% higher than 52 week low (0.0016) 133 days ago.
ATOS rises 996791.9% (36.885) over last 20 days.
It rises on average 332264.0% per week. It is 152.2% higher than previous year high (14.625) 693 days ago, and 2305212.5% higher than 52 week low (0.0016) 132 days ago.
ATOS rises 1062757.1% (37.2) over last 20 days.
It rises on average 354252.4% per week.
ATOS is at 2 years high (37.2).
52 weeks high is 37.2. Previous year low is 1.69, and 52 weeks low is 0.0016. It is 154.4% higher than previous year high (14.625) 690 days ago, and 2324900.0% higher than 52 week low (0.0016) 129 days ago.
ATOS rises 910426.3% (34.6) over last 20 days.
It rises on average 303475.4% per week.
ATOS is at 2 years high (34.6).
52 weeks high is 34.6. Previous year low is 1.69, and 52 weeks low is 0.0016. It is 136.6% higher than previous year high (14.625) 689 days ago, and 2162400.0% higher than 52 week low (0.0016) 128 days ago.
ATOS rises 988471.4% (34.6) since previous day.
Volume drops -99.8%.
ATOS rises 32.3% (0.0041) over last 20 days.
It rises on average 10.8% per week. It is -99.8% lower than 52 week high (2.309) 343 days ago, and 156.2% higher than 52 week low (0.0016) 90 days ago.
INPOST SA (13.99) rebounds after 52 weeks low (12.12).
It is -11.0% lower than previous year high (15.72) 367 days ago, and 59.2% higher than previous year low (8.79) 545 days ago.
INPOST SA is at 52 week low (12.12).
It is 37.9% higher than previous year low (8.79), and -35.3% lower than 52 weeks high (18.72) 173 days ago.
INPOST SA is at 52 week low (12.22).
It is 39.0% higher than previous year low (8.79), and -34.7% lower than 52 weeks high (18.72) 171 days ago.
INPOST SA is at 52 week low (12.92).
It is 47.0% higher than previous year low (8.79), and -31.0% lower than 52 weeks high (18.72) 168 days ago.
INPOST SA is at 52 week low (13.5).
It is 54.0% higher than previous year low (8.764), and -27.9% lower than 52 weeks high (18.72) 164 days ago.
INPOST SA is at 52 week low (13.76).
It is 77.7% higher than previous year low (7.742), and -26.5% lower than 52 weeks high (18.72) 161 days ago.
KORIAN drops -10.6% (6.58) over last 4 days.
Volume rises 58.7%. It is 3.4% higher than 52 week low (6.365) 87 days ago, and -56.7% lower than 52 week high (15.19) 312 days ago.
LOTUS BAKERIES (8790.0) rebounds after 52 weeks low (7720.0).
It is -6.8% lower than previous year high (9430.0) 367 days ago, and 50.8% higher than previous year low (5830.0) 702 days ago.
LOTUS BAKERIES is at 52 week low (7720.0).
It is 32.4% higher than previous year low (5830.0), and -38.6% lower than 52 weeks high (12580.0) 172 days ago.
Hexagon Composites ASA (1.55) rebounds after 52 weeks low (1.398).
It is 12.2% higher than previous year low (1.382) 400 days ago, and -53.8% lower than previous year high (3.354) 634 days ago.
Hexagon Composites ASA is at 52 week low (1.398).
It is 1.2% higher than previous year low (1.382), and -65.5% lower than 52 weeks high (4.055) 174 days ago.
Hexagon Composites ASA is at 52 week low (1.434).
It is 3.8% higher than previous year low (1.382), and -64.6% lower than 52 weeks high (4.055) 173 days ago.
Hexagon Composites ASA (1.614) rebounds after 52 weeks low (1.464).
It is 16.8% higher than previous year low (1.382) 372 days ago, and -51.9% lower than previous year high (3.354) 606 days ago.
Hexagon Composites ASA (1.616) rebounds after 52 weeks low (1.464).
It is 16.9% higher than previous year low (1.382) 365 days ago, and -51.8% lower than previous year high (3.354) 599 days ago.
Hexagon Composites ASA drops -10.7% (1.608) over last 5 days.
Volume drops -35.6%. It is 16.4% higher than 52 week low (1.382) 355 days ago, and -52.1% lower than previous year high (3.354) 589 days ago.
Hexagon Composites ASA (1.664) rebounds after 2 years low (1.382).
It is 20.4% higher than 52 week low (1.382) 347 days ago, and -50.4% lower than previous year high (3.354) 581 days ago.
Hexagon Composites ASA rises 13.7% (1.664) over last 3 days.
Volume drops -92.2%. It is 20.4% higher than 52 week low (1.382) 347 days ago, and -50.4% lower than previous year high (3.354) 581 days ago.
Enagás, S.A (13.14) drops after 52 weeks high (14.8).
It is -11.2% lower than 52 week high (14.8) 339 days ago, and 12.4% higher than 52 week low (11.69) 140 days ago. Dividend stock.
Enagás, S.A (13.275) drops after 52 weeks high (14.8).
It is -10.3% lower than 52 week high (14.8) 322 days ago, and 13.6% higher than 52 week low (11.69) 123 days ago. Dividend stock.
Enagás, S.A (12.895) rebounds after 2 years low (11.69).
It is 10.3% higher than 52 week low (11.69) 114 days ago, and -12.9% lower than 52 week high (14.8) 313 days ago. Dividend stock.
Enagás, S.A (12.93) rebounds after 2 years low (11.69).
It is 10.6% higher than 52 week low (11.69) 112 days ago, and -12.6% lower than 52 week high (14.8) 311 days ago. Dividend stock.
Enagás, S.A (12.385) drops after 52 weeks high (14.8).
It is 5.9% higher than 52 week low (11.69) 105 days ago, and -16.3% lower than 52 week high (14.8) 304 days ago. Dividend stock.
Enagás, S.A (13.0) rebounds after 2 years low (11.69).
It is 11.2% higher than 52 week low (11.69) 88 days ago, and -12.2% lower than 52 week high (14.8) 287 days ago. Dividend stock.
Enagás, S.A (12.89) rebounds after 2 years low (11.69).
It is 10.3% higher than 52 week low (11.69) 84 days ago, and -12.9% lower than 52 week high (14.8) 283 days ago. Dividend stock.
Japan Tobacco Inc is at 2 years high (27.19).
52 weeks high is 27.19. Previous year low is 19.24, and 52 weeks low is 22.26. It is 3.8% higher than previous year high (26.19) 364 days ago, and 41.3% higher than previous year low (19.24) 665 days ago. Dividend stock.
Japan Tobacco Inc is at 2 years high (27.09).
52 weeks high is 27.09. Previous year low is 19.23, and 52 weeks low is 22.26. It is 6.7% higher than previous year high (25.38) 373 days ago, and 40.9% higher than previous year low (19.23) 729 days ago. Dividend stock.
Japan Tobacco Inc (24.73) rebounds after 52 weeks low (22.26).
It is -2.3% lower than previous year high (25.3) 371 days ago, and 31.8% higher than previous year low (18.765) 726 days ago. Dividend stock.
Japan Tobacco Inc (24.19) drops after 2 years high (26.98).
It is -4.4% lower than previous year high (25.3) 370 days ago, and 28.9% higher than previous year low (18.765) 725 days ago. Dividend stock.
Japan Tobacco Inc (24.62) rebounds after 52 weeks low (22.26).
It is -2.7% lower than previous year high (25.3) 400 days ago, and 31.2% higher than previous year low (18.765) 706 days ago. Dividend stock.
NIO Limited (3.255) rebounds after 2 years low (2.835).
It is 14.8% higher than 52 week low (2.835) 57 days ago, and -49.9% lower than 52 week high (6.5) 245 days ago.
NIO Limited rises 31.7% (3.735) over last 20 days.
It rises on average 10.6% per week. It is 31.7% higher than 52 week low (2.835) 20 days ago, and -42.5% lower than 52 week high (6.5) 208 days ago.
NIO Limited (3.13) rebounds after 2 years low (2.835).
It is 10.4% higher than 52 week low (2.835) 9 days ago, and -51.8% lower than 52 week high (6.5) 197 days ago.
NIO Limited (3.27) rebounds after 2 years low (2.835).
It is 15.3% higher than 52 week low (2.835) 6 days ago, and -49.7% lower than 52 week high (6.5) 194 days ago.
NIO Limited drops -30.7% (2.91) over last 20 days.
It drops on average -10.2% per week. It is 2.6% higher than 52 week low (2.835) 2 days ago, and -55.2% lower than 52 week high (6.5) 190 days ago.
NIO Limited drops -31.4% (2.95) over last 20 days.
It drops on average -10.5% per week. It is 4.1% higher than 52 week low (2.835) 1 days ago, and -54.6% lower than 52 week high (6.5) 189 days ago.
NIO Limited is at 2 years low (2.835).
52 weeks low is 2.835. Previous year high is 14.39, and 52 weeks high is 6.5.
NIO Limited drops -41.5% (2.835) over last 20 days.
It drops on average -13.8% per week.
NIO Limited is at 2 years low (3.03).
52 weeks low is 3.03. Previous year high is 14.39, and 52 weeks high is 6.5.
NIO Limited drops -37.3% (3.03) over last 20 days.
It drops on average -12.4% per week.
NIO Limited is at 2 years low (3.14).
52 weeks low is 3.14. Previous year high is 14.39, and 52 weeks high is 6.5.
NIO Limited drops -32.7% (3.14) over last 20 days.
It drops on average -10.9% per week.
NIO Limited drops -11.2% (4.3) since previous day.
Volume rises 33.7%. It is 28.2% higher than 52 week low (3.355) 204 days ago, and -33.8% lower than 52 week high (6.5) 169 days ago.
Origin Energy Limited (5.8) rebounds after 52 weeks low (5.25).
It is -1.7% lower than previous year high (5.9) 364 days ago, and 23.4% higher than previous year low (4.7) 504 days ago.
Origin Energy Limited (5.8) rebounds after 52 weeks low (5.25).
It is -1.7% lower than previous year high (5.9) 364 days ago, and 23.4% higher than previous year low (4.7) 499 days ago.
Origin Energy Limited is at 52 week low (5.25).
It is 11.7% higher than previous year low (4.7), and -21.6% lower than 52 weeks high (6.7) 75 days ago.
Origin Energy Limited is at 52 week low (5.3).
It is 12.8% higher than previous year low (4.7), and -20.9% lower than 52 weeks high (6.7) 73 days ago.
Origin Energy Limited (5.4) drops after 2 years high (6.7).
Origin Energy Limited is at 52 week low (5.4).
It is 14.9% higher than previous year low (4.7), and -19.4% lower than 52 weeks high (6.7) 70 days ago.
Origin Energy Limited drops -11.5% (5.4) since previous day.
Volume drops -50.0%.
Origin Energy Limited (6.3) rebounds after 52 weeks low (5.55).
It is 12.9% higher than previous year high (5.58) 532 days ago, and 34.0% higher than previous year low (4.7) 477 days ago.
Origin Energy Limited (5.95) drops after 2 years high (6.7).
It is 6.6% higher than previous year high (5.58) 531 days ago, and 26.6% higher than previous year low (4.7) 476 days ago.
Alibaba Health Information Technology Limited rises 93.4% (0.6074) over last 20 days.
It rises on average 31.1% per week. It is -0.4% lower than 52 week high (0.61) 1 days ago, and 99.6% higher than 52 week low (0.3043) 165 days ago.
Alibaba Health Information Technology Limited rises 29.2% (0.6074) over last 4 days.
Volume drops -23.5%. It is -0.4% lower than 52 week high (0.61) 1 days ago, and 99.6% higher than 52 week low (0.3043) 165 days ago.
Panoramic Resources Limited drops -30.3% (0.0202) over last 20 days.
It drops on average -10.1% per week. It is 60.3% higher than 52 week low (0.0126) 13 days ago, and -85.0% lower than 52 week high (0.135) 309 days ago.
ACAUTOGAZ (29.2) rebounds after 52 weeks low (26.5).
It is -12.0% lower than 52 week high (33.2) 85 days ago, and 14.5% higher than previous year low (25.5) 541 days ago. Dividend stock.
ACAUTOGAZ (29.7) drops after 52 weeks high (33.2).
It is -10.5% lower than 52 week high (33.2) 72 days ago, and 16.5% higher than previous year low (25.5) 528 days ago. Dividend stock.
ACAUTOGAZ (30.7) drops after 2 years high (35.0).
It is -8.4% lower than previous year high (33.5) 724 days ago, and 20.4% higher than previous year low (25.5) 472 days ago. Dividend stock.
ASSECOPOL is at 2 years high (188.6).
52 weeks high is 188.6. Previous year low is 70.25, and 52 weeks low is 79.0. It is 114.6% higher than previous year high (87.9) 377 days ago, and 168.5% higher than previous year low (70.25) 495 days ago. Dividend stock.
ASSECOPOL is at 2 years high (177.2).
52 weeks high is 177.2. Previous year low is 70.25, and 52 weeks low is 79.0. It is 92.9% higher than previous year high (91.85) 729 days ago, and 152.2% higher than previous year low (70.25) 488 days ago. Dividend stock.
ASSECOPOL is at 2 years high (175.3).
52 weeks high is 175.3. Previous year low is 70.25, and 52 weeks low is 79.0. It is 90.9% higher than previous year high (91.85) 727 days ago, and 149.5% higher than previous year low (70.25) 486 days ago. Dividend stock.
ASSECOPOL is at 2 years high (172.8).
52 weeks high is 172.8. Previous year low is 70.25, and 52 weeks low is 79.0. It is 88.1% higher than previous year high (91.85) 721 days ago, and 146.0% higher than previous year low (70.25) 480 days ago. Dividend stock.
ASSECOPOL is at 2 years high (171.9).
52 weeks high is 171.9. Previous year low is 70.25, and 52 weeks low is 79.0. It is 87.2% higher than previous year high (91.85) 720 days ago, and 144.7% higher than previous year low (70.25) 479 days ago. Dividend stock.
ASSECOPOL is at 2 years high (169.3).
52 weeks high is 169.3. Previous year low is 70.25, and 52 weeks low is 79.0. It is 84.3% higher than previous year high (91.85) 717 days ago, and 141.0% higher than previous year low (70.25) 476 days ago. Dividend stock.
ASSECOPOL is at 2 years high (167.6).
52 weeks high is 167.6. Previous year low is 70.25, and 52 weeks low is 79.0. It is 82.5% higher than previous year high (91.85) 716 days ago, and 138.6% higher than previous year low (70.25) 475 days ago. Dividend stock.
ASSECOPOL is at 2 years high (163.1).
52 weeks high is 163.1. Previous year low is 70.25, and 52 weeks low is 79.0. It is 77.6% higher than previous year high (91.85) 715 days ago, and 132.2% higher than previous year low (70.25) 474 days ago. Dividend stock.
ASSECOPOL (146.0) drops after 2 years high (162.5).
It is 59.0% higher than previous year high (91.85) 682 days ago, and 107.8% higher than previous year low (70.25) 441 days ago. Dividend stock.
ASSECOPOL is at 2 years high (162.5).
52 weeks high is 162.5. Previous year low is 70.25, and 52 weeks low is 75.95. It is 76.9% higher than previous year high (91.85) 679 days ago, and 131.3% higher than previous year low (70.25) 438 days ago. Dividend stock.
ASSECOPOL is at 2 years high (160.3).
52 weeks high is 160.3. Previous year low is 70.25, and 52 weeks low is 75.95. It is 74.5% higher than previous year high (91.85) 673 days ago, and 128.2% higher than previous year low (70.25) 432 days ago. Dividend stock.
ASSECOPOL is at 2 years high (159.4).
52 weeks high is 159.4. Previous year low is 70.25, and 52 weeks low is 75.95. It is 73.5% higher than previous year high (91.85) 672 days ago, and 126.9% higher than previous year low (70.25) 431 days ago. Dividend stock.
ASSECOPOL is at 2 years high (157.4).
52 weeks high is 157.4. Previous year low is 70.25, and 52 weeks low is 75.95. It is 71.4% higher than previous year high (91.85) 671 days ago, and 124.1% higher than previous year low (70.25) 430 days ago. Dividend stock.
ASSECOPOL is at 2 years high (153.4).
52 weeks high is 153.4. Previous year low is 70.25, and 52 weeks low is 75.95. It is 67.0% higher than previous year high (91.85) 668 days ago, and 118.4% higher than previous year low (70.25) 427 days ago. Dividend stock.
ASSECOPOL is at 2 years high (150.9).
52 weeks high is 150.9. Previous year low is 70.25, and 52 weeks low is 73.1. It is 64.3% higher than previous year high (91.85) 666 days ago, and 114.8% higher than previous year low (70.25) 425 days ago. Dividend stock.
ASSECOPOL is at 2 years high (149.1).
52 weeks high is 149.1. Previous year low is 70.25, and 52 weeks low is 73.1. It is 62.3% higher than previous year high (91.85) 665 days ago, and 112.2% higher than previous year low (70.25) 424 days ago. Dividend stock.
ASSECOPOL is at 2 years high (148.9).
52 weeks high is 148.9. Previous year low is 70.25, and 52 weeks low is 73.1. It is 62.1% higher than previous year high (91.85) 664 days ago, and 112.0% higher than previous year low (70.25) 423 days ago. Dividend stock.
ACTION is at 2 years high (23.4).
52 weeks high is 23.4. Previous year low is 17.82, and 52 weeks low is 16.22. It is 2.9% higher than previous year high (22.75) 448 days ago, and 44.3% higher than 52 week low (16.22) 224 days ago.
ACTION is at 2 years high (23.15).
52 weeks high is 23.15. Previous year low is 17.82, and 52 weeks low is 16.22. It is 1.8% higher than previous year high (22.75) 444 days ago, and 42.7% higher than 52 week low (16.22) 220 days ago.
ACTION is at 52 week high (22.45).
It is -1.3% lower than previous year high (22.75), and 38.4% higher than 52 weeks low (16.22) 219 days ago.
ACTION is at 52 week high (22.0).
It is -3.3% lower than previous year high (22.75), and 35.6% higher than 52 weeks low (16.22) 218 days ago.
ACTION is at 52 week high (21.9).
It is -3.7% lower than previous year high (22.75), and 35.0% higher than 52 weeks low (16.22) 210 days ago.
ACTION (19.6) drops after 52 weeks high (21.8).
It is -10.1% lower than 52 week high (21.8) 323 days ago, and 20.8% higher than 52 week low (16.22) 163 days ago.
ACTION (19.52) drops after 52 weeks high (21.8).
It is -10.5% lower than 52 week high (21.8) 320 days ago, and 20.3% higher than 52 week low (16.22) 160 days ago.
ACTION (20.2) drops after 52 weeks high (22.75).
It is -11.2% lower than 52 week high (22.75) 364 days ago, and 24.5% higher than 52 week low (16.22) 140 days ago.
AGROTON rises 10.2% (5.6) over last 5 days.
Volume rises 395.8%. It is 57.7% higher than previous year high (3.55) 690 days ago, and 140.3% higher than previous year low (2.33) 482 days ago.
AGROTON rises 10.9% (5.38) since previous day.
Volume drops -11.5%. It is 51.5% higher than previous year high (3.55) 676 days ago, and 130.9% higher than previous year low (2.33) 468 days ago.
Allegro.eu S.A. drops -46.2% (35.205) over last 20 days.
It drops on average -15.4% per week. It is -12.0% lower than previous year high (40.0) 369 days ago, and 37.1% higher than 52 week low (25.67) 135 days ago.
Allegro.eu S.A. drops -49.5% (33.055) over last 20 days.
It drops on average -16.5% per week. It is -17.4% lower than previous year high (40.0) 364 days ago, and 28.8% higher than 52 week low (25.67) 130 days ago.
Allegro.eu S.A. drops -49.5% (32.975) over last 20 days.
It drops on average -16.5% per week. It is -15.1% lower than previous year high (38.85) 369 days ago, and 28.5% higher than 52 week low (25.67) 128 days ago.
Allegro.eu S.A. drops -48.9% (33.33) over last 20 days.
It drops on average -16.3% per week. It is -14.2% lower than previous year high (38.85) 367 days ago, and 29.8% higher than 52 week low (25.67) 126 days ago.
Allegro.eu S.A. drops -48.6% (33.51) over last 20 days.
It drops on average -16.2% per week. It is -13.7% lower than previous year high (38.85) 364 days ago, and 30.5% higher than 52 week low (25.67) 123 days ago.
Allegro.eu S.A. drops -48.6% (33.58) over last 20 days.
It drops on average -16.2% per week. It is -12.2% lower than previous year high (38.235) 364 days ago, and 30.8% higher than 52 week low (25.67) 121 days ago.
Allegro.eu S.A. drops -46.4% (34.88) over last 20 days.
It drops on average -15.5% per week. It is -8.4% lower than previous year high (38.06) 364 days ago, and 35.9% higher than 52 week low (25.67) 120 days ago.
Allegro.eu S.A. drops -46.9% (34.64) over last 20 days.
It drops on average -15.6% per week. It is -9.0% lower than previous year high (38.06) 364 days ago, and 34.9% higher than 52 week low (25.67) 119 days ago.
Allegro.eu S.A. drops -47.7% (33.89) over last 20 days.
It drops on average -15.9% per week. It is -10.8% lower than previous year high (38.0) 364 days ago, and 32.0% higher than 52 week low (25.67) 116 days ago.
Allegro.eu S.A. drops -48.0% (33.66) over last 20 days.
It drops on average -16.0% per week. It is -11.1% lower than previous year high (37.865) 716 days ago, and 31.1% higher than 52 week low (25.67) 115 days ago.
Allegro.eu S.A. drops -49.6% (32.65) over last 20 days.
It drops on average -16.5% per week. It is -13.8% lower than previous year high (37.865) 714 days ago, and 27.2% higher than 52 week low (25.67) 113 days ago.
Allegro.eu S.A. (33.225) drops after 2 years high (65.67).
It is -12.3% lower than previous year high (37.865) 713 days ago, and 29.4% higher than 52 week low (25.67) 112 days ago.
Allegro.eu S.A. drops -48.9% (33.225) over last 20 days.
It drops on average -16.3% per week. It is -12.3% lower than previous year high (37.865) 713 days ago, and 29.4% higher than 52 week low (25.67) 112 days ago.
Allegro.eu S.A. drops -49.3% (33.225) over last 3 days.
Volume rises 227.1%. It is -12.3% lower than previous year high (37.865) 713 days ago, and 29.4% higher than 52 week low (25.67) 112 days ago.
Allegro.eu S.A. rises 113.9% (65.25) over last 20 days.
It rises on average 38.0% per week. It is 72.3% higher than previous year high (37.865) 709 days ago, and 154.2% higher than 52 week low (25.67) 108 days ago.
Allegro.eu S.A. rises 116.9% (65.29) over last 20 days.
It rises on average 39.0% per week. It is 72.4% higher than previous year high (37.865) 702 days ago, and 154.3% higher than 52 week low (25.67) 101 days ago.
Allegro.eu S.A. rises 105.5% (64.75) over last 20 days.
It rises on average 35.2% per week. It is 71.0% higher than previous year high (37.865) 695 days ago, and 152.2% higher than 52 week low (25.67) 94 days ago.
Allegro.eu S.A. rises 103.2% (64.83) over last 20 days.
It rises on average 34.4% per week. It is 71.2% higher than previous year high (37.865) 694 days ago, and 152.6% higher than 52 week low (25.67) 93 days ago.
Allegro.eu S.A. rises 108.1% (64.98) over last 20 days.
It rises on average 36.0% per week. It is 71.6% higher than previous year high (37.865) 693 days ago, and 153.1% higher than 52 week low (25.67) 92 days ago.
Allegro.eu S.A. rises 101.3% (65.07) over last 20 days.
It rises on average 33.8% per week. It is 71.8% higher than previous year high (37.865) 692 days ago, and 153.5% higher than 52 week low (25.67) 91 days ago.
Allegro.eu S.A. rises 113.3% (65.07) over last 3 days.
Volume drops -85.7%. It is 71.8% higher than previous year high (37.865) 692 days ago, and 153.5% higher than 52 week low (25.67) 91 days ago.
Allegro.eu S.A. (30.51) drops after 2 years high (65.67).
It is 18.9% higher than 52 week low (25.67) 88 days ago, and -19.4% lower than previous year high (37.865) 689 days ago.
Allegro.eu S.A. drops -52.8% (30.51) since previous day.
Volume rises 767.9%. It is 18.9% higher than 52 week low (25.67) 88 days ago, and -19.4% lower than previous year high (37.865) 689 days ago.
Allegro.eu S.A. rises 105.0% (64.61) over last 20 days.
It rises on average 35.0% per week. It is 70.6% higher than previous year high (37.865) 688 days ago, and 151.7% higher than 52 week low (25.67) 87 days ago.
Allegro.eu S.A. rises 108.2% (65.14) over last 20 days.
It rises on average 36.1% per week. It is 72.0% higher than previous year high (37.865) 687 days ago, and 153.8% higher than 52 week low (25.67) 86 days ago.
Allegro.eu S.A. rises 114.9% (65.14) since previous day.
Volume drops -77.4%. It is 72.0% higher than previous year high (37.865) 687 days ago, and 153.8% higher than 52 week low (25.67) 86 days ago.
Allegro.eu S.A. (30.315) drops after 2 years high (65.67).
It is 18.1% higher than 52 week low (25.67) 85 days ago, and -19.9% lower than previous year high (37.865) 686 days ago.
Allegro.eu S.A. drops -53.1% (30.315) since previous day.
Volume rises 473.5%. It is 18.1% higher than 52 week low (25.67) 85 days ago, and -19.9% lower than previous year high (37.865) 686 days ago.
Allegro.eu S.A. rises 105.4% (64.64) over last 20 days.
It rises on average 35.1% per week. It is 70.7% higher than previous year high (37.865) 685 days ago, and 151.8% higher than 52 week low (25.67) 84 days ago.
Allegro.eu S.A. rises 106.6% (65.24) over last 20 days.
It rises on average 35.5% per week. It is 72.3% higher than previous year high (37.865) 682 days ago, and 154.1% higher than 52 week low (25.67) 81 days ago.
Allegro.eu S.A. rises 110.2% (65.24) since previous day.
Volume drops -66.2%. It is 72.3% higher than previous year high (37.865) 682 days ago, and 154.1% higher than 52 week low (25.67) 81 days ago.
ALIOR (107.2) drops after 2 years high (123.15).
It is 0.2% higher than previous year high (107.0) 382 days ago, and 165.1% higher than previous year low (40.43) 695 days ago.
ALIOR (103.95) drops after 2 years high (123.15).
It is -1.7% lower than previous year high (105.75) 364 days ago, and 166.9% higher than previous year low (38.94) 730 days ago.
ALIOR drops -11.2% (103.95) since previous day.
Volume rises 77.7%. It is -1.7% lower than previous year high (105.75) 364 days ago, and 166.9% higher than previous year low (38.94) 730 days ago.
ALIOR is at 2 years high (123.15).
52 weeks high is 123.15. Previous year low is 38.94, and 52 weeks low is 85.86. It is 25.0% higher than previous year high (98.5) 364 days ago, and 216.3% higher than previous year low (38.94) 727 days ago.
ALIOR is at 2 years high (121.0).
52 weeks high is 121.0. Previous year low is 37.84, and 52 weeks low is 85.86. It is 23.5% higher than previous year high (97.94) 365 days ago, and 219.8% higher than previous year low (37.84) 730 days ago.
ALIOR is at 2 years high (119.4).
52 weeks high is 119.4. Previous year low is 36.86, and 52 weeks low is 85.86. It is 21.9% higher than previous year high (97.94) 364 days ago, and 223.9% higher than previous year low (36.86) 730 days ago.
ALIOR is at 2 years high (116.95).
52 weeks high is 116.95. Previous year low is 35.7, and 52 weeks low is 85.86. It is 20.7% higher than previous year high (96.88) 369 days ago, and 227.6% higher than previous year low (35.7) 729 days ago.
ALIOR is at 2 years high (110.8).
52 weeks high is 110.8. Previous year low is 33.93, and 52 weeks low is 85.86. It is 14.8% higher than previous year high (96.54) 368 days ago, and 226.6% higher than previous year low (33.93) 729 days ago.
ALIOR is at 2 years high (110.3).
52 weeks high is 110.3. Previous year low is 33.93, and 52 weeks low is 85.86. It is 14.3% higher than previous year high (96.54) 367 days ago, and 225.1% higher than previous year low (33.93) 728 days ago.
AMBRA is at 2 years low (20.8).
52 weeks low is 20.8. Previous year high is 32.2, and 52 weeks high is 28.6. Dividend stock.
AMBRA is at 2 years low (20.9).
52 weeks low is 20.9. Previous year high is 32.2, and 52 weeks high is 28.6. Dividend stock.
AMBRA is at 2 years low (20.95).
52 weeks low is 20.95. Previous year high is 32.2, and 52 weeks high is 28.6. Dividend stock.
AMBRA is at 2 years low (21.0).
52 weeks low is 21.0. Previous year high is 32.2, and 52 weeks high is 29.7. Dividend stock.
AMBRA is at 2 years low (21.2).
52 weeks low is 21.2. Previous year high is 32.2, and 52 weeks high is 29.7. Dividend stock.
AMICA (57.4) rebounds after 2 years low (51.9).
It is 10.6% higher than 52 week low (51.9) 151 days ago, and -22.2% lower than 52 week high (73.8) 361 days ago. Dividend stock.
AMICA (70.3) drops after 52 weeks high (79.0).
It is -11.0% lower than 52 week high (79.0) 310 days ago, and 35.5% higher than 52 week low (51.9) 86 days ago. Dividend stock.
AMICA (70.9) drops after 52 weeks high (79.0).
It is -10.3% lower than 52 week high (79.0) 304 days ago, and 36.6% higher than 52 week low (51.9) 80 days ago. Dividend stock.
APLISENS (19.45) rebounds after 52 weeks low (17.6).
It is 10.5% higher than 52 week low (17.6) 160 days ago, and -20.3% lower than previous year high (24.4) 613 days ago. Dividend stock.
APLISENS (19.4) rebounds after 52 weeks low (17.6).
It is 10.2% higher than 52 week low (17.6) 154 days ago, and -20.5% lower than previous year high (24.4) 607 days ago. Dividend stock.
APLISENS (19.45) rebounds after 52 weeks low (17.6).
It is 10.5% higher than 52 week low (17.6) 152 days ago, and -20.3% lower than previous year high (24.4) 605 days ago. Dividend stock.
APLISENS (19.45) rebounds after 52 weeks low (17.6).
It is 10.5% higher than 52 week low (17.6) 148 days ago, and -20.3% lower than previous year high (24.4) 601 days ago. Dividend stock.
APLISENS (19.6) rebounds after 52 weeks low (17.6).
It is 14.6% higher than previous year low (17.1) 725 days ago, and -19.7% lower than previous year high (24.4) 585 days ago. Dividend stock.
AUTOPARTN (18.7) rebounds after 2 years low (16.4).
It is 14.0% higher than 52 week low (16.4) 16 days ago, and -32.7% lower than 52 week high (27.8) 350 days ago.
AUTOPARTN (18.1) rebounds after 2 years low (16.4).
It is 10.4% higher than 52 week low (16.4) 10 days ago, and -34.9% lower than 52 week high (27.8) 344 days ago.
AUTOPARTN is at 2 years low (16.4).
52 weeks low is 16.4. Previous year high is 29.0, and 52 weeks high is 27.8.
AUTOPARTN is at 2 years low (16.98).
52 weeks low is 16.98. Previous year high is 29.0, and 52 weeks high is 27.8.
APATOR (18.12) drops after 2 years high (20.3).
It is 3.0% higher than previous year high (17.6) 626 days ago, and 27.6% higher than previous year low (14.2) 553 days ago. Dividend stock.
APATOR (18.06) drops after 2 years high (20.3).
It is 2.6% higher than previous year high (17.6) 623 days ago, and 27.2% higher than previous year low (14.2) 550 days ago. Dividend stock.
APATOR (18.24) drops after 2 years high (20.3).
It is 3.6% higher than previous year high (17.6) 619 days ago, and 30.3% higher than previous year low (14.0) 730 days ago. Dividend stock.
ASBIS rises 36.3% (27.0) over last 20 days.
It rises on average 12.1% per week. It is -1.4% lower than 52 week high (27.38) 41 days ago, and 62.1% higher than 52 week low (16.66) 137 days ago. Dividend stock.
ASBIS rises 36.9% (26.68) over last 20 days.
It rises on average 12.3% per week. It is -2.6% lower than 52 week high (27.38) 38 days ago, and 60.1% higher than 52 week low (16.66) 134 days ago. Dividend stock.
ASBIS rises 18.7% (26.68) since previous day.
Volume drops -93.0%. It is -2.6% lower than 52 week high (27.38) 38 days ago, and 60.1% higher than 52 week low (16.66) 134 days ago. Dividend stock.
ASBIS (22.47) drops after 52 weeks high (27.38).
It is -17.9% lower than 52 week high (27.38) 37 days ago, and 34.9% higher than 52 week low (16.66) 133 days ago. Dividend stock.
ASBIS drops -13.6% (22.47) since previous day.
Volume rises 922.9%. It is -17.9% lower than 52 week high (27.38) 37 days ago, and 34.9% higher than 52 week low (16.66) 133 days ago. Dividend stock.
ASBIS rises 34.8% (26.0) over last 20 days.
It rises on average 11.6% per week. It is -5.0% lower than 52 week high (27.38) 36 days ago, and 56.1% higher than 52 week low (16.66) 132 days ago. Dividend stock.
ASBIS rises 39.5% (26.38) over last 20 days.
It rises on average 13.2% per week. It is -3.7% lower than 52 week high (27.38) 34 days ago, and 58.3% higher than 52 week low (16.66) 130 days ago. Dividend stock.
ASBIS rises 36.6% (26.4) over last 20 days.
It rises on average 12.2% per week. It is -3.6% lower than 52 week high (27.38) 31 days ago, and 58.5% higher than 52 week low (16.66) 127 days ago. Dividend stock.
ASBIS rises 24.2% (24.86) since previous day.
Volume drops -94.1%. It is -9.2% lower than 52 week high (27.38) 28 days ago, and 49.2% higher than 52 week low (16.66) 124 days ago. Dividend stock.
ASBIS drops -16.1% (20.01) over last 4 days.
Volume rises 3299.3%. It is 20.1% higher than 52 week low (16.66) 123 days ago, and -26.9% lower than 52 week high (27.38) 27 days ago. Dividend stock.
ASBIS (24.12) drops after 52 weeks high (27.7).
It is -12.9% lower than 52 week high (27.7) 361 days ago, and 44.8% higher than 52 week low (16.66) 106 days ago. Dividend stock.
ASSECOSEE (55.1) drops after 2 years high (62.0).
It is -3.0% lower than previous year high (56.8) 432 days ago, and 23.8% higher than previous year low (44.5) 544 days ago.
ASSECOSEE (54.5) drops after 2 years high (62.0).
It is -4.0% lower than previous year high (56.8) 430 days ago, and 22.5% higher than previous year low (44.5) 542 days ago.
ASSECOSEE is at 2 years high (62.0).
52 weeks high is 62.0. Previous year low is 44.5, and 52 weeks low is 47.1. It is 9.2% higher than previous year high (56.8) 425 days ago, and 39.3% higher than previous year low (44.5) 537 days ago.
ASSECOSEE is at 2 years high (60.2).
52 weeks high is 60.2. Previous year low is 44.5, and 52 weeks low is 47.1. It is 6.0% higher than previous year high (56.8) 418 days ago, and 35.3% higher than previous year low (44.5) 530 days ago.
ASSECOSEE is at 2 years high (59.0).
52 weeks high is 59.0. Previous year low is 44.5, and 52 weeks low is 47.1. It is 3.9% higher than previous year high (56.8) 417 days ago, and 32.6% higher than previous year low (44.5) 529 days ago.
ASSECOSEE is at 2 years high (57.4).
52 weeks high is 57.4. Previous year low is 44.5, and 52 weeks low is 47.1. It is 1.1% higher than previous year high (56.8) 416 days ago, and 29.0% higher than previous year low (44.5) 528 days ago.
ASSECOSEE is at 52 week high (56.0).
It is -1.4% lower than previous year high (56.8), and 18.9% higher than 52 weeks low (47.1) 228 days ago.
ASSECOSEE is at 52 week high (55.6).
It is -2.1% lower than previous year high (56.8), and 18.0% higher than 52 weeks low (47.1) 227 days ago.
ASSECOSEE is at 52 week high (54.0).
It is -4.9% lower than previous year high (56.8), and 14.6% higher than 52 weeks low (47.1) 226 days ago.
ATLANTAPL (18.55) rebounds after 52 weeks low (16.6).
It is -12.9% lower than 52 week high (21.3) 84 days ago, and 112.0% higher than previous year low (8.75) 720 days ago. Dividend stock.
ATLANTAPL (18.3) rebounds after 52 weeks low (16.6).
It is -14.1% lower than 52 week high (21.3) 82 days ago, and 110.3% higher than previous year low (8.7) 729 days ago. Dividend stock.
ATLANTAPL (18.35) rebounds after 52 weeks low (16.6).
It is -13.8% lower than 52 week high (21.3) 64 days ago, and 118.5% higher than previous year low (8.4) 728 days ago. Dividend stock.
ATLANTAPL (18.3) rebounds after 52 weeks low (16.6).
It is -14.1% lower than 52 week high (21.3) 55 days ago, and 117.9% higher than previous year low (8.4) 719 days ago. Dividend stock.
GRUPAAZOTY (22.48) drops after 52 weeks high (25.14).
It is -10.6% lower than 52 week high (25.14) 32 days ago, and 38.4% higher than 52 week low (16.24) 277 days ago.
GRUPAAZOTY is at 52 week high (25.14).
It is -20.4% lower than previous year high (31.58), and 54.8% higher than 52 weeks low (16.24) 245 days ago.
GRUPAAZOTY (21.94) drops after 52 weeks high (24.64).
It is -11.0% lower than 52 week high (24.64) 354 days ago, and 35.1% higher than 52 week low (16.24) 238 days ago.
GRUPAAZOTY (21.88) drops after 52 weeks high (24.64).
It is -11.2% lower than 52 week high (24.64) 309 days ago, and 34.7% higher than 52 week low (16.24) 193 days ago.
Big Cheese Studio S.A. drops -21.8% (12.7) over last 3 days.
Volume drops -99.9%. It is 21.4% higher than 52 week low (10.46) 139 days ago, and -57.7% lower than 52 week high (30.0) 328 days ago.
Big Cheese Studio S.A. rises 10.0% (13.96) since previous day.
Volume rises 15.7%. It is 33.5% higher than 52 week low (10.46) 113 days ago, and -53.5% lower than 52 week high (30.0) 302 days ago.
BEDZIN (47.2) drops after 52 weeks high (54.6).
It is -13.6% lower than 52 week high (54.6) 2 days ago, and 599.3% higher than previous year low (6.75) 714 days ago.
BEDZIN rises 99.6% (51.7) over last 20 days.
It rises on average 33.2% per week. It is -5.3% lower than 52 week high (54.6) 1 days ago, and 665.9% higher than previous year low (6.75) 713 days ago.
BEDZIN rises 113.7% (54.6) over last 20 days.
It rises on average 37.9% per week.
BEDZIN is at 52 week high (54.6).
It is -66.1% lower than previous year high (161.0), and 131.8% higher than 52 weeks low (23.55) 262 days ago.
BEDZIN rises 111.4% (54.0) over last 20 days.
It rises on average 37.1% per week.
BEDZIN is at 52 week high (54.0).
It is -66.5% lower than previous year high (161.0), and 129.3% higher than 52 weeks low (23.55) 259 days ago.
BEDZIN rises 26.9% (54.0) since previous day.
Volume rises 921.2%.
BEDZIN rises 66.5% (42.55) over last 20 days.
It rises on average 22.2% per week. It is -15.2% lower than 52 week high (50.2) 9 days ago, and 530.4% higher than previous year low (6.75) 708 days ago.
BEDZIN (44.15) drops after 52 weeks high (50.2).
It is -12.1% lower than 52 week high (50.2) 8 days ago, and 554.1% higher than previous year low (6.75) 707 days ago.
BEDZIN rises 71.1% (44.15) over last 20 days.
It rises on average 23.7% per week. It is -12.1% lower than 52 week high (50.2) 8 days ago, and 554.1% higher than previous year low (6.75) 707 days ago.
BEDZIN rises 76.2% (45.2) over last 20 days.
It rises on average 25.4% per week. It is -10.0% lower than 52 week high (50.2) 7 days ago, and 569.6% higher than previous year low (6.75) 706 days ago.
BEDZIN rises 70.0% (43.35) over last 20 days.
It rises on average 23.3% per week. It is -13.6% lower than 52 week high (50.2) 6 days ago, and 542.2% higher than previous year low (6.75) 705 days ago.
BEDZIN (44.95) drops after 52 weeks high (50.2).
It is -10.5% lower than 52 week high (50.2) 3 days ago, and 565.9% higher than previous year low (6.75) 702 days ago.
BEDZIN rises 78.4% (44.95) over last 20 days.
It rises on average 26.1% per week. It is -10.5% lower than 52 week high (50.2) 3 days ago, and 565.9% higher than previous year low (6.75) 702 days ago.
BEDZIN rises 92.7% (47.5) over last 20 days.
It rises on average 30.9% per week. It is -5.4% lower than 52 week high (50.2) 1 days ago, and 603.7% higher than previous year low (6.75) 700 days ago.
BEDZIN rises 108.7% (50.2) over last 20 days.
It rises on average 36.2% per week.
BEDZIN is at 52 week high (50.2).
It is -68.8% lower than previous year high (161.0), and 113.2% higher than 52 weeks low (23.55) 249 days ago.
BEDZIN rises 10.6% (50.2) since previous day.
Volume rises 29.3%.
BEDZIN rises 81.6% (45.4) over last 20 days.
It rises on average 27.2% per week. It is -7.7% lower than 52 week high (49.2) 3 days ago, and 572.6% higher than previous year low (6.75) 698 days ago.
BEDZIN rises 105.9% (49.2) over last 20 days.
It rises on average 35.3% per week.
BEDZIN is at 52 week high (49.2).
It is -69.4% lower than previous year high (161.0), and 108.9% higher than 52 weeks low (23.55) 245 days ago.
BEDZIN rises 28.5% (49.2) since previous day.
Volume drops -22.9%.
BEDZIN (38.3) rebounds after 52 weeks low (23.55).
It is -2.5% lower than 52 week high (39.3) 357 days ago, and 467.4% higher than previous year low (6.75) 694 days ago.
BEDZIN rises 54.7% (38.3) over last 20 days.
It rises on average 18.2% per week. It is -2.5% lower than 52 week high (39.3) 357 days ago, and 467.4% higher than previous year low (6.75) 694 days ago.
BEDZIN rises 47.9% (38.3) since previous day.
Volume rises 604.2%. It is -2.5% lower than 52 week high (39.3) 357 days ago, and 467.4% higher than previous year low (6.75) 694 days ago.
BEDZIN (26.95) rebounds after 52 weeks low (23.55).
It is -31.4% lower than 52 week high (39.3) 319 days ago, and 381.2% higher than previous year low (5.6) 725 days ago.
BENEFIT (3100.0) drops after 2 years high (3505.0).
It is 2.6% higher than previous year high (3020.0) 377 days ago, and 119.1% higher than previous year low (1415.0) 729 days ago.
BENEFIT (3015.0) drops after 2 years high (3505.0).
It is -0.2% lower than previous year high (3020.0) 370 days ago, and 126.7% higher than previous year low (1330.0) 729 days ago.
BENEFIT drops -14.0% (3015.0) since previous day.
Volume rises 554.7%. It is -0.2% lower than previous year high (3020.0) 370 days ago, and 126.7% higher than previous year low (1330.0) 729 days ago.
BENEFIT is at 2 years high (3505.0).
52 weeks high is 3505.0. Previous year low is 1330.0, and 52 weeks low is 2350.0. It is 16.1% higher than previous year high (3020.0) 369 days ago, and 163.5% higher than previous year low (1330.0) 728 days ago.
BENEFIT is at 2 years high (3500.0).
52 weeks high is 3500.0. Previous year low is 1210.0, and 52 weeks low is 2350.0. It is 19.9% higher than previous year high (2920.0) 403 days ago, and 189.3% higher than previous year low (1210.0) 728 days ago.
BENEFIT is at 2 years high (3440.0).
52 weeks high is 3440.0. Previous year low is 1210.0, and 52 weeks low is 2350.0. It is 17.8% higher than previous year high (2920.0) 400 days ago, and 184.3% higher than previous year low (1210.0) 725 days ago.
BENEFIT is at 2 years high (3415.0).
52 weeks high is 3415.0. Previous year low is 1185.0, and 52 weeks low is 2350.0. It is 17.0% higher than previous year high (2920.0) 399 days ago, and 188.2% higher than previous year low (1185.0) 730 days ago.
BENEFIT is at 2 years high (3400.0).
52 weeks high is 3400.0. Previous year low is 1175.0, and 52 weeks low is 2350.0. It is 16.4% higher than previous year high (2920.0) 396 days ago, and 189.4% higher than previous year low (1175.0) 728 days ago.
BENEFIT is at 2 years high (3380.0).
52 weeks high is 3380.0. Previous year low is 1175.0, and 52 weeks low is 2350.0. It is 15.8% higher than previous year high (2920.0) 393 days ago, and 187.7% higher than previous year low (1175.0) 725 days ago.
BENEFIT is at 2 years high (3270.0).
52 weeks high is 3270.0. Previous year low is 1175.0, and 52 weeks low is 2350.0. It is 12.0% higher than previous year high (2920.0) 390 days ago, and 178.3% higher than previous year low (1175.0) 722 days ago.
BENEFIT (2835.0) drops after 2 years high (3250.0).
It is -2.9% lower than previous year high (2920.0) 365 days ago, and 157.7% higher than previous year low (1100.0) 722 days ago.
BENEFIT (2915.0) drops after 2 years high (3250.0).
It is 3.0% higher than previous year high (2830.0) 364 days ago, and 165.0% higher than previous year low (1100.0) 714 days ago.
BENEFIT (2885.0) drops after 2 years high (3250.0).
It is 8.5% higher than previous year high (2660.0) 365 days ago, and 163.5% higher than previous year low (1095.0) 729 days ago.
HANDLOWY is at 2 years high (120.4).
52 weeks high is 120.4. Previous year low is 75.2, and 52 weeks low is 85.9. It is 2.2% higher than previous year high (117.8) 396 days ago, and 60.1% higher than previous year low (75.2) 728 days ago. Dividend stock.
HANDLOWY is at 2 years high (119.8).
52 weeks high is 119.8. Previous year low is 75.2, and 52 weeks low is 85.9. It is 1.7% higher than previous year high (117.8) 380 days ago, and 59.3% higher than previous year low (75.2) 712 days ago. Dividend stock.
HANDLOWY (103.2) drops after 2 years high (119.4).
It is -9.3% lower than previous year high (113.8) 364 days ago, and 37.2% higher than previous year low (75.2) 693 days ago. Dividend stock.
HANDLOWY drops -10.3% (103.2) since previous day.
Volume rises 231.8%. It is -9.3% lower than previous year high (113.8) 364 days ago, and 37.2% higher than previous year low (75.2) 693 days ago. Dividend stock.
HANDLOWY is at 2 years high (119.4).
52 weeks high is 119.4. Previous year low is 75.2, and 52 weeks low is 85.9. It is 6.4% higher than previous year high (112.2) 394 days ago, and 58.8% higher than previous year low (75.2) 684 days ago. Dividend stock.
HANDLOWY is at 2 years high (118.6).
52 weeks high is 118.6. Previous year low is 75.2, and 52 weeks low is 85.9. It is 5.7% higher than previous year high (112.2) 393 days ago, and 57.7% higher than previous year low (75.2) 683 days ago. Dividend stock.
BIOTON is at 2 years high (4.24).
52 weeks high is 4.24. Previous year low is 3.475, and 52 weeks low is 2.8. It is 5.6% higher than previous year high (4.015) 645 days ago, and 51.4% higher than 52 week low (2.8) 165 days ago.
BIOTON is at 2 years high (4.24).
52 weeks high is 4.24. Previous year low is 3.475, and 52 weeks low is 2.8. It is 5.6% higher than previous year high (4.015) 641 days ago, and 51.4% higher than 52 week low (2.8) 161 days ago.
BIOTON is at 2 years high (4.24).
52 weeks high is 4.24. Previous year low is 3.475, and 52 weeks low is 2.8. It is 5.6% higher than previous year high (4.015) 640 days ago, and 51.4% higher than 52 week low (2.8) 160 days ago.
BIOTON is at 2 years high (4.2).
52 weeks high is 4.2. Previous year low is 3.475, and 52 weeks low is 2.8. It is 4.6% higher than previous year high (4.015) 638 days ago, and 50.0% higher than 52 week low (2.8) 158 days ago.
BIOTON is at 2 years high (4.2).
52 weeks high is 4.2. Previous year low is 3.475, and 52 weeks low is 2.8. It is 4.6% higher than previous year high (4.015) 634 days ago, and 50.0% higher than 52 week low (2.8) 154 days ago.
BIOTON is at 2 years high (4.18).
52 weeks high is 4.18. Previous year low is 3.475, and 52 weeks low is 2.8. It is 4.1% higher than previous year high (4.015) 633 days ago, and 49.3% higher than 52 week low (2.8) 153 days ago.
BIOTON is at 2 years high (4.15).
52 weeks high is 4.15. Previous year low is 3.475, and 52 weeks low is 2.8. It is 3.4% higher than previous year high (4.015) 632 days ago, and 48.2% higher than 52 week low (2.8) 152 days ago.
BIOTON is at 2 years high (4.15).
52 weeks high is 4.15. Previous year low is 3.475, and 52 weeks low is 2.8. It is 3.4% higher than previous year high (4.015) 631 days ago, and 48.2% higher than 52 week low (2.8) 151 days ago.
BIOTON is at 2 years high (4.15).
52 weeks high is 4.15. Previous year low is 3.475, and 52 weeks low is 2.8. It is 3.4% higher than previous year high (4.015) 624 days ago, and 48.2% higher than 52 week low (2.8) 144 days ago.
BIOTON is at 2 years high (4.14).
52 weeks high is 4.14. Previous year low is 3.475, and 52 weeks low is 2.8. It is 3.1% higher than previous year high (4.015) 623 days ago, and 47.9% higher than 52 week low (2.8) 143 days ago.
BIOTON is at 2 years high (4.14).
52 weeks high is 4.14. Previous year low is 3.475, and 52 weeks low is 2.8. It is 3.1% higher than previous year high (4.015) 620 days ago, and 47.9% higher than 52 week low (2.8) 140 days ago.
BIOTON is at 2 years high (4.12).
52 weeks high is 4.12. Previous year low is 3.475, and 52 weeks low is 2.8. It is 2.6% higher than previous year high (4.015) 619 days ago, and 47.1% higher than 52 week low (2.8) 139 days ago.
BIOTON is at 2 years high (4.06).
52 weeks high is 4.06. Previous year low is 3.475, and 52 weeks low is 2.8. It is 1.1% higher than previous year high (4.015) 618 days ago, and 45.0% higher than 52 week low (2.8) 138 days ago.
BIOTON is at 52 week high (3.96).
It is -1.4% lower than previous year high (4.015), and 41.4% higher than 52 weeks low (2.8) 137 days ago.
BIOTON is at 52 week high (3.9).
It is -2.9% lower than previous year high (4.015), and 39.3% higher than 52 weeks low (2.8) 136 days ago.
BIOTON is at 52 week high (3.85).
It is -4.1% lower than previous year high (4.015), and 37.5% higher than 52 weeks low (2.8) 133 days ago.
BIOTON is at 52 week high (3.82).
It is -4.9% lower than previous year high (4.015), and 36.4% higher than 52 weeks low (2.8) 130 days ago.
BIOTON is at 52 week high (3.81).
It is -5.1% lower than previous year high (4.015), and 36.1% higher than 52 weeks low (2.8) 123 days ago.
BIOTON is at 52 week high (3.8).
It is -5.4% lower than previous year high (4.015), and 35.7% higher than 52 weeks low (2.8) 122 days ago.
BIOTON is at 52 week high (3.75).
It is -6.6% lower than previous year high (4.015), and 33.9% higher than 52 weeks low (2.8) 119 days ago.
CDPROJEKT is at 2 years high (271.0).
52 weeks high is 271.0. Previous year low is 99.2, and 52 weeks low is 133.8. It is 59.4% higher than previous year high (170.0) 728 days ago, and 173.2% higher than previous year low (99.2) 511 days ago. Dividend stock.
CDPROJEKT is at 2 years high (269.5).
52 weeks high is 269.5. Previous year low is 99.2, and 52 weeks low is 132.95. It is 58.5% higher than previous year high (170.0) 725 days ago, and 171.7% higher than previous year low (99.2) 508 days ago. Dividend stock.
CDPROJEKT is at 2 years high (268.0).
52 weeks high is 268.0. Previous year low is 99.2, and 52 weeks low is 132.95. It is 57.6% higher than previous year high (170.0) 724 days ago, and 170.2% higher than previous year low (99.2) 507 days ago. Dividend stock.
CDPROJEKT is at 2 years high (267.3).
52 weeks high is 267.3. Previous year low is 99.2, and 52 weeks low is 132.95. It is 57.2% higher than previous year high (170.0) 721 days ago, and 169.5% higher than previous year low (99.2) 504 days ago. Dividend stock.
CDPROJEKT is at 2 years high (259.0).
52 weeks high is 259.0. Previous year low is 99.2, and 52 weeks low is 132.5. It is 52.4% higher than previous year high (170.0) 720 days ago, and 161.1% higher than previous year low (99.2) 503 days ago. Dividend stock.
CDPROJEKT is at 2 years high (257.9).
52 weeks high is 257.9. Previous year low is 99.2, and 52 weeks low is 132.5. It is 51.7% higher than previous year high (170.0) 719 days ago, and 160.0% higher than previous year low (99.2) 502 days ago. Dividend stock.
CDPROJEKT (229.9) drops after 2 years high (257.6).
It is 35.2% higher than previous year high (170.0) 704 days ago, and 131.8% higher than previous year low (99.2) 487 days ago. Dividend stock.
CDPROJEKT (231.2) drops after 2 years high (257.6).
It is 36.0% higher than previous year high (170.0) 699 days ago, and 133.1% higher than previous year low (99.2) 482 days ago. Dividend stock.
CDPROJEKT is at 2 years high (257.6).
52 weeks high is 257.6. Previous year low is 99.2, and 52 weeks low is 124.1. It is 51.5% higher than previous year high (170.0) 686 days ago, and 159.7% higher than previous year low (99.2) 469 days ago. Dividend stock.
CDPROJEKT rises 10.6% (257.6) over last 2 days.
Volume rises 204.5%. Dividend stock.
CDPROJEKT is at 2 years high (233.9).
52 weeks high is 233.9. Previous year low is 99.2, and 52 weeks low is 118.5. It is 37.6% higher than previous year high (170.0) 683 days ago, and 135.8% higher than previous year low (99.2) 466 days ago. Dividend stock.
CDPROJEKT (200.6) drops after 2 years high (230.0).
It is 18.0% higher than previous year high (170.0) 663 days ago, and 102.2% higher than previous year low (99.2) 446 days ago. Dividend stock.
CDPROJEKT (205.4) drops after 2 years high (230.0).
It is 20.8% higher than previous year high (170.0) 661 days ago, and 107.1% higher than previous year low (99.2) 444 days ago. Dividend stock.
CEZ is at 52 week high (186.0).
It is -22.8% lower than previous year high (241.0), and 32.7% higher than 52 weeks low (140.2) 350 days ago.
COMP is at 2 years high (242.0).
52 weeks high is 242.0. Previous year low is 55.0, and 52 weeks low is 93.8. It is 120.0% higher than previous year high (110.0) 385 days ago, and 340.0% higher than previous year low (55.0) 708 days ago. Dividend stock.
COMP is at 2 years high (240.0).
52 weeks high is 240.0. Previous year low is 55.0, and 52 weeks low is 93.8. It is 118.2% higher than previous year high (110.0) 378 days ago, and 336.4% higher than previous year low (55.0) 701 days ago. Dividend stock.
COMP is at 2 years high (240.0).
52 weeks high is 240.0. Previous year low is 55.0, and 52 weeks low is 93.8. It is 118.2% higher than previous year high (110.0) 377 days ago, and 336.4% higher than previous year low (55.0) 700 days ago. Dividend stock.
COMP is at 2 years high (239.0).
52 weeks high is 239.0. Previous year low is 55.0, and 52 weeks low is 81.4. It is 182.5% higher than previous year high (84.6) 488 days ago, and 334.5% higher than previous year low (55.0) 677 days ago. Dividend stock.
COMP is at 2 years high (233.0).
52 weeks high is 233.0. Previous year low is 54.4, and 52 weeks low is 81.4. It is 175.4% higher than previous year high (84.6) 485 days ago, and 328.3% higher than previous year low (54.4) 728 days ago. Dividend stock.
COMP is at 2 years high (230.0).
52 weeks high is 230.0. Previous year low is 54.4, and 52 weeks low is 81.0. It is 171.9% higher than previous year high (84.6) 484 days ago, and 322.8% higher than previous year low (54.4) 727 days ago. Dividend stock.
COMP is at 2 years high (224.0).
52 weeks high is 224.0. Previous year low is 53.8, and 52 weeks low is 79.4. It is 164.8% higher than previous year high (84.6) 482 days ago, and 316.4% higher than previous year low (53.8) 729 days ago. Dividend stock.
COMP is at 2 years high (216.0).
52 weeks high is 216.0. Previous year low is 53.0, and 52 weeks low is 77.0. It is 155.3% higher than previous year high (84.6) 474 days ago, and 307.5% higher than previous year low (53.0) 725 days ago. Dividend stock.
COMP is at 2 years high (215.0).
52 weeks high is 215.0. Previous year low is 53.0, and 52 weeks low is 77.0. It is 154.1% higher than previous year high (84.6) 469 days ago, and 305.7% higher than previous year low (53.0) 720 days ago. Dividend stock.
COMP is at 2 years high (213.0).
52 weeks high is 213.0. Previous year low is 53.0, and 52 weeks low is 77.0. It is 151.8% higher than previous year high (84.6) 468 days ago, and 301.9% higher than previous year low (53.0) 719 days ago. Dividend stock.
COMP is at 2 years high (212.0).
52 weeks high is 212.0. Previous year low is 52.4, and 52 weeks low is 77.0. It is 150.6% higher than previous year high (84.6) 463 days ago, and 304.6% higher than previous year low (52.4) 730 days ago. Dividend stock.
COMP is at 2 years high (208.0).
52 weeks high is 208.0. Previous year low is 52.4, and 52 weeks low is 77.0. It is 145.9% higher than previous year high (84.6) 462 days ago, and 296.9% higher than previous year low (52.4) 729 days ago. Dividend stock.
COMP (173.0) drops after 2 years high (197.5).
It is 104.5% higher than previous year high (84.6) 455 days ago, and 241.9% higher than previous year low (50.6) 727 days ago. Dividend stock.
COMP (176.0) drops after 2 years high (197.5).
It is 108.0% higher than previous year high (84.6) 450 days ago, and 259.9% higher than previous year low (48.9) 729 days ago. Dividend stock.
COMP is at 2 years high (197.5).
52 weeks high is 197.5. Previous year low is 48.7, and 52 weeks low is 75.8. It is 133.5% higher than previous year high (84.6) 441 days ago, and 305.5% higher than previous year low (48.7) 726 days ago. Dividend stock.
COMP is at 2 years high (190.0).
52 weeks high is 190.0. Previous year low is 48.7, and 52 weeks low is 75.8. It is 124.6% higher than previous year high (84.6) 440 days ago, and 290.1% higher than previous year low (48.7) 725 days ago. Dividend stock.
COMP is at 2 years high (189.0).
52 weeks high is 189.0. Previous year low is 48.7, and 52 weeks low is 75.8. It is 123.4% higher than previous year high (84.6) 439 days ago, and 288.1% higher than previous year low (48.7) 724 days ago. Dividend stock.
COMP is at 2 years high (188.5).
52 weeks high is 188.5. Previous year low is 48.0, and 52 weeks low is 75.8. It is 122.8% higher than previous year high (84.6) 436 days ago, and 292.7% higher than previous year low (48.0) 728 days ago. Dividend stock.
COMP is at 2 years high (188.0).
52 weeks high is 188.0. Previous year low is 45.2, and 52 weeks low is 75.8. It is 122.2% higher than previous year high (84.6) 434 days ago, and 315.9% higher than previous year low (45.2) 730 days ago. Dividend stock.
COMP is at 2 years high (183.0).
52 weeks high is 183.0. Previous year low is 45.2, and 52 weeks low is 75.8. It is 116.3% higher than previous year high (84.6) 432 days ago, and 304.9% higher than previous year low (45.2) 728 days ago. Dividend stock.
CYFRPLSAT (17.02) drops after 2 years high (18.995).
It is -3.1% lower than previous year high (17.56) 728 days ago, and 74.4% higher than previous year low (9.76) 399 days ago.
CYFRPLSAT is at 2 years high (18.995).
52 weeks high is 18.995. Previous year low is 9.76, and 52 weeks low is 10.72. It is 4.8% higher than previous year high (18.12) 722 days ago, and 94.6% higher than previous year low (9.76) 386 days ago.
CYFRPLSAT is at 2 years high (18.7).
52 weeks high is 18.7. Previous year low is 9.76, and 52 weeks low is 10.495. It is 3.2% higher than previous year high (18.12) 721 days ago, and 91.6% higher than previous year low (9.76) 385 days ago.
CYFRPLSAT is at 2 years high (18.69).
52 weeks high is 18.69. Previous year low is 9.76, and 52 weeks low is 10.42. It is 3.1% higher than previous year high (18.12) 720 days ago, and 91.5% higher than previous year low (9.76) 384 days ago.
CYFRPLSAT is at 2 years high (18.635).
52 weeks high is 18.635. Previous year low is 9.76, and 52 weeks low is 10.42. It is 2.8% higher than previous year high (18.12) 717 days ago, and 90.9% higher than previous year low (9.76) 381 days ago.
CYFRPLSAT is at 2 years high (18.49).
52 weeks high is 18.49. Previous year low is 9.76, and 52 weeks low is 9.978. It is 2.0% higher than previous year high (18.12) 715 days ago, and 89.4% higher than previous year low (9.76) 379 days ago.
CYFRPLSAT is at 2 years high (18.485).
52 weeks high is 18.485. Previous year low is 9.76, and 52 weeks low is 9.978. It is 2.0% higher than previous year high (18.12) 714 days ago, and 89.4% higher than previous year low (9.76) 378 days ago.
CYFRPLSAT is at 2 years high (18.3).
52 weeks high is 18.3. Previous year low is 9.76, and 52 weeks low is 9.978. It is 1.0% higher than previous year high (18.12) 713 days ago, and 87.5% higher than previous year low (9.76) 377 days ago.
CYFRPLSAT is at 2 years high (18.24).
52 weeks high is 18.24. Previous year low is 9.76, and 52 weeks low is 9.95. It is 0.7% higher than previous year high (18.12) 710 days ago, and 86.9% higher than previous year low (9.76) 374 days ago.
CYFRPLSAT is at 52 week high (18.09).
It is -0.2% lower than previous year high (18.12), and 82.7% higher than 52 weeks low (9.9) 364 days ago.
CYFRPLSAT is at 52 week high (18.05).
It is -0.4% lower than previous year high (18.12), and 82.3% higher than 52 weeks low (9.9) 362 days ago.
CYFRPLSAT is at 52 week high (17.51).
It is -3.4% lower than previous year high (18.12), and 76.9% higher than 52 weeks low (9.9) 357 days ago.
CYFRPLSAT is at 52 week high (17.5).
It is -3.4% lower than previous year high (18.12), and 78.0% higher than 52 weeks low (9.83) 364 days ago.
CYFRPLSAT is at 52 week high (16.685).
It is -7.9% lower than previous year high (18.12), and 71.0% higher than 52 weeks low (9.76) 364 days ago.
CYFRPLSAT is at 52 week high (16.4).
It is -9.5% lower than previous year high (18.12), and 68.0% higher than 52 weeks low (9.76) 363 days ago.
CYFRPLSAT is at 52 week high (16.395).
It is -9.5% lower than previous year high (18.12), and 68.0% higher than 52 weeks low (9.76) 357 days ago.
CYFRPLSAT is at 52 week high (16.35).
It is -9.8% lower than previous year high (18.12), and 67.5% higher than 52 weeks low (9.76) 353 days ago.
CYFRPLSAT is at 52 week high (15.89).
It is -12.3% lower than previous year high (18.12), and 62.8% higher than 52 weeks low (9.76) 342 days ago.
CYFRPLSAT is at 52 week high (15.645).
It is -13.7% lower than previous year high (18.12), and 60.3% higher than 52 weeks low (9.76) 339 days ago.
Creotech Instruments S.A. rises 759.7% (296.0) over last 20 days.
It rises on average 253.2% per week. It is 23.3% higher than previous year high (240.0) 638 days ago, and 799.7% higher than 52 week low (32.9) 30 days ago.
Creotech Instruments S.A. rises 755.5% (289.5) over last 20 days.
It rises on average 251.8% per week. It is 20.6% higher than previous year high (240.0) 633 days ago, and 779.9% higher than 52 week low (32.9) 25 days ago.
Creotech Instruments S.A. rises 789.3% (296.5) over last 20 days.
It rises on average 263.1% per week. It is 23.5% higher than previous year high (240.0) 631 days ago, and 801.2% higher than 52 week low (32.9) 23 days ago.
Creotech Instruments S.A. rises 782.0% (299.0) over last 20 days.
It rises on average 260.7% per week. It is 24.6% higher than previous year high (240.0) 629 days ago, and 808.8% higher than 52 week low (32.9) 21 days ago.
Creotech Instruments S.A. rises 801.2% (296.5) over last 20 days.
It rises on average 267.1% per week. It is 23.5% higher than previous year high (240.0) 626 days ago, and 801.2% higher than 52 week low (32.9) 18 days ago.
Creotech Instruments S.A. rises 703.0% (307.0) over last 20 days.
It rises on average 234.3% per week. It is 27.9% higher than previous year high (240.0) 624 days ago, and 833.1% higher than 52 week low (32.9) 16 days ago.
Creotech Instruments S.A. rises 722.4% (306.5) over last 20 days.
It rises on average 240.8% per week. It is 27.7% higher than previous year high (240.0) 623 days ago, and 831.6% higher than 52 week low (32.9) 15 days ago.
Creotech Instruments S.A. rises 742.6% (311.0) over last 20 days.
It rises on average 247.5% per week.
Creotech Instruments S.A. is at 2 years high (311.0).
52 weeks high is 311.0. Previous year low is 169.0, and 52 weeks low is 32.9. It is 29.6% higher than previous year high (240.0) 622 days ago, and 845.3% higher than 52 week low (32.9) 14 days ago.
Creotech Instruments S.A. rises 762.1% (310.0) over last 20 days.
It rises on average 254.0% per week.
Creotech Instruments S.A. is at 2 years high (310.0).
52 weeks high is 310.0. Previous year low is 169.0, and 52 weeks low is 32.9. It is 29.2% higher than previous year high (240.0) 619 days ago, and 842.2% higher than 52 week low (32.9) 11 days ago.
Creotech Instruments S.A. rises 745.4% (304.0) over last 20 days.
It rises on average 248.5% per week. It is 26.7% higher than previous year high (240.0) 618 days ago, and 824.0% higher than 52 week low (32.9) 10 days ago.
Creotech Instruments S.A. is at 2 years high (306.5).
52 weeks high is 306.5. Previous year low is 169.0, and 52 weeks low is 32.9. It is 27.7% higher than previous year high (240.0) 617 days ago, and 831.6% higher than 52 week low (32.9) 9 days ago.
Creotech Instruments S.A. rises 718.5% (290.0) over last 20 days.
It rises on average 239.5% per week.
Creotech Instruments S.A. is at 2 years high (290.0).
52 weeks high is 290.0. Previous year low is 169.0, and 52 weeks low is 32.9. It is 20.8% higher than previous year high (240.0) 616 days ago, and 781.5% higher than 52 week low (32.9) 8 days ago.
Creotech Instruments S.A. rises 702.0% (288.0) over last 20 days.
It rises on average 234.0% per week.
Creotech Instruments S.A. (288.0) rebounds after 2 years low (32.9).
Creotech Instruments S.A. is at 2 years high (288.0).
52 weeks high is 288.0. Previous year low is 169.0, and 52 weeks low is 32.9. It is 20.0% higher than previous year high (240.0) 615 days ago, and 775.4% higher than 52 week low (32.9) 7 days ago.
Creotech Instruments S.A. rises 723.8% (288.0) over last 3 days.
Volume drops -99.2%.
Creotech Instruments S.A. drops -85.0% (33.34) over last 20 days.
It drops on average -28.3% per week. It is 1.3% higher than 52 week low (32.9) 3 days ago, and -86.1% lower than previous year high (240.0) 611 days ago.
Creotech Instruments S.A. is at 2 years low (32.9).
52 weeks low is 32.9. Previous year high is 240.0, and 52 weeks high is 281.0.
Creotech Instruments S.A. drops -11.4% (33.87) since previous day.
Volume rises 55.1%. It is 2.9% higher than 52 week low (32.9) 17 days ago, and -85.9% lower than previous year high (240.0) 605 days ago.
Creotech Instruments S.A. drops -82.1% (38.23) over last 20 days.
It drops on average -27.4% per week. It is 16.2% higher than 52 week low (32.9) 16 days ago, and -84.1% lower than previous year high (240.0) 604 days ago.
Creotech Instruments S.A. (36.91) rebounds after 2 years low (32.9).
It is 12.2% higher than 52 week low (32.9) 14 days ago, and -84.6% lower than previous year high (240.0) 602 days ago.
Creotech Instruments S.A. (36.37) rebounds after 2 years low (32.9).
It is 10.5% higher than 52 week low (32.9) 9 days ago, and -84.5% lower than 52 week high (235.0) 241 days ago.
Creotech Instruments S.A. drops -82.7% (36.37) over last 20 days.
It drops on average -27.6% per week. It is 10.5% higher than 52 week low (32.9) 9 days ago, and -84.5% lower than 52 week high (235.0) 241 days ago.
Creotech Instruments S.A. drops -83.2% (35.43) over last 20 days.
It drops on average -27.7% per week. It is 7.7% higher than 52 week low (32.9) 8 days ago, and -84.9% lower than 52 week high (235.0) 240 days ago.
Creotech Instruments S.A. drops -82.9% (35.91) over last 20 days.
It drops on average -27.6% per week. It is 9.1% higher than 52 week low (32.9) 7 days ago, and -84.7% lower than 52 week high (235.0) 239 days ago.
Creotech Instruments S.A. (36.72) drops after 52 weeks high (235.0).
It is 11.6% higher than 52 week low (32.9) 6 days ago, and -84.4% lower than 52 week high (235.0) 238 days ago.
Creotech Instruments S.A. drops -82.4% (36.72) over last 20 days.
It drops on average -27.5% per week. It is 11.6% higher than 52 week low (32.9) 6 days ago, and -84.4% lower than 52 week high (235.0) 238 days ago.
Creotech Instruments S.A. drops -83.5% (36.72) over last 3 days.
Volume rises 10337.0%. It is 11.6% higher than 52 week low (32.9) 6 days ago, and -84.4% lower than 52 week high (235.0) 238 days ago.
Creotech Instruments S.A. rises 502.0% (222.0) since previous day.
Volume drops -99.2%. It is -5.5% lower than 52 week high (235.0) 235 days ago, and 574.8% higher than 52 week low (32.9) 3 days ago.
Creotech Instruments S.A. drops -81.4% (36.88) over last 20 days.
It drops on average -27.1% per week. It is 12.1% higher than 52 week low (32.9) 2 days ago, and -84.3% lower than 52 week high (235.0) 234 days ago.
Creotech Instruments S.A. (38.98) rebounds after 2 years low (32.9).
It is 18.5% higher than 52 week low (32.9) 1 days ago, and -83.4% lower than 52 week high (235.0) 233 days ago.
Creotech Instruments S.A. drops -80.8% (38.98) over last 20 days.
It drops on average -26.9% per week. It is 18.5% higher than 52 week low (32.9) 1 days ago, and -83.4% lower than 52 week high (235.0) 233 days ago.
Creotech Instruments S.A. rises 18.5% (38.98) since previous day.
Volume rises 97.3%. It is 18.5% higher than 52 week low (32.9) 1 days ago, and -83.4% lower than 52 week high (235.0) 233 days ago.
Creotech Instruments S.A. is at 2 years low (32.9).
52 weeks low is 32.9. Previous year high is 240.0, and 52 weeks high is 235.0.
Creotech Instruments S.A. drops -84.1% (32.9) over last 20 days.
It drops on average -28.0% per week.
Creotech Instruments S.A. drops -82.5% (35.8) over last 20 days.
It drops on average -27.5% per week. It is 0.6% higher than 52 week low (35.57) 4 days ago, and -84.8% lower than 52 week high (235.0) 231 days ago.
Creotech Instruments S.A. (37.18) drops after 52 weeks high (235.0).
It is 4.5% higher than 52 week low (35.57) 1 days ago, and -84.2% lower than 52 week high (235.0) 228 days ago.
Creotech Instruments S.A. drops -82.2% (37.18) over last 20 days.
It drops on average -27.4% per week. It is 4.5% higher than 52 week low (35.57) 1 days ago, and -84.2% lower than 52 week high (235.0) 228 days ago.
Creotech Instruments S.A. drops -83.0% (37.18) since previous day.
Volume rises 43208.7%. It is 4.5% higher than 52 week low (35.57) 1 days ago, and -84.2% lower than 52 week high (235.0) 228 days ago.
Creotech Instruments S.A. (209.0) drops after 52 weeks high (235.0).
It is -11.1% lower than 52 week high (235.0) 210 days ago, and 67.2% higher than 52 week low (125.0) 146 days ago.
CRJ rises 10.4% (445.0) over last 3 days.
Volume drops -4.0%. It is -18.8% lower than 52 week high (548.0) 318 days ago, and 84.6% higher than 52 week low (241.0) 165 days ago.
DATAWALK is at 2 years high (93.0).
52 weeks high is 93.0. Previous year low is 29.95, and 52 weeks low is 35.7. It is 3.0% higher than previous year high (90.3) 665 days ago, and 210.5% higher than previous year low (29.95) 502 days ago.
DATAWALK is at 2 years high (91.8).
52 weeks high is 91.8. Previous year low is 29.95, and 52 weeks low is 35.7. It is 1.7% higher than previous year high (90.3) 662 days ago, and 206.5% higher than previous year low (29.95) 499 days ago.
DATAWALK rises 45.4% (83.75) over last 20 days.
It rises on average 15.1% per week. It is -5.9% lower than 52 week high (89.0) 6 days ago, and 179.6% higher than previous year low (29.95) 490 days ago.
DATAWALK rises 36.9% (83.2) over last 20 days.
It rises on average 12.3% per week. It is -6.5% lower than 52 week high (89.0) 5 days ago, and 177.8% higher than previous year low (29.95) 489 days ago.
DATAWALK is at 52 week high (89.0).
It is -1.4% lower than previous year high (90.3), and 149.3% higher than 52 weeks low (35.7) 189 days ago.
DATAWALK rises 54.8% (89.0) over last 20 days.
It rises on average 18.3% per week.
DATAWALK rises 10.2% (89.0) since previous day.
Volume rises 101.9%.
DATAWALK is at 52 week high (80.77).
It is -10.6% lower than previous year high (90.3), and 126.2% higher than 52 weeks low (35.7) 188 days ago.
DATAWALK rises 38.8% (80.77) over last 20 days.
It rises on average 12.9% per week.
DATAWALK is at 52 week high (77.0).
It is -14.7% lower than previous year high (90.3), and 115.7% higher than 52 weeks low (35.7) 187 days ago.
DATAWALK rises 32.3% (77.0) over last 20 days.
It rises on average 10.8% per week.
DATAWALK is at 52 week high (73.73).
It is -18.3% lower than previous year high (90.3), and 106.5% higher than 52 weeks low (35.7) 182 days ago.
DATAWALK rises 14.6% (66.0) since previous day.
Volume rises 464.1%. It is -8.3% lower than 52 week high (72.0) 49 days ago, and 120.4% higher than previous year low (29.95) 471 days ago.
DATAWALK (64.0) drops after 52 weeks high (72.0).
It is -11.1% lower than 52 week high (72.0) 32 days ago, and 113.7% higher than previous year low (29.95) 454 days ago.
DEBICA (84.4) rebounds after 52 weeks low (76.2).
It is 10.2% higher than previous year high (76.6) 365 days ago, and 38.4% higher than previous year low (61.0) 689 days ago. Dividend stock.
DECORA (72.0) drops after 2 years high (81.8).
It is 8.1% higher than previous year high (66.6) 367 days ago, and 94.1% higher than previous year low (37.1) 728 days ago. Dividend stock.
DECORA (72.2) drops after 2 years high (81.8).
It is 12.8% higher than previous year high (64.0) 367 days ago, and 100.6% higher than previous year low (36.0) 728 days ago. Dividend stock.
DECORA (71.6) drops after 2 years high (81.8).
It is 19.3% higher than previous year high (60.0) 488 days ago, and 107.5% higher than previous year low (34.5) 720 days ago. Dividend stock.
DECORA (73.4) drops after 2 years high (81.8).
It is 22.3% higher than previous year high (60.0) 465 days ago, and 112.8% higher than previous year low (34.5) 697 days ago. Dividend stock.
DELKO is at 2 years low (6.6).
52 weeks low is 6.6. Previous year high is 12.9, and 52 weeks high is 9.7. Dividend stock.
DELKO is at 2 years low (6.66).
52 weeks low is 6.66. Previous year high is 12.9, and 52 weeks high is 9.7. Dividend stock.
DELKO is at 2 years low (6.68).
52 weeks low is 6.68. Previous year high is 12.9, and 52 weeks high is 9.76. Dividend stock.
DELKO is at 2 years low (6.74).
52 weeks low is 6.74. Previous year high is 12.9, and 52 weeks high is 9.76. Dividend stock.
DELKO is at 2 years low (6.78).
52 weeks low is 6.78. Previous year high is 12.9, and 52 weeks high is 9.76. Dividend stock.
DELKO is at 2 years low (6.86).
52 weeks low is 6.86. Previous year high is 12.9, and 52 weeks high is 9.76. Dividend stock.
DELKO is at 2 years low (6.96).
52 weeks low is 6.96. Previous year high is 12.9, and 52 weeks high is 9.76. Dividend stock.
DELKO is at 2 years low (7.1).
52 weeks low is 7.1. Previous year high is 12.9, and 52 weeks high is 9.76. Dividend stock.
DELKO is at 2 years low (7.2).
52 weeks low is 7.2. Previous year high is 12.9, and 52 weeks high is 9.76. Dividend stock.
DELKO is at 2 years low (7.2).
52 weeks low is 7.2. Previous year high is 12.9, and 52 weeks high is 9.76. Dividend stock.
DELKO is at 2 years low (7.32).
52 weeks low is 7.32. Previous year high is 12.9, and 52 weeks high is 9.96. Dividend stock.
Digital Network S.A. is at 2 years high (85.0).
52 weeks high is 85.0. Previous year low is 11.75, and 52 weeks low is 37.0. It is 42.6% higher than previous year high (59.6) 380 days ago, and 623.4% higher than previous year low (11.75) 693 days ago.
Digital Network S.A. is at 2 years high (85.0).
52 weeks high is 85.0. Previous year low is 11.75, and 52 weeks low is 37.0. It is 42.6% higher than previous year high (59.6) 378 days ago, and 623.4% higher than previous year low (11.75) 691 days ago.
Digital Network S.A. is at 2 years high (82.7).
52 weeks high is 82.7. Previous year low is 11.75, and 52 weeks low is 37.0. It is 38.8% higher than previous year high (59.6) 375 days ago, and 603.8% higher than previous year low (11.75) 688 days ago.
Digital Network S.A. is at 2 years high (80.5).
52 weeks high is 80.5. Previous year low is 11.75, and 52 weeks low is 37.0. It is 35.1% higher than previous year high (59.6) 374 days ago, and 585.1% higher than previous year low (11.75) 687 days ago.
Digital Network S.A. is at 2 years high (80.1).
52 weeks high is 80.1. Previous year low is 11.75, and 52 weeks low is 37.0. It is 34.4% higher than previous year high (59.6) 366 days ago, and 581.7% higher than previous year low (11.75) 679 days ago.
Digital Network S.A. is at 2 years high (78.0).
52 weeks high is 78.0. Previous year low is 11.75, and 52 weeks low is 37.0. It is 30.9% higher than previous year high (59.6) 364 days ago, and 563.8% higher than previous year low (11.75) 677 days ago.
Digital Network S.A. is at 2 years high (74.9).
52 weeks high is 74.9. Previous year low is 11.75, and 52 weeks low is 37.0. It is 25.7% higher than previous year high (59.6) 364 days ago, and 537.4% higher than previous year low (11.75) 674 days ago.
Digital Network S.A. is at 2 years high (73.8).
52 weeks high is 73.8. Previous year low is 11.75, and 52 weeks low is 37.0. It is 33.7% higher than previous year high (55.2) 365 days ago, and 528.1% higher than previous year low (11.75) 672 days ago.
DEVELIA (7.2) drops after 2 years high (8.48).
It is 5.1% higher than previous year high (6.85) 392 days ago, and 82.7% higher than previous year low (3.94) 718 days ago.
DEVELIA (7.63) drops after 2 years high (8.48).
It is 11.4% higher than previous year high (6.85) 376 days ago, and 104.8% higher than previous year low (3.725) 727 days ago.
DEVELIA is at 2 years high (8.48).
52 weeks high is 8.48. Previous year low is 3.63, and 52 weeks low is 4.9. It is 24.3% higher than previous year high (6.82) 374 days ago, and 133.6% higher than previous year low (3.63) 729 days ago.
DEVELIA is at 2 years high (8.4).
52 weeks high is 8.4. Previous year low is 3.63, and 52 weeks low is 4.9. It is 23.2% higher than previous year high (6.82) 373 days ago, and 131.4% higher than previous year low (3.63) 728 days ago.
DEVELIA is at 2 years high (8.24).
52 weeks high is 8.24. Previous year low is 3.63, and 52 weeks low is 4.9. It is 20.8% higher than previous year high (6.82) 372 days ago, and 127.0% higher than previous year low (3.63) 727 days ago.
DEVELIA is at 2 years high (8.2).
52 weeks high is 8.2. Previous year low is 3.63, and 52 weeks low is 4.9. It is 20.2% higher than previous year high (6.82) 371 days ago, and 125.9% higher than previous year low (3.63) 726 days ago.
DEVELIA is at 2 years high (8.08).
52 weeks high is 8.08. Previous year low is 3.5, and 52 weeks low is 4.9. It is 18.5% higher than previous year high (6.82) 368 days ago, and 130.9% higher than previous year low (3.5) 730 days ago.
DEVELIA is at 2 years high (7.99).
52 weeks high is 7.99. Previous year low is 3.405, and 52 weeks low is 4.9. It is 17.2% higher than previous year high (6.82) 366 days ago, and 134.7% higher than previous year low (3.405) 730 days ago.
DEVELIA is at 2 years high (7.94).
52 weeks high is 7.94. Previous year low is 3.405, and 52 weeks low is 4.9. It is 16.4% higher than previous year high (6.82) 365 days ago, and 133.2% higher than previous year low (3.405) 729 days ago.
DEVELIA is at 2 years high (7.87).
52 weeks high is 7.87. Previous year low is 3.405, and 52 weeks low is 4.9. It is 15.4% higher than previous year high (6.82) 364 days ago, and 131.1% higher than previous year low (3.405) 728 days ago.
DEVELIA is at 2 years high (7.77).
52 weeks high is 7.77. Previous year low is 3.355, and 52 weeks low is 4.9. It is 17.0% higher than previous year high (6.64) 367 days ago, and 131.6% higher than previous year low (3.355) 728 days ago.
DEVELIA is at 2 years high (7.46).
52 weeks high is 7.46. Previous year low is 3.355, and 52 weeks low is 4.9. It is 12.3% higher than previous year high (6.64) 365 days ago, and 122.4% higher than previous year low (3.355) 726 days ago.
DEVELIA is at 2 years high (7.4).
52 weeks high is 7.4. Previous year low is 3.355, and 52 weeks low is 4.9. It is 11.4% higher than previous year high (6.64) 364 days ago, and 120.6% higher than previous year low (3.355) 725 days ago.
DEVELIA is at 2 years high (7.4).
52 weeks high is 7.4. Previous year low is 3.355, and 52 weeks low is 4.9. It is 11.4% higher than previous year high (6.64) 365 days ago, and 120.6% higher than previous year low (3.355) 721 days ago.
DEVELIA is at 2 years high (7.29).
52 weeks high is 7.29. Previous year low is 3.355, and 52 weeks low is 4.9. It is 9.8% higher than previous year high (6.64) 364 days ago, and 117.3% higher than previous year low (3.355) 720 days ago.
DEVELIA is at 2 years high (7.28).
52 weeks high is 7.28. Previous year low is 3.355, and 52 weeks low is 4.9. It is 12.3% higher than previous year high (6.48) 365 days ago, and 117.0% higher than previous year low (3.355) 719 days ago.
DEVELIA is at 2 years high (7.26).
52 weeks high is 7.26. Previous year low is 3.355, and 52 weeks low is 4.9. It is 12.0% higher than previous year high (6.48) 364 days ago, and 116.4% higher than previous year low (3.355) 718 days ago.
DEVELIA is at 2 years high (7.25).
52 weeks high is 7.25. Previous year low is 3.355, and 52 weeks low is 4.9. It is 17.9% higher than previous year high (6.15) 376 days ago, and 116.1% higher than previous year low (3.355) 711 days ago.
DEVELIA is at 2 years high (6.91).
52 weeks high is 6.91. Previous year low is 3.355, and 52 weeks low is 4.9. It is 12.4% higher than previous year high (6.15) 375 days ago, and 106.0% higher than previous year low (3.355) 710 days ago.
DEVELIA (6.08) drops after 2 years high (6.85).
It is -1.1% lower than previous year high (6.15) 368 days ago, and 86.2% higher than previous year low (3.265) 727 days ago.
ECHO (4.46) drops after 2 years high (4.99).
It is -5.5% lower than previous year high (4.72) 366 days ago, and 17.4% higher than previous year low (3.8) 730 days ago. Dividend stock!.
ECHO (4.29) rebounds after 52 weeks low (3.89).
It is -7.7% lower than previous year high (4.65) 559 days ago, and 29.4% higher than previous year low (3.315) 728 days ago. Dividend stock!.
ECHO (4.28) rebounds after 52 weeks low (3.89).
It is -8.0% lower than previous year high (4.65) 554 days ago, and 33.7% higher than previous year low (3.2) 730 days ago. Dividend stock!.
ENEA is at 2 years high (18.4).
52 weeks high is 18.4. Previous year low is 6.265, and 52 weeks low is 9.415. It is 70.2% higher than previous year high (10.81) 377 days ago, and 193.7% higher than previous year low (6.265) 701 days ago.
ENEA is at 2 years high (18.25).
52 weeks high is 18.25. Previous year low is 6.265, and 52 weeks low is 9.415. It is 68.8% higher than previous year high (10.81) 376 days ago, and 191.3% higher than previous year low (6.265) 700 days ago.
ENEA is at 2 years high (18.2).
52 weeks high is 18.2. Previous year low is 6.265, and 52 weeks low is 9.415. It is 68.4% higher than previous year high (10.81) 371 days ago, and 190.5% higher than previous year low (6.265) 695 days ago.
ENEA is at 2 years high (18.19).
52 weeks high is 18.19. Previous year low is 6.265, and 52 weeks low is 9.415. It is 68.3% higher than previous year high (10.81) 368 days ago, and 190.3% higher than previous year low (6.265) 692 days ago.
ENEA is at 2 years high (18.13).
52 weeks high is 18.13. Previous year low is 6.265, and 52 weeks low is 9.415. It is 67.7% higher than previous year high (10.81) 365 days ago, and 189.4% higher than previous year low (6.265) 689 days ago.
ENEA is at 2 years high (17.67).
52 weeks high is 17.67. Previous year low is 6.265, and 52 weeks low is 9.415. It is 65.4% higher than previous year high (10.68) 369 days ago, and 182.0% higher than previous year low (6.265) 687 days ago.
ENEA is at 2 years high (17.35).
52 weeks high is 17.35. Previous year low is 6.265, and 52 weeks low is 9.415. It is 62.5% higher than previous year high (10.68) 368 days ago, and 176.9% higher than previous year low (6.265) 686 days ago.
ENEA is at 2 years high (15.97).
52 weeks high is 15.97. Previous year low is 6.265, and 52 weeks low is 9.415. It is 49.5% higher than previous year high (10.68) 367 days ago, and 154.9% higher than previous year low (6.265) 685 days ago.
ENEA (13.6) drops after 2 years high (15.8).
It is 34.9% higher than previous year high (10.08) 366 days ago, and 117.1% higher than previous year low (6.265) 653 days ago.
ENEA (14.05) drops after 2 years high (15.8).
It is 40.6% higher than previous year high (9.99) 364 days ago, and 124.3% higher than previous year low (6.265) 650 days ago.
ENEA is at 2 years high (15.8).
52 weeks high is 15.8. Previous year low is 6.175, and 52 weeks low is 8.27. It is 58.5% higher than previous year high (9.97) 383 days ago, and 155.9% higher than previous year low (6.175) 726 days ago.
ENEA is at 2 years high (15.7).
52 weeks high is 15.7. Previous year low is 5.86, and 52 weeks low is 8.27. It is 57.5% higher than previous year high (9.97) 379 days ago, and 167.9% higher than previous year low (5.86) 730 days ago.
ENEA is at 2 years high (15.66).
52 weeks high is 15.66. Previous year low is 5.86, and 52 weeks low is 8.27. It is 57.1% higher than previous year high (9.97) 377 days ago, and 167.2% higher than previous year low (5.86) 728 days ago.
ENEA is at 2 years high (15.49).
52 weeks high is 15.49. Previous year low is 5.86, and 52 weeks low is 8.27. It is 55.4% higher than previous year high (9.97) 376 days ago, and 164.3% higher than previous year low (5.86) 727 days ago.
ENEA is at 2 years high (15.29).
52 weeks high is 15.29. Previous year low is 5.86, and 52 weeks low is 8.27. It is 53.4% higher than previous year high (9.97) 375 days ago, and 160.9% higher than previous year low (5.86) 726 days ago.
ENEA is at 2 years high (15.17).
52 weeks high is 15.17. Previous year low is 5.86, and 52 weeks low is 8.27. It is 52.2% higher than previous year high (9.97) 371 days ago, and 158.9% higher than previous year low (5.86) 722 days ago.
ENEA is at 2 years high (14.96).
52 weeks high is 14.96. Previous year low is 5.86, and 52 weeks low is 8.27. It is 50.1% higher than previous year high (9.97) 370 days ago, and 155.3% higher than previous year low (5.86) 721 days ago.
ENEA is at 2 years high (14.6).
52 weeks high is 14.6. Previous year low is 5.86, and 52 weeks low is 8.27. It is 46.4% higher than previous year high (9.97) 369 days ago, and 149.1% higher than previous year low (5.86) 720 days ago.
ENEA is at 2 years high (14.6).
52 weeks high is 14.6. Previous year low is 5.86, and 52 weeks low is 8.27. It is 46.4% higher than previous year high (9.97) 368 days ago, and 149.1% higher than previous year low (5.86) 719 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (125.62).
52 weeks high is 125.62. Previous year low is 67.07, and 52 weeks low is 89.84. It is 25.9% higher than previous year high (99.75) 364 days ago, and 87.3% higher than previous year low (67.07) 713 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (123.76).
52 weeks high is 123.76. Previous year low is 67.07, and 52 weeks low is 89.84. It is 24.5% higher than previous year high (99.43) 364 days ago, and 84.5% higher than previous year low (67.07) 712 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (122.92).
52 weeks high is 122.92. Previous year low is 67.07, and 52 weeks low is 89.84. It is 25.2% higher than previous year high (98.15) 364 days ago, and 83.3% higher than previous year low (67.07) 709 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (121.32).
52 weeks high is 121.32. Previous year low is 67.07, and 52 weeks low is 89.84. It is 24.1% higher than previous year high (97.77) 364 days ago, and 80.9% higher than previous year low (67.07) 708 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (120.52).
52 weeks high is 120.52. Previous year low is 67.07, and 52 weeks low is 89.84. It is 23.8% higher than previous year high (97.32) 364 days ago, and 79.7% higher than previous year low (67.07) 707 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (120.12).
52 weeks high is 120.12. Previous year low is 67.07, and 52 weeks low is 89.84. It is 24.3% higher than previous year high (96.61) 393 days ago, and 79.1% higher than previous year low (67.07) 702 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (118.3).
52 weeks high is 118.3. Previous year low is 66.9, and 52 weeks low is 89.84. It is 22.5% higher than previous year high (96.61) 390 days ago, and 76.8% higher than previous year low (66.9) 728 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (117.6).
52 weeks high is 117.6. Previous year low is 66.9, and 52 weeks low is 89.84. It is 21.7% higher than previous year high (96.61) 389 days ago, and 75.8% higher than previous year low (66.9) 727 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (117.58).
52 weeks high is 117.58. Previous year low is 66.5, and 52 weeks low is 89.84. It is 21.7% higher than previous year high (96.61) 386 days ago, and 76.8% higher than previous year low (66.5) 730 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (117.0).
52 weeks high is 117.0. Previous year low is 66.5, and 52 weeks low is 89.84. It is 21.1% higher than previous year high (96.61) 385 days ago, and 75.9% higher than previous year low (66.5) 729 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (116.54).
52 weeks high is 116.54. Previous year low is 66.5, and 52 weeks low is 89.84. It is 20.6% higher than previous year high (96.61) 384 days ago, and 75.2% higher than previous year low (66.5) 728 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (114.36).
52 weeks high is 114.36. Previous year low is 66.5, and 52 weeks low is 89.84. It is 18.4% higher than previous year high (96.61) 383 days ago, and 72.0% higher than previous year low (66.5) 727 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (114.1).
52 weeks high is 114.1. Previous year low is 63.53, and 52 weeks low is 89.84. It is 21.7% higher than previous year high (93.79) 392 days ago, and 79.6% higher than previous year low (63.53) 727 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (112.24).
52 weeks high is 112.24. Previous year low is 63.53, and 52 weeks low is 89.84. It is 19.7% higher than previous year high (93.79) 391 days ago, and 76.7% higher than previous year low (63.53) 726 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (111.6).
52 weeks high is 111.6. Previous year low is 63.53, and 52 weeks low is 89.84. It is 19.0% higher than previous year high (93.79) 386 days ago, and 75.7% higher than previous year low (63.53) 721 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (111.16).
52 weeks high is 111.16. Previous year low is 63.53, and 52 weeks low is 89.84. It is 18.5% higher than previous year high (93.79) 385 days ago, and 75.0% higher than previous year low (63.53) 720 days ago.
Beta ETF MWIG40TR Portfelowy Fundusz Inwestycyjny is at 2 years high (110.36).
52 weeks high is 110.36. Previous year low is 63.53, and 52 weeks low is 89.84. It is 17.7% higher than previous year high (93.79) 384 days ago, and 73.7% higher than previous year low (63.53) 719 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (444.2).
52 weeks high is 444.2. Previous year low is 300.1, and 52 weeks low is 344.25. It is 20.3% higher than previous year high (369.2) 365 days ago, and 48.0% higher than previous year low (300.1) 583 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (442.7).
52 weeks high is 442.7. Previous year low is 300.1, and 52 weeks low is 344.25. It is 20.5% higher than previous year high (367.5) 364 days ago, and 47.5% higher than previous year low (300.1) 581 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (439.55).
52 weeks high is 439.55. Previous year low is 300.1, and 52 weeks low is 344.25. It is 21.0% higher than previous year high (363.4) 365 days ago, and 46.5% higher than previous year low (300.1) 578 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (437.55).
52 weeks high is 437.55. Previous year low is 300.1, and 52 weeks low is 344.25. It is 20.4% higher than previous year high (363.4) 364 days ago, and 45.8% higher than previous year low (300.1) 577 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (436.4).
52 weeks high is 436.4. Previous year low is 300.1, and 52 weeks low is 344.25. It is 20.2% higher than previous year high (363.0) 364 days ago, and 45.4% higher than previous year low (300.1) 576 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (433.7).
52 weeks high is 433.7. Previous year low is 300.1, and 52 weeks low is 344.25. It is 19.5% higher than previous year high (363.0) 391 days ago, and 44.5% higher than previous year low (300.1) 575 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (431.75).
52 weeks high is 431.75. Previous year low is 300.1, and 52 weeks low is 344.25. It is 18.9% higher than previous year high (363.0) 390 days ago, and 43.9% higher than previous year low (300.1) 574 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (429.75).
52 weeks high is 429.75. Previous year low is 300.1, and 52 weeks low is 344.25. It is 18.4% higher than previous year high (363.0) 387 days ago, and 43.2% higher than previous year low (300.1) 571 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (423.8).
52 weeks high is 423.8. Previous year low is 300.1, and 52 weeks low is 344.25. It is 16.7% higher than previous year high (363.0) 383 days ago, and 41.2% higher than previous year low (300.1) 567 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (421.85).
52 weeks high is 421.85. Previous year low is 300.1, and 52 weeks low is 344.25. It is 16.2% higher than previous year high (363.0) 378 days ago, and 40.6% higher than previous year low (300.1) 562 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (417.3).
52 weeks high is 417.3. Previous year low is 300.1, and 52 weeks low is 344.25. It is 15.0% higher than previous year high (363.0) 377 days ago, and 39.1% higher than previous year low (300.1) 561 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (414.0).
52 weeks high is 414.0. Previous year low is 300.1, and 52 weeks low is 344.25. It is 14.0% higher than previous year high (363.0) 372 days ago, and 38.0% higher than previous year low (300.1) 556 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (411.65).
52 weeks high is 411.65. Previous year low is 292.7, and 52 weeks low is 344.25. It is 14.3% higher than previous year high (360.0) 364 days ago, and 40.6% higher than previous year low (292.7) 728 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (411.05).
52 weeks high is 411.05. Previous year low is 283.85, and 52 weeks low is 344.25. It is 15.2% higher than previous year high (356.8) 368 days ago, and 44.8% higher than previous year low (283.85) 729 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (408.3).
52 weeks high is 408.3. Previous year low is 280.1, and 52 weeks low is 344.25. It is 14.5% higher than previous year high (356.55) 370 days ago, and 45.8% higher than previous year low (280.1) 730 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (403.85).
52 weeks high is 403.85. Previous year low is 280.1, and 52 weeks low is 344.25. It is 13.3% higher than previous year high (356.55) 369 days ago, and 44.2% higher than previous year low (280.1) 729 days ago.
Beta Etf SWIG80TR PCIF is at 2 years high (402.15).
52 weeks high is 402.15. Previous year low is 280.1, and 52 weeks low is 344.25. It is 12.8% higher than previous year high (356.55) 368 days ago, and 43.6% higher than previous year low (280.1) 728 days ago.
EUROTEL (22.2) rebounds after 2 years low (17.8).
It is 24.7% higher than 52 week low (17.8) 31 days ago, and -50.0% lower than 52 week high (44.4) 354 days ago. Dividend stock.
EUROTEL rises 15.6% (22.2) since previous day.
Volume rises 480.4%. It is 24.7% higher than 52 week low (17.8) 31 days ago, and -50.0% lower than 52 week high (44.4) 354 days ago. Dividend stock.
EUROTEL is at 2 years low (17.8).
52 weeks low is 17.8. Previous year high is 80.4, and 52 weeks high is 47.6. Dividend stock.
EUROTEL is at 2 years low (17.8).
52 weeks low is 17.8. Previous year high is 80.4, and 52 weeks high is 47.6. Dividend stock.
EUROTEL is at 2 years low (17.9).
52 weeks low is 17.9. Previous year high is 80.4, and 52 weeks high is 47.6. Dividend stock.
EUROTEL is at 2 years low (18.0).
52 weeks low is 18.0. Previous year high is 80.4, and 52 weeks high is 47.6. Dividend stock.
EUROTEL is at 2 years low (18.2).
52 weeks low is 18.2. Previous year high is 80.4, and 52 weeks high is 47.6. Dividend stock.
EUROTEL is at 2 years low (19.3).
52 weeks low is 19.3. Previous year high is 80.4, and 52 weeks high is 47.6. Dividend stock.
EUROTEL is at 2 years low (19.7).
52 weeks low is 19.7. Previous year high is 80.4, and 52 weeks high is 47.6. Dividend stock.
EUROTEL is at 2 years low (19.75).
52 weeks low is 19.75. Previous year high is 80.4, and 52 weeks high is 47.6. Dividend stock.
EUROTEL is at 2 years low (19.9).
52 weeks low is 19.9. Previous year high is 80.4, and 52 weeks high is 47.6. Dividend stock.
EUROTEL is at 2 years low (20.1).
52 weeks low is 20.1. Previous year high is 80.4, and 52 weeks high is 47.6. Dividend stock.
EUROCASH drops -15.3% (9.6) since previous day.
Volume rises 422.1%. It is -31.8% lower than 52 week high (14.08) 360 days ago, and 41.0% higher than 52 week low (6.81) 143 days ago.
FERRO (34.4) rebounds after 52 weeks low (30.6).
It is -10.4% lower than previous year high (38.4) 371 days ago, and 30.3% higher than previous year low (26.4) 557 days ago. Dividend stock.
FERRO (33.8) rebounds after 52 weeks low (30.6).
It is -7.4% lower than previous year high (36.5) 392 days ago, and 28.0% higher than previous year low (26.4) 544 days ago. Dividend stock.
FERRO (33.7) rebounds after 52 weeks low (30.6).
It is -7.7% lower than previous year high (36.5) 374 days ago, and 27.7% higher than previous year low (26.4) 526 days ago. Dividend stock.
FERRO is at 52 week low (30.6).
It is 15.9% higher than previous year low (26.4), and -23.5% lower than 52 weeks high (40.0) 283 days ago. Dividend stock.
GPW is at 2 years high (52.25).
52 weeks high is 52.25. Previous year low is 36.22, and 52 weeks low is 40.3. It is 8.0% higher than previous year high (48.4) 371 days ago, and 44.3% higher than previous year low (36.22) 652 days ago. Dividend stock.
GPW is at 2 years high (51.95).
52 weeks high is 51.95. Previous year low is 36.22, and 52 weeks low is 40.3. It is 7.3% higher than previous year high (48.4) 369 days ago, and 43.4% higher than previous year low (36.22) 650 days ago. Dividend stock.
GPW is at 2 years high (51.75).
52 weeks high is 51.75. Previous year low is 36.22, and 52 weeks low is 40.3. It is 10.3% higher than previous year high (46.9) 365 days ago, and 42.9% higher than previous year low (36.22) 639 days ago. Dividend stock.
GPW is at 2 years high (51.5).
52 weeks high is 51.5. Previous year low is 36.22, and 52 weeks low is 40.3. It is 9.8% higher than previous year high (46.9) 364 days ago, and 42.2% higher than previous year low (36.22) 638 days ago. Dividend stock.
GPW is at 2 years high (51.2).
52 weeks high is 51.2. Previous year low is 36.22, and 52 weeks low is 40.3. It is 10.6% higher than previous year high (46.3) 364 days ago, and 41.4% higher than previous year low (36.22) 635 days ago. Dividend stock.
GPW is at 2 years high (50.95).
52 weeks high is 50.95. Previous year low is 36.22, and 52 weeks low is 40.3. It is 10.0% higher than previous year high (46.3) 364 days ago, and 40.7% higher than previous year low (36.22) 632 days ago. Dividend stock.
GPW is at 2 years high (50.45).
52 weeks high is 50.45. Previous year low is 36.22, and 52 weeks low is 40.3. It is 9.0% higher than previous year high (46.3) 364 days ago, and 39.3% higher than previous year low (36.22) 631 days ago. Dividend stock.
GPW is at 2 years high (49.7).
52 weeks high is 49.7. Previous year low is 36.22, and 52 weeks low is 40.3. It is 8.3% higher than previous year high (45.9) 364 days ago, and 37.2% higher than previous year low (36.22) 630 days ago. Dividend stock.
GPW is at 2 years high (49.6).
52 weeks high is 49.6. Previous year low is 36.22, and 52 weeks low is 40.3. It is 10.2% higher than previous year high (45.0) 367 days ago, and 36.9% higher than previous year low (36.22) 625 days ago. Dividend stock.
GPW (44.94) rebounds after 52 weeks low (40.3).
It is -0.1% lower than previous year high (44.98) 451 days ago, and 25.5% higher than previous year low (35.8) 730 days ago. Dividend stock.
GPW (43.5) drops after 2 years high (48.95).
It is -3.3% lower than previous year high (44.98) 450 days ago, and 21.5% higher than previous year low (35.8) 729 days ago. Dividend stock.
GPW (44.4) rebounds after 52 weeks low (40.3).
It is -1.3% lower than previous year high (44.98) 449 days ago, and 24.0% higher than previous year low (35.8) 728 days ago. Dividend stock.
GPW (43.48) drops after 2 years high (48.95).
It is -3.3% lower than previous year high (44.98) 445 days ago, and 23.7% higher than previous year low (35.14) 729 days ago. Dividend stock.
GPW (44.95) rebounds after 52 weeks low (40.3).
It is -0.1% lower than previous year high (44.98) 427 days ago, and 27.9% higher than previous year low (35.14) 711 days ago. Dividend stock.
GRODNO (10.9) drops after 52 weeks high (12.28).
It is -11.2% lower than 52 week high (12.28) 226 days ago, and 30.4% higher than 52 week low (8.36) 118 days ago. Dividend stock.
GRODNO (10.96) drops after 52 weeks high (12.28).
It is -10.7% lower than 52 week high (12.28) 216 days ago, and 31.1% higher than 52 week low (8.36) 108 days ago. Dividend stock.
GETIN drops -85.1% (0.647) over last 20 days.
It drops on average -28.4% per week. It is -33.3% lower than previous year high (0.97) 421 days ago, and 63.0% higher than previous year low (0.397) 727 days ago.
GETIN drops -83.4% (0.657) over last 20 days.
It drops on average -27.8% per week. It is -32.3% lower than previous year high (0.97) 416 days ago, and 65.5% higher than previous year low (0.397) 722 days ago.
GETIN drops -80.4% (0.653) over last 20 days.
It drops on average -26.8% per week. It is -32.7% lower than previous year high (0.97) 414 days ago, and 64.5% higher than previous year low (0.397) 720 days ago.
GETIN drops -81.0% (0.661) over last 20 days.
It drops on average -27.0% per week. It is -31.9% lower than previous year high (0.97) 412 days ago, and 66.5% higher than previous year low (0.397) 718 days ago.
GETIN drops -80.6% (0.665) over last 20 days.
It drops on average -26.9% per week. It is -31.4% lower than previous year high (0.97) 409 days ago, and 67.5% higher than previous year low (0.397) 715 days ago.
GETIN drops -80.5% (0.662) over last 20 days.
It drops on average -26.8% per week. It is -31.8% lower than previous year high (0.97) 407 days ago, and 66.8% higher than previous year low (0.397) 713 days ago.
GETIN drops -80.0% (0.665) over last 20 days.
It drops on average -26.7% per week. It is -31.4% lower than previous year high (0.97) 406 days ago, and 67.5% higher than previous year low (0.397) 712 days ago.
GETIN drops -79.7% (0.661) over last 20 days.
It drops on average -26.6% per week. It is -31.9% lower than previous year high (0.97) 405 days ago, and 66.5% higher than previous year low (0.397) 711 days ago.
GETIN drops -79.3% (0.662) over last 20 days.
It drops on average -26.4% per week. It is -31.8% lower than previous year high (0.97) 402 days ago, and 66.8% higher than previous year low (0.397) 708 days ago.
GETIN drops -79.2% (0.665) over last 20 days.
It drops on average -26.4% per week. It is -31.4% lower than previous year high (0.97) 401 days ago, and 67.5% higher than previous year low (0.397) 707 days ago.
GETIN drops -80.4% (0.655) over last 20 days.
It drops on average -26.8% per week. It is -32.5% lower than previous year high (0.97) 399 days ago, and 65.0% higher than previous year low (0.397) 705 days ago.
GETIN drops -79.6% (0.684) over last 20 days.
It drops on average -26.5% per week. It is -29.5% lower than previous year high (0.97) 398 days ago, and 72.3% higher than previous year low (0.397) 704 days ago.
GETIN drops -79.8% (0.679) over last 20 days.
It drops on average -26.6% per week. It is -30.0% lower than previous year high (0.97) 395 days ago, and 71.0% higher than previous year low (0.397) 701 days ago.
GETIN drops -79.7% (0.679) since previous day.
Volume drops -79.7%. It is -30.0% lower than previous year high (0.97) 395 days ago, and 71.0% higher than previous year low (0.397) 701 days ago.
GETIN rises 441.3% (3.34) over last 20 days.
It rises on average 147.1% per week. It is 244.3% higher than previous year high (0.97) 394 days ago, and 741.3% higher than previous year low (0.397) 700 days ago.
GETIN rises 385.5% (3.34) since previous day.
Volume rises 16.2%. It is 244.3% higher than previous year high (0.97) 394 days ago, and 741.3% higher than previous year low (0.397) 700 days ago.
GETIN drops -79.6% (0.688) over last 20 days.
It drops on average -26.5% per week. It is -29.1% lower than previous year high (0.97) 393 days ago, and 73.3% higher than previous year low (0.397) 699 days ago.
GETIN drops -81.9% (0.667) over last 20 days.
It drops on average -27.3% per week. It is -31.2% lower than previous year high (0.97) 392 days ago, and 68.0% higher than previous year low (0.397) 698 days ago.
GETIN drops -80.0% (0.671) over last 20 days.
It drops on average -26.7% per week. It is -30.8% lower than previous year high (0.97) 391 days ago, and 69.0% higher than previous year low (0.397) 697 days ago.
GETIN drops -80.7% (0.67) over last 20 days.
It drops on average -26.9% per week. It is -30.9% lower than previous year high (0.97) 388 days ago, and 68.8% higher than previous year low (0.397) 694 days ago.
GETIN drops -82.2% (0.697) over last 20 days.
It drops on average -27.4% per week. It is -28.1% lower than previous year high (0.97) 386 days ago, and 75.6% higher than previous year low (0.397) 692 days ago.
GETIN drops -84.3% (0.684) over last 20 days.
It drops on average -28.1% per week. It is -29.5% lower than previous year high (0.97) 385 days ago, and 72.3% higher than previous year low (0.397) 691 days ago.
GETIN drops -78.6% (0.684) since previous day.
Volume rises 65.5%. It is -29.5% lower than previous year high (0.97) 385 days ago, and 72.3% higher than previous year low (0.397) 691 days ago.
GETIN rises 411.2% (3.2) over last 4 days.
Volume rises 719.0%. It is 229.9% higher than previous year high (0.97) 384 days ago, and 706.0% higher than previous year low (0.397) 690 days ago.
IMCOMPANY rises 13.2% (30.8) over last 5 days.
Volume rises 353.7%. It is 58.4% higher than previous year high (19.45) 715 days ago, and 286.9% higher than 52 week low (7.96) 341 days ago.
IMCOMPANY (29.8) drops after 2 years high (36.0).
It is 53.2% higher than previous year high (19.45) 694 days ago, and 274.4% higher than 52 week low (7.96) 320 days ago.
IMCOMPANY is at 2 years high (36.0).
52 weeks high is 36.0. Previous year low is 8.26, and 52 weeks low is 7.96. It is 85.1% higher than previous year high (19.45) 688 days ago, and 352.3% higher than 52 week low (7.96) 314 days ago.
IMCOMPANY rises 40.7% (34.6) over last 20 days.
It rises on average 13.6% per week. It is 77.9% higher than previous year high (19.45) 686 days ago, and 334.7% higher than 52 week low (7.96) 312 days ago.
IMCOMPANY rises 39.0% (34.9) over last 20 days.
It rises on average 13.0% per week. It is 79.4% higher than previous year high (19.45) 683 days ago, and 338.4% higher than 52 week low (7.96) 309 days ago.
IMCOMPANY is at 2 years high (36.0).
52 weeks high is 36.0. Previous year low is 8.26, and 52 weeks low is 7.96. It is 85.1% higher than previous year high (19.45) 680 days ago, and 352.3% higher than 52 week low (7.96) 306 days ago.
IMCOMPANY rises 12.1% (36.0) since previous day.
Volume rises 80.1%.
IMCOMPANY rises 18.9% (32.1) over last 3 days.
Volume rises 2239.5%. It is 65.0% higher than previous year high (19.45) 679 days ago, and 303.3% higher than 52 week low (7.96) 305 days ago.
INC rises 70.9% (2.64) over last 20 days.
It rises on average 23.6% per week. It is -14.6% lower than 52 week high (3.09) 344 days ago, and 84.6% higher than 52 week low (1.43) 48 days ago.
INSTALKRK (38.5) rebounds after 52 weeks low (34.7).
It is 18.8% higher than previous year low (32.4) 700 days ago, and -22.7% lower than previous year high (49.8) 490 days ago. Dividend stock.
INPRO (7.2) drops after 52 weeks high (8.05).
It is -10.6% lower than 52 week high (8.05) 357 days ago, and 19.0% higher than 52 week low (6.05) 142 days ago. Dividend stock.
INPRO (7.2) drops after 52 weeks high (8.05).
It is -10.6% lower than 52 week high (8.05) 349 days ago, and 19.0% higher than 52 week low (6.05) 134 days ago. Dividend stock.
INPRO (7.2) drops after 52 weeks high (8.05).
It is -10.6% lower than 52 week high (8.05) 345 days ago, and 19.0% higher than 52 week low (6.05) 130 days ago. Dividend stock.
INPRO (7.1) drops after 52 weeks high (8.05).
It is -11.8% lower than 52 week high (8.05) 342 days ago, and 17.4% higher than 52 week low (6.05) 127 days ago. Dividend stock.
INPRO (6.8) rebounds after 52 weeks low (6.05).
It is -16.0% lower than 52 week high (8.1) 350 days ago, and 33.3% higher than previous year low (5.1) 728 days ago. Dividend stock.
INPRO (6.8) rebounds after 52 weeks low (6.05).
It is -16.0% lower than 52 week high (8.1) 345 days ago, and 33.3% higher than previous year low (5.1) 723 days ago. Dividend stock.
IPOPEMA (3.07) drops after 52 weeks high (3.42).
It is -10.2% lower than 52 week high (3.42) 335 days ago, and 30.1% higher than 52 week low (2.36) 171 days ago. Dividend stock!.
IPOPEMA (3.04) drops after 52 weeks high (3.42).
It is -11.1% lower than 52 week high (3.42) 324 days ago, and 28.8% higher than 52 week low (2.36) 160 days ago. Dividend stock!.
IPOPEMA drops -12.2% (2.88) since previous day.
Volume rises 943.0%. It is 25.2% higher than previous year low (2.3) 729 days ago, and -26.0% lower than 52 week high (3.89) 330 days ago. Dividend stock!.
IZOBLOK is at 2 years low (28.6).
52 weeks low is 28.6. Previous year high is 57.5, and 52 weeks high is 61.0.
IZOBLOK is at 2 years low (29.0).
52 weeks low is 29.0. Previous year high is 57.5, and 52 weeks high is 61.0.
IZOBLOK is at 2 years low (30.0).
52 weeks low is 30.0. Previous year high is 57.5, and 52 weeks high is 61.0.
IZOBLOK is at 2 years low (30.6).
52 weeks low is 30.6. Previous year high is 57.5, and 52 weeks high is 61.0.
IZOBLOK is at 2 years low (31.8).
52 weeks low is 31.8. Previous year high is 57.5, and 52 weeks high is 61.0.
IZOBLOK is at 2 years low (31.8).
52 weeks low is 31.8. Previous year high is 57.5, and 52 weeks high is 61.0.
IZOBLOK is at 2 years low (32.2).
52 weeks low is 32.2. Previous year high is 57.5, and 52 weeks high is 61.0.
IZOBLOK is at 2 years low (33.2).
52 weeks low is 33.2. Previous year high is 57.5, and 52 weeks high is 61.0.
IZOBLOK is at 2 years low (33.8).
52 weeks low is 33.8. Previous year high is 56.5, and 52 weeks high is 61.0.
IZOBLOK is at 52 week low (34.4).
It is 0.6% higher than previous year low (34.2), and -43.6% lower than 52 weeks high (61.0) 241 days ago.
IZOBLOK (38.8) rebounds after 52 weeks low (35.0).
It is 17.2% higher than previous year low (33.1) 726 days ago, and -31.3% lower than previous year high (56.5) 386 days ago.
IZOSTAL (2.68) rebounds after 2 years low (2.42).
It is -10.7% lower than 52 week high (3.0) 328 days ago, and 10.7% higher than 52 week low (2.42) 112 days ago. Dividend stock.
IZOSTAL (2.66) drops after 52 weeks high (3.0).
It is 9.9% higher than 52 week low (2.42) 102 days ago, and -11.3% lower than 52 week high (3.0) 318 days ago. Dividend stock.
JSW (22.8) rebounds after 2 years low (20.2).
It is 12.9% higher than 52 week low (20.2) 106 days ago, and -40.5% lower than 52 week high (38.3) 363 days ago.
KERNEL rises 37.3% (19.08) over last 20 days.
It rises on average 12.4% per week. It is 4.4% higher than previous year high (18.28) 716 days ago, and 200.9% higher than previous year low (6.34) 588 days ago.
KERNEL rises 30.6% (19.28) over last 20 days.
It rises on average 10.2% per week. It is 5.5% higher than previous year high (18.28) 715 days ago, and 204.1% higher than previous year low (6.34) 587 days ago.
KERNEL rises 28.5% (17.86) since previous day.
Volume rises 52.3%. It is -3.5% lower than previous year high (18.5) 725 days ago, and 181.7% higher than previous year low (6.34) 571 days ago.
KERNEL drops -34.4% (13.9) over last 20 days.
It drops on average -11.5% per week. It is -24.9% lower than previous year high (18.5) 724 days ago, and 119.2% higher than previous year low (6.34) 570 days ago.
KERNEL drops -31.7% (14.76) over last 20 days.
It drops on average -10.6% per week. It is -20.4% lower than previous year high (18.54) 729 days ago, and 132.8% higher than previous year low (6.34) 567 days ago.
KERNEL drops -12.2% (14.76) since previous day.
Volume rises 198.7%. It is -20.4% lower than previous year high (18.54) 729 days ago, and 132.8% higher than previous year low (6.34) 567 days ago.
KGHM (123.65) rebounds after 52 weeks low (106.5).
It is -14.4% lower than previous year high (144.5) 376 days ago, and 18.2% higher than previous year low (104.6) 693 days ago. Dividend stock.
KGHM is at 52 week low (106.5).
It is 1.8% higher than previous year low (104.6), and -37.4% lower than 52 weeks high (170.0) 324 days ago. Dividend stock.
KGHM is at 52 week low (107.95).
It is 3.2% higher than previous year low (104.6), and -36.5% lower than 52 weeks high (170.0) 322 days ago. Dividend stock.
KGHM is at 52 week low (109.2).
It is 4.4% higher than previous year low (104.6), and -35.8% lower than 52 weeks high (170.0) 319 days ago. Dividend stock.
KGHM (128.25) rebounds after 52 weeks low (115.0).
It is -0.5% lower than previous year high (128.85) 714 days ago, and 22.6% higher than previous year low (104.6) 671 days ago. Dividend stock.
KOGENERA (50.5) rebounds after 52 weeks low (44.85).
It is -20.2% lower than 52 week high (63.3) 189 days ago, and 91.3% higher than previous year low (26.4) 719 days ago. Dividend stock.
KOGENERA (50.0) rebounds after 52 weeks low (44.85).
It is -21.0% lower than 52 week high (63.3) 164 days ago, and 89.4% higher than previous year low (26.4) 694 days ago. Dividend stock.
KOGENERA (49.6) rebounds after 52 weeks low (44.85).
It is -21.6% lower than 52 week high (63.3) 161 days ago, and 87.9% higher than previous year low (26.4) 691 days ago. Dividend stock.
KRUK (393.7) rebounds after 2 years low (352.0).
It is 11.8% higher than 52 week low (352.0) 56 days ago, and -17.4% lower than 52 week high (476.8) 330 days ago. Dividend stock.
KRUK (388.8) rebounds after 2 years low (352.0).
It is 10.5% higher than 52 week low (352.0) 15 days ago, and -18.9% lower than 52 week high (479.2) 349 days ago. Dividend stock.
KRUK is at 52 week low (352.0).
It is 3.3% higher than previous year low (340.6), and -26.5% lower than 52 weeks high (479.2) 334 days ago. Dividend stock.
KRUK is at 52 week low (358.0).
It is 5.1% higher than previous year low (340.6), and -25.3% lower than 52 weeks high (479.2) 332 days ago. Dividend stock.
KRUK is at 52 week low (365.2).
It is 13.2% higher than previous year low (322.6), and -23.8% lower than 52 weeks high (479.2) 329 days ago. Dividend stock.
KRUK is at 52 week low (374.0).
It is 16.6% higher than previous year low (320.8), and -22.0% lower than 52 weeks high (479.2) 328 days ago. Dividend stock.
KRUK is at 52 week low (377.4).
It is 20.2% higher than previous year low (314.0), and -21.2% lower than 52 weeks high (479.2) 325 days ago. Dividend stock.
KETY (790.0) drops after 2 years high (906.5).
It is 1.2% higher than previous year high (781.0) 364 days ago, and 53.1% higher than previous year low (516.0) 729 days ago. Dividend stock.
KRVITAMIN (8.9) rebounds after 2 years low (8.0).
It is 11.3% higher than 52 week low (8.0) 52 days ago, and -28.2% lower than 52 week high (12.4) 284 days ago.
LUBAWA (10.92) drops after 2 years high (12.3).
It is 167.0% higher than previous year high (4.09) 391 days ago, and 427.5% higher than previous year low (2.07) 510 days ago.
LUBAWA is at 2 years high (12.3).
52 weeks high is 12.3. Previous year low is 2.07, and 52 weeks low is 3.53. It is 196.4% higher than previous year high (4.15) 724 days ago, and 494.2% higher than previous year low (2.07) 502 days ago.
LUBAWA rises 37.4% (12.3) over last 20 days.
It rises on average 12.5% per week.
LUBAWA rises 13.9% (12.3) over last 3 days.
Volume rises 79.8%.
LUBAWA is at 2 years high (10.8).
52 weeks high is 10.8. Previous year low is 2.07, and 52 weeks low is 3.53. It is 160.2% higher than previous year high (4.15) 721 days ago, and 421.7% higher than previous year low (2.07) 499 days ago.
LUBAWA is at 2 years high (10.7).
52 weeks high is 10.7. Previous year low is 2.07, and 52 weeks low is 3.53. It is 157.8% higher than previous year high (4.15) 720 days ago, and 416.9% higher than previous year low (2.07) 498 days ago.
LUBAWA rises 16.9% (10.7) since previous day.
Volume rises 133.8%.
LUBAWA (9.15) drops after 2 years high (10.24).
It is 120.5% higher than previous year high (4.15) 719 days ago, and 342.0% higher than previous year low (2.07) 497 days ago.
LUBAWA (9.145) drops after 2 years high (10.24).
It is 120.4% higher than previous year high (4.15) 717 days ago, and 341.8% higher than previous year low (2.07) 495 days ago.
LUBAWA is at 2 years high (10.24).
52 weeks high is 10.24. Previous year low is 2.07, and 52 weeks low is 3.53. It is 146.7% higher than previous year high (4.15) 712 days ago, and 394.7% higher than previous year low (2.07) 490 days ago.
LUBAWA is at 2 years high (9.785).
52 weeks high is 9.785. Previous year low is 2.07, and 52 weeks low is 3.53. It is 135.8% higher than previous year high (4.15) 711 days ago, and 372.7% higher than previous year low (2.07) 489 days ago.
LUBAWA is at 2 years high (9.74).
52 weeks high is 9.74. Previous year low is 2.07, and 52 weeks low is 3.53. It is 134.7% higher than previous year high (4.15) 706 days ago, and 370.5% higher than previous year low (2.07) 484 days ago.
LUBAWA is at 2 years high (9.215).
52 weeks high is 9.215. Previous year low is 2.07, and 52 weeks low is 3.53. It is 122.0% higher than previous year high (4.15) 705 days ago, and 345.2% higher than previous year low (2.07) 483 days ago.
LUBAWA is at 2 years high (8.95).
52 weeks high is 8.95. Previous year low is 2.07, and 52 weeks low is 3.53. It is 115.7% higher than previous year high (4.15) 704 days ago, and 332.4% higher than previous year low (2.07) 482 days ago.
LUBAWA is at 2 years high (8.88).
52 weeks high is 8.88. Previous year low is 2.07, and 52 weeks low is 3.53. It is 114.0% higher than previous year high (4.15) 700 days ago, and 329.0% higher than previous year low (2.07) 478 days ago.
LUBAWA rises 32.5% (8.61) over last 20 days.
It rises on average 10.8% per week. It is 107.5% higher than previous year high (4.15) 699 days ago, and 315.9% higher than previous year low (2.07) 477 days ago.
LUBAWA rises 41.0% (8.655) over last 20 days.
It rises on average 13.7% per week. It is 108.6% higher than previous year high (4.15) 698 days ago, and 318.1% higher than previous year low (2.07) 476 days ago.
LUBAWA rises 36.0% (8.45) over last 20 days.
It rises on average 12.0% per week. It is 103.6% higher than previous year high (4.15) 697 days ago, and 308.2% higher than previous year low (2.07) 475 days ago.
LUBAWA is at 2 years high (8.85).
52 weeks high is 8.85. Previous year low is 2.07, and 52 weeks low is 3.53. It is 113.3% higher than previous year high (4.15) 696 days ago, and 327.5% higher than previous year low (2.07) 474 days ago.
LUBAWA rises 48.0% (8.85) over last 20 days.
It rises on average 16.0% per week.
LENA drops -97.2% (2.89) over last 20 days.
It drops on average -32.4% per week. It is 5.1% higher than 52 week low (2.75) 133 days ago, and -26.8% lower than previous year high (3.95) 472 days ago. Dividend stock.
LENA (2.9) drops after 2 years high (115.66).
It is 5.5% higher than 52 week low (2.75) 130 days ago, and -26.6% lower than previous year high (3.95) 469 days ago. Dividend stock.
LENA drops -97.3% (2.9) over last 20 days.
It drops on average -32.4% per week. It is 5.5% higher than 52 week low (2.75) 130 days ago, and -26.6% lower than previous year high (3.95) 469 days ago. Dividend stock.
LENA drops -97.3% (2.9) since previous day.
Volume drops -99.8%. It is 5.5% higher than 52 week low (2.75) 130 days ago, and -26.6% lower than previous year high (3.95) 469 days ago. Dividend stock.
LENA rises 3555.1% (108.19) over last 20 days.
It rises on average 1185.0% per week. It is 2639.0% higher than previous year high (3.95) 468 days ago, and 3834.2% higher than 52 week low (2.75) 129 days ago. Dividend stock.
LENA (108.19) rebounds after 2 years low (2.75).
It is 2639.0% higher than previous year high (3.95) 468 days ago, and 3834.2% higher than 52 week low (2.75) 129 days ago. Dividend stock.
LENA rises 3643.6% (108.19) since previous day.
Volume rises 18730.5%. It is 2639.0% higher than previous year high (3.95) 468 days ago, and 3834.2% higher than 52 week low (2.75) 129 days ago. Dividend stock.
LENA drops -97.2% (2.89) over last 20 days.
It drops on average -32.4% per week. It is 5.1% higher than 52 week low (2.75) 128 days ago, and -26.8% lower than previous year high (3.95) 467 days ago. Dividend stock.
LENA drops -97.3% (2.95) over last 20 days.
It drops on average -32.4% per week. It is 7.3% higher than 52 week low (2.75) 127 days ago, and -25.3% lower than previous year high (3.95) 466 days ago. Dividend stock.
LENA drops -97.1% (2.95) over last 20 days.
It drops on average -32.4% per week. It is 7.3% higher than 52 week low (2.75) 126 days ago, and -25.3% lower than previous year high (3.95) 465 days ago. Dividend stock.
LENA drops -97.3% (2.93) over last 20 days.
It drops on average -32.4% per week. It is 6.5% higher than 52 week low (2.75) 123 days ago, and -25.8% lower than previous year high (3.95) 462 days ago. Dividend stock.
LENA drops -97.3% (2.93) over last 20 days.
It drops on average -32.4% per week. It is 6.5% higher than 52 week low (2.75) 121 days ago, and -25.8% lower than previous year high (3.95) 460 days ago. Dividend stock.
LENA drops -97.5% (2.93) over last 20 days.
It drops on average -32.5% per week. It is 6.5% higher than 52 week low (2.75) 120 days ago, and -25.8% lower than previous year high (3.95) 459 days ago. Dividend stock.
LENA drops -97.2% (2.93) since previous day.
Volume drops -100.0%. It is 6.5% higher than 52 week low (2.75) 120 days ago, and -25.8% lower than previous year high (3.95) 459 days ago. Dividend stock.
LENA (103.71) rebounds after 2 years low (2.75).
It is 2525.6% higher than previous year high (3.95) 458 days ago, and 3671.3% higher than 52 week low (2.75) 119 days ago. Dividend stock.
LENA rises 3403.7% (103.71) over last 4 days.
Volume rises 41319.5%. It is 2525.6% higher than previous year high (3.95) 458 days ago, and 3671.3% higher than 52 week low (2.75) 119 days ago. Dividend stock.
LENA (3.03) rebounds after 2 years low (2.75).
It is 10.2% higher than 52 week low (2.75) 94 days ago, and -20.1% lower than 52 week high (3.79) 353 days ago. Dividend stock.
LENA (3.03) rebounds after 2 years low (2.75).
It is 10.2% higher than 52 week low (2.75) 86 days ago, and -20.1% lower than 52 week high (3.79) 345 days ago. Dividend stock.
LENA (3.04) rebounds after 2 years low (2.75).
It is 10.5% higher than 52 week low (2.75) 84 days ago, and -19.8% lower than 52 week high (3.79) 343 days ago. Dividend stock.
LPP (15625.0) rebounds after 52 weeks low (13670.0).
It is -15.5% lower than 52 week high (18500.0) 81 days ago, and 36.5% higher than previous year low (11450.0) 437 days ago.
LPP (16295.0) drops after 52 weeks high (18500.0).
It is -11.9% lower than 52 week high (18500.0) 28 days ago, and 75.5% higher than previous year low (9285.0) 723 days ago.
BOGDANKA (22.15) rebounds after 2 years low (19.98).
It is 10.9% higher than 52 week low (19.98) 42 days ago, and -31.8% lower than 52 week high (32.5) 360 days ago. Dividend stock.
BOGDANKA (22.2) rebounds after 2 years low (19.98).
It is 11.1% higher than 52 week low (19.98) 18 days ago, and -31.7% lower than 52 week high (32.5) 336 days ago. Dividend stock.
BOGDANKA is at 2 years low (19.98).
52 weeks low is 19.98. Previous year high is 42.52, and 52 weeks high is 34.8. Dividend stock.
BOGDANKA (22.4) rebounds after 2 years low (20.34).
It is 10.1% higher than 52 week low (20.34) 91 days ago, and -35.8% lower than 52 week high (34.9) 357 days ago. Dividend stock.
MOBRUK is at 2 years low (260.0).
52 weeks low is 260.0. Previous year high is 341.5, and 52 weeks high is 369.5. Dividend stock!.
MOBRUK is at 52 week low (267.0).
It is 1.9% higher than previous year low (262.0), and -27.7% lower than 52 weeks high (369.5) 115 days ago. Dividend stock!.
MOBRUK is at 52 week low (267.0).
It is 1.9% higher than previous year low (262.0), and -27.7% lower than 52 weeks high (369.5) 114 days ago. Dividend stock!.
MOBRUK is at 52 week low (268.0).
It is 2.3% higher than previous year low (262.0), and -27.5% lower than 52 weeks high (369.5) 113 days ago. Dividend stock!.
MOBRUK is at 52 week low (269.0).
It is 2.7% higher than previous year low (262.0), and -27.2% lower than 52 weeks high (369.5) 108 days ago. Dividend stock!.
MOBRUK is at 52 week low (269.0).
It is 2.7% higher than previous year low (262.0), and -27.2% lower than 52 weeks high (369.5) 106 days ago. Dividend stock!.
MOBRUK (302.0) rebounds after 52 weeks low (269.0).
It is -11.6% lower than previous year high (341.5) 506 days ago, and 15.3% higher than previous year low (262.0) 596 days ago. Dividend stock!.
MOBRUK (296.5) rebounds after 52 weeks low (269.0).
It is 13.2% higher than previous year low (262.0) 592 days ago, and -13.2% lower than previous year high (341.5) 502 days ago. Dividend stock!.
MOBRUK (308.5) rebounds after 52 weeks low (269.0).
It is -9.7% lower than previous year high (341.5) 470 days ago, and 17.7% higher than previous year low (262.0) 560 days ago. Dividend stock!.
MANGATA (68.0) rebounds after 2 years low (58.8).
It is 15.6% higher than 52 week low (58.8) 93 days ago, and -35.2% lower than 52 week high (105.0) 309 days ago.
MANGATA (65.8) rebounds after 2 years low (58.8).
It is 11.9% higher than 52 week low (58.8) 78 days ago, and -37.3% lower than 52 week high (105.0) 294 days ago.
NEWAG (73.0) drops after 2 years high (82.0).
It is 148.3% higher than previous year high (29.4) 386 days ago, and 316.0% higher than previous year low (17.55) 711 days ago. Dividend stock.
NEWAG is at 2 years high (82.0).
52 weeks high is 82.0. Previous year low is 17.55, and 52 weeks low is 26.2. It is 180.8% higher than previous year high (29.2) 371 days ago, and 367.2% higher than previous year low (17.55) 681 days ago. Dividend stock.
NEWAG is at 2 years high (79.7).
52 weeks high is 79.7. Previous year low is 17.55, and 52 weeks low is 26.2. It is 172.9% higher than previous year high (29.2) 370 days ago, and 354.1% higher than previous year low (17.55) 680 days ago. Dividend stock.
NEWAG rises 11.9% (79.7) since previous day.
Volume rises 293.0%. Dividend stock.
NEWAG is at 2 years high (71.2).
52 weeks high is 71.2. Previous year low is 17.55, and 52 weeks low is 26.2. It is 143.8% higher than previous year high (29.2) 369 days ago, and 305.7% higher than previous year low (17.55) 679 days ago. Dividend stock.
NEWAG is at 2 years high (69.9).
52 weeks high is 69.9. Previous year low is 17.55, and 52 weeks low is 26.2. It is 139.4% higher than previous year high (29.2) 366 days ago, and 298.3% higher than previous year low (17.55) 676 days ago. Dividend stock.
NEWAG is at 2 years high (69.2).
52 weeks high is 69.2. Previous year low is 17.55, and 52 weeks low is 26.2. It is 143.7% higher than previous year high (28.4) 364 days ago, and 294.3% higher than previous year low (17.55) 665 days ago. Dividend stock.
NEWAG (60.0) drops after 2 years high (69.0).
It is 150.0% higher than previous year high (24.0) 499 days ago, and 241.9% higher than previous year low (17.55) 641 days ago. Dividend stock.
NEWAG (60.8) drops after 2 years high (69.0).
It is 153.3% higher than previous year high (24.0) 488 days ago, and 246.4% higher than previous year low (17.55) 630 days ago. Dividend stock.
NEWAG is at 2 years high (69.0).
52 weeks high is 69.0. Previous year low is 17.55, and 52 weeks low is 20.6. It is 187.5% higher than previous year high (24.0) 482 days ago, and 293.2% higher than previous year low (17.55) 624 days ago. Dividend stock.
ORANGEPL is at 2 years high (9.952).
52 weeks high is 9.952. Previous year low is 6.832, and 52 weeks low is 7.15. It is 12.2% higher than previous year high (8.87) 490 days ago, and 45.7% higher than previous year low (6.832) 662 days ago. Dividend stock.
ORANGEPL is at 2 years high (9.926).
52 weeks high is 9.926. Previous year low is 6.832, and 52 weeks low is 7.15. It is 11.9% higher than previous year high (8.87) 470 days ago, and 45.3% higher than previous year low (6.832) 642 days ago. Dividend stock.
ORANGEPL is at 2 years high (9.888).
52 weeks high is 9.888. Previous year low is 6.832, and 52 weeks low is 7.15. It is 11.5% higher than previous year high (8.87) 469 days ago, and 44.7% higher than previous year low (6.832) 641 days ago. Dividend stock.
ORANGEPL is at 2 years high (9.8).
52 weeks high is 9.8. Previous year low is 6.832, and 52 weeks low is 7.15. It is 10.5% higher than previous year high (8.87) 451 days ago, and 43.4% higher than previous year low (6.832) 623 days ago. Dividend stock.
ORANGEPL is at 2 years high (9.718).
52 weeks high is 9.718. Previous year low is 6.832, and 52 weeks low is 7.15. It is 9.6% higher than previous year high (8.87) 442 days ago, and 42.2% higher than previous year low (6.832) 614 days ago. Dividend stock.
ORANGEPL is at 2 years high (9.648).
52 weeks high is 9.648. Previous year low is 6.832, and 52 weeks low is 7.15. It is 8.8% higher than previous year high (8.87) 441 days ago, and 41.2% higher than previous year low (6.832) 613 days ago. Dividend stock.
ORANGEPL is at 2 years high (9.536).
52 weeks high is 9.536. Previous year low is 6.832, and 52 weeks low is 7.15. It is 7.5% higher than previous year high (8.87) 436 days ago, and 39.6% higher than previous year low (6.832) 608 days ago. Dividend stock.
ORANGEPL is at 2 years high (9.446).
52 weeks high is 9.446. Previous year low is 6.832, and 52 weeks low is 7.15. It is 6.5% higher than previous year high (8.87) 435 days ago, and 38.3% higher than previous year low (6.832) 607 days ago. Dividend stock.
ORANGEPL is at 2 years high (9.376).
52 weeks high is 9.376. Previous year low is 6.832, and 52 weeks low is 7.15. It is 5.7% higher than previous year high (8.87) 434 days ago, and 37.2% higher than previous year low (6.832) 606 days ago. Dividend stock.
ORANGEPL is at 2 years high (9.25).
52 weeks high is 9.25. Previous year low is 6.832, and 52 weeks low is 7.15. It is 4.3% higher than previous year high (8.87) 433 days ago, and 35.4% higher than previous year low (6.832) 605 days ago. Dividend stock.
ORANGEPL is at 2 years high (9.062).
52 weeks high is 9.062. Previous year low is 6.5, and 52 weeks low is 7.15. It is 2.2% higher than previous year high (8.87) 406 days ago, and 39.4% higher than previous year low (6.5) 729 days ago. Dividend stock.
ORANGEPL is at 2 years high (8.966).
52 weeks high is 8.966. Previous year low is 6.5, and 52 weeks low is 7.15. It is 1.1% higher than previous year high (8.87) 405 days ago, and 37.9% higher than previous year low (6.5) 728 days ago. Dividend stock.
OPTEAM drops -10.5% (4.51) since previous day.
Volume drops -46.2%. It is -22.0% lower than 52 week high (5.78) 333 days ago, and 37.1% higher than 52 week low (3.29) 88 days ago.
OPTEAM rises 44.4% (5.04) over last 20 days.
It rises on average 14.8% per week. It is -12.8% lower than 52 week high (5.78) 332 days ago, and 53.2% higher than 52 week low (3.29) 87 days ago.
OPTEAM rises 11.8% (5.04) since previous day.
Volume rises 123.2%. It is -12.8% lower than 52 week high (5.78) 332 days ago, and 53.2% higher than 52 week low (3.29) 87 days ago.
OPTEAM rises 13.9% (4.51) since previous day.
Volume rises 35.0%. It is -22.0% lower than 52 week high (5.78) 331 days ago, and 37.1% higher than 52 week low (3.29) 86 days ago.
OPTEAM (3.96) rebounds after 2 years low (3.29).
It is 20.4% higher than 52 week low (3.29) 85 days ago, and -31.5% lower than 52 week high (5.78) 330 days ago.
OPTEAM rises 11.5% (3.96) since previous day.
Volume rises 7639.4%. It is 20.4% higher than 52 week low (3.29) 85 days ago, and -31.5% lower than 52 week high (5.78) 330 days ago.
PEKABEX (18.5) rebounds after 2 years low (16.25).
It is 13.8% higher than 52 week low (16.25) 111 days ago, and -26.0% lower than previous year high (25.0) 443 days ago. Dividend stock.
PCF Group S.A. is at 2 years low (4.9).
52 weeks low is 4.9. Previous year high is 49.5, and 52 weeks high is 19.4. Dividend stock.
PCF Group S.A. drops -42.8% (4.9) over last 20 days.
It drops on average -14.3% per week. Dividend stock.
PCF Group S.A. is at 2 years low (4.96).
52 weeks low is 4.96. Previous year high is 49.5, and 52 weeks high is 19.4. Dividend stock.
PCF Group S.A. drops -42.9% (4.96) over last 20 days.
It drops on average -14.3% per week. Dividend stock.
PCF Group S.A. is at 2 years low (4.99).
52 weeks low is 4.99. Previous year high is 49.5, and 52 weeks high is 19.4. Dividend stock.
PCF Group S.A. drops -43.8% (4.99) over last 20 days.
It drops on average -14.6% per week. Dividend stock.
PCF Group S.A. drops -43.8% (5.01) over last 20 days.
It drops on average -14.6% per week. It is 0.2% higher than 52 week low (5.0) 4 days ago, and -74.2% lower than 52 week high (19.4) 83 days ago. Dividend stock.
PCF Group S.A. drops -43.9% (5.15) over last 20 days.
It drops on average -14.6% per week. It is 3.0% higher than 52 week low (5.0) 3 days ago, and -73.5% lower than 52 week high (19.4) 82 days ago. Dividend stock.
PCF Group S.A. is at 2 years low (5.0).
52 weeks low is 5.0. Previous year high is 49.5, and 52 weeks high is 19.4. Dividend stock.
PCF Group S.A. drops -45.4% (5.0) over last 20 days.
It drops on average -15.1% per week. Dividend stock.
PCF Group S.A. is at 2 years low (5.22).
52 weeks low is 5.22. Previous year high is 49.5, and 52 weeks high is 19.4. Dividend stock.
PCF Group S.A. drops -44.4% (5.22) over last 20 days.
It drops on average -14.8% per week. Dividend stock.
PCF Group S.A. drops -41.1% (5.65) over last 20 days.
It drops on average -13.7% per week. It is 0.9% higher than 52 week low (5.6) 1 days ago, and -70.9% lower than 52 week high (19.4) 77 days ago. Dividend stock.
PCF Group S.A. is at 2 years low (5.6).
52 weeks low is 5.6. Previous year high is 49.5, and 52 weeks high is 19.4. Dividend stock.
PCF Group S.A. drops -43.0% (5.6) over last 20 days.
It drops on average -14.3% per week. Dividend stock.
PCF Group S.A. is at 2 years low (6.14).
52 weeks low is 6.14. Previous year high is 49.5, and 52 weeks high is 19.4. Dividend stock.
PCF Group S.A. drops -37.1% (6.14) over last 20 days.
It drops on average -12.4% per week. Dividend stock.
PCF Group S.A. drops -26.6% (6.14) over last 3 days.
Volume rises 1562.0%. Dividend stock.
PCF Group S.A. drops -30.7% (9.8) over last 20 days.
It drops on average -10.2% per week. It is 37.8% higher than 52 week low (7.11) 78 days ago, and -49.5% lower than 52 week high (19.4) 23 days ago. Dividend stock.
PCF Group S.A. drops -42.0% (9.97) over last 20 days.
It drops on average -14.0% per week. It is 40.2% higher than 52 week low (7.11) 76 days ago, and -48.6% lower than 52 week high (19.4) 21 days ago. Dividend stock.
PCF Group S.A. drops -43.5% (10.96) over last 20 days.
It drops on average -14.5% per week. It is -43.5% lower than 52 week high (19.4) 20 days ago, and 54.1% higher than 52 week low (7.11) 75 days ago. Dividend stock.
PCF Group S.A. drops -38.1% (10.7) over last 20 days.
It drops on average -12.7% per week. It is -45.9% lower than 52 week high (19.76) 364 days ago, and 50.5% higher than 52 week low (7.11) 74 days ago. Dividend stock.
PCF Group S.A. rises 33.8% (11.92) over last 20 days.
It rises on average 11.3% per week. It is -46.5% lower than 52 week high (22.3) 363 days ago, and 67.7% higher than 52 week low (7.11) 70 days ago. Dividend stock.
PCF Group S.A. rises 54.9% (12.16) over last 20 days.
It rises on average 18.3% per week. It is -45.5% lower than 52 week high (22.3) 362 days ago, and 71.0% higher than 52 week low (7.11) 69 days ago. Dividend stock.
PCF Group S.A. rises 58.2% (12.5) over last 20 days.
It rises on average 19.4% per week. It is -43.9% lower than 52 week high (22.3) 361 days ago, and 75.8% higher than 52 week low (7.11) 68 days ago. Dividend stock.
PCF Group S.A. rises 58.9% (13.0) over last 20 days.
It rises on average 19.6% per week. It is -41.7% lower than 52 week high (22.3) 360 days ago, and 82.8% higher than 52 week low (7.11) 67 days ago. Dividend stock.
PCF Group S.A. rises 44.7% (12.2) over last 20 days.
It rises on average 14.9% per week. It is -45.3% lower than 52 week high (22.3) 357 days ago, and 71.6% higher than 52 week low (7.11) 64 days ago. Dividend stock.
PCF Group S.A. rises 42.2% (12.5) over last 20 days.
It rises on average 14.1% per week. It is -43.9% lower than 52 week high (22.3) 356 days ago, and 75.8% higher than 52 week low (7.11) 63 days ago. Dividend stock.
PCF Group S.A. rises 42.4% (13.1) over last 20 days.
It rises on average 14.1% per week. It is -41.3% lower than 52 week high (22.3) 355 days ago, and 84.2% higher than 52 week low (7.11) 62 days ago. Dividend stock.
PCF Group S.A. rises 41.0% (13.18) over last 20 days.
It rises on average 13.7% per week. It is -40.9% lower than 52 week high (22.3) 354 days ago, and 85.4% higher than 52 week low (7.11) 61 days ago. Dividend stock.
PCF Group S.A. rises 57.1% (14.14) over last 20 days.
It rises on average 19.0% per week. It is -36.6% lower than 52 week high (22.3) 353 days ago, and 98.9% higher than 52 week low (7.11) 60 days ago. Dividend stock.
PCF Group S.A. rises 13.1% (14.14) over last 3 days.
Volume drops -44.0%. It is -36.6% lower than 52 week high (22.3) 353 days ago, and 98.9% higher than 52 week low (7.11) 60 days ago. Dividend stock.
PCF Group S.A. rises 36.0% (12.5) over last 20 days.
It rises on average 12.0% per week. It is -46.0% lower than 52 week high (23.15) 364 days ago, and 75.8% higher than 52 week low (7.11) 57 days ago. Dividend stock.
PCF Group S.A. drops -27.3% (12.5) since previous day.
Volume rises 21.6%. It is -46.0% lower than 52 week high (23.15) 364 days ago, and 75.8% higher than 52 week low (7.11) 57 days ago. Dividend stock.
PCF Group S.A. rises 91.1% (17.2) over last 20 days.
It rises on average 30.4% per week. It is -25.7% lower than 52 week high (23.15) 363 days ago, and 141.9% higher than 52 week low (7.11) 56 days ago. Dividend stock.
PCF Group S.A. drops -11.3% (17.2) since previous day.
Volume drops -47.3%. It is -25.7% lower than 52 week high (23.15) 363 days ago, and 141.9% higher than 52 week low (7.11) 56 days ago. Dividend stock.
PCF Group S.A. rises 114.1% (19.4) over last 20 days.
It rises on average 38.0% per week. It is -18.1% lower than 52 week high (23.7) 364 days ago, and 172.9% higher than 52 week low (7.11) 55 days ago. Dividend stock.
PCF Group S.A. rises 12.3% (19.4) since previous day.
Volume rises 48.4%. It is -18.1% lower than 52 week high (23.7) 364 days ago, and 172.9% higher than 52 week low (7.11) 55 days ago. Dividend stock.
PCF Group S.A. rises 93.7% (17.28) over last 20 days.
It rises on average 31.2% per week. It is -27.1% lower than 52 week high (23.7) 363 days ago, and 143.0% higher than 52 week low (7.11) 54 days ago. Dividend stock.
PCF Group S.A. rises 44.0% (17.28) since previous day.
Volume rises 125.0%. It is -27.1% lower than 52 week high (23.7) 363 days ago, and 143.0% higher than 52 week low (7.11) 54 days ago. Dividend stock.
PCF Group S.A. rises 34.8% (12.0) over last 20 days.
It rises on average 11.6% per week. It is -49.4% lower than 52 week high (23.7) 362 days ago, and 68.8% higher than 52 week low (7.11) 53 days ago. Dividend stock.
PCF Group S.A. rises 34.7% (12.0) over last 3 days.
Volume rises 255.9%. It is -49.4% lower than 52 week high (23.7) 362 days ago, and 68.8% higher than 52 week low (7.11) 53 days ago. Dividend stock.
Pepco Group B.V. (16.3) rebounds after 2 years low (14.025).
It is 16.2% higher than 52 week low (14.025) 13 days ago, and -36.1% lower than 52 week high (25.5) 328 days ago.
Pepco Group B.V. rises 10.1% (16.3) since previous day.
Volume rises 830.4%. It is 16.2% higher than 52 week low (14.025) 13 days ago, and -36.1% lower than 52 week high (25.5) 328 days ago.
Pepco Group B.V. is at 2 years low (14.025).
52 weeks low is 14.025. Previous year high is 41.86, and 52 weeks high is 25.5.
Pepco Group B.V. is at 2 years low (14.76).
52 weeks low is 14.76. Previous year high is 41.86, and 52 weeks high is 25.5.
PCCROKITA (74.5) rebounds after 2 years low (67.1).
It is 11.0% higher than 52 week low (67.1) 136 days ago, and -30.2% lower than 52 week high (106.8) 359 days ago. Dividend stock!.
PCCROKITA (74.5) rebounds after 2 years low (67.1).
It is 11.0% higher than 52 week low (67.1) 121 days ago, and -30.2% lower than 52 week high (106.8) 344 days ago. Dividend stock!.
PCCROKITA (74.1) rebounds after 2 years low (67.1).
It is 10.4% higher than 52 week low (67.1) 99 days ago, and -30.6% lower than 52 week high (106.8) 322 days ago. Dividend stock!.
PCCEXOL (2.41) rebounds after 2 years low (2.15).
It is 12.1% higher than 52 week low (2.15) 152 days ago, and -17.2% lower than 52 week high (2.91) 364 days ago. Dividend stock.
PCCEXOL (2.4) rebounds after 2 years low (2.15).
It is 11.6% higher than 52 week low (2.15) 143 days ago, and -17.5% lower than 52 week high (2.91) 355 days ago. Dividend stock.
Photon Energy N.V. is at 2 years low (3.35).
52 weeks low is 3.35. Previous year high is 13.5, and 52 weeks high is 7.94.
Photon Energy N.V. is at 2 years low (3.43).
52 weeks low is 3.43. Previous year high is 13.5, and 52 weeks high is 8.0.
Photon Energy N.V. is at 2 years low (3.48).
52 weeks low is 3.48. Previous year high is 13.5, and 52 weeks high is 8.0.
Photon Energy N.V. is at 2 years low (3.48).
52 weeks low is 3.48. Previous year high is 13.5, and 52 weeks high is 8.0.
Photon Energy N.V. is at 2 years low (3.49).
52 weeks low is 3.49. Previous year high is 13.5, and 52 weeks high is 8.0.
Photon Energy N.V. is at 2 years low (3.6).
52 weeks low is 3.6. Previous year high is 13.5, and 52 weeks high is 8.0.
Photon Energy N.V. is at 2 years low (3.65).
52 weeks low is 3.65. Previous year high is 13.5, and 52 weeks high is 8.0.
Photon Energy N.V. is at 2 years low (3.67).
52 weeks low is 3.67. Previous year high is 13.5, and 52 weeks high is 8.0.
Photon Energy N.V. is at 2 years low (3.74).
52 weeks low is 3.74. Previous year high is 13.5, and 52 weeks high is 8.0.
Photon Energy N.V. is at 2 years low (3.75).
52 weeks low is 3.75. Previous year high is 13.5, and 52 weeks high is 8.0.
Photon Energy N.V. is at 2 years low (3.76).
52 weeks low is 3.76. Previous year high is 13.5, and 52 weeks high is 8.0.
PEKAO is at 2 years high (192.6).
52 weeks high is 192.6. Previous year low is 92.14, and 52 weeks low is 135.65. It is 1.4% higher than previous year high (190.0) 386 days ago, and 109.0% higher than previous year low (92.14) 726 days ago. Dividend stock.
PEKAO is at 2 years high (192.35).
52 weeks high is 192.35. Previous year low is 92.14, and 52 weeks low is 135.65. It is 1.2% higher than previous year high (190.0) 385 days ago, and 108.8% higher than previous year low (92.14) 725 days ago. Dividend stock.
PEKAO is at 2 years high (191.9).
52 weeks high is 191.9. Previous year low is 92.14, and 52 weeks low is 135.65. It is 1.0% higher than previous year high (190.0) 380 days ago, and 108.3% higher than previous year low (92.14) 720 days ago. Dividend stock.
PEKAO (155.7) drops after 2 years high (190.0).
It is -16.6% lower than previous year high (186.75) 364 days ago, and 82.8% higher than previous year low (85.16) 730 days ago. Dividend stock.
PGE (9.6) drops after 2 years high (10.735).
It is 4.8% higher than previous year high (9.164) 660 days ago, and 64.3% higher than 52 week low (5.844) 176 days ago.
PGE drops -10.6% (9.6) since previous day.
Volume rises 47.5%. It is 4.8% higher than previous year high (9.164) 660 days ago, and 64.3% higher than 52 week low (5.844) 176 days ago.
PGE is at 2 years high (10.735).
52 weeks high is 10.735. Previous year low is 5.96, and 52 weeks low is 5.844. It is 17.1% higher than previous year high (9.164) 659 days ago, and 83.7% higher than 52 week low (5.844) 175 days ago.
PGE is at 2 years high (10.685).
52 weeks high is 10.685. Previous year low is 5.96, and 52 weeks low is 5.844. It is 16.6% higher than previous year high (9.164) 658 days ago, and 82.8% higher than 52 week low (5.844) 174 days ago.
PGE is at 2 years high (10.61).
52 weeks high is 10.61. Previous year low is 5.96, and 52 weeks low is 5.844. It is 15.8% higher than previous year high (9.164) 657 days ago, and 81.6% higher than 52 week low (5.844) 173 days ago.
PGE is at 2 years high (10.17).
52 weeks high is 10.17. Previous year low is 5.96, and 52 weeks low is 5.844. It is 11.0% higher than previous year high (9.164) 656 days ago, and 74.0% higher than 52 week low (5.844) 172 days ago.
PGE is at 2 years high (9.89).
52 weeks high is 9.89. Previous year low is 5.96, and 52 weeks low is 5.844. It is 7.9% higher than previous year high (9.164) 651 days ago, and 69.2% higher than 52 week low (5.844) 167 days ago.
PGE is at 2 years high (9.706).
52 weeks high is 9.706. Previous year low is 5.96, and 52 weeks low is 5.844. It is 5.9% higher than previous year high (9.164) 645 days ago, and 66.1% higher than 52 week low (5.844) 161 days ago.
PGE is at 2 years high (9.594).
52 weeks high is 9.594. Previous year low is 5.96, and 52 weeks low is 5.844. It is 4.7% higher than previous year high (9.164) 632 days ago, and 64.2% higher than 52 week low (5.844) 148 days ago.
PGE is at 2 years high (9.49).
52 weeks high is 9.49. Previous year low is 5.96, and 52 weeks low is 5.844. It is 3.6% higher than previous year high (9.164) 629 days ago, and 62.4% higher than 52 week low (5.844) 145 days ago.
PGE is at 52 week high (8.878).
It is -3.1% lower than previous year high (9.164), and 51.9% higher than 52 weeks low (5.844) 144 days ago.
PGE is at 52 week high (8.836).
It is -3.6% lower than previous year high (9.164), and 51.2% higher than 52 weeks low (5.844) 141 days ago.
PGE is at 52 week high (8.712).
It is -4.9% lower than previous year high (9.164), and 49.1% higher than 52 weeks low (5.844) 140 days ago.
PGE (7.23) drops after 52 weeks high (8.574).
It is -15.7% lower than 52 week high (8.574) 18 days ago, and 23.7% higher than 52 week low (5.844) 117 days ago.
PGE (7.596) drops after 52 weeks high (8.574).
It is -11.4% lower than 52 week high (8.574) 12 days ago, and 30.0% higher than 52 week low (5.844) 111 days ago.
PGE (7.458) drops after 52 weeks high (8.574).
It is -13.0% lower than 52 week high (8.574) 10 days ago, and 27.6% higher than 52 week low (5.844) 109 days ago.
PGE is at 52 week high (8.574).
It is -6.4% lower than previous year high (9.164), and 46.7% higher than 52 weeks low (5.844) 99 days ago.
PGE is at 52 week high (8.344).
It is -8.9% lower than previous year high (9.164), and 42.8% higher than 52 weeks low (5.844) 98 days ago.
PGE is at 52 week high (8.29).
It is -9.5% lower than previous year high (9.164), and 41.9% higher than 52 weeks low (5.844) 96 days ago.
PGE is at 52 week high (8.0).
It is -12.7% lower than previous year high (9.164), and 36.9% higher than 52 weeks low (5.844) 95 days ago.
PGE is at 52 week high (7.848).
It is -14.4% lower than previous year high (9.164), and 34.3% higher than 52 weeks low (5.844) 90 days ago.
PGE is at 52 week high (7.8).
It is -14.9% lower than previous year high (9.164), and 33.5% higher than 52 weeks low (5.844) 89 days ago.
PROJPRZEM (16.15) rebounds after 52 weeks low (14.6).
It is -23.1% lower than 52 week high (21.0) 359 days ago, and 50.9% higher than previous year low (10.7) 685 days ago.
PROJPRZEM is at 52 week low (14.6).
It is 36.4% higher than previous year low (10.7), and -38.4% lower than 52 weeks high (23.7) 364 days ago.
PROJPRZEM (16.25) rebounds after 52 weeks low (14.75).
It is -18.8% lower than previous year high (20.0) 364 days ago, and 51.9% higher than previous year low (10.7) 670 days ago.
PROJPRZEM (16.3) rebounds after 52 weeks low (14.75).
It is -14.7% lower than previous year high (19.1) 382 days ago, and 52.3% higher than previous year low (10.7) 666 days ago.
PROJPRZEM (16.25) rebounds after 52 weeks low (14.75).
It is -14.9% lower than previous year high (19.1) 378 days ago, and 51.9% higher than previous year low (10.7) 662 days ago.
PROJPRZEM (16.25) rebounds after 52 weeks low (14.75).
It is -14.9% lower than previous year high (19.1) 374 days ago, and 51.9% higher than previous year low (10.7) 658 days ago.
PKNORLEN (64.19) drops after 2 years high (72.93).
It is -10.2% lower than previous year high (71.49) 613 days ago, and 38.6% higher than 52 week low (46.32) 108 days ago. Dividend stock.
QUANTUM is at 52 week high (26.8).
It is -16.2% lower than previous year high (32.0), and 52.3% higher than 52 weeks low (17.6) 50 days ago. Dividend stock!.
QUANTUM is at 52 week high (26.8).
It is -16.2% lower than previous year high (32.0), and 52.3% higher than 52 weeks low (17.6) 49 days ago. Dividend stock!.
QUANTUM is at 52 week high (26.8).
It is -17.8% lower than previous year high (32.6), and 52.3% higher than 52 weeks low (17.6) 48 days ago. Dividend stock!.
QUANTUM is at 52 week high (26.8).
It is -17.8% lower than previous year high (32.6), and 52.3% higher than 52 weeks low (17.6) 47 days ago. Dividend stock!.
QUANTUM is at 52 week high (26.8).
It is -17.8% lower than previous year high (32.6), and 52.3% higher than 52 weeks low (17.6) 46 days ago. Dividend stock!.
QUANTUM is at 52 week high (26.6).
It is -18.4% lower than previous year high (32.6), and 51.1% higher than 52 weeks low (17.6) 41 days ago. Dividend stock!.
QUANTUM is at 52 week high (26.6).
It is -18.4% lower than previous year high (32.6), and 51.1% higher than 52 weeks low (17.6) 40 days ago. Dividend stock!.
QUANTUM rises 32.6% (24.0) over last 20 days.
It rises on average 10.9% per week. It is -9.8% lower than 52 week high (26.6) 324 days ago, and 36.4% higher than 52 week low (17.6) 22 days ago. Dividend stock!.
QUANTUM rises 32.6% (24.0) over last 20 days.
It rises on average 10.9% per week. It is -9.8% lower than 52 week high (26.6) 323 days ago, and 36.4% higher than 52 week low (17.6) 21 days ago. Dividend stock!.
QUANTUM rises 36.4% (24.0) over last 20 days.
It rises on average 12.1% per week. It is -9.8% lower than 52 week high (26.6) 322 days ago, and 36.4% higher than 52 week low (17.6) 20 days ago. Dividend stock!.
QUANTUM rises 42.0% (25.0) over last 20 days.
It rises on average 14.0% per week. It is -6.0% lower than 52 week high (26.6) 321 days ago, and 42.0% higher than 52 week low (17.6) 19 days ago. Dividend stock!.
QUANTUM rises 42.0% (25.0) over last 20 days.
It rises on average 14.0% per week. It is -6.0% lower than 52 week high (26.6) 320 days ago, and 42.0% higher than 52 week low (17.6) 18 days ago. Dividend stock!.
QUANTUM (23.0) drops after 52 weeks high (26.6).
It is -13.5% lower than 52 week high (26.6) 317 days ago, and 30.7% higher than 52 week low (17.6) 15 days ago. Dividend stock!.
QUANTUM rises 30.7% (23.0) over last 20 days.
It rises on average 10.2% per week. It is -13.5% lower than 52 week high (26.6) 317 days ago, and 30.7% higher than 52 week low (17.6) 15 days ago. Dividend stock!.
QUANTUM drops -10.2% (23.0) since previous day.
Volume drops -97.3%. It is -13.5% lower than 52 week high (26.6) 317 days ago, and 30.7% higher than 52 week low (17.6) 15 days ago. Dividend stock!.
QUANTUM rises 45.5% (25.6) over last 20 days.
It rises on average 15.2% per week. It is -3.8% lower than 52 week high (26.6) 316 days ago, and 45.5% higher than 52 week low (17.6) 14 days ago. Dividend stock!.
QUANTUM rises 13.3% (25.6) since previous day.
Volume rises 210.0%. It is -3.8% lower than 52 week high (26.6) 316 days ago, and 45.5% higher than 52 week low (17.6) 14 days ago. Dividend stock!.
QUANTUM (21.8) rebounds after 2 years low (17.6).
It is -18.0% lower than 52 week high (26.6) 307 days ago, and 23.9% higher than 52 week low (17.6) 5 days ago. Dividend stock!.
QUANTUM rises 20.4% (21.8) since previous day.
Volume rises 590.9%. It is -18.0% lower than 52 week high (26.6) 307 days ago, and 23.9% higher than 52 week low (17.6) 5 days ago. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM is at 2 years low (17.6).
52 weeks low is 17.6. Previous year high is 34.0, and 52 weeks high is 26.6. Dividend stock!.
QUANTUM drops -11.6% (17.6) since previous day.
Volume drops -74.7%. Dividend stock!.
QUANTUM (19.8) rebounds after 2 years low (17.6).
It is 12.5% higher than 52 week low (17.6) 6 days ago, and -25.6% lower than 52 week high (26.6) 264 days ago. Dividend stock!.
QUERCUS (10.2) drops after 2 years high (11.9).
It is 47.4% higher than previous year high (6.92) 396 days ago, and 183.3% higher than previous year low (3.6) 714 days ago.
QUERCUS is at 2 years high (11.9).
52 weeks high is 11.9. Previous year low is 3.6, and 52 weeks low is 5.9. It is 72.0% higher than previous year high (6.92) 365 days ago, and 230.6% higher than previous year low (3.6) 683 days ago.
QUERCUS is at 2 years high (11.8).
52 weeks high is 11.8. Previous year low is 3.6, and 52 weeks low is 5.9. It is 70.5% higher than previous year high (6.92) 364 days ago, and 227.8% higher than previous year low (3.6) 682 days ago.
QUERCUS is at 2 years high (11.65).
52 weeks high is 11.65. Previous year low is 3.5, and 52 weeks low is 5.9. It is 68.8% higher than previous year high (6.9) 412 days ago, and 232.9% higher than previous year low (3.5) 730 days ago.
QUERCUS is at 2 years high (11.1).
52 weeks high is 11.1. Previous year low is 3.5, and 52 weeks low is 5.9. It is 60.9% higher than previous year high (6.9) 411 days ago, and 217.1% higher than previous year low (3.5) 729 days ago.
QUERCUS is at 2 years high (11.0).
52 weeks high is 11.0. Previous year low is 3.5, and 52 weeks low is 5.9. It is 59.4% higher than previous year high (6.9) 410 days ago, and 214.3% higher than previous year low (3.5) 728 days ago.
QUERCUS is at 2 years high (10.85).
52 weeks high is 10.85. Previous year low is 3.5, and 52 weeks low is 5.9. It is 57.2% higher than previous year high (6.9) 407 days ago, and 210.0% higher than previous year low (3.5) 725 days ago.
QUERCUS is at 2 years high (10.45).
52 weeks high is 10.45. Previous year low is 3.49, and 52 weeks low is 5.9. It is 51.4% higher than previous year high (6.9) 405 days ago, and 199.4% higher than previous year low (3.49) 729 days ago.
QUERCUS is at 2 years high (10.45).
52 weeks high is 10.45. Previous year low is 3.49, and 52 weeks low is 5.9. It is 51.4% higher than previous year high (6.9) 400 days ago, and 199.4% higher than previous year low (3.49) 724 days ago.
QUERCUS is at 2 years high (10.4).
52 weeks high is 10.4. Previous year low is 3.45, and 52 weeks low is 5.9. It is 50.7% higher than previous year high (6.9) 392 days ago, and 201.4% higher than previous year low (3.45) 728 days ago.
QUERCUS is at 2 years high (10.4).
52 weeks high is 10.4. Previous year low is 3.45, and 52 weeks low is 5.9. It is 50.7% higher than previous year high (6.9) 391 days ago, and 201.4% higher than previous year low (3.45) 727 days ago.
QUERCUS is at 2 years high (10.4).
52 weeks high is 10.4. Previous year low is 3.45, and 52 weeks low is 5.9. It is 50.7% higher than previous year high (6.9) 390 days ago, and 201.4% higher than previous year low (3.45) 726 days ago.
QUERCUS is at 2 years high (10.4).
52 weeks high is 10.4. Previous year low is 3.45, and 52 weeks low is 5.9. It is 50.7% higher than previous year high (6.9) 389 days ago, and 201.4% higher than previous year low (3.45) 725 days ago.
QUERCUS is at 2 years high (10.1).
52 weeks high is 10.1. Previous year low is 3.45, and 52 weeks low is 5.9. It is 46.4% higher than previous year high (6.9) 386 days ago, and 192.8% higher than previous year low (3.45) 722 days ago.
QUERCUS is at 2 years high (9.98).
52 weeks high is 9.98. Previous year low is 3.45, and 52 weeks low is 5.9. It is 44.6% higher than previous year high (6.9) 369 days ago, and 189.3% higher than previous year low (3.45) 705 days ago.
QUERCUS is at 2 years high (9.72).
52 weeks high is 9.72. Previous year low is 3.45, and 52 weeks low is 5.9. It is 40.9% higher than previous year high (6.9) 368 days ago, and 181.7% higher than previous year low (3.45) 704 days ago.
QUERCUS is at 2 years high (9.54).
52 weeks high is 9.54. Previous year low is 3.3, and 52 weeks low is 5.9. It is 38.7% higher than previous year high (6.88) 371 days ago, and 189.1% higher than previous year low (3.3) 728 days ago.
QUERCUS is at 2 years high (9.5).
52 weeks high is 9.5. Previous year low is 3.3, and 52 weeks low is 5.9. It is 38.1% higher than previous year high (6.88) 370 days ago, and 187.9% higher than previous year low (3.3) 727 days ago.
QUERCUS is at 2 years high (9.38).
52 weeks high is 9.38. Previous year low is 3.3, and 52 weeks low is 5.9. It is 36.3% higher than previous year high (6.88) 369 days ago, and 184.2% higher than previous year low (3.3) 726 days ago.
R22 (74.8) drops after 2 years high (84.0).
It is 33.6% higher than previous year high (56.0) 693 days ago, and 124.0% higher than 52 week low (33.4) 282 days ago. Dividend stock.
RAFAKO drops -76.7% (0.254) over last 20 days.
It drops on average -25.6% per week. It is 69.3% higher than 52 week low (0.15) 176 days ago, and -80.3% lower than previous year high (1.292) 681 days ago.
RAFAKO drops -75.0% (0.27) over last 20 days.
It drops on average -25.0% per week. It is -79.1% lower than previous year high (1.292) 680 days ago, and 80.0% higher than 52 week low (0.15) 175 days ago.
RAFAKO drops -35.1% (0.27) since previous day.
Volume drops -8.3%. It is -79.1% lower than previous year high (1.292) 680 days ago, and 80.0% higher than 52 week low (0.15) 175 days ago.
RAFAKO drops -61.5% (0.416) over last 20 days.
It drops on average -20.5% per week. It is -67.8% lower than previous year high (1.292) 679 days ago, and 177.3% higher than 52 week low (0.15) 174 days ago.
RAFAKO drops -30.1% (0.416) since previous day.
Volume rises 91.1%. It is -67.8% lower than previous year high (1.292) 679 days ago, and 177.3% higher than 52 week low (0.15) 174 days ago.
RAFAKO drops -46.0% (0.595) over last 20 days.
It drops on average -15.3% per week. It is -53.9% lower than previous year high (1.292) 678 days ago, and 296.7% higher than 52 week low (0.15) 173 days ago.
RAFAKO drops -11.2% (0.595) since previous day.
Volume rises 177.6%. It is -53.9% lower than previous year high (1.292) 678 days ago, and 296.7% higher than 52 week low (0.15) 173 days ago.
RAFAKO drops -41.7% (0.67) over last 20 days.
It drops on average -13.9% per week. It is -48.1% lower than previous year high (1.292) 677 days ago, and 346.7% higher than 52 week low (0.15) 172 days ago.
RAFAKO drops -37.7% (0.698) over last 20 days.
It drops on average -12.6% per week. It is -46.0% lower than previous year high (1.292) 674 days ago, and 365.3% higher than 52 week low (0.15) 169 days ago.
RAFAKO drops -35.9% (0.742) over last 20 days.
It drops on average -12.0% per week. It is -42.6% lower than previous year high (1.292) 673 days ago, and 394.7% higher than 52 week low (0.15) 168 days ago.
RAFAKO drops -13.7% (0.742) since previous day.
Volume rises 102.6%. It is -42.6% lower than previous year high (1.292) 673 days ago, and 394.7% higher than 52 week low (0.15) 168 days ago.
RAFAKO drops -17.7% (0.864) since previous day.
Volume rises 212.4%. It is -33.1% lower than previous year high (1.292) 671 days ago, and 476.0% higher than 52 week low (0.15) 166 days ago.
RAFAKO drops -34.1% (1.12) over last 20 days.
It drops on average -11.4% per week. It is -13.3% lower than previous year high (1.292) 656 days ago, and 646.7% higher than 52 week low (0.15) 151 days ago.
RAFAKO rises 11.8% (1.19) since previous day.
Volume drops -14.0%. It is -7.9% lower than previous year high (1.292) 652 days ago, and 693.3% higher than 52 week low (0.15) 147 days ago.
RAFAKO rises 98.0% (1.21) over last 20 days.
It rises on average 32.7% per week. It is -10.8% lower than previous year high (1.356) 728 days ago, and 706.7% higher than 52 week low (0.15) 137 days ago.
RAFAKO drops -11.7% (1.21) over last 3 days.
Volume drops -40.5%. It is -10.8% lower than previous year high (1.356) 728 days ago, and 706.7% higher than 52 week low (0.15) 137 days ago.
RAFAKO rises 227.0% (1.37) over last 20 days.
It rises on average 75.7% per week. It is 0.0% equal than previous year high (1.37) 728 days ago, and 813.3% higher than 52 week low (0.15) 134 days ago.
RAFAKO (1.37) drops after 2 years high (1.7).
It is 0.0% equal than previous year high (1.37) 728 days ago, and 813.3% higher than 52 week low (0.15) 134 days ago.
RAFAKO drops -14.9% (1.37) over last 2 days.
Volume drops -16.7%. It is 0.0% equal than previous year high (1.37) 728 days ago, and 813.3% higher than 52 week low (0.15) 134 days ago.
RAFAKO rises 243.3% (1.61) over last 20 days.
It rises on average 81.1% per week. It is 11.3% higher than previous year high (1.446) 729 days ago, and 973.3% higher than 52 week low (0.15) 132 days ago.
RAFAKO rises 275.3% (1.7) over last 20 days.
It rises on average 91.8% per week.
RAFAKO is at 2 years high (1.7).
52 weeks high is 1.7. Previous year low is 0.66, and 52 weeks low is 0.15. It is 17.6% higher than previous year high (1.446) 728 days ago, and 1033.3% higher than 52 week low (0.15) 131 days ago.
RAFAKO rises 52.9% (1.7) since previous day.
Volume rises 108.1%.
RAFAKO rises 136.1% (1.112) over last 20 days.
It rises on average 45.4% per week. It is -23.1% lower than previous year high (1.446) 727 days ago, and 641.3% higher than 52 week low (0.15) 130 days ago.
RAFAKO rises 156.3% (1.192) over last 20 days.
It rises on average 52.1% per week. It is -18.4% lower than previous year high (1.46) 728 days ago, and 694.7% higher than 52 week low (0.15) 127 days ago.
RAFAKO rises 200.0% (1.26) over last 20 days.
It rises on average 66.7% per week. It is -16.0% lower than 52 week high (1.5) 2 days ago, and 740.0% higher than 52 week low (0.15) 126 days ago.
RAFAKO (1.21) drops after 52 weeks high (1.5).
It is -19.3% lower than 52 week high (1.5) 1 days ago, and 706.7% higher than 52 week low (0.15) 125 days ago.
RAFAKO rises 174.7% (1.21) over last 20 days.
It rises on average 58.2% per week. It is -19.3% lower than 52 week high (1.5) 1 days ago, and 706.7% higher than 52 week low (0.15) 125 days ago.
RAFAKO drops -19.3% (1.21) since previous day.
Volume drops -40.2%. It is -19.3% lower than 52 week high (1.5) 1 days ago, and 706.7% higher than 52 week low (0.15) 125 days ago.
RAFAKO rises 226.1% (1.5) over last 20 days.
It rises on average 75.4% per week.
RAFAKO is at 52 week high (1.5).
Previous year high is the same as 52 weeks high., and 900.0% higher than 52 weeks low (0.15) 124 days ago.
RAFAKO rises 18.5% (1.5) over last 5 days.
Volume rises 935.1%.
RAFAKO rises 130.6% (1.266) over last 20 days.
It rises on average 43.5% per week.
RAFAKO is at 52 week high (1.266).
It is -17.6% lower than previous year high (1.536), and 744.0% higher than 52 weeks low (0.15) 119 days ago.
RAFAKO rises 15.1% (1.266) since previous day.
Volume drops -88.3%.
RAFAKO rises 101.1% (1.1) over last 20 days.
It rises on average 33.7% per week.
RAFAKO is at 52 week high (1.1).
It is -28.4% lower than previous year high (1.536), and 633.3% higher than 52 weeks low (0.15) 118 days ago.
RAFAKO rises 80.0% (1.1) since previous day.
Volume rises 99.3%.
RAFAKO rises 45.8% (0.611) since previous day.
Volume rises 528.8%. It is -40.7% lower than 52 week high (1.03) 306 days ago, and 307.3% higher than 52 week low (0.15) 117 days ago.
RAFAKO rises 10.7% (0.465) over last 3 days.
Volume rises 401.8%. It is -54.9% lower than 52 week high (1.03) 298 days ago, and 210.0% higher than 52 week low (0.15) 109 days ago.
RAFAKO drops -19.9% (0.44) over last 3 days.
Volume rises 94.4%. It is -58.0% lower than 52 week high (1.048) 360 days ago, and 193.3% higher than 52 week low (0.15) 102 days ago.
RAFAKO rises 61.5% (0.549) over last 20 days.
It rises on average 20.5% per week. It is -47.6% lower than 52 week high (1.048) 357 days ago, and 266.0% higher than 52 week low (0.15) 99 days ago.
RAFAKO rises 125.1% (0.547) over last 20 days.
It rises on average 41.7% per week. It is -47.8% lower than 52 week high (1.048) 356 days ago, and 264.7% higher than 52 week low (0.15) 98 days ago.
RAFAKO rises 126.3% (0.56) over last 20 days.
It rises on average 42.1% per week. It is -46.6% lower than 52 week high (1.048) 355 days ago, and 273.3% higher than 52 week low (0.15) 97 days ago.
RAFAKO rises 121.1% (0.546) over last 20 days.
It rises on average 40.4% per week. It is -47.9% lower than 52 week high (1.048) 354 days ago, and 264.0% higher than 52 week low (0.15) 96 days ago.
RAFAKO rises 116.1% (0.523) over last 20 days.
It rises on average 38.7% per week. It is -50.1% lower than 52 week high (1.048) 353 days ago, and 248.7% higher than 52 week low (0.15) 95 days ago.
RAFAKO rises 97.4% (0.53) over last 20 days.
It rises on average 32.5% per week. It is -49.4% lower than 52 week high (1.048) 350 days ago, and 253.3% higher than 52 week low (0.15) 92 days ago.
RAFAKO rises 10.4% (0.53) since previous day.
Volume rises 30.7%. It is -49.4% lower than 52 week high (1.048) 350 days ago, and 253.3% higher than 52 week low (0.15) 92 days ago.
RAFAKO rises 77.8% (0.48) over last 20 days.
It rises on average 25.9% per week. It is -54.2% lower than 52 week high (1.048) 349 days ago, and 220.0% higher than 52 week low (0.15) 91 days ago.
RAFAKO rises 24.7% (0.48) since previous day.
Volume rises 479.1%. It is -54.2% lower than 52 week high (1.048) 349 days ago, and 220.0% higher than 52 week low (0.15) 91 days ago.
RAFAKO rises 47.2% (0.385) over last 20 days.
It rises on average 15.7% per week. It is -63.3% lower than 52 week high (1.048) 348 days ago, and 156.7% higher than 52 week low (0.15) 90 days ago.
RAFAKO rises 52.2% (0.3995) over last 20 days.
It rises on average 17.4% per week. It is -61.9% lower than 52 week high (1.048) 347 days ago, and 166.3% higher than 52 week low (0.15) 89 days ago.
RAFAKO rises 49.2% (0.3955) over last 20 days.
It rises on average 16.4% per week. It is -62.3% lower than 52 week high (1.048) 346 days ago, and 163.7% higher than 52 week low (0.15) 88 days ago.
REMAK (13.0) rebounds after 2 years low (11.45).
It is 13.5% higher than 52 week low (11.45) 111 days ago, and -20.0% lower than 52 week high (16.25) 322 days ago.
ROPCZYCE (24.0) rebounds after 2 years low (21.2).
It is 13.2% higher than 52 week low (21.2) 144 days ago, and -21.8% lower than 52 week high (30.7) 357 days ago.
ROPCZYCE (23.5) rebounds after 2 years low (21.2).
It is 10.8% higher than 52 week low (21.2) 139 days ago, and -23.5% lower than 52 week high (30.7) 352 days ago.
ROPCZYCE (23.9) rebounds after 2 years low (21.2).
It is 12.7% higher than 52 week low (21.2) 132 days ago, and -22.1% lower than 52 week high (30.7) 345 days ago.
ROPCZYCE (25.8) rebounds after 2 years low (21.2).
It is -17.8% lower than 52 week high (31.4) 346 days ago, and 21.7% higher than 52 week low (21.2) 101 days ago.
ROPCZYCE rises 14.2% (25.8) over last 3 days.
Volume rises 551.8%. It is -17.8% lower than 52 week high (31.4) 346 days ago, and 21.7% higher than 52 week low (21.2) 101 days ago.
SEKO is at 52 week low (9.04).
It is 3.9% higher than previous year low (8.7), and -36.3% lower than 52 weeks high (14.2) 354 days ago.
SEKO is at 52 week low (9.04).
It is 62.9% higher than previous year low (5.55), and -37.2% lower than 52 weeks high (14.4) 351 days ago.
SEKO is at 52 week low (9.08).
It is 63.6% higher than previous year low (5.55), and -36.9% lower than 52 weeks high (14.4) 349 days ago.
SELVITA is at 2 years low (27.7).
52 weeks low is 27.7. Previous year high is 76.4, and 52 weeks high is 69.6.
SELVITA is at 2 years low (27.7).
52 weeks low is 27.7. Previous year high is 76.4, and 52 weeks high is 69.6.
SELVITA is at 2 years low (27.7).
52 weeks low is 27.7. Previous year high is 76.4, and 52 weeks high is 69.6.
SELVITA is at 2 years low (28.0).
52 weeks low is 28.0. Previous year high is 76.4, and 52 weeks high is 69.6.
SELVITA is at 2 years low (28.0).
52 weeks low is 28.0. Previous year high is 76.4, and 52 weeks high is 69.6.
SELVITA is at 2 years low (28.0).
52 weeks low is 28.0. Previous year high is 76.4, and 52 weeks high is 69.6.
SELVITA is at 2 years low (28.8).
52 weeks low is 28.8. Previous year high is 76.4, and 52 weeks high is 69.6.
SELVITA drops -10.3% (31.2) since previous day.
Volume rises 447.6%. It is 4.0% higher than 52 week low (30.0) 30 days ago, and -56.7% lower than 52 week high (72.0) 364 days ago.
SELVITA is at 2 years low (30.0).
52 weeks low is 30.0. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (30.4).
52 weeks low is 30.4. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (30.5).
52 weeks low is 30.5. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (30.7).
52 weeks low is 30.7. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (31.3).
52 weeks low is 31.3. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (33.7).
52 weeks low is 33.7. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (33.8).
52 weeks low is 33.8. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (35.8).
52 weeks low is 35.8. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (37.6).
52 weeks low is 37.6. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (37.7).
52 weeks low is 37.7. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (37.9).
52 weeks low is 37.9. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (39.3).
52 weeks low is 39.3. Previous year high is 77.6, and 52 weeks high is 72.0.
SELVITA is at 2 years low (40.8).
52 weeks low is 40.8. Previous year high is 83.5, and 52 weeks high is 72.0.
SELVITA is at 2 years low (42.85).
52 weeks low is 42.85. Previous year high is 83.5, and 52 weeks high is 72.0.
SELVITA is at 2 years low (43.4).
52 weeks low is 43.4. Previous year high is 83.5, and 52 weeks high is 72.0.
SANOK (21.2) rebounds after 52 weeks low (19.0).
It is -9.4% lower than 52 week high (23.4) 128 days ago, and 16.5% higher than previous year low (18.2) 594 days ago. Dividend.
SANOK (20.9) drops after 52 weeks high (23.4).
It is -10.7% lower than 52 week high (23.4) 127 days ago, and 14.8% higher than previous year low (18.2) 593 days ago. Dividend.
SANOK (21.2) rebounds after 52 weeks low (19.0).
It is -9.4% lower than 52 week high (23.4) 126 days ago, and 16.5% higher than previous year low (18.2) 592 days ago. Dividend.
SANOK (20.95) rebounds after 52 weeks low (19.0).
It is -13.8% lower than 52 week high (24.3) 353 days ago, and 15.1% higher than previous year low (18.2) 557 days ago. Dividend.
SANOK (21.8) drops after 52 weeks high (24.3).
It is -10.3% lower than 52 week high (24.3) 347 days ago, and 23.0% higher than previous year low (17.72) 728 days ago. Dividend.
Spyrosoft S.A. rises 1562.1% (606.0) over last 20 days.
It rises on average 520.7% per week.
Spyrosoft S.A. is at 2 years high (606.0).
52 weeks high is 606.0. Previous year low is 372.0, and 52 weeks low is 29.17. It is 4.8% higher than previous year high (578.0) 516 days ago, and 1977.5% higher than 52 week low (29.17) 51 days ago.
Spyrosoft S.A. is at 2 years high (596.0).
52 weeks high is 596.0. Previous year low is 372.0, and 52 weeks low is 29.17. It is 3.1% higher than previous year high (578.0) 514 days ago, and 1943.2% higher than 52 week low (29.17) 49 days ago.
Spyrosoft S.A. rises 1467.6% (562.0) over last 20 days.
It rises on average 489.2% per week. It is -1.4% lower than 52 week high (570.0) 1 days ago, and 1826.6% higher than 52 week low (29.17) 46 days ago.
Spyrosoft S.A. is at 52 week high (570.0).
It is -1.4% lower than previous year high (578.0), and 1854.1% higher than 52 weeks low (29.17) 45 days ago.
Spyrosoft S.A. rises 1456.9% (560.0) over last 20 days.
It rises on average 485.6% per week.
Spyrosoft S.A. is at 52 week high (560.0).
It is -3.1% lower than previous year high (578.0), and 1819.8% higher than 52 weeks low (29.17) 44 days ago.
Spyrosoft S.A. rises 1417.1% (546.0) over last 20 days.
It rises on average 472.4% per week. It is -2.2% lower than 52 week high (558.0) 5 days ago, and 1771.8% higher than 52 week low (29.17) 42 days ago.
Spyrosoft S.A. rises 1436.3% (550.0) over last 20 days.
It rises on average 478.8% per week. It is -1.4% lower than 52 week high (558.0) 2 days ago, and 1785.5% higher than 52 week low (29.17) 39 days ago.
Spyrosoft S.A. rises 1503.0% (558.0) over last 20 days.
It rises on average 501.0% per week.
Spyrosoft S.A. is at 52 week high (558.0).
It is -3.5% lower than previous year high (578.0), and 1812.9% higher than 52 weeks low (29.17) 37 days ago.
Spyrosoft S.A. rises 1488.3% (554.0) over last 20 days.
It rises on average 496.1% per week.
Spyrosoft S.A. is at 52 week high (554.0).
It is -4.2% lower than previous year high (578.0), and 1799.2% higher than 52 weeks low (29.17) 36 days ago.
Spyrosoft S.A. rises 1520.5% (550.0) over last 20 days.
It rises on average 506.8% per week.
Spyrosoft S.A. is at 52 week high (550.0).
It is -4.8% lower than previous year high (578.0), and 1785.5% higher than 52 weeks low (29.17) 35 days ago.
Spyrosoft S.A. rises 1444.0% (514.0) over last 20 days.
It rises on average 481.3% per week. It is -4.8% lower than 52 week high (540.0) 7 days ago, and 1662.1% higher than 52 week low (29.17) 32 days ago.
Spyrosoft S.A. rises 1474.0% (524.0) over last 20 days.
It rises on average 491.3% per week. It is -3.0% lower than 52 week high (540.0) 6 days ago, and 1696.4% higher than 52 week low (29.17) 31 days ago.
Spyrosoft S.A. rises 1434.8% (510.0) over last 20 days.
It rises on average 478.3% per week. It is -5.6% lower than 52 week high (540.0) 4 days ago, and 1648.4% higher than 52 week low (29.17) 29 days ago.
Spyrosoft S.A. rises 1516.9% (536.0) over last 20 days.
It rises on average 505.6% per week. It is -0.7% lower than 52 week high (540.0) 3 days ago, and 1737.5% higher than 52 week low (29.17) 28 days ago.
Spyrosoft S.A. rises 1391.0% (536.0) over last 3 days.
Volume drops -100.0%. It is -0.7% lower than 52 week high (540.0) 3 days ago, and 1737.5% higher than 52 week low (29.17) 28 days ago.
Spyrosoft S.A. drops -91.2% (35.97) over last 20 days.
It drops on average -30.4% per week. It is 23.3% higher than 52 week low (29.17) 24 days ago, and -93.2% lower than 52 week high (530.0) 1 days ago.
Spyrosoft S.A. drops -91.5% (34.81) over last 20 days.
It drops on average -30.5% per week. It is 19.3% higher than 52 week low (29.17) 17 days ago, and -93.4% lower than 52 week high (528.0) 111 days ago.
Spyrosoft S.A. drops -92.4% (33.47) over last 20 days.
It drops on average -30.8% per week. It is 14.7% higher than 52 week low (29.17) 10 days ago, and -93.7% lower than 52 week high (528.0) 104 days ago.
Spyrosoft S.A. drops -92.6% (33.23) over last 20 days.
It drops on average -30.9% per week. It is 13.9% higher than 52 week low (29.17) 9 days ago, and -93.7% lower than 52 week high (528.0) 103 days ago.
Spyrosoft S.A. drops -92.6% (33.15) over last 20 days.
It drops on average -30.9% per week. It is 13.6% higher than 52 week low (29.17) 8 days ago, and -93.7% lower than 52 week high (528.0) 102 days ago.
Spyrosoft S.A. drops -92.7% (32.91) over last 20 days.
It drops on average -30.9% per week. It is 12.8% higher than 52 week low (29.17) 7 days ago, and -93.8% lower than 52 week high (528.0) 101 days ago.
Spyrosoft S.A. drops -92.0% (32.91) over last 3 days.
Volume rises 2912882.4%. It is 12.8% higher than 52 week low (29.17) 7 days ago, and -93.8% lower than 52 week high (528.0) 101 days ago.
Spyrosoft S.A. rises 1150.8% (411.0) since previous day.
Volume drops -100.0%. It is -22.2% lower than 52 week high (528.0) 98 days ago, and 1309.0% higher than 52 week low (29.17) 4 days ago.
Spyrosoft S.A. drops -92.8% (32.86) over last 20 days.
It drops on average -30.9% per week. It is 12.6% higher than 52 week low (29.17) 3 days ago, and -93.8% lower than 52 week high (528.0) 97 days ago.
Spyrosoft S.A. (33.17) rebounds after 2 years low (29.17).
It is 13.7% higher than 52 week low (29.17) 2 days ago, and -93.7% lower than 52 week high (528.0) 96 days ago.
Spyrosoft S.A. drops -92.8% (33.17) over last 20 days.
It drops on average -30.9% per week. It is 13.7% higher than 52 week low (29.17) 2 days ago, and -93.7% lower than 52 week high (528.0) 96 days ago.
Spyrosoft S.A. rises 10.9% (33.17) since previous day.
Volume drops -26.1%. It is 13.7% higher than 52 week low (29.17) 2 days ago, and -93.7% lower than 52 week high (528.0) 96 days ago.
Spyrosoft S.A. drops -93.4% (29.9) over last 20 days.
It drops on average -31.1% per week. It is 2.5% higher than 52 week low (29.17) 1 days ago, and -94.3% lower than 52 week high (528.0) 95 days ago.
Spyrosoft S.A. is at 2 years low (29.17).
52 weeks low is 29.17. Previous year high is 644.0, and 52 weeks high is 528.0.
Spyrosoft S.A. drops -93.6% (29.17) over last 20 days.
It drops on average -31.2% per week.
Spyrosoft S.A. is at 2 years low (29.03).
52 weeks low is 29.03. Previous year high is 644.0, and 52 weeks high is 528.0.
Spyrosoft S.A. drops -93.6% (29.03) over last 20 days.
It drops on average -31.2% per week.
Spyrosoft S.A. drops -93.3% (29.03) since previous day.
Volume rises 408067.3%.
STALPROD (257.0) drops after 52 weeks high (291.0).
It is -11.7% lower than 52 week high (291.0) 51 days ago, and 26.6% higher than previous year low (203.0) 432 days ago. Dividend stock.
STALPROD (261.0) drops after 52 weeks high (291.0).
It is -10.3% lower than 52 week high (291.0) 42 days ago, and 28.6% higher than previous year low (203.0) 423 days ago. Dividend stock.
STALPROD (261.0) drops after 52 weeks high (291.0).
It is -10.3% lower than 52 week high (291.0) 36 days ago, and 28.6% higher than previous year low (203.0) 417 days ago. Dividend stock.
STALPROD (260.0) drops after 52 weeks high (291.0).
It is -10.7% lower than 52 week high (291.0) 10 days ago, and 28.1% higher than previous year low (203.0) 391 days ago. Dividend stock.
STALPROD (259.0) drops after 52 weeks high (291.0).
It is -11.0% lower than 52 week high (291.0) 7 days ago, and 27.6% higher than previous year low (203.0) 388 days ago. Dividend stock.
STALPROD is at 52 week high (291.0).
It is -8.5% lower than previous year high (318.0), and 42.6% higher than 52 weeks low (204.0) 356 days ago. Dividend stock.
TSGAMES is at 52 week high (105.8).
It is -2.0% lower than previous year high (108.0), and 47.4% higher than 52 weeks low (71.8) 169 days ago. Dividend stock.
TSGAMES is at 52 week high (104.4).
It is -3.3% lower than previous year high (108.0), and 45.4% higher than 52 weeks low (71.8) 156 days ago. Dividend stock.
TSGAMES is at 52 week high (103.4).
It is -4.3% lower than previous year high (108.0), and 44.0% higher than 52 weeks low (71.8) 154 days ago. Dividend stock.
TSGAMES is at 52 week high (103.0).
It is -4.6% lower than previous year high (108.0), and 43.5% higher than 52 weeks low (71.8) 150 days ago. Dividend stock.
TSGAMES is at 52 week high (98.7).
It is -8.6% lower than previous year high (108.0), and 37.5% higher than 52 weeks low (71.8) 140 days ago. Dividend stock.
TSGAMES is at 52 week high (97.9).
It is -9.4% lower than previous year high (108.0), and 36.4% higher than 52 weeks low (71.8) 130 days ago. Dividend stock.
TSGAMES (87.5) drops after 52 weeks high (97.3).
It is -10.1% lower than 52 week high (97.3) 352 days ago, and 21.9% higher than 52 week low (71.8) 100 days ago. Dividend stock.
TSGAMES (87.5) drops after 52 weeks high (97.3).
It is -10.1% lower than 52 week high (97.3) 345 days ago, and 21.9% higher than 52 week low (71.8) 93 days ago. Dividend stock.
TSGAMES (79.95) rebounds after 2 years low (71.8).
It is 11.4% higher than 52 week low (71.8) 85 days ago, and -17.8% lower than 52 week high (97.3) 337 days ago. Dividend stock.
TIM is at 2 years high (50.5).
52 weeks high is 50.5. Previous year low is 21.75, and 52 weeks low is 45.05. It is 2.3% higher than previous year high (49.35) 364 days ago, and 132.2% higher than previous year low (21.75) 663 days ago. Dividend stock.
TORPOL (37.8) drops after 2 years high (42.0).
It is -1.4% lower than previous year high (38.35) 442 days ago, and 144.8% higher than previous year low (15.44) 730 days ago. Dividend stock!.
TORPOL (37.15) drops after 2 years high (42.0).
It is -3.1% lower than previous year high (38.35) 433 days ago, and 144.7% higher than previous year low (15.18) 729 days ago. Dividend stock!.
TORPOL (37.4) drops after 2 years high (42.0).
It is -2.5% lower than previous year high (38.35) 428 days ago, and 149.3% higher than previous year low (15.0) 728 days ago. Dividend stock!.
TORPOL (37.7) drops after 2 years high (42.0).
It is -1.7% lower than previous year high (38.35) 378 days ago, and 154.7% higher than previous year low (14.8) 685 days ago. Dividend stock!.
TORPOL (37.45) drops after 2 years high (42.0).
It is -2.3% lower than previous year high (38.35) 373 days ago, and 153.0% higher than previous year low (14.8) 680 days ago. Dividend stock!.
TORPOL is at 2 years high (42.0).
52 weeks high is 42.0. Previous year low is 14.8, and 52 weeks low is 28.1. It is 9.8% higher than previous year high (38.25) 364 days ago, and 183.8% higher than previous year low (14.8) 670 days ago. Dividend stock!.
TAURONPE is at 2 years high (7.5).
52 weeks high is 7.5. Previous year low is 2.354, and 52 weeks low is 3.276. It is 63.6% higher than previous year high (4.584) 658 days ago, and 218.6% higher than previous year low (2.354) 729 days ago.
TAURONPE is at 2 years high (7.45).
52 weeks high is 7.45. Previous year low is 2.22, and 52 weeks low is 3.276. It is 62.5% higher than previous year high (4.584) 644 days ago, and 235.6% higher than previous year low (2.22) 728 days ago.
TAURONPE is at 2 years high (7.406).
52 weeks high is 7.406. Previous year low is 2.22, and 52 weeks low is 3.276. It is 61.6% higher than previous year high (4.584) 637 days ago, and 233.6% higher than previous year low (2.22) 721 days ago.
TAURONPE is at 2 years high (7.402).
52 weeks high is 7.402. Previous year low is 2.22, and 52 weeks low is 3.276. It is 61.5% higher than previous year high (4.584) 636 days ago, and 233.4% higher than previous year low (2.22) 720 days ago.
TAURONPE is at 2 years high (7.322).
52 weeks high is 7.322. Previous year low is 2.22, and 52 weeks low is 3.276. It is 59.7% higher than previous year high (4.584) 635 days ago, and 229.8% higher than previous year low (2.22) 719 days ago.
TAURONPE is at 2 years high (7.214).
52 weeks high is 7.214. Previous year low is 2.151, and 52 weeks low is 3.276. It is 57.4% higher than previous year high (4.584) 632 days ago, and 235.4% higher than previous year low (2.151) 729 days ago.
TAURONPE is at 2 years high (7.102).
52 weeks high is 7.102. Previous year low is 2.151, and 52 weeks low is 3.276. It is 54.9% higher than previous year high (4.584) 629 days ago, and 230.2% higher than previous year low (2.151) 726 days ago.
TAURONPE is at 2 years high (6.678).
52 weeks high is 6.678. Previous year low is 2.151, and 52 weeks low is 3.276. It is 45.7% higher than previous year high (4.584) 628 days ago, and 210.5% higher than previous year low (2.151) 725 days ago.
TAURONPE is at 2 years high (6.636).
52 weeks high is 6.636. Previous year low is 2.151, and 52 weeks low is 3.276. It is 44.8% higher than previous year high (4.584) 625 days ago, and 208.5% higher than previous year low (2.151) 722 days ago.
TAURONPE is at 2 years high (6.61).
52 weeks high is 6.61. Previous year low is 2.115, and 52 weeks low is 3.276. It is 44.2% higher than previous year high (4.584) 624 days ago, and 212.5% higher than previous year low (2.115) 730 days ago.
TAURONPE is at 2 years high (6.468).
52 weeks high is 6.468. Previous year low is 2.115, and 52 weeks low is 3.216. It is 41.1% higher than previous year high (4.584) 623 days ago, and 205.8% higher than previous year low (2.115) 729 days ago.
TAURONPE is at 2 years high (6.116).
52 weeks high is 6.116. Previous year low is 2.115, and 52 weeks low is 3.205. It is 33.4% higher than previous year high (4.584) 622 days ago, and 189.2% higher than previous year low (2.115) 728 days ago.
TAURONPE is at 2 years high (6.026).
52 weeks high is 6.026. Previous year low is 1.995, and 52 weeks low is 3.024. It is 31.5% higher than previous year high (4.584) 618 days ago, and 202.1% higher than previous year low (1.995) 729 days ago.
TAURONPE is at 2 years high (6.01).
52 weeks high is 6.01. Previous year low is 1.995, and 52 weeks low is 2.915. It is 31.1% higher than previous year high (4.584) 615 days ago, and 201.3% higher than previous year low (1.995) 726 days ago.
TAURONPE is at 2 years high (5.92).
52 weeks high is 5.92. Previous year low is 1.995, and 52 weeks low is 2.915. It is 29.1% higher than previous year high (4.584) 611 days ago, and 196.7% higher than previous year low (1.995) 722 days ago.
TAURONPE is at 2 years high (5.726).
52 weeks high is 5.726. Previous year low is 1.995, and 52 weeks low is 2.807. It is 24.9% higher than previous year high (4.584) 610 days ago, and 187.0% higher than previous year low (1.995) 721 days ago.
TAURONPE is at 2 years high (5.564).
52 weeks high is 5.564. Previous year low is 1.995, and 52 weeks low is 2.807. It is 21.4% higher than previous year high (4.584) 609 days ago, and 178.9% higher than previous year low (1.995) 720 days ago.
TAURONPE is at 2 years high (5.506).
52 weeks high is 5.506. Previous year low is 1.995, and 52 weeks low is 2.807. It is 20.1% higher than previous year high (4.584) 608 days ago, and 176.0% higher than previous year low (1.995) 719 days ago.
TAURONPE is at 2 years high (5.118).
52 weeks high is 5.118. Previous year low is 1.995, and 52 weeks low is 2.807. It is 11.6% higher than previous year high (4.584) 603 days ago, and 156.5% higher than previous year low (1.995) 714 days ago.
TAURONPE is at 2 years high (5.09).
52 weeks high is 5.09. Previous year low is 1.9125, and 52 weeks low is 2.807. It is 11.0% higher than previous year high (4.584) 589 days ago, and 166.1% higher than previous year low (1.9125) 729 days ago.
TAURONPE is at 2 years high (5.07).
52 weeks high is 5.07. Previous year low is 1.9125, and 52 weeks low is 2.807. It is 10.6% higher than previous year high (4.584) 588 days ago, and 165.1% higher than previous year low (1.9125) 728 days ago.
TAURONPE is at 2 years high (5.06).
52 weeks high is 5.06. Previous year low is 1.9125, and 52 weeks low is 2.807. It is 10.4% higher than previous year high (4.584) 587 days ago, and 164.6% higher than previous year low (1.9125) 727 days ago.
TAURONPE is at 2 years high (5.048).
52 weeks high is 5.048. Previous year low is 1.8625, and 52 weeks low is 2.807. It is 10.1% higher than previous year high (4.584) 583 days ago, and 171.0% higher than previous year low (1.8625) 730 days ago.
TAURONPE is at 2 years high (4.903).
52 weeks high is 4.903. Previous year low is 1.8495, and 52 weeks low is 2.807. It is 7.0% higher than previous year high (4.584) 582 days ago, and 165.1% higher than previous year low (1.8495) 730 days ago.
TAURONPE is at 2 years high (4.899).
52 weeks high is 4.899. Previous year low is 1.8495, and 52 weeks low is 2.807. It is 6.9% higher than previous year high (4.584) 581 days ago, and 164.9% higher than previous year low (1.8495) 729 days ago.
TAURONPE is at 2 years high (4.87).
52 weeks high is 4.87. Previous year low is 1.8495, and 52 weeks low is 2.807. It is 6.2% higher than previous year high (4.584) 580 days ago, and 163.3% higher than previous year low (1.8495) 728 days ago.
TAURONPE is at 2 years high (4.81).
52 weeks high is 4.81. Previous year low is 1.8495, and 52 weeks low is 2.807. It is 4.9% higher than previous year high (4.584) 572 days ago, and 160.1% higher than previous year low (1.8495) 720 days ago.
TRANSPOL is at 52 week high (3.86).
It is -20.6% lower than previous year high (4.86), and 40.4% higher than 52 weeks low (2.75) 63 days ago. Dividend stock.
TRANSPOL is at 52 week high (3.81).
It is -21.6% lower than previous year high (4.86), and 38.5% higher than 52 weeks low (2.75) 62 days ago. Dividend stock.
TRANSPOL is at 52 week high (3.7).
It is -23.9% lower than previous year high (4.86), and 34.5% higher than 52 weeks low (2.75) 61 days ago. Dividend stock.
TRANSPOL (3.17) drops after 52 weeks high (3.6).
It is -11.9% lower than 52 week high (3.6) 351 days ago, and 15.3% higher than 52 week low (2.75) 50 days ago. Dividend stock.
TRANSPOL (3.04) rebounds after 2 years low (2.75).
It is 10.5% higher than 52 week low (2.75) 40 days ago, and -23.6% lower than 52 week high (3.98) 361 days ago. Dividend stock.
TRANSPOL (3.1) rebounds after 2 years low (2.75).
It is 12.7% higher than 52 week low (2.75) 33 days ago, and -22.1% lower than 52 week high (3.98) 354 days ago. Dividend stock.
TRANSPOL (3.1) rebounds after 2 years low (2.75).
It is 12.7% higher than 52 week low (2.75) 25 days ago, and -22.1% lower than 52 week high (3.98) 346 days ago. Dividend stock.
TRANSPOL (3.05) rebounds after 2 years low (2.75).
It is 10.9% higher than 52 week low (2.75) 15 days ago, and -23.4% lower than 52 week high (3.98) 336 days ago. Dividend stock.
TRANSPOL is at 2 years low (2.75).
52 weeks low is 2.75. Previous year high is 4.86, and 52 weeks high is 3.98. Dividend stock.
UNIBEP (10.7) drops after 2 years high (12.0).
It is -7.0% lower than previous year high (11.5) 686 days ago, and 53.3% higher than 52 week low (6.98) 165 days ago.
UNIBEP (10.6) drops after 2 years high (12.0).
It is -7.8% lower than previous year high (11.5) 675 days ago, and 51.9% higher than 52 week low (6.98) 154 days ago.
UNIBEP is at 2 years high (12.0).
52 weeks high is 12.0. Previous year low is 8.88, and 52 weeks low is 6.98. It is 4.3% higher than previous year high (11.5) 666 days ago, and 71.9% higher than 52 week low (6.98) 145 days ago.
UNIBEP is at 2 years high (11.8).
52 weeks high is 11.8. Previous year low is 8.88, and 52 weeks low is 6.98. It is 2.6% higher than previous year high (11.5) 665 days ago, and 69.1% higher than 52 week low (6.98) 144 days ago.
UNIBEP is at 2 years high (11.65).
52 weeks high is 11.65. Previous year low is 8.88, and 52 weeks low is 6.98. It is 1.3% higher than previous year high (11.5) 664 days ago, and 66.9% higher than 52 week low (6.98) 143 days ago.
UNIBEP is at 52 week high (11.5).
Previous year high is the same as 52 weeks high., and 64.8% higher than 52 weeks low (6.98) 140 days ago.
UNIBEP is at 52 week high (11.5).
Previous year high is the same as 52 weeks high., and 64.8% higher than 52 weeks low (6.98) 139 days ago.
UNIBEP is at 52 week high (11.0).
It is -4.3% lower than previous year high (11.5), and 57.6% higher than 52 weeks low (6.98) 138 days ago.
UNIBEP (9.5) drops after 52 weeks high (11.0).
It is -13.6% lower than 52 week high (11.0) 252 days ago, and 36.1% higher than 52 week low (6.98) 89 days ago.
VOTUM (41.5) drops after 52 weeks high (46.65).
It is -11.0% lower than 52 week high (46.65) 14 days ago, and 56.6% higher than 52 week low (26.5) 307 days ago.
VOTUM (41.6) drops after 52 weeks high (46.65).
It is -10.8% lower than 52 week high (46.65) 7 days ago, and 57.0% higher than 52 week low (26.5) 300 days ago.
VOTUM is at 52 week high (46.65).
It is -14.1% lower than previous year high (54.3), and 76.0% higher than 52 weeks low (26.5) 293 days ago.
VOTUM is at 52 week high (46.05).
It is -15.2% lower than previous year high (54.3), and 73.8% higher than 52 weeks low (26.5) 290 days ago.
Vercom S.A. (117.0) rebounds after 52 weeks low (104.0).
It is -14.0% lower than 52 week high (136.0) 353 days ago, and 93.1% higher than previous year low (60.6) 620 days ago.
Vercom S.A. (115.0) rebounds after 52 weeks low (104.0).
It is -15.4% lower than 52 week high (136.0) 348 days ago, and 94.9% higher than previous year low (59.0) 730 days ago.
Vercom S.A. (114.6) rebounds after 52 weeks low (104.0).
It is -4.9% lower than previous year high (120.5) 393 days ago, and 125.6% higher than previous year low (50.8) 730 days ago.
Vercom S.A. is at 52 week low (104.0).
It is 119.4% higher than previous year low (47.4), and -29.7% lower than 52 weeks high (148.0) 321 days ago.
Vercom S.A. (117.0) rebounds after 52 weeks low (106.0).
It is -2.9% lower than previous year high (120.5) 368 days ago, and 146.8% higher than previous year low (47.4) 712 days ago.
Vercom S.A. (120.0) rebounds after 52 weeks low (106.0).
It is 3.4% higher than previous year high (116.0) 371 days ago, and 163.7% higher than previous year low (45.5) 718 days ago.
WITTCHEN drops -10.9% (19.96) since previous day.
Volume rises 796.4%. It is 1.3% higher than 52 week low (19.7) 109 days ago, and -44.2% lower than 52 week high (35.75) 324 days ago.
WITTCHEN (22.4) rebounds after 2 years low (19.7).
It is 13.7% higher than 52 week low (19.7) 108 days ago, and -37.3% lower than 52 week high (35.75) 323 days ago.
WITTCHEN (22.6) rebounds after 2 years low (19.7).
It is 14.7% higher than 52 week low (19.7) 106 days ago, and -36.8% lower than 52 week high (35.75) 321 days ago.
WAWEL (630.0) rebounds after 52 weeks low (570.0).
It is -13.9% lower than 52 week high (732.0) 324 days ago, and 23.5% higher than previous year low (510.0) 730 days ago. Dividend.
WAWEL (632.0) rebounds after 52 weeks low (570.0).
It is -13.7% lower than 52 week high (732.0) 321 days ago, and 24.9% higher than previous year low (506.0) 728 days ago. Dividend.
WAWEL (628.0) rebounds after 52 weeks low (570.0).
It is -14.2% lower than 52 week high (732.0) 310 days ago, and 26.4% higher than previous year low (497.0) 728 days ago. Dividend.
WAWEL (630.0) rebounds after 52 weeks low (570.0).
It is -13.9% lower than 52 week high (732.0) 301 days ago, and 31.8% higher than previous year low (478.0) 729 days ago. Dividend.
WAWEL (638.0) rebounds after 52 weeks low (570.0).
It is -12.8% lower than 52 week high (732.0) 294 days ago, and 34.3% higher than previous year low (475.0) 725 days ago. Dividend.
WAWEL (648.0) drops after 52 weeks high (732.0).
It is -11.5% lower than 52 week high (732.0) 281 days ago, and 39.4% higher than previous year low (465.0) 728 days ago. Dividend.
WAWEL (658.0) drops after 52 weeks high (732.0).
It is -10.1% lower than 52 week high (732.0) 274 days ago, and 46.2% higher than previous year low (450.0) 729 days ago. Dividend.
XTB (81.12) drops after 2 years high (90.2).
It is 8.0% higher than previous year high (75.08) 375 days ago, and 173.9% higher than previous year low (29.62) 603 days ago. Dividend stock.
XTB is at 2 years high (90.2).
52 weeks high is 90.2. Previous year low is 29.62, and 52 weeks low is 58.62. It is 30.7% higher than previous year high (69.0) 364 days ago, and 204.5% higher than previous year low (29.62) 582 days ago. Dividend stock.
XTB is at 2 years high (89.8).
52 weeks high is 89.8. Previous year low is 29.62, and 52 weeks low is 58.62. It is 33.0% higher than previous year high (67.52) 365 days ago, and 203.2% higher than previous year low (29.62) 578 days ago. Dividend stock.
XTB is at 2 years high (88.2).
52 weeks high is 88.2. Previous year low is 29.62, and 52 weeks low is 58.62. It is 30.6% higher than previous year high (67.52) 364 days ago, and 197.8% higher than previous year low (29.62) 577 days ago. Dividend stock.
XTB is at 2 years high (85.9).
52 weeks high is 85.9. Previous year low is 29.62, and 52 weeks low is 58.62. It is 28.2% higher than previous year high (67.0) 364 days ago, and 190.0% higher than previous year low (29.62) 576 days ago. Dividend stock.
XTB is at 2 years high (84.8).
52 weeks high is 84.8. Previous year low is 29.62, and 52 weeks low is 58.62. It is 28.3% higher than previous year high (66.1) 364 days ago, and 186.3% higher than previous year low (29.62) 575 days ago. Dividend stock.
XTB is at 2 years high (84.4).
52 weeks high is 84.4. Previous year low is 29.62, and 52 weeks low is 58.62. It is 29.4% higher than previous year high (65.24) 364 days ago, and 184.9% higher than previous year low (29.62) 574 days ago. Dividend stock.
XTB is at 2 years high (82.0).
52 weeks high is 82.0. Previous year low is 29.62, and 52 weeks low is 58.62. It is 29.0% higher than previous year high (63.58) 365 days ago, and 176.8% higher than previous year low (29.62) 569 days ago. Dividend stock.
XTB is at 2 years high (80.5).
52 weeks high is 80.5. Previous year low is 29.62, and 52 weeks low is 58.62. It is 30.3% higher than previous year high (61.8) 364 days ago, and 171.8% higher than previous year low (29.62) 563 days ago. Dividend stock.
XTB is at 2 years high (80.4).
52 weeks high is 80.4. Previous year low is 29.62, and 52 weeks low is 58.62. It is 30.9% higher than previous year high (61.44) 364 days ago, and 171.4% higher than previous year low (29.62) 562 days ago. Dividend stock.
XTB is at 2 years high (79.5).
52 weeks high is 79.5. Previous year low is 29.62, and 52 weeks low is 58.62. It is 29.9% higher than previous year high (61.2) 369 days ago, and 168.4% higher than previous year low (29.62) 561 days ago. Dividend stock.
XTB is at 2 years high (78.66).
52 weeks high is 78.66. Previous year low is 29.62, and 52 weeks low is 58.6. It is 28.5% higher than previous year high (61.2) 364 days ago, and 165.6% higher than previous year low (29.62) 556 days ago. Dividend stock.
XTB is at 2 years high (78.2).
52 weeks high is 78.2. Previous year low is 29.62, and 52 weeks low is 58.6. It is 29.5% higher than previous year high (60.4) 364 days ago, and 164.0% higher than previous year low (29.62) 555 days ago. Dividend stock.
XTB is at 2 years high (78.04).
52 weeks high is 78.04. Previous year low is 29.62, and 52 weeks low is 58.6. It is 29.6% higher than previous year high (60.2) 365 days ago, and 163.5% higher than previous year low (29.62) 554 days ago. Dividend stock.
XTB (69.28) drops after 2 years high (77.48).
It is 21.3% higher than previous year high (57.1) 364 days ago, and 133.9% higher than previous year low (29.62) 534 days ago. Dividend stock.
ZEPAK is at 2 years high (27.3).
52 weeks high is 27.3. Previous year low is 17.6, and 52 weeks low is 13.4. It is 21.3% higher than previous year high (22.5) 555 days ago, and 103.7% higher than 52 week low (13.4) 170 days ago.
ZEPAK is at 2 years high (27.3).
52 weeks high is 27.3. Previous year low is 17.6, and 52 weeks low is 13.4. It is 21.3% higher than previous year high (22.5) 554 days ago, and 103.7% higher than 52 week low (13.4) 169 days ago.
ZEPAK rises 31.0% (25.15) over last 20 days.
It rises on average 10.3% per week. It is 11.8% higher than previous year high (22.5) 546 days ago, and 87.7% higher than 52 week low (13.4) 161 days ago.
ZEPAK rises 34.5% (25.4) over last 20 days.
It rises on average 11.5% per week. It is 12.9% higher than previous year high (22.5) 543 days ago, and 89.6% higher than 52 week low (13.4) 158 days ago.
ZEPAK rises 34.0% (25.3) over last 20 days.
It rises on average 11.3% per week. It is 12.4% higher than previous year high (22.5) 542 days ago, and 88.8% higher than 52 week low (13.4) 157 days ago.
ZEPAK rises 34.8% (25.35) over last 20 days.
It rises on average 11.6% per week. It is 12.7% higher than previous year high (22.5) 541 days ago, and 89.2% higher than 52 week low (13.4) 156 days ago.
ZEPAK rises 31.4% (24.6) over last 20 days.
It rises on average 10.5% per week. It is 9.3% higher than previous year high (22.5) 540 days ago, and 83.6% higher than 52 week low (13.4) 155 days ago.
ZEPAK rises 32.8% (24.7) over last 20 days.
It rises on average 10.9% per week. It is 9.8% higher than previous year high (22.5) 539 days ago, and 84.3% higher than 52 week low (13.4) 154 days ago.
ZEPAK rises 33.5% (25.05) over last 20 days.
It rises on average 11.2% per week. It is 11.3% higher than previous year high (22.5) 533 days ago, and 86.9% higher than 52 week low (13.4) 148 days ago.
ZEPAK rises 33.4% (25.35) over last 20 days.
It rises on average 11.1% per week. It is 12.7% higher than previous year high (22.5) 532 days ago, and 89.2% higher than 52 week low (13.4) 147 days ago.
ZEPAK rises 31.9% (24.9) over last 20 days.
It rises on average 10.6% per week. It is 10.7% higher than previous year high (22.5) 529 days ago, and 85.8% higher than 52 week low (13.4) 144 days ago.
ZEPAK is at 2 years high (25.65).
52 weeks high is 25.65. Previous year low is 17.6, and 52 weeks low is 13.4. It is 14.0% higher than previous year high (22.5) 528 days ago, and 91.4% higher than 52 week low (13.4) 143 days ago.
ZEPAK rises 36.6% (25.65) over last 20 days.
It rises on average 12.2% per week.
ZEPAK is at 2 years high (25.0).
52 weeks high is 25.0. Previous year low is 17.6, and 52 weeks low is 13.4. It is 11.1% higher than previous year high (22.5) 527 days ago, and 86.6% higher than 52 week low (13.4) 142 days ago.
ZEPAK rises 31.3% (25.0) over last 20 days.
It rises on average 10.4% per week.
ZEPAK rises 30.2% (25.0) since previous day.
Volume rises 2222.7%.
ZEPAK (18.6) drops after 52 weeks high (20.8).
It is -10.6% lower than 52 week high (20.8) 349 days ago, and 38.8% higher than 52 week low (13.4) 134 days ago.
ZUE drops -10.5% (8.68) since previous day.
Volume rises 834.8%. It is -28.0% lower than 52 week high (12.05) 282 days ago, and 71.5% higher than previous year low (5.06) 590 days ago.
DAX Index is at 2 years high (24323.5801).
52 weeks high is 24323.5801. Previous year low is 14687.4102, and 52 weeks low is 17339.0. It is 28.9% higher than previous year high (18869.3594) 386 days ago, and 65.6% higher than previous year low (14687.4102) 587 days ago. Index.
DAX Index is at 2 years high (24276.4805).
52 weeks high is 24276.4805. Previous year low is 14687.4102, and 52 weeks low is 17339.0. It is 28.7% higher than previous year high (18869.3594) 385 days ago, and 65.3% higher than previous year low (14687.4102) 586 days ago. Index.
DAX Index is at 2 years high (24226.4902).
52 weeks high is 24226.4902. Previous year low is 14687.4102, and 52 weeks low is 17339.0. It is 28.4% higher than previous year high (18869.3594) 377 days ago, and 64.9% higher than previous year low (14687.4102) 578 days ago. Index.
DAX Index is at 2 years high (24122.4004).
52 weeks high is 24122.4004. Previous year low is 14687.4102, and 52 weeks low is 17339.0. It is 27.8% higher than previous year high (18869.3594) 371 days ago, and 64.2% higher than previous year low (14687.4102) 572 days ago. Index.
DAX Index is at 2 years high (24036.1094).
52 weeks high is 24036.1094. Previous year low is 14687.4102, and 52 weeks low is 17339.0. It is 27.4% higher than previous year high (18869.3594) 370 days ago, and 63.7% higher than previous year low (14687.4102) 571 days ago. Index.
DAX Index is at 2 years high (23934.9805).
52 weeks high is 23934.9805. Previous year low is 14687.4102, and 52 weeks low is 17339.0. It is 26.8% higher than previous year high (18869.3594) 369 days ago, and 63.0% higher than previous year low (14687.4102) 570 days ago. Index.
DAX Index is at 2 years high (23767.4297).
52 weeks high is 23767.4297. Previous year low is 14687.4102, and 52 weeks low is 17339.0. It is 26.0% higher than previous year high (18869.3594) 366 days ago, and 61.8% higher than previous year low (14687.4102) 567 days ago. Index.
DAX Index is at 2 years high (23695.5898).
52 weeks high is 23695.5898. Previous year low is 14687.4102, and 52 weeks low is 17339.0. It is 25.6% higher than previous year high (18869.3594) 365 days ago, and 61.3% higher than previous year low (14687.4102) 566 days ago. Index.
DAX Index is at 2 years high (23638.5605).
52 weeks high is 23638.5605. Previous year low is 14687.4102, and 52 weeks low is 17339.0. It is 25.9% higher than previous year high (18772.8496) 368 days ago, and 60.9% higher than previous year low (14687.4102) 564 days ago. Index.
DAX Index is at 2 years high (23566.5391).
52 weeks high is 23566.5391. Previous year low is 14687.4102, and 52 weeks low is 17339.0. It is 25.5% higher than previous year high (18772.8496) 367 days ago, and 60.5% higher than previous year low (14687.4102) 563 days ago. Index.
DAX Index is at 2 years high (23499.3203).
52 weeks high is 23499.3203. Previous year low is 14687.4102, and 52 weeks low is 17339.0. It is 25.2% higher than previous year high (18772.8496) 364 days ago, and 60.0% higher than previous year low (14687.4102) 560 days ago. Index.
DAX Index (20641.7207) drops after 2 years high (23419.4805).
It is 11.6% higher than previous year high (18492.4902) 372 days ago, and 40.5% higher than previous year low (14687.4102) 525 days ago. Index.
S&P 500 (5484.77) rebounds after 52 weeks low (4982.77).
It is 4.4% higher than previous year high (5254.3501) 392 days ago, and 35.2% higher than previous year low (4055.99) 729 days ago. Index.
S&P 500 (5396.52) drops after 2 years high (6144.1499).
It is 2.7% higher than previous year high (5254.3501) 371 days ago, and 33.1% higher than previous year low (4055.99) 708 days ago. Index.
Nasdaq 100 (19791.3457) drops after 2 years high (22175.5977).
It is 7.9% higher than previous year high (18339.4434) 410 days ago, and 45.5% higher than previous year low (13604.4824) 713 days ago. Index.
Nasdaq 100 (19214.4004) rebounds after 52 weeks low (17090.4023).
It is 4.8% higher than previous year high (18339.4434) 398 days ago, and 51.0% higher than previous year low (12725.1084) 730 days ago. Index.
Nasdaq 100 (18796.0215) rebounds after 52 weeks low (17037.6465).
It is 2.5% higher than previous year high (18339.4434) 388 days ago, and 47.7% higher than previous year low (12725.1084) 720 days ago. Index.
Nasdaq 100 (19145.0625) rebounds after 52 weeks low (17037.6465).
It is 4.4% higher than previous year high (18339.4434) 383 days ago, and 50.5% higher than previous year low (12725.1084) 715 days ago. Index.
Nasdaq 100 rises 12.0% (19145.0625) since previous day.
Volume rises 34.7%. It is 4.4% higher than previous year high (18339.4434) 383 days ago, and 50.5% higher than previous year low (12725.1084) 715 days ago. Index.
Nasdaq 100 (19916.9922) drops after 2 years high (22175.5977).
It is 8.6% higher than previous year high (18339.4434) 369 days ago, and 57.9% higher than previous year low (12610.5693) 729 days ago. Index.
ROTORK PLC ORD 0.5P (305.2) drops after 52 weeks high (342.2).
It is -10.8% lower than 52 week high (342.2) 152 days ago, and 32.9% higher than previous year low (229.6) 386 days ago. RB,Dividend stock.
Apple Inc (198.85) rebounds after 52 weeks low (165.0).
It is 0.4% higher than previous year high (198.11) 482 days ago, and 24.2% higher than previous year low (160.1) 728 days ago. Dividend stock.
Apple Inc rises 15.3% (198.85) since previous day.
Volume rises 52.4%. It is 0.4% higher than previous year high (198.11) 482 days ago, and 24.2% higher than previous year low (160.1) 728 days ago. Dividend stock.
Adobe Inc (374.98) rebounds after 52 weeks low (340.0).
It is 11.8% higher than previous year low (335.45) 719 days ago, and -36.1% lower than 52 week high (586.55) 230 days ago.
Adobe Inc is at 52 week low (340.0).
It is 1.4% higher than previous year low (335.45), and -42.0% lower than 52 weeks high (586.55) 208 days ago.
Adobe Inc is at 52 week low (340.7).
It is 1.6% higher than previous year low (335.45), and -41.9% lower than 52 weeks high (586.55) 207 days ago.
Adobe Inc is at 52 week low (349.07).
It is 4.1% higher than previous year low (335.45), and -40.5% lower than 52 weeks high (586.55) 204 days ago.
Adobe Inc is at 52 week low (367.25).
It is 9.5% higher than previous year low (335.45), and -37.4% lower than 52 weeks high (586.55) 203 days ago.
Advent Technologies Holdings Inc - Class A rises 31.6% (2.75) over last 20 days.
It rises on average 10.5% per week. It is -29.1% lower than previous year high (3.88) 376 days ago, and 2562.1% higher than previous year low (0.1033) 400 days ago.
Advent Technologies Holdings Inc - Class A drops -11.4% (2.56) since previous day.
Volume drops -33.2%. It is -33.9% lower than previous year high (3.87) 364 days ago, and 2378.2% higher than previous year low (0.1033) 387 days ago.
Advent Technologies Holdings Inc - Class A rises 22.5% (2.89) over last 4 days.
Volume rises 351.8%. It is -22.3% lower than previous year high (3.72) 364 days ago, and 2697.7% higher than previous year low (0.1033) 386 days ago.
Advent Technologies Holdings Inc - Class A rises 12.4% (2.35) since previous day.
Volume rises 89.8%. It is -32.1% lower than previous year high (3.46) 365 days ago, and 2174.9% higher than previous year low (0.1033) 381 days ago.
Advent Technologies Holdings Inc - Class A rises 38.6% (2.73) over last 20 days.
It rises on average 12.9% per week. It is -18.8% lower than previous year high (3.36) 365 days ago, and 2542.8% higher than previous year low (0.1033) 373 days ago.
Advent Technologies Holdings Inc - Class A drops -16.2% (2.8) since previous day.
Volume drops -48.2%. It is 161.7% higher than previous year high (1.07) 716 days ago, and 2610.6% higher than previous year low (0.1033) 368 days ago.
Advent Technologies Holdings Inc - Class A drops -14.1% (3.36) since previous day.
Volume drops -56.2%. It is 214.0% higher than previous year high (1.07) 714 days ago, and 3152.7% higher than previous year low (0.1033) 366 days ago.
Advent Technologies Holdings Inc - Class A rises 41.7% (3.91) over last 20 days.
It rises on average 13.9% per week. It is 265.4% higher than previous year high (1.07) 713 days ago, and 3685.1% higher than previous year low (0.1033) 365 days ago.
Advent Technologies Holdings Inc - Class A rises 38.7% (3.91) since previous day.
Volume rises 160.3%. It is 265.4% higher than previous year high (1.07) 713 days ago, and 3685.1% higher than previous year low (0.1033) 365 days ago.
Advent Technologies Holdings Inc - Class A rises 16.5% (2.82) over last 3 days.
Volume drops -20.9%. It is 163.6% higher than previous year high (1.07) 712 days ago, and 2629.9% higher than 52 week low (0.1033) 364 days ago.
Advent Technologies Holdings Inc - Class A rises 14.7% (2.42) since previous day.
Volume rises 627.7%. It is 126.2% higher than previous year high (1.07) 709 days ago, and 2242.7% higher than 52 week low (0.1033) 361 days ago.
Advent Technologies Holdings Inc - Class A drops -38.0% (2.09) over last 20 days.
It drops on average -12.7% per week. It is 95.3% higher than previous year high (1.07) 707 days ago, and 1923.2% higher than 52 week low (0.1033) 359 days ago.
Advent Technologies Holdings Inc - Class A drops -40.2% (1.93) over last 20 days.
It drops on average -13.4% per week. It is 80.4% higher than previous year high (1.07) 706 days ago, and 1768.3% higher than 52 week low (0.1033) 358 days ago.
Advent Technologies Holdings Inc - Class A drops -40.6% (1.92) over last 20 days.
It drops on average -13.5% per week. It is 79.4% higher than previous year high (1.07) 705 days ago, and 1758.7% higher than 52 week low (0.1033) 357 days ago.
Advent Technologies Holdings Inc - Class A drops -38.0% (1.9) over last 20 days.
It drops on average -12.7% per week. It is 77.6% higher than previous year high (1.07) 702 days ago, and 1739.3% higher than 52 week low (0.1033) 354 days ago.
Advent Technologies Holdings Inc - Class A drops -33.9% (1.97) over last 20 days.
It drops on average -11.3% per week. It is 84.1% higher than previous year high (1.07) 701 days ago, and 1807.1% higher than 52 week low (0.1033) 353 days ago.
Advent Technologies Holdings Inc - Class A drops -31.6% (2.12) over last 20 days.
It drops on average -10.5% per week. It is 98.1% higher than previous year high (1.07) 700 days ago, and 1952.3% higher than 52 week low (0.1033) 352 days ago.
Advent Technologies Holdings Inc - Class A drops -34.8% (2.2894) over last 20 days.
It drops on average -11.6% per week. It is 114.0% higher than previous year high (1.07) 699 days ago, and 2116.3% higher than 52 week low (0.1033) 351 days ago.
Advent Technologies Holdings Inc - Class A drops -13.8% (2.2894) since previous day.
Volume rises 327.8%. It is 114.0% higher than previous year high (1.07) 699 days ago, and 2116.3% higher than 52 week low (0.1033) 351 days ago.
Advent Technologies Holdings Inc - Class A drops -45.3% (2.585) over last 20 days.
It drops on average -15.1% per week. It is 141.6% higher than previous year high (1.07) 694 days ago, and 2402.4% higher than 52 week low (0.1033) 346 days ago.
Advent Technologies Holdings Inc - Class A drops -42.6% (2.76) over last 20 days.
It drops on average -14.2% per week. It is 157.9% higher than previous year high (1.07) 693 days ago, and 2571.8% higher than 52 week low (0.1033) 345 days ago.
Advent Technologies Holdings Inc - Class A drops -44.2% (2.77) over last 20 days.
It drops on average -14.7% per week. It is 158.9% higher than previous year high (1.07) 692 days ago, and 2581.5% higher than 52 week low (0.1033) 344 days ago.
Advent Technologies Holdings Inc - Class A drops -43.1% (2.85) over last 20 days.
It drops on average -14.4% per week. It is 166.4% higher than previous year high (1.07) 691 days ago, and 2659.0% higher than 52 week low (0.1033) 343 days ago.
Advent Technologies Holdings Inc - Class A drops -45.4% (2.84) over last 20 days.
It drops on average -15.1% per week. It is 165.4% higher than previous year high (1.07) 688 days ago, and 2649.3% higher than 52 week low (0.1033) 340 days ago.
Advent Technologies Holdings Inc - Class A drops -15.7% (2.84) since previous day.
Volume rises 428.0%. It is 165.4% higher than previous year high (1.07) 688 days ago, and 2649.3% higher than 52 week low (0.1033) 340 days ago.
Advent Technologies Holdings Inc - Class A drops -36.3% (3.37) over last 20 days.
It drops on average -12.1% per week. It is 215.0% higher than previous year high (1.07) 687 days ago, and 3162.3% higher than 52 week low (0.1033) 339 days ago.
Advent Technologies Holdings Inc - Class A drops -39.5% (3.23) over last 20 days.
It drops on average -13.2% per week. It is 199.1% higher than previous year high (1.08) 730 days ago, and 3026.8% higher than 52 week low (0.1033) 338 days ago.
Advent Technologies Holdings Inc - Class A drops -40.2% (3.23) over last 20 days.
It drops on average -13.4% per week. It is 199.1% higher than previous year high (1.08) 729 days ago, and 3026.8% higher than 52 week low (0.1033) 337 days ago.
Advent Technologies Holdings Inc - Class A drops -42.7% (3.065) over last 20 days.
It drops on average -14.2% per week. It is 183.8% higher than previous year high (1.08) 728 days ago, and 2867.1% higher than 52 week low (0.1033) 336 days ago.
Advent Technologies Holdings Inc - Class A drops -38.9% (2.98) over last 20 days.
It drops on average -13.0% per week. It is 175.9% higher than previous year high (1.08) 725 days ago, and 2784.8% higher than 52 week low (0.1033) 333 days ago.
Advent Technologies Holdings Inc - Class A drops -11.7% (3.1) since previous day.
Volume rises 5.1%. It is 187.0% higher than previous year high (1.08) 724 days ago, and 2901.0% higher than 52 week low (0.1033) 332 days ago.
Advent Technologies Holdings Inc - Class A drops -18.6% (3.45) since previous day.
Volume rises 195.4%. It is 216.5% higher than previous year high (1.09) 729 days ago, and 3239.8% higher than 52 week low (0.1033) 330 days ago.
Advent Technologies Holdings Inc - Class A drops -10.3% (4.2395) over last 3 days.
Volume rises 673.9%. It is 288.9% higher than previous year high (1.09) 728 days ago, and 4004.1% higher than 52 week low (0.1033) 329 days ago.
Advent Technologies Holdings Inc - Class A rises 14.3% (4.88) over last 3 days.
Volume rises 475.6%. It is 275.4% higher than previous year high (1.3) 727 days ago, and 4624.1% higher than 52 week low (0.1033) 315 days ago.
Applied Materials Inc (143.58) rebounds after 52 weeks low (126.95).
It is 30.2% higher than previous year low (110.31) 728 days ago, and -32.6% lower than previous year high (212.98) 377 days ago.
Applied Materials Inc (144.94) rebounds after 52 weeks low (126.95).
It is 31.4% higher than previous year low (110.31) 716 days ago, and -31.9% lower than previous year high (212.98) 365 days ago.
Applied Materials Inc (149.73) rebounds after 52 weeks low (126.95).
It is -29.6% lower than previous year high (212.61) 398 days ago, and 35.7% higher than previous year low (110.31) 714 days ago.
Applied Materials Inc rises 16.1% (149.73) since previous day.
Volume rises 25.8%. It is -29.6% lower than previous year high (212.61) 398 days ago, and 35.7% higher than previous year low (110.31) 714 days ago.
Applied Materials Inc is at 52 week low (126.95).
It is 15.1% higher than previous year low (110.31), and -50.2% lower than 52 weeks high (254.97) 268 days ago.
Applied Materials Inc is at 52 week low (135.51).
It is 22.8% higher than previous year low (110.31), and -46.9% lower than 52 weeks high (254.97) 267 days ago.
Applied Materials Inc is at 52 week low (145.06).
It is 31.5% higher than previous year low (110.31), and -43.1% lower than 52 weeks high (254.97) 261 days ago.
AMGEN Inc (288.18) rebounds after 52 weeks low (258.59).
It is -11.2% lower than previous year high (324.56) 484 days ago, and 34.5% higher than previous year low (214.27) 729 days ago.
AMGEN Inc (288.56) rebounds after 52 weeks low (258.59).
It is -11.1% lower than previous year high (324.56) 453 days ago, and 34.7% higher than previous year low (214.27) 698 days ago.
AMGEN Inc (285.98) rebounds after 52 weeks low (258.59).
It is -11.9% lower than previous year high (324.56) 435 days ago, and 33.5% higher than previous year low (214.27) 680 days ago.
AMGEN Inc (291.09) rebounds after 52 weeks low (258.59).
It is -10.3% lower than previous year high (324.56) 433 days ago, and 35.9% higher than previous year low (214.27) 678 days ago.
AMGEN Inc (294.39) drops after 2 years high (337.38).
It is -9.3% lower than previous year high (324.56) 428 days ago, and 37.4% higher than previous year low (214.27) 673 days ago.
Amazon.com Inc (180.6) rebounds after 52 weeks low (161.02).
It is -4.5% lower than previous year high (189.05) 377 days ago, and 77.0% higher than previous year low (102.05) 723 days ago.
Amazon.com Inc (191.1) rebounds after 52 weeks low (161.02).
It is 2.8% higher than previous year high (185.95) 364 days ago, and 95.3% higher than previous year low (97.83) 728 days ago.
Amazon.com Inc rises 12.0% (191.1) since previous day.
Volume rises 33.2%. It is 2.8% higher than previous year high (185.95) 364 days ago, and 95.3% higher than previous year low (97.83) 728 days ago.
Ansys Inc (324.89) drops after 52 weeks high (361.45).
It is -10.1% lower than 52 week high (361.45) 152 days ago, and 20.9% higher than previous year low (268.79) 557 days ago.
Ansys Inc (316.36) rebounds after 52 weeks low (284.19).
It is -12.5% lower than 52 week high (361.45) 141 days ago, and 17.7% higher than previous year low (268.79) 546 days ago.
Ansys Inc is at 52 week low (284.19).
It is 5.7% higher than previous year low (268.79), and -21.4% lower than 52 weeks high (361.45) 124 days ago.
Ansys Inc is at 52 week low (286.85).
It is 6.7% higher than previous year low (268.79), and -20.6% lower than 52 weeks high (361.45) 121 days ago.
Ansys Inc (323.34) drops after 52 weeks high (361.45).
It is -10.5% lower than 52 week high (361.45) 112 days ago, and 20.3% higher than previous year low (268.79) 517 days ago.
Ansys Inc (326.67) rebounds after 52 weeks low (296.54).
It is -9.6% lower than 52 week high (361.45) 111 days ago, and 21.5% higher than previous year low (268.79) 516 days ago.
Broadcom Inc rises 18.7% (185.15) since previous day.
Volume rises 17.6%. It is 35.9% higher than 52 week low (136.27) 245 days ago, and -86.8% lower than previous year high (1407.01) 398 days ago.
Broadcom Inc (154.14) rebounds after 2 years low (136.27).
It is 13.1% higher than 52 week low (136.27) 243 days ago, and -89.0% lower than previous year high (1407.01) 396 days ago.
Broadcom Inc drops -10.5% (154.01) since previous day.
Volume rises 138.2%. It is 13.0% higher than 52 week low (136.27) 239 days ago, and -89.1% lower than previous year high (1407.01) 392 days ago.
Atlanta Braves Holdings Inc - Class C (39.96) rebounds after 52 weeks low (36.1).
It is -6.1% lower than previous year high (42.54) 650 days ago, and 16.9% higher than previous year low (34.19) 554 days ago.
Atlanta Braves Holdings Inc - Class C (39.29) drops after 2 years high (43.97).
It is -7.6% lower than previous year high (42.54) 624 days ago, and 14.9% higher than previous year low (34.19) 528 days ago.
Atlanta Braves Holdings Inc - Class C (40.12) rebounds after 52 weeks low (36.1).
It is -5.7% lower than previous year high (42.54) 616 days ago, and 22.5% higher than previous year low (32.74) 729 days ago.
Atlanta Braves Holdings Inc - Class C (39.38) drops after 2 years high (43.97).
It is -7.4% lower than previous year high (42.54) 611 days ago, and 22.0% higher than previous year low (32.27) 729 days ago.
Atlanta Braves Holdings Inc - Class C (39.95) rebounds after 52 weeks low (36.1).
It is -6.1% lower than previous year high (42.54) 609 days ago, and 23.8% higher than previous year low (32.27) 727 days ago.
Biogen Inc (125.59) rebounds after 2 years low (113.38).
It is 10.8% higher than 52 week low (113.38) 36 days ago, and -47.0% lower than 52 week high (236.8) 309 days ago.
Biogen Inc is at 2 years low (113.38).
52 weeks low is 113.38. Previous year high is 318.06, and 52 weeks high is 236.8.
Biogen Inc is at 2 years low (114.05).
52 weeks low is 114.05. Previous year high is 318.06, and 52 weeks high is 236.8.
Biogen Inc is at 2 years low (119.19).
52 weeks low is 119.19. Previous year high is 318.06, and 52 weeks high is 236.8.
Biogen Inc is at 2 years low (122.98).
52 weeks low is 122.98. Previous year high is 318.06, and 52 weeks high is 236.8.
Biogen Inc is at 2 years low (130.71).
52 weeks low is 130.71. Previous year high is 318.06, and 52 weeks high is 236.8.
Biogen Inc is at 2 years low (131.32).
52 weeks low is 131.32. Previous year high is 318.06, and 52 weeks high is 236.8.
Biogen Inc is at 2 years low (132.03).
52 weeks low is 132.03. Previous year high is 318.06, and 52 weeks high is 236.8.
Booking Holdings Inc is at 2 years high (5614.61).
52 weeks high is 5614.61. Previous year low is 2605.34, and 52 weeks low is 5.0. It is 43.9% higher than previous year high (3901.99) 470 days ago, and 112192.2% higher than 52 week low (5.0) 32 days ago.
Booking Holdings Inc is at 2 years high (5570.52).
52 weeks high is 5570.52. Previous year low is 2605.34, and 52 weeks low is 5.0. It is 42.8% higher than previous year high (3901.99) 469 days ago, and 111310.4% higher than 52 week low (5.0) 31 days ago.
Booking Holdings Inc is at 2 years high (5557.0).
52 weeks high is 5557.0. Previous year low is 2605.34, and 52 weeks low is 5.0. It is 42.4% higher than previous year high (3901.99) 468 days ago, and 111040.0% higher than 52 week low (5.0) 30 days ago.
Booking Holdings Inc is at 2 years high (5538.91).
52 weeks high is 5538.91. Previous year low is 2605.34, and 52 weeks low is 5.0. It is 42.0% higher than previous year high (3901.99) 466 days ago, and 110678.2% higher than 52 week low (5.0) 28 days ago.
Booking Holdings Inc is at 2 years high (5518.93).
52 weeks high is 5518.93. Previous year low is 2508.77, and 52 weeks low is 5.0. It is 41.4% higher than previous year high (3901.99) 463 days ago, and 110278.6% higher than 52 week low (5.0) 25 days ago.
Booking Holdings Inc is at 2 years high (5502.0).
52 weeks high is 5502.0. Previous year low is 2508.77, and 52 weeks low is 5.0. It is 41.0% higher than previous year high (3901.99) 462 days ago, and 109940.0% higher than 52 week low (5.0) 24 days ago.
Booking Holdings Inc is at 2 years high (5475.26).
52 weeks high is 5475.26. Previous year low is 2508.77, and 52 weeks low is 5.0. It is 40.3% higher than previous year high (3901.99) 461 days ago, and 109405.2% higher than 52 week low (5.0) 23 days ago.
Booking Holdings Inc is at 2 years high (5451.74).
52 weeks high is 5451.74. Previous year low is 2508.77, and 52 weeks low is 5.0. It is 39.7% higher than previous year high (3901.99) 460 days ago, and 108934.8% higher than 52 week low (5.0) 22 days ago.
Booking Holdings Inc rises 106556.0% (5332.8) over last 20 days.
It rises on average 35518.7% per week. It is 36.7% higher than previous year high (3901.99) 456 days ago, and 106556.0% higher than 52 week low (5.0) 18 days ago.
Booking Holdings Inc is at 2 years high (5378.0).
52 weeks high is 5378.0. Previous year low is 2508.77, and 52 weeks low is 5.0. It is 37.8% higher than previous year high (3901.99) 452 days ago, and 107460.0% higher than 52 week low (5.0) 14 days ago.
Booking Holdings Inc is at 2 years high (5317.07).
52 weeks high is 5317.07. Previous year low is 2508.77, and 52 weeks low is 5.0. It is 36.3% higher than previous year high (3901.99) 449 days ago, and 106241.4% higher than 52 week low (5.0) 11 days ago.
Booking Holdings Inc rises 130313.8% (5216.55) over last 20 days.
It rises on average 43437.9% per week. It is 33.7% higher than previous year high (3901.99) 447 days ago, and 130313.8% higher than 52 week low (4.0) 15 days ago.
Booking Holdings Inc rises 131460.5% (5262.42) over last 20 days.
It rises on average 43820.2% per week. It is 34.9% higher than previous year high (3901.99) 446 days ago, and 131460.5% higher than 52 week low (4.0) 14 days ago.
Booking Holdings Inc rises 129774.8% (5194.99) over last 20 days.
It rises on average 43258.2% per week. It is 33.1% higher than previous year high (3901.99) 445 days ago, and 129774.8% higher than 52 week low (4.0) 13 days ago.
Booking Holdings Inc rises 126713.5% (5072.54) over last 20 days.
It rises on average 42237.8% per week. It is 30.0% higher than previous year high (3901.99) 442 days ago, and 126713.5% higher than 52 week low (4.0) 10 days ago.
Booking Holdings Inc rises 129031.8% (5165.27) over last 20 days.
It rises on average 43010.6% per week. It is 32.4% higher than previous year high (3901.99) 441 days ago, and 129031.8% higher than 52 week low (4.0) 9 days ago.
Booking Holdings Inc rises 128959.2% (5162.37) over last 20 days.
It rises on average 42986.4% per week. It is 32.3% higher than previous year high (3901.99) 439 days ago, and 128959.2% higher than 52 week low (4.0) 7 days ago.
Booking Holdings Inc rises 103147.4% (5162.37) since previous day.
Volume rises 6.4%. It is 32.3% higher than previous year high (3901.99) 439 days ago, and 128959.2% higher than 52 week low (4.0) 7 days ago.
Booking Holdings Inc (5.0) drops after 2 years high (5300.34).
It is 25.0% higher than 52 week low (4.0) 6 days ago, and -99.9% lower than previous year high (3901.99) 438 days ago.
Booking Holdings Inc drops -99.9% (5.0) over last 3 days.
Volume drops -36.6%. It is 25.0% higher than 52 week low (4.0) 6 days ago, and -99.9% lower than previous year high (3901.99) 438 days ago.
Booking Holdings Inc rises 129970.0% (5202.8) over last 20 days.
It rises on average 43323.3% per week. It is 33.3% higher than previous year high (3901.99) 435 days ago, and 129970.0% higher than 52 week low (4.0) 3 days ago.
Booking Holdings Inc rises 127382.0% (5099.28) over last 20 days.
It rises on average 42460.7% per week. It is 30.7% higher than previous year high (3901.99) 433 days ago, and 127382.0% higher than 52 week low (4.0) 1 days ago.
Booking Holdings Inc rises 122630.7% (4909.23) over last 20 days.
It rises on average 40876.9% per week. It is 25.8% higher than previous year high (3901.99) 432 days ago, and 122630.7% higher than 52 week low (4.0) 1 days ago.
Booking Holdings Inc (4909.23) rebounds after 2 years low (4.0).
It is 25.8% higher than previous year high (3901.99) 432 days ago, and 122630.7% higher than 52 week low (4.0) 1 days ago.
Booking Holdings Inc rises 122630.7% (4909.23) since previous day.
Volume rises 59.8%. It is 25.8% higher than previous year high (3901.99) 432 days ago, and 122630.7% higher than 52 week low (4.0) 1 days ago.
Booking Holdings Inc is at 2 years low (4.0).
52 weeks low is 4.0. Previous year high is 3901.99, and 52 weeks high is 5300.34.
Booking Holdings Inc is at 2 years low (4.0).
52 weeks low is 4.0. Previous year high is 3901.99, and 52 weeks high is 5300.34.
Booking Holdings Inc is at 2 years low (4.0).
52 weeks low is 4.0. Previous year high is 3901.99, and 52 weeks high is 5300.34.
Booking Holdings Inc drops -99.9% (4.0) over last 20 days.
It drops on average -33.3% per week.
Booking Holdings Inc is at 2 years low (4.0).
52 weeks low is 4.0. Previous year high is 3901.99, and 52 weeks high is 5300.34.
Booking Holdings Inc is at 2 years low (4.0).
52 weeks low is 4.0. Previous year high is 3901.99, and 52 weeks high is 5300.34.
Booking Holdings Inc is at 2 years low (4.0).
52 weeks low is 4.0. Previous year high is 3901.99, and 52 weeks high is 5300.34.
Booking Holdings Inc drops -99.9% (4.0) over last 4 days.
Volume rises 8.3%.
Booking Holdings Inc (4612.44) rebounds after 2 years low (4.0).
It is 18.2% higher than previous year high (3901.99) 418 days ago, and 115211.0% higher than 52 week low (4.0) 1 days ago.
Booking Holdings Inc rises 115211.0% (4612.44) since previous day.
Volume drops -24.7%. It is 18.2% higher than previous year high (3901.99) 418 days ago, and 115211.0% higher than 52 week low (4.0) 1 days ago.
Booking Holdings Inc is at 2 years low (4.0).
52 weeks low is 4.0. Previous year high is 3901.99, and 52 weeks high is 5300.34.
Booking Holdings Inc drops -99.9% (4.0) over last 20 days.
It drops on average -33.3% per week.
Booking Holdings Inc is at 2 years low (4.0).
52 weeks low is 4.0. Previous year high is 3901.99, and 52 weeks high is 5300.34.
Booking Holdings Inc drops -99.9% (4.0) over last 20 days.
It drops on average -33.3% per week.
Booking Holdings Inc is at 2 years low (4.0).
52 weeks low is 4.0. Previous year high is 3901.99, and 52 weeks high is 5300.34.
Booking Holdings Inc drops -99.9% (4.0) over last 20 days.
It drops on average -33.3% per week.
Booking Holdings Inc drops -99.9% (4.0) since previous day.
Volume drops -31.6%.
Booking Holdings Inc rises 10.9% (4616.32) since previous day.
Volume rises 71.7%. It is 18.3% higher than previous year high (3901.99) 412 days ago, and 115308.0% higher than 52 week low (4.0) 1 days ago.
Booking Holdings Inc (4244.68) rebounds after 2 years low (4.0).
It is 8.8% higher than previous year high (3901.99) 410 days ago, and 106017.0% higher than 52 week low (4.0) 4 days ago.
Booking Holdings Inc rises 106017.0% (4244.68) over last 3 days.
Volume rises 12.5%. It is 8.8% higher than previous year high (3901.99) 410 days ago, and 106017.0% higher than 52 week low (4.0) 4 days ago.
Booking Holdings Inc is at 2 years low (4.0).
52 weeks low is 4.0. Previous year high is 3901.99, and 52 weeks high is 5300.34.
Booking Holdings Inc drops -99.9% (4.0) over last 20 days.
It drops on average -33.3% per week.
Booking Holdings Inc drops -99.9% (4.0) since previous day.
Volume rises 25.8%.
Booking Holdings Inc (4764.16) drops after 2 years high (5300.34).
It is 22.1% higher than previous year high (3901.99) 398 days ago, and 89.9% higher than previous year low (2508.3101) 730 days ago.
Ballard Power Systems Inc (1.16) rebounds after 2 years low (1.02).
It is 13.7% higher than 52 week low (1.02) 15 days ago, and -63.8% lower than 52 week high (3.2) 344 days ago.
Ballard Power Systems Inc (1.15) rebounds after 2 years low (1.02).
It is 12.7% higher than 52 week low (1.02) 1 days ago, and -64.1% lower than 52 week high (3.2) 330 days ago.
Ballard Power Systems Inc rises 12.7% (1.15) since previous day.
Volume rises 6.3%. It is 12.7% higher than 52 week low (1.02) 1 days ago, and -64.1% lower than 52 week high (3.2) 330 days ago.
Ballard Power Systems Inc is at 2 years low (1.02).
52 weeks low is 1.02. Previous year high is 5.34, and 52 weeks high is 3.26.
Ballard Power Systems Inc is at 2 years low (1.08).
52 weeks low is 1.08. Previous year high is 5.34, and 52 weeks high is 3.26.
Ballard Power Systems Inc is at 2 years low (1.09).
52 weeks low is 1.09. Previous year high is 5.34, and 52 weeks high is 3.26.
Ballard Power Systems Inc is at 2 years low (1.1).
52 weeks low is 1.1. Previous year high is 5.5, and 52 weeks high is 3.27.
Beyond Meat Inc rises 31.6% (3.25) over last 20 days.
It rises on average 10.5% per week. It is 42.5% higher than 52 week low (2.28) 26 days ago, and -58.3% lower than 52 week high (7.8) 363 days ago.
Beyond Meat Inc rises 30.7% (2.98) over last 20 days.
It rises on average 10.2% per week. It is 30.7% higher than 52 week low (2.28) 20 days ago, and -61.8% lower than 52 week high (7.8) 357 days ago.
Beyond Meat Inc (2.77) rebounds after 2 years low (2.28).
It is 21.5% higher than 52 week low (2.28) 7 days ago, and -64.5% lower than 52 week high (7.8) 344 days ago.
Beyond Meat Inc rises 12.1% (2.77) since previous day.
Volume rises 201.2%. It is 21.5% higher than 52 week low (2.28) 7 days ago, and -64.5% lower than 52 week high (7.8) 344 days ago.
Beyond Meat Inc (2.51) rebounds after 2 years low (2.28).
It is 10.1% higher than 52 week low (2.28) 4 days ago, and -68.7% lower than 52 week high (8.01) 364 days ago.
Beyond Meat Inc is at 2 years low (2.28).
52 weeks low is 2.28. Previous year high is 17.67, and 52 weeks high is 8.01.
Beyond Meat Inc is at 2 years low (2.34).
52 weeks low is 2.34. Previous year high is 17.67, and 52 weeks high is 8.01.
Beyond Meat Inc is at 2 years low (2.46).
52 weeks low is 2.46. Previous year high is 17.67, and 52 weeks high is 8.28.
Beyond Meat Inc is at 2 years low (2.54).
52 weeks low is 2.54. Previous year high is 17.67, and 52 weeks high is 8.28.
Beyond Meat Inc is at 2 years low (2.55).
52 weeks low is 2.55. Previous year high is 17.67, and 52 weeks high is 8.28.
Beyond Meat Inc is at 2 years low (2.55).
52 weeks low is 2.55. Previous year high is 17.67, and 52 weeks high is 8.28.
Beyond Meat Inc is at 2 years low (2.67).
52 weeks low is 2.67. Previous year high is 17.67, and 52 weeks high is 8.28.
Beyond Meat Inc is at 2 years low (2.87).
52 weeks low is 2.87. Previous year high is 17.67, and 52 weeks high is 8.28.
Beyond Meat Inc is at 2 years low (2.87).
52 weeks low is 2.87. Previous year high is 17.67, and 52 weeks high is 8.28.
Beyond Meat Inc is at 2 years low (3.05).
52 weeks low is 3.05. Previous year high is 17.67, and 52 weeks high is 8.28.
Comcast Corp - Class A is at 2 years low (32.84).
52 weeks low is 32.84. Previous year high is 47.12, and 52 weeks high is 45.14.
Comcast Corp - Class A (36.75) rebounds after 2 years low (33.19).
It is 10.7% higher than 52 week low (33.19) 46 days ago, and -18.6% lower than 52 week high (45.14) 135 days ago.
Etsy Inc (55.99) drops after 52 weeks high (65.47).
It is -14.5% lower than 52 week high (65.47) 332 days ago, and 37.2% higher than 52 week low (40.8) 66 days ago.
Etsy Inc rises 33.0% (61.83) over last 20 days.
It rises on average 11.0% per week. It is -5.6% lower than 52 week high (65.47) 329 days ago, and 51.5% higher than 52 week low (40.8) 63 days ago.
Etsy Inc rises 35.5% (63.88) over last 20 days.
It rises on average 11.8% per week. It is -3.3% lower than 52 week high (66.07) 364 days ago, and 56.6% higher than 52 week low (40.8) 62 days ago.
Etsy Inc rises 35.7% (63.81) over last 20 days.
It rises on average 11.9% per week. It is -3.4% lower than 52 week high (66.07) 361 days ago, and 56.4% higher than 52 week low (40.8) 59 days ago.
Etsy Inc rises 33.4% (62.72) over last 20 days.
It rises on average 11.1% per week. It is -5.3% lower than 52 week high (66.22) 364 days ago, and 53.7% higher than 52 week low (40.8) 58 days ago.
Etsy Inc rises 31.0% (61.55) over last 20 days.
It rises on average 10.3% per week. It is -7.1% lower than 52 week high (66.22) 363 days ago, and 50.9% higher than 52 week low (40.8) 57 days ago.
Etsy Inc (45.08) rebounds after 2 years low (40.8).
It is 10.5% higher than 52 week low (40.8) 27 days ago, and -31.9% lower than 52 week high (66.22) 333 days ago.
Etsy Inc (45.93) rebounds after 2 years low (40.8).
It is 12.6% higher than 52 week low (40.8) 14 days ago, and -34.1% lower than 52 week high (69.74) 356 days ago.
Etsy Inc is at 2 years low (40.8).
52 weeks low is 40.8. Previous year high is 103.64, and 52 weeks high is 69.74.
Etsy Inc is at 2 years low (43.64).
52 weeks low is 43.64. Previous year high is 103.64, and 52 weeks high is 69.74.
Etsy Inc (50.42) rebounds after 2 years low (44.4).
It is 13.6% higher than 52 week low (44.4) 20 days ago, and -27.7% lower than 52 week high (69.74) 336 days ago.
Exponent Inc is at 52 week low (74.86).
It is 5.8% higher than previous year low (70.74), and -35.1% lower than 52 weeks high (115.28) 219 days ago.
Exponent Inc is at 52 week low (75.19).
It is 6.3% higher than previous year low (70.74), and -34.8% lower than 52 weeks high (115.28) 218 days ago.
Exponent Inc is at 52 week low (75.38).
It is 6.6% higher than previous year low (70.74), and -34.6% lower than 52 weeks high (115.28) 217 days ago.
Exponent Inc is at 52 week low (75.72).
It is 7.0% higher than previous year low (70.74), and -34.3% lower than 52 weeks high (115.28) 190 days ago.
Exponent Inc is at 52 week low (76.88).
It is 8.7% higher than previous year low (70.74), and -33.3% lower than 52 weeks high (115.28) 189 days ago.
Exponent Inc is at 52 week low (77.06).
It is 8.9% higher than previous year low (70.74), and -33.2% lower than 52 weeks high (115.28) 186 days ago.
Diamondback Energy Inc (136.18) rebounds after 2 years low (119.25).
It is 14.2% higher than 52 week low (119.25) 30 days ago, and -34.6% lower than previous year high (208.26) 392 days ago. Dividend stock.
Diamondback Energy Inc (137.64) rebounds after 2 years low (119.25).
It is 15.4% higher than 52 week low (119.25) 9 days ago, and -33.9% lower than previous year high (208.26) 371 days ago. Dividend stock.
Diamondback Energy Inc (134.93) rebounds after 2 years low (119.25).
It is 13.1% higher than 52 week low (119.25) 1 days ago, and -34.7% lower than previous year high (206.57) 366 days ago. Dividend stock.
Diamondback Energy Inc rises 13.1% (134.93) since previous day.
Volume rises 56.8%. It is 13.1% higher than 52 week low (119.25) 1 days ago, and -34.7% lower than previous year high (206.57) 366 days ago. Dividend stock.
Diamondback Energy Inc is at 2 years low (119.25).
52 weeks low is 119.25. Previous year high is 206.57, and 52 weeks high is 210.94. Dividend stock.
Diamondback Energy Inc is at 2 years low (123.37).
52 weeks low is 123.37. Previous year high is 204.32, and 52 weeks high is 210.94. Dividend stock.
Diamondback Energy Inc drops -12.7% (123.37) since previous day.
Volume rises 0.4%. Dividend stock.
Diamondback Energy Inc drops -12.5% (141.28) since previous day.
Volume rises 287.3%. It is 13.2% higher than previous year low (124.86) 688 days ago, and -30.5% lower than previous year high (203.22) 365 days ago. Dividend stock.
Diamondback Energy Inc (155.0) rebounds after 52 weeks low (139.9).
It is -19.5% lower than previous year high (192.62) 364 days ago, and 24.1% higher than previous year low (124.86) 672 days ago. Dividend stock.
GE HealthCare Technologies Inc (64.89) rebounds after 2 years low (58.75).
It is 10.5% higher than 52 week low (58.75) 15 days ago, and -30.9% lower than 52 week high (93.85) 205 days ago.
GE HealthCare Technologies Inc (64.98) rebounds after 2 years low (58.75).
It is 10.6% higher than 52 week low (58.75) 1 days ago, and -30.8% lower than 52 week high (93.85) 191 days ago.
GE HealthCare Technologies Inc rises 10.6% (64.98) since previous day.
Volume rises 14.4%. It is 10.6% higher than 52 week low (58.75) 1 days ago, and -30.8% lower than 52 week high (93.85) 191 days ago.
GE HealthCare Technologies Inc is at 2 years low (58.75).
52 weeks low is 58.75. Previous year high is 93.87, and 52 weeks high is 93.85.
GE HealthCare Technologies Inc is at 2 years low (60.51).
52 weeks low is 60.51. Previous year high is 93.87, and 52 weeks high is 93.85.
GE HealthCare Technologies Inc drops -16.0% (60.51) since previous day.
Volume rises 81.0%.
GE HealthCare Technologies Inc is at 52 week low (72.0).
It is 14.1% higher than previous year low (63.1), and -23.3% lower than 52 weeks high (93.85) 185 days ago.
GE HealthCare Technologies Inc (82.46) rebounds after 52 weeks low (74.74).
It is -12.1% lower than 52 week high (93.85) 176 days ago, and 30.7% higher than previous year low (63.1) 515 days ago.
GE HealthCare Technologies Inc (82.4) rebounds after 52 weeks low (74.74).
It is -12.2% lower than 52 week high (93.85) 170 days ago, and 30.6% higher than previous year low (63.1) 509 days ago.
GE HealthCare Technologies Inc (82.47) rebounds after 52 weeks low (74.74).
It is -12.1% lower than 52 week high (93.85) 168 days ago, and 30.7% higher than previous year low (63.1) 507 days ago.
Galapagos NV (27.73) drops after 52 weeks high (31.05).
It is -10.7% lower than 52 week high (31.05) 228 days ago, and 22.2% higher than 52 week low (22.69) 122 days ago.
Galapagos NV (25.08) rebounds after 2 years low (22.69).
It is 10.5% higher than 52 week low (22.69) 77 days ago, and -19.2% lower than 52 week high (31.05) 183 days ago.
Alphabet Inc - Class A (159.53) rebounds after 52 weeks low (144.7).
It is -7.2% lower than previous year high (171.95) 382 days ago, and 37.0% higher than previous year low (116.45) 673 days ago.
Alphabet Inc - Class A (161.3) rebounds after 52 weeks low (144.7).
It is -6.2% lower than previous year high (171.95) 370 days ago, and 54.1% higher than previous year low (104.69) 728 days ago.
Alphabet Inc - Class A (159.28) rebounds after 52 weeks low (144.7).
It is -0.1% lower than previous year high (159.41) 378 days ago, and 53.6% higher than previous year low (103.71) 729 days ago.
Alphabet Inc - Class A is at 52 week low (144.7).
It is 39.5% higher than previous year low (103.71), and -29.9% lower than 52 weeks high (206.38) 63 days ago.
Alphabet Inc - Class A is at 52 week low (145.6).
It is 40.4% higher than previous year low (103.71), and -29.5% lower than 52 weeks high (206.38) 59 days ago.
Alphabet Inc - Class A (163.99) rebounds after 52 weeks low (148.66).
It is 6.8% higher than previous year high (153.51) 417 days ago, and 62.5% higher than previous year low (100.89) 722 days ago.
Alphabet Inc - Class A (163.89) rebounds after 52 weeks low (147.6).
It is 6.8% higher than previous year high (153.51) 415 days ago, and 62.4% higher than previous year low (100.89) 720 days ago.
Kraft Heinz Company is at 2 years low (26.08).
52 weeks low is 26.08. Previous year high is 38.65, and 52 weeks high is 36.13.
Kraft Heinz Company is at 2 years low (26.3).
52 weeks low is 26.3. Previous year high is 38.72, and 52 weeks high is 36.13.
Kraft Heinz Company is at 2 years low (26.5).
52 weeks low is 26.5. Previous year high is 38.72, and 52 weeks high is 36.13.
Kraft Heinz Company is at 2 years low (26.63).
52 weeks low is 26.63. Previous year high is 38.74, and 52 weeks high is 36.38.
Kraft Heinz Company is at 2 years low (27.17).
52 weeks low is 27.17. Previous year high is 40.17, and 52 weeks high is 36.38.
Kraft Heinz Company is at 2 years low (27.59).
52 weeks low is 27.59. Previous year high is 40.17, and 52 weeks high is 36.38.
Kraft Heinz Company is at 2 years low (27.69).
52 weeks low is 27.69. Previous year high is 41.32, and 52 weeks high is 38.65.
Liberty Latin America Ltd - Class C (5.06) rebounds after 2 years low (4.54).
It is 11.5% higher than 52 week low (4.54) 2 days ago, and -47.7% lower than previous year high (9.67) 644 days ago.
Liberty Latin America Ltd - Class C is at 2 years low (4.54).
52 weeks low is 4.54. Previous year high is 9.67, and 52 weeks high is 10.6.
Liberty Latin America Ltd - Class C is at 2 years low (4.56).
52 weeks low is 4.56. Previous year high is 9.67, and 52 weeks high is 10.6.
Liberty Latin America Ltd - Class C is at 2 years low (4.68).
52 weeks low is 4.68. Previous year high is 9.67, and 52 weeks high is 10.6.
Liberty Latin America Ltd - Class C drops -15.8% (4.68) since previous day.
Volume rises 1103.8%.
Liberty Latin America Ltd - Class C is at 2 years low (5.17).
52 weeks low is 5.17. Previous year high is 9.67, and 52 weeks high is 10.6.
Liberty Latin America Ltd - Class C is at 2 years low (5.22).
52 weeks low is 5.22. Previous year high is 9.67, and 52 weeks high is 10.6.
Liberty Latin America Ltd - Class C is at 2 years low (5.35).
52 weeks low is 5.35. Previous year high is 9.67, and 52 weeks high is 10.6.
Liberty Latin America Ltd - Class C is at 2 years low (5.56).
52 weeks low is 5.56. Previous year high is 9.67, and 52 weeks high is 10.6.
Liberty Latin America Ltd - Class C (6.71) rebounds after 2 years low (6.0).
It is 11.8% higher than 52 week low (6.0) 52 days ago, and -30.6% lower than previous year high (9.67) 596 days ago.
Liberty Media Corp (New Liberty Live) Series A rises 11.8% (68.77) since previous day.
Volume drops -18.7%. It is 62.0% higher than previous year high (42.45) 369 days ago, and 133.0% higher than previous year low (29.52) 534 days ago.
Lam Research Corp (66.73) rebounds after 2 years low (59.09).
It is 12.9% higher than 52 week low (59.09) 19 days ago, and -93.3% lower than previous year high (994.57) 412 days ago.
Lam Research Corp (71.11) rebounds after 2 years low (59.09).
It is 20.3% higher than 52 week low (59.09) 5 days ago, and -92.9% lower than previous year high (994.57) 398 days ago.
Lam Research Corp rises 18.0% (71.11) since previous day.
Volume rises 51.5%. It is 20.3% higher than 52 week low (59.09) 5 days ago, and -92.9% lower than previous year high (994.57) 398 days ago.
Lam Research Corp is at 2 years low (59.09).
52 weeks low is 59.09. Previous year high is 994.57, and 52 weeks high is 1127.3.
Lam Research Corp is at 2 years low (65.22).
52 weeks low is 65.22. Previous year high is 994.57, and 52 weeks high is 1127.3.
Lam Research Corp drops -11.6% (65.22) since previous day.
Volume rises 154.9%.
Lam Research Corp (77.99) rebounds after 2 years low (70.05).
It is 11.3% higher than 52 week low (70.05) 124 days ago, and -92.2% lower than previous year high (994.57) 382 days ago.
MercadoLibre Inc is at 2 years high (2606.01).
52 weeks high is 2606.01. Previous year low is 1087.15, and 52 weeks low is 1559.23. It is 43.3% higher than previous year high (1817.98) 455 days ago, and 139.7% higher than previous year low (1087.15) 682 days ago.
MercadoLibre Inc is at 2 years high (2601.97).
52 weeks high is 2601.97. Previous year low is 1087.15, and 52 weeks low is 1559.23. It is 43.1% higher than previous year high (1817.98) 454 days ago, and 139.3% higher than previous year low (1087.15) 681 days ago.
MercadoLibre Inc is at 2 years high (2586.49).
52 weeks high is 2586.49. Previous year low is 1087.15, and 52 weeks low is 1559.23. It is 42.3% higher than previous year high (1817.98) 448 days ago, and 137.9% higher than previous year low (1087.15) 675 days ago.
MercadoLibre Inc is at 2 years high (2564.0).
52 weeks high is 2564.0. Previous year low is 1087.15, and 52 weeks low is 1559.23. It is 41.0% higher than previous year high (1817.98) 447 days ago, and 135.8% higher than previous year low (1087.15) 674 days ago.
MercadoLibre Inc is at 2 years high (2515.12).
52 weeks high is 2515.12. Previous year low is 1087.15, and 52 weeks low is 1559.23. It is 38.3% higher than previous year high (1817.98) 446 days ago, and 131.3% higher than previous year low (1087.15) 673 days ago.
MercadoLibre Inc is at 2 years high (2504.61).
52 weeks high is 2504.61. Previous year low is 1087.15, and 52 weeks low is 1559.23. It is 37.8% higher than previous year high (1817.98) 445 days ago, and 130.4% higher than previous year low (1087.15) 672 days ago.
MercadoLibre Inc is at 2 years high (2450.0).
52 weeks high is 2450.0. Previous year low is 1087.15, and 52 weeks low is 1559.23. It is 34.8% higher than previous year high (1817.98) 442 days ago, and 125.4% higher than previous year low (1087.15) 669 days ago.
MercadoLibre Inc is at 2 years high (2410.0).
52 weeks high is 2410.0. Previous year low is 1087.15, and 52 weeks low is 1559.23. It is 32.6% higher than previous year high (1817.98) 441 days ago, and 121.7% higher than previous year low (1087.15) 668 days ago.
MercadoLibre Inc is at 2 years high (2330.85).
52 weeks high is 2330.85. Previous year low is 1087.15, and 52 weeks low is 1456.51. It is 28.2% higher than previous year high (1817.98) 433 days ago, and 114.4% higher than previous year low (1087.15) 660 days ago.
MercadoLibre Inc is at 2 years high (2280.86).
52 weeks high is 2280.86. Previous year low is 1087.15, and 52 weeks low is 1456.51. It is 25.5% higher than previous year high (1817.98) 432 days ago, and 109.8% higher than previous year low (1087.15) 659 days ago.
MercadoLibre Inc (1950.87) drops after 2 years high (2260.0).
It is 7.3% higher than previous year high (1817.98) 403 days ago, and 79.4% higher than previous year low (1087.15) 630 days ago.
MercadoLibre Inc (2002.8) drops after 2 years high (2260.0).
It is 10.2% higher than previous year high (1817.98) 390 days ago, and 84.2% higher than previous year low (1087.15) 617 days ago.
Mannkind Corp is at 52 week low (3.71).
It is 14.2% higher than previous year low (3.25), and -50.1% lower than 52 weeks high (7.44) 219 days ago.
Mannkind Corp is at 52 week low (3.83).
It is 17.8% higher than previous year low (3.25), and -48.5% lower than 52 weeks high (7.44) 218 days ago.
Mannkind Corp is at 52 week low (3.88).
It is 19.4% higher than previous year low (3.25), and -47.8% lower than 52 weeks high (7.44) 217 days ago.
Mannkind Corp is at 52 week low (3.92).
It is 20.6% higher than previous year low (3.25), and -47.3% lower than 52 weeks high (7.44) 216 days ago.
Mannkind Corp drops -10.3% (3.92) since previous day.
Volume rises 364.0%.
Mannkind Corp is at 52 week low (4.07).
It is 25.2% higher than previous year low (3.25), and -45.3% lower than 52 weeks high (7.44) 203 days ago.
Mannkind Corp is at 52 week low (4.12).
It is 26.8% higher than previous year low (3.25), and -44.6% lower than 52 weeks high (7.44) 198 days ago.
Mannkind Corp is at 52 week low (4.17).
It is 28.3% higher than previous year low (3.25), and -44.0% lower than 52 weeks high (7.44) 196 days ago.
Mannkind Corp is at 52 week low (4.355).
It is 34.0% higher than previous year low (3.25), and -41.5% lower than 52 weeks high (7.44) 195 days ago.
Mannkind Corp is at 52 week low (4.37).
It is 34.5% higher than previous year low (3.25), and -41.3% lower than 52 weeks high (7.44) 191 days ago.
Mannkind Corp (4.58) rebounds after 52 weeks low (4.11).
It is -16.0% lower than previous year high (5.45) 623 days ago, and 40.9% higher than previous year low (3.25) 442 days ago.
Microsoft Corporation is at 2 years high (478.87).
52 weeks high is 478.87. Previous year low is 312.14, and 52 weeks low is 354.56. It is 8.4% higher than previous year high (441.58) 364 days ago, and 53.4% higher than previous year low (312.14) 625 days ago. Dividend stock.
Microsoft Corporation is at 2 years high (472.75).
52 weeks high is 472.75. Previous year low is 312.14, and 52 weeks low is 354.56. It is 9.8% higher than previous year high (430.52) 383 days ago, and 51.5% higher than previous year low (312.14) 622 days ago. Dividend stock.
Microsoft Corporation is at 2 years high (470.38).
52 weeks high is 470.38. Previous year low is 312.14, and 52 weeks low is 354.56. It is 9.3% higher than previous year high (430.52) 380 days ago, and 50.7% higher than previous year low (312.14) 619 days ago. Dividend stock.
Microsoft Corporation is at 2 years high (467.68).
52 weeks high is 467.68. Previous year low is 312.14, and 52 weeks low is 354.56. It is 8.6% higher than previous year high (430.52) 379 days ago, and 49.8% higher than previous year low (312.14) 618 days ago. Dividend stock.
Microsoft Corporation (391.85) rebounds after 52 weeks low (354.56).
It is -8.7% lower than previous year high (429.37) 400 days ago, and 32.7% higher than previous year low (295.37) 730 days ago. Dividend stock.
Microsoft Corporation (390.49) rebounds after 52 weeks low (354.56).
It is -9.1% lower than previous year high (429.37) 384 days ago, and 41.8% higher than previous year low (275.42) 715 days ago. Dividend stock.
Microsoft Corporation rises 10.1% (390.49) since previous day.
Volume rises 40.2%. It is -9.1% lower than previous year high (429.37) 384 days ago, and 41.8% higher than previous year low (275.42) 715 days ago. Dividend stock.
Microsoft Corporation is at 52 week low (354.56).
It is 28.7% higher than previous year low (275.42), and -24.2% lower than 52 weeks high (467.56) 277 days ago. Dividend stock.
Microsoft Corporation is at 52 week low (357.86).
It is 29.9% higher than previous year low (275.42), and -23.5% lower than 52 weeks high (467.56) 276 days ago. Dividend stock.
Microsoft Corporation is at 52 week low (359.84).
It is 30.7% higher than previous year low (275.42), and -23.0% lower than 52 weeks high (467.56) 273 days ago. Dividend stock.
Microsoft Corporation is at 52 week low (373.11).
It is 35.5% higher than previous year low (275.42), and -20.2% lower than 52 weeks high (467.56) 272 days ago. Dividend stock.
Microsoft Corporation is at 52 week low (375.39).
It is 36.3% higher than previous year low (275.42), and -19.7% lower than 52 weeks high (467.56) 269 days ago. Dividend stock.
NVIDIA Corp (106.43) rebounds after 2 years low (94.31).
It is 12.9% higher than 52 week low (94.31) 20 days ago, and -88.8% lower than previous year high (950.0201) 395 days ago.
NVIDIA Corp (114.33) rebounds after 2 years low (94.31).
It is 21.2% higher than 52 week low (94.31) 5 days ago, and -88.0% lower than previous year high (950.0201) 380 days ago.
NVIDIA Corp rises 18.7% (114.33) since previous day.
Volume rises 28.7%. It is 21.2% higher than 52 week low (94.31) 5 days ago, and -88.0% lower than previous year high (950.0201) 380 days ago.
NVIDIA Corp is at 2 years low (94.31).
52 weeks low is 94.31. Previous year high is 950.0201, and 52 weeks high is 1224.4.
NVIDIA Corp (110.15) rebounds after 2 years low (98.91).
It is 11.4% higher than 52 week low (98.91) 237 days ago, and -88.4% lower than previous year high (950.0201) 372 days ago.
Paramount Global - Class A (22.65) drops after 52 weeks high (26.1).
It is -13.2% lower than 52 week high (26.1) 330 days ago, and 68.4% higher than previous year low (13.45) 518 days ago.
Paccar Inc (95.97) rebounds after 52 weeks low (86.4).
It is -19.0% lower than 52 week high (118.41) 162 days ago, and 39.5% higher than previous year low (68.78) 715 days ago.
Paccar Inc (95.74) rebounds after 52 weeks low (86.4).
It is -19.1% lower than 52 week high (118.41) 159 days ago, and 39.2% higher than previous year low (68.78) 712 days ago.
Paccar Inc is at 52 week low (86.4).
It is 25.6% higher than previous year low (68.78), and -27.5% lower than 52 weeks high (119.18) 364 days ago.
Paccar Inc is at 52 week low (88.14).
It is 28.1% higher than previous year low (68.78), and -28.1% lower than 52 weeks high (122.51) 364 days ago.
Paccar Inc is at 52 week low (90.88).
It is 32.7% higher than previous year low (68.48), and -25.8% lower than 52 weeks high (122.51) 361 days ago.
Paccar Inc (101.17) rebounds after 52 weeks low (91.64).
It is -15.9% lower than previous year high (120.34) 364 days ago, and 47.7% higher than previous year low (68.48) 712 days ago.
Plug Power Inc rises 62.7% (1.29) over last 20 days.
It rises on average 20.9% per week. It is -61.4% lower than 52 week high (3.34) 332 days ago, and 84.4% higher than 52 week low (0.6994) 29 days ago.
Plug Power Inc rises 66.7% (1.3) over last 20 days.
It rises on average 22.2% per week. It is -61.1% lower than 52 week high (3.34) 331 days ago, and 85.9% higher than 52 week low (0.6994) 28 days ago.
Plug Power Inc rises 72.5% (1.38) over last 20 days.
It rises on average 24.2% per week. It is -58.7% lower than 52 week high (3.34) 330 days ago, and 97.3% higher than 52 week low (0.6994) 27 days ago.
Plug Power Inc rises 67.0% (1.28) over last 20 days.
It rises on average 22.3% per week. It is -61.7% lower than 52 week high (3.34) 329 days ago, and 83.0% higher than 52 week low (0.6994) 26 days ago.
Plug Power Inc rises 47.9% (1.22) over last 20 days.
It rises on average 16.0% per week. It is -63.5% lower than 52 week high (3.34) 328 days ago, and 74.4% higher than 52 week low (0.6994) 25 days ago.
Plug Power Inc rises 25.9% (1.22) over last 3 days.
Volume drops -25.5%. It is -63.5% lower than 52 week high (3.34) 328 days ago, and 74.4% higher than 52 week low (0.6994) 25 days ago.
Plug Power Inc rises 11.2% (0.9692) since previous day.
Volume rises 141.6%. It is 38.6% higher than 52 week low (0.6994) 22 days ago, and -71.0% lower than 52 week high (3.34) 325 days ago.
Plug Power Inc rises 32.9% (0.9292) over last 20 days.
It rises on average 11.0% per week. It is 32.9% higher than 52 week low (0.6994) 20 days ago, and -72.2% lower than 52 week high (3.34) 323 days ago.
Plug Power Inc rises 10.5% (0.9108) since previous day.
Volume rises 39.2%. It is 30.2% higher than 52 week low (0.6994) 19 days ago, and -72.7% lower than 52 week high (3.34) 322 days ago.
Plug Power Inc rises 16.8% (0.9265) since previous day.
Volume rises 156.3%. It is 32.5% higher than 52 week low (0.6994) 13 days ago, and -73.1% lower than 52 week high (3.45) 359 days ago.
Plug Power Inc (0.7999) rebounds after 2 years low (0.6994).
It is 14.4% higher than 52 week low (0.6994) 7 days ago, and -76.8% lower than 52 week high (3.45) 353 days ago.
Plug Power Inc (0.7724) rebounds after 2 years low (0.6994).
It is 10.4% higher than 52 week low (0.6994) 1 days ago, and -77.6% lower than 52 week high (3.45) 347 days ago.
Plug Power Inc rises 10.4% (0.7724) since previous day.
Volume rises 1.9%. It is 10.4% higher than 52 week low (0.6994) 1 days ago, and -77.6% lower than 52 week high (3.45) 347 days ago.
Plug Power Inc is at 2 years low (0.6994).
52 weeks low is 0.6994. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc drops -10.9% (0.6994) since previous day.
Volume rises 50.2%.
Plug Power Inc drops -10.2% (0.8117) since previous day.
Volume rises 2.8%. It is 4.7% higher than 52 week low (0.7755) 6 days ago, and -76.5% lower than 52 week high (3.45) 344 days ago.
Plug Power Inc (0.8605) rebounds after 2 years low (0.7755).
It is 11.0% higher than 52 week low (0.7755) 2 days ago, and -75.1% lower than 52 week high (3.45) 340 days ago.
Plug Power Inc is at 2 years low (0.7755).
52 weeks low is 0.7755. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc is at 2 years low (0.7878).
52 weeks low is 0.7878. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc (1.02) rebounds after 2 years low (0.79).
It is 29.1% higher than 52 week low (0.79) 7 days ago, and -70.4% lower than 52 week high (3.45) 329 days ago.
Plug Power Inc rises 25.7% (1.02) over last 3 days.
Volume rises 253.7%. It is 29.1% higher than 52 week low (0.79) 7 days ago, and -70.4% lower than 52 week high (3.45) 329 days ago.
Plug Power Inc drops -35.1% (0.8116) over last 20 days.
It drops on average -11.7% per week. It is 2.7% higher than 52 week low (0.79) 4 days ago, and -76.5% lower than 52 week high (3.45) 326 days ago.
Plug Power Inc drops -30.4% (0.8486) over last 20 days.
It drops on average -10.1% per week. It is 7.4% higher than 52 week low (0.79) 3 days ago, and -75.4% lower than 52 week high (3.45) 325 days ago.
Plug Power Inc drops -30.5% (0.8407) over last 20 days.
It drops on average -10.2% per week. It is 6.4% higher than 52 week low (0.79) 2 days ago, and -75.6% lower than 52 week high (3.45) 324 days ago.
Plug Power Inc (0.8747) rebounds after 2 years low (0.79).
It is 10.7% higher than 52 week low (0.79) 1 days ago, and -74.6% lower than 52 week high (3.45) 323 days ago.
Plug Power Inc drops -33.7% (0.8747) over last 20 days.
It drops on average -11.2% per week. It is 10.7% higher than 52 week low (0.79) 1 days ago, and -74.6% lower than 52 week high (3.45) 323 days ago.
Plug Power Inc rises 10.9% (0.8747) since previous day.
Volume drops -15.9%. It is 10.7% higher than 52 week low (0.79) 1 days ago, and -74.6% lower than 52 week high (3.45) 323 days ago.
Plug Power Inc is at 2 years low (0.7886).
52 weeks low is 0.7886. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc drops -39.8% (0.7886) over last 20 days.
It drops on average -13.3% per week.
Plug Power Inc drops -12.4% (0.7886) over last 4 days.
Volume rises 4.9%.
Plug Power Inc is at 2 years low (0.9003).
52 weeks low is 0.9003. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc drops -32.8% (0.9003) over last 20 days.
It drops on average -10.9% per week.
Plug Power Inc is at 2 years low (0.9211).
52 weeks low is 0.9211. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc drops -36.0% (0.9211) over last 20 days.
It drops on average -12.0% per week.
Plug Power Inc is at 2 years low (1.0).
52 weeks low is 1.0. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc drops -31.5% (1.0) over last 20 days.
It drops on average -10.5% per week.
Plug Power Inc is at 2 years low (1.06).
52 weeks low is 1.06. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc drops -30.7% (1.06) over last 20 days.
It drops on average -10.2% per week.
Plug Power Inc is at 2 years low (1.115).
52 weeks low is 1.115. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc is at 2 years low (1.12).
52 weeks low is 1.12. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc drops -10.0% (1.12) since previous day.
Volume rises 22.4%.
Plug Power Inc is at 2 years low (1.21).
52 weeks low is 1.21. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc is at 2 years low (1.31).
52 weeks low is 1.31. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc is at 2 years low (1.34).
52 weeks low is 1.34. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc is at 2 years low (1.44).
52 weeks low is 1.44. Previous year high is 13.17, and 52 weeks high is 3.45.
Plug Power Inc is at 2 years low (1.46).
52 weeks low is 1.46. Previous year high is 13.17, and 52 weeks high is 3.45.
Pool Corporation (320.82) rebounds after 2 years low (288.7).
It is 11.1% higher than 52 week low (288.7) 22 days ago, and -17.7% lower than 52 week high (390.03) 172 days ago.
Pool Corporation (319.02) rebounds after 2 years low (288.7).
It is 10.5% higher than 52 week low (288.7) 18 days ago, and -18.2% lower than 52 week high (390.03) 168 days ago.
Pool Corporation is at 2 years low (288.7).
52 weeks low is 288.7. Previous year high is 418.97, and 52 weeks high is 390.03.
Pool Corporation is at 2 years low (290.96).
52 weeks low is 290.96. Previous year high is 418.97, and 52 weeks high is 400.08.
Pool Corporation (326.93) rebounds after 2 years low (296.17).
It is 10.4% higher than 52 week low (296.17) 260 days ago, and -21.1% lower than 52 week high (414.62) 364 days ago.
Pool Corporation (325.94) rebounds after 2 years low (296.17).
It is 10.1% higher than 52 week low (296.17) 258 days ago, and -21.4% lower than 52 week high (414.62) 362 days ago.
Invesco QQQ Trust Series 1 (481.41) drops after 2 years high (539.52).
It is 7.8% higher than previous year high (446.38) 410 days ago, and 49.7% higher than previous year low (321.64) 728 days ago.
Invesco QQQ Trust Series 1 (467.35) rebounds after 52 weeks low (416.06).
It is 4.7% higher than previous year high (446.38) 398 days ago, and 50.8% higher than previous year low (309.99) 730 days ago.
Invesco QQQ Trust Series 1 (457.48) rebounds after 52 weeks low (414.65).
It is 2.5% higher than previous year high (446.38) 388 days ago, and 47.6% higher than previous year low (309.99) 720 days ago.
Invesco QQQ Trust Series 1 (466.0) rebounds after 52 weeks low (414.65).
It is 4.4% higher than previous year high (446.38) 383 days ago, and 50.3% higher than previous year low (309.99) 715 days ago.
Invesco QQQ Trust Series 1 rises 12.0% (466.0) since previous day.
Volume rises 41.9%. It is 4.4% higher than previous year high (446.38) 383 days ago, and 50.3% higher than previous year low (309.99) 715 days ago.
Invesco QQQ Trust Series 1 (484.38) drops after 2 years high (539.52).
It is 8.5% higher than previous year high (446.38) 369 days ago, and 57.7% higher than previous year low (307.12) 729 days ago.
Repligen Corp rises 31.9% (143.63) over last 20 days.
It rises on average 10.6% per week. It is -18.4% lower than 52 week high (176.03) 348 days ago, and 31.9% higher than 52 week low (108.89) 20 days ago.
Repligen Corp (122.86) rebounds after 2 years low (108.89).
It is 12.8% higher than 52 week low (108.89) 3 days ago, and -30.2% lower than 52 week high (176.03) 331 days ago.
Repligen Corp (123.85) rebounds after 2 years low (108.89).
It is 13.7% higher than 52 week low (108.89) 1 days ago, and -29.7% lower than 52 week high (176.08) 363 days ago.
Repligen Corp rises 13.7% (123.85) since previous day.
Volume rises 2.5%. It is 13.7% higher than 52 week low (108.89) 1 days ago, and -29.7% lower than 52 week high (176.08) 363 days ago.
Repligen Corp is at 2 years low (108.89).
52 weeks low is 108.89. Previous year high is 208.42, and 52 weeks high is 181.92.
Repligen Corp is at 2 years low (111.94).
52 weeks low is 111.94. Previous year high is 208.42, and 52 weeks high is 181.92.
Royalty Pharma plc - Class A is at 2 years high (35.27).
52 weeks high is 35.27. Previous year low is 26.21, and 52 weeks low is 24.28. It is 8.9% higher than previous year high (32.39) 730 days ago, and 45.3% higher than 52 week low (24.28) 175 days ago. Dividend stock.
Royalty Pharma plc - Class A is at 52 week high (34.25).
It is -0.8% lower than previous year high (34.53), and 41.1% higher than 52 weeks low (24.28) 151 days ago. Dividend stock.
Royalty Pharma plc - Class A is at 52 week high (34.02).
It is -1.5% lower than previous year high (34.53), and 40.1% higher than 52 weeks low (24.28) 148 days ago. Dividend stock.
Scynexis Inc (0.9347) rebounds after 2 years low (0.73).
It is 28.0% higher than 52 week low (0.73) 1 days ago, and -61.5% lower than 52 week high (2.43) 358 days ago.
Scynexis Inc rises 28.0% (0.9347) since previous day.
Volume rises 225.9%. It is 28.0% higher than 52 week low (0.73) 1 days ago, and -61.5% lower than 52 week high (2.43) 358 days ago.
Scynexis Inc is at 2 years low (0.73).
52 weeks low is 0.73. Previous year high is 3.645, and 52 weeks high is 2.43.
Scynexis Inc is at 2 years low (0.7699).
52 weeks low is 0.7699. Previous year high is 3.645, and 52 weeks high is 2.43.
Scynexis Inc is at 2 years low (0.7708).
52 weeks low is 0.7708. Previous year high is 3.645, and 52 weeks high is 2.53.
Scynexis Inc is at 2 years low (0.79).
52 weeks low is 0.79. Previous year high is 3.645, and 52 weeks high is 2.77.
Scynexis Inc drops -19.3% (0.79) since previous day.
Volume rises 335.5%.
Scynexis Inc (0.987) rebounds after 2 years low (0.804).
It is 22.8% higher than 52 week low (0.804) 6 days ago, and -64.4% lower than 52 week high (2.77) 332 days ago.
Scynexis Inc rises 13.4% (0.987) over last 3 days.
Volume rises 17.2%. It is 22.8% higher than 52 week low (0.804) 6 days ago, and -64.4% lower than 52 week high (2.77) 332 days ago.
Scynexis Inc is at 2 years low (0.8043).
52 weeks low is 0.8043. Previous year high is 3.645, and 52 weeks high is 2.77.
Scynexis Inc is at 2 years low (0.8086).
52 weeks low is 0.8086. Previous year high is 3.645, and 52 weeks high is 2.77.
Scynexis Inc is at 2 years low (0.84).
52 weeks low is 0.84. Previous year high is 3.645, and 52 weeks high is 2.77.
Scynexis Inc (0.95) rebounds after 2 years low (0.8583).
It is 10.7% higher than 52 week low (0.8583) 20 days ago, and -65.7% lower than 52 week high (2.77) 320 days ago.
Scynexis Inc (1.1) rebounds after 2 years low (0.8583).
It is 28.2% higher than 52 week low (0.8583) 4 days ago, and -60.3% lower than 52 week high (2.77) 304 days ago.
Scynexis Inc rises 18.0% (1.1) over last 3 days.
Volume rises 106.9%. It is 28.2% higher than 52 week low (0.8583) 4 days ago, and -60.3% lower than 52 week high (2.77) 304 days ago.
Schrodinger Inc (22.835) drops after 52 weeks high (26.69).
It is -14.4% lower than 52 week high (26.69) 1 days ago, and 34.5% higher than 52 week low (16.98) 248 days ago.
Schrodinger Inc drops -14.4% (22.835) since previous day.
Volume rises 77.1%. It is -14.4% lower than 52 week high (26.69) 1 days ago, and 34.5% higher than 52 week low (16.98) 248 days ago.
Schrodinger Inc is at 52 week high (26.69).
It is -51.8% lower than previous year high (55.37), and 57.2% higher than 52 weeks low (16.98) 247 days ago.
Schrodinger Inc (23.36) drops after 52 weeks high (26.54).
It is -12.0% lower than 52 week high (26.54) 31 days ago, and 37.6% higher than 52 week low (16.98) 220 days ago.
Schrodinger Inc (23.76) drops after 52 weeks high (26.54).
It is -10.5% lower than 52 week high (26.54) 29 days ago, and 39.9% higher than 52 week low (16.98) 218 days ago.
Schrodinger Inc (23.56) drops after 52 weeks high (26.54).
It is -11.2% lower than 52 week high (26.54) 22 days ago, and 38.8% higher than 52 week low (16.98) 211 days ago.
Schrodinger Inc rises 33.4% (25.63) over last 20 days.
It rises on average 11.1% per week. It is -3.4% lower than 52 week high (26.54) 16 days ago, and 50.9% higher than 52 week low (16.98) 205 days ago.
Schrodinger Inc rises 32.1% (25.78) over last 20 days.
It rises on average 10.7% per week. It is -2.9% lower than 52 week high (26.54) 15 days ago, and 51.8% higher than 52 week low (16.98) 204 days ago.
Schrodinger Inc rises 43.3% (25.75) over last 20 days.
It rises on average 14.4% per week. It is -3.0% lower than 52 week high (26.54) 14 days ago, and 51.6% higher than 52 week low (16.98) 203 days ago.
Schrodinger Inc rises 45.2% (26.45) over last 20 days.
It rises on average 15.1% per week. It is -0.3% lower than 52 week high (26.54) 11 days ago, and 55.8% higher than 52 week low (16.98) 200 days ago.
Schrodinger Inc rises 44.9% (26.13) over last 20 days.
It rises on average 15.0% per week. It is -1.5% lower than 52 week high (26.54) 10 days ago, and 53.9% higher than 52 week low (16.98) 199 days ago.
Schrodinger Inc rises 34.9% (25.46) over last 20 days.
It rises on average 11.6% per week. It is -4.1% lower than 52 week high (26.54) 9 days ago, and 49.9% higher than 52 week low (16.98) 198 days ago.
Schrodinger Inc rises 30.7% (25.99) over last 20 days.
It rises on average 10.2% per week. It is -2.1% lower than 52 week high (26.54) 8 days ago, and 53.1% higher than 52 week low (16.98) 197 days ago.
Schrodinger Inc rises 39.0% (26.19) over last 20 days.
It rises on average 13.0% per week. It is -1.3% lower than 52 week high (26.54) 7 days ago, and 54.2% higher than 52 week low (16.98) 196 days ago.
Schrodinger Inc is at 52 week high (26.54).
It is -52.1% lower than previous year high (55.37), and 56.3% higher than 52 weeks low (16.98) 189 days ago.
Schrodinger Inc rises 27.4% (24.49) since previous day.
Volume rises 218.4%. It is -7.4% lower than 52 week high (26.45) 364 days ago, and 44.2% higher than 52 week low (16.98) 186 days ago.
Schrodinger Inc (19.52) rebounds after 2 years low (16.98).
It is 15.0% higher than 52 week low (16.98) 184 days ago, and -29.0% lower than 52 week high (27.51) 364 days ago.
Skyworks Solutions Inc (56.54) rebounds after 2 years low (49.2).
It is 14.9% higher than 52 week low (49.2) 3 days ago, and -50.9% lower than previous year high (115.04) 633 days ago. Dividend stock.
Skyworks Solutions Inc drops -10.7% (53.84) since previous day.
Volume drops -37.7%. It is 9.4% higher than 52 week low (49.2) 2 days ago, and -53.2% lower than previous year high (115.04) 632 days ago. Dividend stock.
Skyworks Solutions Inc (60.27) rebounds after 2 years low (49.2).
It is 22.5% higher than 52 week low (49.2) 1 days ago, and -47.6% lower than previous year high (115.04) 631 days ago. Dividend stock.
Skyworks Solutions Inc rises 22.5% (60.27) since previous day.
Volume rises 69.5%. It is 22.5% higher than 52 week low (49.2) 1 days ago, and -47.6% lower than previous year high (115.04) 631 days ago. Dividend stock.
Skyworks Solutions Inc is at 2 years low (49.2).
52 weeks low is 49.2. Previous year high is 115.04, and 52 weeks high is 120.68. Dividend stock.
Skyworks Solutions Inc is at 2 years low (52.78).
52 weeks low is 52.78. Previous year high is 115.04, and 52 weeks high is 120.68. Dividend stock.
Skyworks Solutions Inc is at 2 years low (56.755).
52 weeks low is 56.755. Previous year high is 115.04, and 52 weeks high is 120.68. Dividend stock.
Skyworks Solutions Inc drops -12.4% (56.755) since previous day.
Volume rises 219.3%. Dividend stock.
Skyworks Solutions Inc is at 2 years low (64.12).
52 weeks low is 64.12. Previous year high is 117.98, and 52 weeks high is 120.68. Dividend stock.
Skyworks Solutions Inc (70.58) rebounds after 2 years low (64.12).
It is 10.1% higher than 52 week low (64.12) 18 days ago, and -40.2% lower than previous year high (117.98) 717 days ago. Dividend stock.
Teradyne Inc (75.09) rebounds after 2 years low (67.96).
It is 10.5% higher than 52 week low (67.96) 29 days ago, and -38.4% lower than previous year high (121.95) 366 days ago.
Teradyne Inc (75.88) rebounds after 2 years low (67.96).
It is 11.7% higher than 52 week low (67.96) 24 days ago, and -37.0% lower than previous year high (120.44) 364 days ago.
Teradyne Inc (77.3) rebounds after 2 years low (67.96).
It is 13.7% higher than 52 week low (67.96) 16 days ago, and -34.1% lower than previous year high (117.23) 639 days ago.
Teradyne Inc (79.44) rebounds after 2 years low (67.96).
It is 16.9% higher than 52 week low (67.96) 1 days ago, and -32.2% lower than previous year high (117.23) 624 days ago.
Teradyne Inc rises 16.9% (79.44) since previous day.
Volume rises 80.4%. It is 16.9% higher than 52 week low (67.96) 1 days ago, and -32.2% lower than previous year high (117.23) 624 days ago.
Teradyne Inc is at 2 years low (67.96).
52 weeks low is 67.96. Previous year high is 117.23, and 52 weeks high is 163.0.
Teradyne Inc is at 2 years low (68.72).
52 weeks low is 68.72. Previous year high is 117.23, and 52 weeks high is 163.0.
Teradyne Inc is at 2 years low (75.09).
52 weeks low is 75.09. Previous year high is 117.23, and 52 weeks high is 163.0.
Teradyne Inc drops -10.2% (75.09) since previous day.
Volume rises 192.8%.
Teradyne Inc is at 2 years low (82.6).
52 weeks low is 82.6. Previous year high is 117.23, and 52 weeks high is 163.0.
Teradyne Inc is at 52 week low (82.78).
It is 0.0% higher than previous year low (82.76), and -49.2% lower than 52 weeks high (163.0) 255 days ago.
T-Mobile US Inc (237.95) drops after 2 years high (272.83).
It is 31.7% higher than previous year high (180.69) 364 days ago, and 85.8% higher than previous year low (128.05) 726 days ago.
T-Mobile US Inc (243.81) drops after 2 years high (272.83).
It is 45.6% higher than previous year high (167.42) 429 days ago, and 92.7% higher than previous year low (126.55) 702 days ago.
T-Mobile US Inc (232.77) drops after 2 years high (272.83).
It is 39.0% higher than previous year high (167.42) 415 days ago, and 83.9% higher than previous year low (126.55) 688 days ago.
T-Mobile US Inc drops -11.2% (232.77) since previous day.
Volume rises 172.4%. It is 39.0% higher than previous year high (167.42) 415 days ago, and 83.9% higher than previous year low (126.55) 688 days ago.
T. Rowe Price Group Inc (91.65) rebounds after 2 years low (80.27).
It is 14.2% higher than 52 week low (80.27) 24 days ago, and -26.5% lower than 52 week high (124.69) 148 days ago. Dividend stock.
T. Rowe Price Group Inc (89.52) rebounds after 2 years low (80.27).
It is 11.5% higher than 52 week low (80.27) 16 days ago, and -28.2% lower than 52 week high (124.69) 140 days ago. Dividend stock.
T. Rowe Price Group Inc (88.735) rebounds after 2 years low (80.27).
It is 10.5% higher than 52 week low (80.27) 3 days ago, and -28.8% lower than 52 week high (124.69) 127 days ago. Dividend stock.
T. Rowe Price Group Inc (90.16) rebounds after 2 years low (80.27).
It is 12.3% higher than 52 week low (80.27) 1 days ago, and -27.7% lower than 52 week high (124.69) 125 days ago. Dividend stock.
T. Rowe Price Group Inc rises 12.3% (90.16) since previous day.
Volume rises 62.2%. It is 12.3% higher than 52 week low (80.27) 1 days ago, and -27.7% lower than 52 week high (124.69) 125 days ago. Dividend stock.
T. Rowe Price Group Inc is at 2 years low (80.27).
52 weeks low is 80.27. Previous year high is 126.79, and 52 weeks high is 124.69. Dividend stock.
T. Rowe Price Group Inc is at 2 years low (81.66).
52 weeks low is 81.66. Previous year high is 126.79, and 52 weeks high is 124.69. Dividend stock.
T. Rowe Price Group Inc is at 2 years low (82.6).
52 weeks low is 82.6. Previous year high is 126.79, and 52 weeks high is 124.69. Dividend stock.
T. Rowe Price Group Inc is at 2 years low (86.22).
52 weeks low is 86.22. Previous year high is 126.79, and 52 weeks high is 124.69. Dividend stock.
T. Rowe Price Group Inc is at 52 week low (91.57).
It is 3.6% higher than previous year low (88.39), and -26.6% lower than 52 weeks high (124.69) 113 days ago. Dividend stock.
Tesla Inc drops -14.3% (284.7) since previous day.
Volume rises 196.0%. It is -2.9% lower than previous year high (293.34) 688 days ago, and 100.4% higher than previous year low (142.05) 409 days ago.
Tesla Inc rises 31.4% (362.89) over last 20 days.
It rises on average 10.5% per week. It is 23.7% higher than previous year high (293.34) 679 days ago, and 155.5% higher than previous year low (142.05) 400 days ago.
Tesla Inc rises 34.0% (347.68) over last 20 days.
It rises on average 11.3% per week. It is 18.5% higher than previous year high (293.34) 666 days ago, and 144.8% higher than previous year low (142.05) 387 days ago.
Tesla Inc rises 33.2% (334.07) over last 20 days.
It rises on average 11.1% per week. It is 13.9% higher than previous year high (293.34) 665 days ago, and 135.2% higher than previous year low (142.05) 386 days ago.
Tesla Inc rises 33.8% (318.38) over last 20 days.
It rises on average 11.3% per week. It is 8.5% higher than previous year high (293.34) 664 days ago, and 124.1% higher than previous year low (142.05) 385 days ago.
Tesla Inc rises 31.1% (298.26) over last 20 days.
It rises on average 10.4% per week. It is 1.7% higher than previous year high (293.34) 661 days ago, and 110.0% higher than previous year low (142.05) 382 days ago.
Tesla Inc rises 22.7% (272.2) since previous day.
Volume rises 27.9%. It is -7.2% lower than previous year high (293.34) 631 days ago, and 91.6% higher than 52 week low (142.05) 352 days ago.
Tesla Inc drops -10.4% (239.43) since previous day.
Volume rises 33.2%. It is -18.4% lower than previous year high (293.34) 626 days ago, and 68.6% higher than 52 week low (142.05) 347 days ago.
Tesla Inc rises 11.9% (278.39) over last 3 days.
Volume rises 27.4%. It is -5.1% lower than previous year high (293.34) 615 days ago, and 96.0% higher than 52 week low (142.05) 336 days ago.
Ulta Beauty Inc is at 52 week high (475.675).
It is -16.1% lower than previous year high (567.18), and 51.3% higher than 52 weeks low (314.47) 81 days ago.
Ulta Beauty Inc is at 52 week high (471.46).
It is -16.9% lower than previous year high (567.18), and 49.9% higher than 52 weeks low (314.47) 78 days ago.
Ulta Beauty Inc rises 11.8% (471.46) since previous day.
Volume rises 134.4%.
Ulta Beauty Inc (363.19) rebounds after 2 years low (314.47).
It is 15.5% higher than 52 week low (314.47) 27 days ago, and -19.5% lower than 52 week high (450.95) 364 days ago.
Ulta Beauty Inc rises 10.7% (363.19) since previous day.
Volume rises 36.5%. It is 15.5% higher than 52 week low (314.47) 27 days ago, and -19.5% lower than 52 week high (450.95) 364 days ago.
Ulta Beauty Inc (350.57) rebounds after 2 years low (314.47).
It is 11.5% higher than 52 week low (314.47) 8 days ago, and -33.7% lower than 52 week high (529.01) 354 days ago.
Verisign Inc is at 2 years high (284.55).
52 weeks high is 284.55. Previous year low is 168.26, and 52 weeks low is 168.56. It is 24.5% higher than previous year high (228.54) 714 days ago, and 69.1% higher than previous year low (168.26) 367 days ago.
Verisign Inc is at 2 years high (284.09).
52 weeks high is 284.09. Previous year low is 168.26, same as 52 weeks low. It is 24.3% higher than previous year high (228.54) 711 days ago, and 68.8% higher than 52 week low (168.26) 364 days ago.
Verisign Inc is at 2 years high (282.12).
52 weeks high is 282.12. Previous year low is 169.48, and 52 weeks low is 168.26. It is 23.4% higher than previous year high (228.54) 709 days ago, and 67.7% higher than 52 week low (168.26) 362 days ago.
Verisign Inc is at 2 years high (278.36).
52 weeks high is 278.36. Previous year low is 169.48, and 52 weeks low is 168.26. It is 21.8% higher than previous year high (228.54) 708 days ago, and 65.4% higher than 52 week low (168.26) 361 days ago.
Verisign Inc is at 2 years high (276.19).
52 weeks high is 276.19. Previous year low is 175.11, and 52 weeks low is 168.26. It is 20.8% higher than previous year high (228.54) 707 days ago, and 64.1% higher than 52 week low (168.26) 360 days ago.
Verisign Inc is at 2 years high (272.79).
52 weeks high is 272.79. Previous year low is 175.48, and 52 weeks low is 168.26. It is 19.4% higher than previous year high (228.54) 704 days ago, and 62.1% higher than 52 week low (168.26) 357 days ago.
Verisign Inc is at 2 years high (255.5).
52 weeks high is 255.5. Previous year low is 187.1, and 52 weeks low is 168.26. It is 11.8% higher than previous year high (228.54) 681 days ago, and 51.8% higher than 52 week low (168.26) 334 days ago.
Verisign Inc is at 2 years high (254.98).
52 weeks high is 254.98. Previous year low is 187.1, and 52 weeks low is 168.26. It is 11.6% higher than previous year high (228.54) 680 days ago, and 51.5% higher than 52 week low (168.26) 333 days ago.
Verisign Inc is at 2 years high (254.74).
52 weeks high is 254.74. Previous year low is 187.1, and 52 weeks low is 168.26. It is 11.5% higher than previous year high (228.54) 675 days ago, and 51.4% higher than 52 week low (168.26) 328 days ago.
Verisign Inc is at 2 years high (248.13).
52 weeks high is 248.13. Previous year low is 187.1, and 52 weeks low is 168.26. It is 8.6% higher than previous year high (228.54) 674 days ago, and 47.5% higher than 52 week low (168.26) 327 days ago.
Verisign Inc is at 2 years high (245.81).
52 weeks high is 245.81. Previous year low is 187.1, and 52 weeks low is 168.26. It is 7.6% higher than previous year high (228.54) 673 days ago, and 46.1% higher than 52 week low (168.26) 326 days ago.
Verisign Inc is at 2 years high (245.36).
52 weeks high is 245.36. Previous year low is 187.19, and 52 weeks low is 168.26. It is 7.4% higher than previous year high (228.54) 672 days ago, and 45.8% higher than 52 week low (168.26) 325 days ago.
Verisign Inc is at 2 years high (244.51).
52 weeks high is 244.51. Previous year low is 188.85, and 52 weeks low is 168.26. It is 7.0% higher than previous year high (228.54) 669 days ago, and 45.3% higher than 52 week low (168.26) 322 days ago.
Verisign Inc is at 2 years high (242.31).
52 weeks high is 242.31. Previous year low is 189.89, and 52 weeks low is 168.26. It is 6.0% higher than previous year high (228.54) 668 days ago, and 44.0% higher than 52 week low (168.26) 321 days ago.
Verisign Inc is at 2 years high (242.21).
52 weeks high is 242.21. Previous year low is 189.89, and 52 weeks low is 168.26. It is 6.0% higher than previous year high (228.54) 667 days ago, and 43.9% higher than 52 week low (168.26) 320 days ago.
Warner Bros. Discovery Inc - Class A drops -12.5% (8.1) since previous day.
Volume drops -15.1%. It is 20.7% higher than 52 week low (6.71) 241 days ago, and -35.1% lower than 52 week high (12.49) 119 days ago.
Warner Bros. Discovery Inc - Class A rises 20.4% (9.26) since previous day.
Volume rises 54.8%. It is -25.9% lower than 52 week high (12.49) 118 days ago, and 38.0% higher than 52 week low (6.71) 240 days ago.
Warner Bros. Discovery Inc - Class A drops -11.9% (8.07) since previous day.
Volume rises 12.3%. It is 20.3% higher than 52 week low (6.71) 235 days ago, and -35.4% lower than 52 week high (12.49) 113 days ago.
Warner Bros. Discovery Inc - Class A drops -13.3% (9.16) since previous day.
Volume rises 38.1%. It is -26.7% lower than 52 week high (12.49) 112 days ago, and 36.5% higher than 52 week low (6.71) 234 days ago.
Western Digital Corp rises 30.9% (40.78) over last 20 days.
It rises on average 10.3% per week. It is 33.5% higher than 52 week low (30.54) 21 days ago, and -44.8% lower than previous year high (73.9) 379 days ago.
Western Digital Corp rises 31.5% (40.17) over last 20 days.
It rises on average 10.5% per week. It is 31.5% higher than 52 week low (30.54) 20 days ago, and -45.6% lower than previous year high (73.9) 378 days ago.
Western Digital Corp (36.3) rebounds after 2 years low (30.54).
It is 18.9% higher than 52 week low (30.54) 5 days ago, and -50.3% lower than previous year high (73.11) 369 days ago.
Western Digital Corp rises 15.1% (36.3) since previous day.
Volume rises 17.4%. It is 18.9% higher than 52 week low (30.54) 5 days ago, and -50.3% lower than previous year high (73.11) 369 days ago.
Western Digital Corp is at 2 years low (30.54).
52 weeks low is 30.54. Previous year high is 73.11, and 52 weeks high is 80.24.
Western Digital Corp drops -31.8% (30.54) over last 20 days.
It drops on average -10.6% per week.
Western Digital Corp drops -10.6% (30.54) since previous day.
Volume rises 9.0%.
Western Digital Corp is at 52 week low (34.15).
It is 6.4% higher than previous year low (32.09), and -57.4% lower than 52 weeks high (80.24) 267 days ago.
Western Digital Corp drops -18.3% (34.15) since previous day.
Volume rises 346.3%.
Western Digital Corp is at 52 week low (40.43).
It is 26.0% higher than previous year low (32.09), and -49.6% lower than 52 weeks high (80.24) 264 days ago.
Western Digital Corp (44.9) rebounds after 52 weeks low (40.54).
It is -30.6% lower than previous year high (64.7) 378 days ago, and 39.9% higher than previous year low (32.09) 694 days ago.
Western Digital Corp (44.75) rebounds after 52 weeks low (40.54).
It is -30.8% lower than previous year high (64.7) 376 days ago, and 39.5% higher than previous year low (32.09) 692 days ago.
Abbvie Inc (187.15) drops after 2 years high (216.66).
It is 2.8% higher than previous year high (182.1) 404 days ago, and 41.2% higher than previous year low (132.51) 678 days ago. Dividend stock.
Abbvie Inc (193.34) drops after 2 years high (216.66).
It is 6.2% higher than previous year high (182.1) 399 days ago, and 45.9% higher than previous year low (132.51) 673 days ago. Dividend stock.
Abbvie Inc (173.78) rebounds after 52 weeks low (154.79).
It is -4.6% lower than previous year high (182.1) 390 days ago, and 31.1% higher than previous year low (132.51) 664 days ago. Dividend stock.
Abbvie Inc (186.96) drops after 2 years high (216.66).
It is 2.7% higher than previous year high (182.1) 372 days ago, and 41.1% higher than previous year low (132.51) 646 days ago. Dividend stock.
Aerojet Rocketdyne Holdings Inc is at 2 years high (57.99).
52 weeks high is 57.99. Previous year low is 36.59, and 52 weeks low is 39.72. It is 22.9% higher than previous year high (47.2) 724 days ago, and 58.5% higher than previous year low (36.59) 519 days ago. Dividend stock.
Ameriprise Financial Inc (516.67) drops after 2 years high (575.13).
It is 17.2% higher than previous year high (440.97) 382 days ago, and 68.2% higher than previous year low (307.14) 594 days ago.
Ameriprise Financial Inc (511.12) drops after 2 years high (575.13).
It is 16.3% higher than previous year high (439.39) 371 days ago, and 74.4% higher than previous year low (293.03) 728 days ago.
Ameriprise Financial Inc (473.0) rebounds after 52 weeks low (391.53).
It is 7.9% higher than previous year high (438.44) 377 days ago, and 67.7% higher than previous year low (282.02) 706 days ago.
Ameriprise Financial Inc rises 11.0% (473.0) since previous day.
Volume rises 37.1%. It is 7.9% higher than previous year high (438.44) 377 days ago, and 67.7% higher than previous year low (282.02) 706 days ago.
American Tower Corp (207.92) drops after 2 years high (242.83).
It is -5.0% lower than previous year high (218.81) 496 days ago, and 31.9% higher than previous year low (157.68) 586 days ago.
American Tower Corp (217.88) drops after 2 years high (242.83).
It is -0.4% lower than previous year high (218.81) 492 days ago, and 38.2% higher than previous year low (157.68) 582 days ago.
American Tower Corp (212.6) drops after 2 years high (242.83).
It is -2.8% lower than previous year high (218.81) 477 days ago, and 34.8% higher than previous year low (157.68) 567 days ago.
American Tower Corp (217.99) drops after 2 years high (242.83).
It is -0.4% lower than previous year high (218.81) 475 days ago, and 38.2% higher than previous year low (157.68) 565 days ago.
American Tower Corp (213.39) drops after 2 years high (242.83).
It is -2.5% lower than previous year high (218.81) 461 days ago, and 35.3% higher than previous year low (157.68) 551 days ago.
American Tower Corp (217.9) drops after 2 years high (242.83).
It is -0.4% lower than previous year high (218.81) 456 days ago, and 38.2% higher than previous year low (157.68) 546 days ago.
Aon plc. - Class A (353.83) drops after 2 years high (409.32).
It is 2.5% higher than previous year high (345.2) 710 days ago, and 28.3% higher than previous year low (275.82) 376 days ago. Dividend stock.
Aon plc. - Class A (365.05) drops after 2 years high (409.32).
It is 5.8% higher than previous year high (345.2) 664 days ago, and 32.4% higher than 52 week low (275.82) 330 days ago. Dividend stock.
Aon plc. - Class A (367.41) drops after 2 years high (409.32).
It is 6.4% higher than previous year high (345.2) 657 days ago, and 33.2% higher than 52 week low (275.82) 323 days ago. Dividend stock.
Aon plc. - Class A (364.35) drops after 2 years high (409.32).
It is 5.5% higher than previous year high (345.2) 647 days ago, and 32.1% higher than 52 week low (275.82) 313 days ago. Dividend stock.
iShares U.S. Technology ETF (135.01) rebounds after 52 weeks low (122.57).
It is -1.2% lower than previous year high (136.59) 397 days ago, and 52.2% higher than previous year low (88.68) 729 days ago.
iShares U.S. Technology ETF (135.7) rebounds after 52 weeks low (122.57).
It is -0.7% lower than previous year high (136.59) 385 days ago, and 53.0% higher than previous year low (88.68) 717 days ago.
iShares U.S. Technology ETF (139.22) rebounds after 52 weeks low (122.57).
It is 1.9% higher than previous year high (136.59) 383 days ago, and 57.0% higher than previous year low (88.68) 715 days ago.
iShares U.S. Technology ETF rises 13.6% (139.22) since previous day.
Volume rises 4.2%. It is 1.9% higher than previous year high (136.59) 383 days ago, and 57.0% higher than previous year low (88.68) 715 days ago.
iShares U.S. Technology ETF is at 52 week low (122.57).
It is 38.2% higher than previous year low (88.68), and -26.5% lower than 52 weeks high (166.79) 49 days ago.
iShares U.S. Technology ETF is at 52 week low (124.5).
It is 40.4% higher than previous year low (88.68), and -25.4% lower than 52 weeks high (166.79) 45 days ago.
Meta Platforms Inc - Class A rises 14.8% (585.77) since previous day.
Volume rises 39.9%. It is 11.1% higher than previous year high (527.34) 369 days ago, and 182.2% higher than previous year low (207.55) 715 days ago.
VanEck Morningstar Wide Moat ETF (88.23) drops after 2 years high (98.73).
It is -1.9% lower than previous year high (89.9) 421 days ago, and 24.8% higher than previous year low (70.71) 574 days ago.
VanEck Morningstar Wide Moat ETF (85.02) rebounds after 52 weeks low (76.53).
It is -5.4% lower than previous year high (89.9) 392 days ago, and 20.2% higher than previous year low (70.71) 545 days ago.
VanEck Morningstar Wide Moat ETF is at 52 week low (76.53).
It is 8.2% higher than previous year low (70.71), and -22.5% lower than 52 weeks high (98.73) 134 days ago.
VanEck Morningstar Wide Moat ETF is at 52 week low (78.52).
It is 11.0% higher than previous year low (70.71), and -20.5% lower than 52 weeks high (98.73) 133 days ago.
VanEck Morningstar Wide Moat ETF is at 52 week low (78.72).
It is 11.3% higher than previous year low (70.71), and -20.3% lower than 52 weeks high (98.73) 130 days ago.
VanEck Morningstar Wide Moat ETF is at 52 week low (83.41).
It is 18.0% higher than previous year low (70.71), and -15.5% lower than 52 weeks high (98.73) 129 days ago.
VanEck Morningstar Wide Moat ETF (87.69) drops after 2 years high (98.73).
It is -2.5% lower than previous year high (89.9) 365 days ago, and 24.0% higher than previous year low (70.71) 518 days ago.
Global X Uranium ETF (22.65) rebounds after 52 weeks low (20.26).
It is 18.2% higher than previous year low (19.16) 718 days ago, and -29.7% lower than previous year high (32.21) 435 days ago.
Global X Uranium ETF is at 52 week low (20.26).
It is 5.9% higher than previous year low (19.14), and -39.5% lower than 52 weeks high (33.46) 172 days ago.
Global X Uranium ETF is at 52 week low (20.51).
It is 7.2% higher than previous year low (19.14), and -38.7% lower than 52 weeks high (33.46) 171 days ago.
Global X Uranium ETF is at 52 week low (20.82).
It is 9.3% higher than previous year low (19.05), and -37.8% lower than 52 weeks high (33.46) 168 days ago.
Global X Uranium ETF is at 52 week low (22.46).
It is 17.9% higher than previous year low (19.05), and -32.9% lower than 52 weeks high (33.46) 167 days ago.
Global X Uranium ETF is at 52 week low (22.92).
It is 20.3% higher than previous year low (19.05), and -31.5% lower than 52 weeks high (33.46) 164 days ago.
Global X Uranium ETF is at 52 week low (23.1).
It is 21.3% higher than previous year low (19.05), and -31.0% lower than 52 weeks high (33.46) 161 days ago.
American Express Company (252.42) rebounds after 52 weeks low (222.19).
It is 5.6% higher than previous year high (238.96) 364 days ago, and 78.6% higher than previous year low (141.31) 543 days ago.
American Express Company (262.36) rebounds after 52 weeks low (217.5).
It is 14.5% higher than previous year high (229.12) 384 days ago, and 85.7% higher than previous year low (141.31) 530 days ago.
American Express Company rises 13.4% (262.36) since previous day.
Volume rises 80.7%. It is 14.5% higher than previous year high (229.12) 384 days ago, and 85.7% higher than previous year low (141.31) 530 days ago.
Boeing Company is at 52 week high (217.51).
It is -17.7% lower than previous year high (264.27), and 59.2% higher than 52 weeks low (136.59) 66 days ago.
Boeing Company is at 52 week high (213.43).
It is -19.2% lower than previous year high (264.27), and 56.3% higher than 52 weeks low (136.59) 60 days ago.
Boeing Company is at 52 week high (211.47).
It is -20.0% lower than previous year high (264.27), and 54.8% higher than 52 weeks low (136.59) 59 days ago.
Boeing Company is at 52 week high (208.18).
It is -21.2% lower than previous year high (264.27), and 52.4% higher than 52 weeks low (136.59) 55 days ago.
Boeing Company is at 52 week high (207.67).
It is -21.4% lower than previous year high (264.27), and 52.0% higher than 52 weeks low (136.59) 46 days ago.
Boeing Company is at 52 week high (206.24).
It is -22.0% lower than previous year high (264.27), and 51.0% higher than 52 weeks low (136.59) 41 days ago.
Boeing Company is at 52 week high (204.72).
It is -22.5% lower than previous year high (264.27), and 49.9% higher than 52 weeks low (136.59) 40 days ago.
Boeing Company is at 52 week high (203.42).
It is -23.0% lower than previous year high (264.27), and 48.9% higher than 52 weeks low (136.59) 39 days ago.
Boeing Company is at 52 week high (198.53).
It is -24.9% lower than previous year high (264.27), and 45.3% higher than 52 weeks low (136.59) 38 days ago.
Boeing Company is at 52 week high (194.85).
It is -26.3% lower than previous year high (264.27), and 42.7% higher than 52 weeks low (136.59) 35 days ago.
Boeing Company is at 52 week high (191.7).
It is -27.5% lower than previous year high (264.27), and 40.3% higher than 52 weeks low (136.59) 34 days ago.
Boeing Company rises 30.8% (182.3) over last 20 days.
It rises on average 10.3% per week. It is -4.8% lower than 52 week high (191.42) 326 days ago, and 33.5% higher than 52 week low (136.59) 24 days ago.
Boeing Company (160.82) rebounds after 2 years low (136.59).
It is -16.0% lower than 52 week high (191.42) 307 days ago, and 17.7% higher than 52 week low (136.59) 5 days ago.
Boeing Company rises 15.4% (160.82) since previous day.
Volume rises 15.5%. It is -16.0% lower than 52 week high (191.42) 307 days ago, and 17.7% higher than 52 week low (136.59) 5 days ago.
Boeing Company is at 2 years low (136.59).
52 weeks low is 136.59. Previous year high is 264.27, and 52 weeks high is 191.42.
Boeing Company drops -10.5% (150.91) since previous day.
Volume rises 172.5%. It is 9.2% higher than 52 week low (138.14) 140 days ago, and -21.2% lower than 52 week high (191.42) 301 days ago.
Boeing Company (170.55) drops after 52 weeks high (191.42).
It is -10.9% lower than 52 week high (191.42) 298 days ago, and 23.5% higher than 52 week low (138.14) 137 days ago.
Alibaba Group Holding Ltd (123.9) drops after 2 years high (147.57).
It is 21.3% higher than previous year high (102.16) 654 days ago, and 82.1% higher than previous year low (68.05) 483 days ago.
Alibaba Group Holding Ltd drops -30.6% (99.37) over last 20 days.
It drops on average -10.2% per week. It is -2.7% lower than previous year high (102.16) 617 days ago, and 46.0% higher than previous year low (68.05) 446 days ago.
Alibaba Group Holding Ltd (132.43) drops after 2 years high (147.57).
It is 28.1% higher than previous year high (103.38) 729 days ago, and 94.6% higher than previous year low (68.05) 435 days ago.
Alibaba Group Holding Ltd (132.75) drops after 2 years high (147.57).
It is 28.4% higher than previous year high (103.38) 726 days ago, and 95.1% higher than previous year low (68.05) 432 days ago.
Alibaba Group Holding Ltd is at 2 years high (147.57).
52 weeks high is 147.57. Previous year low is 68.05, and 52 weeks low is 68.82. It is 42.7% higher than previous year high (103.38) 718 days ago, and 116.9% higher than previous year low (68.05) 424 days ago.
Bank Of America Corp (38.32) rebounds after 52 weeks low (34.39).
It is -0.1% lower than previous year high (38.37) 364 days ago, and 52.2% higher than previous year low (25.17) 543 days ago. Dividend stock.
Bank Of America Corp (37.99) rebounds after 52 weeks low (34.39).
It is 0.2% higher than previous year high (37.92) 383 days ago, and 50.9% higher than previous year low (25.17) 536 days ago. Dividend stock.
Bank Of America Corp is at 52 week low (34.39).
It is 36.6% higher than previous year low (25.17), and -28.0% lower than 52 weeks high (47.77) 128 days ago. Dividend stock.
Bank Of America Corp drops -11.1% (37.22) since previous day.
Volume rises 309.3%. It is -1.8% lower than previous year high (37.92) 371 days ago, and 47.9% higher than previous year low (25.17) 524 days ago. Dividend stock.
Bank Of America Corp (42.82) drops after 2 years high (47.77).
It is 13.3% higher than previous year high (37.81) 364 days ago, and 70.1% higher than previous year low (25.17) 516 days ago. Dividend stock.
Best Buy Co. Inc (61.97) rebounds after 2 years low (56.17).
It is 10.3% higher than 52 week low (56.17) 9 days ago, and -27.1% lower than previous year high (84.95) 632 days ago. Dividend stock.
Best Buy Co. Inc (63.65) rebounds after 2 years low (56.17).
It is 13.3% higher than 52 week low (56.17) 1 days ago, and -25.1% lower than previous year high (84.95) 624 days ago. Dividend stock.
Best Buy Co. Inc rises 13.3% (63.65) since previous day.
Volume rises 59.3%. It is 13.3% higher than 52 week low (56.17) 1 days ago, and -25.1% lower than previous year high (84.95) 624 days ago. Dividend stock.
Best Buy Co. Inc is at 2 years low (56.17).
52 weeks low is 56.17. Previous year high is 84.95, and 52 weeks high is 103.3. Dividend stock.
Best Buy Co. Inc is at 2 years low (60.44).
52 weeks low is 60.44. Previous year high is 84.95, and 52 weeks high is 103.3. Dividend stock.
Best Buy Co. Inc is at 2 years low (62.22).
52 weeks low is 62.22. Previous year high is 84.95, and 52 weeks high is 103.3. Dividend stock.
Best Buy Co. Inc drops -17.8% (62.22) since previous day.
Volume rises 396.8%. Dividend stock.
Bristol-Myers Squibb Company (55.3) drops after 52 weeks high (63.11).
It is -12.4% lower than 52 week high (63.11) 25 days ago, and 39.4% higher than 52 week low (39.66) 273 days ago. Dividend stock.
Berkshire Hathaway Inc - Class A is at 2 years high (809350.0).
52 weeks high is 809350.0. Previous year low is 484000.0, and 52 weeks low is 603000.0. It is 27.6% higher than previous year high (634440.0) 400 days ago, and 67.2% higher than previous year low (484000.0) 708 days ago.
Berkshire Hathaway Inc - Class A is at 2 years high (806684.0).
52 weeks high is 806684.0. Previous year low is 467660.0, and 52 weeks low is 598160.0. It is 27.1% higher than previous year high (634440.0) 370 days ago, and 72.5% higher than previous year low (467660.0) 729 days ago.
Berkshire Hathaway Inc - Class A is at 2 years high (801950.0).
52 weeks high is 801950.0. Previous year low is 459000.0, and 52 weeks low is 598160.0. It is 26.4% higher than previous year high (634440.0) 364 days ago, and 74.7% higher than previous year low (459000.0) 730 days ago.
Berkshire Hathaway Inc - Class A is at 2 years high (798962.57).
52 weeks high is 798962.57. Previous year low is 457820.0, and 52 weeks low is 598160.0. It is 26.9% higher than previous year high (629610.0) 364 days ago, and 74.5% higher than previous year low (457820.0) 730 days ago.
Berkshire Hathaway Inc - Class A is at 2 years high (792966.0).
52 weeks high is 792966.0. Previous year low is 457820.0, and 52 weeks low is 598160.0. It is 26.1% higher than previous year high (628930.18) 396 days ago, and 73.2% higher than previous year low (457820.0) 729 days ago.
Berkshire Hathaway Inc - Class A is at 2 years high (792880.0).
52 weeks high is 792880.0. Previous year low is 452750.0, and 52 weeks low is 598160.0. It is 26.1% higher than previous year high (628930.18) 391 days ago, and 75.1% higher than previous year low (452750.0) 728 days ago.
Berkshire Hathaway Inc - Class A is at 2 years high (789879.99).
52 weeks high is 789879.99. Previous year low is 452750.0, and 52 weeks low is 598160.0. It is 25.6% higher than previous year high (628930.18) 390 days ago, and 74.5% higher than previous year low (452750.0) 727 days ago.
Berkshire Hathaway Inc - Class A is at 2 years high (784957.005).
52 weeks high is 784957.005. Previous year low is 452750.0, and 52 weeks low is 598160.0. It is 24.8% higher than previous year high (628930.18) 388 days ago, and 73.4% higher than previous year low (452750.0) 725 days ago.
Peabody Energy Corp New (12.73) rebounds after 2 years low (10.31).
It is 23.5% higher than 52 week low (10.31) 4 days ago, and -53.1% lower than previous year high (27.16) 399 days ago.
Peabody Energy Corp New rises 13.4% (12.73) since previous day.
Volume drops -4.5%. It is 23.5% higher than 52 week low (10.31) 4 days ago, and -53.1% lower than previous year high (27.16) 399 days ago.
Peabody Energy Corp New (12.26) rebounds after 2 years low (10.31).
It is 18.9% higher than 52 week low (10.31) 2 days ago, and -54.9% lower than previous year high (27.16) 397 days ago.
Peabody Energy Corp New is at 2 years low (10.31).
52 weeks low is 10.31. Previous year high is 27.16, and 52 weeks high is 29.8.
Peabody Energy Corp New is at 2 years low (10.47).
52 weeks low is 10.47. Previous year high is 27.16, and 52 weeks high is 29.8.
Peabody Energy Corp New drops -12.4% (10.47) since previous day.
Volume rises 31.3%.
Peabody Energy Corp New is at 2 years low (11.95).
52 weeks low is 11.95. Previous year high is 27.16, and 52 weeks high is 29.8.
Peabody Energy Corp New drops -10.1% (11.95) since previous day.
Volume rises 77.7%.
Peabody Energy Corp New (14.18) rebounds after 2 years low (12.48).
It is 13.6% higher than 52 week low (12.48) 11 days ago, and -47.8% lower than previous year high (27.16) 375 days ago.
Anheuser-Busch InBev SA/NV is at 2 years high (71.7).
52 weeks high is 71.7. Previous year low is 52.54, and 52 weeks low is 46.15. It is 6.3% higher than previous year high (67.42) 391 days ago, and 55.4% higher than 52 week low (46.15) 153 days ago.
Anheuser-Busch InBev SA/NV is at 2 years high (71.53).
52 weeks high is 71.53. Previous year low is 52.54, and 52 weeks low is 46.15. It is 6.1% higher than previous year high (67.42) 383 days ago, and 55.0% higher than 52 week low (46.15) 145 days ago.
Anheuser-Busch InBev SA/NV is at 2 years high (71.27).
52 weeks high is 71.27. Previous year low is 52.54, and 52 weeks low is 46.15. It is 5.7% higher than previous year high (67.42) 381 days ago, and 54.4% higher than 52 week low (46.15) 143 days ago.
Anheuser-Busch InBev SA/NV is at 2 years high (70.53).
52 weeks high is 70.53. Previous year low is 52.54, and 52 weeks low is 46.15. It is 4.6% higher than previous year high (67.42) 377 days ago, and 52.8% higher than 52 week low (46.15) 139 days ago.
Anheuser-Busch InBev SA/NV is at 2 years high (70.17).
52 weeks high is 70.17. Previous year low is 52.54, and 52 weeks low is 46.15. It is 4.1% higher than previous year high (67.42) 375 days ago, and 52.0% higher than 52 week low (46.15) 137 days ago.
Anheuser-Busch InBev SA/NV is at 2 years high (69.28).
52 weeks high is 69.28. Previous year low is 52.54, and 52 weeks low is 46.15. It is 2.8% higher than previous year high (67.42) 371 days ago, and 50.1% higher than 52 week low (46.15) 133 days ago.
Anheuser-Busch InBev SA/NV is at 2 years high (68.8).
52 weeks high is 68.8. Previous year low is 52.54, and 52 weeks low is 46.15. It is 2.0% higher than previous year high (67.42) 369 days ago, and 49.1% higher than 52 week low (46.15) 131 days ago.
Anheuser-Busch InBev SA/NV is at 2 years high (68.65).
52 weeks high is 68.65. Previous year low is 52.54, and 52 weeks low is 46.15. It is 1.8% higher than previous year high (67.42) 367 days ago, and 48.8% higher than 52 week low (46.15) 129 days ago.
Anheuser-Busch InBev SA/NV is at 2 years high (67.6).
52 weeks high is 67.6. Previous year low is 52.54, and 52 weeks low is 46.15. It is 0.3% higher than previous year high (67.42) 364 days ago, and 46.5% higher than 52 week low (46.15) 126 days ago.
Anheuser-Busch InBev SA/NV is at 2 years high (67.52).
52 weeks high is 67.52. Previous year low is 52.54, and 52 weeks low is 46.15. It is 1.6% higher than previous year high (66.47) 364 days ago, and 46.3% higher than 52 week low (46.15) 125 days ago.
Anheuser-Busch InBev SA/NV (59.27) drops after 2 years high (67.42).
It is -10.5% lower than previous year high (66.2) 712 days ago, and 28.4% higher than 52 week low (46.15) 87 days ago.
Boston Properties Inc (62.84) rebounds after 52 weeks low (56.86).
It is -13.9% lower than previous year high (72.98) 487 days ago, and 33.5% higher than previous year low (47.06) 699 days ago. Dividend stock.
Boston Properties Inc is at 52 week low (56.86).
It is 20.8% higher than previous year low (47.06), and -36.6% lower than 52 weeks high (89.72) 172 days ago. Dividend stock.
Citigroup Inc (63.22) rebounds after 52 weeks low (56.11).
It is -0.4% lower than previous year high (63.46) 378 days ago, and 65.3% higher than previous year low (38.24) 535 days ago.
Citigroup Inc (64.15) rebounds after 52 weeks low (56.11).
It is 1.1% higher than previous year high (63.46) 373 days ago, and 67.8% higher than previous year low (38.24) 530 days ago.
Citigroup Inc drops -12.1% (63.05) since previous day.
Volume rises 305.6%. It is -0.6% lower than previous year high (63.46) 367 days ago, and 64.9% higher than previous year low (38.24) 524 days ago.
Cardinal Health Inc is at 2 years high (161.41).
52 weeks high is 161.41. Previous year low is 85.37, and 52 weeks low is 93.74. It is 39.6% higher than previous year high (115.62) 458 days ago, and 89.1% higher than previous year low (85.37) 660 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (160.52).
52 weeks high is 160.52. Previous year low is 85.37, and 52 weeks low is 93.74. It is 38.8% higher than previous year high (115.62) 457 days ago, and 88.0% higher than previous year low (85.37) 659 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (155.48).
52 weeks high is 155.48. Previous year low is 83.27, and 52 weeks low is 93.74. It is 34.5% higher than previous year high (115.62) 448 days ago, and 86.7% higher than previous year low (83.27) 727 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (155.25).
52 weeks high is 155.25. Previous year low is 83.27, and 52 weeks low is 93.74. It is 34.3% higher than previous year high (115.62) 447 days ago, and 86.4% higher than previous year low (83.27) 726 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (154.77).
52 weeks high is 154.77. Previous year low is 81.33, and 52 weeks low is 93.74. It is 33.9% higher than previous year high (115.62) 434 days ago, and 90.3% higher than previous year low (81.33) 721 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (154.25).
52 weeks high is 154.25. Previous year low is 81.33, and 52 weeks low is 93.74. It is 33.4% higher than previous year high (115.62) 430 days ago, and 89.7% higher than previous year low (81.33) 717 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (153.48).
52 weeks high is 153.48. Previous year low is 81.33, and 52 weeks low is 93.74. It is 32.7% higher than previous year high (115.62) 421 days ago, and 88.7% higher than previous year low (81.33) 708 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (151.99).
52 weeks high is 151.99. Previous year low is 81.33, and 52 weeks low is 93.74. It is 31.5% higher than previous year high (115.62) 419 days ago, and 86.9% higher than previous year low (81.33) 706 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (149.53).
52 weeks high is 149.53. Previous year low is 80.83, and 52 weeks low is 93.74. It is 29.3% higher than previous year high (115.62) 416 days ago, and 85.0% higher than previous year low (80.83) 729 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (145.53).
52 weeks high is 145.53. Previous year low is 80.83, and 52 weeks low is 93.74. It is 25.9% higher than previous year high (115.62) 415 days ago, and 80.0% higher than previous year low (80.83) 728 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (141.29).
52 weeks high is 141.29. Previous year low is 80.83, and 52 weeks low is 93.74. It is 22.2% higher than previous year high (115.62) 414 days ago, and 74.8% higher than previous year low (80.83) 727 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (139.84).
52 weeks high is 139.84. Previous year low is 80.83, and 52 weeks low is 93.74. It is 20.9% higher than previous year high (115.62) 413 days ago, and 73.0% higher than previous year low (80.83) 726 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (138.67).
52 weeks high is 138.67. Previous year low is 76.66, and 52 weeks low is 93.74. It is 19.9% higher than previous year high (115.62) 386 days ago, and 80.9% higher than previous year low (76.66) 729 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (137.77).
52 weeks high is 137.77. Previous year low is 76.66, and 52 weeks low is 93.74. It is 19.2% higher than previous year high (115.62) 384 days ago, and 79.7% higher than previous year low (76.66) 727 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (136.65).
52 weeks high is 136.65. Previous year low is 72.47, and 52 weeks low is 93.74. It is 18.2% higher than previous year high (115.62) 380 days ago, and 88.6% higher than previous year low (72.47) 730 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (133.98).
52 weeks high is 133.98. Previous year low is 71.24, and 52 weeks low is 93.74. It is 15.9% higher than previous year high (115.62) 379 days ago, and 88.1% higher than previous year low (71.24) 730 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (133.21).
52 weeks high is 133.21. Previous year low is 71.24, and 52 weeks low is 93.74. It is 15.2% higher than previous year high (115.62) 377 days ago, and 87.0% higher than previous year low (71.24) 728 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (133.08).
52 weeks high is 133.08. Previous year low is 69.01, and 52 weeks low is 93.74. It is 15.1% higher than previous year high (115.62) 373 days ago, and 92.8% higher than previous year low (69.01) 728 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (132.12).
52 weeks high is 132.12. Previous year low is 69.01, and 52 weeks low is 93.74. It is 14.3% higher than previous year high (115.62) 372 days ago, and 91.5% higher than previous year low (69.01) 727 days ago. Dividend stock.
Cardinal Health Inc is at 2 years high (131.46).
52 weeks high is 131.46. Previous year low is 69.01, and 52 weeks low is 93.74. It is 13.7% higher than previous year high (115.62) 371 days ago, and 90.5% higher than previous year low (69.01) 726 days ago. Dividend stock.
Chubb Ltd is at 2 years high (302.46).
52 weeks high is 302.46. Previous year low is 184.92, and 52 weeks low is 243.01. It is 16.2% higher than previous year high (260.21) 386 days ago, and 63.6% higher than previous year low (184.92) 645 days ago.
Chubb Ltd is at 2 years high (301.99).
52 weeks high is 301.99. Previous year low is 184.92, and 52 weeks low is 243.01. It is 16.1% higher than previous year high (260.21) 383 days ago, and 63.3% higher than previous year low (184.92) 642 days ago.
Carnival Corp (Paired Stock) drops -10.2% (17.6) since previous day.
Volume drops -29.6%. It is -8.8% lower than previous year high (19.3) 640 days ago, and 100.9% higher than previous year low (8.76) 715 days ago.
Carnival Corp (Paired Stock) rises 17.5% (19.61) since previous day.
Volume rises 59.2%. It is 1.6% higher than previous year high (19.3) 639 days ago, and 123.9% higher than previous year low (8.76) 714 days ago.
Carnival Corp (Paired Stock) drops -13.7% (17.28) since previous day.
Volume rises 121.5%. It is -10.5% lower than previous year high (19.3) 633 days ago, and 97.3% higher than previous year low (8.76) 708 days ago.
Cummins Inc (293.96) rebounds after 52 weeks low (266.48).
It is -2.9% lower than previous year high (302.86) 378 days ago, and 43.8% higher than previous year low (204.41) 694 days ago. Dividend stock.
Cummins Inc (296.55) rebounds after 52 weeks low (266.48).
It is -1.9% lower than previous year high (302.3) 364 days ago, and 45.1% higher than previous year low (204.41) 679 days ago. Dividend stock.
Cummins Inc rises 11.0% (296.55) since previous day.
Volume rises 15.5%. It is -1.9% lower than previous year high (302.3) 364 days ago, and 45.1% higher than previous year low (204.41) 679 days ago. Dividend stock.
Canadian National Railway Company (104.7) rebounds after 2 years low (92.66).
It is 13.0% higher than 52 week low (92.66) 34 days ago, and -18.3% lower than 52 week high (128.21) 357 days ago. Dividend stock.
Canadian National Railway Company is at 2 years low (92.66).
52 weeks low is 92.66. Previous year high is 132.83, and 52 weeks high is 131.26. Dividend stock.
Canadian National Railway Company is at 2 years low (94.75).
52 weeks low is 94.75. Previous year high is 132.83, and 52 weeks high is 131.26. Dividend stock.
Capital One Financial Corp rises 14.8% (174.91) since previous day.
Volume rises 86.8%. It is 17.5% higher than previous year high (148.89) 377 days ago, and 104.3% higher than previous year low (85.63) 706 days ago.
Salesforce Inc (243.39) rebounds after 52 weeks low (218.01).
It is -23.2% lower than previous year high (316.88) 417 days ago, and 27.6% higher than previous year low (190.67) 728 days ago.
Cenovus Energy Inc (11.66) rebounds after 2 years low (10.58).
It is 10.2% higher than 52 week low (10.58) 8 days ago, and -45.9% lower than 52 week high (21.54) 352 days ago. Dividend stock.
Cenovus Energy Inc (12.01) rebounds after 2 years low (10.58).
It is 13.5% higher than 52 week low (10.58) 1 days ago, and -44.9% lower than 52 week high (21.8) 364 days ago. Dividend stock.
Cenovus Energy Inc rises 13.5% (12.01) since previous day.
Volume rises 31.4%. It is 13.5% higher than 52 week low (10.58) 1 days ago, and -44.9% lower than 52 week high (21.8) 364 days ago. Dividend stock.
Cenovus Energy Inc is at 2 years low (10.58).
52 weeks low is 10.58. Previous year high is 21.57, and 52 weeks high is 21.8. Dividend stock.
Cenovus Energy Inc is at 2 years low (11.19).
52 weeks low is 11.19. Previous year high is 21.45, and 52 weeks high is 21.8. Dividend stock.
Cenovus Energy Inc is at 2 years low (11.25).
52 weeks low is 11.25. Previous year high is 21.38, and 52 weeks high is 21.8. Dividend stock.
Cenovus Energy Inc drops -12.7% (11.25) since previous day.
Volume rises 15.1%. Dividend stock.
Carvana Co. - Class A (297.03) drops after 2 years high (345.64).
It is 141.5% higher than previous year high (122.97) 403 days ago, and 1320.5% higher than previous year low (20.91) 718 days ago.
Carvana Co. - Class A is at 2 years high (345.64).
52 weeks high is 345.64. Previous year low is 14.78, and 52 weeks low is 103.04. It is 181.1% higher than previous year high (122.97) 394 days ago, and 2238.6% higher than previous year low (14.78) 729 days ago.
Carvana Co. - Class A is at 2 years high (340.12).
52 weeks high is 340.12. Previous year low is 14.78, and 52 weeks low is 101.1. It is 176.6% higher than previous year high (122.97) 393 days ago, and 2201.2% higher than previous year low (14.78) 728 days ago.
Carvana Co. - Class A is at 2 years high (331.44).
52 weeks high is 331.44. Previous year low is 14.78, and 52 weeks low is 98.96. It is 169.5% higher than previous year high (122.97) 392 days ago, and 2142.5% higher than previous year low (14.78) 727 days ago.
Carvana Co. - Class A is at 2 years high (327.16).
52 weeks high is 327.16. Previous year low is 12.92, and 52 weeks low is 98.96. It is 166.0% higher than previous year high (122.97) 389 days ago, and 2432.2% higher than previous year low (12.92) 730 days ago.
Carvana Co. - Class A is at 2 years high (320.31).
52 weeks high is 320.31. Previous year low is 12.92, and 52 weeks low is 98.96. It is 160.5% higher than previous year high (122.97) 387 days ago, and 2379.2% higher than previous year low (12.92) 728 days ago.
Carvana Co. - Class A is at 2 years high (312.91).
52 weeks high is 312.91. Previous year low is 12.92, and 52 weeks low is 98.96. It is 154.5% higher than previous year high (122.97) 386 days ago, and 2321.9% higher than previous year low (12.92) 727 days ago.
Carvana Co. - Class A is at 2 years high (305.52).
52 weeks high is 305.52. Previous year low is 10.6, and 52 weeks low is 98.96. It is 148.5% higher than previous year high (122.97) 373 days ago, and 2782.3% higher than previous year low (10.6) 729 days ago.
Carvana Co. - Class A is at 2 years high (293.06).
52 weeks high is 293.06. Previous year low is 10.6, and 52 weeks low is 98.96. It is 138.3% higher than previous year high (122.97) 372 days ago, and 2664.7% higher than previous year low (10.6) 728 days ago.
Carvana Co. - Class A rises 32.6% (293.06) over last 20 days.
It rises on average 10.9% per week.
Carvana Co. - Class A rises 31.9% (279.62) over last 20 days.
It rises on average 10.6% per week. It is 127.4% higher than previous year high (122.97) 371 days ago, and 2537.9% higher than previous year low (10.6) 727 days ago.
Carvana Co. - Class A rises 36.9% (268.12) over last 20 days.
It rises on average 12.3% per week. It is 118.0% higher than previous year high (122.97) 368 days ago, and 2453.5% higher than previous year low (10.5) 728 days ago.
Carvana Co. - Class A is at 2 years high (285.53).
52 weeks high is 285.53. Previous year low is 10.5, and 52 weeks low is 98.96. It is 132.2% higher than previous year high (122.97) 367 days ago, and 2619.3% higher than previous year low (10.5) 727 days ago.
Carvana Co. - Class A rises 45.8% (285.53) over last 20 days.
It rises on average 15.3% per week.
Carvana Co. - Class A rises 10.2% (285.53) since previous day.
Volume rises 63.4%.
Carvana Co. - Class A rises 37.0% (241.53) over last 20 days.
It rises on average 12.3% per week. It is 166.0% higher than previous year high (90.81) 398 days ago, and 3385.3% higher than previous year low (6.93) 728 days ago.
Carvana Co. - Class A rises 41.3% (237.15) over last 20 days.
It rises on average 13.8% per week. It is 161.1% higher than previous year high (90.81) 395 days ago, and 3322.1% higher than previous year low (6.93) 725 days ago.
Carvana Co. - Class A rises 44.6% (235.02) over last 20 days.
It rises on average 14.9% per week. It is 158.8% higher than previous year high (90.81) 394 days ago, and 3291.3% higher than previous year low (6.93) 724 days ago.
Carvana Co. - Class A rises 25.0% (220.44) since previous day.
Volume rises 13.4%. It is 142.7% higher than previous year high (90.81) 379 days ago, and 3081.0% higher than previous year low (6.93) 709 days ago.
Carvana Co. - Class A drops -10.6% (162.57) since previous day.
Volume rises 2.5%. It is 79.0% higher than previous year high (90.81) 374 days ago, and 2245.9% higher than previous year low (6.93) 704 days ago.
Carvana Co. - Class A drops -19.7% (181.79) since previous day.
Volume rises 130.7%. It is 100.2% higher than previous year high (90.81) 373 days ago, and 2523.2% higher than previous year low (6.93) 703 days ago.
Carvana Co. - Class A rises 35.8% (226.32) over last 20 days.
It rises on average 11.9% per week. It is 149.2% higher than previous year high (90.81) 372 days ago, and 3165.8% higher than previous year low (6.93) 702 days ago.
Carvana Co. - Class A rises 11.9% (213.63) over last 3 days.
Volume drops -17.5%. It is 141.6% higher than previous year high (88.41) 364 days ago, and 2982.7% higher than previous year low (6.93) 693 days ago.
Carvana Co. - Class A drops -10.7% (166.52) since previous day.
Volume rises 65.2%. It is 95.2% higher than previous year high (85.3) 375 days ago, and 2302.9% higher than previous year low (6.93) 687 days ago.
CVS Health Corp (63.08) drops after 52 weeks high (70.18).
It is -10.1% lower than 52 week high (70.18) 57 days ago, and 44.1% higher than 52 week low (43.78) 168 days ago. Dividend stock.
CVS Health Corp (62.11) drops after 52 weeks high (70.18).
It is -11.5% lower than 52 week high (70.18) 42 days ago, and 41.9% higher than 52 week low (43.78) 153 days ago. Dividend stock.
CVS Health Corp (60.5) drops after 52 weeks high (70.18).
It is -13.8% lower than 52 week high (70.18) 34 days ago, and 38.2% higher than 52 week low (43.78) 145 days ago. Dividend stock.
CVS Health Corp (63.66) drops after 52 weeks high (74.58).
It is -14.6% lower than 52 week high (74.58) 364 days ago, and 45.4% higher than 52 week low (43.78) 106 days ago. Dividend stock.
Chevron Corp is at 2 years low (133.73).
52 weeks low is 133.73. Previous year high is 171.48, and 52 weeks high is 168.51. Dividend stock.
Chevron Corp is at 2 years low (134.54).
52 weeks low is 134.54. Previous year high is 171.48, and 52 weeks high is 168.51. Dividend stock.
Chevron Corp is at 2 years low (134.98).
52 weeks low is 134.98. Previous year high is 172.44, and 52 weeks high is 168.51. Dividend stock.
Chevron Corp is at 2 years low (136.93).
52 weeks low is 136.93. Previous year high is 172.44, and 52 weeks high is 168.51. Dividend stock.
Chevron Corp (143.28) drops after 52 weeks high (168.51).
It is 3.9% higher than 52 week low (137.88) 205 days ago, and -15.0% lower than 52 week high (168.51) 3 days ago. Dividend stock.
Chevron Corp is at 52 week high (168.51).
It is -2.3% lower than previous year high (172.44), and 22.2% higher than 52 weeks low (137.88) 202 days ago. Dividend stock.
Chevron Corp is at 52 week high (167.97).
It is -2.6% lower than previous year high (172.44), and 21.8% higher than 52 weeks low (137.88) 196 days ago. Dividend stock.
CoreCivic Inc (21.51) drops after 2 years high (23.94).
It is 33.5% higher than previous year high (16.11) 396 days ago, and 158.2% higher than previous year low (8.33) 726 days ago. Dividend stock.
Deere & Company is at 2 years high (531.48).
52 weeks high is 531.48. Previous year low is 345.98, and 52 weeks low is 344.84. It is 19.1% higher than previous year high (446.33) 661 days ago, and 54.1% higher than 52 week low (344.84) 284 days ago. Dividend stock.
Deere & Company is at 2 years high (516.32).
52 weeks high is 516.32. Previous year low is 345.98, and 52 weeks low is 344.84. It is 15.7% higher than previous year high (446.33) 660 days ago, and 49.7% higher than 52 week low (344.84) 283 days ago. Dividend stock.
Deere & Company (452.42) drops after 2 years high (509.27).
It is 1.4% higher than previous year high (446.33) 631 days ago, and 31.2% higher than 52 week low (344.84) 254 days ago. Dividend stock.
Deere & Company (447.45) drops after 2 years high (509.27).
It is 0.3% higher than previous year high (446.33) 618 days ago, and 29.8% higher than 52 week low (344.84) 241 days ago. Dividend stock.
Diageo plc (113.28) rebounds after 2 years low (101.7).
It is 11.4% higher than 52 week low (101.7) 24 days ago, and -21.1% lower than 52 week high (143.64) 353 days ago.
Diageo plc (112.02) rebounds after 2 years low (101.7).
It is 10.1% higher than 52 week low (101.7) 22 days ago, and -22.0% lower than 52 week high (143.64) 351 days ago.
Diageo plc (112.37) rebounds after 2 years low (101.7).
It is 10.5% higher than 52 week low (101.7) 14 days ago, and -21.8% lower than 52 week high (143.64) 343 days ago.
Diageo plc is at 2 years low (101.7).
52 weeks low is 101.7. Previous year high is 189.25, and 52 weeks high is 143.9.
Diageo plc is at 2 years low (101.78).
52 weeks low is 101.78. Previous year high is 189.25, and 52 weeks high is 143.9.
Diageo plc is at 2 years low (103.97).
52 weeks low is 103.97. Previous year high is 189.25, and 52 weeks high is 144.44.
Diageo plc is at 2 years low (104.51).
52 weeks low is 104.51. Previous year high is 189.25, and 52 weeks high is 149.08.
Diageo plc is at 2 years low (104.79).
52 weeks low is 104.79. Previous year high is 189.25, and 52 weeks high is 149.08.
Diageo plc is at 2 years low (105.2).
52 weeks low is 105.2. Previous year high is 189.25, and 52 weeks high is 149.42.
Diageo plc is at 2 years low (106.19).
52 weeks low is 106.19. Previous year high is 189.25, and 52 weeks high is 149.42.
D.R. Horton Inc (126.94) rebounds after 52 weeks low (115.1).
It is -22.9% lower than previous year high (164.55) 439 days ago, and 26.1% higher than previous year low (100.66) 594 days ago.
D.R. Horton Inc (127.31) rebounds after 52 weeks low (115.1).
It is -22.6% lower than previous year high (164.55) 400 days ago, and 26.5% higher than previous year low (100.66) 555 days ago.
D.R. Horton Inc is at 52 week low (115.1).
It is 19.6% higher than previous year low (96.22), and -41.6% lower than 52 weeks high (197.06) 201 days ago.
D.R. Horton Inc is at 52 week low (120.81).
It is 25.6% higher than previous year low (96.22), and -38.7% lower than 52 weeks high (197.06) 200 days ago.
D.R. Horton Inc is at 52 week low (122.31).
It is 27.9% higher than previous year low (95.64), and -37.9% lower than 52 weeks high (197.06) 196 days ago.
Danaher Corp (196.31) rebounds after 2 years low (174.64).
It is 12.4% higher than 52 week low (174.64) 15 days ago, and -26.1% lower than previous year high (265.5454) 600 days ago.
Danaher Corp (192.97) rebounds after 2 years low (174.64).
It is 10.5% higher than 52 week low (174.64) 6 days ago, and -27.3% lower than previous year high (265.5454) 591 days ago.
Danaher Corp is at 2 years low (174.64).
52 weeks low is 174.64. Previous year high is 265.5454, and 52 weeks high is 280.76.
Danaher Corp is at 2 years low (180.62).
52 weeks low is 180.62. Previous year high is 265.5454, and 52 weeks high is 280.76.
Danaher Corp is at 2 years low (181.77).
52 weeks low is 181.77. Previous year high is 265.5454, and 52 weeks high is 280.76.
Danaher Corp is at 52 week low (197.9).
It is 6.9% higher than previous year low (185.1), and -29.5% lower than 52 weeks high (280.76) 245 days ago.
Danaher Corp is at 52 week low (200.39).
It is 8.3% higher than previous year low (185.1), and -28.6% lower than 52 weeks high (280.76) 243 days ago.
Walt Disney Co (The) is at 52 week high (119.52).
It is -2.7% lower than previous year high (122.82), and 46.3% higher than 52 weeks low (81.72) 64 days ago.
Walt Disney Co (The) is at 52 week high (118.73).
It is -3.3% lower than previous year high (122.82), and 45.3% higher than 52 weeks low (81.72) 63 days ago.
Walt Disney Co (The) rises 10.8% (102.09) since previous day.
Volume rises 205.5%. It is -13.2% lower than 52 week high (117.6) 161 days ago, and 28.7% higher than previous year low (79.32) 581 days ago.
Walt Disney Co (The) (90.01) rebounds after 52 weeks low (81.72).
It is 13.5% higher than previous year low (79.32) 568 days ago, and -23.5% lower than 52 week high (117.6) 148 days ago.
Walt Disney Co (The) (91.44) rebounds after 52 weeks low (81.72).
It is 15.3% higher than previous year low (79.32) 553 days ago, and -22.2% lower than 52 week high (117.6) 133 days ago.
Walt Disney Co (The) rises 11.9% (91.44) since previous day.
Volume rises 68.2%. It is 15.3% higher than previous year low (79.32) 553 days ago, and -22.2% lower than 52 week high (117.6) 133 days ago.
Walt Disney Co (The) is at 52 week low (81.72).
It is 3.0% higher than previous year low (79.32), and -30.7% lower than 52 weeks high (117.97) 364 days ago.
Walt Disney Co (The) is at 52 week low (83.3).
It is 5.0% higher than previous year low (79.32), and -29.4% lower than 52 weeks high (117.97) 363 days ago.
Walt Disney Co (The) is at 52 week low (83.53).
It is 5.3% higher than previous year low (79.32), and -29.4% lower than 52 weeks high (118.38) 364 days ago.
NOW Inc (14.66) drops after 2 years high (17.59).
It is -5.0% lower than previous year high (15.43) 394 days ago, and 64.9% higher than previous year low (8.89) 707 days ago.
NOW Inc (15.22) drops after 2 years high (17.59).
It is -1.4% lower than previous year high (15.43) 378 days ago, and 71.2% higher than previous year low (8.89) 691 days ago.
NOW Inc rises 10.4% (15.66) since previous day.
Volume rises 0.9%. It is 1.5% higher than previous year high (15.43) 366 days ago, and 76.2% higher than previous year low (8.89) 679 days ago.
NOW Inc (14.78) drops after 2 years high (17.59).
It is -3.1% lower than previous year high (15.25) 373 days ago, and 66.3% higher than previous year low (8.89) 674 days ago.
Dominos Pizza Inc (474.52) drops after 2 years high (533.64).
It is -10.3% lower than previous year high (529.27) 394 days ago, and 63.7% higher than previous year low (289.85) 729 days ago.
Dominos Pizza Inc (477.84) drops after 2 years high (533.64).
It is -9.7% lower than previous year high (529.27) 370 days ago, and 64.9% higher than previous year low (289.85) 705 days ago.
Dominos Pizza Inc (456.35) rebounds after 52 weeks low (402.33).
It is -10.0% lower than previous year high (506.83) 364 days ago, and 57.4% higher than previous year low (289.85) 679 days ago.
Dominos Pizza Inc (449.6) rebounds after 52 weeks low (402.33).
It is -2.0% lower than previous year high (459.0) 385 days ago, and 55.1% higher than previous year low (289.85) 656 days ago.
DaVita Inc (145.77) rebounds after 52 weeks low (132.25).
It is 2.5% higher than previous year high (142.24) 383 days ago, and 99.1% higher than previous year low (73.2) 585 days ago.
Ecolab Inc is at 2 years high (270.95).
52 weeks high is 270.95. Previous year low is 157.44, and 52 weeks low is 225.65. It is 12.1% higher than previous year high (241.68) 365 days ago, and 72.1% higher than previous year low (157.44) 594 days ago. Dividend stock.
Ecolab Inc (251.43) rebounds after 52 weeks low (224.98).
It is 8.5% higher than previous year high (231.76) 399 days ago, and 59.7% higher than previous year low (157.44) 551 days ago. Dividend stock.
Ecolab Inc (237.77) drops after 2 years high (269.82).
It is 2.6% higher than previous year high (231.76) 373 days ago, and 51.0% higher than previous year low (157.44) 525 days ago. Dividend stock.
Equifax Inc (258.52) drops after 2 years high (307.13).
It is -5.5% lower than previous year high (273.59) 447 days ago, and 58.9% higher than previous year low (162.68) 572 days ago.
Equifax Inc (245.08) rebounds after 52 weeks low (205.5).
It is -10.4% lower than previous year high (273.59) 418 days ago, and 50.7% higher than previous year low (162.68) 543 days ago.
Equifax Inc rises 13.8% (245.08) since previous day.
Volume rises 35.2%. It is -10.4% lower than previous year high (273.59) 418 days ago, and 50.7% higher than previous year low (162.68) 543 days ago.
Equifax Inc is at 52 week low (205.5).
It is 26.3% higher than previous year low (162.68), and -33.1% lower than 52 weeks high (307.13) 221 days ago.
Equifax Inc is at 52 week low (208.69).
It is 28.3% higher than previous year low (162.68), and -32.1% lower than 52 weeks high (307.13) 220 days ago.
Equifax Inc is at 52 week low (210.07).
It is 29.1% higher than previous year low (162.68), and -31.6% lower than 52 weeks high (307.13) 217 days ago.
Equifax Inc (242.26) rebounds after 52 weeks low (216.2).
It is -11.5% lower than previous year high (273.59) 384 days ago, and 48.9% higher than previous year low (162.68) 509 days ago.
Equifax Inc (240.26) rebounds after 52 weeks low (216.2).
It is -12.2% lower than previous year high (273.59) 382 days ago, and 47.7% higher than previous year low (162.68) 507 days ago.
Elevance Health Inc (403.29) rebounds after 2 years low (365.83).
It is 10.2% higher than 52 week low (365.83) 134 days ago, and -26.4% lower than previous year high (547.71) 364 days ago.
Eastman Chemical Company (81.27) rebounds after 52 weeks low (72.7).
It is 17.7% higher than previous year low (69.03) 594 days ago, and -21.5% lower than previous year high (103.5) 364 days ago.
Eastman Chemical Company (80.46) rebounds after 52 weeks low (72.7).
It is 16.6% higher than previous year low (69.03) 587 days ago, and -21.1% lower than previous year high (102.02) 426 days ago.
Eastman Chemical Company (82.77) rebounds after 52 weeks low (72.7).
It is -18.9% lower than previous year high (102.02) 404 days ago, and 19.9% higher than previous year low (69.03) 565 days ago.
Eastman Chemical Company (80.82) rebounds after 52 weeks low (72.7).
It is 17.1% higher than previous year low (69.03) 547 days ago, and -20.8% lower than previous year high (102.02) 386 days ago.
Eastman Chemical Company (81.48) rebounds after 52 weeks low (72.7).
It is 18.0% higher than previous year low (69.03) 532 days ago, and -20.1% lower than previous year high (102.02) 371 days ago.
Eastman Chemical Company rises 12.1% (81.48) since previous day.
Volume drops -18.0%. It is 18.0% higher than previous year low (69.03) 532 days ago, and -20.1% lower than previous year high (102.02) 371 days ago.
Eastman Chemical Company is at 52 week low (72.7).
It is 5.3% higher than previous year low (69.03), and -36.1% lower than 52 weeks high (113.77) 194 days ago.
Eastman Chemical Company is at 52 week low (73.65).
It is 6.7% higher than previous year low (69.03), and -35.3% lower than 52 weeks high (113.77) 193 days ago.
Eastman Chemical Company is at 52 week low (75.53).
It is 9.4% higher than previous year low (69.03), and -33.6% lower than 52 weeks high (113.77) 190 days ago.
Eastman Chemical Company is at 52 week low (79.98).
It is 15.9% higher than previous year low (69.03), and -29.7% lower than 52 weeks high (113.77) 189 days ago.
Eastman Chemical Company is at 52 week low (87.05).
It is 26.1% higher than previous year low (69.03), and -23.5% lower than 52 weeks high (113.77) 183 days ago.
Eaton Corporation plc (275.66) rebounds after 52 weeks low (246.52).
It is -16.6% lower than previous year high (330.51) 383 days ago, and 70.2% higher than previous year low (161.92) 728 days ago.
Eaton Corporation plc (277.53) rebounds after 52 weeks low (246.52).
It is -16.0% lower than previous year high (330.51) 371 days ago, and 72.7% higher than previous year low (160.69) 729 days ago.
Eaton Corporation plc (283.59) rebounds after 52 weeks low (246.52).
It is -14.2% lower than previous year high (330.51) 369 days ago, and 80.1% higher than previous year low (157.44) 730 days ago.
Eaton Corporation plc rises 12.8% (283.59) since previous day.
Volume rises 17.8%. It is -14.2% lower than previous year high (330.51) 369 days ago, and 80.1% higher than previous year low (157.44) 730 days ago.
Eaton Corporation plc is at 52 week low (246.52).
It is 57.8% higher than previous year low (156.25), and -34.7% lower than 52 weeks high (377.52) 121 days ago.
Eaton Corporation plc is at 52 week low (260.85).
It is 66.9% higher than previous year low (156.25), and -30.9% lower than 52 weeks high (377.52) 120 days ago.
Eaton Corporation plc is at 52 week low (271.83).
It is 74.0% higher than previous year low (156.25), and -28.0% lower than 52 weeks high (377.52) 117 days ago.
Eaton Corporation plc (302.84) rebounds after 52 weeks low (272.52).
It is -4.3% lower than previous year high (316.58) 367 days ago, and 93.8% higher than previous year low (156.25) 718 days ago.
Fedex Corp (219.61) rebounds after 2 years low (198.07).
It is 10.9% higher than 52 week low (198.07) 59 days ago, and -24.2% lower than previous year high (289.74) 435 days ago.
Fedex Corp (220.26) rebounds after 2 years low (198.07).
It is 11.2% higher than 52 week low (198.07) 51 days ago, and -24.0% lower than previous year high (289.74) 427 days ago.
Fedex Corp (219.76) rebounds after 2 years low (198.07).
It is 11.0% higher than 52 week low (198.07) 49 days ago, and -24.2% lower than previous year high (289.74) 425 days ago.
Fedex Corp (218.81) rebounds after 2 years low (198.07).
It is 10.5% higher than 52 week low (198.07) 44 days ago, and -24.5% lower than previous year high (289.74) 420 days ago.
Fedex Corp (232.95) rebounds after 2 years low (198.07).
It is 17.6% higher than 52 week low (198.07) 34 days ago, and -19.6% lower than previous year high (289.74) 410 days ago.
Fedex Corp (219.21) rebounds after 2 years low (198.07).
It is 10.7% higher than 52 week low (198.07) 30 days ago, and -24.3% lower than previous year high (289.74) 406 days ago.
Fedex Corp (219.72) rebounds after 2 years low (198.07).
It is 10.9% higher than 52 week low (198.07) 24 days ago, and -24.2% lower than previous year high (289.74) 400 days ago.
Fedex Corp (217.94) rebounds after 2 years low (198.07).
It is 10.0% higher than 52 week low (198.07) 1 days ago, and -24.8% lower than previous year high (289.74) 377 days ago.
Fedex Corp rises 10.0% (217.94) since previous day.
Volume rises 64.9%. It is 10.0% higher than 52 week low (198.07) 1 days ago, and -24.8% lower than previous year high (289.74) 377 days ago.
Fedex Corp is at 2 years low (198.07).
52 weeks low is 198.07. Previous year high is 289.74, and 52 weeks high is 313.52.
Fedex Corp is at 2 years low (205.23).
52 weeks low is 205.23. Previous year high is 289.74, and 52 weeks high is 313.52.
Fedex Corp is at 2 years low (210.12).
52 weeks low is 210.12. Previous year high is 289.74, and 52 weeks high is 313.52.
Fedex Corp is at 2 years low (215.86).
52 weeks low is 215.86. Previous year high is 289.74, and 52 weeks high is 313.52.
Fedex Corp drops -12.0% (215.86) since previous day.
Volume rises 413.8%.
Fedex Corp is at 52 week low (230.33).
It is 6.2% higher than previous year low (216.92), and -26.5% lower than 52 weeks high (313.52) 248 days ago.
Floor & Decor Holdings Inc - Class A (74.06) rebounds after 2 years low (67.02).
It is 10.5% higher than 52 week low (67.02) 11 days ago, and -40.4% lower than 52 week high (124.17) 214 days ago.
Floor & Decor Holdings Inc - Class A is at 2 years low (67.02).
52 weeks low is 67.02. Previous year high is 133.75, and 52 weeks high is 124.17.
Floor & Decor Holdings Inc - Class A is at 2 years low (69.0).
52 weeks low is 69.0. Previous year high is 133.75, and 52 weeks high is 124.17.
Floor & Decor Holdings Inc - Class A (78.2) rebounds after 2 years low (69.89).
It is 11.9% higher than 52 week low (69.89) 1 days ago, and -37.0% lower than 52 week high (124.17) 191 days ago.
Floor & Decor Holdings Inc - Class A rises 11.9% (78.2) since previous day.
Volume rises 64.2%. It is 11.9% higher than 52 week low (69.89) 1 days ago, and -37.0% lower than 52 week high (124.17) 191 days ago.
Floor & Decor Holdings Inc - Class A is at 2 years low (69.89).
52 weeks low is 69.89. Previous year high is 133.75, and 52 weeks high is 124.17.
Floor & Decor Holdings Inc - Class A is at 2 years low (70.27).
52 weeks low is 70.27. Previous year high is 133.75, and 52 weeks high is 124.17.
Floor & Decor Holdings Inc - Class A drops -14.4% (70.27) since previous day.
Volume rises 435.0%.
Floor & Decor Holdings Inc - Class A is at 52 week low (79.88).
It is 3.5% higher than previous year low (77.16), and -35.7% lower than 52 weeks high (124.17) 183 days ago.
Floor & Decor Holdings Inc - Class A is at 52 week low (80.4).
It is 4.2% higher than previous year low (77.16), and -36.5% lower than 52 weeks high (126.69) 361 days ago.
Floor & Decor Holdings Inc - Class A is at 52 week low (82.77).
It is 7.3% higher than previous year low (77.16), and -36.2% lower than 52 weeks high (129.65) 364 days ago.
Floor & Decor Holdings Inc - Class A is at 52 week low (82.97).
It is 7.5% higher than previous year low (77.16), and -38.0% lower than 52 weeks high (133.75) 363 days ago.
Floor & Decor Holdings Inc - Class A is at 52 week low (83.99).
It is 8.9% higher than previous year low (77.16), and -37.2% lower than 52 weeks high (133.75) 362 days ago.
General Electric Company rises 10.6% (187.27) since previous day.
Volume drops -5.2%. It is 4.0% higher than previous year high (180.12) 378 days ago, and 99.4% higher than previous year low (93.91) 729 days ago. Dividend stock.
General Electric Company drops -11.1% (166.81) since previous day.
Volume rises 32.3%. It is -7.4% lower than previous year high (180.12) 373 days ago, and 78.2% higher than previous year low (93.6) 729 days ago. Dividend stock.
General Electric Company (187.63) drops after 2 years high (212.13).
It is 4.2% higher than previous year high (180.12) 372 days ago, and 100.5% higher than previous year low (93.6) 728 days ago. Dividend stock.
General Electric Company is at 2 years high (212.13).
52 weeks high is 212.13. Previous year low is 93.14, and 52 weeks low is 136.47. It is 20.1% higher than previous year high (176.64) 369 days ago, and 127.8% higher than previous year low (93.14) 728 days ago. Dividend stock.
Geo Group Inc drops -10.0% (27.32) since previous day.
Volume rises 58.6%. It is 71.5% higher than previous year high (15.93) 394 days ago, and 293.1% higher than previous year low (6.95) 621 days ago. Dividend stock.
Globe Life Inc (119.78) drops after 2 years high (133.09).
It is -6.7% lower than previous year high (128.4) 469 days ago, and 143.6% higher than previous year low (49.17) 426 days ago. Dividend stock.
Globe Life Inc (119.77) drops after 2 years high (133.09).
It is -6.7% lower than previous year high (128.4) 463 days ago, and 143.6% higher than previous year low (49.17) 420 days ago. Dividend stock.
Globe Life Inc (119.56) drops after 2 years high (133.09).
It is -6.9% lower than previous year high (128.4) 449 days ago, and 143.2% higher than previous year low (49.17) 406 days ago. Dividend stock.
Globe Life Inc (119.28) drops after 2 years high (133.09).
It is -7.1% lower than previous year high (128.4) 441 days ago, and 142.6% higher than previous year low (49.17) 398 days ago. Dividend stock.
Globe Life Inc (117.72) drops after 2 years high (133.09).
It is -8.3% lower than previous year high (128.4) 428 days ago, and 139.4% higher than previous year low (49.17) 385 days ago. Dividend stock.
Globe Life Inc (117.17) drops after 2 years high (133.09).
It is -8.7% lower than previous year high (128.4) 418 days ago, and 138.3% higher than previous year low (49.17) 375 days ago. Dividend stock.
Globe Life Inc (118.6) drops after 2 years high (133.09).
It is -7.6% lower than previous year high (128.4) 407 days ago, and 141.2% higher than 52 week low (49.17) 364 days ago. Dividend stock.
Globe Life Inc (117.22) drops after 2 years high (133.09).
It is -8.7% lower than previous year high (128.4) 401 days ago, and 138.4% higher than 52 week low (49.17) 358 days ago. Dividend stock.
Globe Life Inc is at 2 years high (133.09).
52 weeks high is 133.09. Previous year low is 103.18, and 52 weeks low is 49.17. It is 3.7% higher than previous year high (128.4) 399 days ago, and 170.7% higher than 52 week low (49.17) 356 days ago. Dividend stock.
Globe Life Inc is at 2 years high (132.13).
52 weeks high is 132.13. Previous year low is 103.18, and 52 weeks low is 49.17. It is 2.9% higher than previous year high (128.4) 398 days ago, and 168.7% higher than 52 week low (49.17) 355 days ago. Dividend stock.
Globe Life Inc is at 2 years high (131.72).
52 weeks high is 131.72. Previous year low is 103.18, and 52 weeks low is 49.17. It is 2.6% higher than previous year high (128.4) 397 days ago, and 167.9% higher than 52 week low (49.17) 354 days ago. Dividend stock.
Globe Life Inc is at 2 years high (131.42).
52 weeks high is 131.42. Previous year low is 103.18, and 52 weeks low is 49.17. It is 2.4% higher than previous year high (128.4) 393 days ago, and 167.3% higher than 52 week low (49.17) 350 days ago. Dividend stock.
Globe Life Inc is at 2 years high (130.53).
52 weeks high is 130.53. Previous year low is 103.18, and 52 weeks low is 49.17. It is 1.7% higher than previous year high (128.4) 392 days ago, and 165.5% higher than 52 week low (49.17) 349 days ago. Dividend stock.
Globe Life Inc is at 2 years high (129.9).
52 weeks high is 129.9. Previous year low is 103.18, and 52 weeks low is 49.17. It is 1.2% higher than previous year high (128.4) 391 days ago, and 164.2% higher than 52 week low (49.17) 348 days ago. Dividend stock.
Globe Life Inc is at 2 years high (129.79).
52 weeks high is 129.79. Previous year low is 103.18, and 52 weeks low is 49.17. It is 1.1% higher than previous year high (128.4) 390 days ago, and 164.0% higher than 52 week low (49.17) 347 days ago. Dividend stock.
Globe Life Inc is at 2 years high (128.6).
52 weeks high is 128.6. Previous year low is 103.18, and 52 weeks low is 49.17. It is 0.2% higher than previous year high (128.4) 386 days ago, and 161.5% higher than 52 week low (49.17) 343 days ago. Dividend stock.
General Motors Company (45.14) rebounds after 52 weeks low (39.95).
It is -0.6% lower than previous year high (45.4) 378 days ago, and 69.4% higher than previous year low (26.65) 522 days ago. Dividend stock.
General Motors Company (45.74) rebounds after 52 weeks low (39.95).
It is 0.7% higher than previous year high (45.4) 373 days ago, and 71.6% higher than previous year low (26.65) 517 days ago. Dividend stock.
Goldman Sachs Group Inc (604.86) drops after 2 years high (672.19).
It is 28.6% higher than previous year high (470.41) 373 days ago, and 108.6% higher than previous year low (289.91) 580 days ago.
Goldman Sachs Group Inc (593.46) drops after 2 years high (672.19).
It is 26.2% higher than previous year high (470.41) 365 days ago, and 104.7% higher than previous year low (289.91) 572 days ago.
Goldman Sachs Group Inc rises 11.8% (516.87) since previous day.
Volume rises 65.6%. It is 23.7% higher than previous year high (417.69) 377 days ago, and 78.3% higher than previous year low (289.91) 530 days ago.
Houlihan Lokey Inc - Class A (171.39) drops after 2 years high (190.49).
It is 25.3% higher than previous year high (136.8) 395 days ago, and 83.4% higher than previous year low (93.47) 730 days ago.
Houlihan Lokey Inc - Class A rises 10.1% (155.85) since previous day.
Volume rises 63.8%. It is 17.5% higher than previous year high (132.64) 366 days ago, and 82.4% higher than previous year low (85.44) 730 days ago.
HP Inc (24.18) rebounds after 2 years low (21.88).
It is 10.5% higher than 52 week low (21.88) 14 days ago, and -27.9% lower than previous year high (33.56) 649 days ago.
HP Inc (24.28) rebounds after 2 years low (21.88).
It is 11.0% higher than 52 week low (21.88) 1 days ago, and -27.7% lower than previous year high (33.56) 636 days ago.
HP Inc rises 11.0% (24.28) since previous day.
Volume rises 9.9%. It is 11.0% higher than 52 week low (21.88) 1 days ago, and -27.7% lower than previous year high (33.56) 636 days ago.
HP Inc is at 2 years low (21.88).
52 weeks low is 21.88. Previous year high is 33.56, and 52 weeks high is 39.3.
HP Inc is at 2 years low (22.61).
52 weeks low is 22.61. Previous year high is 33.56, and 52 weeks high is 39.3.
HP Inc is at 2 years low (23.78).
52 weeks low is 23.78. Previous year high is 33.56, and 52 weeks high is 39.3.
HP Inc drops -14.7% (23.78) since previous day.
Volume rises 281.6%.
Kinross Gold Corp is at 2 years high (15.79).
52 weeks high is 15.79. Previous year low is 4.36, and 52 weeks low is 7.39. It is 92.1% higher than previous year high (8.22) 388 days ago, and 262.2% higher than previous year low (4.36) 620 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (15.71).
52 weeks high is 15.71. Previous year low is 4.36, and 52 weeks low is 7.38. It is 91.1% higher than previous year high (8.22) 377 days ago, and 260.3% higher than previous year low (4.36) 609 days ago. Dividend stock.
Kinross Gold Corp (13.7) drops after 2 years high (15.61).
It is 80.5% higher than previous year high (7.59) 364 days ago, and 214.2% higher than previous year low (4.36) 588 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (15.61).
52 weeks high is 15.61. Previous year low is 4.36, and 52 weeks low is 7.1. It is 119.9% higher than previous year high (7.1) 364 days ago, and 258.0% higher than previous year low (4.36) 583 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (15.2).
52 weeks high is 15.2. Previous year low is 4.36, and 52 weeks low is 6.77. It is 122.2% higher than previous year high (6.84) 372 days ago, and 248.6% higher than previous year low (4.36) 582 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (15.03).
52 weeks high is 15.03. Previous year low is 4.36, and 52 weeks low is 6.42. It is 131.9% higher than previous year high (6.48) 370 days ago, and 244.7% higher than previous year low (4.36) 562 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (14.65).
52 weeks high is 14.65. Previous year low is 4.36, and 52 weeks low is 6.31. It is 126.1% higher than previous year high (6.48) 369 days ago, and 236.0% higher than previous year low (4.36) 561 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (14.5).
52 weeks high is 14.5. Previous year low is 4.36, and 52 weeks low is 6.31. It is 123.8% higher than previous year high (6.48) 368 days ago, and 232.6% higher than previous year low (4.36) 560 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (14.38).
52 weeks high is 14.38. Previous year low is 4.36, and 52 weeks low is 6.31. It is 121.9% higher than previous year high (6.48) 365 days ago, and 229.8% higher than previous year low (4.36) 557 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (13.69).
52 weeks high is 13.69. Previous year low is 4.36, and 52 weeks low is 6.31. It is 111.3% higher than previous year high (6.48) 364 days ago, and 214.0% higher than previous year low (4.36) 556 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (13.02).
52 weeks high is 13.02. Previous year low is 4.36, and 52 weeks low is 6.31. It is 101.5% higher than previous year high (6.46) 365 days ago, and 198.6% higher than previous year low (4.36) 555 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (12.85).
52 weeks high is 12.85. Previous year low is 4.36, and 52 weeks low is 6.28. It is 100.5% higher than previous year high (6.41) 364 days ago, and 194.7% higher than previous year low (4.36) 548 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (12.61).
52 weeks high is 12.61. Previous year low is 4.36, and 52 weeks low is 6.16. It is 102.7% higher than previous year high (6.22) 460 days ago, and 189.2% higher than previous year low (4.36) 546 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (12.51).
52 weeks high is 12.51. Previous year low is 4.36, and 52 weeks low is 6.13. It is 101.1% higher than previous year high (6.22) 456 days ago, and 186.9% higher than previous year low (4.36) 542 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (12.32).
52 weeks high is 12.32. Previous year low is 4.15, and 52 weeks low is 5.65. It is 98.1% higher than previous year high (6.22) 449 days ago, and 196.9% higher than previous year low (4.15) 730 days ago. Dividend stock.
Kinross Gold Corp is at 2 years high (12.2).
52 weeks high is 12.2. Previous year low is 4.15, and 52 weeks low is 5.65. It is 96.1% higher than previous year high (6.22) 448 days ago, and 194.0% higher than previous year low (4.15) 729 days ago. Dividend stock.
Coca-Cola Company is at 2 years high (73.9).
52 weeks high is 73.9. Previous year low is 52.38, and 52 weeks low is 60.64. It is 14.9% higher than previous year high (64.3) 722 days ago, and 41.1% higher than previous year low (52.38) 565 days ago. Dividend stock.
Coca-Cola Company is at 2 years high (73.18).
52 weeks high is 73.18. Previous year low is 52.38, and 52 weeks low is 58.06. It is 13.8% higher than previous year high (64.3) 703 days ago, and 39.7% higher than previous year low (52.38) 546 days ago. Dividend stock.
Kroger Company (65.49) drops after 2 years high (72.98).
It is 13.3% higher than previous year high (57.82) 433 days ago, and 54.3% higher than previous year low (42.44) 570 days ago. Dividend stock.
Kroger Company is at 2 years high (72.98).
52 weeks high is 72.98. Previous year low is 42.44, and 52 weeks low is 49.37. It is 26.2% higher than previous year high (57.82) 385 days ago, and 72.0% higher than previous year low (42.44) 522 days ago. Dividend stock.
Kroger Company is at 2 years high (72.31).
52 weeks high is 72.31. Previous year low is 42.44, and 52 weeks low is 49.37. It is 25.1% higher than previous year high (57.82) 384 days ago, and 70.4% higher than previous year low (42.44) 521 days ago. Dividend stock.
Kroger Company is at 2 years high (71.22).
52 weeks high is 71.22. Previous year low is 42.44, and 52 weeks low is 49.37. It is 23.2% higher than previous year high (57.82) 380 days ago, and 67.8% higher than previous year low (42.44) 517 days ago. Dividend stock.
Kroger Company is at 2 years high (70.74).
52 weeks high is 70.74. Previous year low is 42.44, and 52 weeks low is 49.37. It is 22.3% higher than previous year high (57.82) 366 days ago, and 66.7% higher than previous year low (42.44) 503 days ago. Dividend stock.
Kroger Company is at 2 years high (68.14).
52 weeks high is 68.14. Previous year low is 42.44, and 52 weeks low is 49.37. It is 17.8% higher than previous year high (57.82) 364 days ago, and 60.6% higher than previous year low (42.44) 501 days ago. Dividend stock.
Lockheed Martin Corp (469.27) rebounds after 52 weeks low (423.19).
It is -0.3% lower than previous year high (470.56) 395 days ago, and 18.1% higher than previous year low (397.35) 616 days ago. Dividend stock.
Lockheed Martin Corp (468.32) rebounds after 52 weeks low (423.19).
It is -0.5% lower than previous year high (470.56) 368 days ago, and 17.9% higher than previous year low (397.35) 589 days ago. Dividend stock.
Lockheed Martin Corp (466.81) rebounds after 52 weeks low (423.19).
It is -1.8% lower than previous year high (475.58) 730 days ago, and 17.5% higher than previous year low (397.35) 567 days ago. Dividend stock.
Lockheed Martin Corp (474.9) rebounds after 52 weeks low (423.19).
It is -5.3% lower than previous year high (501.41) 724 days ago, and 19.5% higher than previous year low (397.35) 554 days ago. Dividend stock.
Lincoln National Corp (34.49) drops after 2 years high (39.23).
It is 7.5% higher than previous year high (32.08) 413 days ago, and 78.0% higher than previous year low (19.38) 729 days ago. Dividend stock.
Lincoln National Corp (30.33) rebounds after 52 weeks low (26.93).
It is -5.5% lower than previous year high (32.08) 391 days ago, and 58.7% higher than previous year low (19.11) 711 days ago. Dividend stock.
Lincoln National Corp (29.98) rebounds after 52 weeks low (26.85).
It is -6.5% lower than previous year high (32.08) 383 days ago, and 56.9% higher than previous year low (19.11) 703 days ago. Dividend stock.
Lincoln National Corp (33.01) rebounds after 52 weeks low (26.85).
It is 2.9% higher than previous year high (32.08) 378 days ago, and 72.7% higher than previous year low (19.11) 698 days ago. Dividend stock.
Lincoln National Corp rises 14.0% (33.01) since previous day.
Volume rises 117.0%. It is 2.9% higher than previous year high (32.08) 378 days ago, and 72.7% higher than previous year low (19.11) 698 days ago. Dividend stock.
Lincoln National Corp drops -10.1% (29.97) since previous day.
Volume drops -4.8%. It is -6.6% lower than previous year high (32.08) 373 days ago, and 56.8% higher than previous year low (19.11) 693 days ago. Dividend stock.
Lincoln National Corp (33.34) drops after 2 years high (39.23).
It is 3.9% higher than previous year high (32.08) 372 days ago, and 74.5% higher than previous year low (19.11) 692 days ago. Dividend stock.
Lincoln National Corp drops -10.5% (33.34) since previous day.
Volume rises 112.1%. It is 3.9% higher than previous year high (32.08) 372 days ago, and 74.5% higher than previous year low (19.11) 692 days ago. Dividend stock.
Louisiana-Pacific Corp rises 10.5% (89.68) since previous day.
Volume rises 13.1%. It is 6.9% higher than previous year high (83.91) 377 days ago, and 77.8% higher than previous year low (50.44) 530 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (730.8).
52 weeks high is 730.8. Previous year low is 391.25, and 52 weeks low is 479.06. It is 23.6% higher than previous year high (591.29) 366 days ago, and 86.8% higher than previous year low (391.25) 729 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (726.4).
52 weeks high is 726.4. Previous year low is 384.27, and 52 weeks low is 479.06. It is 28.7% higher than previous year high (564.52) 367 days ago, and 89.0% higher than previous year low (384.27) 720 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (724.18).
52 weeks high is 724.18. Previous year low is 384.27, and 52 weeks low is 479.06. It is 28.3% higher than previous year high (564.52) 364 days ago, and 88.5% higher than previous year low (384.27) 717 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (722.37).
52 weeks high is 722.37. Previous year low is 368.56, and 52 weeks low is 479.06. It is 32.4% higher than previous year high (545.75) 365 days ago, and 96.0% higher than previous year low (368.56) 730 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (716.93).
52 weeks high is 716.93. Previous year low is 354.01, and 52 weeks low is 479.06. It is 32.7% higher than previous year high (540.09) 365 days ago, and 102.5% higher than previous year low (354.01) 703 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (693.53).
52 weeks high is 693.53. Previous year low is 354.01, and 52 weeks low is 479.06. It is 28.4% higher than previous year high (540.09) 364 days ago, and 95.9% higher than previous year low (354.01) 702 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (673.69).
52 weeks high is 673.69. Previous year low is 354.01, and 52 weeks low is 479.06. It is 24.9% higher than previous year high (539.26) 370 days ago, and 90.3% higher than previous year low (354.01) 701 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (672.99).
52 weeks high is 672.99. Previous year low is 354.01, and 52 weeks low is 479.06. It is 24.8% higher than previous year high (539.26) 369 days ago, and 90.1% higher than previous year low (354.01) 700 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (668.06).
52 weeks high is 668.06. Previous year low is 354.01, and 52 weeks low is 479.06. It is 23.9% higher than previous year high (539.26) 366 days ago, and 88.7% higher than previous year low (354.01) 697 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (666.36).
52 weeks high is 666.36. Previous year low is 335.83, and 52 weeks low is 479.06. It is 24.7% higher than previous year high (534.34) 366 days ago, and 98.4% higher than previous year low (335.83) 728 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (663.79).
52 weeks high is 663.79. Previous year low is 335.83, and 52 weeks low is 479.06. It is 24.2% higher than previous year high (534.34) 365 days ago, and 97.7% higher than previous year low (335.83) 727 days ago. Dividend stock.
Mckesson Corporation is at 2 years high (661.61).
52 weeks high is 661.61. Previous year low is 335.83, and 52 weeks low is 479.06. It is 23.8% higher than previous year high (534.34) 364 days ago, and 97.0% higher than previous year low (335.83) 726 days ago. Dividend stock.
Moody`s Corp (471.88) drops after 2 years high (527.48).
It is 13.7% higher than previous year high (415.09) 387 days ago, and 56.3% higher than previous year low (301.97) 595 days ago.
Moody`s Corp (472.78) drops after 2 years high (527.48).
It is 13.9% higher than previous year high (415.09) 364 days ago, and 56.6% higher than previous year low (301.97) 572 days ago.
Moody`s Corp (438.59) rebounds after 52 weeks low (370.33).
It is 8.2% higher than previous year high (405.17) 425 days ago, and 48.3% higher than previous year low (295.66) 730 days ago.
Moody`s Corp rises 10.6% (438.59) since previous day.
Volume rises 93.2%. It is 8.2% higher than previous year high (405.17) 425 days ago, and 48.3% higher than previous year low (295.66) 730 days ago.
Moody`s Corp (470.1) drops after 2 years high (527.48).
It is 16.0% higher than previous year high (405.17) 411 days ago, and 60.3% higher than previous year low (293.18) 730 days ago.
Markel Group Inc (1827.46) drops after 2 years high (2059.83).
It is 18.4% higher than previous year high (1543.95) 562 days ago, and 41.2% higher than previous year low (1294.3) 730 days ago.
Markel Group Inc (1844.77) drops after 2 years high (2059.83).
It is 19.5% higher than previous year high (1543.95) 546 days ago, and 51.7% higher than previous year low (1215.92) 725 days ago.
Marsh & McLennan Cos. Inc (218.12) drops after 2 years high (244.27).
It is 3.5% higher than previous year high (210.82) 384 days ago, and 23.0% higher than previous year low (177.37) 728 days ago. Dividend stock.
Marsh & McLennan Cos. Inc (230.01) rebounds after 52 weeks low (208.48).
It is 9.1% higher than previous year high (210.82) 380 days ago, and 31.5% higher than previous year low (174.89) 730 days ago. Dividend stock.
Marsh & McLennan Cos. Inc (219.55) rebounds after 52 weeks low (197.95).
It is 5.6% higher than previous year high (207.9) 405 days ago, and 26.9% higher than previous year low (173.05) 699 days ago. Dividend stock.
Marsh & McLennan Cos. Inc (212.1) drops after 2 years high (244.27).
It is 2.0% higher than previous year high (207.9) 404 days ago, and 22.6% higher than previous year low (173.05) 698 days ago. Dividend stock.
Marsh & McLennan Cos. Inc is at 2 years high (244.27).
52 weeks high is 244.27. Previous year low is 167.72, and 52 weeks low is 196.29. It is 17.5% higher than previous year high (207.9) 386 days ago, and 45.6% higher than previous year low (167.72) 730 days ago. Dividend stock.
Marsh & McLennan Cos. Inc is at 2 years high (244.03).
52 weeks high is 244.03. Previous year low is 167.72, and 52 weeks low is 196.29. It is 17.4% higher than previous year high (207.9) 383 days ago, and 45.5% higher than previous year low (167.72) 727 days ago. Dividend stock.
Marsh & McLennan Cos. Inc is at 2 years high (243.41).
52 weeks high is 243.41. Previous year low is 162.3, and 52 weeks low is 196.29. It is 17.1% higher than previous year high (207.9) 379 days ago, and 50.0% higher than previous year low (162.3) 730 days ago. Dividend stock.
Altria Group Inc is at 2 years high (60.91).
52 weeks high is 60.91. Previous year low is 39.26, and 52 weeks low is 44.29. It is 30.7% higher than previous year high (46.61) 730 days ago, and 55.1% higher than previous year low (39.26) 559 days ago. Dividend stock.
Altria Group Inc is at 2 years high (60.48).
52 weeks high is 60.48. Previous year low is 39.26, and 52 weeks low is 43.85. It is 29.8% higher than previous year high (46.61) 729 days ago, and 54.0% higher than previous year low (39.26) 558 days ago. Dividend stock.
Altria Group Inc is at 2 years high (60.02).
52 weeks high is 60.02. Previous year low is 39.26, and 52 weeks low is 40.75. It is 25.6% higher than previous year high (47.78) 700 days ago, and 52.9% higher than previous year low (39.26) 522 days ago. Dividend stock.
Merck & Co Inc (81.82) rebounds after 2 years low (73.47).
It is 11.4% higher than 52 week low (73.47) 29 days ago, and -38.0% lower than previous year high (131.95) 441 days ago. Dividend stock.
Merck & Co Inc (81.35) rebounds after 2 years low (73.47).
It is 10.7% higher than 52 week low (73.47) 27 days ago, and -38.3% lower than previous year high (131.95) 439 days ago. Dividend stock.
Merck & Co Inc is at 2 years low (73.47).
52 weeks low is 73.47. Previous year high is 131.95, and 52 weeks high is 132.96. Dividend stock.
Merck & Co Inc is at 2 years low (75.97).
52 weeks low is 75.97. Previous year high is 131.95, and 52 weeks high is 132.96. Dividend stock.
Merck & Co Inc (84.71) rebounds after 2 years low (76.46).
It is 10.8% higher than 52 week low (76.46) 13 days ago, and -35.8% lower than previous year high (131.95) 397 days ago. Dividend stock.
Merck & Co Inc is at 2 years low (76.46).
52 weeks low is 76.46. Previous year high is 131.95, and 52 weeks high is 132.96. Dividend stock.
Merck & Co Inc is at 2 years low (77.55).
52 weeks low is 77.55. Previous year high is 131.95, and 52 weeks high is 132.96. Dividend stock.
Merck & Co Inc is at 2 years low (78.95).
52 weeks low is 78.95. Previous year high is 131.95, and 52 weeks high is 132.96. Dividend stock.
Merck & Co Inc is at 2 years low (81.18).
52 weeks low is 81.18. Previous year high is 131.95, and 52 weeks high is 132.96. Dividend stock.
Merck & Co Inc is at 2 years low (81.47).
52 weeks low is 81.47. Previous year high is 131.95, and 52 weeks high is 132.96. Dividend stock.
Morgan Stanley (125.3) drops after 2 years high (141.08).
It is 23.4% higher than previous year high (101.53) 365 days ago, and 78.0% higher than previous year low (70.4) 572 days ago.
Morgan Stanley rises 11.4% (111.7) since previous day.
Volume rises 58.0%. It is 18.0% higher than previous year high (94.67) 625 days ago, and 58.7% higher than previous year low (70.4) 530 days ago.
Madison Square Garden Sports Corp - Class A (195.13) rebounds after 52 weeks low (175.61).
It is -8.3% lower than previous year high (212.75) 651 days ago, and 18.1% higher than previous year low (165.18) 563 days ago.
Madison Square Garden Sports Corp - Class A (195.4) rebounds after 52 weeks low (175.61).
It is -8.2% lower than previous year high (212.75) 637 days ago, and 18.3% higher than previous year low (165.18) 549 days ago.
Madison Square Garden Sports Corp - Class A is at 52 week low (175.61).
It is 6.3% higher than previous year low (165.18), and -25.5% lower than 52 weeks high (235.85) 113 days ago.
Madison Square Garden Sports Corp - Class A is at 52 week low (178.79).
It is 8.2% higher than previous year low (165.18), and -24.2% lower than 52 weeks high (235.85) 112 days ago.
Madison Square Garden Sports Corp - Class A (198.36) rebounds after 52 weeks low (178.84).
It is -6.8% lower than previous year high (212.75) 610 days ago, and 20.1% higher than previous year low (165.18) 522 days ago.
Madison Square Garden Sports Corp - Class A (197.75) rebounds after 52 weeks low (178.84).
It is -7.1% lower than previous year high (212.75) 598 days ago, and 19.7% higher than previous year low (165.18) 510 days ago.
Nordic American Tankers Ltd (2.44) rebounds after 2 years low (2.21).
It is 10.4% higher than 52 week low (2.21) 12 days ago, and -43.8% lower than 52 week high (4.34) 330 days ago. Dividend stock.
Nordic American Tankers Ltd (2.53) rebounds after 2 years low (2.21).
It is 14.5% higher than 52 week low (2.21) 7 days ago, and -41.7% lower than 52 week high (4.34) 325 days ago. Dividend stock.
Nordic American Tankers Ltd is at 2 years low (2.21).
52 weeks low is 2.21. Previous year high is 4.77, and 52 weeks high is 4.34. Dividend stock.
Nordic American Tankers Ltd is at 2 years low (2.35).
52 weeks low is 2.35. Previous year high is 4.77, and 52 weeks high is 4.34. Dividend stock.
Newmont Corp (52.56) drops after 2 years high (58.68).
It is 15.6% higher than previous year high (45.47) 698 days ago, and 76.0% higher than previous year low (29.86) 469 days ago. Dividend stock.
Newmont Corp (52.36) drops after 2 years high (58.68).
It is 15.2% higher than previous year high (45.47) 694 days ago, and 75.4% higher than previous year low (29.86) 465 days ago. Dividend stock.
Newmont Corp (52.52) drops after 2 years high (58.68).
It is 15.5% higher than previous year high (45.47) 686 days ago, and 75.9% higher than previous year low (29.86) 457 days ago. Dividend stock.
Newmont Corp (52.71) drops after 2 years high (58.68).
It is 15.9% higher than previous year high (45.47) 684 days ago, and 76.5% higher than previous year low (29.86) 455 days ago. Dividend stock.
Newmont Corp (50.78) drops after 2 years high (58.68).
It is 7.8% higher than previous year high (47.09) 728 days ago, and 70.1% higher than previous year low (29.86) 440 days ago. Dividend stock.
Newmont Corp (52.68) drops after 2 years high (58.68).
It is 6.6% higher than previous year high (49.41) 727 days ago, and 76.4% higher than previous year low (29.86) 428 days ago. Dividend stock.
NIO Inc rises 37.3% (4.31) over last 20 days.
It rises on average 12.4% per week. It is 37.3% higher than 52 week low (3.14) 20 days ago, and -40.2% lower than 52 week high (7.21) 208 days ago.
NIO Inc (3.52) rebounds after 2 years low (3.14).
It is 12.1% higher than 52 week low (3.14) 3 days ago, and -51.2% lower than 52 week high (7.21) 191 days ago.
NIO Inc is at 2 years low (3.14).
52 weeks low is 3.14. Previous year high is 15.46, and 52 weeks high is 7.21.
NIO Inc drops -39.3% (3.14) over last 20 days.
It drops on average -13.1% per week.
NIO Inc is at 2 years low (3.36).
52 weeks low is 3.36. Previous year high is 15.46, and 52 weeks high is 7.21.
NIO Inc drops -35.3% (3.36) over last 20 days.
It drops on average -11.8% per week.
NIO Inc is at 2 years low (3.46).
52 weeks low is 3.46. Previous year high is 15.46, and 52 weeks high is 7.21.
NIO Inc drops -31.2% (3.46) over last 20 days.
It drops on average -10.4% per week.
Organon & Company is at 2 years low (8.72).
52 weeks low is 8.72. Previous year high is 23.77, and 52 weeks high is 23.03. Dividend stock.
Organon & Company is at 2 years low (9.45).
52 weeks low is 9.45. Previous year high is 24.24, and 52 weeks high is 23.03. Dividend stock.
Organon & Company drops -26.9% (9.45) since previous day.
Volume rises 472.5%. Dividend stock.
Organon & Company (12.12) rebounds after 2 years low (10.63).
It is 14.0% higher than 52 week low (10.63) 3 days ago, and -47.4% lower than 52 week high (23.03) 241 days ago. Dividend stock.
Organon & Company is at 2 years low (10.63).
52 weeks low is 10.63. Previous year high is 24.63, and 52 weeks high is 23.03. Dividend stock.
Organon & Company is at 2 years low (10.82).
52 weeks low is 10.82. Previous year high is 24.63, and 52 weeks high is 23.03. Dividend stock.
Organon & Company is at 52 week low (11.05).
It is 0.9% higher than previous year low (10.95), and -52.0% lower than 52 weeks high (23.03) 232 days ago. Dividend stock.
Organon & Company is at 52 week low (11.18).
It is 2.1% higher than previous year low (10.95), and -51.5% lower than 52 weeks high (23.03) 228 days ago. Dividend stock.
Organon & Company is at 52 week low (11.43).
It is 4.4% higher than previous year low (10.95), and -50.4% lower than 52 weeks high (23.03) 227 days ago. Dividend stock.
Organon & Company is at 52 week low (11.65).
It is 6.4% higher than previous year low (10.95), and -49.4% lower than 52 weeks high (23.03) 225 days ago. Dividend stock.
Organon & Company is at 52 week low (12.52).
It is 14.3% higher than previous year low (10.95), and -45.6% lower than 52 weeks high (23.03) 224 days ago. Dividend stock.
Organon & Company is at 52 week low (13.05).
It is 19.2% higher than previous year low (10.95), and -43.3% lower than 52 weeks high (23.03) 221 days ago. Dividend stock.
Organon & Company is at 52 week low (14.13).
It is 29.0% higher than previous year low (10.95), and -38.6% lower than 52 weeks high (23.03) 218 days ago. Dividend stock.
Organon & Company (15.79) rebounds after 52 weeks low (14.29).
It is -31.4% lower than 52 week high (23.03) 205 days ago, and 44.2% higher than previous year low (10.95) 489 days ago. Dividend stock.
Occidental Petroleum Corp (41.44) rebounds after 2 years low (36.11).
It is 14.8% higher than 52 week low (36.11) 30 days ago, and -35.5% lower than 52 week high (64.24) 364 days ago. Dividend stock.
Occidental Petroleum Corp (40.44) rebounds after 2 years low (36.11).
It is 12.0% higher than 52 week low (36.11) 23 days ago, and -37.9% lower than 52 week high (65.07) 359 days ago. Dividend stock.
Occidental Petroleum Corp (39.97) rebounds after 2 years low (36.11).
It is 10.7% higher than 52 week low (36.11) 14 days ago, and -41.4% lower than 52 week high (68.23) 358 days ago. Dividend stock.
Occidental Petroleum Corp (40.23) rebounds after 2 years low (36.11).
It is 11.4% higher than 52 week low (36.11) 1 days ago, and -41.9% lower than previous year high (69.25) 369 days ago. Dividend stock.
Occidental Petroleum Corp rises 11.4% (40.23) since previous day.
Volume rises 61.2%. It is 11.4% higher than 52 week low (36.11) 1 days ago, and -41.9% lower than previous year high (69.25) 369 days ago. Dividend stock.
Occidental Petroleum Corp is at 2 years low (36.11).
52 weeks low is 36.11. Previous year high is 69.25, and 52 weeks high is 69.26. Dividend stock.
Occidental Petroleum Corp is at 2 years low (38.75).
52 weeks low is 38.75. Previous year high is 69.25, and 52 weeks high is 69.26. Dividend stock.
Occidental Petroleum Corp is at 2 years low (40.54).
52 weeks low is 40.54. Previous year high is 69.25, and 52 weeks high is 69.26. Dividend stock.
Occidental Petroleum Corp is at 2 years low (43.9).
52 weeks low is 43.9. Previous year high is 67.71, and 52 weeks high is 69.26. Dividend stock.
Occidental Petroleum Corp drops -11.0% (43.9) since previous day.
Volume rises 305.5%. Dividend stock.
Pfizer Inc (23.97) rebounds after 2 years low (21.59).
It is 11.0% higher than 52 week low (21.59) 60 days ago, and -23.6% lower than 52 week high (31.39) 314 days ago. Dividend stock.
Pfizer Inc (23.79) rebounds after 2 years low (21.59).
It is 10.2% higher than 52 week low (21.59) 19 days ago, and -24.2% lower than 52 week high (31.39) 273 days ago. Dividend stock.
Pfizer Inc is at 2 years low (21.59).
52 weeks low is 21.59. Previous year high is 41.79, and 52 weeks high is 31.39. Dividend stock.
Pfizer Inc is at 2 years low (21.84).
52 weeks low is 21.84. Previous year high is 41.79, and 52 weeks high is 31.39. Dividend stock.
Pfizer Inc is at 2 years low (22.63).
52 weeks low is 22.63. Previous year high is 41.79, and 52 weeks high is 31.39. Dividend stock.
Pfizer Inc is at 2 years low (22.97).
52 weeks low is 22.97. Previous year high is 41.79, and 52 weeks high is 31.39. Dividend stock.
Pfizer Inc is at 2 years low (24.29).
52 weeks low is 24.29. Previous year high is 41.79, and 52 weeks high is 31.39. Dividend stock.
Pfizer Inc is at 2 years low (24.54).
52 weeks low is 24.54. Previous year high is 41.79, and 52 weeks high is 31.39. Dividend stock.
Progressive Corp (257.41) drops after 2 years high (291.22).
It is 19.9% higher than previous year high (214.69) 367 days ago, and 124.3% higher than previous year low (114.78) 648 days ago.
Progressive Corp (257.64) drops after 2 years high (291.22).
It is 22.1% higher than previous year high (211.0) 364 days ago, and 124.5% higher than previous year low (114.78) 631 days ago.
Progressive Corp drops -10.2% (257.64) since previous day.
Volume rises 91.5%. It is 22.1% higher than previous year high (211.0) 364 days ago, and 124.5% higher than previous year low (114.78) 631 days ago.
Progressive Corp is at 2 years high (291.22).
52 weeks high is 291.22. Previous year low is 114.78, and 52 weeks low is 202.26. It is 41.1% higher than previous year high (206.41) 364 days ago, and 153.7% higher than previous year low (114.78) 613 days ago.
PulteGroup Inc (101.47) rebounds after 52 weeks low (92.02).
It is -16.9% lower than previous year high (122.07) 390 days ago, and 45.7% higher than previous year low (69.65) 598 days ago.
PulteGroup Inc (101.87) rebounds after 52 weeks low (92.02).
It is -16.5% lower than previous year high (122.07) 385 days ago, and 46.7% higher than previous year low (69.42) 730 days ago.
PulteGroup Inc (101.32) rebounds after 52 weeks low (92.02).
It is -16.0% lower than previous year high (120.62) 405 days ago, and 54.2% higher than previous year low (65.69) 715 days ago.
PulteGroup Inc (102.85) rebounds after 52 weeks low (92.02).
It is -14.7% lower than previous year high (120.62) 392 days ago, and 59.1% higher than previous year low (64.63) 729 days ago.
PulteGroup Inc is at 52 week low (92.02).
It is 57.8% higher than previous year low (58.33), and -38.3% lower than 52 weeks high (149.04) 172 days ago.
PulteGroup Inc is at 52 week low (96.14).
It is 64.8% higher than previous year low (58.33), and -35.5% lower than 52 weeks high (149.04) 171 days ago.
PulteGroup Inc is at 52 week low (97.75).
It is 69.0% higher than previous year low (57.84), and -34.4% lower than 52 weeks high (149.04) 167 days ago.
Polaris Inc (35.21) rebounds after 2 years low (31.97).
It is 10.1% higher than 52 week low (31.97) 16 days ago, and -60.0% lower than 52 week high (88.08) 345 days ago. Dividend stock.
Polaris Inc (36.68) rebounds after 2 years low (31.97).
It is 14.7% higher than 52 week low (31.97) 1 days ago, and -60.4% lower than 52 week high (92.63) 363 days ago. Dividend stock.
Polaris Inc rises 14.7% (36.68) since previous day.
Volume rises 58.2%. It is 14.7% higher than 52 week low (31.97) 1 days ago, and -60.4% lower than 52 week high (92.63) 363 days ago. Dividend stock.
Polaris Inc is at 2 years low (31.97).
52 weeks low is 31.97. Previous year high is 137.17, and 52 weeks high is 97.64. Dividend stock.
Polaris Inc is at 2 years low (35.0).
52 weeks low is 35.0. Previous year high is 137.17, and 52 weeks high is 97.64. Dividend stock.
Polaris Inc is at 2 years low (36.14).
52 weeks low is 36.14. Previous year high is 137.17, and 52 weeks high is 97.64. Dividend stock.
Polaris Inc drops -15.2% (36.14) since previous day.
Volume rises 247.2%. Dividend stock.
Philip Morris International Inc is at 2 years high (184.33).
52 weeks high is 184.33. Previous year low is 87.47, and 52 weeks low is 99.9. It is 76.8% higher than previous year high (104.24) 372 days ago, and 110.7% higher than previous year low (87.47) 595 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (184.1).
52 weeks high is 184.1. Previous year low is 87.47, and 52 weeks low is 99.9. It is 76.6% higher than previous year high (104.24) 371 days ago, and 110.5% higher than previous year low (87.47) 594 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (183.37).
52 weeks high is 183.37. Previous year low is 87.47, and 52 weeks low is 99.9. It is 75.9% higher than previous year high (104.24) 370 days ago, and 109.6% higher than previous year low (87.47) 593 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (182.75).
52 weeks high is 182.75. Previous year low is 87.47, and 52 weeks low is 99.9. It is 77.5% higher than previous year high (102.96) 364 days ago, and 108.9% higher than previous year low (87.47) 584 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (180.59).
52 weeks high is 180.59. Previous year low is 87.47, and 52 weeks low is 99.9. It is 78.1% higher than previous year high (101.38) 364 days ago, and 106.5% higher than previous year low (87.47) 581 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (179.23).
52 weeks high is 179.23. Previous year low is 87.47, and 52 weeks low is 99.41. It is 77.3% higher than previous year high (101.07) 370 days ago, and 104.9% higher than previous year low (87.47) 578 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (178.19).
52 weeks high is 178.19. Previous year low is 87.47, and 52 weeks low is 99.41. It is 76.3% higher than previous year high (101.07) 366 days ago, and 103.7% higher than previous year low (87.47) 574 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (175.36).
52 weeks high is 175.36. Previous year low is 87.47, and 52 weeks low is 98.25. It is 74.5% higher than previous year high (100.49) 664 days ago, and 100.5% higher than previous year low (87.47) 558 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (174.08).
52 weeks high is 174.08. Previous year low is 87.47, and 52 weeks low is 97.53. It is 73.2% higher than previous year high (100.49) 663 days ago, and 99.0% higher than previous year low (87.47) 557 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (173.19).
52 weeks high is 173.19. Previous year low is 87.47, and 52 weeks low is 97.45. It is 72.3% higher than previous year high (100.49) 662 days ago, and 98.0% higher than previous year low (87.47) 556 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (171.36).
52 weeks high is 171.36. Previous year low is 87.47, and 52 weeks low is 96.05. It is 70.5% higher than previous year high (100.49) 657 days ago, and 95.9% higher than previous year low (87.47) 551 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (170.26).
52 weeks high is 170.26. Previous year low is 87.47, and 52 weeks low is 94.94. It is 69.4% higher than previous year high (100.49) 656 days ago, and 94.6% higher than previous year low (87.47) 550 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (170.24).
52 weeks high is 170.24. Previous year low is 87.47, and 52 weeks low is 94.94. It is 69.4% higher than previous year high (100.49) 652 days ago, and 94.6% higher than previous year low (87.47) 546 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (170.07).
52 weeks high is 170.07. Previous year low is 87.47, and 52 weeks low is 94.94. It is 69.2% higher than previous year high (100.49) 651 days ago, and 94.4% higher than previous year low (87.47) 545 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (168.11).
52 weeks high is 168.11. Previous year low is 87.47, and 52 weeks low is 94.94. It is 67.3% higher than previous year high (100.49) 650 days ago, and 92.2% higher than previous year low (87.47) 544 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (164.11).
52 weeks high is 164.11. Previous year low is 87.47, and 52 weeks low is 94.94. It is 63.3% higher than previous year high (100.49) 649 days ago, and 87.6% higher than previous year low (87.47) 543 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (163.21).
52 weeks high is 163.21. Previous year low is 87.47, and 52 weeks low is 91.2. It is 60.8% higher than previous year high (101.51) 729 days ago, and 86.6% higher than previous year low (87.47) 538 days ago. Dividend stock.
Philip Morris International Inc is at 2 years high (162.07).
52 weeks high is 162.07. Previous year low is 87.47, and 52 weeks low is 88.6. It is 59.7% higher than previous year high (101.51) 715 days ago, and 85.3% higher than previous year low (87.47) 524 days ago. Dividend stock.
PNC Financial Services Group Inc (165.54) rebounds after 52 weeks low (149.76).
It is 2.4% higher than previous year high (161.6) 400 days ago, and 50.9% higher than previous year low (109.71) 557 days ago.
RH - Class A rises 30.8% (226.04) over last 20 days.
It rises on average 10.3% per week. It is -43.7% lower than previous year high (401.84) 644 days ago, and 55.2% higher than 52 week low (145.66) 38 days ago.
RH - Class A rises 16.3% (226.04) over last 3 days.
Volume rises 197.8%. It is -43.7% lower than previous year high (401.84) 644 days ago, and 55.2% higher than 52 week low (145.66) 38 days ago.
RH - Class A (172.8) rebounds after 2 years low (145.66).
It is 18.6% higher than 52 week low (145.66) 18 days ago, and -57.0% lower than previous year high (401.84) 624 days ago.
RH - Class A drops -30.7% (172.8) over last 20 days.
It drops on average -10.2% per week. It is 18.6% higher than 52 week low (145.66) 18 days ago, and -57.0% lower than previous year high (401.84) 624 days ago.
RH - Class A rises 10.9% (172.8) since previous day.
Volume rises 95.1%. It is 18.6% higher than 52 week low (145.66) 18 days ago, and -57.0% lower than previous year high (401.84) 624 days ago.
RH - Class A drops -34.8% (155.79) over last 20 days.
It drops on average -11.6% per week. It is 7.0% higher than 52 week low (145.66) 17 days ago, and -61.2% lower than previous year high (401.84) 623 days ago.
RH - Class A (161.13) rebounds after 2 years low (145.66).
It is 10.6% higher than 52 week low (145.66) 13 days ago, and -59.9% lower than previous year high (401.84) 619 days ago.
RH - Class A drops -31.8% (161.13) over last 20 days.
It drops on average -10.6% per week. It is 10.6% higher than 52 week low (145.66) 13 days ago, and -59.9% lower than previous year high (401.84) 619 days ago.
RH - Class A drops -36.8% (153.85) over last 20 days.
It drops on average -12.3% per week. It is 5.6% higher than 52 week low (145.66) 12 days ago, and -61.7% lower than previous year high (401.84) 618 days ago.
RH - Class A drops -34.5% (159.52) over last 20 days.
It drops on average -11.5% per week. It is 9.5% higher than 52 week low (145.66) 11 days ago, and -60.3% lower than previous year high (401.84) 617 days ago.
RH - Class A drops -35.2% (163.78) over last 20 days.
It drops on average -11.7% per week. It is 12.4% higher than 52 week low (145.66) 10 days ago, and -59.2% lower than previous year high (401.84) 616 days ago.
RH - Class A drops -36.2% (164.62) over last 20 days.
It drops on average -12.1% per week. It is 13.0% higher than 52 week low (145.66) 7 days ago, and -59.0% lower than previous year high (401.84) 613 days ago.
RH - Class A drops -10.4% (172.08) since previous day.
Volume drops -49.8%. It is 18.1% higher than 52 week low (145.66) 6 days ago, and -57.2% lower than previous year high (401.84) 612 days ago.
RH - Class A (192.03) rebounds after 2 years low (145.66).
It is 31.8% higher than 52 week low (145.66) 5 days ago, and -52.2% lower than previous year high (401.84) 611 days ago.
RH - Class A rises 28.6% (192.03) since previous day.
Volume rises 76.4%. It is 31.8% higher than 52 week low (145.66) 5 days ago, and -52.2% lower than previous year high (401.84) 611 days ago.
RH - Class A drops -35.1% (149.36) over last 20 days.
It drops on average -11.7% per week. It is 2.5% higher than 52 week low (145.66) 4 days ago, and -62.8% lower than previous year high (401.84) 610 days ago.
RH - Class A (164.48) rebounds after 2 years low (145.66).
It is 12.9% higher than 52 week low (145.66) 3 days ago, and -59.1% lower than previous year high (401.84) 609 days ago.
RH - Class A rises 12.9% (164.48) over last 3 days.
Volume drops -32.1%. It is 12.9% higher than 52 week low (145.66) 3 days ago, and -59.1% lower than previous year high (401.84) 609 days ago.
RH - Class A is at 2 years low (145.66).
52 weeks low is 145.66. Previous year high is 401.84, and 52 weeks high is 454.52.
RH - Class A drops -35.4% (145.66) over last 20 days.
It drops on average -11.8% per week.
RH - Class A is at 2 years low (149.39).
52 weeks low is 149.39. Previous year high is 401.84, and 52 weeks high is 454.52.
RH - Class A drops -33.6% (149.39) over last 20 days.
It drops on average -11.2% per week.
RH - Class A drops -40.1% (149.39) since previous day.
Volume rises 370.6%.
RH - Class A (239.06) rebounds after 52 weeks low (214.92).
It is 12.2% higher than previous year low (213.13) 522 days ago, and -40.5% lower than previous year high (401.84) 603 days ago.
RH - Class A (242.18) rebounds after 52 weeks low (214.92).
It is 13.6% higher than previous year low (213.13) 511 days ago, and -39.7% lower than previous year high (401.84) 592 days ago.
RH - Class A drops -37.3% (221.84) over last 20 days.
It drops on average -12.4% per week. It is 4.1% higher than previous year low (213.13) 508 days ago, and -44.8% lower than previous year high (401.84) 589 days ago.
RH - Class A drops -35.4% (225.32) over last 20 days.
It drops on average -11.8% per week. It is 5.7% higher than previous year low (213.13) 507 days ago, and -43.9% lower than previous year high (401.84) 588 days ago.
Rollins Inc is at 2 years high (58.58).
52 weeks high is 58.58. Previous year low is 32.92, and 52 weeks low is 45.65. It is 24.1% higher than previous year high (47.2) 391 days ago, and 77.9% higher than previous year low (32.92) 592 days ago.
Rollins Inc is at 2 years high (57.43).
52 weeks high is 57.43. Previous year low is 32.92, and 52 weeks low is 45.35. It is 21.7% higher than previous year high (47.2) 377 days ago, and 74.5% higher than previous year low (32.92) 578 days ago.
Rollins Inc is at 2 years high (57.13).
52 weeks high is 57.13. Previous year low is 32.92, and 52 weeks low is 44.68. It is 21.5% higher than previous year high (47.01) 407 days ago, and 73.5% higher than previous year low (32.92) 559 days ago.
Rollins Inc is at 2 years high (56.34).
52 weeks high is 56.34. Previous year low is 32.92, and 52 weeks low is 44.56. It is 19.8% higher than previous year high (47.01) 406 days ago, and 71.1% higher than previous year low (32.92) 558 days ago.
Rollins Inc is at 2 years high (56.02).
52 weeks high is 56.02. Previous year low is 32.92, and 52 weeks low is 44.56. It is 19.2% higher than previous year high (47.01) 405 days ago, and 70.2% higher than previous year low (32.92) 557 days ago.
Rollins Inc is at 2 years high (55.9).
52 weeks high is 55.9. Previous year low is 32.92, and 52 weeks low is 42.44. It is 18.9% higher than previous year high (47.01) 380 days ago, and 69.8% higher than previous year low (32.92) 532 days ago.
Rollins Inc is at 2 years high (54.73).
52 weeks high is 54.73. Previous year low is 32.92, and 52 weeks low is 42.44. It is 16.4% higher than previous year high (47.01) 379 days ago, and 66.3% higher than previous year low (32.92) 531 days ago.
Rollins Inc is at 2 years high (54.36).
52 weeks high is 54.36. Previous year low is 32.92, and 52 weeks low is 42.44. It is 15.6% higher than previous year high (47.01) 378 days ago, and 65.1% higher than previous year low (32.92) 530 days ago.
Rollins Inc is at 2 years high (54.03).
52 weeks high is 54.03. Previous year low is 32.92, and 52 weeks low is 42.44. It is 14.9% higher than previous year high (47.01) 377 days ago, and 64.1% higher than previous year low (32.92) 529 days ago.
Rollins Inc is at 2 years high (53.78).
52 weeks high is 53.78. Previous year low is 32.92, and 52 weeks low is 42.44. It is 14.4% higher than previous year high (47.01) 373 days ago, and 63.4% higher than previous year low (32.92) 525 days ago.
Rollins Inc is at 2 years high (53.05).
52 weeks high is 53.05. Previous year low is 32.92, and 52 weeks low is 42.44. It is 12.8% higher than previous year high (47.01) 372 days ago, and 61.1% higher than previous year low (32.92) 524 days ago.
RTX Corp is at 2 years high (145.69).
52 weeks high is 145.69. Previous year low is 69.38, and 52 weeks low is 99.55. It is 34.4% higher than previous year high (108.44) 373 days ago, and 110.0% higher than previous year low (69.38) 617 days ago.
RTX Corp is at 2 years high (141.81).
52 weeks high is 141.81. Previous year low is 69.38, and 52 weeks low is 99.55. It is 30.8% higher than previous year high (108.44) 371 days ago, and 104.4% higher than previous year low (69.38) 615 days ago.
RTX Corp is at 2 years high (140.98).
52 weeks high is 140.98. Previous year low is 69.38, and 52 weeks low is 99.55. It is 30.0% higher than previous year high (108.44) 369 days ago, and 103.2% higher than previous year low (69.38) 613 days ago.
RTX Corp is at 2 years high (139.1).
52 weeks high is 139.1. Previous year low is 69.38, and 52 weeks low is 99.55. It is 28.3% higher than previous year high (108.44) 366 days ago, and 100.5% higher than previous year low (69.38) 610 days ago.
RTX Corp is at 2 years high (139.07).
52 weeks high is 139.07. Previous year low is 69.38, and 52 weeks low is 99.55. It is 28.2% higher than previous year high (108.44) 365 days ago, and 100.4% higher than previous year low (69.38) 609 days ago.
RTX Corp is at 2 years high (138.55).
52 weeks high is 138.55. Previous year low is 69.38, and 52 weeks low is 99.55. It is 27.8% higher than previous year high (108.44) 364 days ago, and 99.7% higher than previous year low (69.38) 608 days ago.
RTX Corp is at 2 years high (137.5).
52 weeks high is 137.5. Previous year low is 69.38, and 52 weeks low is 99.55. It is 27.4% higher than previous year high (107.9) 364 days ago, and 98.2% higher than previous year low (69.38) 607 days ago.
RTX Corp is at 2 years high (137.46).
52 weeks high is 137.46. Previous year low is 69.38, and 52 weeks low is 99.55. It is 27.5% higher than previous year high (107.81) 367 days ago, and 98.1% higher than previous year low (69.38) 606 days ago.
RTX Corp is at 2 years high (137.2).
52 weeks high is 137.2. Previous year low is 69.38, and 52 weeks low is 99.55. It is 29.0% higher than previous year high (106.32) 374 days ago, and 97.8% higher than previous year low (69.38) 592 days ago.
RTX Corp (113.75) drops after 2 years high (135.66).
It is 11.0% higher than previous year high (102.46) 729 days ago, and 64.0% higher than previous year low (69.38) 565 days ago.
RTX Corp (117.45) drops after 2 years high (135.66).
It is 12.2% higher than previous year high (104.66) 717 days ago, and 69.3% higher than previous year low (69.38) 547 days ago.
RTX Corp is at 2 years high (135.66).
52 weeks high is 135.66. Previous year low is 69.38, and 52 weeks low is 96.06. It is 29.6% higher than previous year high (104.66) 707 days ago, and 95.5% higher than previous year low (69.38) 537 days ago.
RTX Corp is at 2 years high (135.32).
52 weeks high is 135.32. Previous year low is 69.38, and 52 weeks low is 94.26. It is 29.3% higher than previous year high (104.66) 701 days ago, and 95.0% higher than previous year low (69.38) 531 days ago.
Snowflake Inc - Class A is at 52 week high (211.28).
It is -10.5% lower than previous year high (236.0), and 94.6% higher than 52 weeks low (108.56) 279 days ago.
Snowflake Inc - Class A is at 52 week high (210.85).
It is -10.7% lower than previous year high (236.0), and 94.2% higher than 52 weeks low (108.56) 276 days ago.
Snowflake Inc - Class A is at 52 week high (210.84).
It is -10.7% lower than previous year high (236.0), and 94.2% higher than 52 weeks low (108.56) 273 days ago.
Snowflake Inc - Class A is at 52 week high (210.17).
It is -10.9% lower than previous year high (236.0), and 93.6% higher than 52 weeks low (108.56) 269 days ago.
Snowflake Inc - Class A is at 52 week high (206.35).
It is -12.6% lower than previous year high (236.0), and 90.1% higher than 52 weeks low (108.56) 263 days ago.
Snowflake Inc - Class A is at 52 week high (203.18).
It is -13.9% lower than previous year high (236.0), and 87.2% higher than 52 weeks low (108.56) 258 days ago.
Snowflake Inc - Class A rises 13.4% (203.18) since previous day.
Volume rises 143.3%.
Snowflake Inc - Class A rises 13.2% (151.15) since previous day.
Volume rises 18.3%. It is -21.6% lower than 52 week high (192.78) 50 days ago, and 39.2% higher than 52 week low (108.56) 215 days ago.
Renesola rises 10.8% (1.85) since previous day.
Volume rises 43.5%. It is -35.5% lower than 52 week high (2.87) 236 days ago, and 56.8% higher than 52 week low (1.18) 42 days ago.
Renesola (1.35) rebounds after 2 years low (1.18).
It is 14.4% higher than 52 week low (1.18) 13 days ago, and -53.0% lower than 52 week high (2.87) 207 days ago.
Renesola (1.31) rebounds after 2 years low (1.18).
It is 11.0% higher than 52 week low (1.18) 8 days ago, and -54.4% lower than 52 week high (2.87) 202 days ago.
Renesola is at 2 years low (1.18).
52 weeks low is 1.18. Previous year high is 4.39, and 52 weeks high is 2.87.
Renesola rises 31.9% (1.57) over last 20 days.
It rises on average 10.6% per week. It is 31.9% higher than 52 week low (1.19) 20 days ago, and -45.3% lower than 52 week high (2.87) 181 days ago.
Renesola (1.58) rebounds after 2 years low (1.19).
It is 32.8% higher than 52 week low (1.19) 3 days ago, and -44.9% lower than 52 week high (2.87) 164 days ago.
Renesola rises 32.8% (1.58) over last 3 days.
Volume rises 473.5%. It is 32.8% higher than 52 week low (1.19) 3 days ago, and -44.9% lower than 52 week high (2.87) 164 days ago.
Truist Financial Corporation (38.34) rebounds after 52 weeks low (34.79).
It is -1.6% lower than previous year high (38.98) 396 days ago, and 46.3% higher than previous year low (26.21) 725 days ago. Dividend stock.
Truist Financial Corporation is at 52 week low (34.79).
It is 32.7% higher than previous year low (26.21), and -27.7% lower than 52 weeks high (48.15) 57 days ago. Dividend stock.
Truist Financial Corporation drops -10.9% (37.04) since previous day.
Volume rises 111.6%. It is -5.0% lower than previous year high (38.98) 371 days ago, and 41.3% higher than previous year low (26.21) 700 days ago. Dividend stock.
Target Corp (100.77) rebounds after 2 years low (88.76).
It is 13.5% higher than 52 week low (88.76) 63 days ago, and -37.3% lower than 52 week high (160.69) 238 days ago. Dividend stock.
Target Corp (98.58) rebounds after 2 years low (88.76).
It is 11.1% higher than 52 week low (88.76) 38 days ago, and -38.7% lower than 52 week high (160.69) 213 days ago. Dividend stock.
Target Corp (101.08) rebounds after 2 years low (88.76).
It is 13.9% higher than 52 week low (88.76) 34 days ago, and -37.2% lower than 52 week high (160.9) 364 days ago. Dividend stock.
Target Corp (97.69) rebounds after 2 years low (88.76).
It is 10.1% higher than 52 week low (88.76) 1 days ago, and -43.1% lower than 52 week high (171.62) 364 days ago. Dividend stock.
Target Corp rises 10.1% (97.69) since previous day.
Volume rises 2.3%. It is 10.1% higher than 52 week low (88.76) 1 days ago, and -43.1% lower than 52 week high (171.62) 364 days ago. Dividend stock.
Target Corp is at 2 years low (88.76).
52 weeks low is 88.76. Previous year high is 177.82, and 52 weeks high is 171.63. Dividend stock.
Target Corp is at 2 years low (94.28).
52 weeks low is 94.28. Previous year high is 177.82, and 52 weeks high is 172.22. Dividend stock.
Target Corp drops -10.9% (94.28) since previous day.
Volume rises 236.4%. Dividend stock.
Target Corp is at 2 years low (103.65).
52 weeks low is 103.65. Previous year high is 177.21, and 52 weeks high is 177.82. Dividend stock.
Target Corp is at 2 years low (104.06).
52 weeks low is 104.06. Previous year high is 173.54, and 52 weeks high is 177.82. Dividend stock.
Target Corp is at 2 years low (104.2).
52 weeks low is 104.2. Previous year high is 173.54, and 52 weeks high is 177.82. Dividend stock.
TransUnion (75.56) rebounds after 52 weeks low (68.68).
It is -8.0% lower than previous year high (82.12) 601 days ago, and 74.5% higher than previous year low (43.3) 540 days ago.
TransUnion (74.78) rebounds after 52 weeks low (66.7).
It is -8.9% lower than previous year high (82.12) 593 days ago, and 72.7% higher than previous year low (43.3) 532 days ago.
TransUnion drops -10.2% (72.69) since previous day.
Volume drops -39.3%. It is -11.5% lower than previous year high (82.12) 589 days ago, and 67.9% higher than previous year low (43.3) 528 days ago.
TransUnion (80.98) rebounds after 52 weeks low (66.7).
It is -1.4% lower than previous year high (82.12) 588 days ago, and 87.0% higher than previous year low (43.3) 527 days ago.
TransUnion rises 16.9% (80.98) since previous day.
Volume rises 77.0%. It is -1.4% lower than previous year high (82.12) 588 days ago, and 87.0% higher than previous year low (43.3) 527 days ago.
TransUnion drops -12.1% (75.38) since previous day.
Volume rises 119.5%. It is -8.2% lower than previous year high (82.12) 582 days ago, and 74.1% higher than previous year low (43.3) 521 days ago.
Taiwan Semiconductor Manufacturing is at 2 years high (208.61).
52 weeks high is 208.61. Previous year low is 75.73, and 52 weeks low is 99.61. It is 94.2% higher than previous year high (107.41) 569 days ago, and 175.5% higher than previous year low (75.73) 729 days ago. Dividend stock.
Trane Technologies plc - Class A (332.62) rebounds after 52 weeks low (295.09).
It is 9.2% higher than previous year high (304.67) 382 days ago, and 103.8% higher than previous year low (163.23) 692 days ago.
Trane Technologies plc - Class A (342.8) rebounds after 52 weeks low (288.27).
It is 12.5% higher than previous year high (304.67) 369 days ago, and 110.0% higher than previous year low (163.23) 679 days ago.
Uber Technologies Inc (82.53) drops after 2 years high (92.46).
It is 1.4% higher than previous year high (81.39) 474 days ago, and 111.7% higher than previous year low (38.99) 727 days ago.
Uber Technologies Inc is at 2 years high (92.46).
52 weeks high is 92.46. Previous year low is 37.56, and 52 weeks low is 58.48. It is 13.6% higher than previous year high (81.39) 459 days ago, and 146.2% higher than previous year low (37.56) 720 days ago.
Uber Technologies Inc is at 2 years high (91.79).
52 weeks high is 91.79. Previous year low is 37.56, and 52 weeks low is 58.48. It is 12.8% higher than previous year high (81.39) 456 days ago, and 144.4% higher than previous year low (37.56) 717 days ago.
Uber Technologies Inc is at 2 years high (91.72).
52 weeks high is 91.72. Previous year low is 37.44, and 52 weeks low is 58.48. It is 12.7% higher than previous year high (81.39) 453 days ago, and 145.0% higher than previous year low (37.44) 728 days ago.
Uber Technologies Inc is at 2 years high (88.1).
52 weeks high is 88.1. Previous year low is 37.44, and 52 weeks low is 58.48. It is 8.2% higher than previous year high (81.39) 452 days ago, and 135.3% higher than previous year low (37.44) 727 days ago.
Uber Technologies Inc rises 11.7% (72.68) since previous day.
Volume rises 25.4%. It is -10.7% lower than previous year high (81.39) 419 days ago, and 145.6% higher than previous year low (29.59) 715 days ago.
Visa Inc - Class A is at 2 years high (373.31).
52 weeks high is 373.31. Previous year low is 223.4, and 52 weeks low is 253.74. It is 28.6% higher than previous year high (290.37) 447 days ago, and 67.1% higher than previous year low (223.4) 729 days ago.
Visa Inc - Class A is at 2 years high (370.7).
52 weeks high is 370.7. Previous year low is 223.4, and 52 weeks low is 253.74. It is 27.7% higher than previous year high (290.37) 446 days ago, and 65.9% higher than previous year low (223.4) 728 days ago.
Visa Inc - Class A is at 2 years high (370.22).
52 weeks high is 370.22. Previous year low is 223.05, and 52 weeks low is 253.74. It is 27.5% higher than previous year high (290.37) 442 days ago, and 66.0% higher than previous year low (223.05) 729 days ago.
Visa Inc - Class A is at 2 years high (368.0).
52 weeks high is 368.0. Previous year low is 223.05, and 52 weeks low is 253.74. It is 26.7% higher than previous year high (290.37) 440 days ago, and 65.0% higher than previous year low (223.05) 727 days ago.
Visa Inc - Class A is at 2 years high (367.9).
52 weeks high is 367.9. Previous year low is 221.03, and 52 weeks low is 253.74. It is 26.7% higher than previous year high (290.37) 424 days ago, and 66.4% higher than previous year low (221.03) 719 days ago.
Visa Inc - Class A is at 2 years high (365.12).
52 weeks high is 365.12. Previous year low is 221.03, and 52 weeks low is 253.74. It is 25.7% higher than previous year high (290.37) 421 days ago, and 65.2% higher than previous year low (221.03) 716 days ago.
Visa Inc - Class A (320.1) drops after 2 years high (362.71).
It is 10.2% higher than previous year high (290.37) 396 days ago, and 44.8% higher than previous year low (221.03) 691 days ago.
Visa Inc - Class A (324.61) drops after 2 years high (362.71).
It is 11.8% higher than previous year high (290.37) 385 days ago, and 46.9% higher than previous year low (221.03) 680 days ago.
Visa Inc - Class A (313.13) drops after 2 years high (362.71).
It is 7.8% higher than previous year high (290.37) 379 days ago, and 41.7% higher than previous year low (221.03) 674 days ago.
Vale S.A. (9.11) rebounds after 2 years low (8.26).
It is 10.3% higher than 52 week low (8.26) 9 days ago, and -29.9% lower than 52 week high (12.99) 335 days ago. Dividend stock.
Vale S.A. (9.22) rebounds after 2 years low (8.26).
It is 11.6% higher than 52 week low (8.26) 3 days ago, and -29.0% lower than 52 week high (12.99) 329 days ago. Dividend stock.
Vale S.A. is at 2 years low (8.26).
52 weeks low is 8.26. Previous year high is 16.42, and 52 weeks high is 12.99. Dividend stock.
Veeva Systems Inc - Class A is at 2 years high (289.94).
52 weeks high is 289.94. Previous year low is 165.08, and 52 weeks low is 178.74. It is 23.5% higher than previous year high (234.79) 449 days ago, and 75.6% higher than previous year low (165.08) 573 days ago.
Veeva Systems Inc - Class A is at 2 years high (284.75).
52 weeks high is 284.75. Previous year low is 165.08, and 52 weeks low is 178.74. It is 21.3% higher than previous year high (234.79) 447 days ago, and 72.5% higher than previous year low (165.08) 571 days ago.
Veeva Systems Inc - Class A is at 2 years high (279.7).
52 weeks high is 279.7. Previous year low is 165.08, and 52 weeks low is 171.41. It is 19.1% higher than previous year high (234.79) 443 days ago, and 69.4% higher than previous year low (165.08) 567 days ago.
Veeva Systems Inc - Class A is at 2 years high (279.04).
52 weeks high is 279.04. Previous year low is 163.66, and 52 weeks low is 171.41. It is 18.8% higher than previous year high (234.79) 442 days ago, and 70.5% higher than previous year low (163.66) 730 days ago.
Veeva Systems Inc - Class A rises 19.0% (279.04) since previous day.
Volume rises 168.0%.
Veeva Systems Inc - Class A (221.49) drops after 2 years high (250.45).
It is -5.7% lower than previous year high (234.79) 386 days ago, and 36.2% higher than previous year low (162.6) 680 days ago.
VF Corp rises 12.9% (13.55) over last 4 days.
Volume rises 5.7%. It is -34.3% lower than previous year high (20.61) 655 days ago, and 39.1% higher than 52 week low (9.74) 49 days ago. Dividend stock.
VF Corp drops -15.8% (12.15) since previous day.
Volume rises 98.5%. It is 24.7% higher than 52 week low (9.74) 43 days ago, and -41.0% lower than previous year high (20.61) 649 days ago. Dividend stock.
VF Corp rises 30.4% (14.85) over last 20 days.
It rises on average 10.1% per week. It is -28.5% lower than previous year high (20.77) 728 days ago, and 52.5% higher than 52 week low (9.74) 37 days ago. Dividend stock.
VF Corp rises 34.6% (14.95) over last 20 days.
It rises on average 11.5% per week. It is -31.0% lower than previous year high (21.66) 729 days ago, and 53.5% higher than 52 week low (9.74) 35 days ago. Dividend stock.
VF Corp rises 32.4% (14.44) over last 20 days.
It rises on average 10.8% per week. It is -33.3% lower than previous year high (21.66) 728 days ago, and 48.3% higher than 52 week low (9.74) 34 days ago. Dividend stock.
VF Corp (10.91) rebounds after 2 years low (9.74).
It is 12.0% higher than 52 week low (9.74) 14 days ago, and -53.6% lower than previous year high (23.51) 725 days ago. Dividend stock.
VF Corp drops -33.4% (10.91) over last 20 days.
It drops on average -11.1% per week. It is 12.0% higher than 52 week low (9.74) 14 days ago, and -53.6% lower than previous year high (23.51) 725 days ago. Dividend stock.
VF Corp drops -35.0% (10.47) over last 20 days.
It drops on average -11.7% per week. It is 7.5% higher than 52 week low (9.74) 13 days ago, and -55.5% lower than previous year high (23.51) 724 days ago. Dividend stock.
VF Corp drops -33.4% (10.45) over last 20 days.
It drops on average -11.1% per week. It is 7.3% higher than 52 week low (9.74) 9 days ago, and -55.6% lower than previous year high (23.51) 720 days ago. Dividend stock.
VF Corp drops -37.4% (10.31) over last 20 days.
It drops on average -12.5% per week. It is 5.9% higher than 52 week low (9.74) 8 days ago, and -56.1% lower than previous year high (23.51) 719 days ago. Dividend stock.
VF Corp drops -33.6% (10.84) over last 20 days.
It drops on average -11.2% per week. It is 11.3% higher than 52 week low (9.74) 7 days ago, and -53.9% lower than previous year high (23.51) 718 days ago. Dividend stock.
VF Corp drops -31.6% (11.27) over last 20 days.
It drops on average -10.5% per week. It is 15.7% higher than 52 week low (9.74) 6 days ago, and -52.1% lower than previous year high (23.51) 717 days ago. Dividend stock.
VF Corp drops -34.6% (11.11) over last 20 days.
It drops on average -11.5% per week. It is 14.1% higher than 52 week low (9.74) 3 days ago, and -52.7% lower than previous year high (23.51) 714 days ago. Dividend stock.
VF Corp drops -30.1% (11.44) over last 20 days.
It drops on average -10.0% per week. It is 17.5% higher than 52 week low (9.74) 2 days ago, and -51.3% lower than previous year high (23.51) 713 days ago. Dividend stock.
VF Corp (12.42) rebounds after 2 years low (9.74).
It is 27.5% higher than 52 week low (9.74) 1 days ago, and -47.2% lower than previous year high (23.51) 712 days ago. Dividend stock.
VF Corp rises 27.5% (12.42) since previous day.
Volume rises 37.9%. It is 27.5% higher than 52 week low (9.74) 1 days ago, and -47.2% lower than previous year high (23.51) 712 days ago. Dividend stock.
VF Corp is at 2 years low (9.74).
52 weeks low is 9.74. Previous year high is 23.51, and 52 weeks high is 26.93. Dividend stock.
VF Corp drops -40.6% (9.74) over last 20 days.
It drops on average -13.5% per week. Dividend stock.
VF Corp drops -13.5% (9.74) since previous day.
Volume rises 18.0%. Dividend stock.
VF Corp is at 2 years low (11.26).
52 weeks low is 11.26. Previous year high is 23.51, and 52 weeks high is 26.93. Dividend stock.
VF Corp is at 2 years low (11.56).
52 weeks low is 11.56. Previous year high is 23.51, and 52 weeks high is 26.93. Dividend stock.
VF Corp is at 2 years low (11.68).
52 weeks low is 11.68. Previous year high is 23.51, and 52 weeks high is 26.93. Dividend stock.
VF Corp drops -28.7% (11.68) since previous day.
Volume rises 554.3%. Dividend stock.
VF Corp drops -32.7% (16.37) over last 20 days.
It drops on average -10.9% per week. It is -30.4% lower than previous year high (23.51) 693 days ago, and 36.8% higher than 52 week low (11.97) 302 days ago. Dividend stock.
VF Corp drops -34.8% (16.25) over last 20 days.
It drops on average -11.6% per week. It is -30.9% lower than previous year high (23.51) 692 days ago, and 35.8% higher than 52 week low (11.97) 301 days ago. Dividend stock.
VF Corp drops -33.3% (16.4) over last 20 days.
It drops on average -11.1% per week. It is -30.2% lower than previous year high (23.51) 691 days ago, and 37.0% higher than 52 week low (11.97) 300 days ago. Dividend stock.
VF Corp drops -37.3% (15.89) over last 20 days.
It drops on average -12.4% per week. It is -32.4% lower than previous year high (23.51) 690 days ago, and 32.7% higher than 52 week low (11.97) 299 days ago. Dividend stock.
VF Corp drops -34.9% (16.44) over last 20 days.
It drops on average -11.6% per week. It is -30.1% lower than previous year high (23.51) 689 days ago, and 37.3% higher than 52 week low (11.97) 298 days ago. Dividend stock.
Waste Connections Inc is at 2 years high (199.95).
52 weeks high is 199.95. Previous year low is 127.88, and 52 weeks low is 160.43. It is 16.2% higher than previous year high (172.13) 380 days ago, and 56.4% higher than previous year low (127.88) 525 days ago. Dividend stock.
Waste Connections Inc is at 2 years high (196.62).
52 weeks high is 196.62. Previous year low is 127.88, and 52 weeks low is 160.43. It is 14.2% higher than previous year high (172.13) 379 days ago, and 53.8% higher than previous year low (127.88) 524 days ago. Dividend stock.
Waste Connections Inc is at 2 years high (196.51).
52 weeks high is 196.51. Previous year low is 127.88, and 52 weeks low is 160.43. It is 14.2% higher than previous year high (172.13) 378 days ago, and 53.7% higher than previous year low (127.88) 523 days ago. Dividend stock.
Waste Connections Inc is at 2 years high (195.19).
52 weeks high is 195.19. Previous year low is 127.88, and 52 weeks low is 160.43. It is 13.4% higher than previous year high (172.13) 377 days ago, and 52.6% higher than previous year low (127.88) 522 days ago. Dividend stock.
Waste Connections Inc is at 2 years high (193.91).
52 weeks high is 193.91. Previous year low is 127.88, and 52 weeks low is 160.43. It is 12.7% higher than previous year high (172.13) 373 days ago, and 51.6% higher than previous year low (127.88) 518 days ago. Dividend stock.
Wells Fargo & Company (72.28) drops after 2 years high (81.42).
It is 24.7% higher than previous year high (57.96) 364 days ago, and 96.8% higher than previous year low (36.72) 693 days ago. Dividend stock.
Waste Management Inc is at 2 years high (242.1).
52 weeks high is 242.1. Previous year low is 151.21, and 52 weeks low is 196.96. It is 13.1% higher than previous year high (213.97) 432 days ago, and 60.1% higher than previous year low (151.21) 609 days ago. Dividend stock.
Waste Management Inc is at 2 years high (240.97).
52 weeks high is 240.97. Previous year low is 151.21, and 52 weeks low is 196.96. It is 12.6% higher than previous year high (213.97) 429 days ago, and 59.4% higher than previous year low (151.21) 606 days ago. Dividend stock.
Waste Management Inc is at 2 years high (238.03).
52 weeks high is 238.03. Previous year low is 151.21, and 52 weeks low is 196.96. It is 11.2% higher than previous year high (213.97) 426 days ago, and 57.4% higher than previous year low (151.21) 603 days ago. Dividend stock.
Waste Management Inc (224.42) rebounds after 52 weeks low (196.96).
It is 4.9% higher than previous year high (213.97) 378 days ago, and 48.4% higher than previous year low (151.21) 555 days ago. Dividend stock.
Waste Management Inc is at 2 years high (236.83).
52 weeks high is 236.83. Previous year low is 151.21, and 52 weeks low is 196.96. It is 10.7% higher than previous year high (213.97) 372 days ago, and 56.6% higher than previous year low (151.21) 549 days ago. Dividend stock.
Waste Management Inc is at 2 years high (234.56).
52 weeks high is 234.56. Previous year low is 151.21, and 52 weeks low is 196.96. It is 9.6% higher than previous year high (213.97) 371 days ago, and 55.1% higher than previous year low (151.21) 548 days ago. Dividend stock.
Waste Management Inc is at 2 years high (233.79).
52 weeks high is 233.79. Previous year low is 151.21, and 52 weeks low is 196.96. It is 9.3% higher than previous year high (213.97) 370 days ago, and 54.6% higher than previous year low (151.21) 547 days ago. Dividend stock.
Walmart Inc (94.44) drops after 52 weeks high (105.05).
It is -10.1% lower than 52 week high (105.05) 120 days ago, and 61.1% higher than previous year low (58.61) 470 days ago. Dividend stock.
Walmart Inc (93.97) drops after 52 weeks high (105.05).
It is -10.5% lower than 52 week high (105.05) 61 days ago, and 60.3% higher than previous year low (58.61) 411 days ago. Dividend stock.
Exxon Mobil Corp (112.12) rebounds after 52 weeks low (99.93).
It is -8.2% lower than previous year high (122.2) 429 days ago, and 15.8% higher than previous year low (96.8) 512 days ago.
Exxon Mobil Corp is at 52 week low (99.93).
It is 3.2% higher than previous year low (96.8), and -20.3% lower than 52 weeks high (125.37) 185 days ago.
Exxon Mobil Corp is at 52 week low (100.77).
It is 4.1% higher than previous year low (96.8), and -19.6% lower than 52 weeks high (125.37) 183 days ago.
Exxon Mobil Corp is at 52 week low (102.94).
It is 6.3% higher than previous year low (96.8), and -17.9% lower than 52 weeks high (125.37) 182 days ago.
Exxon Mobil Corp is at 52 week low (104.34).
It is 7.8% higher than previous year low (96.8), and -16.8% lower than 52 weeks high (125.37) 179 days ago.
Exxon Mobil Corp (112.43) drops after 2 years high (125.37).
It is -6.5% lower than previous year high (120.2) 554 days ago, and 16.1% higher than previous year low (96.8) 441 days ago.
Exxon Mobil Corp (116.59) rebounds after 52 weeks low (105.44).
It is -3.0% lower than previous year high (120.2) 545 days ago, and 20.4% higher than previous year low (96.8) 432 days ago.
Trulieve Cannabis Corp (Sub Voting) rises 38.5% (4.67) over last 20 days.
It rises on average 12.8% per week. It is 44.6% higher than 52 week low (3.23) 31 days ago, and -65.7% lower than 52 week high (13.6) 194 days ago.
Trulieve Cannabis Corp (Sub Voting) rises 40.9% (4.72) over last 20 days.
It rises on average 13.6% per week. It is 46.1% higher than 52 week low (3.23) 28 days ago, and -65.3% lower than 52 week high (13.6) 191 days ago.
Trulieve Cannabis Corp (Sub Voting) rises 38.5% (4.68) over last 20 days.
It rises on average 12.8% per week. It is 44.9% higher than 52 week low (3.23) 27 days ago, and -65.6% lower than 52 week high (13.6) 190 days ago.
Trulieve Cannabis Corp (Sub Voting) rises 49.7% (4.94) over last 20 days.
It rises on average 16.6% per week. It is 52.9% higher than 52 week low (3.23) 26 days ago, and -63.7% lower than 52 week high (13.6) 189 days ago.
Trulieve Cannabis Corp (Sub Voting) rises 39.3% (4.56) over last 20 days.
It rises on average 13.1% per week. It is 41.2% higher than 52 week low (3.23) 25 days ago, and -68.3% lower than 52 week high (14.37) 364 days ago.
Trulieve Cannabis Corp (Sub Voting) rises 31.3% (4.28) over last 20 days.
It rises on average 10.4% per week. It is 32.5% higher than 52 week low (3.23) 24 days ago, and -67.2% lower than previous year high (13.05) 390 days ago.
Trulieve Cannabis Corp (Sub Voting) rises 36.4% (4.5) over last 20 days.
It rises on average 12.1% per week. It is 39.3% higher than 52 week low (3.23) 21 days ago, and -65.5% lower than previous year high (13.05) 387 days ago.
Trulieve Cannabis Corp (Sub Voting) rises 44.6% (4.67) over last 20 days.
It rises on average 14.9% per week. It is 44.6% higher than 52 week low (3.23) 20 days ago, and -64.2% lower than previous year high (13.05) 386 days ago.
Trulieve Cannabis Corp (Sub Voting) rises 19.4% (4.67) since previous day.
Volume rises 502.0%. It is 44.6% higher than 52 week low (3.23) 20 days ago, and -64.2% lower than previous year high (13.05) 386 days ago.
Trulieve Cannabis Corp (Sub Voting) (3.87) rebounds after 2 years low (3.23).
It is 19.8% higher than 52 week low (3.23) 13 days ago, and -70.3% lower than previous year high (13.05) 379 days ago.
Trulieve Cannabis Corp (Sub Voting) rises 12.2% (3.87) since previous day.
Volume rises 120.4%. It is 19.8% higher than 52 week low (3.23) 13 days ago, and -70.3% lower than previous year high (13.05) 379 days ago.
Trulieve Cannabis Corp (Sub Voting) is at 2 years low (3.23).
52 weeks low is 3.23. Previous year high is 13.05, and 52 weeks high is 14.37.
Trulieve Cannabis Corp (Sub Voting) is at 52 week low (3.55).
It is 2.9% higher than previous year low (3.45), and -75.3% lower than 52 weeks high (14.37) 338 days ago.
Trulieve Cannabis Corp (Sub Voting) is at 52 week low (3.72).
It is 7.8% higher than previous year low (3.45), and -74.1% lower than 52 weeks high (14.37) 337 days ago.
Trulieve Cannabis Corp (Sub Voting) is at 52 week low (3.79).
It is 9.9% higher than previous year low (3.45), and -73.6% lower than 52 weeks high (14.37) 330 days ago.
Trulieve Cannabis Corp (Sub Voting) is at 52 week low (3.98).
It is 15.4% higher than previous year low (3.45), and -72.3% lower than 52 weeks high (14.37) 329 days ago.
Trulieve Cannabis Corp (Sub Voting) is at 52 week low (4.0).
It is 15.9% higher than previous year low (3.45), and -72.2% lower than 52 weeks high (14.37) 325 days ago.
Cullinan Oncology Inc (8.68) rebounds after 2 years low (7.13).
It is 21.7% higher than 52 week low (7.13) 15 days ago, and -63.1% lower than 52 week high (23.5) 363 days ago.
Cullinan Oncology Inc rises 10.7% (8.68) since previous day.
Volume rises 159.1%. It is 21.7% higher than 52 week low (7.13) 15 days ago, and -63.1% lower than 52 week high (23.5) 363 days ago.
Cullinan Oncology Inc (7.9) rebounds after 2 years low (7.13).
It is 10.8% higher than 52 week low (7.13) 6 days ago, and -67.3% lower than 52 week high (24.13) 361 days ago.
Cullinan Oncology Inc is at 2 years low (7.13).
52 weeks low is 7.13. Previous year high is 29.35, and 52 weeks high is 26.72.
Cullinan Oncology Inc (8.28) rebounds after 2 years low (7.25).
It is 14.2% higher than 52 week low (7.25) 23 days ago, and -70.5% lower than previous year high (28.1) 364 days ago.
Cullinan Oncology Inc (8.1) rebounds after 2 years low (7.25).
It is 11.7% higher than 52 week low (7.25) 14 days ago, and -57.4% lower than previous year high (19.02) 434 days ago.
Cullinan Oncology Inc is at 2 years low (7.25).
52 weeks low is 7.25. Previous year high is 19.02, and 52 weeks high is 29.35.
Cullinan Oncology Inc is at 2 years low (7.41).
52 weeks low is 7.41. Previous year high is 19.02, and 52 weeks high is 29.35.
Cullinan Oncology Inc is at 2 years low (7.49).
52 weeks low is 7.49. Previous year high is 19.02, and 52 weeks high is 29.35.
Cullinan Oncology Inc is at 2 years low (7.5).
52 weeks low is 7.5. Previous year high is 19.02, and 52 weeks high is 29.35.
Cullinan Oncology Inc is at 2 years low (7.57).
52 weeks low is 7.57. Previous year high is 19.02, and 52 weeks high is 29.35.
Cullinan Oncology Inc (9.03) rebounds after 52 weeks low (8.0).
It is 14.4% higher than previous year low (7.89) 461 days ago, and -52.5% lower than previous year high (19.02) 399 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti is at 2 years low (0.48).
52 weeks low is 0.48. Previous year high is 6.83, and 52 weeks high is 4.25.
Verano Holdings Corp - Class A - Class A (Sub Voti is at 2 years low (0.498).
52 weeks low is 0.498. Previous year high is 6.83, and 52 weeks high is 4.25.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 10.0% (0.7372) over last 3 days.
Volume drops -65.5%. It is 45.7% higher than 52 week low (0.506) 35 days ago, and -85.2% lower than 52 week high (4.97) 363 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti drops -13.0% (0.67) since previous day.
Volume rises 126.6%. It is 32.4% higher than 52 week low (0.506) 32 days ago, and -87.1% lower than 52 week high (5.2) 364 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 39.1% (0.84) over last 20 days.
It rises on average 13.0% per week. It is 66.0% higher than 52 week low (0.506) 22 days ago, and -85.0% lower than 52 week high (5.6) 357 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 61.1% (0.87) over last 20 days.
It rises on average 20.4% per week. It is 71.9% higher than 52 week low (0.506) 21 days ago, and -84.5% lower than 52 week high (5.6) 356 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 63.8% (0.8288) over last 20 days.
It rises on average 21.3% per week. It is 63.8% higher than 52 week low (0.506) 18 days ago, and -85.2% lower than 52 week high (5.6) 353 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 48.9% (0.78) over last 20 days.
It rises on average 16.3% per week. It is 54.2% higher than 52 week low (0.506) 17 days ago, and -86.1% lower than 52 week high (5.6) 352 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti drops -13.3% (0.78) since previous day.
Volume drops -90.6%. It is 54.2% higher than 52 week low (0.506) 17 days ago, and -86.1% lower than 52 week high (5.6) 352 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 69.8% (0.9) over last 20 days.
It rises on average 23.3% per week. It is 77.9% higher than 52 week low (0.506) 16 days ago, and -83.9% lower than 52 week high (5.6) 351 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 63.8% (0.855) over last 20 days.
It rises on average 21.3% per week. It is 69.0% higher than 52 week low (0.506) 15 days ago, and -86.4% lower than 52 week high (6.28) 364 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 17.1% (0.855) since previous day.
Volume rises 52.0%. It is 69.0% higher than 52 week low (0.506) 15 days ago, and -86.4% lower than 52 week high (6.28) 364 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 40.4% (0.73) over last 20 days.
It rises on average 13.5% per week. It is 44.3% higher than 52 week low (0.506) 14 days ago, and -88.4% lower than 52 week high (6.28) 363 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti drops -10.5% (0.73) over last 3 days.
Volume drops -58.8%. It is 44.3% higher than 52 week low (0.506) 14 days ago, and -88.4% lower than 52 week high (6.28) 363 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 53.1% (0.816) over last 20 days.
It rises on average 17.7% per week. It is 61.3% higher than 52 week low (0.506) 11 days ago, and -87.0% lower than 52 week high (6.28) 360 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 42.6% (0.77) over last 20 days.
It rises on average 14.2% per week. It is 52.2% higher than 52 week low (0.506) 10 days ago, and -87.7% lower than 52 week high (6.28) 359 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 24.2% (0.77) since previous day.
Volume rises 810.1%. It is 52.2% higher than 52 week low (0.506) 10 days ago, and -87.7% lower than 52 week high (6.28) 359 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti drops -17.2% (0.58) over last 4 days.
Volume drops -44.4%. It is 14.6% higher than 52 week low (0.506) 7 days ago, and -90.8% lower than 52 week high (6.28) 356 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti rises 19.7% (0.7001) since previous day.
Volume rises 26.6%. It is 38.4% higher than 52 week low (0.506) 3 days ago, and -88.9% lower than 52 week high (6.28) 352 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti (0.5849) rebounds after 2 years low (0.506).
It is 15.6% higher than 52 week low (0.506) 2 days ago, and -90.7% lower than 52 week high (6.28) 351 days ago.
Verano Holdings Corp - Class A - Class A (Sub Voti is at 2 years low (0.51).
52 weeks low is 0.51. Previous year high is 6.83, and 52 weeks high is 6.28.
Verano Holdings Corp - Class A - Class A (Sub Voti is at 2 years low (0.5).
52 weeks low is 0.5. Previous year high is 6.83, and 52 weeks high is 6.28.
Verano Holdings Corp - Class A - Class A (Sub Voti is at 2 years low (0.466).
52 weeks low is 0.466. Previous year high is 6.83, and 52 weeks high is 6.28.
Verano Holdings Corp - Class A - Class A (Sub Voti drops -31.5% (0.466) over last 20 days.
It drops on average -10.5% per week.
Verano Holdings Corp - Class A - Class A (Sub Voti is at 2 years low (0.5).
52 weeks low is 0.5. Previous year high is 6.83, and 52 weeks high is 6.28.
Verano Holdings Corp - Class A - Class A (Sub Voti is at 2 years low (0.54).
52 weeks low is 0.54. Previous year high is 6.83, and 52 weeks high is 6.28.
Verano Holdings Corp - Class A - Class A (Sub Voti is at 2 years low (0.5874).
52 weeks low is 0.5874. Previous year high is 6.83, and 52 weeks high is 6.28.
Verano Holdings Corp - Class A - Class A (Sub Voti is at 2 years low (0.6).
52 weeks low is 0.6. Previous year high is 6.83, and 52 weeks high is 6.3.
Verano Holdings Corp - Class A - Class A (Sub Voti drops -10.4% (0.6) since previous day.
Volume rises 4404.3%.
Verano Holdings Corp - Class A - Class A (Sub Voti (0.71) rebounds after 2 years low (0.63).
It is 12.7% higher than 52 week low (0.63) 4 days ago, and -88.7% lower than 52 week high (6.3) 350 days ago.
BARRICK GOLD CORPORATION is at 2 years high (29.32).
52 weeks high is 29.32. Previous year low is 19.04, and 52 weeks low is 21.91. It is 18.8% higher than previous year high (24.67) 428 days ago, and 54.0% higher than previous year low (19.04) 485 days ago. Dividend stock.
BARRICK GOLD CORPORATION (25.46) drops after 2 years high (29.28).
It is -2.3% lower than previous year high (26.05) 728 days ago, and 33.7% higher than previous year low (19.04) 453 days ago. Dividend stock.
BARRICK GOLD CORPORATION (26.28) drops after 2 years high (29.28).
It is -0.8% lower than previous year high (26.5) 730 days ago, and 38.0% higher than previous year low (19.04) 449 days ago. Dividend stock.
BARRICK GOLD CORPORATION (26.14) drops after 2 years high (29.28).
It is -5.4% lower than previous year high (27.62) 726 days ago, and 37.3% higher than previous year low (19.04) 440 days ago. Dividend stock.
BARRICK GOLD CORPORATION (25.11) drops after 2 years high (29.28).
It is -9.1% lower than previous year high (27.62) 701 days ago, and 31.9% higher than previous year low (19.04) 415 days ago. Dividend stock.
CONSTELLATION SOFTWARE INC. is at 2 years high (5181.96).
52 weeks high is 5181.96. Previous year low is 2533.24, and 52 weeks low is 3644.03. It is 34.5% higher than previous year high (3853.01) 433 days ago, and 104.6% higher than previous year low (2533.24) 727 days ago.
CONSTELLATION SOFTWARE INC. is at 2 years high (5050.0098).
52 weeks high is 5050.0098. Previous year low is 2533.24, and 52 weeks low is 3644.03. It is 31.1% higher than previous year high (3853.01) 432 days ago, and 99.3% higher than previous year low (2533.24) 726 days ago.
CONSTELLATION SOFTWARE INC. is at 2 years high (5042.6201).
52 weeks high is 5042.6201. Previous year low is 2533.24, and 52 weeks low is 3638.01. It is 30.9% higher than previous year high (3853.01) 427 days ago, and 99.1% higher than previous year low (2533.24) 721 days ago.
CONSTELLATION SOFTWARE INC. (4365.0) drops after 2 years high (4988.9199).
It is 13.3% higher than previous year high (3853.01) 405 days ago, and 72.3% higher than previous year low (2533.24) 699 days ago.
CONSTELLATION SOFTWARE INC. (4365.01) drops after 2 years high (4988.9199).
It is 13.3% higher than previous year high (3853.01) 399 days ago, and 72.3% higher than previous year low (2533.24) 693 days ago.
ABPL (97.5) drops after 2 years high (113.0).
It is 1.4% higher than previous year high (96.2) 390 days ago, and 112.9% higher than previous year low (45.8) 721 days ago.
ABPL (100.2) drops after 2 years high (113.0).
It is 7.3% higher than previous year high (93.4) 364 days ago, and 118.8% higher than previous year low (45.8) 690 days ago.
ATREM is at 2 years high (34.0).
52 weeks high is 34.0. Previous year low is 5.8, and 52 weeks low is 10.0. It is 142.9% higher than previous year high (14.0) 426 days ago, and 486.2% higher than previous year low (5.8) 729 days ago.
ATREM is at 2 years high (33.5).
52 weeks high is 33.5. Previous year low is 5.8, and 52 weeks low is 10.0. It is 139.3% higher than previous year high (14.0) 425 days ago, and 477.6% higher than previous year low (5.8) 728 days ago.
ATREM rises 30.4% (33.5) over last 20 days.
It rises on average 10.1% per week.
ATREM is at 2 years high (33.0).
52 weeks high is 33.0. Previous year low is 5.8, and 52 weeks low is 10.0. It is 135.7% higher than previous year high (14.0) 424 days ago, and 469.0% higher than previous year low (5.8) 727 days ago.
ATREM is at 2 years high (32.1).
52 weeks high is 32.1. Previous year low is 5.8, and 52 weeks low is 10.0. It is 129.3% higher than previous year high (14.0) 423 days ago, and 453.4% higher than previous year low (5.8) 726 days ago.
ATREM rises 30.3% (31.8) over last 20 days.
It rises on average 10.1% per week. It is 127.1% higher than previous year high (14.0) 420 days ago, and 478.2% higher than previous year low (5.5) 728 days ago.
ATREM is at 2 years high (32.0).
52 weeks high is 32.0. Previous year low is 5.5, and 52 weeks low is 10.0. It is 128.6% higher than previous year high (14.0) 411 days ago, and 481.8% higher than previous year low (5.5) 719 days ago.
ATREM rises 32.2% (32.0) over last 20 days.
It rises on average 10.7% per week.
ATREM is at 2 years high (29.4).
52 weeks high is 29.4. Previous year low is 5.5, and 52 weeks low is 10.0. It is 110.0% higher than previous year high (14.0) 410 days ago, and 434.5% higher than previous year low (5.5) 718 days ago.
ATREM (24.8) drops after 2 years high (27.6).
It is 77.1% higher than previous year high (14.0) 390 days ago, and 350.9% higher than previous year low (5.5) 698 days ago.
ATREM (24.8) drops after 2 years high (27.6).
It is 77.1% higher than previous year high (14.0) 384 days ago, and 350.9% higher than previous year low (5.5) 692 days ago.
ATREM (24.1) drops after 2 years high (27.6).
It is 72.1% higher than previous year high (14.0) 376 days ago, and 338.2% higher than previous year low (5.5) 684 days ago.
ATREM (24.5) drops after 2 years high (27.6).
It is 75.0% higher than previous year high (14.0) 369 days ago, and 345.5% higher than previous year low (5.5) 677 days ago.
ATREM (24.5) drops after 2 years high (27.6).
It is 75.0% higher than previous year high (14.0) 367 days ago, and 345.5% higher than previous year low (5.5) 675 days ago.
ATREM is at 2 years high (27.6).
52 weeks high is 27.6. Previous year low is 5.5, and 52 weeks low is 10.0. It is 131.9% higher than previous year high (11.9) 366 days ago, and 401.8% higher than previous year low (5.5) 665 days ago.
ATREM is at 2 years high (26.9).
52 weeks high is 26.9. Previous year low is 4.7, and 52 weeks low is 10.0. It is 126.1% higher than previous year high (11.9) 365 days ago, and 472.3% higher than previous year low (4.7) 730 days ago.
ATREM is at 2 years high (26.2).
52 weeks high is 26.2. Previous year low is 4.68, and 52 weeks low is 10.0. It is 139.3% higher than previous year high (10.95) 368 days ago, and 459.8% higher than previous year low (4.68) 729 days ago.
ATREM rises 13.9% (26.2) since previous day.
Volume rises 470.0%.
ATREM (22.9) drops after 2 years high (25.8).
It is 109.1% higher than previous year high (10.95) 364 days ago, and 390.4% higher than previous year low (4.67) 728 days ago.
CCC (220.0) drops after 2 years high (244.5).
It is 122.4% higher than previous year high (98.9) 364 days ago, and 489.2% higher than previous year low (37.34) 580 days ago. PM25.
CCC (217.5) drops after 2 years high (244.5).
It is 130.0% higher than previous year high (94.55) 365 days ago, and 482.5% higher than previous year low (37.34) 575 days ago. PM25.
CCC drops -11.0% (217.5) since previous day.
Volume rises 321.3%. It is 130.0% higher than previous year high (94.55) 365 days ago, and 482.5% higher than previous year low (37.34) 575 days ago. PM25.
CCC is at 2 years high (244.5).
52 weeks high is 244.5. Previous year low is 37.34, and 52 weeks low is 93.5. It is 158.6% higher than previous year high (94.55) 364 days ago, and 554.8% higher than previous year low (37.34) 574 days ago. PM25.
CCC is at 2 years high (236.2).
52 weeks high is 236.2. Previous year low is 37.34, and 52 weeks low is 93.1. It is 153.7% higher than previous year high (93.1) 364 days ago, and 532.6% higher than previous year low (37.34) 573 days ago. PM25.
CCC is at 2 years high (235.0).
52 weeks high is 235.0. Previous year low is 37.34, and 52 weeks low is 80.15. It is 183.1% higher than previous year high (83.0) 365 days ago, and 529.4% higher than previous year low (37.34) 560 days ago. PM25.
CCC (206.4) drops after 2 years high (234.0).
It is 167.8% higher than previous year high (77.08) 407 days ago, and 452.8% higher than previous year low (37.34) 554 days ago. PM25.
CCC (206.2) drops after 2 years high (234.0).
It is 167.5% higher than previous year high (77.08) 405 days ago, and 452.2% higher than previous year low (37.34) 552 days ago. PM25.
CCC is at 2 years high (234.0).
52 weeks high is 234.0. Previous year low is 37.34, and 52 weeks low is 67.0. It is 203.6% higher than previous year high (77.08) 398 days ago, and 526.7% higher than previous year low (37.34) 545 days ago. PM25.
CCC is at 2 years high (234.0).
52 weeks high is 234.0. Previous year low is 36.09, and 52 weeks low is 67.0. It is 203.6% higher than previous year high (77.08) 395 days ago, and 548.4% higher than previous year low (36.09) 730 days ago. PM25.
CCC is at 2 years high (227.0).
52 weeks high is 227.0. Previous year low is 35.72, and 52 weeks low is 67.0. It is 194.5% higher than previous year high (77.08) 391 days ago, and 535.5% higher than previous year low (35.72) 728 days ago. PM25.
CCC rises 30.5% (227.0) over last 20 days.
It rises on average 10.2% per week. PM25.
CCC is at 2 years high (223.0).
52 weeks high is 223.0. Previous year low is 35.53, and 52 weeks low is 67.0. It is 189.3% higher than previous year high (77.08) 387 days ago, and 527.6% higher than previous year low (35.53) 727 days ago. PM25.
CCC is at 2 years high (218.8).
52 weeks high is 218.8. Previous year low is 35.53, and 52 weeks low is 67.0. It is 183.9% higher than previous year high (77.08) 386 days ago, and 515.8% higher than previous year low (35.53) 726 days ago. PM25.
iShares Edge MSCI EM Value Factor UCITS ETF USD (A (46.51) rebounds after 52 weeks low (41.215).
It is 4.0% higher than previous year high (44.74) 364 days ago, and 31.5% higher than previous year low (35.36) 730 days ago.
iShares Edge MSCI EM Value Factor UCITS ETF USD (A is at 52 week low (41.215).
It is 16.6% higher than previous year low (35.36), and -19.2% lower than 52 weeks high (50.98) 47 days ago.
iShares Edge MSCI EM Value Factor UCITS ETF USD (A (44.105) drops after 2 years high (50.98).
It is 2.3% higher than previous year high (43.1) 365 days ago, and 24.7% higher than previous year low (35.36) 702 days ago.
Vaneck Vectors Ucits ETFs PLC - Vaneck Vectors Hyd (4.1335) rebounds after 2 years low (3.7425).
It is 10.4% higher than 52 week low (3.7425) 29 days ago, and -42.7% lower than 52 week high (7.212) 345 days ago.
Vaneck Vectors Ucits ETFs PLC - Vaneck Vectors Hyd is at 2 years low (3.7425).
52 weeks low is 3.7425. Previous year high is 10.29, and 52 weeks high is 7.212.
Vaneck Vectors Ucits ETFs PLC - Vaneck Vectors Hyd is at 2 years low (3.8465).
52 weeks low is 3.8465. Previous year high is 10.29, and 52 weeks high is 7.212.
Vaneck Vectors Ucits ETFs PLC - Vaneck Vectors Hyd is at 2 years low (3.963).
52 weeks low is 3.963. Previous year high is 10.29, and 52 weeks high is 7.212.
Vaneck Vectors Ucits ETFs PLC - Vaneck Vectors Hyd is at 2 years low (4.1085).
52 weeks low is 4.1085. Previous year high is 10.29, and 52 weeks high is 7.212.
Vaneck Vectors Ucits ETFs PLC - Vaneck Vectors Hyd is at 2 years low (4.262).
52 weeks low is 4.262. Previous year high is 10.29, and 52 weeks high is 7.212.
Vaneck Vectors Ucits ETFs PLC - Vaneck Vectors Hyd is at 2 years low (4.364).
52 weeks low is 4.364. Previous year high is 10.29, and 52 weeks high is 7.212.
Vaneck Vectors Ucits ETFs PLC - Vaneck Vectors Hyd is at 2 years low (4.511).
52 weeks low is 4.511. Previous year high is 10.29, and 52 weeks high is 7.212.
Legal & General UCITS ETF Plc - L&G Hydrogen Econo (3.715) rebounds after 2 years low (3.333).
It is 11.5% higher than 52 week low (3.333) 29 days ago, and -21.6% lower than 52 week high (4.7415) 345 days ago.
Legal & General UCITS ETF Plc - L&G Hydrogen Econo (3.6695) rebounds after 2 years low (3.333).
It is 10.1% higher than 52 week low (3.333) 16 days ago, and -22.6% lower than 52 week high (4.7415) 332 days ago.
Legal & General UCITS ETF Plc - L&G Hydrogen Econo is at 2 years low (3.333).
52 weeks low is 3.333. Previous year high is 4.9795, and 52 weeks high is 4.7415.
Legal & General UCITS ETF Plc - L&G Hydrogen Econo is at 2 years low (3.424).
52 weeks low is 3.424. Previous year high is 4.9795, and 52 weeks high is 4.7415.
Legal & General UCITS ETF Plc - L&G Hydrogen Econo is at 2 years low (3.5015).
52 weeks low is 3.5015. Previous year high is 4.9795, and 52 weeks high is 4.7415.
Legal & General UCITS ETF Plc - L&G Hydrogen Econo is at 2 years low (3.68).
52 weeks low is 3.68. Previous year high is 4.9795, and 52 weeks high is 4.7415.
LUFTHANSA AG VNA O.N. (7.078) drops after 52 weeks high (8.062).
It is -12.2% lower than 52 week high (8.062) 98 days ago, and 28.1% higher than 52 week low (5.526) 303 days ago.
LUFTHANSA AG VNA O.N. (7.108) drops after 52 weeks high (8.062).
It is -11.8% lower than 52 week high (8.062) 91 days ago, and 28.6% higher than 52 week low (5.526) 296 days ago.
LUFTHANSA AG VNA O.N. (6.146) rebounds after 2 years low (5.526).
It is 11.2% higher than 52 week low (5.526) 245 days ago, and -23.8% lower than 52 week high (8.062) 40 days ago.
LUFTHANSA AG VNA O.N. (7.212) drops after 52 weeks high (8.062).
It is -10.5% lower than 52 week high (8.062) 21 days ago, and 30.5% higher than 52 week low (5.526) 226 days ago.
M1 KLINIKEN AG O.N. (15.78) rebounds after 52 weeks low (13.35).
It is -26.6% lower than 52 week high (21.5) 360 days ago, and 113.8% higher than previous year low (7.38) 658 days ago.
M1 KLINIKEN AG O.N. (14.7) rebounds after 52 weeks low (13.35).
It is -31.0% lower than previous year high (21.3) 368 days ago, and 99.2% higher than previous year low (7.38) 655 days ago.
M1 KLINIKEN AG O.N. (14.78) rebounds after 52 weeks low (13.35).
It is -29.3% lower than previous year high (20.9) 368 days ago, and 100.3% higher than previous year low (7.38) 649 days ago.
M1 KLINIKEN AG O.N. (14.92) rebounds after 52 weeks low (13.35).
It is -19.6% lower than previous year high (18.55) 366 days ago, and 102.2% higher than previous year low (7.38) 643 days ago.
M1 KLINIKEN AG O.N. (13.9) rebounds after 52 weeks low (12.6).
It is -5.1% lower than previous year high (14.65) 399 days ago, and 100.9% higher than previous year low (6.92) 722 days ago.
AROUNDTOWN SA BEARER SHARES EO -,01 (2.866) drops after 2 years high (3.192).
It is 16.0% higher than previous year high (2.47) 532 days ago, and 176.9% higher than previous year low (1.035) 722 days ago. Dividend stock.