| Company | Market cap | P/E |
|---|
Space Exploration Technologies Corp. Class A Common Stock SPCX | $1.51T | — |
Caterpillar Inc CAT | $382.31B | 41.4 |
GE Aerospace GE | $373.60B | 42.4 |
RTX Corporation RTX | $290.06B | 37.9 |
GE Vernova LLC GEV | $239.77B | 27.0 |
The Boeing Company BA | $184.41B | 83.7 |
Union Pacific Corporation UNP | $173.55B | 23.6 |
Deere & Company DE | $159.98B | 33.6 |
Eaton Corporation PLC ETN | $150.23B | 40.7 |
Lockheed Martin Corporation LMT | $135.31B | 21.6 |
Parker-Hannifin Corporation PH | $123.13B | 36.0 |
Howmet Aerospace Inc HWM | $112.93B | 65.3 |
General Dynamics Corporation GD | $103.47B | 23.3 |
Trane Technologies plc TT | $101.48B | 34.4 |
Quanta Services Inc PWR | $100.33B | 76.4 |
CSX Corporation CSX | $93.36B | 29.3 |
Vertiv Holdings Co VRT | $93.00B | 54.7 |
3M Company MMM | $90.91B | 31.4 |
Waste Management Inc WM | $90.56B | 59.5 |
United Parcel Service Inc UPS | $88.88B | 19.4 |
Johnson Controls International PLC JCI | $88.84B | 41.3 |
Cummins Inc CMI | $87.51B | 32.9 |
Emerson Electric Company EMR | $83.91B | 34.8 |
Illinois Tool Works Inc ITW | $83.00B | 26.1 |
Cintas Corporation CTAS | $81.64B | 41.5 |
Canadian Pacific Kansas City Limited CP | $79.69B | 29.5 |
Northrop Grumman Corporation NOC | $77.07B | 17.2 |
Honeywell International Inc HON | $77.03B | 9.3 |
Canadian National Railway Company CNI | $76.95B | 22.9 |
Norfolk Southern Corporation NSC | $75.35B | 28.6 |
FedEx Corporation FDX | $72.73B | 16.6 |
Transdigm Group Incorporated TDG | $70.16B | 39.2 |
PACCAR Inc PCAR | $69.84B | 27.9 |
United Rentals Inc URI | $67.18B | 25.7 |
Honeywell Aerospace Inc HONA | $66.01B | 43.8 |
WW Grainger Inc GWW | $65.26B | 37.2 |
Republic Services Inc RSG | $64.78B | 30.2 |
Relx PLC ADR RELX | $61.84B | 21.2 |
Comfort Systems USA Inc FIX | $60.88B | 42.6 |
Bloom Energy Corp BE | $60.62B | 270.8 |
Delta Air Lines Inc DAL | $57.50B | 14.5 |
Ametek Inc AME | $55.87B | 36.8 |
Fastenal Company FAST | $55.21B | 41.1 |
Rockwell Automation Inc ROK | $53.42B | 49.7 |
Carrier Global Corp CARR | $52.07B | 45.1 |
L3Harris Technologies Inc LHX | $51.59B | 28.0 |
Westinghouse Air Brake Technologies Corp WAB | $50.08B | 40.0 |
Heico Corporation HEI | $49.80B | 63.7 |
Ferrovial SE FER | $46.93B | 68.5 |
Ferguson Plc FERG | $45.45B | 23.0 |
Toyota Tsusho Corp TYHOY | $44.98B | 19.9 |
Old Dominion Freight Line Inc ODFL | $43.99B | 40.7 |
Thomson Reuters Corporation Common Shares TRI | $42.84B | 28.2 |
Axon Enterprise Inc. AXON | $42.54B | 212.8 |
Waste Connections Inc WCN | $42.19B | 40.5 |
Fujikura Ltd FJIKY | $42.02B | 43.8 |
Rocket Lab USA Inc. RKLB | $40.58B | — |
United Airlines Holdings Inc UAL | $39.38B | 11.4 |
Elbit Systems Ltd ESLT | $38.89B | 67.1 |
EMCOR Group Inc EME | $36.06B | 25.4 |
HEICO Corporation HEI-A | $35.95B | 45.9 |
Ingersoll Rand Inc IR | $33.03B | 34.5 |
Ryanair Holdings PLC ADR RYAAY | $30.37B | 14.2 |
Sunbelt Rentals Holdings, Inc. SUNB | $29.48B | 22.8 |
Symbotic Inc SYM | $27.68B | — |
Dover Corporation DOV | $27.56B | 24.7 |
Otis Worldwide Corp OTIS | $27.39B | 18.5 |
Xylem Inc XYL | $27.31B | 27.9 |
Copart Inc CPRT | $26.96B | 18.1 |
Curtiss-Wright Corporation CW | $26.75B | 53.2 |
Allegheny Technologies Incorporated ATI | $26.36B | 63.5 |
Carpenter Technology Corporation CRS | $25.82B | 49.5 |
Verisk Analytics Inc VRSK | $25.53B | 29.9 |
JB Hunt Transport Services Inc JBHT | $25.52B | 38.6 |
Hubbell Inc HUBB | $24.97B | 28.0 |
nVent Electric PLC NVT | $24.88B | 42.7 |
AerCap Holdings NV AER | $23.72B | 7.4 |
XPO Logistics Inc XPO | $23.53B | 59.1 |
Veralto Corporation VLTO | $22.96B | 23.7 |
Arxis, Inc. Class A Common Stock ARXS | $22.43B | 671.6 |
Southwest Airlines Company LUV | $22.00B | 28.1 |
Expeditors International of Washington, Inc. EXPD | $21.96B | 27.1 |
Global Payments Inc GPN | $21.90B | 32.1 |
Woodward Inc WWD | $21.47B | 40.5 |
Snap-On Inc SNA | $21.23B | 20.9 |
FTAI Aviation Ltd. FTAI | $21.14B | 45.1 |
MasTec Inc MTZ | $21.13B | 41.8 |
FedEx Freight Holding Company, Inc. FDXF | $20.93B | 30.9 |
RB Global Inc. RBA | $20.44B | 51.0 |
Equifax Inc EFX | $20.28B | 30.3 |
UL Solutions Inc. ULS | $18.35B | 52.9 |
INNIO N.V. Ordinary Shares INIO | $18.31B | 814.0 |
Sterling Infrastructure, Inc. STRL | $18.31B | 53.2 |
ZTO Express (Cayman) Inc ZTO | $18.27B | 14.2 |
WESCO International Inc WCC | $17.61B | 25.0 |
ITT Inc ITT | $17.61B | 34.6 |
RBC Bearings Incorporated RBC | $17.44B | 54.4 |
CH Robinson Worldwide Inc CHRW | $17.41B | 28.2 |
Api Group Corp APG | $17.22B | — |
IDEX Corporation IEX | $16.99B | 33.1 |
Nordson Corporation NDSN | $16.59B | 31.8 |
Clean Harbors Inc CLH | $16.52B | 37.9 |
Jacobs Solutions Inc. J | $15.93B | 39.8 |
BWX Technologies Inc BWXT | $15.46B | 45.0 |
LATAM Airlines Group S.A. LTM | $15.45B | 9.1 |
Lennox International Inc LII | $15.03B | 19.3 |
Aramark Holdings ARMK | $14.98B | 42.5 |
Gfl Environmental Holdings Inc GFL | $14.91B | — |
IES Holdings Inc IESC | $14.83B | 33.1 |
Mueller Industries Inc MLI | $14.69B | 17.3 |
Textron Inc TXT | $14.66B | 16.1 |
QXO, Inc. QXO | $14.62B | — |
Madison Air Solutions Corporation MAIR | $14.58B | 67.6 |
Carlisle Companies Incorporated CSL | $14.29B | 20.4 |
Stanley Black & Decker Inc SWK | $14.28B | 23.1 |
Lincoln Electric Holdings Inc LECO | $14.24B | 26.1 |
Masco Corporation MAS | $14.09B | 16.5 |
U-Haul Holding Company UHAL | $13.86B | 295.5 |
Allegion PLC ALLE | $13.71B | 21.2 |
Regal Beloit Corporation RRX | $13.66B | 47.6 |
Watsco Inc WSO-B | $12.97B | 28.4 |
Grupo Aeroportuario del Pacifico SAB De CV ADR PAC | $12.93B | 20.6 |
Huntington Ingalls Industries Inc HII | $12.86B | 19.5 |
Graco Inc GGG | $12.86B | 25.0 |
Applied Industrial Technologies AIT | $12.76B | 32.7 |
Watsco Inc WSO | $12.74B | 27.5 |
CNH Industrial N.V. CNH | $12.71B | 32.0 |
Dycom Industries Inc DY | $12.52B | 38.3 |
Leonardo DRS, Inc. Common Stock DRS | $12.42B | 43.5 |
Moog Inc MOG-A | $12.35B | 33.1 |
U-Haul Holding Company UHAL-B | $12.23B | 260.8 |
Embraer S.A. EMBJ | $12.16B | 40.0 |
Crane Company CR | $11.94B | 37.3 |
Rentokil Initial PLC RTO | $11.76B | 41.0 |
Generac Holdings Inc GNRC | $11.63B | 45.2 |
Advanced Energy Industries Inc AEIS | $11.58B | 60.2 |
Watts Water Technologies Inc WTS | $11.55B | 31.6 |
Owens Corning Inc OC | $11.19B | — |
Knight Transportation Inc KNX | $11.14B | 253.4 |
Advanced Drainage Systems Inc WMS | $11.13B | 26.6 |
TFI International Inc TFII | $11.10B | 33.3 |
SPX Corp SPXC | $11.00B | 38.6 |
Donaldson Company Inc DCI | $10.92B | 25.4 |
Legence Corp. Class A Common stock LGN | $10.50B | — |
Pentair PLC PNR | $10.44B | 16.9 |
Forgent Power Solutions, Inc. FPS | $10.13B | 1,663.5 |
American Airlines Group AAL | $10.11B | — |
Chart Industries Inc GTLS | $10.05B | — |
Topbuild Corp BLD | $9.94B | 19.9 |
Ryder System Inc R | $9.83B | 20.8 |
Acuity Brands Inc AYI | $9.83B | 21.8 |
StandardAero, Inc. SARO | $9.74B | 33.3 |
Saia Inc SAIA | $9.61B | 34.8 |
Timken Company TKR | $9.56B | 31.3 |
Flowserve Corporation FLS | $9.38B | 26.5 |
Valmont Industries Inc VMI | $9.35B | 18.8 |
Core & Main Inc CNM | $8.85B | 19.4 |
Oshkosh Corporation OSK | $8.79B | 16.3 |
Toro Co TTC | $8.75B | 27.4 |
Kratos Defense & Security Solutions KTOS | $8.74B | 274.1 |
Aecom Technology Corporation ACM | $8.73B | 15.1 |
Tetra Tech Inc TTEK | $8.66B | 20.4 |
Booz Allen Hamilton Holding BAH | $8.56B | 11.2 |
CAE Inc. Common Shares CAE | $8.51B | 38.3 |
Zurn Elkay Water Solutions Corporation ZWS | $8.38B | 31.4 |
Grupo Aeroportuario del Sureste SAB de CV ADR ASR | $8.28B | 14.7 |
Stantec Inc STN | $8.17B | 23.4 |
Smith AO Corporation AOS | $8.17B | 16.7 |
AeroVironment Inc AVAV | $8.06B | — |
Argan Inc AGX | $8.00B | 50.3 |
Hexcel Corporation HXL | $7.79B | 52.0 |
Federal Signal Corporation FSS | $7.63B | 26.9 |
Powell Industries Inc POWL | $7.60B | 40.7 |
Commercial Metals Company CMC | $7.57B | 13.0 |
Gates Industrial Corporation plc GTES | $7.44B | 20.8 |
Armstrong World Industries Inc AWI | $7.38B | 23.9 |
Terex Corporation TEX | $7.36B | 30.8 |
MSA Safety MSA | $7.35B | 23.6 |
Planet Labs PBC PL | $7.30B | — |
AAON Inc AAON | $7.30B | 62.7 |
Fluor Corporation FLR | $7.29B | 22.9 |
Nkt A/S NRKBY | $7.27B | 23.7 |
JBTMarel Corp JBTM | $7.21B | 42.6 |
AGCO Corporation AGCO | $7.15B | 14.1 |
Builders FirstSource Inc BLDR | $7.15B | 72.2 |
Arcosa Inc ACA | $7.13B | 32.5 |
Joby Aviation JOBY | $7.03B | — |
Kirby Corporation KEX | $7.01B | 20.2 |
MSC Industrial Direct Company Inc MSM | $6.89B | 29.9 |
Enersys ENS | $6.78B | 24.2 |
Pool Corporation POOL | $6.75B | 17.1 |
Enpro Industries NPO | $6.63B | 153.9 |
DPC Holdings PLC DPC | $6.62B | — |
Loar Holdings Inc. LOAR | $6.41B | 96.4 |
Everus Construction Group Inc ECG | $6.40B | 28.8 |
Karman Holdings Inc. KRMN | $6.38B | 209.3 |
GATX Corporation GATX | $6.35B | 17.7 |
Schneider National Inc SNDR | $6.26B | 63.8 |
Middleby Corp MIDD | $6.14B | 18.6 |
Matson Inc MATX | $6.13B | 15.0 |
Brookfield Business Corp BBUC | $6.12B | — |
Construction Partners Inc ROAD | $6.11B | 47.2 |
Landstar System Inc LSTR | $5.93B | 45.3 |
Fortune Brands Innovations Inc. FBIN | $5.88B | 21.9 |
Mercury Systems Inc MRCY | $5.83B | — |
VSE Corporation VSEC | $5.81B | 71.4 |
GXO Logistics Inc GXO | $5.77B | 44.8 |
Copa Holdings SA CPA | $5.76B | 8.2 |
Casella Waste Systems Inc CWST | $5.71B | 815.5 |
Amentum Holdings Inc. AMTM | $5.66B | 38.6 |
CSW Industrials, Inc. CSW | $5.60B | 47.1 |
Alaska Air Group Inc ALK | $5.60B | — |
Dolby Laboratories DLB | $5.59B | 25.4 |
AAR Corp AIR | $5.59B | 28.8 |
ADT Inc ADT | $5.58B | 10.6 |
Granite Construction Incorporated GVA | $5.43B | — |
ESAB Corp ESAB | $5.38B | 22.9 |
Unifirst Corporation UNF | $5.30B | 46.3 |
Resideo Technologies Inc REZI | $5.19B | — |
MYR Group Inc MYRG | $5.19B | 31.7 |
Grupo Aeroportuario del Centro Norte SAB de CV OMAB | $5.16B | 16.6 |
Graham Holdings Co GHC | $5.14B | 9.8 |
Louisiana-Pacific Corporation LPX | $5.06B | 61.9 |
Herc Holdings Inc HRI | $5.02B | 88.3 |
MDA Space Ltd. MDA | $4.90B | 53.1 |
Avis Budget Group Inc CAR | $4.86B | — |
Brinks Company BCO | $4.76B | 27.0 |
Pampa Energia SA ADR PAM | $4.75B | 10.7 |
Xometry Inc XMTR | $4.74B | — |
EquipmentShare.com Inc Class A Common Stock EQPT | $4.73B | 208.3 |
X-Energy, Inc. Class A Common Stock XE | $4.69B | — |
KBR Inc KBR | $4.68B | 11.2 |
Trex Company Inc TREX | $4.66B | 24.9 |
Franklin Electric Co Inc FELE | $4.66B | 32.9 |
Primoris Services Corporation PRIM | $4.58B | 18.6 |
Beta Technologies, Inc. BETA | $4.53B | — |
Tutor Perini Corporation TPC | $4.53B | 58.7 |
AZZ Incorporated AZZ | $4.48B | 22.7 |
Brady Corporation BRC | $4.46B | 21.4 |
Willscot Mobile Mini Holdings Corp A WSC | $4.39B | — |
FTI Consulting Inc FCN | $4.37B | 19.2 |
SkyWest Inc SKYW | $4.24B | 10.6 |
Seaboard Corporation SEB | $4.21B | 7.3 |
Corporacion America Airports CAAP | $4.21B | 14.8 |
Korn Ferry KFY | $4.18B | 15.9 |
Geo Group Inc GEO | $4.13B | 15.9 |
SiteOne Landscape Supply Inc SITE | $4.12B | 25.9 |
CECO Environmental Corp. CECO | $3.99B | 179.8 |
Griffon Corporation GFF | $3.95B | 84.5 |
Mueller Water Products MWA | $3.94B | 19.5 |
Hafnia Limited HAFN | $3.84B | 8.5 |
GPGI, Inc. GPGI | $3.83B | — |
Robert Half International Inc RHI | $3.81B | 32.9 |
Otter Tail Corporation OTTR | $3.71B | 13.3 |
Kadant Inc KAI | $3.63B | 35.1 |
Mirion Technologies Inc MIR | $3.63B | 161.9 |
Standex International Corporation SXI | $3.59B | 34.1 |
Archer Aviation Inc ACHR | $3.54B | — |
Astronics Corporation ATRO | $3.51B | 70.4 |
First Advantage Corp FA | $3.40B | 396.8 |
RXO Inc. RXO | $3.34B | — |
Exponent Inc EXPO | $3.24B | 30.0 |
ArcBest Corp ARCB | $3.23B | 209.2 |
Hayward Holdings Inc HAYW | $3.21B | 21.0 |
Star Bulk Carriers Corp SBLK | $3.21B | 23.0 |
Maximus Inc MMS | $3.19B | 9.3 |
Atkore International Group Inc ATKR | $3.16B | — |
ZIM Integrated Shipping Services Ltd ZIM | $3.14B | 31.8 |
TriNet Group Inc TNET | $3.02B | 17.5 |
CBIZ Inc CBZ | $2.99B | 26.5 |
Crane NXT Co CXT | $2.99B | 23.3 |
CoreCivic Inc CXW | $2.94B | 24.2 |
Firefly Aerospace Inc. Common Stock FLY | $2.93B | — |
McGrath RentCorp MGRC | $2.92B | 19.3 |
Nuscale Power Corp SMR | $2.91B | — |
Plug Power Inc PLUG | $2.90B | — |
Hub Group Inc HUBG | $2.85B | 26.7 |
ABM Industries Incorporated ABM | $2.81B | 18.4 |
Worthington Industries Inc WOR | $2.75B | 17.9 |
V2X Inc VVX | $2.70B | 30.9 |
Ducommun Incorporated DCO | $2.70B | — |
Kennametal Inc KMT | $2.66B | 19.6 |
ATS Corporation ATS | $2.64B | 52.4 |
Allegiant Travel Company ALGT | $2.64B | — |
Now Inc DNOW | $2.58B | — |
Helios Technologies Inc HLIO | $2.57B | 42.8 |
Danaos Corporation DAC | $2.52B | 5.0 |
Trinity Industries Inc TRN | $2.50B | 7.4 |
ManpowerGroup Inc MAN | $2.44B | 23.6 |
DXP Enterprises Inc DXPE | $2.43B | 29.4 |
Cimpress NV CMPR | $2.40B | 26.2 |
Pitney Bowes Inc PBI | $2.40B | 14.3 |
Huron Consulting Group Inc HURN | $2.39B | 22.6 |
Okeanis Eco Tankers Corp. ECO | $2.36B | 10.5 |
Blue Bird Corp BLBD | $2.35B | 18.3 |
Custom Truck One Source Inc CTOS | $2.31B | — |
Navios Maritime Partners LP Unit NMM | $2.30B | 6.8 |
JetBlue Airways Corp JBLU | $2.28B | — |
Grupo Aeroméxico, S.A.B. de C.V. AERO | $2.25B | 1.1 |
Werner Enterprises Inc WERN | $2.24B | — |
HawkEye 360, Inc. HAWK | $2.19B | — |
Gorman-Rupp Company GRC | $2.19B | 34.9 |
Cadeler A/S CDLR | $2.17B | 6.4 |
Redwire Corp RDW | $2.06B | — |
Intuitive Machines Inc. LUNR | $1.98B | — |
Alamo Group Inc ALG | $1.94B | 19.6 |
York Space Systems Inc. YSS | $1.94B | — |
Insperity Inc NSP | $1.93B | — |
Vestis Corporation VSTS | $1.91B | — |
Costamare Inc CMRE | $1.88B | 5.9 |
Enerpac Tool Group Corp EPAC | $1.84B | 20.3 |
Proto Labs Inc PRLB | $1.79B | 70.8 |
PROG Holdings Inc PRG | $1.75B | 14.2 |
Preformed Line Products Company PLPC | $1.75B | 40.5 |
Acuren Corporation TIC | $1.73B | — |
FuelCell Energy Inc FCEL | $1.73B | — |
Willis Lease Finance Corporation WLFC | $1.70B | 12.9 |
Arlo Technologies ARLO | $1.63B | 53.5 |
Global Ship Lease Inc GSL | $1.60B | 4.2 |
Distribution Solutions Group Inc DSGR | $1.60B | 288.2 |
SFL Corporation Ltd SFL | $1.59B | 51.6 |
Frontier Group Holdings Inc ULCC | $1.55B | — |
Hillman Solutions Corp HLMN | $1.54B | 43.7 |
Greenbrier Companies Inc GBX | $1.52B | 14.6 |
American Superconductor Corporation AMSC | $1.50B | 10.2 |
ICF International Inc ICFI | $1.46B | 17.5 |
Voyager Technologies, Inc. VOYG | $1.45B | — |
Energizer Holdings Inc ENR | $1.45B | 7.7 |
Ryerson Holding Corporation RYZ | $1.44B | — |
Amprius Technologies Inc. AMPX | $1.43B | — |
Tennant Company TNC | $1.43B | 50.0 |
Target Hospitality Corp TH | $1.43B | — |
Babcock & Wilcox Enterprises Inc BW | $1.42B | — |
Global Industrial Co GIC | $1.37B | 18.9 |
LegalZoom.com Inc LZ | $1.35B | 131.2 |
Capital Clean Energy Carriers Corp. CCEC | $1.34B | 13.3 |
NAPCO Security Technologies Inc NSSC | $1.32B | 36.0 |
Cadre Holdings Inc CDRE | $1.32B | 36.7 |
Purecycle Technologies Holdings Corp PCT | $1.28B | — |
Cardinal Infrastructure Group Inc. Class A Common Stock CDNL | $1.25B | 46.7 |
Gibraltar Industries Inc ROCK | $1.25B | 20.2 |
Deluxe Corporation DLX | $1.23B | 11.8 |
Eos Energy Enterprises Inc EOSE | $1.22B | — |
BrightView Holdings BV | $1.22B | 434.7 |
Marten Transport Ltd MRTN | $1.21B | 98.6 |
Ameresco Inc AMRC | $1.20B | 39.2 |
Astec Industries Inc ASTE | $1.16B | 45.2 |
T1 Energy Inc. TE | $1.16B | — |
CRA International Inc CRAI | $1.16B | 24.8 |
Lindsay Corporation LNN | $1.15B | 21.7 |
Red Cat Holdings Inc RCAT | $1.15B | — |
Great Lakes Dredge & Dock GLDD | $1.14B | 15.7 |
Tetra Technologies Inc TTI | $1.13B | 130.0 |
Graham Corporation GHM | $1.12B | 85.6 |
Genco Shipping & Trading Ltd GNK | $1.11B | 65.5 |
Willdan Group Inc WLDN | $1.11B | 19.8 |
NPK International Inc. NPKI | $1.06B | 27.2 |
Kforce Inc. KFRC | $1.03B | 27.2 |
Resolute Holdings Management, Inc. RHLD | $1.02B | 18.0 |
Evolv Technologies Holdings Inc EVLV | $1.02B | — |
AEVEX Corp. AVEX | $1.01B | 45.8 |
Aebi Schmidt Holding AG - Common Stock AEBI | $999.1M | 117.2 |
Barrett Business Services Inc BBSI | $978.7M | 26.0 |
Ads Tec Energy PLC ADSE | $967.7M | — |
Republic Airways Holdings Inc RJET | $967.0M | 13.7 |
Heartland Express Inc HTLD | $947.7M | — |
Blacksky Technology Inc BKSY | $943.2M | — |
Volaris VLRS | $900.1M | — |
Covenant Logistics Group, Inc. CVLG | $894.1M | 710.4 |
Enovix Corp ENVX | $892.2M | — |
Quanex Building Products NX | $882.7M | — |
Matthews International Corporation MATW | $875.9M | 93.6 |
Apogee Enterprises Inc APOG | $875.8M | 13.2 |
Limbach Holdings Inc LMB | $873.2M | 26.7 |
National Presto Industries Inc NPK | $870.1M | 27.0 |
Nano Nuclear Energy Inc. Common Stock NNE | $854.3M | — |
Transcat Inc TRNS | $838.5M | 157.2 |
Eastman Kodak Co KODK | $822.4M | — |
General Fusion Group Ltd. Cl A GFUZ | $814.5M | — |
Eve Holding Inc EVEX | $808.1M | — |
Ballard Power Systems Inc BLDP | $804.9M | — |
Safe Bulkers Inc SB | $803.4M | 10.2 |
Onterris ONT | $795.4M | 146.7 |
Cresud SACIF y A CRESY | $795.1M | 5.8 |
Kelly Services B Inc KELYB | $765.5M | — |
Cryoport Inc CYRX | $760.6M | — |
Compass Diversified Holdings CODI | $758.4M | — |
Himalaya Shipping Ltd. HSHP | $740.6M | 24.9 |
Janus International Group Inc JBI | $739.2M | 18.1 |
Park Aerospace Corp PKE | $737.4M | 53.8 |
Cass Information Systems Inc CASS | $714.4M | 20.2 |
Ardmore Shpng ASC | $711.6M | 6.8 |
Kornit Digital Ltd KRNT | $705.3M | — |
Mayville Engineering Co Inc MEC | $676.9M | — |
ESGL Holdings Limited OIO | $675.2M | — |
Smith & Wesson Brands Inc SWBI | $660.2M | 36.0 |
Power Solutions International, Inc. Common Stock PSIX | $636.4M | 6.2 |
Latham Group Inc SWIM | $629.3M | 76.6 |
Enviri Corporation NVRI | $623.3M | — |
Hyster-Yale Materials Handling Inc HY | $598.9M | — |
Deep Fission, Inc. Common Stock FISN | $598.5M | — |
Kimball Electronics KE | $594.7M | 23.6 |
Sturm Ruger & Company Inc RGR | $593.9M | 50.2 |
Insteel Industries Inc IIIN | $593.3M | 16.4 |
Factorial Energy Inc. FAC | $590.8M | — |
Roma Green Finance Limited Ordinary Shares ROMA | $587.9M | — |
Park Ohio Holdings Corp PKOH | $574.9M | 22.8 |
Euroseas Ltd ESEA | $557.0M | 4.1 |
Columbus McKinnon Corporation CMCO | $552.7M | — |
Ennis Inc EBF | $545.9M | 13.1 |
Quad Graphics Inc QUAD | $535.7M | 15.7 |
Satellogic V Inc SATL | $530.7M | — |
Kelly Services A Inc KELYA | $514.5M | — |
Wabash National Corporation WNC | $511.7M | — |
Phoenix Asia Holdings Limited Ordinary Shares PHOE | $511.3M | 789.0 |
Tat Techno TATT | $509.6M | 30.4 |
Hertz Global Holdings Inc HTZ | $500.5M | — |
Concrete Pumping Holdings Class A BBCP | $498.4M | 70.6 |
Pangaea Logistic PANL | $497.8M | 14.1 |
Manitowoc Company Inc MTW | $497.3M | 66.0 |
Falcon's Beyond Global, Inc. Class A Common Stock FBYD | $490.6M | 55.6 |
Aduro Clean Technologies Inc. Common Stock ADUR | $488.4M | — |
Tejon Ranch Co TRC | $484.8M | 282.2 |
Mistras Group Inc MG | $483.9M | 21.7 |
Costamare Bulkers Holdings Limited CMDB | $474.2M | — |
BlueLinx Holdings Inc BXC | $470.9M | — |
Titan International Inc TWI | $466.0M | — |
Luxfer Holdings PLC LXFR | $455.7M | 34.8 |
Bowman Consulting Group Ltd BWMN | $454.0M | 42.5 |
Energy Recovery Inc ERII | $445.9M | 23.4 |
Forward Air Corporation FWRD | $444.3M | — |
Spire Global Inc SPIR | $443.6M | 7.2 |
FTAI Infrastructure Inc. FIP | $440.8M | — |
Boston Omaha Corp BOC | $436.9M | — |
LB Foster Company FSTR | $430.2M | 39.9 |
Acacia Research Corporation ACTG | $427.9M | — |
Titan Machinery Inc TITN | $422.7M | — |
The Elmet Group Co. Common Stock ELMT | $417.0M | — |
Ehang Holdings Ltd EH | $411.1M | — |
Electrovaya Inc. ELVA | $407.0M | 74.7 |
Serve Robotics Inc. Common Stock SERV | $406.7M | — |
Orion Group Holdings Inc ORN | $396.0M | 122.2 |
Radiant Logistics Inc RLGT | $393.4M | 25.5 |
Acco Brands Corporation ACCO | $389.3M | 6.8 |
Xerox Corp XRX | $387.2M | — |
Seanergy Maritime Holdings Corp SHIP | $379.0M | 9.7 |
BUUU Group Limited Class A Ordinary Share BUUU | $376.8M | — |
Merlin, Inc. MRLN | $375.5M | — |
AirJoule Technologies Corporation AIRJ | $367.8M | — |
CompX International Inc CIX | $364.8M | 18.0 |
Universal Logistics Holdings Inc ULH | $352.8M | — |
Perma-Fix Environmental Svcs Inc PESI | $352.0M | — |
AIAI Holdings Corporation Class A Common Stock AIAI | $350.9M | — |
PAMT CORP PAMT | $348.9M | — |
Innovative Solutions and Support ISSC | $348.4M | 20.5 |
Richtech Robotics Inc. Class B Common Stock RR | $339.9M | — |
Twin Disc Incorporated TWIN | $333.7M | 12.4 |
StealthGas Inc GASS | $331.7M | 5.3 |
Virgin Galactic Holdings Inc SPCE | $327.8M | — |
Matrix Service Co MTRX | $326.4M | — |
Public Policy Holding Company, Inc. Common Stock PPHC | $325.6M | — |
SBC Medical Group Holdings Incorporated SBC | $324.1M | 7.9 |
AerSale Corp ASLE | $306.7M | 30.9 |
Etoiles Capital Group Co., Ltd. Class A Ordinary Shares EFTY | $302.1M | 187.8 |
Diana Shipping Inc. DSX | $300.2M | 5.1 |
Omega Flex Inc OFLX | $297.4M | 22.2 |
American Battery Technology Company Common Stock ABAT | $285.1M | — |
NL Industries Inc NL | $280.7M | — |
Lightbridge Corp LTBR | $270.6M | — |
Energy Services Of America Corp ESOA | $268.3M | 26.1 |
SCHMID Group N.V. Class A Ordinary Shares SHMD | $268.0M | — |
Tredegar Corporation TG | $267.0M | 9.3 |
Freightcar America Inc RAIL | $261.2M | 11.1 |
SEACOR Marine Holdings Inc SMHI | $255.9M | — |
NN Inc NNBR | $255.1M | — |
Ammo Inc POWW | $248.6M | — |
Alta Equipment Group Inc ALTG | $227.1M | — |
Magnitude International Ltd Ordinary Shares MAGH | $225.4M | 0.0 |
Forrester Research Inc FORR | $223.2M | — |
MaxsMaking Inc. Class A Ordinary Shares MAMK | $218.8M | 219.3 |
TrueBlue Inc TBI | $215.3M | — |
AIRO Group Holdings, Inc. Common Stock AIRO | $211.9M | — |
Gencor Industries Inc GENC | $208.7M | 16.0 |
Wheels Up Experience Inc UP | $208.5M | — |
RCM Technologies Inc RCMT | $200.5M | 13.3 |
Perma-Pipe International Holdings Inc PPIH | $196.2M | 14.2 |
Starfighters Space, Inc. FJET | $195.2M | — |
Sidus Space Inc SIDU | $193.7M | — |
American Resources Corp Class A AREC | $191.5M | — |
Proficient Auto Logistics, Inc. Common Stock PAL | $189.1M | — |
EVI Industries Inc EVI | $181.1M | 31.3 |
Hirequest Inc HQI | $180.1M | 26.4 |
Espey Mfg & Electronics Corp ESP | $177.3M | 15.5 |
GrafTech International Ltd EAF | $175.0M | — |
Robot Consulting Co., Ltd. ADS LAWR | $172.3M | — |
Taylor Devices Inc TAYD | $165.2M | 16.2 |
Ampco-Pittsburgh Corporation AP | $163.4M | — |
SIFCO Industries Inc SIF | $162.5M | 21.7 |
BingEx Ltd FLX | $162.3M | 13.9 |
Vertical Aerospace Ltd EVTL | $161.7M | — |
Shimmick Corporation Common Stock SHIM | $154.9M | — |
Resources Connection Inc RGP | $150.5M | — |
SKYX Platforms Corp SKYX | $146.6M | — |
Eastern Co EML | $145.2M | 30.4 |
HUHUTECH International Group Inc. Ordinary Shares HUHU | $144.5M | — |
Concorde International Group Ltd Class A Ordinary Shares CIGL | $138.8M | — |
Dmc Global Inc BOOM | $138.4M | — |
Hurco Companies Inc HURC | $135.0M | — |
RF Industries Ltd RFIL | $133.6M | 94.8 |
Julong Holding Limited Class A Ordinary Shares JLHL | $133.6M | 32.8 |
Mammoth Energy Services Inc TUSK | $127.7M | — |
NET Power Inc. NPWR | $126.4M | — |
Lixte Biotechnology Holdings Inc LIXT | $125.4M | — |
Jeld-Wen Holding Inc JELD | $122.3M | — |
New Horizon Aircraft Ltd HOVR | $118.9M | — |
flyExclusive, Inc. FLYX | $118.0M | — |
Coda Octopus Group Inc CODA | $116.0M | 22.8 |
NeoVolta Inc. Common Stock NEOV | $115.9M | — |
Concorde International Group Ltd. YOOV | $113.7M | — |
Innovate Corp VATE | $110.8M | — |
CEA Industries Inc. BNC | $109.5M | 0.0 |
HDRN HDRN | $109.4M | — |
One and One Green Technologies. Inc Class A Ordinary Shares YDDL | $107.8M | 8.4 |
Byrna Technologies Inc BYRN | $103.3M | — |
Bridger Aerospace Group Holdings, Inc. Common Stock BAER | $102.6M | — |
ENIGMATIG LIMITED EGG | $101.6M | 182.5 |
ZJK Industrial Co., Ltd ZJK | $101.0M | 9.8 |
Tecogen Inc. TGEN | $99.3M | — |
Novonix Ltd ADR NVX | $99.0M | — |
Broadwind Energy Inc BWEN | $93.6M | 17.4 |
Mastech Holdings Inc MHH | $93.1M | 40.8 |
Zenta Group Company Limited ZTG | $90.2M | 49.6 |
Ultralife Corporation ULBI | $87.4M | — |
Surf Air Mobility Inc. SRFM | $87.1M | — |
Arq Inc ARQ | $86.3M | — |
NOMAD Power Solutions, Inc. NMAD | $81.9M | — |
Safe Pro Group Inc. SPAI | $81.9M | — |
Skyline Builders Group Holding Limited Class A Ordinary Shares SKBL | $81.8M | 165.0 |
Energys Group Limited Ordinary Shares ENGS | $81.6M | — |
CleanCore Solutions Inc. ZONE | $80.8M | — |
Shengfeng Development Limited Class A Ordinary Shares SFWL | $79.6M | 6.9 |
Team Inc TISI | $79.5M | — |
Optex Systems Holdings, Inc. Common Stock OPXS | $78.6M | 19.1 |
Blink Charging Co BLNK | $78.0M | — |
EuroDry Ltd EDRY | $76.6M | — |
Momentus Inc MNTS | $76.3M | — |
Air T Inc AIRT | $75.5M | 1.0 |
Mobile Infrastructure Corporation BEEP | $75.4M | — |
GrabAGun Digital Holdings Inc. PEW | $72.9M | — |
Caesarstone Ltd CSTE | $72.3M | — |
LanzaTech Global Inc. LNZA | $72.3M | — |
DLH Holdings Corp DLHC | $70.7M | — |
Globus Maritime Ltd GLBS | $69.5M | — |
Supercom Ltd SPCB | $67.3M | 14.3 |
Asia Pacific Wire & Cable Corp Ltd APWC | $65.1M | 5.3 |
rYojbaba Co., Ltd. Common Shares RYOJ | $64.9M | 562.0 |
Heidmar Maritime Holdings Corp. Common Stock HMR | $64.9M | — |
Circle8 Group, Inc. CIRC | $64.5M | — |
Identiv Inc INVE | $63.4M | — |
CPI Aerostructures Inc CVU | $63.1M | 41.8 |
Rich Sparkle Holdings Limited Ordinary Shares ANPA | $62.4M | 413.0 |
BG Staffing Inc BGSF | $61.1M | — |
Where Food Comes From Inc WFCF | $61.1M | 39.1 |
Mobilicom Limited American Depositary Shares MOB | $60.8M | — |
Freightos Limited Ordinary shares CRGO | $59.4M | — |
XTI Aerospace, Inc. XTIA | $57.3M | — |
Solidion Technology Inc. STI | $53.5M | — |
Alpha Pro Tech Ltd APT | $50.4M | 14.5 |
CVD Equipment Corporation CVV | $50.0M | — |
New Century Logistics (BVI) Limited Ordinary Shares NCEW | $49.9M | — |
Skyline Builders Group Holding Limited KAZR | $49.6M | 100.0 |
Laser Photonics Corporation Common Stock LASE | $49.2M | — |
Ocean Power Technologies Inc OPTT | $48.6M | — |
TechPrecision Corporation Common stock TPCS | $47.3M | — |
Diginex Limited Ordinary Shares DGNX | $44.5M | — |
CBAK Energy Technology Inc CBAT | $44.3M | — |
Fuel Tech Inc FTEK | $43.9M | — |
VisionWave Holdings, Inc. Common Stock VWAV | $43.6M | — |
Hyperscale Data, Inc. GPUS | $41.7M | 2.0 |
Orion Energy Systems Inc OESX | $41.0M | — |
Star Equity Holdings Inc STRR | $39.9M | — |
XCHG Limited American Depositary Share XCH | $39.2M | — |
374Water Inc. Common Stock SCWO | $38.1M | — |
Senstar Technologies Ltd SNT | $38.0M | 27.2 |
Birchtech Corp. BCHT | $37.1M | — |
Network-1 Technologies Inc NTIP | $37.0M | — |
SIMPPLE LTD. Ordinary Shares SPPL | $35.3M | — |
Aeries Technology Inc. AERT | $35.2M | 15.6 |
Intercont (Cayman) Limited Ordinary shares NCT | $32.8M | — |
Southland Holdings, Inc. SLND | $32.5M | — |
Pioneer Power Solutions Inc. PPSI | $32.3M | — |
Caravelle International Group HTCO | $31.3M | — |
Acco Group Holdings Limited Ordinary Shares ACCL | $31.1M | 55.8 |
Premium Catering (Holdings) Limited PC | $30.5M | — |
Xos Inc XOS | $29.8M | — |
YSX Tech. Co., Ltd Class A Ordinary Shares YSXT | $29.0M | 8.3 |
Knightscope Inc KSCP | $28.3M | — |
T3 Defense Inc. DFNS | $28.0M | — |
Quest Resource Holding Corp QRHC | $26.8M | — |
Scage Future American Depositary Shares SCAG | $26.3M | — |
United Maritime Corporation USEA | $25.1M | — |
Tungray Technologies Inc Class A Ordinary Shares TRSG | $24.8M | 0.0 |
ClearSign Combustion Corporation CLIR | $24.3M | — |
Smart Logistics Global Limited Ordinary Shares SLGB | $23.9M | — |
LogProstyle Inc. LGPS | $23.8M | 5.0 |
GreenPro Capital Corp GRNQ | $23.2M | — |
GEE Group Inc JOB | $23.1M | — |
LiqTech International Inc LIQT | $23.0M | — |
Uni-Fuels Holdings Limited Class A Ordinary Shares UFG | $22.7M | — |
Euroholdings Ltd. EHLD | $22.3M | 3.8 |
ESS Tech Inc GWH | $22.0M | — |
Performance Shipping Inc PSHG | $21.6M | 2.2 |
Reitar Logtech Holdings Limited Ordinary shares RITR | $21.3M | — |
Senmiao Technology Ltd AIHS | $21.1M | — |
WF Holding Limited Ordinary Shares WFF | $20.9M | — |
Vantage Corp VNTG | $20.0M | — |
Zenta Group Company Limited Ordinary Shares ZGM | $19.5M | 16.5 |
Lichen China Limited Class A Ordinary Shares LICN | $19.4M | — |
Hang Feng Technology Innovation Co., Ltd. FOFO | $19.2M | — |
Castor Maritime Inc CTRM | $18.8M | 0.6 |
Nixxy, Inc. NIXX | $18.6M | — |
Elite Express Holding Inc. Class A Common Stock ETS | $18.4M | — |
DUKE Robotics Corp. Common Stock DUKR | $18.1M | — |
PS International Group Ltd. Ordinary Shares PSIG | $17.8M | — |
System1 Inc SST | $17.6M | — |
Sunrise New Energy Co. Ltd EPOW | $17.2M | — |
Liberty Defense Holdings, Ltd. Common Shares DETX | $17.2M | — |
SPAR Group Inc SGRP | $17.0M | — |
Ming Shing Group Holdings Limited Ordinary Shares PMA | $17.0M | — |
Tersis Technologies Inc. TERS | $16.9M | — |
Ten-League International Holdings Limited Ordinary Shares TLIH | $16.9M | 3.7 |
Harte Hanks Inc HHS | $16.8M | — |
OneConstruction Group Limited Ordinary Shares ONEG | $16.3M | — |
Ming Shing Group Holdings Ltd MSW | $16.2M | — |
Primech Holdings Ltd. Ordinary Shares PMEC | $16.1M | — |
SMX (Security Matters) Public Limited Company Class A Ordinary Shares SMX | $15.6M | — |
Dragonfly Energy Holdings Corp. DFLI | $15.0M | — |
Rain Enhancement Technologies Holdco, Inc. Class A Common Stock RAIN | $14.9M | — |
Swvl Holdings Corp SWVL | $14.2M | 11.9 |
Primega Group Holdings Limited ZDAI | $13.5M | — |
Nuburu Inc. BURU | $13.5M | — |
TOMI Environmental Solutions Inc TOMZ | $13.4M | — |
Air Industries Group AIRI | $13.0M | — |
SKK Holdings Limited SKK | $12.8M | — |
Toppoint Holdings Inc. TOPP | $12.7M | — |
ParaZero Technologies Ltd. Ordinary Shares PRZO | $12.0M | — |
OceanPal Inc. SVRN | $11.8M | — |
Mint Incorporation Limited Class A Ordinary Shares MIMI | $11.8M | — |
TryHard Holdings Limited Ordinary Shares THH | $11.7M | — |
Armlogi Holding Corp. Common Stock BTOC | $11.4M | — |
Arts-Way Manufacturing Co Inc ARTW | $11.2M | — |
Flux Power Holdings Inc FLUX | $11.2M | — |
Clean Energy Technologies, Inc. Common Stock CETY | $11.1M | — |
Euro Tech Holdings Company Ltd CLWT | $11.0M | 74.5 |
Universal Security Instruments Inc UUU | $11.0M | — |
GreenPower Motor Company Inc GP | $10.5M | — |
Eastern International Ltd. ELOG | $10.5M | — |
Samfine Creation Holdings Group Limited SFHG | $10.2M | — |
Chicago Rivet & Machine Co CVR | $10.1M | — |
Avalon Holdings Corporation AWX | $10.0M | 18.2 |
Guardforce AI Co Ltd GFAI | $9.7M | — |
Lakeside Holding Limited Common Stock LSH | $9.6M | — |
VerifyMe Inc VRME | $9.4M | — |
WF International Limited Ordinary Shares WXM | $9.4M | — |
Aqua Metals Inc AQMS | $8.8M | — |
Rail Vision Ltd. Ordinary Share RVSN | $8.8M | — |
Antelope Enterprise Holdings Ltd AEHL | $8.6M | — |
Callan JMB Inc. Common Stock CJMB | $8.4M | — |
Planet Green Holdings Corp PLAG | $8.3M | — |
FBS Global Limited Ordinary Shares FBGL | $7.6M | — |
Huachen AI Parking Management Technology Holding Co Ltd HCAI | $7.3M | — |
JE Cleantech Holdings Ltd JCSE | $7.2M | 2.9 |
Volato Group Inc. SOAR | $7.2M | — |
Jayud Global Logistics Limited Class A Ordinary Shares JYD | $7.2M | — |
Intelligent Living Application Group Inc ILAG | $7.2M | — |
Olenox Industries Inc. OLOX | $6.7M | — |
Nauticus Robotics Inc. KITT | $6.7M | — |
Mingteng International Corporation Inc. Ordinary Shares MTEN | $6.7M | — |
Eshallgo Inc. Class A Ordinary Shares EHGO | $6.5M | — |
Haoxin Holdings Limited Class A Ordinary Shares HXHX | $6.5M | 1.6 |
Multi Ways Holdings Ltd MWG | $6.3M | — |
Polar Power Inc POLA | $5.9M | — |
Stardust Power Inc. SDST | $5.7M | — |
Cheetah Net Supply Chain Service Inc. Class A Common Stock CTNT | $5.7M | — |
Galaxy Payroll Group Limited Ordinary Shares GLXG | $5.7M | — |
DevvStream Corp. Common Stock DEVS | $5.4M | — |
Green Circle Decarbonize Technology Limited GCDT | $5.1M | — |
Decent Holding Inc Ordinary Shares DXST | $5.1M | — |
Bio Green Med Solution, Inc. BGMS | $4.9M | 0.2 |
Cre8 Enterprise Limited Class A Ordinary Shares CRE | $4.9M | 6.9 |
Intelligent Group Limited Ordinary Shares INTJ | $4.9M | — |
Singularity Future Technology Ltd SGLY | $4.7M | — |
INLIF LIMITED Ordinary Shares INLF | $4.5M | — |
Professional Diversity Network Inc IPDN | $4.3M | — |
Masonglory Limited Ordinary Shares MSGY | $4.2M | 5.9 |
BIO-key International, Inc. Common Stock BKYI | $4.1M | — |
Highway Holdings Limited HIHO | $4.1M | — |
YY Group Holding Limited Class A Ordinary Shares YYGH | $3.9M | — |
Icon Energy Corp. ICON | $3.8M | 0.0 |
DEFSEC Technologies Inc. DFSC | $3.7M | — |
Tianci International, Inc. Common Stock CIIT | $3.5M | — |
Expion360 Inc XPON | $3.4M | — |
Addentax Group Corp ATXG | $3.0M | — |
VCI Global Limited Ordinary Share VCIG | $2.9M | — |
Iveda Solutions Inc IVDA | $2.9M | — |
Greenwave Technology Solutions Inc. Common Stock GWAV | $2.8M | — |
OFAL OFAL | $2.8M | — |
Megan Holdings Limited Ordinary Shares MGN | $2.8M | 7.4 |
CDT Environmental Technology Investment Holdings Limited ordinary shares CDTG | $2.8M | — |
CCSC Technology International Holdings Limited Ordinary Shares CCTG | $2.6M | — |
Hydrofarm Holdings Group Inc HYFM | $2.6M | — |
Erayak Power Solution Group Inc. Class A Ordinary Shares RAYA | $2.5M | — |
SU Group Holdings Limited Ordinary Shares SUGP | $2.4M | — |
Globavend Holdings Limited Ordinary Shares GVH | $2.4M | — |
Biomx Inc PHGE | $2.0M | — |
Linkers Industries Limited Class A Ordinary Shares LNKS | $1.7M | — |
ModuLink Inc. MDLK | $1.6M | — |
Elong Power Holding Limited Class A Ordinary Shares ELPW | $1.5M | — |
Rubico Inc. Common Stock RUBI | $1.3M | 0.0 |
Founder Group Limited Ordinary Shares FGL | $976,928 | — |
C3is Inc. CISS | $176,507 | — |
Toughbuilt Industries Inc TBLT | $47,699 | — |
MingZhu Logistics Holdings Ltd YGMZF | $9,991 | 0.0 |
Ambipar Emergency Response AMBIQ | $5,542 | — |
Li Bang International Corporation Inc. Ordinary Shares LBGJ | $3,186 | — |
FlexShopper Inc. FPAYQ | $2,461 | — |
Shapeways Holdings, Inc SHPWQ | $661 | — |
Applied Aerospace & Defense, Inc. AADX | $0 | — |
Fortress Transportation and Preferred Series C FTAIN | $0 | — |