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Exchanges · NYSE American

NYSE American (AMEX)

Tickers listed on NYSE American (formerly the American Stock Exchange) - real-time SEC filings, ratings, and insider activity for every listed company we track. 250 of the largest tickers shown.

Top companies

  1. 1IMOImperial Oil Limited· Energy$54.43B
  2. 2LNGCheniere Energy Inc.· Utilities$28.62B
  3. 3CQPCheniere Energy Partners, LP· Public Utilities$19.91B
  4. 4CETCentral Securities Corporation· Finance$12.74B
  5. 5EQXEquinox Gold Corp.· Basic Materials$8.29B
  6. 6UECUranium Energy Corp.· Basic Materials$5.94B
  7. 7BTGB2Gold Corp· Basic Materials$5.74B
  8. 8SIMGrupo Simec S.A.B. de C.V.· Industrials$4.63B
  9. 9SEBSeaboard Corporation· Industrials$4.59B
  10. 10UUUUEnergy Fuels Inc· Industrials$4.14B
  11. 11ORLAOrla Mining Ltd.· Basic Materials$3.59B
  12. 12NGNovagold Resources Inc.· Basic Materials$3.42B
  13. 13PRKPark National Corporation· Finance$3.20B
  14. 14NHCNational HealthCare Corporation· Health Care$3.15B
  15. 15DNNDenison Mines Corp· Basic Materials$3.03B
  16. 16TGBTaseko Mines Ltd.· Basic Materials$2.61B
  17. 17SVMSilvercorp Metals Inc.· Basic Materials$2.50B
  18. 18UTGReaves Utility Income Fund· Finance$2.15B
  19. 19GSATGlobalstar Inc.· Consumer Discretionary$1.86B
  20. 20NXENexgen Energy Ltd.· Basic Materials$1.86B
  21. 21IEIvanhoe Electric Inc.· Basic Materials$1.80B
  22. 22NOGNorthern Oil and Gas Inc.· Energy$1.79B
  23. 23USASAmericas Gold and Silver Corporation· Basic Materials$1.75B
  24. 24CLMCornerstone Strategic Investment Fund Inc.· Finance$1.64B
  25. 25SLSRSolaris Resources Inc.$1.49B
  26. 26EVVEaton Vance Limited Duration Income Fund· Finance$1.42B
  27. 27IAUXi-80 Gold Corp.· Basic Materials$1.34B
  28. 28MAGMAG Silver Corporation· Basic Materials$1.30B
  29. 29TMPTompkins Financial Corporation· Finance$1.28B
  30. 30CNLCollective Mining Ltd.$1.28B
  31. 31VZLAVizsla Silver Corp.· Basic Materials$1.24B
  32. 32UMACUnusual Machines Inc.· Technology$1.19B
  33. 33NAKNorthern Dynasty Minerals Ltd.· Basic Materials$1.18B
  34. 34ASMAvino Silver & Gold Mines Ltd.· Basic Materials$1.11B
  35. 35AEFabrdn Emerging Markets ex-China Fund Inc.· Finance$1.07B
  36. 36SENSSenseonics Holdings Inc.· Health Care$1.07B
  37. 37SILVSilverCrest Metals Inc.· Basic Materials$1.06B
  38. 38NGDNew Gold Inc.· Basic Materials$1.04B
  39. 39HSLVHighlander Silver Corp.$982.5M
  40. 40FAXabrdn Asia-Pacific Income Fund Inc.· Finance$904.1M
  41. 41EIMEaton Vance Municipal Bond Fund· Finance$895.1M
  42. 42CCFChase Corporation· Consumer Discretionary$894.2M
  43. 43CRFCornerstone Total Return Fund Inc.· Finance$843.2M
  44. 44SLIStandard Lithium Ltd.· Industrials$830.9M
  45. 45NEWPNew Pacific Metals Corp.· Basic Materials$777.3M
  46. 46BRGBluerock Residential Growth REIT Inc.· Real Estate$730.6M
  47. 47GROYGold Royalty Corp.· Basic Materials$730.2M
  48. 48ISOUIsoEnergy Ltd.$725.7M
  49. 49MCFContango Oil & Gas Company· Energy$722.8M
  50. 50ELAEnvela Corporation· Consumer Discretionary$713.5M
  51. 51REPXRiley Exploration Permian Inc.· Energy$712.1M
  52. 52QNCQuantum eMotion Corp.$710.8M
  53. 53MTAMetalla Royalty & Streaming Ltd.· Basic Materials$694.3M
  54. 54DCDakota Gold Corp.· Basic Materials$660.3M
  55. 55TMQTrilogy Metals Inc.· Basic Materials$653.9M
  56. 56GMTLGuardian Metal Resources PLC· Basic Materials$628.6M
  57. 57OBEObsidian Energy Ltd.· Energy$625.0M
  58. 58NFGCNew Found Gold Corp· Basic Materials$622.2M
  59. 59BHBBar Harbor Bankshares Inc.· Finance$609.2M
  60. 60MMXMaverix Metals Inc.$603.8M
  61. 61URGUr Energy Inc· Basic Materials$596.0M
  62. 62THMInternational Tower Hill Mines Ltd.· Basic Materials$578.2M
  63. 63GAUGaliano Gold Inc.· Industrials$574.7M
  64. 64GGNGAMCO Global Gold Natural Resources & Income Trust· Finance$562.2M
  65. 65IDRIdaho Strategic Resources Inc.· Basic Materials$560.3M
  66. 66LEUCentrus Energy Corp.· Industrials$555.8M
  67. 67WRNWestern Copper and Gold Corporation· Basic Materials$534.8M
  68. 68ITRGIntegra Resources Corp.· Basic Materials$529.9M
  69. 69CTGOContango Silver & Gold Inc.· Basic Materials$522.5M
  70. 70BIOXBioceres Crop Solutions Corp.· Industrials$502.3M
  71. 71EADAllspring Income Opportunities Fund· Finance$499.8M
  72. 72GSSGolden Star Resources Ltd$449.0M
  73. 73SKYHSky Harbour Group Corporation· Finance$442.6M
  74. 74RLGTRadiant Logistics Inc.· Industrials$420.1M
  75. 75MPTIM-tron Industries Inc.· Technology$414.6M
  76. 76VKIInvesco Advantage Municipal Income Trust II· Finance$410.3M
  77. 77CMCLCaledonia Mining Corporation Plc· Basic Materials$402.9M
  78. 78GLOClough Global Opportunities Fund· Finance$386.8M
  79. 79FTSIFTS International Inc.· Energy$370.7M
  80. 80LODEComstock Inc.· Industrials$362.1M
  81. 81INSIntelligent Systems Corporation· Technology$359.8M
  82. 82VGZVista Gold Corp· Basic Materials$348.9M
  83. 83CTOCTO Realty Growth Inc.· Real Estate$345.5M
  84. 84CATXPerspective Therapeutics Inc.· Health Care$336.4M
  85. 85CIXCompX International Inc.· Consumer Discretionary$334.2M
  86. 86ERCAllspring Multi-Sector Income Fund· Finance$332.6M
  87. 87XXII22nd Century Group Inc.· Health Care$332.0M
  88. 88GDPGoodrich Petroleum Corporation· Energy$329.9M
  89. 89KLRKaleyra Inc.· Technology$324.7M
  90. 90ELMDElectromed Inc.· Health Care$320.3M
  91. 91BKTIBK Technologies Corporation· Technology$311.1M
  92. 92NMLNeuberger Energy Infrastructure and Income Fund Inc.· Finance$309.4M
  93. 93LCTXLineage Cell Therapeutics Inc.· Health Care$301.7M
  94. 94BRBSBlue Ridge Bankshares Inc.· Finance$301.2M
  95. 95TRXTRX Gold Corporation· Basic Materials$298.3M
  96. 96FENFirst Trust Energy Income and Growth Fund· Finance$296.5M
  97. 97ZOMZomedica Corp.· Health Care$284.2M
  98. 98ELLOEllomay Capital Ltd· Utilities$272.5M
  99. 99EVMEaton Vance California Municipal Bond Fund· Finance$269.4M
  100. 100NBHNeuberger Municipal Fund Inc.· Finance$266.5M
  101. 101GTEGran Tierra Energy Inc.· Energy$260.2M
  102. 102ARMPArmata Pharmaceuticals Inc.· Health Care$259.9M
  103. 103FJETStarfighters Space Inc.· Consumer Discretionary$259.0M
  104. 104VHAQViveon Health Acquisition Corp.· Health Care$252.8M
  105. 105PLMPolymet Mining Corporation· Basic Materials$249.2M
  106. 106DHYCredit Suisse High Yield Credit Fund· Finance$241.2M
  107. 107MIMOAirspan Networks Holdings Inc.· Consumer Discretionary$239.1M
  108. 108REIRing Energy Inc.· Energy$238.7M
  109. 109INTTinTest Corporation· Industrials$236.2M
  110. 110FTFFranklin Limited Duration Income Trust· Finance$235.2M
  111. 111NRONeuberger Real Estate Securities Income Fund Inc.· Finance$228.2M
  112. 112GOED1847 Goedeker Inc. Commom Stock· Capital Goods$223.4M
  113. 113EVBNEvans Bancorp Inc.· Finance$221.2M
  114. 114ZONECleanCore Solutions Inc.· Industrials$219.7M
  115. 115GOROGold Resource Corporation· Basic Materials$215.3M
  116. 116AXUAlexco Resource Corp$212.8M
  117. 117TIITitan Mining Corporation$212.3M
  118. 118CMTCore Molding Technologies Inc· Industrials$211.8M
  119. 119GLQClough Global Equity Fund Clough Global Equity Fund· Finance$210.6M
  120. 120DLADelta Apparel Inc.· Consumer Staples$209.9M
  121. 121EMXEMX Royalty Corporation· Basic Materials$209.7M
  122. 122EGGEnigmatig Limited· Consumer Discretionary$208.0M
  123. 123ENXEaton Vance New York Municipal Bond Fund· Finance$206.9M
  124. 124SMTSSierra Metals Inc.$205.9M
  125. 125FLYXflyExclusive Inc.· Consumer Discretionary$205.5M
  126. 126EVIEVI Industries Inc.· Consumer Discretionary$204.6M
  127. 127GLDGGoldMining Inc.· Basic Materials$204.0M
  128. 128ASXCAsensus Surgical Inc.· Health Care$201.1M
  129. 129INFUInfuSystems Holdings Inc.· Health Care$190.1M
  130. 130PLGPlatinum Group Metals Ltd.· Basic Materials$185.2M
  131. 131STXSStereotaxis Inc.· Health Care$183.7M
  132. 132KULRKULR Technology Group Inc.· Technology$183.2M
  133. 133ESPEspey Mfg. & Electronics Corp.· Technology$182.7M
  134. 134TGENTecogen Inc.· Industrials$180.4M
  135. 135EXODExodus Movement Inc.· Finance$179.5M
  136. 136STRWStrawberry Fields REIT Inc.· Real Estate$179.1M
  137. 137PLXProtalix BioTherapeutics Inc. (DE)· Health Care$178.9M
  138. 138GLTAGalata Acquisition Corp.· Consumer Discretionary$175.2M
  139. 139MINEMayfair Gold Corp.· Energy$173.7M
  140. 140ACUAcme United Corporation.· Consumer Discretionary$172.9M
  141. 141CIKCredit Suisse Asset Management Income Fund Inc.· Finance$171.6M
  142. 142DMFBNY Mellon Municipal Income Inc.· Finance$170.2M
  143. 143CYBNCybin Inc.· Health Care$166.2M
  144. 144VENUVenu Holding Corporation· Consumer Discretionary$165.5M
  145. 145NHSNeuberger High Yield Strategies Fund Inc.· Finance$165.3M
  146. 146USBCUSBC Inc.· Industrials$162.4M
  147. 147NENNew England Realty Associates Limited Partnership· Consumer Services$161.7M
  148. 148TRTTrio-Tech International· Technology$160.1M
  149. 149CITRCitroTech Inc.· Industrials$157.4M
  150. 150GPUSHyperscale Data Inc.· Technology$157.1M
  151. 151PEDPedevco Corp.· Energy$155.8M
  152. 152VMMDelaware Investments Minnesota Municipal Income Fund II Inc.· Finance$155.3M
  153. 153CRMDCorMedix Inc.· Health Care$155.0M
  154. 154MRTMarti Technologies Inc.· Consumer Discretionary$151.4M
  155. 155OCXOncocyte Corporation· Health Care$149.4M
  156. 156DPWDPW Holdings, Inc.· Capital Goods$147.5M
  157. 157ECFEllsworth Growth and Income Fund Ltd.· Finance$145.0M
  158. 158SIFSIFCO Industries Inc.· Industrials$141.7M
  159. 159LGCYLegacy Education Inc.· Real Estate$141.3M
  160. 160ADRAAdara Acquisition Corp.· Industrials$140.5M
  161. 161CEICamber Energy Inc.· Energy$140.1M
  162. 162EPMEvolution Petroleum Corporation Inc.· Energy$138.5M
  163. 163GSVGold Standard Ventures Corporation$138.0M
  164. 164GROBrazil Potash Corp.· Industrials$137.9M
  165. 165ACYAeroCentury Corp.$134.5M
  166. 166WYYWidePoint Corporation· Technology$134.1M
  167. 167BTXBlackRock Technology and Private Equity Term Trust$131.7M
  168. 168PTKPTK Acquisition Corp.· Finance$130.9M
  169. 169SMJFSMJ International Holdings Inc.· Consumer Discretionary$130.5M
  170. 170IAFabrdn Australia Equity Fund Inc.· Finance$128.4M
  171. 171AEAdams Resources & Energy Inc.· Energy$128.4M
  172. 172BCVBancroft Fund Ltd.· Finance$126.9M
  173. 173ERHAllspring Utilities and High Income Fund· Finance$126.0M
  174. 174LUDLuda Technology Group Limited· Industrials$124.8M
  175. 175RYDERyde Group Ltd.· Real Estate$122.0M
  176. 176BHMBluerock Homes Trust Inc.· Real Estate$121.1M
  177. 177HNWPioneer Diversified High Income Fund Inc.· Finance$120.9M
  178. 178RCORRenovacor Inc.· Health Care$120.3M
  179. 179ISDRIssuer Direct Corporation· Consumer Discretionary$114.5M
  180. 180AMPEAmpio Pharmaceuticals Inc.· Health Care$113.6M
  181. 181LPALogistic Properties of the Americas· Finance$112.9M
  182. 182GLUGabelli Global Utility· Finance$112.2M
  183. 183ANVSAnnovis Bio Inc.· Health Care$110.9M
  184. 184BMTXBM Technologies Inc.· Finance$109.9M
  185. 185CDORCondor Hospitality Trust, Inc.· Consumer Services$107.5M
  186. 186BUDABuda Juice Inc.· Consumer Staples$106.4M
  187. 187PZGParamount Gold Nevada Corp.· Basic Materials$106.4M
  188. 188PTHSPelthos Therapeutics Inc.· Health Care$100.8M
  189. 189IBIOiBio Inc.· Health Care$97.0M
  190. 190FURYFury Gold Mines Limited· Basic Materials$96.1M
  191. 191MHHMastech Digital Inc· Consumer Discretionary$91.1M
  192. 192CHAQChardan Healthcare Acquisition 2 Corp.· Finance$90.6M
  193. 193NRXSNeuraxis Inc.· Health Care$88.5M
  194. 194OSTXOS Therapies Incorporated· Health Care$86.0M
  195. 195MAIAMAIA Biotechnology Inc.· Health Care$85.1M
  196. 196GPLGreat Panther Mining Limited$84.6M
  197. 197FSIFlexible Solutions International Inc.· Industrials$82.5M
  198. 198GLVClough Global Dividend and Income Fund· Finance$82.4M
  199. 199EVYEaton Vance New York Municipal Income Trust· n/a$81.9M
  200. 200BDLFlanigan's Enterprises Inc.· Consumer Discretionary$81.8M
  201. 201LOVSpark Networks SE· Consumer Discretionary$78.7M
  202. 202EMANeMagin Corporation· Technology$78.5M
  203. 203CTMCastellum Inc.· Consumer Discretionary$78.4M
  204. 204XPLSolitario Resources Corp.· Basic Materials$75.3M
  205. 205NBWNeuberger Berman California Municipal Fund Inc· Finance$73.7M
  206. 206SRXHSRX Health Solutions Inc.· Consumer Staples$73.5M
  207. 207CEVEaton Vance California Municipal Income Trust Shares of Benefi· Finance$72.7M
  208. 208IORIncome Opportunity Realty Investors Inc.· Real Estate$72.4M
  209. 209NILEBitNile Holdings Inc.· Industrials$69.6M
  210. 210WBEVWinc Inc.· Consumer Staples$69.6M
  211. 211VOLTVolt Information Sciences Inc.· Technology$69.2M
  212. 212DITAMCON Distributing Company· Consumer Discretionary$68.8M
  213. 213TPHSTrinity Place Holdings Inc.· Real Estate$67.5M
  214. 214VCFDelaware Investments Colorado Municipal Income Fund Inc· Finance$67.4M
  215. 215FRDFriedman Industries Inc.· Industrials$66.3M
  216. 216IDPARTS iD Inc.· Consumer Discretionary$65.7M
  217. 217CVUCPI Aerostructures Inc.· Industrials$65.7M
  218. 218ROLRHigh Roller Technologies Inc.· Consumer Discretionary$65.3M
  219. 219FCOabrdn Global Income Fund Inc.· Finance$63.5M
  220. 220OTHOff The Hook YS Inc.· Industrials$62.6M
  221. 221BTTRBetter Choice Company Inc.· Consumer Staples$62.0M
  222. 222XTNTXtant Medical Holdings Inc.· Health Care$61.8M
  223. 223BCHTBirchtech Corp.· Industrials$61.6M
  224. 224MCRPMicropolis AI Robotics· Consumer Discretionary$60.7M
  225. 225NBONeuberger Berman New York Municipal Fund Inc.· Finance$60.7M
  226. 226FSPFranklin Street Properties Corp.· Real Estate$60.3M
  227. 227VFLabrdn National Municipal Income Fund· Finance$59.9M
  228. 228AUMNGolden Minerals Company· Basic Materials$58.6M
  229. 229TOONKartoon Studios Inc.· Consumer Discretionary$55.8M
  230. 230APTAlpha Pro Tech Ltd.· Health Care$55.5M
  231. 231UAVSAgEagle Aerial Systems Inc.· Industrials$55.2M
  232. 232WLMSWilliams Industrial Services Group Inc.· Industrials$54.4M
  233. 233IBOImpact BioMedical Inc.· Health Care$54.1M
  234. 234LSFLaird Superfood Inc.· Consumer Staples$51.5M
  235. 235ISRIsoRay Inc.· Health Care$51.1M
  236. 236BTNBallantyne Strong Inc.· Consumer Discretionary$51.0M
  237. 237VINEFresh Vine Wine Inc.· Consumer Staples$50.5M
  238. 238ARENThe Arena Group Holdings Inc.· Technology$50.0M
  239. 239IDWIDW Media Holdings· Consumer Discretionary$49.8M
  240. 240MYOMyomo Inc.· Health Care$49.5M
  241. 241AGIGAbundia Global Impact Group Inc.· Energy$48.4M
  242. 242DDCDDC Enterprise Limited· Consumer Staples$48.3M
  243. 243AINCAshford Inc. (Holding Company)· Consumer Discretionary$45.9M
  244. 244LGLLGL Group Inc.· Technology$45.2M
  245. 245MGLDThe Marygold Companies Inc.· Finance$45.0M
  246. 246UAMYUnited States Antimony Corporation· Industrials$44.6M
  247. 247JAGUJaguar Uranium Corp.$44.2M
  248. 248SACHSachem Capital Corp.· Real Estate$44.1M
  249. 249DXRDaxor Corporation· Health Care$44.0M
  250. 250SNMPEvolve Transition Infrastructure LP· Energy$43.6M