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No.Ticker▲QT ScoreCompanySectorIndustryCountryMarket CapP/EPriceChangeVolume
1281DRLL—Strive U.S. Energy ETFFinancialExchange Traded FundUS270.91M-42.43-0.07%12,022
1282DRS32Leonardo DRS, Inc.IndustrialsAerospace & DefenseUSA
#1281 / 1300 of 4983
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9.63B
30.06
36.07
-0.66%
621,281
1283DRTS91Alpha Tau Medical LtdHealthcareBiotechnologyIL1.30B-14.43-0.07%409,279
1284DRUG69Bright Minds Biosciences Inc.HealthcareBiotechnologyUSA623.84M-63.18-2.80%129,218
1285DRVN45Driven Brands Holdings Inc.Consumer CyclicalAuto - DealershipsUSA2.00B11.4612.15-1.22%862,255
1286DSAC44Daedalus Special Acquisition Corp.Financial ServicesShell CompaniesUK347.97M56.8710.18-0.10%1,469,744
1287DSGN71Design Therapeutics, Inc.HealthcareBiotechnologyUSA913.75M-14.63-1.15%715,230
1288DSGR71Distribution Solutions Group, Inc.IndustrialsIndustrial - DistributionUSA1.61B184.5534.750.00%193,531
1289DSGX44The Descartes Systems Group Inc.TechnologySoftware - ApplicationCanada6.51B34.5276.046.62%1,780,600
1290DSI—iShares ESG MSCI KLD 400 ETFFinancialExchange Traded FundUS5.30B-145.430.87%75,551
1291DSP66Viant Technology Inc.TechnologySoftware - ApplicationUSA825.49M29.6412.58-1.26%239,583
1292DSPY—Tema S&P 500 Historical Weight ETF StrategyFinancialExchange Traded FundUS891.40M-66.390.85%2,104
1293DSTL—Distillate U.S. Fundamental Stability & Value ETFFinancialExchange Traded FundUS1.86B-67.240.84%43,052
1294DT67Dynatrace, Inc.TechnologySoftware - ApplicationUSA14.89B100.4351.07-0.68%4,908,103
1295DTB40DTE Energy Company 2020 SeriesUtilitiesRegulated ElectricUSA27.59B20.8115.701.29%11,916
1296DTCR—Global X - Data Center & Digital Infrastructure ETFFinancialExchange Traded FundUS678.01M-28.261.98%354,087
1297DTD—WisdomTree U.S. Total Dividend FundFinancialExchange Traded FundUS1.61B-96.230.65%18,396
1298DTE42DTE Energy CompanyUtilitiesRegulated ElectricUSA27.59B20.81132.58-1.31%1,671,623
1299DTG41DTE Energy Company 2021 SeriesUtilitiesRegulated ElectricUSA27.59B20.8115.761.03%49,906
1300DTH—WisdomTree International High Dividend FundFinancialExchange Traded FundUS685.09M-58.390.66%15,314