CitroTech CITR Peer Comparison

NYSE CITR
$5.00 -0.03 (-0.60%)
As of: Sep 9, 2026 · 1:19 PM EDT
Peer Comparison

210 Comparable Companies

Industry Specialty Chemicals

CitroTech Inc. (CITR) is the 179th largest of 210 Specialty Chemicals companies by market capitalisation, at 108.77 Mn, behind Ozop Energy Solutions, Inc. at 110.75 Mn. The table below compares all 210 on 8 financial metrics.

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# Ticker Company match industry_code industry_group industry_group_code Market Capitalization P/E P/S Enterprise Value
1 GLW Corning Inc /Ny primary M-02 Chemicals MG-01 145.10 Bn 69.96 8.55 142.60 Bn
2 ATI Ati Inc primary M-02 Chemicals MG-01 28.39 Bn 58.07 6.02 27.61 Bn
3 Q Qnity Electronics, Inc. primary M-02 Chemicals MG-01 26.40 Bn 43.49 5.07 25.44 Bn
4 IFF International Flavors & Fragrances Inc primary M-02 Chemicals MG-01 21.54 Bn 73.78 2.16 20.97 Bn
5 DD DuPont de Nemours, Inc. primary M-02 Chemicals MG-01 17.57 Bn 94.97 2.51 15.83 Bn
6 AVY Avery Dennison Corp primary M-02 Chemicals MG-01 13.04 Bn 18.49 1.41 12.81 Bn
7 ESI Element Solutions Inc primary M-02 Chemicals MG-01 8.78 Bn 49.09 2.79 8.59 Bn
8 EMN Eastman Chemical Co primary M-02 Chemicals MG-01 7.84 Bn 11.74 0.88 7.15 Bn
9 HXL Hexcel Corp /De/ primary M-02 Chemicals MG-01 6.87 Bn 44.75 3.47 6.81 Bn
10 SXT Sensient Technologies Corp primary M-02 Chemicals MG-01 5.61 Bn 36.15 3.30 5.58 Bn
11 BCPC Balchem Corp primary M-02 Chemicals MG-01 5.41 Bn 32.93 4.99 5.35 Bn
12 CLMT Calumet, Inc. /DE primary M-02 Chemicals MG-01 4.84 Bn -35.37 1.05 4.69 Bn
13 CBT Cabot Corp primary M-02 Chemicals MG-01 4.13 Bn 18.67 1.14 3.88 Bn
14 ASH Ashland Inc. primary M-02 Chemicals MG-01 3.29 Bn 14.30 1.79 2.85 Bn
15 KWR Quaker Chemical Corp primary M-02 Chemicals MG-01 2.66 Bn 32.99 1.34 2.50 Bn
16 HWKN Hawkins Inc primary M-02 Chemicals MG-01 2.58 Bn 32.04 2.34 2.58 Bn
17 NGVT Ingevity Corp primary M-02 Chemicals MG-01 2.36 Bn 43.63 2.03 2.17 Bn
18 ROG Rogers Corp primary M-02 Chemicals MG-01 2.31 Bn 73.74 2.76 2.10 Bn
19 IOSP Innospec Inc. primary M-02 Chemicals MG-01 2.30 Bn 20.07 1.25 2.05 Bn
20 SCL Stepan Co primary M-02 Chemicals MG-01 1.41 Bn -3,211.56 0.58 1.30 Bn
21 FTK Flotek Industries Inc/Cn/ primary M-02 Chemicals MG-01 0.97 Bn 25.56 3.32 0.97 Bn
22 KOP Koppers Holdings Inc. primary M-02 Chemicals MG-01 0.88 Bn -10.08 0.46 0.83 Bn
23 LWLG Lightwave Logic, Inc. primary M-02 Chemicals MG-01 0.83 Bn -65.48 5,683.13 0.83 Bn
24 MATV Mativ Holdings, Inc. primary M-02 Chemicals MG-01 0.69 Bn 7.67 0.35 0.62 Bn
25 RYAM Rayonier Advanced Materials Inc. primary M-02 Chemicals MG-01 0.57 Bn -4.22 0.39 0.51 Bn
26 ASPI ASP Isotopes Inc. primary M-02 Chemicals MG-01 0.48 Bn -3.21 15.45 0.22 Bn
27 MAGN Magnera Corp primary M-02 Chemicals MG-01 0.41 Bn -4.94 0.13 0.13 Bn
28 ASPN Aspen Aerogels Inc primary M-02 Chemicals MG-01 0.40 Bn -9.07 2.00 0.25 Bn
29 OEC Orion S.A. primary M-02 Chemicals MG-01 0.32 Bn -3.32 0.17 0.27 Bn
30 ALTO Alto Ingredients, Inc. primary M-02 Chemicals MG-01 0.30 Bn 5.96 0.32 0.27 Bn
31 FF FutureFuel Corp. primary M-02 Chemicals MG-01 0.24 Bn -8.18 1.55 0.20 Bn
32 HDSN Hudson Technologies Inc /Ny primary M-02 Chemicals MG-01 0.22 Bn 24.98 0.87 0.20 Bn
33 ACNT Ascent Industries Co. primary M-02 Chemicals MG-01 0.14 Bn -30.59 1.62 0.11 Bn
34 CITR CitroTech Inc. primary M-02 Chemicals MG-01 0.11 Bn -3.39 80.57 0.11 Bn
35 ARQ Arq, Inc. primary M-02 Chemicals MG-01 0.09 Bn -1.81 0.76 0.09 Bn
36 KBLB Kraig Biocraft Laboratories, Inc. primary M-02 Chemicals MG-01 0.09 Bn -22.59 0.09 Bn
37 NTIC Northern Technologies International Corp primary M-02 Chemicals MG-01 0.07 Bn -943.47 0.80 0.07 Bn
38 ZTEK Zentek Ltd. primary M-02 Chemicals MG-01 0.06 Bn -11.95 256.85 0.05 Bn
39 EXOZ Exozymes Inc. primary M-02 Chemicals MG-01 0.06 Bn -5.63 0.06 Bn
40 SCIA SCI Engineered Materials, Inc. primary M-02 Chemicals MG-01 0.04 Bn 15.32 1.37 0.03 Bn
41 NNUP Nocopi Technologies Inc/Md/ primary M-02 Chemicals MG-01 0.02 Bn -33.65 10.54 0.02 Bn
42 INM InMed Pharmaceuticals Inc. primary M-02 Chemicals MG-01 0.01 Bn -0.67 0.00 Bn
43 BON Bon Natural Life Ltd primary M-02 Chemicals MG-01 0.00 Bn -1.52 0.49 -0.02 Bn
44 SMTK SmartKem, Inc. primary M-02 Chemicals MG-01 0.00 Bn 0.00 Bn
45 TSEOQ Trinseo PLC primary M-02 Chemicals MG-01 0.00 Bn 0.00 0.00 -0.18 Bn
46 CNEY Cn Energy Group. Inc. primary M-02 Chemicals MG-01 0.00 Bn -0.02 0.01 -0.02 Bn
47 TANH Tantech Holdings Ltd primary M-02 Chemicals MG-01 0.00 Bn -0.01 0.00 -0.03 Bn
48 CVX Chevron Corp secondary E-01 Oil and Gas Upstream EG-01 420.51 Bn 20.12 1.95 411.98 Bn
49 CAT Caterpillar Inc secondary I-05 Machinery IG-02 376.48 Bn 34.72 5.04 369.77 Bn
50 RY Royal Bank Of Canada secondary F-02 Banking FG-01 291.93 Bn 17.79 5.68 65.04 Bn
51 TD Toronto Dominion Bank secondary F-02 Banking FG-01 206.24 Bn 18.31 4.41 44.91 Bn
52 BBVA Banco Bilbao Vizcaya Argentaria, S.A. secondary F-02 Banking FG-01 167.73 Bn 12.94 167.73 Bn
53 CB Chubb Ltd secondary F-13 Insurance FG-04 130.75 Bn 11.36 2.12 116.99 Bn
54 LLOBF Lloyds Banking Group plc secondary F-02 Banking FG-01 118.36 Bn 16.60 3.49 118.67 Bn
55 PSX Phillips 66 secondary E-01 Oil and Gas Upstream EG-01 104.66 Bn 14.55 0.67 100.56 Bn
56 UPS United Parcel Service Inc secondary I-23 Transportation IG-05 84.59 Bn 18.51 0.94 79.94 Bn
57 SHW Sherwin Williams Co secondary M-03 Chemicals MG-01 78.44 Bn 29.18 3.21 78.15 Bn
58 ECL Ecolab Inc. secondary I-38 Environmental Equipment IG-09 76.99 Bn 37.50 4.57 71.86 Bn
59 TRV Travelers Companies, Inc. secondary F-13 Insurance FG-04 76.98 Bn 9.27 1.57 53.23 Bn
60 GGAL Grupo Financiero Galicia Sa secondary F-02 Banking FG-01 71.47 Bn 0.03 71.47 Bn
61 HON Honeywell International Inc secondary I-01 Aerospace and Defense IG-01 65.39 Bn 8.05 1.72 56.20 Bn
62 ALL Allstate Corp secondary F-13 Insurance FG-04 65.11 Bn 4.94 0.93 26.38 Bn
63 MET Metlife Inc secondary F-12 Insurance FG-04 61.43 Bn 17.85 0.77 34.11 Bn
64 AFL Aflac Inc secondary F-13 Insurance FG-04 57.83 Bn 12.48 3.20 -45.18 Bn
65 LYB LyondellBasell Industries N.V. secondary M-01 Chemicals MG-01 41.69 Bn -120.85 1.34 39.06 Bn
66 SHG Shinhan Financial Group Co Ltd secondary F-02 Banking FG-01 39.77 Bn 10.52 1.05 13.62 Bn
67 AIG American International Group, Inc. secondary F-13 Insurance FG-04 39.47 Bn 13.31 1.48 1.65 Bn
68 BAMGF BROOKFIELD Corp /ON/ secondary F-11 Asset and Wealth Management FG-03 37.98 Bn 26.60 0.50 7.42 Bn
69 HIG Hartford Insurance Group, Inc. secondary F-13 Insurance FG-04 37.23 Bn 8.57 1.28 20.92 Bn
70 BAP Credicorp Ltd secondary F-02 Banking FG-01 29.90 Bn 3.37 29.90 Bn
71 CINF Cincinnati Financial Corp secondary F-13 Insurance FG-04 26.06 Bn 8.03 1.87 24.17 Bn
72 PFG Principal Financial Group Inc secondary F-09 Asset and Wealth Management FG-03 24.50 Bn 15.53 1.56 -28.47 Bn
73 PPG Ppg Industries Inc secondary M-03 Chemicals MG-01 24.06 Bn 15.22 1.47 22.47 Bn
74 MKL Markel Group Inc. secondary F-13 Insurance FG-04 22.37 Bn 9.76 1.44 5.48 Bn
75 L Loews Corp secondary F-13 Insurance FG-04 22.30 Bn 12.47 1.19 0.00 Bn
76 BRO Brown & Brown, Inc. secondary F-16 Insurance FG-04 22.22 Bn 18.32 3.27 21.30 Bn
77 MKSI Mks Inc secondary T-03 Semiconductors TG-01 18.05 Bn 73.96 4.15 17.43 Bn
78 FN Fabrinet secondary T-14 Computer Hardware TG-02 15.13 Bn 31.99 3.26 14.26 Bn
79 ALB Albemarle Corp secondary M-11 Metals and Mining MG-02 14.91 Bn 71.95 2.52 13.28 Bn
80 UNM Unum Group secondary F-13 Insurance FG-04 14.85 Bn 16.27 1.11 5.30 Bn
81 EG Everest Group, Ltd. secondary F-15 Insurance FG-04 14.32 Bn 7.49 0.85 -33.05 Bn
82 AIZ Assurant, Inc. secondary F-13 Insurance FG-04 13.90 Bn 13.07 1.03 11.87 Bn
83 RNR Renaissancere Holdings Ltd secondary F-15 Insurance FG-04 13.35 Bn 5.14 1.20 -13.14 Bn
84 ALLY Ally Financial Inc. secondary F-02 Banking FG-01 12.89 Bn 9.70 1.49 5.05 Bn
85 CNA Cna Financial Corp secondary F-13 Insurance FG-04 12.85 Bn 10.39 0.85 5.07 Bn
86 RPM Rpm International Inc/De/ secondary M-03 Chemicals MG-01 12.80 Bn 19.32 1.63 12.48 Bn
87 AFG American Financial Group Inc secondary F-13 Insurance FG-04 11.64 Bn 13.33 1.41 -6.21 Bn
88 AVTR Avantor, Inc. secondary I-31 Distribution and Rental IG-07 10.02 Bn -17.34 1.53 9.71 Bn
89 FRHC Freedom Holding Corp. secondary F-02 Banking FG-01 9.77 Bn 63.20 4.09 9.77 Bn
90 ORI Old Republic International Corp secondary F-13 Insurance FG-04 9.75 Bn 8.54 1.00 9.75 Bn
91 VOYA Voya Financial, Inc. secondary F-09 Asset and Wealth Management FG-03 9.26 Bn 16.33 1.13 6.91 Bn
92 WLK Westlake Corp secondary M-01 Chemicals MG-01 9.23 Bn -7.75 0.82 7.38 Bn
93 VIAV Viavi Solutions Inc. secondary T-15 Computer Hardware TG-02 8.97 Bn -287.65 5.91 8.32 Bn
94 BNT Brookfield Wealth Solutions Ltd. secondary F-12 Insurance FG-04 8.69 Bn 29.97 0.73 -4.09 Bn
95 WAL Western Alliance Bancorporation secondary F-01 Banking FG-01 8.50 Bn 8.70 2.16 2.49 Bn
96 LNC Lincoln National Corp secondary F-12 Insurance FG-04 8.39 Bn 3.70 0.43 -3.29 Bn
97 KNSL Kinsale Capital Group, Inc. secondary F-13 Insurance FG-04 8.18 Bn 14.38 4.10 7.19 Bn
98 THG Hanover Insurance Group, Inc. secondary F-13 Insurance FG-04 7.85 Bn 10.43 1.16 1.61 Bn
99 TWST Twist Bioscience Corp secondary H-10 Medical Devices and Diagnostics HG-02 7.84 Bn -57.35 18.16 7.67 Bn
100 ICL ICL Group Ltd. secondary M-04 Chemicals MG-01 7.63 Bn 23.13 0.99 6.97 Bn
101 AXS Axis Capital Holdings Ltd secondary F-13 Insurance FG-04 7.24 Bn 6.74 1.06 6.45 Bn
102 SASOF Sasol Ltd secondary E-01 Oil and Gas Upstream EG-01 7.01 Bn 9.20 0.43 4.43 Bn
103 TMHC Taylor Morrison Home Corp secondary D-08 Homebuilding DG-03 6.77 Bn 10.26 0.89 6.12 Bn
104 MTG Mgic Investment Corp secondary F-13 Insurance FG-04 6.48 Bn 9.15 5.42 6.25 Bn
105 INGR Ingredion Inc secondary S-07 Agribusiness SG-03 6.37 Bn 10.64 0.88 5.42 Bn
106 ESNT Essent Group Ltd. secondary F-13 Insurance FG-04 6.20 Bn 9.11 4.69 6.20 Bn
107 IFS Intercorp Financial Services Inc. secondary F-02 Banking FG-01 6.14 Bn 2.93 6.14 Bn
108 WRB-PH Berkley W R Corp secondary F-13 Insurance FG-04 5.91 Bn 3.06 0.40 1.80 Bn
109 FTDR Frontdoor, Inc. secondary F-13 Insurance FG-04 5.59 Bn 20.47 2.60 4.96 Bn
110 MCY Mercury General Corp secondary F-13 Insurance FG-04 5.58 Bn 5.96 0.88 -16.29 Bn
111 RLI Rli Corp secondary F-13 Insurance FG-04 5.56 Bn 12.68 2.82 -0.27 Bn
112 SIGI Selective Insurance Group Inc secondary F-13 Insurance FG-04 5.39 Bn 11.03 0.98 3.29 Bn
113 MTRN MATERION Corp secondary M-16 Metals and Mining MG-02 5.28 Bn 58.61 2.52 5.26 Bn
114 PRM Perimeter Solutions, Inc. secondary I-04 Machinery IG-02 5.16 Bn -15.19 6.81 5.08 Bn
115 WTM White Mountains Insurance Group Ltd secondary F-13 Insurance FG-04 4.98 Bn 4.22 1.30 -6.43 Bn
116 RYAN Ryan Specialty Holdings, Inc. secondary F-16 Insurance FG-04 4.93 Bn 20.31 1.53 4.79 Bn
117 CSW Csw Industrials, Inc. secondary I-14 Construction Products IG-03 4.91 Bn 4.88 Bn
118 RDN Radian Group Inc secondary F-13 Insurance FG-04 4.90 Bn 9.13 2.98 4.16 Bn
119 CE Celanese Corp secondary M-01 Chemicals MG-01 4.85 Bn -4.20 0.50 3.49 Bn
120 ARX Accelerant Holdings secondary F-13 Insurance FG-04 4.34 Bn -3.17 3.79 2.68 Bn
121 AXTI Axt Inc secondary T-04 Semiconductors TG-01 4.30 Bn -2,843.15 36.86 3.51 Bn
122 CVCO Cavco Industries, Inc. secondary D-09 Homebuilding DG-03 4.22 Bn 3.97 Bn
123 GNW Genworth Financial Inc secondary F-13 Insurance FG-04 3.98 Bn 11.63 0.54 1.99 Bn
124 LMND Lemonade, Inc. secondary F-13 Insurance FG-04 3.77 Bn -27.22 3.86 3.38 Bn
125 PLMR Palomar Holdings, Inc. secondary F-13 Insurance FG-04 3.45 Bn 17.00 3.16 3.34 Bn
126 HG Hamilton Insurance Group, Ltd. secondary F-13 Insurance FG-04 3.42 Bn 3.96 1.14 -0.77 Bn
127 NMIH NMI Holdings, Inc. secondary F-13 Insurance FG-04 3.36 Bn 8.51 4.60 3.29 Bn
128 AGO Assured Guaranty Ltd secondary F-13 Insurance FG-04 3.23 Bn 8.43 3.44 -0.57 Bn
129 BOH Bank Of Hawaii Corp secondary F-01 Banking FG-01 2.98 Bn 13.88 3.91 -0.77 Bn
130 FUL Fuller H B Co secondary M-03 Chemicals MG-01 2.82 Bn 19.11 0.80 2.71 Bn
131 SPNT SiriusPoint Ltd secondary F-15 Insurance FG-04 2.81 Bn 5.67 0.86 2.13 Bn
132 SLDE Slide Insurance Holdings, Inc. secondary F-13 Insurance FG-04 2.80 Bn 5.05 2.02 1.57 Bn
133 WTTR Select Water Solutions, Inc. secondary E-10 Oilfield Services and Equipment EG-04 2.77 Bn 86.27 1.94 2.74 Bn
134 BWIN Baldwin Insurance Group, Inc. secondary F-16 Insurance FG-04 2.67 Bn -20.02 1.54 2.49 Bn
135 PLGO Pelagos Insurance Capital Ltd secondary F-13 Insurance FG-04 2.63 Bn 5.07 1.05 3.91 Bn
136 SKWD Skyward Specialty Insurance Group, Inc. secondary F-13 Insurance FG-04 2.48 Bn 13.22 1.43 1.87 Bn
137 CC Chemours Co secondary M-01 Chemicals MG-01 2.28 Bn -7.47 0.39 1.61 Bn
138 HCI HCI Group, Inc. secondary F-13 Insurance FG-04 2.26 Bn 6.60 2.37 1.33 Bn
139 MTX Minerals Technologies Inc secondary M-16 Metals and Mining MG-02 2.16 Bn -7.92 1.01 1.82 Bn
140 HMN Horace Mann Educators Corp /De/ secondary F-13 Insurance FG-04 2.02 Bn 11.38 1.16 -3.79 Bn
141 OLN OLIN Corp secondary M-01 Chemicals MG-01 2.01 Bn -10.19 0.30 1.83 Bn
142 PRCH Porch Group, Inc. secondary F-13 Insurance FG-04 1.82 Bn -204.09 3.49 1.61 Bn
143 STBA S&T Bancorp Inc secondary F-01 Banking FG-01 1.77 Bn 12.56 95.48 0.54 Bn
144 BAK Braskem Sa secondary M-01 Chemicals MG-01 1.62 Bn -0.82 0.11 -0.58 Bn
145 SAFT Safety Insurance Group Inc secondary F-13 Insurance FG-04 1.51 Bn 22.63 1.17 1.24 Bn
146 PAHC Phibro Animal Health Corp secondary H-05 Pharmaceuticals and Biotechnology HG-01 1.49 Bn 14.98 0.98 1.41 Bn
147 KMPB KEMPER Corp secondary F-13 Insurance FG-04 1.44 Bn -2.85 0.31 0.15 Bn
148 UFCS United Fire Group Inc secondary F-13 Insurance FG-04 1.35 Bn 9.61 0.92 1.22 Bn
149 ASIC Ategrity Specialty Insurance Co Holdings secondary F-13 Insurance FG-04 1.29 Bn 11.28 2.50 1.03 Bn
150 UHAL U-Haul Holding Co /NV/ secondary D-21 Travel and Lodging DG-07 1.25 Bn -2.43 Bn
151 UVE Universal Insurance Holdings, Inc. secondary F-13 Insurance FG-04 1.19 Bn 5.41 0.73 0.55 Bn
152 DFH Dream Finders Homes, Inc. secondary D-08 Homebuilding DG-03 1.18 Bn 8.02 0.29 0.98 Bn
153 GL-PD Globe Life Inc. secondary F-12 Insurance FG-04 1.13 Bn 0.94 0.18 0.37 Bn
154 ECVT Ecovyst Inc. secondary M-01 Chemicals MG-01 1.13 Bn -18.37 1.30 1.04 Bn
155 IGIC International General Insurance Holdings Ltd. secondary F-13 Insurance FG-04 1.13 Bn 10.01 2.15 0.89 Bn
156 BOW Bowhead Specialty Holdings Inc. secondary F-13 Insurance FG-04 1.11 Bn 17.81 1.80 0.96 Bn
157 TRUP Trupanion, Inc. secondary F-13 Insurance FG-04 1.08 Bn 46.70 0.71 0.69 Bn
158 HRTG Heritage Insurance Holdings, Inc. secondary F-13 Insurance FG-04 1.01 Bn 4.71 1.19 0.30 Bn
159 ACDC ProFrac Holding Corp. secondary E-10 Oilfield Services and Equipment EG-04 0.98 Bn -2.39 0.55 0.97 Bn
160 EIG Employers Holdings, Inc. secondary F-13 Insurance FG-04 0.89 Bn 116.98 1.06 0.60 Bn
161 KODK Eastman Kodak Co secondary I-30 Business Services IG-06 0.88 Bn -13.40 0.78 0.57 Bn
162 HIPO Hippo Holdings Inc. secondary F-13 Insurance FG-04 0.84 Bn 6.90 1.65 0.53 Bn
163 ROOT Root, Inc. secondary F-13 Insurance FG-04 0.83 Bn 14.24 0.53 0.31 Bn
164 DQ Daqo New Energy Corp. secondary M-01 Chemicals MG-01 0.82 Bn -4.27 1.47 0.01 Bn
165 DGICB Donegal Group Inc secondary F-13 Insurance FG-04 0.78 Bn 14.98 0.81 0.75 Bn
166 BRK-B Berkshire Hathaway Inc secondary F-13 Insurance FG-04 0.73 Bn 0.01 0.00 -326.25 Bn
167 CCNEP Cnb Financial Corp/Pa secondary F-01 Banking FG-01 0.73 Bn 7.94 2.17 0.26 Bn
168 TIPT Tiptree Inc. secondary F-13 Insurance FG-04 0.67 Bn 0.62 Bn
169 LPTH Lightpath Technologies Inc secondary I-02 Aerospace and Defense IG-01 0.60 Bn -69.57 9.52 0.54 Bn
170 FRFFF Fairfax Financial Holdings Ltd/ Can secondary F-13 Insurance FG-04 0.54 Bn 0.09 5.25 Bn
171 AII American Integrity Insurance Group, Inc. secondary F-13 Insurance FG-04 0.51 Bn 5.30 1.58 0.21 Bn
172 AMSF Amerisafe Inc secondary F-13 Insurance FG-04 0.46 Bn 10.01 1.38 0.33 Bn
173 LXFR Luxfer Holdings Plc secondary I-09 Machinery IG-02 0.46 Bn 57.83 1.27 0.45 Bn
174 ACIC AMERICAN COASTAL INSURANCE Corp secondary F-13 Insurance FG-04 0.44 Bn 4.44 1.35 0.07 Bn
175 GBLI Global Indemnity Group, LLC secondary F-13 Insurance FG-04 0.42 Bn 0.32 Bn
176 LSAK Lesaka Technologies Inc secondary F-04 Lending and Credit FG-02 0.37 Bn -13.10 0.53 0.28 Bn
177 TWFG TWFG, Inc. secondary F-16 Insurance FG-04 0.36 Bn 6.44 1.22 0.27 Bn
178 NODK NI Holdings, Inc. secondary F-13 Insurance FG-04 0.32 Bn 40.97 1.20 -0.06 Bn
179 NNDM Nano Dimension Ltd. secondary I-12 Machinery IG-02 0.32 Bn -2.16 2.61 -0.03 Bn
180 RM Regional Management Corp. secondary F-04 Lending and Credit FG-02 0.29 Bn 6.28 0.44 0.17 Bn
181 KINS Kingstone Companies, Inc. secondary F-13 Insurance FG-04 0.28 Bn 7.93 1.18 0.26 Bn
182 NAGE Niagen Bioscience, Inc. secondary S-11 Household and Personal Products SG-05 0.24 Bn 15.20 1.88 0.18 Bn
183 MBI Mbia Inc secondary F-13 Insurance FG-04 0.23 Bn -77.14 33.06 -0.12 Bn
184 OSG Octave Specialty Group Inc secondary F-13 Insurance FG-04 0.23 Bn -1.38 0.70 -0.07 Bn
185 MVST Microvast Holdings, Inc. secondary I-43 Clean Energy Equipment IG-10 0.22 Bn -39.02 0.61 0.08 Bn
186 LARK Landmark Bancorp Inc secondary F-01 Banking FG-01 0.20 Bn 10.40 2.25 0.20 Bn
187 JRVR James River Group Holdings, Inc. secondary F-13 Insurance FG-04 0.18 Bn 8.07 0.28 -0.02 Bn
188 SBFG Sb Financial Group, Inc. secondary F-01 Banking FG-01 0.18 Bn 10.82 -19.74 0.06 Bn
189 PLG Platinum Group Metals Ltd secondary M-15 Metals and Mining MG-02 0.17 Bn 42.02 0.17 Bn
190 CBUS Cibus, Inc. secondary M-05 Chemicals MG-01 0.12 Bn -1.18 34.55 0.10 Bn
191 UFI Unifi Inc secondary M-01 Chemicals MG-01 0.12 Bn -3.57 0.23 0.10 Bn
192 OZSC Ozop Energy Solutions, Inc. secondary I-45 Clean Energy Equipment IG-10 0.11 Bn 0.11 Bn
193 SIEB Siebert Financial Corp secondary F-19 Capital Markets FG-05 0.11 Bn -94.82 1.01 -0.10 Bn
194 VRDR Verde Resources, Inc. secondary I-15 Construction Services IG-04 0.08 Bn -21.30 165.82 0.08 Bn
195 LNZA LanzaTech Global, Inc. secondary I-37 Environmental Equipment IG-09 0.07 Bn -1.24 1.27 0.03 Bn
196 SLSN Solesence, Inc. secondary S-12 Household and Personal Products SG-05 0.06 Bn -25.65 1.11 0.06 Bn
197 FEAM 5E Advanced Materials, Inc. secondary M-16 Metals and Mining MG-02 0.05 Bn -1.45 0.05 Bn
198 FTEK Fuel Tech, Inc. secondary I-37 Environmental Equipment IG-09 0.05 Bn -14.78 1.88 0.03 Bn
199 PFXNZ PhenixFIN Corp secondary F-07 Lending and Credit FG-02 0.05 Bn 2.11 4.87 -0.26 Bn
200 UG United Guardian Inc secondary H-01 Pharmaceuticals and Biotechnology HG-01 0.03 Bn 14.47 2.92 0.02 Bn
201 PRHI Presurance Holdings, Inc. secondary F-13 Insurance FG-04 0.03 Bn -2.65 0.98 -0.04 Bn
202 AAME Atlantic American Corp secondary F-13 Insurance FG-04 0.03 Bn 5.63 0.13 -0.02 Bn
203 BCHT Birchtech Corp. secondary I-37 Environmental Equipment IG-09 0.03 Bn -7.44 1.35 0.01 Bn
204 RDGL Vivos Inc secondary H-06 Medical Devices and Diagnostics HG-02 0.02 Bn -8.86 399.68 0.02 Bn
205 DYAI Dyadic International Inc secondary H-02 Pharmaceuticals and Biotechnology HG-01 0.02 Bn -2.62 4.91 0.01 Bn
206 PMEC Primech Holdings Ltd secondary I-27 Business Services IG-06 0.02 Bn -6.11 0.22 0.01 Bn
207 NAII Natural Alternatives International Inc secondary H-12 Pharma Services HG-03 0.01 Bn -0.84 0.09 0.00 Bn
208 GURE Gulf Resources, Inc. secondary M-01 Chemicals MG-01 0.01 Bn -0.12 0.20 0.00 Bn
209 VYST Vystar Corp secondary M-01 Chemicals MG-01 0.00 Bn -2.10 55.37 0.00 Bn
210 DXST Decent Holding Inc. secondary I-38 Environmental Equipment IG-09 0.00 Bn 0.00 Bn