Stock Rankings by Dollar Volume - Rankings 1201 to 1300
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 1201 to 1300.
1201
SIDU Sidus Space, Inc. Class A Common Stock $4.40
$14.00M
3.181M
$38.29M
1202
TRI Thomson Reuters Corporation $163.13
$13.99M
85.789K
$73.39B
1203
EQNR Equinor ASA American Depositary Shares (Each Representing One Ordinary Share, nominal value NOK 2.50 per share) $22.86
$13.99M
612.127K
$62.46B
1204
WES Western Midstream Partners, LP $39.91
$13.90M
348.194K
$15.19B
1205
OHI Omega Healthcare Investors Inc. $38.15
$13.87M
363.61K
$10.30B
1206
PCVX Vaxcyte, Inc. Common Stock $85.90
$13.87M
161.425K
$10.71B
1207
DV DoubleVerify Holdings, Inc. $19.75
$13.84M
700.515K
$3.31B
1208
FRHC Freedom Holding Corp. $130.83
$13.83M
105.681K
$7.93B
1209
ELAN Elanco Animal Health Incorporated Common Stock $12.00
$13.77M
1.148M
$5.93B
1210
$68.60
$13.76M
200.544K
$1.12B
1211
$49.47
$13.72M
277.246K
$177.52B
1212
$95.66
$13.65M
142.679K
$18.15B
1213
$35.82
$13.60M
379.544K
$3.62B
1214
ZK ZEEKR Intelligent Technology Holding Limited American Depositary Shares (each representing ten (10) Ordinary Shares) $29.71
$13.55M
456.066K
$7.36B
1215
$18.11
$13.53M
747.359K
$1.82B
1216
WTRG Essential Utilities, Inc. $36.40
$13.52M
371.334K
$10.00B
1217
ALGT Allegiant Travel Company $86.39
$13.47M
155.91K
$1.58B
1218
$23.82
$13.41M
563.019K
$6.04B
1219
SOLV Solventum Corporation $66.65
$13.39M
200.92K
$11.51B
1220
MTDR MATADOR RESOURCES COMPANY $54.16
$13.36M
246.751K
$6.76B
1221
SPR Spirit Aerosystems Holdings, Inc. $33.75
$13.31M
394.474K
$3.95B
1222
ARQT Arcutis Biotherapeutics, Inc. Common Stock $14.87
$13.30M
894.699K
$1.74B
1223
MHK Mohawk Industries, Inc. $120.19
$13.29M
110.544K
$7.59B
1224
$48.50
$13.24M
272.978K
$4.86B
1225
GNW Genworth Financial, Inc. $7.07
$13.24M
1.872M
$3.02B
1226
MFC Manulife Financial Corp. $30.80
$13.23M
429.445K
$53.63B
1227
DAR DARLING INGREDIENTS INC. $33.70
$13.21M
391.935K
$5.36B
1228
AMBA Ambarella, Inc. Ordinary Shares $74.90
$13.20M
176.249K
$3.12B
1229
TRMB Trimble Inc. Common Stock $71.87
$13.17M
183.189K
$17.55B
1230
$160.84
$13.13M
81.627K
$4.36B
1231
ATHM Autohome Inc. American Depositary Shares, each representing four Class A Ordinary Shares $26.47
$13.12M
495.583K
$3.21B
1232
FR First Industrial Realty Trust, Inc. $50.82
$13.10M
257.698K
$6.73B
1233
OXLC Oxford Lane Capital Corp. $5.18
$13.09M
2.528M
$1.91B
1234
$10.69
$13.00M
1.216M
$1.65B
1235
MSA Mine Safety Incorporated $168.93
$13.00M
76.937K
$6.64B
1236
HCP HashiCorp, Inc. Class A Common Stock $33.95
$12.97M
382.07K
$6.94B
1237
$187.85
$12.97M
69.029K
$26.04B
1238
$170.89
$12.92M
75.632K
$10.15B
1239
VNOM Viper Energy, Inc. Class A Common Stock $48.29
$12.92M
267.586K
$4.97B
1240
BECN Beacon Roofing Supply, Inc. $101.30
$12.92M
127.497K
$6.27B
1241
MLCO Melco Resorts & Entertainment Limited American Depositary Shares $6.02
$12.88M
2.14M
$2.53B
1242
MTH Meritage Homes Corporation $155.85
$12.87M
82.602K
$5.64B
1243
ABR Arbor Realty Trust, Inc. $13.88
$12.87M
927.058K
$2.62B
1244
TIGR UP Fintech Holding Ltd American Depositary Share representing fifteen Class A Ordinary Shares $7.41
$12.86M
1.736M
$1.38B
1245
$42.57
$12.86M
302.003K
$3.67B
1246
$90.91
$12.83M
141.173K
$16.77B
1247
ZG ZILLOW GROUP INC CLASS A $73.85
$12.82M
173.618K
$17.25B
1248
MTSI MACOM Technology Solutions Holdings, Inc $135.82
$12.78M
94.077K
$9.83B
1249
$299.79
$12.76M
42.576K
$3.44B
1250
PLYA Playa Hotels & Resorts N.V. Ordinary Shares $12.22
$12.76M
1.044M
$1.49B
1251
$104.76
$12.74M
121.652K
$6.33B
1252
KNF Knife River Corporation $103.56
$12.74M
122.978K
$5.86B
1253
HCC Warrior Met Coal, Inc. $54.32
$12.73M
234.302K
$2.84B
1254
$54.31
$12.73M
234.314K
$7.44B
1255
AMSC American Superconductor Corp $24.82
$12.70M
511.782K
$979.23M
1256
ARRY Array Technologies, Inc. Common Stock $5.95
$12.65M
2.126M
$904.06M
1257
$177.26
$12.65M
71.347K
$8.23B
1258
PAAS Pan American Silver Corp. $20.73
$12.64M
609.818K
$7.53B
1259
FRSX Foresight Autonomous Holdings Ltd. American Depositary Shares $2.32
$12.63M
5.442M
$35.56M
1260
AMG Affiliated Managers Group $187.41
$12.62M
67.325K
$5.66B
1261
$37.15
$12.62M
339.585K
$13.73B
1262
$133.32
$12.58M
94.324K
$8.77B
1263
APLS Apellis Pharmaceuticals, Inc. Common Stock $33.32
$12.56M
377.073K
$4.14B
1264
REAL The RealReal, Inc. Common Stock $9.30
$12.54M
1.349M
$1.02B
1265
BBD Banco Bradesco S.A. American Depositary Shares (Each representing one Preferred Shares) $1.93
$12.54M
6.495M
$20.47B
1266
$48.51
$12.53M
258.196K
$3.27B
1267
$36.65
$12.51M
341.276K
$6.29B
1268
BXP Boston Properties, Inc. $76.13
$12.49M
164.112K
$12.04B
1269
$23.19
$12.44M
536.508K
$18.04B
1270
AWR American States Water Company $78.00
$12.44M
159.507K
$2.95B
1271
$23.29
$12.44M
533.977K
$29.51B
1272
ICFI ICF International, Inc. $117.59
$12.43M
105.736K
$2.21B
1273
$157.94
$12.43M
78.717K
$6.68B
1274
ZI ZoomInfo Technologies Inc Common Stock $10.64
$12.42M
1.167M
$3.65B
1275
SSB SouthState Corporation $100.55
$12.42M
123.478K
$7.67B
1276
LTH Life Time Group Holdings, Inc. $22.24
$12.41M
557.871K
$4.60B
1277
KRYS Krystal Biotech, Inc. Common Stock $158.52
$12.36M
77.981K
$4.56B
1278
SMMT Summit Therapeutics Inc. Common Stock $19.00
$12.35M
650.096K
$14.01B
1279
$37.50
$12.35M
329.381K
$12.42B
1280
TAK Takeda Pharmaceutical Company Limited American Depositary Shares (each representing 1/2 of a share of Common Stock) $13.16
$12.32M
936.142K
$41.72B
1281
LICN Lichen China Limited Class A Ordinary Shares $0.2700
$12.32M
45.62M
$12.95M
1282
CGC Canopy Growth Corporation Common Shares $2.85
$12.32M
4.322M
$348.82M
1283
$48.59
$12.25M
252.119K
$5.73B
1284
$84.84
$12.23M
144.132K
$14.33B
1285
$11.04
$12.22M
1.107M
$5.74B
1286
BSY Bentley Systems, Incorporated Class B Common Stock $48.01
$12.21M
254.422K
$14.51B
1287
DBRG DigitalBridge Group, Inc. $11.00
$12.20M
1.109M
$1.92B
1288
$37.54
$12.20M
324.93K
$4.30B
1289
IESC IES Holdings, Inc. Common Stock $210.50
$12.19M
57.897K
$4.20B
1290
AHR American Healthcare REIT, Inc. $28.49
$12.18M
427.582K
$4.36B
1291
ROCK Gibraltar Industries, Inc. $60.30
$12.17M
201.769K
$1.83B
1292
CFR Cullen/Frost Bankers Inc. $136.02
$12.16M
89.409K
$8.72B
1293
BAM Brookfield Asset Management Ltd. $55.43
$12.14M
218.966K
$23.26B
1294
OBDC Blue Owl Capital Corporation $15.50
$12.13M
782.706K
$6.05B
1295
$34.03
$12.12M
356.146K
$4.96B
1296
SBSW Sibanye-Stillwater American Depositary Shares, each representing four ordinary shares $3.51
$12.12M
3.452M
$2.48B
1297
$84.06
$12.11M
144.057K
$3.82B
1298
$176.16
$12.04M
68.325K
$6.22B
1299
ITCI Intra-Cellular Therapies Inc. $85.24
$12.02M
141.062K
$9.04B
1300
ING ING Groep N.V. American Depositary Shares $15.61
$12.01M
769.391K
$48.50B