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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
$ Volume (Day)
Volume (Day)
Market Cap
1201
SIDUSidus Space, Inc. Class A Common Stock
$4.40
+0.05
+1.15%
$14.00M
3.181M
$38.29M
1202
TRIThomson Reuters Corporation
$163.13
+0.23
+0.14%
$13.99M
85.789K
$73.39B
1203
EQNREquinor ASA American Depositary Shares (Each Representing One Ordinary Share, nominal value NOK 2.50 per share)
$22.86
+0.10
+0.44%
$13.99M
612.127K
$62.46B
1204
WESWestern Midstream Partners, LP
$39.91
+0.41
+1.04%
$13.90M
348.194K
$15.19B
1205
OHIOmega Healthcare Investors Inc.
$38.15
+0.41
+1.09%
$13.87M
363.61K
$10.30B
1206
PCVXVaxcyte, Inc. Common Stock
$85.90
-1.15
-1.32%
$13.87M
161.425K
$10.71B
1207
DVDoubleVerify Holdings, Inc.
$19.75
+0.26
+1.33%
$13.84M
700.515K
$3.31B
1208
FRHCFreedom Holding Corp.
$130.83
+1.83
+1.42%
$13.83M
105.681K
$7.93B
1209
ELANElanco Animal Health Incorporated Common Stock
$12.00
+0.13
+1.10%
$13.77M
1.148M
$5.93B
1210
LEUCentrus Energy Corp.
$68.60
+0.69
+1.02%
$13.76M
200.544K
$1.12B
1211
HSBCHSBC Holdings PLC
$49.47
+0.85
+1.75%
$13.72M
277.246K
$177.52B
1212
AERAercap Holdings N.V.
$95.66
+0.24
+0.25%
$13.65M
142.679K
$18.15B
1213
BHVNBiohaven Ltd.
$35.82
+0.32
+0.90%
$13.60M
379.544K
$3.62B
1214
ZKZEEKR Intelligent Technology Holding Limited American Depositary Shares (each representing ten (10) Ordinary Shares)
$29.71
-0.40
-1.33%
$13.55M
456.066K
$7.36B
1215
CVICVR ENERGY, INC.
$18.11
+0.06
+0.33%
$13.53M
747.359K
$1.82B
1216
WTRGEssential Utilities, Inc.
$36.40
+0.23
+0.64%
$13.52M
371.334K
$10.00B
1217
ALGTAllegiant Travel Company
$86.39
-0.82
-0.94%
$13.47M
155.91K
$1.58B
1218
MTGMGIC Investment Corp.
$23.82
+0.13
+0.55%
$13.41M
563.019K
$6.04B
1219
SOLVSolventum Corporation
$66.65
+0.95
+1.45%
$13.39M
200.92K
$11.51B
1220
MTDRMATADOR RESOURCES COMPANY
$54.16
+0.62
+1.16%
$13.36M
246.751K
$6.76B
1221
SPRSpirit Aerosystems Holdings, Inc.
$33.75
+0.42
+1.26%
$13.31M
394.474K
$3.95B
1222
ARQTArcutis Biotherapeutics, Inc. Common Stock
$14.87
-0.20
-1.33%
$13.30M
894.699K
$1.74B
1223
MHKMohawk Industries, Inc.
$120.19
+1.64
+1.38%
$13.29M
110.544K
$7.59B
1224
FUNCedar Fair, L.P.
$48.50
-0.72
-1.46%
$13.24M
272.978K
$4.86B
1225
GNWGenworth Financial, Inc.
$7.07
+0.12
+1.73%
$13.24M
1.872M
$3.02B
1226
MFCManulife Financial Corp.
$30.80
+0.16
+0.52%
$13.23M
429.445K
$53.63B
1227
DARDARLING INGREDIENTS INC.
$33.70
+0.07
+0.21%
$13.21M
391.935K
$5.36B
1228
AMBAAmbarella, Inc. Ordinary Shares
$74.90
+1.71
+2.34%
$13.20M
176.249K
$3.12B
1229
TRMBTrimble Inc. Common Stock
$71.87
+0.91
+1.28%
$13.17M
183.189K
$17.55B
1230
PLXSPlexus Corp
$160.84
+1.66
+1.04%
$13.13M
81.627K
$4.36B
1231
ATHMAutohome Inc. American Depositary Shares, each representing four Class A Ordinary Shares
$26.47
-0.12
-0.45%
$13.12M
495.583K
$3.21B
1232
FRFirst Industrial Realty Trust, Inc.
$50.82
+0.47
+0.93%
$13.10M
257.698K
$6.73B
1233
OXLCOxford Lane Capital Corp.
$5.18
+0.04
+0.78%
$13.09M
2.528M
$1.91B
1234
OIO-I Glass, Inc.
$10.69
+0.48
+4.70%
$13.00M
1.216M
$1.65B
1235
MSAMine Safety Incorporated
$168.93
+0.93
+0.55%
$13.00M
76.937K
$6.64B
1236
HCPHashiCorp, Inc. Class A Common Stock
$33.95
-0.20
-0.59%
$12.97M
382.07K
$6.94B
1237
HEI.AHEICO CORP CL A
$187.85
+5.72
+3.14%
$12.97M
69.029K
$26.04B
1238
WWDWoodward, Inc.
$170.89
+0.61
+0.36%
$12.92M
75.632K
$10.15B
1239
VNOMViper Energy, Inc. Class A Common Stock
$48.29
+0.32
+0.67%
$12.92M
267.586K
$4.97B
1240
BECNBeacon Roofing Supply, Inc.
$101.30
-0.69
-0.68%
$12.92M
127.497K
$6.27B
1241
MLCOMelco Resorts & Entertainment Limited American Depositary Shares
$6.02
-0.18
-2.91%
$12.88M
2.14M
$2.53B
1242
MTHMeritage Homes Corporation
$155.85
+2.56
+1.67%
$12.87M
82.602K
$5.64B
1243
ABRArbor Realty Trust, Inc.
$13.88
+0.05
+0.36%
$12.87M
927.058K
$2.62B
1244
TIGRUP Fintech Holding Ltd American Depositary Share representing fifteen Class A Ordinary Shares
$7.41
+0.20
+2.77%
$12.86M
1.736M
$1.38B
1245
IACIAC Inc. Common Stock
$42.57
+1.07
+2.58%
$12.86M
302.003K
$3.67B
1246
RBARB Global, Inc.
$90.91
+0.61
+0.68%
$12.83M
141.173K
$16.77B
1247
ZGZILLOW GROUP INC CLASS A
$73.85
-0.10
-0.14%
$12.82M
173.618K
$17.25B
1248
MTSIMACOM Technology Solutions Holdings, Inc
$135.82
+0.73
+0.54%
$12.78M
94.077K
$9.83B
1249
SAMBoston Beer Company
$299.79
+4.89
+1.66%
$12.76M
42.576K
$3.44B
1250
PLYAPlaya Hotels & Resorts N.V. Ordinary Shares
$12.22
-0.18
-1.45%
$12.76M
1.044M
$1.49B
1251
QTWOQ2 Holdings Inc
$104.76
+3.01
+2.96%
$12.74M
121.652K
$6.33B
1252
KNFKnife River Corporation
$103.56
+0.82
+0.80%
$12.74M
122.978K
$5.86B
1253
HCCWarrior Met Coal, Inc.
$54.32
-0.55
-1.00%
$12.73M
234.302K
$2.84B
1254
HRBH&R Block, Inc.
$54.31
+0.15
+0.28%
$12.73M
234.314K
$7.44B
1255
AMSCAmerican Superconductor Corp
$24.82
-0.84
-3.27%
$12.70M
511.782K
$979.23M
1256
ARRYArray Technologies, Inc. Common Stock
$5.95
-0.12
-1.98%
$12.65M
2.126M
$904.06M
1257
TFXTeleflex Incorporated
$177.26
-1.65
-0.92%
$12.65M
71.347K
$8.23B
1258
PAASPan American Silver Corp.
$20.73
+0.00
+0.00%
$12.64M
609.818K
$7.53B
1259
FRSXForesight Autonomous Holdings Ltd. American Depositary Shares
$2.32
+0.58
+33.33%
$12.63M
5.442M
$35.56M
1260
AMGAffiliated Managers Group
$187.41
+3.07
+1.67%
$12.62M
67.325K
$5.66B
1261
AMHAMERICAN HOMES 4 RENT
$37.15
+0.36
+0.98%
$12.62M
339.585K
$13.73B
1262
RGLDRoyal Gold Inc
$133.32
+0.24
+0.18%
$12.58M
94.324K
$8.77B
1263
APLSApellis Pharmaceuticals, Inc. Common Stock
$33.32
+1.01
+3.13%
$12.56M
377.073K
$4.14B
1264
REALThe RealReal, Inc. Common Stock
$9.30
+0.02
+0.22%
$12.54M
1.349M
$1.02B
1265
BBDBanco Bradesco S.A. American Depositary Shares (Each representing one Preferred Shares)
$1.93
+0.01
+0.52%
$12.54M
6.495M
$20.47B
1266
MEOHMethanex Corp
$48.51
+1.04
+2.19%
$12.53M
258.196K
$3.27B
1267
CGNXCognex Corp
$36.65
+0.65
+1.81%
$12.51M
341.276K
$6.29B
1268
BXPBoston Properties, Inc.
$76.13
+0.15
+0.20%
$12.49M
164.112K
$12.04B
1269
MTArcelorMittal
$23.19
+0.15
+0.65%
$12.44M
536.508K
$18.04B
1270
AWRAmerican States Water Company
$78.00
-0.09
-0.12%
$12.44M
159.507K
$2.95B
1271
CUKCarnival PLC
$23.29
-0.31
-1.31%
$12.44M
533.977K
$29.51B
1272
ICFIICF International, Inc.
$117.59
-0.82
-0.69%
$12.43M
105.736K
$2.21B
1273
RRyder System, Inc.
$157.94
+0.53
+0.34%
$12.43M
78.717K
$6.68B
1274
ZIZoomInfo Technologies Inc Common Stock
$10.64
-0.24
-2.21%
$12.42M
1.167M
$3.65B
1275
SSBSouthState Corporation
$100.55
-0.46
-0.46%
$12.42M
123.478K
$7.67B
1276
LTHLife Time Group Holdings, Inc.
$22.24
+0.45
+2.07%
$12.41M
557.871K
$4.60B
1277
KRYSKrystal Biotech, Inc. Common Stock
$158.52
-4.48
-2.75%
$12.36M
77.981K
$4.56B
1278
SMMTSummit Therapeutics Inc. Common Stock
$19.00
+0.44
+2.37%
$12.35M
650.096K
$14.01B
1279
JNPRJuniper Networks Inc
$37.50
+0.05
+0.13%
$12.35M
329.381K
$12.42B
1280
TAKTakeda Pharmaceutical Company Limited American Depositary Shares (each representing 1/2 of a share of Common Stock)
$13.16
+0.05
+0.38%
$12.32M
936.142K
$41.72B
1281
LICNLichen China Limited Class A Ordinary Shares
$0.2700
+0.1020
+60.71%
$12.32M
45.62M
$12.95M
1282
CGCCanopy Growth Corporation Common Shares
$2.85
-0.02
-0.70%
$12.32M
4.322M
$348.82M
1283
CYTKCytokinetics Inc.
$48.59
+1.49
+3.16%
$12.25M
252.119K
$5.73B
1284
GGGGraco Inc
$84.84
+0.39
+0.46%
$12.23M
144.132K
$14.33B
1285
RITMRithm Capital Corp.
$11.04
+0.06
+0.55%
$12.22M
1.107M
$5.74B
1286
BSYBentley Systems, Incorporated Class B Common Stock
$48.01
-0.04
-0.08%
$12.21M
254.422K
$14.51B
1287
DBRGDigitalBridge Group, Inc.
$11.00
+0.20
+1.85%
$12.20M
1.109M
$1.92B
1288
SMSM Energy Company
$37.54
+0.34
+0.91%
$12.20M
324.93K
$4.30B
1289
IESCIES Holdings, Inc. Common Stock
$210.50
-2.68
-1.26%
$12.19M
57.897K
$4.20B
1290
AHRAmerican Healthcare REIT, Inc.
$28.49
+0.31
+1.10%
$12.18M
427.582K
$4.36B
1291
ROCKGibraltar Industries, Inc.
$60.30
+0.23
+0.38%
$12.17M
201.769K
$1.83B
1292
CFRCullen/Frost Bankers Inc.
$136.02
+1.19
+0.88%
$12.16M
89.409K
$8.72B
1293
BAMBrookfield Asset Management Ltd.
$55.43
+0.61
+1.11%
$12.14M
218.966K
$23.26B
1294
OBDCBlue Owl Capital Corporation
$15.50
+0.12
+0.78%
$12.13M
782.706K
$6.05B
1295
SEESealed Air Corp.
$34.03
-0.01
-0.03%
$12.12M
356.146K
$4.96B
1296
SBSWSibanye-Stillwater American Depositary Shares, each representing four ordinary shares
$3.51
-0.09
-2.51%
$12.12M
3.452M
$2.48B
1297
CAMTCamtek Ltd
$84.06
+0.19
+0.23%
$12.11M
144.057K
$3.82B
1298
LSTRLandstar System Inc
$176.16
+3.66
+2.12%
$12.04M
68.325K
$6.22B
1299
ITCIIntra-Cellular Therapies Inc.
$85.24
+2.34
+2.82%
$12.02M
141.062K
$9.04B
1300
INGING Groep N.V. American Depositary Shares
$15.61
+0.23
+1.50%
$12.01M
769.391K
$48.50B