Stock Rankings by Dollar Volume - Rankings 1301 to 1400
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 1301 to 1400.
1301
VICI VICI Properties Inc. Common Stock $29.22
$19.52K
668
$30.80B
1302
$83.00
$19.42K
234
$57.47B
1303
$13.56
$19.40K
1.431K
$20.23B
1304
CZFS Citizens Financial Services, Inc. Common Stock $64.07
$19.35K
302
$304.96M
1305
$37.40
$19.30K
516
$12.38B
1306
WLDS Wearable Devices Ltd. Ordinary Share $1.85
$19.26K
10.41K
$4.76M
1307
JL J-Long Group Limited Ordinary Shares $3.45
$19.22K
5.572K
$10.83M
1308
$46.30
$19.17K
414
$1.67B
1309
WMB Williams Companies Inc. $54.74
$19.16K
350
$66.73B
1310
SMSI Smith Micro Software Inc $1.29
$19.15K
14.845K
$22.88M
1311
RRR Red Rock Resorts, Inc. Class A Common Stock $46.20
$19.13K
414
$2.76B
1312
$6.82
$19.10K
2.8K
$1.88B
1313
$187.07
$19.08K
102
$22.47B
1314
VVOS Vivos Therapeutics, Inc. Common Stock $4.81
$19.06K
3.963K
$23.26M
1315
AEYE AudioEye, Inc. Common Stock $17.00
$19.04K
1.12K
$207.03M
1316
INBK First Internet Bancorp $36.95
$19.03K
515
$320.28M
1317
HLIO Helios Technologies, Inc. $45.55
$18.99K
417
$1.51B
1318
$93.70
$18.93K
202
$9.95B
1319
$16.50
$18.84K
1.142K
$3.36B
1320
BRZE Braze, Inc. Class A Common Stock $43.30
$18.84K
435
$4.48B
1321
AADI Aadi Bioscience, Inc. Common Stock $2.96
$18.83K
6.361K
$72.96M
1322
$54.50
$18.75K
344
$1.96B
1323
CTXR Citius Pharmaceuticals Inc. Common $3.16
$18.71K
5.922K
$24.42M
1324
$81.20
$18.68K
230
$8.22B
1325
$184.00
$18.58K
101
$42.56B
1326
$35.86
$18.58K
518
$2.38B
1327
GVA Granite Construction Inc. $91.26
$18.53K
203
$3.99B
1328
STT State Street Corporation $98.99
$18.51K
187
$29.02B
1329
CLIK Click Holdings Limited Ordinary Share $1.15
$18.51K
16.092K
$17.14M
1330
AUPH Aurinia Pharmaceuticals Inc $9.03
$18.48K
2.046K
$1.29B
1331
DFLI Dragonfly Energy Holdings Corp. Common Stock (NV) $3.22
$18.47K
5.737K
$22.59M
1332
LGMK LogicMark, Inc. Common Stock (NV) $1.58
$18.41K
11.652K
$3.22M
1333
BENF Beneficient Class A Common Stock $0.6481
$18.39K
28.372K
$5.41M
1334
RILY B. RILEY FINANCIAL, INC. $4.82
$18.34K
3.804K
$146.02M
1335
BEPC Brookfield Renewable Corporation Class A Subordinate Voting Shares $28.80
$18.32K
636
$5.17B
1336
$61.15
$18.28K
299
$21.14B
1337
MCRB Seres Therapeutics, Inc. $0.9429
$18.26K
19.368K
$160.99M
1338
$18.00
$18.23K
1.013K
$6.06B
1339
HROW Harrow, Inc. Common Stock $33.20
$18.23K
549
$1.18B
1340
GNLN Greenlane Holdings, Inc. Class A Common Stock $1.47
$18.18K
12.369K
$3.11M
1341
UBXG U-BX Technology Ltd. Ordinary Shares $3.72
$18.15K
4.879K
$12.59M
1342
QNRX Quoin Pharmaceuticals, Ltd. American Depositary Shares $0.5090
$18.11K
35.58K
$2.57M
1343
$54.49
$18.09K
332
$29.11B
1344
HBAN Huntington Bancshares Inc $16.35
$18.08K
1.106K
$23.75B
1345
BIRK Birkenstock Holding plc $60.10
$18.03K
300
$11.29B
1346
COLM Columbia Sportswear Co $88.20
$17.99K
204
$5.04B
1347
JKHY Henry (Jack) & Associates $177.51
$17.93K
101
$12.95B
1348
STX Seagate Technology Holdings PLC Ordinary Shares (Ireland) $88.51
$17.88K
202
$18.72B
1349
$18.70
$17.88K
956
$120.61M
1350
VVPR VivoPower International PLC $1.44
$17.84K
12.388K
$11.00M
1351
$43.30
$17.75K
410
$14.29B
1352
$88.74
$17.75K
200
$3.69B
1353
$52.80
$17.74K
336
$942.75M
1354
$9.50
$17.72K
1.865K
$1.00B
1355
FBIO Fortress Biotech, Inc. $1.80
$17.68K
9.824K
$49.69M
1356
ICG Intchains Group Limited American Depositary Shares $6.39
$17.62K
2.758K
$383.28M
1357
CCEP Coca-Cola Europacific Partners plc Ordinary Shares $76.88
$17.61K
229
$35.44B
1358
AMBP Ardagh Metal Packaging S.A. $3.04
$17.56K
5.775K
$1.82B
1359
MGX Metagenomi, Inc. Common Stock $3.86
$17.48K
4.528K
$144.46M
1360
$173.00
$17.47K
101
$10.28B
1361
DRMA Dermata Therapeutics, Inc. Common Stock $1.37
$17.46K
12.744K
$2.80M
1362
CBNK Capital Bancorp, Inc. $28.75
$17.45K
607
$476.03M
1363
CCSI Consensus Cloud Solutions, Inc. Common Stock $23.10
$17.39K
753
$445.91M
1364
ABP Abpro Holdings, Inc Common Stock $2.31
$17.37K
7.519K
$119.01M
1365
CFBK CF Bankshares Inc. Common Stock $24.59
$17.31K
704
$157.05M
1366
$1.68
$17.30K
10.3K
$334.17M
1367
$118.85
$17.23K
145
$24.16B
1368
NMHI Natures Miracle Holding Inc. Common Stock $2.08
$17.22K
8.277K
$5.63M
1369
RM REGIONAL MANAGEMENT CORP $33.20
$17.06K
514
$337.42M
1370
$85.29
$17.06K
200
$13.13B
1371
PTEN Patterson-UTI Energy Inc $7.65
$17.05K
2.228K
$2.98B
1372
ELEV Elevation Oncology, Inc. Common stock $0.5850
$17.03K
29.106K
$34.58M
1373
$21.85
$17.00K
778
$8.51B
1374
$4.20
$16.97K
4.041K
$5.29M
1375
AGRI AgriFORCE Growing Systems Ltd. Common Shares $2.71
$16.96K
6.26K
$4.20M
1376
ASST Asset Entities Inc. Class B Common Stock $0.4800
$16.96K
35.339K
$2.84M
1377
SHLS Shoals Technologies Group, Inc. Class A Common Stock $5.35
$16.96K
3.17K
$891.84M
1378
SSBK Southern States Bancshares, Inc. Common $33.76
$16.95K
502
$333.71M
1379
FRSH Freshworks Inc. Class A Common Stock $15.90
$16.85K
1.06K
$4.82B
1380
HMY Harmony Gold Mining Company Limited $8.35
$16.82K
2.014K
$5.19B
1381
$0.4802
$16.79K
34.959K
$48.39M
1382
$72.80
$16.74K
230
$234.81M
1383
MIR Mirion Technologies, Inc. $18.00
$16.74K
930
$4.18B
1384
$45.17
$16.71K
370
$25.35B
1385
OBT Orange County Bancorp, Inc. Common Stock $55.01
$16.61K
302
$312.13M
1386
$41.31
$16.52K
400
$777.89M
1387
ABR Arbor Realty Trust, Inc. $14.00
$16.52K
1.18K
$2.64B
1388
$3.65
$16.50K
4.521K
$218.68M
1389
$23.30
$16.47K
707
$425.48M
1390
$54.01
$16.47K
305
$5.76B
1391
WKSP Worksport, Ltd. Common Stock $0.8400
$16.44K
19.571K
$27.67M
1392
NVX NOVONIX Limited American Depository Shares $1.87
$16.44K
8.789K
$265.51M
1393
$4.86
$16.39K
3.372K
$6.27B
1394
DMN Damon Inc. Common Stock $0.7350
$16.36K
22.262K
$15.26M
1395
WVE Wave Life Sciences Ltd. Ordinary Shares $13.42
$16.32K
1.216K
$2.05B
1396
ELPW Elong Power Holding Limited Class A Ordinary Shares $1.12
$16.25K
14.5K
$56.08M
1397
$37.50
$16.20K
432
$4.29B
1398
EDIT Editas Medicine, Inc. Common Stock $1.20
$16.17K
13.471K
$99.06M
1399
OTLY Oatly Group AB American Depositary Shares $0.6399
$16.12K
25.198K
$382.00M
1400
BEP Brookfield Renewable Partners L.P. $23.50
$16.10K
685
$6.70B