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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
$ Volume (Day)
Volume (Day)
Market Cap
1301
VICIVICI Properties Inc. Common Stock
$29.22
+0.17
+0.59%
$19.52K
668
$30.80B
1302
METMetLife, Inc.
$83.00
+0.11
+0.13%
$19.42K
234
$57.47B
1303
TUTelus Corporation
$13.56
+0.04
+0.28%
$19.40K
1.431K
$20.23B
1304
CZFSCitizens Financial Services, Inc. Common Stock
$64.07
+0.57
+0.90%
$19.35K
302
$304.96M
1305
JNPRJuniper Networks Inc
$37.40
-0.15
-0.40%
$19.30K
516
$12.38B
1306
WLDSWearable Devices Ltd. Ordinary Share
$1.85
+0.02
+1.09%
$19.26K
10.41K
$4.76M
1307
JLJ-Long Group Limited Ordinary Shares
$3.45
+0.14
+4.23%
$19.22K
5.572K
$10.83M
1308
BHEBenchmark Electronics
$46.30
-1.91
-3.96%
$19.17K
414
$1.67B
1309
WMBWilliams Companies Inc.
$54.74
-0.05
-0.09%
$19.16K
350
$66.73B
1310
SMSISmith Micro Software Inc
$1.29
+0.02
+1.57%
$19.15K
14.845K
$22.88M
1311
RRRRed Rock Resorts, Inc. Class A Common Stock
$46.20
+0.40
+0.87%
$19.13K
414
$2.76B
1312
MNKDMannkind Corporation
$6.82
+0.02
+0.29%
$19.10K
2.8K
$1.88B
1313
PTCPTC, INC
$187.07
+0.00
+0.00%
$19.08K
102
$22.47B
1314
VVOSVivos Therapeutics, Inc. Common Stock
$4.81
+0.01
+0.21%
$19.06K
3.963K
$23.26M
1315
AEYEAudioEye, Inc. Common Stock
$17.00
+0.13
+0.77%
$19.04K
1.12K
$207.03M
1316
INBKFirst Internet Bancorp
$36.95
+0.15
+0.41%
$19.03K
515
$320.28M
1317
HLIOHelios Technologies, Inc.
$45.55
+5.55
+13.88%
$18.99K
417
$1.51B
1318
PSNParsons Corporation
$93.70
-0.30
-0.32%
$18.93K
202
$9.95B
1319
WENThe Wendy's Company
$16.50
-0.13
-0.78%
$18.84K
1.142K
$3.36B
1320
BRZEBraze, Inc. Class A Common Stock
$43.30
-0.11
-0.25%
$18.84K
435
$4.48B
1321
AADIAadi Bioscience, Inc. Common Stock
$2.96
+0.08
+2.78%
$18.83K
6.361K
$72.96M
1322
CRICarter's Inc.
$54.50
+0.50
+0.93%
$18.75K
344
$1.96B
1323
CTXRCitius Pharmaceuticals Inc. Common
$3.16
+0.03
+0.96%
$18.71K
5.922K
$24.42M
1324
TTCToro Company (The)
$81.20
+2.10
+2.65%
$18.68K
230
$8.22B
1325
AMEAmetek, Inc.
$184.00
+0.00
+0.00%
$18.58K
101
$42.56B
1326
CALXCALIX, INC.
$35.86
+1.06
+3.05%
$18.58K
518
$2.38B
1327
GVAGranite Construction Inc.
$91.26
+1.30
+1.45%
$18.53K
203
$3.99B
1328
STTState Street Corporation
$98.99
+0.00
+0.00%
$18.51K
187
$29.02B
1329
CLIKClick Holdings Limited Ordinary Share
$1.15
-0.06
-4.96%
$18.51K
16.092K
$17.14M
1330
AUPHAurinia Pharmaceuticals Inc
$9.03
-0.06
-0.66%
$18.48K
2.046K
$1.29B
1331
DFLIDragonfly Energy Holdings Corp. Common Stock (NV)
$3.22
-0.15
-4.45%
$18.47K
5.737K
$22.59M
1332
LGMKLogicMark, Inc. Common Stock (NV)
$1.58
-0.01
-0.63%
$18.41K
11.652K
$3.22M
1333
BENFBeneficient Class A Common Stock
$0.6481
-0.0244
-3.63%
$18.39K
28.372K
$5.41M
1334
RILYB. RILEY FINANCIAL, INC.
$4.82
-0.13
-2.63%
$18.34K
3.804K
$146.02M
1335
BEPCBrookfield Renewable Corporation Class A Subordinate Voting Shares
$28.80
+0.60
+2.13%
$18.32K
636
$5.17B
1336
WDCWestern Digital Corp.
$61.15
-1.01
-1.62%
$18.28K
299
$21.14B
1337
MCRBSeres Therapeutics, Inc.
$0.9429
-0.0171
-1.78%
$18.26K
19.368K
$160.99M
1338
MATMattel, Inc.
$18.00
+0.00
+0.00%
$18.23K
1.013K
$6.06B
1339
HROWHarrow, Inc. Common Stock
$33.20
+0.10
+0.30%
$18.23K
549
$1.18B
1340
GNLNGreenlane Holdings, Inc. Class A Common Stock
$1.47
-0.05
-3.29%
$18.18K
12.369K
$3.11M
1341
UBXGU-BX Technology Ltd. Ordinary Shares
$3.72
+0.17
+4.79%
$18.15K
4.879K
$12.59M
1342
QNRXQuoin Pharmaceuticals, Ltd. American Depositary Shares
$0.5090
+0.0237
+4.88%
$18.11K
35.58K
$2.57M
1343
TSCOTractor Supply Co
$54.49
-0.75
-1.36%
$18.09K
332
$29.11B
1344
HBANHuntington Bancshares Inc
$16.35
-0.14
-0.85%
$18.08K
1.106K
$23.75B
1345
BIRKBirkenstock Holding plc
$60.10
-0.45
-0.74%
$18.03K
300
$11.29B
1346
COLMColumbia Sportswear Co
$88.20
+3.20
+3.76%
$17.99K
204
$5.04B
1347
JKHYHenry (Jack) & Associates
$177.51
+0.00
+0.00%
$17.93K
101
$12.95B
1348
STXSeagate Technology Holdings PLC Ordinary Shares (Ireland)
$88.51
-0.05
-0.06%
$17.88K
202
$18.72B
1349
HURCHurco Cos Inc
$18.70
+1.59
+9.29%
$17.88K
956
$120.61M
1350
VVPRVivoPower International PLC
$1.44
-0.02
-1.37%
$17.84K
12.388K
$11.00M
1351
UDRUDR, Inc.
$43.30
-0.60
-1.37%
$17.75K
410
$14.29B
1352
CPACopa Holdings, S.A.
$88.74
-0.76
-0.85%
$17.75K
200
$3.69B
1353
MSEXMiddlesex Water Co
$52.80
+0.10
+0.19%
$17.74K
336
$942.75M
1354
BBDCBarings BDC, Inc.
$9.50
+0.00
+0.00%
$17.72K
1.865K
$1.00B
1355
FBIOFortress Biotech, Inc.
$1.80
-0.01
-0.55%
$17.68K
9.824K
$49.69M
1356
ICGIntchains Group Limited American Depositary Shares
$6.39
-0.12
-1.84%
$17.62K
2.758K
$383.28M
1357
CCEPCoca-Cola Europacific Partners plc Ordinary Shares
$76.88
-1.12
-1.44%
$17.61K
229
$35.44B
1358
AMBPArdagh Metal Packaging S.A.
$3.04
+0.03
+1.00%
$17.56K
5.775K
$1.82B
1359
MGXMetagenomi, Inc. Common Stock
$3.86
+0.06
+1.58%
$17.48K
4.528K
$144.46M
1360
WWDWoodward, Inc.
$173.00
+0.00
+0.00%
$17.47K
101
$10.28B
1361
DRMADermata Therapeutics, Inc. Common Stock
$1.37
+0.01
+0.74%
$17.46K
12.744K
$2.80M
1362
CBNKCapital Bancorp, Inc.
$28.75
+0.25
+0.88%
$17.45K
607
$476.03M
1363
CCSIConsensus Cloud Solutions, Inc. Common Stock
$23.10
+0.15
+0.65%
$17.39K
753
$445.91M
1364
ABPAbpro Holdings, Inc Common Stock
$2.31
-0.09
-3.75%
$17.37K
7.519K
$119.01M
1365
CFBKCF Bankshares Inc. Common Stock
$24.59
-1.41
-5.42%
$17.31K
704
$157.05M
1366
NFGCNew Found Gold Corp
$1.68
+0.00
+0.01%
$17.30K
10.3K
$334.17M
1367
NTAPNetApp, Inc
$118.85
+0.00
+0.00%
$17.23K
145
$24.16B
1368
NMHINatures Miracle Holding Inc. Common Stock
$2.08
+0.12
+6.12%
$17.22K
8.277K
$5.63M
1369
RMREGIONAL MANAGEMENT CORP
$33.20
+2.20
+7.10%
$17.06K
514
$337.42M
1370
KMXCarMax Inc.
$85.29
+0.38
+0.45%
$17.06K
200
$13.13B
1371
PTENPatterson-UTI Energy Inc
$7.65
-0.03
-0.36%
$17.05K
2.228K
$2.98B
1372
ELEVElevation Oncology, Inc. Common stock
$0.5850
+0.0207
+3.67%
$17.03K
29.106K
$34.58M
1373
VFCV.F. Corporation
$21.85
-0.02
-0.09%
$17.00K
778
$8.51B
1374
MYSZMy Size, Inc
$4.20
+0.42
+11.11%
$16.97K
4.041K
$5.29M
1375
AGRIAgriFORCE Growing Systems Ltd. Common Shares
$2.71
+0.12
+4.63%
$16.96K
6.26K
$4.20M
1376
ASSTAsset Entities Inc. Class B Common Stock
$0.4800
+0.0100
+2.13%
$16.96K
35.339K
$2.84M
1377
SHLSShoals Technologies Group, Inc. Class A Common Stock
$5.35
-0.04
-0.74%
$16.96K
3.17K
$891.84M
1378
SSBKSouthern States Bancshares, Inc. Common
$33.76
+0.42
+1.26%
$16.95K
502
$333.71M
1379
FRSHFreshworks Inc. Class A Common Stock
$15.90
+0.02
+0.13%
$16.85K
1.06K
$4.82B
1380
HMYHarmony Gold Mining Company Limited
$8.35
-0.05
-0.60%
$16.82K
2.014K
$5.19B
1381
FGENFibroGen, Inc
$0.4802
-0.0184
-3.69%
$16.79K
34.959K
$48.39M
1382
CFFIC&F Financial Corp
$72.80
-4.20
-5.45%
$16.74K
230
$234.81M
1383
MIRMirion Technologies, Inc.
$18.00
+0.06
+0.33%
$16.74K
930
$4.18B
1384
IOTSamsara Inc.
$45.17
-0.09
-0.20%
$16.71K
370
$25.35B
1385
OBTOrange County Bancorp, Inc. Common Stock
$55.01
+0.91
+1.68%
$16.61K
302
$312.13M
1386
JACKJack in the Box Inc.
$41.31
+0.00
+0.00%
$16.52K
400
$777.89M
1387
ABRArbor Realty Trust, Inc.
$14.00
+0.16
+1.16%
$16.52K
1.18K
$2.64B
1388
ZVIAZevia PBC
$3.65
-0.04
-1.08%
$16.50K
4.521K
$218.68M
1389
TRAKReposiTrak, Inc.
$23.30
+2.30
+10.95%
$16.47K
707
$425.48M
1390
RMBSRambus Inc
$54.01
+0.00
+0.00%
$16.47K
305
$5.76B
1391
WKSPWorksport, Ltd. Common Stock
$0.8400
-0.0234
-2.71%
$16.44K
19.571K
$27.67M
1392
NVXNOVONIX Limited American Depository Shares
$1.87
+0.10
+5.65%
$16.44K
8.789K
$265.51M
1393
ICLICL Group Ltd.
$4.86
+0.02
+0.41%
$16.39K
3.372K
$6.27B
1394
DMNDamon Inc. Common Stock
$0.7350
-0.0060
-0.81%
$16.36K
22.262K
$15.26M
1395
WVEWave Life Sciences Ltd. Ordinary Shares
$13.42
-0.58
-4.14%
$16.32K
1.216K
$2.05B
1396
ELPWElong Power Holding Limited Class A Ordinary Shares
$1.12
+0.02
+1.85%
$16.25K
14.5K
$56.08M
1397
SMSM Energy Company
$37.50
-0.35
-0.92%
$16.20K
432
$4.29B
1398
EDITEditas Medicine, Inc. Common Stock
$1.20
-0.03
-2.44%
$16.17K
13.471K
$99.06M
1399
OTLYOatly Group AB American Depositary Shares
$0.6399
-0.0100
-1.54%
$16.12K
25.198K
$382.00M
1400
BEPBrookfield Renewable Partners L.P.
$23.50
+0.43
+1.86%
$16.10K
685
$6.70B