Stock Rankings by Dollar Volume - Rankings 501 to 600
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 501 to 600.
501
$15.87
$351.93K
22.179K
$4.41B
502
$95.12
$344.71K
3.624K
$123.04B
503
ECX ECARX Holdings Inc. Class A Ordinary shares $1.66
$342.89K
206.561K
$569.60M
504
CGTX Cognition Therapeutics, Inc. Common Stock $0.6100
$339.81K
557.07K
$25.34M
505
BKSY BlackSky Technology Inc. $10.42
$339.29K
32.561K
$320.72M
506
RLX RLX Technology Inc. American Depositary Shares, each representing the right to receive one (1) Class A ordinary share $1.94
$338.99K
174.738K
$3.05B
507
$172.50
$338.79K
1.964K
$10.84B
508
KHC The Kraft Heinz Company Common Stock $30.10
$335.46K
11.145K
$36.55B
509
$23.60
$333.56K
14.134K
$11.88B
510
$708.73
$333.10K
470
$46.51B
511
TERN Terns Pharmaceuticals, Inc. Common Stock $6.05
$331.71K
54.828K
$513.88M
512
$42.44
$331.50K
7.811K
$5.07B
513
$5.35
$330.89K
61.849K
$875.54M
514
TDY Teledyne Technologies Incorporated $464.01
$330.84K
713
$21.62B
515
$87.59
$328.99K
3.756K
$9.62B
516
NKLA Nikola Corporation Common Stock $1.17
$327.53K
279.961K
$98.82M
517
$4.97
$326.50K
65.695K
$3.17B
518
SAVA Cassava Sciences, Inc. $2.22
$324.93K
146.365K
$106.81M
519
SPCE Virgin Galactic Holdings, Inc. $5.94
$323.78K
54.509K
$171.52M
520
MESO Mesoblast Limited American Depositary Shares $14.79
$323.19K
21.852K
$1.69B
521
APLT Applied Therapeutics, Inc. Common Stock $0.9500
$323.07K
340.075K
$110.54M
522
$93.27
$322.42K
3.457K
$71.48B
523
AEM Agnico Eagle Mines Ltd. $77.52
$318.14K
4.104K
$38.88B
524
$29.86
$317.68K
10.639K
$105.32B
525
$42.06
$316.59K
7.527K
$11.34B
526
$7.24
$315.74K
43.611K
$3.06B
527
DFS Discover Financial Services $165.69
$315.14K
1.902K
$41.60B
528
$4.57
$311.44K
68.149K
$15.35M
529
ITUB Itau Unibanco Holding S.A. American Depositary Shares $5.10
$311.22K
61.024K
$24.71B
530
PAX Patria Investments Limited Class A Common Shares $11.32
$310.08K
27.392K
$1.73B
531
TM Toyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $175.98
$307.44K
1.747K
$230.74B
532
$14.24
$307.21K
21.574K
$26.01B
533
NFE New Fortress Energy Inc. Class A Common Stock $11.19
$304.71K
27.228K
$2.99B
534
$25.05
$304.01K
12.136K
$2.88B
535
$476.11
$302.33K
635
$36.72B
536
SKYT SkyWater Technology, Inc. Common Stock $12.50
$297.38K
23.79K
$595.70M
537
MAR Marriot International Class A Common Stock $277.20
$296.60K
1.07K
$77.03B
538
$23.09
$296.38K
12.836K
$13.13B
539
CNI Canadian National Railway $100.08
$292.03K
2.918K
$62.93B
540
$46.00
$291.96K
6.347K
$46.87B
541
RIME Algorhythm Holdings, Inc. Common Stock $0.0767
$291.01K
3.794M
$1.41M
542
$223.00
$289.45K
1.298K
$8.09B
543
$8.55
$289.01K
33.802K
$1.37B
544
XCH XCHG Limited American Depositary Share $1.92
$288.90K
150.47K
$114.15M
545
LNTH Lantheus Holdings, Inc $90.55
$285.78K
3.156K
$6.30B
546
MCHP Microchip Technology Inc $55.95
$283.61K
5.069K
$30.04B
547
$63.39
$281.66K
4.443K
$30.37B
548
SFM Sprouts Farmers Market, Inc. $134.08
$281.17K
2.097K
$13.41B
549
IQ iQIYI, Inc. American Depositary Shares $2.04
$277.73K
136.143K
$1.96B
550
$56.40
$277.54K
4.921K
$6.59B
551
$0.4800
$275.83K
574.65K
$26.93M
552
PLAY Dave & Buster's Entertainment, Inc. $26.22
$275.05K
10.49K
$1.01B
553
$9.30
$274.16K
29.48K
$4.69B
554
FOUR Shift4 Payments, Inc. $100.00
$273.90K
2.739K
$7.03B
555
$172.43
$272.78K
1.582K
$34.60B
556
RL Ralph Lauren Corporation $221.15
$272.68K
1.233K
$13.82B
557
TRUG TruGolf Holdings, Inc. Class A Common Stock $0.4700
$272.03K
578.78K
$6.39M
558
ASR Grupo Aeroportuario del Sureste, S.A. de C.V. American Depositary Shares $262.00
$271.69K
1.037K
$7.86B
559
ADM Archer Daniels Midland Company $49.32
$270.87K
5.492K
$23.58B
560
ASAI Sendas Distribuidora S.A. American Depositary Share (each representing five common shares) $4.38
$269.49K
61.527K
$1.18B
561
VICI VICI Properties Inc. Common Stock $28.40
$268.78K
9.464K
$29.94B
562
$5.83
$267.77K
45.93K
$2.33B
563
FNV Franco-Nevada Corporation $116.00
$265.64K
2.29K
$22.33B
564
TEAM Atlassian Corporation Class A Common Stock $246.51
$262.04K
1.063K
$64.20B
565
$7.52
$260.93K
34.698K
$404.02M
566
TLN Talen Energy Corporation Common Stock $192.95
$260.68K
1.351K
$8.87B
567
QFIN Qifu Technology, Inc. American Depositary Shares $36.85
$257.47K
6.987K
$5.72B
568
$289.00
$256.34K
887
$62.28B
569
PSEC Prospect Capital Corporation $4.22
$254.60K
60.333K
$1.84B
570
$31.48
$253.85K
8.064K
$61.03B
571
$422.05
$251.54K
596
$22.66B
572
ING ING Groep N.V. American Depositary Shares $15.19
$250.76K
16.508K
$49.35B
573
$11.88
$250.43K
21.08K
$974.72M
574
PZZA Papa John's International Inc $39.65
$250.35K
6.314K
$1.29B
575
HOLO MicroCloud Hologram Inc. Ordinary Shares $1.35
$249.39K
184.737K
$27.73M
576
OXLC Oxford Lane Capital Corp. $5.03
$249.38K
49.579K
$1.74B
577
$57.00
$249.09K
4.37K
$3.18B
578
$53.59
$248.82K
4.643K
$122.14B
579
$107.50
$248.00K
2.307K
$3.16B
580
MLM Martin Marietta Materials $525.01
$247.80K
472
$32.09B
581
$79.87
$247.37K
3.097K
$102.42B
582
PHUN Phunware, Inc. Common Stock $3.79
$243.67K
64.294K
$75.38M
583
$203.92
$242.66K
1.19K
$39.16B
584
NOVA Sunnova Energy International Inc. $3.38
$241.67K
71.498K
$422.35M
585
$27.53
$241.63K
8.777K
$3.85B
586
NTNX Nutanix, Inc. Class A Common Stock $63.01
$241.14K
3.827K
$16.88B
587
$8.35
$240.75K
28.832K
$3.61B
588
CCEP Coca-Cola Europacific Partners plc Ordinary Shares $75.08
$240.11K
3.198K
$34.61B
589
CRH CRH Public Limited Company $92.68
$239.95K
2.589K
$62.84B
590
ISSC Innovative Solutions & Support $8.33
$239.66K
28.771K
$145.77M
591
$48.98
$239.32K
4.886K
$2.56B
592
$16.50
$238.57K
14.459K
$2.91B
593
TJX TJX Companies, Inc. (The) $120.40
$237.79K
1.975K
$135.35B
594
CUBI CUSTOMERS BANCORP INC $46.59
$237.61K
5.1K
$1.46B
595
$353.81
$237.41K
671
$76.52B
596
ARWR Arrowhead Research Corporation $19.50
$236.38K
12.122K
$2.42B
597
AVO Mission Produce, Inc. Common Stock $13.76
$236.31K
17.174K
$975.73M
598
ACLS Axcelis Technologies Inc $68.00
$235.96K
3.47K
$2.21B
599
$119.27
$235.56K
1.975K
$27.83B
600
JMIA Jumia Technologies AG $3.90
$235.54K
60.396K
$477.61M