Stock Rankings by Volume - Rankings 901 to 1000
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 901 to 1000.
901
GOGLGolden Ocean Group Limited Common Stock $8.76
8.156K
$1.75B
$71.45K
902
KWEKWESST Micro Systems Inc. Common Stock $0.6178
115.341K
$1.48M
$71.26K
903
AMWDAmerican Woodmark Corp $80.50
882
$1.21B
$71.00K
904
ACRSAclaris Therapeutics, Inc. $3.00
23.646K
$214.29M
$70.94K
905
HALOHalozyme Therapeutics, Inc. $46.00
1.536K
$5.85B
$70.66K
906
BLBDBlue Bird Corporation Common Stock $39.38
1.791K
$1.27B
$70.53K
907
AAgilent Technologies Inc. $133.93
526
$38.20B
$70.45K
908
$9.66
7.29K
$193.13M
$70.42K
909
$3.79
18.562K
$161.88M
$70.35K
910
JUNSJupiter Neurosciences, Inc. Common Stock $11.00
6.393K
$361.64M
$70.32K
911
$9.96
7.047K
$6.02B
$70.19K
912
$41.49
1.686K
$12.37B
$69.95K
913
GITSGlobal Interactive Technologies, Inc. Common Stock $0.2462
283.575K
$13.00M
$69.82K
914
STRAStrategic Education, Inc. Common Stock $92.80
750
$2.28B
$69.60K
915
ASAISendas Distribuidora S.A. American Depositary Share (each representing five common shares) $4.67
14.898K
$1.26B
$69.57K
916
$85.45
813
$14.43B
$69.47K
917
$92.15
752
$114.84B
$69.30K
918
HLNEHamilton Lane Incorporated Class A Common Stock $151.21
458
$6.32B
$69.25K
919
ZZillow Group, Inc. Class C Capital Stock $77.15
895
$18.02B
$69.05K
920
MODGTopgolf Callaway Brands Corp. $7.44
9.234K
$1.37B
$68.70K
921
VCIGVCI Global Limited Ordinary Share $1.60
42.526K
$20.01M
$68.05K
922
AZULAzul S.A. American Depositary Shares (each representing three preferred shares) $1.67
40.602K
$193.65M
$67.81K
923
GHGuardant Health, Inc. Common Stock $31.67
2.133K
$3.91B
$67.55K
924
CDLRCadeler A/S American Depositary Share (each representing four (4) Ordinary Shares) $22.51
3K
$1.97B
$67.53K
925
DFSDiscover Financial Services $173.90
388
$43.66B
$67.47K
926
AGIAlamos Gold Inc. Class A Common Shares $18.34
3.672K
$7.71B
$67.34K
927
$212.30
317
$10.89B
$67.30K
928
CLRBCellectar Biosciences INC NEW $0.2468
272.549K
$10.19M
$67.27K
929
ASXASE Technology Holding Co., Ltd. $10.05
6.686K
$21.83B
$67.19K
930
$275.08
244
$76.51B
$67.12K
931
$111.71
599
$28.43B
$66.91K
932
$17.43
3.828K
$4.12B
$66.72K
933
MAMastercard Incorporated $525.00
127
$481.87B
$66.68K
934
$1.54
42.77K
$368.69M
$65.87K
935
IRONDisc Medicine, Inc. Common Stock $65.00
1.013K
$1.93B
$65.85K
936
ZCARZoomcar Holdings, Inc. Common Stock $1.62
40.469K
$3.58M
$65.56K
937
BLBlackLine, Inc. Common Stock $64.23
1.018K
$4.01B
$65.39K
938
$34.86
1.87K
$10.62B
$65.19K
939
ZIONZions Bancorporation N.A. $53.60
1.216K
$7.92B
$65.18K
940
AEPAmerican Electric Power Company, Inc. $92.55
700
$49.29B
$64.79K
941
WLFCWillis Lease Finance Corp $206.10
312
$1.36B
$64.30K
942
CRNCCerence Inc. Common Stock $7.68
8.366K
$328.92M
$64.25K
943
CLMBClimb Global Solutions, Inc. Common Stock $124.70
515
$574.47M
$64.22K
944
$368.00
173
$140.29B
$63.66K
945
ODCOil-Dri Corporation of America $87.50
725
$638.51M
$63.44K
946
PGHLPrimega Group Holdings Limited Ordinary Shares $1.16
54.673K
$27.84M
$63.42K
947
$47.28
1.327K
$48.17B
$62.74K
948
$5.18
12.068K
$2.36B
$62.51K
949
INDOIndonesia Energy Corporation Limited $2.85
21.905K
$37.99M
$62.43K
950
SBLKStar Bulk Carriers Corp. $14.82
4.209K
$1.75B
$62.38K
951
VTGNVistagen Therapeutics, Inc. Common Stock $2.42
25.762K
$67.38M
$62.35K
952
LOGILogitech International SA $82.14
757
$12.45B
$62.18K
953
$51.79
1.2K
$11.17B
$62.15K
954
COMMCommScope Holding Company, Inc. $5.52
11.197K
$1.20B
$61.81K
955
TXNTexas Instruments Incorporated $188.40
328
$171.86B
$61.80K
956
GIFTRDE, Inc. Common Stock $1.00
61.739K
$26.17M
$61.74K
957
PSNYGores Guggenheim, Inc. Class A Common Stock $1.02
60.522K
$2.15B
$61.73K
958
DEAEasterly Government Properties, Inc. $11.27
5.472K
$1.19B
$61.67K
959
EARNEllington Credit Company $6.59
9.346K
$189.79M
$61.59K
960
MPWMedical Properties Trust, Inc. $3.86
15.947K
$2.32B
$61.55K
961
CABACabaletta Bio, Inc. Common Stock $2.45
25.106K
$119.68M
$61.47K
962
OLEDUniversal Display Corp $149.64
410
$7.10B
$61.35K
963
ARQTArcutis Biotherapeutics, Inc. Common Stock $15.03
4.068K
$1.76B
$61.14K
964
$3.10
19.723K
$460.54M
$61.14K
965
$144.70
420
$7.02B
$60.77K
966
$604.80
100
$47.40B
$60.48K
967
FELEFranklin Electric Co Inc $97.70
619
$4.46B
$60.48K
968
SMXSMX (Security Matters) Public Limited Company Class A Ordinary Shares $0.2291
263.682K
$1.98M
$60.41K
969
TYLTyler Technologies, Inc. $602.15
100
$25.77B
$60.22K
970
$119.01
505
$2.70B
$60.10K
971
SHLSShoals Technologies Group, Inc. Class A Common Stock $5.15
11.658K
$858.50M
$60.04K
972
$42.79
1.396K
$28.69B
$59.73K
973
$94.20
632
$3.41B
$59.53K
974
$21.60
2.755K
$2.38B
$59.51K
975
$83.00
714
$90.94B
$59.26K
976
HCWBHCW Biologics Inc. Common Stock $0.3890
152.177K
$17.33M
$59.20K
977
$45.70
1.292K
$5.73B
$59.04K
978
HIMXHimax Technologies, Inc. $7.88
7.447K
$1.38B
$58.68K
979
$171.40
341
$6.06B
$58.45K
980
SAFTSafety Insurance Group Inc $81.60
716
$1.21B
$58.43K
981
$8.20
7.119K
$387.92M
$58.38K
982
AREAlexandria Real Estate Equities, Inc. $99.00
588
$17.30B
$58.21K
983
BECNBeacon Roofing Supply, Inc. $101.20
575
$6.26B
$58.19K
984
LGCBLinkage Global Inc Ordinary Shares $0.3391
170.567K
$10.44M
$57.84K
985
ATYRaTyr Pharma, Inc. Common Stock $3.48
16.596K
$292.12M
$57.75K
986
LPXLouisiana-Pacific Corp. $105.00
549
$7.38B
$57.65K
987
$25.19
2.272K
$3.03B
$57.23K
988
CRONCronos Group Inc. Common Share $2.00
28.591K
$764.59M
$57.18K
989
VNDAVanda Pharmaceuticals Inc. $4.83
11.787K
$281.63M
$56.93K
990
CORTCorcept Therapeutics Inc. $51.75
1.1K
$5.42B
$56.93K
991
HEHawaiian Electric Industries, Inc. $9.97
5.651K
$1.72B
$56.33K
992
EWEdwards Lifesciences Corp $74.81
752
$44.12B
$56.26K
993
$30.30
1.855K
$9.13B
$56.21K
994
MNMDMind Medicine (MindMed) Inc. Common Shares $7.34
7.655K
$538.25M
$56.19K
995
CNXCConcentrix Corporation Common Stock $40.02
1.4K
$2.59B
$56.03K
996
SITESiteOne Landscape Supply, Inc. $136.21
411
$6.15B
$55.98K
997
$3.08
18.129K
$2.25M
$55.81K
998
GFSGlobalFoundries Inc. Ordinary Shares $41.80
1.335K
$23.10B
$55.80K
999
NAKNorthern Dynasty Minerals, Ltd. $0.5304
105.183K
$285.21M
$55.79K
1000
CRDFCardiff Oncology, Inc. Common Stock $4.32
12.896K
$287.49M
$55.73K