Stock Rankings by Dollar Volume - Rankings 901 to 1000
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 901 to 1000.
901
$48.00
$52.27K
1.089K
$3.01B
902
$85.01
$52.03K
612
$6.34B
903
$18.72
$51.93K
2.774K
$9.15B
904
$95.70
$51.68K
540
$4.66B
905
$61.60
$51.56K
837
$1.66B
906
$193.00
$51.34K
266
$95.72B
907
HLN Haleon plc American Depositary Shares (Each representing two Ordinary Shares) $10.23
$51.33K
5.018K
$46.15B
908
BAH Booz Allen Hamilton Holding Corporation $119.63
$51.32K
429
$14.84B
909
ABSI Absci Corporation Common Stock $3.23
$51.23K
15.862K
$411.35M
910
IVR Invesco Mortgage Capital Inc. $7.06
$51.21K
7.253K
$460.83M
911
COLM Columbia Sportswear Co $65.20
$51.12K
784
$3.61B
912
GELS Gelteq Limited Ordinary Shares $2.45
$51.11K
20.86K
$23.12M
913
$6.84
$50.73K
7.416K
$571.41M
914
$252.48
$50.50K
200
$2.84B
915
$63.40
$50.47K
796
$1.20B
916
NTR Nutrien Ltd. Common Shares $53.67
$50.18K
935
$26.22B
917
FOXA Fox Corporation Class A Common Stock $48.90
$49.93K
1.021K
$22.17B
918
$76.75
$49.89K
650
$3.74B
919
BTCT BTC Digital Ltd. Ordinary Shares $4.20
$49.83K
11.865K
$22.07M
920
OXSQ Oxford Square Capital Corp. $2.45
$49.83K
20.339K
$170.98M
921
$8.31
$49.75K
5.987K
$2.44B
922
$28.50
$49.70K
1.744K
$6.00B
923
$2.40
$49.13K
20.471K
$74.45M
924
ZBRA Zebra Technologies Corporation $245.00
$49.00K
200
$12.53B
925
DMYY dMY Squared Technology Group, Inc. $12.05
$48.75K
4.046K
$47.22M
926
$316.01
$48.67K
154
$3.72B
927
$15.19
$48.56K
3.197K
$587.88M
928
MNST Monster Beverage Corporation $58.58
$48.27K
824
$56.97B
929
$37.51
$48.09K
1.282K
$1.36B
930
AMCR Amcor plc Ordinary Shares $9.57
$48.04K
5.02K
$13.83B
931
$145.51
$48.02K
330
$15.62B
932
KTB Kontoor Brands, Inc. Common Stock $61.80
$47.90K
775
$3.42B
933
PSTV PLUS THERAPEUTICS, Inc. Common Stock $0.8251
$47.89K
58.045K
$14.03M
934
$79.50
$47.86K
602
$11.16B
935
EAF GrafTech International Ltd. $0.6001
$47.76K
79.583K
$154.48M
936
$21.97
$47.63K
2.168K
$4.97B
937
NUVL Nuvalent, Inc. Class A Common Stock $73.00
$47.52K
651
$5.23B
938
$236.80
$47.36K
200
$34.78B
939
$442.51
$47.35K
107
$79.60B
940
COOP Mr. Cooper Group Inc. Common Stock $115.10
$47.31K
411
$7.36B
941
NBN Northeast Bank Common Stock $92.30
$47.17K
511
$783.89M
942
STWD STARWOOD PROPERTY TRUST, INC. $18.86
$47.13K
2.499K
$6.37B
943
KRO Kronos Worldwide, Inc. $7.51
$46.87K
6.241K
$863.92M
944
NOVT Novanta Inc. Common Stock $118.90
$46.73K
393
$4.28B
945
$0.6798
$46.53K
68.44K
$85.68M
946
ELAB Elevai Labs, Inc. Common Stock $2.24
$46.46K
20.742K
$1.58M
947
$309.35
$46.40K
150
$16.18B
948
$6.71
$46.35K
6.908K
$3.06B
949
EQH Equitable Holdings, Inc. $51.50
$46.35K
900
$15.80B
950
ALDX Aldeyra Therapeutics, Inc. $2.65
$46.09K
17.393K
$158.23M
951
TOI The Oncology Institute, Inc. Common Stock $3.19
$46.07K
14.45K
$279.80M
952
NXST Nexstar Media Group, Inc. Common Stock $151.90
$46.03K
303
$4.99B
953
$457.96
$45.80K
100
$81.61B
954
VFF Village Farms International, Inc. Common Shares $0.7099
$45.72K
64.407K
$79.75M
955
$78.94
$45.47K
576
$4.01B
956
OHI Omega Healthcare Investors Inc. $37.85
$45.38K
1.199K
$10.67B
957
$114.75
$45.33K
395
$26.45B
958
CCB Coastal Financial Corporation $87.90
$45.27K
515
$1.32B
959
PMT PennyMac Mortgage Investment Trust $12.14
$45.10K
3.715K
$1.05B
960
BPMC Blueprint Medicines Corporation $85.20
$44.82K
526
$5.33B
961
$61.50
$44.71K
727
$1.62B
962
$26.62
$44.69K
1.679K
$1.75B
963
COO The Cooper Companies, Inc. Common Stock $82.40
$44.66K
542
$16.41B
964
PI Impinj, Inc. Common Stock $89.99
$44.46K
494
$2.57B
965
NTLA Intellia Therapeutics, Inc $8.12
$44.44K
5.473K
$840.56M
966
LITM Snow Lake Resources Ltd. Common Shares $0.4100
$44.24K
107.91K
$40.40M
967
RRGB Red Robin Gourmet Burgers Inc $2.63
$44.23K
16.819K
$45.94M
968
ZK ZEEKR Intelligent Technology Holding Limited American Depositary Shares (each representing ten (10) Ordinary Shares) $20.35
$44.22K
2.173K
$5.17B
969
MTX Minerals Technologies Inc $58.40
$44.21K
757
$1.86B
970
EVGO EVgo Inc. Class A Common Stock $2.63
$44.19K
16.804K
$351.17M
971
APLS Apellis Pharmaceuticals, Inc. Common Stock $17.44
$44.09K
2.528K
$2.19B
972
GPI Group 1 Automotive, Inc. $411.00
$43.98K
107
$5.36B
973
$1.22
$43.85K
35.942K
$140.73M
974
OCG Oriental Culture Holding LTD Ordinary Shares $3.92
$43.84K
11.183K
$72.79M
975
$436.55
$43.66K
100
$67.50B
976
LGMK LogicMark, Inc. Common Stock (NV) $0.00890000
$43.57K
4.895M
$539.24K
977
$145.00
$43.36K
299
$11.72B
978
$99.10
$43.31K
437
$26.77B
979
HTGC Hercules Capital, Inc. $17.99
$43.30K
2.407K
$3.12B
980
$7.58
$43.28K
5.71K
$408.82M
981
$103.11
$43.20K
419
$3.39B
982
$40.55
$43.06K
1.062K
$2.03B
983
VREX Varex Imaging Corporation Common Stock $8.55
$43.00K
5.029K
$352.53M
984
$6.40
$42.97K
6.714K
$191.63M
985
$105.15
$42.90K
408
$1.86B
986
FOUR Shift4 Payments, Inc. $81.00
$42.85K
529
$5.61B
987
HROW Harrow, Inc. Common Stock $25.44
$42.51K
1.671K
$907.04M
988
$79.69
$42.24K
530
$4.84B
989
MTDR MATADOR RESOURCES COMPANY $40.45
$42.23K
1.044K
$5.05B
990
UMC United Microelectronic Corp. $6.89
$42.23K
6.129K
$17.31B
991
PUK PRUDENTIAL PLC ADS (REP 2 ORD SHARES) $21.37
$42.03K
1.967K
$27.72B
992
USM United States Cellular Corporation $67.76
$42.01K
620
$5.76B
993
$88.60
$42.00K
474
$3.60B
994
$82.52
$41.92K
508
$28.38B
995
$99.49
$41.89K
421
$1.81B
996
ASM Avino Silver & Gold Mines Ltd. (Canada) $2.14
$41.85K
19.556K
$301.60M
997
DNB Dun & Bradstreet Holdings, Inc. $9.13
$41.82K
4.58K
$4.06B
998
$28.02
$41.81K
1.492K
$54.32B
1000
$198.32
$41.45K
209
$38.16B