Stock Rankings by Dollar Volume - Rankings 1401 to 1500
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 1401 to 1500.
1401
ASO Academy Sports and Outdoors, Inc. $38.49
$18.05K
469
$2.56B
1402
$112.50
$18.00K
160
$62.05B
1403
$21.84
$18.00K
824
$20.13B
1404
BBUC Brookfield Business Corporation Class A Exchangeable Subordinate Voting Shares $25.00
$17.98K
719
$1.79B
1405
VIVS VivoSim Labs, Inc. Common Stock $1.77
$17.92K
10.123K
$3.19M
1406
PENN PENN Entertainment, Inc. Common Stock $16.20
$17.92K
1.106K
$2.48B
1407
REX REX American Resources Corp. $40.02
$17.89K
447
$703.15M
1408
WLGS Wang & Lee Group, Inc. Ordinary Shares $0.1961
$17.82K
90.848K
$4.15M
1409
IVVD Invivyd, Inc. Common Stock $0.6692
$17.81K
26.609K
$80.28M
1410
FHI Federated Hermes, Inc. $39.82
$17.80K
447
$3.35B
1411
$88.78
$17.76K
200
$5.74B
1412
$58.51
$17.73K
303
$5.63B
1413
$33.24
$17.65K
531
$442.78M
1414
NXRT NexPoint Residential Trust Inc $36.89
$17.60K
477
$941.97M
1415
PNNT Pennant Investment Corp $6.47
$17.57K
2.715K
$422.47M
1416
AHR American Healthcare REIT, Inc. $31.20
$17.57K
563
$4.95B
1417
$33.05
$17.55K
531
$3.03B
1418
DOC Healthpeak Properties, Inc. $17.83
$17.49K
981
$12.46B
1419
NVCR NovoCure Limited Ordinary Shares $18.50
$17.48K
945
$2.00B
1420
ABR Arbor Realty Trust, Inc. $11.29
$17.45K
1.546K
$2.17B
1421
$42.40
$17.38K
410
$2.47B
1422
ADD Color Star Technology Co., Ltd. Class A Ordinary Shares $0.6970
$17.38K
24.932K
$428.40K
1423
HMR Heidmar Maritime Holdings Corp. Common Stock $2.74
$17.34K
6.33K
$156.46M
1424
NPKI NPK International Inc. $5.78
$17.33K
2.999K
$499.95M
1425
FOXA Fox Corporation Class A Common Stock $49.16
$17.30K
352
$22.29B
1426
$5.58
$17.29K
3.102K
$88.08M
1427
$81.31
$17.24K
212
$15.86B
1428
POR Portland General Electric Company $41.16
$17.16K
417
$4.51B
1429
LPRO Open Lending Corporation Common Stock $1.34
$17.09K
12.75K
$160.51M
1430
DOMH Dominari Holdings Inc. Common Stock $4.90
$17.07K
3.483K
$71.76M
1431
PPTA Perpetua Resources Corp. Common Shares $14.39
$17.04K
1.184K
$1.03B
1432
NJR New Jersey Resources Corp $48.66
$16.89K
347
$4.88B
1433
PRTA Prothena Corporation plc Ordinary Shares $9.76
$16.75K
1.716K
$525.38M
1434
$132.30
$16.67K
126
$40.92B
1435
$54.86
$16.62K
303
$3.90B
1436
$33.11
$16.59K
501
$2.35B
1437
SMSI Smith Micro Software Inc $1.20
$16.56K
13.798K
$21.33M
1438
ATO Atmos Energy Corporation $159.01
$16.54K
104
$25.24B
1439
KIDS OrthoPediatrics Corp. Common Stock $21.31
$16.54K
776
$529.16M
1440
$50.70
$16.53K
326
$19.71B
1441
$20.16
$16.49K
818
$224.71M
1442
$8.60
$16.49K
1.917K
$4.50B
1443
TBH Brag House Holdings, Inc. Common Stock $0.5878
$16.46K
28.004K
$6.30M
1444
THTX Theratechnologies Inc. Common $2.76
$16.44K
5.957K
$126.90M
1445
$7.30
$16.43K
2.25K
$1.91B
1446
$19.41
$16.38K
844
$2.00B
1447
PRCH Porch Group, Inc. Common Stock $5.96
$16.29K
2.734K
$609.45M
1448
$45.60
$16.28K
357
$6.00B
1449
ONCY Oncolytics Biotech, Inc. Common Shares $0.6000
$16.26K
27.102K
$51.96M
1450
$149.12
$16.25K
109
$26.29B
1451
$51.50
$16.17K
314
$2.27B
1452
CNVS Cineverse Corp. Class A Common Stock $3.07
$16.07K
5.233K
$49.06M
1453
$1.72
$16.06K
9.336K
$821.85M
1454
$13.10
$16.05K
1.225K
$1.74B
1455
DRTS Alpha Tau Medical Ltd. Ordinary Shares $2.83
$16.03K
5.666K
$199.18M
1456
$77.40
$16.02K
207
$3.75B
1457
$38.50
$16.02K
416
$554.69M
1458
$122.10
$16.00K
131
$1.97B
1459
CNXC Concentrix Corporation Common Stock $49.62
$15.98K
322
$3.19B
1460
IMCR Immunocore Holdings plc American Depositary Shares $30.46
$15.87K
521
$1.50B
1461
$1.19
$15.87K
13.335K
$4.35M
1462
APVO Aptevo Therapeutics Inc $0.6675
$15.84K
23.736K
$2.15M
1463
CRVS Corvus Pharmaceuticals, Inc. $3.90
$15.79K
4.051K
$243.89M
1464
$8.50
$15.79K
1.858K
$475.11M
1465
SGHC Super Group (SGHC) Limited $7.90
$15.79K
1.999K
$3.99B
1466
TECK Teck Resources Limited $35.10
$15.76K
449
$17.48B
1467
DNUT Krispy Kreme, Inc. Common Stock $4.30
$15.75K
3.663K
$732.46M
1468
$30.40
$15.75K
518
$1.19B
1469
DCOM Dime Community Bancshares, Inc. Common Stock $25.62
$15.73K
614
$1.12B
1470
GPK Graphic Packaging Holding Company $24.70
$15.61K
632
$7.45B
1471
BIRK Birkenstock Holding plc $50.30
$15.54K
309
$9.45B
1472
RDNT RadNet, Inc. Common Stock $50.01
$15.45K
309
$3.70B
1473
$18.18
$15.45K
850
$896.74M
1474
BNZI Banzai International, Inc. Class A Common Stock $1.01
$15.44K
15.291K
$15.31M
1475
BZFD BuzzFeed, Inc. Class A Common Stock $1.90
$15.44K
8.125K
$73.20M
1476
EDHL Everbright Digital Holding Limited Ordinary Shares $3.60
$15.43K
4.285K
$95.40M
1477
PTCT PTC Therapeutics, Inc. $49.90
$15.42K
309
$3.85B
1478
CRK Comstock Resources, Inc. $18.50
$15.39K
832
$5.42B
1479
$1.20
$15.35K
12.793K
$138.42M
1480
NSA National Storage Affiliates Trust $36.09
$15.34K
425
$2.76B
1481
AWK American Water Works Company, Inc $144.70
$15.34K
106
$28.22B
1482
DLB Dolby Laboratories, Inc.Class A $75.90
$15.33K
202
$7.32B
1483
$16.13
$15.26K
946
$1.87B
1484
STWD STARWOOD PROPERTY TRUST, INC. $18.89
$15.23K
806
$6.38B
1485
NGVC NATURAL GROCERS BY VITAMIN COTTAGE, INC $48.00
$15.22K
317
$1.10B
1486
SLXN Silexion Therapeutics Corp Ordinary Shares $0.9200
$15.19K
16.513K
$8.00M
1487
OPCH Option Care Health, Inc. Common Stock $32.90
$15.17K
461
$5.40B
1488
$46.19
$15.10K
327
$100.66B
1489
TTI TETRA Technologies, Inc. $2.75
$15.07K
5.48K
$364.08M
1490
$21.19
$15.07K
711
$566.71M
1491
$142.05
$15.06K
106
$51.17B
1492
$143.89
$14.96K
104
$42.76B
1493
ELAN Elanco Animal Health Incorporated Common Stock $9.35
$14.96K
1.6K
$4.64B
1494
KW KENNEDY-WILSON HOLDINGS, INC. $6.65
$14.96K
2.249K
$917.75M
1495
NBR Nabors Industries Ltd. $29.85
$14.93K
500
$433.88M
1496
ASX ASE Technology Holding Co., Ltd. $8.69
$14.89K
1.713K
$18.87B
1497
MASS 908 Devices Inc. Common Stock $5.60
$14.88K
2.658K
$197.84M
1498
$0.6351
$14.88K
23.43K
$80.05M
1499
$2.28
$14.88K
6.525K
$720.20M
1500
NUKK Nukkleus Inc. Common Stock $16.10
$14.88K
924
$77.13M