Stock Rankings by Volume - Rankings 301 to 400
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 301 to 400.
301
$34.95
14.292K
$20.10B
$499.51K
302
NOCNorthrop Grumman Corp. $472.00
1.05K
$68.03B
$495.60K
303
$7.47
66.259K
$1.20B
$494.95K
304
$7.52
65.329K
$3.72B
$491.29K
305
SNOASonoma Pharmaceuticals, Inc. Common Stock $3.62
135.28K
$5.85M
$489.71K
306
NXPINXP Semiconductors N.V. $186.60
2.604K
$47.33B
$485.91K
307
WPMWheaton Precious Metals Corp. Common Stock $83.00
5.778K
$37.66B
$479.57K
308
BTOGBit Origin Limited Ordinary Shares $0.1454
3.244M
$1.24M
$471.67K
309
$63.54
7.419K
$43.10B
$471.40K
310
LAESSEALSQ Corp Ordinary Shares $2.55
184.589K
$270.32M
$470.70K
311
PRKSUnited Parks & Resorts Inc. $44.26
10.526K
$2.44B
$465.88K
312
$3.87
119.912K
$1.37B
$464.06K
313
GRABGrab Holdings Limited Class A Ordinary Shares $4.38
105.846K
$17.85B
$463.62K
314
PGRProgressive Corporation $264.53
1.751K
$155.08B
$463.19K
315
SERVServe Robotics Inc. Common Stock $5.92
77.7K
$336.96M
$459.98K
316
DVNDevon Energy Corporation $31.24
14.526K
$20.26B
$453.79K
317
OPENOpendoor Technologies Inc Common Stock $0.8491
529.827K
$614.34M
$449.88K
318
GDSGDS Holdings Limited ADS $23.58
18.922K
$4.58B
$446.18K
319
$111.88
3.955K
$220.97B
$442.49K
320
BONBon Natural Life Limited Ordinary Shares $0.0623
7.095M
$882.83K
$442.00K
321
ZETAZeta Global Holdings Corp. $12.20
36.203K
$2.90B
$441.68K
322
ENSGThe Ensign Group, Inc. $122.40
3.606K
$7.05B
$441.38K
323
$15.48
28.239K
$55.47B
$437.14K
324
SBSWSibanye-Stillwater American Depositary Shares, each representing four ordinary shares $4.81
90.61K
$3.40B
$435.74K
325
BUDAnheuser-Busch INBEV SA/NV $66.29
6.558K
$129.03B
$434.73K
326
RZLVRezolve AI Limited Ordinary Shares $1.47
292.951K
$453.60M
$430.64K
327
AURAurora Innovation, Inc. Class A Common Stock $6.52
65.384K
$11.52B
$426.30K
328
$34.20
12.449K
$48.56B
$425.75K
329
$35.91
11.854K
$35.56B
$425.68K
330
PRCTPROCEPT BioRobotics Corporation Common Stock $58.85
7.087K
$3.23B
$417.07K
331
MGMMGM RESORTS INTERNATIONAL $30.35
13.731K
$8.67B
$416.74K
332
CLColgate-Palmolive Company $93.50
4.424K
$75.84B
$413.64K
333
$217.00
1.903K
$121.46B
$412.95K
334
$9.64
42.818K
$41.15B
$412.77K
335
ATATAtour Lifestyle Holdings Limited American Depositary Shares $24.29
16.87K
$3.34B
$409.77K
336
BHPBHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) $48.78
8.39K
$123.66B
$409.26K
337
CVSCVS HEALTH CORPORATION $65.40
6.257K
$82.10B
$409.21K
338
$0.8500
477.598K
$825.93M
$405.96K
339
$65.50
6.183K
$12.43B
$404.99K
340
$355.50
1.125K
$15.45B
$399.94K
341
AAOIApplied Optoelectronics, Inc. $11.80
33.582K
$592.95M
$396.27K
342
UAMYUnited States Antimony Corporation $3.58
109.419K
$410.38M
$391.72K
343
$42.67
9.115K
$9.22B
$388.94K
344
LULufax Holding Ltd. American Depositary Shares, each representing two (2) Ordinary Shares $2.70
141.946K
$2.34B
$383.25K
345
NDAQNasdaq, Inc. Common Stock $74.24
5.124K
$42.70B
$380.41K
346
HOLOMicroCloud Hologram Inc. Ordinary Shares $11.75
32.36K
$243.55M
$380.23K
347
WBDWarner Bros. Discovery, Inc. Series A Common Stock $8.33
45.219K
$20.45B
$376.68K
348
LYBLyondellBasell Industries N.V. Class A $58.00
6.484K
$18.72B
$376.07K
349
TRUGTruGolf Holdings, Inc. Class A Common Stock $0.3300
1.138M
$10.43M
$375.70K
350
$37.02
10.105K
$7.99B
$374.09K
351
CLBRColombier Acquisition Corp. II $10.95
34.04K
$232.69M
$372.74K
352
HPEHewlett Packard Enterprise Company $15.42
24.058K
$20.04B
$370.97K
353
$57.11
6.432K
$3.22B
$367.33K
354
$35.19
10.387K
$47.74B
$365.52K
355
ERICEricsson American Depositary Shares $8.25
44.199K
$27.49B
$364.64K
356
AGRIAgriFORCE Growing Systems Ltd. Common Shares $1.81
199.986K
$3.10M
$361.97K
357
$211.00
1.709K
$50.56B
$360.60K
358
$67.54
5.312K
$220.29B
$358.77K
359
$3.51
101.842K
$2.78B
$357.47K
360
FCNCAFirst Citizens BancShares Inc $1,773.00
200
$23.99B
$354.60K
361
MDGLMadrigal Pharmaceuticals, Inc. Common Stock $308.40
1.13K
$6.81B
$348.49K
362
LOGILogitech International SA $75.50
4.615K
$11.26B
$348.43K
363
SLXNSilexion Therapeutics Corp Ordinary Shares $0.9702
357.244K
$8.43M
$346.60K
364
MRNAModerna, Inc. Common Stock $26.54
12.872K
$10.26B
$341.62K
365
ITWIllinois Tool Works Inc. $237.70
1.437K
$69.73B
$341.57K
366
$5.90
57.806K
$3.70B
$341.06K
367
$90.48
3.758K
$7.13B
$340.02K
368
EPDEnterprise Products Partners L.P. $30.90
10.856K
$66.98B
$335.45K
369
$29.37
11.416K
$93.24B
$335.29K
370
$146.45
2.288K
$17.59B
$335.08K
371
ARRARMOUR Residential REIT, Inc. $15.05
22.04K
$1.20B
$331.70K
372
JCIJohnson Controls International plc $78.38
4.179K
$51.74B
$327.55K
373
$294.50
1.111K
$140.75B
$327.19K
374
PBRPETROLEO BRASILEIRO S.A.-PETROBRAS ADS (REP 1 COMMON SHARE) $11.58
28.152K
$74.74B
$326.00K
375
ISRGIntuitive Surgical Inc. $486.70
669
$172.64B
$325.60K
376
KHCThe Kraft Heinz Company Common Stock $30.05
10.814K
$36.49B
$324.96K
377
$62.11
5.19K
$30.81B
$322.35K
378
LUNRIntuitive Machines, Inc. Class A Common Stock $7.89
40.765K
$913.07M
$321.64K
379
$34.50
9.3K
$8.33B
$320.85K
380
$59.42
5.39K
$135.42B
$320.27K
381
$286.10
1.117K
$55.42B
$319.57K
382
$18.50
17.217K
$9.04B
$318.51K
383
$994.10
318
$47.89B
$316.12K
384
$26.85
11.717K
$59.59B
$314.60K
385
CACCCredit Acceptance Corp $462.20
680
$5.56B
$314.30K
386
FBGLFBS Global Limited Ordinary Shares $0.6699
459.03K
$9.04M
$307.50K
387
DUOFangdd Network Group Ltd. American Depositary Shares $0.2470
1.24M
$10.43M
$306.20K
388
GRRRGorilla Technology Group Inc. Ordinary shares $18.60
16.39K
$343.44M
$304.85K
389
KALUKaiser Aluminum Corporation $54.15
5.611K
$871.84M
$303.84K
390
$61.00
4.975K
$9.45B
$303.48K
391
REGNRegeneron Pharmaceuticals Inc $588.85
514
$64.38B
$302.67K
392
TMToyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $186.17
1.612K
$242.63B
$300.11K
393
$6.78
43.705K
$3.09B
$296.32K
394
KULRKULR Technology Group, Inc. $1.25
234.1K
$355.43M
$292.58K
395
CRSPCRISPR Therapeutics AG $39.11
7.466K
$3.38B
$292.00K
396
AGMHAGM Group Holdings Inc. Class A Ordinary Shares $0.0411
7.083M
$1.67M
$290.76K
397
RCATRed Cat Holdings, Inc. Common Stock $5.04
57.302K
$456.19M
$288.80K
398
ARECAMERICAN RESOURCES CORP $1.17
245.704K
$90.58M
$287.47K
399
$333.63
860
$643.58B
$286.92K
400
$101.04
2.836K
$22.93B
$286.55K