Stock Rankings by Volume - Rankings 601 to 700
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 601 to 700.
601
$64.24
1.922K
$11.67B
$123.47K
602
$70.00
1.762K
$12.73B
$123.34K
603
PACBPacific Biosciences of California, Inc. $1.18
104.054K
$323.16M
$122.78K
604
LYFTLyft, Inc. Class A Common Stock $11.45
10.478K
$4.79B
$119.97K
605
ARBEArbe Robotics Ltd. Ordinary Shares $1.20
99.914K
$126.20M
$119.90K
606
$191.60
623
$36.86B
$119.37K
607
PPTAPerpetua Resources Corp. Common Shares $14.16
8.418K
$1.01B
$119.20K
608
GEHCGE HealthCare Technologies Inc. Common Stock $65.03
1.831K
$29.77B
$119.07K
609
DOCUDocuSign, Inc. Common Stock $78.60
1.511K
$15.92B
$118.76K
610
LIFLife360, Inc. Common Stock $38.80
3.039K
$2.97B
$117.91K
611
MDLZMondelez International, Inc. Class A $66.76
1.754K
$86.49B
$117.10K
612
CIFRCipher Mining Inc. Common Stock $2.86
40.733K
$1.03B
$116.50K
613
PGYPagaya Technologies Ltd. Class A Ordinary Shares $10.04
11.491K
$756.00M
$115.37K
614
$156.31
734
$5.09B
$114.73K
615
APOGApogee Enterprises Inc $42.33
2.709K
$929.29M
$114.67K
616
SWKSSkyworks Solutions Inc $59.00
1.928K
$9.06B
$113.75K
617
BURBurford Capital Limited $13.91
8.175K
$3.05B
$113.71K
618
BIRKBirkenstock Holding plc $49.01
2.312K
$9.21B
$113.31K
619
$1.17
96.6K
$134.96M
$113.02K
620
$17.85
6.309K
$39.23B
$112.62K
621
QSIQuantum-Si Incorporated Class A Common Stock $1.18
94.563K
$216.13M
$111.59K
622
XFORX4 Pharmaceuticals, Inc. Common Stock $0.1660
670.922K
$28.83M
$111.37K
623
PLURPluri Inc. Common Stock $5.93
18.768K
$41.49M
$111.29K
624
SIDUSidus Space, Inc. Class A Common Stock $1.50
74.071K
$27.46M
$111.11K
625
AISPAirship AI Holdings, Inc. Class A Common Stock $3.69
30.066K
$117.17M
$110.94K
626
$15.78
7.026K
$10.46B
$110.87K
627
THCTenet Healthcare Corporation New $120.95
916
$11.81B
$110.79K
628
$135.00
817
$32.61B
$110.30K
629
$14.40
7.632K
$16.01B
$109.92K
630
CARRCarrier Global Corporation $58.50
1.878K
$50.54B
$109.86K
631
SSBSouthState Corporation $88.01
1.245K
$8.92B
$109.57K
632
ARCCAres Capital Corporation $20.99
5.199K
$14.10B
$109.14K
633
RGLSRegulus Therapeutics Inc. $2.72
40.111K
$180.18M
$109.10K
634
YUMCYum China Holdings, Inc. Common Stock $46.94
2.31K
$17.64B
$108.43K
635
SDASunCar Technology Group Inc. Class A Ordinary Shares $3.06
35.2K
$332.23M
$107.67K
636
$20.00
5.353K
$3.18B
$107.06K
637
GGALGrupo Financiero Galicia SA $64.40
1.653K
$10.34B
$106.45K
638
$21.02
5.051K
$634.89M
$106.17K
639
INGRIngredion Incorporated $129.01
822
$8.30B
$106.05K
640
ICCTiCoreConnect Inc. Common stock $2.78
38.095K
$5.76M
$105.90K
641
$117.50
900
$33.68B
$105.75K
642
$336.86
313
$20.04B
$105.44K
643
DBVTDBV Technologies S.A. $9.19
11.415K
$251.22M
$104.90K
644
$11.35
9.235K
$14.17B
$104.83K
645
$132.30
789
$3.04B
$104.38K
646
$11.18
9.323K
$4.36B
$104.23K
647
$15.70
6.637K
$1.35B
$104.20K
648
$254.20
408
$1.43B
$103.71K
649
RZLTRezolute, Inc. Common Stock (NV) $3.91
26.437K
$236.69M
$103.37K
650
TIVCTivic Health Systems, Inc. Common Stock $6.90
14.974K
$4.23M
$103.32K
651
$7.45
13.796K
$4.28B
$102.78K
652
STNEStoneCo Ltd. Class A Common Shares $13.05
7.847K
$3.58B
$102.40K
653
$357.61
284
$136.50B
$101.56K
654
NUWENuwellis, Inc. Common Stock $0.9700
104.698K
$4.24M
$101.56K
655
$71.96
1.407K
$47.56B
$101.25K
656
SJWSJW Group Common Stock $55.00
1.818K
$1.85B
$99.99K
657
RTORentokil Initial plc American Depositary Shares (each representing five (5) Ordinary Shares) $22.47
4.439K
$11.29B
$99.74K
658
ABSIAbsci Corporation Common Stock $3.22
30.762K
$410.01M
$99.04K
659
$74.17
1.321K
$50.53B
$97.98K
660
NVCRNovoCure Limited Ordinary Shares $18.98
5.152K
$2.05B
$97.77K
661
EPSMEpsium Enterprise Limited Ordinary Shares $5.89
16.527K
$78.05M
$97.34K
662
$136.80
711
$11.70B
$97.26K
663
$114.85
845
$6.20B
$97.05K
664
$137.50
705
$14.76B
$96.94K
665
$20.95
4.617K
$4.36B
$96.73K
666
$10.18
9.501K
$784.70M
$96.72K
667
$10.90
8.845K
$6.01B
$96.41K
668
MVSTMicrovast Holdings, Inc. Common Stock $2.33
41.329K
$753.77M
$96.29K
669
WNSWNS (Holdings) Limited $65.25
1.475K
$2.83B
$96.24K
670
$60.97
1.577K
$58.90B
$96.15K
671
$35.27
2.711K
$43.63B
$95.62K
672
$7.08
13.258K
$1.24B
$93.87K
673
$258.51
362
$93.16B
$93.58K
674
LOPEGrand Canyon Education, Inc $174.80
535
$5.20B
$93.52K
675
WPCW.P. Carey Inc. (REIT) $61.50
1.518K
$13.47B
$93.36K
676
SPXCSPX Technologies, Inc. $128.30
725
$6.00B
$93.02K
677
NAKNorthern Dynasty Minerals, Ltd. $1.05
88.543K
$565.51M
$92.97K
678
APOApollo Global Management, Inc. $125.10
743
$71.37B
$92.95K
679
$20.46
4.531K
$12.80B
$92.70K
680
YALAYalla Group Limited American Depositary Shares, each representing one Class A Ordinary Share $7.24
12.781K
$1.15B
$92.53K
681
$129.61
709
$52.42B
$91.89K
682
FISFidelity National Information Services, Inc. $78.85
1.162K
$41.77B
$91.62K
683
TMCTMC the metals company Inc. Common Stock $2.55
35.714K
$914.70M
$91.07K
684
BNZIBanzai International, Inc. Class A Common Stock $1.01
90.107K
$15.31M
$91.01K
685
FRTFederal Realty Investment Trust $94.10
965
$8.07B
$90.81K
686
$168.60
537
$12.74B
$90.54K
687
$1.73
52.263K
$2.16M
$90.41K
688
$21.60
4.159K
$5.15B
$89.83K
689
$9.00
9.904K
$218.03M
$89.13K
690
$146.29
609
$4.13B
$89.09K
691
SNDKSandisk Corporation Common Stock $30.70
2.9K
$4.46B
$89.03K
692
$7.95
11.173K
$6.73B
$88.83K
693
CRLCharles River Laboratories International, Inc. $109.00
814
$5.35B
$88.73K
694
$10.22
8.655K
$7.28B
$88.45K
695
TERTeradyne, Inc. Common Stock $74.07
1.193K
$11.91B
$88.37K
696
COLBColumbia Banking Systems Inc $22.60
3.894K
$4.75B
$88.00K
697
IRDMIridium Communications Inc. $21.57
4.063K
$2.35B
$87.64K
698
$32.11
2.726K
$9.86B
$87.53K
699
$10.37
8.435K
$1.66B
$87.47K
700
EGPEastGroup Properties Inc. $159.50
545
$8.34B
$86.93K