Stock Rankings by Volume - Rankings 701 to 800
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 701 to 800.
701
STXSeagate Technology Holdings PLC Ordinary Shares (Ireland) $82.28
1.123K
$17.42B
$92.40K
702
$10.49
8.781K
$3.38B
$92.11K
703
$40.05
2.294K
$62.48B
$91.87K
704
EDUNew Oriental Education and Technology Group, Inc. American Depositary Shares (each representing ten (10) Common Shares) $46.25
1.979K
$7.56B
$91.53K
705
ANFAbercrombie & Fitch Co. $74.05
1.236K
$3.62B
$91.52K
706
$8.88
10.299K
$185.37M
$91.41K
707
GGALGrupo Financiero Galicia SA $62.66
1.458K
$10.06B
$91.36K
708
TECKTeck Resources Limited $36.00
2.533K
$18.09B
$91.19K
709
RNAZTransCode Therapeutics, Inc. Common Stock $0.4149
218.797K
$9.68M
$90.78K
710
$115.00
787
$185.48B
$90.51K
711
CASYCasey's General Stores Inc $446.80
202
$16.27B
$90.25K
712
$36.79
2.441K
$10.97B
$89.80K
713
WHLRWheeler Real Estate Investment Trust, Inc $1.27
70.558K
$1.31M
$89.61K
714
RTORentokil Initial plc American Depositary Shares (each representing five (5) Ordinary Shares) $22.95
3.903K
$11.54B
$89.57K
715
AMSCAmerican Superconductor Corp $19.75
4.514K
$779.45M
$89.17K
716
SUNESUNation Energy, Inc. Common Stock $2.87
31.032K
$9.65M
$89.06K
717
GTLBGitLab Inc. Class A Common Stock $45.75
1.945K
$7.50B
$88.98K
718
$15.79
5.625K
$10.57B
$88.82K
719
NVTSNavitas Semiconductor Corporation Common Stock $2.07
42.67K
$394.40M
$88.33K
720
EATBrinker International, Inc. $156.00
564
$6.93B
$87.98K
721
SNOASonoma Pharmaceuticals, Inc. Common Stock $3.90
22.308K
$6.30M
$87.00K
722
LGNDLigand Pharmaceuticals Inc. $107.70
805
$2.07B
$86.70K
723
EPSMEpsium Enterprise Limited Ordinary Shares $7.23
11.865K
$95.80M
$85.78K
724
ICCTiCoreConnect Inc. Common stock $2.73
31.39K
$5.66M
$85.69K
725
SKBLSkyline Builders Group Holding Limited Class A Ordinary Shares $12.23
6.974K
$369.65M
$85.29K
726
$52.50
1.619K
$7.41B
$85.00K
727
DSGXDescartes Systems Group Inc $105.89
798
$9.06B
$84.50K
728
MUFGMitsubishi UFJ Financial Group, Inc. $12.13
6.966K
$139.57B
$84.50K
729
TXRHTexas Roadhouse, Inc. $161.20
520
$10.75B
$83.82K
730
$127.45
652
$19.10B
$83.10K
731
$31.77
2.608K
$7.39B
$82.86K
732
SNDKSandisk Corporation Common Stock $33.00
2.488K
$4.79B
$82.10K
733
$35.85
2.281K
$14.83B
$81.77K
734
PTONPeloton Interactive, Inc. Class A Common Stock $6.23
13.07K
$2.43B
$81.43K
735
$5.40
15.013K
$443.06M
$81.07K
736
$85.52
947
$17.99B
$80.99K
737
$43.40
1.864K
$37.18B
$80.90K
738
ALGSAligos Therapeutics, Inc. Common Stock $5.86
13.795K
$35.83M
$80.84K
739
$48.98
1.648K
$26.04B
$80.72K
740
YALAYalla Group Limited American Depositary Shares, each representing one Class A Ordinary Share $7.33
10.903K
$1.16B
$79.92K
741
$7.02
11.342K
$1.59B
$79.62K
742
$9.30
8.553K
$19.12B
$79.54K
743
AMRAlpha Metallurgical Resources, Inc. $127.90
621
$1.67B
$79.43K
744
PSIXPower Solutions International, Inc. Common Stock $27.00
2.939K
$621.21M
$79.35K
745
CORTCorcept Therapeutics Inc. $71.60
1.104K
$7.50B
$79.05K
746
$405.80
194
$18.45B
$78.73K
747
ALLRAllarity Therapeutics, Inc. Common Stock $1.09
71.967K
$18.55M
$78.44K
748
$4.99
15.665K
$28.16B
$78.17K
749
ITWIllinois Tool Works Inc. $241.22
324
$70.77B
$78.16K
750
$70.70
1.103K
$28.33B
$77.98K
751
$39.90
1.949K
$13.88B
$77.77K
752
CRNCCerence Inc. Common Stock $8.94
8.667K
$386.01M
$77.44K
753
$32.31
2.391K
$12.71B
$77.25K
754
MVSTMicrovast Holdings, Inc. Common Stock $2.16
35.749K
$698.71M
$77.21K
755
UIUbiquiti Inc. Common Stock $312.40
247
$18.90B
$77.16K
756
DNUTKrispy Kreme, Inc. Common Stock $4.30
17.848K
$732.29M
$76.75K
757
ALLEAllegion Public Limited Company $138.30
554
$11.90B
$76.62K
758
$82.48
927
$16.10B
$76.46K
759
ULHUniversal Logistics Holdings, Inc. Common Stock $25.88
2.927K
$681.08M
$75.75K
760
BHBiglari Holdings Inc. Class B Common Stock $223.10
339
$692.27M
$75.63K
761
MANHManhattan Associates Inc $182.19
415
$11.06B
$75.61K
762
$17.90
4.193K
$5.90B
$75.05K
763
SFMSprouts Farmers Market, Inc. $166.35
450
$16.33B
$74.86K
764
TJXTJX Companies, Inc. (The) $126.17
592
$142.59B
$74.69K
765
$39.18
1.905K
$22.31B
$74.64K
766
ACMRACM Research, Inc. Class A Common Stock $20.58
3.598K
$1.30B
$74.05K
767
INVZInnoviz Technologies Ltd. Ordinary shares $0.7999
92.252K
$159.15M
$73.79K
768
FLNCFluence Energy, Inc. Class A Common Stock $3.91
18.832K
$508.50M
$73.63K
769
$63.78
1.151K
$5.96B
$73.41K
770
EPWKEPWK Holdings Ltd. Class A Ordinary Shares $10.56
6.941K
$235.70M
$73.30K
771
ATOAtmos Energy Corporation $160.20
456
$25.43B
$73.05K
772
$7.50
9.709K
$386.16M
$72.82K
773
ATGEAdtalem Global Education Inc. Common Shares $102.70
709
$3.83B
$72.81K
774
YMMFull Truck Alliance Co. Ltd. American Depositary Shares (each representing 20 Class A Ordinary Shares) $11.16
6.496K
$11.67B
$72.50K
775
$143.00
505
$5.30B
$72.22K
776
$12.29
5.873K
$1.84B
$72.18K
777
$146.00
493
$25.74B
$71.98K
778
ENSCEnsysce Biosciences, Inc. Common Stock $3.11
23.144K
$4.37M
$71.98K
779
$136.31
527
$32.93B
$71.84K
780
MPCMARATHON PETROLEUM CORPORATION $136.24
527
$42.44B
$71.80K
781
$71.31
1.006K
$181.89B
$71.74K
782
CIGIColliers International Group Inc. Subordinate Voting Shares $116.10
615
$5.88B
$71.40K
783
WCNWaste Connections, Inc. $195.00
364
$50.38B
$70.98K
784
EDConsolidated Edison, Inc. $111.28
637
$38.55B
$70.89K
785
NXPINXP Semiconductors N.V. $189.85
373
$48.15B
$70.81K
786
FRTFederal Realty Investment Trust $94.60
742
$8.11B
$70.19K
787
FRHCFreedom Holding Corp. $142.00
494
$8.61B
$70.15K
788
$135.30
517
$3.33B
$69.95K
789
ROPRoper Technologies, Inc. Common Stock $558.00
125
$59.92B
$69.75K
790
$48.11
1.448K
$2.31B
$69.66K
791
$84.20
826
$107.99B
$69.55K
792
SHLSShoals Technologies Group, Inc. Class A Common Stock $3.39
20.501K
$566.69M
$69.50K
793
ACBAurora Cannabis Inc. Common Shares $4.78
14.523K
$262.53M
$69.47K
794
$103.36
668
$95.81B
$69.04K
795
BXSLBlackstone Secured Lending Fund $29.40
2.345K
$6.70B
$68.94K
796
$69.30
991
$3.92B
$68.68K
797
PSECProspect Capital Corporation $3.69
18.606K
$1.64B
$68.66K
798
ADMArcher Daniels Midland Company $48.75
1.404K
$23.31B
$68.45K
799
AXSAxis Capital Holders Limited $95.31
715
$7.70B
$68.15K
800
$109.25
623
$4.98B
$68.06K