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
$155.01
$129.06M
832.579K
$4.00B
902
BULL Webull Corporation Class A Ordinary Shares $7.19
$128.93M
17.933M
$3.22B
903
IESC IES Holdings, Inc. Common Stock $685.18
$128.77M
187.929K
$13.65B
904
CHKP Check Point Software Technologies Ltd $123.50
$128.58M
1.041M
$13.04B
905
VMI Valmont Industries, Inc. $552.15
$128.48M
232.687K
$10.72B
906
$286.10
$127.91M
447.064K
$7.39B
907
$107.32
$127.90M
1.192M
$19.95B
908
$213.24
$127.62M
598.473K
$6.60B
909
SJM The J.M. Smucker Company $112.96
$127.37M
1.128M
$12.05B
910
$65.78
$127.12M
1.933M
$10.95B
911
$28.87
$126.96M
4.397M
$12.80B
912
$90.53
$126.92M
1.402M
$8.21B
913
$55.00
$126.79M
2.305M
$8.61B
914
MIAX Miami International Holdings, Inc. $38.41
$126.59M
3.296M
$3.65B
915
AXSM Axsome Therapeutics, Inc $254.74
$126.54M
496.729K
$13.11B
916
EMBJ Embraer S.A. American Depositary Shares (Each representing Four Common Shares) $61.31
$126.47M
2.063M
$11.35B
917
PRAX Praxis Precision Medicines, Inc. Common Stock $272.91
$125.25M
458.958K
$7.61B
918
$4.45
$124.93M
28.072M
$5.90B
919
ACI Albertsons Companies, Inc. $14.60
$124.90M
8.555M
$7.22B
920
$43.20
$124.90M
2.891M
$4.82B
921
PFG Principal Financial Group, Inc. $111.13
$124.50M
1.12M
$24.01B
922
$122.85
$124.23M
1.011M
$14.51B
923
PKG Packaging Corp of America $229.26
$123.37M
538.134K
$20.43B
924
$164.77
$123.36M
748.694K
$7.45B
925
VLY Valley National Bancorp $13.91
$123.31M
8.865M
$7.71B
926
$259.50
$123.30M
475.16K
$21.28B
927
$3.33
$123.24M
37.013M
$3.01B
928
$14.57
$123.11M
8.452M
$10.39B
929
NNE Nano Nuclear Energy Inc. Common Stock $25.89
$122.99M
4.751M
$1.35B
930
$137.15
$122.55M
893.583K
$2.59B
931
WYFI WhiteFiber, Inc. Ordinary Shares $34.60
$122.06M
3.528M
$1.34B
932
$11.60
$121.87M
10.506M
$5.74B
933
FND Floor & Decor Holdings, Inc. $50.08
$121.72M
2.431M
$5.41B
934
HLN Haleon plc American Depositary Shares (Each representing two Ordinary Shares) $9.00
$121.63M
13.514M
$39.81B
935
$287.25
$121.21M
421.96K
$15.18B
936
$104.49
$121.15M
1.159M
$3.41B
937
$91.62
$121.00M
1.321M
$14.64B
938
$79.29
$120.77M
1.523M
$10.13B
939
AMPX Amprius Technologies, Inc. $15.25
$120.49M
7.901M
$2.16B
940
XE X-Energy, Inc. Class A Common Stock $23.34
$120.34M
5.156M
$6.71B
941
YMAT J-Star Holding Co., Ltd. Ordinary Shares $0.7000
$120.31M
171.878M
$9.77M
942
MGNI Magnite, Inc. Common Stock $18.30
$120.19M
6.568M
$2.62B
943
$316.16
$120.10M
379.88K
$12.44B
944
$293.02
$120.05M
409.711K
$6.68B
945
BSY Bentley Systems, Incorporated Class B Common Stock $29.34
$119.98M
4.089M
$8.58B
946
$10.40
$119.71M
11.511M
$6.88B
947
CLPT ClearPoint Neuro, Inc. Common Stock $17.39
$119.64M
6.88M
$521.52M
948
SIRI Sirius XM Holdings, Inc $28.00
$119.63M
4.273M
$9.43B
949
$67.92
$119.26M
1.756M
$70.76B
950
$67.23
$119.22M
1.773M
$7.53B
951
$159.55
$119.15M
746.786K
$12.20B
952
$168.48
$118.68M
704.43K
$8.41B
953
SBAC SBA Communications Corp $191.57
$118.44M
618.265K
$20.32B
954
$130.80
$118.43M
905.437K
$4.66B
955
$101.96
$118.43M
1.161M
$11.39B
956
$153.05
$118.39M
773.53K
$4.17B
957
$54.95
$118.24M
2.152M
$5.93B
958
$266.10
$117.84M
442.832K
$10.30B
959
IRDM Iridium Communications Inc. $45.54
$117.55M
2.581M
$4.81B
960
$150.60
$117.53M
780.381K
$4.54B
961
FLG Flagstar Financial, Inc. $14.62
$117.48M
8.036M
$6.09B
962
CNTA Centessa Pharmaceuticals plc American Depositary Shares $39.87
$117.30M
2.942M
$6.17B
963
PEB Pebblebrook Hotel Trust $18.25
$117.28M
6.427M
$2.07B
964
UHS Universal Health Services, Inc. Class B $141.26
$117.21M
829.754K
$7.53B
965
$38.96
$116.98M
3.003M
$8.67B
966
$3.16
$116.11M
36.745M
$49.81B
967
PENG Penguin Solutions, Inc. Ordinary Shares $60.45
$116.10M
1.921M
$3.07B
968
TPL Texas Pacific Land Corporation $355.35
$115.97M
326.364K
$24.51B
969
CFR Cullen/Frost Bankers Inc. $145.55
$115.92M
796.459K
$9.14B
970
CINF Cincinnati Financial Corp $171.47
$115.82M
675.475K
$26.52B
971
$40.31
$115.16M
2.857M
$1.65B
972
WMS ADVANCED DRAINAGE SYSTEMS, INC. $139.16
$115.12M
827.231K
$10.67B
973
$305.66
$115.09M
376.525K
$9.27B
974
$35.10
$114.93M
3.274M
$19.47B
975
NTR Nutrien Ltd. Common Shares $64.41
$114.75M
1.782M
$30.87B
976
UCTT Ultra Clean Holdings, Inc. $111.00
$114.51M
1.032M
$4.98B
977
$121.90
$113.97M
934.957K
$15.02B
978
LQDA Liquidia Corporation Common Stock $66.93
$113.82M
1.701M
$5.95B
979
$87.64
$113.42M
1.294M
$4.58B
980
$139.50
$113.28M
812.044K
$9.69B
981
$145.09
$112.97M
778.645K
$4.84B
982
TIGO Millicom International Cellular S.A. Common Stock $88.93
$112.68M
1.267M
$15.03B
983
$17.80
$112.62M
6.326M
$6.72B
984
$210.58
$112.56M
534.505K
$13.52B
985
CACI CACI INTERNATIONAL CLA $494.94
$112.34M
226.982K
$10.93B
986
SPXC SPX Technologies, Inc. $235.20
$112.18M
476.968K
$11.78B
987
PBA PEMBINA PIPELINE CORPORATION $46.20
$112.10M
2.426M
$26.86B
988
BAM Brookfield Asset Management Ltd. $47.98
$111.81M
2.33M
$78.60B
989
CRSP CRISPR Therapeutics AG $53.54
$111.65M
2.085M
$5.16B
990
WAL Western Alliance Bancorporation $78.43
$111.46M
1.421M
$8.56B
991
JHG Janus Henderson Group plc Ordinary Shares $51.77
$111.01M
2.144M
$7.98B
992
$367.04
$110.92M
302.189K
$14.20B
993
AXTA Axalta Coating Systems Ltd. $34.00
$110.76M
3.258M
$7.28B
994
MIR Mirion Technologies, Inc. $17.80
$110.64M
6.216M
$4.35B
995
COLB Columbia Banking Systems Inc $30.05
$110.60M
3.681M
$8.70B
996
$16.79
$110.57M
6.586M
$6.58B
997
FRT Federal Realty Investment Trust $120.70
$110.50M
915.511K
$10.43B
998
$56.45
$110.45M
1.957M
$6.25B
999
$73.39
$110.35M
1.504M
$11.86B
1000
$24.33
$110.24M
4.531M
$17.54B