Stock Rankings by Dollar Volume - Rankings 1001 to 1100

Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 1001 to 1100.

#
Symbol
Last Price
Change (Day)
Change % (Day)
$ Volume (Day)
Volume (Day)
Market Cap
1001
DAVEDave Inc. Class A Common Stock
$221.41
-0.15
-0.07%
$41.90M
189.243K
$2.99B
1002
BRZEBraze, Inc. Class A Common Stock
$34.64
-0.14
-0.40%
$41.90M
1.21M
$3.89B
1003
LADLithia Motors, Inc.
$332.33
-3.44
-1.02%
$41.86M
125.968K
$8.06B
1004
ATOAtmos Energy Corporation
$167.63
-0.95
-0.56%
$41.80M
249.363K
$27.11B
1005
MASIMasimo Corporation
$130.06
-0.42
-0.32%
$41.80M
321.373K
$6.99B
1006
EVREvercore Inc.
$340.25
-2.72
-0.79%
$41.65M
122.417K
$13.16B
1007
RMBSRambus Inc
$92.30
-2.37
-2.50%
$41.65M
451.252K
$9.94B
1008
ICLRIcon Plc
$182.22
-0.78
-0.43%
$41.64M
228.501K
$13.91B
1009
RSReliance, Inc.
$288.87
-2.28
-0.78%
$41.61M
144.048K
$15.10B
1010
QRVOQorvo, Inc.
$84.51
-1.20
-1.39%
$41.52M
491.262K
$7.83B
1011
AHRAmerican Healthcare REIT, Inc.
$47.06
-0.66
-1.38%
$41.46M
881.079K
$8.38B
1012
CMCCommercial Metals Company
$69.22
-0.78
-1.11%
$41.41M
598.308K
$7.68B
1013
CMSCMS Energy Corporation
$69.93
-0.44
-0.63%
$41.31M
590.663K
$21.28B
1014
CCKCrown Holdings Inc.
$102.97
-0.73
-0.70%
$41.15M
399.653K
$11.88B
1015
MIDDMiddleby Corp
$148.67
-2.25
-1.49%
$41.14M
276.706K
$7.49B
1016
MFCManulife Financial Corp.
$36.28
-0.23
-0.63%
$41.13M
1.134M
$60.85B
1017
ALHCAlignment Healthcare, Inc. Common Stock
$19.42
-0.15
-0.77%
$41.08M
2.116M
$3.89B
1018
RVMDRevolution Medicines, Inc. Common Stock
$79.65
-0.05
-0.06%
$40.86M
512.988K
$15.40B
1019
OUSTOuster, Inc.
$21.65
+0.21
+0.98%
$40.82M
1.886M
$1.30B
1020
VLYValley National Bancorp
$11.63
-0.13
-1.11%
$40.80M
3.508M
$6.47B
1021
BYNDBeyond Meat, Inc. Common Stock
$0.8190
-0.0473
-5.46%
$40.73M
49.728M
$371.47M
1022
ALLYAlly Financial Inc.
$45.03
-0.64
-1.40%
$40.60M
901.629K
$13.89B
1023
MGAMagna International
$54.00
+0.19
+0.35%
$40.55M
750.915K
$15.22B
1024
HLNHaleon plc American Depositary Shares (Each representing two Ordinary Shares)
$10.11
+0.08
+0.80%
$40.53M
4.009M
$45.02B
1025
BZKANZHUN LIMITED American Depository Shares
$20.38
+0.04
+0.20%
$40.35M
1.98M
$9.51B
1026
RYANRyan Specialty Holdings, Inc.
$51.63
-0.61
-1.17%
$40.29M
780.425K
$6.65B
1027
VERAVera Therapeutics, Inc. Class A Common Stock
$50.01
-1.38
-2.69%
$40.21M
803.971K
$3.55B
1028
TFXTeleflex Incorporated
$122.04
+1.03
+0.85%
$40.20M
329.386K
$5.39B
1029
CWSTCasella Waste Systems Inc
$97.94
-1.88
-1.88%
$40.19M
410.374K
$6.22B
1030
AGXArgan, Inc
$313.58
-1.42
-0.45%
$40.15M
128.028K
$4.35B
1031
EGOEldorado Gold Corporation
$35.95
+0.24
+0.67%
$40.13M
1.116M
$7.23B
1032
MASMasco Corporation
$63.46
-0.43
-0.67%
$39.74M
626.22K
$13.18B
1033
ESTCElastic N.V.
$75.08
-1.08
-1.42%
$39.65M
528.053K
$7.91B
1034
CXCemex S.A.B. de C.V.
$11.55
-0.04
-0.35%
$39.59M
3.428M
$16.76B
1035
AGIAlamos Gold Inc. Class A Common Shares
$39.15
+0.44
+1.13%
$39.58M
1.011M
$16.44B
1036
CRLCharles River Laboratories International, Inc.
$199.48
-3.05
-1.51%
$39.52M
198.092K
$9.82B
1037
FERFerrovial SE Ordinary Shares
$64.74
-0.18
-0.28%
$39.47M
609.709K
$46.27B
1038
KSSKohls Corporation
$20.38
+0.03
+0.14%
$39.46M
1.936M
$2.29B
1039
KAIKadant Inc.
$285.02
-12.66
-4.25%
$39.40M
138.247K
$3.36B
1040
VSATViasat Inc
$34.60
-0.70
-1.98%
$39.34M
1.137M
$4.68B
1041
WUThe Western Union Company
$9.35
+0.05
+0.54%
$39.33M
4.207M
$2.97B
1042
VSCOVictoria's Secret & Co.
$54.00
-0.75
-1.37%
$39.24M
726.59K
$4.33B
1043
FRFirst Industrial Realty Trust, Inc.
$57.27
-0.48
-0.83%
$39.21M
684.654K
$7.58B
1044
CINFCincinnati Financial Corp
$163.32
-1.27
-0.77%
$39.17M
239.865K
$25.48B
1045
PNRPentair plc
$104.14
-1.64
-1.55%
$39.07M
375.211K
$17.04B
1046
CRMDCorMedix Inc.
$11.69
-0.76
-6.10%
$39.03M
3.339M
$921.04M
1047
ARQTArcutis Biotherapeutics, Inc. Common Stock
$29.04
+0.56
+1.97%
$38.97M
1.342M
$3.56B
1048
OSKOshkosh Corp.
$125.63
-0.80
-0.63%
$38.96M
310.125K
$7.95B
1049
FSMFORTUNA Silver Mines Inc.
$9.85
-0.03
-0.30%
$38.88M
3.948M
$3.01B
1050
XYLXylem Inc
$136.18
-1.60
-1.16%
$38.85M
285.256K
$33.16B
1051
ASOAcademy Sports and Outdoors, Inc.
$49.96
-0.64
-1.26%
$38.83M
777.163K
$3.33B
1052
DTMDT Midstream, Inc.
$119.68
-0.80
-0.66%
$38.81M
324.299K
$12.17B
1053
MIAXMiami International Holdings, Inc.
$44.38
-1.31
-2.87%
$38.69M
871.844K
$3.79B
1054
FRMIFermi Inc. Common Stock
$8.01
-0.03
-0.37%
$38.61M
4.82M
$4.92B
1055
MKLMarkel Group Inc.
$2,149.65
-24.12
-1.11%
$38.55M
17.933K
$27.11B
1056
CGThe Carlyle Group Inc. Common Stock
$59.11
-1.89
-3.10%
$38.52M
651.648K
$21.30B
1057
BUDAnheuser-Busch INBEV SA/NV
$64.04
-0.19
-0.30%
$38.45M
600.478K
$124.50B
1058
BNTXBioNTech SE American Depositary Share
$95.20
+0.02
+0.02%
$38.42M
403.597K
$23.89B
1059
JBLUJetBlue Airways Corp
$4.52
-0.07
-1.53%
$38.41M
8.498M
$1.64B
1060
REGRegency Centers Corporation
$69.03
-0.57
-0.82%
$38.40M
556.334K
$12.63B
1061
ATATAtour Lifestyle Holdings Limited American Depositary Shares
$39.22
-0.31
-0.80%
$38.35M
977.864K
$5.42B
1062
MANHManhattan Associates Inc
$173.17
-1.11
-0.64%
$38.34M
221.382K
$10.36B
1063
TECHBio-Techne Corp.
$59.08
+0.04
+0.07%
$38.34M
648.867K
$9.21B
1064
VICRVicor Corp
$109.11
-4.57
-4.02%
$38.28M
350.819K
$4.87B
1065
PIIPolaris Inc.
$63.25
-1.24
-1.92%
$38.24M
604.613K
$3.56B
1066
TUTelus Corporation
$13.18
+0.12
+0.92%
$38.09M
2.89M
$20.44B
1067
NTSKNetskope, Inc. Class A Common Stock
$17.63
-0.37
-2.06%
$38.06M
2.159M
$6.93B
1068
GXOGXO Logistics, Inc.
$52.64
-0.41
-0.77%
$38.05M
722.922K
$6.03B
1069
CWCurtiss-Wright Corp.
$551.27
-8.41
-1.50%
$38.03M
68.989K
$20.33B
1070
GENGen Digital Inc. Common Stock
$27.18
-0.07
-0.26%
$37.92M
1.395M
$16.76B
1071
TTMITTM Technologies Inc
$70.00
-0.20
-0.28%
$37.82M
540.242K
$7.23B
1072
BH.ABiglari Holdings Inc. Class A Common Stock
$1,732.50
-35.69
-2.02%
$37.78M
21.806K
$1.08B
1073
KNSLKinsale Capital Group, Inc.
$391.12
-2.24
-0.57%
$37.65M
96.262K
$9.10B
1074
GMEDGLOBUS MEDICAL INC
$87.30
-0.50
-0.57%
$37.65M
431.257K
$11.68B
1075
RYTMRhythm Pharmaceuticals, Inc. Common Stock
$107.04
+0.61
+0.57%
$37.61M
351.376K
$7.14B
1076
MMYTMakeMyTrip Limited
$82.12
-0.27
-0.33%
$37.60M
457.88K
$7.79B
1077
CAKECheesecake Factory (The)
$50.42
+0.42
+0.84%
$37.57M
745.173K
$2.51B
1078
LBRTLiberty Energy Inc.
$18.50
+0.14
+0.76%
$37.53M
2.029M
$3.00B
1079
CVLTCommault Systems, Inc.
$124.70
-2.18
-1.72%
$37.51M
300.825K
$5.48B
1080
ONTOOnto Innovation Inc.
$157.55
-2.68
-1.67%
$37.49M
237.935K
$7.82B
1081
CBRLCracker Barrel Old Country Store, Inc,.
$25.39
+0.39
+1.56%
$37.48M
1.476M
$566.91M
1082
UAMYUnited States Antimony Corporation
$5.06
-0.11
-2.13%
$37.34M
7.38M
$708.58M
1083
BOXBOX, INC.
$29.91
-0.49
-1.61%
$37.33M
1.248M
$4.28B
1084
PNWPinnacle West Capital Corporation
$88.70
-0.56
-0.63%
$37.31M
420.615K
$10.62B
1085
SFStifel Financial Corp.
$125.22
-1.91
-1.50%
$37.30M
297.889K
$12.73B
1086
ENSGThe Ensign Group, Inc.
$174.20
-2.52
-1.43%
$37.20M
213.537K
$10.09B
1087
CELCCelcuity Inc. Common Stock
$99.74
-0.18
-0.18%
$37.18M
372.809K
$4.62B
1088
EQHEquitable Holdings, Inc.
$47.65
-0.46
-0.96%
$37.17M
780.062K
$13.65B
1089
PACSPACS Group, Inc.
$38.40
-0.84
-2.14%
$37.15M
967.382K
$6.01B
1090
CHRDChord Energy Corporation Common Stock
$92.70
-0.40
-0.43%
$37.14M
400.697K
$5.27B
1091
DVAXDynavax Technologies Corporation
$15.38
+0.00
+0.00%
$37.13M
2.414M
$1.75B
1092
HTHTH World Group Limited American Depositary Shares
$47.05
+0.05
+0.11%
$37.11M
788.824K
$14.48B
1093
LNCLincoln National Corp.
$44.53
-0.48
-1.07%
$37.06M
832.199K
$8.46B
1094
VITLVital Farms, Inc. Common Stock
$32.03
-1.22
-3.66%
$36.98M
1.155M
$1.43B
1095
LACLithium Americas Corp.
$4.35
-0.06
-1.36%
$36.86M
8.472M
$1.32B
1096
LPTHLightpath Technologies Inc
$11.00
+0.42
+3.97%
$36.77M
3.342M
$586.52M
1097
CNMCore & Main, Inc.
$51.97
-0.98
-1.85%
$36.76M
707.285K
$9.81B
1098
WGSGeneDx Holdings Corp. Class A Common Stock
$130.06
+2.52
+1.98%
$36.74M
282.51K
$3.76B
1099
SNYSanofi American Depositary Shares (Each representing one-half of one ordinary share)
$48.46
-0.08
-0.16%
$36.60M
755.217K
$117.04B
1100
HMYHarmony Gold Mining Company Limited
$19.95
+0.05
+0.25%
$36.54M
1.832M
$12.46B