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
WHRWhirlpool Corp.
$39.36
+0.52
+1.34%
$46.09M
1.171M
$2.55B
1002
PRAXPraxis Precision Medicines, Inc. Common Stock
$278.28
-2.32
-0.83%
$45.99M
165.256K
$7.76B
1003
GLPIGaming and Leisure Properties, Inc.
$45.14
-0.13
-0.28%
$45.40M
1.006M
$12.79B
1004
BANDBandwidth Inc. Class A Common Stock
$50.44
-1.18
-2.29%
$45.25M
897.201K
$1.52B
1005
FIVEFive Below, Inc. Common Stock
$192.66
-0.34
-0.18%
$45.24M
234.835K
$10.65B
1006
IBNICICI Bank Limited
$28.13
-0.22
-0.78%
$45.16M
1.605M
$100.85B
1007
SKYSkyline Champion Corporation Common Stock
$85.31
+3.07
+3.73%
$45.09M
528.593K
$4.68B
1008
CVLTCommault Systems, Inc.
$129.58
-0.06
-0.05%
$44.96M
346.975K
$5.35B
1009
ONCBeiGene, Ltd. American Depositary Shares
$269.50
-0.47
-0.17%
$44.84M
166.367K
$29.57B
1010
PAAPlains All American Pipeline, L.P. Common Units representing Limited Partner Interests
$21.51
-0.08
-0.35%
$44.74M
2.08M
$15.17B
1011
NBIXNeurocrine Biosciences Inc
$156.81
-3.21
-2.00%
$44.72M
285.215K
$15.77B
1012
MTRNMaterion Corporation
$275.02
+9.01
+3.39%
$44.33M
161.172K
$5.72B
1013
ONBOld National Bancorp
$24.70
-0.02
-0.08%
$44.32M
1.794M
$9.54B
1014
ELSEquity Lifestyle Properties, Inc.
$62.52
-0.48
-0.76%
$44.32M
708.899K
$12.12B
1015
DVADaVita Inc.
$209.27
-2.72
-1.28%
$44.32M
211.761K
$13.44B
1016
RELYRemitly Global, Inc. Common Stock
$21.07
+0.48
+2.33%
$44.30M
2.102M
$4.44B
1017
MMacy's Inc.
$24.45
+0.26
+1.05%
$44.14M
1.806M
$6.43B
1018
WSOWatsco, Inc.
$397.52
+11.59
+3.00%
$43.81M
110.201K
$13.92B
1019
BULLWebull Corporation Class A Ordinary Shares
$7.07
-0.13
-1.81%
$43.80M
6.195M
$3.17B
1020
MRXMarex Group plc Ordinary Shares
$64.50
+2.54
+4.09%
$43.74M
678.224K
$4.70B
1021
MIDDMiddleby Corp
$169.86
+2.97
+1.78%
$43.66M
257.039K
$7.68B
1022
CHRDChord Energy Corporation Common Stock
$122.34
-3.07
-2.45%
$43.43M
354.999K
$6.89B
1023
OLNOlin Corp.
$22.38
-0.84
-3.63%
$43.25M
1.933M
$2.55B
1024
HRLHormel Foods Corporation
$24.35
+0.02
+0.08%
$43.00M
1.766M
$13.40B
1025
CCKCrown Holdings Inc.
$101.88
-0.70
-0.68%
$42.95M
421.605K
$11.38B
1026
KGSKodiak Gas Services, Inc.
$67.52
+2.02
+3.08%
$42.86M
634.837K
$5.99B
1027
EATBrinker International, Inc.
$165.81
+4.80
+2.98%
$42.52M
256.422K
$7.11B
1028
GMEDGLOBUS MEDICAL INC
$77.07
+1.37
+1.80%
$42.50M
551.521K
$10.46B
1029
SBRASabra Healthcare REIT, Inc.
$18.10
+0.00
+0.00%
$42.47M
2.346M
$4.56B
1030
ORKAOruka Therapeutics, Inc. Common Stock
$72.28
+1.33
+1.87%
$42.46M
587.487K
$4.36B
1031
REXRREXFORD INDUSTRIAL REALTY, INC.
$33.38
+0.84
+2.58%
$42.43M
1.271M
$7.53B
1032
ENSEnerSys, Inc.
$231.93
+0.91
+0.39%
$42.24M
182.141K
$8.47B
1033
RSIRush Street Interactive, Inc.
$28.53
+0.09
+0.32%
$42.24M
1.481M
$2.97B
1034
TMETencent Music Entertainment Group American Depositary Shares, each representing two Class A Ordinary Shares
$8.68
-0.02
-0.23%
$42.11M
4.852M
$6.44B
1035
GSATGlobalstar, Inc.
$80.43
+0.64
+0.80%
$41.97M
521.817K
$10.36B
1036
TXTTextron, Inc.
$92.09
-0.92
-0.98%
$41.93M
455.307K
$16.01B
1037
TTEKTetra Tech Inc
$27.05
-1.23
-4.33%
$41.85M
1.548M
$7.02B
1038
CENXCentury Aluminum Co
$51.67
-2.99
-5.48%
$41.52M
803.502K
$5.11B
1039
HBMHudbay Minerals Inc.
$27.37
-1.52
-5.26%
$41.44M
1.514M
$10.87B
1040
VFCV.F. Corporation
$17.28
+0.26
+1.50%
$41.39M
2.396M
$6.77B
1041
CRLCharles River Laboratories International, Inc.
$184.60
+0.90
+0.49%
$41.28M
223.64K
$8.89B
1042
MEOHMethanex Corp
$53.09
-1.92
-3.48%
$41.28M
777.632K
$4.11B
1043
AITApplied Industrial Technologies, Inc.
$338.58
+5.20
+1.56%
$41.22M
121.734K
$12.51B
1044
VOYAVOYA FINANCIAL, INC.
$89.63
-1.59
-1.74%
$41.13M
458.91K
$8.13B
1045
CNHCNH INDUSTRIAL N.V.
$10.66
+0.26
+2.45%
$40.85M
3.834M
$13.21B
1046
NAVNNavan, Inc. Class A Common Stock
$21.80
+0.20
+0.90%
$40.79M
1.872M
$5.21B
1047
PRMPerimeter Solutions, SA
$37.26
+1.37
+3.82%
$40.69M
1.092M
$6.08B
1048
MUFGMitsubishi UFJ Financial Group, Inc.
$21.11
+0.17
+0.81%
$40.53M
1.92M
$250.53B
1049
ACLSAxcelis Technologies Inc
$186.35
+11.35
+6.48%
$40.40M
216.791K
$5.73B
1050
INDVIndivior PLC Ordinary Shares
$38.20
+0.20
+0.53%
$40.26M
1.054M
$4.66B
1051
LECOLincoln Electric Holdings Inc
$277.71
+5.43
+1.99%
$40.19M
144.714K
$15.21B
1052
ROADConstruction Partners, Inc. Class A Common Stock
$124.02
+2.60
+2.14%
$40.06M
323.024K
$5.95B
1053
HEIHEICO Corporation
$337.41
-6.61
-1.92%
$39.95M
118.399K
$18.61B
1054
REGRegency Centers Corporation
$77.35
-0.42
-0.54%
$39.86M
515.362K
$14.16B
1055
ALLYAlly Financial Inc.
$45.73
-0.27
-0.59%
$39.86M
871.616K
$14.02B
1056
SYNASynaptics Inc
$141.51
+4.59
+3.35%
$39.84M
281.579K
$5.47B
1057
GGALGrupo Financiero Galicia SA
$57.52
+1.42
+2.52%
$39.81M
692.211K
$7.62B
1058
PCORProcore Technologies, Inc.
$39.78
-0.94
-2.31%
$39.79M
1M
$6.00B
1059
PTENPatterson-UTI Energy Inc
$9.91
-0.37
-3.60%
$39.69M
4.005M
$3.76B
1060
EVREvercore Inc.
$370.50
+0.50
+0.14%
$39.68M
107.105K
$14.33B
1061
RELXRELX PLC
$31.30
-0.88
-2.72%
$39.64M
1.267M
$55.29B
1062
MLYSMineralys Therapeutics, Inc. Common Stock
$24.98
-0.12
-0.48%
$39.64M
1.587M
$2.06B
1063
VIRTVirtu Financial, Inc. Class A
$62.74
+1.94
+3.18%
$39.49M
629.545K
$5.46B
1064
MOG.AMoog Inc.
$409.72
-3.72
-0.90%
$39.47M
96.328K
$11.65B
1065
PENNPENN Entertainment, Inc. Common Stock
$21.44
+0.21
+0.97%
$39.36M
1.836M
$2.87B
1066
STUBStubHub Holdings, Inc.
$11.36
-0.23
-1.98%
$39.27M
3.457M
$3.98B
1067
LRNStride, Inc.
$82.95
+0.49
+0.59%
$39.22M
472.833K
$3.53B
1068
LTMLATAM Airlines Group S.A. American Depositary Shares (each representing two thousand (2,000) shares of Common Stock)
$56.23
+1.35
+2.46%
$39.15M
696.197K
$16.14B
1069
ONONOn Holding AG
$38.97
+1.11
+2.93%
$38.94M
999.104K
$11.57B
1070
CFRCullen/Frost Bankers Inc.
$145.67
-1.51
-1.03%
$38.87M
266.831K
$9.15B
1071
ESLTElbit Systems Ltd
$781.22
-40.02
-4.87%
$38.75M
49.603K
$36.59B
1072
UMBFUMB Financial Corp
$132.95
-0.86
-0.64%
$38.67M
290.846K
$10.10B
1073
PENPenumbra, Inc.
$316.52
+0.71
+0.22%
$38.60M
121.952K
$12.45B
1074
AYIAcuity Brands, Inc.
$312.59
+1.08
+0.35%
$38.54M
123.3K
$9.48B
1075
VOYGVoyager Technologies, Inc.
$36.09
-3.01
-7.70%
$38.43M
1.065M
$1.93B
1076
LADLithia Motors, Inc.
$297.54
+2.27
+0.77%
$38.40M
129.052K
$6.79B
1077
NDSNNordson Corp
$294.84
+1.50
+0.51%
$38.36M
130.109K
$16.43B
1078
VLYValley National Bancorp
$13.99
-0.10
-0.67%
$38.34M
2.741M
$7.75B
1079
SUISun Communities, Inc
$120.69
-2.64
-2.14%
$38.23M
316.757K
$14.87B
1080
TPGTPG Inc. Class A Common Stock
$42.09
-0.88
-2.05%
$38.22M
908.108K
$6.48B
1081
EQHEquitable Holdings, Inc.
$45.27
-1.12
-2.41%
$38.22M
844.253K
$12.74B
1082
HMYHarmony Gold Mining Company Limited
$16.80
-0.52
-2.99%
$38.17M
2.272M
$10.70B
1083
NUAINew Era Energy & Digital, Inc. Common Stock
$6.23
+0.35
+5.88%
$38.02M
6.108M
$630.54M
1084
CBRLCracker Barrel Old Country Store, Inc,.
$47.59
+3.53
+8.00%
$37.99M
798.444K
$1.06B
1085
RGAReinsurance Group of America, Incorporated
$209.32
-2.35
-1.11%
$37.99M
181.482K
$13.71B
1086
BBWIBath & Body Works, Inc.
$20.92
+0.16
+0.77%
$37.85M
1.809M
$4.22B
1087
MBLYMobileye Global Inc. Class A Common Stock
$8.54
-0.39
-4.32%
$37.76M
4.424M
$2.09B
1088
PTRNPattern Group Inc. Series A Common Stock
$21.78
+0.73
+3.47%
$37.70M
1.731M
$3.38B
1089
SNASnap-on Incorporated
$388.50
+4.07
+1.06%
$37.60M
96.793K
$20.12B
1090
BILLBILL Holdings, Inc.
$32.41
+0.17
+0.53%
$37.59M
1.16M
$3.23B
1091
NTESNetEase, inc.
$121.96
+0.69
+0.57%
$37.47M
307.211K
$77.86B
1092
FIVNFIVE9, INC.
$19.50
-0.40
-2.01%
$37.41M
1.919M
$1.49B
1093
RHPRyman Hospitality Properties, Inc
$125.58
+2.06
+1.67%
$37.40M
297.844K
$7.93B
1094
CAKECheesecake Factory (The)
$78.17
+2.36
+3.11%
$37.40M
478.387K
$3.88B
1095
SAROStandardAero, Inc.
$27.64
+0.19
+0.69%
$37.35M
1.351M
$9.19B
1096
SRXHSRX Health Solutions, Inc.
$0.1438
-0.0776
-35.05%
$37.30M
259.405M
$84.88M
1097
APGAPi Group Corporation
$42.57
+0.75
+1.79%
$37.29M
875.998K
$18.44B
1098
RYAAYRyanair Holdings plc American Depositary Shares
$61.59
+0.76
+1.25%
$37.29M
605.381K
$32.07B
1099
CGNXCognex Corp
$66.45
+0.61
+0.93%
$37.24M
560.389K
$11.06B
1100
LLoews Corporation
$107.20
-0.51
-0.47%
$37.23M
347.308K
$22.06B