Stock Rankings by Dollar Volume - Rankings 1201 to 1300
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 1201 to 1300.
1201
NWG NatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) $16.59
$59.03M
3.558M
$66.21B
1202
RYTM Rhythm Pharmaceuticals, Inc. Common Stock $98.65
$59.02M
598.307K
$6.58B
1203
KYMR Kymera Therapeutics, Inc. Common Stock $91.01
$58.99M
648.221K
$6.55B
1204
ORI Old Republic International Corporation $41.99
$58.92M
1.403M
$10.39B
1205
CCC CCC Intelligent Solutions Holdings Inc. Common Stock $5.26
$58.87M
11.192M
$3.37B
1206
SYM Symbotic Inc. Class A Common Stock $56.35
$58.80M
1.043M
$7.09B
1207
TAK Takeda Pharmaceutical Company Limited American Depositary Shares (each representing 1/2 of a share of Common Stock) $18.64
$58.71M
3.15M
$59.31B
1208
EMN Eastman Chemical Company $77.12
$58.50M
758.609K
$8.80B
1209
QLYS Qualys, Inc. Common Stock $86.83
$58.48M
673.465K
$3.10B
1210
$90.52
$58.45M
645.66K
$11.52B
1211
NOVT Novanta Inc. Common Stock $137.44
$58.25M
423.846K
$4.92B
1212
$42.49
$58.13M
1.368M
$4.20B
1213
LAC Lithium Americas Corp. $5.02
$58.00M
11.554M
$1.74B
1214
$39.97
$57.91M
1.449M
$9.11B
1215
NWSA News Corporation Class A Common Stock $23.28
$57.87M
2.486M
$8.62B
1216
$619.79
$57.85M
93.332K
$5.82B
1217
RGA Reinsurance Group of America, Incorporated $218.41
$57.65M
263.945K
$14.32B
1218
AUR Aurora Innovation, Inc. Class A Common Stock $4.85
$57.61M
11.88M
$7.96B
1219
$224.16
$57.58M
256.887K
$5.16B
1220
FRT Federal Realty Investment Trust $107.70
$57.13M
530.433K
$9.29B
1221
STNE StoneCo Ltd. Class A Common Shares $17.20
$57.09M
3.319M
$4.63B
1222
MKTX MarketAxess Holdings Inc. $181.83
$56.97M
313.304K
$6.76B
1223
AMTM Amentum Holdings, Inc. $30.00
$56.90M
1.897M
$7.32B
1224
FLNC Fluence Energy, Inc. Class A Common Stock $16.76
$56.78M
3.388M
$2.22B
1225
AUGO Aura Minerals Inc. Common Shares $81.99
$56.75M
692.135K
$6.78B
1226
$26.03
$56.66M
2.177M
$24.27B
1227
WTFC Wintrust Financial Corp $148.87
$56.58M
380.062K
$9.97B
1228
$3.69
$56.55M
15.339M
$2.77B
1229
PBA PEMBINA PIPELINE CORPORATION $44.28
$56.44M
1.275M
$25.73B
1230
PTON Peloton Interactive, Inc. Class A Common Stock $4.06
$56.34M
13.883M
$1.66B
1231
$123.43
$56.29M
456.056K
$9.22B
1232
USAS Americas Gold and Silver Corporation $8.72
$56.16M
6.44M
$2.78B
1233
$4,997.63
$56.14M
11.234K
$4.79B
1234
$31.02
$56.05M
1.807M
$3.68B
1235
SMG The Scotts Miracle-Gro Company $70.52
$55.89M
792.502K
$4.09B
1236
EWBC East-West Bancorp Inc $114.47
$55.84M
487.847K
$15.75B
1237
$58.28
$55.81M
957.633K
$4.01B
1238
$97.62
$55.38M
567.33K
$11.07B
1239
$31.36
$55.28M
1.763M
$4.57B
1240
MLI Mueller Industries, Inc. $120.08
$55.21M
459.769K
$13.33B
1241
MTH Meritage Homes Corporation $77.48
$55.11M
711.301K
$5.18B
1242
ERIC Ericsson American Depositary Shares $11.03
$54.94M
4.981M
$34.30B
1243
CHYM Chime Financial, Inc. Class A Common Stock $20.25
$54.90M
2.711M
$6.93B
1244
HWC Hancock Whitney Corporation Common Stock $67.67
$54.76M
809.238K
$5.66B
1245
$468.32
$54.69M
116.787K
$6.63B
1246
$22.82
$54.69M
2.397M
$3.27B
1247
COGT Cogent Biosciences, Inc. Common Stock $39.18
$54.58M
1.393M
$6.36B
1248
ING ING Groep N.V. American Depositary Shares $29.20
$54.53M
1.867M
$85.27B
1249
NESR National Energy Services Reunited Corp. Ordinary Shares $26.36
$54.52M
2.068M
$2.54B
1250
ARR ARMOUR Residential REIT, Inc. $18.13
$54.40M
3.001M
$2.16B
1251
RAPT RAPT Therapeutics, Inc. Common Stock $57.93
$54.32M
937.659K
$1.61B
1252
SCI Service Corporation International $80.62
$54.30M
673.52K
$11.22B
1253
$125.50
$54.21M
431.964K
$7.21B
1254
$44.87
$54.11M
1.206M
$4.69B
1255
$279.00
$54.05M
193.731K
$4.33B
1256
WES Western Midstream Partners, LP $40.75
$54.02M
1.326M
$16.04B
1257
FR First Industrial Realty Trust, Inc. $62.21
$53.97M
867.597K
$8.24B
1258
GVA Granite Construction Inc. $136.19
$53.96M
396.224K
$5.92B
1259
AMR Alpha Metallurgical Resources, Inc. $180.63
$53.86M
298.156K
$2.32B
1260
$58.89
$53.67M
911.276K
$59.89B
1261
LTM LATAM Airlines Group S.A. American Depositary Shares (each representing two thousand (2,000) shares of Common Stock) $58.02
$53.66M
924.89K
$17.53B
1262
$39.00
$53.55M
1.373M
$4.97B
1263
$22.24
$53.42M
2.402M
$2.35B
1264
$7.88
$53.40M
6.777M
$6.03B
1265
LINE Lineage, Inc. Common Stock $38.06
$53.37M
1.402M
$8.69B
1266
LW Lamb Weston Holdings, Inc. $48.00
$53.29M
1.11M
$6.67B
1267
CVLT Commault Systems, Inc. $88.49
$53.23M
601.572K
$3.89B
1268
EPRT Essential Properties Realty Trust, Inc. $33.27
$53.21M
1.599M
$6.98B
1269
LNTH Lantheus Holdings, Inc $74.00
$53.15M
718.207K
$4.91B
1270
WFRD Weatherford International plc Ordinary Shares $106.86
$53.12M
497.139K
$7.66B
1271
BRTX BioRestorative Therapies, Inc. Common Stock (NV) $0.2435
$53.11M
218.12M
$2.20M
1272
HSAI Hesai Group American Depositary Share, each ADS represents one Class B ordinary share $26.99
$53.03M
1.965M
$3.51B
1273
OCUL Ocular Therapeutix, Inc. $9.16
$53.03M
5.789M
$1.99B
1274
$97.81
$52.89M
540.743K
$2.62B
1275
RXRX Recursion Pharmaceuticals, Inc. Class A Common Stock $3.55
$52.88M
14.897M
$1.83B
1276
RPM RPM International, Inc. $116.35
$52.78M
453.611K
$14.90B
1277
$158.31
$52.71M
332.936K
$2.75B
1278
$100.53
$52.62M
523.468K
$8.21B
1279
$6.56
$52.57M
8.014M
$1.61B
1280
ORC Orchid Island Capital, Inc. $7.61
$52.49M
6.898M
$1.40B
1281
TMHC Taylor Morrison Home Corporation Common Stock $66.89
$52.49M
784.699K
$6.44B
1282
ALGM Allegro MicroSystems, Inc. Common Stock $38.79
$52.42M
1.351M
$7.19B
1283
VMI Valmont Industries, Inc. $463.12
$52.31M
112.947K
$9.12B
1284
$11.97
$52.14M
4.356M
$2.08B
1285
$157.24
$52.11M
331.4K
$12.68B
1286
$8.41
$52.03M
6.187M
$3.06B
1287
CARG CarGurus, Inc. Class A Common Stock $28.98
$52.01M
1.795M
$2.35B
1288
$54.17
$51.91M
958.243K
$2.03B
1289
ACMR ACM Research, Inc. Class A Common Stock $67.76
$51.88M
765.704K
$4.06B
1290
$362.96
$51.68M
142.38K
$9.32B
1291
SBLK Star Bulk Carriers Corp. $25.29
$51.62M
2.041M
$2.95B
1292
$53.80
$51.42M
955.839K
$1.86B
1293
PTGX Protagonist Therapeutics, Inc $87.39
$51.39M
588.073K
$5.46B
1294
$387.25
$51.37M
132.659K
$7.18B
1295
$134.11
$51.18M
381.607K
$11.66B
1296
BEKE KE Holdings Inc. American Depositary Shares (each representing three Class A Ordinary Shares) $17.10
$51.17M
2.993M
$19.07B
1297
APLE Apple Hospitality REIT, Inc. $12.17
$51.16M
4.204M
$2.88B
1298
PZZA Papa John's International Inc $34.54
$51.15M
1.481M
$1.13B
1299
AFG American Financial Group, Inc. $130.85
$50.91M
389.052K
$10.91B
1300
RELY Remitly Global, Inc. Common Stock $16.13
$50.72M
3.144M
$3.40B