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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
$ Volume (Day)
Volume (Day)
Market Cap
1201
NWGNatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares)
$16.59
+0.26
+1.59%
$59.03M
3.558M
$66.21B
1202
KYMRKymera Therapeutics, Inc. Common Stock
$91.01
+2.42
+2.73%
$58.99M
648.221K
$6.55B
1203
ORIOld Republic International Corporation
$41.99
+0.38
+0.91%
$58.92M
1.403M
$10.39B
1204
TAKTakeda Pharmaceutical Company Limited American Depositary Shares (each representing 1/2 of a share of Common Stock)
$18.64
-0.10
-0.53%
$58.71M
3.15M
$59.31B
1205
SYMSymbotic Inc. Class A Common Stock
$56.30
+1.93
+3.55%
$58.68M
1.042M
$7.08B
1206
EMNEastman Chemical Company
$77.12
+0.28
+0.36%
$58.50M
758.609K
$8.80B
1207
FLSFlowserve Corporation
$90.52
+1.20
+1.34%
$58.45M
645.66K
$11.52B
1208
NOVTNovanta Inc. Common Stock
$137.44
-4.30
-3.03%
$58.25M
423.846K
$4.92B
1209
QLYSQualys, Inc. Common Stock
$86.83
-0.17
-0.20%
$58.18M
669.995K
$3.10B
1210
BILLBILL Holdings, Inc.
$42.49
+0.38
+0.90%
$58.13M
1.368M
$4.20B
1211
LACLithium Americas Corp.
$5.03
+0.43
+9.35%
$57.97M
11.525M
$1.75B
1212
CUBECubeSmart
$39.97
+0.27
+0.68%
$57.91M
1.449M
$9.11B
1213
NWSANews Corporation Class A Common Stock
$23.28
+0.35
+1.53%
$57.87M
2.486M
$8.62B
1214
NEUNewMarket Corporation
$619.79
+15.29
+2.53%
$57.85M
93.332K
$5.82B
1215
KOSKosmos Energy Ltd.
$2.25
+0.24
+11.94%
$57.70M
25.643M
$1.08B
1216
RGAReinsurance Group of America, Incorporated
$218.41
+2.88
+1.34%
$57.65M
263.945K
$14.32B
1217
VSECVSE Corp
$224.16
+2.16
+0.97%
$57.58M
256.887K
$5.16B
1218
AURAurora Innovation, Inc. Class A Common Stock
$4.83
+0.08
+1.68%
$57.36M
11.875M
$7.93B
1219
BRTXBioRestorative Therapies, Inc. Common Stock (NV)
$0.2650
+0.0682
+34.65%
$57.33M
216.328M
$2.40M
1220
AMTMAmentum Holdings, Inc.
$30.20
+0.65
+2.20%
$57.27M
1.896M
$7.37B
1221
FRTFederal Realty Investment Trust
$107.70
-0.41
-0.38%
$57.13M
530.433K
$9.29B
1222
MKTXMarketAxess Holdings Inc.
$181.83
+0.18
+0.10%
$56.97M
313.304K
$6.76B
1223
STNEStoneCo Ltd. Class A Common Shares
$17.09
+0.28
+1.67%
$56.71M
3.318M
$4.60B
1224
BCEBCE, Inc.
$26.03
-0.10
-0.38%
$56.66M
2.177M
$24.27B
1225
FLNCFluence Energy, Inc. Class A Common Stock
$16.74
+0.67
+4.17%
$56.64M
3.384M
$2.22B
1226
CCCCCC Intelligent Solutions Holdings Inc. Common Stock
$5.07
+0.17
+3.47%
$56.60M
11.163M
$3.25B
1227
WTFCWintrust Financial Corp
$148.87
+0.77
+0.52%
$56.58M
380.062K
$9.97B
1228
BTEBaytex Energy Corp.
$3.69
-0.07
-1.94%
$56.55M
15.339M
$2.77B
1229
PTONPeloton Interactive, Inc. Class A Common Stock
$4.07
-0.03
-0.73%
$56.48M
13.876M
$1.67B
1230
PBAPEMBINA PIPELINE CORPORATION
$44.28
+0.10
+0.23%
$56.44M
1.275M
$25.73B
1231
ALVAutoliv, Inc.
$123.43
+1.14
+0.93%
$56.29M
456.056K
$9.22B
1232
SEBSeaboard Corporation
$4,997.63
+104.49
+2.14%
$56.14M
11.234K
$4.79B
1233
KRCKilroy Realty Corp.
$31.02
+0.03
+0.10%
$56.05M
1.807M
$3.68B
1234
USASAmericas Gold and Silver Corporation
$8.72
+0.66
+8.19%
$56.03M
6.426M
$2.78B
1235
AUGOAura Minerals Inc. Common Shares
$80.73
+2.45
+3.13%
$55.85M
691.837K
$6.67B
1236
EWBCEast-West Bancorp Inc
$114.47
-1.28
-1.11%
$55.84M
487.847K
$15.75B
1237
WHDCactus, Inc.
$58.28
+0.90
+1.57%
$55.81M
957.633K
$4.01B
1238
SMGThe Scotts Miracle-Gro Company
$70.51
+1.71
+2.49%
$55.74M
790.477K
$4.09B
1239
CUKCarnival PLC
$31.45
+0.95
+3.11%
$55.43M
1.763M
$4.58B
1240
RVTYRevvity, Inc.
$97.62
+0.49
+0.50%
$55.38M
567.33K
$11.07B
1241
MLIMueller Industries, Inc.
$120.08
+1.82
+1.54%
$55.21M
459.769K
$13.33B
1242
MTHMeritage Homes Corporation
$77.48
+0.68
+0.89%
$55.11M
711.301K
$5.18B
1243
ERICEricsson American Depositary Shares
$11.03
+0.12
+1.10%
$54.94M
4.981M
$34.30B
1244
CHYMChime Financial, Inc. Class A Common Stock
$20.25
+0.95
+4.92%
$54.90M
2.711M
$6.93B
1245
HWCHancock Whitney Corporation Common Stock
$67.67
-0.36
-0.53%
$54.76M
809.238K
$5.66B
1246
CHEChemed Corporation
$468.32
-10.28
-2.15%
$54.69M
116.787K
$6.63B
1247
BOXBOX, INC.
$22.81
+1.00
+4.59%
$54.66M
2.397M
$3.27B
1248
COGTCogent Biosciences, Inc. Common Stock
$39.18
+1.98
+5.32%
$54.58M
1.393M
$6.36B
1249
ARRARMOUR Residential REIT, Inc.
$18.18
+0.19
+1.06%
$54.55M
3M
$2.17B
1250
NESRNational Energy Services Reunited Corp. Ordinary Shares
$26.36
-0.33
-1.24%
$54.52M
2.068M
$2.54B
1251
WRBYWarby Parker Inc.
$22.67
+0.47
+2.12%
$54.45M
2.402M
$2.40B
1252
INGING Groep N.V. American Depositary Shares
$29.11
+0.27
+0.94%
$54.35M
1.867M
$85.01B
1253
RAPTRAPT Therapeutics, Inc. Common Stock
$57.93
-0.01
-0.02%
$54.32M
937.659K
$1.61B
1254
SCIService Corporation International
$80.62
+0.98
+1.23%
$54.30M
673.52K
$11.22B
1255
GKOSGlaukos Corporation
$125.50
+5.09
+4.23%
$54.21M
431.964K
$7.21B
1256
GLNGGolar LNG Ltd
$44.87
-0.13
-0.29%
$54.11M
1.206M
$4.69B
1257
MYRGMYR Group, Inc.
$279.00
+7.13
+2.62%
$54.05M
193.731K
$4.33B
1258
FRFirst Industrial Realty Trust, Inc.
$62.21
+0.29
+0.47%
$53.97M
867.597K
$8.24B
1259
GVAGranite Construction Inc.
$136.19
+1.94
+1.45%
$53.96M
396.224K
$5.92B
1260
AMRAlpha Metallurgical Resources, Inc.
$180.63
+3.63
+2.05%
$53.86M
298.156K
$2.32B
1261
WESWestern Midstream Partners, LP
$40.60
-1.15
-2.75%
$53.81M
1.325M
$15.98B
1262
LTMLATAM Airlines Group S.A. American Depositary Shares (each representing two thousand (2,000) shares of Common Stock)
$58.02
+0.79
+1.38%
$53.66M
924.89K
$17.53B
1263
MPLXMPLX LP
$58.89
-0.50
-0.84%
$53.65M
911.076K
$59.89B
1264
VVVValvoline Inc.
$39.00
+0.00
+0.00%
$53.55M
1.373M
$4.97B
1265
ADTADT Inc.
$7.88
+0.13
+1.68%
$53.39M
6.775M
$6.03B
1266
LINELineage, Inc. Common Stock
$38.06
+1.10
+2.98%
$53.37M
1.402M
$8.69B
1267
LWLamb Weston Holdings, Inc.
$48.00
+0.53
+1.12%
$53.29M
1.11M
$6.67B
1268
CVLTCommault Systems, Inc.
$88.49
+3.39
+3.98%
$53.23M
601.572K
$3.89B
1269
EPRTEssential Properties Realty Trust, Inc.
$33.27
+0.21
+0.64%
$53.21M
1.599M
$6.98B
1270
HSAIHesai Group American Depositary Share, each ADS represents one Class B ordinary share
$26.99
-0.60
-2.17%
$52.99M
1.963M
$3.51B
1271
VCVISTEON CORPORATION
$97.81
+2.05
+2.14%
$52.89M
540.743K
$2.62B
1272
WFRDWeatherford International plc Ordinary Shares
$106.54
+1.58
+1.51%
$52.88M
496.293K
$7.64B
1273
LNTHLantheus Holdings, Inc
$73.61
+0.11
+0.15%
$52.80M
717.276K
$4.88B
1274
RPMRPM International, Inc.
$116.35
-0.23
-0.20%
$52.78M
453.611K
$14.90B
1275
RXRXRecursion Pharmaceuticals, Inc. Class A Common Stock
$3.55
+0.10
+2.90%
$52.71M
14.849M
$1.83B
1276
KWRQuaker Houghton
$158.31
-12.67
-7.41%
$52.71M
332.936K
$2.75B
1277
TMHCTaylor Morrison Home Corporation Common Stock
$66.89
+0.22
+0.33%
$52.49M
784.699K
$6.44B
1278
ARDXArdelyx, Inc.
$6.56
+0.68
+11.54%
$52.48M
8.002M
$1.61B
1279
ALGMAllegro MicroSystems, Inc. Common Stock
$38.79
-0.54
-1.38%
$52.42M
1.351M
$7.19B
1280
TGBTaseko Mines Limited
$8.46
+0.55
+6.95%
$52.33M
6.185M
$3.08B
1281
VMIValmont Industries, Inc.
$463.12
+3.27
+0.71%
$52.31M
112.947K
$9.12B
1282
INFQInfleqtion, Inc.
$12.02
-0.54
-4.30%
$52.20M
4.342M
$2.09B
1283
ORCOrchid Island Capital, Inc.
$7.61
+0.01
+0.13%
$52.18M
6.857M
$1.40B
1284
SNXTD SYNNEX Corporation
$157.24
-2.76
-1.73%
$52.11M
331.4K
$12.68B
1285
CARGCarGurus, Inc. Class A Common Stock
$28.98
+1.08
+3.87%
$52.01M
1.795M
$2.35B
1286
SPSCSPS Commerce, Inc.
$54.17
-0.29
-0.53%
$51.91M
958.243K
$2.03B
1287
ACMRACM Research, Inc. Class A Common Stock
$67.76
+2.06
+3.14%
$51.88M
765.704K
$4.06B
1288
IDCCInterDigital, Inc.
$362.96
+8.97
+2.53%
$51.68M
142.38K
$9.32B
1289
SBLKStar Bulk Carriers Corp.
$25.28
+0.07
+0.28%
$51.60M
2.041M
$2.95B
1290
ICHRIchor Holdings
$54.00
+2.43
+4.71%
$51.60M
955.508K
$1.87B
1291
OCULOcular Therapeutix, Inc.
$8.96
+0.36
+4.19%
$51.55M
5.754M
$1.95B
1292
PTGXProtagonist Therapeutics, Inc
$87.39
+0.67
+0.77%
$51.39M
588.073K
$5.46B
1293
MUSAMURPHY USA INC.
$387.25
-8.27
-2.09%
$51.37M
132.659K
$7.18B
1294
LAMRLamar Advertising Co
$134.11
+2.08
+1.58%
$51.16M
381.456K
$11.66B
1295
PZZAPapa John's International Inc
$34.54
+1.53
+4.63%
$51.15M
1.481M
$1.13B
1296
COCOThe Vita Coco Company, Inc. Common Stock
$55.24
+1.69
+3.16%
$51.15M
925.905K
$3.15B
1297
APLEApple Hospitality REIT, Inc.
$12.15
-0.06
-0.49%
$51.08M
4.204M
$2.87B
1298
BEKEKE Holdings Inc. American Depositary Shares (each representing three Class A Ordinary Shares)
$17.09
+0.24
+1.42%
$50.98M
2.983M
$19.06B
1299
AFGAmerican Financial Group, Inc.
$130.85
+0.87
+0.67%
$50.91M
389.052K
$10.91B
1300
RELYRemitly Global, Inc. Common Stock
$16.13
-0.26
-1.59%
$50.72M
3.144M
$3.40B