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
$1.02
$17.33K
16.993K
$96.51M
1202
AKTX Akari Therapeutics plc ADR (0.01 USD) $0.2460
$17.29K
70.291K
$8.79M
1203
MASK 3 E Network Technology Group Ltd Class A Ordinary Shares $0.2300
$17.22K
74.848K
$3.88M
1204
IMG CIMG Inc. Common Stock $1.23
$17.21K
13.99K
$19.04M
1205
SGHC Super Group (SGHC) Limited $11.90
$17.21K
1.446K
$6.02B
1206
D Dominion Energy, Inc Common Stock $60.00
$17.10K
285
$51.23B
1207
BURL BURLINGTON STORES, INC. $270.93
$17.07K
63
$17.05B
1208
$39.18
$17.04K
435
$19.26B
1209
MENS Jyong Biotech Ltd. Ordinary Shares $3.15
$16.96K
5.384K
$239.49M
1210
VERI Veritone, Inc. Common Stock $5.02
$16.90K
3.367K
$460.87M
1211
$28.73
$16.84K
586
$8.57B
1212
REAL The RealReal, Inc. Common Stock $15.97
$16.74K
1.048K
$1.86B
1213
HRZN Horizon Technology Finance Corporation $6.40
$16.73K
2.614K
$284.05M
1214
GEHC GE HealthCare Technologies Inc. Common Stock $82.41
$16.73K
203
$37.54B
1215
$28.85
$16.68K
578
$528.34M
1216
OXLC Oxford Lane Capital Corp. $13.69
$16.56K
1.21K
$1.33B
1217
$16.20
$16.56K
1.022K
$976.65M
1218
$7.40
$16.54K
2.235K
$101.54M
1219
MTDR MATADOR RESOURCES COMPANY $41.30
$16.52K
400
$5.13B
1220
TEAM Atlassian Corporation Class A Common Stock $165.00
$16.50K
100
$43.41B
1221
VSEE VSee Health, Inc. Common Stock $0.4434
$16.10K
36.304K
$14.32M
1222
$10.59
$16.09K
1.519K
$484.47M
1223
PACB Pacific Biosciences of California, Inc. $1.93
$16.05K
8.317K
$582.50M
1224
SAFX XCF Global, Inc. Class A Common Stock $0.3519
$16.03K
45.545K
$73.31M
1225
BCRX BioCryst Pharmaceuticals Inc $7.17
$15.99K
2.23K
$1.51B
1226
HOWL Werewolf Therapeutics, Inc. Common Stock $0.6301
$15.90K
25.24K
$30.59M
1227
INTR Inter & Co. Inc. Class A Common Shares $8.15
$15.89K
1.95K
$3.59B
1228
$0.2650
$15.77K
59.502K
$20.87M
1229
$22.54
$15.75K
699
$2.53B
1230
MSS Maison Solutions Inc. Class A Common Stock $0.4600
$15.74K
34.218K
$11.26M
1231
CAPR Capricor Therapeutics Inc $26.06
$15.64K
600
$1.42B
1232
TORO Toro Corp. Common Stock $5.34
$15.63K
2.928K
$114.61M
1233
INM InMed Pharmaceuticals Inc. Common Shares $1.26
$15.61K
12.391K
$3.53M
1234
SRRK Scholar Rock Holding Corporation Common Stock $43.20
$15.60K
361
$4.41B
1235
$324.38
$15.57K
48
$174.67B
1236
$8.00
$15.55K
1.944K
$54.06M
1237
ANRO Alto Neuroscience Inc. $18.91
$15.53K
821
$587.46M
1238
ADTN ADTRAN Holdings, Inc. Common Stock $8.59
$15.46K
1.8K
$688.20M
1239
IOBT IO Biotech, Inc. Common Stock $0.6300
$15.45K
24.516K
$45.33M
1240
SMFG Sumitomo Mitsui Financial Group, Inc $19.22
$15.38K
800
$122.99B
1241
KWM K Wave Media, Ltd. Ordinary Shares $0.4198
$15.30K
36.435K
$26.70M
1242
NUAI New Era Energy & Digital, Inc. Common Stock $3.66
$15.17K
4.146K
$195.62M
1243
$1.87
$15.16K
8.106K
$36.68M
1244
ZM Zoom Video Communications, Inc. Class A Common Stock $89.68
$15.16K
169
$26.55B
1245
ELAB Elevai Labs, Inc. Common Stock $2.13
$15.10K
7.086K
$1.59M
1246
STAG STAG INDUSTRIAL, INC. $37.34
$15.09K
404
$6.97B
1247
ARR ARMOUR Residential REIT, Inc. $17.23
$15.03K
872
$1.93B
1248
BKTI BK Technologies Corporation $75.10
$15.02K
200
$280.29M
1249
OSTX OS Therapies Incorporated $1.63
$15.02K
9.215K
$57.40M
1250
ISSC Innovative Solutions & Support $14.71
$15.00K
1.02K
$259.43M
1251
OGI Organigram Holdings Inc. Common Shares $2.05
$14.99K
7.312K
$275.60M
1252
TWO Two Harbors Investment Corp. $11.26
$14.93K
1.326K
$1.17B
1253
$18.62
$14.90K
800
$8.98B
1254
TDUP ThredUp Inc. Class A Common Stock $7.72
$14.88K
1.927K
$966.10M
1255
DLR Digital Realty Trust, Inc. $148.49
$14.85K
100
$51.01B
1256
JFBR Jeffs' Brands Ltd Ordinary Shares $1.11
$14.84K
13.365K
$749.66K
1257
TFPM Triple Flag Precious Metals Corp. $32.96
$14.83K
450
$6.81B
1258
NN NextNav Inc. Common Stock $16.92
$14.82K
876
$2.28B
1259
GSBD Goldman Sachs BDC, Inc. $9.75
$14.81K
1.519K
$1.11B
1260
STWD STARWOOD PROPERTY TRUST, INC. $18.47
$14.79K
801
$6.84B
1261
PLRX Pliant Therapeutics, Inc. Common Stock $1.23
$14.76K
12K
$75.58M
1262
EVGO EVgo Inc. Class A Common Stock $3.07
$14.74K
4.8K
$415.01M
1263
$5.67
$14.60K
2.575K
$1.38B
1264
ETOR eToro Group Ltd. Class A Common Shares $36.50
$14.60K
400
$3.06B
1265
NRIX Nurix Therapeutics, Inc. Common stock $18.03
$14.53K
806
$1.83B
1266
IMCC IM Cannabis Corp. Common Shares $1.44
$14.49K
10.054K
$7.56M
1267
RNA Avidity Biosciences, Inc. Common Stock $72.16
$14.43K
200
$10.87B
1268
GIII G-Iii Apparel Group Ltd $31.59
$14.41K
456
$1.33B
1269
VRDN Viridian Therapeutics, Inc. Common Stock $31.59
$14.37K
455
$3.02B
1270
$71.72
$14.34K
200
$45.13B
1271
XTKG X3 Holdings Co., Ltd. Ordinary Shares $1.85
$14.34K
7.749K
$179.93M
1272
$11.89
$14.29K
1.202K
$1.78B
1273
CAPT Captivision Inc. Ordinary Shares $0.4109
$14.25K
34.685K
$13.30M
1274
DFH Dream Finders Homes, Inc. $18.35
$14.22K
775
$1.70B
1275
$3.23
$14.18K
4.39K
$258.81M
1276
ASBP Aspire Biopharma Holdings, Inc. Common Stock $0.1000
$14.18K
141.769K
$13.84M
1277
$124.96
$14.12K
113
$12.72B
1278
ORC Orchid Island Capital, Inc. $7.39
$14.09K
1.907K
$1.24B
1279
EVO Evotec SE American Depositary Shares $2.96
$14.03K
4.739K
$1.05B
1280
WW WW International, Inc. Common Stock $26.60
$13.99K
526
$265.65M
1281
CSQ Calamos Strategic Total Return Fund $19.10
$13.94K
730
$3.06B
1282
BIP Brookfield Infrastructure Partners L.P. Limited Partnership Units $34.90
$13.82K
396
$16.18B
1283
CCHH CCH Holdings Ltd Ordinary Shares $0.6200
$13.81K
22.27K
$11.94M
1284
BHRB Burke & Herbert Financial Services Corp. Common Stock $69.00
$13.80K
200
$1.04B
1285
$0.3725
$13.78K
36.983K
$18.61M
1286
TLK PT Telekomunikasi Indonesia $20.45
$13.74K
672
$20.26B
1287
EBS Emergent Biosolutions, Inc. $12.49
$13.74K
1.1K
$655.97M
1288
GUTS Fractyl Health, Inc. Common Stock $2.30
$13.68K
5.947K
$315.20M
1289
$46.50
$13.62K
293
$2.09B
1290
XP XP Inc. Class A Common Stock $15.80
$13.60K
861
$8.20B
1291
BBD Banco Bradesco S.A. American Depositary Shares (Each representing one Preferred Shares) $3.34
$13.60K
4.072K
$35.33B
1292
CHPT ChargePoint Holdings, Inc. $7.34
$13.59K
1.851K
$173.70M
1293
$3.40
$13.59K
3.998K
$354.48M
1294
$0.2599
$13.58K
52.266K
$7.90M
1295
$16.91
$13.53K
800
$581.44M
1296
$7.37
$13.47K
1.828K
$243.90M
1297
KC Kingsoft Cloud Holdings Limited American Depositary Shares $11.05
$13.46K
1.218K
$3.27B
1298
CGCT Cartesian Growth Corporation III Class A Ordinary Shares $10.30
$13.45K
1.306K
$355.35M
1299
NTR Nutrien Ltd. Common Shares $61.87
$13.36K
216
$29.90B
1300
$132.30
$13.36K
101
$117.93B