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
$45.81
$9.16K
200
$5.25B
1202
PCLA PicoCELA Inc. American Depositary Shares $6.60
$9.15K
1.386K
$63.45M
1203
KDK Kodiak AI, Inc. Common Stock $1.70
$9.13K
5.371K
$341.05M
1204
GSUN Golden Sun Health Technology Group Limited Class A Ordinary Shares $0.2130
$9.07K
42.577K
$2.05M
1205
ZENA ZenaTech, Inc. Common Stock $1.36
$9.06K
6.659K
$30.60M
1206
PGEN Precigen, Inc. Common Stock $7.50
$9.00K
1.2K
$2.67B
1207
$14.01
$8.99K
642
$969.46M
1208
SDGR Schrodinger, Inc. Common Stock $26.96
$8.95K
332
$1.77B
1209
SLXN Silexion Therapeutics Corp Ordinary Shares $0.2481
$8.93K
35.998K
$1.43M
1210
FMFC Kandal M Venture Limited Class A Ordinary Shares $0.1447
$8.92K
61.647K
$2.21M
1211
$7.24
$8.89K
1.228K
$115.36M
1212
$29.60
$8.88K
300
$731.63M
1213
ROAD Construction Partners, Inc. Class A Common Stock $88.71
$8.87K
100
$4.28B
1214
DLXY Delixy Holdings Limited Ordinary Shares $2.25
$8.85K
3.938K
$7.35M
1215
NG NovaGold Resources Inc. $6.38
$8.79K
1.378K
$2.80B
1216
$26.56
$8.76K
330
$24.60B
1217
$35.01
$8.75K
250
$985.67M
1218
CMPS COMPASS Pathways Plc American Depository Shares $11.66
$8.72K
748
$1.61B
1219
$15.75
$8.69K
552
$2.02B
1220
VERI Veritone, Inc. Common Stock $0.7001
$8.66K
12.365K
$71.15M
1221
LTM LATAM Airlines Group S.A. American Depositary Shares (each representing two thousand (2,000) shares of Common Stock) $51.31
$8.62K
168
$14.73B
1222
SMXT Solarmax Technology Inc. Common Stock $4.21
$8.61K
2.044K
$19.96M
1223
AGMH AGM Group Holdings Inc. Class A Ordinary Shares $0.5431
$8.57K
15.776K
$1.25M
1224
PRTH Priority Technology Holdings, Inc. $7.78
$8.55K
1.099K
$641.39M
1225
HXHX Haoxin Holdings Limited Class A Ordinary Shares $0.3102
$8.55K
27.563K
$3.08M
1226
BENF Beneficient Class A Common Stock $1.25
$8.52K
6.813K
$19.24M
1227
STKE Sol Strategies Inc. Common Shares $1.67
$8.52K
5.116K
$45.86M
1228
$84.00
$8.48K
101
$4.18B
1229
MIMI Mint Incorporation Limited Class A Ordinary Shares $0.8630
$8.45K
9.79K
$10.95M
1230
NATL NCR Atleos Corporation $45.87
$8.44K
184
$3.39B
1231
AMIX Autonomix Medical, Inc. Common Stock $3.47
$8.44K
2.432K
$6.80M
1232
BAM Brookfield Asset Management Ltd. $44.35
$8.43K
190
$72.66B
1233
KTB Kontoor Brands, Inc. Common Stock $64.70
$8.41K
130
$3.54B
1234
USPH US Physical Therapy Inc $82.91
$8.29K
100
$1.24B
1235
SCNX Scienture Holdings, Inc. Common Stock $3.73
$8.23K
2.207K
$6.13M
1236
$62.73
$8.22K
131
$4.06B
1237
FTI TechnipFMC plc Ordinary Share $68.46
$8.22K
120
$26.85B
1238
COLB Columbia Banking Systems Inc $28.01
$8.15K
291
$7.92B
1239
CDT Conduit Pharmaceuticals Inc. Common Stock $0.8300
$8.08K
9.734K
$639.70K
1240
TRTX TPG RE Finance Trust, Inc. Common Stock $6.00
$8.01K
1.335K
$460.61M
1241
GRDN Guardian Pharmacy Services, Inc. $40.00
$8.00K
200
$1.99B
1242
INDI indie Semiconductor, Inc. Class A Common Stock $2.71
$7.98K
2.943K
$590.59M
1243
$7.14
$7.97K
1.116K
$721.77M
1244
WMG Warner Music Group Corp. Class A Common Stock $28.16
$7.94K
282
$4.16B
1245
SNEX StoneX Group Inc. Common Stock $61.03
$7.87K
129
$7.36B
1246
BFLY Butterfly Network, Inc. $8.20
$7.87K
960
$2.01B
1247
LWLG Lightwave Logic, Inc. Common Stock $5.36
$7.85K
1.464K
$826.34M
1248
INLF INLIF LIMITED Ordinary Shares $3.37
$7.84K
2.326K
$3.67M
1249
$73.60
$7.80K
106
$9.88B
1250
SHPH Shuttle Pharmaceuticals Holdings, Inc. Common Stock $4.72
$7.75K
1.641K
$22.49M
1251
BUD Anheuser-Busch INBEV SA/NV $74.40
$7.74K
104
$133.71B
1252
MGM MGM RESORTS INTERNATIONAL $30.01
$7.65K
255
$7.55B
1253
PRME Prime Medicine, Inc. Common Stock $3.75
$7.59K
2.021K
$681.03M
1254
GENB Generate Biomedicines, Inc. Common Stock $13.71
$7.57K
552
$1.76B
1255
$58.63
$7.56K
129
$5.89B
1256
JLHL Julong Holding Limited Class A Ordinary Shares $4.10
$7.55K
1.842K
$91.01M
1257
ZURA Zura Bio Limited Class A Ordinary Shares $4.18
$7.49K
1.792K
$400.57M
1258
$3.63
$7.43K
2.047K
$547.92M
1259
$72.78
$7.42K
102
$8.05B
1260
$73.79
$7.38K
100
$49.23B
1261
RELY Remitly Global, Inc. Common Stock $22.79
$7.36K
323
$4.82B
1262
ZCMD Zhongchao Inc. Class A Ordinary Shares $1.66
$7.29K
4.389K
$7.36M
1263
WSHP WeShop Holdings Limited Class A Ordinary Shares $4.78
$7.27K
1.521K
$56.02M
1264
$0.9100
$7.27K
7.985K
$1.91M
1265
$36.01
$7.20K
200
$3.56B
1266
CMCL Caledonia Mining Corporation Plc $24.00
$7.20K
300
$463.51M
1267
ABTS Abits Group Inc Ordinary Shares $1.21
$7.07K
5.84K
$2.87M
1268
MSGY Masonglory Limited Ordinary Shares $4.29
$7.07K
1.647K
$9.09M
1269
MDLN Medline Inc. Class A common stock $35.40
$7.04K
199
$31.06B
1270
KUST Kustom Entertainment, Inc. Common Stock $4.02
$7.04K
1.752K
$2.62M
1271
TPST Tempest Therapeutics, Inc. Common Stock $0.7662
$7.00K
9.139K
$12.94M
1272
ZIM ZIM Integrated Shipping Services Ltd. $29.99
$6.99K
233
$3.61B
1273
VBIO Valion Bio, Inc. Common Stock $2.15
$6.97K
3.243K
$1.91M
1274
TONX TON Strategy Company Common Stock $3.45
$6.96K
2.017K
$190.00M
1275
CFG Citizens Financial Group, Inc. $63.10
$6.94K
110
$26.58B
1276
BJDX Bluejay Diagnostics, Inc. Common Stock $0.8199
$6.92K
8.44K
$3.66M
1277
NCI Neo-Concept International Group Holdings Limited Ordinary Shares $0.8552
$6.92K
8.087K
$2.42M
1278
$9.50
$6.92K
728
$620.14M
1279
$50.68
$6.89K
136
$6.78B
1280
$14.12
$6.89K
488
$2.45B
1281
FMST Foremost Lithium Resource & Technology Ltd. Common stock $0.5676
$6.89K
12.134K
$9.85M
1282
CISS C3is Inc. Common Stock $0.7970
$6.87K
8.617K
$1.19M
1283
ADC Agree Realty Corporation $65.28
$6.85K
105
$8.12B
1284
AKTX Akari Therapeutics plc ADR (0.01 USD) $8.22
$6.80K
827
$16.00M
1285
HYLN Hyliion Holdings Corp. $3.79
$6.78K
1.79K
$676.88M
1286
MNTS Momentus Inc. Class A Common Stock $3.42
$6.73K
1.969K
$75.11M
1287
HUBC Hub Cyber Security Ltd. Ordinary Shares $0.9962
$6.71K
6.74K
$1.79M
1288
XXI Twenty One Capital, Inc. $6.33
$6.67K
1.054K
$2.19B
1289
AERT Aeries Technology, Inc. Class A Ordinary Share $7.40
$6.66K
900
$38.83M
1290
MNSO MINISO Group Holding Limited American Depositary Shares, each representing four Ordinary Shares $9.01
$6.55K
727
$2.73B
1291
INSG Inseego Corp. Common Stock $4.59
$6.55K
1.426K
$75.37M
1292
AKAN Akanda Corp. Common Shares $1.91
$6.53K
3.421K
$1.03M
1293
CMS CMS Energy Corporation $65.31
$6.53K
100
$20.48B
1294
$1.11
$6.49K
5.852K
$440.42M
1295
CHSN Chanson International Holding Class A Ordinary Shares $1.07
$6.48K
6.056K
$3.89M
1296
NXXT NextNRG, Inc. Common Stock $0.6300
$6.46K
10.254K
$10.71M
1297
JMIA Jumia Technologies AG $6.75
$6.37K
944
$901.97M
1298
VFS VinFast Auto Ltd. Ordinary Shares $3.04
$6.35K
2.09K
$7.11B
1299
STDN Standard Nuclear, Inc. $14.11
$6.31K
447
$2.21B
1300
STAK STAK Inc. Ordinary Shares $1.08
$6.29K
5.828K
$20.75M