Stock Rankings by Dollar Volume - Rankings 1301 to 1400

Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 1301 to 1400.

#
Symbol
Last Price
Change (Day)
Change % (Day)
$ Volume (Day)
Volume (Day)
Market Cap
1301
MMYTMakeMyTrip Limited
$40.85
-1.21
-2.88%
$39.45M
965.697K
$3.66B
1302
ORAOrmat Technologies, Inc.
$115.22
+0.47
+0.41%
$39.42M
342.171K
$7.01B
1303
HRBH&R Block, Inc.
$29.97
-1.03
-3.31%
$39.42M
1.315M
$3.80B
1304
BYDBoyd Gaming Corporation
$86.50
-0.68
-0.78%
$39.33M
454.676K
$6.51B
1305
KEELKeel Infrastructure Corp. Common Stock
$2.12
+0.04
+1.92%
$39.33M
18.551M
$1.28B
1306
GMABGenmab A/S ADS
$28.25
-0.09
-0.32%
$39.29M
1.391M
$18.15B
1307
BXSLBlackstone Secured Lending Fund
$23.08
+0.19
+0.84%
$39.21M
1.699M
$5.36B
1308
VNOMViper Energy, Inc. Class A Common Stock
$45.12
+0.32
+0.71%
$39.20M
868.839K
$8.77B
1309
BWBabcock & Wilcox Enterprises, Inc.
$17.47
-0.59
-3.27%
$39.13M
2.24M
$2.37B
1310
UWMCUWM Holdings Corporation
$3.73
-0.24
-6.05%
$39.10M
10.484M
$1.10B
1311
OPCHOption Care Health, Inc. Common Stock
$29.00
-0.52
-1.76%
$39.08M
1.348M
$4.54B
1312
SAILSailPoint, Inc. Common Stock
$10.50
-0.70
-6.25%
$39.07M
3.721M
$5.92B
1313
BMIBadger Meter, Inc.
$155.23
-0.82
-0.53%
$39.05M
251.582K
$4.53B
1314
PSIXPower Solutions International, Inc. Common Stock
$79.19
+3.61
+4.77%
$39.05M
493.081K
$1.83B
1315
QGENQIAGEN N.V.
$40.89
+0.03
+0.07%
$39.01M
954.039K
$8.43B
1316
LPXLouisiana-Pacific Corp.
$74.79
-1.28
-1.68%
$38.94M
520.625K
$5.22B
1317
FSMFORTUNA Silver Mines Inc.
$10.42
-0.01
-0.10%
$38.83M
3.727M
$3.18B
1318
SITESiteOne Landscape Supply, Inc.
$135.48
+1.48
+1.10%
$38.65M
285.25K
$6.00B
1319
SVMSilvercorp Metals Inc. Common Shares
$11.56
+0.47
+4.24%
$38.59M
3.338M
$2.55B
1320
URBNUrban Outfitters Inc
$68.60
-0.12
-0.17%
$38.53M
561.725K
$5.87B
1321
PKPark Hotels & Resorts Inc. Common Stock
$11.20
+0.06
+0.54%
$38.53M
3.44M
$2.25B
1322
CRSPCRISPR Therapeutics AG
$51.37
+0.07
+0.14%
$38.50M
749.523K
$4.93B
1323
LPTHLightpath Technologies Inc
$12.90
+0.50
+4.03%
$38.47M
2.982M
$744.44M
1324
WINAWinmark Corp
$444.70
-12.85
-2.81%
$38.29M
86.114K
$1.59B
1325
FLGFlagstar Financial, Inc.
$14.04
-0.08
-0.57%
$38.29M
2.727M
$5.84B
1326
SPHRSphere Entertainment Co.
$128.40
-0.63
-0.49%
$38.27M
298.038K
$3.68B
1327
LEGNLegend Biotech Corporation American Depositary Shares
$18.16
-0.01
-0.06%
$38.11M
2.099M
$3.36B
1328
NXENexGen Energy Ltd.
$11.38
-0.10
-0.87%
$38.09M
3.347M
$7.52B
1329
PLABPhotronics Inc
$45.16
+0.45
+1.01%
$37.96M
840.664K
$2.66B
1330
ASANAsana, Inc. Class A Common Stock
$5.50
-0.30
-5.23%
$37.92M
6.899M
$891.57M
1331
WMGWarner Music Group Corp. Class A Common Stock
$28.24
+0.07
+0.25%
$37.91M
1.342M
$4.15B
1332
ANIPANI Pharmaceuticals, Inc.
$78.36
-1.78
-2.22%
$37.78M
482.093K
$1.76B
1333
TGTXTG Therapeutics, Inc.
$33.65
-0.90
-2.60%
$37.73M
1.121M
$5.37B
1334
BKDBrookdale Senior Living, Inc.
$13.55
-0.32
-2.31%
$37.73M
2.784M
$3.22B
1335
KOSKosmos Energy Ltd.
$2.57
+0.00
+0.00%
$37.71M
14.674M
$1.52B
1336
BRKRBruker Corporation
$38.13
+1.02
+2.75%
$37.66M
987.558K
$5.80B
1337
INTRInter & Co. Inc. Class A Common Shares
$8.22
-0.28
-3.29%
$37.64M
4.579M
$2.65B
1338
CAKECheesecake Factory (The)
$59.31
-0.24
-0.41%
$37.64M
634.558K
$2.96B
1339
CUZCousins Properties Inc.
$22.88
+0.55
+2.46%
$37.61M
1.644M
$3.80B
1340
LRNStride, Inc.
$90.21
-0.17
-0.19%
$37.59M
416.741K
$3.84B
1341
WUThe Western Union Company
$8.90
-0.10
-1.11%
$37.42M
4.204M
$2.79B
1342
COCOThe Vita Coco Company, Inc. Common Stock
$51.00
+1.81
+3.68%
$37.41M
733.627K
$2.91B
1343
ENSEnerSys, Inc.
$190.94
+0.02
+0.01%
$37.41M
195.903K
$7.04B
1344
LSTRLandstar System Inc
$168.25
-3.27
-1.91%
$37.34M
221.908K
$5.71B
1345
MATMattel, Inc.
$14.64
-0.06
-0.41%
$37.16M
2.538M
$4.42B
1346
RALRalliant Corporation
$45.41
+0.52
+1.16%
$37.10M
816.973K
$5.07B
1347
ADEAAdeia Inc. Common Stock
$28.00
+0.77
+2.83%
$37.09M
1.325M
$3.10B
1348
LECOLincoln Electric Holdings Inc
$256.26
-0.04
-0.02%
$37.07M
144.641K
$14.05B
1349
SUISun Communities, Inc
$129.30
+0.70
+0.54%
$37.02M
286.305K
$15.93B
1350
ARRARMOUR Residential REIT, Inc.
$17.68
+0.14
+0.82%
$36.94M
2.089M
$2.17B
1351
ERASErasca, Inc. Common Stock
$17.03
-0.17
-1.00%
$36.91M
2.167M
$5.29B
1352
SPXCSPX Technologies, Inc.
$215.97
-0.63
-0.29%
$36.90M
170.865K
$10.84B
1353
DXDynex Capital, Inc.
$13.12
-0.13
-0.98%
$36.82M
2.807M
$2.65B
1354
DNTHDianthus Therapeutics, Inc. Common Stock
$89.77
-2.23
-2.42%
$36.82M
410.11K
$3.99B
1355
NOGNorthern Oil and Gas, Inc.
$26.49
-0.63
-2.32%
$36.69M
1.385M
$2.58B
1356
AAONAaon Inc
$93.17
+2.17
+2.38%
$36.64M
393.254K
$7.60B
1357
VISTVista Energy S.A.B. de C.V.
$65.95
+0.76
+1.17%
$36.63M
555.484K
$6.88B
1358
FRMIFermi Inc. Common Stock
$4.87
+0.06
+1.25%
$36.62M
7.519M
$3.07B
1359
CHEChemed Corporation
$385.62
-6.22
-1.59%
$36.61M
94.946K
$5.31B
1360
PSMTPricesmart Inc
$157.16
-3.02
-1.89%
$36.44M
231.873K
$4.84B
1361
ALVAutoliv, Inc.
$110.14
+0.59
+0.54%
$36.42M
330.715K
$8.25B
1362
AFGAmerican Financial Group, Inc.
$130.69
-1.38
-1.04%
$36.27M
277.546K
$10.89B
1363
BCRXBioCryst Pharmaceuticals Inc
$9.60
-0.35
-3.52%
$36.23M
3.774M
$2.41B
1364
SWXSouthwest Gas Holdings, Inc.
$93.18
+1.11
+1.21%
$36.22M
388.752K
$6.74B
1365
MCMOELIS & COMPANY
$63.04
+0.32
+0.51%
$36.16M
573.62K
$4.63B
1366
CCCCCC Intelligent Solutions Holdings Inc. Common Stock
$5.00
-0.26
-4.94%
$36.16M
7.231M
$3.04B
1367
FLOCFlowco Holdings Inc.
$23.00
+1.06
+4.83%
$36.15M
1.572M
$935.48M
1368
CUBECubeSmart
$38.88
+0.14
+0.36%
$35.96M
924.872K
$8.86B
1369
NAVNNavan, Inc. Class A Common Stock
$12.55
+0.03
+0.24%
$35.95M
2.865M
$2.95B
1370
THGThe Hanover Insurance Group, Inc.
$176.78
-3.10
-1.72%
$35.93M
203.235K
$6.22B
1371
CACCCredit Acceptance Corp
$465.18
-0.78
-0.17%
$35.89M
77.156K
$5.00B
1372
RZLVRezolve AI Limited Ordinary Shares
$2.43
-0.17
-6.54%
$35.89M
14.77M
$817.28M
1373
ONCBeiGene, Ltd. American Depositary Shares
$309.36
-5.52
-1.75%
$35.88M
115.989K
$33.94B
1374
BLLNBillionToOne, Inc. Class A Common Stock
$81.05
-2.44
-2.92%
$35.86M
442.497K
$3.36B
1375
COHUCohu Inc
$37.34
+2.27
+6.47%
$35.77M
957.847K
$1.76B
1376
STSensata Technologies Holding plc
$39.24
+0.09
+0.23%
$35.77M
911.466K
$5.72B
1377
LBRDKLiberty Broadband Corporation Class C
$51.13
-0.96
-1.84%
$35.72M
698.54K
$6.38B
1378
ENSGThe Ensign Group, Inc.
$199.02
-2.46
-1.22%
$35.69M
179.348K
$11.53B
1379
SRPTSarepta Therapeutics,, Inc. Common Stock
$21.15
-1.10
-4.96%
$35.65M
1.686M
$2.22B
1380
MTGMGIC Investment Corp.
$27.36
-0.40
-1.44%
$35.57M
1.3M
$5.88B
1381
WGSGeneDx Holdings Corp. Class A Common Stock
$59.53
-3.22
-5.13%
$35.55M
597.212K
$1.74B
1382
HLNEHamilton Lane Incorporated Class A Common Stock
$92.28
-2.30
-2.43%
$35.50M
384.681K
$4.05B
1383
NNNNNN REIT, Inc.
$44.09
+0.05
+0.11%
$35.50M
805.1K
$8.39B
1384
TPBTurning Point Brands, Inc.
$84.52
+2.90
+3.55%
$35.44M
419.33K
$1.63B
1385
DKDelek US Holdings, Inc.
$41.74
+0.24
+0.58%
$35.34M
846.589K
$2.50B
1386
FIBKFirst Interstate BancSystem, Inc. Common Stock (DE)
$34.03
-0.24
-0.70%
$35.33M
1.038M
$3.44B
1387
SMGThe Scotts Miracle-Gro Company
$60.74
-2.01
-3.20%
$35.22M
579.881K
$3.53B
1388
ICHRIchor Holdings
$57.99
+2.61
+4.71%
$35.20M
607.053K
$2.01B
1389
RITMRithm Capital Corp.
$9.95
+0.04
+0.40%
$35.18M
3.535M
$5.53B
1390
RLAYRelay Therapeutics, Inc. Common Stock
$14.95
-0.05
-0.33%
$35.08M
2.347M
$2.67B
1391
SASeabridge Gold, Inc.
$31.30
-0.71
-2.22%
$35.02M
1.119M
$3.36B
1392
GPGIGPGI, Inc.
$16.19
-0.26
-1.58%
$34.96M
2.159M
$4.69B
1393
BVNCompania de Minas Buenaventura S.A.
$37.67
-0.78
-2.03%
$34.76M
922.844K
$10.36B
1394
PAAPlains All American Pipeline, L.P. Common Units representing Limited Partner Interests
$21.83
+0.00
+0.00%
$34.63M
1.586M
$15.40B
1395
ADTNADTRAN Holdings, Inc. Common Stock
$15.38
+0.66
+4.48%
$34.56M
2.247M
$1.24B
1396
POSTPOST HOLDINGS, INC.
$101.02
-1.56
-1.52%
$34.12M
337.804K
$4.83B
1397
NEUNewMarket Corporation
$628.74
-8.09
-1.27%
$34.11M
54.254K
$5.91B
1398
SONSonoco Products Company
$56.37
-0.21
-0.37%
$34.04M
603.826K
$5.57B
1399
GLGlobe Life Inc.
$145.84
-1.48
-1.00%
$34.02M
233.289K
$11.44B
1400
DIODDiodes Inc
$84.00
+0.50
+0.60%
$33.98M
404.524K
$3.86B