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.
1301
HBAN Huntington Bancshares Inc $17.59
$13.33K
758
$27.70B
1302
$14.69
$13.28K
904
$675.44M
1303
$4.99
$13.28K
2.661K
$33.77M
1304
RIGL Rigel Pharmaceuticals Inc. (New) $41.82
$13.05K
312
$759.09M
1305
COLM Columbia Sportswear Co $56.07
$13.01K
232
$3.02B
1306
IMRX Immuneering Corporation Class A Common Stock $5.74
$12.95K
2.256K
$370.63M
1307
HNRG Hallador Energy Company $19.68
$12.91K
656
$862.43M
1308
XIFR XPLR Infrastructure, LP $9.26
$12.83K
1.386K
$870.13M
1309
OPTT Ocean Power Technologies, Inc. $0.3355
$12.83K
38.228K
$65.41M
1310
$2.35
$12.82K
5.456K
$525.13M
1311
NEXT NextDecade Corporation Common Stock $5.37
$12.81K
2.386K
$1.42B
1312
LAND Gladstone Land Corporation $8.90
$12.76K
1.434K
$331.67M
1313
BGL Blue Gold Limited Class A Ordinary Shares $2.83
$12.74K
4.5K
$88.12M
1314
$4.72
$12.73K
2.697K
$631.69M
1315
$42.34
$12.70K
300
$48.61B
1316
FATE Fate Therapeutics, Inc. $1.03
$12.59K
12.228K
$118.81M
1317
TARA Protara Therapeutics, Inc. Common Stock $5.19
$12.59K
2.423K
$278.34M
1318
GLUE Monte Rosa Therapeutics, Inc. Common Stock $15.69
$12.55K
800
$1.02B
1319
ATON AlphaTON Capital Corp. Common Stock $0.7100
$12.31K
17.344K
$5.81M
1320
MRM MEDIROM Healthcare Technologies Inc. American Depositary Share $2.06
$12.19K
5.918K
$16.28M
1321
NWG NatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) $17.22
$12.11K
703
$68.81B
1322
TGE The Generation Essentials Group $1.00
$12.05K
12.051K
$48.46M
1323
ARRY Array Technologies, Inc. Common Stock $9.00
$12.05K
1.339K
$1.37B
1324
WPC W.P. Carey Inc. (REIT) $64.35
$12.03K
187
$14.10B
1325
MGX Metagenomi, Inc. Common Stock $1.73
$11.99K
6.935K
$64.93M
1326
CE Celanese Corporation Common Stock $42.49
$11.90K
280
$4.65B
1327
KAVL Kaival Brands Innovations Group, Inc $0.1406
$11.89K
84.533K
$1.63M
1328
BLNK Blink Charging Co. Common Stock $0.8283
$11.88K
14.34K
$117.00M
1329
PLCE Children's Place, Inc. $4.81
$11.87K
2.468K
$106.63M
1330
DV DoubleVerify Holdings, Inc. $11.33
$11.85K
1.046K
$1.83B
1331
TKC TURKCELL ILETISIM HIZMETLERI A.S. ADS $5.92
$11.84K
2K
$5.16B
1332
HUBC Hub Cyber Security Ltd. Ordinary Shares $0.4218
$11.76K
27.877K
$13.82M
1333
$25.90
$11.73K
453
$2.69B
1334
PUK PRUDENTIAL PLC ADS (REP 2 ORD SHARES) $30.75
$11.72K
381
$38.95B
1335
KLIC Kulicke & Soffa Industries Inc $45.81
$11.68K
255
$2.40B
1336
ASAN Asana, Inc. Class A Common Stock $14.50
$11.60K
800
$3.44B
1337
IVVD Invivyd, Inc. Common Stock $2.31
$11.60K
5.021K
$639.99M
1338
TERN Terns Pharmaceuticals, Inc. Common Stock $38.58
$11.57K
300
$4.20B
1339
YOUL Youlife Group Inc. American Depositary Shares $1.59
$11.49K
7.229K
$120.92M
1340
PAGS PagSeguro Digital Ltd. $9.57
$11.49K
1.201K
$2.78B
1341
GAMB Gambling.com Group Limited Ordinary Shares $5.26
$11.49K
2.185K
$184.98M
1342
$28.50
$11.49K
403
$2.03B
1343
IRWD Ironwood Pharmaceuticals, Inc. - Class A $3.28
$11.48K
3.501K
$533.59M
1344
INDI indie Semiconductor, Inc. Class A Common Stock $3.82
$11.46K
3K
$773.97M
1345
$28.27
$11.45K
405
$4.49B
1346
$247.71
$11.39K
46
$138.95B
1347
$26.96
$11.35K
421
$3.29B
1348
SCNX Scienture Holdings, Inc. Common Stock $0.5100
$11.32K
22.201K
$20.72M
1349
$37.34
$11.24K
301
$9.46B
1350
BSM Black Stone Minerals, L.P. $13.62
$11.16K
819
$2.89B
1351
$32.48
$11.14K
343
$4.39B
1352
CANF Can-Fite BioPharma Ltd. American Depositary Shares, each representing three hundred (300) Ordinary Shares $0.2450
$11.13K
45.417K
$4.18M
1353
BCSF Bain Capital Specialty Finance, Inc. $13.95
$11.10K
796
$904.92M
1354
GRI GRI Bio, Inc. Common Stock $0.3555
$11.05K
31.077K
$2.09M
1355
LIDR AEye, Inc. Class A Common Stock $2.26
$11.04K
4.884K
$101.82M
1356
$8.52
$11.03K
1.295K
$5.58B
1357
$1.26
$11.03K
8.754K
$27.18M
1358
CEPT Cantor Equity Partners II, Inc. Class A Ordinary Share $10.92
$11.03K
1.01K
$333.93M
1359
LIEN Chicago Atlantic BDC, Inc. Common Stock $11.10
$11.00K
991
$253.31M
1360
$9.09
$11.00K
1.21K
$1.17B
1361
UPWK Upwork Inc. Common Stock $20.47
$10.99K
537
$2.67B
1362
GLDD Great Lakes Dredge & Dock Corporation $13.38
$10.97K
820
$909.83M
1363
ERIC Ericsson American Depositary Shares $9.64
$10.96K
1.137K
$32.13B
1364
WOW WideOpenWest, Inc. Common Stock $5.20
$10.92K
2.1K
$445.66M
1365
NINE Nine Energy Service, Inc. $0.3399
$10.87K
31.974K
$14.74M
1366
IMPP Imperial Petroleum Inc. Common Shares $3.80
$10.83K
2.85K
$137.65M
1367
HOV Hovnanian Enterprises, Inc. Class A $106.00
$10.81K
102
$629.68M
1368
SGMO Sangamo Therapeutics, Inc. Common Stock $0.4400
$10.81K
24.564K
$148.06M
1369
LTM LATAM Airlines Group S.A. American Depositary Shares (each representing two thousand (2,000) shares of Common Stock) $53.98
$10.80K
200
$15.50B
1370
VECO Veeco Instruments Inc $29.27
$10.77K
368
$1.76B
1371
$53.82
$10.76K
200
$33.59B
1372
EHC Encompass Health Corporation Common Stock $107.62
$10.76K
100
$10.83B
1373
ACRV Acrivon Therapeutics, Inc. Common Stock $2.18
$10.65K
4.879K
$68.88M
1374
VRME VerifyMe, Inc. Common Stock $0.6800
$10.58K
15.564K
$8.46M
1375
$88.66
$10.55K
119
$15.62B
1376
BLZE Backblaze, Inc. Class A Common Stock $4.60
$10.54K
2.292K
$265.32M
1377
$52.50
$10.50K
200
$27.74B
1378
CV CapsoVision, Inc. Common Stock $10.35
$10.48K
1.013K
$484.83M
1379
$13.00
$10.40K
800
$1.19B
1380
$3.74
$10.38K
2.777K
$79.91M
1381
CIM Chimera Investment Corp. $12.94
$10.31K
797
$1.08B
1382
TIMB TIM S.A. American Depositary Shares (Each representing 5 Common Shares) $20.54
$10.29K
501
$9.83B
1383
$3.15
$10.24K
3.25K
$649.43M
1384
ARWR Arrowhead Research Corporation $66.73
$10.21K
153
$9.06B
1385
THM International Tower Hill Mines, Ltd. $1.89
$10.21K
5.4K
$392.90M
1386
MIR Mirion Technologies, Inc. $23.30
$10.18K
437
$5.69B
1387
PALI Palisade Bio, Inc. Common Stock $1.71
$10.17K
5.949K
$255.14M
1388
PAYO Payoneer Global Inc. Common Stock $5.83
$10.17K
1.744K
$2.08B
1389
STSS Sharps Technology Inc. Common Stock $2.17
$10.16K
4.681K
$61.25M
1390
$236.20
$10.16K
43
$8.80B
1391
WS Worthington Steel, Inc. $36.40
$10.16K
279
$1.85B
1392
LEN.B Lennar Corporation Class B $101.20
$10.12K
100
$24.99B
1393
CISS C3is Inc. Common Stock $0.2220
$10.08K
45.413K
$980.88K
1394
$3.72
$10.03K
2.696K
$7.35B
1395
SUPN Supernus Pharmaceuticals, Inc. $49.29
$10.01K
203
$2.83B
1396
DLNG DYNAGAS LNG PARNERS LP $4.00
$10.00K
2.5K
$145.53M
1397
ARTV Artiva Biotherapeutics, Inc. Common Stock $4.65
$9.95K
2.14K
$114.13M
1398
IDN Intellicheck, Inc. Common Stock $7.10
$9.94K
1.4K
$143.45M
1399
ARKO ARKO Corp. Common Stock $4.98
$9.93K
1.993K
$554.93M
1400
PNNT Pennant Investment Corp $5.99
$9.92K
1.656K
$391.12M