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
ALGM Allegro MicroSystems, Inc. Common Stock $30.78
$15.76K
512
$5.69B
1302
SAIC Science Applications International Corporation Common Stock $104.91
$15.74K
150
$4.92B
1303
PI Impinj, Inc. Common Stock $105.50
$15.72K
149
$3.06B
1304
INMB INmune Bio Inc. Common stock $8.05
$15.70K
1.95K
$186.84M
1305
BKTI BK Technologies Corporation $43.50
$15.66K
360
$159.80M
1306
YSG Yatsen Holding Limited American Depositary Shares, each representing twenty (20) Class A Ordinary Shares $8.93
$15.61K
1.748K
$823.52M
1307
VOR Vor Biopharma Inc. Common Stock $0.2166
$15.52K
71.642K
$27.07M
1308
$5.09
$15.37K
3.019K
$317.47M
1309
LYRA Lyra Therapeutics, Inc. Common Stock $11.97
$15.30K
1.278K
$15.86M
1310
$3.95
$15.17K
3.838K
$116.19M
1311
KINS Kingstone Companies, Inc. $14.99
$15.14K
1.01K
$209.95M
1312
TNGX Tango Therapeutics, Inc. $4.74
$15.03K
3.17K
$513.79M
1313
$40.01
$15.00K
375
$2.83B
1314
IGT International Game Technology PLC $15.00
$15.00K
1K
$3.05B
1315
SPWH Sportsman's Warehouse Holdings, Inc. $3.75
$14.99K
3.995K
$143.62M
1316
TIXT TELUS International (Cda) Inc. Subordinate Voting Shares $3.65
$14.94K
4.094K
$1.01B
1317
$14.94
$14.94K
1K
$1.50B
1318
VERA Vera Therapeutics, Inc. Class A Common Stock $21.80
$14.87K
682
$1.39B
1319
LC LendingClub Corporation $10.93
$14.86K
1.36K
$1.25B
1320
NVNI Nvni Group Limited Ordinary Shares $0.3472
$14.85K
42.773K
$32.03M
1321
$37.00
$14.80K
400
$511.75M
1322
AMCR Amcor plc Ordinary Shares $9.19
$14.80K
1.61K
$21.06B
1323
AGMH AGM Group Holdings Inc. Class A Ordinary Shares $2.40
$14.78K
6.159K
$4.74M
1324
ELAB Elevai Labs, Inc. Common Stock $2.00
$14.72K
7.36K
$2.75M
1325
NXTT Next Technology Holding Inc. Ordinary Shares $1.35
$14.63K
10.838K
$588.96M
1326
UNFI United Natural Foods Inc $22.12
$14.60K
660
$1.34B
1327
CLNE Clean Energy Fuels Corp. $2.01
$14.60K
7.263K
$444.17M
1328
$26.51
$14.58K
550
$19.23B
1329
$9.50
$14.57K
1.534K
$975.20M
1330
WBUY WEBUY GLOBAL LTD. Ordinary Shares $5.23
$14.57K
2.785K
$4.08M
1331
SGML Sigma Lithium Corporation Common Shares $5.18
$14.52K
2.804K
$576.44M
1332
DSP Viant Technology Inc. Class A Common Stock $13.18
$14.51K
1.101K
$208.86M
1333
CCAP Crescent Capital BDC, Inc. Common stock $14.40
$14.44K
1.003K
$533.69M
1334
INDI indie Semiconductor, Inc. Class A Common Stock $3.37
$14.43K
4.282K
$656.79M
1335
ODD ODDITY Tech Ltd. Class A Ordinary Shares $71.80
$14.36K
200
$4.01B
1336
SJM The J.M. Smucker Company $95.22
$14.28K
150
$10.13B
1337
$141.97
$14.20K
100
$43.91B
1338
PSTV PLUS THERAPEUTICS, Inc. Common Stock $0.3099
$14.18K
45.769K
$5.27M
1339
MKDW MKDWELL Tech Inc. Ordinary Share $0.2600
$14.13K
54.344K
$37.34M
1340
$11.59
$14.12K
1.218K
$3.77B
1341
GOOD Gladstone Commercial Corporation - REIT $14.51
$14.10K
972
$671.56M
1342
CORT Corcept Therapeutics Inc. $70.35
$14.07K
200
$7.46B
1343
AIRE reAlpha Tech Corp. Common Stock $0.4290
$14.05K
32.752K
$21.99M
1344
JUNS Jupiter Neurosciences, Inc. Common Stock $0.9898
$14.00K
14.14K
$32.77M
1345
PNBK Patriot National Bancorp Inc $1.00
$13.97K
13.974K
$78.79M
1346
BLMZ BloomZ Inc. Ordinary Shares $0.1482
$13.96K
94.176K
$2.14M
1347
YB Yuanbao Inc. American Depositary Shares $19.87
$13.91K
700
$895.74M
1348
$35.80
$13.89K
388
$7.68B
1349
SNDK Sandisk Corporation Common Stock $44.79
$13.88K
310
$6.51B
1350
DNUT Krispy Kreme, Inc. Common Stock $2.81
$13.80K
4.91K
$479.95M
1351
VCIG VCI Global Limited Ordinary Share $2.89
$13.77K
4.763K
$12.15M
1352
IRWD Ironwood Pharmaceuticals, Inc. - Class A $0.6700
$13.76K
20.54K
$108.42M
1353
$5.80
$13.76K
2.372K
$1.73B
1354
$36.78
$13.76K
374
$20.40B
1355
$3.30
$13.72K
4.159K
$327.29M
1356
MNSO MINISO Group Holding Limited American Depositary Shares, each representing four Ordinary Shares $18.10
$13.72K
758
$5.55B
1357
TNFA TNF Pharmaceuticals, Inc. Common Stock $0.1488
$13.66K
91.831K
$2.11M
1358
$9.07
$13.61K
1.5K
$6.17B
1359
KIND Nextdoor Holdings, Inc. $1.60
$13.60K
8.502K
$611.80M
1360
$21.71
$13.48K
621
$241.98M
1361
PTHL Pheton Holdings Ltd Class A Ordinary Shares $17.76
$13.46K
758
$253.08M
1362
CRBU Caribou Biosciences, Inc. Common Stock $1.18
$13.46K
11.407K
$109.75M
1363
ATCH AtlasClear Holdings, Inc. $0.2034
$13.46K
66.165K
$3.17M
1364
JZXN Jiuzi Holdings, Inc. Ordinary Shares $1.22
$13.45K
11.024K
$13.43M
1365
HLP Hongli Group Inc. Ordinary Shares $1.04
$13.42K
12.905K
$76.38M
1366
CYCU Cycurion, Inc. Common Stock $0.4099
$13.40K
32.694K
$12.89M
1367
KARO Karooooo Ltd. Ordinary Shares $46.16
$13.39K
290
$1.43B
1368
HMR Heidmar Maritime Holdings Corp. Common Stock $1.60
$13.32K
8.322K
$93.06M
1369
TNON Tenon Medical, Inc. Common Stock $0.8796
$13.24K
15.055K
$6.68M
1370
FNGR FingerMotion, Inc. Common Stock $2.20
$13.24K
6.019K
$126.68M
1371
SNYR Synergy CHC Corp. Common Stock $2.46
$13.23K
5.371K
$22.21M
1372
A Agilent Technologies Inc. $118.74
$13.18K
111
$33.73B
1373
$11.48
$13.18K
1.148K
$3.40B
1374
$81.32
$13.17K
162
$41.40B
1375
PLAY Dave & Buster's Entertainment, Inc. $32.01
$13.13K
410
$1.11B
1376
SLE Super League Enterprise, Inc. Common Stock $0.1125
$13.12K
116.634K
$2.72M
1377
LNC Lincoln National Corp. $32.60
$13.04K
400
$5.57B
1378
WIMI WiMi Hologram Cloud Inc. American Depositary Share $2.42
$13.03K
5.381K
$23.77M
1379
XERS Xeris Biopharma Holdings, Inc. Common Stock $4.44
$13.01K
2.932K
$710.67M
1380
CING Cingulate Inc. Common Stock $4.41
$12.97K
2.94K
$18.72M
1381
$56.31
$12.95K
230
$4.28B
1382
GILT Gilat Satellite Networks Ltd $6.38
$12.86K
2.015K
$364.07M
1383
HRTG HERITAGE INSURANCE HOLDINGS INC $23.41
$12.85K
549
$725.55M
1384
CHMI CHERRY HILL MORTGAGE INVESTMENT CORPORATION $2.94
$12.84K
4.368K
$96.02M
1385
PTGX Protagonist Therapeutics, Inc $54.85
$12.83K
234
$3.40B
1386
SGN Signing Day Sports, Inc. $1.03
$12.83K
12.458K
$4.01M
1387
$11.60
$12.77K
1.101K
$360.49M
1388
ESEA Euroseas Ltd.(Marshall Islands) $44.90
$12.62K
281
$314.60M
1389
$18.06
$12.59K
697
$1.69B
1390
ASBP Aspire Biopharma Holdings, Inc. Common Stock $0.3500
$12.57K
35.917K
$17.33M
1391
KLC KinderCare Learning Companies, Inc. $10.00
$12.53K
1.253K
$1.18B
1392
$41.73
$12.52K
300
$10.03B
1393
OPAL OPAL Fuels Inc. Class A Common Stock $3.29
$12.51K
3.801K
$95.32M
1394
HIG The Hartford Financial Services Group, Inc. $125.00
$12.50K
100
$35.51B
1395
TSLX Sixth Street Specialty Lending, Inc. $22.36
$12.50K
559
$2.10B
1396
$27.50
$12.40K
451
$2.10B
1397
DD DuPont de Nemours, Inc. Common Stock $67.71
$12.39K
183
$28.34B
1398
$7.19
$12.33K
1.715K
$413.46M
1399
NNDM Nano Dimension Ltd. American Depositary Shares $1.45
$12.13K
8.365K
$315.06M
1400
AIP Arteris, Inc. Common Stock $8.05
$12.08K
1.5K
$337.92M