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
TEAD Teads Holding Co. Common Stock $2.30
$29.90K
13.001K
$216.89M
1302
LYG Lloyds Banking Group PLC $4.37
$29.80K
6.82K
$65.22B
1303
$16.50
$29.65K
1.797K
$1.95B
1304
$53.77
$29.57K
550
$4.09B
1305
EXOD Exodus Movement, Inc. $29.50
$29.50K
1K
$850.62M
1306
GSIW Garden Stage Limited Ordinary Shares $0.1152
$29.45K
255.639K
$8.53M
1307
CGTX Cognition Therapeutics, Inc. Common Stock $0.7119
$29.40K
41.293K
$44.13M
1308
WFF WF Holding Limited Ordinary Shares $0.9512
$29.22K
30.721K
$23.96M
1309
$25.88
$29.22K
1.129K
$1.88B
1310
NVA Nova Minerals Limited American Depositary Shares $13.25
$29.18K
2.202K
$88.66M
1311
UROY Uranium Royalty Corp. Common Stock $2.74
$29.02K
10.593K
$366.16M
1312
INBS Intelligent Bio Solutions Inc. Common Stock $1.57
$28.95K
18.423K
$11.68M
1313
$82.50
$28.88K
350
$4.49B
1314
RYTM Rhythm Pharmaceuticals, Inc. Common Stock $90.20
$28.86K
320
$5.95B
1315
$12.56
$28.86K
2.298K
$15.71B
1316
AREC AMERICAN RESOURCES CORP $1.28
$28.62K
22.351K
$105.34M
1317
$85.91
$28.61K
333
$7.96B
1318
$24.50
$28.59K
1.167K
$27.52B
1319
$112.98
$28.47K
252
$81.58B
1320
EDIT Editas Medicine, Inc. Common Stock $2.59
$28.37K
10.956K
$216.74M
1321
CINF Cincinnati Financial Corp $154.07
$28.35K
184
$24.09B
1322
MCVT Mill City Ventures III, Ltd. Common Stock $5.42
$28.34K
5.228K
$32.86M
1323
NXT Nextracker Inc. Class A Common Stock $55.05
$28.30K
514
$8.15B
1324
OLED Universal Display Corp $141.00
$28.06K
199
$6.70B
1325
GLBE Global-E Online Ltd. Ordinary Shares $34.99
$27.92K
798
$5.94B
1326
UPBD Upbound Group, Inc. Common Stock $22.07
$27.92K
1.265K
$1.28B
1327
$1.11
$27.66K
24.918K
$276.68M
1328
SY So-Young International Inc. American Depository Shares $4.98
$27.65K
5.553K
$499.10M
1329
CARR Carrier Global Corporation $66.43
$27.57K
415
$56.53B
1330
$3.10
$27.56K
8.891K
$979.21M
1331
$3.30
$27.47K
8.336K
$1.13B
1332
$8.53
$27.47K
3.22K
$233.94M
1333
TPR Tapestry, Inc. Common Stock $113.80
$27.31K
240
$23.64B
1334
$5.74
$27.29K
4.754K
$315.41M
1335
$63.02
$27.22K
432
$2.92B
1336
FLYW Flywire Corporation Voting Common Stock $12.20
$27.12K
2.223K
$1.48B
1337
GLPI Gaming and Leisure Properties, Inc. $45.88
$26.98K
588
$12.98B
1338
$35.41
$26.95K
761
$4.23B
1339
SNDL Sundial Growers Inc. Common Shares $1.69
$26.90K
15.92K
$434.92M
1340
$268.97
$26.90K
100
$71.80B
1341
SEPN Septerna, Inc. Common Stock $12.26
$26.86K
2.191K
$546.29M
1342
OPXS Optex Systems Holdings, INC $13.60
$26.81K
1.971K
$94.02M
1343
IRON Disc Medicine, Inc. Common Stock $58.00
$26.74K
461
$2.01B
1344
PSNL Personalis, Inc. Common Stock $4.50
$26.60K
5.911K
$397.46M
1345
PESI Perma-Fix Environmental Services, Inc. $11.29
$26.60K
2.356K
$208.33M
1346
$155.42
$26.58K
171
$12.09B
1347
MTAL Metals Acquisition Limited $12.12
$26.54K
2.19K
$1.00B
1348
ATLX Atlas Lithium Corporation Common Stock $5.97
$26.39K
4.421K
$106.49M
1349
REKR Rekor Systems, Inc. Common Stock $1.10
$26.34K
23.948K
$129.87M
1350
CCCS CCC Intelligent Solutions Holdings Inc. Common Stock $9.73
$26.28K
2.701K
$6.32B
1351
$8.79
$26.25K
2.986K
$2.29B
1352
$13.15
$26.18K
1.991K
$2.03B
1353
WPC W.P. Carey Inc. (REIT) $64.50
$26.06K
404
$14.12B
1354
$43.88
$25.98K
592
$43.26B
1355
KRUS Kura Sushi USA, Inc. Class A Common Stock $85.00
$25.84K
304
$1.03B
1356
USFD US Foods Holding Corp. $85.50
$25.74K
301
$19.78B
1357
$125.53
$25.73K
205
$15.47B
1358
$12.55
$25.60K
2.04K
$1.62B
1359
GTES Gates Industrial Corporation plc $24.30
$25.54K
1.051K
$6.26B
1360
LZ LegalZoom.com, Inc. Common Stock $8.56
$25.44K
2.972K
$1.55B
1361
$14.58
$25.35K
1.739K
$499.27M
1362
CRDL Cardiol Therapeutics Inc. Class A Common Shares $1.15
$25.16K
21.878K
$95.04M
1363
CHRD Chord Energy Corporation Common Stock $104.80
$25.15K
240
$6.05B
1364
MTH Meritage Homes Corporation $72.30
$25.02K
346
$5.14B
1365
$27.00
$24.92K
923
$1.54B
1366
SKWD Skyward Specialty Insurance Group, Inc. Common Stock $47.00
$24.91K
530
$1.90B
1367
$14.94
$24.89K
1.666K
$26.89B
1368
$16.69
$24.88K
1.491K
$1.47B
1369
$12.35
$24.75K
2.004K
$687.74M
1370
BIRK Birkenstock Holding plc $49.35
$24.68K
500
$9.08B
1371
OPTT Ocean Power Technologies, Inc. $0.5151
$24.52K
47.603K
$91.44M
1372
$50.00
$24.50K
490
$1.70B
1373
AAP ADVANCE AUTO PARTS INC $60.90
$24.48K
402
$3.65B
1374
$51.60
$24.46K
474
$32.20B
1375
CTLP Cantaloupe, Inc. Common Stock $11.10
$24.38K
2.196K
$813.49M
1376
CANG Cango Inc. American Depositary Shares, each representing two (2) Class A Ordinary Shares $4.84
$24.30K
5.02K
$502.58M
1377
$52.76
$24.27K
460
$50.23B
1378
$2.21
$24.12K
10.915K
$78.79M
1379
$3.69
$24.10K
6.532K
$148.84M
1380
HMC Honda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock $31.60
$24.05K
761
$42.11B
1381
AHR American Healthcare REIT, Inc. $40.00
$24.00K
600
$6.38B
1382
$4.15
$23.96K
5.774K
$332.02M
1383
FCEL FuelCell Energy Inc NEW (DE) $4.46
$23.83K
5.342K
$101.65M
1384
LUNG Pulmonx Corporation Common Stock $1.67
$23.82K
14.263K
$68.05M
1385
NAT Nordic American Tanker $2.88
$23.81K
8.266K
$609.84M
1386
ORA Ormat Technologies, Inc. $85.02
$23.81K
280
$5.16B
1387
$1.34
$23.69K
17.676K
$152.48M
1388
$24.21
$23.58K
974
$4.02B
1389
KSCP Knightscope, Inc. Class A Common Stock $5.74
$23.52K
4.097K
$47.64M
1390
SLRX Salarius Pharmaceuticals, Inc. Common Stock $0.5398
$23.48K
43.49K
$1.15M
1391
VYGR Voyager Therapeutics, Inc. Common Stock $3.34
$23.38K
7K
$184.82M
1392
CCO Clear Channel Outdoor Holdings, Inc. Common Stock $1.15
$23.33K
20.288K
$571.22M
1393
CSTM Constellium SE Class A Ordinary shares $13.84
$23.29K
1.683K
$1.93B
1394
CSIQ Canadian Solar Inc. Common Shares (ON) $11.86
$23.19K
1.955K
$794.29M
1395
$7.24
$23.18K
3.202K
$612.98M
1396
ITRM Iterum Therapeutics plc Ordinary Share $0.7001
$23.07K
32.946K
$29.73M
1397
$115.29
$23.06K
200
$8.86B
1398
CUBI CUSTOMERS BANCORP INC $62.48
$22.99K
368
$1.97B
1399
$10.35
$22.98K
2.22K
$3.37B
1400
PRTG Portage Biotech Inc. Common Stock $8.87
$22.95K
2.587K
$20.21M