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
CNR Core Natural Resources, Inc. $77.00
$9.86K
128
$3.96B
1302
WOK WORK Medical Technology Group LTD Ordinary Shares $3.41
$9.83K
2.883K
$3.53M
1303
TME Tencent Music Entertainment Group American Depositary Shares, each representing two Class A Ordinary Shares $22.42
$9.73K
434
$34.55B
1304
IPX IperionX Limited American Depositary Share $38.81
$9.70K
250
$1.30B
1305
BLZE Backblaze, Inc. Class A Common Stock $9.66
$9.66K
1K
$545.43M
1306
LGN Legence Corp. Class A Common stock $38.31
$9.65K
252
$2.24B
1307
AZI Autozi Internet Technology (Global) Ltd. Class A Ordinary Shares $0.0870
$9.65K
110.924K
$9.95M
1308
EH EHang Holdings Limited ADS $16.90
$9.58K
567
$1.22B
1309
COMM CommScope Holding Company, Inc. $16.01
$9.48K
592
$3.55B
1310
SEG Seaport Entertainment Group Inc. $23.67
$9.47K
400
$301.37M
1311
$67.00
$9.45K
141
$8.59B
1312
CENN Cenntro Inc. Common Stock $0.1830
$9.45K
51.617K
$9.50M
1313
VWAV VisionWave Holdings, Inc. Common Stock $10.00
$9.41K
941
$145.21M
1314
$22.41
$9.37K
418
$2.29B
1315
OR Osisko Gold Royalties Ltd $31.15
$9.35K
300
$5.86B
1316
RAY Raytech Holding Limited Ordinary Shares $0.2127
$9.34K
43.896K
$10.13M
1317
$78.32
$9.32K
119
$4.70B
1318
LPA Logistic Properties of the Americas $2.64
$9.32K
3.53K
$83.22M
1319
ARCT Arcturus Therapeutics Holdings Inc. Common Stock $8.92
$9.31K
1.044K
$242.22M
1320
$2.37
$9.24K
3.9K
$73.65M
1321
NLY Annaly Capital Management. Inc. $21.46
$9.23K
430
$14.66B
1322
ORC Orchid Island Capital, Inc. $7.39
$9.19K
1.244K
$1.12B
1323
CM Canadian Imperial Bank of Commerce $83.56
$9.19K
110
$77.67B
1324
EAF GrafTech International Ltd. $11.60
$9.18K
791
$299.51M
1325
LHAI Linkhome Holdings Inc. Common stock $10.19
$9.17K
900
$165.38M
1326
FMFC Kandal M Venture Limited Class A Ordinary Shares $0.9800
$9.17K
9.356K
$17.93M
1327
GMRE Global Medical REIT Inc. $30.35
$9.11K
300
$406.91M
1328
PNFP Pinnacle Financial Partners In $85.60
$9.07K
106
$6.64B
1329
$7.50
$9.02K
1.202K
$644.20M
1330
HCAT Health Catalyst, Inc Common Stock $3.00
$9.00K
3K
$211.12M
1331
OPTT Ocean Power Technologies, Inc. $0.4400
$8.97K
20.389K
$80.53M
1332
MBRX Moleculin Biotech, Inc. $0.4892
$8.85K
18.088K
$24.21M
1333
$81.87
$8.84K
108
$4.59B
1334
$6.73
$8.80K
1.307K
$458.02M
1335
HTHT H World Group Limited American Depositary Shares $40.37
$8.76K
217
$12.42B
1336
HSAI Hesai Group American Depositary Share, each ADS represents one Class B ordinary share $22.51
$8.64K
384
$3.51B
1337
THAR Tharimmune, Inc. Common Stock $3.15
$8.61K
2.732K
$23.97M
1338
ORIC Oric Pharmaceuticals, Inc. Common Stock $12.10
$8.59K
710
$1.18B
1339
XENE Xenon Pharmaceuticals Inc $39.01
$8.54K
219
$3.01B
1340
$85.00
$8.50K
100
$17.08B
1341
TCPC BlackRock TCP Capital Corp. Common Stock $5.55
$8.33K
1.5K
$471.95M
1342
VOR Vor Biopharma Inc. Common Stock $20.48
$8.31K
406
$140.37M
1343
SLS SELLAS Life Sciences Group, Inc. Common Stock $1.69
$8.12K
4.805K
$249.18M
1344
OSRH OSR Holdings, Inc. Common Stock $0.5996
$8.12K
13.537K
$12.94M
1345
SLMT Brera Holdings PLC Class B Ordinary Shares $8.69
$8.12K
934
$21.37M
1346
ABP Abpro Holdings, Inc Common Stock $5.75
$8.02K
1.394K
$15.37M
1347
WLDS Wearable Devices Ltd. Ordinary Share $2.15
$8.00K
3.721K
$12.66M
1348
GNFT GENFIT S.A. American Depositary Shares $4.08
$7.96K
1.952K
$204.01M
1349
$45.12
$7.94K
176
$1.03B
1350
$1.43
$7.94K
5.55K
$70.14M
1351
$15.85
$7.93K
500
$544.09M
1352
LUV Southwest Airlines Co. $29.65
$7.92K
267
$15.33B
1353
BZFD BuzzFeed, Inc. Class A Common Stock $1.58
$7.90K
5K
$58.52M
1354
YGMZ MingZhu Logistics Holdings Limited Ordinary Shares $0.1271
$7.86K
61.83K
$9.75M
1355
ARTL Artelo Biosciences, Inc. Common Stock $2.06
$7.84K
3.806K
$4.11M
1356
FINV FinVolution Group American depositary shares, each representing five Class A ordinary shares $5.95
$7.77K
1.306K
$1.51B
1357
DSY Big Tree Cloud Holdings Limited Ordinary Shares $0.6070
$7.76K
12.79K
$57.69M
1358
HTOO Fusion Fuel Green PLC Class A Ordinary Shares $3.33
$7.74K
2.323K
$6.03M
1359
ACI Albertsons Companies, Inc. $17.26
$7.70K
446
$9.48B
1360
CSQ Calamos Strategic Total Return Fund $18.39
$7.69K
418
$2.95B
1361
$35.47
$7.66K
216
$2.17B
1362
CL Colgate-Palmolive Company $76.60
$7.66K
100
$61.74B
1363
INDI indie Semiconductor, Inc. Class A Common Stock $4.75
$7.66K
1.612K
$943.12M
1364
MRAM Everspin Technologies, Inc $9.85
$7.62K
774
$222.86M
1365
$30.39
$7.60K
250
$108.57B
1366
CNF CNFinance Holdings Limited American Depositary Shares ("ADSs"), each representing twenty (20) Ordinary Shares $4.86
$7.58K
1.56K
$33.33M
1367
ABVE Above Food Ingredients Inc. Common Stock $3.39
$7.49K
2.21K
$173.54M
1368
$62.91
$7.49K
119
$1.04B
1369
$8.20
$7.48K
912
$124.55M
1370
$9.45
$7.42K
785
$280.58M
1371
PLCE Children's Place, Inc. $6.96
$7.41K
1.064K
$154.29M
1372
$19.52
$7.40K
379
$2.02B
1373
$36.96
$7.39K
200
$9.50B
1374
KYMR Kymera Therapeutics, Inc. Common Stock $59.60
$7.39K
124
$4.26B
1375
PRCT PROCEPT BioRobotics Corporation Common Stock $33.01
$7.36K
223
$1.84B
1376
VELO Velo3D, Inc. Common stock $4.40
$7.31K
1.661K
$87.56M
1377
UHG United Homes Group, Inc Class A Common Stock $1.46
$7.30K
5K
$85.85M
1378
ADNT Adient plc Ordinary Shares $23.00
$7.29K
317
$1.87B
1379
$6.30
$7.25K
1.15K
$314.39M
1380
$65.83
$7.24K
110
$12.33B
1381
PB Prosperity Bancshares Inc $66.00
$7.19K
109
$6.27B
1382
NUKK Nukkleus Inc. Common Stock $6.54
$7.19K
1.1K
$88.62M
1383
SDOT Sadot Group Inc. Common Stock $5.10
$7.16K
1.404K
$6.08M
1384
HMR Heidmar Maritime Holdings Corp. Common Stock $1.30
$7.13K
5.485K
$75.72M
1385
EVLV Evolv Technologies Holdings, Inc. Class A Common Stock $7.12
$7.12K
1K
$1.22B
1386
ARBK Argo Blockchain plc American Depositary Shares $0.3439
$7.12K
20.698K
$24.78M
1387
$0.4792
$7.07K
14.764K
$2.59M
1388
$6.85
$7.07K
1.032K
$393.91M
1389
$3.15
$7.05K
2.239K
$1.32B
1390
IVF INVO Fertility, Inc. Common Stock $0.4800
$7.05K
14.69K
$2.09M
1391
JZXN Jiuzi Holdings, Inc. Ordinary Shares $0.2628
$7.04K
26.793K
$16.89M
1392
HRL Hormel Foods Corporation $21.59
$7.04K
326
$11.87B
1393
$28.12
$7.03K
250
$6.50B
1394
PAGP Plains GP Holdings, L.P. Class A Units representing Limited Partner Interests $17.40
$7.01K
403
$3.44B
1395
OSS One Stop Systems, Inc. Common Stock $5.00
$7.00K
1.4K
$122.39M
1396
$69.60
$6.96K
100
$13.18B
1397
FLY Firefly Aerospace Inc. Common Stock $23.19
$6.96K
300
$3.40B
1398
$1.44
$6.92K
4.807K
$541.75M
1399
$3.00
$6.85K
2.284K
$32.32M
1400
$1.70
$6.84K
4.036K
$270.42M