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
INSW International Seaways, Inc. Common Stock $83.52
$42.88M
513.451K
$4.13B
1302
$24.06
$42.71M
1.775M
$16.23B
1303
FAF First American Financial Corporation $68.20
$42.49M
623.059K
$6.95B
1304
SEM SELECT MEDICAL HOLDINGS CORP $16.52
$42.34M
2.563M
$2.05B
1305
NXXT NextNRG, Inc. Common Stock $0.8740
$42.30M
48.395M
$136.92M
1306
SWMR Swarmer, Inc Common Stock $39.36
$42.28M
1.074M
$441.24M
1307
$80.92
$42.26M
522.227K
$7.69B
1308
$260.04
$42.13M
162.029K
$6.72B
1309
SVM Silvercorp Metals Inc. Common Shares $11.94
$42.13M
3.529M
$2.64B
1310
JXN Jackson Financial Inc. $106.95
$41.98M
392.54K
$7.46B
1311
$737.72
$41.92M
56.824K
$6.79B
1312
$33.45
$41.92M
1.253M
$3.15B
1313
$10.20
$41.85M
4.103M
$2.04B
1314
$40.13
$41.76M
1.041M
$1.76B
1315
YETI YETI Holdings, Inc. Common Stock $45.22
$41.66M
921.251K
$3.43B
1316
CRK Comstock Resources, Inc. $13.92
$41.58M
2.987M
$4.09B
1317
ANIP ANI Pharmaceuticals, Inc. $82.72
$41.53M
502.096K
$1.88B
1318
$150.50
$41.34M
274.714K
$9.71B
1319
DLB Dolby Laboratories, Inc.Class A $54.71
$41.26M
754.137K
$3.30B
1320
$48.54
$41.13M
847.368K
$10.02B
1321
HYMC Hycroft Mining Holding Corporation Class A Common Stock $32.80
$41.06M
1.252M
$3.00B
1322
VSNT Versant Media Group, Inc. Class A Common Stock $42.76
$40.98M
958.287K
$6.03B
1323
$89.25
$40.79M
457.049K
$3.90B
1324
$308.25
$40.74M
132.157K
$6.51B
1325
ONC BeiGene, Ltd. American Depositary Shares $309.94
$40.72M
131.394K
$34.01B
1326
JBTM JBT Marel Corporation $132.03
$40.67M
308.069K
$6.87B
1327
$35.20
$40.54M
1.152M
$5.31B
1328
PCTY Paylocity Holding Corporation Common Stock $113.02
$40.48M
358.191K
$6.05B
1329
MRP Millrose Properties, Inc. $27.72
$40.38M
1.457M
$4.28B
1330
$29.63
$40.36M
1.362M
$4.17B
1331
CECO Ceco Environmental Corp $81.71
$40.25M
492.565K
$2.93B
1332
$83.02
$40.22M
484.444K
$3.68B
1333
EGO Eldorado Gold Corporation $31.34
$40.16M
1.282M
$8.18B
1334
$24.54
$40.15M
1.636M
$2.58B
1335
PENN PENN Entertainment, Inc. Common Stock $16.72
$40.11M
2.399M
$2.24B
1336
$23.94
$40.05M
1.673M
$9.25B
1337
$318.94
$40.04M
125.541K
$9.07B
1338
PBH Prestige Consumer Healthcare Inc. $48.00
$40.03M
833.874K
$2.27B
1339
$156.28
$39.97M
255.77K
$12.13B
1340
LEVI Levi Strauss & Co. Class A Common Stock $21.65
$39.89M
1.843M
$2.13B
1341
ETOR eToro Group Ltd. Class A Common Shares $40.85
$39.80M
974.33K
$2.73B
1342
CAKE Cheesecake Factory (The) $61.09
$39.78M
651.187K
$3.04B
1343
$17.53
$39.77M
2.268M
$6.24B
1344
$44.34
$39.67M
894.581K
$6.15B
1345
$33.58
$39.65M
1.181M
$4.28B
1346
$150.56
$39.65M
263.356K
$5.22B
1347
$47.47
$39.64M
835.12K
$5.46B
1348
INTR Inter & Co. Inc. Class A Common Shares $6.19
$39.60M
6.398M
$2.01B
1349
$142.00
$39.60M
278.903K
$7.87B
1350
$189.98
$39.52M
208.034K
$6.36B
1351
PARR Par Pacific Holdings, Inc. Common Stock $58.57
$39.51M
674.63K
$2.94B
1352
PCT PureCycle Technologies, Inc. Common stock $11.24
$39.39M
3.505M
$2.03B
1353
$139.80
$39.30M
281.137K
$7.00B
1354
CVLT Commault Systems, Inc. $107.25
$39.27M
366.128K
$4.42B
1355
RVI Robinhood Ventures Fund I $57.05
$39.12M
685.699K
$1.55B
1356
MANH Manhattan Associates Inc $138.64
$39.11M
282.107K
$8.20B
1357
$53.71
$39.08M
727.601K
$5.75B
1358
PTCT PTC Therapeutics, Inc. $68.81
$39.08M
567.894K
$5.71B
1359
$35.65
$39.07M
1.096M
$7.64B
1360
BEP Brookfield Renewable Partners L.P. $35.52
$39.05M
1.1M
$10.77B
1361
$148.09
$39.05M
263.685K
$6.70B
1362
TGTX TG Therapeutics, Inc. $38.45
$39.00M
1.014M
$5.89B
1363
KNSL Kinsale Capital Group, Inc. $310.19
$39.00M
125.714K
$7.15B
1364
$94.48
$38.96M
412.32K
$5.52B
1365
BFH Bread Financial Holdings, Inc. $86.60
$38.95M
449.768K
$3.50B
1366
$77.06
$38.95M
505.437K
$3.65B
1367
$11.90
$38.94M
3.273M
$530.89M
1368
$24.69
$38.92M
1.576M
$23.02B
1369
BIPC Brookfield Infrastructure Corporation Class A Subordinate Voting Shares $41.97
$38.90M
926.778K
$5.16B
1370
WAL Western Alliance Bancorporation $78.59
$38.71M
492.567K
$8.58B
1371
EXLS ExlService Holdings, Inc. $29.51
$38.49M
1.304M
$4.51B
1372
$285.00
$38.41M
134.776K
$4.69B
1373
$38.00
$38.36M
1.009M
$5.45B
1374
MWH SOLV Energy, Inc. Class A Common Stock $38.25
$38.30M
1.001M
$4.41B
1375
TTAN ServiceTitan, Inc. Class A Common Stock $62.60
$38.25M
611.046K
$5.18B
1376
STUB StubHub Holdings, Inc. $10.17
$38.17M
3.754M
$3.57B
1377
RXRX Recursion Pharmaceuticals, Inc. Class A Common Stock $3.00
$38.17M
12.721M
$1.57B
1378
HCC Warrior Met Coal, Inc. $83.93
$38.16M
454.635K
$4.43B
1379
KALV KalVista Pharmaceuticals, Inc. Common Stock $26.78
$38.14M
1.424M
$1.43B
1380
$12.60
$38.07M
3.023M
$19.67B
1381
$97.17
$38.06M
391.711K
$4.40B
1382
STAG STAG INDUSTRIAL, INC. $38.15
$38.03M
996.919K
$7.29B
1383
$5.10
$37.95M
7.441M
$932.91M
1384
GPI Group 1 Automotive, Inc. $325.27
$37.92M
116.574K
$3.87B
1385
$116.78
$37.90M
324.539K
$9.43B
1386
SIGI Selective Insurance Group $90.70
$37.89M
417.783K
$5.43B
1387
YSS York Space Systems Inc. $29.80
$37.87M
1.271M
$3.86B
1388
STWD STARWOOD PROPERTY TRUST, INC. $17.29
$37.73M
2.182M
$6.41B
1389
IRT Independence Realty Trust Inc. $16.86
$37.62M
2.231M
$3.97B
1390
MSGS Madison Square Garden Sports Corp. $353.87
$37.62M
106.302K
$6.92B
1391
FCFS FirstCash Holdings, Inc. Common Stock $227.59
$37.31M
163.944K
$9.98B
1392
OPCH Option Care Health, Inc. Common Stock $21.00
$37.31M
1.777M
$3.30B
1393
ARQQ Arqit Quantum Inc. Ordinary Shares $17.50
$37.26M
2.129M
$273.91M
1394
$47.59
$37.19M
781.546K
$5.40B
1395
GGAL Grupo Financiero Galicia SA $43.55
$37.14M
852.751K
$5.77B
1396
$190.10
$37.12M
195.276K
$1.59B
1397
$33.87
$37.05M
1.094M
$5.66B
1398
FNF Fidelity National Financial, Inc. $48.61
$36.92M
759.519K
$13.08B
1399
$39.18
$36.91M
941.97K
$4.07B
1400
MAIR Madison Air Solutions Corporation $40.43
$36.81M
910.539K
$7.15B