Stock Rankings by Dollar Volume - Rankings 1401 to 1500
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 1401 to 1500.
1401
SMFG Sumitomo Mitsui Financial Group, Inc $21.19
$33.58M
1.585M
$135.17B
1402
$46.66
$33.49M
717.798K
$3.44B
1403
RRR Red Rock Resorts, Inc. Class A Common Stock $56.40
$33.49M
593.825K
$3.34B
1404
$235.61
$33.48M
142.108K
$2.48B
1405
FULT Fulton Financial Corp $21.54
$33.43M
1.552M
$3.87B
1406
CWST Casella Waste Systems Inc $87.38
$33.40M
382.193K
$5.46B
1407
$68.60
$33.36M
486.252K
$1.91B
1408
$109.47
$33.33M
304.447K
$22.53B
1409
MFC Manulife Financial Corp. $36.09
$33.28M
922.041K
$60.50B
1410
LIVN LivaNova PLC Ordinary Shares $62.78
$33.25M
529.649K
$3.43B
1411
AWI Armstrong World Industries, Inc. $175.58
$33.12M
188.606K
$7.52B
1412
OHI Omega Healthcare Investors Inc. $45.79
$33.04M
721.516K
$13.53B
1413
BFAM BRIGHT HORIZONS FAMILY SOLUTIONS INC. $80.45
$33.02M
410.475K
$4.43B
1414
REXR REXFORD INDUSTRIAL REALTY, INC. $33.96
$32.94M
969.988K
$7.87B
1415
PRKS United Parks & Resorts Inc. $37.33
$32.86M
880.365K
$1.82B
1416
$96.87
$32.86M
339.207K
$9.39B
1417
UPWK Upwork Inc. Common Stock $10.69
$32.85M
3.073M
$1.39B
1418
$7.10
$32.74M
4.611M
$2.03B
1419
BORR Borr Drilling Limited $5.90
$32.66M
5.536M
$1.86B
1420
ECG Everus Construction Group, Inc. $131.01
$32.65M
249.19K
$6.69B
1421
SFD Smithfield Foods, Inc. Common Stock $28.91
$32.61M
1.128M
$11.37B
1422
TXG 10x Genomics, Inc. Class A Common Stock $23.18
$32.60M
1.407M
$2.73B
1423
SXI Standex International Corporation $268.28
$32.55M
121.33K
$3.25B
1424
HMC Honda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock $24.11
$32.51M
1.349M
$36.43B
1425
$60.53
$32.51M
537.143K
$3.14B
1426
$9.90
$32.42M
3.275M
$1.26B
1427
$8.26
$32.23M
3.902M
$1.17B
1428
WTFC Wintrust Financial Corp $145.92
$32.06M
219.677K
$9.82B
1429
BNL Broadstone Net Lease, Inc. $19.92
$31.97M
1.605M
$3.82B
1430
MSM MSC Industrial Direct Co., Inc. Class A $95.48
$31.95M
334.672K
$5.33B
1431
$11.92
$31.87M
2.673M
$18.05B
1432
XENE Xenon Pharmaceuticals Inc $58.40
$31.84M
545.159K
$4.86B
1433
STEP StepStone Group Inc. Class A Common Stock $45.91
$31.82M
693.203K
$3.68B
1434
FTS Fortis Inc. Common Shares $57.62
$31.82M
552.252K
$29.24B
1435
EGP EastGroup Properties Inc. $193.92
$31.69M
163.403K
$10.34B
1436
$28.09
$31.67M
1.127M
$405.28M
1437
ADC Agree Realty Corporation $78.17
$31.46M
402.426K
$9.39B
1438
$24.78
$31.29M
1.263M
$2.35B
1439
SLF Sun Life Financial Inc. $65.27
$31.29M
479.367K
$36.15B
1440
$77.50
$31.19M
402.466K
$2.22B
1441
NVST Envista Holdings Corporation Common stock, $0.01 par value per share $26.39
$31.15M
1.18M
$4.32B
1442
CRC California Resources Corporation $66.55
$31.15M
468.02K
$5.91B
1443
$147.53
$31.14M
211.042K
$8.11B
1444
PENN PENN Entertainment, Inc. Common Stock $15.25
$31.12M
2.041M
$2.04B
1445
VECO Veeco Instruments Inc $40.69
$31.11M
764.669K
$2.46B
1446
$83.59
$31.10M
372.081K
$6.30B
1447
$38.03
$31.07M
817.007K
$2.05B
1448
$56.07
$31.07M
554.122K
$6.43B
1449
$35.41
$31.04M
876.621K
$1.98B
1450
ACMR ACM Research, Inc. Class A Common Stock $48.90
$30.93M
632.493K
$2.97B
1451
PTCT PTC Therapeutics, Inc. $68.69
$30.93M
450.246K
$5.69B
1452
NUVL Nuvalent, Inc. Class A Common Stock $102.74
$30.85M
300.279K
$7.52B
1453
$73.96
$30.77M
416.088K
$2.21B
1454
$5.41
$30.76M
5.685M
$915.99M
1455
$6.18
$30.72M
4.97M
$658.05M
1456
POR Portland General Electric Company $53.70
$30.69M
571.596K
$6.21B
1457
GPK Graphic Packaging Holding Company $9.67
$30.67M
3.172M
$2.86B
1458
TM Toyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $210.64
$30.66M
145.561K
$332.71B
1459
$223.33
$30.64M
137.211K
$472.40M
1460
QDEL QuidelOrtho Corporation Common Stock $13.85
$30.59M
2.209M
$942.93M
1461
$26.97
$30.44M
1.129M
$1.25B
1462
APLE Apple Hospitality REIT, Inc. $12.48
$30.34M
2.431M
$2.95B
1463
RUSHA Rush Enterprises Inc $71.15
$30.34M
426.433K
$4.30B
1464
$1.68
$30.34M
18.058M
$1.43B
1465
PEB Pebblebrook Hotel Trust $13.58
$30.30M
2.231M
$1.54B
1466
BLTE Belite Bio, Inc American Depositary Shares $173.07
$30.28M
174.946K
$6.81B
1467
VRDN Viridian Therapeutics, Inc. Common Stock $14.45
$30.23M
2.092M
$1.48B
1468
$54.34
$30.20M
555.81K
$3.77B
1469
$13.65
$30.20M
2.212M
$1.05B
1470
MIAX Miami International Holdings, Inc. $41.95
$30.12M
717.942K
$3.84B
1471
$12.52
$30.07M
2.402M
$8.07B
1472
APAD A Paradise Acquisition Corp. Class A Ordinary Shares $10.27
$30.01M
2.922M
$211.56M
1473
TNGX Tango Therapeutics, Inc. $19.80
$29.97M
1.514M
$2.83B
1474
KRG Kite Realty Group Trust $25.51
$29.94M
1.174M
$5.18B
1475
INGR Ingredion Incorporated $114.66
$29.85M
260.305K
$7.22B
1476
$13.69
$29.84M
2.18M
$2.38B
1477
$124.60
$29.84M
239.463K
$6.31B
1478
CLMT Calumet Specialty Products Partners, L.P. $33.44
$29.78M
890.607K
$2.90B
1479
$49.45
$29.78M
602.188K
$10.21B
1480
GDS GDS Holdings Limited ADS $41.40
$29.53M
713.278K
$7.82B
1481
PATK Patrick Industries Inc $117.60
$29.43M
250.224K
$3.89B
1482
PB Prosperity Bancshares Inc $68.82
$29.40M
427.259K
$6.98B
1483
STWD STARWOOD PROPERTY TRUST, INC. $17.57
$29.34M
1.67M
$6.51B
1484
$35.52
$29.34M
825.925K
$6.22B
1485
LION Lionsgate Studios Corp. Common Shares $10.90
$29.31M
2.689M
$3.16B
1486
$134.15
$29.29M
218.373K
$8.15B
1487
$45.87
$29.27M
638.183K
$2.86B
1488
BILI Bilibili Inc. American Depositary Shares $23.85
$29.14M
1.222M
$7.99B
1489
AQN Algonquin Power & Utilities Corp $6.39
$29.12M
4.556M
$4.91B
1490
MZTI The Marzetti Company Common Stock $142.00
$29.05M
204.61K
$3.89B
1491
BEP Brookfield Renewable Partners L.P. $34.04
$29.04M
853.144K
$10.39B
1492
WAY Waystar Holding Corp. Common Stock $21.50
$29.01M
1.349M
$4.12B
1493
MKTX MarketAxess Holdings Inc. $171.94
$29.00M
168.662K
$6.11B
1494
$65.37
$28.81M
440.711K
$3.22B
1495
CRK Comstock Resources, Inc. $17.80
$28.78M
1.617M
$5.23B
1496
$11.03
$28.63M
2.596M
$5.10B
1497
$27.16
$28.62M
1.054M
$5.18B
1498
$9.71
$28.59M
2.944M
$2.31B
1499
BBVA Banco Bilbao Vizcaya Argentaria, S.A. $23.00
$28.52M
1.24M
$132.56B
1500
$596.87
$28.42M
47.608K
$6.94B