Stock Rankings by Dollar Volume - Rankings 1901 to 2000

Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 1901 to 2000.

#
Symbol
Last Price
Change (Day)
Change % (Day)
$ Volume (Day)
Volume (Day)
Market Cap
1901
SRADSportradar Group AG Class A Ordinary Shares
$17.75
+0.50
+2.90%
$20.39M
1.149M
$3.93B
1902
NAKNorthern Dynasty Minerals, Ltd.
$1.53
+0.15
+10.85%
$20.35M
13.301M
$856.45M
1903
MLYSMineralys Therapeutics, Inc. Common Stock
$29.96
+0.74
+2.53%
$20.33M
678.65K
$2.37B
1904
ULCCFrontier Group Holdings, Inc. Common Stock
$4.65
-0.25
-5.10%
$20.32M
4.37M
$1.07B
1905
EZPWEzcorp Inc
$25.43
+0.30
+1.19%
$20.30M
798.402K
$1.49B
1906
NWENorthWestern Energy Group, Inc. Common Stock
$69.42
+0.17
+0.25%
$20.18M
290.719K
$4.27B
1907
AXIAAXIA Energia American Depositary Shares (Each representing one Common Share)
$11.91
+0.13
+1.10%
$20.16M
1.692M
$24.16B
1908
APAMARTISAN PARTNERS ASSET MANAGEMENT INC.
$40.06
+0.09
+0.23%
$20.11M
502.118K
$2.82B
1909
FGLFounder Group Limited Ordinary Shares
$10.80
+2.07
+23.71%
$20.04M
1.855M
$1.99M
1910
MSMMSC Industrial Direct Co., Inc. Class A
$93.66
+1.49
+1.62%
$19.96M
213.089K
$5.23B
1911
BBTBeacon Financial Corporation
$30.76
+0.10
+0.33%
$19.94M
648.336K
$2.58B
1912
YSSYork Space Systems Inc.
$27.99
+0.78
+2.87%
$19.94M
712.244K
$3.55B
1913
MUXMcEwen Mining Inc.
$26.97
+0.97
+3.73%
$19.93M
739.131K
$1.47B
1914
AORTArtivion, Inc.
$35.35
-1.83
-4.92%
$19.85M
561.584K
$1.69B
1915
ARVNArvinas, Inc
$12.37
+0.40
+3.34%
$19.76M
1.598M
$794.45M
1916
DINDine Brands Global, Inc.
$30.60
-0.18
-0.58%
$19.76M
645.702K
$441.37M
1917
IMVTImmunovant, Inc. Common Stock
$27.52
+0.16
+0.58%
$19.72M
716.747K
$5.60B
1918
CBTCabot Corporation
$75.75
+0.42
+0.56%
$19.68M
259.782K
$3.96B
1919
ADPTAdaptive Biotechnologies Corporation Common Stock
$16.05
+0.66
+4.29%
$19.67M
1.225M
$2.45B
1920
AQNAlgonquin Power & Utilities Corp
$6.79
+0.01
+0.15%
$19.66M
2.896M
$5.22B
1921
GOGrocery Outlet Holding Corp. Common Stock
$10.09
+0.05
+0.50%
$19.60M
1.943M
$990.20M
1922
HTZHertz Global Holdings, Inc Common Stock
$4.44
-0.07
-1.55%
$19.60M
4.415M
$1.38B
1923
CAPRCapricor Therapeutics Inc
$28.46
+0.81
+2.93%
$19.51M
685.687K
$1.30B
1924
FULTFulton Financial Corp
$21.17
-0.10
-0.47%
$19.43M
918.008K
$3.82B
1925
FBPFirst BanCorp.
$21.90
+0.09
+0.41%
$19.43M
887.31K
$3.46B
1926
MBOTMicrobot Medical, Inc. Common Stock
$2.51
+0.46
+22.44%
$19.43M
7.741M
$168.57M
1927
DCHDauch Corporation
$6.98
+0.18
+2.65%
$19.40M
2.78M
$1.65B
1928
DBDDiebold Nixdorf, Incorporated
$80.70
+0.99
+1.24%
$19.40M
240.392K
$2.84B
1929
MWHSOLV Energy, Inc. Class A Common Stock
$30.80
-0.38
-1.22%
$19.40M
629.792K
$3.46B
1930
VOYGVoyager Technologies, Inc.
$27.56
+0.77
+2.87%
$19.36M
702.391K
$1.48B
1931
MGNIMagnite, Inc. Common Stock
$11.70
+0.33
+2.90%
$19.29M
1.649M
$1.68B
1932
DEIDouglas Emmett, Inc.
$10.08
-0.07
-0.69%
$19.28M
1.913M
$1.69B
1933
GNTXGentex Corp
$23.79
+0.17
+0.72%
$19.19M
806.587K
$5.21B
1934
OGSONE GAS, INC.
$85.39
-0.36
-0.42%
$19.12M
223.898K
$5.35B
1935
ENOVEnovis Corporation
$22.88
+0.28
+1.24%
$19.07M
833.546K
$1.31B
1936
SFDSmithfield Foods, Inc. Common Stock
$25.38
-0.13
-0.51%
$19.06M
750.898K
$9.98B
1937
UMACUnusual Machines, Inc.
$13.34
-0.22
-1.62%
$19.02M
1.425M
$491.92M
1938
RSIRush Street Interactive, Inc.
$18.75
+0.22
+1.19%
$18.98M
1.012M
$1.93B
1939
BHEBenchmark Electronics
$59.59
+1.45
+2.49%
$18.96M
318.202K
$2.13B
1940
TREELendingTree, Inc.
$34.30
+0.15
+0.44%
$18.91M
551.243K
$468.90M
1941
CABACabaletta Bio, Inc. Common Stock
$3.27
+0.40
+13.74%
$18.88M
5.774M
$314.79M
1942
KWKENNEDY-WILSON HOLDINGS, INC.
$10.88
-0.05
-0.46%
$18.86M
1.733M
$1.50B
1943
BNLBroadstone Net Lease, Inc.
$19.22
+0.17
+0.89%
$18.83M
979.477K
$3.68B
1944
LEGLeggett & Platt, Inc.
$11.55
+0.20
+1.76%
$18.79M
1.627M
$1.56B
1945
TRINTrinity Capital Inc. Common Stock
$15.01
+0.27
+1.83%
$18.71M
1.246M
$1.14B
1946
MAMAMama's Creations, Inc. Common Stock
$17.38
+1.23
+7.62%
$18.69M
1.075M
$706.55M
1947
NEOGNeogen Corp
$11.22
-0.13
-1.15%
$18.64M
1.661M
$2.44B
1948
WINAWinmark Corp
$448.00
-4.55
-1.01%
$18.61M
41.548K
$1.60B
1949
ABAllianceBernstein Holding, L.P.
$38.54
+0.04
+0.10%
$18.60M
482.713K
$3.56B
1950
CRVSCorvus Pharmaceuticals, Inc.
$17.82
+0.71
+4.15%
$18.60M
1.044M
$1.49B
1951
CTEVClaritev Corporation
$13.87
-9.98
-41.84%
$18.57M
1.339M
$229.21M
1952
CALXCALIX, INC.
$53.45
-0.74
-1.37%
$18.57M
347.433K
$3.54B
1953
FHIFederated Hermes, Inc.
$55.40
+0.75
+1.37%
$18.56M
335.008K
$4.30B
1954
VCYTVeracyte, Inc.
$35.69
+0.03
+0.08%
$18.51M
518.633K
$2.82B
1955
PGNYProgyny, Inc. Common Stock
$20.78
-0.52
-2.44%
$18.49M
889.911K
$1.79B
1956
FHBFirst Hawaiian, Inc. Common Stock
$25.07
+0.03
+0.12%
$18.49M
737.497K
$3.10B
1957
ASGNASGN Incorporated
$40.50
-0.42
-1.03%
$18.45M
455.476K
$1.73B
1958
GENIGenius Sports Limited
$5.85
+0.01
+0.09%
$18.40M
3.147M
$1.26B
1959
NHINational Health Investors
$88.97
-1.02
-1.13%
$18.39M
206.7K
$4.24B
1960
CURBCurbline Properties Corp.
$27.63
-0.19
-0.68%
$18.37M
664.928K
$2.91B
1961
MZTIThe Marzetti Company Common Stock
$165.76
+1.36
+0.83%
$18.34M
110.634K
$4.55B
1962
OMCLOmnicell Inc
$40.15
+0.16
+0.40%
$18.20M
453.196K
$1.80B
1963
DCODucommun Incorporated
$125.80
+1.11
+0.89%
$18.02M
143.25K
$1.88B
1964
ELVNEnliven Therapeutics, Inc. Common Stock
$28.32
+0.92
+3.36%
$17.98M
634.967K
$1.68B
1965
KMPRKemper Corporation
$31.25
+0.54
+1.76%
$17.87M
571.958K
$1.83B
1966
PLOWDOUGLAS DYNAMICS, INC.
$44.39
-0.61
-1.36%
$17.83M
401.62K
$1.02B
1967
EYPTEyePoint Pharmaceuticals, Inc. Common Stock
$17.05
-0.02
-0.12%
$17.79M
1.043M
$1.41B
1968
MGRCMcgrath Rentcorp
$114.48
+1.39
+1.23%
$17.76M
155.134K
$2.82B
1969
AMLXAmylyx Pharmaceuticals, Inc. Common Stock
$14.71
+0.71
+5.07%
$17.75M
1.206M
$1.62B
1970
HIVEHIVE Digital Technologies Ltd. Common Shares
$2.19
+0.09
+4.29%
$17.74M
8.101M
$549.51M
1971
MNPRMonopar Therapeutics Inc. Common Stock
$56.71
+0.42
+0.75%
$17.74M
312.823K
$378.97M
1972
MRXMarex Group plc Ordinary Shares
$40.49
+0.55
+1.38%
$17.66M
436.242K
$2.95B
1973
TMQTrilogy Metals Inc
$4.38
+0.35
+8.68%
$17.66M
4.032M
$749.59M
1974
ATEXAnterix Inc. Common Stock
$38.20
+1.82
+5.00%
$17.65M
462.151K
$715.60M
1975
ARLPAlliance Resource Partners LP
$26.21
-0.89
-3.28%
$17.63M
672.581K
$3.37B
1976
BWINThe Baldwin Insurance Group, Inc. Class A Common Stock
$16.60
+0.03
+0.18%
$17.60M
1.06M
$1.19B
1977
WLDNWilldan Group, Inc.
$111.67
+0.53
+0.48%
$17.57M
157.295K
$1.65B
1978
FEIMFrequency Electronics, Inc.
$52.53
+6.72
+14.67%
$17.55M
334.026K
$513.62M
1979
CRNXCrinetics Pharmaceuticals, Inc.
$44.52
+1.22
+2.82%
$17.53M
393.809K
$4.22B
1980
BLTEBelite Bio, Inc American Depositary Shares
$186.49
-1.51
-0.80%
$17.36M
93.067K
$7.00B
1981
CAECAE INC
$29.11
+0.21
+0.73%
$17.34M
595.565K
$9.37B
1982
MCYMercury General Corp.
$85.77
+2.27
+2.72%
$17.34M
202.14K
$4.75B
1983
IPARInter Parfums Inc
$103.02
+1.39
+1.37%
$17.33M
168.206K
$3.30B
1984
SNDRSchneider National, Inc.
$27.44
+0.20
+0.73%
$17.32M
631.178K
$2.53B
1985
MAXMediaAlpha, Inc.
$8.97
+0.13
+1.47%
$17.32M
1.931M
$510.11M
1986
CCBCoastal Financial Corporation
$78.90
+3.56
+4.73%
$17.19M
217.835K
$1.19B
1987
PPCPilgrims Pride Corporation
$41.81
+0.76
+1.85%
$17.17M
410.7K
$9.93B
1988
YPFYPF Sociedad Anonima
$38.01
+0.31
+0.82%
$17.15M
451.145K
$14.95B
1989
ARQTArcutis Biotherapeutics, Inc. Common Stock
$26.98
+0.69
+2.62%
$17.12M
634.599K
$3.30B
1990
CLDXCelldex Therapeutics, Inc
$24.84
+0.30
+1.22%
$17.12M
689.205K
$1.65B
1991
PTLOPortillo's Inc. Class A Common Stock
$5.33
-0.37
-6.49%
$17.12M
3.211M
$383.40M
1992
ASSTAsset Entities Inc. Class B Common Stock
$7.21
-0.10
-1.41%
$17.10M
2.372M
$454.39M
1993
IHSIHS Holding Limited
$7.98
+0.06
+0.76%
$17.09M
2.142M
$2.68B
1994
HIWHighwoods Properties Inc.
$23.07
+0.34
+1.50%
$17.09M
740.933K
$2.54B
1995
SPBSpectrum Brands Holdings, Inc.
$78.20
-1.04
-1.31%
$17.08M
218.454K
$1.81B
1996
MDUMDU Resources Group, Inc.
$20.30
+0.22
+1.10%
$17.05M
839.965K
$4.15B
1997
COHUCohu Inc
$30.60
-0.30
-0.97%
$17.04M
556.92K
$1.43B
1998
NATNordic American Tanker
$5.00
+0.09
+1.83%
$16.97M
3.394M
$1.06B
1999
SLDPSolid Power, Inc. Class A Common Stock
$3.72
-0.03
-0.80%
$16.94M
4.555M
$710.61M
2000
TLRYTilray Brands, Inc. Common Stock
$7.88
+0.39
+5.21%
$16.94M
2.149M
$918.07M