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.
1901
FINV FinVolution Group American depositary shares, each representing five Class A ordinary shares $9.55
$14.11M
1.478M
$2.42B
1902
$8.09
$14.10M
1.743M
$823.94M
1903
$62.30
$14.06M
225.73K
$2.15B
1904
$9.11
$14.05M
1.542M
$1.23B
1905
MTAL Metals Acquisition Limited $11.94
$14.03M
1.175M
$984.91M
1906
$16.75
$14.00M
835.986K
$1.37B
1907
$11.08
$14.00M
1.264M
$1.35B
1908
VNET VNET Group, Inc. American Depositary Shares $5.48
$13.97M
2.55M
$1.47B
1909
AMR Alpha Metallurgical Resources, Inc. $115.86
$13.97M
120.558K
$1.51B
1910
BH.A Biglari Holdings Inc. Class A Common Stock $1,345.00
$13.97M
10.384K
$834.70M
1911
$17.29
$13.96M
807.282K
$326.43M
1912
TCBI Texas Capital Bancshares, Inc. $75.72
$13.96M
184.311K
$3.48B
1913
$70.60
$13.92M
197.105K
$4.94B
1914
CON Concentra Group Holdings Parent, Inc. $21.90
$13.89M
634.44K
$2.81B
1915
$75.12
$13.88M
184.815K
$3.64B
1916
TRN Trinity Industries, Inc. $26.24
$13.88M
529.026K
$2.14B
1917
$67.68
$13.86M
204.83K
$3.18B
1918
CAPR Capricor Therapeutics Inc $10.95
$13.77M
1.258M
$500.50M
1919
NJR New Jersey Resources Corp $44.23
$13.77M
311.292K
$4.44B
1920
TRMD TORM plc Class A Common Stock $19.40
$13.74M
707.934K
$1.90B
1921
$70.99
$13.72M
193.223K
$1.65B
1922
VRRM Verra Mobility Corporation Class A Common Stock $24.24
$13.71M
565.4K
$3.86B
1923
$20.65
$13.70M
663.662K
$2.25B
1924
PRGS Progress Software Corp (DE) $62.60
$13.70M
218.861K
$2.69B
1925
HUBC Hub Cyber Security Ltd. Ordinary Shares $2.08
$13.67M
6.572M
$20.90M
1926
TRIN Trinity Capital Inc. Common Stock $14.43
$13.63M
944.67K
$932.91M
1927
HOVR New Horizon Aircraft Ltd. Class A Ordinary Share $2.36
$13.56M
5.745M
$74.07M
1928
$113.88
$13.53M
118.842K
$2.01B
1929
LGND Ligand Pharmaceuticals Inc. $114.64
$13.48M
117.567K
$2.21B
1930
FELE Franklin Electric Co Inc $85.73
$13.45M
156.911K
$3.91B
1931
$114.16
$13.45M
117.797K
$2.81B
1932
DFIN Donnelley Financial Solutions, Inc. $60.22
$13.44M
223.11K
$1.66B
1933
IART Integra LifeSciences Holdings $11.91
$13.40M
1.125M
$925.55M
1934
VMEO Vimeo, Inc. Common Stock $4.05
$13.39M
3.307M
$667.21M
1935
$183.26
$13.37M
72.972K
$3.40B
1936
XTIA XTI Aerospace, Inc. Common Stock $3.51
$13.31M
3.791M
$22.07M
1937
INTA Intapp, Inc. Common Stock $53.00
$13.30M
250.921K
$4.29B
1938
INMD InMode Ltd. Ordinary Shares $13.40
$13.29M
992.16K
$816.31M
1939
$27.82
$13.29M
477.699K
$1.19B
1940
HAYW Hayward Holdings, Inc. $13.50
$13.26M
982.191K
$2.92B
1941
LX LexinFintech Holdings Ltd. American Depositary Shares $7.10
$13.25M
1.867M
$1.19B
1942
KRP Kimbell Royalty Partners, LP Common Units representing Limited Partner Interests $14.57
$13.25M
909.134K
$1.36B
1943
IBRX ImmunityBio, Inc. Common Stock $2.85
$13.23M
4.643M
$2.52B
1944
MLYS Mineralys Therapeutics, Inc. Common Stock $13.73
$13.21M
962.391K
$894.86M
1945
CIGI Colliers International Group Inc. Subordinate Voting Shares $129.11
$13.18M
102.062K
$6.54B
1946
ACMR ACM Research, Inc. Class A Common Stock $25.19
$13.13M
521.206K
$1.61B
1947
IMCR Immunocore Holdings plc American Depositary Shares $31.70
$13.13M
414.166K
$1.59B
1948
$44.39
$13.08M
294.738K
$4.66B
1949
TIGO Millicom International Cellular S.A. Common Stock $36.99
$13.08M
353.622K
$6.17B
1950
MDU MDU Resources Group, Inc. $16.18
$13.08M
808.54K
$3.31B
1951
UROY Uranium Royalty Corp. Common Stock $2.53
$13.02M
5.148M
$338.10M
1952
$12.63
$12.97M
1.027M
$330.56M
1953
GPCR Structure Therapeutics Inc. American Depositary Shares $21.62
$12.96M
599.398K
$1.24B
1954
PGNY Progyny, Inc. Common Stock $21.65
$12.95M
598.305K
$1.86B
1955
SHC Sotera Health Company Common Stock $10.94
$12.94M
1.183M
$3.11B
1956
IDT IDT Corporation Class B $66.08
$12.94M
195.814K
$1.67B
1957
HMC Honda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock $29.81
$12.94M
434.041K
$41.24B
1958
$60.03
$12.93M
215.45K
$2.91B
1959
ATMU Atmus Filtration Technologies Inc. $35.22
$12.91M
366.588K
$2.91B
1960
$47.34
$12.91M
272.61K
$1.11B
1961
TFIN Triumph Financial, Inc. Common Stock $54.50
$12.90M
236.75K
$1.29B
1962
LASR nLIGHT, Inc. Common Stock $18.50
$12.89M
696.574K
$914.63M
1963
TPB Turning Point Brands, Inc. $74.45
$12.86M
172.687K
$1.33B
1964
JANX Janux Therapeutics, Inc. Common Stock $22.72
$12.85M
565.596K
$1.34B
1965
$75.21
$12.83M
170.578K
$3.53B
1966
FTS Fortis Inc. Common Shares $47.35
$12.81M
270.569K
$23.75B
1967
CEP Cantor Equity Partners, Inc. Class A Ordinary Shares $33.60
$12.81M
381.284K
$430.08M
1968
LLYVK Liberty Media Corporation Series C Liberty Live Common Stock $79.30
$12.81M
161.501K
$7.28B
1969
$60.20
$12.77M
212.19K
$2.27B
1970
WGO Winnebago Industries, Inc. $31.28
$12.75M
407.631K
$876.63M
1971
CSWC Capital Southwest Corp $21.34
$12.75M
597.474K
$1.17B
1972
$17.15
$12.74M
742.777K
$2.62B
1973
$66.95
$12.71M
189.866K
$2.42B
1974
IRON Disc Medicine, Inc. Common Stock $50.09
$12.68M
253.057K
$1.73B
1975
SNDX Syndax Pharmaceuticals, Inc. $9.75
$12.66M
1.299M
$838.96M
1976
PACB Pacific Biosciences of California, Inc. $1.30
$12.62M
9.708M
$390.11M
1977
PCH PotlatchDeltic Corporation Common Stock $38.35
$12.58M
328.061K
$3.01B
1978
$11.80
$12.56M
1.064M
$1.63B
1979
AMRX Amneal Pharmaceuticals, Inc. Class A Common Stock $7.94
$12.54M
1.58M
$2.49B
1980
PNRG PrimeEnergy Resources Corporation Common Stock $147.57
$12.54M
84.947K
$245.04M
1981
DLO DLocal Limited Class A Common Shares $10.06
$12.53M
1.245M
$2.87B
1982
OII Oceaneering International Inc. $21.56
$12.51M
580.227K
$2.17B
1983
CAN Canaan Inc. American Depositary Shares $0.6307
$12.49M
19.801M
$290.35M
1984
$46.91
$12.47M
265.874K
$3.04B
1985
ARWR Arrowhead Research Corporation $15.62
$12.46M
797.534K
$2.16B
1986
WKC World Kinect Corporation $28.04
$12.44M
443.63K
$1.59B
1987
TNGX Tango Therapeutics, Inc. $4.90
$12.44M
2.538M
$531.13M
1988
FA First Advantage Corporation Common Stock $17.25
$12.41M
719.147K
$3.00B
1989
CLDX Celldex Therapeutics, Inc $20.70
$12.39M
598.474K
$1.37B
1990
$14.80
$12.37M
835.992K
$2.48B
1991
$8.80
$12.36M
1.405M
$1.17B
1992
LBRDA Liberty Broadband Corporation Class A $89.29
$12.35M
138.305K
$12.80B
1993
CGON CG Oncology, Inc. Common stock $26.28
$12.34M
469.607K
$2.00B
1994
GOVX GeoVax Labs, Inc. New $0.9500
$12.32M
12.963M
$14.43M
1995
EVH Evolent Health, Inc Class A Common Stock $8.65
$12.29M
1.421M
$1.02B
1996
EBR Centrais Elétricas Brasileiras S.A.- Eletrobrás American Depositary Shares (Each representing one Common Share) $7.40
$12.29M
1.661M
$16.64B
1997
WWW Wolverine World Wide, Inc. $17.60
$12.27M
697.083K
$1.43B
1998
VIAV Viavi Solutions Inc. Common Stock $9.34
$12.24M
1.31M
$2.09B
1999
AKBA Akebia Therapeutics, Inc. $3.55
$12.20M
3.438M
$932.36M
2000
$54.79
$12.20M
222.623K
$10.31B