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
FINVFinVolution Group American depositary shares, each representing five Class A ordinary shares
$9.55
+0.20
+2.14%
$14.11M
1.478M
$2.42B
1902
HLFHerbalife Ltd.
$8.09
+0.34
+4.39%
$14.10M
1.743M
$823.94M
1903
BANRBanner Corp.
$62.30
+1.36
+2.23%
$14.06M
225.73K
$2.15B
1904
LEGLeggett & Platt, Inc.
$9.11
+0.05
+0.54%
$14.05M
1.542M
$1.23B
1905
MTALMetals Acquisition Limited
$11.94
+0.00
+0.00%
$14.03M
1.175M
$984.91M
1906
NTSTNetSTREIT Corp.
$16.75
+0.24
+1.45%
$14.00M
835.986K
$1.37B
1907
TICAcuren Corporation
$11.08
-0.12
-1.07%
$14.00M
1.264M
$1.35B
1908
VNETVNET Group, Inc. American Depositary Shares
$5.48
-0.14
-2.49%
$13.97M
2.55M
$1.47B
1909
AMRAlpha Metallurgical Resources, Inc.
$115.86
+2.52
+2.22%
$13.97M
120.558K
$1.51B
1910
BH.ABiglari Holdings Inc. Class A Common Stock
$1,345.00
+25.00
+1.89%
$13.97M
10.384K
$834.70M
1911
JACKJack in the Box Inc.
$17.29
-0.34
-1.93%
$13.96M
807.282K
$326.43M
1912
TCBITexas Capital Bancshares, Inc.
$75.72
+1.10
+1.47%
$13.96M
184.311K
$3.48B
1913
TKRThe Timken Company
$70.60
-0.06
-0.08%
$13.92M
197.105K
$4.94B
1914
CONConcentra Group Holdings Parent, Inc.
$21.90
+0.81
+3.84%
$13.89M
634.44K
$2.81B
1915
TNETTRINET GROUP, INC.
$75.12
-1.36
-1.78%
$13.88M
184.815K
$3.64B
1916
TRNTrinity Industries, Inc.
$26.24
+0.38
+1.47%
$13.88M
529.026K
$2.14B
1917
GFFGriffon Corp
$67.68
+0.55
+0.82%
$13.86M
204.83K
$3.18B
1918
CAPRCapricor Therapeutics Inc
$10.95
-1.08
-8.95%
$13.77M
1.258M
$500.50M
1919
NJRNew Jersey Resources Corp
$44.23
-0.11
-0.25%
$13.77M
311.292K
$4.44B
1920
TRMDTORM plc Class A Common Stock
$19.40
+0.21
+1.12%
$13.74M
707.934K
$1.90B
1921
LBLandBridge Company LLC
$70.99
+0.25
+0.35%
$13.72M
193.223K
$1.65B
1922
VRRMVerra Mobility Corporation Class A Common Stock
$24.24
+0.15
+0.62%
$13.71M
565.4K
$3.86B
1923
CXWCoreCivic, Inc.
$20.65
+0.30
+1.47%
$13.70M
663.662K
$2.25B
1924
PRGSProgress Software Corp (DE)
$62.60
-0.64
-1.01%
$13.70M
218.861K
$2.69B
1925
HUBCHub Cyber Security Ltd. Ordinary Shares
$2.08
+0.02
+0.97%
$13.67M
6.572M
$20.90M
1926
TRINTrinity Capital Inc. Common Stock
$14.43
-0.07
-0.48%
$13.63M
944.67K
$932.91M
1927
HOVRNew Horizon Aircraft Ltd. Class A Ordinary Share
$2.36
+0.61
+34.86%
$13.56M
5.745M
$74.07M
1928
KWRQuaker Houghton
$113.88
+0.70
+0.62%
$13.53M
118.842K
$2.01B
1929
LGNDLigand Pharmaceuticals Inc.
$114.64
+2.64
+2.36%
$13.48M
117.567K
$2.21B
1930
FELEFranklin Electric Co Inc
$85.73
+0.23
+0.27%
$13.45M
156.911K
$3.91B
1931
MGRCMcgrath Rentcorp
$114.16
+1.87
+1.67%
$13.45M
117.797K
$2.81B
1932
DFINDonnelley Financial Solutions, Inc.
$60.22
+0.92
+1.55%
$13.44M
223.11K
$1.66B
1933
IARTIntegra LifeSciences Holdings
$11.91
-0.20
-1.65%
$13.40M
1.125M
$925.55M
1934
VMEOVimeo, Inc. Common Stock
$4.05
-0.11
-2.64%
$13.39M
3.307M
$667.21M
1935
UNFUnifirst Corp
$183.26
-1.11
-0.60%
$13.37M
72.972K
$3.40B
1936
XTIAXTI Aerospace, Inc. Common Stock
$3.51
-0.60
-14.60%
$13.31M
3.791M
$22.07M
1937
INTAIntapp, Inc. Common Stock
$53.00
-0.99
-1.83%
$13.30M
250.921K
$4.29B
1938
INMDInMode Ltd. Ordinary Shares
$13.40
-0.05
-0.37%
$13.29M
992.16K
$816.31M
1939
RDWRRadware Ltd.
$27.82
+0.42
+1.53%
$13.29M
477.699K
$1.19B
1940
HAYWHayward Holdings, Inc.
$13.50
-0.01
-0.07%
$13.26M
982.191K
$2.92B
1941
LXLexinFintech Holdings Ltd. American Depositary Shares
$7.10
+0.03
+0.41%
$13.25M
1.867M
$1.19B
1942
KRPKimbell Royalty Partners, LP Common Units representing Limited Partner Interests
$14.57
+0.18
+1.25%
$13.25M
909.134K
$1.36B
1943
IBRXImmunityBio, Inc. Common Stock
$2.85
+0.01
+0.35%
$13.23M
4.643M
$2.52B
1944
MLYSMineralys Therapeutics, Inc. Common Stock
$13.73
-0.79
-5.44%
$13.21M
962.391K
$894.86M
1945
CIGIColliers International Group Inc. Subordinate Voting Shares
$129.11
+1.71
+1.34%
$13.18M
102.062K
$6.54B
1946
ACMRACM Research, Inc. Class A Common Stock
$25.19
+0.00
+0.00%
$13.13M
521.206K
$1.61B
1947
IMCRImmunocore Holdings plc American Depositary Shares
$31.70
-0.70
-2.16%
$13.13M
414.166K
$1.59B
1948
ACIWACI Worldwide, Inc.
$44.39
-0.58
-1.29%
$13.08M
294.738K
$4.66B
1949
TIGOMillicom International Cellular S.A. Common Stock
$36.99
-0.23
-0.62%
$13.08M
353.622K
$6.17B
1950
MDUMDU Resources Group, Inc.
$16.18
+0.01
+0.04%
$13.08M
808.54K
$3.31B
1951
UROYUranium Royalty Corp. Common Stock
$2.53
+0.01
+0.40%
$13.02M
5.148M
$338.10M
1952
OPFIOppFi Inc.
$12.63
+0.48
+3.95%
$12.97M
1.027M
$330.56M
1953
GPCRStructure Therapeutics Inc. American Depositary Shares
$21.62
+0.55
+2.61%
$12.96M
599.398K
$1.24B
1954
PGNYProgyny, Inc. Common Stock
$21.65
+0.15
+0.70%
$12.95M
598.305K
$1.86B
1955
SHCSotera Health Company Common Stock
$10.94
-0.07
-0.64%
$12.94M
1.183M
$3.11B
1956
IDTIDT Corporation Class B
$66.08
-1.09
-1.62%
$12.94M
195.814K
$1.67B
1957
HMCHonda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock
$29.81
+0.04
+0.13%
$12.94M
434.041K
$41.24B
1958
BLKBBlackbaud, Inc.
$60.03
-0.77
-1.27%
$12.93M
215.45K
$2.91B
1959
ATMUAtmus Filtration Technologies Inc.
$35.22
+0.18
+0.51%
$12.91M
366.588K
$2.91B
1960
LGIHLGI Homes, Inc.
$47.34
-0.86
-1.78%
$12.91M
272.61K
$1.11B
1961
TFINTriumph Financial, Inc. Common Stock
$54.50
-1.07
-1.93%
$12.90M
236.75K
$1.29B
1962
LASRnLIGHT, Inc. Common Stock
$18.50
-0.31
-1.65%
$12.89M
696.574K
$914.63M
1963
TPBTurning Point Brands, Inc.
$74.45
-1.38
-1.82%
$12.86M
172.687K
$1.33B
1964
JANXJanux Therapeutics, Inc. Common Stock
$22.72
-0.23
-1.00%
$12.85M
565.596K
$1.34B
1965
TGLSTecnoglass Inc.
$75.21
-2.23
-2.88%
$12.83M
170.578K
$3.53B
1966
FTSFortis Inc. Common Shares
$47.35
-0.15
-0.32%
$12.81M
270.569K
$23.75B
1967
CEPCantor Equity Partners, Inc. Class A Ordinary Shares
$33.60
-1.50
-4.27%
$12.81M
381.284K
$430.08M
1968
LLYVKLiberty Media Corporation Series C Liberty Live Common Stock
$79.30
+1.53
+1.97%
$12.81M
161.501K
$7.28B
1969
NSPInsperity, Inc
$60.20
-0.42
-0.69%
$12.77M
212.19K
$2.27B
1970
WGOWinnebago Industries, Inc.
$31.28
-0.32
-1.01%
$12.75M
407.631K
$876.63M
1971
CSWCCapital Southwest Corp
$21.34
+0.36
+1.72%
$12.75M
597.474K
$1.17B
1972
NOMDNomad Foods Limited
$17.15
+0.12
+0.70%
$12.74M
742.777K
$2.62B
1973
AIRAAR Corp.
$66.95
-0.38
-0.56%
$12.71M
189.866K
$2.42B
1974
IRONDisc Medicine, Inc. Common Stock
$50.09
+0.26
+0.52%
$12.68M
253.057K
$1.73B
1975
SNDXSyndax Pharmaceuticals, Inc.
$9.75
-0.10
-1.02%
$12.66M
1.299M
$838.96M
1976
PACBPacific Biosciences of California, Inc.
$1.30
-0.04
-2.99%
$12.62M
9.708M
$390.11M
1977
PCHPotlatchDeltic Corporation Common Stock
$38.35
+0.77
+2.05%
$12.58M
328.061K
$3.01B
1978
VYXNCR Voyix Corporation
$11.80
-0.06
-0.51%
$12.56M
1.064M
$1.63B
1979
AMRXAmneal Pharmaceuticals, Inc. Class A Common Stock
$7.94
+0.06
+0.76%
$12.54M
1.58M
$2.49B
1980
PNRGPrimeEnergy Resources Corporation Common Stock
$147.57
-1.70
-1.14%
$12.54M
84.947K
$245.04M
1981
DLODLocal Limited Class A Common Shares
$10.06
-0.09
-0.89%
$12.53M
1.245M
$2.87B
1982
OIIOceaneering International Inc.
$21.56
-0.58
-2.62%
$12.51M
580.227K
$2.17B
1983
CANCanaan Inc. American Depositary Shares
$0.6307
-0.0375
-5.61%
$12.49M
19.801M
$290.35M
1984
CALXCALIX, INC.
$46.91
-0.13
-0.28%
$12.47M
265.874K
$3.04B
1985
ARWRArrowhead Research Corporation
$15.62
+0.19
+1.23%
$12.46M
797.534K
$2.16B
1986
WKCWorld Kinect Corporation
$28.04
+0.02
+0.07%
$12.44M
443.63K
$1.59B
1987
TNGXTango Therapeutics, Inc.
$4.90
+0.14
+2.94%
$12.44M
2.538M
$531.13M
1988
FAFirst Advantage Corporation Common Stock
$17.25
-0.25
-1.43%
$12.41M
719.147K
$3.00B
1989
CLDXCelldex Therapeutics, Inc
$20.70
+0.71
+3.55%
$12.39M
598.474K
$1.37B
1990
DEIDouglas Emmett, Inc.
$14.80
-0.02
-0.13%
$12.37M
835.992K
$2.48B
1991
SFLSFL Corporation Ltd.
$8.80
+0.05
+0.58%
$12.36M
1.405M
$1.17B
1992
LBRDALiberty Broadband Corporation Class A
$89.29
+0.46
+0.52%
$12.35M
138.305K
$12.80B
1993
CGONCG Oncology, Inc. Common stock
$26.28
-0.05
-0.19%
$12.34M
469.607K
$2.00B
1994
GOVXGeoVax Labs, Inc. New
$0.9500
-0.0800
-7.77%
$12.32M
12.963M
$14.43M
1995
EVHEvolent Health, Inc Class A Common Stock
$8.65
+0.21
+2.49%
$12.29M
1.421M
$1.02B
1996
EBRCentrais Elétricas Brasileiras S.A.- Eletrobrás American Depositary Shares (Each representing one Common Share)
$7.40
-0.13
-1.73%
$12.29M
1.661M
$16.64B
1997
WWWWolverine World Wide, Inc.
$17.60
+0.33
+1.91%
$12.27M
697.083K
$1.43B
1998
VIAVViavi Solutions Inc. Common Stock
$9.34
+0.10
+1.08%
$12.24M
1.31M
$2.09B
1999
AKBAAkebia Therapeutics, Inc.
$3.55
+0.01
+0.28%
$12.20M
3.438M
$932.36M
2000
UHAL.BU-Haul Holding Company
$54.79
+0.77
+1.43%
$12.20M
222.623K
$10.31B