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
$38.16
$15.63M
409.472K
$3.50B
1902
REAL The RealReal, Inc. Common Stock $9.75
$15.62M
1.602M
$1.16B
1903
MPT Medical Properties Trust, Inc. $4.93
$15.60M
3.164M
$2.95B
1904
BBNX Beta Bionics, Inc. Common Stock $9.03
$15.60M
1.728M
$400.77M
1905
SBH Sally Beauty Holdings, Inc. $13.77
$15.58M
1.131M
$1.34B
1906
IFS Intercorp Financial Services Inc. $50.03
$15.57M
311.206K
$5.56B
1907
COLL Collegium Pharmaceutical, Inc. Common Stock $35.47
$15.56M
438.678K
$1.13B
1908
LBTYA Liberty Global Ltd. Class A Common Shares $12.11
$15.55M
1.284M
$2.11B
1909
NAK Northern Dynasty Minerals, Ltd. $1.74
$15.50M
8.905M
$974.55M
1910
EBC Eastern Bankshares, Inc. Common Stock $20.83
$15.49M
743.479K
$4.89B
1911
$80.17
$15.49M
193.172K
$2.87B
1912
HTGC Hercules Capital, Inc. $14.87
$15.47M
1.04M
$2.73B
1913
BETA Beta Technologies, Inc. $16.61
$15.42M
928.417K
$3.67B
1914
FCPT Four Corners Property Trust, Inc. $25.14
$15.40M
612.601K
$2.76B
1915
$37.01
$15.38M
415.684K
$5.24B
1916
PUK PRUDENTIAL PLC ADS (REP 2 ORD SHARES) $30.29
$15.38M
507.707K
$38.29B
1917
SERV Serve Robotics Inc. Common Stock $8.25
$15.37M
1.864M
$624.44M
1918
$92.21
$15.35M
166.468K
$1.72B
1919
HE Hawaiian Electric Industries, Inc. $15.70
$15.34M
977.255K
$2.71B
1920
NHC National Healthcare Corp. $170.85
$15.33M
89.756K
$2.67B
1921
$100.00
$15.32M
153.185K
$3.34B
1922
$5.10
$15.32M
3.003M
$909.82M
1923
$35.99
$15.30M
425.008K
$3.46B
1924
PRVA Privia Health Group, Inc. Common Stock $22.37
$15.27M
682.389K
$2.81B
1925
LMAT LeMaitre Vascular, Inc. $114.62
$15.25M
133.028K
$2.61B
1926
INMD InMode Ltd. Ordinary Shares $13.53
$15.16M
1.121M
$857.24M
1927
ABEO Abeona Therapeutics Inc. Common Stock $4.92
$15.15M
3.08M
$280.68M
1928
BHF Brighthouse Financial, Inc. $60.73
$15.14M
249.262K
$3.47B
1929
$3.25
$15.05M
4.63M
$1.14B
1930
CMPX Compass Therapeutics, Inc. Common Stock $5.21
$15.03M
2.885M
$938.26M
1931
$54.83
$15.02M
273.98K
$2.82B
1932
CARS Cars.com Inc. Common Stock $9.75
$14.99M
1.538M
$571.71M
1933
JAN JanOne Inc. Common Stock (NV) $23.81
$14.97M
628.826K
$6.26B
1934
TTI TETRA Technologies, Inc. $8.36
$14.94M
1.788M
$1.12B
1935
DVLT Datavault AI Inc. Common Stock $0.6850
$14.94M
21.813M
$420.80M
1936
$27.03
$14.93M
552.44K
$1.48B
1937
TNDM Tandem Diabetes Care, Inc. $19.30
$14.82M
767.861K
$1.32B
1938
$93.00
$14.79M
159.048K
$2.98B
1939
$4.48
$14.79M
3.301M
$1.55B
1940
KODK EASTMAN KODAK COMPANY $12.07
$14.79M
1.225M
$1.18B
1941
$2.77
$14.75M
5.324M
$412.11M
1942
PPC Pilgrims Pride Corporation $35.44
$14.74M
415.898K
$8.43B
1943
ACAD Acadia Pharmaceuticals Inc. $21.74
$14.72M
677.225K
$3.71B
1944
IBOC International Bancshares Corp $71.68
$14.72M
205.388K
$4.46B
1945
KOF Coca-Cola FEMSA, S.A.B DE C.V $104.69
$14.71M
140.481K
$5.50B
1946
AXIApC AXIA Energia American Depositary Shares, each representing one Preferred Class C Share $12.49
$14.70M
1.177M
$28.09B
1947
AMRX Amneal Pharmaceuticals, Inc. Class A Common Stock $12.54
$14.66M
1.169M
$4.00B
1948
CSGS CSG Systems International $80.04
$14.63M
182.764K
$2.28B
1949
$19.37
$14.58M
752.581K
$3.87B
1950
$137.19
$14.54M
106.002K
$4.10B
1951
$74.62
$14.48M
194.043K
$3.90B
1952
COLD Americold Realty Trust, Inc. $12.01
$14.47M
1.205M
$3.42B
1953
TMC TMC the metals company Inc. Common Stock $4.36
$14.47M
3.318M
$1.89B
1954
DRH DiamondRock Hospitality Company $10.18
$14.39M
1.414M
$2.08B
1955
REPL Replimune Group, Inc. $1.86
$14.36M
7.718M
$153.59M
1956
FFBC First Financial Bancorp $29.39
$14.34M
488.005K
$3.07B
1957
$30.60
$14.31M
467.711K
$4.21B
1958
$171.27
$14.31M
83.547K
$5.21B
1959
NATL NCR Atleos Corporation $44.20
$14.30M
323.612K
$3.26B
1960
DORM Dorman Products, Inc. New $109.48
$14.28M
130.404K
$3.30B
1961
$94.38
$14.27M
151.239K
$5.58B
1962
$25.46
$14.23M
559.074K
$1.52B
1963
CWEN Clearway Energy, Inc. Class C Common Stock $41.07
$14.20M
345.729K
$3.54B
1964
$112.05
$14.15M
126.318K
$3.87B
1965
NB NioCorp Developments Ltd. Common Stock $4.84
$14.13M
2.919M
$606.59M
1966
OII Oceaneering International Inc. $36.87
$14.11M
382.797K
$3.68B
1967
BZAI Blaize Holdings, Inc. Common Stock $2.12
$14.11M
6.653M
$260.22M
1968
$74.52
$14.10M
189.238K
$2.54B
1969
DV DoubleVerify Holdings, Inc. $9.55
$14.10M
1.477M
$1.55B
1970
$43.88
$14.07M
320.744K
$2.52B
1971
$24.00
$14.06M
585.805K
$1.72B
1972
$127.17
$14.04M
110.417K
$2.20B
1973
$39.57
$14.04M
354.82K
$827.58M
1974
CERT Certara, Inc. Common Stock $5.55
$14.04M
2.53M
$850.95M
1975
HP Helmerich & Payne, Inc. $34.68
$14.03M
404.693K
$3.46B
1976
XMTR Xometry, Inc. Class A Common Stock $39.61
$14.02M
353.864K
$1.99B
1977
$49.72
$14.00M
281.512K
$2.93B
1978
ARRY Array Technologies, Inc. Common Stock $7.25
$13.90M
1.918M
$1.11B
1979
$27.64
$13.90M
502.795K
$3.02B
1980
ROOT Root, Inc. Class A Common Stock $43.55
$13.89M
319.018K
$598.69M
1981
SNDR Schneider National, Inc. $28.29
$13.89M
490.866K
$2.61B
1982
$176.72
$13.84M
78.306K
$2.14B
1983
GOLF Acushnet Holdings Corp. $97.79
$13.83M
141.443K
$5.73B
1984
ONCO Onconetix, Inc. Common Stock $1.12
$13.80M
12.322M
$775.87K
1985
SBRA Sabra Healthcare REIT, Inc. $20.46
$13.78M
673.737K
$5.16B
1986
LINC Lincoln Educational Services $40.86
$13.77M
337.066K
$1.30B
1987
EVLV Evolv Technologies Holdings, Inc. Class A Common Stock $5.95
$13.74M
2.31M
$1.07B
1988
LINE Lineage, Inc. Common Stock $34.33
$13.70M
398.968K
$7.80B
1989
$39.89
$13.65M
342.146K
$4.06B
1990
BH Biglari Holdings Inc. Class B Common Stock $324.96
$13.61M
41.892K
$676.94M
1991
HGV Hilton Grand Vacations Inc. Common Stock $44.92
$13.60M
302.69K
$3.65B
1992
SXT Sensient Technology Corporation $93.16
$13.59M
145.839K
$3.96B
1993
WDS Woodside Energy Group Limited American Depositary Shares, each representing one Ordinary Share $23.61
$13.50M
571.6K
$44.88B
1994
PWP Perella Weinberg Partners Class A Common Stock $20.43
$13.42M
656.754K
$1.42B
1995
$32.16
$13.41M
417.124K
$2.32B
1996
$61.67
$13.38M
216.98K
$3.18B
1997
RSI Rush Street Interactive, Inc. $21.09
$13.38M
634.444K
$2.18B
1998
CNO CNO Financial Group, Inc. $42.25
$13.37M
316.467K
$3.96B
1999
QNCX Quince Therapeutics, Inc. Common Stock $0.1175
$13.37M
113.753M
$12.41M
2000
$37.83
$13.32M
352.101K
$1.83B