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
SHC Sotera Health Company Common Stock $17.70
$5.20K
294
$5.03B
1902
CRDF Cardiff Oncology, Inc. Common Stock $3.11
$5.19K
1.669K
$209.57M
1903
$3.69
$5.18K
1.405K
$781.54M
1904
$21.48
$5.18K
241
$2.41B
1905
MGRT Mega Fortune Company Limited Ordinary Shares $8.50
$5.18K
609
$116.88M
1906
DFSC DEFSEC Technologies Inc. Common Stock $1.86
$5.17K
2.779K
$3.71M
1907
VYNE VYNE Therapeutics Inc. Common Stock $0.5826
$5.15K
8.845K
$19.39M
1908
SHFS SHF Holdings, Inc. Class A Common Stock $1.19
$5.15K
4.325K
$3.67M
1909
$5.13
$5.13K
1K
$153.11M
1910
XRPN Armada Acquisition Corp. II Class A Ordinary Shares $10.21
$5.11K
500
$322.53M
1911
LINE Lineage, Inc. Common Stock $33.98
$5.10K
150
$7.76B
1912
YHC LQR House Inc. Common Stock $0.9014
$5.09K
5.649K
$19.26M
1913
FITBI Fifth Third Bancorp Depositary Shares $25.45
$5.09K
200
$458.10M
1914
$5.52
$5.07K
919
$699.29M
1915
$26.13
$5.04K
193
$2.63B
1916
HKD AMTD Digital Inc. American Depositary Shares (every five of which represent two Class A Ordinary Shares) $1.35
$5.04K
3.734K
$424.28M
1917
RIGL Rigel Pharmaceuticals Inc. (New) $44.01
$5.02K
114
$798.84M
1918
AIRJ Montana Technologies Corporation Class A Common Stock $3.95
$5.01K
1.267K
$239.83M
1919
PRTH Priority Technology Holdings, Inc. $5.50
$5.01K
910
$450.29M
1920
TGHL The GrowHub Limited Class A Ordinary Shares $0.3448
$5.00K
14.513K
$8.72M
1921
BRZE Braze, Inc. Class A Common Stock $35.19
$5.00K
142
$3.95B
1922
LBTYA Liberty Global Ltd. Class A Common Shares $11.10
$5.00K
450
$3.74B
1923
BWAY Brainsway Ltd. American Depositary Shares $19.50
$4.99K
256
$381.75M
1924
$46.17
$4.99K
108
$3.18B
1925
$18.39
$4.98K
271
$2.98B
1926
PRSO Peraso, Inc. Common Stock $1.00
$4.98K
4.978K
$9.37M
1927
APOG Apogee Enterprises Inc $37.96
$4.97K
131
$816.55M
1928
AERT Aeries Technology, Inc. Class A Ordinary Share $0.5300
$4.97K
9.378K
$25.89M
1929
SUIG Sui Group Holdings Limited Common Stock $1.77
$4.96K
2.803K
$147.03M
1930
AIOT PowerFleet, Inc. Common Stock $5.35
$4.96K
927
$715.96M
1931
EVAX Evaxion Biotech A/S American Depositary Share $5.22
$4.96K
950
$43.54M
1932
PRMB Primo Brands Corporation $16.52
$4.96K
300
$6.04B
1933
APLS Apellis Pharmaceuticals, Inc. Common Stock $24.97
$4.94K
198
$3.16B
1934
CNNE Cannae Holdings, Inc. Common Stock $16.47
$4.94K
300
$851.48M
1935
AEC Anfield Energy Inc. Common Shares $5.16
$4.88K
946
$81.93M
1936
DGLY Digital Ally, Inc. Common Stock $0.7481
$4.87K
6.51K
$1.42M
1937
GCL GCL Global Holdings Ltd Ordinary Shares $1.02
$4.86K
4.765K
$125.02M
1938
$12.65
$4.86K
384
$2.08B
1939
$19.49
$4.85K
249
$1.00B
1940
TLK PT Telekomunikasi Indonesia $21.09
$4.83K
229
$20.89B
1941
GNPX Genprex, Inc. Common Stock $1.83
$4.82K
2.634K
$4.15M
1942
BIAF bioAffinity Technologies, Inc. Common Stock $1.19
$4.82K
4.05K
$5.35M
1943
PCVX Vaxcyte, Inc. Common Stock $46.97
$4.79K
102
$6.15B
1944
WHLR Wheeler Real Estate Investment Trust, Inc $1.80
$4.77K
2.652K
$3.41M
1945
NECB Northeast Community Bancorp, Inc. $22.83
$4.77K
209
$307.83M
1946
MODG Topgolf Callaway Brands Corp. $11.52
$4.77K
414
$2.12B
1947
KLIC Kulicke & Soffa Industries Inc $46.75
$4.77K
102
$2.45B
1948
AEXA American Exceptionalism Acquisition Corp. A $11.54
$4.77K
413
$570.78M
1949
$39.70
$4.76K
120
$871.12M
1950
$1.95
$4.76K
2.443K
$143.72M
1951
OS OneStream, Inc. Class A Common Stock $18.45
$4.76K
258
$3.47B
1952
POR Portland General Electric Company $47.57
$4.76K
100
$5.35B
1953
RADX Radiopharm Theranostics Limited American Depositary Shares $5.28
$4.75K
900
$41.62M
1954
WGRX Wellgistics Health, Inc. Common Stock $0.4045
$4.75K
11.744K
$41.38M
1955
WKC World Kinect Corporation $23.55
$4.73K
201
$1.31B
1956
ELVA Electrovaya Inc. Common Shares $7.79
$4.67K
600
$354.54M
1957
BVC BitVentures Limited American Depositary Shares $1.08
$4.67K
4.325K
$90.72M
1958
CGNT Cognyte Software Ltd. Ordinary Shares $9.33
$4.67K
500
$681.55M
1959
$15.70
$4.63K
295
$5.73B
1960
IZEA IZEA Worldwide, Inc. Common Stock $4.41
$4.63K
1.05K
$75.44M
1962
SPRO Spero Therapeutics, Inc. Common Stock $2.40
$4.59K
1.911K
$135.21M
1963
CODA Coda Octopus Group, Inc. Common stock $9.70
$4.56K
470
$109.11M
1964
EUDA EUDA Health Holdings Limited Ordinary Shares $2.50
$4.56K
1.822K
$94.52M
1965
$11.00
$4.53K
412
$120.90M
1966
BEKE KE Holdings Inc. American Depositary Shares (each representing three Class A Ordinary Shares) $16.17
$4.53K
280
$18.80B
1967
ARQ Arq, Inc. Common Stock $3.41
$4.51K
1.323K
$145.59M
1968
TCRT Alaunos Therapeutics, Inc. Common Stock $3.22
$4.51K
1.4K
$7.19M
1969
CYN Cyngn Inc. Common Stock $2.86
$4.48K
1.566K
$22.81M
1970
MRKR Marker Therapeutics, Inc. Common Stock $1.42
$4.47K
3.15K
$23.68M
1971
NESR National Energy Services Reunited Corp. Ordinary Shares $15.09
$4.47K
296
$1.52B
1972
SSSS SuRo Capital Corp. Common Stock $9.70
$4.46K
460
$243.66M
1973
OLPX Olaplex Holdings, Inc. Common Stock $1.31
$4.45K
3.4K
$874.44M
1974
$5.55
$4.44K
800
$155.49M
1975
$44.28
$4.43K
100
$573.50M
1976
ATNI ATN International, Inc $22.13
$4.43K
200
$337.65M
1977
CTMX CytomX Therapeutics, Inc. $4.42
$4.42K
1.001K
$748.90M
1978
IMPP Imperial Petroleum Inc. Common Shares $3.80
$4.42K
1.164K
$137.65M
1979
$3.55
$4.42K
1.244K
$46.19M
1980
$6.53
$4.39K
673
$861.09M
1981
PHAR Pharming Group N.V. ADS, each representing 10 ordinary shares $17.07
$4.37K
256
$1.19B
1982
TRAW Traws Pharma, Inc. Common Stock $1.17
$4.37K
3.733K
$9.35M
1983
$43.48
$4.35K
100
$8.10B
1984
GOTU Gaotu Techedu Inc. American Depositary Shares, three of which representing two Class A Ordinary Shares $2.33
$4.35K
1.866K
$563.98M
1985
MSAI MultiSensor AI Holdings, Inc. Common Stock $0.4231
$4.35K
10.27K
$33.90M
1986
STAI ScanTech AI Systems Inc. Common stock $2.79
$4.34K
1.558K
$10.54M
1987
SON Sonoco Products Company $43.35
$4.34K
100
$4.28B
1988
GAMB Gambling.com Group Limited Ordinary Shares $5.22
$4.33K
829
$183.57M
1991
STGW Stagwell Inc. Class A Common Stock $4.95
$4.23K
854
$1.25B
1992
XIFR XPLR Infrastructure, LP $9.34
$4.20K
450
$877.65M
1993
XRX Xerox Holdings Corporation Common Stock $2.48
$4.20K
1.692K
$317.54M
1994
CNXC Concentrix Corporation Common Stock $41.96
$4.20K
100
$2.61B
1995
INAB IN8bio, Inc. Common Stock $2.20
$4.19K
1.905K
$21.48M
1996
BEP Brookfield Renewable Partners L.P. $26.67
$4.19K
157
$8.16B
1997
PTLE PTL LTD Ordinary Shares $0.1145
$4.19K
36.563K
$11.16M
1998
AMX America Movil S.A.B de C.V American Depositary Shares (each representing the right to receive twenty (20) Series B Shares) $20.90
$4.18K
200
$62.99B
1999
XERS Xeris Biopharma Holdings, Inc. Common Stock $7.33
$4.18K
570
$1.22B
2000
BMBL Bumble Inc. Class A Common Stock $3.48
$4.18K
1.2K
$392.37M