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
BIP Brookfield Infrastructure Partners L.P. Limited Partnership Units $37.29
$24.03M
644.374K
$17.17B
1902
GPCR Structure Therapeutics Inc. American Depositary Shares $55.50
$23.95M
431.569K
$3.94B
1903
$11.59
$23.92M
2.064M
$1.76B
1904
RUSHA Rush Enterprises Inc $73.94
$23.89M
323.167K
$4.51B
1905
FSK FS KKR Capital Corp. Common Stock $10.40
$23.89M
2.297M
$2.91B
1906
AQN Algonquin Power & Utilities Corp $5.63
$23.86M
4.237M
$4.33B
1907
BL BlackLine, Inc. Common Stock $29.04
$23.83M
820.648K
$1.70B
1908
NSSC Napco Security Technologies, Inc $36.09
$23.80M
659.597K
$1.29B
1909
PAY Paymentus Holdings, Inc. $28.27
$23.79M
841.418K
$1.78B
1910
ANNX Annexon, Inc. Common Stock $5.94
$23.71M
3.991M
$973.22M
1911
CRK Comstock Resources, Inc. $13.69
$23.66M
1.729M
$4.02B
1912
AWR American States Water Company $83.86
$23.59M
281.355K
$3.29B
1913
$35.98
$23.49M
652.851K
$3.30B
1914
HTO H2O America Common Stock $61.46
$23.48M
381.96K
$2.57B
1915
$18.78
$23.46M
1.249M
$9.47B
1916
OTF Blue Owl Technology Finance Corp. $10.15
$23.43M
2.308M
$4.70B
1917
NATL NCR Atleos Corporation $44.77
$23.43M
523.295K
$3.30B
1918
FFIN First Financial Bankshares Inc $34.63
$23.40M
675.718K
$4.96B
1919
AVAH Aveanna Healthcare Holdings Inc. Common Stock $9.85
$23.39M
2.374M
$2.14B
1920
VIPS Vipshop Holdings Limited $13.85
$23.32M
1.684M
$5.57B
1921
$91.65
$23.30M
254.219K
$4.20B
1922
EYPT EyePoint Pharmaceuticals, Inc. Common Stock $14.89
$23.29M
1.564M
$1.25B
1923
NSA National Storage Affiliates Trust $44.63
$23.28M
521.707K
$3.45B
1924
MRAM Everspin Technologies, Inc $18.06
$23.28M
1.289M
$423.46M
1925
$16.26
$23.24M
1.429M
$3.22B
1926
RZLV Rezolve AI Limited Ordinary Shares $2.62
$23.23M
8.866M
$881.08M
1927
ATMU Atmus Filtration Technologies Inc. $50.03
$23.19M
463.587K
$4.09B
1928
ZIM ZIM Integrated Shipping Services Ltd. $24.23
$23.19M
957.191K
$2.92B
1929
CLDX Celldex Therapeutics, Inc $38.98
$23.18M
594.67K
$3.06B
1930
BBUC Brookfield Business Corporation Class A Exchangeable Subordinate Voting Shares $30.45
$23.13M
759.639K
$6.27B
1931
CDP COPT Defense Properties $36.42
$23.12M
634.825K
$4.13B
1932
IRT Independence Realty Trust Inc. $16.72
$23.12M
1.383M
$3.94B
1933
IRON Disc Medicine, Inc. Common Stock $78.94
$23.08M
292.362K
$3.02B
1934
VELO Velo3D, Inc. Common stock $14.51
$23.03M
1.587M
$432.41M
1935
FTS Fortis Inc. Common Shares $57.11
$22.86M
400.307K
$29.08B
1936
UCB United Community Banks, Inc. $35.26
$22.85M
647.993K
$4.22B
1937
ANIP ANI Pharmaceuticals, Inc. $83.78
$22.78M
271.905K
$1.90B
1938
CUBI CUSTOMERS BANCORP INC $76.07
$22.74M
298.915K
$2.57B
1939
GHC GRAHAM HOLDINGS COMPANY $1,157.96
$22.71M
19.612K
$3.87B
1940
HROW Harrow, Inc. Common Stock $42.93
$22.70M
528.661K
$1.60B
1941
$25.19
$22.58M
896.447K
$2.63B
1942
DORM Dorman Products, Inc. New $136.48
$22.55M
165.197K
$4.08B
1943
LLYVK Liberty Media Corporation Series C Liberty Live Common Stock $105.43
$22.54M
213.788K
$6.74B
1944
SNDR Schneider National, Inc. $37.05
$22.48M
606.873K
$3.41B
1945
$39.14
$22.43M
573.119K
$2.00B
1946
TALO Talos Energy, Inc. Common Stock $13.70
$22.26M
1.625M
$2.29B
1947
$42.54
$22.24M
522.814K
$2.68B
1948
AEVA Aeva Technologies, Inc. $22.09
$22.22M
1.006M
$1.39B
1949
CLRO ClearOne, Inc. (DE) Common Stock $9.15
$22.21M
2.427M
$24.48M
1950
$14.73
$22.19M
1.506M
$1.92B
1951
RCUS Arcus Biosciences, Inc. $29.96
$22.12M
738.461K
$3.77B
1952
JAN JanOne Inc. Common Stock (NV) $29.13
$22.11M
758.885K
$5.45B
1953
PAGP Plains GP Holdings, L.P. Class A Units representing Limited Partner Interests $24.67
$22.04M
893.593K
$4.88B
1954
ZVRA Zevra Therapeutics, Inc. Common Stock $13.80
$22.00M
1.594M
$815.79M
1955
ZD Ziff Davis, Inc. Common Stock $52.86
$21.99M
416.018K
$1.95B
1956
CLOV Clover Health Investments, Corp $4.72
$21.99M
4.657M
$2.04B
1957
$89.21
$21.95M
246.079K
$3.89B
1958
OMDA Omada Health, Inc. Common Stock $23.13
$21.93M
947.907K
$1.38B
1959
SATL Satellogic Inc. Class A Ordinary Shares $4.62
$21.91M
4.743M
$636.00M
1960
STRA Strategic Education, Inc. Common Stock $83.48
$21.87M
262.003K
$1.89B
1961
$58.55
$21.87M
373.522K
$10.33B
1962
$55.06
$21.84M
396.739K
$3.25B
1963
BEP Brookfield Renewable Partners L.P. $32.98
$21.66M
656.805K
$9.95B
1964
LINC Lincoln Educational Services $54.68
$21.59M
394.835K
$1.73B
1965
ATAT Atour Lifestyle Holdings Limited American Depositary Shares $31.66
$21.58M
681.529K
$3.53B
1966
SGRY Surgery Partners, Inc. Common Stock $16.77
$21.55M
1.285M
$2.19B
1967
$24.70
$21.48M
869.676K
$3.73B
1968
$16.74
$21.47M
1.283M
$690.46M
1969
$18.99
$21.45M
1.13M
$975.97M
1970
SLF Sun Life Financial Inc. $80.29
$21.45M
267.125K
$44.79B
1971
TNDM Tandem Diabetes Care, Inc. $15.53
$21.38M
1.377M
$1.06B
1972
IMCR Immunocore Holdings plc American Depositary Shares $33.08
$21.30M
643.785K
$1.68B
1973
$44.00
$21.27M
483.428K
$6.96B
1974
NAMS NewAmsterdam Pharma Company N.V. Ordinary Shares $35.92
$21.25M
591.666K
$4.20B
1975
HAPN Happen, Inc. Common Stock $19.85
$21.23M
1.07M
$2.29B
1976
BYND Beyond Meat, Inc. Common Stock $0.6732
$21.17M
31.45M
$346.93M
1977
SKYQ Sky Quarry Inc. Common Stock $3.17
$21.17M
6.678M
$15.20M
1978
TX Ternium S.A. American Depositary Shares $43.42
$21.16M
487.411K
$8.70B
1979
SFNC Simmons First National Corp $22.71
$21.09M
928.796K
$3.29B
1980
BH Biglari Holdings Inc. Class B Common Stock $394.70
$21.09M
53.429K
$822.22M
1981
FWONA Liberty Media Corporation Series A Liberty Formula One Common Stock $88.30
$21.09M
238.797K
$2.12B
1982
CALY Callaway Golf Company $18.38
$21.07M
1.147M
$3.30B
1983
$82.50
$21.06M
255.302K
$3.65B
1984
BYRN Byrna Technologies, Inc. Common Stock $3.95
$21.05M
5.33M
$89.60M
1985
$66.85
$21.01M
314.229K
$2.27B
1986
WAFD WaFd, Inc. Common Stock $37.77
$20.94M
554.494K
$2.79B
1987
UNFI United Natural Foods Inc $47.94
$20.90M
435.982K
$2.90B
1988
$174.95
$20.79M
118.857K
$6.21B
1989
CWT California Water Service $49.11
$20.76M
422.722K
$2.94B
1990
UGP Ultrapar Participacoes S.A. $5.81
$20.76M
3.573M
$6.48B
1991
CCO Clear Channel Outdoor Holdings, Inc. Common Stock $2.41
$20.64M
8.566M
$1.23B
1992
MD Pediatrix Medical Group, Inc. $27.00
$20.59M
762.638K
$2.22B
1993
CHEF The Chef's Warehouse Inc $97.21
$20.57M
211.574K
$3.96B
1994
SVM Silvercorp Metals Inc. Common Shares $9.55
$20.55M
2.152M
$2.11B
1995
EDU New Oriental Education and Technology Group, Inc. American Depositary Shares (each representing ten (10) Common Shares) $48.67
$20.54M
422.1K
$7.69B
1996
YSS York Space Systems Inc. $20.60
$20.54M
997.234K
$2.67B
1997
PRME Prime Medicine, Inc. Common Stock $4.23
$20.53M
4.854M
$764.01M
1998
HE Hawaiian Electric Industries, Inc. $13.38
$20.52M
1.533M
$2.31B
1999
$11.83
$20.50M
1.733M
$1.98B
2000
$7.37
$20.49M
2.781M
$1.63B