Stock Rankings by Dollar Volume - Rankings 2001 to 2100

Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 2001 to 2100.

#
Symbol
Last Price
Change (Day)
Change % (Day)
$ Volume (Day)
Volume (Day)
Market Cap
2001
VCELVericel Corporation
$41.78
+0.34
+0.82%
$12.18M
291.431K
$2.10B
2002
NMAXNewsmax, Inc.
$13.31
+0.27
+2.07%
$12.17M
914.495K
$1.71B
2003
FULH.B. Fuller Company
$54.10
+0.48
+0.90%
$12.13M
224.185K
$2.93B
2004
CDRECadre Holdings, Inc.
$33.73
-0.53
-1.55%
$12.13M
359.503K
$1.37B
2005
PJTPJT Partners Inc.
$153.00
+0.63
+0.41%
$12.11M
79.124K
$3.74B
2006
CXMSprinklr, Inc.
$8.05
-0.28
-3.36%
$12.09M
1.502M
$2.08B
2007
PRTHPriority Technology Holdings, Inc.
$8.25
+0.41
+5.23%
$12.05M
1.461M
$657.97M
2008
BMABanco Macro S.A.
$72.78
-0.26
-0.36%
$12.04M
165.433K
$4.57B
2009
EENI S.p.A.
$32.98
+0.37
+1.12%
$12.02M
364.603K
$50.32B
2010
ABMABM Industries, Inc.
$44.01
-0.29
-0.65%
$12.01M
272.947K
$2.74B
2011
AESIAtlas Energy Solutions Inc.
$14.88
+0.08
+0.54%
$12.01M
807.203K
$1.84B
2012
MNKDMannkind Corporation
$3.81
+0.06
+1.60%
$12.01M
3.152M
$1.16B
2013
CAMTCamtek Ltd
$74.98
-0.02
-0.03%
$12.01M
160.112K
$3.42B
2014
LTBRLightbridge Corp.
$13.05
+0.09
+0.67%
$12.00M
919.807K
$299.83M
2015
OCULOcular Therapeutix, Inc.
$8.33
+0.03
+0.36%
$11.99M
1.439M
$1.33B
2016
MFGMizuho Financial Group, Inc. American Depositary Shares (Each representing one-fifth of an Ordinary Share)
$5.49
+0.02
+0.27%
$11.97M
2.182M
$68.70B
2017
SKBLSkyline Builders Group Holding Limited Class A Ordinary Shares
$12.00
+0.62
+5.45%
$11.95M
995.492K
$362.70M
2018
TPCTutor Perini Corporation
$41.98
+0.11
+0.26%
$11.90M
283.464K
$2.21B
2019
WTWisdomTree, Inc.
$10.23
+0.10
+0.99%
$11.89M
1.163M
$1.50B
2020
MUXMcEwen Mining Inc.
$9.46
+0.06
+0.64%
$11.88M
1.256M
$510.72M
2021
NHCNational Healthcare Corp.
$106.04
+3.52
+3.43%
$11.85M
111.732K
$1.64B
2022
ZTOZTO Express (Cayman) Inc. American Depositary Shares, each representing one Class A ordinary share
$17.06
+0.01
+0.03%
$11.84M
694.377K
$13.61B
2023
HOMBHome BancShares, Inc.
$27.57
+0.20
+0.73%
$11.84M
429.387K
$5.44B
2024
CHPTChargePoint Holdings, Inc.
$0.6890
+0.0022
+0.32%
$11.84M
17.178M
$318.08M
2025
ARVNArvinas, Inc
$7.25
-0.24
-3.20%
$11.82M
1.63M
$529.19M
2026
TROXTRONOX LIMITED CL A ORDINARY SHARES
$5.50
+0.01
+0.18%
$11.81M
2.147M
$871.54M
2027
WFGWest Fraser Timber Co. Ltd
$74.02
+0.93
+1.27%
$11.78M
159.144K
$5.87B
2028
CNNECannae Holdings, Inc. Common Stock
$19.79
-0.07
-0.35%
$11.77M
594.952K
$1.24B
2029
UCBUnited Community Banks, Inc.
$27.79
+0.38
+1.39%
$11.75M
422.976K
$3.38B
2030
AMPXAmprius Technologies, Inc.
$3.76
+0.01
+0.27%
$11.75M
3.124M
$453.27M
2031
CODICompass Diversified
$6.45
+0.34
+5.56%
$11.65M
1.807M
$485.27M
2032
CMPRCimpress PLC Ordinary Shares (Ireland)
$42.62
-1.16
-2.65%
$11.63M
272.937K
$1.06B
2033
RDUSRadius Recycling, Inc. Class A Common Stock
$29.62
-0.07
-0.24%
$11.63M
392.647K
$835.34M
2034
BOKFBOK Financial Corp
$92.54
+0.84
+0.92%
$11.62M
125.564K
$5.95B
2035
RUSHARush Enterprises Inc
$49.28
-0.20
-0.40%
$11.62M
235.749K
$3.83B
2036
DNLIDenali Therapeutics Inc. Common Stock
$14.09
+0.09
+0.64%
$11.62M
824.512K
$2.05B
2037
GSATGlobalstar, Inc.
$23.66
+0.23
+0.98%
$11.60M
490.368K
$2.99B
2038
ULCCFrontier Group Holdings, Inc. Common Stock
$3.40
+0.09
+2.72%
$11.60M
3.411M
$774.40M
2039
SKMSK Telecom Co., Ltd. American Depositary Shares (Each representing 5/9th of a Ordinary Share of SK Telecom Co., LTD.)
$22.13
+0.06
+0.27%
$11.59M
523.561K
$8.49B
2040
SONOSonos, Inc. Common Stock
$9.93
-0.10
-1.00%
$11.55M
1.164M
$1.19B
2041
PRDOPerdoceo Education Corporation
$32.30
+0.54
+1.70%
$11.55M
357.629K
$2.12B
2042
EKSOEkso Bionics Holdings, Inc. Common Stock
$3.54
-0.44
-11.06%
$11.55M
3.263M
$8.38M
2043
STAAStaar Surgical Co
$16.85
-0.04
-0.24%
$11.54M
684.962K
$834.52M
2044
LZLegalZoom.com, Inc. Common Stock
$8.55
+0.00
+0.00%
$11.49M
1.344M
$1.55B
2045
ARCBArcBest Corporation
$68.21
+0.18
+0.26%
$11.49M
168.46K
$1.57B
2046
HCTIHealthcare Triangle, Inc. Common Stock
$0.0252
-0.0003
-1.18%
$11.47M
455.185M
$10.29M
2047
VCYTVeracyte, Inc.
$26.82
+0.13
+0.49%
$11.45M
427.071K
$2.10B
2048
LIONLionsgate Studios Corp. Common Shares
$5.81
-0.07
-1.19%
$11.45M
1.97M
$1.66B
2049
KLGWK Kellogg Co
$15.64
+0.04
+0.26%
$11.44M
731.235K
$1.35B
2050
CRNXCrinetics Pharmaceuticals, Inc.
$30.50
-0.03
-0.10%
$11.41M
374.183K
$2.86B
2051
ARMNAris Mining Corporation
$6.92
-0.04
-0.57%
$11.39M
1.646M
$1.23B
2052
PWPPerella Weinberg Partners Class A Common Stock
$17.88
+0.20
+1.13%
$11.37M
636.032K
$1.13B
2053
SKYWSkywest Inc
$96.87
+0.85
+0.89%
$11.34M
117.048K
$3.92B
2054
DINDine Brands Global, Inc.
$26.80
-0.78
-2.83%
$11.30M
421.735K
$418.77M
2055
RRRichtech Robotics Inc. Class B Common Stock
$1.88
-0.05
-2.59%
$11.29M
6.005M
$215.83M
2056
SNEXStoneX Group Inc. Common Stock
$85.67
+0.65
+0.76%
$11.29M
131.732K
$4.18B
2057
KRUSKura Sushi USA, Inc. Class A Common Stock
$76.98
+0.06
+0.08%
$11.26M
146.231K
$930.34M
2058
PSMTPricesmart Inc
$101.76
-1.75
-1.69%
$11.25M
110.538K
$3.13B
2059
GERNGeron Corp
$1.55
+0.10
+6.89%
$11.21M
7.234M
$987.16M
2060
HIFSHingham Institution for Saving
$226.28
-0.91
-0.40%
$11.15M
49.282K
$493.57M
2061
CRDFCardiff Oncology, Inc. Common Stock
$3.05
-0.43
-12.31%
$11.15M
3.654M
$203.01M
2062
SLDPSolid Power, Inc. Class A Common Stock
$1.93
+0.00
+0.00%
$11.14M
5.773M
$346.17M
2063
VETVERMILION ENERGY INC.
$8.07
-0.13
-1.53%
$11.09M
1.373M
$1.25B
2064
SUZSuzano S.A. American Depositary Shares (each representing one Ordinary Share ) representing one Ordinary Share)
$9.57
-0.05
-0.47%
$11.08M
1.159M
$11.82B
2065
PRKSUnited Parks & Resorts Inc.
$42.57
+0.54
+1.28%
$11.07M
260.114K
$2.34B
2066
DORMDorman Products, Inc. New
$121.79
+0.70
+0.58%
$11.07M
90.914K
$3.72B
2067
DOOOBRP Inc. Common Subordinate Voting Shares
$47.63
+0.14
+0.29%
$11.04M
231.733K
$3.48B
2068
PCSAProcessa Pharmaceuticals, Inc. Common
$0.3152
+0.0352
+12.57%
$11.03M
34.99M
$3.75M
2069
SCVLShoe Carnival Inc
$19.51
-0.42
-2.11%
$11.02M
564.727K
$533.24M
2070
DBDDiebold Nixdorf, Incorporated
$51.79
-0.10
-0.19%
$11.00M
212.373K
$1.93B
2071
CCSCENTURY COMMUNITIES, INC.
$52.32
+0.06
+0.11%
$10.99M
210.136K
$1.60B
2072
CENTACentral Garden & Pet Company
$30.34
+0.16
+0.53%
$10.99M
362.074K
$1.92B
2073
UEUBRAN EDGE PROPERTIES
$18.67
+0.33
+1.80%
$10.96M
587.138K
$2.35B
2074
ANGIAngi Inc. Class A Common Stock
$15.03
-0.07
-0.46%
$10.92M
726.487K
$721.24M
2075
SBCFSeacoast Banking Corp of Florida
$24.85
+0.38
+1.55%
$10.91M
439.182K
$2.14B
2076
GBDCGolub Capital BDC, Inc.
$14.72
+0.18
+1.24%
$10.88M
739.014K
$3.92B
2077
BEPBrookfield Renewable Partners L.P.
$25.44
-0.71
-2.72%
$10.88M
427.564K
$7.23B
2078
SASeabridge Gold, Inc.
$14.76
-0.20
-1.34%
$10.79M
731.14K
$1.48B
2079
PAYOPayoneer Global Inc. Common Stock
$6.50
-0.09
-1.37%
$10.78M
1.658M
$2.35B
2080
NUTXNutex Health Inc. Common Stock
$119.09
+3.08
+2.65%
$10.77M
90.451K
$661.56M
2081
EDHLEverbright Digital Holding Limited Ordinary Shares
$5.85
+0.74
+14.48%
$10.76M
1.839M
$155.96M
2082
NMRKNewmark Group, Inc. Class A Common Stock
$11.26
+0.09
+0.81%
$10.74M
953.752K
$1.96B
2083
NAKNorthern Dynasty Minerals, Ltd.
$1.41
+0.10
+7.63%
$10.73M
7.609M
$759.40M
2084
EVEREverQuote, Inc. Class A Common Stock
$24.52
-0.03
-0.12%
$10.68M
435.503K
$886.56M
2085
NEONeoGenomics, Inc.
$6.95
-0.04
-0.57%
$10.64M
1.531M
$894.43M
2086
ALGTAllegiant Travel Company
$51.11
-0.92
-1.77%
$10.61M
207.53K
$933.00M
2087
NAGENiagen Bioscience, Inc. Common Stock
$13.71
-0.17
-1.22%
$10.57M
771.194K
$1.08B
2088
RCKTRocket Pharmaceuticals, Inc. Common Stock
$2.83
+0.10
+3.66%
$10.57M
3.735M
$304.90M
2089
NGNovaGold Resources Inc.
$4.37
-0.01
-0.29%
$10.53M
2.409M
$1.75B
2090
CWTCalifornia Water Service
$46.08
+0.25
+0.55%
$10.49M
227.72K
$2.74B
2091
CGCCanopy Growth Corporation Common Shares
$1.31
-0.06
-4.39%
$10.47M
7.997M
$242.56M
2092
ITICInvestors Title Co
$201.85
-2.66
-1.30%
$10.45M
51.772K
$380.74M
2093
OPRAOpera Limited American Depositary Shares
$18.23
-0.82
-4.30%
$10.44M
572.976K
$1.63B
2094
WPPWPP PLC
$34.74
-0.82
-2.31%
$10.44M
300.584K
$7.50B
2095
VZLAVizsla Silver Corp.
$3.38
-0.25
-6.91%
$10.44M
3.089M
$993.07M
2096
NHINational Health Investors
$70.50
+0.05
+0.07%
$10.41M
147.66K
$3.29B
2097
AATAMERICAN ASSETS TRUST, INC.
$20.33
-0.34
-1.64%
$10.40M
511.349K
$1.24B
2098
TATTTAT Technologies Ltd
$26.48
-0.06
-0.23%
$10.39M
392.314K
$332.73M
2099
LBTYALiberty Global Ltd. Class A Common Shares
$9.70
-0.17
-1.72%
$10.36M
1.068M
$3.35B
2100
IBTAIbotta, Inc.
$38.31
-0.45
-1.16%
$10.35M
270.276K
$969.64M