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
JMIAJumia Technologies AG
$8.55
+0.12
+1.42%
$16.90M
1.976M
$1.05B
2002
NWLNewell Brands Inc.
$4.58
-0.05
-1.08%
$16.89M
3.689M
$1.92B
2003
GRANGrande Group Limited Class A Ordinary Shares
$1.94
-0.06
-3.00%
$16.84M
8.682M
$38.07M
2004
IDYAIDEAYA Biosciences, Inc. Common Stock
$32.07
-0.33
-1.02%
$16.76M
522.624K
$2.82B
2005
TRMKTrustmark Corp
$43.11
+0.15
+0.35%
$16.76M
388.744K
$2.58B
2006
SKYTSkyWater Technology, Inc. Common Stock
$28.20
+0.37
+1.33%
$16.75M
594.041K
$1.37B
2007
SRRKScholar Rock Holding Corporation Common Stock
$47.02
+0.02
+0.04%
$16.72M
355.68K
$4.80B
2008
DAKTDaktronics Inc
$27.32
-0.53
-1.90%
$16.71M
611.641K
$1.33B
2009
WSFSWSFS Financial Corp
$65.51
+0.18
+0.28%
$16.68M
254.628K
$3.58B
2010
INVAInnoviva, Inc. Common Stock
$23.42
+0.05
+0.21%
$16.64M
710.575K
$1.75B
2011
HZOMarineMax, Inc.
$28.51
+0.69
+2.48%
$16.64M
583.682K
$628.00M
2012
AVNTAvient Corporation
$42.30
+0.29
+0.69%
$16.64M
393.383K
$3.88B
2013
SEMRSEMrush Holdings, Inc.
$11.79
+0.00
+0.00%
$16.62M
1.41M
$1.54B
2014
RPGLRepublic Power Group Limited Class A Ordinary Shares
$6.30
+0.91
+16.88%
$16.62M
2.637M
$390.76M
2015
HRTGHERITAGE INSURANCE HOLDINGS INC
$27.66
+1.35
+5.13%
$16.58M
599.427K
$855.01M
2016
DIODDiodes Inc
$69.29
+0.47
+0.68%
$16.53M
238.627K
$3.18B
2017
CNNECannae Holdings, Inc. Common Stock
$11.73
-0.37
-3.06%
$16.50M
1.406M
$578.12M
2018
ALURAllurion Technologies, Inc.
$1.30
-0.45
-25.71%
$16.47M
12.669M
$15.96M
2019
AWRAmerican States Water Company
$73.93
+0.43
+0.59%
$16.44M
222.393K
$2.89B
2020
BIPCBrookfield Infrastructure Corporation Class A Subordinate Voting Shares
$49.02
+0.46
+0.94%
$16.44M
335.37K
$5.88B
2021
DQDaqo New Energy Corp. American Depositary Shares (each representing 5 Ordinary Shares)
$25.70
+1.48
+6.11%
$16.43M
639.239K
$1.72B
2022
INBXInhibrx, Inc. Common Stock
$79.42
+2.07
+2.68%
$16.40M
206.53K
$1.16B
2023
TIGRUP Fintech Holding Ltd American Depositary Share representing fifteen Class A Ordinary Shares
$7.79
+0.00
+0.00%
$16.35M
2.099M
$1.43B
2024
PRGPROG Holdings, Inc.
$37.08
-1.07
-2.80%
$16.34M
440.6K
$1.47B
2025
PARPAR Technology Corp.
$19.81
+0.27
+1.38%
$16.31M
823.484K
$804.11M
2026
DRVNDriven Brands Holdings Inc. Common Stock
$16.61
-0.19
-1.13%
$16.29M
980.879K
$2.73B
2027
AAMIAcadian Asset Management Inc.
$54.37
+1.96
+3.74%
$16.21M
298.102K
$1.94B
2028
LBRXLB Pharmaceuticals Inc Common Stock
$24.72
+0.42
+1.73%
$16.19M
655.131K
$625.39M
2029
PHRPhreesia, Inc.
$11.66
-0.04
-0.34%
$16.15M
1.385M
$702.95M
2030
DVLTDatavault AI Inc. Common Stock
$0.7095
+0.0185
+2.68%
$16.13M
22.735M
$406.99M
2031
BLMNBloomin' Brands, Inc. Common Stock
$5.89
-0.21
-3.51%
$16.10M
2.736M
$501.56M
2032
HUBGHUB Group Inc
$41.08
-0.39
-0.94%
$16.07M
391.145K
$2.49B
2033
SNCYSun Country Airlines Holdings, Inc. Common Stock
$19.91
-0.26
-1.26%
$16.03M
804.918K
$1.06B
2034
PKEPark Aerospace Corp. Common Stock
$27.70
+1.50
+5.73%
$16.01M
578.05K
$551.94M
2035
TGNATEGNA Inc.
$20.90
+0.01
+0.05%
$16.00M
765.469K
$3.37B
2036
VIPSVipshop Holdings Limited
$17.42
+0.55
+3.26%
$15.98M
917.284K
$7.23B
2037
IMXIInternational Money Express, Inc.
$15.78
+0.04
+0.25%
$15.96M
1.011M
$468.96M
2038
FLNGFLEX LNG Ltd. Ordinary Shares
$27.64
-0.26
-0.93%
$15.93M
576.331K
$1.50B
2039
DOOBRP Inc. Common Subordinate Voting Shares
$78.52
-0.55
-0.70%
$15.93M
202.859K
$3.01B
2040
OTTROtter Tail Corp
$86.16
+0.55
+0.64%
$15.90M
184.543K
$3.61B
2041
ELPWElong Power Holding Limited Class A Ordinary Shares
$0.3900
-0.0248
-5.98%
$15.90M
40.77M
$1.50M
2042
VIVTelefonica Brasil, S.A. American Depositary Shares (Each representing One Common Share)
$16.58
+0.53
+3.30%
$15.87M
957.17K
$26.75B
2043
BETABeta Technologies, Inc.
$18.77
+0.70
+3.85%
$15.86M
844.983K
$4.14B
2044
THGThe Hanover Insurance Group, Inc.
$173.56
+0.56
+0.32%
$15.84M
91.289K
$6.10B
2045
INDBIndependent Bank Corp/MA
$80.48
+0.47
+0.59%
$15.76M
195.873K
$3.99B
2046
CMCOColumbus McKinnon Corp/NY
$19.28
+0.68
+3.65%
$15.76M
817.379K
$554.08M
2047
IOSPInnospec Inc.
$79.29
+0.19
+0.24%
$15.72M
198.218K
$1.96B
2048
VYXNCR Voyix Corporation
$8.99
+0.19
+2.16%
$15.71M
1.747M
$1.25B
2049
LGIHLGI Homes, Inc.
$52.10
-0.98
-1.85%
$15.64M
300.157K
$1.21B
2050
PECOPhillips Edison & Company, Inc. Common Stock
$38.93
-0.38
-0.97%
$15.62M
401.147K
$4.90B
2051
BYNDBeyond Meat, Inc. Common Stock
$0.7255
+0.0205
+2.91%
$15.51M
21.377M
$329.15M
2052
PEBPebblebrook Hotel Trust
$12.19
-0.51
-4.02%
$15.49M
1.271M
$1.38B
2053
FUBOfuboTV Inc.
$1.17
-0.02
-1.68%
$15.46M
13.214M
$412.68M
2054
NRDSNerdWallet, Inc. Class A Common Stock
$9.56
+0.08
+0.84%
$15.37M
1.607M
$392.22M
2055
TICAcuren Corporation
$9.43
+0.15
+1.62%
$15.34M
1.627M
$2.08B
2056
NUAINew Era Energy & Digital, Inc. Common Stock
$5.02
-0.10
-1.95%
$15.32M
3.053M
$269.24M
2057
EMAEmera Incorporated
$51.00
-0.20
-0.39%
$15.32M
300.37K
$15.40B
2058
ROOTRoot, Inc. Class A Common Stock
$56.93
+3.12
+5.79%
$15.31M
268.866K
$780.06M
2059
SGSweetgreen, Inc.
$5.47
+0.04
+0.74%
$15.28M
2.794M
$582.45M
2060
JOYYJOYY Inc. American Depositary Shares
$61.75
+0.25
+0.41%
$15.19M
245.988K
$2.14B
2061
HLITHarmonic Inc
$10.24
-0.08
-0.78%
$15.14M
1.478M
$1.15B
2062
EIGEmployers Holdings, Inc.
$40.20
+0.21
+0.53%
$15.13M
376.375K
$903.66M
2063
GSLGlobal Ship Lease, Inc.
$39.21
+0.03
+0.08%
$15.13M
385.861K
$1.40B
2064
SNNSmith & Nephew plc
$35.98
-0.37
-1.02%
$15.12M
420.263K
$15.27B
2065
PICSPicpay Holdings Netherlands N.V. Class A Common Shares
$16.94
+0.14
+0.83%
$15.10M
891.247K
$2.20B
2066
SSLSasol Limited
$8.91
+0.16
+1.83%
$15.07M
1.692M
$5.74B
2067
TWOTwo Harbors Investment Corp.
$10.66
+0.10
+0.95%
$15.06M
1.413M
$1.12B
2068
WFGWest Fraser Timber Co. Ltd
$65.94
-0.04
-0.06%
$15.03M
227.967K
$5.01B
2069
FRMEFirst Merchants Corp
$40.40
-0.35
-0.86%
$15.01M
371.504K
$2.34B
2070
TDOCTeladoc Health, Inc.
$4.54
-0.02
-0.52%
$14.97M
3.296M
$805.92M
2071
ALMUAeluma, Inc. Common Stock
$17.75
+2.11
+13.49%
$14.94M
841.757K
$320.38M
2072
DACDanaos Corporation
$111.57
+2.97
+2.73%
$14.92M
133.738K
$2.04B
2073
SIDUSidus Space, Inc. Class A Common Stock
$2.08
+0.08
+4.00%
$14.89M
7.16M
$138.15M
2074
OMDAOmada Health, Inc. Common Stock
$11.52
+0.47
+4.25%
$14.89M
1.293M
$667.10M
2075
ALLOAllogene Therapeutics, Inc. Common Stock
$2.30
+0.15
+7.21%
$14.87M
6.465M
$516.88M
2076
IBOCInternational Bancshares Corp
$68.86
+0.51
+0.75%
$14.80M
214.895K
$4.28B
2077
ARCBArcBest Corporation
$100.04
+1.02
+1.03%
$14.75M
147.483K
$2.25B
2078
BLBXBlackboxstocks Inc. Common Stock
$18.35
+3.00
+19.54%
$14.75M
803.924K
$79.00M
2079
JKSJINKOSOLAR HOLDINGS CO
$27.49
+1.28
+4.88%
$14.73M
535.719K
$1.42B
2080
UDMYUdemy, Inc. Common Stock
$4.91
+0.12
+2.51%
$14.71M
2.997M
$714.02M
2081
BLZEBackblaze, Inc. Class A Common Stock
$3.75
-0.51
-11.97%
$14.66M
3.91M
$216.38M
2082
WBIWaterBridge Infrastructure LLC
$25.44
+0.44
+1.76%
$14.65M
575.984K
$1.10B
2083
VTYXVentyx Biosciences, Inc. Common Stock
$13.95
+0.01
+0.07%
$14.63M
1.048M
$1.00B
2084
DEAEasterly Government Properties, Inc.
$23.40
-0.22
-0.93%
$14.62M
624.598K
$1.08B
2085
SAHSonic Automotive, Inc.
$62.85
-0.29
-0.46%
$14.59M
232.139K
$1.39B
2086
ANIPANI Pharmaceuticals, Inc.
$77.50
+2.14
+2.84%
$14.56M
187.867K
$1.74B
2087
BHATBlue Hat Interactive Entertainment Technology Ordinary Shares
$0.0711
-0.0128
-15.26%
$14.55M
204.634M
$2.63M
2088
NSSCNapco Security Technologies, Inc
$45.06
-1.11
-2.40%
$14.51M
321.914K
$1.61B
2089
BKSYBlackSky Technology Inc.
$19.71
+0.21
+1.08%
$14.49M
735.399K
$709.41M
2090
CADLCandel Therapeutics, Inc. Common Stock
$5.14
+0.14
+2.80%
$14.49M
2.82M
$282.17M
2091
CDNLCardinal Infrastructure Group Inc. Class A Common Stock
$33.98
-0.68
-1.96%
$14.49M
426.486K
$449.17M
2092
WRDWeRide Inc. American Depositary Shares
$7.41
+0.14
+1.87%
$14.46M
1.953M
$2.40B
2093
ODVOsisko Development Corp.
$4.19
+0.39
+10.26%
$14.41M
3.44M
$1.25B
2094
UAUnder Armour, Inc. Class C Common Stock, $0.0003 1/3 par value
$7.55
+0.16
+2.10%
$14.40M
1.909M
$1.53B
2095
SFLSFL Corporation Ltd.
$10.85
+0.13
+1.17%
$14.35M
1.323M
$1.58B
2096
CRAICRA International, Inc.
$156.96
-2.04
-1.28%
$14.32M
91.226K
$1.03B
2097
CCCCC4 Therapeutics, Inc.
$2.38
+0.06
+2.37%
$14.32M
6.016M
$230.66M
2098
BOHBank of Hawaii Corp.
$76.83
+0.34
+0.44%
$14.30M
186.1K
$3.06B
2099
NMRKNewmark Group, Inc. Class A Common Stock
$14.72
+0.32
+2.22%
$14.26M
968.613K
$2.34B
2100
UCBUnited Community Banks, Inc.
$33.10
-0.19
-0.57%
$14.25M
430.504K
$3.96B