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.
2001
MSA Mine Safety Incorporated $172.23
$13.30M
77.209K
$6.68B
2002
JOYY JOYY Inc. American Depositary Shares $60.04
$13.28M
221.232K
$2.02B
2003
VRTS Virtus Investment Partners, Inc. $137.45
$13.27M
96.549K
$920.30M
2004
AUPH Aurinia Pharmaceuticals Inc $15.77
$13.26M
840.709K
$2.10B
2005
AAMI Acadian Asset Management Inc. $61.93
$13.25M
214.021K
$2.21B
2006
KC Kingsoft Cloud Holdings Limited American Depositary Shares $15.13
$13.25M
875.815K
$4.57B
2007
VIV Telefonica Brasil, S.A. American Depositary Shares (Each representing One Common Share) $17.30
$13.25M
765.835K
$27.91B
2008
BGC BGC Group, Inc. Class A Common Stock $10.92
$13.21M
1.21M
$3.98B
2009
PFS Provident Financial Services, Inc. $22.05
$13.20M
598.503K
$2.88B
2010
QFIN Qifu Technology, Inc. American Depositary Shares $13.58
$13.19M
971.256K
$1.92B
2011
HURN Huron Consulting Group Inc. $120.58
$13.18M
109.344K
$2.00B
2012
$35.32
$13.18M
373.273K
$1.46B
2013
LBRX LB Pharmaceuticals Inc Common Stock $24.39
$13.14M
538.871K
$699.38M
2014
LZ LegalZoom.com, Inc. Common Stock $5.60
$13.12M
2.341M
$968.69M
2015
$22.83
$13.08M
572.991K
$2.67B
2016
ACA Arcosa, Inc. Common Stock $111.61
$12.99M
116.346K
$5.48B
2017
$174.93
$12.98M
74.199K
$5.60B
2018
$23.46
$12.95M
552.143K
$394.64M
2019
$11.77
$12.95M
1.101M
$346.43M
2020
NJR New Jersey Resources Corp $56.96
$12.95M
227.395K
$5.74B
2021
PZZA Papa John's International Inc $35.63
$12.94M
363.078K
$1.17B
2022
$47.60
$12.90M
270.976K
$2.97B
2023
$12.56
$12.90M
1.027M
$1.92B
2024
ISSC Innovative Solutions & Support $25.17
$12.89M
512.036K
$447.48M
2025
MFIC MidCap Financial Investment Corporation Common Stock $11.70
$12.88M
1.101M
$1.08B
2026
$7.39
$12.87M
1.741M
$1.21B
2027
FG F&G Annuities & Life, Inc. $24.03
$12.86M
535.292K
$3.26B
2028
PAYP PayPay Corporation American Depository Shares $20.25
$12.86M
635.176K
$13.54B
2029
ARIS Aris Water Solutions, Inc. $20.34
$12.83M
630.591K
$4.18B
2030
ARLO Arlo Technologies, Inc. $13.12
$12.81M
976.653K
$1.40B
2031
SEPN Septerna, Inc. Common Stock $23.09
$12.80M
554.321K
$1.04B
2032
$143.99
$12.75M
88.534K
$3.71B
2033
SKY Skyline Champion Corporation Common Stock $79.12
$12.74M
160.991K
$4.38B
2034
$17.62
$12.73M
722.448K
$2.34B
2035
JANX Janux Therapeutics, Inc. Common Stock $15.36
$12.72M
827.939K
$934.37M
2036
HROW Harrow, Inc. Common Stock $35.93
$12.71M
353.676K
$1.34B
2037
OCSL Oaktree Specialty Lending Corporation $11.99
$12.69M
1.058M
$1.06B
2038
CIGI Colliers International Group Inc. Subordinate Voting Shares $111.19
$12.68M
113.997K
$5.53B
2039
MAXN Maxeon Solar Technologies, Ltd. Ordinary Shares $1.70
$12.67M
7.455M
$28.79M
2040
HOV Hovnanian Enterprises, Inc. Class A $104.60
$12.63M
120.731K
$539.05M
2041
$108.48
$12.62M
116.341K
$2.42B
2042
XPEL XPEL, Inc. Common Stock $46.07
$12.62M
273.941K
$1.27B
2043
HRMY Harmony Biosciences Holdings, Inc. Common Stock $27.50
$12.60M
458.241K
$1.59B
2044
$14.02
$12.60M
898.58K
$1.01B
2045
LLYVK Liberty Media Corporation Series C Liberty Live Common Stock $97.92
$12.59M
128.564K
$6.25B
2046
UFPI UFP Industries, Inc. Common Stock $95.49
$12.57M
131.675K
$5.42B
2047
$8.35
$12.51M
1.498M
$25.79B
2048
IRT Independence Realty Trust Inc. $15.40
$12.50M
811.54K
$3.63B
2049
ECO Okeanis Eco Tankers Corp. $49.26
$12.45M
252.836K
$1.92B
2050
VELO Velo3D, Inc. Common stock $10.20
$12.43M
1.219M
$267.40M
2051
USLM United States Lime & Minerals $136.82
$12.43M
90.858K
$3.92B
2052
$7.84
$12.43M
1.585M
$1.02B
2053
AVPT AvePoint, Inc. Class A Common Stock $8.99
$12.42M
1.382M
$1.94B
2054
$20.73
$12.41M
598.874K
$2.72B
2055
$28.68
$12.41M
432.588K
$2.45B
2056
TH Target Hospitality Corp. Common Stock $14.46
$12.37M
855.337K
$1.45B
2057
ATEC Alphatec Holdings, Inc. $11.11
$12.23M
1.101M
$1.68B
2058
$31.13
$12.21M
392.274K
$1.83B
2059
RLMD Relmada Therapeutics, Inc. Common Stock $7.29
$12.20M
1.673M
$764.65M
2060
ACT Enact Holdings, Inc. Common Stock $41.93
$12.18M
290.495K
$5.92B
2061
PGNY Progyny, Inc. Common Stock $16.40
$12.18M
742.584K
$1.28B
2062
$26.32
$12.17M
462.396K
$1.94B
2063
$3.89
$12.16M
3.127M
$1.65B
2064
ABR Arbor Realty Trust, Inc. $7.49
$12.15M
1.622M
$1.45B
2065
PAYO Payoneer Global Inc. Common Stock $4.67
$12.14M
2.599M
$1.61B
2066
HASI HANNON ARMSTRONG SUSTAINABLE INFRASTRUCTURE CAPITAL INC $38.92
$12.12M
311.388K
$5.00B
2067
OTF Blue Owl Technology Finance Corp. $11.42
$12.12M
1.061M
$5.27B
2068
NMRK Newmark Group, Inc. Class A Common Stock $14.89
$12.10M
812.641K
$2.43B
2069
NBR Nabors Industries Ltd. $81.00
$12.09M
149.303K
$1.19B
2070
INDB Independent Bank Corp/MA $79.62
$12.06M
151.512K
$3.87B
2071
WLY John Wiley & Sons, Inc. Class A $38.45
$12.06M
313.657K
$1.64B
2072
$78.19
$12.05M
154.075K
$3.64B
2073
NIC Nicolet Bankshares,Inc. $156.77
$12.03M
76.714K
$3.35B
2074
TRIN Trinity Capital Inc. Common Stock $15.15
$11.99M
791.283K
$1.26B
2075
$15.15
$11.99M
791.143K
$1.57B
2076
MICC The Magnum Ice Cream Company N.V. $14.46
$11.96M
827.264K
$8.85B
2077
PRA ProAssurance Corporation $24.58
$11.93M
485.418K
$1.26B
2078
ATEX Anterix Inc. Common Stock $35.89
$11.91M
331.947K
$672.32M
2079
REYN Reynolds Consumer Products Inc. Common Stock $22.18
$11.91M
536.997K
$4.67B
2080
ULCC Frontier Group Holdings, Inc. Common Stock $3.90
$11.90M
3.052M
$895.96M
2081
NN NextNav Inc. Common Stock $15.28
$11.90M
778.491K
$2.07B
2082
CUBI CUSTOMERS BANCORP INC $73.99
$11.86M
160.293K
$2.53B
2083
$73.88
$11.84M
160.298K
$1.80B
2084
$5.76
$11.81M
2.051M
$489.48M
2085
CWH Camping World Holdings, Inc. $7.27
$11.81M
1.625M
$461.79M
2086
EFC Ellington Financial Inc. Common Stock $12.51
$11.75M
939.422K
$1.56B
2087
APAM ARTISAN PARTNERS ASSET MANAGEMENT INC. $36.82
$11.75M
319.096K
$2.60B
2088
CGC Canopy Growth Corporation Common Shares $1.08
$11.72M
10.849M
$463.95M
2089
ABAT American Battery Technology Company Common Stock $2.89
$11.71M
4.05M
$380.64M
2090
TIGR UP Fintech Holding Ltd American Depositary Share representing fifteen Class A Ordinary Shares $6.63
$11.68M
1.762M
$1.21B
2091
WVE Wave Life Sciences Ltd. Ordinary Shares $7.15
$11.67M
1.633M
$1.35B
2092
$41.48
$11.67M
281.25K
$4.37B
2093
WLAC Willow Lane Acquisition Corp. Class A Ordinary Shares $11.65
$11.66M
1.001M
$147.37M
2094
$9.68
$11.64M
1.203M
$1.62B
2095
$80.10
$11.63M
145.194K
$5.03B
2096
ICFI ICF International, Inc. $67.55
$11.61M
171.888K
$1.23B
2097
ARI APOLLO COMMERCIAL REAL ESTATE FINANCE, INC. $10.90
$11.60M
1.064M
$1.52B
2098
ECPG Encore Capital Group, Inc. $75.43
$11.56M
153.306K
$1.61B
2099
OPTX Syntec Optics Holdings, Inc. Class A Common Stock $9.50
$11.56M
1.217M
$350.74M
2100
GPI Group 1 Automotive, Inc. $338.14
$11.52M
34.06K
$4.01B