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
$0.4363
$5.80K
13.301K
$7.99M
2002
WEAV Weave Communications, Inc. $10.90
$5.80K
532
$816.41M
2003
$27.70
$5.79K
209
$1.54B
2004
SLDB Solid Biosciences Inc. Common Stock $3.34
$5.77K
1.728K
$258.83M
2005
$13.70
$5.75K
420
$1.82B
2006
XHLD TEN Holdings, Inc. Common Stock $0.7987
$5.72K
7.165K
$22.92M
2007
BLDE Blade Air Mobility, Inc. Class A Common Stock $2.75
$5.71K
2.077K
$219.88M
2008
BZAI Blaize Holdings, Inc. Common Stock $2.42
$5.71K
2.358K
$246.08M
2009
ADEA Adeia Inc. Common Stock $12.37
$5.70K
461
$1.34B
2010
$18.98
$5.69K
300
$211.56M
2011
GETY Getty Images Holdings, Inc. $1.93
$5.69K
2.946K
$797.90M
2012
CNEY CN Energy Group Inc. Class A Ordinary Shares $0.1260
$5.67K
44.992K
$1.54M
2013
$13.78
$5.64K
409
$457.82M
2014
$41.92
$5.62K
134
$5.24B
2015
PNNT Pennant Investment Corp $6.60
$5.62K
851
$430.95M
2016
$28.01
$5.60K
200
$367.49M
2017
SILO Silo Pharma, Inc. Common Stock $0.7301
$5.58K
7.646K
$3.27M
2018
$3.09
$5.57K
1.802K
$452.49M
2019
BKSY BlackSky Technology Inc. $8.65
$5.51K
637
$161.01M
2020
$4.15
$5.49K
1.323K
$288.86M
2021
NEXT NextDecade Corporation Common Stock $7.69
$5.48K
713
$2.00B
2022
NVT nVent Electric plc Ordinary Shares $54.72
$5.47K
100
$9.01B
2023
LILAK Liberty Latin America Ltd. Class C Common Stock $5.40
$5.43K
1.006K
$1.07B
2024
SGML Sigma Lithium Corporation Common Shares $8.11
$5.43K
669
$902.38M
2025
$54.23
$5.42K
100
$1.67B
2026
$12.55
$5.41K
431
$1.30B
2027
KORE KORE Group Holdings, Inc. $2.57
$5.40K
2.101K
$43.71M
2028
STI Solidion Technology, Inc. Common Stock $0.1122
$5.39K
48.081K
$15.24M
2029
CWEN Clearway Energy, Inc. Class C Common Stock $29.00
$5.39K
186
$3.41B
2030
BY Byline Bancorp, Inc. Common Stock $25.44
$5.39K
212
$1.18B
2031
$22.71
$5.38K
237
$2.48B
2032
$0.5284
$5.38K
10.176K
$39.37M
2033
TGL Treasure Global Inc. Common Stock $2.25
$5.36K
2.382K
$3.66M
2034
LGVN Longeveron Inc. Common Stock $1.75
$5.35K
3.055K
$26.18M
2035
$52.41
$5.35K
102
$666.40M
2036
HEPS D-Market Electronic Services & Trading American Depositary Shares $2.70
$5.32K
1.972K
$880.20M
2037
POWI Power Integrations Inc $49.71
$5.32K
107
$2.82B
2038
BHAT Blue Hat Interactive Entertainment Technology Ordinary Shares $2.02
$5.31K
2.631K
$9.98M
2039
$16.93
$5.30K
313
$1.96B
2040
MTX Minerals Technologies Inc $51.54
$5.26K
102
$1.64B
2041
KREF KKR Real Estate Finance Trust Inc. $8.74
$5.25K
601
$592.63M
2042
FVRR Fiverr International Ltd. $26.25
$5.25K
200
$942.62M
2043
STGW Stagwell Inc. Class A Common Stock $5.50
$5.25K
954
$1.46B
2044
MEC Mayville Engineering Company, Inc. $12.71
$5.24K
412
$259.54M
2045
WXM WF International Limited Ordinary Shares $1.80
$5.22K
2.899K
$12.42M
2046
MNMD Mind Medicine (MindMed) Inc. Common Shares $6.40
$5.19K
811
$483.53M
2047
TWG Top Wealth Group Holding Limited Ordinary Shares $0.1390
$5.18K
37.301K
$7.78M
2048
NLOP Net Lease Office Properties $29.45
$5.18K
176
$436.27M
2049
EXOD Exodus Movement, Inc. $39.78
$5.17K
130
$1.14B
2050
$51.50
$5.15K
100
$1.63B
2051
HLP Hongli Group Inc. Ordinary Shares $0.9701
$5.15K
5.307K
$71.24M
2052
VXRT Vaxart, Inc Common Stock $0.4400
$5.14K
11.676K
$100.41M
2053
SBFM Sunshine Biopharma Inc. $1.35
$5.12K
3.791K
$4.91M
2054
TSHA Taysha Gene Therapies, Inc. Common Stock $1.95
$5.09K
2.611K
$399.86M
2055
LAKE Lakeland Industries Inc $16.10
$5.09K
316
$148.60M
2056
REZI Resideo Technologies, Inc. Common Stock $16.80
$5.06K
301
$2.49B
2057
$4.20
$5.04K
1.2K
$261.96M
2058
ALDX Aldeyra Therapeutics, Inc. $2.69
$5.04K
1.872K
$160.62M
2059
INTJ Intelligent Group Limited Ordinary Shares $0.5224
$5.03K
9.622K
$6.86M
2060
AKAN Akanda Corp. Common Shares $1.24
$5.02K
4.05K
$2.82M
2061
$46.00
$5.01K
109
$8.54B
2062
JELD JELD-WEN Holding, Inc. $5.85
$5.01K
856
$499.39M
2063
SION Sionna Therapeutics, Inc. Common Stock $12.12
$5.01K
413
$534.79M
2064
YXT YXT.COM GROUP HOLDING LIMITED American Depository Shares $0.5000
$5.00K
10K
$30.04M
2065
ULBI Ultralife Corporation $4.20
$4.99K
1.188K
$69.86M
2066
MAXN Maxeon Solar Technologies, Ltd. Ordinary Shares $3.43
$4.98K
1.453K
$57.32M
2067
BREA Brera Holdings PLC Class B Ordinary Shares $0.7499
$4.97K
6.63K
$9.54M
2068
NMFC NEW MOUNTAIN FINANCE CORPORATION $9.93
$4.97K
500
$1.07B
2069
OCG Oriental Culture Holding LTD Ordinary Shares $4.16
$4.95K
1.19K
$77.25M
2070
WWR Westwater Resources, Inc. $0.5000
$4.94K
9.888K
$31.26M
2071
MOBX Mobix Labs, Inc. Class A Common Stock $0.7573
$4.90K
6.47K
$30.93M
2072
MIR Mirion Technologies, Inc. $15.81
$4.89K
309
$3.66B
2073
KBDC Kayne Anderson BDC, Inc. $15.85
$4.88K
308
$1.13B
2074
PRTH Priority Technology Holdings, Inc. $7.11
$4.85K
682
$565.38M
2075
$0.4330
$4.85K
11.194K
$4.56M
2076
MSAI MultiSensor AI Holdings, Inc. Common Stock $0.7421
$4.84K
6.524K
$24.46M
2077
DDI DoubleDown Interactive Co., Ltd. American Depository Shares $9.65
$4.81K
498
$478.19M
2078
COEP Coeptis Therapeutics Holdings Inc. Common Stock $8.50
$4.80K
565
$28.60M
2079
KBSX FST Corp. Ordinary Shares $1.89
$4.78K
2.527K
$84.61M
2080
$46.30
$4.77K
103
$6.10B
2081
ATOM Atomera Incorporated Common Stock $4.40
$4.74K
1.078K
$135.10M
2082
APPN Appian Corporation Class A Common Stock $31.50
$4.73K
150
$2.34B
2083
ENSC Ensysce Biosciences, Inc. Common Stock $3.12
$4.72K
1.513K
$5.13M
2084
UHG United Homes Group, Inc Class A Common Stock $1.95
$4.71K
2.413K
$114.27M
2085
$9.12
$4.69K
514
$821.17M
2086
ORN Orion Group Holdings, Inc $6.39
$4.65K
728
$248.16M
2087
HSDT Helius Medical Technologies, Inc. Class A Common Stock (DE) $0.2500
$4.65K
18.606K
$1.53M
2088
MIGI Mawson Infrastructure Group Inc. Common Stock $0.6603
$4.65K
7.041K
$12.41M
2089
$11.31
$4.65K
411
$213.99M
2090
APLE Apple Hospitality REIT, Inc. $11.93
$4.64K
389
$2.85B
2092
CNSP CNS Pharmaceuticals, Inc. Common Stock $1.05
$4.63K
4.41K
$3.09M
2093
MERC Mercer International Inc $4.58
$4.63K
1.01K
$306.27M
2094
$46.22
$4.62K
100
$3.27B
2095
ZBAI ATIF Holdings Limited Ordinary Shares $0.8300
$4.62K
5.561K
$14.37M
2096
AMBC Ambac Financial Group, Inc. $8.04
$4.61K
574
$410.77M
2097
AZ A2Z Smart Technologies Corp. Common Shares $7.70
$4.61K
599
$269.28M
2098
$10.94
$4.61K
421
$778.40M
2099
BCSF Bain Capital Specialty Finance, Inc. $15.35
$4.59K
299
$995.73M
2100
ADD Color Star Technology Co., Ltd. Class A Ordinary Shares $0.7008
$4.59K
6.546K
$430.74K