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
STT State Street Corporation $118.28
$12.54K
106
$33.04B
2002
BLFS BioLife Solutions Inc. $25.00
$12.50K
500
$1.20B
2003
$62.16
$12.49K
201
$4.60B
2004
TTI TETRA Technologies, Inc. $7.34
$12.48K
1.7K
$981.70M
2005
AMTX Aemetis, Inc. (DE) Common Stock $1.91
$12.46K
6.535K
$125.07M
2006
SCLX Scilex Holding Company Common Stock $17.52
$12.46K
711
$132.90M
2007
SPAI Safe Pro Group Inc. Common Stock $4.20
$12.34K
2.937K
$88.09M
2008
ENVA Enova International, Inc. $123.19
$12.32K
100
$3.06B
2009
CRNX Crinetics Pharmaceuticals, Inc. $41.01
$12.30K
300
$3.89B
2010
SUPX Super X AI Technology Limited Ordinary Shares $46.40
$12.30K
265
$1.46B
2011
GETY Getty Images Holdings, Inc. $1.53
$12.22K
7.986K
$636.27M
2012
QCLS Q/C Technologies, Inc. Common Stock $2.90
$12.19K
4.205K
$8.64M
2013
RPD Rapid7, Inc. Common Stock $13.55
$12.14K
896
$887.26M
2014
ARI APOLLO COMMERCIAL REAL ESTATE FINANCE, INC. $9.82
$12.13K
1.235K
$1.36B
2015
$4.76
$12.12K
2.546K
$187.35M
2016
LAUR Laureate Education, Inc. Common Stock $30.25
$12.10K
400
$4.46B
2017
SLDB Solid Biosciences Inc. Common Stock $4.20
$12.09K
2.878K
$327.22M
2018
MKTW MarketWise, Inc. Class A Common Stock $16.60
$12.05K
726
$40.12M
2019
FBYD Falcon's Beyond Global, Inc. Class A Common Stock $11.95
$11.95K
1K
$444.93M
2020
VSH Vishay Intertechnology, Inc. $13.20
$11.91K
902
$1.79B
2021
RYM RYTHM, Inc. Common Stock $23.20
$11.86K
511
$46.46M
2022
NEXA Nexa Resources S.A. Common Shares $6.02
$11.85K
1.968K
$797.28M
2023
YSG Yatsen Holding Limited American Depositary Shares, each representing twenty (20) Class A Ordinary Shares $6.55
$11.79K
1.8K
$614.71M
2024
$9.10
$11.78K
1.295K
$1.46B
2025
OCUL Ocular Therapeutix, Inc. $11.05
$11.78K
1.066K
$2.35B
2026
$33.50
$11.73K
350
$2.59B
2027
IBG Innovation Beverage Group Limited Ordinary Shares $1.70
$11.67K
6.865K
$5.90M
2028
INV Innventure, Inc. Common Stock $3.57
$11.67K
3.269K
$207.23M
2029
GFAI Guardforce AI Co., Limited Ordinary Shares $0.8250
$11.60K
14.061K
$18.00M
2030
AMN AMN Healthcare Services $16.00
$11.60K
725
$614.62M
2031
ACRV Acrivon Therapeutics, Inc. Common Stock $2.03
$11.58K
5.704K
$63.85M
2032
$3.93
$11.57K
2.943K
$409.73M
2033
$37.55
$11.57K
308
$3.84B
2034
BRR Columbus Circle Capital Corp I Class A Ordinary Shares $10.15
$11.55K
1.138K
$345.49M
2035
CXAI CXApp Inc. Class A Common Stock $0.5000
$11.54K
23.08K
$12.51M
2036
ADC Agree Realty Corporation $73.97
$11.54K
156
$8.50B
2037
IR Ingersoll Rand Inc. Common Stock $76.20
$11.51K
151
$30.11B
2038
UCTT Ultra Clean Holdings, Inc. $23.62
$11.50K
487
$1.07B
2039
$25.07
$11.46K
457
$8.39B
2040
KNSA Kiniksa Pharmaceuticals, Ltd. Class A Common Stock $38.13
$11.44K
300
$2.89B
2041
$0.9770
$11.43K
11.699K
$202.46M
2042
TAK Takeda Pharmaceutical Company Limited American Depositary Shares (each representing 1/2 of a share of Common Stock) $14.26
$11.41K
800
$45.05B
2043
MOB Mobilicom Limited American Depositary Shares $5.60
$11.41K
2.037K
$63.33M
2044
ELDN Eledon Pharmaceuticals, Inc. Common Stock $1.73
$11.38K
6.58K
$103.60M
2045
NAVN Navan, Inc. Class A Common Stock $17.01
$11.35K
667
$4.22B
2046
BGMS Bio Green Med Solution, Inc. Common Stock $1.24
$11.34K
9.147K
$3.64M
2047
$7.34
$11.33K
1.544K
$1.09B
2048
$112.78
$11.28K
100
$7.52B
2049
YALA Yalla Group Limited American Depositary Shares, each representing one Class A Ordinary Share $6.81
$11.14K
1.636K
$1.07B
2050
$29.69
$11.13K
375
$4.24B
2051
OGI Organigram Holdings Inc. Common Shares $1.49
$11.10K
7.447K
$199.69M
2052
$9.23
$11.08K
1.2K
$1.52B
2053
SDST Stardust Power Inc. Common Stock $3.57
$11.03K
3.09K
$30.20M
2054
$0.9400
$11.03K
11.73K
$10.95M
2055
FHB First Hawaiian, Inc. Common Stock $24.50
$11.03K
450
$3.03B
2056
$1.86
$11.00K
5.916K
$57.80M
2057
OPRA Opera Limited American Depositary Shares $13.04
$10.99K
843
$1.17B
2058
LUCY Innovative Eyewear, Inc. Common Stock $1.50
$10.96K
7.306K
$6.86M
2059
FTDR Frontdoor, Inc. Common Stock $50.71
$10.95K
216
$3.66B
2060
SFIX Stitch Fix, Inc. Class A Common Stock $4.15
$10.92K
2.631K
$556.97M
2061
CTXR Citius Pharmaceuticals Inc. Common $1.04
$10.88K
10.462K
$19.21M
2062
RAPP Rapport Therapeutics, Inc. Common Stock $24.15
$10.87K
450
$1.15B
2063
MANU MANCHESTER UNITED PLC $15.46
$10.82K
700
$2.67B
2064
ZTEK Zentek Ltd. Common Stock $0.7815
$10.82K
13.848K
$83.66M
2065
SIGA SIGA Technologies Inc. $6.36
$10.81K
1.7K
$455.45M
2066
ICON Icon Energy Corp. Common stock $1.10
$10.80K
9.82K
$2.45M
2067
AEHL Antelope Enterprise Holdings Limited Class A Ordinary Shares $1.42
$10.76K
7.578K
$7.34M
2068
FBK FB Financial Corporation $53.75
$10.75K
200
$2.87B
2069
MFI mF International Limited Ordinary Shares $21.25
$10.73K
505
$35.20M
2070
BMGL Basel Medical Group Ltd Ordinary Shares $1.22
$10.73K
8.796K
$22.92M
2071
CRGO Freightos Limited Ordinary shares $3.90
$10.73K
2.751K
$200.01M
2072
NINE Nine Energy Service, Inc. $0.4100
$10.70K
26.09K
$17.78M
2073
KWM K Wave Media, Ltd. Ordinary Shares $1.37
$10.69K
7.804K
$87.13M
2074
DVS Dolly Varden Silver Corporation $4.03
$10.69K
2.652K
$370.00M
2075
GDOT Green Dot Corporation $10.68
$10.68K
1K
$591.91M
2076
$34.41
$10.67K
310
$1.85B
2077
RCT RedCloud Holdings plc Ordinary Shares $1.61
$10.66K
6.619K
$71.20M
2078
PYXS Pyxis Oncology, Inc. Common Stock $4.47
$10.64K
2.38K
$278.32M
2079
$70.82
$10.62K
150
$6.74B
2080
$1.59
$10.62K
6.675K
$95.20M
2081
GOVX GeoVax Labs, Inc. New $0.4288
$10.62K
24.762K
$12.74M
2082
$252.11
$10.59K
42
$36.80B
2083
$104.77
$10.58K
101
$28.34B
2084
$1.35
$10.57K
7.827K
$23.53M
2085
$53.22
$10.54K
198
$727.55M
2086
$4.90
$10.54K
2.15K
$411.40M
2087
SENS Senseonics Holdings, Inc. $6.02
$10.52K
1.747K
$245.97M
2088
$4.00
$10.48K
2.619K
$1.39B
2089
LINE Lineage, Inc. Common Stock $33.29
$10.42K
313
$7.60B
2090
PROF Profound Medical Corp. Common Stock $6.00
$10.37K
1.729K
$180.32M
2091
NRIX Nurix Therapeutics, Inc. Common stock $11.93
$10.37K
869
$1.21B
2092
$42.96
$10.35K
241
$20.33B
2093
EWTX Edgewise Therapeutics, Inc. Common Stock $20.57
$10.35K
503
$2.18B
2094
TLK PT Telekomunikasi Indonesia $20.81
$10.34K
497
$20.61B
2095
$73.79
$10.26K
139
$26.58B
2096
XGN Exagen Inc. Common Stock $9.00
$10.25K
1.139K
$203.97M
2097
$2.68
$10.24K
3.821K
$191.10M
2098
GOTU Gaotu Techedu Inc. American Depositary Shares, three of which representing two Class A Ordinary Shares $2.60
$10.22K
3.932K
$633.29M
2099
PATK Patrick Industries Inc $100.11
$10.21K
102
$3.33B
2100
USEG U.S. Energy Corp. Common Stock (DE) $1.04
$10.16K
9.771K
$37.30M