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
$2.16
$20.48M
9.501M
$1.90B
2002
$115.67
$20.42M
176.543K
$1.93B
2003
GNL Global Net Lease, Inc. $9.01
$20.36M
2.26M
$1.91B
2004
HRMY Harmony Biosciences Holdings, Inc. Common Stock $38.21
$20.36M
532.749K
$2.21B
2005
BIPC Brookfield Infrastructure Corporation Class A Subordinate Voting Shares $39.18
$20.34M
519.198K
$4.82B
2006
AGIO Agios Pharmaceuticals, Inc. $43.17
$20.34M
471.112K
$2.57B
2007
IVR Invesco Mortgage Capital Inc. $7.97
$20.31M
2.548M
$739.80M
2008
HLIO Helios Technologies, Inc. $80.21
$20.31M
253.161K
$2.65B
2009
BVN Compania de Minas Buenaventura S.A. $29.55
$20.30M
686.967K
$8.12B
2010
$9.75
$20.27M
2.079M
$3.37B
2011
VITL Vital Farms, Inc. Common Stock $12.96
$20.23M
1.561M
$555.32M
2012
CABA Cabaletta Bio, Inc. Common Stock $3.18
$20.21M
6.356M
$518.51M
2013
AOSL Alpha and Omega Semiconductor Limited $37.98
$20.20M
531.948K
$1.14B
2014
PBH Prestige Consumer Healthcare Inc. $48.48
$20.20M
416.693K
$2.30B
2015
KRUS Kura Sushi USA, Inc. Class A Common Stock $51.73
$20.19M
390.31K
$576.68M
2016
$147.29
$20.17M
136.922K
$2.56B
2017
GMM Global Mofy Metaerse Limited Ordinary Shares $3.16
$20.15M
6.376M
$6.17M
2018
FA First Advantage Corporation Common Stock $19.29
$19.97M
1.035M
$3.31B
2019
$29.11
$19.96M
685.65K
$1.50B
2020
$43.46
$19.91M
458.164K
$585.50M
2021
AVTX Avalo Therapeutics, Inc. Common Stock $19.95
$19.90M
997.72K
$1.05B
2022
CON Concentra Group Holdings Parent, Inc. $31.40
$19.82M
631.257K
$4.02B
2023
$35.34
$19.82M
560.736K
$200.48M
2024
$73.77
$19.81M
268.479K
$1.11B
2025
DBD Diebold Nixdorf, Incorporated $84.99
$19.79M
232.832K
$2.94B
2026
EDBL Edible Garden AG Incorporated Common Stock $0.1044
$19.78M
189.444M
$2.15M
2027
NBR Nabors Industries Ltd. $80.28
$19.66M
244.848K
$1.19B
2028
$16.12
$19.64M
1.219M
$1.19B
2029
SBH Sally Beauty Holdings, Inc. $14.93
$19.60M
1.313M
$1.42B
2030
$174.82
$19.51M
111.629K
$912.78M
2031
AIP Arteris, Inc. Common Stock $36.72
$19.44M
529.348K
$1.70B
2032
$14.03
$19.38M
1.381M
$675.88M
2033
TYRA Tyra Biosciences, Inc. Common Stock $33.01
$19.32M
585.302K
$1.96B
2034
$13.51
$19.31M
1.429M
$486.61M
2035
AVPT AvePoint, Inc. Class A Common Stock $12.67
$19.31M
1.524M
$2.69B
2036
$34.07
$19.24M
564.727K
$2.00B
2037
$20.61
$19.22M
932.727K
$862.00M
2038
$33.24
$19.21M
577.915K
$1.93B
2039
$44.19
$19.20M
434.489K
$1.77B
2040
GTM ZoomInfo Technologies Inc Common Stock $2.95
$19.14M
6.489M
$869.42M
2041
ZBIO Zenas BioPharma, Inc. Common Stock $29.43
$19.12M
649.695K
$1.86B
2042
$41.58
$19.05M
458.06K
$2.14B
2043
SKE Skeena Resources Limited $27.46
$19.03M
692.99K
$3.42B
2044
$36.83
$18.92M
513.602K
$1.98B
2045
$3.16
$18.88M
5.974M
$1.11B
2046
$68.58
$18.85M
274.864K
$9.39B
2047
OCTV Octave Intelligence plc Class B Ordinary Shares $17.23
$18.78M
1.09M
$4.44B
2048
$20.10
$18.76M
933.462K
$1.97B
2049
$39.31
$18.74M
476.82K
$1.57B
2050
RHLD Resolute Holdings Management Common Stock $149.69
$18.74M
125.215K
$1.24B
2051
PRDO Perdoceo Education Corporation $35.63
$18.70M
524.914K
$2.23B
2052
OCFC OceanFirst Financial Corp $19.08
$18.70M
980.28K
$1.10B
2053
$48.31
$18.68M
386.597K
$2.47B
2054
LFTO Liftoff Mobile, Inc. Common Stock $24.79
$18.65M
752.228K
$4.13B
2055
USLM United States Lime & Minerals $99.20
$18.62M
187.673K
$2.85B
2056
$12.84
$18.60M
1.449M
$2.34B
2057
GNW Genworth Financial, Inc. $9.22
$18.60M
2.018M
$3.53B
2058
CWH Camping World Holdings, Inc. $6.46
$18.60M
2.879M
$410.34M
2059
QDEL QuidelOrtho Corporation Common Stock $17.44
$18.59M
1.066M
$1.19B
2060
$10.44
$18.57M
1.779M
$805.16M
2061
$21.25
$18.54M
872.599K
$2.84B
2062
FELE Franklin Electric Co Inc $101.69
$18.53M
182.243K
$4.49B
2063
ZLAB Zai Lab Limited American Depositary Shares $20.00
$18.51M
925.657K
$2.28B
2064
ABEO Abeona Therapeutics Inc. Common Stock $7.10
$18.50M
2.605M
$404.76M
2065
FIZZ National Beverage Corp. $32.54
$18.49M
568.337K
$3.05B
2066
BORR Borr Drilling Limited $4.45
$18.45M
4.146M
$1.40B
2067
$40.73
$18.45M
452.959K
$4.32B
2068
$111.71
$18.45M
165.147K
$2.88B
2069
LAC Lithium Americas Corp. $3.60
$18.45M
5.124M
$1.28B
2070
SPB Spectrum Brands Holdings, Inc. $84.08
$18.38M
218.602K
$1.93B
2071
DGXX Digi Power X Inc. Subordinate Voting Shares $4.79
$18.37M
3.834M
$457.09M
2072
$1.58
$18.31M
11.595M
$1.01B
2073
GLIBK GCI Liberty, Inc. Series C GCI Group Common Stock $22.28
$18.30M
821.551K
$798.81M
2074
BOT RoboStrategy, Inc. Common Stock $34.10
$18.27M
535.681K
$691.35M
2075
ZBAO Zhibao Technology Inc. Class A Ordinary Shares $0.3182
$18.23M
57.306M
$5.49M
2076
CWK Cushman & Wakefield plc Ordinary Shares $13.50
$18.19M
1.347M
$3.16B
2077
ETOR eToro Group Ltd. Class A Common Shares $39.80
$18.18M
456.773K
$2.66B
2078
SHG Shinhan Financial Group Co Ltd $70.58
$18.17M
257.399K
$33.50B
2079
SGML Sigma Lithium Corporation Common Shares $12.34
$18.16M
1.471M
$1.38B
2080
$14.93
$18.15M
1.216M
$4.33B
2081
$9.14
$18.14M
1.986M
$2.12B
2082
ACVA ACV Auctions Inc. Class A Common Stock $6.91
$18.10M
2.62M
$1.21B
2083
PKX POSCO Holdings Inc. American Depositary Shares (Each representing 1/4th of a share of Common Stock) $50.04
$18.08M
361.225K
$15.86B
2084
AGYS Agilysys, Inc. Common Stock (DE) $109.14
$18.04M
165.314K
$3.07B
2085
$39.02
$18.02M
461.889K
$2.81B
2086
LWLG Lightwave Logic, Inc. Common Stock $7.10
$18.01M
2.537M
$1.09B
2087
$164.97
$18.01M
109.155K
$2.56B
2088
NGNE Neurogene, Inc. Common Stock $43.44
$17.99M
414.091K
$686.43M
2089
NHC National Healthcare Corp. $216.99
$17.97M
82.831K
$3.39B
2090
GCT GigaCloud Technology Inc Class A Ordinary Shares $34.83
$17.92M
514.471K
$1.03B
2091
$66.89
$17.92M
267.858K
$12.37B
2092
NVCR NovoCure Limited Ordinary Shares $17.29
$17.91M
1.036M
$2.00B
2093
MCRI Monarch Casino & Resort Inc $125.56
$17.90M
142.581K
$2.23B
2094
$29.24
$17.88M
611.629K
$1.34B
2095
$68.80
$17.87M
259.778K
$7.79B
2096
CIG Companhia Energetica De Minas Gerais-CEMIG $2.12
$17.84M
8.436M
$4.03B
2097
CERT Certara, Inc. Common Stock $6.51
$17.83M
2.738M
$1.01B
2098
PWP Perella Weinberg Partners Class A Common Stock $15.52
$17.82M
1.148M
$340.27M
2099
BJDX Bluejay Diagnostics, Inc. Common Stock $1.37
$17.67M
12.901M
$1.42M
2100
MSGE Madison Square Garden Entertainment Corp. $74.59
$17.64M
236.469K
$3.02B