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
NRGV Energy Vault Holdings, Inc. $5.12
$15.22M
2.973M
$891.63M
2002
$9.99
$15.18M
1.519M
$1.36B
2003
NRIX Nurix Therapeutics, Inc. Common stock $17.85
$15.10M
845.688K
$1.85B
2004
ENR Energizer Holdings, Inc $18.16
$15.09M
830.78K
$1.24B
2005
DUOT Duos Technologies Group, Inc. Common Stock $12.47
$15.07M
1.209M
$365.32M
2006
$84.88
$15.07M
177.564K
$3.89B
2007
$3.65
$15.01M
4.111M
$1.55B
2008
XPRO Expro Group Holdings N.V. $16.04
$14.96M
932.574K
$1.82B
2009
$34.56
$14.94M
432.184K
$3.32B
2010
$8.54
$14.90M
1.745M
$4.27B
2011
$11.75
$14.90M
1.268M
$1.55B
2012
$41.47
$14.89M
358.985K
$3.43B
2013
$71.69
$14.84M
207.072K
$3.73B
2014
DPRO Draganfly Inc. Common Shares $6.36
$14.79M
2.326M
$218.68M
2015
$11.85
$14.79M
1.248M
$1.88B
2016
RUSHA Rush Enterprises Inc $68.89
$14.73M
213.845K
$4.20B
2017
$46.12
$14.72M
319.15K
$2.89B
2018
ROOT Root, Inc. Class A Common Stock $58.00
$14.71M
253.558K
$813.16M
2019
SDGR Schrodinger, Inc. Common Stock $13.45
$14.71M
1.093M
$882.03M
2020
WWW Wolverine World Wide, Inc. $16.41
$14.68M
894.538K
$1.35B
2021
EBC Eastern Bankshares, Inc. Common Stock $19.85
$14.64M
737.387K
$4.59B
2022
WRLD World Acceptance Corp $159.92
$14.64M
91.529K
$789.48M
2023
OCUL Ocular Therapeutix, Inc. $8.50
$14.62M
1.72M
$1.86B
2024
$29.71
$14.60M
491.459K
$1.75B
2025
FFBC First Financial Bancorp $30.73
$14.59M
474.769K
$3.22B
2026
$32.17
$14.59M
453.581K
$1.73B
2027
$40.29
$14.59M
361.997K
$2.88B
2028
MGNI Magnite, Inc. Common Stock $13.16
$14.57M
1.107M
$1.88B
2029
$50.98
$14.57M
285.703K
$3.19B
2030
OXLC Oxford Lane Capital Corp. $9.62
$14.55M
1.512M
$939.13M
2031
$76.54
$14.52M
189.754K
$8.73B
2032
$36.69
$14.51M
395.467K
$2.28B
2033
GLUE Monte Rosa Therapeutics, Inc. Common Stock $18.81
$14.51M
771.374K
$1.59B
2034
$33.80
$14.50M
429.113K
$1.98B
2035
CIGI Colliers International Group Inc. Subordinate Voting Shares $96.20
$14.50M
150.716K
$4.79B
2036
$42.72
$14.50M
339.356K
$4.34B
2037
MLAB Mesa Laboratories Inc $108.54
$14.47M
133.279K
$599.66M
2038
PLMR Palomar Holdings, Inc. Common stock $113.87
$14.46M
127.005K
$3.02B
2039
$29.37
$14.46M
492.261K
$1.37B
2040
NAT Nordic American Tanker $5.41
$14.45M
2.673M
$1.14B
2041
GCT GigaCloud Technology Inc Class A Ordinary Shares $38.23
$14.35M
375.357K
$1.13B
2042
RARE Ultragenyx Pharmaceutical Inc. $23.39
$14.33M
612.759K
$2.30B
2043
WBI WaterBridge Infrastructure LLC $31.40
$14.33M
456.423K
$1.48B
2044
$67.16
$14.31M
213.061K
$2.36B
2045
DSGX Descartes Systems Group Inc $71.25
$14.30M
200.744K
$6.13B
2046
$11.46
$14.29M
1.247M
$1.92B
2047
$128.95
$14.29M
110.797K
$3.26B
2048
SMPL The Simply Good Foods Company Common Stock $11.86
$14.29M
1.205M
$1.07B
2049
LMAT LeMaitre Vascular, Inc. $97.75
$14.29M
146.139K
$2.23B
2050
RERE ATRenew Inc. American Depositary Shares (every three of which representing two Class A ordinary shares) $4.67
$14.27M
3.056M
$614.03M
2051
NEXT NextDecade Corporation Common Stock $8.66
$14.26M
1.646M
$2.29B
2052
ATOM Atomera Incorporated Common Stock $9.24
$14.22M
1.538M
$357.74M
2053
NBR Nabors Industries Ltd. $105.41
$14.21M
134.791K
$1.56B
2054
INV Innventure, Inc. Common Stock $6.65
$14.19M
2.133M
$559.03M
2055
GBX The Greenbrier Companies, Inc. $47.94
$14.19M
295.947K
$1.48B
2056
BCH Banco de ChileAmerican Depositary Shares (Each representing 200 shares of Common Stock) $37.53
$14.13M
376.65K
$18.95B
2057
ADPT Adaptive Biotechnologies Corporation Common Stock $13.85
$14.13M
1.02M
$2.22B
2058
CAPR Capricor Therapeutics Inc $28.99
$14.12M
486.893K
$1.68B
2059
SFD Smithfield Foods, Inc. Common Stock $26.34
$14.10M
535.133K
$10.36B
2060
PAYP PayPay Corporation American Depository Shares $19.16
$14.09M
735.375K
$12.81B
2061
TSSI TSS, Inc. Common Stock $11.85
$14.04M
1.185M
$332.68M
2062
LMB Limbach Holdings, Inc Common Stock $71.07
$14.03M
197.474K
$847.23M
2063
PUK PRUDENTIAL PLC ADS (REP 2 ORD SHARES) $31.00
$14.03M
452.437K
$39.05B
2064
$13.35
$14.01M
1.049M
$8.60B
2065
LCLN Lincoln International, Inc. $24.25
$13.96M
575.758K
$767.68M
2066
$34.16
$13.91M
407.32K
$3.74B
2067
$15.19
$13.90M
915.179K
$9.19B
2068
GLBE Global-E Online Ltd. Ordinary Shares $29.96
$13.89M
463.738K
$5.08B
2069
MX Magnachip Semiconductor Corp. $5.52
$13.85M
2.509M
$201.15M
2070
SAH Sonic Automotive, Inc. $78.16
$13.85M
177.174K
$1.53B
2071
BBT Beacon Financial Corporation $28.78
$13.81M
479.919K
$2.41B
2072
CLDX Celldex Therapeutics, Inc $30.73
$13.75M
447.509K
$2.41B
2073
SBCF Seacoast Banking Corp of Florida $30.49
$13.71M
449.785K
$2.97B
2074
$3.40
$13.70M
4.029M
$1.05B
2075
NG NovaGold Resources Inc. $7.77
$13.70M
1.763M
$3.41B
2076
CNO CNO Financial Group, Inc. $47.29
$13.69M
289.394K
$4.41B
2077
ULCC Frontier Group Holdings, Inc. Common Stock $4.92
$13.67M
2.779M
$1.13B
2078
$95.15
$13.66M
143.579K
$1.11B
2079
$47.10
$13.66M
289.931K
$8.31B
2080
$18.97
$13.62M
718.24K
$785.52M
2081
SNDR Schneider National, Inc. $33.40
$13.61M
407.561K
$3.08B
2082
BATRK Atlanta Braves Holdings, Inc. Series C Common Stock $49.49
$13.59M
274.512K
$2.62B
2083
ARI APOLLO COMMERCIAL REAL ESTATE FINANCE, INC. $10.94
$13.57M
1.24M
$1.45B
2084
REPL Replimune Group, Inc. $4.95
$13.57M
2.74M
$408.73M
2085
BXMT Blackstone Mortgage Trust, Inc. (NEW) $17.96
$13.56M
755.005K
$3.03B
2086
NMRK Newmark Group, Inc. Class A Common Stock $14.60
$13.55M
927.906K
$2.28B
2087
$29.57
$13.54M
458.065K
$1.36B
2088
$8.40
$13.54M
1.612M
$2.82B
2089
MD Pediatrix Medical Group, Inc. $21.26
$13.54M
636.649K
$1.75B
2090
ATMU Atmus Filtration Technologies Inc. $48.83
$13.48M
276.081K
$3.99B
2091
CSWC Capital Southwest Corp $22.81
$13.46M
590.063K
$1.37B
2092
WDS Woodside Energy Group Limited American Depositary Shares, each representing one Ordinary Share $22.84
$13.44M
588.386K
$43.42B
2093
TRIN Trinity Capital Inc. Common Stock $16.61
$13.44M
809.052K
$1.49B
2094
CDP COPT Defense Properties $32.13
$13.43M
417.838K
$3.64B
2095
$24.11
$13.41M
556.277K
$3.73B
2096
TRT Trio-Tech International $13.21
$13.41M
1.015M
$133.59M
2097
$3.14
$13.41M
4.27M
$461.34M
2098
EWTX Edgewise Therapeutics, Inc. Common Stock $32.70
$13.40M
409.878K
$3.52B
2099
OCS Oculis Holding AG Ordinary shares $29.49
$13.38M
453.654K
$1.71B
2100
$6.39
$13.36M
2.091M
$1.52B