Stock Rankings by Dollar Volume - Rankings 3301 to 3400
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 3301 to 3400.
3301
VHC VirnetX Holding Corporation $14.31
$1.79M
124.928K
$59.90M
3302
GLSI Greenwich LifeSciences, Inc. $25.60
$1.79M
69.81K
$354.68M
3303
AAT AMERICAN ASSETS TRUST, INC. $19.42
$1.78M
91.851K
$1.19B
3304
ADV Advantage Solutions Inc. Class A Common Stock $26.66
$1.78M
66.814K
$349.25M
3305
CTKB Cytek Biosciences, Inc. Common Stock $4.53
$1.76M
388.968K
$579.23M
3306
FVCB FVCBankcorp, Inc. Common Stock $15.48
$1.76M
113.856K
$277.67M
3307
IMTX Immatics N.V. Ordinary Shares $10.43
$1.76M
168.711K
$1.40B
3308
AGNCO AGNC Investment Corp. Depositary Shares, each representing a 1/1,000th interest in a share of 6.50% Series E Fixed-to-Floating Cumulative Redeemable Preferred Stock $24.98
$1.76M
70.413K
$402.18M
3309
$50.27
$1.75M
34.9K
$1.62B
3310
$5.94
$1.75M
295.186K
$185.05M
3311
$2.00
$1.75M
875.952K
$289.90M
3312
$6.33
$1.75M
276.439K
$172.38M
3313
FISI Financial Institutions Inc $34.04
$1.75M
51.282K
$668.35M
3314
PGC Peapack-Gladstone Financial Corp $38.38
$1.74M
45.464K
$674.36M
3315
AGPU Axe Compute Inc. Common Stock $3.95
$1.74M
441.25K
$21.88M
3316
KBDC Kayne Anderson BDC, Inc. $14.04
$1.74M
123.864K
$934.60M
3317
HTLD Heartland Express Inc $11.01
$1.74M
157.9K
$852.86M
3318
AGH Aureus Greenway Holdings Inc. Common Stock $3.21
$1.74M
541.369K
$65.02M
3319
ORN Orion Group Holdings, Inc $11.51
$1.74M
150.8K
$462.71M
3320
SDHC Smith Douglas Homes Corp. $14.93
$1.73M
116.143K
$135.14M
3321
CHY Calamos Convertible and High Income Fund $11.90
$1.73M
145.584K
$943.29M
3322
CTNM Contineum Therapeutics, Inc. Class A Common Stock $12.82
$1.73M
134.926K
$418.87M
3323
KOP Koppers Holdings, Inc. $37.43
$1.73M
46.164K
$723.79M
3324
SPRO Spero Therapeutics, Inc. Common Stock $2.67
$1.73M
646.583K
$154.57M
3325
HUBC Hub Cyber Security Ltd. Ordinary Shares $0.1150
$1.73M
15.001M
$2.42M
3326
CHCT Community Healthcare Trust Incorporated Common Stock, $0.01 par value per share $17.15
$1.72M
100.436K
$490.01M
3327
$2.74
$1.72M
628.79K
$953.66M
3328
NKLR Terra Innovatum Global N.V. Ordinary shares $4.95
$1.72M
347.082K
$347.98M
3329
BRSP BrightSpire Capital, Inc. $5.82
$1.71M
293.973K
$758.22M
3330
CDLX Cardlytics, Inc. Common Stock $0.8970
$1.71M
1.907M
$49.40M
3331
GHRS GH Research PLC Ordinary Shares $15.65
$1.70M
108.778K
$970.76M
3332
IDN Intellicheck, Inc. Common Stock $7.60
$1.70M
223.445K
$153.82M
3333
FENC Fennec Pharmaceuticals Inc. Common Stock $6.00
$1.70M
282.76K
$206.85M
3334
CDLR Cadeler A/S American Depositary Share (each representing four (4) Ordinary Shares) $25.79
$1.70M
65.772K
$2.26B
3335
$3.05
$1.69M
552.68K
$226.00M
3336
EOLS Evolus, Inc. Common Stock $4.28
$1.69M
394.207K
$278.13M
3337
STRZ Starz Entertainment Corp. Common Shares $14.57
$1.68M
115.627K
$244.62M
3338
ANTX AN2 Therapeutics, Inc. Common Stock $3.01
$1.68M
559.002K
$108.18M
3339
AIFF Firefly Neuroscience, Inc. Common Stock $1.52
$1.68M
1.105M
$22.49M
3340
$51.17
$1.67M
32.632K
$529.79M
3341
$1.79
$1.67M
932.424K
$347.65M
3342
$1.33
$1.67M
1.254M
$31.34M
3343
HRTX Heron Therapeutics, Inc. $0.8573
$1.66M
1.941M
$161.63M
3344
CPZ Calamos Long/Short Equity & Dynamic Income Trust Common Stock $14.01
$1.66M
118.271K
$275.05M
3345
REKR Rekor Systems, Inc. Common Stock $0.7427
$1.66M
2.23M
$101.44M
3346
$12.03
$1.66M
137.743K
$780.11M
3347
LOCO El Pollo Loco Holdings, Inc. $13.88
$1.65M
119.228K
$415.79M
3348
BCIC BCP Investment Corporation Common Stock $8.00
$1.65M
206.113K
$99.09M
3349
FTK Flotek Industries, Inc. $15.77
$1.65M
104.552K
$570.47M
3350
CING Cingulate Inc. Common Stock $5.86
$1.65M
281.056K
$68.14M
3351
KDK Kodiak AI, Inc. Common Stock $7.60
$1.64M
216.155K
$1.39B
3352
$29.29
$1.64M
56.067K
$259.43M
3353
NVA Nova Minerals Limited American Depositary Shares $6.16
$1.64M
266.026K
$234.16M
3354
UNCY Unicycive Therapeutics, Inc. Common Stock $6.52
$1.64M
251.131K
$164.49M
3355
CYCU Cycurion, Inc. Common Stock $1.22
$1.62M
1.329M
$6.72M
3356
FMNB Farmers National Banc Corp $13.89
$1.62M
116.719K
$524.19M
3357
SMP Standard Motor Products $37.47
$1.61M
43.032K
$829.81M
3358
NKTX Nkarta, Inc. Common Stock $2.21
$1.61M
728.275K
$157.55M
3359
PLG Platinum Group Metals LTD. $1.81
$1.61M
887.51K
$229.57M
3360
IGIC International General Insurance Holdings Ltd. Ordinary Share $25.82
$1.60M
62.086K
$1.15B
3361
$54.58
$1.60M
29.274K
$981.68M
3362
TLS Telos Corporation Common Stock $4.03
$1.59M
395.602K
$311.34M
3363
RJET Republic Airways Holdings Inc. Common Stock $19.79
$1.59M
80.253K
$926.76M
3364
CRMT America's Car Mart Inc $11.02
$1.59M
144.061K
$91.49M
3365
$32.30
$1.58M
49.023K
$466.69M
3366
CCSI Consensus Cloud Solutions, Inc. Common Stock $23.90
$1.57M
65.756K
$450.97M
3367
PEPG PepGen Inc. Common Stock $1.63
$1.57M
963.233K
$112.66M
3368
VMD Viemed Healthcare, Inc. Common Shares $9.51
$1.57M
165.082K
$367.11M
3369
NERV Minerva Neurosciences, Inc $5.49
$1.57M
285.737K
$237.58M
3370
BZUN Baozun Inc. American Depositary Shares $2.42
$1.56M
645.815K
$129.89M
3371
EKSO Ekso Bionics Holdings, Inc. Common Stock $8.87
$1.56M
175.926K
$31.61M
3372
OFIX Orthofix Medical Inc. Common Stock (DE) $12.38
$1.55M
125.096K
$496.99M
3373
FGMC FG Merger II Corp. Common stock $10.11
$1.55M
152.9K
$104.09M
3374
FFIC Flushing Financial Corp $15.90
$1.54M
97.003K
$538.75M
3375
$0.6195
$1.54M
2.49M
$189.93M
3376
$14.94
$1.54M
103.189K
$215.23M
3377
ELVA Electrovaya Inc. Common Shares $8.27
$1.54M
185.848K
$396.66M
3378
SGP SpyGlass Pharma, Inc. Common Stock $20.93
$1.53M
73.29K
$699.62M
3379
PROF Profound Medical Corp. Common Stock $6.20
$1.53M
246.769K
$225.02M
3380
MFIN Medallion Financial Corp $8.84
$1.53M
172.69K
$208.01M
3381
APC ARKO Petroleum Corp. Class A Common Stock $18.75
$1.53M
81.339K
$235.69M
3382
AFYA Afya Limited Class A Common Shares $15.07
$1.52M
101.09K
$722.16M
3383
$6.48
$1.52M
234.96K
$783.13M
3384
$51.12
$1.52M
29.724K
$356.77M
3385
$2.00
$1.52M
759.415K
$144.65M
3386
$76.99
$1.52M
19.682K
$372.41M
3387
CHPT ChargePoint Holdings, Inc. $5.08
$1.51M
296.91K
$120.24M
3388
RAIL FreightCar America, Inc. $8.99
$1.51M
167.671K
$171.38M
3389
VEL Velocity Financial, Inc. $19.14
$1.50M
78.625K
$750.96M
3390
HEPS D-Market Electronic Services & Trading American Depositary Shares $2.71
$1.50M
554.819K
$968.08M
3391
BWFG Bankwell Financial Group Inc $52.93
$1.50M
28.315K
$422.21M
3392
KULR KULR Technology Group, Inc. $2.15
$1.50M
696.616K
$99.45M
3393
$26.02
$1.50M
57.565K
$1.32B
3394
CLNE Clean Energy Fuels Corp. $2.25
$1.49M
661.535K
$493.74M
3395
SOHU Sohu.com Limited American Depositary Shares $14.99
$1.49M
99.195K
$390.77M
3396
IMPP Imperial Petroleum Inc. Common Shares $4.27
$1.48M
347.106K
$154.68M
3397
LCUT Lifetime Brands, Inc. $7.67
$1.48M
192.978K
$173.76M
3398
DUOT Duos Technologies Group, Inc. Common Stock $6.89
$1.48M
214.641K
$203.55M
3399
$16.48
$1.48M
89.605K
$367.72M
3400
NMRA Neumora Therapeutics, Inc. Common Stock $2.08
$1.48M
709.694K
$378.65M