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
OCCI OFS Credit Company, Inc. Common Stock $6.26
$1.09M
173.412K
$162.55M
3302
LITM Snow Lake Resources Ltd. Common Shares $3.98
$1.09M
272.568K
$31.15M
3303
$1.21
$1.08M
895.25K
$3.90M
3304
NMM Navios Maritime Partners L.P. $38.22
$1.08M
28.201K
$1.13B
3305
$25.61
$1.08M
42.036K
$389.28M
3306
$2.35
$1.07M
453.734K
$1.27B
3307
PROK ProKidney Corp. Class A Ordinary Shares $0.7000
$1.06M
1.518M
$90.68M
3308
TIXT TELUS International (Cda) Inc. Subordinate Voting Shares $3.73
$1.06M
284.699K
$1.03B
3309
$1.31
$1.06M
805.858K
$338.33M
3310
TCMD Tactile Systems Technology, Inc. $10.12
$1.05M
104.172K
$235.27M
3311
BWFG Bankwell Financial Group Inc $37.73
$1.05M
27.883K
$297.06M
3312
ERAS Erasca, Inc. Common Stock $1.37
$1.05M
767K
$388.10M
3313
IBCP Independent Bank Corp. $34.56
$1.05M
30.309K
$716.12M
3314
CARE Carter Bankshares, Inc. Common Stock $18.25
$1.04M
57.244K
$422.54M
3315
CCCC C4 Therapeutics, Inc. $1.50
$1.04M
695.334K
$106.51M
3316
$2.38
$1.04M
437.735K
$411.08M
3317
RNGR Ranger Energy Services, Inc. $12.35
$1.04M
84.237K
$277.74M
3318
BFST Business First Bancshares, Inc. Common Stock $26.19
$1.04M
39.713K
$777.56M
3319
VREX Varex Imaging Corporation Common Stock $8.79
$1.04M
118.318K
$364.69M
3320
$6.11
$1.04M
170.024K
$718.18M
3321
NTHI NeOnc Technologies Holdings, Inc. Common Stock $6.44
$1.04M
161.272K
$122.53M
3322
RAY Raytech Holding Limited Ordinary Shares $1.32
$1.04M
786.28K
$23.25M
3323
JBSS John B. Sanfilippo & SON $66.11
$1.04M
15.688K
$769.58M
3324
ESOA Energy Services of America Corporation Common Stock $10.45
$1.04M
99.237K
$174.70M
3325
FMNB Farmers National Banc Corp $14.18
$1.04M
73.087K
$533.74M
3326
MYE Myers Industries, Inc. $15.53
$1.04M
66.73K
$580.55M
3327
PKST Peakstone Realty Trust $13.80
$1.04M
75.089K
$507.28M
3328
$3.61
$1.03M
286.527K
$100.62M
3329
STFS Star Fashion Culture Holdings Limited Class A Ordinary Shares $1.09
$1.03M
948.372K
$15.21M
3330
AUTL Autolus Therapeutics plc American Depositary Share $2.37
$1.03M
435.701K
$630.99M
3331
DMLP Dorchester Minerals LP $28.00
$1.03M
36.818K
$1.33B
3332
$5.17
$1.03M
198.902K
$29.18B
3333
OTLK Outlook Therapeutics, Inc. Common Stock $1.78
$1.03M
576.466K
$76.28M
3334
TASK TaskUs, Inc. Class A Common Stock $16.75
$1.03M
61.235K
$1.49B
3335
SGMO Sangamo Therapeutics, Inc. Common Stock $0.5303
$1.03M
1.934M
$130.14M
3336
UP Wheels Up Experience Inc. $1.17
$1.03M
877.433K
$816.49M
3337
$18.06
$1.02M
56.531K
$485.47M
3338
$1.11
$1.02M
919.775K
$100.79M
3339
RCEL Avita Medical, Inc. Common Stock $5.42
$1.02M
188.259K
$143.28M
3340
ELPW Elong Power Holding Limited Class A Ordinary Shares $1.17
$1.02M
871.247K
$58.57M
3341
CRVS Corvus Pharmaceuticals, Inc. $3.93
$1.02M
258.99K
$303.06M
3342
UHT Universal Health Realty Income Trust $41.29
$1.02M
24.611K
$571.93M
3343
AIFF Firefly Neuroscience, Inc. Common Stock $3.03
$1.02M
335.119K
$40.18M
3344
SHOT Safety Shot, Inc. Common Stock $0.3856
$1.01M
2.629M
$41.76M
3345
SKIN The Beauty Health Company Class A Common Stock $2.20
$1.01M
460.225K
$277.19M
3346
$8.25
$1.01M
122.658K
$592.99M
3347
CRBU Caribou Biosciences, Inc. Common Stock $1.40
$1.01M
721.834K
$130.15M
3348
CAEP Cantor Equity Partners III, Inc. Class A Ordinary Shares $10.49
$1.01M
96.079K
$361.91M
3349
$34.81
$1.00M
28.793K
$388.57M
3350
DKL DELEK LOGISTICS PARTNERS, LP $43.72
$1.00M
22.924K
$2.34B
3351
MGIC Magic Software Enterprises Ltd $20.52
$999.37K
48.702K
$1.01B
3352
$17.79
$999.02K
56.156K
$365.98M
3353
PBT Permian Basin Royalty Trust $13.43
$997.29K
74.239K
$626.12M
3354
CMTG Claros Mortgage Trust, Inc. $3.16
$996.15K
315.738K
$441.04M
3355
$9.68
$994.53K
102.741K
$1.88B
3356
GLAD Gladstone Capital Corp $27.58
$993.98K
36.04K
$615.86M
3357
$6.67
$992.75K
148.838K
$246.65M
3358
EMX EMX Royalty Corporation $2.79
$986.98K
353.756K
$301.30M
3359
FTRK FAST TRACK GROUP Ordinary shares $0.7498
$984.48K
1.313M
$15.93M
3360
FOA Finance of America Companies Inc. $23.58
$982.93K
41.685K
$260.78M
3361
BVS Bioventus Inc. Class A Common Stock $7.02
$981.12K
139.861K
$465.50M
3362
LAB Standard BioTools Inc. Common Stock $1.35
$980.04K
725.957K
$487.68M
3363
$23.92
$979.98K
40.969K
$321.80M
3364
UFCS United Fire Group Inc. $28.16
$974.76K
34.615K
$716.70M
3365
TERN Terns Pharmaceuticals, Inc. Common Stock $4.23
$974.26K
230.321K
$369.44M
3366
$7.65
$974.08K
127.331K
$1.49B
3367
MCFT MasterCraft Boat Holdings, Inc. Common Stock $20.20
$973.14K
48.175K
$335.42M
3368
BCYC Bicycle Therapeutics plc American Depositary Shares $7.40
$971.06K
131.224K
$512.48M
3369
JBIO Jade Biosciences, Inc. Common Stock $11.12
$969.94K
87.264K
$358.30M
3370
IHRT iHeartMedia, Inc. Class A Common Stock $1.95
$969.27K
498.341K
$287.12M
3371
SOL Emeren Group Ltd American Depositary Shares, each representing 10 shares $1.89
$968.16K
512.038K
$97.04M
3372
GNLN Greenlane Holdings, Inc. Class A Common Stock $3.77
$967.97K
256.757K
$3.92B
3373
$9.83
$967.63K
98.436K
$43.73M
3374
KIDZ Classover Holdings, Inc. Class B Common Stock $2.85
$965.01K
338.601K
$67.79M
3375
HBNC Horizon Bancorp, Inc. Common Stock $16.39
$964.57K
58.851K
$722.75M
3376
CWBC Community West Bancshares Common Stock $21.19
$964.53K
45.518K
$403.91M
3377
$1.45
$962.51K
663.803K
$91.48M
3378
MOFG MidWestOne Financial Group $30.69
$962.16K
31.351K
$638.88M
3379
$7.87
$961.99K
122.235K
$972.13M
3380
CCSI Consensus Cloud Solutions, Inc. Common Stock $23.33
$960.71K
41.179K
$455.89M
3381
BRBS Blue Ridge Bankshares, Inc. $3.58
$959.89K
268.126K
$326.42M
3382
$13.96
$955.86K
68.471K
$157.54M
3383
ASLE AerSale Corporation Common Stock $6.20
$953.32K
153.886K
$290.31M
3384
CHSN Chanson International Holding Class A Ordinary Shares $0.1319
$950.86K
7.209M
$5.71M
3385
CIVB Civista Bancshares, Inc. $25.01
$949.03K
37.946K
$388.13M
3386
IDN Intellicheck, Inc. Common Stock $5.38
$947.35K
176.087K
$106.76M
3387
LCFY Locafy Limited Ordinary Share $5.35
$944.02K
176.453K
$7.39M
3388
$42.79
$943.18K
22.042K
$422.68M
3389
CHI Calamos Convertible Opportunities and Income Fund $10.58
$939.94K
88.841K
$823.88M
3390
IMTX Immatics N.V. Ordinary Shares $5.70
$931.39K
163.545K
$692.23M
3391
$67.28
$927.25K
13.782K
$1.71B
3392
MRCC Monroe Capital Corporation $6.50
$926.47K
142.534K
$140.83M
3393
NGS Natural Gas Services Group, Inc. $25.44
$923.09K
36.285K
$318.76M
3394
ABUS Arbutus Biopharma Corporation Common Stock $3.24
$921.41K
284.386K
$620.55M
3395
HOVR New Horizon Aircraft Ltd. Class A Ordinary Share $1.55
$916.02K
590.983K
$48.65M
3396
AGMH AGM Group Holdings Inc. Class A Ordinary Shares $2.54
$913.21K
359.532K
$5.01M
3397
SUPX Super X AI Technology Limited Ordinary Shares $10.31
$913.01K
88.556K
$202.80M
3398
AOUT American Outdoor Brands, Inc. Common Stock $10.09
$910.82K
90.27K
$128.73M
3399
PGEN Precigen, Inc. Common Stock $1.62
$908.72K
560.939K
$478.19M
3400
SAVA Cassava Sciences, Inc. $2.01
$907.10K
451.293K
$97.10M