Stock Rankings by Dollar Volume - Rankings 3501 to 3600
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 3501 to 3600.
3501
BLNE EASTSIDE DISTILLING , INC. $1.38
$757.19K
548.688K
$12.50M
3502
SNES SenesTech, Inc. Common Stock $5.15
$755.08K
146.617K
$10.38M
3503
PHUN Phunware, Inc. Common Stock $3.39
$754.81K
222.658K
$68.38M
3504
RMR The RMR Group Inc. Class A Common Stock $17.51
$754.61K
43.096K
$295.52M
3505
MAXN Maxeon Solar Technologies, Ltd. Ordinary Shares $3.71
$754.50K
203.364K
$62.69M
3506
AZ A2Z Smart Technologies Corp. Common Shares $9.88
$753.72K
76.287K
$346.19M
3507
MITT AG MORTGAGE INVESTMENT TRUST, INC. $7.79
$752.53K
96.602K
$231.18M
3508
$2.26
$748.59K
331.968K
$271.01M
3509
SONM Sonim Technologies, Inc. Common Stock $0.6711
$746.78K
1.113M
$6.94M
3510
ECDA ECD Automotive Design, Inc. Common Stock $0.2880
$741.99K
2.576M
$11.34M
3511
CGNT Cognyte Software Ltd. Ordinary Shares $9.18
$741.53K
80.821K
$668.66M
3512
ALGS Aligos Therapeutics, Inc. Common Stock $7.91
$741.51K
93.743K
$48.37M
3513
BWB Bridgewater Bancshares, Inc. Common Stock $16.94
$741.46K
43.77K
$464.83M
3514
CVGI Commercial Vehicle Group, Inc. $1.98
$741.21K
375.297K
$68.41M
3515
OOMA Ooma, Inc. Common Stock $13.23
$739.80K
55.918K
$364.63M
3516
$3.01
$738.71K
245.42K
$117.06M
3517
ULBI Ultralife Corporation $9.06
$738.59K
81.522K
$150.69M
3518
$3.57
$737.41K
206.453K
$3.57B
3519
GETY Getty Images Holdings, Inc. $1.78
$736.53K
413.783K
$735.88M
3520
$1.16
$736.49K
634.246K
$5.08M
3521
SMC Summit Midstream Corporation $25.30
$736.31K
29.103K
$309.70M
3522
EQBK Equity Bancshares, Inc. $43.28
$733.68K
16.954K
$757.98M
3523
AHL Aspen Insurance Holdings Limited $30.48
$733.23K
24.056K
$2.80B
3524
DSGR Distribution Solutions Group, Inc. Common Stock $29.02
$731.22K
25.197K
$1.35B
3525
AURA Aura Biosciences, Inc. Common Stock $6.60
$730.75K
110.72K
$409.23M
3526
ESP Espey Mfg. & Electronics Corp $47.85
$729.66K
15.249K
$135.48M
3527
$38.63
$728.68K
18.863K
$309.37M
3528
RHLD Resolute Holdings Management Common Stock $36.40
$728.00K
20K
$310.35M
3529
API Agora, Inc. American Depositary Shares $3.60
$727.29K
202.019K
$336.65M
3530
DAAQ Digital Asset Acquisition Corp. Class A Ordinary shares $10.43
$727.09K
69.711K
$239.89M
3531
$56.07
$721.39K
12.867K
$437.38M
3532
BEAG Bold Eagle Acquisition Corp. Class A Ordinary Shares $10.45
$720.95K
68.99K
$327.27M
3533
$32.38
$717.90K
22.171K
$466.28M
3534
RAIL FreightCar America, Inc. $9.13
$716.07K
78.43K
$174.56M
3535
ZYBT Zhengye Biotechnology Holding Limited Ordinary Shares $6.05
$715.18K
118.211K
$286.72M
3536
XFOR X4 Pharmaceuticals, Inc. Common Stock $1.94
$715.11K
368.612K
$13.93M
3537
MNTK Montauk Renewables, Inc. Common Stock $2.66
$713.03K
268.057K
$378.88M
3538
NB NioCorp Developments Ltd. Common Stock $2.42
$712.33K
294.365K
$134.81M
3539
DDC DDC Enterprise Limited $11.30
$711.15K
62.934K
$35.88M
3540
CENT Central Garden and Pet Co $36.49
$709.22K
19.436K
$2.31B
3541
REPX Riley Exploration Permian, Inc. $27.10
$707.23K
26.097K
$596.82M
3542
$18.64
$705.73K
37.861K
$480.06M
3543
VLN Valens Semiconductor Ltd. $2.67
$704.92K
264.015K
$281.02M
3544
HOFT Hooker Furnishings Corporation Common Stock $11.56
$704.12K
60.91K
$123.66M
3545
FDMT 4D Molecular Therapeutics, Inc. Common Stock $4.20
$701.79K
167.093K
$194.56M
3546
NPCE Neuropace, Inc. Common Stock $10.90
$699.99K
64.219K
$357.50M
3547
OXBR Oxbridge Re Holdings Limited $2.18
$699.28K
320.772K
$16.23M
3548
IGMS IGM Biosciences, Inc. Common Stock $1.34
$698.74K
521.447K
$80.65M
3549
FBLA FB Bancorp, Inc. Common Stock $11.50
$698.10K
60.704K
$228.13M
3550
$3.76
$697.72K
185.563K
$102.50M
3551
KIND Nextdoor Holdings, Inc. $1.60
$695.54K
434.712K
$612.14M
3552
VXRT Vaxart, Inc Common Stock $0.4350
$695.11K
1.598M
$99.28M
3553
BMGL Basel Medical Group Ltd Ordinary Shares $1.78
$693.94K
389.855K
$33.44M
3554
NINE Nine Energy Service, Inc. $0.8451
$693.06K
820.091K
$35.79M
3555
ADSE ADS-TEC ENERGY PLC Ordinary Shares $12.07
$691.60K
57.299K
$661.92M
3556
MNPR Monopar Therapeutics Inc. Common Stock $36.25
$690.49K
19.048K
$221.68M
3557
JILL J.Jill, Inc. Common Stock $15.47
$689.51K
44.571K
$236.43M
3558
WKEY WISeKey International Holding AG American Depositary Shares $6.57
$689.12K
104.872K
$73.70M
3559
NIXX Nixxy, Inc. Common Stock $2.31
$689.11K
298.318K
$48.89M
3560
OSS One Stop Systems, Inc. Common Stock $4.10
$687.86K
167.819K
$88.49M
3561
SUNS Sunrise Realty Trust, Inc. Common Stock $11.27
$686.76K
60.937K
$151.26M
3562
PINE Alpine Income Property Trust, Inc $14.93
$686.50K
45.981K
$213.00M
3563
CDLR Cadeler A/S American Depositary Share (each representing four (4) Ordinary Shares) $20.21
$686.15K
33.951K
$1.77B
3564
MFH Mercurity Fintech Holding Inc. Ordinary Shares $4.28
$684.21K
159.861K
$272.58M
3565
SCAG Scage Future American Depositary Shares $5.00
$683.47K
136.693K
$359.72M
3566
PGC Peapack-Gladstone Financial Corp $30.38
$682.52K
22.466K
$538.82M
3567
CRVO CervoMed Inc. Common Stock $5.73
$680.83K
118.735K
$49.90M
3568
DFLI Dragonfly Energy Holdings Corp. Common Stock (NV) $0.1682
$680.69K
4.047M
$1.57M
3569
TRML Tourmaline Bio, Inc. Common Stock $17.36
$680.04K
39.173K
$445.95M
3570
NXTT Next Technology Holding Inc. Ordinary Shares $2.47
$679.09K
274.935K
$1.08B
3571
TKNO Alpha Teknova, Inc. Common Stock $5.23
$675.45K
129.15K
$279.50M
3572
$11.25
$673.43K
59.86K
$551.40M
3573
$5.68
$670.61K
117.996K
$241.40M
3574
EARN Ellington Credit Company $5.72
$669.75K
117.058K
$214.89M
3575
NIVF NewGenIvf Group Limited Class A ordinary shares $0.9050
$668.38K
738.538K
$3.91M
3576
PFIS Peoples Financial Services Corp. $53.40
$667.55K
12.501K
$533.72M
3577
HVII Hennessy Capital Investment Corp. VII Ordinary Shares $10.16
$665.48K
65.5K
$264.40M
3578
IRWD Ironwood Pharmaceuticals, Inc. - Class A $0.7229
$664.38K
919.049K
$116.98M
3579
$33.25
$664.24K
19.977K
$275.78M
3580
TDTH Trident Digital Tech Holdings Ltd American Depository Shares $0.2616
$663.53K
2.536M
$20.12M
3581
INBX Inhibrx, Inc. Common Stock $16.33
$663.52K
40.632K
$236.39M
3582
$7.17
$663.17K
92.48K
$79.66M
3583
$20.03
$661.91K
33.046K
$366.08M
3584
$2.31
$660.66K
285.999K
$204.98M
3585
SPFI South Plains Financial, Inc. Common Stock $37.34
$657.11K
17.598K
$605.94M
3586
WKSP Worksport, Ltd. Common Stock $3.32
$655.30K
197.379K
$17.26M
3587
$6.00
$654.76K
109.126K
$518.44M
3588
RXT Rackspace Technology, Inc. Common Stock $1.40
$654.09K
467.21K
$332.34M
3589
GRC The Gorman-Rupp Company Common Shares $38.66
$654.01K
16.917K
$1.02B
3590
$1.45
$653.21K
450.831K
$149.26M
3591
SCPH scPharmaceuticals Inc. Common Stock $3.98
$650.63K
163.681K
$209.85M
3592
$6.29
$648.89K
103.162K
$182.60M
3593
FENC Fennec Pharmaceuticals Inc. Common Stock $8.82
$648.87K
73.568K
$243.60M
3594
$1.29
$647.40K
503.817K
$267.33M
3595
PMTR Perimeter Acquisition Corp. I Class A Ordinary Shares $10.40
$643.96K
61.919K
$312.40M
3596
HOUS Anywhere Real Estate Inc. $3.61
$643.24K
178.183K
$403.62M
3597
AREN The Arena Group Holdings, Inc. $6.23
$642.56K
103.139K
$296.30M
3598
BBGI Beasley Broadcasting Group Inc $4.05
$637.63K
157.44K
$7.27M
3599
WETO Webus International Limited Ordinary Shares $1.85
$635.89K
343.723K
$40.70M
3600
AEYE AudioEye, Inc. Common Stock $12.16
$635.18K
52.257K
$151.43M