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
WTF Waton Financial Limited Ordinary Shares $4.64
$1.08M
233.405K
$223.82M
3502
FCBC First Community Bankshares, Inc. (VA) $38.03
$1.08M
28.367K
$696.52M
3503
TMCI Treace Medical Concepts, Inc. Common Stock $7.35
$1.08M
146.561K
$464.32M
3504
FLWS 1-800-FLOWERS.COM Inc $5.60
$1.08M
192.117K
$355.96M
3505
INMB INmune Bio Inc. Common stock $2.07
$1.08M
519.412K
$55.03M
3506
MWYN Marwynn Holdings, Inc. Common stock $0.8269
$1.07M
1.297M
$14.10M
3507
CCD Calamos Dynamic Convertible & Income Fund $20.54
$1.07M
52.17K
$555.57M
3508
SIDU Sidus Space, Inc. Class A Common Stock $1.26
$1.07M
848.921K
$32.06M
3509
HTCO Caravelle International Group Ordinary Shares $9.28
$1.06M
114.448K
$52.88M
3510
DBGI Digital Brands Group, Inc. Common Stock $9.48
$1.06M
111.736K
$42.58M
3511
$45.42
$1.06M
23.313K
$1.48B
3512
LOCO El Pollo Loco Holdings, Inc. $10.63
$1.06M
99.315K
$318.85M
3513
MPB Mid Penn Bancorp, Inc. $30.14
$1.06M
35.02K
$693.18M
3514
LIEN Chicago Atlantic BDC, Inc. Common Stock $11.01
$1.06M
95.836K
$251.25M
3515
TIL Instil Bio, Inc. Common Stock $27.10
$1.05M
38.773K
$182.94M
3516
UHT Universal Health Realty Income Trust $40.58
$1.05M
25.855K
$563.01M
3517
VIOT Viomi Technology Co., Ltd American Depositary Shares $3.50
$1.04M
298.119K
$238.73M
3518
NLOP Net Lease Office Properties $29.62
$1.04M
35.167K
$438.79M
3519
ACFN Acorn Energy, Inc. Common Stock $27.57
$1.04M
37.771K
$68.97M
3520
SHIP Seanergy Maritime Holdings Corp. $8.11
$1.04M
128.367K
$169.53M
3521
SNWV SANUWAVE Health, Inc. Common Stock $41.64
$1.04M
24.991K
$356.77M
3522
OSTX OS Therapies Incorporated $2.31
$1.04M
448.121K
$73.10M
3523
ONL Orion Office REIT Inc. $2.97
$1.03M
348.56K
$166.97M
3524
SOHU Sohu.com Limited American Depositary Shares $16.08
$1.03M
64.12K
$483.30M
3525
IGIC International General Insurance Holdings Ltd. Ordinary Share $24.15
$1.03M
42.592K
$1.04B
3526
$64.58
$1.03M
15.904K
$312.38M
3527
ADN Advent Technologies Holdings, Inc. Class A Common Stock $4.50
$1.03M
228.224K
$12.02M
3528
DSGN Design Therapeutics, Inc. Common Stock $5.55
$1.02M
183.835K
$316.06M
3529
CRVO CervoMed Inc. Common Stock $9.38
$1.02M
108.656K
$81.61M
3530
ARAI Arrive AI Inc. Common Stock $4.85
$1.01M
209.125K
$160.22M
3531
FISI Financial Institutions Inc $27.67
$1.01M
36.609K
$556.99M
3532
NA Nano Labs Ltd Class A Ordinary Shares $5.22
$1.01M
193.509K
$120.67M
3533
KCHV Kochav Defense Acquisition Corp. Class A Ordinary Shares $10.02
$1.01M
100.7K
$343.26M
3534
PLX Protalix BioTherapeutics, Inc. Common Stock $1.59
$1.01M
632.351K
$127.02M
3535
$8.32
$1.01M
120.999K
$232.87M
3536
HUSA Houston American Energy Corp $8.22
$1.00M
122.055K
$278.18M
3537
$7.99
$1.00M
125.614K
$215.92M
3538
$89.35
$1.00M
11.224K
$944.40M
3539
DUOT Duos Technologies Group, Inc. Common Stock $6.40
$1.00M
156.541K
$124.25M
3540
NRP Natural Resource Partners L.P. $103.40
$999.98K
9.671K
$1.36B
3541
CBNK Capital Bancorp, Inc. $34.12
$999.14K
29.283K
$565.83M
3542
MFH Mercurity Fintech Holding Inc. Ordinary Shares $7.14
$998.36K
139.828K
$493.20M
3543
ASIC Ategrity Specialty Insurance Company Holdings $22.64
$996.16K
44K
$1.09B
3544
AREN The Arena Group Holdings, Inc. $6.10
$991.74K
162.581K
$289.54M
3545
HCWB HCW Biologics Inc. Common Stock $5.56
$990.35K
178.12K
$11.96M
3546
WWR Westwater Resources, Inc. $0.8000
$990.01K
1.238M
$68.98M
3547
BHFAN Brighthouse Financial, Inc. Depositary shares, each representing a 1/1,000th interest in a share of 5.375% Non-Cumulative Preferred Stock, Series C $14.89
$989.63K
66.463K
$297.80M
3548
VELO Velo3D, Inc. Common stock $4.22
$986.45K
233.757K
$83.98M
3549
$5.52
$983.86K
178.235K
$340.81M
3550
DGXX Digi Power X Inc. Subordinate Voting Shares $2.23
$974.20K
436.862K
$99.71M
3551
EB Eventbrite, Inc. Class A Common Stock $2.61
$973.82K
373.11K
$251.87M
3552
APM Aptorum Group Limited Class A Ordinary Shares $2.00
$971.69K
485.846K
$14.29M
3553
$1.07
$966.45K
903.903K
$410.82M
3554
MIND MIND Technology, Inc. Common Stock (DE) $10.12
$965.66K
95.421K
$80.65M
3555
ARBE Arbe Robotics Ltd. Ordinary Shares $1.33
$963.98K
724.796K
$144.53M
3556
CIVB Civista Bancshares, Inc. $21.20
$961.50K
45.354K
$409.43M
3557
SIFY Sify Technologies Limited $9.10
$960.65K
105.566K
$658.39M
3558
JILL J.Jill, Inc. Common Stock $16.74
$959.00K
57.288K
$255.84M
3559
WF Woori Financial Group Inc. American Depositary Shares (each representing three (3) shares of Common Stock) $53.71
$953.78K
17.758K
$13.14B
3560
PFIS Peoples Financial Services Corp. $52.41
$951.24K
18.15K
$523.82M
3561
SEG Seaport Entertainment Group Inc. $24.96
$950.68K
38.088K
$317.79M
3562
GHRS GH Research PLC Ordinary Shares $13.50
$946.70K
70.126K
$837.40M
3563
EPM Evolution Petroleum Corporation $5.16
$946.04K
183.342K
$177.03M
3564
EM Smart Share Global Limited American Depositary Shares $1.32
$943.09K
714.464K
$334.75M
3565
$17.41
$941.24K
54.063K
$468.22M
3566
VNDA Vanda Pharmaceuticals Inc. $4.64
$940.18K
202.624K
$274.17M
3567
INV Innventure, Inc. Common Stock $5.52
$937.07K
169.759K
$309.26M
3568
$1.85
$936.79K
506.403K
$4.81M
3569
$5.32
$932.66K
175.312K
$87.39M
3570
NPCE Neuropace, Inc. Common Stock $9.16
$932.24K
101.828K
$302.86M
3571
NCMI National CineMedia, Inc. $4.40
$928.91K
211.115K
$412.32M
3572
$52.21
$928.87K
17.791K
$523.82M
3573
$3.00
$928.35K
309.449K
$161.36M
3574
PSBD Palmer Square Capital BDC Inc. $14.25
$925.57K
64.952K
$457.79M
3575
EFTY Etoiles Capital Group Co., Ltd. Class A Ordinary Shares $6.80
$924.32K
135.929K
$135.32M
3576
RNTX Rein Therapeutics, Inc. Common Stock $1.44
$924.23K
641.828K
$33.19M
3577
XPON Expion360 Inc. Common Stock $1.48
$923.39K
623.7K
$5.14M
3578
LIXT Lixte Biotechnology Holdings, Inc. Common Stock $4.26
$920.55K
216.091K
$19.43M
3579
CHW Calamos Global Dynamic Income Fund $7.30
$920.41K
126.084K
$466.21M
3580
CYN Cyngn Inc. Common Stock $5.60
$920.01K
164.285K
$39.42M
3581
$0.9200
$912.94K
992.325K
$88.89M
3582
ZNTL Zentalis Pharmaceuticals, Inc. Common Stock $1.68
$912.88K
543.38K
$121.19M
3583
$0.8831
$911.17K
1.032M
$76.66M
3584
HCTI Healthcare Triangle, Inc. Common Stock $2.29
$909.76K
397.276K
$13.35M
3585
TZOO Travelzoo Common Stock $9.83
$909.63K
92.536K
$107.94M
3586
CMMB Chemomab Therapeutics Ltd. American Depositary Share $3.15
$907.86K
288.118K
$16.36M
3587
$53.24
$903.11K
16.963K
$1.80B
3588
ACTG Acacia Research Corporation $3.42
$901.00K
263.836K
$329.36M
3589
CIO CITY OFFICE REIT, INC. $6.91
$899.73K
130.207K
$278.91M
3590
$6.33
$897.93K
141.853K
$90.61M
3591
PZG Paramount Gold Nevada Corp. $0.9800
$894.61K
912.869K
$70.02M
3592
ABP Abpro Holdings, Inc Common Stock $0.2499
$894.16K
3.578M
$20.03M
3593
VENU Venu Holding Corporation $12.72
$893.77K
70.265K
$517.59M
3594
$3.59
$892.96K
249.081K
$294.04M
3595
NOTE FiscalNote Holdings, Inc. $0.4250
$892.02K
2.099M
$73.19M
3596
$1.35
$890.66K
659.746K
$20.75M
3597
EWCZ European Wax Center, Inc. Class A Common Stock $4.29
$889.09K
207.488K
$185.80M
3598
CASS Cass Information Systems Inc $43.12
$886.20K
20.552K
$569.87M
3599
$6.35
$883.96K
139.206K
$52.25M
3600
DERM Journey Medical Corporation Common Stock $7.21
$883.53K
122.542K
$175.77M