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
VIVO VivoPower PLC Ordinary Shares $4.22
$1.09M
257.12K
$52.86M
3502
EGHT 8x8, Inc. Common Stock $1.98
$1.09M
547.99K
$285.98M
3503
$39.86
$1.08M
27.056K
$330.04M
3504
$13.33
$1.08M
80.897K
$1.36B
3505
$5.53
$1.08M
194.786K
$146.76M
3506
PEPG PepGen Inc. Common Stock $3.22
$1.08M
334.855K
$222.67M
3507
$21.12
$1.07M
50.79K
$595.38M
3508
$2.04
$1.07M
525.62K
$447.62M
3509
CSV Carriage Services, Inc. $34.76
$1.07M
30.741K
$551.64M
3510
TMS Teamshares Inc. Common Stock $6.26
$1.07M
170.217K
$461.11M
3511
WW WW International, Inc. Common Stock $15.98
$1.06M
66.565K
$159.78M
3512
XRN Chiron Real Estate Inc. $37.26
$1.06M
28.526K
$493.24M
3513
$20.67
$1.06M
51.399K
$267.39M
3514
OACC Oaktree Acquisition Corp. III Life Sciences Class A Ordinary Share $10.74
$1.06M
98.753K
$212.47M
3515
RNGT Range Capital Acquisition Corp II Class A Ordinary Shares $10.14
$1.06M
104.298K
$239.91M
3516
CVGI Commercial Vehicle Group, Inc. $3.10
$1.06M
341.36K
$125.76M
3517
RCEL Avita Medical, Inc. Common Stock $9.97
$1.06M
105.903K
$306.84M
3518
$61.25
$1.05M
17.216K
$426.24M
3519
NCDL Nuveen Churchill Direct Lending Corp $12.34
$1.05M
85.317K
$609.44M
3520
NSLR Neostellar Capital Corp. Common Stock $9.84
$1.05M
107.007K
$260.36M
3521
QTRX Quanterix Corporation Common Stock $2.79
$1.05M
375.473K
$131.95M
3522
ITG ITG, Inc. Class A Common Stock $11.85
$1.05M
88.389K
$574.07M
3523
LASE Laser Photonics Corporation Common Stock $1.28
$1.05M
817.741K
$60.99M
3524
CYH Community Health Systems, Inc. $3.01
$1.04M
345.748K
$424.44M
3525
AIV Apartment Investment and Management Company $2.60
$1.04M
400.044K
$377.63M
3526
SPWR SunPower Corporation Common Stock $0.2810
$1.04M
3.692M
$51.44M
3527
YYAI Connexa Sports Technologies Inc. Common Stock $1.18
$1.04M
877.622K
$62.15K
3528
$1.75
$1.04M
591.706K
$60.63M
3529
INMB INmune Bio Inc. Common stock $2.34
$1.03M
442.435K
$64.81M
3530
BSIN Big Sky Industrial Inc. Common Stock $1.44
$1.03M
717.245K
$75.08M
3531
AFYA Afya Limited Class A Common Shares $14.13
$1.03M
72.833K
$677.11M
3532
BAER Bridger Aerospace Group Holdings, Inc. Common Stock $1.17
$1.03M
883.021K
$67.15M
3533
CFBK CF Bankshares Inc. Common Stock $34.86
$1.03M
29.421K
$223.64M
3534
AZUL Azul S.A. American Depositary Shares (each representing three preferred shares) $7.40
$1.02M
138.512K
$1.36B
3535
$6.55
$1.02M
156.391K
$44.62M
3536
GCBC Greene County Bancorp Inc $35.27
$1.02M
28.941K
$600.54M
3537
OPTX Syntec Optics Holdings, Inc. Class A Common Stock $8.36
$1.02M
122.05K
$336.74M
3538
CARL Carlsmed, Inc. Common Stock $15.94
$1.02M
63.903K
$435.21M
3539
$1.41
$1.01M
722.272K
$55.65M
3540
$9.66
$1.01M
105.041K
$362.41M
3541
$37.32
$1.01M
27.124K
$632.48M
3542
KPTI Karyopharm Therapeutics Inc. $1.88
$1.01M
538.141K
$42.56M
3543
TLSA Tiziana Life Sciences Ltd. Common Shares $1.17
$1.00M
858.527K
$140.99M
3544
INNV InnovAge Holding Corp. Common Stock $11.05
$1.00M
90.894K
$1.50B
3545
$0.4045
$1.00M
2.474M
$12.31M
3546
$98.35
$1.00M
10.174K
$402.98M
3547
KPET KPET Ultra Paceline Corporation $9.99
$999.00K
100K
$289.56M
3548
PBYI PUMA BIOTECHNOLOGY INC $9.04
$998.56K
110.46K
$466.65M
3549
OMH Ohmyhome Limited Ordinary Shares $0.1042
$997.53K
9.573M
$249.50K
3550
NKLR Terra Innovatum Global N.V. Ordinary shares $5.71
$994.00K
174.08K
$630.96M
3551
BWAY Brainsway Ltd. American Depositary Shares $14.29
$988.08K
69.145K
$573.48M
3552
$18.19
$985.06K
54.154K
$389.52M
3553
EAF GrafTech International Ltd. $6.37
$982.24K
154.198K
$166.21M
3554
OPTU Optimum Communications, Inc. $0.8673
$981.03K
1.131M
$236.40M
3555
DDI DoubleDown Interactive Co., Ltd. American Depository Shares $12.87
$980.47K
76.171K
$637.85M
3556
$4.05
$979.21K
242.079K
$257.11M
3557
GBFH GBank Financial Holdings Inc. Common Stock $21.43
$979.03K
45.685K
$310.10M
3558
CHPT ChargePoint Holdings, Inc. $5.94
$976.75K
164.436K
$153.83M
3559
CHY Calamos Convertible and High Income Fund $12.98
$975.39K
75.157K
$1.03B
3560
LMRI Lumexa Imaging Holdings, Inc. Common Stock $11.92
$975.09K
81.803K
$1.15B
3561
$12.03
$972.69K
80.855K
$134.50M
3562
SPTX Seaport Therapeutics, Inc. Common Stock $24.25
$968.39K
39.942K
$1.30B
3563
BCAL Southern California Bancorp Common Stock $21.48
$965.03K
44.927K
$690.59M
3564
$6.18
$964.72K
156.078K
$301.46M
3565
$72.83
$957.28K
13.144K
$1.06B
3566
HCAT Health Catalyst, Inc Common Stock $1.59
$951.40K
600.254K
$119.28M
3567
$36.52
$951.02K
26.041K
$305.11M
3568
$8.79
$950.76K
108.164K
$253.85M
3569
$17.45
$949.47K
54.411K
$2.77B
3570
ORRF Orrstown Financial Services Inc $42.20
$944.52K
22.382K
$830.06M
3571
CCU Compania Cervecerias Unidas S.A. $12.72
$944.08K
74.22K
$2.35B
3572
$9.64
$943.04K
97.876K
$232.71M
3573
BNTC Benitec Biopharma Inc. Common Stock $12.96
$941.93K
72.708K
$445.06M
3574
XTIA XTI Aerospace, Inc. Common Stock $1.42
$940.74K
662.494K
$54.64M
3575
HNVR Hanover Bancorp, Inc. Common Stock $27.28
$939.96K
34.456K
$192.47M
3576
OBIO Orchestra BioMed Holdings, Inc. Ordinary Shares $5.45
$935.36K
171.767K
$327.30M
3577
$29.00
$934.68K
32.236K
$1.48B
3578
RNA Avidity Biosciences, Inc. Common Stock $13.58
$929.31K
68.432K
$232.29M
3579
CBIO Crescent Biopharma, Inc. Common Stock $17.05
$929.19K
54.498K
$633.30M
3580
AIXC AIxCrypto Holdings, Inc. Common Stock $0.9118
$928.96K
1.019M
$18.45M
3581
TY TRI-Continental Corporation $35.48
$928.05K
26.157K
$1.89B
3582
$2.51
$927.64K
369.579K
$874.70M
3583
BMM Blue Moon Metals Inc. Common Shares $5.35
$917.97K
171.584K
$534.27M
3584
HITI High Tide Inc. Common Shares $2.49
$913.32K
367.535K
$218.62M
3585
GFUZ General Fusion Group Ltd. Common Shares $6.98
$910.26K
130.41K
$563.45M
3586
SKYH Sky Harbour Group Corporation $10.56
$909.63K
86.139K
$364.43M
3587
OBT Orange County Bancorp, Inc. Common Stock $38.42
$909.40K
23.67K
$515.13M
3588
SBC SBC Medical Group Holdings Incorporated Common Stock $4.11
$907.79K
221.078K
$422.31M
3589
KROS Keros Therapeutics, Inc. Common Stock $11.01
$907.77K
82.45K
$218.30M
3590
PRTH Priority Technology Holdings, Inc. $5.65
$905.55K
160.274K
$465.79M
3591
TII Titan Mining Corporation $2.88
$903.74K
314.346K
$284.57M
3592
$15.62
$900.70K
57.682K
$645.41M
3593
INSG Inseego Corp. Common Stock $4.47
$899.30K
201.185K
$73.40M
3594
PCYO Pure Cycle Corporation $11.63
$891.53K
76.658K
$280.25M
3595
$3.12
$889.05K
284.953K
$289.21M
3596
PLCE Children's Place, Inc. $2.65
$886.54K
334.542K
$58.93M
3597
SPFI South Plains Financial, Inc. Common Stock $44.31
$884.87K
19.97K
$834.76M
3598
MCBS METROCITY BANKSHARES INC $35.69
$884.24K
24.779K
$1.03B
3599
FNRN First Northern Community Bancorp Common stock $17.55
$883.91K
50.362K
$287.76M
3600
ACEL Accel Entertainment, Inc. $12.05
$883.28K
73.332K
$977.98M