Stock Rankings by Dollar Volume - Rankings 4501 to 4600
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 4501 to 4600.
4501
SOUL Soulpower Acquisition Corporation $10.26
$116.15K
11.321K
$262.86M
4502
CTW CTW Cayman Class A Ordinary Shares $2.47
$115.95K
46.942K
$124.49M
4503
TVRD Tvardi Therapeutics, Inc. Common Stock $2.90
$115.54K
39.91K
$27.16M
4504
PHAR Pharming Group N.V. ADS, each representing 10 ordinary shares $17.43
$115.33K
6.617K
$1.22B
4505
CIG.C Companhia Energetica De Minas Gerais-CEMIG $3.85
$115.21K
29.924K
$3.68B
4506
$2.53
$115.00K
45.456K
$33.75M
4507
$51.41
$114.80K
2.233K
$307.00M
4508
COLA Columbus Acquisition Corp Ordinary Shares $10.53
$114.10K
10.836K
$47.33M
4509
$4.53
$113.57K
25.071K
$46.14M
4510
WPRT Westport Fuel Systems Inc Common Shares $2.00
$113.52K
56.758K
$34.75M
4511
IINN Inspira Technologies Oxy B.H.N. Ltd. Ordinary Shares $0.4160
$113.21K
272.143K
$18.13M
4512
UPLD Upland Software, Inc. $0.6457
$113.08K
175.127K
$18.80M
4513
QVCGA QVC Group, Inc. Series A Common Stock $2.14
$113.04K
52.922K
$16.84M
4514
BZFD BuzzFeed, Inc. Class A Common Stock $0.6010
$113.04K
188.088K
$21.81M
4515
NVCT Nuvectis Pharma, Inc. Common Stock $8.22
$112.85K
13.737K
$217.63M
4516
METCB Ramaco Resources, Inc. Class B Common Stock $10.23
$112.62K
11.009K
$114.12M
4517
DDI DoubleDown Interactive Co., Ltd. American Depository Shares $8.61
$112.38K
13.052K
$426.66M
4518
ATOS Atossa Therapeutics, Inc. Common Stock $4.98
$112.36K
22.563K
$42.88M
4519
PRPL Purple Innovation, Inc. Common Stock $0.6480
$112.32K
173.331K
$70.39M
4520
SNGX Soligenix, Inc. Common Stock $1.13
$112.30K
99.381K
$11.65M
4521
$2.96
$112.22K
37.911K
$13.69M
4522
$7.04
$111.81K
15.882K
$63.69M
4523
UUU Universal Security Instruments, Inc. $5.90
$111.57K
18.911K
$16.04M
4524
BOLD Boundless Bio, Inc. Common Stock $1.18
$111.21K
93.879K
$26.54M
4525
RAAQ Real Asset Acquisition Corp. Class A Ordinary Share $10.42
$110.65K
10.619K
$179.75M
4526
$7.49
$110.54K
14.759K
$263.97M
4527
$0.5057
$110.20K
217.907K
$24.64M
4528
FMFC Kandal M Venture Limited Class A Ordinary Shares $0.4414
$109.77K
248.674K
$5.87M
4529
MWG Multi Ways Holdings Limited $2.20
$109.75K
49.902K
$11.29M
4530
NA Nano Labs Ltd Class A Ordinary Shares $3.09
$109.22K
35.404K
$63.90M
4531
VSME VS Media Holdings Limited Class A Ordinary Shares $0.9260
$109.05K
117.761K
$2.53M
4532
PGAC Pantages Capital Acquisition Corporation Class A Ordinary Shares $10.50
$108.46K
10.334K
$93.08M
4533
CANG Cango Inc. American Depositary Shares, each representing two (2) Class A Ordinary Shares $0.4220
$108.29K
256.613K
$146.16M
4534
FLUX Flux Power Holdings, Inc. Common Stock $1.09
$108.21K
99.272K
$23.26M
4535
AMOD Alpha Modus Holdings, Inc. Class A Common Stock $0.3300
$107.77K
326.583K
$16.67M
4536
$2.38
$107.38K
45.214K
$22.31M
4537
REVB Revelation Biosciences, Inc. Common Stock $1.18
$107.22K
90.696K
$4.40M
4538
CDRO Codere Online Luxembourg, S.A. Ordinary Shares $8.57
$107.21K
12.517K
$390.91M
4539
KPLT Katapult Holdings, Inc. Common Stock $7.22
$107.07K
14.829K
$31.79M
4540
MCRP Micropolis Holding Company $2.42
$107.05K
44.237K
$84.43M
4541
BEEP Mobile Infrastructure Corporation $2.15
$106.76K
49.654K
$88.58M
4542
$3.15
$106.39K
33.756K
$15.07M
4543
GIFT RDE, Inc. Common Stock $1.06
$105.88K
99.89K
$35.67M
4544
CITR General Enterprise Ventures, Inc. $9.05
$105.42K
11.649K
$173.31M
4545
MLSS Milestone Scientific, Inc. Common Stock $0.2849
$105.15K
369.081K
$22.92M
4546
HBANZ Huntington Bancshares Incorporated Depositary Shares, Each Representing a 1/1000th Interest in a Share of 5.50% Series L Non-Cumulative Perpetual Preferred Stock $20.94
$105.12K
5.02K
$144.49M
4547
WFF WF Holding Limited Ordinary Shares $0.2135
$104.90K
491.358K
$5.33M
4548
CALC CalciMedica, Inc. Common Stock $0.6320
$104.61K
165.53K
$9.95M
4549
VIRC Virco Mfg. Corporation $5.56
$104.09K
18.721K
$87.63M
4550
LGHL Lion Group Holding Ltd. American Depositary Share $0.8742
$103.61K
118.524K
$443.28K
4551
NYXH Nyxoah SA Ordinary Shares $2.85
$103.06K
36.163K
$124.44M
4552
$2.27
$102.69K
45.237K
$24.80M
4553
STKS The ONE Group Hospitality, Inc. Common Stock $1.71
$102.63K
60.017K
$53.43M
4554
COCH Envoy Medical, Inc. Class A Common Stock $0.6144
$102.35K
166.584K
$47.24M
4555
IZM ICZOOM Group Inc. Class A Ordinary Shares $0.4225
$102.17K
241.83K
$3.44M
4556
SCOR comScore, Inc. Common Stock $7.44
$101.78K
13.68K
$111.77M
4557
WHG WESTWOOD HOLDINGS GROUP, INC. $16.03
$101.05K
6.304K
$152.04M
4558
AENT Alliance Entertainment Holding Corporation Class A Common Stock $6.89
$101.00K
14.659K
$351.10M
4559
DRIO DarioHealth Corp. Common Stock $7.25
$100.38K
13.846K
$52.93M
4560
JCTC Jewett-Cameron Trading $1.70
$99.85K
58.733K
$5.98M
4561
SSII SS Innovations International Inc. Common Stock $4.31
$99.54K
23.096K
$863.00M
4562
TDWD Tailwind 2.0 Acquisition Corp. Class A Ordinary Shares $9.95
$99.50K
10K
$177.06M
4563
GTIM Good Times Restaurants Inc. $1.27
$99.43K
78.294K
$13.41M
4564
CAAS China Automotive Systems, Inc. $4.22
$99.26K
23.522K
$127.32M
4565
SVRN OceanPal Inc. Common Stock $10.59
$99.06K
9.354K
$19.87M
4566
MYSE Myseum, Inc. Common Stock $1.35
$99.06K
73.376K
$5.84M
4567
AEC Anfield Energy Inc. Common Shares $5.46
$98.96K
18.124K
$99.29M
4568
WETH Wetouch Technology Inc. Common Stock $1.41
$98.86K
70.11K
$16.82M
4569
$25.00
$98.68K
3.947K
$62.47M
4570
DWTX Dogwood Therapeutics, Inc. Common Stock $1.95
$98.56K
50.542K
$65.13M
4571
SLMT Brera Holdings PLC Class B Ordinary Shares $0.7800
$98.53K
126.318K
$63.96M
4572
BEAG Bold Eagle Acquisition Corp. Class A Ordinary Shares $10.58
$98.46K
9.306K
$276.75M
4573
NWTG Newton Golf Company, Inc. Common Stock $1.35
$98.23K
72.548K
$6.22M
4574
NCEL NewcelX Ltd. Ordinary Shares $2.36
$98.06K
41.549K
$10.76M
4575
KNDI Kandi Technologies Group, Inc. Ordinary Shares $0.8130
$97.88K
120.395K
$69.49M
4576
SPHL Springview Holdings Ltd Class A Ordinary Shares $2.68
$97.79K
36.49K
$6.06M
4577
SPRU Spruce Power Holding Corporation $4.03
$97.63K
24.226K
$73.22M
4578
CZFS Citizens Financial Services, Inc. Common Stock $67.30
$97.39K
1.447K
$323.54M
4579
NEON Neonode Inc. Common Stock $1.37
$97.01K
70.808K
$22.99M
4580
SURG SurgePays, Inc. Common Stock $0.6797
$97.00K
142.717K
$15.93M
4581
FRD Friedman Industries, Inc $18.16
$96.76K
5.328K
$129.16M
4582
EPOW Sunrise New Energy Co., Ltd Class A Ordinary Shares $0.7661
$96.49K
125.948K
$29.67M
4583
SXTP 60 Degrees Pharmaceuticals, Inc. Common Stock $1.80
$96.35K
53.601K
$4.74M
4584
XPON Expion360 Inc. Common Stock $0.6925
$96.23K
138.965K
$7.51M
4585
MARPS Marine Petroleum Trust $5.22
$95.79K
18.35K
$10.44M
4586
MGX Metagenomi, Inc. Common Stock $1.38
$95.70K
69.346K
$51.92M
4587
BOLT Bolt Biotherapeutics, Inc. Common Stock $4.83
$95.65K
19.803K
$9.28M
4588
RFL Rafael Holdings, Inc. Class B Common Stock $1.26
$95.59K
75.864K
$64.54M
4589
WIMI WiMi Hologram Cloud Inc. American Depositary Share $1.86
$95.34K
51.398K
$18.80M
4590
AHMA Ambitions Enterprise Management Co. L.L.C Class A Ordinary Shares $0.8281
$95.23K
115K
$9.08M
4591
DXST Decent Holding Inc Ordinary Shares $3.00
$95.13K
31.711K
$5.45M
4592
OXBR Oxbridge Re Holdings Limited $0.7101
$95.11K
133.952K
$5.54M
4593
SBFM Sunshine Biopharma Inc. $0.9979
$95.05K
95.247K
$4.90M
4594
TPCS Techprecision Corporation $3.27
$94.76K
28.979K
$32.74M
4595
GMEX GMEX ROBOTICS CORPORATION Class A Ordinary Shares $0.4701
$94.73K
201.517K
$857.48K
4596
NDRA ENDRA Life Sciences Inc. Common Stock $4.80
$94.54K
19.695K
$5.96M
4597
BIYA Baiya International Group Inc. Ordinary Shares $1.27
$94.47K
74.389K
$2.04M
4598
AACB Artius II Acquisition Inc. Class A Ordinary Shares $10.36
$94.28K
9.1K
$229.73M
4599
MNDR Mobile-health Network Solutions Class A Ordinary Shares $0.8400
$94.16K
112.09K
$787.04K
4600
$1.74
$94.15K
54.11K
$12.68M