Stock Rankings by Dollar Volume - Rankings 501 to 600
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 501 to 600.
501
$109.14
$271.76K
2.49K
$20.73B
502
DPRO Draganfly Inc. Common Shares $5.03
$271.13K
53.902K
$94.08M
503
PI Impinj, Inc. Common Stock $155.97
$270.76K
1.736K
$4.52B
504
EMPD Empery Digital Inc. Common stock $9.61
$269.76K
28.071K
$455.34M
505
TEAM Atlassian Corporation Class A Common Stock $185.01
$269.56K
1.457K
$48.57B
506
$107.11
$269.39K
2.515K
$11.20B
507
$22.40
$268.37K
11.981K
$1.21B
508
STNE StoneCo Ltd. Class A Common Shares $12.66
$267.65K
21.141K
$3.44B
509
$4.07
$267.42K
65.704K
$21.89B
510
$33.45
$266.56K
7.969K
$119.39B
511
$19.09
$263.69K
13.813K
$7.12B
512
LEN Lennar Corporation Class A $116.78
$261.59K
2.24K
$30.25B
513
$421.25
$260.75K
619
$98.35B
514
$109.90
$259.25K
2.359K
$4.18B
515
$264.00
$257.93K
977
$13.11B
516
$60.19
$257.43K
4.277K
$147.57B
517
ERIC Ericsson American Depositary Shares $7.33
$257.21K
35.091K
$24.43B
518
BTCS BTCS Inc. Common Stock $4.13
$256.34K
62.069K
$197.63M
519
INVA Innoviva, Inc. Common Stock $18.63
$256.05K
13.744K
$1.17B
520
RTAC Renatus Tactical Acquisition Corp I Class A Ordinary Shares $11.55
$253.81K
21.975K
$359.92M
521
MLM Martin Marietta Materials $584.50
$252.50K
432
$35.24B
522
$29.54
$251.21K
8.504K
$321.39M
523
SNRE Sunrise Communications AG American Depositary Shares representing Class A shares $55.12
$249.97K
4.535K
$3.94B
524
HON Honeywell International, Inc. $218.52
$248.89K
1.139K
$138.74B
525
$104.18
$244.93K
2.351K
$15.45B
526
$58.88
$244.53K
4.153K
$5.84B
527
$12.45
$244.33K
19.625K
$3.38B
528
GLTO Galecto, Inc. Common Stock $3.32
$244.26K
73.571K
$4.39M
529
GH Guardant Health, Inc. Common Stock $41.42
$243.55K
5.88K
$5.17B
530
LAZR Luminar Technologies, Inc. Class A Common Stock $2.89
$243.42K
84.227K
$185.21M
531
LAC Lithium Americas Corp. $2.62
$243.10K
92.782K
$573.55M
532
STZ Constellation Brands, Inc. $166.00
$242.36K
1.46K
$29.26B
533
EZGO EZGO Technologies Ltd. Ordinary Shares $0.3533
$241.99K
684.947K
$2.01M
534
$42.50
$241.61K
5.685K
$4.38B
535
MCVT Mill City Ventures III, Ltd. Common Stock $4.98
$241.35K
48.463K
$30.19M
536
UAMY United States Antimony Corporation $3.06
$240.72K
78.667K
$364.45M
537
GS Goldman Sachs Group Inc. $713.49
$235.45K
330
$215.99B
538
VAC MARRIOTT VACATIONS WORLDWIDE CORPORATION $73.51
$234.13K
3.185K
$2.54B
539
ARLO Arlo Technologies, Inc. $15.85
$233.63K
14.74K
$1.64B
540
APM Aptorum Group Limited Class A Ordinary Shares $1.44
$231.77K
160.954K
$10.29M
541
EL The Estee Lauder Companies Inc. Class A $91.00
$231.50K
2.544K
$32.74B
542
$83.00
$229.50K
2.765K
$4.64B
543
$113.66
$228.23K
2.008K
$16.03B
544
$52.17
$227.62K
4.363K
$32.56B
545
NTLA Intellia Therapeutics, Inc $11.80
$227.47K
19.284K
$1.22B
546
$15.05
$227.07K
15.088K
$36.42B
547
SONY Sony Group Corporation American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock) $24.51
$226.10K
9.225K
$147.16B
548
NSC Norfolk Southern Corp. $276.51
$225.63K
816
$62.04B
549
$436.29
$225.13K
516
$77.75B
550
LSCC Lattice Semiconductor Corp $49.53
$223.08K
4.504K
$6.81B
551
$17.75
$222.53K
12.537K
$1.28B
552
PSIX Power Solutions International, Inc. Common Stock $89.73
$220.83K
2.461K
$2.06B
553
AMCR Amcor plc Ordinary Shares $9.35
$219.68K
23.495K
$21.42B
554
VECO Veeco Instruments Inc $20.44
$216.54K
10.594K
$1.19B
555
$77.50
$216.22K
2.79K
$27.04B
556
$166.97
$216.06K
1.294K
$402.12B
557
CVS CVS HEALTH CORPORATION $62.89
$215.59K
3.428K
$79.76B
558
TROX TRONOX LIMITED CL A ORDINARY SHARES $3.44
$214.37K
62.317K
$545.32M
559
NRSN NeuroSense Therapeutics Ltd. Ordinary Shares $1.06
$214.36K
202.224K
$25.43M
560
QXO QXO, Inc. Common Stock $19.63
$213.78K
10.892K
$13.16B
561
$105.38
$212.76K
2.019K
$16.38B
562
BAX Baxter International Inc. $21.99
$211.63K
9.624K
$11.28B
563
INFY Infosys Limited American Depositary Shares $16.65
$211.22K
12.686K
$69.02B
564
FMS Fresenius Medical Care AG $25.12
$210.86K
8.394K
$14.74B
565
OMEX Odyssey Marine Exploration, Inc $1.52
$210.72K
138.629K
$47.63M
566
INVZ Innoviz Technologies Ltd. Ordinary shares $1.55
$209.78K
135.342K
$308.39M
567
$77.50
$208.32K
2.688K
$4.84B
568
TXG 10x Genomics, Inc. Class A Common Stock $13.28
$207.71K
15.641K
$1.64B
569
ADAP Adaptimmune Therapeutics plc American Depositary Shares $0.0725
$207.07K
2.856M
$19.22M
570
$13.29
$206.92K
15.57K
$305.41M
571
KSPI Joint Stock Company Kaspi.kz American Depository Shares $82.99
$205.15K
2.472K
$15.83B
572
$505.80
$204.34K
404
$136.98B
573
RVSN Rail Vision Ltd. Ordinary Share $0.4609
$203.08K
440.606K
$24.06M
574
LITM Snow Lake Resources Ltd. Common Shares $3.95
$202.90K
51.367K
$30.90M
575
MYNZ Mainz Biomed N.V. Ordinary Shares $1.42
$202.62K
142.687K
$5.42M
576
HPE Hewlett Packard Enterprise Company $20.07
$201.96K
10.063K
$26.34B
577
OPAD Offerpad Solutions Inc. $1.44
$201.30K
139.79K
$44.02M
578
$29.06
$200.08K
6.885K
$52.76B
579
ANIP ANI Pharmaceuticals, Inc. $63.93
$194.79K
3.047K
$1.38B
580
TRMD TORM plc Class A Common Stock $18.78
$194.03K
10.332K
$1.84B
581
EDU New Oriental Education and Technology Group, Inc. American Depositary Shares (each representing ten (10) Common Shares) $46.50
$193.67K
4.165K
$7.60B
582
LNT Alliant Energy Corporation Common Stock $65.47
$193.14K
2.95K
$16.82B
583
GYRO Gyrodyne, LLC Common Stock $11.50
$192.48K
16.737K
$25.29M
584
$59.59
$191.70K
3.217K
$130.81B
585
$227.00
$191.59K
844
$127.22B
586
UMAC Unusual Machines, Inc. $9.05
$191.53K
21.159K
$274.17M
587
$31.03
$190.80K
6.149K
$23.63B
588
CLOV Clover Health Investments, Corp $2.83
$190.01K
67.141K
$1.44B
589
MBOT Microbot Medical, Inc. Common Stock $2.59
$189.21K
73.053K
$103.58M
590
SCHW The Charles Schwab Corporation $96.14
$189.01K
1.966K
$174.68B
591
$84.91
$188.92K
2.225K
$9.82B
592
$14.39
$188.65K
13.11K
$1.24B
593
ICCM IceCure Medical Ltd. Ordinary Shares $0.9800
$187.89K
191.729K
$58.62M
594
SPRY ARS Pharmaceuticals, Inc. Common Stock $17.56
$187.01K
10.65K
$1.72B
595
CAN Canaan Inc. American Depositary Shares $0.6700
$185.60K
277.022K
$308.44M
596
CAR Avis Budget Group, Inc. $165.60
$183.65K
1.109K
$5.83B
597
$18.19
$183.45K
10.085K
$6.05B
598
APA APA Corporation Common Stock $18.30
$183.31K
10.017K
$6.60B
599
$2.05
$181.74K
88.656K
$1.84B
600
CGTX Cognition Therapeutics, Inc. Common Stock $0.7110
$181.61K
255.426K
$44.08M