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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
$ Volume (Day)
Volume (Day)
Market Cap
501
PTONPeloton Interactive, Inc. Class A Common Stock
$8.22
+0.00
+0.00%
$447.42K
54.431K
$3.35B
502
TRMDTORM plc Class A Common Stock
$23.73
+0.24
+1.02%
$442.68K
18.655K
$2.32B
503
DOWDow Inc.
$24.75
-0.10
-0.40%
$441.47K
17.837K
$17.54B
504
VERIVeritone, Inc. Common Stock
$4.28
+0.08
+1.90%
$436.02K
101.874K
$293.93M
505
TNXPTonix Pharmaceuticals Holding Corp.
$28.20
-0.28
-0.98%
$435.01K
15.426K
$247.20M
506
EXKEndeavour Silver Corp.
$6.50
+0.15
+2.36%
$433.02K
66.62K
$1.89B
507
CHYMChime Financial, Inc. Class A Common Stock
$23.96
+0.10
+0.42%
$432.05K
18.032K
$8.91B
508
ABATAmerican Battery Technology Company Common Stock
$2.54
+0.06
+2.42%
$431.71K
169.964K
$235.01M
509
TEAMAtlassian Corporation Class A Common Stock
$174.25
-1.75
-0.99%
$431.09K
2.474K
$45.71B
510
TMETencent Music Entertainment Group American Depositary Shares, each representing two Class A Ordinary Shares
$25.92
-0.33
-1.25%
$430.04K
16.59K
$39.94B
511
DHRDanaher Corporation
$194.01
-0.65
-0.33%
$429.15K
2.212K
$138.92B
512
NVAXNovavax Inc
$8.46
-0.07
-0.82%
$424.19K
50.141K
$1.37B
513
SONNSonnet BioTherapeutics Holdings, Inc. Common Stock
$7.40
-0.25
-3.27%
$422.87K
57.145K
$50.52M
514
WMWaste Management, Inc.
$216.00
-0.49
-0.23%
$421.42K
1.951K
$87.01B
515
IOTSamsara Inc.
$39.71
+0.52
+1.33%
$414.44K
10.436K
$22.78B
516
APHAmphenol Corporation
$119.20
-0.12
-0.10%
$411.60K
3.453K
$145.53B
517
AURAurora Innovation, Inc. Class A Common Stock
$6.00
+0.01
+0.17%
$411.05K
68.509K
$11.07B
518
KRTKarat Packaging Inc. Common Stock
$24.26
-0.49
-1.98%
$408.83K
16.852K
$487.45M
519
HALHalliburton Company
$22.44
+0.07
+0.31%
$405.06K
18.052K
$19.13B
520
NICENICE Ltd
$150.88
+0.32
+0.21%
$404.81K
2.683K
$9.32B
521
PESIPerma-Fix Environmental Services, Inc.
$9.40
+0.80
+9.30%
$401.61K
42.724K
$173.62M
522
GSKGSK plc American Depositary Shares (Each representing two Ordinary Shares)
$40.23
-0.21
-0.52%
$398.24K
9.899K
$80.97B
523
GPROGoPro, Inc.
$2.37
+0.01
+0.42%
$397.94K
167.907K
$374.89M
524
AAONAaon Inc
$84.06
+1.64
+1.99%
$396.76K
4.72K
$6.85B
525
MSMorgan Stanley
$158.00
-0.98
-0.62%
$394.84K
2.499K
$252.22B
526
BMRCBank of Marin Bancorp
$24.58
-0.30
-1.21%
$394.31K
16.042K
$396.36M
527
FSKFS KKR Capital Corp. Common Stock
$16.08
-0.02
-0.12%
$393.73K
24.486K
$4.50B
528
AMRZAmrize Ltd
$53.69
-0.31
-0.57%
$389.57K
7.256K
$29.69B
529
AEVAAeva Technologies, Inc.
$17.61
+0.12
+0.69%
$388.07K
22.037K
$991.93M
530
PSIXPower Solutions International, Inc. Common Stock
$103.99
-0.02
-0.02%
$387.67K
3.728K
$2.39B
531
IPMIntelligent Protection Management Corp. Common Stock
$2.26
-0.08
-3.42%
$387.11K
171.286K
$29.92M
532
ARVNArvinas, Inc
$7.62
-0.07
-0.91%
$383.23K
50.293K
$559.44M
533
CCEPCoca-Cola Europacific Partners plc Ordinary Shares
$90.52
-0.30
-0.33%
$382.08K
4.221K
$41.09B
534
NEGGNewegg Commerce, Inc. Common Shares
$48.44
+1.44
+3.06%
$379.48K
7.834K
$991.95M
535
LHSWLianhe Sowell International Group Ltd Ordinary Shares
$2.27
-0.02
-0.87%
$377.76K
166.416K
$118.04M
536
ICCMIceCure Medical Ltd. Ordinary Shares
$1.04
+0.02
+1.96%
$376.84K
362.347K
$71.40M
537
PUKPRUDENTIAL PLC ADS (REP 2 ORD SHARES)
$28.14
+0.24
+0.86%
$372.52K
13.238K
$35.89B
538
SGSweetgreen, Inc.
$8.90
+0.05
+0.56%
$370.26K
41.602K
$1.05B
539
WBTNWEBTOON Entertainment Inc. Common Stock
$21.00
-0.42
-1.96%
$369.58K
17.599K
$2.74B
540
FERGFerguson plc
$226.54
+0.64
+0.28%
$365.86K
1.615K
$45.46B
541
MIMIMint Incorporation Limited Class A Ordinary Shares
$10.51
-0.08
-0.76%
$364.54K
34.685K
$262.88M
542
RDNRadian Group Inc.
$36.68
+1.48
+4.19%
$363.93K
9.923K
$4.97B
543
COFCapital One Financial
$228.02
-1.15
-0.50%
$363.01K
1.592K
$145.82B
544
HOLXHologic Inc
$67.61
+0.36
+0.54%
$362.80K
5.366K
$15.04B
545
HTZHertz Global Holdings, Inc Common Stock
$6.31
-0.02
-0.32%
$362.59K
57.463K
$1.96B
546
BKSYBlackSky Technology Inc.
$19.64
+0.17
+0.87%
$362.48K
18.456K
$696.52M
547
DLODLocal Limited Class A Common Shares
$14.84
-0.02
-0.13%
$361.96K
24.391K
$4.36B
548
TGTXTG Therapeutics, Inc.
$32.25
-0.05
-0.15%
$359.46K
11.146K
$5.12B
549
SOThe Southern Company
$92.00
+0.10
+0.11%
$349.51K
3.799K
$101.20B
550
TREXTrex Company, Inc.
$54.50
+0.11
+0.20%
$347.82K
6.382K
$5.84B
551
ANGXAngel Studios, Inc.
$9.27
+0.37
+4.16%
$346.13K
37.339K
$1.49B
552
ADTNADTRAN Holdings, Inc. Common Stock
$9.00
+0.08
+0.90%
$345.87K
38.43K
$720.47M
553
ABCLAbCellera Biologics Inc. Common Shares
$4.68
-0.02
-0.43%
$342.97K
73.285K
$1.40B
554
PSTVPLUS THERAPEUTICS, Inc. Common Stock
$0.4301
+0.0097
+2.31%
$341.61K
794.247K
$42.69M
555
ACLSAxcelis Technologies Inc
$93.50
+1.25
+1.36%
$340.43K
3.641K
$2.94B
556
AEHRAehr Test Systems
$29.25
+0.75
+2.63%
$338.92K
11.587K
$876.59M
557
ASPIASP Isotopes Inc. Common Stock
$8.95
+0.15
+1.70%
$338.68K
37.841K
$822.62M
558
FEIMFrequency Electronics, Inc.
$28.90
+1.08
+3.88%
$334.60K
11.578K
$281.75M
559
BEAMBeam Therapeutics Inc. Common Stock
$23.38
+0.38
+1.65%
$329.77K
14.105K
$2.37B
560
CELHCelsius Holdings, Inc. Common Stock
$56.85
-0.15
-0.26%
$329.22K
5.791K
$14.65B
561
ATAIATAI Life Sciences N.V. Common Shares
$4.74
+0.01
+0.21%
$326.54K
68.89K
$1.02B
562
CMBTEURONAV NV
$9.70
+0.20
+2.11%
$325.40K
33.546K
$2.81B
563
SHAKShake Shack Inc.
$99.99
-0.01
-0.01%
$324.77K
3.248K
$4.02B
564
BOXBOX, INC.
$32.56
+0.12
+0.37%
$322.67K
9.91K
$4.72B
565
TNMGTNL Mediagene Ordinary Shares
$0.3355
-0.0110
-3.17%
$321.75K
959.022K
$10.22M
566
FFAIFaraday Future Intelligent Electric Inc. Common Stock
$1.74
+0.01
+0.54%
$321.14K
184.626K
$256.06M
567
BSLKBolt Projects Holdings, Inc. Common Stock
$3.40
-0.22
-6.08%
$320.45K
94.25K
$9.86M
568
DECDiversified Energy Company plc
$14.21
-0.03
-0.21%
$317.98K
22.377K
$1.10B
569
CAKECheesecake Factory (The)
$54.47
-0.22
-0.40%
$315.82K
5.798K
$2.71B
570
DQDaqo New Energy Corp. American Depositary Shares (each representing 5 Ordinary Shares)
$26.29
-0.69
-2.56%
$314.67K
11.969K
$1.76B
571
WDSWoodside Energy Group Limited American Depositary Shares, each representing one Ordinary Share
$15.47
+0.07
+0.45%
$313.69K
20.277K
$29.37B
572
UMACUnusual Machines, Inc.
$11.55
+0.04
+0.35%
$312.69K
27.073K
$359.27M
573
SSRMSSR Mining Inc.
$21.94
+0.10
+0.46%
$311.92K
14.217K
$4.45B
574
APOApollo Global Management, Inc.
$140.29
+0.09
+0.06%
$311.16K
2.218K
$80.25B
575
QSIQuantum-Si Incorporated Class A Common Stock
$1.30
+0.00
+0.00%
$311.05K
239.273K
$263.24M
576
TCOMTrip.com Group Limited American Depositary Shares
$76.99
+0.49
+0.64%
$310.58K
4.034K
$50.32B
577
CRMDCorMedix Inc.
$11.15
-0.26
-2.28%
$309.69K
27.775K
$832.34M
578
ACMRACM Research, Inc. Class A Common Stock
$34.78
+0.27
+0.78%
$308.26K
8.863K
$2.23B
579
INTUIntuit Inc
$667.98
+1.32
+0.20%
$307.27K
460
$186.24B
580
FSTRFoster (Lb) Co
$27.90
-0.71
-2.48%
$304.53K
10.915K
$295.68M
581
BTOGBit Origin Limited Ordinary Shares
$0.4100
+0.0054
+1.33%
$304.12K
741.754K
$36.96M
582
COMMCommScope Holding Company, Inc.
$16.53
+0.13
+0.79%
$303.69K
18.372K
$3.66B
583
BORRBorr Drilling Limited
$3.11
+0.10
+3.32%
$303.32K
97.531K
$890.16M
584
TMDXTransMedics Group, Inc. Common Stock
$121.00
-0.50
-0.41%
$302.38K
2.499K
$4.12B
585
HSDTHelius Medical Technologies, Inc. Class A Common Stock (DE)
$22.50
-0.25
-1.10%
$301.57K
13.403K
$24.24M
586
FGNXFundamental Global Inc. Common Stock
$8.35
-0.24
-2.79%
$300.92K
36.038K
$11.09M
587
NBNioCorp Developments Ltd. Common Stock
$5.65
+0.17
+3.09%
$298.41K
52.821K
$439.28M
588
COPConocoPhillips
$94.50
+0.38
+0.40%
$297.39K
3.147K
$118.03B
589
BFLYButterfly Network, Inc.
$1.72
+0.08
+4.88%
$297.33K
172.864K
$432.99M
590
MVSTMicrovast Holdings, Inc. Common Stock
$3.41
-0.03
-0.86%
$297.18K
87.142K
$1.10B
591
NITON2OFF, Inc. Common Stock
$0.2012
+0.0002
+0.10%
$295.20K
1.467M
$6.71M
592
TGLTreasure Global Inc. Common Stock
$1.21
-0.07
-5.47%
$291.76K
241.123K
$5.02M
593
CANCanaan Inc. American Depositary Shares
$0.8211
+0.0092
+1.13%
$291.66K
355.207K
$385.10M
594
IPInternational Paper Co.
$47.20
+0.00
+0.00%
$287.26K
6.086K
$24.92B
595
ASMAvino Silver & Gold Mines Ltd. (Canada)
$4.41
+0.10
+2.32%
$285.06K
64.64K
$646.36M
596
KRMNKarman Holdings Inc.
$64.28
-0.20
-0.31%
$281.61K
4.381K
$8.51B
597
NOKNokia Corporation
$4.71
+0.02
+0.43%
$278.24K
59.075K
$25.34B
598
CHTRCharter Comm Inc Del CL A New
$269.12
-0.89
-0.33%
$274.78K
1.021K
$36.76B
599
EATBrinker International, Inc.
$144.40
-1.20
-0.82%
$274.22K
1.899K
$6.43B
600
ZMZoom Video Communications, Inc. Class A Common Stock
$86.90
+0.04
+0.05%
$273.82K
3.151K
$26.01B