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
$310.01
$307.53K
992
$327.00B
502
GHC GRAHAM HOLDINGS COMPANY $1,046.20
$305.49K
292
$4.56B
503
NAKA Kindly MD, Inc. Common Stock $0.8705
$302.79K
347.838K
$360.04M
504
IMRN Immuron Limited American Depositary Shares $1.90
$301.71K
158.793K
$12.79M
505
$24.01
$295.76K
12.318K
$382.58M
506
$82.79
$292.08K
3.528K
$4.52B
507
$140.72
$290.02K
2.061K
$172.25B
508
$89.40
$289.39K
3.237K
$9.50B
509
HMY Harmony Gold Mining Company Limited $16.76
$289.23K
17.257K
$10.47B
510
$28.59
$288.90K
10.105K
$17.60B
511
$177.50
$288.44K
1.625K
$14.98B
512
$67.00
$287.50K
4.291K
$42.20B
513
CRSP CRISPR Therapeutics AG $61.80
$286.81K
4.641K
$5.62B
514
DFLI Dragonfly Energy Holdings Corp. Common Stock (NV) $1.10
$285.36K
259.415K
$132.87M
515
$72.11
$284.83K
3.95K
$14.24B
516
PINS Pinterest, Inc. Class A Common Stock $32.82
$284.78K
8.677K
$22.32B
517
$340.00
$284.58K
837
$73.31B
518
FGL Founder Group Limited Ordinary Shares $0.3500
$284.02K
811.481K
$6.80M
519
REKR Rekor Systems, Inc. Common Stock $2.56
$283.86K
110.881K
$323.42M
520
ASPI ASP Isotopes Inc. Common Stock $10.80
$283.34K
26.235K
$1.19B
521
EBS Emergent Biosolutions, Inc. $12.84
$282.94K
22.036K
$685.03M
522
PBR.A Petroleo Brasileiro S.A.-Petrobras $11.12
$280.09K
25.188K
$71.66B
523
SQM Sociedad Quimica y Minera de Chile SA $48.00
$279.22K
5.817K
$13.71B
524
AMC AMC ENTERTAINMENT HOLDINGS, INC. $2.56
$278.31K
108.718K
$1.31B
525
VIVS VivoSim Labs, Inc. Common Stock $2.62
$275.31K
105.08K
$6.81M
526
WU The Western Union Company $9.46
$275.15K
29.086K
$3.01B
527
RDZN Roadzen, Inc. Ordinary Shares $1.91
$271.92K
142.368K
$145.20M
528
$175.64
$265.92K
1.514K
$3.29B
529
VVPR VivoPower International PLC $4.60
$265.67K
57.755K
$46.52M
530
ETHZ ETHZilla Corporation Common Stock $20.73
$263.21K
12.697K
$343.57M
531
LU Lufax Holding Ltd. American Depositary Shares, each representing two (2) Ordinary Shares $2.90
$262.05K
90.361K
$2.51B
532
$123.50
$261.82K
2.12K
$15.46B
533
MANH Manhattan Associates Inc $179.01
$261.18K
1.459K
$10.79B
534
$80.92
$260.64K
3.221K
$47.86B
535
$22.80
$260.60K
11.429K
$4.62B
536
ESPR Esperion Therapeutics, Inc. $2.88
$260.19K
90.348K
$667.05M
537
STWD STARWOOD PROPERTY TRUST, INC. $18.19
$258.88K
14.232K
$6.68B
538
IOVA Iovance Biotherapeutics, Inc. Common Stock $1.96
$258.78K
132.031K
$709.23M
539
JCI Johnson Controls International plc $113.50
$258.67K
2.279K
$74.27B
540
$3.67
$257.47K
70.155K
$619.13M
541
ATAI ATAI Life Sciences N.V. Common Shares $5.78
$256.82K
44.433K
$1.54B
542
TALK Talkspace, Inc. Common Stock $3.12
$256.02K
82.059K
$522.50M
543
NWG NatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) $15.33
$253.76K
16.553K
$61.44B
544
MBRX Moleculin Biotech, Inc. $0.4322
$252.04K
583.165K
$21.39M
545
RYAAY Ryanair Holdings plc American Depositary Shares $62.21
$251.64K
4.045K
$32.81B
546
$30.42
$251.36K
8.263K
$108.67B
547
HMC Honda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock $30.50
$251.14K
8.234K
$39.57B
548
LYFT Lyft, Inc. Class A Common Stock $19.82
$250.27K
12.627K
$8.22B
549
CVCO Cavco Industries Inc. $513.09
$248.34K
484
$4.06B
550
FIGR Figure Technology Solutions, Inc. Class A Common Stock $41.18
$248.07K
6.024K
$8.78B
551
APLS Apellis Pharmaceuticals, Inc. Common Stock $21.20
$246.96K
11.651K
$2.68B
552
$957.98
$245.24K
256
$45.82B
553
$23.54
$245.15K
10.414K
$17.96B
554
$8.41
$245.08K
29.141K
$1.37B
555
KSPI Joint Stock Company Kaspi.kz American Depository Shares $73.50
$241.82K
3.29K
$14.02B
556
LPTH Lightpath Technologies Inc $8.71
$240.70K
27.651K
$388.85M
557
$36.53
$240.62K
6.587K
$187.24B
558
KYMR Kymera Therapeutics, Inc. Common Stock $61.44
$237.77K
3.87K
$4.39B
559
EW Edwards Lifesciences Corp $84.00
$236.63K
2.817K
$49.32B
560
TSEM Tower Semiconductor Ltd $84.40
$236.32K
2.8K
$9.46B
561
DNA Ginkgo Bioworks Holdings, Inc. $12.42
$233.79K
18.824K
$735.26M
562
BSX Boston Scientific Corp. $100.19
$232.24K
2.318K
$148.46B
563
QXO QXO, Inc. Common Stock $17.90
$231.58K
12.939K
$12.05B
564
$6.90
$231.31K
33.524K
$1.97B
565
$17.40
$230.86K
13.268K
$19.37B
566
BAX Baxter International Inc. $19.49
$230.83K
11.841K
$10.01B
567
$378.00
$230.20K
609
$376.26B
568
SCCO Southern Copper Corporation $140.01
$230.04K
1.643K
$113.71B
569
AMT American Tower Corporation $178.00
$229.98K
1.292K
$83.33B
570
$69.01
$229.93K
3.332K
$5.99B
571
$23.00
$229.68K
9.986K
$2.33B
572
$10.49
$228.77K
21.808K
$13.12B
573
ATCH AtlasClear Holdings, Inc. $0.3972
$228.18K
574.471K
$50.37M
574
$2.14
$227.10K
106.113K
$780.70M
575
PHG KONINKLIJKE PHILIPS N.V. $27.37
$226.76K
8.285K
$26.02B
576
GRRR Gorilla Technology Group Inc. Ordinary shares $15.66
$226.08K
14.437K
$355.00M
577
SVV Savers Value Village, Inc. $12.92
$225.56K
17.458K
$2.01B
578
$26.10
$224.80K
8.613K
$58.07B
579
$457.50
$224.63K
491
$68.17B
580
FMS Fresenius Medical Care AG $26.95
$224.17K
8.318K
$15.81B
581
ALM Almonty Industries Inc. Common Shares $7.01
$224.12K
31.971K
$1.62B
582
FLY Firefly Aerospace Inc. Common Stock $24.64
$223.83K
9.084K
$3.61B
583
PFSA Profusa, Inc. Common Stock $0.2588
$222.16K
858.437K
$10.81M
584
EVH Evolent Health, Inc Class A Common Stock $6.83
$222.13K
32.522K
$792.08M
585
SRPT Sarepta Therapeutics,, Inc. Common Stock $23.28
$220.58K
9.475K
$2.44B
586
$175.89
$218.98K
1.245K
$34.02B
587
$84.36
$218.32K
2.588K
$64.64B
588
$311.22
$217.85K
700
$4.30B
589
GLE Global Engine Group Holding Limited Ordinary Shares $0.7637
$217.57K
284.893K
$13.98M
590
AREB American Rebel Holdings, Inc. Common Stock $1.38
$215.04K
155.814K
$7.48M
591
NLY Annaly Capital Management. Inc. $20.77
$214.41K
10.323K
$14.15B
592
CVAC CureVac N.V. Ordinary Shares $5.32
$214.07K
40.239K
$1.20B
593
$80.19
$212.82K
2.654K
$27.38B
594
RANI Rani Therapeutics Holdings, Inc. Class A Common Stock $1.55
$212.33K
137.037K
$74.21M
595
TCOM Trip.com Group Limited American Depositary Shares $70.00
$210.70K
3.01K
$45.75B
596
$47.02
$209.85K
4.463K
$25.08B
597
$217.82
$209.54K
962
$138.47B
598
IMVT Immunovant, Inc. Common Stock $25.19
$209.45K
8.315K
$4.39B
599
FET Forum Energy Technologies, Inc. $31.44
$207.96K
6.615K
$374.21M
600
YUMC Yum China Holdings, Inc. Common Stock $43.50
$207.89K
4.779K
$15.74B