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
$342.01
$298.92K
874
$84.20B
502
$24.30
$297.68K
12.25K
$2.26B
503
BTU Peabody Energy Corporation $12.50
$297.20K
23.776K
$1.52B
504
ING ING Groep N.V. American Depositary Shares $19.18
$295.51K
15.407K
$58.02B
505
BCTX Briacell Therapeutics Corp. Common Shares $4.51
$293.03K
64.973K
$16.73M
506
$168.30
$292.51K
1.738K
$33.78B
507
$93.00
$291.93K
3.139K
$20.46B
508
$2.16
$290.96K
134.705K
$1.91B
509
FSM FORTUNA Silver Mines Inc. $6.04
$289.70K
47.963K
$1.85B
510
GOGL Golden Ocean Group Limited Common Stock $7.61
$289.38K
38.026K
$1.52B
511
SHO Sunstone Hotel Investors, Inc. $8.26
$288.75K
34.958K
$1.66B
512
PK Park Hotels & Resorts Inc. Common Stock $9.64
$288.27K
29.904K
$1.95B
513
POWL Powell Industries Inc $179.94
$287.90K
1.6K
$2.17B
514
$36.41
$287.60K
7.899K
$15.06B
515
$228.77
$282.99K
1.237K
$92.04B
516
LEVI Levi Strauss & Co. Class A Common Stock $15.77
$282.93K
17.941K
$6.23B
517
LAZR Luminar Technologies, Inc. Class A Common Stock $3.88
$282.30K
72.758K
$164.47M
518
HTHT H World Group Limited American Depositary Shares $34.66
$279.78K
8.072K
$10.86B
519
$500.51
$278.28K
556
$9.91B
520
$63.61
$277.97K
4.37K
$9.71B
521
RGA Reinsurance Group of America, Incorporated $187.00
$276.76K
1.48K
$12.36B
522
ALNY Alnylam Pharmaceuticals, Inc. $257.00
$275.76K
1.073K
$33.26B
523
$5.22
$274.31K
52.549K
$2.24B
524
TEVA Teva Pharmaceutical Industries Limited American Depositary Shares $15.41
$273.76K
17.765K
$17.67B
525
$120.50
$273.41K
2.269K
$35.92B
526
$10.86
$272.91K
25.13K
$75.47M
527
TLN Talen Energy Corporation Common Stock $208.18
$268.97K
1.292K
$9.47B
528
SATL Satellogic Inc. Class A Ordinary Shares $3.91
$265.47K
67.894K
$404.72M
529
$98.80
$264.29K
2.675K
$9.82B
530
APA APA Corporation Common Stock $15.80
$261.98K
16.581K
$5.71B
531
EXLS ExlService Holdings, Inc. $44.06
$260.75K
5.918K
$7.15B
532
ARE Alexandria Real Estate Equities, Inc. $72.24
$260.06K
3.6K
$12.50B
533
CORT Corcept Therapeutics Inc. $73.30
$257.21K
3.509K
$7.73B
534
OXLC Oxford Lane Capital Corp. $4.59
$255.43K
55.647K
$2.04B
535
ZM Zoom Video Communications, Inc. Class A Common Stock $76.47
$255.18K
3.337K
$23.34B
536
$7.13
$253.66K
35.577K
$1.25B
537
UPXI Upexi, Inc. Common Stock $12.45
$253.62K
20.371K
$16.45M
538
TJX TJX Companies, Inc. (The) $126.92
$253.21K
1.995K
$141.78B
539
$89.43
$252.10K
2.819K
$46.94B
540
APPS Digital Turbine, Inc. $2.98
$251.50K
84.396K
$312.92M
541
$3.31
$249.63K
75.417K
$1.97B
542
$369.77
$248.12K
671
$141.14B
543
FNV Franco-Nevada Corporation $166.90
$248.01K
1.486K
$32.14B
544
$183.22
$247.71K
1.352K
$101.06B
545
BBY Best Buy Company, Inc. $65.40
$246.75K
3.773K
$13.82B
546
$104.38
$245.71K
2.354K
$42.53B
547
RKT Rocket Companies, Inc. $12.62
$245.21K
19.43K
$1.86B
548
FSK FS KKR Capital Corp. Common Stock $20.00
$243.70K
12.185K
$5.60B
549
$18.10
$241.47K
13.341K
$5.97B
550
$111.02
$239.91K
2.161K
$98.61B
551
HTGC Hercules Capital, Inc. $17.90
$238.55K
13.327K
$3.10B
552
MSI Motorola Solutions, Inc. New $434.99
$237.07K
545
$72.63B
553
GTLS Chart Industries, Inc. $135.00
$235.85K
1.747K
$6.07B
554
CL Colgate-Palmolive Company $92.73
$235.35K
2.538K
$75.21B
555
$1.96
$233.68K
119.219K
$149.44M
556
AKBA Akebia Therapeutics, Inc. $2.36
$233.39K
98.892K
$616.51M
557
$50.28
$232.95K
4.633K
$30.10B
558
AXON Axon Enterprise, Inc. Common Stock $600.00
$232.80K
388
$46.71B
559
$4.54
$232.43K
51.197K
$2.26B
560
NTLA Intellia Therapeutics, Inc $7.95
$231.59K
29.133K
$822.91M
561
$93.75
$231.47K
2.469K
$4.98B
562
$123.50
$231.44K
1.874K
$3.34B
563
GPCR Structure Therapeutics Inc. American Depositary Shares $25.29
$231.38K
9.149K
$1.45B
564
ARCC Ares Capital Corporation $20.47
$231.29K
11.299K
$14.01B
565
$251.37
$230.25K
916
$17.65B
566
PTON Peloton Interactive, Inc. Class A Common Stock $6.66
$229.14K
34.405K
$2.60B
567
$42.00
$228.10K
5.431K
$4.39B
568
$48.20
$226.54K
4.7K
$5.18B
569
$17.34
$224.80K
12.964K
$38.11B
570
IDXX Idexx Laboratories Inc $436.60
$222.67K
510
$35.38B
571
$249.90
$219.91K
880
$34.72B
572
$350.40
$219.00K
625
$75.67B
573
D Dominion Energy, Inc Common Stock $54.24
$218.53K
4.029K
$46.22B
574
HRZN Horizon Technology Finance Corporation $7.78
$218.07K
28.029K
$313.78M
575
SFM Sprouts Farmers Market, Inc. $170.99
$217.67K
1.273K
$16.79B
576
PGR Progressive Corporation $278.95
$217.30K
779
$163.53B
577
$37.85
$217.11K
5.736K
$15.97B
578
$11.01
$216.99K
19.708K
$5.84B
579
INSP Inspire Medical Systems, Inc. $158.70
$214.88K
1.354K
$4.72B
580
MUFG Mitsubishi UFJ Financial Group, Inc. $12.60
$213.51K
16.945K
$144.98B
581
$3.08
$213.27K
69.246K
$4.06B
582
EGP EastGroup Properties Inc. $162.10
$211.38K
1.304K
$8.51B
583
REGN Regeneron Pharmaceuticals Inc $569.41
$211.25K
371
$62.25B
584
$26.50
$211.05K
7.964K
$1.07B
585
SNY Sanofi American Depositary Shares (Each representing one-half of one ordinary share) $54.97
$210.37K
3.827K
$134.25B
586
TER Teradyne, Inc. Common Stock $73.21
$209.75K
2.865K
$11.77B
587
BTBT Bit Digital, Inc. Ordinary Shares $2.00
$209.54K
104.769K
$365.52M
588
ARQQ Arqit Quantum Inc. Ordinary Shares $16.00
$209.04K
13.065K
$203.95M
589
$12.60
$209.00K
16.587K
$8.59B
590
SVM Silvercorp Metals Inc. Common Shares $3.65
$208.71K
57.18K
$793.57M
591
$180.26
$208.38K
1.156K
$69.03B
592
$163.99
$208.10K
1.269K
$5.62B
593
CF CF Industries Holding, Inc. $78.00
$207.87K
2.665K
$12.98B
594
TAP Molson Coors Beverage Company Class B $56.86
$206.63K
3.634K
$11.53B
595
SHW The Sherwin-Williams Company $347.89
$206.30K
593
$87.50B
596
CHTR Charter Comm Inc Del CL A New $385.82
$205.64K
533
$54.79B
597
$44.50
$203.37K
4.57K
$4.54B
598
EH EHang Holdings Limited ADS $16.40
$203.18K
12.389K
$1.18B
599
$600.00
$202.80K
338
$31.29B
600
$47.50
$202.59K
4.265K
$7.15B