Stock Rankings by Dollar Volume - Rankings 601 to 700

Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 601 to 700.

#
Symbol
Last Price
Change (Day)
Change % (Day)
$ Volume (Day)
Volume (Day)
Market Cap
601
OCOwens Corning
$103.34
-4.01
-3.74%
$166.44M
1.611M
$8.31B
602
AEISAdvanced Energy Industries Inc
$327.80
+11.07
+3.50%
$166.08M
506.656K
$12.37B
603
DECKDeckers Outdoor Corp
$104.91
+0.91
+0.88%
$165.38M
1.576M
$14.89B
604
INVHInvitation Homes Inc. Common Stock
$25.00
+0.14
+0.56%
$165.19M
6.608M
$15.23B
605
FNDFloor & Decor Holdings, Inc.
$53.20
+0.73
+1.39%
$163.29M
3.069M
$5.74B
606
FIGRFigure Technology Solutions, Inc. Class A Common Stock
$33.20
-0.32
-0.95%
$163.27M
4.918M
$5.85B
607
EQXEquinox Gold Corp.
$12.48
-0.87
-6.52%
$163.03M
13.064M
$9.84B
608
CHNRChina Natural Resources, Inc.
$4.34
+0.91
+26.53%
$162.96M
37.548M
$5.35M
609
NIONIO Inc. American depositary shares, each representing one Class A ordinary share
$5.89
-0.04
-0.67%
$162.75M
27.632M
$11.46B
610
DKSDick's Sporting Goods, Inc.
$193.04
+4.14
+2.19%
$162.66M
842.62K
$12.82B
611
EGOEldorado Gold Corporation
$32.36
-1.20
-3.56%
$162.63M
5.025M
$6.43B
612
WWayfair Inc.
$76.27
+0.31
+0.41%
$162.05M
2.125M
$8.30B
613
TOLToll Brothers, Inc.
$136.57
+1.07
+0.79%
$161.80M
1.185M
$12.93B
614
EXASExact Sciences Corp
$103.92
+0.19
+0.18%
$161.56M
1.555M
$19.84B
615
SYYSysco Corporation
$81.67
-0.79
-0.96%
$161.16M
1.973M
$39.11B
616
CNCCentene Corporation
$35.64
-0.51
-1.41%
$160.87M
4.514M
$17.53B
617
ESLTElbit Systems Ltd
$960.00
+14.43
+1.53%
$160.37M
167.057K
$44.60B
618
KRMNKarman Holdings Inc.
$106.00
+6.04
+6.04%
$160.31M
1.512M
$14.03B
619
LYFTLyft, Inc. Class A Common Stock
$13.44
+0.05
+0.35%
$160.30M
11.929M
$5.35B
620
IQVIQVIA Holdings Inc.
$166.47
-0.03
-0.02%
$159.31M
956.967K
$28.25B
621
CLSKCLEANSPARK INC
$9.86
+0.04
+0.41%
$158.88M
16.113M
$2.52B
622
NVTSNavitas Semiconductor Corporation Common Stock
$9.17
+0.17
+1.89%
$158.26M
17.258M
$2.12B
623
YUMCYum China Holdings, Inc. Common Stock
$53.72
+0.80
+1.51%
$158.22M
2.945M
$18.97B
624
MOBXMobix Labs, Inc. Class A Common Stock
$0.5600
+0.0980
+21.21%
$158.15M
282.403M
$56.60M
625
RIOTRiot Platforms, Inc. Common Stock
$14.21
+0.28
+2.01%
$158.14M
11.129M
$5.39B
626
TKOTKO Group Holdings, Inc.
$197.31
-2.36
-1.18%
$157.93M
800.437K
$15.38B
627
SEDGSolarEdge Technologies, Inc.
$45.72
+1.62
+3.67%
$157.91M
3.454M
$2.76B
628
AEEAmeren Corporation
$109.56
-0.49
-0.45%
$156.90M
1.432M
$30.29B
629
JOBYJoby Aviation, Inc.
$9.69
+0.08
+0.83%
$155.78M
16.076M
$8.84B
630
PTGXProtagonist Therapeutics, Inc
$101.68
+4.68
+4.82%
$155.76M
1.532M
$6.49B
631
BLDRBuilders FirstSource, Inc.
$84.49
-2.61
-3.00%
$155.65M
1.842M
$9.35B
632
ZZillow Group, Inc. Class C Capital Stock
$45.57
-0.11
-0.24%
$155.32M
3.408M
$8.56B
633
ILMNIllumina Inc
$126.59
+5.05
+4.16%
$155.31M
1.227M
$19.36B
634
DTMDT Midstream, Inc.
$138.24
+4.11
+3.06%
$155.30M
1.123M
$14.06B
635
TERNTerns Pharmaceuticals, Inc. Common Stock
$49.36
+1.86
+3.92%
$154.77M
3.136M
$4.45B
636
PRUPrudential Financial, Inc.
$93.16
+0.40
+0.43%
$154.70M
1.661M
$32.42B
637
DDDuPont de Nemours, Inc. Common Stock
$44.21
+0.46
+1.06%
$154.68M
3.499M
$18.08B
638
MHKMohawk Industries, Inc.
$98.23
-1.77
-1.77%
$154.55M
1.573M
$6.04B
639
STRLSterling Infrastructure, Inc. Common Stock
$431.93
+12.38
+2.95%
$154.38M
357.418K
$13.24B
640
HUTHut 8 Corp. Common Stock
$50.42
+1.77
+3.64%
$153.78M
3.05M
$5.59B
641
SNSharkNinja, Inc.
$101.93
+0.96
+0.95%
$153.21M
1.503M
$14.40B
642
STLAStellantis N.V.
$6.51
+0.01
+0.15%
$153.20M
23.533M
$18.86B
643
RYRoyal Bank of Canada
$160.31
-1.13
-0.70%
$153.14M
955.281K
$224.07B
644
SMSM Energy Company
$27.85
+0.18
+0.65%
$153.02M
5.494M
$6.64B
645
SRRKScholar Rock Holding Corporation Common Stock
$45.20
+5.10
+12.72%
$152.95M
3.384M
$5.19B
646
NLYAnnaly Capital Management. Inc.
$21.99
+0.04
+0.18%
$152.84M
6.951M
$15.80B
647
BROSDutch Bros Inc.
$51.06
+0.26
+0.52%
$152.80M
2.992M
$6.49B
648
BROBrown & Brown, Inc.
$66.56
-0.52
-0.78%
$151.91M
2.282M
$22.66B
649
DOCHealthpeak Properties, Inc.
$17.84
+0.53
+3.08%
$151.54M
8.494M
$12.40B
650
NVRNVR, Inc.
$6,417.90
-32.10
-0.50%
$150.87M
23.508K
$17.93B
651
WBSWebster Financial Corporation Waterbury
$68.74
+0.58
+0.85%
$150.72M
2.193M
$11.08B
652
LMNDLemonade, Inc.
$64.52
+0.82
+1.29%
$150.59M
2.334M
$4.93B
653
VIKViking Holdings Ltd
$71.47
+1.07
+1.52%
$148.90M
2.083M
$22.72B
654
ALNYAlnylam Pharmaceuticals, Inc.
$314.00
-1.12
-0.36%
$148.88M
474.147K
$41.64B
655
GAPThe Gap, Inc.
$24.19
+0.19
+0.79%
$148.25M
6.129M
$9.00B
656
VSECVSE Corp
$182.85
+0.85
+0.47%
$148.04M
809.606K
$5.12B
657
JBHTJB Hunt Transport Services Inc
$200.20
-1.12
-0.56%
$147.79M
738.228K
$18.94B
658
IBRXImmunityBio, Inc. Common Stock
$8.81
+0.27
+3.16%
$147.60M
16.753M
$9.06B
659
TTMITTM Technologies Inc
$99.00
+5.20
+5.54%
$147.08M
1.486M
$10.24B
660
GRABGrab Holdings Limited Class A Ordinary Shares
$3.68
-0.06
-1.60%
$146.89M
39.917M
$14.61B
661
FLRFluor Corporation
$48.10
+2.47
+5.41%
$146.58M
3.047M
$6.88B
662
JBLUJetBlue Airways Corp
$4.10
+0.04
+0.99%
$146.57M
35.748M
$1.52B
663
MOHMolina Healthcare, Inc.
$142.70
-6.01
-4.04%
$146.35M
1.026M
$7.35B
664
CENXCentury Aluminum Co
$49.53
-4.32
-8.02%
$146.06M
2.949M
$4.90B
665
BGBunge Global SA
$121.90
-1.49
-1.21%
$145.92M
1.197M
$23.59B
666
EXKEndeavour Silver Corp.
$8.73
-0.37
-4.08%
$145.17M
16.632M
$2.58B
667
ALMAlmonty Industries Inc. Common Shares
$17.33
+1.33
+8.31%
$144.79M
8.355M
$4.86B
668
TDYTeledyne Technologies Incorporated
$635.11
+5.56
+0.88%
$144.55M
227.592K
$29.41B
669
WSTWest Pharmaceutical Services, Inc.
$240.33
+1.73
+0.73%
$144.29M
600.403K
$17.32B
670
BNTXBioNTech SE American Depositary Share
$89.64
-0.16
-0.18%
$144.24M
1.609M
$21.51B
671
NEXTNextDecade Corporation Common Stock
$7.31
+0.15
+2.11%
$144.01M
19.698M
$1.94B
672
SEISolaris Energy Infrastructure, Inc.
$65.88
-2.68
-3.91%
$143.68M
2.181M
$3.22B
673
JHXJAMES HARDIE INDUSTRIES plc.
$19.49
-0.06
-0.31%
$143.67M
7.371M
$11.31B
674
LVSLas Vegas Sands Corp.
$54.05
+1.05
+1.98%
$143.50M
2.655M
$36.32B
675
EXPDExpeditors International of Washington, Inc.
$147.24
+3.21
+2.23%
$143.49M
974.524K
$19.66B
676
ALLYAlly Financial Inc.
$38.09
+0.97
+2.61%
$143.45M
3.766M
$11.77B
677
SBSWSibanye-Stillwater American Depositary Shares, each representing four ordinary shares
$11.65
+0.00
+0.00%
$143.40M
12.309M
$8.24B
678
FAFFirst American Financial Corporation
$58.24
-5.26
-8.28%
$142.89M
2.453M
$5.93B
679
AMKRAmkor Technology Inc
$48.20
+1.56
+3.34%
$142.67M
2.96M
$11.92B
680
TWTradeweb Markets Inc. Class A Common Stock
$125.71
+2.42
+1.96%
$142.41M
1.133M
$14.54B
681
MMacy's Inc.
$18.01
+0.42
+2.40%
$141.82M
7.873M
$4.79B
682
EPAMEPAM SYSTEMS, INC.
$135.67
+2.68
+2.02%
$141.44M
1.043M
$7.35B
683
XYLXylem Inc
$120.50
+0.89
+0.74%
$141.29M
1.173M
$29.30B
684
APTVAptiv PLC
$69.17
-0.09
-0.13%
$140.80M
2.036M
$14.72B
685
FOXAFox Corporation Class A Common Stock
$57.68
+0.11
+0.19%
$140.52M
2.436M
$11.58B
686
FLUTFlutter Entertainment plc
$106.41
+0.34
+0.32%
$140.33M
1.319M
$18.65B
687
CWCurtiss-Wright Corp.
$691.62
+3.62
+0.53%
$140.32M
202.893K
$25.50B
688
ATOAtmos Energy Corporation
$184.90
-0.23
-0.12%
$140.30M
758.763K
$30.59B
689
MASMasco Corporation
$59.66
+0.44
+0.74%
$140.18M
2.35M
$12.15B
690
GPCGenuine Parts Company
$100.36
+0.56
+0.56%
$139.48M
1.39M
$13.96B
691
EDConsolidated Edison, Inc.
$111.69
-1.81
-1.59%
$138.04M
1.236M
$40.35B
692
PODDInsulet Corporation
$228.63
-1.66
-0.72%
$137.73M
602.419K
$16.09B
693
OPENOpendoor Technologies Inc Common Stock
$5.15
-0.05
-0.96%
$137.39M
26.677M
$4.94B
694
BAMBrookfield Asset Management Ltd.
$43.61
-0.11
-0.25%
$137.10M
3.144M
$71.43B
695
ENTGEntegris Inc
$115.28
+0.87
+0.76%
$136.86M
1.187M
$17.52B
696
HIGThe Hartford Financial Services Group, Inc.
$131.36
-1.44
-1.08%
$136.58M
1.04M
$36.24B
697
LYGLloyds Banking Group PLC
$5.07
+0.00
+0.00%
$136.16M
26.857M
$74.70B
698
NVMINova Ltd. Ordinary Shares
$472.08
+16.76
+3.68%
$135.86M
287.795K
$15.00B
699
ONONOn Holding AG
$39.01
-0.02
-0.05%
$135.83M
3.482M
$11.58B
700
DINOHF Sinclair Corporation
$60.49
+0.26
+0.43%
$135.75M
2.244M
$10.90B