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.
601
FLUT Flutter Entertainment plc $265.50
$224.35K
845
$46.91B
602
IP International Paper Co. $46.26
$224.04K
4.843K
$24.42B
603
HPE Hewlett Packard Enterprise Company $17.89
$223.27K
12.481K
$23.47B
604
$27.21
$222.90K
8.192K
$341.90M
605
ECO Okeanis Eco Tankers Corp. $23.77
$222.53K
9.362K
$765.25M
606
IPX IperionX Limited American Depositary Share $29.22
$220.36K
7.541K
$922.97M
607
FTAI FTAI Aviation Ltd. Common Stock $125.00
$218.75K
1.75K
$12.82B
608
$104.70
$218.19K
2.084K
$7.17B
609
$105.61
$217.87K
2.063K
$58.67B
610
$6.99
$216.96K
31.038K
$1.13B
611
SEZL Sezzle Inc. Common Stock $137.00
$216.60K
1.581K
$4.56B
612
$6.42
$215.99K
33.643K
$2.93B
613
LEGN Legend Biotech Corporation American Depositary Shares $36.29
$215.45K
5.937K
$6.68B
614
CSWC Capital Southwest Corp $21.00
$213.38K
10.161K
$1.15B
615
NFE New Fortress Energy Inc. Class A Common Stock $2.74
$213.21K
77.811K
$751.28M
616
$65.50
$212.15K
3.239K
$9.98B
617
$74.22
$209.75K
2.826K
$189.53B
618
$28.68
$208.99K
7.287K
$7.43B
619
PPTA Perpetua Resources Corp. Common Shares $12.87
$207.90K
16.154K
$920.76M
620
BE Bloom Energy Corporation $22.30
$207.59K
9.309K
$5.18B
621
AQST Aquestive Therapeutics, Inc. Common Stock $3.62
$206.70K
57.097K
$359.58M
622
VTAK Catheter Precision, Inc. $0.3113
$206.40K
663.037K
$3.43M
623
CIVI Civitas Resources, Inc. $32.75
$206.03K
6.291K
$3.03B
624
ULCC Frontier Group Holdings, Inc. Common Stock $3.55
$203.90K
57.438K
$808.54M
625
$7.55
$203.01K
26.889K
$4.34B
626
AMTM Amentum Holdings, Inc. $23.10
$200.44K
8.677K
$5.62B
627
$31.00
$200.11K
6.455K
$23.61B
628
SATL Satellogic Inc. Class A Ordinary Shares $3.34
$199.98K
59.874K
$347.73M
629
QXO QXO, Inc. Common Stock $19.87
$199.04K
10.017K
$11.49B
630
$42.08
$198.37K
4.714K
$24.34B
631
DEFT Defi Technologies, Inc. $3.00
$197.56K
65.854K
$989.50M
632
CAN Canaan Inc. American Depositary Shares $0.6965
$194.98K
279.947K
$320.64M
633
SIRI Sirius XM Holdings, Inc $21.45
$194.83K
9.083K
$7.25B
634
ANGI Angi Inc. Class A Common Stock $15.26
$194.03K
12.715K
$732.28M
635
$15.78
$193.12K
12.237K
$17.30B
636
$25.00
$192.93K
7.717K
$1.07B
637
OFAL OFA Group Ordinary Shares $1.68
$190.98K
113.68K
$22.45M
638
NUWE Nuwellis, Inc. Common Stock $0.2795
$190.43K
681.341K
$1.22M
639
$25.00
$189.65K
7.586K
$3.57B
640
ROK Rockwell Automation, Inc. $320.78
$189.26K
590
$36.16B
641
DNA Ginkgo Bioworks Holdings, Inc. $9.03
$187.36K
20.749K
$528.54M
642
INMD InMode Ltd. Ordinary Shares $13.65
$186.40K
13.656K
$831.54M
643
SLDB Solid Biosciences Inc. Common Stock $4.10
$186.17K
45.408K
$317.81M
644
IMPP Imperial Petroleum Inc. Common Shares $3.32
$183.39K
55.237K
$114.26M
645
$78.98
$183.15K
2.319K
$12.28B
646
MCTR CTRL Group Limited Ordinary Shares $3.75
$182.90K
48.776K
$57.37M
647
HSAI Hesai Group American Depositary Share, each ADS represents one Class B ordinary share $20.43
$182.32K
8.924K
$2.71B
648
PENN PENN Entertainment, Inc. Common Stock $16.01
$181.86K
11.359K
$2.42B
649
$61.45
$181.71K
2.957K
$7.23B
650
BHP BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) $49.08
$179.19K
3.651K
$124.54B
651
$25.10
$178.99K
7.131K
$3.55B
652
AIHS Senmiao Technology Limited Common Stock $0.3842
$178.77K
465.314K
$4.04M
653
PTON Peloton Interactive, Inc. Class A Common Stock $7.07
$178.71K
25.277K
$2.82B
654
ASST Asset Entities Inc. Class B Common Stock $5.81
$178.42K
30.709K
$91.64M
655
ENVX Enovix Corporation Common Stock $8.44
$178.23K
21.118K
$1.62B
656
BMGL Basel Medical Group Ltd Ordinary Shares $3.60
$177.80K
49.389K
$67.63M
657
LUV Southwest Airlines Co. $32.19
$177.23K
5.506K
$18.34B
658
GOGL Golden Ocean Group Limited Common Stock $7.90
$176.43K
22.333K
$1.58B
659
SKBL Skyline Builders Group Holding Limited Class A Ordinary Shares $11.25
$174.71K
15.53K
$340.03M
660
BVN Compania de Minas Buenaventura S.A. $17.80
$174.70K
9.817K
$4.52B
661
OSS One Stop Systems, Inc. Common Stock $4.00
$174.36K
43.59K
$86.36M
662
VERA Vera Therapeutics, Inc. Class A Common Stock $22.64
$171.00K
7.553K
$1.44B
663
$164.20
$170.11K
1.036K
$91.04B
664
$53.15
$169.71K
3.193K
$97.57B
665
$53.12
$169.22K
3.186K
$3.17B
666
BCLI Brainstorm Cell Therapeutics Inc. $1.14
$169.12K
148.348K
$9.05M
667
$15.64
$167.16K
10.688K
$1.60B
668
INFY Infosys Limited American Depositary Shares $18.70
$166.67K
8.913K
$77.50B
669
ZCMD Zhongchao Inc. Class A Ordinary Shares $1.17
$166.39K
142.217K
$29.55M
670
ALC Alcon Inc. Ordinary Shares $86.57
$165.52K
1.912K
$42.82B
671
SCCO Southern Copper Corporation $95.34
$165.51K
1.736K
$76.66B
672
$55.44
$164.82K
2.973K
$7.29B
673
IQ iQIYI, Inc. American Depositary Shares $1.77
$163.19K
92.199K
$1.70B
674
GLBS Globus Maritime Limited $1.34
$162.81K
121.43K
$27.60M
675
CURI CuriosityStream Inc. Class A Common Stock $4.79
$162.25K
33.872K
$275.09M
676
DRS Leonardo DRS, Inc. Common Stock $46.25
$161.18K
3.485K
$12.30B
677
SHOT Safety Shot, Inc. Common Stock $0.2433
$161.14K
662.314K
$18.29M
678
ARQT Arcutis Biotherapeutics, Inc. Common Stock $13.52
$159.82K
11.821K
$1.61B
679
$6.98
$159.77K
22.89K
$1.22B
680
$35.40
$159.19K
4.497K
$132.17B
681
IOVA Iovance Biotherapeutics, Inc. Common Stock $2.25
$158.15K
70.291K
$751.35M
682
GTI Graphjet Technology Class A Ordinary Shares $0.0735
$156.27K
2.126M
$10.83M
683
$13.64
$155.06K
11.368K
$2.21B
684
JSPR Jasper Therapeutics, Inc. Common Stock $6.09
$154.06K
25.298K
$91.48M
685
INSW International Seaways, Inc. Common Stock $39.66
$153.64K
3.874K
$1.96B
686
ORC Orchid Island Capital, Inc. $7.08
$153.40K
21.666K
$773.28M
687
EVTL Vertical Aerospace Ltd. $5.87
$153.11K
26.084K
$496.62M
688
$33.15
$152.79K
4.609K
$118.23B
689
SDOT Sadot Group Inc. Common Stock $1.67
$152.52K
91.331K
$10.38M
690
$1.01
$152.38K
150.875K
$368.47M
691
TGTX TG Therapeutics, Inc. $36.61
$152.08K
4.154K
$5.81B
692
BZ KANZHUN LIMITED American Depository Shares $18.21
$150.14K
8.245K
$8.03B
693
LOGI Logitech International SA $86.22
$149.94K
1.739K
$12.75B
694
HST Host Hotels & Resorts, Inc. $15.36
$149.74K
9.749K
$10.66B
695
$226.00
$149.16K
660
$54.15B
696
$123.90
$148.80K
1.201K
$110.35B
697
TDTH Trident Digital Tech Holdings Ltd American Depository Shares $0.2348
$147.29K
627.283K
$18.06M
698
$124.20
$145.94K
1.175K
$15.85B
699
RITR Reitar Logtech Holdings Limited Ordinary shares $5.39
$145.61K
27.015K
$336.57M
700
HNST The Honest Company, Inc. Common Stock $4.61
$145.49K
31.559K
$508.19M