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
UHS Universal Health Services, Inc. Class B $167.00
$156.58M
937.584K
$8.98B
602
$43.53
$155.58M
3.574M
$11.06B
603
ACGL Arch Capital Group Ltd $94.12
$155.25M
1.649M
$33.53B
604
CNI Canadian National Railway $111.92
$155.19M
1.387M
$68.13B
605
AWK American Water Works Company, Inc $127.41
$154.80M
1.215M
$24.88B
606
NDAQ Nasdaq, Inc. Common Stock $91.10
$154.74M
1.699M
$51.79B
607
$59.03
$154.59M
2.619M
$18.17B
608
LYFT Lyft, Inc. Class A Common Stock $14.43
$153.91M
10.666M
$5.51B
609
$293.60
$153.72M
523.581K
$14.60B
610
$104.45
$153.60M
1.471M
$10.94B
611
SCCO Southern Copper Corporation $171.18
$152.83M
892.782K
$141.41B
612
XNDU Xanadu Quantum Technologies Limited Class B Subordinate Voting Shares $35.58
$152.24M
4.279M
$1.54B
613
$140.94
$152.20M
1.08M
$23.52B
614
CNP CenterPoint Energy, Inc. $43.35
$152.11M
3.509M
$28.36B
615
$222.00
$151.99M
684.619K
$12.12B
616
DOCU DocuSign, Inc. Common Stock $47.60
$151.91M
3.191M
$9.25B
617
$173.85
$151.91M
873.815K
$20.70B
618
$141.81
$151.71M
1.07M
$41.52B
619
WST West Pharmaceutical Services, Inc. $300.68
$151.62M
504.242K
$21.24B
620
$29.22
$151.39M
5.181M
$39.76B
621
$78.72
$151.09M
1.919M
$12.68B
622
$433.60
$150.89M
347.986K
$13.02B
623
$57.19
$150.84M
2.637M
$7.28B
624
$21.55
$150.51M
6.984M
$5.11B
625
$37.94
$149.58M
3.943M
$11.31B
626
$62.88
$149.31M
2.374M
$16.59B
627
$271.35
$149.17M
549.724K
$14.96B
628
$143.50
$149.02M
1.038M
$30.08B
629
VISN Vistance Networks, Inc. Common Stock $11.96
$148.87M
12.447M
$2.70B
630
ALK Alaska Air Group, Inc. $38.89
$148.58M
3.82M
$4.41B
631
$94.90
$147.93M
1.559M
$16.52B
632
BR Broadridge Financial Solutions Inc $154.56
$147.66M
955.353K
$18.04B
633
IRTC iRhythm Technologies, Inc $120.80
$147.52M
1.221M
$3.97B
634
H Hyatt Hotels Corporation $163.73
$147.18M
898.919K
$6.71B
635
$143.01
$147.10M
1.029M
$8.37B
636
CRBG Corebridge Financial, Inc. $27.52
$147.07M
5.344M
$13.26B
637
AR ANTERO RESOURCES CORPORATION $38.58
$146.93M
3.809M
$11.95B
638
PRU Prudential Financial, Inc. $98.62
$146.80M
1.489M
$34.30B
639
$104.99
$146.71M
1.397M
$14.45B
640
$24.08
$146.70M
6.092M
$17.36B
641
LABT Lakewood-Amedex Biotherapeutics Inc. Common Stock $3.17
$146.54M
46.227M
$45.30M
642
SPG Simon Property Group, Inc. $202.06
$146.22M
723.667K
$65.64B
643
AEIS Advanced Energy Industries Inc $388.90
$145.79M
374.886K
$14.72B
644
OPEN Opendoor Technologies Inc Common Stock $5.43
$145.48M
26.792M
$5.20B
645
LDOS Leidos Holdings, Inc. $148.49
$145.41M
979.214K
$18.73B
646
$146.59
$144.96M
988.927K
$298.27B
647
CART Maplebear Inc. Common Stock $42.15
$144.78M
3.435M
$9.98B
648
KTOS Kratos Defense & Security Solutions, Inc. $62.14
$144.12M
2.319M
$11.65B
649
SXI Standex International Corporation $248.63
$143.97M
579.043K
$3.01B
650
ED Consolidated Edison, Inc. $110.49
$143.74M
1.301M
$40.71B
651
AMG Affiliated Managers Group $289.00
$143.59M
496.861K
$7.67B
652
$45.56
$142.55M
3.129M
$2.15B
653
$113.56
$141.81M
1.249M
$31.42B
654
MTSI MACOM Technology Solutions Holdings, Inc $281.75
$141.78M
503.225K
$21.13B
655
CFG Citizens Financial Group, Inc. $64.47
$141.73M
2.198M
$27.40B
656
CG The Carlyle Group Inc. Common Stock $49.44
$141.55M
2.863M
$17.86B
657
TYL Tyler Technologies, Inc. $335.50
$141.27M
421.081K
$14.24B
658
BJ BJs Wholesale Club Holdings, Inc. Common Stock $93.51
$140.87M
1.506M
$12.13B
659
$100.61
$140.85M
1.4M
$126.26B
660
MMSI Merit Medical Systems Inc $62.01
$140.56M
2.267M
$3.70B
661
$63.35
$140.09M
2.211M
$7.87B
662
AGI Alamos Gold Inc. Class A Common Shares $39.53
$139.77M
3.536M
$16.60B
663
DKS Dick's Sporting Goods, Inc. $224.62
$138.19M
615.238K
$14.71B
664
EXPE Expedia Group, Inc. Common Stock $251.50
$137.63M
547.232K
$29.43B
665
$107.43
$136.76M
1.273M
$24.04B
666
RF Regions Financial Corp. $28.26
$136.59M
4.833M
$24.40B
667
$91.80
$136.17M
1.483M
$315.49B
668
$225.79
$136.15M
603.008K
$30.41B
669
$4.37
$136.13M
31.15M
$5.83B
670
SWK Stanley Black & Decker, Inc. $78.53
$135.96M
1.731M
$12.19B
671
FLUT Flutter Entertainment plc $105.90
$135.78M
1.282M
$18.47B
672
$23.25
$135.73M
5.838M
$79.70B
673
DOC Healthpeak Properties, Inc. $16.41
$135.04M
8.232M
$11.41B
674
ACHC Acadia Healthcare Company, Inc. $27.70
$134.63M
4.86M
$2.55B
675
CM Canadian Imperial Bank of Commerce $112.18
$134.52M
1.199M
$103.01B
676
PKG Packaging Corp of America $218.06
$134.43M
616.471K
$19.41B
677
$60.85
$134.37M
2.208M
$17.24B
678
OTIS Otis Worldwide Corporation $77.08
$134.33M
1.743M
$29.58B
679
$38.72
$134.14M
3.464M
$9.01B
680
KNX Knight-Swift Transportation Holdings Inc. Class A Common Stock $64.00
$133.95M
2.093M
$10.40B
681
TRI Thomson Reuters Corporation $94.41
$133.52M
1.414M
$41.82B
682
$81.40
$133.43M
1.639M
$10.47B
683
AX Axos Financial, Inc. Common Stock $86.30
$133.00M
1.541M
$4.89B
684
SIRI Sirius XM Holdings, Inc $27.00
$132.90M
4.922M
$9.09B
685
$14.73
$132.53M
8.997M
$2.56B
686
FIVE Five Below, Inc. Common Stock $230.50
$132.18M
573.45K
$12.73B
687
$242.42
$132.06M
544.754K
$46.76B
688
MNDY monday.com Ltd. Ordinary Shares $72.50
$131.58M
1.815M
$3.71B
689
USFD US Foods Holding Corp. $93.04
$131.23M
1.41M
$20.49B
690
$36.51
$131.08M
3.59M
$1.97B
691
EQH Equitable Holdings, Inc. $42.15
$130.91M
3.106M
$11.87B
692
EQNR Equinor ASA American Depositary Shares (Each Representing One Ordinary Share, nominal value NOK 2.50 per share) $39.70
$130.78M
3.294M
$101.51B
693
TECK Teck Resources Limited $57.75
$130.74M
2.264M
$27.84B
694
ARGX argenx SE American Depositary Shares $784.00
$130.35M
166.258K
$48.76B
695
$180.25
$130.14M
721.982K
$21.45B
696
$255.84
$130.08M
508.458K
$21.03B
697
$136.09
$129.89M
954.433K
$16.19B
698
PFGC Performance Food Group Company $88.69
$129.50M
1.46M
$13.91B
699
FCEL FuelCell Energy Inc NEW (DE) $13.16
$129.40M
9.836M
$696.92M
700
KALV KalVista Pharmaceuticals, Inc. Common Stock $26.58
$129.05M
4.855M
$1.36B