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
STESTERIS plc
$199.40
-5.81
-2.83%
$217.90M
1.093M
$19.43B
602
SWKStanley Black & Decker, Inc.
$84.00
-0.75
-0.88%
$217.58M
2.59M
$13.06B
603
PHMPultegroup, Inc.
$121.14
-3.62
-2.90%
$217.03M
1.792M
$23.08B
604
FNVFranco-Nevada Corporation
$227.50
+0.34
+0.15%
$216.72M
952.626K
$43.87B
605
BTIBritish American Tobacco p.l.c. American Depositary Shares, American Depositary Shares, each representing one Ordinary Share
$59.44
-1.72
-2.81%
$216.53M
3.643M
$128.84B
606
PLUGPlug Power Inc.
$2.72
-0.02
-0.78%
$216.09M
79.483M
$3.79B
607
SANMSanmina Corp
$242.77
-12.17
-4.77%
$214.92M
885.265K
$13.01B
608
QSRRestaurant Brands International Inc.
$74.71
-1.10
-1.45%
$214.87M
2.876M
$25.92B
609
CDWCDW Corporation
$126.70
-5.99
-4.51%
$214.56M
1.693M
$16.19B
610
LYGLloyds Banking Group PLC
$5.55
-0.03
-0.54%
$214.48M
38.645M
$80.94B
611
EQHEquitable Holdings, Inc.
$45.49
-0.05
-0.11%
$214.21M
4.709M
$12.81B
612
NRGNRG Energy, Inc.
$132.13
-0.25
-0.19%
$213.74M
1.618M
$27.88B
613
MOSThe Mosaic Company
$22.47
+0.72
+3.31%
$213.66M
9.509M
$7.14B
614
RRXRegal Rexnord Corporation
$221.52
-2.55
-1.14%
$213.24M
962.637K
$14.75B
615
TYLTyler Technologies, Inc.
$290.00
-8.00
-2.68%
$212.85M
733.969K
$12.23B
616
TXRHTexas Roadhouse, Inc.
$173.54
+3.45
+2.03%
$212.82M
1.226M
$11.41B
617
FISFidelity National Information Services, Inc.
$38.72
-1.01
-2.54%
$212.28M
5.483M
$20.01B
618
ONONOn Holding AG
$37.85
-0.40
-1.05%
$212.21M
5.607M
$11.24B
619
DOCUDocuSign, Inc. Common Stock
$42.96
-1.46
-3.29%
$211.96M
4.934M
$8.20B
620
BWXTBWX Technologies, Inc.
$202.16
+3.16
+1.59%
$211.33M
1.045M
$18.52B
621
JKHYHenry (Jack) & Associates
$124.22
-3.18
-2.50%
$211.02M
1.699M
$8.83B
622
IOTSamsara Inc.
$32.00
-0.71
-2.17%
$210.15M
6.567M
$11.93B
623
KRMNKarman Holdings Inc.
$53.52
+1.77
+3.42%
$210.12M
3.926M
$7.09B
624
EGOEldorado Gold Corporation
$34.25
-0.37
-1.07%
$209.52M
6.117M
$8.94B
625
GSKGSK plc American Depositary Shares (Each representing two Ordinary Shares)
$52.10
+0.05
+0.10%
$209.21M
4.016M
$105.51B
626
WSTWest Pharmaceutical Services, Inc.
$323.60
-3.41
-1.04%
$208.36M
643.89K
$22.86B
627
GWREGUIDEWIRE SOFTWARE, INC.
$112.68
-4.63
-3.95%
$208.33M
1.849M
$9.38B
628
ELTXElicio Therapeutics, Inc. Common Stock
$4.07
+1.28
+45.88%
$208.05M
51.117M
$77.68M
629
FTVFortive Corporation
$60.68
-0.63
-1.03%
$207.70M
3.423M
$18.50B
630
CHWYChewy, Inc.
$17.90
-1.12
-5.86%
$207.63M
11.596M
$4.17B
631
AERAercap Holdings N.V.
$144.11
+0.35
+0.24%
$207.62M
1.441M
$24.05B
632
DPZDomino's Pizza Inc.
$314.36
-3.89
-1.22%
$207.46M
659.934K
$10.46B
633
ADPTAdaptive Biotechnologies Corporation Common Stock
$16.64
-0.66
-3.81%
$206.97M
12.44M
$2.66B
634
FLNCFluence Energy, Inc. Class A Common Stock
$24.05
+0.08
+0.35%
$206.96M
8.604M
$3.19B
635
CVECenovus Energy Inc.
$25.61
-0.42
-1.63%
$206.88M
8.079M
$47.88B
636
LNTAlliant Energy Corporation Common Stock
$72.82
-0.54
-0.74%
$206.54M
2.836M
$18.81B
637
VICIVICI Properties Inc. Common Stock
$27.35
-0.73
-2.60%
$206.53M
7.551M
$29.24B
638
AMPAmeriprise Financial, Inc.
$471.97
+1.03
+0.22%
$206.15M
436.78K
$42.43B
639
BTDRBitdeer Technologies Group Class A Ordinary Shares
$18.19
-0.30
-1.62%
$204.79M
11.258M
$3.62B
640
SGISomnigroup International Inc.
$74.00
-1.20
-1.60%
$204.55M
2.764M
$15.57B
641
ITGartner, Inc.
$135.12
-5.91
-4.19%
$204.05M
1.51M
$9.05B
642
LVSLas Vegas Sands Corp.
$48.32
-0.99
-2.01%
$203.67M
4.215M
$32.02B
643
LPLALPL Financial Holdings Inc.
$304.50
-0.04
-0.01%
$202.73M
665.787K
$24.35B
644
BBBlackBerry Limited
$8.94
-0.20
-2.19%
$202.31M
22.629M
$5.24B
645
SANBanco Santander S.A.
$13.31
-0.15
-1.10%
$201.71M
15.153M
$195.54B
646
TDYTeledyne Technologies Incorporated
$615.35
-14.86
-2.36%
$201.12M
326.846K
$28.51B
647
ZIONZions Bancorporation N.A.
$66.15
-0.41
-0.62%
$200.87M
3.037M
$9.73B
648
AIGAmerican International Group, Inc.
$74.83
-0.58
-0.77%
$200.66M
2.682M
$39.68B
649
COMPCompass, Inc.
$9.46
-0.16
-1.66%
$200.54M
21.199M
$7.07B
650
GRMNGarmin Ltd
$231.89
-1.51
-0.65%
$199.65M
860.981K
$44.72B
651
FFIVF5, Inc. Common Stock
$384.88
-3.23
-0.83%
$198.63M
516.076K
$21.71B
652
HIGThe Hartford Financial Services Group, Inc.
$130.91
+0.99
+0.76%
$198.46M
1.516M
$35.89B
653
UPSTUpstart Holdings, Inc. Common stock
$31.12
-1.31
-4.03%
$198.25M
6.37M
$2.98B
654
AGIAlamos Gold Inc. Class A Common Shares
$37.53
-0.66
-1.73%
$198.21M
5.281M
$15.73B
655
CPAYCorpay, Inc.
$353.33
-6.81
-1.89%
$198.10M
560.652K
$23.09B
656
NVMINova Ltd. Ordinary Shares
$559.99
-1.32
-0.24%
$197.46M
352.613K
$17.80B
657
ZETAZeta Global Holdings Corp.
$18.76
-1.13
-5.67%
$197.27M
10.515M
$4.23B
658
POOLPool Corporation
$194.34
-5.66
-2.83%
$196.46M
1.011M
$7.08B
659
OVVOvintiv Inc.
$53.61
+0.11
+0.21%
$196.45M
3.664M
$15.07B
660
NTNXNutanix, Inc. Class A Common Stock
$46.87
-1.52
-3.14%
$196.20M
4.186M
$12.67B
661
PPGPPG Industries, Inc.
$117.14
-3.45
-2.86%
$194.80M
1.663M
$26.11B
662
OLLIOllie's Bargain Outlet Holdings, Inc. Common Stock
$77.83
-4.19
-5.11%
$194.56M
2.5M
$4.71B
663
MASMasco Corporation
$74.09
-0.42
-0.56%
$194.54M
2.626M
$14.95B
664
BIIBBiogen Inc. Common Stock
$197.92
+2.78
+1.43%
$194.50M
982.672K
$29.22B
665
SSRMSSR Mining Inc.
$32.01
-0.15
-0.47%
$194.42M
6.074M
$6.64B
666
ROLRollins, Inc.
$45.26
-1.53
-3.27%
$194.22M
4.291M
$21.79B
667
UTHRUnited Therapeutics Corp
$551.47
+2.11
+0.38%
$194.01M
351.798K
$23.41B
668
ALCAlcon Inc. Ordinary Shares
$64.14
-2.42
-3.64%
$193.93M
3.023M
$31.28B
669
CHRWC.H. Robinson Worldwide, Inc.
$185.20
-3.50
-1.85%
$193.43M
1.044M
$21.83B
670
NLYAnnaly Capital Management. Inc.
$22.29
-0.27
-1.20%
$193.18M
8.667M
$16.33B
671
RACEFerrari N.V.
$354.28
-11.72
-3.20%
$193.08M
544.98K
$62.81B
672
SNEXStoneX Group Inc. Common Stock
$133.89
+0.10
+0.07%
$192.63M
1.439M
$10.61B
673
ACMRACM Research, Inc. Class A Common Stock
$98.98
+0.18
+0.18%
$192.41M
1.944M
$6.06B
674
SUNBSunbelt Rentals Holdings, Inc.
$81.53
-1.89
-2.27%
$192.36M
2.359M
$33.70B
675
APTVAptiv PLC
$63.14
-2.46
-3.75%
$191.78M
3.037M
$13.36B
676
NTLAIntellia Therapeutics, Inc
$15.43
+0.97
+6.71%
$191.69M
12.423M
$2.16B
677
ACGLArch Capital Group Ltd
$92.00
-0.60
-0.65%
$191.32M
2.08M
$32.14B
678
MTArcelorMittal
$65.03
-2.90
-4.27%
$191.17M
2.94M
$50.40B
679
GFSGlobalFoundries Inc. Ordinary Shares
$81.93
+1.05
+1.30%
$190.79M
2.329M
$45.59B
680
PRUPrudential Financial, Inc.
$107.01
-2.02
-1.85%
$190.55M
1.781M
$37.13B
681
AURAurora Innovation, Inc. Class A Common Stock
$6.10
-0.29
-4.61%
$190.35M
31.204M
$10.09B
682
RBRKRubrik, Inc.
$69.60
+0.68
+0.99%
$189.51M
2.723M
$11.20B
683
OPENOpendoor Technologies Inc Common Stock
$4.51
-0.33
-6.82%
$189.45M
42.007M
$4.35B
684
HSBCHSBC Holdings PLC
$96.60
+2.08
+2.20%
$189.17M
1.958M
$331.99B
685
FROGJFrog Ltd. Ordinary Shares
$82.66
+4.66
+5.98%
$188.73M
2.283M
$10.01B
686
TGTXTG Therapeutics, Inc.
$52.00
+1.99
+3.98%
$187.96M
3.615M
$7.96B
687
THCTenet Healthcare Corporation New
$178.50
-3.75
-2.06%
$187.76M
1.052M
$15.38B
688
PURRHyperliquid Strategies Inc Common Stock
$9.89
-0.37
-3.61%
$187.47M
18.957M
$1.43B
689
UUnity Software Inc.
$26.72
-1.29
-4.62%
$187.16M
7.005M
$11.66B
690
BCSBarclays PLC
$26.33
-0.11
-0.42%
$186.31M
7.076M
$89.27B
691
ITTITT Inc.
$191.07
-2.96
-1.53%
$186.19M
974.434K
$17.08B
692
CWANClearwater Analytics Holdings, Inc.
$24.26
+0.00
+0.00%
$185.59M
7.65M
$7.21B
693
RSReliance, Inc.
$404.11
-6.12
-1.49%
$185.58M
459.239K
$20.63B
694
AMCAMC ENTERTAINMENT HOLDINGS, INC.
$2.69
+0.18
+7.18%
$185.29M
68.879M
$2.03B
695
TDToronto Dominion Bank
$118.50
+1.44
+1.23%
$185.13M
1.562M
$195.81B
696
GAPThe Gap, Inc.
$21.15
-0.56
-2.58%
$184.98M
8.746M
$7.61B
697
AVBAvalonBay Communities, Inc.
$179.63
-5.02
-2.72%
$184.88M
1.029M
$24.99B
698
WPCW.P. Carey Inc. (REIT)
$72.70
-2.43
-3.23%
$184.41M
2.537M
$16.19B
699
CRLCharles River Laboratories International, Inc.
$182.34
-5.53
-2.94%
$184.39M
1.011M
$8.78B
700
APAAPA Corporation Common Stock
$33.79
-0.16
-0.46%
$184.28M
5.453M
$11.94B