Stock Rankings by Dollar Volume - Rankings 701 to 800
Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 701 to 800.
701
DORM Dorman Products, Inc. New $111.00
$140.19K
1.263K
$3.39B
702
$153.01
$140.00K
915
$18.41B
703
$415.99
$139.36K
335
$93.99B
704
TLRY Tilray Brands, Inc. Common Stock $0.4800
$139.27K
290.152K
$478.50M
705
NXT Nextracker Inc. Class A Common Stock $42.00
$136.50K
3.25K
$6.04B
706
$449.01
$136.50K
304
$69.43B
707
PAA Plains All American Pipeline, L.P. Common Units representing Limited Partner Interests $18.00
$136.48K
7.582K
$12.67B
708
$0.3698
$136.15K
368.163K
$26.45M
709
KLIC Kulicke & Soffa Industries Inc $32.15
$135.03K
4.2K
$1.72B
710
IOTR iOThree Limited Ordinary Shares $0.3790
$134.73K
355.486K
$9.72M
711
JYD Jayud Global Logistics Limited Class A Ordinary Shares $0.2402
$134.26K
558.945K
$22.54M
712
$538.52
$134.09K
249
$41.67B
713
NOVA Sunnova Energy International Inc. $0.1946
$132.66K
681.714K
$24.34M
714
QSI Quantum-Si Incorporated Class A Common Stock $1.14
$131.63K
115.462K
$208.78M
715
BUR Burford Capital Limited $13.57
$130.79K
9.638K
$2.98B
716
FMS Fresenius Medical Care AG $25.26
$129.71K
5.135K
$14.82B
717
ORA Ormat Technologies, Inc. $73.15
$127.43K
1.742K
$4.43B
718
ACGL Arch Capital Group Ltd $91.00
$127.40K
1.4K
$34.19B
719
$14.65
$126.49K
8.634K
$16.29B
720
IBRX ImmunityBio, Inc. Common Stock $2.45
$126.43K
51.606K
$2.16B
721
$9.01
$126.33K
14.021K
$5.44B
722
GBDC Golub Capital BDC, Inc. $14.19
$126.11K
8.887K
$3.77B
723
TFPM Triple Flag Precious Metals Corp. $19.95
$125.57K
6.294K
$4.01B
724
MPW Medical Properties Trust, Inc. $5.47
$124.93K
22.839K
$3.32B
725
AZUL Azul S.A. American Depositary Shares (each representing three preferred shares) $0.8898
$124.34K
139.739K
$274.11M
726
$11.18
$124.20K
11.109K
$3.11B
727
STRL Sterling Infrastructure, Inc. Common Stock $146.01
$123.38K
845
$4.44B
728
$186.68
$122.65K
657
$10.62B
729
VRTX Vertex Pharmaceuticals Inc $501.99
$122.49K
244
$129.05B
730
VPG Vishay Precision Group, Inc. $25.20
$122.19K
4.849K
$334.08M
731
NFE New Fortress Energy Inc. Class A Common Stock $5.53
$121.60K
21.99K
$1.51B
732
$16.81
$120.09K
7.144K
$4.15B
733
$28.65
$119.96K
4.187K
$43.77B
734
CSTM Constellium SE Class A Ordinary shares $9.80
$119.45K
12.189K
$1.40B
735
DOC Healthpeak Properties, Inc. $18.00
$119.14K
6.619K
$12.57B
736
SSB SouthState Corporation $86.00
$118.77K
1.381K
$8.73B
737
REKR Rekor Systems, Inc. Common Stock $0.9800
$118.58K
120.995K
$108.69M
738
HIVE HIVE Digital Technologies Ltd. Common Shares $1.69
$118.39K
70.051K
$262.63M
739
MLCO Melco Resorts & Entertainment Limited American Depositary Shares $5.00
$118.21K
23.642K
$2.13B
740
NTRB Nutriband Inc. Common Stock $6.45
$117.47K
18.213K
$71.63M
741
IOVA Iovance Biotherapeutics, Inc. Common Stock $3.48
$117.44K
33.747K
$1.14B
742
CRSR Corsair Gaming, Inc. Common Stock $7.21
$116.74K
16.191K
$756.01M
743
$21.24
$116.69K
5.494K
$4.42B
744
ABVE Above Food Ingredients Inc. Common Stock $1.32
$116.36K
88.137K
$37.63M
745
$103.75
$115.58K
1.114K
$45.18B
746
OPEN Opendoor Technologies Inc Common Stock $0.7552
$115.12K
152.433K
$546.40M
747
CASY Casey's General Stores Inc $464.00
$114.61K
247
$16.89B
748
$4.00
$114.31K
28.578K
$212.58M
749
$26.72
$113.93K
4.264K
$1.76B
750
EJH E-Home Household Service Holdings Limited Ordinary Shares $0.7203
$113.16K
157.102K
$6.26M
751
LIND Lindblad Expeditions Holdings Inc. Common Stock $8.85
$112.89K
12.756K
$483.09M
752
AACT Ares Acquisition Corporation II $11.28
$112.80K
10K
$697.78M
753
$36.25
$112.77K
3.111K
$10.81B
754
$33.75
$112.52K
3.334K
$120.24B
755
$33.24
$112.45K
3.383K
$17.82B
756
CSL Carlisle Companies, Inc. $376.00
$112.05K
298
$16.26B
757
TCBI Texas Capital Bancshares, Inc. $68.00
$111.38K
1.638K
$3.12B
758
PNFP Pinnacle Financial Partners In $100.35
$111.29K
1.109K
$7.78B
759
STNE StoneCo Ltd. Class A Common Shares $13.73
$110.76K
8.067K
$3.73B
760
ECO Okeanis Eco Tankers Corp. $23.03
$110.34K
4.791K
$741.43M
761
$35.02
$110.31K
3.15K
$8.37B
762
$112.10
$110.19K
983
$6.33B
763
RUM Rumble Inc. Class A Common Stock $7.68
$110.02K
14.326K
$2.60B
764
SAIL SailPoint, Inc. Common Stock $16.50
$109.87K
6.659K
$9.18B
765
$108.25
$109.77K
1.014K
$59.08B
766
$19.29
$109.05K
5.653K
$2.44B
767
ODFL Old Dominion Freight Line $148.40
$108.78K
733
$31.48B
768
$1.06
$108.70K
102.546K
$10.67M
769
CYCU Cycurion, Inc. Common Stock $0.4402
$108.24K
245.879K
$13.84M
770
SITE SiteOne Landscape Supply, Inc. $113.20
$107.99K
954
$5.09B
771
THC Tenet Healthcare Corporation New $135.69
$107.20K
790
$12.81B
772
TRMD TORM plc Class A Common Stock $16.66
$107.17K
6.433K
$1.63B
773
$63.13
$106.50K
1.687K
$23.18B
774
$84.71
$106.48K
1.257K
$6.32B
775
DAVE Dave Inc. Class A Common Stock $93.00
$106.30K
1.143K
$1.24B
776
$13.73
$106.17K
7.733K
$742.48M
777
BYND Beyond Meat, Inc. Common Stock $2.47
$105.79K
42.828K
$188.66M
778
LAC Lithium Americas Corp. $2.85
$105.42K
36.99K
$623.26M
779
TSSI TSS, Inc. Common Stock $6.79
$105.30K
15.516K
$169.86M
780
AIT Applied Industrial Technologies, Inc. $241.40
$105.01K
435
$9.26B
781
TGL Treasure Global Inc. Common Stock $2.33
$103.83K
44.561K
$3.79M
782
$3.30
$103.67K
31.416K
$997.43M
783
APPF AppFolio, Inc. Class A $201.50
$103.57K
514
$7.26B
784
$87.32
$103.30K
1.183K
$3.55B
785
$86.23
$102.79K
1.192K
$4.62B
786
$213.12
$102.72K
482
$127.33B
787
MBLY Mobileye Global Inc. Class A Common Stock $14.28
$102.63K
7.187K
$11.60B
788
GPI Group 1 Automotive, Inc. $407.01
$102.57K
252
$5.29B
789
$85.55
$102.49K
1.198K
$7.40B
790
$8.15
$102.34K
12.557K
$2.00B
791
KINS Kingstone Companies, Inc. $19.92
$102.29K
5.135K
$273.52M
792
$1.28
$102.25K
79.884K
$201.26M
793
$100.32
$102.23K
1.019K
$20.11B
794
GH Guardant Health, Inc. Common Stock $48.69
$102.05K
2.096K
$6.01B
795
EXK Endeavour Silver Corp. $3.59
$101.86K
28.373K
$988.00M
796
ACLS Axcelis Technologies Inc $47.05
$101.82K
2.164K
$1.51B
797
CHRW C.H. Robinson Worldwide, Inc. $88.00
$101.82K
1.157K
$10.40B
798
$12.45
$101.68K
8.167K
$2.44B
799
IRDM Iridium Communications Inc. $23.72
$101.60K
4.283K
$2.57B
800
BBD Banco Bradesco S.A. American Depositary Shares (Each representing one Preferred Shares) $2.43
$101.58K
41.801K
$25.70B