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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
$ Volume (Day)
Volume (Day)
Market Cap
701
DORMDorman Products, Inc. New
$111.00
-0.45
-0.40%
$140.19K
1.263K
$3.39B
702
PTCPTC, INC
$153.01
+0.51
+0.33%
$140.00K
915
$18.41B
703
ELVElevance Health, Inc.
$415.99
+0.08
+0.02%
$139.36K
335
$93.99B
704
TLRYTilray Brands, Inc. Common Stock
$0.4800
+0.0000
+0.00%
$139.27K
290.152K
$478.50M
705
NXTNextracker Inc. Class A Common Stock
$42.00
-0.89
-2.08%
$136.50K
3.25K
$6.04B
706
SNPSSynopsys Inc
$449.01
+0.00
+0.00%
$136.50K
304
$69.43B
707
PAAPlains All American Pipeline, L.P. Common Units representing Limited Partner Interests
$18.00
-0.11
-0.61%
$136.48K
7.582K
$12.67B
708
GNSGenius Group Limited
$0.3698
-0.0168
-4.35%
$136.15K
368.163K
$26.45M
709
KLICKulicke & Soffa Industries Inc
$32.15
-0.67
-2.04%
$135.03K
4.2K
$1.72B
710
IOTRiOThree Limited Ordinary Shares
$0.3790
-0.0210
-5.25%
$134.73K
355.486K
$9.72M
711
JYDJayud Global Logistics Limited Class A Ordinary Shares
$0.2402
-0.0198
-7.62%
$134.26K
558.945K
$22.54M
712
MSCIMSCI, Inc.
$538.52
+0.00
+0.00%
$134.09K
249
$41.67B
713
NOVASunnova Energy International Inc.
$0.1946
-0.0240
-10.98%
$132.66K
681.714K
$24.34M
714
QSIQuantum-Si Incorporated Class A Common Stock
$1.14
-0.04
-3.39%
$131.63K
115.462K
$208.78M
715
BURBurford Capital Limited
$13.57
-0.11
-0.80%
$130.79K
9.638K
$2.98B
716
FMSFresenius Medical Care AG
$25.26
-0.13
-0.51%
$129.71K
5.135K
$14.82B
717
ORAOrmat Technologies, Inc.
$73.15
+1.95
+2.74%
$127.43K
1.742K
$4.43B
718
ACGLArch Capital Group Ltd
$91.00
-0.06
-0.07%
$127.40K
1.4K
$34.19B
719
KEYKeyCorp
$14.65
-0.16
-1.08%
$126.49K
8.634K
$16.29B
720
IBRXImmunityBio, Inc. Common Stock
$2.45
-0.09
-3.54%
$126.43K
51.606K
$2.16B
721
TALTAL Education Group
$9.01
-0.07
-0.77%
$126.33K
14.021K
$5.44B
722
GBDCGolub Capital BDC, Inc.
$14.19
-0.12
-0.84%
$126.11K
8.887K
$3.77B
723
TFPMTriple Flag Precious Metals Corp.
$19.95
-0.19
-0.94%
$125.57K
6.294K
$4.01B
724
MPWMedical Properties Trust, Inc.
$5.47
-0.01
-0.18%
$124.93K
22.839K
$3.32B
725
AZULAzul S.A. American Depositary Shares (each representing three preferred shares)
$0.8898
+0.0477
+5.66%
$124.34K
139.739K
$274.11M
726
MMacy's Inc.
$11.18
-0.20
-1.76%
$124.20K
11.109K
$3.11B
727
STRLSterling Infrastructure, Inc. Common Stock
$146.01
-3.95
-2.63%
$123.38K
845
$4.44B
728
NDSNNordson Corp
$186.68
-1.59
-0.84%
$122.65K
657
$10.62B
729
VRTXVertex Pharmaceuticals Inc
$501.99
+0.00
+0.00%
$122.49K
244
$129.05B
730
VPGVishay Precision Group, Inc.
$25.20
-1.75
-6.49%
$122.19K
4.849K
$334.08M
731
NFENew Fortress Energy Inc. Class A Common Stock
$5.53
-0.17
-2.99%
$121.60K
21.99K
$1.51B
732
AMKRAmkor Technology Inc
$16.81
-0.50
-2.89%
$120.09K
7.144K
$4.15B
733
EENI S.p.A.
$28.65
+0.01
+0.03%
$119.96K
4.187K
$43.77B
734
CSTMConstellium SE Class A Ordinary shares
$9.80
-0.19
-1.90%
$119.45K
12.189K
$1.40B
735
DOCHealthpeak Properties, Inc.
$18.00
+0.10
+0.56%
$119.14K
6.619K
$12.57B
736
SSBSouthState Corporation
$86.00
-2.11
-2.39%
$118.77K
1.381K
$8.73B
737
REKRRekor Systems, Inc. Common Stock
$0.9800
-0.0300
-2.97%
$118.58K
120.995K
$108.69M
738
HIVEHIVE Digital Technologies Ltd. Common Shares
$1.69
-0.04
-2.31%
$118.39K
70.051K
$262.63M
739
MLCOMelco Resorts & Entertainment Limited American Depositary Shares
$5.00
-0.09
-1.77%
$118.21K
23.642K
$2.13B
740
NTRBNutriband Inc. Common Stock
$6.45
+0.50
+8.40%
$117.47K
18.213K
$71.63M
741
IOVAIovance Biotherapeutics, Inc. Common Stock
$3.48
-0.10
-2.79%
$117.44K
33.747K
$1.14B
742
CRSRCorsair Gaming, Inc. Common Stock
$7.21
+0.11
+1.55%
$116.74K
16.191K
$756.01M
743
GRNDGrindr Inc.
$21.24
-0.43
-1.98%
$116.69K
5.494K
$4.42B
744
ABVEAbove Food Ingredients Inc. Common Stock
$1.32
-0.07
-5.02%
$116.36K
88.137K
$37.63M
745
CCICrown Castle Inc.
$103.75
-0.26
-0.25%
$115.58K
1.114K
$45.18B
746
OPENOpendoor Technologies Inc Common Stock
$0.7552
-0.0140
-1.82%
$115.12K
152.433K
$546.40M
747
CASYCasey's General Stores Inc
$464.00
+0.00
+0.00%
$114.61K
247
$16.89B
748
BYONBeyond, Inc.
$4.00
-0.01
-0.25%
$114.31K
28.578K
$212.58M
749
GLPGGalapagos NV
$26.72
-0.17
-0.63%
$113.93K
4.264K
$1.76B
750
EJHE-Home Household Service Holdings Limited Ordinary Shares
$0.7203
+0.0189
+2.69%
$113.16K
157.102K
$6.26M
751
LINDLindblad Expeditions Holdings Inc. Common Stock
$8.85
-0.05
-0.56%
$112.89K
12.756K
$483.09M
752
AACTAres Acquisition Corporation II
$11.28
+0.00
+0.00%
$112.80K
10K
$697.78M
753
CPBCampbell Soup Company
$36.25
+0.25
+0.69%
$112.77K
3.111K
$10.81B
754
IBNICICI Bank Limited
$33.75
-0.17
-0.50%
$112.52K
3.334K
$120.24B
755
TSTenaris S. A.
$33.24
-0.02
-0.06%
$112.45K
3.383K
$17.82B
756
CSLCarlisle Companies, Inc.
$376.00
-1.00
-0.27%
$112.05K
298
$16.26B
757
TCBITexas Capital Bancshares, Inc.
$68.00
+0.12
+0.18%
$111.38K
1.638K
$3.12B
758
PNFPPinnacle Financial Partners In
$100.35
+1.35
+1.36%
$111.29K
1.109K
$7.78B
759
STNEStoneCo Ltd. Class A Common Shares
$13.73
-0.17
-1.22%
$110.76K
8.067K
$3.73B
760
ECOOkeanis Eco Tankers Corp.
$23.03
-1.14
-4.72%
$110.34K
4.791K
$741.43M
761
RRCRange Resources Corp
$35.02
-0.02
-0.06%
$110.31K
3.15K
$8.37B
762
POSTPOST HOLDINGS, INC.
$112.10
-1.05
-0.93%
$110.19K
983
$6.33B
763
RUMRumble Inc. Class A Common Stock
$7.68
-0.26
-3.27%
$110.02K
14.326K
$2.60B
764
SAILSailPoint, Inc. Common Stock
$16.50
-0.75
-4.35%
$109.87K
6.659K
$9.18B
765
AFLAflac Inc.
$108.25
+0.06
+0.06%
$109.77K
1.014K
$59.08B
766
GSATGlobalstar, Inc.
$19.29
-0.28
-1.43%
$109.05K
5.653K
$2.44B
767
ODFLOld Dominion Freight Line
$148.40
-1.61
-1.07%
$108.78K
733
$31.48B
768
IBIOiBio, Inc.
$1.06
+0.01
+0.95%
$108.70K
102.546K
$10.67M
769
CYCUCycurion, Inc. Common Stock
$0.4402
-0.0102
-2.26%
$108.24K
245.879K
$13.84M
770
SITESiteOne Landscape Supply, Inc.
$113.20
+5.30
+4.91%
$107.99K
954
$5.09B
771
THCTenet Healthcare Corporation New
$135.69
-2.82
-2.04%
$107.20K
790
$12.81B
772
TRMDTORM plc Class A Common Stock
$16.66
+0.02
+0.12%
$107.17K
6.433K
$1.63B
773
KBKB Financial Group Inc
$63.13
+0.43
+0.69%
$106.50K
1.687K
$23.18B
774
AGCOAGCO Corporation
$84.71
-0.79
-0.92%
$106.48K
1.257K
$6.32B
775
DAVEDave Inc. Class A Common Stock
$93.00
-2.89
-3.01%
$106.30K
1.143K
$1.24B
776
QUREuniQure N.V.
$13.73
-0.18
-1.29%
$106.17K
7.733K
$742.48M
777
BYNDBeyond Meat, Inc. Common Stock
$2.47
-0.02
-0.80%
$105.79K
42.828K
$188.66M
778
LACLithium Americas Corp.
$2.85
-0.05
-1.72%
$105.42K
36.99K
$623.26M
779
TSSITSS, Inc. Common Stock
$6.79
-0.45
-6.26%
$105.30K
15.516K
$169.86M
780
AITApplied Industrial Technologies, Inc.
$241.40
+1.10
+0.46%
$105.01K
435
$9.26B
781
TGLTreasure Global Inc. Common Stock
$2.33
+0.08
+3.56%
$103.83K
44.561K
$3.79M
782
PLPlanet Labs PBC
$3.30
-0.08
-2.37%
$103.67K
31.416K
$997.43M
783
APPFAppFolio, Inc. Class A
$201.50
-3.10
-1.52%
$103.57K
514
$7.26B
784
SKYWSkywest Inc
$87.32
-1.58
-1.78%
$103.30K
1.183K
$3.55B
785
LEALear Corporation
$86.23
-0.77
-0.89%
$102.79K
1.192K
$4.62B
786
UNPUnion Pacific Corp.
$213.12
-1.39
-0.65%
$102.72K
482
$127.33B
787
MBLYMobileye Global Inc. Class A Common Stock
$14.28
-0.59
-3.97%
$102.63K
7.187K
$11.60B
788
GPIGroup 1 Automotive, Inc.
$407.01
-1.39
-0.34%
$102.57K
252
$5.29B
789
HQYHealthEquity, Inc
$85.55
-1.87
-2.14%
$102.49K
1.198K
$7.40B
790
WBWeibo Corporation
$8.15
-0.14
-1.69%
$102.34K
12.557K
$2.00B
791
KINSKingstone Companies, Inc.
$19.92
-0.57
-2.78%
$102.29K
5.135K
$273.52M
792
KOPNKopin Corp
$1.28
-0.03
-2.29%
$102.25K
79.884K
$201.26M
793
PHMPultegroup, Inc.
$100.32
-0.05
-0.05%
$102.23K
1.019K
$20.11B
794
GHGuardant Health, Inc. Common Stock
$48.69
-1.84
-3.64%
$102.05K
2.096K
$6.01B
795
EXKEndeavour Silver Corp.
$3.59
+0.00
+0.00%
$101.86K
28.373K
$988.00M
796
ACLSAxcelis Technologies Inc
$47.05
-0.04
-0.08%
$101.82K
2.164K
$1.51B
797
CHRWC.H. Robinson Worldwide, Inc.
$88.00
-4.00
-4.35%
$101.82K
1.157K
$10.40B
798
WENThe Wendy's Company
$12.45
-0.14
-1.11%
$101.68K
8.167K
$2.44B
799
IRDMIridium Communications Inc.
$23.72
-0.48
-1.98%
$101.60K
4.283K
$2.57B
800
BBDBanco Bradesco S.A. American Depositary Shares (Each representing one Preferred Shares)
$2.43
+0.02
+0.83%
$101.58K
41.801K
$25.70B