Stock Rankings by Dollar Volume - Rankings 801 to 900

Listing of stocks ranked by dollar volume. Current stock rankings are updated every 30 minutes showing current circulating supply. Rankings 801 to 900.

#
Symbol
Last Price
Change (Day)
Change % (Day)
$ Volume (Day)
Volume (Day)
Market Cap
801
DARDARLING INGREDIENTS INC.
$56.80
+0.05
+0.09%
$116.02M
2.043M
$9.01B
802
SLMSLM Corporation
$19.70
+0.20
+1.03%
$115.62M
5.869M
$3.90B
803
CARTMaplebear Inc. Common Stock
$36.66
-1.05
-2.78%
$115.16M
3.141M
$8.82B
804
MODModine Manufacturing Co
$201.45
+5.45
+2.78%
$114.80M
569.877K
$10.62B
805
NXENexGen Energy Ltd.
$11.45
-0.06
-0.52%
$114.72M
10.02M
$7.56B
806
EMNEastman Chemical Company
$68.76
-0.48
-0.69%
$114.69M
1.668M
$7.85B
807
CGONCG Oncology, Inc. Common stock
$65.86
+1.86
+2.91%
$114.61M
1.74M
$5.56B
808
FLYFirefly Aerospace Inc. Common Stock
$24.66
+1.33
+5.70%
$114.60M
4.647M
$3.93B
809
TPGTPG Inc. Class A Common Stock
$41.11
-0.01
-0.02%
$114.42M
2.783M
$6.32B
810
CNXCNX Resources Corporation
$40.61
-3.66
-8.27%
$114.27M
2.814M
$5.78B
811
LNTAlliant Energy Corporation Common Stock
$71.25
+0.19
+0.27%
$113.86M
1.598M
$18.32B
812
DEODiageo plc
$75.12
+0.52
+0.70%
$113.86M
1.516M
$41.81B
813
FWONKLiberty Media Corporation Series C Liberty Formula One Common Stock
$83.41
-1.15
-1.36%
$113.83M
1.365M
$18.69B
814
WCCWesco International Inc.
$258.04
+11.33
+4.59%
$113.79M
440.991K
$12.56B
815
WALWestern Alliance Bancorporation
$67.98
+1.44
+2.16%
$113.19M
1.665M
$7.47B
816
ASMAvino Silver & Gold Mines Ltd. (Canada)
$5.70
-0.39
-6.41%
$113.10M
19.844M
$950.85M
817
LDOSLeidos Holdings, Inc.
$165.95
-0.21
-0.13%
$112.96M
680.68K
$20.97B
818
CMCanadian Imperial Bank of Commerce
$95.58
-0.90
-0.93%
$112.60M
1.178M
$88.36B
819
ALAir Lease Corporation
$64.64
+0.03
+0.05%
$112.43M
1.739M
$7.24B
820
GMEGameStop Corp. Class A
$23.16
-0.19
-0.81%
$112.16M
4.843M
$10.38B
821
DGXQuest Diagnostics Inc.
$194.00
-1.79
-0.91%
$112.13M
578.014K
$21.31B
822
AMGAffiliated Managers Group
$278.67
+3.58
+1.30%
$112.01M
401.929K
$7.44B
823
EATBrinker International, Inc.
$144.76
+5.26
+3.77%
$111.67M
771.413K
$6.30B
824
BRK.ABerkshire Hathaway Inc.
$724,000.00
-2,540.00
-0.35%
$111.50M
154
$369.79B
825
LOGILogitech International SA
$91.72
-0.22
-0.24%
$111.42M
1.215M
$13.45B
826
SITESiteOne Landscape Supply, Inc.
$130.29
-0.02
-0.02%
$111.10M
852.721K
$5.79B
827
POOLPool Corporation
$204.36
+0.11
+0.05%
$110.99M
543.116K
$7.52B
828
WRBW.R. Berkley Corporation
$66.22
-0.96
-1.43%
$110.94M
1.675M
$24.80B
829
VRSNVeriSign Inc
$237.10
-0.77
-0.32%
$110.94M
467.917K
$21.74B
830
UAMYUnited States Antimony Corporation
$9.48
+0.01
+0.11%
$110.88M
11.697M
$1.33B
831
CSLCarlisle Companies, Inc.
$332.82
-1.20
-0.36%
$110.82M
332.973K
$13.61B
832
AHRAmerican Healthcare REIT, Inc.
$51.10
-1.29
-2.46%
$110.41M
2.161M
$9.61B
833
BZKANZHUN LIMITED American Depository Shares
$13.40
-0.17
-1.25%
$110.37M
8.236M
$5.60B
834
NTRSNorthern Trust Corp
$135.78
+1.49
+1.11%
$110.00M
810.15K
$25.16B
835
CECelanese Corporation Common Stock
$60.50
+1.50
+2.54%
$109.99M
1.818M
$6.77B
836
EXRExtra Space Storage, Inc.
$135.99
-0.19
-0.14%
$109.94M
808.421K
$28.71B
837
ALCAlcon Inc. Ordinary Shares
$75.01
-0.10
-0.13%
$109.92M
1.465M
$36.56B
838
VLYValley National Bancorp
$11.83
+0.20
+1.72%
$109.67M
9.27M
$6.57B
839
CDWCDW Corporation
$119.65
+2.06
+1.75%
$109.64M
916.314K
$15.43B
840
SWKStanley Black & Decker, Inc.
$69.60
+0.39
+0.56%
$108.91M
1.565M
$10.81B
841
RHRH
$134.51
+0.51
+0.38%
$108.80M
808.841K
$2.53B
842
PRIMPrimoris Services Corporation
$141.66
+6.79
+5.03%
$108.76M
767.782K
$7.66B
843
PTCPTC, INC
$150.67
+1.63
+1.09%
$108.37M
719.253K
$17.93B
844
BATLBattalion Oil Corporation
$12.69
-0.18
-1.40%
$108.35M
8.538M
$208.83M
845
ASOAcademy Sports and Outdoors, Inc.
$53.07
+2.47
+4.88%
$107.67M
2.029M
$3.54B
846
PARRPar Pacific Holdings, Inc. Common Stock
$59.46
+3.46
+6.18%
$107.66M
1.811M
$2.91B
847
FROFrontline Plc
$32.93
+0.62
+1.92%
$107.49M
3.264M
$7.33B
848
WFRDWeatherford International plc Ordinary Shares
$86.00
-0.74
-0.85%
$107.04M
1.245M
$6.17B
849
ROLRollins, Inc.
$54.09
+0.09
+0.17%
$107.03M
1.979M
$26.02B
850
CHEChemed Corporation
$384.83
+0.62
+0.16%
$107.01M
278.062K
$5.30B
851
PRMBPrimo Brands Corporation
$19.32
-0.35
-1.78%
$106.87M
5.532M
$7.02B
852
STNGScorpio Tankers Inc.
$69.88
+1.38
+2.01%
$106.84M
1.529M
$3.62B
853
POSTPOST HOLDINGS, INC.
$97.41
+1.98
+2.07%
$106.55M
1.094M
$4.66B
854
EQHEquitable Holdings, Inc.
$37.24
-0.29
-0.77%
$106.39M
2.857M
$10.44B
855
RELXRELX PLC
$33.82
-0.07
-0.21%
$106.15M
3.139M
$60.94B
856
WDSWoodside Energy Group Limited American Depositary Shares, each representing one Ordinary Share
$24.00
+0.21
+0.88%
$106.09M
4.42M
$45.63B
857
WHRWhirlpool Corp.
$54.52
+0.12
+0.22%
$105.97M
1.944M
$3.08B
858
IRMIron Mountain Inc.
$104.94
-0.20
-0.19%
$105.72M
1.007M
$31.04B
859
VISNVistance Networks, Inc. Common Stock
$17.80
+0.34
+1.95%
$105.21M
5.911M
$4.01B
860
ITTITT Inc.
$188.04
+5.80
+3.18%
$105.13M
559.077K
$16.17B
861
EPDEnterprise Products Partners L.P.
$37.48
+0.25
+0.68%
$104.99M
2.801M
$81.03B
862
DTEDTE Energy Company
$147.14
-0.18
-0.12%
$104.61M
710.932K
$30.61B
863
TPHTri Pointe Homes, Inc.
$46.60
+0.15
+0.32%
$104.53M
2.243M
$3.97B
864
TCOMTrip.com Group Limited American Depositary Shares
$51.78
+0.28
+0.54%
$104.33M
2.015M
$33.77B
865
VSATViasat Inc
$52.23
+4.23
+8.81%
$104.04M
1.992M
$7.09B
866
BTEBaytex Energy Corp.
$4.17
+0.02
+0.38%
$103.99M
24.933M
$3.14B
867
KEXKirby Corporation
$130.14
+5.39
+4.32%
$103.69M
796.744K
$6.98B
868
EMBJEmbraer S.A. American Depositary Shares (Each representing Four Common Shares)
$58.07
-1.34
-2.26%
$103.69M
1.786M
$10.75B
869
FHNFirst Horizon Corporation
$21.85
+0.05
+0.23%
$103.60M
4.741M
$10.56B
870
XPEVXPeng Inc. American depositary shares, each representing two Class A ordinary shares
$19.22
+0.07
+0.37%
$103.52M
5.386M
$15.02B
871
RMBSRambus Inc
$95.05
+2.01
+2.16%
$103.26M
1.086M
$10.28B
872
LEUCentrus Energy Corp.
$206.00
-1.87
-0.90%
$103.17M
500.841K
$3.90B
873
AOSA.O. Smith Corporation
$64.54
+0.97
+1.53%
$102.64M
1.59M
$7.25B
874
BCEBCE, Inc.
$25.73
-0.05
-0.19%
$102.02M
3.965M
$23.99B
875
TLNTalen Energy Corporation Common Stock
$337.90
-0.93
-0.27%
$101.90M
301.56K
$15.44B
876
SWKSSkyworks Solutions Inc
$54.12
+0.85
+1.60%
$101.69M
1.879M
$8.14B
877
JKHYHenry (Jack) & Associates
$164.43
-0.66
-0.40%
$101.51M
617.372K
$11.87B
878
RPRXRoyalty Pharma plc Class A Ordinary Shares
$45.53
-0.25
-0.55%
$101.46M
2.228M
$19.51B
879
ASNDAscendis Pharma A/S American Depositary Shares
$223.60
-4.31
-1.89%
$101.36M
453.323K
$13.86B
880
SVMSilvercorp Metals Inc. Common Shares
$9.62
-0.38
-3.80%
$101.20M
10.519M
$2.12B
881
HLIHoulihan Lokey, Inc.
$138.95
+0.97
+0.70%
$100.85M
725.827K
$7.55B
882
PSTGPure Storage, Inc. Class A
$65.66
+1.88
+2.95%
$100.67M
1.533M
$21.68B
883
VFCV.F. Corporation
$16.64
+0.27
+1.65%
$100.52M
6.041M
$6.51B
884
TECHBio-Techne Corp.
$51.59
+1.27
+2.52%
$100.48M
1.948M
$8.07B
885
BIIBBiogen Inc. Common Stock
$187.25
+5.07
+2.78%
$99.65M
532.198K
$27.48B
886
BTSGBrightSpring Health Services, Inc. Common Stock
$44.00
+0.84
+1.95%
$99.54M
2.262M
$8.52B
887
EXPEagle Materials, Inc.
$176.99
-7.81
-4.23%
$99.52M
562.293K
$5.56B
888
EOSEEos Energy Enterprises, Inc. Class A Common Stock
$5.53
+0.28
+5.37%
$99.04M
17.904M
$1.88B
889
MEDPMedpace Holdings, Inc. Common Stock
$460.92
+10.72
+2.38%
$98.98M
214.735K
$13.08B
890
COOThe Cooper Companies, Inc. Common Stock
$70.71
+0.01
+0.01%
$98.92M
1.399M
$13.80B
891
UDRUDR, Inc.
$35.24
-0.34
-0.96%
$98.88M
2.806M
$11.58B
892
SOLSSolstice Advanced Materials Inc. Common Stock
$72.15
-1.97
-2.66%
$98.86M
1.37M
$11.45B
893
CLHClean Harbors, Inc
$289.46
-0.39
-0.13%
$98.47M
340.184K
$15.32B
894
MTNVail Resorts, Inc.
$135.73
-0.27
-0.20%
$98.06M
722.443K
$4.84B
895
MDGLMadrigal Pharmaceuticals, Inc. Common Stock
$454.22
+11.26
+2.54%
$97.91M
215.556K
$10.42B
896
LSCCLattice Semiconductor Corp
$94.92
+1.56
+1.67%
$97.84M
1.031M
$12.98B
897
POWLPowell Industries Inc
$525.40
+28.41
+5.72%
$97.44M
185.451K
$6.38B
898
BLDTopBuild Corp. Common Stock
$346.98
-5.91
-1.67%
$96.88M
279.204K
$9.76B
899
AAPADVANCE AUTO PARTS INC
$48.38
-0.62
-1.27%
$96.60M
1.997M
$2.91B
900
NWGNatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares)
$15.08
-0.21
-1.37%
$96.44M
6.395M
$60.11B