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.
801
FFIV F5, Inc. Common Stock $309.00
$92.70K
300
$17.88B
802
$25.24
$92.00K
3.645K
$18.21B
803
PROK ProKidney Corp. Class A Ordinary Shares $2.82
$91.73K
32.529K
$376.24M
804
$10.02
$91.63K
9.145K
$1.92B
805
$13.04
$91.38K
7.008K
$108.47M
806
$45.41
$91.32K
2.011K
$3.23B
807
FEIM Frequency Electronics, Inc. $27.50
$91.27K
3.319K
$267.52M
808
$17.72
$91.26K
5.15K
$19.71B
809
MTSI MACOM Technology Solutions Holdings, Inc $136.31
$91.06K
668
$10.14B
810
EXPD Expeditors International of Washington, Inc. $114.65
$90.92K
793
$15.70B
811
FLNC Fluence Energy, Inc. Class A Common Stock $7.81
$90.08K
11.534K
$1.02B
812
ARWR Arrowhead Research Corporation $16.26
$89.85K
5.526K
$2.25B
813
$0.8900
$89.56K
100.634K
$77.26M
814
$92.75
$89.23K
962
$6.22B
815
ATLX Atlas Lithium Corporation Common Stock $4.65
$88.99K
19.137K
$82.94M
816
MMC Marsh & McLennan Companies, Inc. $199.10
$88.80K
446
$97.88B
817
$3.64
$88.62K
24.345K
$2.16B
818
MURA Mural Oncology plc Ordinary Shares $2.28
$88.19K
38.68K
$39.37M
819
AGH Aureus Greenway Holdings Inc. Common Stock $3.05
$88.12K
28.892K
$42.33M
820
VYNE VYNE Therapeutics Inc. Common Stock $0.3749
$87.95K
234.598K
$6.25M
821
ZM Zoom Video Communications, Inc. Class A Common Stock $71.37
$87.50K
1.226K
$21.59B
822
$34.26
$87.05K
2.541K
$1.21B
823
AKAN Akanda Corp. Common Shares $1.02
$86.79K
85.088K
$2.32M
824
$21.68
$86.79K
4.003K
$13.33B
825
LXEH Lixiang Education Holding Co., Ltd. American Depositary Shares $2.73
$86.58K
31.715K
$52.33M
826
ELVA Electrovaya Inc. Common Shares $4.90
$86.25K
17.602K
$196.52M
827
GSIW Garden Stage Limited Ordinary Shares $0.1158
$86.23K
744.637K
$8.24M
828
JXN Jackson Financial Inc. $85.00
$86.19K
1.014K
$6.07B
829
$6.63
$85.75K
12.933K
$2.83B
830
$95.00
$85.50K
900
$40.25B
831
$284.51
$85.35K
300
$14.96B
832
HTGC Hercules Capital, Inc. $19.25
$85.34K
4.433K
$3.50B
833
NNOX NANO-X IMAGING LTD Ordinary Shares $4.73
$84.82K
17.932K
$301.86M
834
$9.30
$84.59K
9.096K
$274.88M
835
EXK Endeavour Silver Corp. $5.03
$84.42K
16.783K
$1.46B
836
MBLY Mobileye Global Inc. Class A Common Stock $14.11
$84.34K
5.977K
$11.48B
837
TAOX Tao Synergies Inc. Common Stock $5.73
$82.65K
14.424K
$13.34M
838
$222.48
$81.87K
368
$89.65B
839
GDS GDS Holdings Limited ADS $34.85
$81.86K
2.349K
$6.67B
840
AREC AMERICAN RESOURCES CORP $1.25
$81.21K
64.961K
$102.85M
841
VWAV VisionWave Holdings, Inc. Common Stock $7.72
$81.21K
10.519K
$110.17M
842
WES Western Midstream Partners, LP $39.10
$80.81K
2.067K
$14.91B
843
$157.30
$80.69K
513
$39.36B
844
GRRR Gorilla Technology Group Inc. Ordinary shares $16.21
$80.55K
4.969K
$367.46M
845
QMMM QMMM Holdings Limited Ordinary Shares $2.46
$80.37K
32.669K
$140.73M
846
$10.09
$79.42K
7.871K
$544.74M
847
DLO DLocal Limited Class A Common Shares $10.14
$78.63K
7.754K
$2.90B
848
$16.67
$78.45K
4.706K
$646.26M
849
SGBX Safe & Green Holdings Corp. Common Stock $0.2570
$78.44K
305.201K
$3.12M
850
HRL Hormel Foods Corporation $28.24
$78.31K
2.773K
$15.53B
851
XBP XBP Europe Holdings, Inc. Common Stock $1.01
$77.42K
76.65K
$36.27M
852
TER Teradyne, Inc. Common Stock $105.50
$76.91K
729
$16.78B
853
GVH Globavend Holdings Limited Ordinary Shares $5.50
$76.91K
13.983K
$1.01M
854
AB AllianceBernstein Holding, L.P. $39.95
$76.74K
1.921K
$4.42B
855
$52.54
$76.55K
1.457K
$36.07B
856
$5.58
$76.41K
13.694K
$2.78B
857
$236.26
$76.31K
323
$265.89B
858
PUK PRUDENTIAL PLC ADS (REP 2 ORD SHARES) $25.12
$76.24K
3.035K
$32.19B
859
AIRE reAlpha Tech Corp. Common Stock $0.3917
$75.81K
193.549K
$32.80M
860
HCC Warrior Met Coal, Inc. $51.50
$75.55K
1.467K
$2.71B
861
$176.90
$75.18K
425
$13.96B
862
SIDU Sidus Space, Inc. Class A Common Stock $1.15
$74.49K
64.772K
$21.05M
863
$292.00
$74.46K
255
$7.78B
864
BTU Peabody Energy Corporation $16.01
$74.27K
4.638K
$1.95B
865
AMPL Amplitude, Inc. Class A Common Stock $11.96
$73.97K
6.185K
$1.57B
866
ISPO Inspirato Incorporated Class A Common Stock $2.38
$73.97K
31.08K
$29.64M
867
DYNX Dynamix Corporation Class A Ordinary Shares $10.91
$73.54K
6.741K
$241.47M
868
NVST Envista Holdings Corporation Common stock, $0.01 par value per share $20.83
$73.53K
3.53K
$3.53B
869
$119.62
$73.09K
611
$48.34B
870
AIRO AIRO Group Holdings, Inc. Common Stock $20.43
$72.81K
3.564K
$508.77M
871
TYGO Tigo Energy, Inc. Common Stock $1.30
$72.61K
55.855K
$80.62M
872
$124.62
$71.66K
575
$15.36B
873
TRUG TruGolf Holdings, Inc. Class A Common Stock $5.26
$71.45K
13.583K
$5.32M
874
MNMD Mind Medicine (MindMed) Inc. Common Shares $8.75
$71.37K
8.156K
$663.29M
875
PTHL Pheton Holdings Ltd Class A Ordinary Shares $0.8264
$71.36K
86.346K
$11.78M
876
BEAM Beam Therapeutics Inc. Common Stock $18.91
$71.10K
3.76K
$1.90B
877
$3.00
$70.86K
23.621K
$1.03B
878
CCEP Coca-Cola Europacific Partners plc Ordinary Shares $97.18
$70.75K
728
$44.31B
879
HRTG HERITAGE INSURANCE HOLDINGS INC $21.24
$70.67K
3.327K
$658.30M
880
BUR Burford Capital Limited $12.61
$69.90K
5.543K
$2.76B
881
SATL Satellogic Inc. Class A Ordinary Shares $3.39
$69.75K
20.576K
$352.93M
882
MGIH Millennium Group International Holdings Limited Ordinary Shares $1.52
$69.13K
45.479K
$17.10M
883
$460.00
$69.00K
150
$15.62B
884
CACC Credit Acceptance Corp $451.21
$68.58K
152
$5.07B
885
YJ Yunji Inc. American Depository Shares $1.78
$68.25K
38.34K
$8.77M
886
$24.51
$68.21K
2.783K
$23.02B
887
$45.39
$68.09K
1.5K
$3.54B
888
$37.20
$67.85K
1.824K
$8.61B
889
$21.58
$67.83K
3.143K
$41.43B
890
KWM K Wave Media, Ltd. Ordinary Shares $3.95
$67.77K
17.157K
$249.82M
891
$6.12
$67.04K
10.954K
$4.61B
892
ACMR ACM Research, Inc. Class A Common Stock $29.85
$66.77K
2.237K
$1.91B
893
CIVI Civitas Resources, Inc. $28.50
$66.29K
2.326K
$2.64B
894
CFG Citizens Financial Group, Inc. $47.35
$66.29K
1.4K
$20.49B
895
$11.81
$66.22K
5.607K
$4.61B
896
GOOS Canada Goose Holdings Inc. $11.32
$65.88K
5.82K
$1.10B
897
MLKN MillerKnoll, Inc. Common Stock $18.50
$65.88K
3.561K
$1.25B
898
$265.34
$65.54K
247
$24.79B
899
$53.10
$65.31K
1.23K
$20.43B
900
$26.73
$65.27K
2.442K
$5.77B