Stock Rankings by Volume - Rankings 901 to 1000

Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 901 to 1000.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
901
PLPlanet Labs PBC
$3.52
-0.01
-0.28%
24.461K
$1.06B
$86.10K
902
LFMDLifeMD, Inc. Common Stock
$8.11
+0.11
+1.38%
10.61K
$361.59M
$86.05K
903
UAAUnder Armour, Inc.
$5.87
+0.12
+2.09%
14.557K
$2.52B
$85.45K
904
ALNYAlnylam Pharmaceuticals, Inc.
$270.94
-4.06
-1.48%
315
$35.33B
$85.35K
905
GCTGigaCloud Technology Inc Class A Ordinary Shares
$14.32
+0.25
+1.78%
5.951K
$545.14M
$85.22K
906
SNNSmith & Nephew plc
$28.60
+0.14
+0.49%
2.979K
$12.51B
$85.20K
907
SITESiteOne Landscape Supply, Inc.
$120.51
+0.00
+0.00%
706
$5.42B
$85.08K
908
KEYKeyCorp
$15.40
-0.07
-0.45%
5.502K
$17.12B
$84.73K
909
CPRXCatalyst Pharmaceutical Inc.
$23.97
+0.41
+1.74%
3.532K
$2.92B
$84.66K
910
FIVNFIVE9, INC.
$25.95
+0.20
+0.78%
3.259K
$1.98B
$84.57K
911
ADCAgree Realty Corporation
$76.22
-0.48
-0.63%
1.107K
$8.39B
$84.38K
912
APLSApellis Pharmaceuticals, Inc. Common Stock
$17.81
+0.29
+1.66%
4.712K
$2.24B
$83.92K
913
ABSIAbsci Corporation Common Stock
$2.74
+0.04
+1.47%
30.599K
$349.46M
$83.84K
914
VSTEVast Renewables Limited Ordinary Shares
$0.1600
+0.0080
+5.26%
522.03K
$4.80M
$83.52K
915
TGLSTecnoglass Inc.
$74.30
-1.60
-2.11%
1.121K
$3.49B
$83.29K
916
CGCCanopy Growth Corporation Common Shares
$1.26
-0.04
-3.08%
66.092K
$196.82M
$83.28K
917
OMABGrupo Aeroportuario del Centro Norte S.A.B. de C.V
$98.60
+0.00
+0.00%
837
$4.76B
$82.53K
918
BEAMBeam Therapeutics Inc. Common Stock
$16.37
+0.21
+1.30%
5.038K
$1.65B
$82.47K
919
TRIPTripAdvisor, Inc.
$14.50
+0.01
+0.07%
5.686K
$1.71B
$82.45K
920
CGBDCarlyle Secured Lending, Inc. Common Stock
$13.90
+0.05
+0.36%
5.925K
$1.01B
$82.36K
921
NAOVNanoVibronix, Inc. Common Stock
$4.12
-0.21
-4.85%
19.982K
$3.40M
$82.33K
922
MGMMGM RESORTS INTERNATIONAL
$32.14
+0.03
+0.09%
2.561K
$8.75B
$82.31K
923
LZLegalZoom.com, Inc. Common Stock
$8.48
+0.04
+0.47%
9.619K
$1.54B
$81.57K
924
SXIStandex International Corporation
$154.00
-0.55
-0.36%
524
$1.86B
$80.70K
925
TLKPT Telekomunikasi Indonesia
$15.72
+0.04
+0.26%
5.132K
$15.57B
$80.68K
926
ANGIAngi Inc. Class A Common Stock
$15.27
-0.19
-1.23%
5.252K
$732.20M
$80.20K
927
ITRIItron Inc
$107.00
+0.10
+0.09%
747
$4.88B
$79.93K
928
SNXTD SYNNEX Corporation
$116.31
+0.41
+0.35%
684
$9.76B
$79.56K
929
CERTCertara, Inc. Common Stock
$12.02
+0.03
+0.25%
6.608K
$1.95B
$79.43K
930
UNFUnifirst Corp
$182.35
+1.10
+0.61%
435
$3.39B
$79.32K
931
MTSRMetsera, Inc. Common Stock
$24.00
+1.39
+6.15%
3.301K
$2.52B
$79.22K
932
SCCOSouthern Copper Corporation
$87.99
+0.89
+1.02%
899
$70.75B
$79.10K
933
TCPCBlackRock TCP Capital Corp. Common Stock
$6.81
+0.20
+3.03%
11.605K
$579.38M
$79.03K
934
ALARAlarum Technologies Ltd. American Depositary Share
$7.10
+0.26
+3.80%
11.049K
$49.68M
$78.45K
935
DINOHF Sinclair Corporation
$33.08
-0.02
-0.06%
2.369K
$6.23B
$78.37K
936
MRXMarex Group plc Ordinary Shares
$48.16
+0.03
+0.06%
1.617K
$3.50B
$77.87K
937
NCRANocera, Inc. Common Stock
$0.8900
-0.0599
-6.31%
87.101K
$12.48M
$77.52K
938
WESWestern Midstream Partners, LP
$36.25
+0.34
+0.95%
2.136K
$13.82B
$77.43K
939
ESEESCO Technologies, Inc.
$168.15
+0.25
+0.15%
460
$4.34B
$77.35K
940
HEPAHepion Pharmaceuticals, Inc. Common Stock
$0.3899
+0.0099
+2.61%
198.35K
$4.28M
$77.34K
941
SSLSasol Limited
$3.45
+0.02
+0.58%
22.409K
$2.23B
$77.31K
942
CPBCampbell Soup Company
$35.31
+0.00
+0.00%
2.185K
$10.53B
$77.15K
943
VICIVICI Properties Inc. Common Stock
$31.82
+0.01
+0.03%
2.409K
$33.62B
$76.65K
944
SLDBSolid Biosciences Inc. Common Stock
$2.73
+0.07
+2.63%
28.055K
$211.57M
$76.59K
945
RSLSReShape Lifesciences, Inc. Common Stock
$0.3387
-0.0209
-5.81%
225.271K
$3.82M
$76.30K
946
VERIVeritone, Inc. Common Stock
$2.05
+0.05
+2.50%
37.209K
$91.95M
$76.28K
947
MKSIMKS Instruments Inc
$77.30
-0.10
-0.13%
984
$5.21B
$76.06K
948
CABOCable One, Inc.
$175.10
+0.10
+0.06%
434
$985.42M
$75.99K
949
MANHManhattan Associates Inc
$185.42
+1.01
+0.55%
409
$11.26B
$75.84K
950
RHPRyman Hospitality Properties, Inc
$95.20
-2.36
-2.42%
791
$5.71B
$75.30K
951
SRESempra
$75.86
+0.00
+0.00%
990
$49.45B
$75.10K
952
UWMCUWM Holdings Corporation
$4.13
+0.01
+0.24%
18.146K
$652.44M
$74.94K
953
APLEApple Hospitality REIT, Inc.
$11.50
-0.02
-0.17%
6.5K
$2.74B
$74.75K
954
MBLYMobileye Global Inc. Class A Common Stock
$15.00
+0.10
+0.67%
4.963K
$12.18B
$74.45K
955
OMFOneMain Holdings, Inc.
$49.75
+0.27
+0.55%
1.496K
$5.92B
$74.43K
956
BCPCBalchem Corporation
$165.50
+0.90
+0.55%
448
$5.40B
$74.14K
957
ALGAlamo Group, Inc.
$178.00
-22.00
-11.00%
416
$2.15B
$74.05K
958
ORAOrmat Technologies, Inc.
$75.11
+0.41
+0.55%
984
$4.55B
$73.91K
959
SEMRSEMrush Holdings, Inc.
$9.80
+0.95
+10.73%
7.524K
$1.45B
$73.74K
960
DOCSDoximity, Inc.
$59.45
-0.24
-0.40%
1.229K
$11.16B
$73.06K
961
QVCGAQVC Group, Inc. Series A Common Stock
$0.1380
-0.0045
-3.16%
527.737K
$55.66M
$72.83K
962
BMOBank of Montreal
$99.55
+2.01
+2.06%
731
$72.43B
$72.77K
963
CCKCrown Holdings Inc.
$97.91
+0.41
+0.42%
741
$11.40B
$72.55K
964
TRNRInteractive Strength Inc. Common Stock
$0.6200
-0.0100
-1.59%
116.931K
$5.09M
$72.50K
965
MMSIMerit Medical Systems Inc
$95.09
+0.59
+0.62%
762
$5.62B
$72.46K
966
MNMDMind Medicine (MindMed) Inc. Common Shares
$6.60
-0.16
-2.37%
10.973K
$498.64M
$72.42K
967
BXSLBlackstone Secured Lending Fund
$30.01
-0.40
-1.32%
2.413K
$6.84B
$72.41K
968
VSTSVestis Corporation
$5.50
+0.04
+0.70%
13.145K
$724.33M
$72.27K
969
INSWInternational Seaways, Inc. Common Stock
$37.03
+0.00
+0.00%
1.937K
$1.83B
$71.73K
970
WGRXWellgistics Health, Inc. Common Stock
$4.49
-0.06
-1.32%
15.929K
$233.23M
$71.52K
971
AMEAmetek, Inc.
$171.00
-1.10
-0.64%
418
$39.48B
$71.48K
972
PTPIPetros Pharmaceuticals, Inc. Common Stock
$0.1496
+0.0048
+3.31%
477.758K
$320.26K
$71.47K
973
PFGCPerformance Food Group Company
$84.90
-1.09
-1.27%
839
$13.21B
$71.23K
974
ARANTERO RESOURCES CORPORATION
$37.06
+0.06
+0.16%
1.918K
$11.51B
$71.08K
975
ALZNAlzamend Neuro, Inc. Common Stock
$0.5500
-0.0500
-8.33%
129.072K
$3.63M
$70.99K
976
RNAZTransCode Therapeutics, Inc. Common Stock
$0.3513
+0.0011
+0.31%
202.048K
$8.20M
$70.98K
977
LTCLTC Properties, Inc.
$36.27
+1.05
+2.98%
1.953K
$1.65B
$70.84K
978
GHGuardant Health, Inc. Common Stock
$40.00
-0.08
-0.20%
1.769K
$4.96B
$70.76K
979
OPTTOcean Power Technologies, Inc.
$0.4807
+0.0071
+1.50%
147.029K
$82.70M
$70.68K
980
FLEXFlex Ltd. Ordinary Shares
$38.72
+0.66
+1.73%
1.817K
$14.83B
$70.35K
981
TERTeradyne, Inc. Common Stock
$76.50
+0.32
+0.42%
919
$12.30B
$70.30K
982
CRMLCritical Metals Corp. Ordinary Shares
$1.60
+0.03
+1.87%
43.795K
$157.70M
$70.05K
983
WLFCWillis Lease Finance Corp
$137.05
+1.95
+1.44%
511
$1.05B
$70.03K
984
CQPCheniere Energy Partners, LP
$58.77
+0.02
+0.03%
1.188K
$28.45B
$69.82K
985
WOOFPetco Health and Wellness Company, Inc. Class A Common Stock
$3.23
+0.01
+0.31%
21.534K
$894.36M
$69.55K
986
CYCUCycurion, Inc. Common Stock
$0.4197
-0.0101
-2.35%
165.073K
$13.20M
$69.28K
987
LEGLeggett & Platt, Inc.
$9.22
+0.04
+0.44%
7.496K
$1.25B
$69.11K
988
PCARPaccar Inc
$89.23
+0.00
+0.00%
770
$46.84B
$68.71K
989
INGING Groep N.V. American Depositary Shares
$20.18
+0.08
+0.40%
3.4K
$62.40B
$68.61K
990
POWLPowell Industries Inc
$178.00
+0.25
+0.14%
385
$2.15B
$68.53K
991
KENKENON HOLDINGS LTD.
$31.55
-0.17
-0.54%
2.165K
$1.67B
$68.31K
992
PRTHPriority Technology Holdings, Inc.
$6.31
+0.06
+0.96%
10.722K
$501.77M
$67.66K
993
JEFJefferies Financial Group Inc.
$49.79
+0.84
+1.72%
1.358K
$10.27B
$67.61K
994
FRTFederal Realty Investment Trust
$96.00
-1.00
-1.03%
703
$8.23B
$67.49K
995
AMSCAmerican Superconductor Corp
$21.17
-0.01
-0.07%
3.171K
$835.18M
$67.12K
996
BGSB&G Foods, Inc.
$4.73
+0.00
+0.00%
14.133K
$374.32M
$66.85K
997
BTSGBrightSpring Health Services, Inc. Common Stock
$23.66
-0.64
-2.63%
2.816K
$4.12B
$66.63K
998
MNDRMobile-health Network Solutions Class A Ordinary Shares
$1.40
+0.03
+2.19%
47.568K
$6.09M
$66.60K
999
CNCCentene Corporation
$62.74
+0.01
+0.02%
1.061K
$31.22B
$66.57K
1000
REKRRekor Systems, Inc. Common Stock
$0.9196
+0.0108
+1.19%
72.023K
$101.99M
$66.23K