Stock Rankings by Volume - Rankings 1001 to 1100

Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 1001 to 1100.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
1001
XRXXerox Holdings Corporation Common Stock
$1.82
+0.06
+3.41%
2.044M
$233.03M
$3.72M
1002
PAYCPAYCOM SOFTWARE, INC.
$119.05
+4.37
+3.81%
2.044M
$6.46B
$243.33M
1003
ADMAADMA Biologics, Inc.
$15.53
-0.83
-5.07%
2.042M
$3.70B
$31.72M
1004
CSTMConstellium SE Class A Ordinary shares
$24.75
-0.94
-3.66%
2.041M
$3.41B
$50.52M
1005
SBLKStar Bulk Carriers Corp.
$25.28
+0.07
+0.28%
2.041M
$2.95B
$51.60M
1006
TDICDreamland Limited Class A Ordinary Shares
$0.1850
+0.0149
+8.76%
2.04M
$6.66M
$377.37K
1007
SEESealed Air Corp.
$41.93
-0.05
-0.12%
2.037M
$6.18B
$85.43M
1008
NVCRNovoCure Limited Ordinary Shares
$11.78
+0.69
+6.22%
2.034M
$1.32B
$23.96M
1009
HOGHarley-Davidson, Inc.
$19.46
+0.17
+0.88%
2.026M
$2.30B
$39.43M
1010
KSSKohls Corporation
$17.71
-0.39
-2.15%
2.026M
$1.99B
$35.88M
1011
AMPLAmplitude, Inc. Class A Common Stock
$6.83
+0.22
+3.33%
2.023M
$711.30M
$13.82M
1012
DDD3D Systems Corp
$2.05
-0.01
-0.49%
2.023M
$263.90M
$4.15M
1013
LNGCheniere Energy Inc
$220.96
-1.14
-0.51%
2.02M
$47.56B
$446.41M
1014
MAIAMAIA Biotechnology, Inc.
$2.42
+0.18
+8.04%
2.018M
$89.62M
$4.88M
1015
PRUPrudential Financial, Inc.
$100.39
+0.24
+0.24%
2.014M
$34.94B
$202.21M
1016
MTCHMatch Group, Inc
$31.32
+0.33
+1.06%
2.014M
$7.39B
$63.08M
1017
DINOHF Sinclair Corporation
$49.64
+0.06
+0.12%
2.012M
$9.13B
$99.86M
1018
KNXKnight-Swift Transportation Holdings Inc. Class A Common Stock
$60.23
+0.87
+1.47%
2.011M
$9.78B
$121.09M
1019
AMNAMN Healthcare Services
$20.40
+0.15
+0.74%
2.006M
$788.28M
$40.93M
1020
NCINeo-Concept International Group Holdings Limited Ordinary Shares
$5.84
-0.28
-4.58%
2.006M
$20.23M
$11.71M
1021
UDRUDR, Inc.
$37.58
+0.32
+0.86%
2.005M
$12.35B
$75.36M
1022
CMECME Group Inc.
$319.03
+3.03
+0.96%
2.004M
$115.04B
$639.45M
1023
QSRRestaurant Brands International Inc.
$68.81
+0.94
+1.39%
2.004M
$23.84B
$137.89M
1024
EIXEdison International
$75.24
+0.28
+0.37%
2.001M
$28.95B
$150.59M
1025
CIENCiena Corporation
$342.70
-5.88
-1.69%
2.001M
$48.48B
$685.76M
1026
ALCAlcon Inc. Ordinary Shares
$84.00
+1.06
+1.28%
2M
$41.26B
$168.00M
1027
GTXGarrett Motion Inc. Common Stock
$20.27
+0.88
+4.54%
1.997M
$3.85B
$40.48M
1028
CDNSCadence Design Systems
$290.63
+10.03
+3.57%
1.997M
$79.24B
$580.31M
1029
OTEXOpen Text Corp
$23.99
+0.04
+0.17%
1.996M
$6.01B
$47.88M
1030
VKTXViking Therapeutics, Inc
$33.71
-0.47
-1.38%
1.995M
$3.90B
$67.25M
1031
BBIOBridgeBio Pharma, Inc. Common Stock
$68.61
+0.55
+0.81%
1.994M
$13.22B
$136.83M
1032
GPCGenuine Parts Company
$118.82
-0.19
-0.16%
1.994M
$16.53B
$236.89M
1033
SBRASabra Healthcare REIT, Inc.
$20.51
-0.21
-1.01%
1.991M
$5.17B
$40.83M
1034
ARWRArrowhead Research Corporation
$63.71
+0.77
+1.22%
1.987M
$8.92B
$126.62M
1035
YUMCYum China Holdings, Inc. Common Stock
$56.00
+0.80
+1.45%
1.985M
$20.24B
$111.15M
1036
CLBTCellebrite DI Ltd. Class A Ordinary Shares
$12.63
+0.63
+5.25%
1.98M
$3.02B
$25.01M
1037
INVZInnoviz Technologies Ltd. Ordinary shares
$0.9105
-0.0192
-2.07%
1.979M
$190.10M
$1.80M
1038
WSCWillScot Mobile Mini Holdings Corp. Class A Common Stock
$23.73
+1.39
+6.22%
1.977M
$4.29B
$46.92M
1039
BIRKBirkenstock Holding plc
$38.40
-0.35
-0.90%
1.977M
$7.06B
$75.91M
1040
JMIAJumia Technologies AG
$8.55
+0.12
+1.42%
1.976M
$1.05B
$16.90M
1041
WOLFWolfspeed, Inc.
$20.30
+1.86
+10.11%
1.966M
$915.49M
$39.92M
1042
LINLinde plc Ordinary Share
$504.99
+7.08
+1.42%
1.965M
$235.80B
$992.55M
1043
HSAIHesai Group American Depositary Share, each ADS represents one Class B ordinary share
$26.99
-0.60
-2.17%
1.963M
$3.51B
$52.99M
1044
CBRECBRE GROUP, INC.
$146.17
+1.92
+1.33%
1.962M
$43.14B
$286.79M
1045
PRGSProgress Software Corp (DE)
$41.00
-0.08
-0.19%
1.962M
$1.73B
$80.43M
1046
SSRMSSR Mining Inc.
$30.66
+0.71
+2.37%
1.96M
$6.22B
$60.10M
1047
ABSIAbsci Corporation Common Stock
$2.71
+0.07
+2.46%
1.96M
$407.51M
$5.31M
1048
WRDWeRide Inc. American Depositary Shares
$7.41
+0.14
+1.87%
1.953M
$2.40B
$14.46M
1049
TERTeradyne, Inc. Common Stock
$329.09
+8.57
+2.67%
1.951M
$51.52B
$641.99M
1050
FNDFloor & Decor Holdings, Inc.
$69.61
+1.00
+1.46%
1.947M
$7.51B
$135.56M
1051
ORLAOrla Mining Ltd.
$19.74
+0.75
+3.95%
1.945M
$6.80B
$38.40M
1052
RITRReitar Logtech Holdings Limited Ordinary shares
$0.7600
-0.0700
-8.43%
1.943M
$34.68M
$1.48M
1053
GOGrocery Outlet Holding Corp. Common Stock
$10.09
+0.05
+0.50%
1.943M
$990.20M
$19.60M
1054
KIDZClassover Holdings, Inc. Class B Common Stock
$0.0959
+0.0036
+3.90%
1.938M
$2.32M
$185.85K
1055
ARECAMERICAN RESOURCES CORP
$3.15
+0.15
+5.00%
1.938M
$319.39M
$6.10M
1056
SNPSSynopsys Inc
$441.18
+18.20
+4.30%
1.938M
$84.51B
$854.82M
1057
BXPBoston Properties, Inc.
$59.50
+0.12
+0.20%
1.936M
$9.43B
$115.19M
1058
DECKDeckers Outdoor Corp
$120.50
+2.38
+2.01%
1.935M
$17.10B
$233.20M
1059
QQnity Electronics, Inc.
$117.00
+4.50
+4.00%
1.934M
$24.51B
$226.30M
1060
OLNOlin Corp.
$24.35
+0.65
+2.74%
1.932M
$2.77B
$47.04M
1061
MAXMediaAlpha, Inc.
$8.97
+0.13
+1.47%
1.931M
$510.11M
$17.32M
1062
MCDMcDonald's Corporation
$333.05
-0.95
-0.28%
1.93M
$237.18B
$642.79M
1063
ADTNADTRAN Holdings, Inc. Common Stock
$10.58
+0.29
+2.82%
1.928M
$847.63M
$20.40M
1064
SUPNSupernus Pharmaceuticals, Inc.
$55.50
+4.81
+9.49%
1.927M
$3.18B
$106.96M
1065
EFCEllington Financial Inc. Common Stock
$12.46
+0.01
+0.08%
1.926M
$1.44B
$23.99M
1066
BGSB&G Foods, Inc.
$5.20
-0.10
-1.83%
1.92M
$416.11M
$9.99M
1067
TTETotalEnergies SE
$79.08
+0.95
+1.22%
1.917M
$169.40B
$151.61M
1068
DEIDouglas Emmett, Inc.
$10.08
-0.07
-0.69%
1.913M
$1.69B
$19.28M
1069
CPCanadian Pacific Kansas City Limited
$86.29
+1.80
+2.13%
1.911M
$77.47B
$164.89M
1070
SOLSSolstice Advanced Materials Inc. Common Stock
$79.09
+0.42
+0.53%
1.91M
$12.56B
$151.09M
1071
DDDuPont de Nemours, Inc. Common Stock
$51.07
+0.75
+1.49%
1.909M
$20.88B
$97.50M
1072
UAUnder Armour, Inc. Class C Common Stock, $0.0003 1/3 par value
$7.55
+0.16
+2.10%
1.909M
$1.53B
$14.40M
1073
OCOwens Corning
$126.63
-3.10
-2.39%
1.908M
$10.41B
$241.62M
1074
WLKWestlake Corporation
$104.17
+8.67
+9.08%
1.903M
$13.36B
$198.26M
1075
GWREGUIDEWIRE SOFTWARE, INC.
$128.14
+5.74
+4.69%
1.903M
$10.89B
$243.86M
1076
FVRRFiverr International Ltd.
$11.25
+0.50
+4.65%
1.903M
$403.25M
$21.41M
1077
REIRing Energy Inc.
$1.30
-0.02
-1.52%
1.903M
$269.39M
$2.47M
1078
HSBCHSBC Holdings PLC
$87.91
+1.20
+1.38%
1.902M
$301.98B
$167.22M
1079
DHID.R. Horton Inc.
$163.95
+0.33
+0.20%
1.902M
$47.50B
$311.77M
1080
CFCF Industries Holding, Inc.
$95.91
-0.59
-0.61%
1.9M
$14.96B
$182.22M
1081
DGXXDigi Power X Inc. Subordinate Voting Shares
$2.60
+0.19
+7.88%
1.899M
$180.58M
$4.94M
1082
CYHCommunity Health Systems, Inc.
$3.49
+0.16
+4.75%
1.899M
$483.80M
$6.63M
1083
AMTMAmentum Holdings, Inc.
$30.20
+0.65
+2.20%
1.896M
$7.37B
$57.27M
1084
VTRVentas, Inc.
$86.43
-0.04
-0.05%
1.896M
$41.05B
$163.87M
1085
KTKT Corp.
$24.14
+0.49
+2.07%
1.895M
$12.17B
$45.74M
1086
CXMSprinklr, Inc.
$5.29
+0.05
+0.95%
1.887M
$769.36M
$9.98M
1087
SPCEVirgin Galactic Holdings, Inc.
$2.50
+0.06
+2.61%
1.887M
$183.09M
$4.72M
1088
LGOLargo Inc. Common Shares
$1.51
+0.10
+6.74%
1.887M
$128.82M
$2.84M
1089
TNGXTango Therapeutics, Inc.
$12.88
+0.14
+1.10%
1.884M
$1.73B
$24.26M
1090
TRUTransUnion
$72.01
+0.68
+0.95%
1.883M
$13.98B
$135.58M
1091
ATCHAtlasClear Holdings, Inc.
$0.2337
+0.0008
+0.34%
1.878M
$34.98M
$438.99K
1092
CPRICapri Holdings Limited
$20.33
-0.16
-0.78%
1.877M
$2.42B
$38.17M
1093
NENoble Corporation plc
$46.15
+0.88
+1.94%
1.875M
$7.35B
$86.52M
1094
CUZCousins Properties Inc.
$23.07
-0.18
-0.77%
1.871M
$3.88B
$43.17M
1095
SONOSonos, Inc. Common Stock
$14.80
-0.12
-0.80%
1.87M
$1.79B
$27.68M
1096
MTArcelorMittal
$65.20
-0.95
-1.44%
1.87M
$50.53B
$121.92M
1097
UNPUnion Pacific Corp.
$266.71
+2.96
+1.12%
1.869M
$158.26B
$498.35M
1098
INGING Groep N.V. American Depositary Shares
$29.11
+0.27
+0.94%
1.867M
$85.01B
$54.35M
1099
ADMArcher Daniels Midland Company
$68.02
+0.62
+0.92%
1.865M
$32.73B
$126.86M
1100
RLXRLX Technology Inc. American Depositary Shares, each representing the right to receive one (1) Class A ordinary share
$2.42
+0.03
+1.26%
1.86M
$3.05B
$4.50M