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.
1001
$43.99
1.452K
$9.52B
$63.87K
1002
$29.72
2.148K
$709.80M
$63.84K
1003
$280.90
227
$14.77B
$63.76K
1004
$13.65
4.669K
$5.07B
$63.73K
1005
$6.92
9.191K
$597.93M
$63.60K
1006
LIMNLiminatus Pharma, Inc. Class A Common Stock $1.74
36.496K
$47.08M
$63.48K
1007
HLNEHamilton Lane Incorporated Class A Common Stock $124.30
510
$5.45B
$63.39K
1008
BTSGBrightSpring Health Services, Inc. Common Stock $28.60
2.216K
$5.07B
$63.38K
1009
ORISOriental Rise Holdings Limited Ordinary Shares $0.1642
385.847K
$6.04M
$63.36K
1010
YUMCYum China Holdings, Inc. Common Stock $43.66
1.448K
$15.87B
$63.22K
1011
MGNMegan Holdings Limited Ordinary Shares $2.67
23.574K
$43.39M
$62.94K
1012
NYXHNyxoah SA Ordinary Shares $6.59
9.545K
$247.42M
$62.90K
1013
KWMK Wave Media, Ltd. Ordinary Shares $2.95
21.317K
$187.61M
$62.89K
1014
CAICaris Life Sciences, Inc. Common Stock $33.04
1.893K
$9.29B
$62.54K
1015
PASWPing An Biomedical Co., Ltd. Ordinary Shares $0.9485
65.731K
$19.44M
$62.35K
1016
$64.77
961
$42.92B
$62.24K
1017
ALTAltimmune, Inc. Common Stock $4.02
15.482K
$354.79M
$62.24K
1018
TRMDTORM plc Class A Common Stock $20.93
2.965K
$2.05B
$62.06K
1019
$5.46
11.265K
$251.84M
$61.51K
1020
AECAnfield Energy Inc. Common Shares $8.42
7.288K
$131.74M
$61.36K
1021
SINTSiNtx Technologies, Inc. Common Stock $4.13
14.804K
$11.39M
$61.14K
1022
TRONCorner Growth Acquisition Corp. 2 Class A Ordinary Share $2.94
20.693K
$745.20M
$60.84K
1023
$99.01
612
$44.20B
$60.59K
1024
KLTOKlotho Neurosciences, Inc. Common Stock $0.5391
112.152K
$33.09M
$60.46K
1025
AIRJMontana Technologies Corporation Class A Common Stock $5.78
10.447K
$349.34M
$60.38K
1026
CYRXCryoPort, Inc. Common Stock $10.20
5.911K
$510.58M
$60.28K
1027
$3.80
15.825K
$648.70M
$60.14K
1028
$21.80
2.747K
$2.26B
$59.88K
1029
$46.73
1.279K
$26.98B
$59.77K
1030
SFMSprouts Farmers Market, Inc. $102.15
583
$9.98B
$59.55K
1031
LITSLite Strategy, Inc. Common Stock $2.65
22.305K
$94.49M
$59.11K
1032
AAPADVANCE AUTO PARTS INC $58.50
1.009K
$3.51B
$59.03K
1033
$4.60
12.808K
$1.58B
$58.92K
1034
IPGPIPG Photonics Corporation $87.39
674
$3.69B
$58.90K
1035
GCLGCL Global Holdings Ltd Ordinary Shares $2.49
23.621K
$305.21M
$58.82K
1036
HIFSHingham Institution for Saving $292.99
200
$639.08M
$58.60K
1037
GILTGilat Satellite Networks Ltd $14.40
4.069K
$925.50M
$58.59K
1038
IBRXImmunityBio, Inc. Common Stock $2.54
22.919K
$2.40B
$58.21K
1039
AREAlexandria Real Estate Equities, Inc. $80.25
725
$13.70B
$58.18K
1040
PMNProMIS Neurosciences Inc. Common Shares (ON) $0.5700
102.005K
$29.53M
$58.14K
1041
MPWMedical Properties Trust, Inc. $5.41
10.683K
$3.25B
$57.80K
1042
ASTCAstrotech Corporation (DE) Common Stock $5.01
11.482K
$8.82M
$57.57K
1043
SABSSAB Biotherapeutics, Inc. Common Stock $2.39
24.018K
$24.88M
$57.40K
1044
RNWReNew Energy Global plc Class A Ordinary Shares $8.31
6.9K
$3.01B
$57.34K
1045
SPROSpero Therapeutics, Inc. Common Stock $1.99
28.681K
$111.99M
$57.08K
1046
ALHCAlignment Healthcare, Inc. Common Stock $17.54
3.209K
$3.47B
$56.28K
1047
$556.00
101
$20.95B
$56.16K
1048
STKHSteakholder Foods Ltd. American Depositary Shares $4.06
13.826K
$3.70M
$56.13K
1049
FVRRFiverr International Ltd. $24.20
2.313K
$893.78M
$55.97K
1050
BTCTBTC Digital Ltd. Ordinary Shares $3.08
18.053K
$29.31M
$55.60K
1051
$35.10
1.581K
$179.75B
$55.49K
1052
MRMMEDIROM Healthcare Technologies Inc. American Depositary Share $1.98
27.957K
$15.65M
$55.35K
1053
$9.34
5.926K
$1.78B
$55.35K
1054
BDTXBlack Diamond Therapeutics, Inc. Common Stock $3.93
14.039K
$223.76M
$55.17K
1055
MMAAlta Global Group Limited $1.52
36.27K
$19.80M
$55.07K
1056
TAPMolson Coors Beverage Company Class B $45.87
1.2K
$9.07B
$55.04K
1057
SARSARATOGA INVESTMENT CORP. NEW $24.00
2.287K
$382.84M
$54.89K
1058
DFSCDEFSEC Technologies Inc. Common Stock $4.14
13.195K
$5.78M
$54.63K
1059
$0.5736
94.435K
$86.38M
$54.17K
1060
NWGNatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) $14.66
3.683K
$58.86B
$53.99K
1061
EVGOEVgo Inc. Class A Common Stock $4.90
11.017K
$659.99M
$53.98K
1062
STUBStubHub Holdings, Inc. $16.98
3.168K
$6.25B
$53.79K
1063
BKBank of New York Mellon Corporation $107.13
500
$75.55B
$53.57K
1064
QFINQifu Technology, Inc. American Depositary Shares $30.44
1.755K
$4.03B
$53.42K
1065
$34.00
1.571K
$1.72B
$53.41K
1066
OPRXOptimizeRx Corporation Common Stock $18.00
2.959K
$334.17M
$53.26K
1067
CSAICloudastructure, Inc. Class A Common Stock $1.61
32.679K
$29.88M
$52.62K
1068
KCKingsoft Cloud Holdings Limited American Depositary Shares $15.42
3.405K
$4.56B
$52.51K
1069
LXRXLexicon Pharmaceuticals, Inc. $1.60
32.692K
$581.44M
$52.31K
1070
$4.99
10.469K
$28.13B
$52.24K
1071
HRTGHERITAGE INSURANCE HOLDINGS INC $24.85
2.1K
$770.79M
$52.19K
1072
$11.62
4.488K
$1.87B
$52.15K
1073
MUFGMitsubishi UFJ Financial Group, Inc. $15.30
3.386K
$174.12B
$51.81K
1074
ATONAlphaTON Capital Corp. Common Stock $5.70
9.075K
$34.34M
$51.73K
1075
$1.75
29.516K
$154.76M
$51.65K
1076
$85.00
607
$9.03B
$51.60K
1077
SPWHSportsman's Warehouse Holdings, Inc. $3.26
15.748K
$125.29M
$51.34K
1078
BURBurford Capital Limited $11.60
4.421K
$2.54B
$51.28K
1079
FMSFresenius Medical Care AG $26.96
1.9K
$15.82B
$51.22K
1080
IMRXImmuneering Corporation Class A Common Stock $6.35
8.037K
$401.57M
$51.03K
1081
$35.82
1.422K
$15.21B
$50.94K
1082
VISTVista Energy S.A.B. de C.V. $35.98
1.413K
$3.75B
$50.84K
1083
APOApollo Global Management, Inc. $127.00
400
$72.65B
$50.80K
1084
VECOVeeco Instruments Inc $30.82
1.645K
$1.85B
$50.70K
1085
BYRNByrna Technologies, Inc. Common Stock $23.10
2.189K
$524.46M
$50.57K
1086
NUTRNusatrip Incorporated Common Stock $9.01
5.6K
$174.61M
$50.46K
1087
SBLXStableX Technologies, Inc. Common Stock $5.91
8.513K
$5.25M
$50.31K
1088
LZMHLZ Technology Holdings Limited Class B Ordinary Shares $3.15
15.76K
$479.02M
$49.64K
1089
GPORGulfport Energy Corporation $186.90
265
$3.28B
$49.53K
1090
MSGSMadison Square Garden Sports Corp. $232.50
212
$5.58B
$49.29K
1091
$13.90
3.546K
$2.79B
$49.29K
1092
UWMCUWM Holdings Corporation $5.64
8.707K
$1.23B
$49.10K
1093
$23.33
2.102K
$1.80B
$49.04K
1094
$47.75
1.025K
$74.31B
$48.94K
1095
SBSCOMPANHIA DE SANEAMENTO B SICO DO ESTADO DE SAO PAULO-SABESP ADS'S $24.44
2K
$16.70B
$48.88K
1096
$1.88
25.971K
$37.41M
$48.83K
1097
DBVTDBV Technologies S.A. $14.99
3.254K
$410.16M
$48.78K
1098
GNPXGenprex, Inc. Common Stock $0.2095
232.648K
$8.99M
$48.74K
1099
PEPGPepGen Inc. Common Stock $4.97
9.771K
$341.62M
$48.56K
1100
IMTXImmatics N.V. Ordinary Shares $9.33
5.201K
$1.13B
$48.53K