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
YOOVConcorde International Group Ltd Class A Ordinary Shares $0.6663
7.839K
$137.71M
$5.22K
1002
$48.35
7.838K
$657.05M
$378.97K
1003
PGProcter & Gamble Company $144.44
7.811K
$336.34B
$1.13M
1004
CRKComstock Resources, Inc. $13.71
7.805K
$4.03B
$107.04K
1005
$3.40
7.803K
$80.93M
$26.53K
1006
IMCCIM Cannabis Corp. Common Shares $0.2500
7.797K
$1.56M
$1.95K
1007
$265.40
7.766K
$28.52B
$2.06M
1008
FEAM5E Advanced Materials, Inc. Common Stock $1.90
7.756K
$78.88M
$14.74K
1009
$133.21
7.754K
$97.60B
$1.03M
1010
NVNINvni Group Limited Ordinary Shares $1.23
7.717K
$12.34M
$9.49K
1011
$118.68
7.711K
$144.59B
$915.14K
1012
BLZEBackblaze, Inc. Class A Common Stock $7.80
7.678K
$468.00M
$59.89K
1013
CAPLCrossAmerica Partners LP Common units representing limited partner interests $23.21
7.666K
$885.12M
$177.93K
1014
ZBAOZhibao Technology Inc. Class A Ordinary Shares $0.9500
7.663K
$16.38M
$7.28K
1015
BEAMBeam Therapeutics Inc. Common Stock $29.17
7.648K
$3.00B
$223.06K
1016
AXTAAxalta Coating Systems Ltd. $30.02
7.645K
$6.42B
$229.50K
1017
ANNAAleAnna, Inc. Class A Common Stock $3.11
7.642K
$127.34M
$23.77K
1018
$262.54
7.625K
$70.41B
$2.00M
1019
$65.94
7.613K
$6.53B
$502.00K
1020
LULufax Holding Ltd. American Depositary Shares, each representing two (2) Ordinary Shares $1.65
7.58K
$1.43B
$12.51K
1021
$22.85
7.577K
$1.75B
$173.13K
1022
$2.58
7.57K
$204.86M
$19.53K
1023
JZJianzhi Education Technology Group Company Limited American Depositary Shares $0.7000
7.545K
$32.44M
$5.28K
1024
BTCTBTC Digital Ltd. Ordinary Shares $1.09
7.534K
$10.37M
$8.21K
1025
INFYInfosys Limited American Depositary Shares $12.73
7.523K
$51.64B
$95.78K
1026
DECDiversified Energy Company plc $15.31
7.516K
$1.11B
$115.07K
1027
$48.00
7.501K
$18.88B
$360.05K
1028
SBHSally Beauty Holdings, Inc. $12.87
7.5K
$1.23B
$96.53K
1029
AMSSAMASS Brands Inc. Common Stock $4.01
7.468K
$45.56M
$29.93K
1030
$8.36
7.422K
$4.18B
$62.05K
1031
EPDEnterprise Products Partners L.P. $39.30
7.417K
$84.96B
$291.49K
1032
$9.21
7.399K
$594.24M
$68.14K
1033
LFMDLifeMD, Inc. Common Stock $4.20
7.338K
$203.12M
$30.82K
1034
SHMDSCHMID Group N.V. Class A Ordinary Shares $7.60
7.336K
$439.29M
$55.75K
1035
SKYTSkyWater Technology, Inc. Common Stock $37.82
7.312K
$1.86B
$276.55K
1036
MNSOMINISO Group Holding Limited American Depositary Shares, each representing four Ordinary Shares $13.49
7.302K
$4.18B
$98.50K
1037
FSMFORTUNA Silver Mines Inc. $9.55
7.281K
$2.91B
$69.53K
1038
$3.16
7.281K
$131.59M
$23.01K
1039
BLNEEASTSIDE DISTILLING , INC. $1.22
7.279K
$38.04M
$8.88K
1040
EVLVEvolv Technologies Holdings, Inc. Class A Common Stock $6.27
7.25K
$1.13B
$45.46K
1041
RIGLRigel Pharmaceuticals Inc. (New) $28.56
7.184K
$528.42M
$205.18K
1042
RILYB. RILEY FINANCIAL, INC. $10.96
7.178K
$406.95M
$78.67K
1043
PRQRProQR Therapeutics N.V. Ordinary Shares $1.56
7.154K
$164.36M
$11.16K
1044
FNUCFrontier Nuclear and Minerals Inc. Common Shares $2.17
7.135K
$57.11M
$15.48K
1045
RCTRedCloud Holdings plc Ordinary Shares $0.5802
7.135K
$34.44M
$4.14K
1046
CISSC3is Inc. Common Stock $2.38
7.124K
$1.29M
$16.96K
1047
FRVOFervo Energy Company Class A common stock $38.52
7.121K
$10.62B
$274.30K
1048
NEXTNextDecade Corporation Common Stock $8.33
7.085K
$2.21B
$59.02K
1049
SMXSMX (Security Matters) Public Limited Company Class A Ordinary Shares $8.16
7.078K
$5.01M
$57.76K
1050
BSXBoston Scientific Corp. $57.90
7.071K
$86.06B
$409.41K
1051
ALGSAligos Therapeutics, Inc. Common Stock $5.76
7.055K
$31.04M
$40.64K
1052
ELANElanco Animal Health Incorporated Common Stock $21.80
7.051K
$10.89B
$153.71K
1053
$29.42
7.01K
$4.14B
$206.23K
1054
BBVABanco Bilbao Vizcaya Argentaria, S.A. $23.40
6.996K
$131.84B
$163.71K
1055
SYSo-Young International Inc. American Depository Shares $2.23
6.988K
$188.90M
$15.59K
1056
PETZTDH Holdings, Inc. Common Shares $1.02
6.984K
$10.53M
$7.12K
1057
$68.70
6.941K
$11.43B
$476.85K
1058
YSGYatsen Holding Limited American Depositary Shares, each representing twenty (20) Class A Ordinary Shares $2.55
6.941K
$162.78M
$17.70K
1059
$16.71
6.936K
$6.55B
$115.90K
1060
RPRXRoyalty Pharma plc Class A Ordinary Shares $54.61
6.935K
$24.21B
$378.72K
1061
$29.35
6.926K
$161.46M
$203.28K
1062
$5.74
6.924K
$769.40M
$39.78K
1063
SILOSilo Pharma, Inc. Common Stock $0.3817
6.891K
$6.21M
$2.63K
1064
LSCCLattice Semiconductor Corp $147.75
6.89K
$20.24B
$1.02M
1065
PALIPalisade Bio, Inc. Common Stock $1.96
6.884K
$340.22M
$13.49K
1066
HPKHighPeak Energy, Inc. Common Stock $7.65
6.88K
$966.64M
$52.63K
1067
CTXRCitius Pharmaceuticals Inc. Common $0.6900
6.864K
$18.94M
$4.74K
1068
$31.03
6.791K
$11.51B
$210.72K
1069
JZXNJiuzi Holdings, Inc. Ordinary Shares $1.10
6.768K
$1.46M
$7.44K
1070
$31.89
6.745K
$16.73B
$215.12K
1071
BXDCBlackstone Digital Infrastructure Trust Inc. $22.45
6.743K
$2.26B
$151.38K
1072
$0.2334
6.737K
$25.64M
$1.57K
1073
LITSLite Strategy, Inc. Common Stock $1.10
6.731K
$37.43M
$7.40K
1074
HOWLWerewolf Therapeutics, Inc. Common Stock $0.4600
6.691K
$22.35M
$3.08K
1075
$16.59
6.684K
$44.46B
$110.89K
1076
TRAWTraws Pharma, Inc. Common Stock $1.45
6.657K
$21.97M
$9.65K
1077
$27.34
6.646K
$12.12B
$181.70K
1078
$592.85
6.641K
$83.83B
$3.94M
1079
HYMCHycroft Mining Holding Corporation Class A Common Stock $33.40
6.611K
$3.05B
$220.81K
1080
SUNESUNation Energy, Inc. Common Stock $1.25
6.593K
$5.15M
$8.24K
1081
$34.69
6.592K
$5.80B
$228.68K
1082
HSHPHimalaya Shipping Ltd. $14.46
6.588K
$678.95M
$95.23K
1083
DRTSAlpha Tau Medical Ltd. Ordinary Shares $10.28
6.587K
$928.55M
$67.71K
1084
XTLBXTL Biopharmaceuticals Ltd. American Depositary Shares $2.46
6.578K
$5.82M
$16.18K
1085
TELOTelomir Pharmaceuticals, Inc. Common Stock $1.30
6.575K
$89.39M
$8.55K
1086
$6.51
6.561K
$8.40B
$42.71K
1087
AGIAlamos Gold Inc. Class A Common Shares $39.30
6.557K
$16.50B
$257.69K
1088
NDAQNasdaq, Inc. Common Stock $91.39
6.529K
$51.69B
$596.69K
1089
$0.9341
6.527K
$10.39M
$6.10K
1090
DGNXDiginex Limited Ordinary Shares $1.14
6.524K
$33.17M
$7.44K
1091
LICNLichen China Limited Class A Ordinary Shares $0.8492
6.501K
$13.77M
$5.52K
1092
GCTKGlucoTrack, Inc. Common Stock $0.4814
6.49K
$3.01M
$3.12K
1093
$28.15
6.454K
$3.08B
$181.68K
1094
$122.76
6.441K
$303.20B
$790.70K
1095
SRPTSarepta Therapeutics,, Inc. Common Stock $17.08
6.439K
$1.80B
$109.98K
1096
RZLTRezolute, Inc. Common Stock (NV) $3.24
6.425K
$311.99M
$20.82K
1097
$38.40
6.422K
$20.14B
$246.60K
1098
NXPINXP Semiconductors N.V. $322.91
6.414K
$81.53B
$2.07M
1099
TDTHTrident Digital Tech Holdings Ltd American Depository Shares $1.78
6.403K
$8.03M
$11.40K
1100
ODVOsisko Development Corp. $2.74
6.399K
$834.94M
$17.53K