Stock Rankings by Volume - Rankings 1101 to 1200

Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 1101 to 1200.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
1101
PPTAPerpetua Resources Corp. Common Shares
$15.16
-0.01
-0.07%
2.538K
$1.08B
$38.48K
1102
PLMRPalomar Holdings, Inc. Common stock
$154.99
+0.00
+0.00%
248
$4.14B
$38.44K
1103
LYVLive Nation Entertainment Inc.
$135.11
+0.30
+0.22%
284
$31.31B
$38.37K
1104
OMABGrupo Aeroportuario del Centro Norte S.A.B. de C.V
$87.46
-0.69
-0.78%
438
$4.22B
$38.31K
1105
AGCOAGCO Corporation
$93.90
+1.00
+1.08%
406
$7.00B
$38.12K
1106
HQYHealthEquity, Inc
$90.30
-1.00
-1.10%
422
$7.81B
$38.11K
1107
AORTArtivion, Inc.
$23.78
-0.77
-3.14%
1.6K
$996.23M
$38.05K
1108
ALLRAllarity Therapeutics, Inc. Common Stock
$1.04
-0.00
-0.02%
36.529K
$17.69M
$37.98K
1109
IPInternational Paper Co.
$43.74
+0.00
+0.00%
868
$15.19B
$37.97K
1110
TGLSTecnoglass Inc.
$73.72
+0.52
+0.71%
515
$3.46B
$37.97K
1111
DGDollar General Corp.
$92.00
-0.23
-0.25%
411
$20.24B
$37.81K
1112
CIENCiena Corporation
$71.36
-3.05
-4.10%
528
$10.14B
$37.68K
1113
TKCTURKCELL ILETISIM HIZMETLERI A.S. ADS
$5.74
+0.01
+0.21%
6.561K
$5.00B
$37.67K
1114
ALGNAlign Technology Inc
$174.70
+0.00
+0.00%
215
$12.79B
$37.56K
1115
BATRKAtlanta Braves Holdings, Inc. Series C Common Stock
$39.60
+0.07
+0.18%
945
$2.48B
$37.42K
1116
COOThe Cooper Companies, Inc. Common Stock
$81.51
-2.39
-2.85%
458
$16.23B
$37.33K
1117
ABSIAbsci Corporation Common Stock
$2.85
-0.02
-0.70%
13.081K
$362.96M
$37.28K
1118
SYBTStock Yards Bancorp, Inc.
$72.62
-0.38
-0.52%
513
$2.14B
$37.25K
1119
GAPThe Gap, Inc.
$22.70
+0.10
+0.44%
1.641K
$8.54B
$37.25K
1120
UHALU-Haul Holding Company
$62.60
-0.20
-0.32%
594
$11.79B
$37.18K
1121
QMCOQuantum Corporation
$10.75
+0.00
+0.00%
3.453K
$74.71M
$37.12K
1122
SSPThe E.W. Scripps Company
$2.39
-0.03
-1.24%
15.515K
$209.23M
$37.08K
1123
PCARPaccar Inc
$88.54
-0.12
-0.14%
418
$46.48B
$37.01K
1124
VOYAVOYA FINANCIAL, INC.
$60.51
-0.89
-1.45%
611
$5.82B
$36.97K
1125
NIVFNewGenIvf Group Limited Class A ordinary shares
$3.45
-0.04
-1.15%
10.688K
$25.90M
$36.87K
1126
BKSYBlackSky Technology Inc.
$8.65
+0.10
+1.17%
4.253K
$271.22M
$36.79K
1127
BKRBaker Hughes Company
$36.00
-0.87
-2.37%
1.02K
$35.66B
$36.72K
1128
GCTGigaCloud Technology Inc Class A Ordinary Shares
$13.10
-0.90
-6.43%
2.799K
$498.70M
$36.67K
1129
MOG.AMoog Inc.
$176.10
+0.00
+0.00%
207
$5.55B
$36.45K
1130
MGYMagnolia Oil & Gas Corporation Class A Common Stock
$20.71
+0.00
+0.00%
1.76K
$3.87B
$36.45K
1131
CSGSCSG Systems International
$60.00
+0.00
+0.00%
607
$1.73B
$36.42K
1132
SLIStandard Lithium Ltd.
$1.39
+0.01
+0.72%
26.196K
$268.75M
$36.41K
1133
CGCCanopy Growth Corporation Common Shares
$1.27
+0.00
+0.00%
28.565K
$198.38M
$36.28K
1134
TTANServiceTitan, Inc. Class A Common Stock
$116.85
+1.84
+1.60%
310
$10.53B
$36.22K
1135
DIODDiodes Inc
$39.41
+0.03
+0.08%
914
$1.83B
$36.02K
1136
MLABMesa Laboratories Inc
$117.99
+1.82
+1.57%
303
$641.11M
$35.75K
1137
CRNCCerence Inc. Common Stock
$9.82
+0.76
+8.39%
3.637K
$424.21M
$35.72K
1138
COMMCommScope Holding Company, Inc.
$4.65
-0.11
-2.31%
7.678K
$1.01B
$35.70K
1139
AMBAAmbarella, Inc. Ordinary Shares
$49.47
-0.03
-0.06%
720
$2.10B
$35.62K
1140
MKCMcCormick & Company, Incorporated Non-VTG CS
$75.40
-0.30
-0.40%
472
$20.22B
$35.59K
1141
FBNCFirst Bancorp/NC
$42.90
+1.30
+3.13%
827
$1.77B
$35.48K
1142
BEAMBeam Therapeutics Inc. Common Stock
$19.40
+0.39
+2.05%
1.828K
$1.95B
$35.46K
1143
SUSuncor Energy, Inc.
$35.00
-0.05
-0.14%
1.011K
$43.30B
$35.39K
1144
PBHPrestige Consumer Healthcare Inc.
$83.40
+0.25
+0.30%
424
$4.13B
$35.36K
1145
ITUBItau Unibanco Holding S.A. American Depositary Shares
$6.12
-0.04
-0.65%
5.718K
$32.62B
$34.99K
1146
TENBTenable Holdings, Inc.
$31.01
+0.01
+0.03%
1.123K
$3.73B
$34.82K
1147
ICEIntercontinental Exchange Inc.
$173.50
+0.00
+0.00%
200
$99.68B
$34.70K
1148
OBDCBlue Owl Capital Corporation
$13.82
+0.01
+0.07%
2.509K
$7.06B
$34.67K
1149
APVOAptevo Therapeutics Inc
$0.4271
+0.0141
+3.41%
81.141K
$2.37M
$34.66K
1150
YETIYETI Holdings, Inc. Common Stock
$28.71
+0.35
+1.23%
1.207K
$2.38B
$34.65K
1151
STEPStepStone Group Inc. Class A Common Stock
$52.71
-0.44
-0.83%
656
$4.00B
$34.58K
1152
NUENucor Corporation
$119.00
+0.00
+0.00%
290
$27.43B
$34.51K
1153
AEVAAeva Technologies, Inc.
$7.79
-0.13
-1.64%
4.429K
$426.22M
$34.50K
1154
PWRQuanta Services, Inc.
$321.70
+0.00
+0.00%
107
$47.70B
$34.42K
1155
BHVNBiohaven Ltd.
$22.28
-0.14
-0.62%
1.543K
$2.27B
$34.38K
1156
SRCE1st Source Corp
$59.98
+0.00
+0.00%
573
$1.47B
$34.37K
1157
EEFTEuronet Worldwide Inc
$103.60
+0.80
+0.78%
331
$4.53B
$34.29K
1158
RYTMRhythm Pharmaceuticals, Inc. Common Stock
$62.90
-4.10
-6.12%
544
$4.00B
$34.22K
1159
NNINelnet, Inc. Class A
$105.50
+0.50
+0.48%
324
$3.84B
$34.18K
1160
JBLJabil Inc.
$148.98
+0.00
+0.00%
229
$15.99B
$34.12K
1161
OWLBlue Owl Capital Inc.
$17.80
-0.46
-2.52%
1.91K
$10.88B
$34.00K
1162
NVTSNavitas Semiconductor Corporation Common Stock
$1.96
+0.01
+0.51%
17.331K
$373.44M
$33.97K
1163
TNLTravel + Leisure Co.
$46.21
-2.20
-4.54%
734
$3.07B
$33.92K
1164
RDFNRedfin Corporation Common Stock
$9.13
-0.07
-0.79%
3.714K
$1.15B
$33.90K
1165
MVISMicrovision Inc
$1.09
-0.01
-0.64%
31.013K
$268.65M
$33.90K
1166
MSIFMSC Income Fund, Inc.
$16.06
+0.71
+4.63%
2.1K
$752.40M
$33.73K
1167
WMBWilliams Companies Inc.
$60.26
-0.24
-0.40%
558
$73.56B
$33.63K
1168
GGGGraco Inc
$82.00
+0.79
+0.97%
410
$13.70B
$33.62K
1169
LQDALiquidia Corporation Common Stock
$16.00
-0.19
-1.17%
2.1K
$1.36B
$33.60K
1170
TRNRInteractive Strength Inc. Common Stock
$0.6000
-0.0290
-4.61%
55.915K
$4.92M
$33.55K
1171
ONITOnity Group Inc.
$36.50
-0.30
-0.82%
918
$292.31M
$33.51K
1172
INEOINNEOVA Holdings Limited Ordinary Shares
$1.33
-0.27
-16.88%
25.19K
$13.63M
$33.50K
1173
ONCOOnconetix, Inc. Common Stock
$0.0706
-0.0034
-4.59%
473.548K
$1.03M
$33.43K
1174
USAUU.S. Gold Corp. Common Stock
$10.00
+0.22
+2.25%
3.343K
$124.86M
$33.43K
1175
LFMDLifeMD, Inc. Common Stock
$7.51
-0.09
-1.18%
4.451K
$334.82M
$33.43K
1176
BYONBeyond, Inc.
$3.81
-0.02
-0.52%
8.765K
$219.76M
$33.39K
1177
ALGTAllegiant Travel Company
$50.43
+1.23
+2.50%
662
$920.59M
$33.38K
1178
LXLexinFintech Holdings Ltd. American Depositary Shares
$8.33
-0.08
-0.95%
4.004K
$1.40B
$33.35K
1179
FCELFuelCell Energy Inc NEW (DE)
$3.83
+0.08
+2.13%
8.627K
$86.92M
$33.04K
1180
GLADGladstone Capital Corp
$25.45
+0.01
+0.04%
1.298K
$568.29M
$33.03K
1181
BOWBowhead Specialty Holdings Inc.
$40.40
+1.40
+3.59%
816
$1.32B
$32.97K
1182
TEFTelefonica, S.A.
$5.07
+0.01
+0.20%
6.501K
$28.61B
$32.96K
1183
TXNMTXNM Energy, Inc.
$52.40
+1.20
+2.34%
629
$4.86B
$32.96K
1184
BLXBanco Latinoamericano de Comercio Exterior, S.A
$39.90
-1.10
-2.68%
825
$1.47B
$32.92K
1185
GEHCGE HealthCare Technologies Inc. Common Stock
$69.00
+0.00
+0.00%
477
$31.59B
$32.91K
1186
UHAL.BU-Haul Holding Company
$56.99
+0.39
+0.69%
577
$10.73B
$32.88K
1187
PAAPlains All American Pipeline, L.P. Common Units representing Limited Partner Interests
$16.29
+0.01
+0.06%
2.018K
$11.46B
$32.87K
1188
SPGSimon Property Group, Inc.
$161.59
-0.42
-0.26%
203
$52.72B
$32.80K
1189
PHMPultegroup, Inc.
$103.20
-0.08
-0.08%
317
$20.68B
$32.71K
1190
CRCCalifornia Resources Corporation
$35.10
+0.00
+0.00%
931
$3.18B
$32.68K
1191
NYTNew York Times Co.
$51.60
+0.90
+1.78%
631
$8.43B
$32.56K
1192
ACLXArcellx, Inc. Common Stock
$64.64
+0.94
+1.48%
503
$3.56B
$32.51K
1193
CLIKClick Holdings Limited Ordinary Share
$0.2415
-0.0194
-7.44%
134.238K
$7.65M
$32.42K
1194
STXSeagate Technology Holdings PLC Ordinary Shares (Ireland)
$92.32
+0.01
+0.01%
351
$19.54B
$32.40K
1195
BPOPPopular Inc
$98.78
-0.12
-0.12%
328
$6.81B
$32.40K
1196
CARAvis Budget Group, Inc.
$97.96
+2.26
+2.36%
330
$3.44B
$32.33K
1197
ESSEssex Property Trust, Inc
$292.00
+0.00
+0.00%
110
$18.80B
$32.12K
1198
NWENorthWestern Energy Group, Inc. Common Stock
$57.55
-2.24
-3.75%
558
$3.53B
$32.11K
1199
CRBGCorebridge Financial, Inc.
$30.04
-2.96
-8.97%
1.067K
$16.59B
$32.05K
1200
AGYSAgilysys, Inc. Common Stock (DE)
$75.10
+0.50
+0.67%
426
$2.10B
$31.99K