Stock Rankings by Volume - Rankings 1301 to 1400
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 1301 to 1400.
1301
LUDLuda Technology Group Limited $9.08
3.178K
$206.03M
$28.86K
1302
LTHLife Time Group Holdings, Inc. $25.07
1.146K
$5.53B
$28.73K
1303
AWRAmerican States Water Company $71.87
399
$2.78B
$28.68K
1304
$16.63
1.723K
$643.41M
$28.65K
1305
HUMAHumacyte, Inc. Common Stock $1.12
25.565K
$209.74M
$28.63K
1306
$14.78
1.919K
$5.77B
$28.36K
1307
OLLIOllie's Bargain Outlet Holdings, Inc. Common Stock $121.05
234
$7.42B
$28.33K
1308
CJETChijet Motor Company, Inc. Ordinary Shares $1.94
14.593K
$1.43M
$28.31K
1309
ACDCProFrac Holding Corp. Class A Common Stock $3.33
8.5K
$602.30M
$28.31K
1310
$5.17
5.466K
$209.37M
$28.27K
1311
MTSIMACOM Technology Solutions Holdings, Inc $154.40
183
$11.57B
$28.26K
1312
HNRGHallador Energy Company $20.00
1.409K
$876.50M
$28.18K
1313
FCELFuelCell Energy Inc NEW (DE) $6.33
4.44K
$301.79M
$28.11K
1314
$2.91
9.65K
$755.86M
$28.08K
1315
ROIVRoivant Sciences Ltd. Common Shares $20.20
1.387K
$14.05B
$28.02K
1316
$0.6800
41.115K
$28.54M
$27.96K
1317
$1.60
17.469K
$49.72M
$27.95K
1318
AUTLAutolus Therapeutics plc American Depositary Share $1.27
21.848K
$338.00M
$27.75K
1319
EVOEvotec SE American Depositary Shares $2.96
9.351K
$1.05B
$27.68K
1320
$10.18
2.714K
$14.77B
$27.63K
1321
$43.77
631
$4.90B
$27.62K
1322
$35.27
783
$20.23B
$27.62K
1323
$14.00
1.951K
$481.50M
$27.32K
1324
ATYRaTyr Pharma, Inc. Common Stock $0.6500
42.031K
$63.69M
$27.32K
1325
SLPSimulations Plus, Inc. $16.71
1.632K
$336.32M
$27.27K
1326
PCTPureCycle Technologies, Inc. Common stock $8.13
3.351K
$1.47B
$27.24K
1327
$15.16
1.797K
$1.70B
$27.24K
1328
SCNXScienture Holdings, Inc. Common Stock $0.5451
49.954K
$22.15M
$27.23K
1329
$11.61
2.339K
$2.34B
$27.16K
1330
$48.46
560
$3.76B
$27.14K
1331
HTGCHercules Capital, Inc. $17.30
1.564K
$3.14B
$27.06K
1332
MOVEMovano Inc. Common Stock $9.90
2.721K
$7.92M
$26.94K
1333
SUIGSui Group Holdings Limited Common Stock $1.77
15.21K
$147.03M
$26.92K
1334
NWGNatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) $15.16
1.77K
$60.71B
$26.83K
1335
SENSSenseonics Holdings, Inc. $5.34
5.017K
$218.18M
$26.79K
1336
AMXAmerica Movil S.A.B de C.V American Depositary Shares (each representing the right to receive twenty (20) Series B Shares) $22.75
1.174K
$68.60B
$26.71K
1337
ZDZiff Davis, Inc. Common Stock $29.54
899
$1.17B
$26.56K
1338
GOODGladstone Commercial Corporation - REIT $10.60
2.5K
$513.05M
$26.50K
1339
NNDMNano Dimension Ltd. American Depositary Shares $1.45
18.244K
$316.63M
$26.45K
1340
TYRATyra Biosciences, Inc. Common Stock $21.40
1.234K
$1.14B
$26.41K
1341
$63.55
415
$42.97B
$26.37K
1342
TRIThomson Reuters Corporation $131.70
200
$58.59B
$26.34K
1343
VVPRVivoPower International PLC $2.10
12.468K
$26.31M
$26.18K
1344
$3.15
8.308K
$2.76B
$26.17K
1345
GAMBGambling.com Group Limited Ordinary Shares $4.69
5.578K
$164.93M
$26.16K
1346
CANGCango Inc. American Depositary Shares, each representing two (2) Class A Ordinary Shares $1.30
20.087K
$460.89M
$26.11K
1347
INTRInter & Co. Inc. Class A Common Shares $8.53
3.06K
$3.75B
$26.10K
1348
$106.00
246
$14.04B
$26.08K
1349
$120.01
217
$1.73B
$26.04K
1350
CXAICXApp Inc. Class A Common Stock $0.4000
64.909K
$11.45M
$25.96K
1351
$51.60
500
$3.93B
$25.80K
1352
WCNWaste Connections, Inc. $173.54
148
$44.43B
$25.68K
1353
ATXSAstria Therapeutics, Inc. Common Stock $12.48
2.05K
$712.42M
$25.58K
1354
$85.12
300
$12.01B
$25.54K
1355
TMToyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $196.30
130
$255.85B
$25.52K
1356
AXLAmerican Axle & Manufacturing Holdings, Inc. $5.87
4.329K
$696.75M
$25.41K
1357
GEOSGeospace Technologies Corporation Common Stock $15.76
1.61K
$202.05M
$25.37K
1358
ITWIllinois Tool Works Inc. $242.06
104
$70.22B
$25.17K
1359
PUBMPubMatic, Inc. Class A Common Stock $8.61
2.923K
$399.63M
$25.17K
1360
MSMMSC Industrial Direct Co., Inc. Class A $84.16
299
$4.70B
$25.16K
1361
$6.70
3.747K
$248.98M
$25.10K
1362
NVTnVent Electric plc Ordinary Shares $100.01
251
$16.14B
$25.10K
1363
BENFranklin Resources, Inc. $21.35
1.171K
$11.12B
$25.00K
1364
BMBLBumble Inc. Class A Common Stock $3.24
7.704K
$365.27M
$24.96K
1365
HSDTHelius Medical Technologies, Inc. Class A Common Stock (DE) $3.25
7.676K
$130.97M
$24.95K
1366
LAZRLuminar Technologies, Inc. Class A Common Stock $0.9002
27.668K
$70.09M
$24.91K
1367
TPCTutor Perini Corporation $59.80
415
$3.15B
$24.82K
1368
CASYCasey's General Stores Inc $551.26
45
$20.50B
$24.81K
1369
GXAIGaxos.ai Inc. Common Stock $1.09
22.75K
$7.75M
$24.76K
1370
$20.33
1.215K
$786.23M
$24.70K
1371
AAUCAllied Gold Corporation $16.10
1.531K
$2.00B
$24.65K
1372
FLGFlagstar Financial, Inc. $11.04
2.228K
$4.59B
$24.60K
1373
CEPUCentral Puerto S.A. American Depositary Shares (each represents ten Common Shares) $14.10
1.739K
$2.12B
$24.52K
1374
EXODExodus Movement, Inc. $14.45
1.693K
$423.16M
$24.46K
1375
ULCCFrontier Group Holdings, Inc. Common Stock $3.81
6.416K
$869.55M
$24.44K
1376
DCIDonaldson Company, Inc. $85.40
286
$9.89B
$24.42K
1377
$118.92
205
$18.03B
$24.38K
1378
$52.99
459
$2.63B
$24.32K
1379
$8.21
2.962K
$582.09M
$24.32K
1380
TAOXTao Synergies Inc. Common Stock $6.18
3.925K
$44.06M
$24.26K
1381
TNDMTandem Diabetes Care, Inc. $19.62
1.236K
$1.33B
$24.25K
1382
ANPARich Sparkle Holdings Limited Ordinary Shares $30.92
780
$386.50M
$24.12K
1383
TAPMolson Coors Beverage Company Class B $45.32
532
$8.96B
$24.11K
1384
CHICalamos Convertible Opportunities and Income Fund $10.29
2.34K
$801.30M
$24.08K
1385
ECGEverus Construction Group, Inc. $80.10
300
$4.09B
$24.03K
1386
APPNAppian Corporation Class A Common Stock $40.00
600
$2.95B
$24.00K
1387
GOSSGossamer Bio, Inc. Common Stock $3.15
7.597K
$728.90M
$23.92K
1388
PORPortland General Electric Company $49.15
484
$5.53B
$23.79K
1389
TTITETRA Technologies, Inc. $7.22
3.29K
$965.65M
$23.75K
1390
$1.90
12.468K
$244.28M
$23.66K
1391
NUKKNukkleus Inc. Common Stock $4.27
5.504K
$71.08M
$23.50K
1392
MNMDMind Medicine (MindMed) Inc. Common Shares $11.15
2.101K
$1.08B
$23.43K
1393
DAVAEndava plc American Depositary Shares (each representing one Class A Ordinary Share) $6.11
3.831K
$322.87M
$23.41K
1394
ICUSeaStar Medical Holding Corporation Common Stock $0.3021
77.351K
$10.30M
$23.37K
1395
ITRGIntegra Resources Corp. $2.82
8.259K
$477.44M
$23.29K
1396
GCTGigaCloud Technology Inc Class A Ordinary Shares $31.70
733
$1.17B
$23.24K
1397
PFSAProfusa, Inc. Common Stock $0.1388
167.388K
$5.80M
$23.23K
1398
NBRNabors Industries Ltd. $46.37
500
$675.20M
$23.19K
1399
PLGPlatinum Group Metals LTD. $1.92
12.059K
$215.33M
$23.15K
1400
HKDAMTD Digital Inc. American Depositary Shares (every five of which represent two Class A Ordinary Shares) $1.40
16.497K
$439.99M
$23.10K