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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
1301
LUDLuda Technology Group Limited
$9.08
+0.53
+6.20%
3.178K
$206.03M
$28.86K
1302
LTHLife Time Group Holdings, Inc.
$25.07
+0.00
+0.00%
1.146K
$5.53B
$28.73K
1303
AWRAmerican States Water Company
$71.87
+0.00
+0.00%
399
$2.78B
$28.68K
1304
VTLEVital Energy, Inc.
$16.63
+0.27
+1.65%
1.723K
$643.41M
$28.65K
1305
HUMAHumacyte, Inc. Common Stock
$1.12
-0.01
-0.88%
25.565K
$209.74M
$28.63K
1306
VFCV.F. Corporation
$14.78
+0.12
+0.82%
1.919K
$5.77B
$28.36K
1307
OLLIOllie's Bargain Outlet Holdings, Inc. Common Stock
$121.05
+0.00
+0.00%
234
$7.42B
$28.33K
1308
CJETChijet Motor Company, Inc. Ordinary Shares
$1.94
-0.07
-3.48%
14.593K
$1.43M
$28.31K
1309
ACDCProFrac Holding Corp. Class A Common Stock
$3.33
+0.03
+0.91%
8.5K
$602.30M
$28.31K
1310
AMPYAmplify Energy Corp.
$5.17
-0.04
-0.72%
5.466K
$209.37M
$28.27K
1311
MTSIMACOM Technology Solutions Holdings, Inc
$154.40
+0.00
+0.00%
183
$11.57B
$28.26K
1312
HNRGHallador Energy Company
$20.00
-0.18
-0.89%
1.409K
$876.50M
$28.18K
1313
FCELFuelCell Energy Inc NEW (DE)
$6.33
+0.12
+1.93%
4.44K
$301.79M
$28.11K
1314
BLNDBlend Labs, Inc.
$2.91
+0.07
+2.46%
9.65K
$755.86M
$28.08K
1315
ROIVRoivant Sciences Ltd. Common Shares
$20.20
-0.18
-0.88%
1.387K
$14.05B
$28.02K
1316
SCYXSCYNEXIS, Inc.
$0.6800
+0.0000
+0.00%
41.115K
$28.54M
$27.96K
1317
FTEKFuel Tech, Inc.
$1.60
+0.11
+7.38%
17.469K
$49.72M
$27.95K
1318
AUTLAutolus Therapeutics plc American Depositary Share
$1.27
+0.02
+1.60%
21.848K
$338.00M
$27.75K
1319
EVOEvotec SE American Depositary Shares
$2.96
-0.03
-1.00%
9.351K
$1.05B
$27.68K
1320
CXCemex S.A.B. de C.V.
$10.18
-0.05
-0.49%
2.714K
$14.77B
$27.63K
1321
OZKBank OZK
$43.77
+0.14
+0.32%
631
$4.90B
$27.62K
1322
IOTSamsara Inc.
$35.27
+0.27
+0.77%
783
$20.23B
$27.62K
1323
ICHRIchor Holdings
$14.00
+0.05
+0.38%
1.951K
$481.50M
$27.32K
1324
ATYRaTyr Pharma, Inc. Common Stock
$0.6500
-0.0020
-0.31%
42.031K
$63.69M
$27.32K
1325
SLPSimulations Plus, Inc.
$16.71
+0.02
+0.12%
1.632K
$336.32M
$27.27K
1326
PCTPureCycle Technologies, Inc. Common stock
$8.13
-0.01
-0.12%
3.351K
$1.47B
$27.24K
1327
KSSKohls Corporation
$15.16
+0.03
+0.20%
1.797K
$1.70B
$27.24K
1328
SCNXScienture Holdings, Inc. Common Stock
$0.5451
-0.0129
-2.31%
49.954K
$22.15M
$27.23K
1329
CGAUCenterra Gold Inc.
$11.61
+0.22
+1.93%
2.339K
$2.34B
$27.16K
1330
FORMFormFactor Inc.
$48.46
+0.28
+0.58%
560
$3.76B
$27.14K
1331
HTGCHercules Capital, Inc.
$17.30
+0.03
+0.17%
1.564K
$3.14B
$27.06K
1332
MOVEMovano Inc. Common Stock
$9.90
+0.15
+1.54%
2.721K
$7.92M
$26.94K
1333
SUIGSui Group Holdings Limited Common Stock
$1.77
-0.03
-1.67%
15.21K
$147.03M
$26.92K
1334
NWGNatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares)
$15.16
+0.06
+0.40%
1.77K
$60.71B
$26.83K
1335
SENSSenseonics Holdings, Inc.
$5.34
+0.09
+1.71%
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
-0.03
-0.13%
1.174K
$68.60B
$26.71K
1337
ZDZiff Davis, Inc. Common Stock
$29.54
+0.00
+0.00%
899
$1.17B
$26.56K
1338
GOODGladstone Commercial Corporation - REIT
$10.60
+0.01
+0.09%
2.5K
$513.05M
$26.50K
1339
NNDMNano Dimension Ltd. American Depositary Shares
$1.45
-0.02
-1.36%
18.244K
$316.63M
$26.45K
1340
TYRATyra Biosciences, Inc. Common Stock
$21.40
+0.36
+1.71%
1.234K
$1.14B
$26.41K
1341
LVSLas Vegas Sands Corp.
$63.55
+0.13
+0.20%
415
$42.97B
$26.37K
1342
TRIThomson Reuters Corporation
$131.70
+0.00
+0.00%
200
$58.59B
$26.34K
1343
VVPRVivoPower International PLC
$2.10
-0.06
-2.78%
12.468K
$26.31M
$26.18K
1344
COTYCOTY INC
$3.15
+0.02
+0.64%
8.308K
$2.76B
$26.17K
1345
GAMBGambling.com Group Limited Ordinary Shares
$4.69
+0.04
+0.86%
5.578K
$164.93M
$26.16K
1346
CANGCango Inc. American Depositary Shares, each representing two (2) Class A Ordinary Shares
$1.30
-0.05
-3.70%
20.087K
$460.89M
$26.11K
1347
INTRInter & Co. Inc. Class A Common Shares
$8.53
-0.03
-0.35%
3.06K
$3.75B
$26.10K
1348
ACMAecom
$106.00
+0.48
+0.45%
246
$14.04B
$26.08K
1349
CHCOCity Holding Co
$120.01
+0.01
+0.01%
217
$1.73B
$26.04K
1350
CXAICXApp Inc. Class A Common Stock
$0.4000
-0.0100
-2.44%
64.909K
$11.45M
$25.96K
1351
EPREPR Properties
$51.60
+0.00
+0.00%
500
$3.93B
$25.80K
1352
WCNWaste Connections, Inc.
$173.54
+0.00
+0.00%
148
$44.43B
$25.68K
1353
ATXSAstria Therapeutics, Inc. Common Stock
$12.48
+0.09
+0.73%
2.05K
$712.42M
$25.58K
1354
SNSharkNinja, Inc.
$85.12
+0.02
+0.02%
300
$12.01B
$25.54K
1355
TMToyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares)
$196.30
+0.00
+0.00%
130
$255.85B
$25.52K
1356
AXLAmerican Axle & Manufacturing Holdings, Inc.
$5.87
+0.03
+0.51%
4.329K
$696.75M
$25.41K
1357
GEOSGeospace Technologies Corporation Common Stock
$15.76
-0.08
-0.49%
1.61K
$202.05M
$25.37K
1358
ITWIllinois Tool Works Inc.
$242.06
+0.00
+0.00%
104
$70.22B
$25.17K
1359
PUBMPubMatic, Inc. Class A Common Stock
$8.61
+0.03
+0.35%
2.923K
$399.63M
$25.17K
1360
MSMMSC Industrial Direct Co., Inc. Class A
$84.16
+0.01
+0.01%
299
$4.70B
$25.16K
1361
GASSStealthGas, Inc.
$6.70
-0.01
-0.15%
3.747K
$248.98M
$25.10K
1362
NVTnVent Electric plc Ordinary Shares
$100.01
+0.00
+0.00%
251
$16.14B
$25.10K
1363
BENFranklin Resources, Inc.
$21.35
+0.15
+0.71%
1.171K
$11.12B
$25.00K
1364
BMBLBumble Inc. Class A Common Stock
$3.24
+0.03
+0.93%
7.704K
$365.27M
$24.96K
1365
HSDTHelius Medical Technologies, Inc. Class A Common Stock (DE)
$3.25
+0.06
+1.88%
7.676K
$130.97M
$24.95K
1366
LAZRLuminar Technologies, Inc. Class A Common Stock
$0.9002
+0.0000
+0.00%
27.668K
$70.09M
$24.91K
1367
TPCTutor Perini Corporation
$59.80
+1.03
+1.75%
415
$3.15B
$24.82K
1368
CASYCasey's General Stores Inc
$551.26
+0.00
+0.00%
45
$20.50B
$24.81K
1369
GXAIGaxos.ai Inc. Common Stock
$1.09
-0.00
-0.14%
22.75K
$7.75M
$24.76K
1370
VTSVitesse Energy, Inc..
$20.33
-0.17
-0.83%
1.215K
$786.23M
$24.70K
1371
AAUCAllied Gold Corporation
$16.10
+0.02
+0.12%
1.531K
$2.00B
$24.65K
1372
FLGFlagstar Financial, Inc.
$11.04
+0.12
+1.10%
2.228K
$4.59B
$24.60K
1373
CEPUCentral Puerto S.A. American Depositary Shares (each represents ten Common Shares)
$14.10
+0.55
+4.06%
1.739K
$2.12B
$24.52K
1374
EXODExodus Movement, Inc.
$14.45
+0.25
+1.76%
1.693K
$423.16M
$24.46K
1375
ULCCFrontier Group Holdings, Inc. Common Stock
$3.81
+0.05
+1.33%
6.416K
$869.55M
$24.44K
1376
DCIDonaldson Company, Inc.
$85.40
+0.00
+0.00%
286
$9.89B
$24.42K
1377
TWLOTwilio Inc.
$118.92
+0.00
+0.00%
205
$18.03B
$24.38K
1378
TDWTidewater, Inc.
$52.99
+1.04
+2.00%
459
$2.63B
$24.32K
1379
OMEROmeros Corporation
$8.21
-0.02
-0.24%
2.962K
$582.09M
$24.32K
1380
TAOXTao Synergies Inc. Common Stock
$6.18
+0.43
+7.48%
3.925K
$44.06M
$24.26K
1381
TNDMTandem Diabetes Care, Inc.
$19.62
-0.01
-0.05%
1.236K
$1.33B
$24.25K
1382
ANPARich Sparkle Holdings Limited Ordinary Shares
$30.92
+0.07
+0.23%
780
$386.50M
$24.12K
1383
TAPMolson Coors Beverage Company Class B
$45.32
-0.36
-0.79%
532
$8.96B
$24.11K
1384
CHICalamos Convertible Opportunities and Income Fund
$10.29
-0.01
-0.10%
2.34K
$801.30M
$24.08K
1385
ECGEverus Construction Group, Inc.
$80.10
+0.00
+0.00%
300
$4.09B
$24.03K
1386
APPNAppian Corporation Class A Common Stock
$40.00
-0.02
-0.05%
600
$2.95B
$24.00K
1387
GOSSGossamer Bio, Inc. Common Stock
$3.15
+0.12
+3.93%
7.597K
$728.90M
$23.92K
1388
PORPortland General Electric Company
$49.15
+0.01
+0.02%
484
$5.53B
$23.79K
1389
TTITETRA Technologies, Inc.
$7.22
-0.02
-0.28%
3.29K
$965.65M
$23.75K
1390
DDD3D Systems Corp
$1.90
+0.03
+1.47%
12.468K
$244.28M
$23.66K
1391
NUKKNukkleus Inc. Common Stock
$4.27
+0.07
+1.67%
5.504K
$71.08M
$23.50K
1392
MNMDMind Medicine (MindMed) Inc. Common Shares
$11.15
+0.40
+3.72%
2.101K
$1.08B
$23.43K
1393
DAVAEndava plc American Depositary Shares (each representing one Class A Ordinary Share)
$6.11
+0.01
+0.16%
3.831K
$322.87M
$23.41K
1394
ICUSeaStar Medical Holding Corporation Common Stock
$0.3021
-0.0084
-2.71%
77.351K
$10.30M
$23.37K
1395
ITRGIntegra Resources Corp.
$2.82
+0.12
+4.44%
8.259K
$477.44M
$23.29K
1396
GCTGigaCloud Technology Inc Class A Ordinary Shares
$31.70
+0.40
+1.28%
733
$1.17B
$23.24K
1397
PFSAProfusa, Inc. Common Stock
$0.1388
+0.0025
+1.83%
167.388K
$5.80M
$23.23K
1398
NBRNabors Industries Ltd.
$46.37
+0.02
+0.04%
500
$675.20M
$23.19K
1399
PLGPlatinum Group Metals LTD.
$1.92
+0.08
+4.35%
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
+0.01
+0.72%
16.497K
$439.99M
$23.10K