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
STAGSTAG INDUSTRIAL, INC. $36.95
735.051K
$6.90B
$27.16M
1302
MRPMillrose Properties, Inc. $29.83
909.502K
$4.95B
$27.13M
1303
JMIAJumia Technologies AG $12.50
2.171M
$1.53B
$27.13M
1304
CGCCanopy Growth Corporation Common Shares $1.14
23.744M
$390.07M
$27.07M
1305
ELSEquity Lifestyle Properties, Inc. $60.61
446.022K
$11.75B
$27.03M
1306
PARRPar Pacific Holdings, Inc. Common Stock $35.05
770.567K
$1.76B
$27.01M
1307
OLEDUniversal Display Corp $116.78
231.166K
$5.55B
$27.00M
1308
$27.06
996.678K
$5.49B
$26.97M
1309
$37.18
725.104K
$5.39B
$26.96M
1310
$286.65
93.925K
$14.99B
$26.92M
1311
GVAGranite Construction Inc. $115.35
233.351K
$5.04B
$26.92M
1312
$222.03
121.211K
$1.71B
$26.91M
1313
AMRAlpha Metallurgical Resources, Inc. $200.17
134.327K
$2.57B
$26.89M
1314
RZLVRezolve AI Limited Ordinary Shares $2.59
10.379M
$867.41M
$26.88M
1315
PORPortland General Electric Company $47.13
569.353K
$5.30B
$26.83M
1316
NXSTNexstar Media Group, Inc. Common Stock $203.05
132.146K
$6.16B
$26.83M
1317
$35.07
764.49K
$3.76B
$26.81M
1318
$121.96
219.535K
$8.00B
$26.77M
1319
FCFSFirstCash Holdings, Inc. Common Stock $159.38
167.666K
$7.03B
$26.72M
1320
TMCTMC the metals company Inc. Common Stock $6.16
4.332M
$2.55B
$26.68M
1321
$39.10
681.895K
$3.03B
$26.66M
1322
PPCPilgrims Pride Corporation $38.99
683.804K
$9.26B
$26.66M
1323
ABGAsbury Automotive Group, Inc. $232.53
114.556K
$4.52B
$26.64M
1324
SBCFSeacoast Banking Corp of Florida $31.27
850.981K
$3.06B
$26.61M
1325
WSCWillScot Mobile Mini Holdings Corp. Class A Common Stock $18.83
1.411M
$3.43B
$26.58M
1326
MTDRMATADOR RESOURCES COMPANY $42.80
620.35K
$5.32B
$26.55M
1327
$37.37
710.238K
$4.42B
$26.54M
1328
$10.07
2.625M
$1.75B
$26.43M
1329
UPWKUpwork Inc. Common Stock $19.74
1.335M
$2.58B
$26.36M
1330
$8.74
3.014M
$2.50B
$26.35M
1331
$28.09
935.186K
$4.46B
$26.27M
1332
BFHBread Financial Holdings, Inc. $74.03
354.33K
$3.38B
$26.23M
1333
$132.46
197.811K
$15.64B
$26.20M
1334
HCCWarrior Met Coal, Inc. $88.17
296.804K
$4.64B
$26.17M
1335
SOLVSolventum Corporation $79.24
330.129K
$13.74B
$26.16M
1336
$45.04
580.185K
$9.64B
$26.13M
1337
AEISAdvanced Energy Industries Inc $209.13
124.709K
$7.89B
$26.08M
1338
PRCTPROCEPT BioRobotics Corporation Common Stock $31.46
825.73K
$1.76B
$25.98M
1339
$23.27
1.116M
$5.09B
$25.98M
1340
AITApplied Industrial Technologies, Inc. $256.77
101.093K
$9.68B
$25.96M
1341
$31.95
811.895K
$1.89B
$25.94M
1342
BKHBlack Hills Corporation $69.42
373.426K
$5.24B
$25.92M
1343
SITESiteOne Landscape Supply, Inc. $124.56
208.053K
$5.55B
$25.92M
1344
BTSGBrightSpring Health Services, Inc. Common Stock $37.93
682.715K
$6.84B
$25.90M
1345
CRMLCritical Metals Corp. Ordinary Shares $6.91
3.746M
$814.76M
$25.89M
1346
$25.71
1.006M
$4.27B
$25.86M
1347
PZZAPapa John's International Inc $38.30
674.925K
$1.26B
$25.85M
1348
$49.58
521.239K
$2.93B
$25.84M
1349
$95.10
271.06K
$2.59B
$25.78M
1350
$80.06
321.981K
$7.25B
$25.78M
1351
SVMSilvercorp Metals Inc. Common Shares $8.48
3.038M
$1.87B
$25.77M
1352
FRTFederal Realty Investment Trust $101.14
254.779K
$8.73B
$25.77M
1353
$118.70
216.954K
$9.02B
$25.75M
1354
$42.28
607.726K
$860.04M
$25.69M
1355
$46.05
557.793K
$3.63B
$25.69M
1356
$218.50
117.354K
$3.39B
$25.64M
1357
$103.66
245.599K
$1.53B
$25.46M
1358
ROADConstruction Partners, Inc. Class A Common Stock $108.55
234.023K
$6.14B
$25.40M
1359
NUTXNutex Health Inc. Common Stock $164.52
154.338K
$1.16B
$25.39M
1360
TVTXTravere Therapeutics, Inc. Common Stock $38.20
664.366K
$3.42B
$25.38M
1361
BFAMBRIGHT HORIZONS FAMILY SOLUTIONS INC. $101.39
250.283K
$5.73B
$25.38M
1362
$28.18
899.306K
$4.65B
$25.34M
1363
FNFFidelity National Financial, Inc. $54.59
464.179K
$14.81B
$25.34M
1364
SIGSignet Jewelers Limited $82.88
305.414K
$3.37B
$25.31M
1365
APPFAppFolio, Inc. Class A $232.65
108.662K
$8.36B
$25.28M
1366
KODKodiak Sciences Inc Common Stock $27.96
901.497K
$1.71B
$25.21M
1367
$36.96
680.743K
$1.99B
$25.16M
1368
ATECAlphatec Holdings, Inc. $21.04
1.194M
$3.13B
$25.11M
1369
VOYGVoyager Technologies, Inc. $26.36
951.636K
$1.54B
$25.09M
1370
INGING Groep N.V. American Depositary Shares $28.00
893.919K
$81.11B
$25.03M
1371
HTFLHeartflow, Inc. Common Stock $29.15
858.461K
$2.48B
$25.02M
1372
MIRMMirum Pharmaceuticals, Inc. Common Stock $78.99
316.149K
$4.08B
$24.97M
1373
ITGRInteger Holdings Corporation $78.43
318.335K
$2.75B
$24.97M
1374
$184.36
134.951K
$10.62B
$24.88M
1375
ORAOrmat Technologies, Inc. $110.47
224.867K
$6.71B
$24.84M
1376
SPXCSPX Technologies, Inc. $199.91
124.046K
$9.96B
$24.80M
1377
PTENPatterson-UTI Energy Inc $6.08
4.075M
$2.31B
$24.77M
1378
MDUMDU Resources Group, Inc. $19.52
1.268M
$4.02B
$24.76M
1379
$20.83
1.185M
$2.38B
$24.67M
1380
HHHHoward Hughes Holdings Inc. $79.77
309.276K
$4.74B
$24.67M
1381
$35.10
699.405K
$3.43B
$24.55M
1382
KTBKontoor Brands, Inc. Common Stock $61.09
401.391K
$3.40B
$24.52M
1383
TMETencent Music Entertainment Group American Depositary Shares, each representing two Class A Ordinary Shares $17.53
1.395M
$27.01B
$24.46M
1384
ABCLAbCellera Biologics Inc. Common Shares $3.37
7.252M
$1.01B
$24.44M
1385
$46.90
521.079K
$8.09B
$24.44M
1386
WRDWeRide Inc. American Depositary Shares $8.78
2.774M
$3.01B
$24.37M
1387
WTOUTime Limited Ordinary Shares $1.23
19.783M
$2.39M
$24.33M
1388
MLYSMineralys Therapeutics, Inc. Common Stock $36.29
669.821K
$2.87B
$24.31M
1389
RSIRush Street Interactive, Inc. $19.43
1.247M
$1.90B
$24.23M
1390
$40.20
602.251K
$5.10B
$24.21M
1391
$82.02
295.11K
$10.04B
$24.20M
1392
QLYSQualys, Inc. Common Stock $132.90
182.127K
$4.77B
$24.20M
1393
$31.25
773.619K
$4.46B
$24.18M
1394
$61.80
390.905K
$6.58B
$24.16M
1395
$50.40
478.594K
$3.51B
$24.12M
1396
LQDALiquidia Corporation Common Stock $34.48
699.147K
$3.00B
$24.11M
1397
EPRTEssential Properties Realty Trust, Inc. $29.11
825.915K
$5.77B
$24.04M
1398
$114.60
209.494K
$5.94B
$24.01M
1399
PAGPPlains GP Holdings, L.P. Class A Units representing Limited Partner Interests $19.14
1.251M
$3.79B
$23.95M
1400
$196.90
121.587K
$2.66B
$23.94M