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
$1.90
1.242M
$277.51M
$2.36M
1302
EMBJEmbraer S.A. American Depositary Shares (Each representing Four Common Shares) $69.70
1.242M
$12.90B
$86.54M
1303
$129.00
1.24M
$31.37B
$160.00M
1304
BBVABanco Bilbao Vizcaya Argentaria, S.A. $23.00
1.24M
$132.56B
$28.52M
1305
TRMBTrimble Inc. Common Stock $64.77
1.239M
$15.15B
$80.23M
1306
NNDMNano Dimension Ltd. American Depositary Shares $1.68
1.234M
$353.36M
$2.07M
1307
SPWHSportsman's Warehouse Holdings, Inc. $1.48
1.229M
$57.43M
$1.82M
1308
CWKCushman & Wakefield plc Ordinary Shares $13.22
1.226M
$3.06B
$16.20M
1309
SJMThe J.M. Smucker Company $90.70
1.225M
$9.67B
$111.11M
1310
KODKEASTMAN KODAK COMPANY $12.07
1.225M
$1.18B
$14.79M
1311
$107.51
1.225M
$14.96B
$131.67M
1312
KITTNauticus Robotics, Inc. Common stock $0.4534
1.224M
$12.72M
$555.07K
1313
TALOTalos Energy, Inc. Common Stock $14.59
1.223M
$2.46B
$17.84M
1314
ODDODDITY Tech Ltd. Class A Ordinary Shares $14.39
1.223M
$662.34M
$17.59M
1315
BILIBilibili Inc. American Depositary Shares $23.85
1.222M
$7.99B
$29.14M
1316
$73.04
1.221M
$9.39B
$89.22M
1317
$90.26
1.221M
$310.05B
$110.23M
1318
$33.77
1.219M
$4.30B
$41.17M
1319
VELOVelo3D, Inc. Common stock $10.20
1.219M
$267.40M
$12.43M
1320
BTSGBrightSpring Health Services, Inc. Common Stock $44.81
1.218M
$8.67B
$54.59M
1321
OPTXSyntec Optics Holdings, Inc. Class A Common Stock $9.50
1.217M
$350.74M
$11.56M
1322
WYFIWhiteFiber, Inc. Ordinary Shares $14.81
1.214M
$568.19M
$17.99M
1323
VIRVir Biotechnology, Inc. Common Stock $9.49
1.212M
$1.32B
$11.50M
1324
BBBYBed Bath & Beyond, Inc. $4.74
1.212M
$328.68M
$5.74M
1325
SBSCOMPANHIA DE SANEAMENTO B SICO DO ESTADO DE SAO PAULO-SABESP ADS'S $33.99
1.21M
$23.96B
$41.12M
1326
BGCBGC Group, Inc. Class A Common Stock $10.92
1.21M
$3.98B
$13.21M
1327
TALKTalkspace, Inc. Common Stock $5.19
1.207M
$867.12M
$6.26M
1328
COLDAmericold Realty Trust, Inc. $12.01
1.205M
$3.42B
$14.47M
1329
PNCPNC Financial Services Group $221.13
1.204M
$89.20B
$266.18M
1330
$9.68
1.203M
$1.62B
$11.64M
1331
GPCRStructure Therapeutics Inc. American Depositary Shares $54.30
1.198M
$3.85B
$65.04M
1332
IDYAIDEAYA Biosciences, Inc. Common Stock $36.29
1.197M
$3.19B
$43.44M
1333
SBACSBA Communications Corp $223.75
1.196M
$23.67B
$267.64M
1334
$186.12
1.194M
$42.37B
$222.29M
1335
REREATRenew Inc. American Depositary Shares (every three of which representing two Class A ordinary shares) $4.47
1.193M
$590.20M
$5.33M
1336
LQDALiquidia Corporation Common Stock $38.00
1.192M
$3.35B
$45.31M
1337
TOIThe Oncology Institute, Inc. Common Stock $3.09
1.192M
$304.92M
$3.68M
1338
TRONCorner Growth Acquisition Corp. 2 Class A Ordinary Share $2.47
1.188M
$677.72M
$2.93M
1339
FNFFidelity National Financial, Inc. $47.45
1.185M
$12.87B
$56.22M
1340
NESRNational Energy Services Reunited Corp. Ordinary Shares $22.95
1.185M
$2.31B
$27.19M
1341
TTWOTake-Two Interactive Software Inc $197.07
1.184M
$36.49B
$233.33M
1342
$164.07
1.183M
$35.20B
$194.13M
1343
SANASana Biotechnology, Inc. Common Stock $3.08
1.183M
$821.95M
$3.64M
1344
MLTXMoonLake Immunotherapeutics Class A Ordinary Shares $18.01
1.183M
$1.29B
$21.30M
1345
NVSTEnvista Holdings Corporation Common stock, $0.01 par value per share $26.39
1.18M
$4.32B
$31.15M
1346
BWINThe Baldwin Insurance Group, Inc. Class A Common Stock $21.33
1.18M
$2.06B
$25.17M
1347
RNWReNew Energy Global plc Class A Ordinary Shares $4.95
1.178M
$1.21B
$5.83M
1348
$267.28
1.178M
$45.48B
$314.90M
1349
AXIApCAXIA Energia American Depositary Shares, each representing one Preferred Class C Share $12.49
1.177M
$28.09B
$14.70M
1350
CNTACentessa Pharmaceuticals plc American Depositary Shares $39.48
1.177M
$6.10B
$46.46M
1351
NIXXNixxy, Inc. Common Stock $0.8000
1.176M
$19.90M
$940.61K
1352
GFLGFL Environmental Inc. Subordinate Voting Shares $43.08
1.175M
$14.93B
$50.61M
1353
$132.00
1.174M
$27.67B
$154.97M
1354
KRGKite Realty Group Trust $25.51
1.174M
$5.18B
$29.94M
1355
UDMYUdemy, Inc. Common Stock $4.32
1.173M
$629.96M
$5.07M
1356
FJETStarfighters Space, Inc. $4.90
1.17M
$215.33M
$5.73M
1357
AMRXAmneal Pharmaceuticals, Inc. Class A Common Stock $12.54
1.169M
$4.00B
$14.66M
1358
$167.34
1.167M
$28.40B
$195.29M
1359
HAYWHayward Holdings, Inc. $14.38
1.166M
$3.13B
$16.76M
1360
TPLTexas Pacific Land Corporation $409.97
1.164M
$28.26B
$477.02M
1361
SHWThe Sherwin-Williams Company $336.11
1.162M
$83.14B
$390.66M
1362
RANIRani Therapeutics Holdings, Inc. Class A Common Stock $0.7554
1.159M
$75.33M
$875.48K
1363
MREOMereo BioPharma Group plc American Depositary Shares $0.3281
1.156M
$52.37M
$379.25K
1364
APPNAppian Corporation Class A Common Stock $20.00
1.153M
$857.45M
$23.05M
1365
LFMDLifeMD, Inc. Common Stock $3.49
1.151M
$167.43M
$4.02M
1366
CABACabaletta Bio, Inc. Common Stock $3.10
1.149M
$345.10M
$3.56M
1367
CHTRCharter Comm Inc Del CL A New $219.90
1.148M
$31.05B
$252.42M
1368
BMRNBioMarin Pharmaceuticals Inc $54.55
1.147M
$10.49B
$62.57M
1369
$133.44
1.145M
$15.88B
$152.85M
1370
$21.24
1.145M
$6.42B
$24.33M
1371
AMSCAmerican Superconductor Corp $37.93
1.144M
$1.81B
$43.41M
1372
EXPEExpedia Group, Inc. Common Stock $228.09
1.143M
$26.69B
$260.82M
1373
ALKTAlkami Technology, Inc. Common Stock $16.13
1.142M
$1.71B
$18.42M
1374
GLPIGaming and Leisure Properties, Inc. $46.63
1.141M
$13.21B
$53.19M
1375
ARWRArrowhead Research Corporation $65.38
1.14M
$9.16B
$74.56M
1376
RAREUltragenyx Pharmaceutical Inc. $23.26
1.137M
$2.29B
$26.44M
1377
$0.3888
1.135M
$46.18M
$441.23K
1378
SBHSally Beauty Holdings, Inc. $13.77
1.131M
$1.34B
$15.58M
1379
INSPInspire Medical Systems, Inc. $54.02
1.13M
$1.56B
$61.05M
1380
$26.97
1.129M
$1.25B
$30.44M
1381
SFDSmithfield Foods, Inc. Common Stock $28.91
1.128M
$11.37B
$32.61M
1382
$28.09
1.127M
$405.28M
$31.67M
1383
GNLGlobal Net Lease, Inc. $9.66
1.123M
$2.07B
$10.85M
1384
TGTXTG Therapeutics, Inc. $33.65
1.121M
$5.37B
$37.73M
1385
FATEFate Therapeutics, Inc. $1.22
1.121M
$141.84M
$1.37M
1386
INMDInMode Ltd. Ordinary Shares $13.53
1.121M
$857.24M
$15.16M
1387
GIPRGeneration Income Properties Inc. Common Stock $0.2338
1.119M
$1.27M
$261.58K
1388
$31.30
1.119M
$3.36B
$35.02M
1389
ZENAZenaTech, Inc. Common Stock $2.19
1.119M
$49.27M
$2.45M
1390
TBHBrag House Holdings, Inc. Common Stock $0.4795
1.116M
$11.27M
$535.35K
1391
$90.82
1.115M
$14.68B
$101.30M
1392
TCRXTScan Therapeutics, Inc. Common Stock $1.05
1.115M
$55.26M
$1.17M
1393
$110.33
1.113M
$24.69B
$122.78M
1394
BIRKBirkenstock Holding plc $38.00
1.11M
$6.99B
$42.17M
1395
VREVeris Residential, Inc. $18.90
1.11M
$1.77B
$20.96M
1396
AIFFFirefly Neuroscience, Inc. Common Stock $1.52
1.105M
$22.49M
$1.68M
1397
TANHTantech Holdings Ltd. Common Stock $0.3301
1.102M
$2.15M
$363.80K
1398
FDSFactset Research Systems $211.60
1.102M
$7.71B
$233.12M
1399
BLDRBuilders FirstSource, Inc. $85.30
1.101M
$9.43B
$93.93M
1400
LIFLife360, Inc. Common Stock $37.83
1.101M
$3.03B
$41.64M