Stock Rankings by Volume - Rankings 1401 to 1500
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 1401 to 1500.
1401
CNQCanadian Natural Resources Limited $32.55
726
$67.72B
$23.63K
1402
CCCCC4 Therapeutics, Inc. $2.27
10.385K
$161.56M
$23.57K
1403
JTAIJet.AI Inc. Common Stock $3.12
7.553K
$10.92M
$23.57K
1404
CLLSCellectis S.A. American Depositary Shares $3.73
6.236K
$374.18M
$23.26K
1405
NEONNeonode Inc. Common Stock $3.79
6.111K
$63.61M
$23.16K
1406
STIMNeuronetics, Inc. Common Stock $2.97
7.783K
$196.39M
$23.12K
1407
HASIHANNON ARMSTRONG SUSTAINABLE INFRASTRUCTURE CAPITAL INC $30.58
750
$3.80B
$22.94K
1408
KALVKalVista Pharmaceuticals, Inc. Common Stock $11.00
2.085K
$555.76M
$22.94K
1409
BNEDBarnes & Noble Education, Inc $9.69
2.365K
$329.98M
$22.92K
1410
BOXLBoxlight Corporation Class A Common Stock $2.15
10.653K
$11.85M
$22.90K
1411
$114.48
200
$11.63B
$22.90K
1412
BLNEEASTSIDE DISTILLING , INC. $3.64
6.28K
$71.50M
$22.86K
1413
NRDSNerdWallet, Inc. Class A Common Stock $10.68
2.138K
$811.68M
$22.83K
1414
ACIAlbertsons Companies, Inc. $16.92
1.344K
$9.47B
$22.74K
1415
GSLGlobal Ship Lease, Inc. $29.92
760
$1.07B
$22.74K
1416
ZSPCzSpace, Inc. Common stock $0.9996
22.667K
$24.03M
$22.66K
1417
CDLXCardlytics, Inc. Common Stock $2.58
8.777K
$137.35M
$22.64K
1418
$2.14
10.49K
$12.52M
$22.45K
1419
HTGCHercules Capital, Inc. $18.28
1.222K
$3.32B
$22.34K
1420
SVIISpring Valley Acquisition Corp. II Class A Ordinary Shares $12.55
1.777K
$124.00M
$22.30K
1421
MOBMobilicom Limited American Depositary Shares $9.94
2.229K
$98.80M
$22.16K
1422
MESOMesoblast Limited American Depositary Shares $17.80
1.244K
$2.28B
$22.14K
1423
XBIOXenetic Biosciences, Inc. $3.35
6.584K
$5.17M
$22.06K
1424
PRUPrudential Financial, Inc. $104.81
209
$36.89B
$21.91K
1425
MIRMMirum Pharmaceuticals, Inc. Common Stock $72.80
299
$3.66B
$21.77K
1426
$9.76
2.229K
$6.64B
$21.76K
1427
IPXIperionX Limited American Depositary Share $53.51
406
$1.76B
$21.73K
1428
$13.27
1.635K
$412.39M
$21.70K
1429
$29.40
735
$2.74B
$21.61K
1430
$1.14
18.955K
$446.78M
$21.60K
1431
PLXProtalix BioTherapeutics, Inc. Common Stock $2.64
8.165K
$210.49M
$21.56K
1432
$53.79
400
$5.47B
$21.52K
1433
$23.90
900
$18.24B
$21.51K
1434
COOThe Cooper Companies, Inc. Common Stock $70.75
304
$14.07B
$21.51K
1435
NRXPNRX Pharmaceuticals, Inc. Common Stock $3.43
6.254K
$81.53M
$21.45K
1436
ADTXAditxt, Inc. Common Stock $0.7001
30.631K
$3.48M
$21.44K
1437
PHIOPhio Pharmaceuticals Corp. Common Stock $2.33
9.09K
$13.34M
$21.18K
1438
NAMMNamib Minerals Ordinary Shares $3.30
6.416K
$177.14M
$21.17K
1439
YYAIConnexa Sports Technologies Inc. Common Stock $2.55
8.295K
$37.14M
$21.15K
1440
$31.30
675
$9.33B
$21.13K
1441
NNNNAnbio Biotechnology Class A Ordinary Shares $30.05
703
$1.32B
$21.13K
1442
TROWT Rowe Price Group Inc $105.60
200
$23.20B
$21.12K
1443
HSIIHeidrick & Struggles Inc $58.40
361
$1.21B
$21.08K
1444
BAMBrookfield Asset Management Ltd. $58.38
360
$94.17B
$21.02K
1445
ARLPAlliance Resource Partners LP $25.32
830
$3.25B
$21.02K
1446
ITRGIntegra Resources Corp. $3.25
6.431K
$549.58M
$20.91K
1447
$1.31
15.959K
$835.48M
$20.90K
1448
$21.68
956
$181.84M
$20.73K
1449
TDTHTrident Digital Tech Holdings Ltd American Depository Shares $0.9800
21.13K
$80.10M
$20.71K
1450
BRBRBellRing Brands, Inc. $33.71
614
$4.25B
$20.70K
1451
SLDESlide Insurance Holdings, Inc. Common Stock $16.19
1.278K
$2.03B
$20.69K
1452
VSTDVestand Inc. Class A Common Stock $1.44
14.293K
$20.92M
$20.58K
1453
BBARBanco BBVA Argentina S.A. $8.43
2.437K
$1.72B
$20.54K
1454
$51.25
400
$4.02B
$20.50K
1455
WTFCWintrust Financial Corp $132.70
154
$8.88B
$20.44K
1456
MZTIThe Marzetti Company Common Stock $164.50
124
$4.53B
$20.40K
1457
ARMNAris Mining Corporation $10.63
1.91K
$2.15B
$20.30K
1458
$81.03
250
$38.77B
$20.26K
1459
$13.69
1.477K
$30.37B
$20.22K
1460
ACBAurora Cannabis Inc. Common Shares $5.84
3.451K
$328.46M
$20.15K
1461
TXG10x Genomics, Inc. Class A Common Stock $12.68
1.586K
$1.58B
$20.11K
1462
PPCPilgrims Pride Corporation $38.50
521
$9.15B
$20.06K
1463
$147.35
136
$8.21B
$20.04K
1464
TBHBrag House Holdings, Inc. Common Stock $2.05
9.772K
$22.49M
$20.03K
1465
HMCHonda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock $31.85
628
$41.33B
$20.00K
1466
BORRBorr Drilling Limited $2.85
7.015K
$815.77M
$19.99K
1467
$2.17
9.203K
$321.90M
$19.97K
1468
PRCHPorch Group, Inc. Common Stock $16.52
1.208K
$1.72B
$19.96K
1469
FLDFTAC Emerald Acquisition Corp. Class A Common Stock $4.07
4.894K
$190.44M
$19.92K
1470
CRONCronos Group Inc. Common Share $2.54
7.839K
$972.67M
$19.91K
1471
OSWOneSpaWorld Holdings Limited Common Shares $21.07
943
$2.16B
$19.87K
1472
$120.99
164
$2.99B
$19.84K
1473
$182.00
109
$10.47B
$19.84K
1474
BMRBeamr Imaging Ltd. Ordinary Share $3.18
6.234K
$49.38M
$19.82K
1475
TMHCTaylor Morrison Home Corporation Common Stock $66.00
300
$6.52B
$19.80K
1476
GVHGlobavend Holdings Limited Ordinary Shares $4.90
4.034K
$7.76M
$19.77K
1477
CANFCan-Fite BioPharma Ltd. American Depositary Shares, each representing three hundred (300) Ordinary Shares $0.6000
32.857K
$9.46M
$19.71K
1478
KLRSKalaris Therapeutics, Inc. Common Stock $7.85
2.5K
$146.81M
$19.63K
1479
$196.01
100
$23.87B
$19.60K
1480
PTGXProtagonist Therapeutics, Inc $65.00
301
$4.04B
$19.57K
1481
IPDNProfessional Diversity Network, Inc. $3.40
5.75K
$13.96M
$19.55K
1482
GOSSGossamer Bio, Inc. Common Stock $2.40
8.127K
$549.31M
$19.50K
1483
JOYYJOYY Inc. American Depositary Shares $59.89
325
$3.08B
$19.46K
1484
$31.90
610
$581.70M
$19.46K
1485
$10.85
1.79K
$678.76M
$19.42K
1486
$5.49
3.518K
$4.06M
$19.31K
1487
PHGKONINKLIJKE PHILIPS N.V. $28.15
685
$26.75B
$19.28K
1488
DAVAEndava plc American Depositary Shares (each representing one Class A Ordinary Share) $9.39
2.048K
$510.14M
$19.23K
1489
$35.08
548
$1.62B
$19.22K
1490
MTSRMetsera, Inc. Common Stock $52.35
365
$5.51B
$19.11K
1491
IVAInventiva S.A. American Depository Shares $5.93
3.213K
$824.58M
$19.05K
1492
FSCOFS Credit Opportunities Corp. $6.97
2.714K
$1.38B
$18.92K
1493
$14.04
1.347K
$34.09B
$18.91K
1494
ELDNEledon Pharmaceuticals, Inc. Common Stock $2.90
6.519K
$173.63M
$18.90K
1495
YMMFull Truck Alliance Co. Ltd. American Depositary Shares (each representing 20 Class A Ordinary Shares) $14.00
1.35K
$14.64B
$18.90K
1496
ZYBTZhengye Biotechnology Holding Limited Ordinary Shares $2.81
6.694K
$133.22M
$18.82K
1497
SCHWThe Charles Schwab Corporation $94.01
200
$170.65B
$18.80K
1498
$3.85
4.863K
$2.59B
$18.72K
1499
$5.30
3.517K
$2.22B
$18.64K
1500
QNTMQuantum Biopharma Ltd. Class B Subordinate Voting Shares $18.13
1.026K
$69.20M
$18.60K