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
TSHATaysha Gene Therapies, Inc. Common Stock $2.45
8.484K
$502.57M
$20.79K
1402
LAURLaureate Education, Inc. Common Stock $20.60
1.009K
$3.07B
$20.79K
1403
KWEKWESST Micro Systems Inc. Common Stock $4.94
4.179K
$2.62M
$20.64K
1404
NWTGNewton Golf Company, Inc. Common Stock $1.76
11.721K
$7.55M
$20.63K
1405
FOXFox Corporation Class B Common Stock $46.40
443
$21.04B
$20.56K
1406
NTRANatera, Inc. Common Stock $151.50
135
$20.48B
$20.45K
1407
$40.93
498
$18.13B
$20.38K
1408
INGMIngram Micro Holding Corporation $18.15
1.122K
$4.26B
$20.36K
1409
$1.97
10.332K
$145.02M
$20.35K
1410
TXG10x Genomics, Inc. Class A Common Stock $8.44
2.409K
$1.04B
$20.33K
1411
DXCDXC Technology Company $16.00
1.27K
$2.90B
$20.32K
1412
AMPXAmprius Technologies, Inc. $2.17
9.341K
$262.07M
$20.31K
1413
MCBMetropolitan Bank Holding Corp. Common Stock, $0.01 par value per share $62.90
322
$696.07M
$20.25K
1414
SRXHSRX Health Solutions, Inc. $1.31
15.389K
$3.17M
$20.16K
1415
PRTGPortage Biotech Inc. Common Stock $10.82
1.862K
$17.80M
$20.15K
1416
OTISOtis Worldwide Corporation $97.27
207
$38.39B
$20.13K
1417
CTOSCustom Truck One Source, Inc. $4.00
5K
$905.90M
$20.00K
1418
PRCHPorch Group, Inc. Common Stock $6.50
3.075K
$664.67M
$19.99K
1419
AINAlbany International Corp Class A $62.45
318
$1.91B
$19.86K
1420
ALARAlarum Technologies Ltd. American Depositary Share $6.95
2.85K
$48.63M
$19.81K
1421
RYANRyan Specialty Holdings, Inc. $66.00
300
$8.34B
$19.80K
1422
PRTAProthena Corporation plc Ordinary Shares $8.79
2.25K
$473.17M
$19.78K
1423
$97.81
201
$9.94B
$19.66K
1424
$6.19
3.159K
$329.77M
$19.55K
1425
$175.52
111
$12.85B
$19.48K
1426
LNCLincoln National Corp. $32.14
604
$5.49B
$19.41K
1427
RYAMRayonier Advanced Materials Inc. $4.41
4.397K
$294.38M
$19.39K
1428
$14.31
1.349K
$2.40B
$19.30K
1429
$114.78
168
$10.09B
$19.28K
1430
BEAMBeam Therapeutics Inc. Common Stock $20.39
944
$2.05B
$19.25K
1431
SXTCChina SXT Pharmaceuticals, Inc. Ordinary Shares $2.22
8.667K
$30.55M
$19.24K
1432
$6.60
2.914K
$573.77M
$19.23K
1433
TRUGTruGolf Holdings, Inc. Class A Common Stock $0.2998
64.003K
$13.23M
$19.19K
1434
GIIIG-Iii Apparel Group Ltd $25.27
759
$1.11B
$19.18K
1435
$53.60
357
$1.26B
$19.14K
1436
OFIXOrthofix Medical Inc. Common Stock (DE) $15.02
1.271K
$586.12M
$19.09K
1437
$93.91
203
$11.28B
$19.06K
1438
$51.97
366
$14.68B
$19.02K
1439
ASMBAssembly Biosciences, Inc $11.95
1.584K
$91.27M
$18.93K
1440
WOOFPetco Health and Wellness Company, Inc. Class A Common Stock $3.05
6.197K
$844.52M
$18.90K
1441
$14.90
1.268K
$1.54B
$18.89K
1442
VVPRVivoPower International PLC $3.57
5.285K
$27.27M
$18.87K
1443
ELEVElevation Oncology, Inc. Common stock $0.3749
50.32K
$22.20M
$18.86K
1444
ARBEArbe Robotics Ltd. Ordinary Shares $1.32
14.275K
$138.87M
$18.85K
1445
ALSNALLISON TRANSMISSION HOLDINGS, INC. $94.21
200
$8.03B
$18.84K
1446
$30.45
616
$6.39B
$18.76K
1447
REYNReynolds Consumer Products Inc. Common Stock $23.07
812
$4.85B
$18.73K
1448
KNTKKinetik Holdings Inc. $41.55
450
$2.53B
$18.70K
1449
COSMCosmos Holdings Inc. Common Stock $0.4635
40.117K
$12.65M
$18.59K
1450
OPTTOcean Power Technologies, Inc. $0.4184
44.379K
$71.99M
$18.57K
1451
$55.90
332
$3.10B
$18.56K
1452
CLOVClover Health Investments, Corp $3.40
5.455K
$1.72B
$18.55K
1453
KRONKronos Bio, Inc. Common Stock $0.7144
25.877K
$43.56M
$18.49K
1454
WMBWilliams Companies Inc. $59.62
310
$72.78B
$18.48K
1455
CSWCCapital Southwest Corp $20.50
900
$1.04B
$18.45K
1456
WLYJohn Wiley & Sons, Inc. Class A $43.98
418
$2.37B
$18.38K
1457
GVAGranite Construction Inc. $79.36
231
$3.47B
$18.33K
1458
$0.4270
42.714K
$1.20M
$18.24K
1459
PWODPenns Woods Bancorp Inc $29.10
626
$219.84M
$18.22K
1460
CNQCanadian Natural Resources Limited $28.91
630
$30.88B
$18.21K
1461
VRRMVerra Mobility Corporation Class A Common Stock $21.83
832
$3.48B
$18.16K
1462
$36.27
500
$26.81B
$18.14K
1463
HIWHighwoods Properties Inc. $29.10
622
$3.14B
$18.10K
1464
$24.21
747
$982.44M
$18.08K
1465
EFSIEagle Financial Services Inc Common Stock $29.50
612
$158.67M
$18.05K
1466
IFSIntercorp Financial Services Inc. $33.36
541
$3.78B
$18.05K
1467
ENVAEnova International, Inc. $91.60
197
$2.32B
$18.05K
1468
EVGOEVgo Inc. Class A Common Stock $2.85
6.324K
$380.54M
$18.02K
1469
IVTInvenTrust Properties Corp. $28.63
628
$2.22B
$17.98K
1470
HROWHarrow, Inc. Common Stock $25.61
702
$939.51M
$17.98K
1471
RHPRyman Hospitality Properties, Inc $88.85
202
$5.33B
$17.95K
1472
AMWLAmerican Well Corporation $7.19
2.49K
$113.67M
$17.90K
1473
NBRNabors Industries Ltd. $27.39
650
$398.12M
$17.80K
1474
WNSWNS (Holdings) Limited $59.30
300
$2.59B
$17.79K
1475
$42.00
423
$442.83M
$17.77K
1476
RUSHBRush Enterprises Inc $57.87
306
$4.65B
$17.71K
1477
BSLKBolt Projects Holdings, Inc. Common Stock $5.84
3.031K
$10.04M
$17.70K
1478
PCVXVaxcyte, Inc. Common Stock $38.71
455
$4.99B
$17.61K
1479
$34.40
512
$1.25B
$17.61K
1480
KWKENNEDY-WILSON HOLDINGS, INC. $6.91
2.545K
$953.63M
$17.59K
1481
AWKAmerican Water Works Company, Inc $147.78
119
$28.82B
$17.59K
1482
YCBDcbdMD, Inc. Common Stock $0.2000
87.72K
$1.25M
$17.54K
1483
RPRXRoyalty Pharma plc Class A Ordinary Shares $32.50
539
$14.09B
$17.52K
1484
AZULAzul S.A. American Depositary Shares (each representing three preferred shares) $0.6901
25.264K
$212.59M
$17.43K
1485
CSTMConstellium SE Class A Ordinary shares $10.89
1.6K
$1.56B
$17.42K
1486
$93.00
187
$3.83B
$17.39K
1487
$52.80
329
$671.36M
$17.37K
1488
BCMLBayCom Corp Common Stock $26.39
657
$291.06M
$17.34K
1489
AAPADVANCE AUTO PARTS INC $33.13
523
$1.98B
$17.33K
1490
NCMINational CineMedia, Inc. $5.63
3.069K
$535.93M
$17.28K
1491
OMHOhmyhome Limited Ordinary Shares $3.10
5.573K
$7.42M
$17.28K
1492
MOGOMogo Inc. Common Shares $1.05
16.474K
$25.45M
$17.27K
1493
CDPCOPT Defense Properties $26.50
651
$2.99B
$17.25K
1494
$2.60
6.58K
$80.65M
$17.11K
1495
EWTXEdgewise Therapeutics, Inc. Common Stock $17.10
1K
$1.80B
$17.10K
1496
AXAxos Financial, Inc. Common Stock $66.18
258
$3.78B
$17.07K
1497
$12.99
1.314K
$2.26B
$17.07K
1498
CHCTCommunity Healthcare Trust Incorporated Common Stock, $0.01 par value per share $17.06
1K
$472.58M
$17.06K
1499
JOYYJOYY Inc. American Depositary Shares $40.50
416
$2.11B
$16.85K
1500
LWLamb Weston Holdings, Inc. $52.44
321
$7.40B
$16.83K