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
$452.57
1.332M
$80.24B
$602.90M
1402
$193.50
1.328M
$23.27B
$256.90M
1403
HAINHain Celestial Group Inc $0.7701
1.328M
$70.07M
$1.02M
1404
WESWestern Midstream Partners, LP $40.60
1.325M
$15.98B
$53.81M
1405
ALSNALLISON TRANSMISSION HOLDINGS, INC. $121.99
1.325M
$10.15B
$161.59M
1406
GTLSChart Industries, Inc. $207.60
1.324M
$9.33B
$274.81M
1407
$25.75
1.323M
$1.19B
$34.08M
1408
$10.85
1.323M
$1.58B
$14.35M
1409
$1,498.41
1.322M
$581.60B
$1.98B
1410
$100.58
1.322M
$7.80B
$132.97M
1411
$113.24
1.321M
$33.50B
$149.62M
1412
$33.47
1.32M
$3.26B
$44.19M
1413
OXLCOxford Lane Capital Corp. $8.97
1.32M
$870.58M
$11.83M
1414
$33.53
1.32M
$8.55B
$44.25M
1415
ORBSEightco Holdings Inc. Common Stock $1.22
1.319M
$241.32M
$1.61M
1416
TXG10x Genomics, Inc. Class A Common Stock $19.10
1.318M
$2.25B
$25.17M
1417
$105.15
1.317M
$10.87B
$138.49M
1418
$112.46
1.315M
$58.94B
$147.92M
1419
SQMSociedad Quimica y Minera de Chile SA $76.72
1.315M
$10.96B
$100.86M
1420
FBGLFBS Global Limited Ordinary Shares $1.22
1.311M
$16.47M
$1.60M
1421
PNWPinnacle West Capital Corporation $100.05
1.31M
$11.98B
$131.07M
1422
LIONLionsgate Studios Corp. Common Shares $8.30
1.309M
$2.41B
$10.87M
1423
TSHATaysha Gene Therapies, Inc. Common Stock $4.88
1.308M
$1.34B
$6.39M
1424
VFFVillage Farms International, Inc. Common Shares $3.55
1.307M
$410.09M
$4.64M
1425
CETYClean Energy Technologies, Inc. Common Stock $0.8600
1.307M
$4.59M
$1.12M
1426
RAMPLiveRamp Holdings, Inc. Common Stock $25.84
1.307M
$1.63B
$33.77M
1427
$230.21
1.306M
$34.09B
$300.55M
1428
$50.34
1.305M
$5.68B
$65.70M
1429
BZAIBlaize Holdings, Inc. Common Stock $1.14
1.302M
$126.53M
$1.48M
1430
MLTXMoonLake Immunotherapeutics Class A Ordinary Shares $18.47
1.302M
$1.18B
$24.05M
1431
NXPINXP Semiconductors N.V. $234.96
1.302M
$59.37B
$305.91M
1432
ATMUAtmus Filtration Technologies Inc. $65.11
1.302M
$5.31B
$84.77M
1433
$96.69
1.301M
$4.86B
$125.79M
1434
$111.50
1.3M
$30.82B
$144.90M
1435
SKMSK Telecom Co., Ltd. American Depositary Shares (Each representing 5/9th of a Ordinary Share of SK Telecom Co., LTD.) $31.80
1.298M
$12.29B
$41.27M
1436
TWTradeweb Markets Inc. Class A Common Stock $121.09
1.295M
$14.01B
$156.84M
1437
$47.92
1.295M
$6.51B
$62.04M
1438
$74.83
1.293M
$12.25B
$96.76M
1439
ACADAcadia Pharmaceuticals Inc. $24.59
1.293M
$4.16B
$31.80M
1440
OMDAOmada Health, Inc. Common Stock $11.52
1.293M
$667.10M
$14.89M
1441
TTANServiceTitan, Inc. Class A Common Stock $64.40
1.292M
$5.20B
$83.18M
1442
$154.36
1.291M
$62.19B
$199.33M
1443
MICCThe Magnum Ice Cream Company N.V. $16.41
1.288M
$10.05B
$21.14M
1444
FWDIForward Industries, Inc. Common Stock $4.13
1.287M
$343.36M
$5.32M
1445
IHRTiHeartMedia, Inc. Class A Common Stock $3.16
1.287M
$406.90M
$4.06M
1446
APPNAppian Corporation Class A Common Stock $24.90
1.286M
$1.07B
$32.02M
1447
$64.89
1.285M
$5.82B
$83.38M
1448
$1.92
1.284M
$438.85M
$2.47M
1449
FDSFactset Research Systems $201.55
1.284M
$7.48B
$258.88M
1450
ATYRaTyr Pharma, Inc. Common Stock $0.9887
1.283M
$96.88M
$1.27M
1451
$241.44
1.283M
$70.85B
$309.68M
1452
AWKAmerican Water Works Company, Inc $134.08
1.281M
$26.17B
$171.73M
1453
$246.67
1.28M
$6.78B
$315.81M
1454
PBAPEMBINA PIPELINE CORPORATION $44.28
1.275M
$25.73B
$56.44M
1455
UTIUniversal Technical Institute, Inc. $34.69
1.272M
$1.91B
$44.12M
1456
PEBPebblebrook Hotel Trust $12.19
1.271M
$1.38B
$15.49M
1457
CHKPCheck Point Software Technologies Ltd $152.00
1.269M
$16.72B
$192.85M
1458
NKTXNkarta, Inc. Common Stock $2.50
1.269M
$177.57M
$3.17M
1459
AIOTPowerFleet, Inc. Common Stock $3.62
1.268M
$485.61M
$4.59M
1460
NVTnVent Electric plc Ordinary Shares $118.22
1.266M
$19.12B
$149.72M
1461
BAHBooz Allen Hamilton Holding Corporation $75.70
1.266M
$9.13B
$95.82M
1462
GIPRGeneration Income Properties Inc. Common Stock $0.4668
1.265M
$2.54M
$590.37K
1463
$319.33
1.264M
$68.42B
$403.75M
1464
SANASana Biotechnology, Inc. Common Stock $4.23
1.261M
$1.13B
$5.33M
1465
NIUNiu Technologies American Depositary Shares $3.73
1.261M
$259.95M
$4.70M
1466
$102.93
1.259M
$16.84B
$129.63M
1467
$336.85
1.257M
$132.57B
$423.47M
1468
$175.43
1.255M
$21.16B
$220.16M
1469
$95.34
1.255M
$6.63B
$119.63M
1470
BHCBausch Health Companies Inc. $6.02
1.251M
$2.23B
$7.53M
1471
HURATuHURA Biosciences, Inc. Common Stock $1.34
1.25M
$75.68M
$1.67M
1472
$95.10
1.248M
$5.62B
$118.64M
1473
TPRTapestry, Inc. Common Stock $155.07
1.247M
$31.40B
$193.42M
1474
$109.70
1.247M
$11.41B
$136.81M
1475
QSIQuantum-Si Incorporated Class A Common Stock $0.9301
1.247M
$181.88M
$1.16M
1476
TRINTrinity Capital Inc. Common Stock $15.01
1.246M
$1.14B
$18.71M
1477
EXPIeXp World Holdings, Inc. Common Stock $7.03
1.246M
$1.12B
$8.76M
1478
$8.31
1.245M
$723.12M
$10.34M
1479
$101.05
1.244M
$20.11B
$125.71M
1480
$55.85
1.244M
$10.54B
$69.46M
1481
BWXTBWX Technologies, Inc. $204.23
1.243M
$18.67B
$253.89M
1482
VLRSCONTROLADORA VUELA COMPAÑÍA DE AVIACIÓN, S.A.B. DE C.V. $9.48
1.24M
$1.11B
$11.75M
1483
$414.00
1.237M
$13.99B
$512.18M
1484
BJBJs Wholesale Club Holdings, Inc. Common Stock $98.94
1.236M
$12.95B
$122.29M
1485
$260.95
1.234M
$104.63B
$321.95M
1486
BTSGBrightSpring Health Services, Inc. Common Stock $40.30
1.232M
$7.27B
$49.64M
1487
REZIResideo Technologies, Inc. Common Stock $35.72
1.231M
$5.35B
$43.98M
1488
$526.52
1.231M
$117.74B
$648.07M
1489
PAGPPlains GP Holdings, L.P. Class A Units representing Limited Partner Interests $22.02
1.231M
$4.36B
$27.10M
1490
THMInternational Tower Hill Mines, Ltd. $2.94
1.23M
$767.57M
$3.62M
1491
$125.55
1.23M
$28.06B
$154.41M
1492
WWWWolverine World Wide, Inc. $17.58
1.23M
$1.44B
$21.62M
1493
ADPTAdaptive Biotechnologies Corporation Common Stock $16.05
1.225M
$2.45B
$19.67M
1494
RAREUltragenyx Pharmaceutical Inc. $22.75
1.225M
$2.20B
$27.88M
1495
$98.57
1.225M
$10.62B
$120.73M
1496
CYPHCypherpunk Technologies Inc. Common Stock $0.6400
1.225M
$36.26M
$783.73K
1497
LPROOpen Lending Corporation Common Stock $1.40
1.224M
$165.47M
$1.71M
1498
LDOSLeidos Holdings, Inc. $173.00
1.22M
$21.87B
$211.14M
1499
CNXCConcentrix Corporation Common Stock $30.43
1.218M
$1.87B
$37.08M
1500
ESTAEstablishment Labs Holdings Inc. $79.67
1.218M
$2.32B
$97.01M