Stock Rankings by Volume - Rankings 1601 to 1700
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 1601 to 1700.
1601
BSMBlack Stone Minerals, L.P. $13.70
1K
$2.90B
$13.70K
1602
NINENine Energy Service, Inc. $0.3750
36.433K
$16.26M
$13.66K
1603
LGHLLion Group Holding Ltd. American Depositary Share $0.4345
31.383K
$1.73M
$13.64K
1604
$29.01
470
$1.78B
$13.63K
1605
$0.6188
21.982K
$175.05M
$13.60K
1606
VFFVillage Farms International, Inc. Common Shares $3.60
3.756K
$415.86M
$13.52K
1607
$38.51
351
$1.57B
$13.52K
1608
FTKFlotek Industries, Inc. $13.40
1K
$402.77M
$13.40K
1609
NEXTNextDecade Corporation Common Stock $5.90
2.25K
$1.56B
$13.28K
1610
SRZNSurrozen, Inc. Common $13.25
1K
$113.57M
$13.25K
1611
UAVSAgEagle Aerial Systems, Inc. $1.08
12.233K
$43.28M
$13.21K
1612
TERNTerns Pharmaceuticals, Inc. Common Stock $26.24
502
$2.36B
$13.17K
1613
$44.35
297
$8.46B
$13.17K
1614
ATATAtour Lifestyle Holdings Limited American Depositary Shares $35.49
370
$4.90B
$13.13K
1615
XRXXerox Holdings Corporation Common Stock $2.35
5.553K
$300.89M
$13.05K
1616
$65.10
200
$27.59B
$13.02K
1617
SIDUSidus Space, Inc. Class A Common Stock $0.7199
18.012K
$25.37M
$12.97K
1618
PRCHPorch Group, Inc. Common Stock $9.10
1.421K
$958.88M
$12.93K
1619
OROsisko Gold Royalties Ltd $32.19
400
$6.06B
$12.88K
1620
JELDJELD-WEN Holding, Inc. $1.91
6.73K
$163.17M
$12.85K
1621
$10.08
1.275K
$703.94M
$12.85K
1622
UNCYUnicycive Therapeutics, Inc. Common Stock $5.30
2.411K
$113.90M
$12.78K
1623
ASCARDMORE SHIPPING CORPORATION $12.75
1K
$518.90M
$12.75K
1624
$4.50
2.833K
$52.53M
$12.75K
1625
$84.15
150
$4.74B
$12.62K
1626
VSEEVSee Health, Inc. Common Stock $0.6496
19.362K
$11.06M
$12.58K
1627
MATHMetalpha Technology Holding Limited Ordinary Shares $2.91
4.32K
$114.94M
$12.57K
1628
DOCHealthpeak Properties, Inc. $17.64
710
$12.26B
$12.52K
1629
$125.24
100
$12.68B
$12.52K
1630
GNTAGenenta Science S.p.A. American Depositary Shares $1.74
7.195K
$40.77M
$12.52K
1631
MLGOMicroAlgo, Inc. Ordinary Shares $6.11
2.047K
$66.85M
$12.51K
1632
TCPCBlackRock TCP Capital Corp. Common Stock $5.62
2.211K
$476.83M
$12.43K
1633
$2.32
5.324K
$130.82M
$12.35K
1634
ALVOAlvotech Ordinary Shares $5.12
2.4K
$1.60B
$12.29K
1635
$12.28
1K
$1.80B
$12.28K
1636
HRHealthcare Realty Trust Incorporated $17.52
700
$6.16B
$12.26K
1637
HRTGHERITAGE INSURANCE HOLDINGS INC $26.22
465
$810.50M
$12.19K
1638
FOLDAmicus Therapeutics, Inc $9.48
1.285K
$2.92B
$12.18K
1639
ATEXAnterix Inc. Common Stock $20.30
599
$379.95M
$12.16K
1640
CGTLCreative Global Technology Holdings Limited Ordinary Shares $0.6297
19.307K
$16.20M
$12.16K
1641
$31.60
383
$800.59M
$12.10K
1642
VTGNVistagen Therapeutics, Inc. Common Stock $4.50
2.663K
$177.73M
$11.98K
1643
GLBEGlobal-E Online Ltd. Ordinary Shares $35.23
340
$5.98B
$11.98K
1644
CYRXCryoPort, Inc. Common Stock $8.26
1.436K
$413.57M
$11.86K
1645
EMPDEmpery Digital Inc. Common stock $4.58
2.584K
$162.99M
$11.83K
1646
NSCNorfolk Southern Corp. $281.60
42
$63.19B
$11.83K
1647
STIMNeuronetics, Inc. Common Stock $1.28
9.168K
$87.66M
$11.74K
1648
$101.93
115
$20.01B
$11.72K
1649
ALTAltimmune, Inc. Common Stock $4.50
2.601K
$469.54M
$11.70K
1650
IRONDisc Medicine, Inc. Common Stock $89.91
130
$3.39B
$11.69K
1651
BNAIBrand Engagement Network Inc. Common Stock $0.3487
33.437K
$15.74M
$11.66K
1652
$18.54
628
$2.12B
$11.64K
1653
LWLamb Weston Holdings, Inc. $56.14
207
$7.82B
$11.62K
1654
$3.49
3.313K
$739.18M
$11.56K
1655
$57.72
200
$2.25B
$11.54K
1656
UDMYUdemy, Inc. Common Stock $4.94
2.335K
$723.10M
$11.53K
1657
STGSunlands Technology Group, American Depositary Shares, American Depositary Shares, every two (2) ADSs representing one (1) Class A Ordinary Share $5.64
2.037K
$76.12M
$11.49K
1658
$21.56
532
$15.54B
$11.47K
1659
GAMEGameSquare Holdings, Inc. Common Stock $0.4699
24.266K
$46.23M
$11.40K
1660
SFHGSamfine Creation Holdings Group Limited Ordinary Share $0.3839
29.514K
$7.79M
$11.33K
1661
HUSAHouston American Energy Corp $3.58
3.143K
$123.98M
$11.25K
1662
PSNYGores Guggenheim, Inc. Class A Common Stock $0.5430
20.697K
$1.15B
$11.24K
1663
RVMDRevolution Medicines, Inc. Common Stock $70.29
159
$13.59B
$11.18K
1664
HYLNHyliion Holdings Corp. $1.63
6.81K
$286.84M
$11.10K
1665
MFGMizuho Financial Group, Inc. American Depositary Shares (Each representing one-fifth of an Ordinary Share) $6.56
1.689K
$81.52B
$11.08K
1666
KLXEKLX Energy Services Holdings, Inc. Common Stock $1.60
6.9K
$28.54M
$11.04K
1667
SPROSpero Therapeutics, Inc. Common Stock $2.25
4.884K
$126.76M
$10.99K
1668
$36.45
300
$8.14B
$10.94K
1669
LMFALM Funding America, Inc. Common Stock $0.8000
13.644K
$9.47M
$10.92K
1670
$14.51
750
$5.29B
$10.88K
1671
BTCTBTC Digital Ltd. Ordinary Shares $1.67
6.441K
$15.89M
$10.76K
1672
STWDSTARWOOD PROPERTY TRUST, INC. $17.70
606
$6.55B
$10.73K
1673
FGNXFundamental Global Inc. Common Stock $2.47
4.302K
$104.27M
$10.63K
1674
WGRXWellgistics Health, Inc. Common Stock $0.4804
22.113K
$49.06M
$10.62K
1675
LOBOLOBO EV TECHNOLOGIES LTD. Ordinary shares $0.5114
20.707K
$6.08M
$10.59K
1676
CLBTCellebrite DI Ltd. Class A Ordinary Shares $17.45
606
$4.27B
$10.57K
1677
DRCTDirect Digital Holdings, Inc. Class A Common Stock $0.1468
72.022K
$3.98M
$10.57K
1678
BACQBleichroeder Acquisition Corp. I Class A Ordinary Shares $10.56
1K
$356.49M
$10.56K
1679
$26.28
400
$2.66B
$10.51K
1680
EVAXEvaxion Biotech A/S American Depositary Share $5.42
1.941K
$44.96M
$10.51K
1681
$33.81
310
$4.96B
$10.48K
1682
GTXGarrett Motion Inc. Common Stock $16.76
625
$3.26B
$10.47K
1683
FLGTFulgent Genetics, Inc. Common Stock $28.75
363
$888.73M
$10.44K
1684
PRUPrudential Financial, Inc. $104.12
100
$36.43B
$10.41K
1685
$8.99
1.15K
$918.74M
$10.34K
1686
SIDCompanhia Siderurgica Nacional S.A. (CSN) $1.50
6.866K
$1.99B
$10.30K
1687
KODKEASTMAN KODAK COMPANY $6.85
1.491K
$660.34M
$10.21K
1688
PMTRPerimeter Acquisition Corp. I Class A Ordinary Shares $10.20
1K
$314.42M
$10.20K
1689
SBGISinclair, Inc. Class A Common Stock $15.50
657
$1.08B
$10.18K
1690
MSGMMotorsport Games Inc. Class A Common Stock $2.59
3.929K
$13.15M
$10.18K
1691
PGNYProgyny, Inc. Common Stock $24.38
415
$2.10B
$10.12K
1692
NVXNOVONIX Limited American Depository Shares $1.02
9.909K
$214.21M
$10.11K
1693
$2.41
4.19K
$202.04M
$10.09K
1694
CCDCalamos Dynamic Convertible & Income Fund $20.00
500
$541.10M
$10.00K
1695
NEGGNewegg Commerce, Inc. Common Shares $59.51
168
$1.25B
$10.00K
1696
FSCOFS Credit Opportunities Corp. $6.15
1.623K
$1.22B
$9.98K
1697
POLAPolar Power, Inc. Common Stock $2.27
4.365K
$5.70M
$9.91K
1698
CRDLCardiol Therapeutics Inc. Class A Common Shares $0.9701
10.2K
$97.01M
$9.90K
1699
VANIVivani Medical, Inc. Common Stock (DE) $1.34
7.39K
$97.39M
$9.87K
1700
VLNValens Semiconductor Ltd. $1.43
6.877K
$146.38M
$9.83K