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
HOMBHome BancShares, Inc. $27.78
660.241K
$5.46B
$18.34M
1602
IMVTImmunovant, Inc. Common Stock $25.54
717.533K
$5.15B
$18.33M
1603
LCLendingClub Corporation $18.94
966.702K
$2.18B
$18.31M
1604
ODDODDITY Tech Ltd. Class A Ordinary Shares $40.20
454.74K
$2.31B
$18.28M
1605
ALGMAllegro MicroSystems, Inc. Common Stock $26.38
691.938K
$4.88B
$18.25M
1606
VACMARRIOTT VACATIONS WORLDWIDE CORPORATION $57.69
315.497K
$2.00B
$18.20M
1607
IBRXImmunityBio, Inc. Common Stock $2.00
9.087M
$1.97B
$18.17M
1608
VISTVista Energy S.A.B. de C.V. $49.30
368.431K
$5.14B
$18.16M
1609
LIVNLivaNova PLC Ordinary Shares $61.53
295.136K
$3.36B
$18.16M
1610
$119.03
152.117K
$1.72B
$18.11M
1611
$12.19
1.485M
$1.72B
$18.10M
1612
SHCSotera Health Company Common Stock $17.64
1.026M
$5.01B
$18.10M
1613
$143.70
125.95K
$4.94B
$18.10M
1614
$107.39
168.154K
$1.98B
$18.06M
1615
VIRTVirtu Financial, Inc. Class A $33.32
541.197K
$2.83B
$18.03M
1616
SAICScience Applications International Corporation Common Stock $100.66
179.066K
$4.54B
$18.02M
1617
TENBTenable Holdings, Inc. $23.53
763.727K
$2.81B
$17.97M
1618
$293.53
61.106K
$4.90B
$17.94M
1619
NWENorthWestern Energy Group, Inc. Common Stock $64.54
277.677K
$3.96B
$17.92M
1620
APPNAppian Corporation Class A Common Stock $35.42
505.671K
$2.61B
$17.91M
1621
PRKSUnited Parks & Resorts Inc. $36.30
493.099K
$1.98B
$17.90M
1622
$63.25
281.895K
$2.13B
$17.83M
1623
AGIOAgios Pharmaceuticals, Inc. $27.22
655.009K
$1.59B
$17.83M
1624
$5.70
3.128M
$2.05B
$17.83M
1625
OPCHOption Care Health, Inc. Common Stock $31.86
559.457K
$5.06B
$17.82M
1626
$214.13
83.015K
$4.51B
$17.78M
1627
HIWHighwoods Properties Inc. $25.80
688.037K
$2.84B
$17.75M
1628
GDSGDS Holdings Limited ADS $34.90
507.879K
$6.68B
$17.72M
1629
$29.13
606.183K
$2.49B
$17.66M
1630
$40.37
436.507K
$4.27B
$17.62M
1631
NWGNatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) $17.51
1.006M
$70.00B
$17.61M
1632
ECGEverus Construction Group, Inc. $85.56
205.832K
$4.36B
$17.61M
1633
$52.93
331.812K
$3.51B
$17.56M
1634
$30.44
576.258K
$2.84B
$17.54M
1635
$146.77
119.456K
$5.42B
$17.53M
1636
THGThe Hanover Insurance Group, Inc. $182.77
95.834K
$6.50B
$17.52M
1637
DXCDXC Technology Company $14.65
1.193M
$2.55B
$17.48M
1638
OMDAOmada Health, Inc. Common Stock $15.60
1.121M
$903.37M
$17.48M
1639
$20.54
850.834K
$2.69B
$17.48M
1640
GLIBKGCI Liberty, Inc. Series C GCI Group Common Stock $37.21
469.408K
$1.49B
$17.47M
1641
SIMOSilicon Motion Technology Corporation $92.70
188.419K
$3.15B
$17.47M
1642
HMCHonda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock $29.49
591.363K
$38.26B
$17.44M
1643
$8.07
2.158M
$6.62B
$17.42M
1644
NIQNIQ Global Intelligence plc $16.49
1.056M
$4.86B
$17.41M
1645
$14.52
1.198M
$2.23B
$17.41M
1646
WFRDWeatherford International plc Ordinary Shares $78.26
222.171K
$5.61B
$17.39M
1647
FTDRFrontdoor, Inc. Common Stock $57.69
301.256K
$4.16B
$17.38M
1648
BKDBrookdale Senior Living, Inc. $10.80
1.605M
$2.57B
$17.34M
1649
DLBDolby Laboratories, Inc.Class A $64.22
269.581K
$6.12B
$17.31M
1650
$94.07
183.726K
$1.15B
$17.28M
1651
HTGCHercules Capital, Inc. $18.91
913.262K
$3.44B
$17.27M
1652
$116.77
147.653K
$4.85B
$17.24M
1653
$102.67
167.776K
$5.42B
$17.23M
1654
MREOMereo BioPharma Group plc American Depositary Shares $0.3890
44.239M
$61.90M
$17.21M
1655
EMBJEmbraer S.A. American Depositary Shares (Each representing Four Common Shares) $64.34
267.34K
$11.63B
$17.20M
1656
CCCXChurchill Capital Corp X Class A Ordinary Shares $15.59
1.101M
$811.52M
$17.17M
1657
HGVHilton Grand Vacations Inc. Common Stock $44.75
383.665K
$3.83B
$17.17M
1658
ALHAlliance Laundry Holdings Inc. $20.21
848.499K
$4.10B
$17.15M
1659
$86.25
198.428K
$4.84B
$17.11M
1660
RTORentokil Initial plc American Depositary Shares (each representing five (5) Ordinary Shares) $29.47
580.59K
$14.82B
$17.11M
1661
$142.06
120.386K
$2.97B
$17.10M
1662
AMSCAmerican Superconductor Corp $28.80
593.06K
$1.37B
$17.08M
1663
ADPTAdaptive Biotechnologies Corporation Common Stock $16.24
1.052M
$2.48B
$17.08M
1664
KALVKalVista Pharmaceuticals, Inc. Common Stock $16.15
1.056M
$816.32M
$17.05M
1665
LPXLouisiana-Pacific Corp. $80.76
210.346K
$5.62B
$16.99M
1666
OLMAOlema Pharmaceuticals, Inc. Common Stock $24.95
680.665K
$2.00B
$16.98M
1667
$23.76
714.685K
$2.78B
$16.98M
1668
NSITInsight Enterprises Inc $81.47
208.16K
$2.52B
$16.96M
1669
BETRBetter Home & Finance Holding Company Class A Common Stock $32.59
518.566K
$511.55M
$16.90M
1670
SRRKScholar Rock Holding Corporation Common Stock $43.17
389.304K
$4.40B
$16.81M
1671
EPACEnerpac Tool Group Corp. $38.24
438.846K
$2.02B
$16.78M
1672
SGMLSigma Lithium Corporation Common Shares $13.22
1.267M
$1.47B
$16.75M
1673
RUMRumble Inc. Class A Common Stock $6.32
2.646M
$2.14B
$16.72M
1674
$116.55
143.054K
$4.58B
$16.67M
1675
$38.72
430.198K
$1.46B
$16.66M
1676
HSAIHesai Group American Depositary Share, each ADS represents one Class B ordinary share $22.41
742.652K
$3.50B
$16.64M
1677
$92.30
179.687K
$19.96B
$16.59M
1678
$12.64
1.311M
$2.07B
$16.57M
1679
TTITETRA Technologies, Inc. $9.35
1.771M
$1.25B
$16.56M
1680
JANXJanux Therapeutics, Inc. Common Stock $13.91
1.19M
$836.66M
$16.55M
1681
TRNOTerreno Realty Corporation $58.71
281.734K
$6.04B
$16.54M
1682
IRDMIridium Communications Inc. $17.45
942.545K
$1.83B
$16.45M
1683
$13.35
1.231M
$4.54B
$16.43M
1684
PECOPhillips Edison & Company, Inc. Common Stock $35.57
461.685K
$4.47B
$16.42M
1685
SGHCSuper Group (SGHC) Limited $11.95
1.37M
$6.04B
$16.37M
1686
GTESGates Industrial Corporation plc $21.47
760.594K
$5.55B
$16.33M
1687
ACHCAcadia Healthcare Company, Inc. $14.19
1.151M
$1.28B
$16.33M
1688
SLFSun Life Financial Inc. $62.40
261.442K
$34.67B
$16.31M
1689
DKDelek US Holdings, Inc. $29.66
548.403K
$1.78B
$16.27M
1690
CIVICivitas Resources, Inc. $27.00
601.351K
$2.30B
$16.24M
1691
CRAICRA International, Inc. $200.70
80.587K
$1.32B
$16.17M
1692
$11.74
1.377M
$172.36B
$16.16M
1693
BEPCBrookfield Renewable Corporation Class A Subordinate Voting Shares $38.34
420.984K
$6.89B
$16.14M
1694
MGYMagnolia Oil & Gas Corporation Class A Common Stock $21.89
736.69K
$4.01B
$16.13M
1695
UBSIUnited Bankshares Inc $38.33
420.286K
$5.34B
$16.11M
1696
DRSLeonardo DRS, Inc. Common Stock $34.09
470.789K
$9.07B
$16.05M
1697
FFINFirst Financial Bankshares Inc $30.17
530.962K
$4.32B
$16.02M
1698
MODGTopgolf Callaway Brands Corp. $11.83
1.354M
$2.18B
$16.01M
1699
HAYWHayward Holdings, Inc. $15.45
1.034M
$3.35B
$15.97M
1700
ZTOZTO Express (Cayman) Inc. American Depositary Shares, each representing one Class A ordinary share $20.71
770.918K
$12.03B
$15.97M