Stock Rankings by Volume - Rankings 1801 to 1900
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 1801 to 1900.
1801
PICSPicpay Holdings Netherlands N.V. Class A Common Shares $16.94
891.247K
$2.20B
$15.10M
1802
UNCYUnicycive Therapeutics, Inc. Common Stock $6.79
891.132K
$145.93M
$6.05M
1803
PGNYProgyny, Inc. Common Stock $20.78
889.911K
$1.79B
$18.49M
1804
INDVIndivior PLC Ordinary Shares $33.06
888.267K
$4.13B
$29.37M
1805
$4.68
887.353K
$432.44M
$4.15M
1806
$21.90
887.31K
$3.46B
$19.43M
1807
ARCOARCOS DORADOS HOLDINGS INC. $8.69
885.536K
$1.14B
$7.70M
1808
FRGTFreight Technologies, Inc. Ordinary Shares $1.26
884.422K
$1.97M
$1.11M
1809
$98.99
884.153K
$17.24B
$87.52M
1810
$251.63
883.14K
$36.66B
$222.22M
1811
CENNCenntro Inc. Common Stock $0.1146
881.626K
$10.07M
$101.03K
1812
$3.32
881.591K
$1.68B
$2.93M
1813
$11.59
881.263K
$1.32B
$10.21M
1814
HCATHealth Catalyst, Inc Common Stock $1.86
879.682K
$131.56M
$1.64M
1815
$47.30
879.55K
$2.95B
$41.60M
1816
$230.99
879.401K
$31.15B
$203.13M
1817
TRVThe Travelers Companies, Inc. $305.43
878.88K
$66.05B
$268.44M
1818
XERSXeris Biopharma Holdings, Inc. Common Stock $6.68
878.847K
$1.11B
$5.87M
1819
$146.09
877.79K
$30.36B
$128.24M
1820
TSSITSS, Inc. Common Stock $8.45
874.564K
$243.74M
$7.39M
1821
BIPBrookfield Infrastructure Partners L.P. Limited Partnership Units $39.16
874.112K
$18.06B
$34.23M
1822
PBProsperity Bancshares Inc $70.96
873.518K
$6.74B
$61.98M
1823
BLNKBlink Charging Co. Common Stock $0.6815
873.274K
$78.09M
$595.14K
1824
NWSNews Corporation Class B Common Stock $25.97
873.195K
$4.81B
$22.68M
1825
$198.55
872.647K
$79.40B
$173.26M
1826
PKGPackaging Corp of America $228.89
871.198K
$20.59B
$199.41M
1827
$86.66
870.415K
$3.21B
$75.43M
1828
AINAlbany International Corp Class A $54.86
870.282K
$1.57B
$47.74M
1829
LBRDKLiberty Broadband Corporation Class C $53.98
868.528K
$6.74B
$46.88M
1830
$27.78
868.137K
$1.51B
$24.12M
1831
FRFirst Industrial Realty Trust, Inc. $62.21
867.597K
$8.24B
$53.97M
1832
$13.64
867.58K
$633.15M
$11.83M
1833
WPCW.P. Carey Inc. (REIT) $73.44
867.215K
$16.10B
$63.69M
1834
SWKStanley Black & Decker, Inc. $89.25
866.353K
$13.82B
$77.32M
1835
$4.36
863.491K
$404.05M
$3.76M
1836
ABVEAbove Food Ingredients Inc. Common Stock $1.44
860.439K
$41.09M
$1.24M
1837
CMRCCommerce.com, Inc. Series 1 Common Stock $2.84
857.262K
$230.79M
$2.43M
1838
LENZLENZ Therapeutics, Inc. Common Stock $12.82
856.554K
$401.14M
$10.98M
1839
$217.26
856.478K
$8.09B
$186.08M
1840
EWCZEuropean Wax Center, Inc. Class A Common Stock $5.72
854.235K
$249.92M
$4.89M
1841
SKWDSkyward Specialty Insurance Group, Inc. Common Stock $45.07
853.988K
$1.82B
$38.49M
1842
CLNEClean Energy Fuels Corp. $2.58
853.926K
$565.60M
$2.20M
1843
LILAKLiberty Latin America Ltd. Class C Common Stock $8.18
853.216K
$1.30B
$6.98M
1844
SLDBSolid Biosciences Inc. Common Stock $6.17
853.202K
$480.71M
$5.26M
1845
GILTGilat Satellite Networks Ltd $15.52
853.176K
$1.14B
$13.24M
1846
$6.35
853.146K
$649.79M
$5.42M
1847
$83.18
852.952K
$7.71B
$70.95M
1848
$5.90
852.64K
$393.98M
$5.03M
1849
EXRExtra Space Storage, Inc. $149.68
852.288K
$31.60B
$127.57M
1850
ENLVEnlivex Therapeutics Ltd. Ordinary Shares $1.16
846.251K
$275.36M
$981.65K
1851
MMSIMerit Medical Systems Inc $85.49
845.165K
$5.07B
$72.25M
1852
BETABeta Technologies, Inc. $18.77
844.983K
$4.14B
$15.86M
1853
SGMTSagimet Biosciences Inc. Series A Common Stock $5.98
844.613K
$185.39M
$5.05M
1854
CGEMCullinan Therapeutics, Inc. Common Stock $14.27
842.99K
$843.02M
$12.03M
1855
ALMUAeluma, Inc. Common Stock $17.75
841.757K
$320.38M
$14.94M
1856
FERFerrovial SE Ordinary Shares $72.91
841.347K
$52.08B
$61.34M
1857
GLTOGalecto, Inc. Common Stock $31.75
841.038K
$50.71M
$26.70M
1858
$89.92
840.755K
$3.62B
$75.60M
1859
$0.6499
840.629K
$71.02M
$546.32K
1860
MDUMDU Resources Group, Inc. $20.30
839.965K
$4.15B
$17.05M
1861
$170.65
838.847K
$238.52B
$143.15M
1862
$7.16
838.653K
$564.13M
$6.00M
1863
$48.01
838.427K
$5.45B
$40.25M
1864
$134.53
838.34K
$15.80B
$112.78M
1865
$308.16
838.058K
$87.28B
$258.26M
1866
EYENational Vision Holdings, Inc. Common Stock $26.21
837.781K
$2.08B
$21.96M
1867
ADAMAdamas Trust, Inc. Common Stock $8.02
836.778K
$725.60M
$6.71M
1868
TRGPTarga Resources Corp. $234.98
835.172K
$50.51B
$196.25M
1869
$56.32
834.871K
$5.04B
$47.02M
1870
$22.88
833.546K
$1.31B
$19.07M
1871
$185.53
832.633K
$13.31B
$154.48M
1872
$5.88
832.58K
$159.63M
$4.90M
1873
XENEXenon Pharmaceuticals Inc $44.79
831.817K
$3.46B
$37.26M
1874
FIBKFirst Interstate BancSystem, Inc. Common Stock (DE) $35.56
831.42K
$3.66B
$29.57M
1875
MSDLMorgan Stanley Direct Lending Fund $15.39
831.265K
$1.34B
$12.79M
1876
STGWStagwell Inc. Class A Common Stock $4.51
831.242K
$1.14B
$3.75M
1877
EMPDEmpery Digital Inc. Common stock $3.55
830.446K
$129.30M
$2.95M
1878
$14.83
828.936K
$2.26B
$12.29M
1879
$246.74
828.753K
$24.20B
$204.49M
1880
LAURLaureate Education, Inc. Common Stock $33.49
828.517K
$4.78B
$27.75M
1881
JELDJELD-WEN Holding, Inc. $2.01
826.535K
$171.71M
$1.66M
1882
ARLOArlo Technologies, Inc. $11.61
824.043K
$1.23B
$9.57M
1883
$19.81
823.484K
$804.11M
$16.31M
1884
$99.80
823.228K
$14.01B
$82.16M
1885
$224.18
822.184K
$10.99B
$184.32M
1886
AIOSAIOS Tech Inc. Class A Common Shares $0.6510
819.148K
$2.95M
$533.27K
1887
CMCOColumbus McKinnon Corp/NY $19.28
817.379K
$554.08M
$15.76M
1888
$79.43
816.388K
$3.94B
$64.85M
1889
TKCTURKCELL ILETISIM HIZMETLERI A.S. ADS $7.00
815.929K
$6.16B
$5.71M
1890
YYAIConnexa Sports Technologies Inc. Common Stock $0.9000
815.577K
$17.08M
$734.02K
1891
$140.90
814.768K
$27.10B
$114.80M
1892
CGBDCarlyle Secured Lending, Inc. Common Stock $11.45
810.24K
$834.74M
$9.28M
1893
ADVAdvantage Solutions Inc. Class A Common Stock $0.5000
809.822K
$163.75M
$404.91K
1894
HWCHancock Whitney Corporation Common Stock $67.67
809.238K
$5.66B
$54.76M
1895
TWSTTwist Bioscience Corporation Common Stock $48.53
808.096K
$2.98B
$39.22M
1896
$23.79
806.587K
$5.21B
$19.19M
1897
CNTACentessa Pharmaceuticals plc American Depositary Shares $26.52
806.285K
$3.87B
$21.38M
1898
OLEDUniversal Display Corp $106.44
806.238K
$5.01B
$85.82M
1899
PARRPar Pacific Holdings, Inc. Common Stock $39.95
805.143K
$2.01B
$32.17M
1900
WALWestern Alliance Bancorporation $88.21
805.121K
$9.71B
$71.02M