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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
1801
EBCEastern Bankshares, Inc. Common Stock
$20.83
-0.13
-0.62%
743.479K
$4.89B
$15.49M
1802
PGNYProgyny, Inc. Common Stock
$16.40
-0.33
-1.97%
742.584K
$1.28B
$12.18M
1803
CGENCompugen Ltd
$2.65
+0.16
+6.33%
742.267K
$250.35M
$1.97M
1804
ARXAccelerant Holdings
$12.77
-0.32
-2.44%
741.217K
$1.49B
$9.47M
1805
HNSTThe Honest Company, Inc. Common Stock
$2.93
+0.08
+2.67%
739.212K
$329.11M
$2.16M
1806
ELSEquity Lifestyle Properties, Inc.
$64.06
+0.02
+0.03%
738.235K
$12.42B
$47.29M
1807
PFGPrincipal Financial Group, Inc.
$91.80
-0.11
-0.12%
734.731K
$19.91B
$67.45M
1808
CSTECaesarstone Ltd.
$1.58
+0.16
+11.27%
734.625K
$54.63M
$1.16M
1809
COCOThe Vita Coco Company, Inc. Common Stock
$51.00
+1.81
+3.68%
733.627K
$2.91B
$37.41M
1810
LPROOpen Lending Corporation Common Stock
$1.50
+0.05
+3.45%
732.547K
$176.51M
$1.10M
1811
ZTOZTO Express (Cayman) Inc. American Depositary Shares, each representing one Class A ordinary share
$24.76
-0.01
-0.04%
730.168K
$13.96B
$18.08M
1812
WINGWingstop Inc
$179.70
-0.11
-0.06%
730.087K
$4.91B
$131.20M
1813
HLXHelix Energy Solutions Group, Inc.
$9.56
+0.01
+0.10%
729.271K
$1.41B
$6.97M
1814
CRICarter's Inc.
$35.52
-1.39
-3.77%
728.483K
$1.31B
$25.88M
1815
NKTXNkarta, Inc. Common Stock
$2.21
-0.07
-3.07%
728.275K
$157.55M
$1.61M
1816
VALValaris Limited
$97.73
+0.35
+0.36%
727.891K
$6.77B
$71.14M
1817
PRCTPROCEPT BioRobotics Corporation Common Stock
$23.10
-0.33
-1.41%
727.228K
$1.30B
$16.80M
1818
WLTHWealthfront Corporation Common Stock
$9.89
-0.26
-2.56%
727.089K
$1.48B
$7.19M
1819
ARHSArhaus, Inc. Class A Common Stock
$6.60
-0.05
-0.75%
726.07K
$357.48M
$4.79M
1820
INVAInnoviva, Inc. Common Stock
$23.77
-0.75
-3.06%
726.02K
$1.76B
$17.26M
1821
LMTLockheed Martin Corp.
$616.66
-8.38
-1.34%
725.055K
$142.12B
$447.12M
1822
ALLThe Allstate Corporation
$210.99
-3.21
-1.50%
724.783K
$54.76B
$152.92M
1823
SWBISmith & Wesson Brands, Inc. Common Stock
$14.30
-0.16
-1.10%
723.978K
$636.29M
$10.35M
1824
GEOThe GEO Group, Inc.
$17.62
-0.34
-1.89%
722.448K
$2.34B
$12.73M
1825
SEICSEI Investments Co
$76.98
+0.09
+0.12%
722.421K
$9.41B
$55.61M
1826
OHIOmega Healthcare Investors Inc.
$45.79
-0.02
-0.04%
721.516K
$13.53B
$33.04M
1827
TMHCTaylor Morrison Home Corporation Common Stock
$59.41
-0.80
-1.33%
721.133K
$5.72B
$42.84M
1828
ITWIllinois Tool Works Inc.
$270.52
-3.29
-1.20%
719.926K
$77.93B
$194.75M
1829
MTSIMACOM Technology Solutions Holdings, Inc
$259.40
+1.79
+0.69%
719.918K
$19.46B
$186.75M
1830
ASTLAlgoma Steel Group Inc. Common Shares
$4.71
+0.02
+0.43%
719.648K
$494.54M
$3.39M
1831
MIAXMiami International Holdings, Inc.
$41.95
+0.60
+1.45%
717.942K
$3.84B
$30.12M
1832
BKUBankunited, Inc.
$46.66
-0.60
-1.27%
717.798K
$3.44B
$33.49M
1833
ARQTArcutis Biotherapeutics, Inc. Common Stock
$24.21
-0.39
-1.59%
717.292K
$3.00B
$17.37M
1834
CEPTCantor Equity Partners II, Inc. Class A Ordinary Share
$10.96
-0.01
-0.09%
716.989K
$269.40M
$7.86M
1835
SNEXStoneX Group Inc. Common Stock
$92.90
-0.90
-0.96%
715.869K
$4.87B
$66.50M
1836
PLAYDave & Buster's Entertainment, Inc.
$13.13
-0.53
-3.88%
715.091K
$456.13M
$9.39M
1837
SBLKStar Bulk Carriers Corp.
$24.33
+0.01
+0.04%
714.203K
$2.71B
$17.38M
1838
ATATAtour Lifestyle Holdings Limited American Depositary Shares
$36.05
-0.78
-2.12%
714.164K
$4.10B
$25.75M
1839
SSSSSuRo Capital Corp. Common Stock
$11.73
-1.25
-9.63%
714.154K
$297.80M
$8.38M
1840
GCTSGCT Semiconductor Holding, Inc.
$1.30
+0.00
+0.00%
713.304K
$94.24M
$927.30K
1841
GDSGDS Holdings Limited ADS
$41.40
-0.65
-1.55%
713.278K
$7.82B
$29.53M
1842
FBPFirst BanCorp.
$22.64
-0.26
-1.14%
712.937K
$3.53B
$16.14M
1843
AMLXAmylyx Pharmaceuticals, Inc. Common Stock
$16.15
-1.22
-7.02%
712.447K
$1.79B
$11.51M
1844
VYGRVoyager Therapeutics, Inc. Common Stock
$3.76
-0.25
-6.24%
711.754K
$224.08M
$2.68M
1845
QRVOQorvo, Inc.
$79.81
-0.02
-0.03%
710.231K
$7.40B
$56.68M
1846
NMRANeumora Therapeutics, Inc. Common Stock
$2.08
-0.01
-0.48%
709.694K
$378.65M
$1.48M
1847
ITTITT Inc.
$216.90
+0.40
+0.18%
709.484K
$19.39B
$153.89M
1848
RJFRaymond James Financial, Inc.
$146.19
-1.60
-1.08%
708.941K
$28.81B
$103.64M
1849
PYXSPyxis Oncology, Inc. Common Stock
$1.70
+0.09
+5.59%
708.842K
$106.81M
$1.21M
1850
VIAVia Renewables, Inc. Class A Common Stock
$15.07
-0.53
-3.40%
708.653K
$1.17B
$10.68M
1851
CAECAE INC
$27.48
-0.08
-0.29%
708.121K
$8.84B
$19.46M
1852
SKESkeena Resources Limited
$33.43
+0.72
+2.20%
707.321K
$4.07B
$23.65M
1853
OSGOverseas Shipholding Group Inc.
$3.94
-0.23
-5.52%
703.673K
$177.11M
$2.77M
1854
IVAInventiva S.A. American Depository Shares
$5.24
-0.15
-2.78%
702.638K
$1.09B
$3.68M
1855
TMDXTransMedics Group, Inc. Common Stock
$114.50
+4.50
+4.09%
699.848K
$3.93B
$80.13M
1856
LBRDKLiberty Broadband Corporation Class C
$51.13
-0.96
-1.84%
698.54K
$6.38B
$35.72M
1857
APDAir Products & Chemicals, Inc.
$299.30
-0.66
-0.22%
698.126K
$66.64B
$208.95M
1858
EDConsolidated Edison, Inc.
$113.56
-1.44
-1.25%
697.612K
$41.02B
$79.22M
1859
KULRKULR Technology Group, Inc.
$2.15
+0.03
+1.45%
696.616K
$99.45M
$1.50M
1860
UAVSAgEagle Aerial Systems, Inc.
$0.9200
-0.0088
-0.95%
696.242K
$52.67M
$640.54K
1861
AMEAmetek, Inc.
$234.91
+1.25
+0.53%
696.076K
$53.81B
$163.52M
1862
DANDana Incorporated
$36.46
+0.07
+0.19%
693.97K
$3.99B
$25.30M
1863
EXPDExpeditors International of Washington, Inc.
$143.06
-1.77
-1.22%
693.239K
$19.02B
$99.17M
1864
STEPStepStone Group Inc. Class A Common Stock
$45.91
-0.29
-0.63%
693.203K
$3.68B
$31.82M
1865
RRXRegal Rexnord Corporation
$208.33
-1.40
-0.67%
692.823K
$13.87B
$144.34M
1866
ELVElevance Health, Inc.
$311.53
-6.89
-2.16%
691.817K
$68.43B
$215.52M
1867
AUBAtlantic Union Bankshares Corporation
$38.03
-0.63
-1.63%
691.452K
$5.44B
$26.30M
1868
WTTRSelect Water Solutions, Inc.
$15.15
+0.03
+0.20%
691.242K
$1.85B
$10.47M
1869
ZIPZipRecruiter, Inc.
$2.01
-0.10
-4.74%
690.822K
$143.48M
$1.39M
1870
SLGSL Green Realty Corp.
$38.69
+0.79
+2.08%
690.778K
$2.75B
$26.73M
1871
GTLSChart Industries, Inc.
$207.79
+0.02
+0.01%
690.01K
$9.95B
$143.38M
1872
CIThe Cigna Group
$271.25
-6.62
-2.38%
685.948K
$71.48B
$186.06M
1873
CDNACareDx, Inc.
$16.05
-0.65
-3.89%
685.776K
$822.02M
$11.01M
1874
KURAKura Oncology, Inc.
$8.61
-0.34
-3.80%
685.663K
$760.52M
$5.90M
1875
BLSHBullish
$36.23
+0.03
+0.08%
685.653K
$5.46B
$24.84M
1876
PRMPerimeter Solutions, SA
$25.48
+0.40
+1.59%
684.579K
$3.81B
$17.44M
1877
PLNTPlanet Fitness, Inc.
$70.40
-1.83
-2.53%
684.173K
$5.57B
$48.17M
1878
MFAMFA Financial, Inc
$9.99
-0.03
-0.30%
682.568K
$1.02B
$6.82M
1879
PRVAPrivia Health Group, Inc. Common Stock
$22.37
-0.33
-1.45%
682.389K
$2.81B
$15.27M
1880
XPOXPO, Inc.
$212.74
-0.46
-0.22%
680.719K
$24.92B
$144.82M
1881
TWTradeweb Markets Inc. Class A Common Stock
$121.89
+0.26
+0.21%
679.993K
$14.14B
$82.88M
1882
HSICHenry Schein Inc
$75.54
-0.31
-0.41%
679.68K
$8.66B
$51.34M
1883
RIGLRigel Pharmaceuticals Inc. (New)
$29.31
-1.24
-4.06%
678.705K
$541.65M
$19.89M
1884
WWRWestwater Resources, Inc.
$0.6100
-0.0127
-2.04%
677.499K
$76.07M
$413.27K
1885
ACADAcadia Pharmaceuticals Inc.
$21.74
-0.84
-3.72%
677.225K
$3.71B
$14.72M
1886
RPMRPM International, Inc.
$109.20
-2.41
-2.16%
676.743K
$13.99B
$73.90M
1887
OBAITG-17, Inc. Common Stock
$1.19
+0.02
+1.71%
676.628K
$24.60M
$805.19K
1888
VTEXVTEX
$4.03
-0.07
-1.71%
676.567K
$373.08M
$2.73M
1889
RYAAYRyanair Holdings plc American Depositary Shares
$62.36
-0.30
-0.48%
676.199K
$32.69B
$42.17M
1890
WLKWestlake Corporation
$119.07
+1.82
+1.55%
675.167K
$15.25B
$80.39M
1891
SPWRSunPower Corporation Common Stock
$1.16
+0.02
+1.75%
673.913K
$131.78M
$781.74K
1892
SBRASabra Healthcare REIT, Inc.
$20.46
+0.11
+0.54%
673.737K
$5.16B
$13.78M
1893
NVSNovartis AG
$153.80
-2.25
-1.44%
673.437K
$312.96B
$103.57M
1894
BGBunge Global SA
$123.92
+0.59
+0.48%
673.122K
$23.98B
$83.41M
1895
BCYCBicycle Therapeutics plc American Depositary Shares
$4.90
-0.07
-1.41%
671.826K
$246.32M
$3.29M
1896
AGROADECOAGRO S.A.
$14.40
+0.34
+2.42%
670.988K
$1.44B
$9.66M
1897
MSDLMorgan Stanley Direct Lending Fund
$14.35
+0.11
+0.77%
670.368K
$1.23B
$9.62M
1898
LHLabcorp Holdings Inc.
$260.93
-12.06
-4.42%
670.192K
$21.50B
$174.87M
1899
AVAHAveanna Healthcare Holdings Inc. Common Stock
$6.22
-0.45
-6.75%
670.084K
$1.35B
$4.17M
1900
EXPIeXp World Holdings, Inc. Common Stock
$5.91
-0.09
-1.50%
669.721K
$956.79M
$3.96M