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
FTREFortrea Holdings Inc. Common Stock $17.67
949.472K
$1.67B
$16.78M
1802
DKDelek US Holdings, Inc. $56.00
949.255K
$3.43B
$53.16M
1803
HWCHancock Whitney Corporation Common Stock $74.94
948.585K
$6.08B
$71.09M
1804
OMDAOmada Health, Inc. Common Stock $23.13
947.907K
$1.38B
$21.93M
1805
BLNKBlink Charging Co. Common Stock $0.5900
947.524K
$84.77M
$559.04K
1806
CRDFCardiff Oncology, Inc. Common Stock $1.35
943.835K
$92.30M
$1.27M
1807
$7.06
943.692K
$3.53B
$6.66M
1808
ZGZILLOW GROUP INC CLASS A $33.21
943.495K
$1.41B
$31.33M
1809
$54.48
943.366K
$31.67B
$51.39M
1810
KEPKorea Electric Power Corp $11.95
942.482K
$15.34B
$11.26M
1811
AUBAtlantic Union Bankshares Corporation $42.00
941.188K
$6.01B
$39.53M
1812
UBSIUnited Bankshares Inc $45.91
941.05K
$6.33B
$43.20M
1813
$363.14
940.153K
$29.21B
$341.41M
1814
BKHBlack Hills Corporation $73.28
939.89K
$5.58B
$68.88M
1815
$38.90
939.043K
$6.21B
$36.53M
1816
CGTLCreative Global Technology Holdings Limited Ordinary Shares $4.65
938.873K
$7.97M
$4.37M
1817
BYDBoyd Gaming Corporation $87.37
938.831K
$6.49B
$82.03M
1818
$151.03
937.829K
$25.20B
$141.64M
1819
CELCCelcuity Inc. Common Stock $113.51
935.623K
$5.54B
$106.20M
1820
$20.10
933.462K
$1.97B
$18.76M
1821
$20.61
932.727K
$862.00M
$19.22M
1822
NOCNorthrop Grumman Corp. $531.74
931.387K
$75.52B
$495.26M
1823
VMCVulcan Materials Company(Holding Company) $288.73
931.223K
$37.46B
$268.87M
1824
ARLOArlo Technologies, Inc. $13.10
929.139K
$1.42B
$12.17M
1825
SFNCSimmons First National Corp $22.71
928.796K
$3.29B
$21.09M
1826
IQMXIQM Quantum Computers Oyj American Depositary Shares $12.07
926.617K
$161.34M
$11.18M
1827
$84.70
926.2K
$3.84B
$78.45M
1828
ZLABZai Lab Limited American Depositary Shares $20.00
925.657K
$2.28B
$18.51M
1829
HMCHonda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock $27.59
925.214K
$41.69B
$25.53M
1830
$29.63
924.864K
$1.74B
$27.40M
1831
IARTIntegra LifeSciences Holdings $18.39
923.845K
$1.43B
$16.99M
1832
$34.56
922.012K
$1.75B
$31.86M
1833
BRBroadridge Financial Solutions Inc $147.32
921.52K
$17.04B
$135.76M
1834
STAGSTAG INDUSTRIAL, INC. $38.50
920.981K
$7.36B
$35.46M
1835
GTLSChart Industries, Inc. $209.60
920.372K
$10.03B
$192.91M
1836
AMLXAmylyx Pharmaceuticals, Inc. Common Stock $18.50
918.442K
$2.06B
$16.99M
1837
PORPortland General Electric Company $52.19
918.304K
$6.04B
$47.93M
1838
$41.00
918.11K
$3.04B
$37.64M
1839
PRCHPorch Group, Inc. Common Stock $15.24
914.44K
$1.95B
$13.94M
1840
CMCanadian Imperial Bank of Commerce $115.35
914.081K
$105.30B
$105.44M
1841
CCOICogent Communications Holdings, Inc. $12.20
913.958K
$610.95M
$11.15M
1842
$222.06
911.814K
$32.14B
$202.48M
1843
JELDJELD-WEN Holding, Inc. $1.28
908.125K
$110.27M
$1.16M
1844
FUTUFutu Holdings Limited American Depositary Shares $96.99
907.923K
$9.29B
$88.06M
1845
$672.84
907.213K
$92.84B
$610.41M
1846
$86.00
906.726K
$5.99B
$77.98M
1847
LHXL3Harris Technologies, Inc. $292.51
906.725K
$54.49B
$265.23M
1848
XIFRXPLR Infrastructure, LP $12.40
906.149K
$1.17B
$11.24M
1849
TTITETRA Technologies, Inc. $9.42
905.871K
$1.25B
$8.53M
1850
ADCAgree Realty Corporation $77.85
905.812K
$9.35B
$70.52M
1851
MQMarqeta, Inc. Class A Common Stock $15.51
905.743K
$1.63B
$14.05M
1852
AQSTAquestive Therapeutics, Inc. Common Stock $4.22
905.154K
$529.47M
$3.82M
1853
CSANCosan S.A. American Depositary Shares (each representing four Common Shares) $3.02
903.792K
$2.99B
$2.73M
1854
$10.36
903.239K
$6.71B
$9.36M
1855
PROPPrairie Operating Co. Common Stock $0.7882
901.433K
$77.03M
$710.51K
1856
ERIIEnergy Recovery, Inc. $9.00
901.371K
$463.91M
$8.11M
1857
$9.53
900.335K
$280.71M
$8.58M
1858
INSPInspire Medical Systems, Inc. $51.28
899.707K
$1.48B
$46.14M
1859
LGOLargo Inc. Common Shares $0.7431
896.599K
$76.48M
$666.26K
1860
YMATJ-Star Holding Co., Ltd. Ordinary Shares $0.3820
896.508K
$5.33M
$342.47K
1861
DUOLDuolingo, Inc. Class A Common Stock $129.80
896.451K
$5.22B
$116.36M
1862
$25.19
896.447K
$2.63B
$22.58M
1863
$70.34
896.223K
$5.40B
$63.04M
1864
SCCOSouthern Copper Corporation $174.43
894.59K
$145.53B
$156.04M
1865
CLBCore Laboratories Inc. $10.84
893.685K
$499.69M
$9.69M
1866
PAGPPlains GP Holdings, L.P. Class A Units representing Limited Partner Interests $24.67
893.593K
$4.88B
$22.04M
1867
$38.20
893.542K
$2.10B
$34.13M
1868
$44.59
893.346K
$2.81B
$39.83M
1869
MRXMarex Group plc Ordinary Shares $70.29
892.78K
$5.06B
$62.75M
1870
$40.72
892.638K
$2.89B
$36.35M
1871
$2.71
891.384K
$1.37B
$2.42M
1872
$33.14
890.356K
$2.53B
$29.51M
1873
$58.02
889.591K
$5.20B
$51.61M
1874
$18.56
889.163K
$762.82M
$16.50M
1875
ZNTLZentalis Pharmaceuticals, Inc. Common Stock $4.70
886.481K
$334.58M
$4.17M
1876
GRRRGorilla Technology Group Inc. Ordinary shares $18.33
886.375K
$506.90M
$16.25M
1877
$0.8091
886.204K
$9.30M
$717.03K
1878
$56.54
886.031K
$6.26B
$50.10M
1879
RITRReitar Logtech Holdings Limited Ordinary shares $0.2711
885.144K
$12.37M
$239.96K
1880
CNTNCanton Strategic Holdings, Inc. Common Stock $2.33
884.572K
$179.70M
$2.06M
1881
$15.10
883.611K
$288.08M
$13.35M
1882
BUSEFirst Busey Corporation Class A Common Stock $28.86
882.828K
$2.44B
$25.48M
1883
$2.73
882.469K
$252.99M
$2.41M
1884
FMXFOMENTO ECONOMICO MEXICANO, S.A.B. DE C.V. $127.00
881.642K
$25.69B
$111.97M
1885
$51.31
881.622K
$6.68B
$45.24M
1886
BEPCBrookfield Renewable Corporation Class A Subordinate Voting Shares $35.54
881.277K
$5.30B
$31.32M
1887
AXTAAxalta Coating Systems Ltd. $32.55
880.839K
$6.97B
$28.67M
1888
JANXJanux Therapeutics, Inc. Common Stock $16.75
880.489K
$1.02B
$14.75M
1889
$109.71
880.332K
$12.26B
$96.58M
1890
ABVXAbivax SA American Depositary Shares $140.73
878.606K
$11.23B
$123.65M
1891
$133.29
877.305K
$6.03B
$116.94M
1892
ARCTArcturus Therapeutics Holdings Inc. Common Stock $7.13
876.393K
$202.66M
$6.25M
1893
WTTRSelect Water Solutions, Inc. $19.17
876.038K
$2.38B
$16.79M
1894
MYPSPLAYSTUDIOS, Inc. Class A Common Stock $0.7078
875.705K
$79.46M
$619.82K
1895
SPTSprout Social, Inc Class A Common Stock $8.38
874.049K
$455.17M
$7.32M
1896
$21.25
872.599K
$2.84B
$18.54M
1897
SFIXStitch Fix, Inc. Class A Common Stock $3.55
872.117K
$419.92M
$3.10M
1898
BMRNBioMarin Pharmaceuticals Inc $59.97
871.569K
$11.59B
$52.27M
1899
$0.9098
870.139K
$101.86M
$791.65K
1900
$24.70
869.676K
$3.73B
$21.48M