Stock Rankings by Volume - Rankings 1901 to 2000
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 1901 to 2000.
1901
$268.77
669.364K
$18.09B
$179.90M
1902
HYLNHyliion Holdings Corp. $1.84
667.755K
$327.18M
$1.23M
1903
CIONCION Investment Corporation $6.93
667.438K
$349.94M
$4.63M
1904
PCVXVaxcyte, Inc. Common Stock $60.88
666.589K
$8.76B
$40.58M
1905
INVInnventure, Inc. Common Stock $4.34
665.951K
$347.50M
$2.89M
1906
$0.6589
665.851K
$116.16M
$438.73K
1907
SGRYSurgery Partners, Inc. Common Stock $12.91
665.842K
$1.67B
$8.60M
1908
SKYXSKYX Platforms Corp. Common Stock $1.12
665.641K
$149.27M
$745.52K
1909
$122.87
664.836K
$14.43B
$81.69M
1910
GLBEGlobal-E Online Ltd. Ordinary Shares $30.23
663.778K
$5.13B
$20.07M
1911
LIDRAEye, Inc. Class A Common Stock $1.58
661.671K
$71.66M
$1.05M
1912
CLNEClean Energy Fuels Corp. $2.25
661.535K
$493.74M
$1.49M
1913
DNAGinkgo Bioworks Holdings, Inc. $6.45
660.867K
$322.17M
$4.26M
1914
ATMUAtmus Filtration Technologies Inc. $63.20
660.283K
$5.16B
$41.73M
1915
FWDIForward Industries, Inc. Common Stock $4.62
659.831K
$355.64M
$3.05M
1916
$63.20
659.497K
$6.82B
$41.68M
1917
$320.00
658.483K
$31.39B
$210.71M
1918
$3.62
658.008K
$121.11M
$2.38M
1919
PWPPerella Weinberg Partners Class A Common Stock $20.43
656.754K
$1.42B
$13.42M
1920
$63.18
656.38K
$7.18B
$41.47M
1921
LSCCLattice Semiconductor Corp $107.11
656.27K
$14.66B
$70.29M
1922
AAgilent Technologies Inc. $115.06
656.099K
$32.52B
$75.49M
1923
$259.78
655.548K
$23.82B
$170.30M
1924
MIGIMawson Infrastructure Group Inc. Common Stock $4.24
654.45K
$23.24M
$2.77M
1925
FINVFinVolution Group American depositary shares, each representing five Class A ordinary shares $4.97
653.466K
$645.84M
$3.25M
1926
SNDASonida Senior Living, Inc. $32.58
652.997K
$1.54B
$21.27M
1927
$1.88
652.804K
$361.28M
$1.23M
1928
INGMIngram Micro Holding Corporation $27.17
652.066K
$6.29B
$17.72M
1929
KODKodiak Sciences Inc Common Stock $42.50
652.053K
$2.63B
$27.71M
1930
LBTYKLiberty Global Ltd. Class C Common Shares $11.77
651.798K
$1.74B
$7.67M
1931
$8.85
650.645K
$1.39B
$5.76M
1932
$114.28
648.239K
$9.19B
$74.08M
1933
$76.67
647.985K
$12.56B
$49.68M
1934
UBSIUnited Bankshares Inc $43.84
646.651K
$6.12B
$28.35M
1935
SPROSpero Therapeutics, Inc. Common Stock $2.67
646.583K
$154.57M
$1.73M
1936
BZUNBaozun Inc. American Depositary Shares $2.42
645.815K
$129.89M
$1.56M
1937
$6.98
644.727K
$2.29B
$4.50M
1938
SUUNSolarBank Corporation Common Stock $0.5900
644.415K
$27.70M
$380.20K
1939
NBIXNeurocrine Biosciences Inc $128.89
644.062K
$12.94B
$83.01M
1940
KYTXKyverna Therapeutics, Inc. Common Stock $9.16
643.636K
$553.63M
$5.90M
1941
$30.80
643.353K
$3.10B
$19.82M
1942
PFLTPennantPark Floating Rate Capital Ltd. $8.43
643.282K
$836.41M
$5.42M
1943
$45.87
638.183K
$2.86B
$29.27M
1944
$152.23
637.702K
$28.21B
$97.08M
1945
NCINeo-Concept International Group Holdings Limited Ordinary Shares $0.5100
636.658K
$1.77M
$324.70K
1946
$10.76
636.601K
$1.65B
$6.85M
1947
BETRBetter Home & Finance Holding Company Class A Common Stock $32.72
636.46K
$348.13M
$20.82M
1948
CLPTClearPoint Neuro, Inc. Common Stock $8.70
636.192K
$258.08M
$5.53M
1949
AVTXAvalo Therapeutics, Inc. Common Stock $13.50
636.043K
$307.64M
$8.59M
1950
$145.53
635.205K
$24.29B
$92.44M
1951
PAYPPayPay Corporation American Depository Shares $20.25
635.176K
$13.54B
$12.86M
1952
CAKECheesecake Factory (The) $59.31
634.558K
$2.96B
$37.64M
1953
RSIRush Street Interactive, Inc. $21.09
634.444K
$2.18B
$13.38M
1954
EMNEastman Chemical Company $74.25
634.104K
$8.47B
$47.08M
1955
SIGASIGA Technologies Inc. $4.36
632.773K
$312.37M
$2.76M
1956
ACMRACM Research, Inc. Class A Common Stock $48.90
632.493K
$2.97B
$30.93M
1957
PRGSProgress Software Corp (DE) $26.90
631.857K
$1.13B
$16.99M
1958
CRDFCardiff Oncology, Inc. Common Stock $1.56
630.686K
$106.66M
$983.93K
1959
ARISAris Water Solutions, Inc. $20.34
630.591K
$4.18B
$12.83M
1960
DSGXDescartes Systems Group Inc $63.11
629.888K
$5.43B
$39.75M
1961
JANJanOne Inc. Common Stock (NV) $23.81
628.826K
$6.26B
$14.97M
1962
$101.95
628.815K
$10.68B
$64.11M
1963
$2.74
628.79K
$953.66M
$1.72M
1964
RIMEAlgorhythm Holdings, Inc. Common Stock $1.05
628.615K
$15.38M
$660.05K
1965
LASELaser Photonics Corporation Common Stock $0.9550
627.608K
$21.75M
$599.37K
1966
HTFLHeartflow, Inc. Common Stock $26.95
626.47K
$2.31B
$16.88M
1967
RTORentokil Initial plc American Depositary Shares (each representing five (5) Ordinary Shares) $33.63
625.603K
$16.99B
$21.04M
1968
CAPRCapricor Therapeutics Inc $31.20
624.195K
$1.79B
$19.47M
1969
NEWPNew Pacific Metals Corp. $4.73
622.923K
$872.30M
$2.95M
1970
VLNValens Semiconductor Ltd. $1.32
620.303K
$136.03M
$818.80K
1971
MTVAMetaVia Inc. Common Stock $1.41
620.161K
$7.18M
$874.43K
1972
$189.13
618.999K
$22.51B
$117.07M
1973
AHRTAH Realty Trust, Inc. $5.64
617.44K
$452.37M
$3.48M
1974
AGIOAgios Pharmaceuticals, Inc. $32.92
617.113K
$1.93B
$20.32M
1975
JBIJanus International Group, Inc. $5.39
615.64K
$748.45M
$3.32M
1976
UPBUpstream Bio, Inc. Common Stock $10.49
615.599K
$570.87M
$6.46M
1977
OLOXOlenox Industries Inc. Common Stock $0.5598
615.599K
$3.46M
$344.61K
1978
QTRXQuanterix Corporation Common Stock $3.40
614.913K
$159.52M
$2.09M
1979
$112.72
613.962K
$71.37B
$69.21M
1980
NWSNews Corporation Class B Common Stock $28.26
613.716K
$5.23B
$17.34M
1981
IXHLIncannex Healthcare Limited American Depositary Shares $3.15
613.613K
$37.62M
$1.93M
1982
$38.85
613.252K
$2.96B
$23.82M
1983
PBAPEMBINA PIPELINE CORPORATION $44.34
612.759K
$25.77B
$27.17M
1984
FCPTFour Corners Property Trust, Inc. $25.14
612.601K
$2.76B
$15.40M
1985
BRTXBioRestorative Therapies, Inc. Common Stock (NV) $0.2451
611.946K
$6.24M
$149.99K
1986
$0.2399
611.575K
$26.36M
$146.72K
1987
$109.50
610.188K
$32.57B
$66.82M
1988
WPCW.P. Carey Inc. (REIT) $71.62
609.922K
$15.71B
$43.68M
1989
ULTAUlta Beauty, Inc. Common Stock $520.41
609.634K
$22.76B
$317.26M
1990
VLRSCONTROLADORA VUELA COMPAÑÍA DE AVIACIÓN, S.A.B. DE C.V. $7.74
609.269K
$901.88M
$4.71M
1991
$7.94
609.203K
$755.01M
$4.84M
1992
ASNDAscendis Pharma A/S American Depositary Shares $239.28
607.393K
$14.93B
$145.34M
1993
MMEDMiniMed Group, Inc. Common Stock $13.92
607.304K
$3.91B
$8.45M
1994
$57.99
607.053K
$2.01B
$35.20M
1995
NMFCNEW MOUNTAIN FINANCE CORPORATION $7.99
606.74K
$787.09M
$4.85M
1996
$6.01
605.262K
$540.29M
$3.64M
1997
$219.92
604.152K
$32.77B
$132.87M
1998
SONSonoco Products Company $56.37
603.826K
$5.57B
$34.04M
1999
ASTIAscent Solar Technologies, Inc. Common Stock $3.53
602.321K
$33.40M
$2.13M
2000
$49.45
602.188K
$10.21B
$29.78M