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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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
1901
AYAAya Gold & Silver Inc. Common Shares
$26.50
-0.85
-3.11%
833.919K
$3.82B
$22.10M
1902
IMCCIM Cannabis Corp. Common Shares
$0.1100
+0.0043
+4.07%
833.532K
$991.82K
$91.69K
1903
BBARBanco BBVA Argentina S.A.
$14.81
+0.76
+5.40%
832.776K
$3.02B
$12.33M
1904
MICCThe Magnum Ice Cream Company N.V.
$20.15
+1.15
+6.05%
831.906K
$12.34B
$16.76M
1905
MDXGMiMedx Group, Inc
$4.27
-0.04
-0.93%
831.757K
$622.40M
$3.55M
1906
ABEOAbeona Therapeutics Inc. Common Stock
$6.06
-0.10
-1.62%
830.77K
$346.54M
$5.03M
1907
CBSHCommerce Bancshares Inc
$58.63
+0.18
+0.31%
830.441K
$8.41B
$48.69M
1908
DOXAmdocs Limited
$62.10
+0.49
+0.80%
830.427K
$6.70B
$51.57M
1909
UCTTUltra Clean Holdings, Inc.
$72.78
-1.22
-1.65%
829.943K
$3.26B
$60.40M
1910
EFCEllington Financial Inc. Common Stock
$13.62
-0.01
-0.07%
829.291K
$1.76B
$11.29M
1911
CRNCCerence Inc. Common Stock
$7.57
-0.24
-3.07%
828.232K
$342.39M
$6.27M
1912
LYTSLSI Industries Inc
$19.91
-0.33
-1.63%
827.645K
$730.94M
$16.48M
1913
BATRKAtlanta Braves Holdings, Inc. Series C Common Stock
$52.50
-0.90
-1.69%
826.605K
$2.78B
$43.40M
1914
AURAAura Biosciences, Inc. Common Stock
$7.90
+0.04
+0.51%
826.06K
$819.27M
$6.53M
1915
ALGTAllegiant Travel Company
$81.63
-1.81
-2.17%
825.363K
$2.23B
$67.37M
1916
CWCurtiss-Wright Corp.
$614.97
-18.04
-2.85%
824.603K
$22.71B
$507.11M
1917
LINELineage, Inc. Common Stock
$40.80
-0.70
-1.69%
824.234K
$9.29B
$33.63M
1918
YELPYELP INC.
$23.83
+0.47
+2.01%
824.231K
$1.29B
$19.64M
1919
ZJKZJK Industrial Co., Ltd. Ordinary Shares
$2.51
+0.07
+2.87%
823.935K
$154.07M
$2.07M
1920
VMCVulcan Materials Company(Holding Company)
$276.22
-0.32
-0.12%
822.812K
$35.79B
$227.28M
1921
GDGeneral Dynamics Corporation
$383.00
-0.63
-0.16%
822.062K
$103.62B
$314.85M
1922
REYNReynolds Consumer Products Inc. Common Stock
$25.29
-0.19
-0.75%
821.627K
$5.33B
$20.78M
1923
MDCXMedicus Pharma Ltd. Common Stock
$0.2599
-0.0201
-7.18%
821.254K
$16.42M
$213.44K
1924
MUXMcEwen Mining Inc.
$21.02
-0.25
-1.17%
819.872K
$1.29B
$17.23M
1925
REGRegency Centers Corporation
$76.88
+0.39
+0.51%
819.515K
$14.08B
$63.00M
1926
HCATHealth Catalyst, Inc Common Stock
$1.59
+0.08
+5.30%
815.119K
$119.66M
$1.30M
1927
BLBlackLine, Inc. Common Stock
$31.98
-0.22
-0.68%
814.425K
$1.86B
$26.05M
1928
SSLSasol Limited
$12.27
-0.16
-1.29%
811.885K
$7.95B
$9.96M
1929
FOSLFossil Group, Inc.
$5.57
-0.31
-5.27%
810.772K
$315.47M
$4.52M
1930
ATHMAutohome Inc. American Depositary Shares, each representing four Class A Ordinary Shares
$21.85
-0.15
-0.68%
810.167K
$2.52B
$17.70M
1931
MGTXMeiraGTx Holdings plc Ordinary Shares
$14.83
+0.32
+2.21%
809.419K
$1.42B
$12.00M
1932
GLDGGoldMining Inc.
$1.18
-0.00
-0.01%
807.671K
$253.44M
$952.97K
1933
SRTAStrata Critical Medical, Inc. Class A Common Stock
$5.97
-0.32
-5.09%
804.307K
$528.15M
$4.80M
1934
ITWIllinois Tool Works Inc.
$283.95
+0.04
+0.01%
803.547K
$80.87B
$228.17M
1935
HUBSHUBSPOT, INC.
$243.00
+2.50
+1.04%
802.611K
$12.12B
$195.03M
1936
AMPYAmplify Energy Corp.
$4.78
-0.04
-0.83%
802.554K
$198.16M
$3.84M
1937
ELVElevance Health, Inc.
$402.63
+2.63
+0.66%
801.902K
$87.32B
$322.87M
1938
RBBNRibbon Communications Inc. Common Stock
$2.04
-0.06
-2.83%
801.635K
$364.80M
$1.64M
1939
SMRTSmartRent, Inc.
$1.40
-0.03
-2.10%
799.82K
$268.26M
$1.12M
1940
VTEXVTEX
$3.66
+0.05
+1.39%
799.817K
$329.87M
$2.93M
1941
PPLIPeople Incorporated Common Stock
$38.76
+0.44
+1.15%
799.185K
$2.66B
$30.98M
1942
PLAYDave & Buster's Entertainment, Inc.
$10.38
+0.18
+1.77%
799.159K
$361.13M
$8.30M
1943
STIMNeuronetics, Inc. Common Stock
$2.92
-0.21
-6.66%
799.154K
$222.52M
$2.33M
1944
CMBTEURONAV NV
$18.02
-0.08
-0.44%
798.993K
$5.23B
$14.40M
1945
TLNTalen Energy Corporation Common Stock
$305.54
-6.70
-2.14%
798.422K
$14.64B
$243.95M
1946
OIIOceaneering International Inc.
$50.46
-2.34
-4.43%
797.582K
$5.02B
$40.25M
1947
ZLABZai Lab Limited American Depositary Shares
$25.64
+0.04
+0.16%
796.779K
$2.92B
$20.43M
1948
NEOVNeoVolta Inc. Common Stock
$3.12
-0.24
-7.14%
796.067K
$183.65M
$2.48M
1949
ALMSAlumis Inc. Common Stock
$23.13
-0.83
-3.45%
796.007K
$2.86B
$18.42M
1950
PLABPhotronics Inc
$29.53
-0.79
-2.61%
795.521K
$1.74B
$23.49M
1951
MREOMereo BioPharma Group plc American Depositary Shares
$0.2868
-0.0040
-1.38%
795.323K
$45.78M
$228.10K
1952
ERIIEnergy Recovery, Inc.
$7.80
-0.10
-1.27%
795.141K
$402.05M
$6.20M
1953
PARPAR Technology Corp.
$19.35
-0.25
-1.28%
794.225K
$800.37M
$15.37M
1954
EMNEastman Chemical Company
$72.69
-1.62
-2.18%
793.959K
$8.31B
$57.71M
1955
HGBLHERITAGE GLOBAL INC
$1.14
-0.01
-0.87%
792.432K
$39.60M
$903.37K
1956
KEPKorea Electric Power Corp
$11.31
-0.06
-0.53%
792.206K
$14.52B
$8.96M
1957
NNOXNANO-X IMAGING LTD Ordinary Shares
$0.8510
-0.0196
-2.25%
791.652K
$59.62M
$673.70K
1958
SPIRSpire Global, Inc.
$13.87
-0.22
-1.56%
791.469K
$542.53M
$10.98M
1959
MRPMillrose Properties, Inc.
$30.51
+0.02
+0.08%
790.759K
$4.71B
$24.13M
1960
AVTAvnet, Inc.
$86.26
-2.28
-2.58%
790.734K
$7.08B
$68.21M
1961
ZYMEZymeworks Inc.
$28.65
-0.35
-1.21%
790.732K
$2.03B
$22.65M
1962
WCNWaste Connections, Inc.
$168.97
-1.16
-0.68%
788.906K
$42.51B
$133.30M
1963
PBProsperity Bancshares Inc
$72.75
-0.72
-0.98%
787.682K
$7.34B
$57.30M
1964
MNSOMINISO Group Holding Limited American Depositary Shares, each representing four Ordinary Shares
$11.11
+0.06
+0.56%
785.966K
$3.44B
$8.73M
1965
ORAOrmat Technologies, Inc.
$105.40
-2.29
-2.13%
785.834K
$6.48B
$82.83M
1966
OMFOneMain Holdings, Inc.
$62.89
-0.49
-0.77%
785.431K
$7.23B
$49.40M
1967
MIAXMiami International Holdings, Inc.
$44.03
+1.28
+2.99%
784.867K
$4.37B
$34.56M
1968
PGNYProgyny, Inc. Common Stock
$25.45
-0.35
-1.36%
784.864K
$1.95B
$19.97M
1969
NVSNovartis AG
$158.02
+0.40
+0.25%
780.975K
$321.54B
$123.41M
1970
VETVERMILION ENERGY INC.
$12.60
-0.10
-0.79%
780.612K
$1.93B
$9.84M
1971
AVRAnteris Technologies Global Corp. Common Stock
$8.80
-0.27
-2.98%
780.036K
$857.63M
$6.86M
1972
IRDOpus Genetics, Inc. Common Stock
$4.03
-0.05
-1.23%
779.267K
$333.07M
$3.14M
1973
DUOTDuos Technologies Group, Inc. Common Stock
$10.27
-0.01
-0.10%
778.975K
$301.15M
$8.00M
1974
LOARLoar Holdings Inc.
$72.72
-2.83
-3.75%
778.721K
$6.81B
$56.63M
1975
BVBrightView Holdings, Inc. Common Stock
$10.94
-0.41
-3.61%
778.658K
$1.02B
$8.52M
1976
FOXFox Corporation Class B Common Stock
$61.59
+0.60
+0.98%
777.761K
$13.57B
$47.90M
1977
TEXTerex Corporation
$64.79
-1.94
-2.90%
777.204K
$7.40B
$50.36M
1978
LOGILogitech International SA
$97.21
+1.39
+1.45%
776.954K
$13.92B
$75.53M
1979
HUBGHUB Group Inc
$40.21
-1.00
-2.43%
776.925K
$2.44B
$31.24M
1980
PDYNPalladyne AI Corp. Common Stock
$5.82
-0.28
-4.61%
776.681K
$287.12M
$4.52M
1981
DGXQuest Diagnostics Inc.
$243.87
-1.12
-0.46%
774.539K
$26.92B
$188.89M
1982
PSIGPS International Group Ltd. Ordinary Shares
$2.21
-0.46
-17.23%
774.357K
$33.98M
$1.71M
1983
ORGOOrganogenesis Holdings Inc. Class A Common Stock
$1.69
-0.10
-5.59%
773.068K
$217.46M
$1.31M
1984
KLCKinderCare Learning Companies, Inc.
$2.57
-0.18
-6.55%
772.801K
$304.36M
$1.99M
1985
FIPFTAI Infrastructure Inc. Common Stock
$3.77
-0.02
-0.53%
772.773K
$445.55M
$2.91M
1986
INCYIncyte Genomics Inc
$127.98
-0.23
-0.18%
770.965K
$25.94B
$98.67M
1987
WALWestern Alliance Bancorporation
$78.39
-1.52
-1.90%
770.818K
$8.55B
$60.42M
1988
AVNTAvient Corporation
$44.42
-0.28
-0.63%
770.47K
$4.07B
$34.22M
1989
TOWNTowne Bank
$37.82
+0.16
+0.42%
768.708K
$2.84B
$29.07M
1990
LGVNLongeveron Inc. Common Stock
$0.7622
-0.1078
-12.39%
768.377K
$22.98M
$585.66K
1991
RETOReTo Eco-Solutions, Inc. Common Shares
$1.60
+0.04
+2.61%
768.357K
$57.36M
$1.23M
1992
BPREBluerock Private Real Estate Fund
$12.10
-0.15
-1.22%
767.928K
$1.73B
$9.29M
1993
GLOBGLOBANT S.A.
$39.58
-0.11
-0.28%
765.836K
$1.74B
$30.31M
1994
LINCLincoln Educational Services
$24.83
-0.85
-3.31%
765.343K
$787.64M
$19.00M
1995
BHFBrighthouse Financial, Inc.
$52.11
-0.72
-1.36%
764.39K
$3.00B
$39.83M
1996
CRLCharles River Laboratories International, Inc.
$298.58
+2.88
+0.97%
763.554K
$14.25B
$227.98M
1997
SLDESlide Insurance Holdings, Inc. Common Stock
$23.64
+0.78
+3.41%
762.809K
$2.76B
$18.03M
1998
VRTXVertex Pharmaceuticals Inc
$547.59
-1.58
-0.29%
762.605K
$138.98B
$417.59M
1999
AIVApartment Investment and Management Company
$2.60
-0.02
-0.76%
761.883K
$377.62M
$1.98M
2000
CRANCrane Harbor Acquisition Corp. II Class A Ordinary Shares
$10.14
+0.04
+0.35%
761.691K
$475.33M
$7.72M