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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
CHKPCheck Point Software Technologies Ltd
$134.97
+4.67
+3.58%
1.071M
$13.78B
$144.58M
1902
CNDTConduent Incorporated Common Stock
$1.57
-0.03
-1.88%
1.071M
$244.17M
$1.68M
1903
TTTrane Technologies plc
$469.94
+6.94
+1.50%
1.07M
$103.40B
$502.92M
1904
RILYB. RILEY FINANCIAL, INC.
$5.16
+0.16
+3.20%
1.067M
$207.43M
$5.50M
1905
MDXGMiMedx Group, Inc
$4.62
+0.04
+0.87%
1.067M
$673.41M
$4.93M
1906
VFFVillage Farms International, Inc. Common Shares
$2.79
+0.11
+4.10%
1.066M
$341.18M
$2.97M
1907
GSMFerroglobe PLC Ordinary Shares
$4.22
-0.02
-0.47%
1.065M
$787.56M
$4.50M
1908
DRSLeonardo DRS, Inc. Common Stock
$35.87
+0.17
+0.48%
1.065M
$9.57B
$38.19M
1909
VMCVulcan Materials Company(Holding Company)
$246.26
+4.75
+1.97%
1.065M
$31.91B
$262.16M
1910
FAMIFarmmi, Inc.
$0.1260
-0.0014
-1.10%
1.064M
$690.72K
$134.07K
1911
LLoews Corporation
$107.60
+1.88
+1.78%
1.064M
$22.00B
$114.48M
1912
FRTFederal Realty Investment Trust
$105.46
+0.49
+0.47%
1.064M
$9.11B
$112.16M
1913
ZIMZIM Integrated Shipping Services Ltd.
$30.19
+0.20
+0.67%
1.064M
$3.64B
$32.11M
1914
QNSTQuinStreet, Inc.
$15.90
+0.70
+4.61%
1.063M
$909.85M
$16.90M
1915
BKSYBlackSky Technology Inc.
$21.50
-0.27
-1.24%
1.063M
$879.88M
$22.85M
1916
MREOMereo BioPharma Group plc American Depositary Shares
$0.3701
+0.0059
+1.62%
1.062M
$59.10M
$393.13K
1917
XPOFXponential Fitness, Inc.
$4.96
+0.18
+3.77%
1.061M
$209.41M
$5.26M
1918
GOOSCanada Goose Holdings Inc.
$7.87
+0.37
+4.93%
1.06M
$358.97M
$8.34M
1919
TLKPT Telekomunikasi Indonesia
$13.13
+0.26
+2.05%
1.06M
$13.01B
$13.92M
1920
AMSCAmerican Superconductor Corp
$30.85
-0.67
-2.13%
1.056M
$1.49B
$32.57M
1921
GPCGenuine Parts Company
$126.27
+0.77
+0.61%
1.055M
$17.41B
$133.25M
1922
OLEDUniversal Display Corp
$72.76
-3.54
-4.64%
1.053M
$3.34B
$76.59M
1923
AUGOAura Minerals Inc. Common Shares
$82.49
+0.69
+0.84%
1.052M
$6.91B
$86.80M
1924
CLBTCellebrite DI Ltd. Class A Ordinary Shares
$11.34
+0.16
+1.43%
1.052M
$2.83B
$11.93M
1925
CLYMClimb Bio, Inc. Common Stock
$10.86
+0.21
+1.97%
1.051M
$623.76M
$11.42M
1926
TRVThe Travelers Companies, Inc.
$371.94
+13.95
+3.90%
1.051M
$77.58B
$390.93M
1927
GDRXGoodRx Holdings, Inc. Class A Common Stock
$3.36
+0.13
+4.02%
1.051M
$351.83M
$3.53M
1928
PARPAR Technology Corp.
$15.73
+0.98
+6.64%
1.049M
$650.64M
$16.50M
1929
SNNSmith & Nephew plc
$26.96
+0.57
+2.16%
1.047M
$11.28B
$28.23M
1930
FSCOFS Credit Opportunities Corp.
$5.00
+0.07
+1.32%
1.045M
$1.01B
$5.22M
1931
BRBroadridge Financial Solutions Inc
$165.21
+4.42
+2.75%
1.043M
$18.65B
$172.39M
1932
DLBDolby Laboratories, Inc.Class A
$58.45
+0.10
+0.17%
1.043M
$3.47B
$60.98M
1933
NEOVNeoVolta Inc. Common Stock
$2.63
-0.11
-4.01%
1.043M
$155.20M
$2.74M
1934
INSWInternational Seaways, Inc. Common Stock
$122.50
+5.52
+4.72%
1.042M
$6.07B
$127.63M
1935
PRGPROG Holdings, Inc.
$30.90
+0.69
+2.28%
1.04M
$1.23B
$32.14M
1936
EVCEntravision Communication
$6.78
+0.07
+1.04%
1.039M
$562.30M
$7.05M
1937
POOLPool Corporation
$158.14
+4.76
+3.10%
1.039M
$5.75B
$164.26M
1938
BYDBoyd Gaming Corporation
$70.00
+0.65
+0.94%
1.039M
$5.09B
$72.70M
1939
WATWaters Corp
$429.13
-4.86
-1.12%
1.038M
$42.16B
$445.60M
1940
KMPRKemper Corporation
$27.47
+1.10
+4.17%
1.035M
$1.62B
$28.43M
1941
PRCHPorch Group, Inc. Common Stock
$17.50
+0.58
+3.43%
1.034M
$2.31B
$18.09M
1942
MTHMeritage Homes Corporation
$60.63
+1.35
+2.28%
1.031M
$3.95B
$62.52M
1943
LENZLENZ Therapeutics, Inc. Common Stock
$3.53
-0.10
-2.75%
1.031M
$110.91M
$3.64M
1944
ORIOld Republic International Corporation
$38.55
+0.79
+2.09%
1.03M
$9.31B
$39.70M
1945
OSSOne Stop Systems, Inc. Common Stock
$7.75
-0.25
-3.13%
1.029M
$193.33M
$7.97M
1946
LILAKLiberty Latin America Ltd. Class C Common Stock
$8.72
-0.08
-0.91%
1.027M
$1.36B
$8.95M
1947
ABTCAmerican Bitcoin Corp. Class A Common Stock
$7.83
-0.35
-4.26%
1.024M
$570.28M
$8.02M
1948
HSAIHesai Group American Depositary Share, each ADS represents one Class B ordinary share
$15.62
-0.38
-2.38%
1.023M
$2.03B
$15.98M
1949
ECOOkeanis Eco Tankers Corp.
$95.50
+6.13
+6.86%
1.022M
$3.73B
$97.56M
1950
DRVNDriven Brands Holdings Inc. Common Stock
$11.77
+0.16
+1.38%
1.02M
$1.94B
$12.00M
1951
ADEAAdeia Inc. Common Stock
$24.14
+0.18
+0.74%
1.019M
$2.66B
$24.60M
1952
CARSCars.com Inc. Common Stock
$9.74
+0.29
+3.07%
1.019M
$521.41M
$9.92M
1953
CMTGClaros Mortgage Trust, Inc.
$1.24
+0.03
+2.48%
1.018M
$174.94M
$1.26M
1954
ACDCProFrac Holding Corp. Class A Common Stock
$4.70
-0.12
-2.49%
1.017M
$855.98M
$4.78M
1955
FLOCFlowco Holdings Inc.
$19.15
-0.24
-1.24%
1.016M
$842.08M
$19.47M
1956
UCBUnited Community Banks, Inc.
$33.58
+0.52
+1.57%
1.016M
$4.05B
$34.13M
1957
NENoble Corporation plc
$42.15
+0.41
+0.98%
1.016M
$6.73B
$42.84M
1958
GDYNGrid Dynamics Holdings, Inc. Class A Common Stock
$8.01
+0.51
+6.80%
1.016M
$649.83M
$8.14M
1959
GMRSGMR Solutions Inc.
$10.54
+0.41
+4.05%
1.013M
$569.39M
$10.68M
1960
SLGSL Green Realty Corp.
$48.94
+1.04
+2.17%
1.013M
$3.47B
$49.57M
1961
CANGCango Inc. American Depositary Shares, each representing two (2) Class A Ordinary Shares
$3.55
-0.00
0.00%
1.013M
$145.63M
$3.60M
1962
WERNWerner Enterprises Inc
$33.00
+0.46
+1.41%
1.012M
$1.98B
$33.39M
1963
VOYAVOYA FINANCIAL, INC.
$95.80
-0.20
-0.21%
1.01M
$8.68B
$96.78M
1964
JBHTJB Hunt Transport Services Inc
$228.42
+5.80
+2.61%
1.01M
$21.45B
$230.76M
1965
RYRoyal Bank of Canada
$190.56
+0.56
+0.29%
1.01M
$263.73B
$192.38M
1966
CVBFCVB Financial Corp
$21.75
+0.26
+1.21%
1.009M
$3.83B
$21.95M
1967
ROKURoku, Inc. Class A Common Stock
$153.81
+1.61
+1.06%
1.009M
$20.32B
$155.16M
1968
CPTCamden Property Trust
$96.76
+1.01
+1.05%
1.008M
$9.73B
$97.55M
1969
KYMRKymera Therapeutics, Inc. Common Stock
$109.30
+2.78
+2.61%
1.007M
$9.09B
$110.10M
1970
CRMDCorMedix Inc.
$7.30
-0.08
-1.08%
1.005M
$568.99M
$7.34M
1971
GYGYGame Your Game, Inc. Common Stock
$0.4856
-0.0079
-1.60%
1.004M
$6.99M
$487.71K
1972
WAFDWaFd, Inc. Common Stock
$29.90
+0.33
+1.12%
1.004M
$2.21B
$30.02M
1973
SPTSprout Social, Inc Class A Common Stock
$11.08
+0.36
+3.36%
1.002M
$609.65M
$11.10M
1974
CMICummins Inc.
$520.00
+7.00
+1.36%
1.002M
$71.59B
$520.98M
1975
NWBINorthwest Bancshares, Inc
$14.86
+0.16
+1.09%
1.002M
$2.18B
$14.88M
1976
ARVNArvinas, Inc
$7.51
+0.15
+1.97%
999.462K
$484.55M
$7.51M
1977
GCTGigaCloud Technology Inc Class A Ordinary Shares
$56.75
+0.15
+0.27%
999.261K
$1.64B
$56.71M
1978
APPNAppian Corporation Class A Common Stock
$38.60
+0.65
+1.71%
998.902K
$1.56B
$38.56M
1979
EVEXEve Holding, Inc.
$1.70
+0.01
+0.59%
996.56K
$592.43M
$1.69M
1980
SHOEShoe Station Group, Inc. Common Stock
$13.06
+0.33
+2.59%
995.815K
$355.02M
$13.01M
1981
TSTenaris S. A.
$56.59
+0.92
+1.65%
995.213K
$32.90B
$56.32M
1982
MARMarriot International Class A Common Stock
$361.13
+4.63
+1.30%
993.733K
$94.17B
$358.87M
1983
WKCWorld Kinect Corporation
$37.49
+0.43
+1.17%
992.999K
$1.92B
$37.23M
1984
DTIDrilling Tools International Corporation Common Stock
$2.00
-0.38
-15.95%
992.925K
$70.58M
$1.99M
1985
EXPDExpeditors International of Washington, Inc.
$193.71
+3.43
+1.80%
992.259K
$25.18B
$192.21M
1986
EEFTEuronet Worldwide Inc
$63.66
+1.37
+2.20%
992.002K
$2.42B
$63.15M
1987
FIBKFirst Interstate BancSystem, Inc. Common Stock (DE)
$34.94
+0.26
+0.75%
991.763K
$3.33B
$34.65M
1988
BKUBankunited, Inc.
$42.61
+0.61
+1.45%
990.873K
$3.04B
$42.22M
1989
MEIMethode Electronics
$15.25
+0.46
+3.11%
990.322K
$543.59M
$15.10M
1990
BZHBeazer Homes USA, Inc. New
$33.41
-0.01
-0.03%
989.756K
$891.37M
$33.07M
1991
IHRTiHeartMedia, Inc. Class A Common Stock
$1.97
-0.02
-1.01%
989.02K
$263.39M
$1.95M
1992
DNTHDianthus Therapeutics, Inc. Common Stock
$82.43
-2.30
-2.71%
988.756K
$4.52B
$81.50M
1993
ECEcopetrol S.A
$16.94
+0.04
+0.24%
986.094K
$34.83B
$16.70M
1994
INODInnodata Inc.
$61.22
-1.36
-2.17%
986.022K
$2.10B
$60.37M
1995
DRIDarden Restaurants, Inc.
$200.52
-0.73
-0.36%
985.965K
$22.87B
$197.71M
1996
CROXCrocs, Inc.
$116.84
+3.04
+2.67%
984.223K
$5.60B
$115.00M
1997
LITSLite Strategy, Inc. Common Stock
$1.22
-0.04
-3.17%
981.712K
$37.10M
$1.20M
1998
PUBMPubMatic, Inc. Class A Common Stock
$18.68
+0.03
+0.16%
980.993K
$696.83M
$18.32M
1999
ALTOAlto Ingredients, Inc. Common Stock
$3.70
+0.03
+0.68%
980.961K
$287.00M
$3.63M
2000
EPREPR Properties
$54.41
+0.41
+0.76%
979.984K
$4.17B
$53.32M