Stock Rankings by Volume - Rankings 2001 to 2100
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 2001 to 2100.
2001
RNWReNew Energy Global plc Class A Ordinary Shares $5.53
737.097K
$1.35B
$4.08M
2002
TDSTelephone and Data Systems Inc. $44.50
735.816K
$4.81B
$32.74M
2003
$13.74
735.777K
$1.84B
$10.11M
2004
BKSYBlackSky Technology Inc. $19.71
735.399K
$709.41M
$14.49M
2005
$190.40
734.986K
$3.58B
$139.94M
2006
ECGEverus Construction Group, Inc. $104.25
733.391K
$5.32B
$76.46M
2007
EWTXEdgewise Therapeutics, Inc. Common Stock $31.46
729.212K
$3.33B
$22.94M
2008
RBBNRibbon Communications Inc. Common Stock $2.19
728.234K
$386.75M
$1.59M
2009
RAAQReal Asset Acquisition Corp. Class A Ordinary Share $10.57
727.033K
$182.33M
$7.68M
2010
$16.47
726.39K
$1.61B
$11.96M
2011
PROKProKidney Corp. Class A Ordinary Shares $2.25
725.903K
$318.48M
$1.63M
2012
PWPPerella Weinberg Partners Class A Common Stock $19.40
725.641K
$1.27B
$14.08M
2013
$2.66
725.289K
$203.32M
$1.93M
2014
BTCSBTCS Inc. Common Stock $1.60
724.495K
$74.71M
$1.16M
2015
SSYSStratasys Inc (ISRAEL) $9.96
724.115K
$847.53M
$7.21M
2016
$131.32
723.852K
$16.24B
$95.06M
2017
OCSLOaktree Specialty Lending Corporation $11.52
723.293K
$1.01B
$8.33M
2018
$0.7703
723.021K
$133.13M
$556.94K
2019
BURBurford Capital Limited $9.33
722.694K
$2.04B
$6.74M
2020
MAAMid-America Apartment Communities, Inc. $134.09
722.047K
$15.68B
$96.82M
2021
HELPCybin Inc. Common Stock $7.28
721.87K
$364.01M
$5.25M
2022
DLODLocal Limited Class A Common Shares $12.40
721.414K
$2.05B
$8.95M
2023
TIGOMillicom International Cellular S.A. Common Stock $68.57
720.781K
$11.80B
$49.42M
2024
VEEETwin Vee PowerCats Co. Common Stock $0.4508
720.735K
$1.01M
$324.91K
2025
$236.84
719.056K
$54.23B
$170.30M
2026
ZGNErmenegildo Zegna N.V. $11.10
719.053K
$2.80B
$7.98M
2027
XIFRXPLR Infrastructure, LP $10.77
718.622K
$1.01B
$7.74M
2028
$0.8788
718.195K
$154.92M
$631.15K
2029
LNTHLantheus Holdings, Inc $73.61
717.276K
$4.88B
$52.80M
2030
IMVTImmunovant, Inc. Common Stock $27.52
716.747K
$5.60B
$19.72M
2031
$35.78
716.726K
$2.54B
$25.64M
2032
FLUXFlux Power Holdings, Inc. Common Stock $1.67
716.168K
$35.64M
$1.20M
2033
GSHDGoosehead Insurance, Inc. Class A Common Stock $50.06
715.565K
$1.23B
$35.82M
2034
LXLexinFintech Holdings Ltd. American Depositary Shares $3.02
714.599K
$399.77M
$2.15M
2035
$13.04
713.919K
$3.87B
$9.31M
2036
BAKBraskem S.A. American Depositary Shares (Each representing Two Class A Preferred Shares) $3.83
713.879K
$660.84M
$2.73M
2037
EQPTEquipmentShare.com Inc Common Stock $30.14
713.719K
$6.44B
$21.51M
2038
PSNLPersonalis, Inc. Common Stock $8.16
712.451K
$725.05M
$5.82M
2039
YSSYork Space Systems Inc. $27.99
712.244K
$3.55B
$19.94M
2040
$373.92
712.177K
$66.29B
$266.30M
2041
$38.40
711.303K
$3.65B
$27.31M
2042
MTHMeritage Homes Corporation $77.48
711.301K
$5.18B
$55.11M
2043
$64.69
711.073K
$6.85B
$46.00M
2044
INVAInnoviva, Inc. Common Stock $23.42
710.575K
$1.75B
$16.64M
2045
$115.85
709.361K
$13.36B
$82.18M
2046
PHGKONINKLIJKE PHILIPS N.V. $32.16
707.051K
$30.97B
$22.74M
2047
IPGPIPG Photonics Corporation $131.69
706.157K
$5.55B
$92.99M
2048
RSGRepublic Services Inc. $220.74
705.977K
$68.17B
$155.84M
2049
CNTNCanton Strategic Holdings, Inc. Common Stock $4.70
704.394K
$171.38M
$3.31M
2050
NMGNouveau Monde Graphite Inc. $2.26
704.38K
$363.47M
$1.59M
2051
MSIMotorola Solutions, Inc. New $470.85
703.155K
$78.00B
$331.08M
2052
LIFLife360, Inc. Common Stock $48.22
702.706K
$3.78B
$33.88M
2053
VOYGVoyager Technologies, Inc. $27.56
702.391K
$1.48B
$19.36M
2054
DECDiversified Energy Company plc $13.13
702.198K
$1.01B
$9.22M
2055
$2.76
699.599K
$73.15M
$1.93M
2056
INSPInspire Medical Systems, Inc. $57.72
699.531K
$1.65B
$40.38M
2057
CTOSCustom Truck One Source, Inc. $7.49
698.575K
$1.70B
$5.23M
2058
$1,970.10
696.866K
$99.88B
$1.37B
2059
$69.73
696.382K
$6.64B
$48.56M
2060
$548.71
696.32K
$40.32B
$382.08M
2061
$8.72
695.716K
$850.26M
$6.07M
2062
RCELAvita Medical, Inc. Common Stock $5.39
694.182K
$165.11M
$3.74M
2063
HITIHigh Tide Inc. Common Shares $2.57
693.272K
$226.04M
$1.78M
2064
SEZLSezzle Inc. Common Stock $60.65
692.945K
$2.07B
$42.03M
2065
GPCRStructure Therapeutics Inc. American Depositary Shares $68.91
692.211K
$4.87B
$47.70M
2066
AUGOAura Minerals Inc. Common Shares $80.73
691.837K
$6.67B
$55.85M
2067
QTRXQuanterix Corporation Common Stock $5.70
691.345K
$266.25M
$3.94M
2068
VSCOVictoria's Secret & Co. $62.32
691.018K
$5.00B
$43.06M
2069
PHIOPhio Pharmaceuticals Corp. Common Stock $1.09
690.685K
$11.73M
$752.85K
2070
$65.21
689.873K
$6.11B
$44.99M
2071
STIMNeuronetics, Inc. Common Stock $1.27
689.593K
$86.98M
$875.78K
2072
CLDXCelldex Therapeutics, Inc $24.84
689.205K
$1.65B
$17.12M
2073
$34.40
689.187K
$1.63B
$23.71M
2074
NAMSNewAmsterdam Pharma Company N.V. Ordinary Shares $36.01
688.555K
$4.14B
$24.79M
2075
HAEHaemonetics Corporation $61.68
688.068K
$2.87B
$42.44M
2076
$18.28
687.786K
$1.10B
$12.57M
2077
CAPRCapricor Therapeutics Inc $28.46
685.687K
$1.30B
$19.51M
2078
AMBAAmbarella, Inc. Ordinary Shares $71.43
685.317K
$3.08B
$48.95M
2079
SBCFSeacoast Banking Corp of Florida $32.57
684.602K
$3.19B
$22.30M
2080
NNDMNano Dimension Ltd. American Depositary Shares $2.00
682.702K
$420.67M
$1.37M
2081
$42.39
679.807K
$1.55B
$28.82M
2082
MLYSMineralys Therapeutics, Inc. Common Stock $29.96
678.65K
$2.37B
$20.33M
2083
ODFLOld Dominion Freight Line $196.70
677.688K
$41.13B
$133.30M
2084
$4.39
677.465K
$543.82M
$2.97M
2085
WWRWestwater Resources, Inc. $0.8844
677.037K
$104.35M
$598.77K
2086
$32.62
676.259K
$1.95B
$22.06M
2087
ZLABZai Lab Limited American Depositary Shares $19.37
675.352K
$2.19B
$13.08M
2088
IIPRInnovative Industrial Properties, Inc. Common stock $51.10
675.129K
$1.43B
$34.50M
2089
AVAHAveanna Healthcare Holdings Inc. Common Stock $7.06
674.897K
$1.47B
$4.76M
2090
PUKPRUDENTIAL PLC ADS (REP 2 ORD SHARES) $30.38
673.684K
$38.56B
$20.47M
2091
$44.35
673.552K
$1.41B
$29.87M
2092
SCIService Corporation International $80.62
673.52K
$11.22B
$54.30M
2093
$45.19
673.461K
$2.82B
$30.43M
2094
PHATPhathom Pharmaceuticals, Inc. Common Stock $11.61
673.155K
$829.18M
$7.82M
2095
ARLPAlliance Resource Partners LP $26.21
672.581K
$3.37B
$17.63M
2096
CMCCommercial Metals Company $74.16
672.52K
$8.22B
$49.87M
2097
$15.79
672.412K
$561.28M
$10.62M
2098
$0.3756
672.357K
$13.39M
$252.54K
2099
ARHSArhaus, Inc. Class A Common Stock $8.40
671.851K
$453.16M
$5.64M
2100
PCVXVaxcyte, Inc. Common Stock $61.35
671.821K
$8.03B
$41.22M