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
CRBUCaribou Biosciences, Inc. Common Stock $0.8501
8.423K
$79.06M
$7.16K
2002
TEOTelecom Argentina S.A. $9.77
730
$4.21B
$7.13K
2003
BFRGBullfrog AI Holdings, Inc. Common Stock $1.78
4K
$16.76M
$7.12K
2004
PHIOPhio Pharmaceuticals Corp. Common Stock $1.97
3.61K
$9.41M
$7.11K
2005
FHNFirst Horizon Corporation $17.76
400
$9.00B
$7.10K
2006
GYREGyre Therapeutics, Inc. Common Stock $9.60
740
$899.93M
$7.10K
2007
CPCanadian Pacific Kansas City Limited $70.85
100
$66.15B
$7.08K
2008
EMBCEmbecta Corp. Common Stock $12.70
556
$738.31M
$7.06K
2009
ACHCAcadia Healthcare Company, Inc. $22.21
317
$2.05B
$7.04K
2010
PRQRProQR Therapeutics N.V. Ordinary Shares $1.65
4.264K
$173.60M
$7.04K
2011
$6.29
1.117K
$77.83M
$7.03K
2012
CNTACentessa Pharmaceuticals plc American Depositary Shares $13.52
519
$1.80B
$7.02K
2014
DFHDream Finders Homes, Inc. $22.38
312
$2.10B
$6.98K
2015
CFFNCapitol Federal Financial, Inc. $5.69
1.227K
$740.10M
$6.98K
2016
RXTRackspace Technology, Inc. Common Stock $1.39
5K
$329.86M
$6.95K
2017
DVSDolly Varden Silver Corporation $2.65
2.615K
$210.77M
$6.93K
2018
CCSIConsensus Cloud Solutions, Inc. Common Stock $19.80
350
$386.61M
$6.93K
2019
FCUVFocus Universal Inc. Common Stock $5.90
1.174K
$41.97M
$6.93K
2020
KIDZClassover Holdings, Inc. Class B Common Stock $1.14
6.071K
$25.39M
$6.92K
2021
AAMIAcadian Asset Management Inc. $26.50
261
$982.26M
$6.92K
2022
EFSCEnterprise Financial Services Corporation $51.04
135
$1.89B
$6.89K
2023
TIXTTELUS International (Cda) Inc. Subordinate Voting Shares $2.45
2.808K
$678.30M
$6.88K
2024
ONEWOneWater Marine Inc. Class A Common Stock $14.71
467
$235.78M
$6.87K
2025
SNVSynovus Financial Corp. $44.02
156
$6.13B
$6.87K
2026
WNWMeiwu Technology Company Limited Ordinary Shares $2.20
3.119K
$6.97M
$6.86K
2027
$32.52
211
$6.99B
$6.86K
2028
BANCBanc of California, Inc. $13.63
501
$2.15B
$6.83K
2029
SHCSotera Health Company Common Stock $11.03
619
$3.13B
$6.83K
2030
LNZALanzaTech Global, Inc. Common Stock $0.2306
29.604K
$45.64M
$6.83K
2031
ATCHAtlasClear Holdings, Inc. $0.4000
17.055K
$2.50M
$6.82K
2032
$16.58
411
$1.23B
$6.81K
2033
$7.39
922
$336.38M
$6.81K
2034
$16.50
412
$575.85M
$6.80K
2035
$27.00
251
$7.13B
$6.78K
2036
CYDChina Yuchai International Ltd. $16.15
419
$605.92M
$6.77K
2037
ZLABZai Lab Limited American Depositary Shares $31.02
218
$3.40B
$6.76K
2038
$46.60
145
$6.14B
$6.76K
2039
CTVACorteva, Inc. Common Stock $61.81
109
$42.22B
$6.74K
2040
IVVDInvivyd, Inc. Common Stock $0.6162
10.904K
$73.92M
$6.72K
2041
TNFATNF Pharmaceuticals, Inc. Common Stock $0.1908
35.193K
$1.93M
$6.71K
2042
$8.35
802
$726.04M
$6.70K
2043
KALUKaiser Aluminum Corporation $64.17
104
$1.04B
$6.67K
2044
$32.49
205
$3.09B
$6.66K
2045
BMEABiomea Fusion, Inc. Common Stock $2.22
3K
$83.41M
$6.66K
2046
SBCFSeacoast Banking Corp of Florida $23.76
280
$2.03B
$6.65K
2047
ASCARDMORE SHIPPING CORPORATION $9.50
700
$384.78M
$6.65K
2048
SSBKSouthern States Bancshares, Inc. Common $32.80
202
$325.46M
$6.63K
2049
IPMIntelligent Protection Management Corp. Common Stock $1.79
3.699K
$23.69M
$6.62K
2050
LOTLotus Technology Inc. American Depositary Shares $1.55
4.269K
$1.05B
$6.62K
2051
BHATBlue Hat Interactive Entertainment Technology Ordinary Shares $2.09
3.157K
$10.32M
$6.60K
2052
$64.00
103
$4.49B
$6.59K
2054
NMFCNEW MOUNTAIN FINANCE CORPORATION $10.01
652
$1.08B
$6.53K
2055
SNCYSun Country Airlines Holdings, Inc. Common Stock $9.65
674
$504.78M
$6.50K
2056
NWTGNewton Golf Company, Inc. Common Stock $1.82
3.563K
$7.80M
$6.48K
2057
PFAIPinnacle Food Group Limited Class A Common Shares $3.23
2K
$37.79M
$6.46K
2058
ALHCAlignment Healthcare, Inc. Common Stock $17.42
370
$3.34B
$6.45K
2059
VREVeris Residential, Inc. $15.40
416
$1.44B
$6.41K
2060
$21.10
300
$2.15B
$6.33K
2061
$15.15
417
$22.94B
$6.32K
2062
CLWClearwater Paper Corporation $26.20
240
$424.33M
$6.29K
2063
SCLXScilex Holding Company Common Stock $4.90
1.277K
$25.65M
$6.26K
2064
MAXNMaxeon Solar Technologies, Ltd. Ordinary Shares $3.35
1.865K
$55.98M
$6.25K
2065
UTIUniversal Technical Institute, Inc. $27.80
224
$1.51B
$6.23K
2066
EOLSEvolus, Inc. Common Stock $11.57
537
$735.70M
$6.21K
2067
RNGRRanger Energy Services, Inc. $12.39
499
$284.67M
$6.18K
2068
JAMFJamf Holding Corp. Common Stock $12.30
500
$1.59B
$6.15K
2069
CKPTCheckpoint Therapeutics, Inc. Common Stock $4.10
1.5K
$356.72M
$6.15K
2070
VBTXVeritex Holdings, Inc. $23.11
266
$1.25B
$6.15K
2071
PLSEPulse Biosciences, Inc Common Stock (DE) $17.70
346
$1.19B
$6.12K
2072
$1.10
5.534K
$65.40M
$6.09K
2073
$20.04
303
$13.62B
$6.07K
2074
ATNMActinium Pharmaceuticals, Inc $1.43
4.222K
$44.61M
$6.04K
2075
SRDXSurmodics, Inc. Common Stock $30.02
200
$429.17M
$6.00K
2076
SEGSeaport Entertainment Group Inc. $18.93
317
$240.31M
$6.00K
2077
BANLCBL International Limited Ordinary Shares $0.9500
6.304K
$26.13M
$5.99K
2078
FNGRFingerMotion, Inc. Common Stock $1.88
3.182K
$107.43M
$5.98K
2079
MAIAMAIA Biotechnology, Inc. $2.18
2.742K
$64.54M
$5.98K
2080
AMAntero Midstream Corporation Common Stock $16.75
357
$8.02B
$5.98K
2081
GTIGraphjet Technology Class A Ordinary Shares $0.1044
57.191K
$15.32M
$5.97K
2082
$19.77
302
$3.03B
$5.97K
2083
LXFRLuxfer Holdings PLC Ordinary Shares $10.06
590
$269.03M
$5.94K
2084
HTCOCaravelle International Group Ordinary Shares $1.21
4.905K
$149.36M
$5.94K
2085
GMREGlobal Medical REIT Inc. $7.78
759
$520.32M
$5.91K
2086
PSNLPersonalis, Inc. Common Stock $3.76
1.566K
$332.04M
$5.89K
2087
IIPRInnovative Industrial Properties, Inc. Common stock $52.10
113
$1.48B
$5.89K
2088
LOVEThe Lovesac Company Common Stock $19.62
300
$290.26M
$5.89K
2089
XHGXChange TEC.INC American Depositary Shares $0.1200
49.023K
$2.46M
$5.88K
2090
$11.88
490
$4.50B
$5.82K
2091
NGSNatural Gas Services Group, Inc. $18.36
316
$229.62M
$5.80K
2092
SMCSummit Midstream Corporation $28.72
202
$351.56M
$5.80K
2093
BCYCBicycle Therapeutics plc American Depositary Shares $8.13
713
$563.03M
$5.80K
2094
$0.5499
10.524K
$80.50M
$5.79K
2095
ELThe Estee Lauder Companies Inc. Class A $57.86
100
$20.81B
$5.79K
2096
TROXTRONOX LIMITED CL A ORDINARY SHARES $5.41
1.066K
$857.28M
$5.77K
2097
$54.38
106
$7.14B
$5.76K
2098
AIOTPowerFleet, Inc. Common Stock $4.99
1.155K
$661.22M
$5.76K
2099
$56.49
102
$3.13B
$5.76K
2100
SRTSSensus Healthcare, Inc $4.42
1.303K
$72.94M
$5.76K