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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
2001
POWLPowell Industries Inc
$234.50
+2.50
+1.08%
601.535K
$2.85B
$141.06M
2002
TARAProtara Therapeutics, Inc. Common Stock
$5.05
-0.17
-3.31%
601.293K
$272.96M
$3.03M
2003
SFStifel Financial Corp.
$77.24
-0.47
-0.60%
599.749K
$7.97B
$46.32M
2004
AKRAcadia Realty Trust
$20.73
+0.30
+1.47%
598.874K
$2.72B
$12.41M
2005
VSTSVestis Corporation
$8.66
+0.08
+0.93%
598.868K
$1.14B
$5.19M
2006
WYNNWynn Resorts Ltd
$103.96
-0.64
-0.61%
598.593K
$10.82B
$62.23M
2007
PFSProvident Financial Services, Inc.
$22.05
-0.33
-1.47%
598.503K
$2.88B
$13.20M
2008
SNNSmith & Nephew plc
$33.50
+0.17
+0.51%
598.465K
$14.30B
$20.05M
2009
EATBrinker International, Inc.
$155.13
+0.94
+0.61%
598.14K
$6.76B
$92.79M
2010
PRTSCarParts.com, Inc. Common Stock
$0.7800
+0.0300
+4.00%
597.692K
$54.98M
$466.20K
2011
ZVRAZevra Therapeutics, Inc. Common Stock
$9.30
-0.45
-4.62%
597.448K
$546.02M
$5.56M
2012
CRNXCrinetics Pharmaceuticals, Inc.
$39.63
+0.00
+0.00%
597.372K
$4.15B
$23.67M
2013
STLDSteel Dynamics Inc
$190.57
-2.18
-1.13%
597.355K
$27.58B
$113.84M
2014
WGSGeneDx Holdings Corp. Class A Common Stock
$59.53
-3.22
-5.13%
597.212K
$1.74B
$35.55M
2015
GPREGreen Plains, Inc.
$15.23
+0.02
+0.13%
596.696K
$1.06B
$9.09M
2016
ARCOARCOS DORADOS HOLDINGS INC.
$8.57
+0.00
+0.00%
596.359K
$1.12B
$5.11M
2017
WWWWolverine World Wide, Inc.
$16.99
-0.22
-1.28%
595.805K
$1.39B
$10.12M
2018
RRRRed Rock Resorts, Inc. Class A Common Stock
$56.40
+0.21
+0.37%
593.825K
$3.34B
$33.49M
2019
NVCRNovoCure Limited Ordinary Shares
$10.59
-0.41
-3.73%
592.991K
$1.21B
$6.28M
2020
WALWestern Alliance Bancorporation
$76.21
-0.55
-0.72%
592.778K
$8.37B
$45.18M
2021
CMCanadian Imperial Bank of Commerce
$103.16
-0.34
-0.33%
592.429K
$94.73B
$61.11M
2022
IPWiPower, Inc. Common Stock
$1.10
-0.03
-2.65%
591.179K
$1.45M
$650.30K
2023
VCYTVeracyte, Inc.
$31.09
-0.18
-0.58%
590.919K
$2.47B
$18.37M
2024
MANEVeradermics, Incorporated
$68.95
+7.05
+11.39%
590.88K
$2.57B
$40.74M
2025
ELBMElectra Battery Materials Corporation Common Stock
$0.5992
+0.0074
+1.25%
590.28K
$62.16M
$353.70K
2026
SCYXSCYNEXIS, Inc.
$0.9999
-0.0301
-2.92%
589.804K
$44.66M
$589.75K
2027
NOMDNomad Foods Limited
$9.87
-0.11
-1.10%
588.67K
$1.40B
$5.81M
2028
JBIOJade Biosciences, Inc. Common Stock
$17.89
-0.43
-2.35%
587.809K
$882.27M
$10.52M
2029
MWAMueller Water Products, Inc.
$29.69
-0.44
-1.46%
587.149K
$4.64B
$17.43M
2030
PDYNPalladyne AI Corp. Common Stock
$6.44
+0.01
+0.16%
586.867K
$299.43M
$3.78M
2031
ATONAlphaTON Capital Corp. Common Stock
$0.3006
-0.0048
-1.57%
586.578K
$7.04M
$176.33K
2032
ATENA10 NETWORKS INC
$24.00
-1.18
-4.69%
585.805K
$1.72B
$14.06M
2033
BRSLBrightstar Lottery
$12.25
-0.17
-1.37%
585.796K
$2.29B
$7.18M
2034
GNPXGenprex, Inc. Common Stock
$1.18
-0.16
-11.94%
584.405K
$10.67M
$689.60K
2035
TCPCBlackRock TCP Capital Corp. Common Stock
$3.85
+0.02
+0.39%
583.357K
$324.25M
$2.24M
2036
ALNYAlnylam Pharmaceuticals, Inc.
$322.11
-1.38
-0.43%
583.218K
$42.72B
$187.86M
2037
RWAYRunway Growth Finance Corp. Common Stock
$6.59
-0.01
-0.15%
583.082K
$238.12M
$3.84M
2038
ALSNALLISON TRANSMISSION HOLDINGS, INC.
$128.51
+0.38
+0.30%
583.052K
$10.68B
$74.93M
2039
BOBSBobs Discount Furniture, Inc.
$11.10
-0.60
-5.13%
581.283K
$1.45B
$6.45M
2040
SPRYARS Pharmaceuticals, Inc. Common Stock
$8.05
-0.11
-1.35%
580.671K
$799.34M
$4.67M
2041
SMGThe Scotts Miracle-Gro Company
$60.74
-2.01
-3.20%
579.881K
$3.53B
$35.22M
2042
IEPIcahn Enterprises L.P
$7.61
-0.11
-1.42%
579.211K
$4.85B
$4.41M
2043
WPPWPP PLC
$16.74
-0.07
-0.42%
578.692K
$3.61B
$9.69M
2044
RSKDRiskified Ltd.
$4.02
-0.04
-0.99%
578.246K
$418.22M
$2.32M
2045
FUTUFutu Holdings Limited American Depositary Shares
$154.50
-2.50
-1.59%
577.797K
$14.64B
$89.27M
2046
GLUEMonte Rosa Therapeutics, Inc. Common Stock
$17.82
-0.17
-0.94%
577.407K
$1.43B
$10.29M
2047
EYPTEyePoint Pharmaceuticals, Inc. Common Stock
$13.96
-0.33
-2.31%
576.959K
$1.16B
$8.05M
2048
LXEOLexeo Therapeutics, Inc. Common Stock
$5.98
-0.45
-7.00%
576.543K
$443.04M
$3.45M
2049
TWSTTwist Bioscience Corporation Common Stock
$47.91
-0.90
-1.84%
576.248K
$2.94B
$27.61M
2050
ORIOld Republic International Corporation
$40.90
-0.58
-1.40%
575.726K
$9.96B
$23.55M
2051
DRVNDriven Brands Holdings Inc. Common Stock
$12.36
-0.22
-1.75%
575.141K
$2.03B
$7.11M
2052
LDOSLeidos Holdings, Inc.
$152.11
-4.10
-2.62%
573.835K
$19.18B
$87.29M
2053
MCMOELIS & COMPANY
$63.04
+0.32
+0.51%
573.62K
$4.63B
$36.16M
2054
SPNTSiriusPoint Ltd.
$22.83
-0.19
-0.83%
572.991K
$2.67B
$13.08M
2055
HUBGHUB Group Inc
$38.97
+0.14
+0.36%
572.404K
$2.36B
$22.31M
2056
WDSWoodside Energy Group Limited American Depositary Shares, each representing one Ordinary Share
$23.61
-0.02
-0.08%
571.6K
$44.88B
$13.50M
2057
PORPortland General Electric Company
$53.70
-0.40
-0.74%
571.596K
$6.21B
$30.69M
2058
MSIMotorola Solutions, Inc. New
$433.69
-7.59
-1.72%
570.613K
$72.08B
$247.47M
2059
BWXTBWX Technologies, Inc.
$229.90
-2.10
-0.91%
568.795K
$21.06B
$130.77M
2060
DOLEDole plc
$15.69
+0.09
+0.58%
567.704K
$1.49B
$8.91M
2061
RYRoyal Bank of Canada
$171.97
+0.67
+0.39%
566.166K
$240.36B
$97.36M
2062
OPRXOptimizeRx Corporation Common Stock
$6.11
-0.09
-1.45%
565.272K
$114.64M
$3.45M
2063
RNXTRenovoRx, Inc. Common Stock
$1.03
+0.03
+3.01%
565.233K
$46.40M
$582.19K
2064
TFSLTFS Financial Corporation
$14.82
-0.08
-0.54%
564.902K
$4.16B
$8.37M
2065
MOHMolina Healthcare, Inc.
$145.88
+0.91
+0.63%
564.855K
$7.60B
$82.40M
2066
MODModine Manufacturing Co
$241.46
-2.34
-0.96%
564.676K
$12.73B
$136.35M
2067
EHCEncompass Health Corporation Common Stock
$107.25
-0.87
-0.80%
564.602K
$10.66B
$60.55M
2068
XWINXMAX, Inc. Common Stock
$7.21
+0.00
+0.00%
563.453K
$310.56M
$4.06M
2069
DTMDT Midstream, Inc.
$135.64
-0.17
-0.13%
562.689K
$13.84B
$76.32M
2070
GGALGrupo Financiero Galicia SA
$48.36
+0.66
+1.38%
561.973K
$6.41B
$27.18M
2071
URBNUrban Outfitters Inc
$68.60
-0.12
-0.17%
561.725K
$5.87B
$38.53M
2072
AVOMission Produce, Inc. Common Stock
$14.81
+0.17
+1.16%
561.298K
$1.05B
$8.31M
2073
HCATHealth Catalyst, Inc Common Stock
$1.01
+0.00
+0.00%
561.103K
$74.32M
$566.71K
2074
ACLSAxcelis Technologies Inc
$112.79
+4.88
+4.52%
561.085K
$3.47B
$63.28M
2075
SMRTSmartRent, Inc.
$1.41
+0.01
+0.71%
560.664K
$271.08M
$790.54K
2076
CLDXCelldex Therapeutics, Inc
$32.24
-1.38
-4.10%
559.677K
$2.15B
$18.04M
2077
YELPYELP INC.
$25.46
-0.06
-0.24%
559.074K
$1.52B
$14.23M
2078
ANTXAN2 Therapeutics, Inc. Common Stock
$3.01
-0.09
-2.90%
559.002K
$108.18M
$1.68M
2079
WESWestern Midstream Partners, LP
$40.77
-0.48
-1.16%
558.771K
$16.05B
$22.78M
2080
CURRCurrenc Group Inc. Ordinary Shares
$3.55
+0.35
+11.01%
558.579K
$271.97M
$1.98M
2081
JACKJack in the Box Inc.
$11.50
-0.58
-4.80%
557.667K
$218.91M
$6.41M
2082
UGIUGI Corporation
$37.94
-0.25
-0.65%
557.493K
$8.14B
$21.15M
2083
SSBSouthState Corporation
$97.66
-1.74
-1.75%
557.059K
$9.58B
$54.40M
2084
NGGNational Grid PLC
$90.29
-0.29
-0.32%
557.019K
$89.77B
$50.29M
2085
FIPFTAI Infrastructure Inc. Common Stock
$5.70
+0.32
+5.95%
555.992K
$673.53M
$3.17M
2086
SLDBSolid Biosciences Inc. Common Stock
$8.02
-0.17
-2.08%
555.914K
$789.10M
$4.46M
2087
WHDCactus, Inc.
$54.34
+0.44
+0.82%
555.81K
$3.77B
$30.20M
2088
NWBINorthwest Bancshares, Inc
$13.56
-0.14
-1.02%
555.746K
$1.98B
$7.54M
2089
VISTVista Energy S.A.B. de C.V.
$65.95
+0.76
+1.17%
555.484K
$6.88B
$36.63M
2090
YYGHYY Group Holding Limited Class A Ordinary Shares
$1.48
+0.29
+24.37%
555.127K
$6.33M
$821.59K
2091
HEPSD-Market Electronic Services & Trading American Depositary Shares
$2.71
+0.02
+0.74%
554.819K
$968.08M
$1.50M
2092
SEPNSepterna, Inc. Common Stock
$23.09
-1.83
-7.34%
554.321K
$1.04B
$12.80M
2093
ICLRIcon Plc
$106.81
-0.95
-0.88%
554.138K
$8.63B
$59.19M
2094
GXOGXO Logistics, Inc.
$56.07
-0.30
-0.53%
554.122K
$6.43B
$31.07M
2095
GIXGigCapital9 Corp. Class A Ordinary Share
$9.84
+0.01
+0.10%
553.444K
$252.78M
$5.45M
2096
CALCaleres Inc
$12.52
+0.01
+0.08%
552.748K
$423.70M
$6.92M
2097
LODEComstock Inc.
$3.05
-0.21
-6.44%
552.68K
$226.00M
$1.69M
2098
CBZCBIZ, Inc.
$27.03
-0.80
-2.87%
552.44K
$1.48B
$14.93M
2099
FTSFortis Inc. Common Shares
$57.62
+0.10
+0.17%
552.252K
$29.24B
$31.82M
2100
CTGOContango ORE, Inc.
$23.46
+1.67
+7.67%
552.143K
$394.64M
$12.95M