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
$66.54
782.818K
$2.77B
$52.09M
2002
GRNTGranite Ridge Resources, Inc. $4.60
782.674K
$606.72M
$3.60M
2003
CTOSCustom Truck One Source, Inc. $10.35
782.454K
$2.35B
$8.10M
2004
$4.23
779.836K
$321.26M
$3.30M
2005
$86.51
779.828K
$6.73B
$67.46M
2006
TOVXTheriva Biologics, Inc. $0.2275
777.806K
$10.44M
$176.95K
2007
$94.81
774.986K
$7.93B
$73.48M
2008
SOLVSolventum Corporation $75.96
774.933K
$13.15B
$58.86M
2009
$19.06
771.452K
$2.89B
$14.70M
2010
$188.36
770.583K
$25.71B
$145.15M
2011
ALXOALX Oncology Holdings Inc. Common Stock $2.12
770.309K
$285.27M
$1.63M
2012
NGENNervGen Pharma Corp. Common stock $1.90
769.797K
$153.20M
$1.46M
2013
MREOMereo BioPharma Group plc American Depositary Shares $0.3201
768.462K
$51.09M
$245.98K
2014
CRCCalifornia Resources Corporation $52.63
766.63K
$4.67B
$40.35M
2015
PCAPProCap Acquisition Corp Class A Ordinary Shares $10.30
765.572K
$261.93M
$7.89M
2016
CLMTCalumet Specialty Products Partners, L.P. $39.00
764.677K
$3.40B
$29.82M
2017
NRXPNRX Pharmaceuticals, Inc. Common Stock $4.00
764.655K
$144.92M
$3.06M
2018
AMNAMN Healthcare Services $32.08
764.635K
$1.24B
$24.53M
2019
$42.20
764.273K
$3.89B
$32.25M
2020
MAAMid-America Apartment Communities, Inc. $136.00
763.539K
$15.83B
$103.84M
2021
MDPediatrix Medical Group, Inc. $27.00
762.638K
$2.22B
$20.59M
2022
FDSFactset Research Systems $240.71
762.087K
$8.56B
$183.44M
2023
CGONCG Oncology, Inc. Common stock $73.32
761.959K
$6.47B
$55.87M
2024
SCIService Corporation International $76.63
761.148K
$10.57B
$58.33M
2025
$229.48
760.877K
$14.73B
$174.61M
2026
CLPSCLPS Incorporation Common Stock $0.8252
760.599K
$24.54M
$627.65K
2027
BBUCBrookfield Business Corporation Class A Exchangeable Subordinate Voting Shares $30.45
759.639K
$6.27B
$23.13M
2028
ATCHAtlasClear Holdings, Inc. $0.1835
759.574K
$27.59M
$139.38K
2029
SPWHSportsman's Warehouse Holdings, Inc. $1.26
759.211K
$49.16M
$956.61K
2030
JANJanOne Inc. Common Stock (NV) $29.13
758.885K
$5.45B
$22.11M
2031
$155.07
758.606K
$9.11B
$117.64M
2032
$10.40
758.17K
$409.49M
$7.88M
2033
$1,019.68
757.539K
$158.05B
$772.45M
2034
$22.97
757.011K
$5.57B
$17.39M
2035
GDGeneral Dynamics Corporation $374.65
756.46K
$101.32B
$283.41M
2036
$1.67
755.746K
$147.60M
$1.26M
2037
BDTXBlack Diamond Therapeutics, Inc. Common Stock $1.91
753.473K
$109.45M
$1.44M
2038
ARWArrow Electronics, Inc. $205.29
753.357K
$10.50B
$154.66M
2039
BMEABiomea Fusion, Inc. Common Stock $1.32
753.099K
$95.26M
$992.28K
2040
NMFCNEW MOUNTAIN FINANCE CORPORATION $6.87
752.966K
$648.89M
$5.17M
2041
LFTOLiftoff Mobile, Inc. Common Stock $24.79
752.228K
$4.13B
$18.65M
2042
AEISAdvanced Energy Industries Inc $310.00
751.818K
$11.79B
$233.06M
2043
TRTXTPG RE Finance Trust, Inc. Common Stock $8.41
751.642K
$650.16M
$6.32M
2044
ACRVAcrivon Therapeutics, Inc. Common Stock $2.02
751.563K
$86.46M
$1.52M
2045
$8.16
751.365K
$2.74B
$6.13M
2046
JKSJINKOSOLAR HOLDINGS CO $15.54
751.328K
$813.83M
$11.68M
2047
ANFAbercrombie & Fitch Co. $89.23
750.94K
$3.96B
$67.01M
2048
PFSProvident Financial Services, Inc. $23.37
750.267K
$3.05B
$17.53M
2049
VLRSCONTROLADORA VUELA COMPAÑÍA DE AVIACIÓN, S.A.B. DE C.V. $8.48
749.663K
$988.75M
$6.36M
2050
APAMARTISAN PARTNERS ASSET MANAGEMENT INC. $36.62
748.952K
$2.60B
$27.43M
2051
$159.07
748.427K
$12.17B
$119.05M
2052
$13.43
748.307K
$726.05M
$10.05M
2053
$1.54
748.034K
$136.84M
$1.15M
2054
VSXYVictorias Secret & Co. $76.00
747.198K
$6.04B
$56.79M
2055
$405.05
744.598K
$24.13B
$301.60M
2056
FHIFederated Hermes, Inc. $58.87
744.382K
$4.47B
$43.82M
2057
$250.16
743.814K
$20.00B
$186.07M
2058
STEPStepStone Group Inc. Class A Common Stock $43.68
743.598K
$3.53B
$32.48M
2059
ALUBAlussa Energy Acquisition Corp. II $10.08
743.1K
$289.80M
$7.49M
2060
BXPBoston Properties, Inc. $66.93
742.609K
$10.67B
$49.70M
2061
SSPThe E.W. Scripps Company $2.97
742.591K
$236.44M
$2.21M
2062
EMBJEmbraer S.A. American Depositary Shares (Each representing Four Common Shares) $65.51
741.835K
$12.13B
$48.60M
2063
$148.40
741.602K
$13.87B
$110.05M
2064
KREFKKR Real Estate Finance Trust Inc. $7.23
740.899K
$464.89M
$5.36M
2065
LENZLENZ Therapeutics, Inc. Common Stock $5.96
740.788K
$186.87M
$4.42M
2066
DECDiversified Energy Company plc $13.72
740.5K
$992.28M
$10.16M
2067
MBXMBX Biosciences, Inc. Common Stock $66.00
739.913K
$3.14B
$48.83M
2068
$64.50
739.521K
$5.94B
$47.70M
2069
RCUSArcus Biosciences, Inc. $29.96
738.461K
$3.77B
$22.12M
2070
SDSTStardust Power Inc. Common Stock $1.77
738.259K
$18.73M
$1.31M
2071
KLICKulicke & Soffa Industries Inc $111.10
737.791K
$5.81B
$81.97M
2072
DUOTDuos Technologies Group, Inc. Common Stock $9.94
737.487K
$291.48M
$7.33M
2073
$168.34
737.337K
$3.18B
$124.12M
2074
$48.45
737.099K
$7.03B
$35.71M
2075
FIBKFirst Interstate BancSystem, Inc. Common Stock (DE) $38.91
735.602K
$3.78B
$28.62M
2076
MTHMeritage Homes Corporation $74.91
733.916K
$5.00B
$54.98M
2077
REREATRenew Inc. American Depositary Shares (every three of which representing two Class A ordinary shares) $4.01
732.502K
$527.25M
$2.94M
2078
MKTXMarketAxess Holdings Inc. $113.98
731.769K
$4.05B
$83.41M
2079
$2.51
731.059K
$199.31M
$1.83M
2080
TNXPTonix Pharmaceuticals Holding Corp. $13.00
730.604K
$207.21M
$9.50M
2081
UPXIUpexi, Inc. Common Stock $0.8000
730.316K
$56.21M
$584.25K
2082
WALWestern Alliance Bancorporation $79.94
728.884K
$8.73B
$58.27M
2083
STRLSterling Infrastructure, Inc. Common Stock $714.88
728.223K
$21.94B
$520.59M
2084
KNSAKiniksa Pharmaceuticals, Ltd. Class A Common Stock $64.09
727.97K
$2.97B
$46.66M
2085
DTILPrecision BioSciences, Inc. Common Stock $8.99
727.653K
$231.96M
$6.54M
2086
INGRIngredion Incorporated $97.49
726.809K
$6.15B
$70.86M
2087
CHRDChord Energy Corporation Common Stock $118.48
726.768K
$6.67B
$86.11M
2088
$52.33
724.416K
$2.75B
$37.91M
2089
NSCNorfolk Southern Corp. $324.00
722.066K
$72.77B
$233.95M
2090
VERXVertex, Inc. Class A Common Stock $12.70
719.613K
$1.01B
$9.14M
2091
TONXTON Strategy Company Common Stock $3.34
719.549K
$188.81M
$2.40M
2092
SIMOSilicon Motion Technology Corporation $324.16
718.866K
$10.99B
$233.03M
2093
GRALGRAIL, Inc. Common Stock $75.13
718.797K
$3.22B
$54.00M
2094
$668.32
718.622K
$100.29B
$480.27M
2095
PYXSPyxis Oncology, Inc. Common Stock $2.57
718.383K
$162.82M
$1.85M
2096
$94.73
718.027K
$11.39B
$68.02M
2097
WNWMeiwu Technology Company Limited Ordinary Shares $3.70
716.038K
$4.92M
$2.65M
2098
$53.97
715.663K
$3.75B
$38.62M
2099
ALSNALLISON TRANSMISSION HOLDINGS, INC. $113.78
715.594K
$9.44B
$81.42M
2100
$140.26
714.863K
$11.29B
$100.27M