Stock Rankings by Volume - Rankings 2101 to 2200

Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 2101 to 2200.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
2101
MLKNMillerKnoll, Inc. Common Stock
$18.28
-0.19
-1.03%
515.765K
$1.25B
$9.43M
2102
BIPBrookfield Infrastructure Partners L.P. Limited Partnership Units
$34.40
-0.57
-1.63%
273.69K
$15.95B
$9.41M
2103
ESPREsperion Therapeutics, Inc.
$3.72
+0.02
+0.54%
2.529M
$881.90M
$9.41M
2104
SHLSShoals Technologies Group, Inc. Class A Common Stock
$8.50
+0.09
+1.07%
1.104M
$1.42B
$9.38M
2105
NNINelnet, Inc. Class A
$132.85
-0.47
-0.35%
70.639K
$4.77B
$9.38M
2106
ATMUAtmus Filtration Technologies Inc.
$51.91
-0.46
-0.88%
180.688K
$4.23B
$9.38M
2107
WLTHWealthfront Corporation Common Stock
$13.81
-0.19
-1.36%
679.055K
$2.02B
$9.38M
2108
DRCTDirect Digital Holdings, Inc. Class A Common Stock
$0.0591
-0.0042
-6.64%
158.021M
$3.18M
$9.34M
2109
UNITUniti Group Inc. Common Stock
$7.00
+0.07
+1.01%
1.332M
$1.67B
$9.33M
2110
TALOTalos Energy, Inc. Common Stock
$11.02
-0.27
-2.39%
844.352K
$1.87B
$9.30M
2111
AEROGrupo Aeromexico, S.A.B. de C.V. American Depositary Shares (each representing ten (10) Common Shares)
$21.96
-0.30
-1.35%
422.42K
$3.20B
$9.28M
2112
EHEHang Holdings Limited ADS
$13.19
-0.30
-2.22%
701.602K
$949.48M
$9.25M
2113
KWRQuaker Houghton
$137.31
-1.80
-1.29%
67.29K
$2.38B
$9.24M
2114
FEIMFrequency Electronics, Inc.
$53.04
-1.69
-3.09%
174.195K
$518.61M
$9.24M
2115
PRMEPrime Medicine, Inc. Common Stock
$3.50
-0.02
-0.57%
2.638M
$631.79M
$9.23M
2116
SBLKStar Bulk Carriers Corp.
$19.30
+0.10
+0.52%
478.181K
$2.20B
$9.23M
2117
KNSAKiniksa Pharmaceuticals, Ltd. Class A Common Stock
$41.25
+0.35
+0.86%
223.662K
$3.13B
$9.23M
2118
ZLABZai Lab Limited American Depositary Shares
$17.40
-0.27
-1.53%
529.498K
$1.93B
$9.21M
2119
JKSJINKOSOLAR HOLDINGS CO
$25.81
-0.52
-1.97%
356.681K
$1.33B
$9.21M
2120
NESRNational Energy Services Reunited Corp. Ordinary Shares
$15.66
+0.00
+0.00%
587.386K
$1.58B
$9.20M
2121
OTTROtter Tail Corp
$80.81
-1.62
-1.97%
113.633K
$3.39B
$9.18M
2122
BRCBBlack Rock Coffee Bar, Inc. Class A Common Stock
$22.25
-0.25
-1.11%
412.439K
$388.90M
$9.18M
2123
MGRCMcgrath Rentcorp
$104.93
-1.23
-1.16%
87.426K
$2.58B
$9.17M
2124
CSTMConstellium SE Class A Ordinary shares
$18.85
-0.12
-0.63%
486.446K
$2.60B
$9.17M
2125
KMTKennametal Inc.
$28.41
-0.28
-0.98%
322.661K
$2.16B
$9.17M
2126
LCIILCI Industries
$121.34
-1.56
-1.27%
75.307K
$2.94B
$9.14M
2127
TNXPTonix Pharmaceuticals Holding Corp.
$15.90
+0.08
+0.51%
574.1K
$187.25M
$9.13M
2128
TFPMTriple Flag Precious Metals Corp.
$33.14
-0.14
-0.43%
275.251K
$6.84B
$9.12M
2129
TRVITrevi Therapeutics, Inc. Common Stock
$12.51
+0.05
+0.40%
727.107K
$1.60B
$9.10M
2130
TOWNTowne Bank
$33.29
-0.33
-0.98%
273.232K
$2.63B
$9.10M
2131
CTRNCiti Trends, Inc.
$41.55
+0.72
+1.76%
218.907K
$346.75M
$9.10M
2132
MVSTMicrovast Holdings, Inc. Common Stock
$2.80
+0.00
+0.00%
3.244M
$918.91M
$9.08M
2133
GATXGATX Corporation
$169.59
-2.51
-1.46%
53.493K
$6.05B
$9.07M
2134
RZLTRezolute, Inc. Common Stock (NV)
$2.32
+0.13
+6.16%
3.901M
$215.57M
$9.07M
2135
THSTreehouse Foods, Inc.
$23.59
-0.07
-0.30%
383.463K
$1.19B
$9.05M
2136
KTKT Corp.
$18.97
-0.03
-0.13%
476.618K
$9.14B
$9.04M
2137
CGBDCarlyle Secured Lending, Inc. Common Stock
$12.71
+0.33
+2.67%
710.575K
$926.60M
$9.03M
2138
SKYWSkywest Inc
$100.41
-0.64
-0.63%
89.715K
$4.03B
$9.01M
2139
ISSCInnovative Solutions & Support
$18.95
-0.73
-3.71%
474.989K
$336.41M
$9.00M
2140
GOSSGossamer Bio, Inc. Common Stock
$3.06
-0.04
-1.29%
2.934M
$708.26M
$8.98M
2141
BBTBeacon Financial Corporation
$26.37
-0.13
-0.49%
340.289K
$2.21B
$8.97M
2142
QDELQuidelOrtho Corporation Common Stock
$28.56
-0.76
-2.59%
314.182K
$1.94B
$8.97M
2143
REPLReplimune Group, Inc.
$9.72
+0.18
+1.89%
921.682K
$762.47M
$8.96M
2144
SANASana Biotechnology, Inc. Common Stock
$4.11
+0.03
+0.74%
2.173M
$1.09B
$8.93M
2145
NGVTIngevity Corporation
$59.18
+0.04
+0.07%
150.858K
$2.13B
$8.93M
2146
HPPHudson Pacific Properties, Inc.
$10.83
-0.06
-0.55%
824.294K
$587.17M
$8.93M
2147
AEHRAehr Test Systems
$20.15
-0.03
-0.15%
441.532K
$604.63M
$8.90M
2148
OPLNOPENLANE, Inc
$29.78
-0.24
-0.80%
298.102K
$3.16B
$8.88M
2149
DRHDiamondRock Hospitality Company
$8.96
-0.13
-1.43%
985.771K
$1.83B
$8.83M
2150
WLYJohn Wiley & Sons, Inc. Class A
$30.63
-0.36
-1.16%
287.827K
$1.61B
$8.82M
2151
ATHMAutohome Inc. American Depositary Shares, each representing four Class A Ordinary Shares
$22.23
+0.08
+0.36%
395.995K
$2.63B
$8.80M
2152
RPDRapid7, Inc. Common Stock
$15.20
-0.40
-2.56%
579.114K
$995.31M
$8.80M
2153
RCReady Capital Corporation
$2.18
+0.02
+0.93%
4.033M
$353.45M
$8.79M
2154
BBBYBed Bath & Beyond, Inc.
$5.44
+0.04
+0.74%
1.615M
$374.54M
$8.79M
2155
KLICKulicke & Soffa Industries Inc
$45.56
-0.82
-1.77%
192.753K
$2.39B
$8.78M
2156
INMDInMode Ltd. Ordinary Shares
$14.69
-0.12
-0.81%
597.061K
$928.54M
$8.77M
2157
ZBIOZenas BioPharma, Inc. Common Stock
$36.27
-0.10
-0.27%
240.905K
$1.95B
$8.74M
2158
WDSWoodside Energy Group Limited American Depositary Shares, each representing one Ordinary Share
$15.51
-0.13
-0.83%
563.307K
$29.49B
$8.74M
2159
GRBKGreen Brick Partners, Inc
$62.66
-0.34
-0.54%
139.274K
$2.73B
$8.73M
2160
TFSLTFS Financial Corporation
$13.35
-0.04
-0.30%
653.053K
$3.74B
$8.72M
2161
INGMIngram Micro Holding Corporation
$21.34
-0.52
-2.38%
408.287K
$5.02B
$8.71M
2162
PHRPhreesia, Inc.
$16.95
-0.08
-0.49%
513.66K
$1.02B
$8.71M
2163
RLJRLJ Lodging Trust
$7.45
-0.15
-1.97%
1.167M
$1.13B
$8.70M
2164
REYNReynolds Consumer Products Inc. Common Stock
$22.92
-0.38
-1.63%
379.417K
$4.82B
$8.70M
2165
MFICMidCap Financial Investment Corporation Common Stock
$11.42
-0.04
-0.35%
761.359K
$1.07B
$8.69M
2166
ORISOriental Rise Holdings Limited Ordinary Shares
$1.50
-0.29
-16.20%
5.78M
$55.22M
$8.67M
2167
BETABeta Technologies, Inc.
$28.21
+0.13
+0.46%
306.881K
$6.46B
$8.66M
2168
SKWDSkyward Specialty Insurance Group, Inc. Common Stock
$51.11
-0.77
-1.48%
169.243K
$2.07B
$8.65M
2169
CCSCENTURY COMMUNITIES, INC.
$59.35
-0.68
-1.13%
145.713K
$1.74B
$8.65M
2170
SDGRSchrodinger, Inc. Common Stock
$17.70
-0.07
-0.38%
487.559K
$1.30B
$8.63M
2171
BHCBausch Health Companies Inc.
$6.94
-0.06
-0.86%
1.243M
$2.57B
$8.63M
2172
ARLOArlo Technologies, Inc.
$13.99
+0.10
+0.72%
616.525K
$1.48B
$8.63M
2173
URGUr-Energy Inc.
$1.41
+0.05
+3.60%
6.113M
$530.05M
$8.61M
2174
ZDZiff Davis, Inc. Common Stock
$35.15
-0.49
-1.37%
244.967K
$1.39B
$8.61M
2175
CATYCathay General Bancorp
$48.39
-0.50
-1.02%
177.911K
$3.29B
$8.61M
2176
BLKBBlackbaud, Inc.
$63.32
-0.31
-0.49%
135.945K
$3.03B
$8.61M
2177
DPRODraganfly Inc. Common Shares
$6.89
+0.10
+1.51%
1.247M
$176.31M
$8.59M
2178
CMPXCompass Therapeutics, Inc. Common Stock
$5.37
-0.16
-2.89%
1.6M
$955.12M
$8.59M
2179
GDRXGoodRx Holdings, Inc. Class A Common Stock
$2.69
+0.01
+0.20%
3.187M
$913.18M
$8.57M
2180
MBXMBX Biosciences, Inc. Common Stock
$31.45
+0.55
+1.78%
271.284K
$1.41B
$8.53M
2181
TREELendingTree, Inc.
$53.09
+0.01
+0.02%
160.043K
$725.78M
$8.50M
2182
EPCEdgewell Personal Care Company
$17.05
-0.09
-0.53%
498.25K
$796.49M
$8.50M
2183
HCSGHealthcare Services Group
$19.12
-0.68
-3.43%
444.161K
$1.35B
$8.49M
2184
CABOCable One, Inc.
$112.85
-3.05
-2.63%
75.147K
$635.93M
$8.48M
2185
WSFSWSFS Financial Corp
$55.24
-0.66
-1.18%
153.399K
$3.02B
$8.47M
2186
JACKJack in the Box Inc.
$18.91
+0.00
+0.00%
447.401K
$357.34M
$8.46M
2187
AUPHAurinia Pharmaceuticals Inc
$15.95
-0.07
-0.44%
528.799K
$2.10B
$8.43M
2188
PRGSProgress Software Corp (DE)
$42.96
-0.44
-1.01%
196.156K
$1.84B
$8.43M
2189
ORBSEightco Holdings Inc. Common Stock
$1.69
-0.07
-3.95%
4.977M
$334.41M
$8.41M
2190
KALUKaiser Aluminum Corporation
$114.86
-3.62
-3.06%
73.233K
$1.86B
$8.41M
2191
CRNCCerence Inc. Common Stock
$10.69
-0.30
-2.73%
785.835K
$480.40M
$8.40M
2192
LGIHLGI Homes, Inc.
$43.45
+0.23
+0.53%
193.243K
$1.00B
$8.40M
2193
SYRESpyre Therapeutics, Inc. Common Stock
$32.76
+0.98
+3.08%
254.79K
$2.54B
$8.35M
2194
RGNXREGENXBIO Inc.
$14.40
+0.03
+0.21%
579.372K
$728.97M
$8.34M
2195
FBPFirst BanCorp.
$20.72
-0.19
-0.91%
402.146K
$3.27B
$8.33M
2196
LMBLimbach Holdings, Inc Common Stock
$77.85
-0.41
-0.52%
106.966K
$905.15M
$8.33M
2197
RNSTRenasant Corporation
$35.15
-0.44
-1.24%
236.89K
$3.34B
$8.33M
2198
TCPCBlackRock TCP Capital Corp. Common Stock
$5.44
+0.03
+0.55%
1.53M
$461.54M
$8.32M
2199
MCHBMechanics Bancorp Class A Common Stock
$14.63
+0.08
+0.55%
568.642K
$3.24B
$8.32M
2200
EIGEmployers Holdings, Inc.
$43.18
-0.26
-0.60%
192.205K
$970.11M
$8.30M