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
GRPNGroupon, Inc.Common Stock
$12.26
+0.07
+0.57%
671.511K
$499.65M
$8.23M
2102
ORGNOrigin Materials, Inc. Common Stock
$0.1484
+0.0076
+5.40%
671.105K
$22.70M
$99.59K
2103
STOKStoke Therapeutics, Inc. Common Stock
$35.50
-0.60
-1.66%
670.787K
$2.03B
$23.81M
2104
NRDYNerdy Inc.
$0.8931
-0.0169
-1.86%
670.77K
$109.80M
$599.06K
2105
QLYSQualys, Inc. Common Stock
$86.83
-0.17
-0.20%
669.995K
$3.10B
$58.18M
2106
CWSTCasella Waste Systems Inc
$91.87
-0.84
-0.91%
669.44K
$5.74B
$61.50M
2107
BKNGBooking Holdings Inc. Common Stock
$4,065.00
+165.00
+4.23%
668.919K
$128.75B
$2.72B
2108
AKRAcadia Realty Trust
$20.48
-0.15
-0.73%
668.694K
$2.68B
$13.69M
2109
ELBMElectra Battery Materials Corporation Common Stock
$0.7999
-0.0031
-0.39%
666.873K
$80.00M
$533.43K
2110
CMCanadian Imperial Bank of Commerce
$98.18
-0.32
-0.32%
666.295K
$91.19B
$65.42M
2111
SKYXSKYX Platforms Corp. Common Stock
$2.06
+0.03
+1.48%
666.261K
$250.32M
$1.37M
2112
SPROSpero Therapeutics, Inc. Common Stock
$2.22
-0.18
-7.50%
666.109K
$125.08M
$1.48M
2113
TENTsakos Energy Navigation Ltd.
$32.81
+0.79
+2.47%
665.391K
$988.49M
$21.83M
2114
CURBCurbline Properties Corp.
$27.63
-0.19
-0.68%
664.928K
$2.91B
$18.37M
2115
LTBRLightbridge Corp.
$13.02
+0.54
+4.33%
663.103K
$424.57M
$8.63M
2116
RCIRogers Communications, Inc.
$38.97
+0.15
+0.39%
662.745K
$16.72B
$25.83M
2117
SLMTBrera Holdings PLC Class B Ordinary Shares
$1.07
+0.04
+3.88%
662.585K
$87.73M
$708.97K
2118
LUCDLucid Diagnostics Inc. Common Stock
$1.47
+0.08
+5.71%
662.302K
$202.30M
$973.12K
2119
CARSCars.com Inc. Common Stock
$10.66
+0.17
+1.62%
662.163K
$637.61M
$7.06M
2120
BRSPBrightSpire Capital, Inc.
$5.60
-0.06
-1.06%
660.515K
$720.31M
$3.70M
2121
SOPASociety Pass Incorporated Common Stock
$0.6801
+0.0101
+1.51%
659.027K
$5.17M
$448.20K
2122
EVTLVertical Aerospace Ltd.
$4.19
+0.03
+0.72%
658.95K
$418.11M
$2.76M
2123
FEEDENvue Medical, Inc. Common Stock
$2.61
+0.11
+4.40%
658.772K
$2.84M
$1.72M
2124
WDSWoodside Energy Group Limited American Depositary Shares, each representing one Ordinary Share
$19.56
+0.06
+0.28%
658.452K
$37.18B
$12.88M
2125
MENSJyong Biotech Ltd. Ordinary Shares
$2.77
+0.04
+1.47%
658.112K
$210.60M
$1.82M
2126
THCTenet Healthcare Corporation New
$237.58
+2.58
+1.10%
658.044K
$20.66B
$156.34M
2127
HCSGHealthcare Services Group
$21.40
+0.56
+2.69%
657.729K
$1.50B
$14.08M
2128
FFWMFirst Foundation Inc.
$5.97
+0.08
+1.36%
657.46K
$494.82M
$3.93M
2129
VCIGVCI Global Limited Ordinary Share
$0.2960
+0.0040
+1.35%
657.402K
$1.79M
$194.56K
2130
ZWSZurn Elkay Water Solutions Corporation
$50.60
+0.35
+0.70%
657.231K
$8.44B
$33.26M
2131
ACICAmerican Coastal Insurance Corporation Common Stock
$11.13
+0.44
+4.12%
655.43K
$542.76M
$7.29M
2132
LBRXLB Pharmaceuticals Inc Common Stock
$24.72
+0.42
+1.73%
655.131K
$625.39M
$16.19M
2133
PSAPublic Storage
$304.11
-0.46
-0.15%
654.232K
$53.37B
$198.96M
2134
NEXANexa Resources S.A. Common Shares
$11.99
+0.18
+1.52%
653.409K
$1.59B
$7.83M
2135
LEUCentrus Energy Corp.
$206.98
+8.01
+4.03%
653.235K
$3.92B
$135.21M
2136
KALVKalVista Pharmaceuticals, Inc. Common Stock
$15.77
+0.29
+1.87%
651.243K
$797.12M
$10.27M
2137
FDXFedEx Corporation
$386.56
+3.39
+0.88%
650.717K
$90.89B
$251.54M
2138
RRRRed Rock Resorts, Inc. Class A Common Stock
$61.78
+1.25
+2.07%
650.698K
$3.65B
$40.20M
2139
BSMBlack Stone Minerals, L.P.
$15.24
+0.62
+4.22%
650.466K
$3.23B
$9.91M
2140
VTEXVTEX
$2.98
+0.12
+4.20%
650.387K
$304.06M
$1.94M
2141
DGXQuest Diagnostics Inc.
$209.54
+1.73
+0.83%
649.844K
$23.31B
$136.17M
2142
LHXL3Harris Technologies, Inc.
$354.27
+0.72
+0.20%
649.609K
$66.17B
$230.14M
2143
ANGIAngi Inc. Class A Common Stock
$8.04
+0.06
+0.74%
649.555K
$346.71M
$5.22M
2144
ADVBAdvanced Biomed Inc. Common Stock
$3.84
-0.36
-8.57%
649.547K
$5.24M
$2.49M
2145
HRIHerc Holdings Inc.
$148.59
+1.29
+0.88%
649.426K
$4.96B
$96.50M
2146
BBTBeacon Financial Corporation
$30.76
+0.10
+0.33%
648.336K
$2.58B
$19.94M
2147
KYMRKymera Therapeutics, Inc. Common Stock
$91.01
+2.42
+2.73%
648.221K
$6.55B
$58.99M
2148
TILEInterface Inc
$31.88
+0.30
+0.95%
648.1K
$1.86B
$20.66M
2149
CHRDChord Energy Corporation Common Stock
$104.92
-0.18
-0.17%
647.305K
$5.97B
$67.92M
2150
MTNVail Resorts, Inc.
$141.87
+1.26
+0.90%
646.788K
$5.08B
$91.76M
2151
COSMCosmos Holdings Inc. Common Stock
$0.3566
-0.0201
-5.34%
646.682K
$13.35M
$230.61K
2152
CLBCore Laboratories Inc.
$17.57
-0.97
-5.23%
646.155K
$818.12M
$11.35M
2153
DINDine Brands Global, Inc.
$30.60
-0.18
-0.58%
645.702K
$441.37M
$19.76M
2154
FLSFlowserve Corporation
$90.52
+1.20
+1.34%
645.66K
$11.52B
$58.45M
2155
NWBINorthwest Bancshares, Inc
$12.63
+0.10
+0.80%
644.673K
$1.85B
$8.14M
2156
CVBFCVB Financial Corp
$19.50
+0.05
+0.27%
644.204K
$2.65B
$12.56M
2157
TRNRInteractive Strength Inc. Common Stock
$2.17
+0.17
+8.50%
642.759K
$11.40M
$1.39M
2158
AGBKAGI Inc
$12.00
+0.23
+1.91%
642.738K
$1.91B
$7.71M
2159
VORVor Biopharma Inc. Common Stock
$15.05
-0.32
-2.08%
641.34K
$156.68M
$9.65M
2160
AERTAeries Technology, Inc. Class A Ordinary Share
$0.2800
-0.0760
-21.35%
640.889K
$14.06M
$179.45K
2161
OLLIOllie's Bargain Outlet Holdings, Inc. Common Stock
$107.82
+1.15
+1.08%
640.401K
$6.61B
$69.05M
2162
IPSCCentury Therapeutics, Inc. Common Stock
$2.13
+0.10
+4.93%
639.844K
$382.65M
$1.36M
2163
DQDaqo New Energy Corp. American Depositary Shares (each representing 5 Ordinary Shares)
$25.70
+1.48
+6.11%
639.239K
$1.72B
$16.43M
2164
WLTHWealthfront Corporation Common Stock
$8.17
+0.19
+2.38%
639.207K
$1.23B
$5.22M
2165
GXAIGaxos.ai Inc. Common Stock
$1.21
-0.03
-2.42%
636.93K
$8.62M
$770.69K
2166
REGRegency Centers Corporation
$77.27
-0.62
-0.80%
635.278K
$14.13B
$49.09M
2167
ELVNEnliven Therapeutics, Inc. Common Stock
$28.32
+0.92
+3.36%
634.967K
$1.68B
$17.98M
2168
ARQTArcutis Biotherapeutics, Inc. Common Stock
$26.98
+0.69
+2.62%
634.599K
$3.30B
$17.12M
2169
CRLCharles River Laboratories International, Inc.
$166.06
+2.55
+1.56%
633.114K
$8.17B
$105.13M
2170
DKDelek US Holdings, Inc.
$34.00
+0.08
+0.24%
632.844K
$2.04B
$21.52M
2171
NMFCNEW MOUNTAIN FINANCE CORPORATION
$8.16
+0.11
+1.37%
632.633K
$841.75M
$5.16M
2172
ARWArrow Electronics, Inc.
$156.90
-3.58
-2.23%
631.341K
$8.02B
$99.06M
2173
SNDRSchneider National, Inc.
$27.44
+0.20
+0.73%
631.178K
$2.53B
$17.32M
2174
TYLTyler Technologies, Inc.
$323.78
+6.45
+2.03%
631.146K
$13.92B
$204.35M
2175
OTLKOutlook Therapeutics, Inc. Common Stock
$0.4150
+0.0126
+3.13%
631.1K
$34.47M
$261.91K
2176
DSGXDescartes Systems Group Inc
$63.62
+0.62
+0.98%
630.946K
$5.47B
$40.14M
2177
NOCNorthrop Grumman Corp.
$727.73
-2.27
-0.31%
630.28K
$103.28B
$458.67M
2178
MWHSOLV Energy, Inc. Class A Common Stock
$30.80
-0.38
-1.22%
629.792K
$3.46B
$19.40M
2179
EPREPR Properties
$58.80
-0.16
-0.27%
627.898K
$4.48B
$36.92M
2180
NIQNIQ Global Intelligence plc
$11.43
+0.32
+2.88%
627.184K
$3.37B
$7.17M
2181
UPBDUpbound Group, Inc. Common Stock
$21.62
+0.12
+0.56%
625.948K
$1.25B
$13.53M
2182
BFHBread Financial Holdings, Inc.
$71.56
+0.75
+1.06%
625.568K
$3.09B
$44.77M
2183
ALNYAlnylam Pharmaceuticals, Inc.
$332.85
+4.63
+1.41%
624.635K
$44.14B
$207.91M
2184
OCCIOFS Credit Company, Inc. Common Stock
$3.11
-0.01
-0.32%
624.6K
$35.64M
$1.94M
2185
DEAEasterly Government Properties, Inc.
$23.40
-0.22
-0.93%
624.598K
$1.08B
$14.62M
2186
STNGScorpio Tankers Inc.
$73.37
+1.29
+1.79%
624.323K
$3.80B
$45.81M
2187
RGLDRoyal Gold Inc
$288.04
+5.11
+1.81%
622.111K
$24.43B
$179.19M
2188
MTSIMACOM Technology Solutions Holdings, Inc
$248.29
+2.74
+1.12%
621.708K
$18.62B
$154.36M
2189
ADUSAddus HomeCare Corp.
$105.20
-2.07
-1.93%
620.896K
$1.94B
$65.32M
2190
EEFTEuronet Worldwide Inc
$68.87
-1.55
-2.20%
620.366K
$2.90B
$42.72M
2191
AMPYAmplify Energy Corp.
$5.46
-0.14
-2.50%
620.002K
$221.00M
$3.39M
2192
SRTAStrata Critical Medical, Inc. Class A Common Stock
$4.20
-0.12
-2.78%
619.523K
$362.74M
$2.60M
2193
AVAVAeroVironment, Inc.
$262.01
+2.64
+1.02%
618.605K
$13.08B
$162.08M
2194
NNNNNN REIT, Inc.
$44.50
-0.32
-0.71%
618.217K
$8.45B
$27.51M
2195
GOTUGaotu Techedu Inc. American Depositary Shares, three of which representing two Class A Ordinary Shares
$2.22
+0.08
+3.74%
617.543K
$310.50M
$1.37M
2196
BKHBlack Hills Corporation
$73.72
+0.24
+0.33%
617.3K
$5.56B
$45.51M
2197
FGF&G Annuities & Life, Inc.
$22.75
-0.78
-3.31%
617.291K
$3.06B
$14.04M
2198
JXNJackson Financial Inc.
$105.05
-5.03
-4.57%
617.288K
$7.14B
$64.85M
2199
FFFuture Fuel Corporation
$4.41
-0.12
-2.65%
617.172K
$193.17M
$2.72M
2200
TKOTKO Group Holdings, Inc.
$209.39
+3.00
+1.45%
617.025K
$16.53B
$129.20M