Stock Rankings by Volume - Rankings 2201 to 2300
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 2201 to 2300.
2201
XHRXenia Hotels & Resorts, Inc. $15.70
616.298K
$1.49B
$9.68M
2202
$35.39
615.239K
$41.16B
$21.77M
2203
GLUEMonte Rosa Therapeutics, Inc. Common Stock $19.21
613.533K
$1.25B
$11.79M
2204
AMPAmeriprise Financial, Inc. $466.24
613.416K
$42.51B
$286.00M
2205
IDXXIdexx Laboratories Inc $649.23
613.369K
$51.84B
$398.22M
2206
NNOXNANO-X IMAGING LTD Ordinary Shares $2.45
612.797K
$160.19M
$1.50M
2207
$10.31
611.897K
$1.62B
$6.31M
2208
$27.32
611.641K
$1.33B
$16.71M
2209
ALRMAlarm.com Holdings, Inc. $45.47
611.309K
$2.26B
$27.80M
2210
$12.36
611.075K
$1.05B
$7.55M
2211
OCFCOceanFirst Financial Corp $18.71
609.435K
$1.07B
$11.40M
2212
CVRXCVRx, Inc. Common Stock $7.24
608.82K
$190.50M
$4.41M
2213
TACOBerto Acquisition Corp. Ordinary Shares $10.20
608.48K
$382.69M
$6.21M
2214
LINDLindblad Expeditions Holdings Inc. Common Stock $20.55
608.381K
$1.14B
$12.50M
2215
CNACNA Financial Corporation $47.11
607.583K
$12.75B
$28.62M
2216
ASCARDMORE SHIPPING CORPORATION $15.33
606.617K
$622.76M
$9.30M
2217
$7.94
606.105K
$338.15M
$4.81M
2218
JANXJanux Therapeutics, Inc. Common Stock $13.65
604.203K
$821.02M
$8.25M
2219
HBNCHorizon Bancorp, Inc. Common Stock $17.19
603.678K
$880.43M
$10.38M
2220
CVLTCommault Systems, Inc. $88.49
601.572K
$3.89B
$53.23M
2221
IMRXImmuneering Corporation Class A Common Stock $5.10
601.509K
$328.98M
$3.06M
2222
$80.69
600.177K
$6.24B
$48.43M
2223
CFFNCapitol Federal Financial, Inc. $7.30
599.988K
$947.86M
$4.38M
2224
HRTGHERITAGE INSURANCE HOLDINGS INC $27.66
599.427K
$855.01M
$16.58M
2225
$364.38
599.025K
$70.88B
$218.27M
2226
$42.71
598.146K
$3.48B
$25.55M
2227
DFTXDefinium Therapeutics, Inc. Common Shares $17.46
597.872K
$1.72B
$10.44M
2228
RYTMRhythm Pharmaceuticals, Inc. Common Stock $99.00
597.657K
$6.61B
$59.17M
2229
LCTXLineage Cell Therapeutics, Inc. $1.82
597.646K
$419.20M
$1.09M
2230
$251.49
597.015K
$48.37B
$150.14M
2231
AVTXAvalo Therapeutics, Inc. Common Stock $16.20
596.607K
$299.91M
$9.67M
2232
SKESkeena Resources Limited $36.01
596.153K
$4.37B
$21.47M
2233
$29.11
595.565K
$9.37B
$17.34M
2234
$48.57
595.047K
$2.23B
$28.90M
2235
$20.13
594.879K
$483.48M
$11.97M
2236
SKYTSkyWater Technology, Inc. Common Stock $28.20
594.041K
$1.37B
$16.75M
2237
GOOSCanada Goose Holdings Inc. $12.42
593.761K
$572.86M
$7.37M
2238
GEMIGemini Space Station, Inc. Class A Common Stock $6.00
593.588K
$255.16M
$3.56M
2239
FCFFirst Commonwealth Financial Corporation $17.77
592.824K
$1.84B
$10.53M
2240
ACLSAxcelis Technologies Inc $81.96
592.21K
$2.52B
$48.54M
2241
OFIXOrthofix Medical Inc. Common Stock (DE) $12.75
590.835K
$504.90M
$7.53M
2242
LGNLegence Corp. Class A Common stock $54.86
590.476K
$3.22B
$32.39M
2243
CNOCNO Financial Group, Inc. $41.62
590.282K
$3.97B
$24.57M
2244
$10.62
588.983K
$429.43M
$6.25M
2245
$213.45
588.459K
$19.57B
$125.61M
2246
GSMFerroglobe PLC Ordinary Shares $4.81
588.264K
$897.67M
$2.83M
2247
PTGXProtagonist Therapeutics, Inc $87.39
588.073K
$5.46B
$51.39M
2248
ECOOkeanis Eco Tankers Corp. $52.78
588.065K
$2.06B
$31.04M
2249
AEROGrupo Aeromexico, S.A.B. de C.V. American Depositary Shares (each representing ten (10) Common Shares) $19.56
586.733K
$266.85M
$11.48M
2250
$350.64
586.393K
$19.34B
$205.61M
2251
KPTIKaryopharm Therapeutics Inc. $10.08
586.113K
$184.91M
$5.91M
2252
IRTCiRhythm Technologies, Inc $137.10
584.534K
$4.43B
$80.14M
2253
$28.51
583.682K
$628.00M
$16.64M
2254
OSWOneSpaWorld Holdings Limited Common Shares $21.87
583.495K
$2.23B
$12.76M
2255
$1.96
582.622K
$164.48M
$1.14M
2256
IRONDisc Medicine, Inc. Common Stock $66.20
582.05K
$2.50B
$38.53M
2257
MCHBMechanics Bancorp Class A Common Stock $14.67
581.776K
$3.23B
$8.53M
2258
EVTVEnvirotech Vehicles, Inc. Common Stock $1.77
580.361K
$8.55M
$1.03M
2259
$48.47
580.102K
$2.86B
$28.12M
2260
ORNOrion Group Holdings, Inc $13.80
579.948K
$550.63M
$8.00M
2261
CRCTCricut, Inc. Class A Common Stock $4.33
579.93K
$230.59M
$2.51M
2262
FAFFirst American Financial Corporation $67.08
579.471K
$6.84B
$38.87M
2263
THTarget Hospitality Corp. Common Stock $6.67
578.077K
$665.53M
$3.86M
2264
PKEPark Aerospace Corp. Common Stock $27.70
578.05K
$551.94M
$16.01M
2265
$152.00
577.73K
$10.15B
$87.81M
2266
ALLEAllegion Public Limited Company $158.86
577.209K
$13.69B
$91.70M
2267
FLNGFLEX LNG Ltd. Ordinary Shares $27.64
576.331K
$1.50B
$15.93M
2268
WBIWaterBridge Infrastructure LLC $25.44
575.984K
$1.10B
$14.65M
2269
LXEOLexeo Therapeutics, Inc. Common Stock $6.69
575.82K
$488.29M
$3.85M
2270
WTWWillis Towers Watson Public Limited Company Ordinary Shares $291.27
575.628K
$27.89B
$167.66M
2271
ENICEnel Chile S.A. American Depositary Shares Representing Common Stock (Each representing 50 shares of Common Stock) $4.32
575.107K
$5.98B
$2.48M
2272
FDMT4D Molecular Therapeutics, Inc. Common Stock $9.99
573.659K
$570.78M
$5.73M
2273
$66.94
573.65K
$5.48B
$38.40M
2274
LWACLightWave Acquisition Corp. Class A Ordinary Shares $10.10
573.409K
$223.90M
$5.79M
2275
KYTXKyverna Therapeutics, Inc. Common Stock $8.10
572.907K
$354.75M
$4.64M
2276
$83.77
572.787K
$5.43B
$47.98M
2277
$231.69
572.735K
$7.28B
$132.70M
2278
SNBRSleep Number Corporation Common Stock $8.15
572.159K
$185.78M
$4.66M
2279
$31.25
571.958K
$1.83B
$17.87M
2280
DFNST3 Defense Inc. Common Stock $2.12
571.923K
$61.84M
$1.21M
2281
$112.12
571.853K
$4.96B
$64.12M
2282
TASKTaskUs, Inc. Class A Common Stock $10.12
570.713K
$358.10M
$5.78M
2283
OMEXOdyssey Marine Exploration, Inc $1.53
570.619K
$85.00M
$870.19K
2284
JBIJanus International Group, Inc. $6.97
570.43K
$967.61M
$3.98M
2285
GILGildan Activewear Inc. $72.01
569.867K
$13.33B
$41.04M
2286
$48.44
569.757K
$5.12B
$27.60M
2287
ASNDAscendis Pharma A/S American Depositary Shares $234.99
569.687K
$14.56B
$133.87M
2288
UHGUnited Homes Group, Inc Class A Common Stock $1.15
569.605K
$25.12M
$655.05K
2289
$76.99
569.471K
$2.74B
$43.84M
2290
SABSSAB Biotherapeutics, Inc. Common Stock $3.74
568.783K
$178.05M
$2.13M
2291
YCBDcbdMD, Inc. Common Stock $0.9600
568.648K
$10.08M
$545.90K
2292
$313.24
567.995K
$12.12B
$177.92M
2293
SPRYARS Pharmaceuticals, Inc. Common Stock $9.14
567.861K
$903.48M
$5.19M
2294
TMCITreace Medical Concepts, Inc. Common Stock $1.97
567.622K
$125.21M
$1.12M
2295
$40.94
567.35K
$5.80B
$23.23M
2296
$97.62
567.33K
$11.07B
$55.38M
2297
RILYB. RILEY FINANCIAL, INC. $6.98
567.085K
$217.75M
$3.96M
2298
$58.35
565.932K
$3.01B
$33.02M
2299
$63.98
564.662K
$3.63B
$36.13M
2300
EDUNew Oriental Education and Technology Group, Inc. American Depositary Shares (each representing ten (10) Common Shares) $60.11
564.168K
$9.50B
$33.91M