Stock Rankings by Volume - Rankings 2301 to 2400
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 2301 to 2400.
2301
POWIPower Integrations Inc $47.08
564.162K
$2.61B
$26.56M
2302
CMTGClaros Mortgage Trust, Inc. $2.24
563.705K
$314.09M
$1.26M
2303
WKCWorld Kinect Corporation $25.16
563.297K
$1.40B
$14.17M
2304
$3.28
563.289K
$364.26M
$1.85M
2305
$35.35
561.584K
$1.69B
$19.85M
2306
$0.7101
560.802K
$2.65M
$398.23K
2307
SFNCSimmons First National Corp $20.34
560.57K
$2.94B
$11.40M
2308
SOLVSolventum Corporation $73.00
560.473K
$12.66B
$40.91M
2309
$0.6500
559.683K
$24.98M
$363.79K
2310
ASTLAlgoma Steel Group Inc. Common Shares $4.60
557.319K
$482.99M
$2.56M
2311
ATONAlphaTON Capital Corp. Common Stock $0.4100
557.284K
$9.61M
$228.49K
2312
AVRAnteris Technologies Global Corp. Common Stock $6.20
557.233K
$255.42M
$3.45M
2313
CANGCango Inc. American Depositary Shares, each representing two (2) Class A Ordinary Shares $0.8600
557.174K
$297.86M
$479.17K
2314
FBLGFibroBiologics, Inc. Common Stock $0.2707
556.946K
$18.01M
$150.77K
2315
$30.60
556.92K
$1.43B
$17.04M
2316
PASWPing An Biomedical Co., Ltd. Ordinary Shares $0.1671
556.836K
$3.43M
$93.05K
2317
$109.52
556.594K
$7.62B
$60.96M
2318
RPCRidgepost Capital, Inc. $8.32
556.483K
$649.52M
$4.63M
2319
REREATRenew Inc. American Depositary Shares (every three of which representing two Class A ordinary shares) $5.67
555.654K
$748.65M
$3.15M
2320
$585.88
555.519K
$20.99B
$325.47M
2321
VHUBVenHub Global, Inc. Common Stock $2.24
555.429K
$167.77M
$1.24M
2322
ELVAElectrovaya Inc. Common Shares $8.01
555.283K
$383.95M
$4.45M
2323
FTSFortis Inc. Common Shares $57.93
555.188K
$29.39B
$32.16M
2324
CGNTCognyte Software Ltd. Ordinary Shares $6.39
554.821K
$466.27M
$3.55M
2325
JBHTJB Hunt Transport Services Inc $222.35
553.768K
$21.17B
$123.13M
2326
$338.77
552.694K
$23.70B
$187.24M
2327
CIMChimera Investment Corp. $13.29
552.485K
$1.11B
$7.34M
2328
$34.30
551.243K
$468.90M
$18.91M
2329
CLYMClimb Bio, Inc. Common Stock $6.36
549.639K
$433.65M
$3.50M
2330
$51.54
549.384K
$2.96B
$28.32M
2331
$39.08
548.853K
$4.03B
$21.45M
2332
ACBAurora Cannabis Inc. Common Shares $3.80
547.28K
$215.42M
$2.08M
2333
$4.88
547.054K
$266.37M
$2.67M
2334
AIRSAirSculpt Technologies, Inc. Common Stock $1.73
546.423K
$107.70M
$942.58K
2335
AKTXAkari Therapeutics plc ADR (0.01 USD) $0.2620
543.361K
$12.00M
$142.36K
2336
EARNEllington Credit Company $5.13
543.019K
$192.68M
$2.79M
2337
PBHPrestige Consumer Healthcare Inc. $68.79
542.687K
$3.26B
$37.33M
2338
$162.94
542.367K
$6.45B
$88.37M
2339
$97.81
540.743K
$2.62B
$52.89M
2340
SYRESpyre Therapeutics, Inc. Common Stock $43.50
540.261K
$3.42B
$23.50M
2341
ITGRInteger Holdings Corporation $87.10
538.815K
$3.05B
$46.93M
2342
GDGeneral Dynamics Corporation $351.18
538.208K
$94.96B
$189.01M
2343
SCZMSantacruz Silver Mining Ltd. Common Shares $12.02
538.121K
$1.11B
$6.47M
2344
OGIOrganigram Holdings Inc. Common Shares $1.41
538.001K
$190.54M
$758.58K
2345
LANDGladstone Land Corporation $11.38
537.936K
$424.10M
$6.12M
2346
WKSPWorksport, Ltd. Common Stock $1.46
537.711K
$14.33M
$785.06K
2347
$140.22
537.65K
$9.35B
$75.39M
2348
$79.12
537.482K
$3.00B
$42.53M
2349
JKSJINKOSOLAR HOLDINGS CO $27.49
535.719K
$1.42B
$14.73M
2350
AIXIXIAO-I Corporation American Depositary Shares $0.2288
535.396K
$3.08M
$122.50K
2351
MAINMain Street Capital Corporation $57.69
534.615K
$5.17B
$30.84M
2352
BLNEEASTSIDE DISTILLING , INC. $2.86
534.216K
$79.38M
$1.53M
2353
BXMTBlackstone Mortgage Trust, Inc. (NEW) $19.35
534.152K
$3.26B
$10.33M
2354
$73.82
533.962K
$2.21B
$39.42M
2355
$266.26
533.913K
$28.12B
$142.16M
2356
FICOFair Isaac Corporation $1,227.00
533.204K
$29.11B
$654.24M
2357
CGTXCognition Therapeutics, Inc. Common Stock $1.04
532.898K
$91.81M
$554.21K
2358
PSNYGores Guggenheim, Inc. Class A Common Stock $19.17
532.896K
$1.77B
$10.22M
2359
HGVHilton Grand Vacations Inc. Common Stock $47.79
532.82K
$4.09B
$25.46M
2360
SNDXSyndax Pharmaceuticals, Inc. $20.53
532.134K
$1.78B
$10.92M
2361
EPCEdgewell Personal Care Company $22.57
531.943K
$1.05B
$12.01M
2362
SUIGSui Group Holdings Limited Common Stock $1.25
531.533K
$103.84M
$664.42K
2363
VISTVista Energy S.A.B. de C.V. $57.50
531.046K
$5.99B
$30.54M
2364
BIOXBioceres Crop Solutions Corp. Ordinary Shares $0.5700
530.943K
$36.04M
$302.64K
2365
FRTFederal Realty Investment Trust $107.70
530.433K
$9.29B
$57.13M
2366
CNRCore Natural Resources, Inc. $88.83
529.97K
$4.53B
$47.08M
2367
$4.42
529.45K
$490.63M
$2.34M
2368
$600.68
528.843K
$82.99B
$317.67M
2369
$87.83
528.651K
$10.02B
$46.43M
2370
KTBKontoor Brands, Inc. Common Stock $67.43
527.911K
$3.75B
$35.60M
2371
ATOAtmos Energy Corporation $182.02
527.605K
$30.11B
$96.03M
2372
PUBMPubMatic, Inc. Class A Common Stock $6.41
527.488K
$244.36M
$3.38M
2373
SKINThe Beauty Health Company Class A Common Stock $0.8930
526.669K
$113.86M
$470.32K
2374
THRYThryv Holdings, Inc. Common Stock $3.76
526.339K
$163.85M
$1.98M
2375
SBACSBA Communications Corp $201.60
525.657K
$21.48B
$105.97M
2376
PRMPerimeter Solutions, SA $26.38
524.097K
$3.90B
$13.83M
2377
PNNTPennant Investment Corp $4.98
523.128K
$325.17M
$2.61M
2378
IDYAIDEAYA Biosciences, Inc. Common Stock $32.07
522.624K
$2.82B
$16.76M
2379
SEMSELECT MEDICAL HOLDINGS CORP $14.82
521.303K
$1.84B
$7.73M
2380
GNKGENCO SHIPPING & TRADING LTD $23.75
521.043K
$1.03B
$12.37M
2381
INNSummit Hotel Properties, Inc. $4.18
520.839K
$454.80M
$2.18M
2382
$39.66
520.722K
$6.21B
$20.65M
2383
MLMMartin Marietta Materials $696.85
520.514K
$42.03B
$362.72M
2384
$208.97
520.321K
$24.95B
$108.73M
2385
TIITitan Mining Corporation $3.67
520.069K
$336.25M
$1.91M
2386
$35.69
518.633K
$2.82B
$18.51M
2387
TRTXTPG RE Finance Trust, Inc. Common Stock $8.36
518.314K
$655.04M
$4.33M
2388
AUUDAuddia Inc. Common Stock $0.9600
517.345K
$2.98M
$496.65K
2389
NTRANatera, Inc. Common Stock $209.53
516.918K
$28.98B
$108.31M
2390
BVBrightView Holdings, Inc. Common Stock $13.77
516.444K
$1.30B
$7.11M
2391
CGONCG Oncology, Inc. Common stock $58.89
513.866K
$4.75B
$30.26M
2392
$44.50
512.749K
$70.02B
$22.82M
2393
$1,092.45
511.204K
$169.50B
$558.47M
2394
EVCEntravision Communication $3.00
510.81K
$244.46M
$1.53M
2395
$59.54
510.075K
$3.11B
$30.37M
2396
$69.05
509.357K
$3.16B
$35.17M
2397
$146.47
508.555K
$5.03B
$74.49M
2398
LSPDLightspeed Commerce Inc. $9.00
508.215K
$1.26B
$4.57M
2399
$56.96
508.196K
$1.44B
$28.95M
2400
NAGENiagen Bioscience, Inc. Common Stock $5.07
507.903K
$404.62M
$2.58M