Stock Rankings by Volume - Rankings 2601 to 2700
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 2601 to 2700.
2601
DRCTDirect Digital Holdings, Inc. Class A Common Stock $0.5999
350.273K
$1.68M
$210.13K
2602
$6.40
349.779K
$654.46M
$2.24M
2603
BTBDBT Brands, Inc. Common Stock $1.72
349.778K
$10.59M
$601.62K
2604
$536.01
349.76K
$28.42B
$187.47M
2605
RLRalph Lauren Corporation $379.87
349.74K
$14.68B
$132.86M
2606
PACKRanpak Holdings Corp. $3.72
349.389K
$318.17M
$1.30M
2607
GDOTGreen Dot Corporation $11.54
348.181K
$640.97M
$4.02M
2608
$129.18
347.221K
$62.47B
$44.85M
2609
XGNExagen Inc. Common Stock $3.06
347.192K
$73.50M
$1.06M
2610
IMPPImperial Petroleum Inc. Common Shares $4.27
347.106K
$154.68M
$1.48M
2611
NKLRTerra Innovatum Global N.V. Ordinary shares $4.95
347.082K
$347.98M
$1.72M
2612
CSTLCastle Biosciences, Inc. Common Stock $23.13
347.001K
$687.68M
$8.03M
2613
MDPediatrix Medical Group, Inc. $21.45
346.798K
$1.78B
$7.44M
2614
CWENClearway Energy, Inc. Class C Common Stock $41.07
345.729K
$3.54B
$14.20M
2615
$388.48
345.597K
$23.16B
$134.26M
2616
TRTXTPG RE Finance Trust, Inc. Common Stock $8.07
345.518K
$632.32M
$2.79M
2617
CTNTCheetah Net Supply Chain Service Inc. Class A Common Stock $1.45
344.854K
$53.46M
$500.04K
2618
OGIOrganigram Holdings Inc. Common Shares $1.40
344.624K
$190.92M
$482.58K
2619
$149.68
344.045K
$31.14B
$51.50M
2620
$60.51
344.018K
$5.69B
$20.82M
2621
$24.42
343.944K
$1.40B
$8.40M
2622
$5.66
343.845K
$224.66M
$1.95M
2623
DAVEDave Inc. Class A Common Stock $185.58
343.828K
$2.27B
$63.81M
2624
RPGLRepublic Power Group Limited Class A Ordinary Shares $0.5584
343.752K
$1.73M
$191.95K
2625
JBTMJBT Marel Corporation $128.55
343.455K
$6.69B
$44.15M
2626
CGNTCognyte Software Ltd. Ordinary Shares $8.11
343.309K
$592.67M
$2.78M
2627
NAMMNamib Minerals Ordinary Shares $2.20
343.271K
$119.86M
$755.20K
2628
$27.19
343.012K
$1.59B
$9.33M
2629
HITIHigh Tide Inc. Common Shares $2.34
342.887K
$205.57M
$801.91K
2630
AIPArteris, Inc. Common Stock $19.54
342.639K
$888.43M
$6.70M
2631
ORAOrmat Technologies, Inc. $115.22
342.171K
$7.01B
$39.42M
2632
$39.89
342.146K
$4.06B
$13.65M
2633
$8.80
341.638K
$454.19M
$3.01M
2634
NRDSNerdWallet, Inc. Class A Common Stock $10.27
341.633K
$360.48M
$3.51M
2635
TRNOTerreno Realty Corporation $65.34
340.417K
$6.94B
$22.24M
2636
$63.16
339.894K
$3.25B
$21.47M
2637
PIPRPiper Sandler Companies $83.47
339.402K
$5.95B
$28.33M
2638
$2.76
339.34K
$31.74M
$936.54K
2639
$96.87
339.207K
$9.39B
$32.86M
2640
BIAFbioAffinity Technologies, Inc. Common Stock $3.39
338.915K
$15.25M
$1.15M
2641
EXFYExpensify, Inc. Class A Common Stock $0.7800
338.892K
$63.09M
$264.34K
2642
SHMDSCHMID Group N.V. Class A Ordinary Shares $5.45
338.845K
$303.04M
$1.85M
2643
EVTVEnvirotech Vehicles, Inc. Common Stock $1.89
338.698K
$9.13M
$640.27K
2644
ARCTArcturus Therapeutics Holdings Inc. Common Stock $8.23
338.638K
$233.92M
$2.79M
2645
RXSTRxSight, Inc. Common Stock $6.83
337.998K
$281.85M
$2.31M
2646
$101.02
337.804K
$4.83B
$34.12M
2647
KTBKontoor Brands, Inc. Common Stock $71.92
337.661K
$3.97B
$24.28M
2648
UHSUniversal Health Services, Inc. Class B $180.78
337.535K
$9.73B
$61.02M
2649
LINCLincoln Educational Services $40.86
337.066K
$1.30B
$13.77M
2650
FTREFortrea Holdings Inc. Common Stock $9.18
335.897K
$858.33M
$3.08M
2651
HAEHaemonetics Corporation $57.30
335.861K
$2.66B
$19.24M
2652
NUSNuSkin Enterprises, Inc. $7.55
335.787K
$371.28M
$2.54M
2653
HOVRNew Horizon Aircraft Ltd. Class A Ordinary Share $1.60
335.743K
$70.80M
$537.19K
2654
CEPUCentral Puerto S.A. American Depositary Shares (each represents ten Common Shares) $16.63
335.713K
$2.52B
$5.58M
2655
$1.55
335.505K
$131.14M
$519.53K
2656
$28.12
335.428K
$1.65B
$9.43M
2657
KRPKimbell Royalty Partners, LP Common Units representing Limited Partner Interests $14.50
335.4K
$1.35B
$4.86M
2658
OISOIL STATES INTERNATIONAL, INC. $11.32
335.162K
$681.46M
$3.79M
2659
BLZEBackblaze, Inc. Class A Common Stock $3.39
334.962K
$203.74M
$1.14M
2660
TLSATiziana Life Sciences Ltd. Common Shares $1.16
334.791K
$137.87M
$388.36K
2661
MSMMSC Industrial Direct Co., Inc. Class A $95.48
334.672K
$5.33B
$31.95M
2662
$214.01
334.371K
$2.89B
$71.56M
2663
ETONEton Pharmaceutcials, Inc. Common Stock $26.37
334.144K
$719.49M
$8.81M
2664
HBNCHorizon Bancorp, Inc. Common Stock $17.70
333.947K
$906.44M
$5.91M
2665
CIMChimera Investment Corp. $13.29
333.494K
$1.11B
$4.43M
2666
MLIMueller Industries, Inc. $121.16
333.424K
$13.40B
$40.40M
2667
CUPRCuprina Holdings (Cayman) Limited Class A Ordinary Shares $0.3610
333.316K
$2.66M
$120.33K
2668
AMPGAMPLITECH GROUP INC. COM $1.84
332.862K
$46.61M
$612.47K
2669
$2.34
332.446K
$208.10M
$777.92K
2670
FBLGFibroBiologics, Inc. Common Stock $1.39
332.127K
$8.04M
$461.52K
2671
ATEXAnterix Inc. Common Stock $35.89
331.947K
$672.32M
$11.91M
2672
AERTAeries Technology, Inc. Class A Ordinary Share $0.5701
331.281K
$28.62M
$188.86K
2673
$143.03
331.022K
$6.75B
$47.35M
2674
$25.51
330.912K
$918.83M
$8.44M
2675
$110.14
330.715K
$8.25B
$36.42M
2676
$167.97
330.396K
$6.47B
$55.50M
2677
NVXNOVONIX Limited American Depository Shares $0.7550
329.989K
$162.58M
$249.13K
2678
FLNGFLEX LNG Ltd. Ordinary Shares $30.33
328.944K
$1.64B
$9.98M
2679
$8.51
328.666K
$466.93M
$2.80M
2680
AXGSolowin Holdings Class A Ordinary Share $3.25
328.627K
$512.16M
$1.07M
2681
$84.32
328.256K
$6.53B
$27.68M
2682
HSDTHelius Medical Technologies, Inc. Class A Common Stock (DE) $1.90
328.019K
$104.56M
$623.24K
2683
WBIWaterBridge Infrastructure LLC $26.31
327.809K
$1.24B
$8.62M
2684
ITPIT Tech Packaging, Inc. $0.2190
327.509K
$3.72M
$71.72K
2685
$409.09
326.796K
$2.31B
$133.69M
2686
AMODAlpha Modus Holdings, Inc. Class A Common Stock $0.3300
326.583K
$16.67M
$107.77K
2687
LZMHLZ Technology Holdings Limited Class B Ordinary Shares $1.26
325.417K
$160.65M
$410.03K
2688
GRRRGorilla Technology Group Inc. Ordinary shares $10.91
323.691K
$219.72M
$3.53M
2689
NATLNCR Atleos Corporation $44.20
323.612K
$3.26B
$14.30M
2690
BTMDBiote Corp. Class A Common Stock $1.60
323.107K
$51.11M
$515.36K
2691
BVBrightView Holdings, Inc. Common Stock $11.78
323.024K
$1.11B
$3.81M
2692
PRDOPerdoceo Education Corporation $35.28
322.952K
$2.20B
$11.39M
2693
LINDLindblad Expeditions Holdings Inc. Common Stock $19.13
322.028K
$1.25B
$6.16M
2694
MCHBMechanics Bancorp Class A Common Stock $15.29
321.789K
$3.37B
$4.92M
2695
$1,774.00
321.655K
$89.94B
$570.62M
2696
WCCWesco International Inc. $303.51
321.225K
$14.77B
$97.49M
2697
NBPNovaBridge Biosciences American Depositary Shares $2.45
320.807K
$282.26M
$785.40K
2698
$43.88
320.744K
$2.52B
$14.07M
2699
$8.22
320.704K
$860.63M
$2.64M
2700
TPCTutor Perini Corporation $84.50
320.426K
$4.46B
$27.08M