Stock Rankings by Volume - Rankings 201 to 300
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 201 to 300.
201
$13.00
75.122K
$3.26B
$976.59K
202
$4.95
196.64K
$26.68B
$973.37K
203
FFAIFaraday Future Intelligent Electric Inc. Common Stock $1.31
733.253K
$111.48M
$960.56K
204
IHGInterContinental Hotels Group Plc $105.27
8.916K
$16.27B
$938.59K
205
GRABGrab Holdings Limited Class A Ordinary Shares $4.80
195.098K
$19.56B
$936.47K
206
$1.06
881.124K
$386.50M
$933.90K
207
EVLVEvolv Technologies Holdings, Inc. Class A Common Stock $4.69
198.913K
$738.91M
$932.90K
208
GSKGSK plc American Depositary Shares (Each representing two Ordinary Shares) $38.31
24.32K
$77.56B
$931.70K
209
$338.77
2.748K
$653.49B
$930.94K
210
PTPIPetros Pharmaceuticals, Inc. Common Stock $0.0624
14.778M
$3.34M
$922.16K
211
TERTeradyne, Inc. Common Stock $75.50
12.197K
$12.14B
$920.87K
212
BACBank of America Corporation $39.73
23.104K
$300.36B
$917.92K
213
XOMExxon Mobil Corporation $108.00
8.402K
$474.66B
$907.42K
214
TPLTexas Pacific Land Corporation $1,337.01
672
$30.73B
$898.47K
215
$236.99
3.774K
$269.09B
$894.40K
216
$129.94
6.881K
$44.20B
$894.12K
217
IRENIris Energy Limited Ordinary Shares $6.39
139.355K
$1.43B
$890.48K
218
OMFOneMain Holdings, Inc. $49.65
17.684K
$5.93B
$878.01K
219
$270.00
3.203K
$97.30B
$864.81K
220
THCTenet Healthcare Corporation New $128.00
6.707K
$12.50B
$858.50K
221
$191.42
4.428K
$95.00B
$847.61K
222
$265.08
3.144K
$254.74B
$833.41K
223
$22.50
35.867K
$2.99B
$807.01K
224
LAESSEALSQ Corp Ordinary Shares $2.64
299.33K
$279.86M
$790.23K
225
$42.32
18.272K
$178.42B
$773.27K
226
$24.70
31.122K
$5.89B
$768.71K
227
TMToyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $194.76
3.908K
$253.82B
$761.12K
228
NNENano Nuclear Energy Inc. Common Stock $24.00
31.464K
$889.75M
$755.14K
229
BSXBoston Scientific Corp. $102.93
7.294K
$152.24B
$750.77K
230
$150.00
4.972K
$8.43B
$745.80K
231
SNYSanofi American Depositary Shares (Each representing one-half of one ordinary share) $53.10
13.937K
$129.69B
$740.05K
232
MTDMettler-Toledo International $1,060.70
692
$22.11B
$734.00K
233
LASELaser Photonics Corporation Common Stock $3.03
240.908K
$43.28M
$729.98K
234
KNSLKinsale Capital Group, Inc. $423.60
1.699K
$9.87B
$719.70K
235
FDSFactset Research Systems $423.01
1.692K
$16.05B
$715.73K
236
OXLCOxford Lane Capital Corp. $4.61
154.753K
$2.02B
$713.41K
237
$155.44
4.58K
$374.59B
$711.92K
238
HSAIHesai Group American Depositary Share, each ADS represents one Class B ordinary share $15.79
45.086K
$2.09B
$711.91K
239
UPXIUpexi, Inc. Common Stock $13.41
53.006K
$17.71M
$710.81K
240
$46.43
15.093K
$6.09B
$700.77K
241
ACMRACM Research, Inc. Class A Common Stock $19.71
35.048K
$1.24B
$690.80K
242
SERVServe Robotics Inc. Common Stock $6.68
103.117K
$380.15M
$688.71K
243
CRHCRH Public Limited Company $93.14
7.379K
$62.96B
$687.28K
244
APLDApplied Digital Corporation Common Stock $4.72
145.461K
$1.06B
$686.21K
245
$92.28
7.366K
$116.66B
$679.72K
246
TIVCTivic Health Systems, Inc. Common Stock $6.26
106.595K
$3.88M
$667.28K
247
$16.40
39.875K
$3.65B
$653.95K
248
BBVABanco Bilbao Vizcaya Argentaria, S.A. $13.99
45.993K
$80.54B
$643.44K
249
MRNAModerna, Inc. Common Stock $27.59
23.272K
$10.67B
$642.07K
250
EDUNew Oriental Education and Technology Group, Inc. American Depositary Shares (each representing ten (10) Common Shares) $48.40
13.137K
$7.91B
$635.83K
251
STMSTMicroelectronics N.V. $22.80
27.797K
$20.36B
$633.77K
252
CINGCingulate Inc. Common Stock $4.41
142.564K
$16.62M
$628.71K
253
AMATApplied Materials Inc $149.88
4.17K
$124.53B
$625.00K
254
TMDXTransMedics Group, Inc. Common Stock $90.00
6.816K
$3.04B
$613.44K
255
$54.27
11.204K
$3.85B
$608.04K
256
$20.44
29.619K
$18.10B
$605.41K
257
ARCCAres Capital Corporation $21.00
28.427K
$14.10B
$596.97K
258
$93.26
6.371K
$11.05B
$594.16K
259
EPSMEpsium Enterprise Limited Ordinary Shares $8.00
73.164K
$106.00M
$585.31K
260
$237.00
2.459K
$6.31B
$582.78K
261
HMYHarmony Gold Mining Company Limited $15.48
37.411K
$9.63B
$579.12K
262
$159.00
3.641K
$53.12B
$578.92K
263
CELHCelsius Holdings, Inc. Common Stock $35.93
16.01K
$9.26B
$575.24K
264
$96.00
5.975K
$14.65B
$573.60K
265
$200.24
2.849K
$213.53B
$570.48K
266
$333.10
1.687K
$82.01B
$561.94K
267
$12.12
46.348K
$58.40B
$561.74K
268
$110.54
5.034K
$61.41B
$556.46K
269
$66.36
8.203K
$45.01B
$544.35K
270
$115.80
4.696K
$26.70B
$543.81K
271
DELLDell Technologies Inc. $93.86
5.785K
$65.50B
$542.98K
272
LILi Auto Inc. American Depositary Shares $24.38
21.744K
$24.70B
$530.12K
273
$68.25
7.655K
$128.46B
$522.45K
274
SBSWSibanye-Stillwater American Depositary Shares, each representing four ordinary shares $4.61
113.212K
$3.26B
$521.91K
275
$7.37
69.611K
$112.62B
$513.03K
276
$30.44
16.582K
$96.64B
$504.76K
277
$37.54
13.396K
$52.56B
$502.89K
278
$121.40
4.103K
$36.19B
$498.10K
279
$312.01
1.59K
$3.67B
$496.10K
280
CZRCaesars Entertainment, Inc. Common Stock $28.11
17.642K
$5.96B
$495.92K
281
$30.81
16.02K
$3.91B
$493.58K
282
$89.37
5.488K
$6.46B
$490.46K
283
PTNPalatin Technologies, Inc. $0.2050
2.392M
$5.33M
$490.39K
284
UMCUnited Microelectronic Corp. $6.97
70.039K
$17.51B
$488.17K
285
COSTCostco Wholesale Corp $977.93
497
$433.89B
$486.03K
286
$22.25
21.832K
$19.91B
$485.76K
287
CORZCore Scientific, Inc. Common Stock $8.24
58.055K
$2.43B
$478.37K
288
$3.16
148.778K
$1.08B
$470.14K
289
$29.25
16.045K
$9.28B
$469.32K
290
ORCOrchid Island Capital, Inc. $7.42
62.769K
$798.94M
$465.75K
291
AURAurora Innovation, Inc. Class A Common Stock $7.26
64.053K
$12.83B
$465.02K
292
WULFTeraWulf Inc. Common Stock $3.02
152.764K
$1.16B
$461.35K
293
$46.78
9.843K
$15.15B
$460.42K
294
AXPAmerican Express Company $264.90
1.728K
$185.59B
$457.75K
295
ETEnergy Transfer LP Common Units representing limited partner interests $17.27
26.453K
$59.13B
$456.84K
296
INGING Groep N.V. American Depositary Shares $19.66
23.156K
$61.88B
$455.25K
297
$69.59
6.53K
$226.98B
$454.42K
298
$53.30
8.48K
$98.13B
$451.98K
299
RCATRed Cat Holdings, Inc. Common Stock $5.17
86.831K
$467.96M
$448.92K
300
$340.49
1.318K
$5.34B
$448.77K