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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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
201
SHOPShopify Inc. Class A subordinate voting shares
$116.81
-5.19
-4.25%
12.05M
$141.50B
$1.41B
202
GGBGerdau S.A.
$4.96
+0.00
+0.00%
12.039M
$6.29B
$59.71M
203
CPNGCoupang, Inc.
$16.26
+0.04
+0.25%
12.009M
$26.62B
$195.27M
204
CORZCore Scientific, Inc. Common Stock
$20.60
-1.92
-8.53%
11.968M
$6.55B
$246.55M
205
TSMTaiwan Semiconductor Manufacturing Company Ltd.
$404.00
-12.00
-2.88%
11.949M
$2.10T
$4.83B
206
DXCMDexCom, Inc.
$83.00
+3.50
+4.40%
11.921M
$32.03B
$989.44M
207
CVNACarvana Co.
$61.77
+0.09
+0.14%
11.873M
$8.85B
$733.38M
208
UBERUber Technologies, Inc.
$70.45
-0.43
-0.61%
11.834M
$143.41B
$833.72M
209
UPCUniverse Pharmaceuticals Inc. Ordinary Shares
$6.36
+2.95
+86.40%
11.829M
$3.58M
$75.20M
210
SANBanco Santander S.A.
$14.03
-0.21
-1.47%
11.746M
$206.09B
$164.79M
211
POETPOET Technologies Inc. Common Shares
$6.95
-0.63
-8.26%
11.73M
$1.07B
$81.46M
212
XRXXerox Holdings Corporation Common Stock
$2.92
-0.53
-15.36%
11.709M
$381.88M
$34.19M
213
AGFIRST MAJESTIC SILVER CORP
$14.97
-0.47
-3.04%
11.682M
$7.38B
$174.88M
214
USARUSA Rare Earth, Inc. Class A Common Stock
$14.92
-0.19
-1.26%
11.671M
$3.65B
$174.14M
215
ERICEricsson American Depositary Shares
$9.82
+0.00
+0.00%
11.641M
$30.54B
$114.31M
216
PBRPETROLEO BRASILEIRO S.A.-PETROBRAS ADS (REP 1 COMMON SHARE)
$19.60
+0.74
+3.92%
11.614M
$72.93B
$227.63M
217
UUnity Software Inc.
$31.52
-1.78
-5.35%
11.577M
$13.76B
$364.91M
218
UECUranium Energy Corp.
$9.55
-0.25
-2.55%
11.541M
$4.73B
$110.22M
219
KDPKeurig Dr Pepper Inc.
$31.14
-0.42
-1.33%
11.176M
$42.37B
$348.03M
220
TGBTaseko Mines Limited
$6.80
-0.30
-4.23%
11.147M
$2.49B
$75.80M
221
DISThe Walt Disney Company
$96.25
-0.42
-0.44%
11.124M
$167.13B
$1.07B
222
WFCWells Fargo & Co.
$86.40
+0.61
+0.71%
11.116M
$264.40B
$960.44M
223
HLNHaleon plc American Depositary Shares (Each representing two Ordinary Shares)
$9.87
-0.15
-1.50%
10.973M
$43.47B
$108.30M
224
WYWeyerhaeuser Company
$24.94
+1.00
+4.18%
10.89M
$17.98B
$271.60M
225
ITUBItau Unibanco Holding S.A. American Depositary Shares
$8.44
+0.00
+0.00%
10.873M
$45.65B
$91.76M
226
BFLYButterfly Network, Inc.
$7.09
-1.09
-13.33%
10.863M
$1.86B
$77.02M
227
VRTVertiv Holdings Co Class A Common Stock
$240.66
+3.16
+1.33%
10.808M
$92.44B
$2.60B
228
MCHPMicrochip Technology Inc
$74.00
-2.29
-3.00%
10.807M
$40.18B
$799.71M
229
DXCDXC Technology Company
$11.23
+0.54
+5.05%
10.792M
$1.84B
$121.19M
230
STMSTMicroelectronics N.V.
$52.27
-2.23
-4.09%
10.771M
$47.63B
$563.00M
231
BENFranklin Resources, Inc.
$33.86
+1.36
+4.18%
10.75M
$17.59B
$363.98M
232
TSCOTractor Supply Co
$30.77
+0.47
+1.55%
10.748M
$16.14B
$330.71M
233
FCXFreeport-McMoran Inc.
$62.26
-0.99
-1.57%
10.708M
$89.50B
$666.69M
234
CTVACorteva, Inc. Common Stock
$78.80
-7.14
-8.31%
10.701M
$52.70B
$843.27M
235
NEENextra Energy, Inc.
$87.14
-0.78
-0.89%
10.505M
$181.72B
$915.40M
236
LUMNLumen Technologies, Inc.
$6.39
-0.21
-3.18%
10.485M
$6.58B
$67.00M
237
MOAltria Group, Inc.
$68.55
+0.23
+0.33%
10.479M
$114.48B
$718.40M
238
VGVenture Global, Inc.
$13.70
+0.63
+4.82%
10.454M
$7.07B
$143.21M
239
RMSGReal Messenger Corporation Ordinary Shares
$0.3270
-0.0184
-5.33%
10.419M
$1.66M
$3.41M
240
QUBTQuantum Computing Inc. Common
$7.98
-0.17
-2.09%
10.417M
$1.80B
$83.13M
241
VFCV.F. Corporation
$14.39
-0.76
-5.02%
10.397M
$5.65B
$149.62M
242
COTYCOTY INC
$2.72
-0.01
-0.37%
10.224M
$2.39B
$27.81M
243
NLYAnnaly Capital Management. Inc.
$22.84
-0.27
-1.17%
10.188M
$16.74B
$232.69M
244
OLNOlin Corp.
$18.73
-3.37
-15.25%
10.089M
$2.13B
$188.97M
245
BIOABioAge Labs, Inc. Common Stock
$9.05
-16.95
-65.19%
9.977M
$402.30M
$90.29M
246
CVXChevron Corporation
$198.45
+5.66
+2.94%
9.857M
$395.23B
$1.96B
247
PINSPinterest, Inc. Class A Common Stock
$23.95
-0.17
-0.70%
9.802M
$11.54B
$234.77M
248
FFAIFaraday Future Intelligent Electric Inc. Common Stock
$6.20
+0.95
+18.10%
9.756M
$15.89M
$60.49M
249
ASTSAST SpaceMobile, Inc. Class A Common Stock
$58.35
-1.25
-2.10%
9.744M
$17.43B
$568.58M
250
PYPLPayPal Holdings, Inc. Common Stock
$57.06
-0.34
-0.59%
9.726M
$50.33B
$554.94M
251
AAOIApplied Optoelectronics, Inc.
$92.31
-3.84
-3.99%
9.717M
$7.41B
$897.03M
252
CBRGChain Bridge I Class A Ordinary Shares
$3.94
-0.41
-9.49%
9.685M
$49.13M
$38.13M
253
SONYSony Group Corporation American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock)
$23.29
-0.21
-0.91%
9.635M
$138.91B
$224.37M
254
EXCExelon Corporation
$45.55
-0.09
-0.20%
9.603M
$46.61B
$437.45M
255
LYFTLyft, Inc. Class A Common Stock
$16.51
+0.96
+6.16%
9.543M
$6.27B
$157.53M
256
CCitigroup Inc.
$132.65
-0.35
-0.26%
9.54M
$226.24B
$1.27B
257
AESAES Corporation
$14.66
-0.10
-0.68%
9.522M
$10.45B
$139.59M
258
ABTAbbott Laboratories
$106.04
+0.84
+0.80%
9.516M
$184.70B
$1.01B
259
WDCWestern Digital Corp.
$537.00
-26.94
-4.78%
9.497M
$185.09B
$5.10B
260
HSTHost Hotels & Resorts, Inc.
$25.13
-0.35
-1.37%
9.472M
$17.21B
$238.04M
261
IBRXImmunityBio, Inc. Common Stock
$7.19
-0.29
-3.88%
9.36M
$7.53B
$67.30M
262
FRSHFreshworks Inc. Class A Common Stock
$11.41
+0.15
+1.33%
9.351M
$2.88B
$106.70M
263
COURCoursera, Inc.
$5.30
+0.02
+0.38%
9.351M
$897.45M
$49.56M
264
KMIKinder Morgan, Inc.
$32.26
+0.59
+1.86%
9.315M
$71.77B
$300.50M
265
VICIVICI Properties Inc. Common Stock
$26.36
+0.06
+0.24%
9.282M
$28.18B
$244.71M
266
ALMAlmonty Industries Inc. Common Shares
$11.08
-0.82
-6.89%
9.269M
$3.19B
$102.70M
267
FASTFastenal Co
$47.52
+0.81
+1.73%
9.251M
$54.53B
$439.63M
268
MOSThe Mosaic Company
$22.14
-0.59
-2.61%
9.246M
$7.04B
$204.70M
269
SBETSharpLink Gaming Ltd. Ordinary Shares
$6.03
-0.28
-4.44%
9.243M
$1.22B
$55.74M
270
BATLBattalion Oil Corporation
$1.52
+0.15
+10.84%
9.224M
$33.44M
$14.01M
271
LCIDLucid Group, Inc. Common Stock
$7.38
-0.73
-9.03%
9.221M
$2.88B
$68.04M
272
APHAmphenol Corporation
$159.38
-2.04
-1.26%
9.218M
$196.07B
$1.47B
273
AMBAAmbarella, Inc. Ordinary Shares
$86.14
+9.94
+13.05%
9.2M
$3.78B
$792.55M
274
HALHalliburton Company
$32.43
+0.81
+2.56%
9.165M
$27.02B
$297.22M
275
PURRHyperliquid Strategies Inc Common Stock
$6.14
-0.18
-2.85%
9.114M
$1.23B
$55.96M
276
GISGeneral Mills, Inc.
$35.77
-0.89
-2.41%
8.996M
$19.09B
$321.79M
277
PGProcter & Gamble Company
$144.55
+0.28
+0.19%
8.979M
$336.60B
$1.30B
278
JDJD.com, Inc.
$32.86
+0.53
+1.64%
8.931M
$41.02B
$293.46M
279
ADTADT Inc.
$7.68
+0.17
+2.28%
8.909M
$5.21B
$68.43M
280
BAXBaxter International Inc.
$26.15
-0.87
-3.22%
8.908M
$13.51B
$232.94M
281
ATAIATAI Life Sciences N.V. Common Shares
$7.16
-0.02
-0.28%
8.896M
$2.64B
$63.70M
282
IBMInternational Business Machines Corporation
$222.75
+2.21
+1.00%
8.893M
$209.86B
$1.98B
283
ACIAlbertsons Companies, Inc.
$11.51
-0.12
-1.06%
8.893M
$5.64B
$102.33M
284
ABRArbor Realty Trust, Inc.
$5.01
+0.20
+4.15%
8.877M
$963.67M
$44.47M
285
DVLTDatavault AI Inc. Common Stock
$0.3351
-0.0219
-6.13%
8.833M
$286.70M
$2.96M
286
PEPPepsiCo, Inc.
$140.00
+0.27
+0.19%
8.811M
$191.08B
$1.23B
287
OKLOOklo Inc.
$38.80
-2.82
-6.78%
8.795M
$6.75B
$341.25M
288
USBU.S. Bancorp
$63.01
+0.09
+0.14%
8.787M
$97.74B
$553.64M
289
ASXASE Technology Holding Co., Ltd.
$34.90
-0.50
-1.42%
8.759M
$78.01B
$305.67M
290
EXKEndeavour Silver Corp.
$7.48
-0.23
-2.98%
8.75M
$2.22B
$65.45M
291
COMPCompass, Inc.
$11.24
-0.25
-2.18%
8.708M
$8.40B
$97.87M
292
HUNHuntsman Corporation
$9.84
-1.56
-13.72%
8.706M
$1.72B
$85.63M
293
ETEnergy Transfer LP Common Units representing limited partner interests
$20.42
+0.12
+0.61%
8.677M
$70.27B
$177.18M
294
TXNTexas Instruments Incorporated
$273.68
-8.55
-3.03%
8.674M
$249.94B
$2.37B
295
VNETVNET Group, Inc. American Depositary Shares
$7.10
-0.15
-2.07%
8.655M
$1.98B
$61.45M
296
AIC3.ai, Inc.
$9.13
+0.03
+0.33%
8.652M
$1.39B
$78.99M
297
TWOTwo Harbors Investment Corp.
$12.10
+0.11
+0.90%
8.592M
$1.27B
$103.97M
298
MDTMedtronic plc
$85.36
-0.28
-0.33%
8.57M
$109.26B
$731.57M
299
TDOCTeladoc Health, Inc.
$6.72
+0.16
+2.43%
8.559M
$1.21B
$57.51M
300
TOSTToast, Inc.
$32.31
-0.16
-0.49%
8.551M
$16.67B
$276.28M