Stock Rankings by Volume - Rankings 2901 to 3000
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 2901 to 3000.
2901
BTMBitcoin Depot Inc. Class A Common Stock $2.66
261.08K
$15.24M
$695.13K
2902
FCFSFirstCash Holdings, Inc. Common Stock $201.63
260.972K
$8.87B
$52.62M
2903
WGOWinnebago Industries, Inc. $33.04
260.811K
$933.90M
$8.62M
2904
ESSEssex Property Trust, Inc $250.07
260.797K
$16.12B
$65.22M
2905
BFHBread Financial Holdings, Inc. $78.98
260.75K
$3.41B
$20.59M
2906
NGENNervGen Pharma Corp. Common stock $4.06
260.68K
$326.99M
$1.06M
2907
BVSBioventus Inc. Class A Common Stock $9.06
260.657K
$610.35M
$2.36M
2908
INGRIngredion Incorporated $114.66
260.305K
$7.22B
$29.85M
2909
VCTRVictory Capital Holdings, Inc. Class A Common Stock $67.79
260.057K
$4.32B
$17.63M
2910
CMTGClaros Mortgage Trust, Inc. $2.54
259.782K
$356.16M
$659.85K
2911
$375.00
259.531K
$9.63B
$97.32M
2912
BBCQBleichroeder Acquisition Corp. II Class A Ordinary Shares $10.13
259.346K
$291.24M
$2.63M
2913
BUSEFirst Busey Corporation Class A Common Stock $26.67
258.709K
$2.30B
$6.90M
2914
CCRNCross Country Healthcare Inc $9.48
258.379K
$305.25M
$2.45M
2915
DCIDonaldson Company, Inc. $88.65
258.131K
$10.27B
$22.88M
2916
$22.16
257.944K
$285.92M
$5.72M
2917
HMHHMH Holding Inc. Class A Common Stock $18.61
256.911K
$195.78M
$4.78M
2918
$8.20
256.88K
$216.78M
$2.11M
2919
CANGCango Inc. American Depositary Shares, each representing two (2) Class A Ordinary Shares $0.4220
256.613K
$146.16M
$108.29K
2920
$217.79
256.564K
$6.11B
$55.88M
2921
LELands' End, Inc. Common Stock $10.87
256.463K
$334.27M
$2.79M
2922
$185.61
256.387K
$6.25B
$47.59M
2923
$11.14
256.377K
$197.41M
$2.86M
2924
GCMGGCM Grosvenor Inc. Class A Common Stock $9.72
256.192K
$591.08M
$2.49M
2925
$81.96
255.961K
$3.68B
$20.98M
2926
RCELAvita Medical, Inc. Common Stock $5.01
255.6K
$153.61M
$1.28M
2927
STRAStrategic Education, Inc. Common Stock $81.19
255.489K
$1.84B
$20.74M
2928
GXAIGaxos.ai Inc. Common Stock $1.20
255.209K
$12.26M
$306.25K
2929
$34.40
255.065K
$1.56B
$8.77M
2930
ICCMIceCure Medical Ltd. Ordinary Shares $0.3498
254.808K
$28.40M
$89.13K
2931
$4.40
253.886K
$38.54M
$1.12M
2932
$159.29
253.868K
$5.47B
$40.44M
2933
STOKStoke Therapeutics, Inc. Common Stock $35.03
253.865K
$2.07B
$8.89M
2934
$74.37
253.388K
$8.28B
$18.84M
2935
CAAPCorporacion America Airports S.A. $27.11
253.28K
$4.42B
$6.87M
2936
$2.85
252.975K
$85.09M
$720.98K
2937
FCUVFocus Universal Inc. Common Stock $2.96
252.926K
$3.03M
$748.66K
2938
ECOOkeanis Eco Tankers Corp. $49.26
252.836K
$1.92B
$12.45M
2939
$401.85
252.575K
$10.72B
$101.50M
2940
$7.26
252.503K
$283.15M
$1.83M
2941
PANLPangaea Logistics Solutions Ltd. $7.23
252.311K
$472.25M
$1.82M
2942
$155.23
251.582K
$4.53B
$39.05M
2943
$78.13
251.197K
$1.15B
$19.63M
2944
UNCYUnicycive Therapeutics, Inc. Common Stock $6.52
251.131K
$164.49M
$1.64M
2945
PMVPPMV Pharmaceuticals, Inc $1.32
251.057K
$70.37M
$331.29K
2946
LXEHLixiang Education Holding Co., Ltd. American Depositary Shares $0.1851
250.943K
$3.46M
$46.45K
2947
AGCCAgencia Comercial Spirits Ltd Class A Ordinary Shares $14.82
250.633K
$290.68M
$3.71M
2948
WAFDWaFd, Inc. Common Stock $32.54
250.571K
$2.47B
$8.15M
2949
MNSOMINISO Group Holding Limited American Depositary Shares, each representing four Ordinary Shares $15.83
250.543K
$4.90B
$3.97M
2950
$200.52
250.323K
$6.88B
$50.19M
2951
PATKPatrick Industries Inc $117.60
250.224K
$3.89B
$29.43M
2952
DFLIDragonfly Energy Holdings Corp. Common Stock (NV) $2.03
249.955K
$24.66M
$507.41K
2953
BHFBrighthouse Financial, Inc. $60.73
249.262K
$3.47B
$15.14M
2954
ECGEverus Construction Group, Inc. $131.01
249.19K
$6.69B
$32.65M
2955
ALNTAllient Inc. Common Stock $73.25
248.769K
$1.25B
$18.22M
2956
FMFCKandal M Venture Limited Class A Ordinary Shares $0.4414
248.674K
$5.87M
$109.77K
2957
FBGLFBS Global Limited Ordinary Shares $0.6023
248.524K
$8.13M
$149.69K
2958
$19.92
248.416K
$1.97B
$4.95M
2959
BIOABioAge Labs, Inc. Common Stock $16.30
248.25K
$723.39M
$4.05M
2960
RENXRenX Enterprises Corp. Common Stock $2.49
248.026K
$6.24M
$617.58K
2961
AUIDauthID Inc. Common Stock $1.05
247.857K
$16.94M
$260.25K
2962
DDLDingdong (Cayman) Limited American Depositary Shares (each two representing three Ordinary Shares) $2.68
247.629K
$535.64M
$663.65K
2963
$256.44
247.418K
$3.72B
$63.45M
2964
LGNDLigand Pharmaceuticals Inc. $204.92
247.234K
$4.09B
$50.66M
2965
$69.28
247.042K
$3.62B
$17.12M
2966
$67.83
246.949K
$2.29B
$16.75M
2967
CCTGCCSC Technology International Holdings Limited Ordinary Shares $0.4822
246.85K
$1.89M
$119.03K
2968
PROFProfound Medical Corp. Common Stock $6.20
246.769K
$225.02M
$1.53M
2969
EEExcelerate Energy, Inc. $34.38
245.453K
$1.10B
$8.44M
2970
OCFCOceanFirst Financial Corp $18.87
245.29K
$1.08B
$4.63M
2971
$73.02
244.926K
$2.77B
$17.88M
2972
$35.85
244.926K
$2.69B
$8.78M
2973
WSWorthington Steel, Inc. $35.05
244.839K
$1.78B
$8.58M
2974
$20.59
244.438K
$571.32M
$5.03M
2975
FTCIFTC Solar, Inc. Common Stock $3.54
243.592K
$55.17M
$862.32K
2976
DMRADamora Therapeutics, Inc. Common Stock $26.45
243.464K
$1.60B
$6.44M
2977
CHICalamos Convertible Opportunities and Income Fund $11.69
243.116K
$910.32M
$2.84M
2978
$1.68
241.979K
$148.21M
$406.52K
2979
IZMICZOOM Group Inc. Class A Ordinary Shares $0.4225
241.83K
$3.44M
$102.17K
2980
$1.66
241.82K
$43.67M
$401.42K
2981
XRPNArmada Acquisition Corp. II Class A Ordinary Shares $10.35
241.786K
$245.32M
$2.50M
2982
PRTAProthena Corporation plc Ordinary Shares $10.50
241.478K
$565.25M
$2.54M
2983
CYNCyngn Inc. Common Stock $1.53
240.479K
$20.82M
$367.93K
2984
$176.26
240.383K
$5.39B
$42.37M
2985
FSSLFS Specialty Lending Fund $12.33
240.31K
$936.07M
$2.96M
2986
OABIOmniAb, Inc. Common Stock $1.47
240.283K
$212.82M
$353.19K
2987
EPACEnerpac Tool Group Corp. $36.48
239.779K
$1.88B
$8.75M
2988
ABOSAcumen Pharmaceuticals, Inc. Common Stock $2.51
239.702K
$181.25M
$601.65K
2989
$124.60
239.463K
$6.31B
$29.84M
2990
HITHealth In Tech, Inc. Class A Common Stock $1.33
239.069K
$64.18M
$317.96K
2991
$17.22
238.704K
$2.07B
$4.11M
2992
QTTBQ32 Bio Inc. Common Stock $5.10
238.536K
$74.67M
$1.22M
2993
$349.42
237.988K
$32.98B
$83.16M
2994
NXTTNext Technology Holding Inc. Ordinary Shares $1.57
237.723K
$119.67M
$373.03K
2995
WESTWestrock Coffee Company Common Stock $4.90
237.161K
$474.74M
$1.16M
2996
MXMagnachip Semiconductor Corp. $3.01
237.068K
$109.69M
$713.57K
2997
$8.50
236.88K
$906.38M
$2.01M
2998
SUNESUNation Energy, Inc. Common Stock $1.57
236.352K
$5.33M
$369.96K
2999
GNKGENCO SHIPPING & TRADING LTD $23.30
235.991K
$1.01B
$5.50M
3000
DHDefinitive Healthcare Corp. Class A Common Stock $0.9501
235.665K
$99.26M
$223.91K