Stock Rankings by Volume - Rankings 3401 to 3500

Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 3401 to 3500.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
3401
SJTSan Juan Basin Royalty Trust UBI
$5.54
+0.03
+0.54%
257.138K
$258.21M
$1.42M
3402
CATXPerspective Therapeutics, Inc.
$2.71
+0.04
+1.50%
523.893K
$201.46M
$1.42M
3403
DRMADermata Therapeutics, Inc. Common Stock
$2.22
+0.01
+0.45%
639.407K
$2.28M
$1.42M
3404
MGNXMacroGenics, Inc.
$1.61
+0.07
+4.55%
880.514K
$101.85M
$1.42M
3405
DMRCDigimarc Corporation
$6.56
+0.12
+1.86%
215.634K
$142.73M
$1.41M
3406
BENFBeneficient Class A Common Stock
$7.04
+1.11
+18.72%
200.819K
$97.68M
$1.41M
3407
EMPDEmpery Digital Inc. Common stock
$4.56
+0.11
+2.47%
309.595K
$154.13M
$1.41M
3408
TRAKReposiTrak, Inc.
$12.33
+0.05
+0.41%
114.445K
$225.50M
$1.41M
3409
AMTXAemetis, Inc. (DE) Common Stock
$1.40
-0.02
-1.44%
1.007M
$91.77M
$1.41M
3410
SGBXSafe & Green Holdings Corp. Common Stock
$1.86
-0.21
-9.95%
759.508K
$11.19M
$1.41M
3411
QIPTQuipt Home Medical Corp. Ordinary Shares
$3.53
+0.00
+0.00%
398.718K
$155.42M
$1.41M
3412
TAOXTao Synergies Inc. Common Stock
$3.51
-0.39
-10.00%
400.714K
$25.02M
$1.41M
3413
SUIGSui Group Holdings Limited Common Stock
$1.70
+0.02
+1.19%
827.269K
$141.22M
$1.41M
3414
HBANMHuntington Bancshares Incorporated Depositary Shares each representing a 1/1000th interest in a share of Huntington Series I Preferred Stock
$22.06
+0.01
+0.02%
63.634K
$154.39M
$1.40M
3415
CHGGCHEGG, INC.
$0.9510
+0.0298
+3.23%
1.47M
$103.92M
$1.40M
3416
VFSVinFast Auto Ltd. Ordinary Shares
$3.31
+0.00
+0.05%
421.108K
$7.75B
$1.39M
3417
VRAXVirax Biolabs Group Limited Ordinary Shares
$0.3301
-0.0100
-2.94%
4.222M
$2.45M
$1.39M
3418
WNCWabash National Corp.
$8.64
-0.07
-0.80%
160.941K
$350.06M
$1.39M
3419
SEATVivid Seats Inc. Class A Common Stock
$7.21
+0.55
+8.26%
192.83K
$77.33M
$1.39M
3420
GPRKGEOPARK LIMITED
$7.42
+0.00
+0.00%
187.333K
$383.35M
$1.39M
3421
WTIW&T Offshore, Inc.
$1.63
-0.06
-3.55%
849.25K
$242.51M
$1.38M
3422
GICGlobal Industrial Company
$29.22
-0.55
-1.85%
47.144K
$1.12B
$1.38M
3423
MIGIMawson Infrastructure Group Inc. Common Stock
$4.21
-0.23
-5.18%
327.128K
$4.81M
$1.38M
3424
VLNValens Semiconductor Ltd.
$1.44
-0.07
-4.64%
955.253K
$147.41M
$1.38M
3425
CGTXCognition Therapeutics, Inc. Common Stock
$1.36
-0.02
-1.45%
1.01M
$120.05M
$1.37M
3426
KLXEKLX Energy Services Holdings, Inc. Common Stock
$1.88
+0.13
+7.43%
729.194K
$33.54M
$1.37M
3427
LOCOEl Pollo Loco Holdings, Inc.
$10.66
+0.24
+2.30%
127.769K
$319.32M
$1.36M
3428
NEOVNeoVolta Inc. Common Stock
$3.04
-0.17
-5.30%
447.864K
$105.60M
$1.36M
3429
CHWCalamos Global Dynamic Income Fund
$7.30
-0.14
-1.88%
185.98K
$466.21M
$1.36M
3430
TROOTROOPS, Inc. Ordinary Shares
$3.30
+0.28
+9.27%
410.779K
$403.13M
$1.36M
3431
MBINLMerchants Bancorp Depositary Shares, Each Representing a 1/40thInterest in a Share of 7.25% Fixed Rate Series E Non-CumulativePerpetual Preferred Stock, without par value
$22.71
-0.21
-0.92%
59.624K
$208.93M
$1.35M
3432
GSBCGreat Southern Bancorp Inc
$61.56
-0.06
-0.10%
21.924K
$688.81M
$1.35M
3433
BMRCBank of Marin Bancorp
$26.01
-0.50
-1.89%
51.867K
$418.62M
$1.35M
3434
SEVAptera Motors Corp. Class B Common Stock
$4.41
-0.43
-8.94%
305.37K
$121.35M
$1.35M
3435
APIAgora, Inc. American Depositary Shares
$4.08
+0.12
+3.03%
329.886K
$366.49M
$1.35M
3436
AMPGAMPLITECH GROUP INC. COM
$2.98
+0.12
+4.02%
452.11K
$61.53M
$1.35M
3437
CRBPCorbus Pharmaceuticals Holdings, Inc.
$8.21
+0.19
+2.37%
163.324K
$144.11M
$1.34M
3438
OPTXSyntec Optics Holdings, Inc. Class A Common Stock
$2.80
-0.18
-6.00%
478.345K
$103.42M
$1.34M
3439
VYGRVoyager Therapeutics, Inc. Common Stock
$3.94
+0.00
+0.00%
339.009K
$219.06M
$1.34M
3440
VENUVenu Holding Corporation
$8.42
+0.69
+8.93%
158.193K
$363.34M
$1.33M
3441
OMOutset Medical, Inc. Common Stock
$3.70
+0.08
+2.21%
359.405K
$67.17M
$1.33M
3442
ASICAtegrity Specialty Insurance Company Holdings
$21.06
-0.33
-1.54%
63.137K
$1.01B
$1.33M
3443
FBYDFalcon's Beyond Global, Inc. Class A Common Stock
$15.01
-1.49
-9.03%
88.31K
$726.63M
$1.33M
3444
OMEXOdyssey Marine Exploration, Inc
$1.95
-0.04
-2.01%
679.634K
$108.69M
$1.33M
3445
SMBKSmartFinancial, Inc.
$37.00
-0.23
-0.62%
35.758K
$630.04M
$1.32M
3446
SYSo-Young International Inc. American Depository Shares
$2.56
+0.04
+1.59%
515.779K
$255.07M
$1.32M
3447
OLPOne Liberty Properties, Inc.
$20.29
+0.02
+0.10%
64.909K
$439.18M
$1.32M
3448
WLKPWESTLAKE CHEMICAL PARTNERS LP
$19.01
+0.27
+1.44%
69.188K
$670.02M
$1.32M
3449
AMBPArdagh Metal Packaging S.A.
$4.15
+0.07
+1.72%
315.746K
$2.48B
$1.31M
3450
BBUCBrookfield Business Corporation Class A Exchangeable Subordinate Voting Shares
$35.88
-0.28
-0.77%
36.453K
$2.51B
$1.31M
3451
HTTHigh Templar Tech Limited
$3.55
-0.23
-6.08%
368.422K
$586.20M
$1.31M
3452
GTBPGT Biopharma Inc. Common Stock
$0.7801
-0.0338
-4.15%
1.676M
$8.30M
$1.31M
3453
MASS908 Devices Inc. Common Stock
$5.25
+0.04
+0.77%
248.952K
$190.01M
$1.31M
3454
SPOKSpok Holdings, Inc
$13.21
-0.06
-0.45%
98.692K
$272.10M
$1.30M
3455
SHMDSCHMID Group N.V. Class A Ordinary Shares
$6.17
-0.39
-5.91%
210.767K
$265.78M
$1.30M
3456
CDXSCodexis, Inc.
$1.63
+0.03
+1.88%
798.034K
$147.23M
$1.30M
3457
CYNCyngn Inc. Common Stock
$2.31
-0.18
-7.23%
561.63K
$18.42M
$1.30M
3458
ZHZhihu Inc. American Depositary Shares, each representing three (3) Class A Ordinary Shares
$3.28
+0.03
+0.92%
395.151K
$294.19M
$1.30M
3459
AVBCAvidia Bancorp, Inc.
$16.81
-0.36
-2.10%
77.019K
$311.50M
$1.29M
3460
LPSNLivePerson Inc
$3.85
-0.19
-4.70%
335.483K
$44.94M
$1.29M
3461
INBKFirst Internet Bancorp
$20.87
+0.65
+3.21%
61.657K
$181.70M
$1.29M
3462
THARTharimmune, Inc. Common Stock
$3.10
-0.08
-2.64%
413.209K
$108.50M
$1.28M
3463
BTMBitcoin Depot Inc. Class A Common Stock
$1.29
-0.03
-2.27%
991.657K
$94.44M
$1.28M
3464
XFORX4 Pharmaceuticals, Inc. Common Stock
$4.08
-0.07
-1.69%
312.052K
$356.74M
$1.27M
3465
DBGIDigital Brands Group, Inc. Common Stock
$12.40
-0.31
-2.44%
102.633K
$101.54M
$1.27M
3466
MTWThe Manitowoc Company, Inc.
$11.99
-0.17
-1.40%
106.04K
$425.30M
$1.27M
3467
ISTRInvestar Holding Corporation
$26.75
-0.12
-0.45%
47.463K
$262.43M
$1.27M
3468
JAKKJakks Pacific Inc
$16.89
+0.12
+0.69%
75.098K
$190.30M
$1.27M
3469
AHMAAmbitions Enterprise Management Co. L.L.C Class A Ordinary Shares
$4.98
-0.52
-9.46%
254.599K
$148.03M
$1.27M
3470
NEXNNexxen International Ltd. American Depository Shares
$6.52
-0.07
-1.10%
194.27K
$369.85M
$1.27M
3471
NOANorth American Construction Group Ltd.
$14.39
+0.09
+0.63%
87.953K
$418.38M
$1.27M
3472
KSCPKnightscope, Inc. Class A Common Stock
$3.75
-0.06
-1.57%
337.438K
$43.16M
$1.27M
3473
LMNRLimoneira Co
$12.63
+0.01
+0.04%
100.177K
$228.75M
$1.26M
3474
GRDXGridAI Technologies Corp. Common Stock
$4.20
-0.14
-3.23%
300.863K
$14.12M
$1.26M
3475
PACKRanpak Holdings Corp.
$5.41
-0.09
-1.64%
232.927K
$456.47M
$1.26M
3476
BAKBraskem S.A. American Depositary Shares (Each representing Two Class A Preferred Shares)
$2.93
-0.03
-1.05%
430.11K
$1.17B
$1.26M
3477
CXAICXApp Inc. Class A Common Stock
$0.3390
+0.0290
+9.35%
3.714M
$10.81M
$1.26M
3478
NRDYNerdy Inc.
$1.00
-0.08
-7.34%
1.256M
$123.01M
$1.26M
3479
RENTRent the Runway, Inc. Class A Common Stock
$7.76
-0.28
-3.48%
161.99K
$259.11M
$1.26M
3480
SKYXSKYX Platforms Corp. Common Stock
$2.12
+0.04
+1.92%
592.131K
$241.15M
$1.26M
3481
TRXTRX Gold Corporation
$0.9226
-0.0210
-2.23%
1.36M
$264.75M
$1.25M
3482
NMRANeumora Therapeutics, Inc. Common Stock
$1.79
-0.01
-0.28%
702.441K
$303.34M
$1.25M
3483
TRSTTrustco Bank Corp NY
$41.33
-0.61
-1.45%
30.289K
$761.46M
$1.25M
3484
VOXRVox Royalty Corp. Common Stock
$4.73
-0.06
-1.25%
264.388K
$322.91M
$1.25M
3485
EGANeGain Corporation
$10.04
-0.15
-1.52%
124.602K
$271.47M
$1.25M
3486
ABVEAbove Food Ingredients Inc. Common Stock
$1.63
+0.03
+1.93%
765.432K
$83.48M
$1.25M
3487
PLRXPliant Therapeutics, Inc. Common Stock
$1.22
+0.01
+0.83%
1.023M
$74.97M
$1.25M
3488
DOUGDouglas Elliman Inc.
$2.42
+0.10
+4.26%
515.028K
$214.84M
$1.25M
3489
RVPHReviva Pharmaceuticals Holdings, Inc. Common Stock
$0.2751
-0.0031
-1.11%
4.508M
$32.15M
$1.24M
3490
TRUETrueCar, Inc.
$2.26
-0.03
-1.10%
544.781K
$200.56M
$1.23M
3491
ACRSAclaris Therapeutics, Inc.
$3.07
+0.13
+4.42%
398.215K
$332.62M
$1.22M
3492
SARSARATOGA INVESTMENT CORP. NEW
$23.04
-0.03
-0.13%
52.992K
$371.03M
$1.22M
3493
LCTXLineage Cell Therapeutics, Inc.
$1.68
+0.07
+4.34%
725.735K
$386.93M
$1.22M
3494
VHCVirnetX Holding Corporation
$16.69
-0.12
-0.71%
72.949K
$71.28M
$1.22M
3495
CURICuriosityStream Inc. Class A Common Stock
$3.77
-0.06
-1.57%
321.536K
$219.79M
$1.21M
3496
VRCAVerrica Pharmaceuticals Inc. Common Stock
$8.36
+0.06
+0.72%
144.743K
$133.68M
$1.21M
3497
HCATHealth Catalyst, Inc Common Stock
$2.39
+0.03
+1.27%
505.75K
$169.05M
$1.21M
3498
FTELFitell Corporation Ordinary Shares
$0.4840
-0.1026
-17.49%
2.49M
$1.18M
$1.21M
3499
STROSutro Biopharma, Inc.
$11.57
-0.14
-1.20%
104.17K
$98.57M
$1.21M
3500
RPTXRepare Therapeutics Inc. Common Shares
$2.60
+0.02
+0.78%
463.45K
$112.09M
$1.21M