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
CBUCommunity Financial System, Inc.
$62.80
+0.00
+0.00%
177.623K
$3.31B
$11.15M
3402
BRBSBlue Ridge Bankshares, Inc.
$4.08
-0.03
-0.73%
177.414K
$373.27M
$723.85K
3403
TOWNTowne Bank
$34.48
-0.03
-0.09%
177.28K
$2.59B
$6.11M
3404
FMSTForemost Lithium Resource & Technology Ltd. Common stock
$2.14
-0.08
-3.81%
177.221K
$31.08M
$378.44K
3405
ABTSAbits Group Inc Ordinary Shares
$2.74
-0.08
-2.84%
176.331K
$6.49M
$483.15K
3406
BVSBioventus Inc. Class A Common Stock
$8.73
+0.07
+0.81%
176.261K
$584.70M
$1.54M
3407
UHALU-Haul Holding Company
$51.08
+0.68
+1.35%
176.136K
$1.00B
$9.00M
3408
BBCQBleichroeder Acquisition Corp. II Class A Ordinary Shares
$9.97
+0.00
+0.00%
176.102K
$382.18M
$1.76M
3409
BENFBeneficient Class A Common Stock
$4.21
+0.14
+3.46%
175.876K
$59.73M
$740.61K
3410
TATTTAT Technologies Ltd
$56.13
+2.74
+5.13%
175.859K
$705.29M
$9.87M
3411
PLUSePlus Inc
$77.74
-1.33
-1.68%
175.751K
$2.05B
$13.66M
3412
BCALSouthern California Bancorp Common Stock
$18.56
-0.02
-0.11%
175.676K
$599.91M
$3.26M
3413
ALBTAvalon GloboCare Corp. Common Stock
$0.5054
-0.0136
-2.62%
175.557K
$2.15M
$88.73K
3414
AVALGRUPO AVAL ACCIONES Y VALORES S.A.
$4.43
-0.05
-1.12%
175.406K
$1.68B
$777.05K
3415
TGSTransportadora de Gas del Sur S.A. ADS
$29.94
+0.08
+0.27%
175.017K
$2.08B
$5.24M
3416
BNTCBenitec Biopharma Inc. Common Stock
$11.18
+0.79
+7.60%
174.571K
$384.08M
$1.95M
3417
GLADGladstone Capital Corp
$18.12
-0.12
-0.63%
173.971K
$409.39M
$3.15M
3418
CUBICUSTOMERS BANCORP INC
$70.07
+0.49
+0.70%
173.929K
$2.39B
$12.19M
3419
RAYAErayak Power Solution Group Inc. Class A Ordinary Shares
$0.8994
+0.0494
+5.81%
173.904K
$768.14K
$156.41K
3420
BMIBadger Meter, Inc.
$158.34
+0.61
+0.39%
173.623K
$4.62B
$27.49M
3421
BIOBio-Rad Laboratories, Inc.Class A
$268.70
+0.44
+0.16%
173.002K
$5.89B
$46.49M
3422
SVRNOceanPal Inc. Common Stock
$0.3915
-0.0134
-3.31%
172.67K
$2.62M
$67.60K
3423
OPALOPAL Fuels Inc. Class A Common Stock
$2.02
-0.06
-2.88%
171.864K
$58.57M
$347.17K
3424
JRVRJames River Group Holdings, Ltd
$6.67
+0.03
+0.45%
171.657K
$306.59M
$1.14M
3425
OMOutset Medical, Inc. Common Stock
$3.33
-0.13
-3.76%
170.573K
$60.98M
$568.01K
3426
MTRXMatrix Service Co
$11.05
+0.25
+2.31%
169.294K
$310.82M
$1.87M
3427
XYFX Financial American Depositary Shares, each representing six Class A Ordinary Shares
$5.12
+0.32
+6.67%
169.156K
$116.76M
$866.08K
3428
CWCurtiss-Wright Corp.
$712.45
+17.81
+2.56%
168.332K
$26.27B
$119.93M
3429
IPARInter Parfums Inc
$103.02
+1.39
+1.37%
168.206K
$3.30B
$17.33M
3430
THHTryHard Holdings Limited Ordinary Shares
$0.5800
+0.0168
+2.98%
168.198K
$28.89M
$97.55K
3431
CPSHCPS Technologies Corp. Common Stock
$4.31
-0.04
-0.92%
168.104K
$77.49M
$724.53K
3432
SNTISenti Biosciences, Inc. Common Stock
$0.9350
+0.0405
+4.53%
168.104K
$24.58M
$157.18K
3433
LIILennox International Inc.
$558.32
-7.62
-1.35%
167.644K
$19.43B
$93.60M
3434
FBKFB Financial Corporation
$56.48
+0.13
+0.23%
167.497K
$3.02B
$9.46M
3435
COLLCollegium Pharmaceutical, Inc. Common Stock
$45.17
+0.25
+0.56%
167.412K
$1.43B
$7.56M
3436
INFUInfuSystem Holdings, Inc.
$8.60
+0.88
+11.40%
167.316K
$174.89M
$1.44M
3437
CAAPCorporacion America Airports S.A.
$28.86
+0.72
+2.57%
167.314K
$4.71B
$4.83M
3438
LILALiberty Latin America Ltd. Class A Common Stock
$8.09
+0.10
+1.25%
167.186K
$314.70M
$1.35M
3439
IPDNProfessional Diversity Network, Inc.
$2.01
+0.05
+2.55%
167.14K
$9.81M
$335.95K
3440
SOULSoulpower Acquisition Corporation
$10.24
-0.02
-0.19%
167.135K
$262.35M
$1.71M
3441
PAGPenske Automotive Group, Inc.
$161.81
-1.40
-0.86%
166.898K
$10.66B
$27.01M
3442
SHGShinhan Financial Group Co Ltd
$70.32
+0.89
+1.28%
166.71K
$34.14B
$11.72M
3443
CODACoda Octopus Group, Inc. Common stock
$14.23
+0.23
+1.64%
166.309K
$160.38M
$2.37M
3444
RMTIRockwell Medical, Inc. (DE) Common Stock
$0.9452
+0.0247
+2.68%
165.796K
$37.25M
$156.71K
3445
BWLPBW LPG Limited
$17.30
-0.09
-0.52%
165.565K
$2.62B
$2.86M
3446
IESCIES Holdings, Inc. Common Stock
$513.40
+8.26
+1.64%
165.429K
$10.23B
$84.93M
3447
PAHCPhibro Animal Health Corporation Class A
$51.46
+0.14
+0.27%
165.028K
$1.06B
$8.49M
3448
NCTIntercont (Cayman) Limited Ordinary shares
$0.1855
+0.0013
+0.71%
164.795K
$5.65M
$30.57K
3449
CLNNClene Inc. Common Stock
$5.04
+0.51
+11.26%
164.749K
$54.68M
$830.33K
3450
CNVSCineverse Corp. Class A Common Stock
$2.91
-0.26
-8.20%
164.235K
$56.95M
$477.92K
3451
AOSLAlpha and Omega Semiconductor Limited
$22.05
+0.21
+0.96%
164.062K
$656.23M
$3.62M
3452
CHYCalamos Convertible and High Income Fund
$11.96
-0.02
-0.17%
164.018K
$948.45M
$1.96M
3453
LECOLincoln Electric Holdings Inc
$284.98
+1.65
+0.58%
163.95K
$15.68B
$46.72M
3454
KSCPKnightscope, Inc. Class A Common Stock
$4.04
+0.25
+6.55%
163.826K
$45.12M
$661.59K
3455
ITPIT Tech Packaging, Inc.
$0.2040
+0.0071
+3.61%
163.109K
$3.46M
$33.27K
3456
FTKFlotek Industries, Inc.
$16.02
-0.15
-0.93%
162.496K
$481.53M
$2.60M
3457
ASICAtegrity Specialty Insurance Company Holdings
$22.25
-0.89
-3.83%
162.084K
$1.07B
$3.61M
3458
LELands' End, Inc. Common Stock
$16.14
-0.64
-3.81%
161.947K
$493.09M
$2.61M
3459
INBSIntelligent Bio Solutions Inc. Common Stock
$4.13
-0.46
-10.02%
161.765K
$6.62M
$668.09K
3460
HTLMHomesToLife Ltd Ordinary Shares
$2.13
+0.10
+4.68%
161.507K
$190.59M
$343.20K
3461
FIZZNational Beverage Corp.
$37.73
+0.39
+1.04%
161.335K
$3.53B
$6.09M
3462
MGNMegan Holdings Limited Ordinary Shares
$1.80
-0.01
-0.55%
161.171K
$20.25M
$290.11K
3463
BCAXBicara Therapeutics Inc. Common Stock
$16.50
+0.01
+0.06%
161.129K
$903.90M
$2.66M
3464
GFFGriffon Corp
$87.48
+0.51
+0.59%
160.597K
$4.07B
$14.05M
3465
OOMAOoma, Inc. Common Stock
$11.80
+0.20
+1.72%
160.436K
$325.68M
$1.89M
3466
FCFSFirstCash Holdings, Inc. Common Stock
$185.30
+3.40
+1.87%
159.481K
$8.15B
$29.55M
3467
FDPFresh Del Monte Produce Inc.
$42.49
+0.74
+1.77%
158.671K
$2.01B
$6.74M
3468
IVAInventiva S.A. American Depository Shares
$6.81
-0.01
-0.15%
158.443K
$1.41B
$1.08M
3469
AGOAssured Guaranty, LTD
$85.57
+0.38
+0.45%
158.281K
$3.95B
$13.54M
3470
HMNHorace Mann Educators Corporation
$42.54
+0.10
+0.24%
158.178K
$1.73B
$6.73M
3471
DMACDiaMedica Therapeutics Inc. Common Stock
$8.55
+0.17
+2.03%
158.001K
$445.26M
$1.35M
3472
DSGNDesign Therapeutics, Inc. Common Stock
$10.60
+0.24
+2.32%
157.676K
$603.82M
$1.67M
3473
WLDNWilldan Group, Inc.
$111.67
+0.53
+0.48%
157.295K
$1.65B
$17.57M
3474
XOMAXOMA Corporation
$27.04
+1.25
+4.85%
157.283K
$334.84M
$4.25M
3475
AIDX20/20 Biolabs, Inc. Common Stock
$7.55
-1.69
-18.29%
157.061K
$72.84M
$1.19M
3476
LCIILCI Industries
$141.49
-1.21
-0.85%
157.001K
$3.42B
$22.21M
3477
CHWCalamos Global Dynamic Income Fund
$8.28
+0.09
+1.04%
156.912K
$528.48M
$1.30M
3478
CTSCTS Corporation
$52.94
+0.18
+0.34%
156.878K
$1.54B
$8.31M
3479
PKXPOSCO Holdings Inc. American Depositary Shares (Each representing 1/4th of a share of Common Stock)
$69.11
+0.70
+1.02%
156.784K
$22.37B
$10.84M
3480
SMXSMX (Security Matters) Public Limited Company Class A Ordinary Shares
$32.66
-2.26
-6.47%
156.471K
$72.64M
$5.11M
3481
PINEAlpine Income Property Trust, Inc
$19.98
-0.35
-1.72%
156.386K
$301.47M
$3.12M
3482
RLGTRadiant Logistics, Inc.
$7.11
-0.05
-0.70%
156.374K
$332.94M
$1.11M
3483
STSSSharps Technology Inc. Common Stock
$1.75
-0.05
-2.78%
156.239K
$50.74M
$273.42K
3484
PBMPsyence Biomedical Ltd. Common Shares
$2.19
+0.06
+2.82%
155.937K
$2.24M
$341.50K
3485
EMATEvolution Metals & Technologies Corp. Common Stock
$9.94
-0.21
-2.07%
155.859K
$5.90B
$1.55M
3486
SLNSilence Therapeutics Plc American Depository Share
$5.35
+0.32
+6.36%
155.523K
$252.70M
$832.05K
3487
TBNTamboran Resources Corporation
$31.26
-0.34
-1.08%
155.375K
$707.71M
$4.86M
3488
MGRCMcgrath Rentcorp
$114.48
+1.39
+1.23%
155.134K
$2.82B
$17.76M
3489
SVAQSilicon Valley Acquisition Corp. Class A Ordinary Shares
$9.91
+0.01
+0.10%
154.794K
$213.07M
$1.53M
3490
CRCrane Company
$204.37
+3.69
+1.84%
153.92K
$11.77B
$31.46M
3491
KMTSKestra Medical Technologies, Ltd. Common Stock
$26.34
-0.34
-1.27%
153.525K
$1.54B
$4.04M
3492
USEAUnited Maritime Corporation Common Stock
$1.95
+0.05
+2.63%
153.328K
$17.25M
$298.99K
3493
LITMSnow Lake Resources Ltd. Common Shares
$3.01
-0.06
-1.86%
153.062K
$54.31M
$461.18K
3494
JCAPJefferson Capital, Inc. Common Stock
$20.05
+0.05
+0.25%
152.929K
$1.17B
$3.07M
3495
CTORCitius Oncology, Inc. Common Stock
$1.14
+0.04
+3.64%
152.595K
$100.63M
$173.96K
3496
CEPUCentral Puerto S.A. American Depositary Shares (each represents ten Common Shares)
$16.12
+0.37
+2.35%
151.403K
$2.44B
$2.44M
3497
MSGEMadison Square Garden Entertainment Corp.
$61.28
-0.75
-1.21%
151.262K
$2.48B
$9.27M
3498
SHENShenandoah Telecom Co
$13.42
+0.09
+0.68%
151.249K
$736.73M
$2.03M
3499
KTTAPasithea Therapeutics Corp. Common Stock
$0.8574
+0.0474
+5.85%
151.007K
$19.80M
$129.47K
3500
TLSITriSalus Life Sciences, Inc. Common Stock
$5.33
-0.15
-2.73%
150.677K
$266.55M
$802.36K