Stock Rankings by Volume - Rankings 3501 to 3600
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 3501 to 3600.
3501
FLWS1-800-FLOWERS.COM Inc $3.28
134.761K
$121.35M
$442.02K
3502
FHTXFoghorn Therapeutics Inc. Common Stock $4.59
134.638K
$269.14M
$617.32K
3503
FLLFull House Resorts, Inc. $2.47
134.427K
$89.40M
$332.03K
3504
GAINGladstone Investment Corporation $14.67
134.289K
$584.19M
$1.97M
3505
NCDLNuveen Churchill Direct Lending Corp $13.47
134.112K
$665.24M
$1.81M
3506
MIRAMIRA Pharmaceuticals, Inc. Common Stock $1.00
134.024K
$42.16M
$134.46K
3507
OXBROxbridge Re Holdings Limited $0.7101
133.952K
$5.54M
$95.11K
3508
PKXPOSCO Holdings Inc. American Depositary Shares (Each representing 1/4th of a share of Common Stock) $63.17
133.86K
$20.45B
$8.46M
3509
ANIKAnika Therapeutics Inc $14.77
133.765K
$197.93M
$1.98M
3510
TBCHTurtle Beach Corporation Common Stock $10.36
133.744K
$202.96M
$1.38M
3511
RBCRBC Bearings Incorporated $598.30
133.726K
$18.92B
$80.01M
3512
SGHTSight Sciences, Inc. Common Stock $3.63
133.18K
$196.04M
$483.44K
3513
LMATLeMaitre Vascular, Inc. $114.62
133.028K
$2.61B
$15.25M
3514
NBHCNATIONAL BANK HOLDINGS CORP. $41.74
132.879K
$1.87B
$5.55M
3515
KLTRKaltura, Inc. Common Stock $1.08
132.831K
$159.89M
$142.79K
3516
$725.71
132.798K
$26.78B
$96.37M
3517
DTCXDatacentrex, Inc. Common Stock $2.48
132.753K
$78.61M
$329.23K
3518
MRCCMonroe Capital Corporation $4.89
132.623K
$105.95M
$648.53K
3519
CIGLConcorde International Group Ltd Class A Ordinary Shares $1.93
132.58K
$4.39M
$255.88K
3520
CWEN.AClearway Energy, Inc. Class A Common Stock $40.98
132.476K
$1.42B
$5.43M
3521
$41.35
132.28K
$572.94M
$5.47M
3522
NFBKNorthfield Bancorp, Inc. $13.90
132.082K
$580.31M
$1.84M
3523
$7.25
131.959K
$198.55M
$956.70K
3524
AOSLAlpha and Omega Semiconductor Limited $25.98
131.949K
$773.19M
$3.43M
3525
NOVTNovanta Inc. Common Stock $125.23
131.919K
$4.47B
$16.52M
3526
VEEAVeea Inc. Common Stock $0.5838
131.913K
$29.43M
$77.01K
3527
XYFX Financial American Depositary Shares, each representing six Class A Ordinary Shares $4.28
131.733K
$97.67M
$563.82K
3528
UFPIUFP Industries, Inc. Common Stock $95.49
131.675K
$5.42B
$12.57M
3529
$10.03
131.45K
$110.24M
$1.32M
3530
TDGTransDigm Group Incorporated $1,207.18
131.134K
$68.17B
$158.30M
3531
$1.24
130.881K
$26.94M
$162.29K
3532
$26.51
130.628K
$804.93M
$3.46M
3533
DORMDorman Products, Inc. New $109.48
130.404K
$3.30B
$14.28M
3534
$3.90
130.38K
$27.05M
$508.46K
3535
$28.22
130.373K
$514.38M
$3.68M
3536
$27.59
130.12K
$493.15M
$3.59M
3537
EMATEvolution Metals & Technologies Corp. Common Stock $8.08
130.004K
$4.79B
$1.05M
3538
PVLAPalvella Therapeutics, Inc. Common Stock $127.16
129.838K
$1.82B
$16.51M
3539
VBNKVersaBank Common Shares $16.83
129.68K
$539.73M
$2.18M
3540
$126.28
129.623K
$3.07B
$16.37M
3541
PINEAlpine Income Property Trust, Inc $19.30
129.354K
$291.21M
$2.50M
3542
CBIOCrescent Biopharma, Inc. Common Stock $18.25
129.258K
$502.83M
$2.36M
3543
LILALiberty Latin America Ltd. Class A Common Stock $8.13
129.148K
$316.26M
$1.05M
3544
LLYVKLiberty Media Corporation Series C Liberty Live Common Stock $97.92
128.564K
$6.25B
$12.59M
3545
AMIXAutonomix Medical, Inc. Common Stock $0.3691
128.455K
$4.21M
$47.41K
3546
DGIIDigi International Inc $52.70
128.44K
$1.98B
$6.77M
3547
FXNCFIRST NATL CORP STRASBURG VA $28.90
127.915K
$261.28M
$3.70M
3548
GRDXGridAI Technologies Corp. Common Stock $2.10
127.69K
$7.06M
$268.15K
3549
VTMXCorporacion Inmobiliaria Vesta, S.A.B de C.V., American Depositary Shares, each representing ten (10) Common Shares $35.55
127.679K
$3.14B
$4.54M
3550
BMRBeamr Imaging Ltd. Ordinary Share $1.48
127.635K
$22.98M
$188.90K
3551
PAHCPhibro Animal Health Corporation Class A $57.87
127.624K
$1.19B
$7.39M
3552
LIXTLixte Biotechnology Holdings, Inc. Common Stock $3.05
127.563K
$35.43M
$389.07K
3553
LOPEGrand Canyon Education, Inc $166.52
127.432K
$4.52B
$21.22M
3554
CLIRClearSign Technologies Corporation Common Stock (DE) $5.39
127.402K
$29.15M
$686.70K
3555
APYXApyx Medical Corporation Common Stock $3.98
127.389K
$166.48M
$507.01K
3556
GDENGolden Entertainment, Inc. Common Stock $27.95
127.27K
$737.85M
$3.56M
3557
IZEAIZEA Worldwide, Inc. Common Stock $3.86
127.129K
$66.92M
$490.72K
3558
$1.17
126.981K
$78.96M
$148.57K
3559
BCALSouthern California Bancorp Common Stock $18.38
126.414K
$594.17M
$2.32M
3560
$112.05
126.318K
$3.87B
$14.15M
3561
SLMTBrera Holdings PLC Class B Ordinary Shares $0.7800
126.318K
$63.96M
$98.53K
3562
WFGWest Fraser Timber Co. Ltd $64.82
126.223K
$4.93B
$8.18M
3563
$0.2716
126.156K
$12.73M
$34.26K
3564
$44.80
126.083K
$1.39B
$5.65M
3565
EPOWSunrise New Energy Co., Ltd Class A Ordinary Shares $0.7661
125.948K
$29.67M
$96.49K
3566
SRGSeritage Growth Properties Class A common shares of beneficial interest, par value $0.01 $2.58
125.577K
$145.32M
$323.99K
3567
$0.9867
125.575K
$21.31M
$123.90K
3568
$128.67
125.551K
$4.99B
$16.15M
3569
YOULYoulife Group Inc. American Depositary Shares $0.9333
125.544K
$60.56M
$117.17K
3570
STRTStrattec Security Corp $82.00
125.54K
$342.74M
$10.29M
3571
$5.05
125.296K
$142.21M
$632.74K
3572
$23.84
125.151K
$959.11M
$2.98M
3573
OFIXOrthofix Medical Inc. Common Stock (DE) $12.38
125.096K
$496.99M
$1.55M
3574
ACXPAcurx Pharmaceuticals, Inc. Common Stock $2.63
124.961K
$7.51M
$328.65K
3575
VHCVirnetX Holding Corporation $14.31
124.928K
$59.90M
$1.79M
3576
$44.71
124.924K
$580.48M
$5.59M
3577
RHLDResolute Holdings Management Common Stock $158.66
124.901K
$1.34B
$19.82M
3578
PNRGPrimeEnergy Resources Corporation Common Stock $220.30
124.866K
$360.19M
$27.51M
3579
FMSTForemost Lithium Resource & Technology Ltd. Common stock $1.70
124.749K
$24.80M
$212.07K
3580
$0.2944
124.239K
$4.22M
$36.58K
3581
KNOPKNOT OFFSHORE PARTNERS LP $10.18
124.176K
$346.58M
$1.26M
3582
HHHHoward Hughes Holdings Inc. $63.46
124.148K
$3.78B
$7.88M
3583
DCBODocebo Inc. Common Shares $14.66
123.881K
$378.51M
$1.82M
3584
KBDCKayne Anderson BDC, Inc. $14.04
123.864K
$934.60M
$1.74M
3585
ORKTOrangekloud Technology Inc. Class A Ordinary Shares $1.01
123.855K
$2.12M
$125.09K
3586
$53.41
123.825K
$16.18B
$6.61M
3587
CLARClarus Corporation Common Stock $2.74
123.664K
$105.22M
$338.84K
3588
AEYEAudioEye, Inc. Common Stock $6.10
123.658K
$76.23M
$754.31K
3589
ASMBAssembly Biosciences, Inc $28.49
123.442K
$451.93M
$3.52M
3590
APEIAmerican Public Education, Inc. $58.50
123.281K
$1.08B
$7.21M
3591
AFCGAFC Gamma, Inc. Common Stock $2.56
123.221K
$60.23M
$315.45K
3592
OPALOPAL Fuels Inc. Class A Common Stock $2.45
123.08K
$71.06M
$301.56K
3593
$31.89
123.037K
$676.47M
$3.92M
3594
$28.40
122.911K
$1.87B
$3.49M
3595
SJTSan Juan Basin Royalty Trust UBI $4.54
122.671K
$211.60M
$556.93K
3596
RNGTRange Capital Acquisition Corp II Class A Ordinary Shares $10.00
122.509K
$236.60M
$1.23M
3597
OKUROnKure Therapeutics, Inc. Class A Common Stock $4.27
122.339K
$58.39M
$522.39K
3598
NCTIntercont (Cayman) Limited Ordinary shares $2.32
122.266K
$2.83M
$283.66K
3599
CLBKColumbia Financial, Inc. Common Stock $18.16
122.03K
$1.89B
$2.22M
3600
SERSerina Therapeutics, Inc. $1.97
121.906K
$24.20M
$239.55K