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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
3501
WTFWaton Financial Limited Ordinary Shares
$4.64
-0.09
-1.90%
233.405K
$223.82M
$1.08M
3502
FCBCFirst Community Bankshares, Inc. (VA)
$38.03
-0.19
-0.50%
28.367K
$696.52M
$1.08M
3503
TMCITreace Medical Concepts, Inc. Common Stock
$7.35
-0.07
-0.94%
146.561K
$464.32M
$1.08M
3504
FLWS1-800-FLOWERS.COM Inc
$5.60
-0.03
-0.53%
192.117K
$355.96M
$1.08M
3505
INMBINmune Bio Inc. Common stock
$2.07
-0.02
-0.96%
519.412K
$55.03M
$1.08M
3506
MWYNMarwynn Holdings, Inc. Common stock
$0.8269
+0.0129
+1.58%
1.297M
$14.10M
$1.07M
3507
CCDCalamos Dynamic Convertible & Income Fund
$20.54
-0.04
-0.17%
52.17K
$555.57M
$1.07M
3508
SIDUSidus Space, Inc. Class A Common Stock
$1.26
-0.10
-7.35%
848.921K
$32.06M
$1.07M
3509
HTCOCaravelle International Group Ordinary Shares
$9.28
-1.63
-14.97%
114.448K
$52.88M
$1.06M
3510
DBGIDigital Brands Group, Inc. Common Stock
$9.48
+0.12
+1.28%
111.736K
$42.58M
$1.06M
3511
TCBKTrico Bancshares
$45.42
-0.38
-0.83%
23.313K
$1.48B
$1.06M
3512
LOCOEl Pollo Loco Holdings, Inc.
$10.63
-0.13
-1.21%
99.315K
$318.85M
$1.06M
3513
MPBMid Penn Bancorp, Inc.
$30.14
-0.08
-0.26%
35.02K
$693.18M
$1.06M
3514
LIENChicago Atlantic BDC, Inc. Common Stock
$11.01
+0.16
+1.47%
95.836K
$251.25M
$1.06M
3515
TILInstil Bio, Inc. Common Stock
$27.10
-0.96
-3.42%
38.773K
$182.94M
$1.05M
3516
UHTUniversal Health Realty Income Trust
$40.58
+0.23
+0.57%
25.855K
$563.01M
$1.05M
3517
VIOTViomi Technology Co., Ltd American Depositary Shares
$3.50
+0.02
+0.57%
298.119K
$238.73M
$1.04M
3518
NLOPNet Lease Office Properties
$29.62
-0.14
-0.47%
35.167K
$438.79M
$1.04M
3519
ACFNAcorn Energy, Inc. Common Stock
$27.57
-0.41
-1.46%
37.771K
$68.97M
$1.04M
3520
SHIPSeanergy Maritime Holdings Corp.
$8.11
+0.02
+0.26%
128.367K
$169.53M
$1.04M
3521
SNWVSANUWAVE Health, Inc. Common Stock
$41.64
-1.11
-2.60%
24.991K
$356.77M
$1.04M
3522
OSTXOS Therapies Incorporated
$2.31
+0.07
+3.12%
448.121K
$73.10M
$1.04M
3523
ONLOrion Office REIT Inc.
$2.97
+0.07
+2.24%
348.56K
$166.97M
$1.03M
3524
SOHUSohu.com Limited American Depositary Shares
$16.08
-0.20
-1.25%
64.12K
$483.30M
$1.03M
3525
IGICInternational General Insurance Holdings Ltd. Ordinary Share
$24.15
+0.22
+0.92%
42.592K
$1.04B
$1.03M
3526
NVECNVE Corp
$64.58
-1.35
-2.05%
15.904K
$312.38M
$1.03M
3527
ADNAdvent Technologies Holdings, Inc. Class A Common Stock
$4.50
-0.73
-13.96%
228.224K
$12.02M
$1.03M
3528
DSGNDesign Therapeutics, Inc. Common Stock
$5.55
-0.10
-1.77%
183.835K
$316.06M
$1.02M
3529
CRVOCervoMed Inc. Common Stock
$9.38
-0.03
-0.35%
108.656K
$81.61M
$1.02M
3530
ARAIArrive AI Inc. Common Stock
$4.85
-0.23
-4.50%
209.125K
$160.22M
$1.01M
3531
FISIFinancial Institutions Inc
$27.67
-0.05
-0.18%
36.609K
$556.99M
$1.01M
3532
NANano Labs Ltd Class A Ordinary Shares
$5.22
-0.42
-7.45%
193.509K
$120.67M
$1.01M
3533
KCHVKochav Defense Acquisition Corp. Class A Ordinary Shares
$10.02
+0.00
+0.00%
100.7K
$343.26M
$1.01M
3534
PLXProtalix BioTherapeutics, Inc. Common Stock
$1.59
+0.03
+2.12%
632.351K
$127.02M
$1.01M
3535
SRIStoneridge, Inc
$8.32
-0.11
-1.25%
120.999K
$232.87M
$1.01M
3536
HUSAHouston American Energy Corp
$8.22
-0.06
-0.73%
122.055K
$278.18M
$1.00M
3537
INGNInogen Inc
$7.99
+0.02
+0.19%
125.614K
$215.92M
$1.00M
3538
UANCVR Partners, LP
$89.35
-0.65
-0.72%
11.224K
$944.40M
$1.00M
3539
DUOTDuos Technologies Group, Inc. Common Stock
$6.40
-0.09
-1.39%
156.541K
$124.25M
$1.00M
3540
NRPNatural Resource Partners L.P.
$103.40
-1.08
-1.03%
9.671K
$1.36B
$999.98K
3541
CBNKCapital Bancorp, Inc.
$34.12
-0.49
-1.42%
29.283K
$565.83M
$999.14K
3542
MFHMercurity Fintech Holding Inc. Ordinary Shares
$7.14
+0.65
+10.01%
139.828K
$493.20M
$998.36K
3543
ASICAtegrity Specialty Insurance Company Holdings
$22.64
-0.05
-0.22%
44K
$1.09B
$996.16K
3544
ARENThe Arena Group Holdings, Inc.
$6.10
-0.10
-1.61%
162.581K
$289.54M
$991.74K
3545
HCWBHCW Biologics Inc. Common Stock
$5.56
-0.28
-4.79%
178.12K
$11.96M
$990.35K
3546
WWRWestwater Resources, Inc.
$0.8000
+0.0251
+3.24%
1.238M
$68.98M
$990.01K
3547
BHFANBrighthouse Financial, Inc. Depositary shares, each representing a 1/1,000th interest in a share of 5.375% Non-Cumulative Preferred Stock, Series C
$14.89
+0.01
+0.07%
66.463K
$297.80M
$989.63K
3548
VELOVelo3D, Inc. Common stock
$4.22
-0.35
-7.66%
233.757K
$83.98M
$986.45K
3549
LAWCS Disco, Inc.
$5.52
+0.33
+6.36%
178.235K
$340.81M
$983.86K
3550
DGXXDigi Power X Inc. Subordinate Voting Shares
$2.23
-0.03
-1.33%
436.862K
$99.71M
$974.20K
3551
EBEventbrite, Inc. Class A Common Stock
$2.61
-0.06
-2.25%
373.11K
$251.87M
$973.82K
3552
APMAptorum Group Limited Class A Ordinary Shares
$2.00
-0.28
-12.28%
485.846K
$14.29M
$971.69K
3553
USBCUSBC, Inc.
$1.07
+0.03
+2.81%
903.903K
$410.82M
$966.45K
3554
MINDMIND Technology, Inc. Common Stock (DE)
$10.12
+0.26
+2.64%
95.421K
$80.65M
$965.66K
3555
ARBEArbe Robotics Ltd. Ordinary Shares
$1.33
-0.03
-2.21%
724.796K
$144.53M
$963.98K
3556
CIVBCivista Bancshares, Inc.
$21.20
+0.20
+0.95%
45.354K
$409.43M
$961.50K
3557
SIFYSify Technologies Limited
$9.10
-0.40
-4.21%
105.566K
$658.39M
$960.65K
3558
JILLJ.Jill, Inc. Common Stock
$16.74
-0.40
-2.33%
57.288K
$255.84M
$959.00K
3559
WFWoori Financial Group Inc. American Depositary Shares (each representing three (3) shares of Common Stock)
$53.71
-0.23
-0.43%
17.758K
$13.14B
$953.78K
3560
PFISPeoples Financial Services Corp.
$52.41
-0.39
-0.74%
18.15K
$523.82M
$951.24K
3561
SEGSeaport Entertainment Group Inc.
$24.96
-0.10
-0.40%
38.088K
$317.79M
$950.68K
3562
GHRSGH Research PLC Ordinary Shares
$13.50
-0.40
-2.88%
70.126K
$837.40M
$946.70K
3563
EPMEvolution Petroleum Corporation
$5.16
+0.01
+0.19%
183.342K
$177.03M
$946.04K
3564
EMSmart Share Global Limited American Depositary Shares
$1.32
+0.03
+2.33%
714.464K
$334.75M
$943.09K
3565
TRCTejon Ranch Co.
$17.41
-0.06
-0.34%
54.063K
$468.22M
$941.24K
3566
VNDAVanda Pharmaceuticals Inc.
$4.64
-0.10
-2.11%
202.624K
$274.17M
$940.18K
3567
INVInnventure, Inc. Common Stock
$5.52
+0.74
+15.48%
169.759K
$309.26M
$937.07K
3568
AEMDAETHLON MEDICAL INC
$1.85
-0.18
-8.87%
506.403K
$4.81M
$936.79K
3569
QUIKQuickLogic Corp
$5.32
-0.12
-2.21%
175.312K
$87.39M
$932.66K
3570
NPCENeuropace, Inc. Common Stock
$9.16
+0.01
+0.05%
101.828K
$302.86M
$932.24K
3571
NCMINational CineMedia, Inc.
$4.40
+0.15
+3.53%
211.115K
$412.32M
$928.91K
3572
UNTYUnity Bancorp
$52.21
-0.38
-0.72%
17.791K
$523.82M
$928.87K
3573
FOSLFossil Group, Inc.
$3.00
+0.05
+1.69%
309.449K
$161.36M
$928.35K
3574
PSBDPalmer Square Capital BDC Inc.
$14.25
+0.53
+3.86%
64.952K
$457.79M
$925.57K
3575
EFTYEtoiles Capital Group Co., Ltd. Class A Ordinary Shares
$6.80
+0.84
+14.09%
135.929K
$135.32M
$924.32K
3576
RNTXRein Therapeutics, Inc. Common Stock
$1.44
+0.22
+18.03%
641.828K
$33.19M
$924.23K
3577
XPONExpion360 Inc. Common Stock
$1.48
-0.14
-8.61%
623.7K
$5.14M
$923.39K
3578
LIXTLixte Biotechnology Holdings, Inc. Common Stock
$4.26
+0.36
+9.23%
216.091K
$19.43M
$920.55K
3579
CHWCalamos Global Dynamic Income Fund
$7.30
-0.03
-0.41%
126.084K
$466.21M
$920.41K
3580
CYNCyngn Inc. Common Stock
$5.60
-0.33
-5.56%
164.285K
$39.42M
$920.01K
3581
LPSNLivePerson Inc
$0.9200
-0.0103
-1.11%
992.325K
$88.89M
$912.94K
3582
ZNTLZentalis Pharmaceuticals, Inc. Common Stock
$1.68
-0.14
-7.69%
543.38K
$121.19M
$912.88K
3583
GNSGenius Group Limited
$0.8831
-0.0189
-2.10%
1.032M
$76.66M
$911.17K
3584
HCTIHealthcare Triangle, Inc. Common Stock
$2.29
-0.07
-2.97%
397.276K
$13.35M
$909.76K
3585
TZOOTravelzoo Common Stock
$9.83
+0.02
+0.20%
92.536K
$107.94M
$909.63K
3586
CMMBChemomab Therapeutics Ltd. American Depositary Share
$3.15
-0.29
-8.38%
288.118K
$16.36M
$907.86K
3587
GLPGlobal Partners LP
$53.24
+0.25
+0.47%
16.963K
$1.80B
$903.11K
3588
ACTGAcacia Research Corporation
$3.42
+0.14
+4.12%
263.836K
$329.36M
$901.00K
3589
CIOCITY OFFICE REIT, INC.
$6.91
-0.03
-0.43%
130.207K
$278.91M
$899.73K
3590
ASYSAmtech Systems Inc
$6.33
-0.17
-2.62%
141.853K
$90.61M
$897.93K
3591
PZGParamount Gold Nevada Corp.
$0.9800
-0.0190
-1.90%
912.869K
$70.02M
$894.61K
3592
ABPAbpro Holdings, Inc Common Stock
$0.2499
-0.0001
-0.04%
3.578M
$20.03M
$894.16K
3593
VENUVenu Holding Corporation
$12.72
+0.02
+0.16%
70.265K
$517.59M
$893.77K
3594
CDZICADIZ, Inc.
$3.59
-0.04
-0.97%
249.081K
$294.04M
$892.96K
3595
NOTEFiscalNote Holdings, Inc.
$0.4250
-0.0386
-8.33%
2.099M
$73.19M
$892.02K
3596
WKHSWorkhorse Group, Inc
$1.35
-0.06
-4.26%
659.746K
$20.75M
$890.66K
3597
EWCZEuropean Wax Center, Inc. Class A Common Stock
$4.29
-0.09
-1.95%
207.488K
$185.80M
$889.09K
3598
CASSCass Information Systems Inc
$43.12
+0.07
+0.16%
20.552K
$569.87M
$886.20K
3599
OCCOptical Cable Corp.
$6.35
-0.64
-9.16%
139.206K
$52.25M
$883.96K
3600
DERMJourney Medical Corporation Common Stock
$7.21
-0.06
-0.83%
122.542K
$175.77M
$883.53K