Stock Rankings by Volume - Rankings 301 to 400
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 301 to 400.
301
SWTXSpringWorks Therapeutics, Inc. Common Stock $46.13
9.713K
$3.46B
$448.06K
302
$5.41
82.741K
$3.08B
$447.63K
303
$286.59
1.558K
$15.16B
$446.51K
304
ISRGIntuitive Surgical Inc. $515.28
864
$184.69B
$445.20K
305
CEGConstellation Energy Corporation Common Stock $225.00
1.951K
$70.49B
$438.98K
306
$5.65
76.648K
$3.61B
$433.06K
307
ZIMZIM Integrated Shipping Services Ltd. $14.40
29.874K
$1.73B
$430.19K
308
ZSZscaler, Inc. Common Stock $220.73
1.947K
$34.15B
$429.75K
309
$58.69
7.11K
$6.90B
$417.28K
310
$322.00
1.29K
$22.62B
$415.38K
311
MCHPMicrochip Technology Inc $46.30
8.955K
$24.86B
$414.62K
312
$72.40
5.703K
$70.91B
$412.90K
313
$80.20
5.136K
$17.25B
$411.91K
314
AACTAres Acquisition Corporation II $11.27
36.13K
$697.16M
$407.19K
315
GSGoldman Sachs Group Inc. $547.00
744
$170.00B
$406.97K
316
$45.66
8.913K
$19.88B
$406.97K
317
CVCOCavco Industries Inc. $490.19
824
$3.93B
$403.92K
318
NLYAnnaly Capital Management. Inc. $19.52
20.415K
$11.66B
$398.50K
319
$8.19
48.381K
$4.05B
$396.24K
320
MLMMartin Marietta Materials $503.80
784
$30.53B
$394.98K
321
$154.10
2.55K
$8.86B
$392.96K
322
TIGRUP Fintech Holding Ltd American Depositary Share representing fifteen Class A Ordinary Shares $8.25
47.44K
$1.45B
$391.38K
323
TXRHTexas Roadhouse, Inc. $167.16
2.341K
$11.15B
$391.32K
324
$71.11
5.494K
$91.23B
$390.68K
325
$388.00
1.003K
$17.35B
$389.16K
326
ITWIllinois Tool Works Inc. $240.70
1.593K
$70.61B
$383.44K
327
HUTHut 8 Corp. Common Stock $13.11
29.174K
$1.36B
$382.55K
328
$51.00
7.494K
$22.52B
$382.19K
329
HOLOMicroCloud Hologram Inc. Ordinary Shares $11.44
33.343K
$58.66M
$381.44K
330
$613.09
618
$31.97B
$378.89K
331
$11.90
31.688K
$8.02M
$377.09K
332
$368.01
1.021K
$140.47B
$375.74K
333
$9.66
38.646K
$41.24B
$373.32K
334
$62.00
6.006K
$12.00B
$372.37K
335
DXFDunxin Financial Holdings Limited American Depositary Shares, each representing four hundred and eighty (480) Ordinary Shares $6.62
55.498K
$1.55M
$367.40K
336
AREBAmerican Rebel Holdings, Inc. Common Stock $3.22
114.006K
$7.63M
$367.10K
337
DDominion Energy, Inc Common Stock $53.63
6.831K
$45.70B
$366.35K
338
$7.18
50.859K
$1.26B
$365.17K
339
SMMTSummit Therapeutics Inc. Common Stock $24.10
15.097K
$17.78B
$363.84K
340
$93.00
3.887K
$10.75B
$361.49K
341
SFMSprouts Farmers Market, Inc. $170.00
2.113K
$16.69B
$359.21K
342
EJHE-Home Household Service Holdings Limited Ordinary Shares $0.9074
395.662K
$7.89M
$359.02K
343
PRTGPortage Biotech Inc. Common Stock $10.04
35.701K
$16.52M
$358.44K
344
BERYBerry Global Group, Inc. $69.50
5.113K
$8.05B
$355.35K
345
CSCOCisco Systems, Inc. Common Stock (DE) $56.85
6.228K
$226.42B
$354.06K
346
$121.28
2.858K
$42.03B
$346.62K
347
$237.30
1.444K
$52.87B
$342.66K
348
RYAAYRyanair Holdings plc American Depositary Shares $47.80
7.109K
$25.40B
$339.81K
349
$12.40
27.391K
$8.45B
$339.65K
350
BEBloom Energy Corporation $19.35
17.502K
$4.46B
$338.66K
351
KGCKinross Gold Corporation $14.60
23.16K
$17.96B
$338.14K
352
$25.85
13K
$6.69B
$336.05K
353
$83.36
4.013K
$210.57B
$334.52K
354
BTOGBit Origin Limited Ordinary Shares $0.1625
2.052M
$1.39M
$333.46K
355
ROOTRoot, Inc. Class A Common Stock $151.93
2.192K
$2.31B
$333.03K
356
LOGILogitech International SA $77.95
4.272K
$11.63B
$333.00K
357
GRRRGorilla Technology Group Inc. Ordinary shares $19.25
17.103K
$355.44M
$329.23K
358
GLMDGalmed Pharmaceuticals Ltd. $1.56
209.243K
$3.52M
$326.42K
359
$138.03
2.33K
$74.29B
$321.61K
360
ZETAZeta Global Holdings Corp. $13.38
23.813K
$3.18B
$318.62K
361
SEDGSolarEdge Technologies, Inc. $12.68
25.1K
$748.66M
$318.27K
362
HLNHaleon plc American Depositary Shares (Each representing two Ordinary Shares) $10.23
31.1K
$46.14B
$318.15K
363
SLSSELLAS Life Sciences Group, Inc. Common Stock $1.42
223.885K
$134.26M
$317.92K
364
$914.48
346
$141.76B
$316.41K
365
DQDaqo New Energy Corp. American Depositary Shares (each representing 5 Ordinary Shares) $14.08
22.222K
$925.90M
$312.89K
366
AMCAMC ENTERTAINMENT HOLDINGS, INC. $2.73
114.602K
$1.18B
$312.86K
367
PGProcter & Gamble Company $162.16
1.919K
$380.19B
$311.19K
368
CCEPCoca-Cola Europacific Partners plc Ordinary Shares $88.58
3.502K
$40.69B
$310.21K
369
EOSEEos Energy Enterprises, Inc. Class A Common Stock $5.50
56.129K
$1.25B
$308.71K
370
$96.55
3.196K
$43.98B
$308.56K
371
BMYBristol-Myers Squibb Co. $48.49
6.353K
$98.68B
$308.06K
372
TDGTransDigm Group Incorporated $1,399.99
218
$78.52B
$305.20K
373
BCTXBriacell Therapeutics Corp. Common Shares $5.08
60.028K
$18.84M
$304.94K
374
JKSJINKOSOLAR HOLDINGS CO $16.80
18.142K
$3.57B
$304.79K
375
VRTXVertex Pharmaceuticals Inc $496.00
612
$127.51B
$303.55K
376
TECKTeck Resources Limited $35.69
8.453K
$17.77B
$301.69K
377
MAINMain Street Capital Corporation $54.70
5.514K
$4.84B
$301.62K
378
NWGNatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) $13.02
23.11K
$52.52B
$300.89K
379
DKNGDraftKings Inc. Class A Common Stock $33.14
9.051K
$16.57B
$299.95K
380
$458.50
652
$124.44B
$298.94K
381
$10.20
29.263K
$7.26B
$298.48K
382
AAgilent Technologies Inc. $106.50
2.792K
$30.36B
$297.35K
383
$102.20
2.909K
$78.17B
$297.30K
384
MBOTMicrobot Medical, Inc. Common Stock $2.72
109.249K
$94.46M
$297.02K
385
DVNDevon Energy Corporation $31.36
9.445K
$20.17B
$296.20K
386
$24.99
11.627K
$4.08B
$290.50K
387
FSKFS KKR Capital Corp. Common Stock $20.27
14.27K
$5.68B
$289.24K
388
$22.90
12.586K
$3.64B
$288.22K
389
ARRARMOUR Residential REIT, Inc. $16.45
17.502K
$1.32B
$287.91K
390
CNTACentessa Pharmaceuticals plc American Depositary Shares $13.50
21.246K
$1.80B
$286.83K
391
ALABAstera Labs, Inc. Common Stock $66.00
4.338K
$10.70B
$286.31K
392
ONCOOnconetix, Inc. Common Stock $0.0771
3.696M
$1.12M
$284.99K
393
$29.95
9.482K
$21.17B
$283.99K
394
MARMarriot International Class A Common Stock $236.93
1.192K
$65.24B
$282.42K
395
$196.90
1.414K
$27.36B
$278.42K
396
$21.01
13.166K
$13.09B
$276.62K
397
RNRRenaissanceRe Holdings Ltd. $236.80
1.166K
$11.52B
$276.11K
398
JYDJayud Global Logistics Limited Class A Ordinary Shares $0.2606
1.059M
$24.45M
$275.97K
399
LULufax Holding Ltd. American Depositary Shares, each representing two (2) Ordinary Shares $2.89
94.638K
$2.50B
$273.50K
400
CDNSCadence Design Systems $285.00
959
$78.18B
$273.32K