Stock Rankings by Volume - Rankings 4301 to 4400
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 4301 to 4400.
4301
POM POMDOCTOR LIMITED American Depositary Shares $0.3247
48.344K
$32.86M
$15.70K
4302
GLOO Gloo Holdings, Inc. Class A Common Stock $5.09
48.263K
$51.57M
$245.66K
4303
WSBF Waterstone Financial, Inc. $18.55
48.138K
$340.58M
$892.96K
4304
INFU InfuSystem Holdings, Inc. $9.38
48.082K
$189.62M
$451.01K
4305
$43.10
48.041K
$324.82M
$2.07M
4306
OPXS Optex Systems Holdings, INC $11.70
47.97K
$81.19M
$561.39K
4307
ELOG Eastern International Ltd. Ordinary Shares $0.9051
47.906K
$10.88M
$43.36K
4308
RFAI RF Acquisition Corp II Ordinary Shares $10.95
47.775K
$91.36M
$523.14K
4309
$596.87
47.608K
$6.94B
$28.42M
4310
SFST Southern First Bancshares, Inc. $58.57
47.485K
$482.10M
$2.78M
4311
LEGH Legacy Housing Corporation Common Stock $21.14
47.208K
$503.39M
$997.98K
4312
OESX Orion Energy Systems, Inc. $9.23
47.163K
$37.41M
$435.31K
4313
KFS Kingsway Financial Services, Inc. $11.36
47.124K
$328.83M
$535.33K
4314
SCWO 374Water Inc. Common Stock $3.14
47.071K
$54.77M
$147.80K
4315
AGM Federal Agricultural Mortgage Corporation $158.04
47.012K
$1.47B
$7.43M
4316
WLFC Willis Lease Finance Corp $203.27
46.944K
$1.38B
$9.54M
4317
CTW CTW Cayman Class A Ordinary Shares $2.47
46.942K
$124.49M
$115.95K
4318
PAPL Pineapple Financial Inc. $0.6094
46.86K
$15.90M
$28.56K
4319
ATXG Addentax Group Corp. Common Stock $6.81
46.832K
$5.32M
$318.93K
4320
IMOS ChipMOS TECHNOLOGIES INC $40.87
46.814K
$1.44B
$1.91M
4321
PSHG Performance Shipping Inc. Common Shares $1.86
46.782K
$23.15M
$87.12K
4322
KXIN Kaixin Holdings Ordinary Shares $6.20
46.706K
$10.25M
$289.58K
4323
VLGEA Village Super Market $43.91
46.693K
$466.63M
$2.05M
4324
PFIS Peoples Financial Services Corp. $57.93
46.68K
$579.24M
$2.70M
4325
HBANL Huntington Bancshares Incorporated Depositary Shares, Each Representing a 1/40th Interest in a Share of 6.875% Series J Non-Cumulative Perpetual Preferred Stock $25.30
46.423K
$328.90M
$1.17M
4326
$14.07
46.241K
$267.09M
$650.61K
4327
KOP Koppers Holdings, Inc. $37.43
46.164K
$723.79M
$1.73M
4328
NMTC NeuroOne Medical Technologies Corporation Common Stock $0.7384
46.142K
$37.31M
$34.07K
4329
$10.23
46.095K
$21.00M
$471.56K
4330
VTIX Virtuix Holdings Inc. Class A Common Stock $6.01
46.063K
$164.26M
$276.66K
4331
ADGM Adagio Medical Holdings, Inc Common Stock $1.30
46.061K
$28.87M
$59.88K
4332
NGVC NATURAL GROCERS BY VITAMIN COTTAGE, INC $26.46
46.049K
$609.46M
$1.22M
4333
MSGM Motorsport Games Inc. Class A Common Stock $3.69
45.907K
$18.75M
$169.45K
4334
TR Tootsie Roll Industries, Inc. $44.23
45.905K
$1.85B
$2.03M
4335
CRGO Freightos Limited Ordinary shares $1.62
45.808K
$83.23M
$74.21K
4336
SAFT Safety Insurance Group Inc $74.72
45.768K
$1.10B
$3.42M
4337
JILL J.Jill, Inc. Common Stock $11.82
45.768K
$175.88M
$540.98K
4338
PGC Peapack-Gladstone Financial Corp $38.38
45.464K
$674.36M
$1.74M
4339
$2.53
45.456K
$33.75M
$115.00K
4340
BKYI BIO-key International, Inc. Common Stock $0.5560
45.339K
$6.03M
$25.21K
4341
$2.27
45.237K
$24.80M
$102.69K
4342
$12.92
45.233K
$233.94M
$584.41K
4343
$1.49
45.222K
$73.34M
$67.38K
4344
$2.38
45.214K
$22.31M
$107.38K
4345
USEA United Maritime Corporation Common Stock $2.04
45.185K
$18.51M
$92.18K
4346
MCRB Seres Therapeutics, Inc. $8.31
45.152K
$79.66M
$375.21K
4347
WLDS Wearable Devices Ltd. Ordinary Share $1.42
45.076K
$5.01M
$64.01K
4348
ORIS Oriental Rise Holdings Limited Ordinary Shares $0.5944
45.068K
$3.01M
$26.79K
4349
ADIL Adial Pharmaceuticals, Inc $1.55
44.588K
$2.21M
$69.11K
4350
CLPS CLPS Incorporation Common Stock $0.9900
44.538K
$29.45M
$44.09K
4351
WNEB Western New England Bancorp, Inc. $13.96
44.501K
$282.71M
$621.01K
4352
BWMX Betterware de Mexico, S.A.P.I. de C.V. Ordinary Shares $18.28
44.428K
$682.15M
$812.14K
4353
GENK GEN Restaurant Group, Inc. Class A Common Stock $1.49
44.381K
$7.99M
$66.13K
4354
MCRP Micropolis Holding Company $2.42
44.237K
$84.43M
$107.05K
4355
LND BrasilAgro - Companhia Brasileira de Propriedades Agracolas $4.12
44.042K
$423.06M
$181.45K
4356
CTOR Citius Oncology, Inc. Common Stock $0.6443
43.717K
$56.88M
$28.17K
4357
UFG Uni-Fuels Holdings Limited Class A Ordinary Shares $0.8400
43.677K
$8.24M
$36.69K
4358
IPHA Innate Pharma S.A. ADS $1.43
43.592K
$133.62M
$62.12K
4359
$14.48
43.571K
$301.24M
$630.91K
4360
AIXC AIxCrypto Holdings, Inc. Common Stock $1.36
43.535K
$27.52M
$59.21K
4361
$0.8166
43.454K
$3.76M
$35.48K
4362
$30.69
43.394K
$3.01B
$1.33M
4363
ACTU Actuate Therapeutics, Inc. Common stock $1.73
43.051K
$41.02M
$74.48K
4364
SMP Standard Motor Products $37.47
43.032K
$829.81M
$1.61M
4365
FCNCN First Citizens BancShares, Inc. Depositary Shares, each representing a 1/40th interest in a share of 6.625% Non-Cumulative Perpetual Preferred Stock, Series E $25.06
42.833K
$400.96M
$1.07M
4366
KZR Kezar Life Sciences, Inc. Common Stock $7.40
42.817K
$54.55M
$316.85K
4367
SERA Sera Prognostics, Inc. Class A Common Stock $1.99
42.76K
$75.97M
$85.09K
4368
GLBS Globus Maritime Limited $1.99
42.54K
$42.95M
$84.65K
4369
LGCY Legacy Education Inc. $13.60
42.358K
$171.54M
$576.07K
4370
LXFR Luxfer Holdings PLC Ordinary Shares $13.06
42.351K
$347.92M
$553.10K
4371
HERE Here Group Limited American Depositary Shares $3.12
42.273K
$117.83M
$131.89K
4372
AZI Autozi Internet Technology (Global) Ltd. Class A Ordinary Shares $1.62
42.25K
$7.27M
$68.45K
4373
KRT Karat Packaging Inc. Common Stock $29.78
42.23K
$594.52M
$1.26M
4374
NCNA NuCana plc American Depositary Share $1.97
42.183K
$8.20M
$83.10K
4375
$23.85
42.148K
$361.32M
$1.01M
4376
BH Biglari Holdings Inc. Class B Common Stock $324.96
41.892K
$676.94M
$13.61M
4377
AD Array Digital Infrastructure, Inc. $49.44
41.874K
$2.64B
$2.07M
4378
SPH Suburban Propane Partners L P $19.73
41.794K
$1.31B
$824.60K
4379
HVT Haverty Furniture Companies, Inc. $22.47
41.571K
$336.51M
$934.10K
4380
NCEL NewcelX Ltd. Ordinary Shares $2.36
41.549K
$10.76M
$98.06K
4381
PDS Precision Drilling Corporation $92.26
41.394K
$1.19B
$3.82M
4382
ORGN Origin Materials, Inc. Common Stock $1.92
41.377K
$10.42M
$79.44K
4383
GBR New Concept Energy Inc $0.8000
41.354K
$4.11M
$33.08K
4384
PYPD PolyPid Ltd. Ordinary Shares $4.27
41.266K
$81.49M
$176.21K
4385
WSHP WeShop Holdings Limited Class A Ordinary Shares $5.21
41.26K
$56.19M
$214.96K
4386
$19.00
40.959K
$46.52M
$778.22K
4387
MCRI Monarch Casino & Resort Inc $98.33
40.925K
$1.76B
$4.02M
4388
CVLG Covenant Logistics Group, Inc. Class A Common Stock $28.44
40.858K
$579.69M
$1.16M
4389
LICN Lichen China Limited Class A Ordinary Shares $3.13
40.841K
$50.76M
$127.83K
4390
NBTX Nanobiotix S.A. American Depositary Shares $30.34
40.826K
$1.47B
$1.24M
4391
GCDT Green Circle Decarbonize Technology Limited $1.16
40.81K
$14.50M
$47.34K
4392
SWAG Stran & Company, Inc. Common Stock $1.70
40.725K
$31.76M
$69.20K
4393
DTSS Datasea Inc. Common Stock $0.8564
40.64K
$8.95M
$34.80K
4394
IDT IDT Corporation Class B $49.67
40.625K
$1.17B
$2.02M
4395
MGRT Mega Fortune Company Limited Ordinary Shares $48.94
40.567K
$672.93M
$1.99M
4396
MTX Minerals Technologies Inc $73.02
40.536K
$2.27B
$2.96M
4397
NATR Nature's Sunshine Products Inc. $26.94
40.472K
$471.69M
$1.09M
4398
LIEN Chicago Atlantic BDC, Inc. Common Stock $9.23
40.459K
$210.63M
$373.44K
4399
LLYVA Liberty Media Corporation Series A Liberty Live Common Stock $95.24
40.421K
$2.44B
$3.85M
4400
CBAT CBAK Energy Technology, Inc. Common Stock $0.8150
40.336K
$72.25M
$32.87K