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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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
4301
YCBDcbdMD, Inc. Common Stock
$0.5017
-0.0178
-3.43%
42.625K
$5.27M
$21.38K
4302
ACETAdicet Bio, Inc. Common Stock
$9.05
-0.17
-1.79%
42.621K
$84.67M
$385.51K
4303
CCBCoastal Financial Corporation
$46.55
+0.34
+0.73%
42.573K
$711.53M
$1.98M
4304
PKOHPark-Ohio Holdings Corp
$44.91
-1.02
-2.22%
42.483K
$650.75M
$1.91M
4305
FBGLFBS Global Limited Ordinary Shares
$0.4263
+0.0163
+3.98%
42.461K
$5.76M
$18.10K
4306
ATIIArchimedes Tech SPAC Partners II Co. Ordinary Shares
$10.66
-0.05
-0.42%
42.436K
$315.28M
$452.16K
4307
ABVCABVC BioPharma, Inc. Common Stock
$0.8676
+0.0281
+3.35%
42.409K
$23.04M
$36.79K
4308
UFCSUnited Fire Group Inc.
$54.11
+0.58
+1.08%
42.39K
$1.39B
$2.29M
4309
FVCBFVCBankcorp, Inc. Common Stock
$18.60
+0.02
+0.11%
42.321K
$335.44M
$787.17K
4310
DSCDSC Holdings Ltd. American Depositary Shares
$8.58
+0.09
+1.00%
42.28K
$429.62M
$362.76K
4311
LEDSSemiLEDS Corporation
$1.88
+0.01
+0.53%
41.985K
$15.55M
$78.93K
4312
TGHLThe GrowHub Limited Class A Ordinary Shares
$0.7942
-0.0384
-4.61%
41.93K
$11.81M
$33.30K
4313
AMBRAmber International Holding Limited American Depositary Shares
$1.05
+0.08
+8.23%
41.895K
$90.92M
$43.99K
4314
NOAHNoah Holdings Limited American Depositary Shares (each representing five (5) Ordinary shares)
$8.71
-0.08
-0.91%
41.885K
$614.24M
$364.82K
4315
FEBOFenbo Holdings Limited Ordinary Shares
$0.6995
-0.0992
-12.42%
41.856K
$2.14M
$29.28K
4316
DMRCDigimarc Corporation
$6.10
-0.02
-0.33%
41.76K
$137.10M
$254.74K
4317
AVIRAtea Pharmaceuticals, Inc. Common Stock
$5.48
+0.11
+1.96%
41.748K
$439.12M
$228.57K
4318
FVRFrontView REIT, Inc.
$20.00
+0.10
+0.50%
41.693K
$489.12M
$833.86K
4319
POASPhaos Technology Holdings (Cayman) Limited
$0.1650
+0.0050
+3.13%
41.692K
$2.71M
$6.88K
4320
RUSHBRush Enterprises Inc
$79.60
+0.44
+0.56%
41.638K
$1.33B
$3.31M
4321
ZEPPZepp Health Corporation
$5.00
-0.30
-5.66%
41.537K
$42.30M
$207.69K
4322
AMALAmalgamated Financial Corp. Common Stock (DE)
$48.83
+0.08
+0.16%
41.503K
$1.46B
$2.03M
4323
OESXOrion Energy Systems, Inc.
$20.98
+0.68
+3.35%
41.356K
$85.79M
$867.65K
4324
SBSISouthside Bancshares Inc
$32.09
-0.14
-0.42%
41.307K
$956.39M
$1.33M
4325
SCORcomScore, Inc. Common Stock
$5.02
-0.15
-2.90%
41.288K
$75.77M
$207.27K
4326
JVACoffee Holding Co., Inc.
$3.49
-0.00
-0.13%
41.236K
$19.90M
$143.72K
4327
IDAIT Stamp Inc. Class A Common Stock
$3.20
+0.05
+1.59%
41.048K
$17.92M
$131.35K
4328
SEGSeaport Entertainment Group Inc.
$27.10
-0.15
-0.55%
41.017K
$347.14M
$1.11M
4329
ELPWElong Power Holding Limited Class A Ordinary Shares
$3.85
-0.24
-5.87%
41.015K
$1.98M
$157.91K
4330
GNPXGenprex, Inc. Common Stock
$4.00
+0.01
+0.37%
40.903K
$2.02M
$163.81K
4331
GROVGrove Collaborative Holdings, Inc.
$0.9573
+0.0123
+1.30%
40.829K
$40.88M
$39.09K
4332
GNSSGenasys Inc. Common Stock
$1.70
+0.03
+1.50%
40.782K
$77.19M
$69.13K
4333
KZIAKazia Therapeutics Limited American Depositary Shares
$13.10
-0.26
-1.95%
40.536K
$148.50M
$531.02K
4334
CTSCTS Corporation
$56.03
-1.38
-2.40%
40.388K
$1.60B
$2.26M
4335
COOKTraeger, Inc.
$56.19
+0.69
+1.23%
40.38K
$157.22M
$2.27M
4336
ALOTAstroNova, Inc. Common Stock
$28.91
-0.02
-0.06%
40.359K
$226.69M
$1.17M
4337
VRAVera Bradley, Inc.
$3.16
-0.04
-1.25%
40.335K
$89.86M
$127.46K
4338
GLPGlobal Partners LP
$50.39
+0.37
+0.74%
40.233K
$1.71B
$2.03M
4339
PROFProfound Medical Corp. Common Stock
$6.86
-0.16
-2.28%
40.187K
$249.30M
$275.68K
4340
FISIFinancial Institutions Inc
$40.96
-0.34
-0.82%
40.173K
$807.17M
$1.65M
4341
SPTXSeaport Therapeutics, Inc. Common Stock
$24.25
-0.16
-0.64%
39.942K
$1.30B
$968.39K
4342
IHTInnSuites Hospitality Trust
$1.46
-0.05
-3.31%
39.933K
$13.73M
$58.30K
4343
CRD.BCrawford & Company Class B
$12.41
+0.44
+3.68%
39.923K
$368.54M
$495.44K
4344
LUXELuxExperience B.V. American Depositary Shares, each representing one Ordinary Share
$7.76
-0.20
-2.45%
39.79K
$1.06B
$308.57K
4345
NCRANocera, Inc. Common Stock
$1.90
+0.02
+0.98%
39.745K
$4.06M
$75.46K
4346
KLRSKalaris Therapeutics, Inc. Common Stock
$4.18
+0.23
+5.82%
39.624K
$99.50M
$165.63K
4347
PSBDPalmer Square Capital BDC Inc.
$10.38
+0.16
+1.57%
39.588K
$318.16M
$410.92K
4348
NICNicolet Bankshares,Inc.
$173.70
+0.50
+0.29%
39.536K
$3.64B
$6.87M
4349
PRKPark National Corporation
$203.58
+1.45
+0.72%
39.523K
$3.68B
$8.05M
4350
FATNFatPipe, Inc. Common Stock
$5.95
-0.40
-6.30%
39.443K
$84.06M
$234.69K
4351
TMDETMD Energy Limited
$0.7278
-0.0139
-1.87%
39.405K
$17.15M
$28.68K
4352
KAZRSkyline Builders Group Holding Limited Class A Ordinary Shares
$2.02
+0.05
+2.54%
39.342K
$22.40M
$79.47K
4353
GENCGencor Industries, Inc.
$19.37
+0.16
+0.83%
39.337K
$239.00M
$761.96K
4354
FORRForrester Research Inc
$11.93
+0.21
+1.79%
39.331K
$227.14M
$469.22K
4355
KRROKorro Bio, Inc. Common Stock
$13.27
+0.09
+0.68%
39.304K
$195.41M
$521.56K
4356
ITRNIturan Location and Control Ltd.
$50.59
+0.19
+0.38%
39.233K
$1.01B
$1.98M
4357
TBLDThornburg Income Builder Opportunities Trust Common Stock
$22.24
+0.16
+0.72%
39.172K
$691.26M
$871.19K
4358
ASBPAspire Biopharma Holdings, Inc. Common Stock
$7.89
+0.14
+1.81%
39.156K
$10.22M
$308.94K
4359
MNDRMobile-health Network Solutions Class A Ordinary Shares
$1.64
-0.02
-1.20%
39.061K
$1.46M
$64.06K
4360
RCKYRocky Brands, Inc.
$46.11
-0.91
-1.94%
39.055K
$345.45M
$1.80M
4361
FSBCFive Star Bancorp Common Stock
$45.29
+0.18
+0.39%
39.009K
$1.11B
$1.77M
4362
NGSNatural Gas Services Group, Inc.
$34.90
-1.30
-3.59%
38.924K
$450.15M
$1.36M
4363
UHTUniversal Health Realty Income Trust
$41.61
+0.36
+0.87%
38.908K
$578.32M
$1.62M
4364
EVCMEverCommerce Inc. Common Stock
$9.55
-0.06
-0.57%
38.857K
$1.69B
$370.89K
4365
BMRBeamr Imaging Ltd. Ordinary Share
$1.27
-0.02
-1.55%
38.723K
$19.72M
$49.18K
4366
BANFBancfirst Corp
$113.16
+0.09
+0.08%
38.719K
$3.80B
$4.38M
4367
NBNNortheast Bank Common Stock
$130.46
-0.24
-0.18%
38.581K
$1.17B
$5.03M
4368
CHCOCity Holding Co
$145.12
+0.64
+0.44%
38.484K
$2.04B
$5.58M
4369
PACGrupo Aeroportuario del Pacifico, S.A.B. de C.V. Amer. Dep. Shares (each rep. 10 Ser. B shares)
$204.28
-7.48
-3.53%
38.347K
$8.77B
$7.83M
4370
BANXArrowMark Financial Corp. Common Stock
$20.65
-0.11
-0.51%
38.343K
$199.96M
$791.59K
4371
ZDGEZedge, Inc.
$2.86
-0.06
-2.05%
38.254K
$35.88M
$109.41K
4372
ALTIAlTi Global, Inc. Class A Common Stock
$4.10
+0.08
+1.99%
38.23K
$471.79M
$156.74K
4373
MSGMMotorsport Games Inc. Class A Common Stock
$4.00
-0.18
-4.30%
38.084K
$16.70M
$152.34K
4374
TCBXThird Coast Bancshares, Inc. Common Stock
$45.54
+0.04
+0.08%
37.716K
$755.52M
$1.72M
4375
REXREX American Resources Corp.
$42.51
-2.17
-4.85%
37.705K
$1.40B
$1.60M
4376
SRIStoneridge, Inc
$7.14
-0.05
-0.63%
37.637K
$203.51M
$268.54K
4377
JZXNJiuzi Holdings, Inc. Ordinary Shares
$1.29
-0.01
-0.77%
37.55K
$1.71M
$48.44K
4378
PRSUPursuit Attractions and Hospitality, Inc.
$48.82
-0.31
-0.63%
37.411K
$1.33B
$1.83M
4379
BESSBimergen Energy Corporation
$3.11
-0.21
-6.19%
37.392K
$22.04M
$116.10K
4380
ACCSACCESS Newswire Inc.
$5.19
+0.20
+4.01%
37.299K
$19.86M
$193.58K
4381
PASGPassage Bio, Inc. Common Stock
$4.40
+0.03
+0.69%
37.238K
$14.16M
$163.85K
4382
INLFINLIF LIMITED Ordinary Shares
$4.42
-0.34
-7.14%
37.198K
$4.63M
$164.42K
4383
SPRUSpruce Power Holding Corporation
$1.93
-0.07
-3.27%
37.167K
$35.36M
$71.55K
4384
NTBThe Bank of N.T. Butterfield & Son Limited
$58.65
-0.25
-0.42%
37.154K
$2.31B
$2.18M
4385
SCLStepan Co.
$62.23
-1.63
-2.55%
37.139K
$1.41B
$2.31M
4386
LUCKLucky Strike Entertainment Corporation
$6.70
-0.16
-2.33%
37.093K
$523.29M
$248.52K
4387
KWRQuaker Houghton
$162.70
-0.32
-0.20%
37.083K
$2.80B
$6.03M
4388
CDTConduit Pharmaceuticals Inc. Common Stock
$2.60
-0.25
-8.62%
37.055K
$2.05M
$96.34K
4389
SILOSilo Pharma, Inc. Common Stock
$2.58
-0.07
-2.64%
37.032K
$3.23M
$95.54K
4390
HKDAMTD Digital Inc. American Depositary Shares (every five of which represent two Class A Ordinary Shares)
$1.70
-0.01
-0.29%
37.011K
$333.95M
$62.73K
4391
LYELLyell Immunopharma, Inc. Common Stock
$14.89
-0.41
-2.70%
36.934K
$364.79M
$549.83K
4392
CRGOFreightos Limited Ordinary shares
$1.33
+0.00
+0.00%
36.917K
$68.33M
$49.10K
4393
UXINUxin Limited ADS
$1.15
-0.09
-7.41%
36.853K
$252.40M
$42.31K
4394
PETSPetMed Express, Inc.
$1.74
-0.04
-1.98%
36.725K
$37.08M
$63.72K
4395
BFRGBullfrog AI Holdings, Inc. Common Stock
$0.5701
+0.0001
+0.02%
36.714K
$10.57M
$20.93K
4396
GNTAGenenta Science S.p.A. American Depositary Shares
$1.17
-0.08
-6.40%
36.68K
$27.60M
$42.92K
4397
IONRioneer Ltd American Depositary Shares
$3.21
-0.13
-3.89%
36.393K
$247.78M
$116.82K
4398
SPMCSound Point Meridian Capital, Inc.
$9.25
+0.37
+4.17%
36.36K
$189.60M
$336.33K
4399
AIRGAirgain, Inc. Common Stock
$5.31
-0.11
-2.03%
36.348K
$69.56M
$193.01K
4400
SELFGlobal Self Storage, Inc. Common Stock
$5.66
+0.21
+3.85%
36.32K
$64.65M
$205.57K