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
OVBCOhio Valley Banc Corp $45.19
61.399K
$212.89M
$2.77M
4302
PMCBPharmaCyte Biotech, Inc. Common Stock $0.5250
61.333K
$5.64M
$32.20K
4303
XTNTXtant Medical Holdings, Inc. $0.3228
61.318K
$45.28M
$19.79K
4304
SGPSpyGlass Pharma, Inc. Common Stock $26.26
61.206K
$878.34M
$1.61M
4305
AIHSSenmiao Technology Limited Common Stock $1.43
61.173K
$20.82M
$87.48K
4306
$38.34
61.163K
$710.20M
$2.34M
4307
BFRGBullfrog AI Holdings, Inc. Common Stock $0.5622
61.078K
$10.42M
$34.34K
4308
$20.58
60.849K
$232.43M
$1.25M
4309
CMDBCostamare Bulkers Holdings Limited $20.22
60.824K
$488.93M
$1.23M
4310
TVRDTvardi Therapeutics, Inc. Common Stock $1.78
60.759K
$16.70M
$108.15K
4311
SNOASonoma Pharmaceuticals, Inc. Common Stock $1.34
60.748K
$6.42M
$81.40K
4312
ITRNIturan Location and Control Ltd. $50.62
60.725K
$1.01B
$3.07M
4313
$0.8100
60.516K
$4.90M
$49.02K
4314
$3.74
60.416K
$86.70M
$225.96K
4315
COCHEnvoy Medical, Inc. Class A Common Stock $0.7462
60.356K
$57.60M
$45.04K
4316
BOTJBank of the James Financial Group, Inc $27.01
60.329K
$122.72M
$1.63M
4317
GLOOGloo Holdings, Inc. Class A Common Stock $3.33
60.307K
$69.24M
$200.82K
4318
$80.60
60.095K
$431.66M
$4.84M
4319
ACETAdicet Bio, Inc. Common Stock $8.90
59.87K
$83.32M
$532.84K
4320
AIFAAll In FutureTech Alliance, Inc. Common Stock $3.14
59.802K
$20.03M
$187.78K
4321
ATERAterian, Inc. Common Stock $0.4432
59.666K
$4.82M
$26.44K
4322
$41.12
59.657K
$291.44M
$2.45M
4323
FBYDFalcon's Beyond Global, Inc. Class A Common Stock $10.81
59.503K
$530.66M
$643.23K
4324
UUUUniversal Security Instruments, Inc. $6.46
59.402K
$19.56M
$383.74K
4325
IBGInnovation Beverage Group Limited Ordinary Shares $0.9499
59.383K
$4.01M
$56.41K
4326
$32.42
59.183K
$1.23B
$1.92M
4327
FBIZFirst Business Financial Services, Inc. $70.00
59.097K
$585.78M
$4.14M
4328
JTAIJet.AI Inc. Common Stock $1.58
58.844K
$2.25M
$92.97K
4329
ALTIAlTi Global, Inc. Class A Common Stock $4.11
58.733K
$472.94M
$241.39K
4330
KZIAKazia Therapeutics Limited American Depositary Shares $13.20
58.685K
$149.64M
$774.64K
4331
GROVGrove Collaborative Holdings, Inc. $0.9538
58.632K
$40.73M
$55.92K
4332
CACCamden National Corporation $56.88
58.263K
$961.10M
$3.31M
4333
CSVCarriage Services, Inc. $34.57
57.827K
$548.71M
$2.00M
4334
$54.60
57.767K
$916.96M
$3.15M
4335
BCCQBleichroeder Acquisition Corp. III Class A Ordinary Shares $9.85
57.731K
$408.78M
$568.65K
4336
EVACEQV Ventures Acquisition Corp. II $10.27
57.664K
$482.15M
$592.21K
4337
CLDICalidi Biotherapeutics, Inc. $1.38
57.653K
$3.57M
$79.56K
4338
UPWheels Up Experience Inc. $5.07
57.497K
$183.92M
$291.51K
4339
NEUPNeuphoria Therapeutics Inc. Common Stock $3.95
57.457K
$21.35M
$226.96K
4340
DXLGDestination XL Group, Inc. Common Stock $0.6490
57.254K
$35.87M
$37.16K
4341
$0.7880
56.981K
$21.75M
$44.90K
4342
EFSIEagle Financial Services Inc Common Stock $41.96
56.88K
$227.07M
$2.39M
4343
ALOTAstroNova, Inc. Common Stock $28.91
56.851K
$226.69M
$1.64M
4344
IXHLIncannex Healthcare Limited American Depositary Shares $3.62
56.836K
$43.31M
$205.75K
4345
CHWCalamos Global Dynamic Income Fund $8.51
56.759K
$543.49M
$483.02K
4346
THCHTH International Limited Ordinary shares $1.15
56.699K
$36.84M
$65.20K
4347
PRKPark National Corporation $203.46
56.473K
$3.68B
$11.49M
4348
NMTCNeuroOne Medical Technologies Corporation Common Stock $2.14
56.437K
$19.49M
$120.78K
4349
IPHAInnate Pharma S.A. ADS $2.21
56.307K
$207.10M
$124.16K
4350
SCLXScilex Holding Company Common Stock $5.66
56.293K
$48.06M
$318.62K
4351
$50.41
56.236K
$1.71B
$2.83M
4352
BBDOBanco Bradesco S.A. American Depositary Shares (Each representing one Common Share, no par value) $3.20
55.995K
$16.97B
$179.18K
4353
FBGLFBS Global Limited Ordinary Shares $0.4394
55.956K
$5.93M
$24.59K
4354
LUCKLucky Strike Entertainment Corporation $6.71
55.924K
$524.07M
$375.25K
4355
BNAIBrand Engagement Network Inc. Common Stock $13.50
55.862K
$87.85M
$754.14K
4356
SELFGlobal Self Storage, Inc. Common Stock $5.67
55.808K
$64.76M
$316.43K
4357
ORRFOrrstown Financial Services Inc $42.07
55.806K
$827.50M
$2.35M
4358
TBLDThornburg Income Builder Opportunities Trust Common Stock $22.24
55.707K
$691.26M
$1.24M
4359
$15.28
55.638K
$378.11M
$850.15K
4360
ENVBEnveric Biosciences, Inc. Common Stock $1.41
55.56K
$5.19M
$78.34K
4361
$1,817.30
55.507K
$22.52B
$100.87M
4362
TURBTurbo Energy, S.A. American Depositary Shares $1.17
55.457K
$15.46M
$64.88K
4363
NRPNatural Resource Partners L.P. $107.23
55.369K
$1.42B
$5.94M
4364
ABTSAbits Group Inc Ordinary Shares $1.29
55.287K
$3.06M
$71.32K
4365
$215.89
55.201K
$2.90B
$11.92M
4366
SPFISouth Plains Financial, Inc. Common Stock $44.00
55.173K
$828.92M
$2.43M
4367
IZEAIZEA Worldwide, Inc. Common Stock $2.94
54.989K
$51.20M
$161.67K
4368
APXTApex Treasury Corporation Class A Ordinary Share $10.10
54.692K
$348.15M
$552.39K
4369
AIRGAirgain, Inc. Common Stock $5.22
54.499K
$68.38M
$284.48K
4370
ICUSeaStar Medical Holding Corporation Common Stock $3.19
54.482K
$14.06M
$173.80K
4371
SCWO374Water Inc. Common Stock $2.35
54.435K
$41.64M
$127.92K
4372
$3.17
54.358K
$90.15M
$172.31K
4373
WYHGWing Yip Food Holdings Group Limited American Depositary Shares $5.15
54.325K
$64.79M
$279.77K
4374
STGSunlands Technology Group, American Depositary Shares, American Depositary Shares, every two (2) ADSs representing one (1) Class A Ordinary Share $2.98
54.29K
$15.13M
$161.78K
4375
ATOSAtossa Therapeutics, Inc. Common Stock $2.64
54.157K
$26.35M
$142.97K
4376
TELOTelomir Pharmaceuticals, Inc. Common Stock $1.17
54.133K
$80.47M
$63.34K
4377
RYOJrYojbaba Co., Ltd. Common Shares $5.60
54.078K
$64.68M
$302.84K
4378
ADVAdvantage Solutions Inc. Class A Common Stock $33.68
54.075K
$431.85M
$1.82M
4379
CRAICRA International, Inc. $175.58
53.973K
$1.10B
$9.48M
4380
PNRGPrimeEnergy Resources Corporation Common Stock $206.97
53.885K
$334.88M
$11.15M
4381
CAPLCrossAmerica Partners LP Common units representing limited partner interests $23.48
53.879K
$896.31M
$1.27M
4382
WATRAir Water Ventures Limited Ordinary Shares $2.54
53.837K
$79.38M
$136.75K
4383
$33.66
53.738K
$316.34M
$1.81M
4384
SMBCSouthern Missouri Bancorp $74.36
53.714K
$819.12M
$3.99M
4385
$9.84
53.597K
$89.02M
$527.39K
4386
MCBSMETROCITY BANKSHARES INC $35.51
53.555K
$1.02B
$1.90M
4387
CNLCollective Mining Ltd. $16.13
53.441K
$1.50B
$862.00K
4388
GITSGlobal Interactive Technologies, Inc. Common Stock $1.47
53.417K
$5.40M
$78.52K
4389
CRGOFreightos Limited Ordinary shares $1.33
53.349K
$68.33M
$70.95K
4390
SOHUSohu.com Limited American Depositary Shares $14.53
53.224K
$378.78M
$773.34K
4391
FRBTForbright, Inc. Class A Common Stock $18.65
53.127K
$946.76M
$990.82K
4392
PSBDPalmer Square Capital BDC Inc. $10.38
52.975K
$318.16M
$549.88K
4393
OMABGrupo Aeroportuario del Centro Norte S.A.B. de C.V $102.91
52.898K
$4.38B
$5.44M
4394
$32.33
52.86K
$87.02M
$1.71M
4395
$8.52
52.777K
$176.01M
$449.66K
4396
VLGEAVillage Super Market $44.24
52.736K
$472.68M
$2.33M
4397
ATIIArchimedes Tech SPAC Partners II Co. Ordinary Shares $10.65
52.675K
$315.13M
$560.99K
4398
THFFFirst Financial Corp/Indiana $79.61
52.386K
$946.71M
$4.17M
4399
$69.89
52.348K
$548.12M
$3.66M
4400
HKDAMTD Digital Inc. American Depositary Shares (every five of which represent two Class A Ordinary Shares) $1.67
52.177K
$329.03M
$87.14K