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
MOVEMovano Inc. Common Stock $9.81
62.158K
$309.53M
$609.77K
4302
KMRKK-Tech Solutions Company Limited Class A Ordinary Shares $1.14
62.093K
$24.05M
$70.79K
4303
NTWKNetSol Technologies, Inc. $6.04
62.056K
$72.19M
$374.82K
4304
METCBRamaco Resources, Inc. Class B Common Stock $4.60
61.897K
$52.96M
$284.73K
4305
ARTWArts-Way Manufacturing Co Inc $3.67
61.806K
$19.09M
$226.83K
4306
WETHWetouch Technology Inc. Common Stock $0.9500
61.766K
$12.71M
$58.68K
4307
$4.19
61.511K
$29.13M
$257.73K
4308
SNWVSANUWAVE Health, Inc. Common Stock $5.81
61.314K
$49.98M
$356.23K
4309
ACGCACP Holdings Acquisition Corp. Class A Ordinary Shares $10.07
61.206K
$293.04M
$616.34K
4310
CRD.ACrawford & Company Class A $12.80
61.097K
$380.12M
$782.04K
4311
$7.81
60.969K
$142.15M
$476.17K
4312
DMLPDorchester Minerals LP $29.25
60.833K
$1.44B
$1.78M
4313
CEPFCantor Equity Partners IV, Inc. Class A Ordinary Shares $10.27
60.709K
$586.93M
$623.48K
4314
ARMPArmata Pharmaceuticals, Inc. Common Stock $3.86
60.627K
$143.52M
$234.02K
4315
CQPCheniere Energy Partners, LP $63.81
60.534K
$30.89B
$3.86M
4316
NCTYThe9 Limited American Depository Shares representing three class A ordinary shares $3.47
60.534K
$52.26M
$210.05K
4317
$108.00
60.488K
$2.31B
$6.53M
4318
PDSPrecision Drilling Corporation $84.29
60.212K
$1.06B
$5.08M
4319
TGLTreasure Global Inc. Common Stock $1.29
60.11K
$2.52M
$77.54K
4320
IBEXIBEX Limited Common Shares $44.40
60.101K
$589.57M
$2.67M
4321
DWTXDogwood Therapeutics, Inc. Common Stock $1.44
59.945K
$48.95M
$86.32K
4322
LXEHLixiang Education Holding Co., Ltd. American Depositary Shares $1.79
59.69K
$3.35M
$106.85K
4323
RBBRBB Bancorp Common Stock $25.88
59.632K
$437.79M
$1.54M
4324
PHOSFirst Phosphate Corp. American Depositary Shares $13.27
59.422K
$250.99M
$788.53K
4325
NHCNational Healthcare Corp. $225.17
59.42K
$3.53B
$13.38M
4326
FLNTFluent, Inc. Common Stock $2.82
59.377K
$89.13M
$167.44K
4327
VTMXCorporacion Inmobiliaria Vesta, S.A.B de C.V., American Depositary Shares, each representing ten (10) Common Shares $33.94
59.233K
$3.00B
$2.01M
4328
STISolidion Technology, Inc. Common Stock $5.78
59.193K
$49.20M
$342.14K
4329
ALPAlpha Compute Corp Common Stock $3.87
58.941K
$6.00M
$228.10K
4330
NWGLNature Wood Group Limited American Depositary Shares $1.16
58.684K
$5.73M
$68.07K
4331
DXSTDecent Holding Inc Ordinary Shares $1.85
58.672K
$4.10M
$108.54K
4332
USLMUnited States Lime & Minerals $109.05
58.585K
$3.13B
$6.39M
4333
VINPVinci Partners Investments Ltd. Class A Common Shares $11.00
58.276K
$560.51M
$641.04K
4334
AIMDAinos, Inc. Common Stock $1.21
58.227K
$8.93M
$70.39K
4335
AKTXAkari Therapeutics plc ADR (0.01 USD) $8.13
58.136K
$15.83M
$472.65K
4336
CHOWChowChow Cloud International Holdings Limited $0.5529
58.104K
$19.62M
$32.13K
4337
MDXHMDxHealth SA Ordinary Shares $0.5805
58.056K
$55.39M
$33.70K
4338
PPSIPioneer Power Solutions, Inc. $3.08
57.96K
$34.19M
$178.52K
4339
PBAMPrivate Bancorp of America, Inc. Common Stock $85.43
57.916K
$489.50M
$4.95M
4340
SERSerina Therapeutics, Inc. $2.01
57.858K
$51.05M
$116.29K
4341
$11.99
57.832K
$253.26M
$693.41K
4342
RRBIRed River Bancshares, Inc. Common Stock $101.49
57.814K
$668.22M
$5.87M
4343
ASICAtegrity Specialty Insurance Company Holdings $26.93
57.488K
$1.29B
$1.55M
4344
KXINKaixin Holdings Ordinary Shares $1.45
57.303K
$29.05M
$83.09K
4345
MPAAMotorcar Parts of America, Inc. $10.55
57.203K
$199.75M
$603.49K
4346
SMHISEACOR Marine Holdings Inc. Common Stock $8.65
57.129K
$234.70M
$494.17K
4347
MGNMegan Holdings Limited Ordinary Shares $3.50
56.915K
$4.32M
$199.20K
4348
$0.6458
56.826K
$15.22M
$36.70K
4349
FCBCFirst Community Bankshares, Inc. (VA) $47.61
56.617K
$900.32M
$2.70M
4350
NHTCNatural Health Trends Corp. $0.9330
56.547K
$8.00M
$52.76K
4351
MLPMaui Land & Pineapple Co. $15.17
56.402K
$301.26M
$855.62K
4352
UEICUniversal Electronics Inc $5.49
56.349K
$70.74M
$309.36K
4353
DBGIDigital Brands Group, Inc. Common Stock $4.57
56.264K
$4.27M
$257.13K
4354
PLPCPreformed Line Products Co $397.27
56.068K
$1.94B
$22.27M
4355
DRUGBright Minds Biosciences Inc. Common Stock $52.00
55.958K
$506.07M
$2.91M
4356
RDGTRidgetech, Inc. Ordinary Shares $0.8748
55.947K
$3.18M
$48.94K
4357
ATERAterian, Inc. Common Stock $0.5914
55.932K
$10.63M
$33.08K
4358
$294.29
55.701K
$1.06B
$16.39M
4359
BH.ABiglari Holdings Inc. Class A Common Stock $1,807.57
55.33K
$387.69M
$100.01M
4360
RBKBRhinebeck Bancorp, Inc. Common Stock $12.85
55.243K
$200.92M
$709.87K
4361
BGDEBig Digital Energy, Inc. Common Stock $5.09
55.142K
$29.10M
$280.67K
4362
SUNESUNation Energy, Inc. Common Stock $2.34
55.106K
$15.24M
$128.95K
4363
CARLCarlsmed, Inc. Common Stock $14.05
54.978K
$383.60M
$772.44K
4364
CLGNCollPlant Biotechnologies Ltd Ordinary Shares $4.03
54.939K
$7.62M
$221.40K
4365
$7.30
54.844K
$99.59M
$400.36K
4366
$6.14
54.748K
$55.88M
$336.15K
4367
XTNTXtant Medical Holdings, Inc. $0.3233
54.642K
$45.36M
$17.67K
4368
BIOXBioceres Crop Solutions Corp. Ordinary Shares $0.3282
54.566K
$20.94M
$17.91K
4369
CVUCPI Aerostructures, Inc. $5.10
54.294K
$67.57M
$276.90K
4370
KUSTKustom Entertainment, Inc. Common Stock $3.84
54.274K
$2.50M
$208.41K
4371
SQNSSequans Communications S.A. American Depositary Shares, each representing four Ordinary Shares $2.76
54.252K
$41.34M
$149.74K
4372
AVALGRUPO AVAL ACCIONES Y VALORES S.A. $4.87
54.198K
$1.84B
$263.94K
4373
PRKPark National Corporation $178.46
54.104K
$3.22B
$9.66M
4374
$37.03
54.103K
$685.93M
$2.00M
4375
SAGTSAGTEC GLOBAL LIMITED Ordinary shares $0.5365
54.055K
$6.84M
$29.00K
4376
GENCGencor Industries, Inc. $18.08
53.952K
$223.09M
$975.45K
4377
MSSMaison Solutions Inc. Class A Common Stock $1.59
53.874K
$1.29M
$85.66K
4378
ESOAEnergy Services of America Corporation Common Stock $10.46
53.841K
$195.18M
$563.18K
4379
WQEYWISeQey Corp Ordinary Shares $10.00
53.835K
$57.22M
$538.35K
4380
$3.00
53.681K
$32.79M
$161.04K
4381
POLAPolar Power, Inc. Common Stock $1.08
53.681K
$4.65M
$57.98K
4382
PHUNPhunware, Inc. Common Stock $2.07
53.662K
$42.36M
$111.08K
4383
OPNWOpenWorld, Inc. Common Stock $5.28
53.589K
$6.95M
$282.95K
4384
FNRNFirst Northern Community Bancorp Common stock $17.30
53.478K
$283.64M
$925.17K
4385
WCCBWest Coast Community Bancorp Common Stock $61.16
53.384K
$643.65M
$3.26M
4386
$16.40
53.38K
$443.15M
$875.43K
4387
EXODExodus Movement, Inc. $6.31
53.347K
$69.51M
$336.62K
4388
SFSTSouthern First Bancshares, Inc. $60.40
53.239K
$571.09M
$3.22M
4389
SLESuper League Enterprise, Inc. Common Stock $4.86
53.148K
$8.24M
$258.30K
4390
WSBFWaterstone Financial, Inc. $19.50
53.126K
$350.55M
$1.04M
4391
$16.78
53.092K
$415.23M
$890.88K
4392
IRSIRSA Inversiones y Representaciones S.A. Global Depositary Shares $13.85
52.884K
$1.17B
$732.44K
4393
MYPSPLAYSTUDIOS, Inc. Class A Common Stock $4.23
52.836K
$50.81M
$223.50K
4394
SMBCSouthern Missouri Bancorp $71.47
52.789K
$787.12M
$3.77M
4395
TILInstil Bio, Inc. Common Stock $6.56
52.691K
$44.49M
$345.65K
4396
MCGAYorkville Acquisition Corp. Class A Ordinary Share $10.35
52.677K
$244.07M
$545.21K
4397
PKOHPark-Ohio Holdings Corp $48.45
52.434K
$702.04M
$2.54M
4398
$18.25
52.414K
$206.11M
$956.56K
4399
CENTCentral Garden and Pet Co $40.55
52.272K
$391.32M
$2.12M
4400
SGPSpyGlass Pharma, Inc. Common Stock $24.62
52.231K
$823.49M
$1.29M