Stock Rankings by Volume - Rankings 4901 to 5000

Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 4901 to 5000.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
4901
ALXAlexander's Inc.
$247.45
+2.45
+1.00%
11.629K
$1.26B
$2.88M
4902
HBTHBT Financial, Inc. Common Stock
$28.25
-0.28
-0.98%
11.526K
$887.95M
$325.61K
4903
MRDNMeridian Holdings Inc. Common Stock
$6.61
-0.49
-6.90%
11.518K
$83.56M
$76.13K
4904
MSNEmerson Radio Corp.
$0.4400
+0.0338
+8.32%
11.428K
$9.26M
$5.03K
4905
SEBSeaboard Corporation
$5,801.83
-121.17
-2.05%
11.321K
$5.56B
$65.68M
4906
SOULSoulpower Acquisition Corporation
$10.26
-0.01
-0.10%
11.321K
$262.86M
$116.15K
4907
MINEMayfair Gold Corp.
$3.21
+0.04
+1.26%
11.279K
$215.33M
$36.21K
4908
SFHGSamfine Creation Holdings Group Limited Ordinary Share
$2.35
-0.11
-4.47%
11.254K
$5.31M
$26.45K
4909
LESLLeslie's, Inc. Common Stock
$1.31
-0.04
-2.61%
11.22K
$12.16M
$14.64K
4910
LINKInterlink Electronics, Inc. Common Stock
$3.14
-0.07
-2.23%
11.184K
$49.46M
$35.12K
4911
IMNNImunon, Inc. Common Stock
$3.03
+0.00
+0.00%
11.16K
$11.89M
$33.81K
4912
OMSEOMS Energy Technologies Inc. Ordinary Shares
$4.53
+0.07
+1.57%
11.033K
$192.29M
$49.98K
4913
VALNValneva SE American Depositary Shares
$6.18
-0.05
-0.80%
11.021K
$532.14M
$68.11K
4914
METCBRamaco Resources, Inc. Class B Common Stock
$10.23
+0.19
+1.89%
11.009K
$114.12M
$112.62K
4915
WYHGWing Yip Food Holdings Group Limited American Depositary Shares
$0.4152
-0.0468
-10.13%
10.966K
$20.90M
$4.55K
4916
TXMDTherapeuticsMD, Inc.
$2.07
+0.00
+0.00%
10.855K
$23.96M
$22.47K
4917
SRBKSR Bancorp, Inc. Common stock
$17.73
-0.03
-0.17%
10.84K
$147.79M
$192.19K
4918
COLAColumbus Acquisition Corp Ordinary Shares
$10.53
+0.02
+0.19%
10.836K
$47.33M
$114.10K
4919
DOYUDouYu International Holdings Limited ADS
$4.75
-0.14
-2.86%
10.825K
$143.35M
$51.42K
4920
ACRACRES Commercial Realty Corp.
$19.34
+0.22
+1.15%
10.822K
$137.92M
$209.30K
4921
WTMWhite Mountains Insurance Group Ltd.
$2,301.14
-5.96
-0.26%
10.808K
$5.70B
$24.87M
4922
OBTCOsprey Bitcoin Trust Common Units of Beneficial Interest
$23.55
+0.25
+1.07%
10.753K
$69.25M
$253.23K
4923
RDIReading International, Inc Class A Common Stock
$1.08
-0.03
-2.70%
10.698K
$22.72M
$11.55K
4924
CMDBCostamare Bulkers Holdings Limited
$17.26
-0.21
-1.17%
10.666K
$417.23M
$184.04K
4925
AAMEAtlantic American Corp
$2.55
+0.12
+4.73%
10.659K
$51.91M
$27.13K
4926
GCLGCL Global Holdings Ltd Ordinary Shares
$0.6200
+0.0400
+6.90%
10.645K
$76.00M
$6.60K
4927
RAAQReal Asset Acquisition Corp. Class A Ordinary Share
$10.42
-0.23
-2.16%
10.619K
$179.75M
$110.65K
4928
ANTAAntalpha Platform Holding Company ordinary shares
$8.76
-0.01
-0.11%
10.593K
$207.41M
$92.79K
4929
CANFCan-Fite BioPharma Ltd. American Depositary Shares, each representing three hundred (300) Ordinary Shares
$2.92
-0.10
-3.31%
10.544K
$6.26M
$30.79K
4930
DLPNDolphin Entertainment, Inc.
$1.54
+0.01
+0.65%
10.521K
$19.13M
$16.20K
4931
NSRXNasus Pharma Ltd.
$2.04
-0.23
-9.96%
10.453K
$23.94M
$21.37K
4932
MTENMingteng International Corporation Inc. Ordinary Shares
$1.21
-0.03
-2.42%
10.429K
$1.47M
$12.62K
4933
CTRMCastor Maritime Inc. Common Stock
$1.75
-0.02
-1.13%
10.403K
$16.91M
$18.21K
4934
ECBKECB Bancorp, Inc. Common Stock
$18.70
+0.80
+4.45%
10.374K
$164.16M
$193.99K
4935
PGACPantages Capital Acquisition Corporation Class A Ordinary Shares
$10.50
+0.01
+0.05%
10.334K
$93.08M
$108.46K
4936
MRTMarti Technologies, Inc.
$2.04
+0.00
+0.00%
10.287K
$160.57M
$20.99K
4937
CGOCalamos Global Total Return Fund
$12.27
+0.02
+0.16%
10.281K
$120.58M
$126.15K
4938
HBBHamilton Beach Brands Holding Company Class A Common Stock
$20.61
+0.03
+0.15%
10.251K
$205.92M
$211.27K
4939
RECTRectitude Holdings Ltd Ordinary Shares
$1.18
+0.09
+8.35%
10.229K
$17.12M
$12.08K
4940
XLOXilio Therapeutics, Inc. Common Stock
$8.56
+0.04
+0.47%
10.222K
$49.50M
$87.50K
4941
PTLEPTL LTD Ordinary Shares
$8.93
+0.92
+11.49%
10.161K
$54.83M
$90.74K
4942
HTLMHomesToLife Ltd Ordinary Shares
$1.69
+0.05
+3.05%
10.054K
$151.57M
$16.99K
4943
SILCSilicom Ltd
$22.44
+0.22
+0.97%
10.038K
$127.30M
$225.20K
4944
XBPXBP Europe Holdings, Inc. Common Stock
$2.66
-0.48
-15.29%
10.008K
$31.30M
$26.62K
4945
TDWDTailwind 2.0 Acquisition Corp. Class A Ordinary Shares
$9.95
+0.00
+0.00%
10K
$177.06M
$99.50K
4946
CELUCelularity Inc. Class A Common Stock
$1.29
+0.00
+0.00%
9.988K
$37.20M
$12.88K
4947
BHSTBioHarvest Sciences Inc. Common Stock
$4.35
-0.01
-0.23%
9.923K
$71.45M
$43.17K
4948
ELMDElectromed, Inc.
$24.12
-0.58
-2.35%
9.901K
$199.60M
$238.81K
4949
AWXAvalon Holdings Corp.
$2.60
-0.02
-0.76%
9.887K
$8.55M
$25.71K
4950
MHHMastech Digital, Inc.
$6.25
+0.29
+4.87%
9.872K
$74.12M
$61.70K
4951
NATHNathan's Famous Inc
$101.69
-0.12
-0.12%
9.868K
$416.36M
$1.00M
4952
MTEXMannatech Inc.
$5.63
-0.58
-9.27%
9.861K
$10.69M
$55.47K
4953
EDUCEducational Development Corp
$1.34
+0.01
+0.74%
9.8K
$11.41M
$13.13K
4954
CNSPCNS Pharmaceuticals, Inc. Common Stock
$2.15
+0.04
+1.90%
9.752K
$1.74M
$20.97K
4955
TACTTransact Technologies Inc
$3.31
-0.03
-0.75%
9.689K
$33.84M
$32.02K
4956
RNAZTransCode Therapeutics, Inc. Common Stock
$8.21
-0.00
0.00%
9.573K
$7.53M
$78.59K
4957
SNESSenesTech, Inc. Common Stock
$1.62
-0.07
-3.87%
9.565K
$8.57M
$15.45K
4958
GLPGlobal Partners LP
$46.00
+0.34
+0.73%
9.422K
$1.56B
$433.36K
4959
ITICInvestors Title Co
$230.09
-5.27
-2.24%
9.406K
$434.30M
$2.16M
4960
ESPEspey Mfg. & Electronics Corp
$59.74
+0.25
+0.42%
9.373K
$176.76M
$559.94K
4961
YAASYouxin Technology Ltd Class A Ordinary shares
$0.9900
+0.0393
+4.13%
9.367K
$2.30M
$9.27K
4962
JZJianzhi Education Technology Group Company Limited American Depositary Shares
$0.8474
+0.0265
+3.23%
9.362K
$1.61M
$7.93K
4963
SVRNOceanPal Inc. Common Stock
$10.59
+0.09
+0.86%
9.354K
$19.87M
$99.06K
4964
PTORPraetorian Acquisition Corp. Class A Ordinary Shares
$9.80
+0.00
+0.00%
9.332K
$332.45M
$91.45K
4965
PROVProvident Financial Hldgs
$17.13
-0.11
-0.64%
9.308K
$109.20M
$159.45K
4966
BEAGBold Eagle Acquisition Corp. Class A Ordinary Shares
$10.58
+0.03
+0.28%
9.306K
$276.75M
$98.46K
4967
BRAGBragg Gaming Group Inc. Common Shares
$1.83
+0.02
+1.10%
9.269K
$45.83M
$16.96K
4968
PKOHPark-Ohio Holdings Corp
$26.00
-0.43
-1.63%
9.169K
$374.36M
$238.39K
4969
AACBArtius II Acquisition Inc. Class A Ordinary Shares
$10.36
+0.00
+0.00%
9.1K
$229.73M
$94.28K
4970
PMTRPerimeter Acquisition Corp. I Class A Ordinary Shares
$10.28
-0.00
-0.03%
9.044K
$254.74M
$92.94K
4971
SNTSenstar Technologies Corporation Common Shares
$3.05
+0.02
+0.66%
8.977K
$71.15M
$27.38K
4972
BBLGBone Biologics Corp Common Stock
$1.27
+0.03
+2.42%
8.96K
$2.28M
$11.38K
4973
SIShoulder Innovations, Inc.
$14.92
+0.09
+0.61%
8.941K
$308.06M
$133.40K
4974
LOCLLocal Bounti Corporation
$1.47
+0.00
+0.00%
8.911K
$32.93M
$13.10K
4975
DCOYDecoy Therapeutics Inc. Common Stock
$5.81
-0.02
-0.34%
8.824K
$3.09M
$51.27K
4976
CIITTianci International, Inc. Common Stock
$1.60
+0.03
+1.91%
8.82K
$5.79M
$14.11K
4977
PODCPodcastOne, Inc. Common Stock
$2.09
-0.22
-9.53%
8.791K
$56.76M
$18.37K
4978
MSCStudio City International Holdings Limited American depositary shares, each representing four Class A ordinary shares
$2.90
+0.20
+7.41%
8.786K
$558.51M
$25.48K
4979
FORAForian Inc. Common Stock
$2.14
-0.01
-0.47%
8.758K
$66.79M
$18.74K
4980
GCBCGreene County Bancorp Inc
$23.08
-0.47
-2.01%
8.716K
$393.01M
$201.18K
4981
BGIBirks Group Inc
$0.7446
+0.0243
+3.37%
8.701K
$8.84M
$6.48K
4982
JBDIJBDI Holdings Limited Ordinary Shares
$0.6300
+0.0199
+3.26%
8.65K
$12.13M
$5.45K
4983
JFJ and Friends Holdings Limited American Depositary Shares
$0.9501
-0.0499
-4.99%
8.649K
$13.67M
$8.22K
4984
ALPSALPS Group Inc Ordinary Share
$1.00
+0.05
+5.26%
8.639K
$166.40M
$8.64K
4985
ELUTElutia Inc. Class A Common Stock
$1.14
+0.00
+0.00%
8.631K
$48.77M
$9.84K
4986
CPSSConsumer Portfolio Services
$8.23
-0.05
-0.60%
8.609K
$179.09M
$70.85K
4987
RYMRYTHM, Inc. Common Stock
$22.82
-1.02
-4.28%
8.568K
$49.04M
$195.52K
4988
LOKVLive Oak Acquisition Corp. V Class A Ordinary Shares
$10.42
-0.01
-0.10%
8.543K
$239.66M
$89.02K
4989
TMTSSpartacus Acquisition Corp. II Class A Ordinary Shares
$9.93
-0.03
-0.30%
8.504K
$117.09M
$84.44K
4990
EJHE-Home Household Service Holdings Limited Ordinary Shares
$1.84
-0.13
-6.41%
8.476K
$5.89M
$15.60K
4991
WBXWallbox N.V.
$2.82
-0.13
-4.41%
8.427K
$49.38M
$23.76K
4992
VRMVroom, Inc. Common Stock
$16.91
-0.15
-0.85%
8.4K
$88.03M
$142.04K
4993
LPALogistic Properties of the Americas
$3.40
+0.05
+1.49%
8.381K
$107.50M
$28.49K
4994
AXILAXIL Brands, Inc.
$7.02
+0.03
+0.43%
8.339K
$47.76M
$58.54K
4995
CLLSCellectis S.A. American Depositary Shares
$3.59
-0.12
-3.23%
8.232K
$258.82M
$29.55K
4996
QNRXQuoin Pharmaceuticals, Ltd. American Depositary Shares
$6.14
+0.40
+6.92%
8.224K
$11.07M
$50.47K
4997
NVRNVR, Inc.
$6,750.04
-34.68
-0.51%
8.204K
$18.75B
$55.38M
4998
SNFCASecurity National Financial Co
$9.59
-0.05
-0.52%
8.182K
$215.13M
$78.47K
4999
FIEEFiEE, Inc Common Stock
$7.55
-0.13
-1.69%
8.168K
$59.90M
$61.67K
5000
ILAGIntelligent Living Application Group Inc. Ordinary Shares
$3.73
+0.17
+4.78%
8.163K
$7.75M
$30.45K