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.
4901
PTPintec Technology Holdings Limited American Depositary Shares $0.9104
83.163K
$14.43M
$75.71K
4902
GSIWGarden Stage Limited Ordinary Shares $0.1295
583.008K
$28.25M
$75.50K
4903
CNEYCN Energy Group Inc. Class A Ordinary Shares $0.5901
127.775K
$3.32M
$75.40K
4904
ALFCenturion Acquisition Corp. Class A Ordinary Shares $10.65
7.062K
$382.73M
$75.21K
4905
$2.66
28.233K
$28.47M
$75.10K
4906
TWAVTaoWeave, Inc. Common Stock $1.80
41.618K
$5.77M
$74.91K
4907
NPTTexxon Holding Limited Ordinary shares $4.80
15.531K
$106.49M
$74.55K
4908
ENGSEnergys Group Limited Ordinary Shares $0.8105
91.746K
$11.58M
$74.36K
4909
FRGTFreight Technologies, Inc. Ordinary Shares $1.65
44.942K
$2.58M
$74.16K
4910
DRDBRoman DBDR Acquisition Corp. II Ordinary shares $10.43
7.109K
$319.85M
$74.15K
4911
AMODAlpha Modus Holdings, Inc. Class A Common Stock $0.4836
153.155K
$20.29M
$74.07K
4912
FTLFFitLife Brands, Inc. Common Stock $16.27
4.537K
$152.79M
$73.82K
4913
ADILAdial Pharmaceuticals, Inc $0.2207
334.376K
$5.88M
$73.80K
4914
ZBAIATIF Holdings Limited Ordinary Shares $5.39
13.67K
$7.08M
$73.68K
4915
DXLGDestination XL Group, Inc. Common Stock $0.9195
80.059K
$50.26M
$73.61K
4916
FGIFGI Industries Ltd. Ordinary Shares $5.70
12.88K
$10.94M
$73.42K
4917
CLIRClearSign Technologies Corporation Common Stock (DE) $0.5533
132.572K
$29.48M
$73.35K
4918
NPACNew Providence Acquisition Corp. III Class A Ordinary Shares $10.26
7.096K
$393.89M
$72.80K
4919
JWELJowell Global Ltd. Ordinary Shares $2.27
31.937K
$4.93M
$72.50K
4920
LNKSLinkers Industries Limited Class A Ordinary Shares $0.3271
220.947K
$4.39M
$72.27K
4921
IPMIntelligent Protection Management Corp. Common Stock $1.72
41.792K
$22.51M
$71.88K
4922
$1.31
54.828K
$64.38M
$71.82K
4923
UPCUniverse Pharmaceuticals Inc. Ordinary Shares $3.80
18.888K
$2.14M
$71.77K
4924
JZXNJiuzi Holdings, Inc. Ordinary Shares $1.73
41.311K
$2.41M
$71.47K
4925
TOPTOP Financial Group Limited Ordinary Shares $1.02
69.893K
$37.81M
$71.29K
4926
ITPIT Tech Packaging, Inc. $0.2206
322.212K
$3.74M
$71.08K
4927
PELIPelican Acquisition Corporation Ordinary Shares $10.15
6.977K
$121.79M
$70.82K
4928
KVACKeen Vision Acquisition Corporation Ordinary Shares $11.75
6.011K
$108.55M
$70.63K
4929
PAPLPineapple Financial Inc. $1.41
49.925K
$1.90M
$70.39K
4930
CNSPCNS Pharmaceuticals, Inc. Common Stock $5.15
13.65K
$3.19M
$70.30K
4931
$0.7021
99.862K
$14.62M
$70.11K
4932
TANHTantech Holdings Ltd. Common Stock $0.9901
70.786K
$6.08M
$70.09K
4933
MACIMelar Acquisition Corp. I Class A Ordinary Shares $10.63
6.58K
$229.84M
$69.95K
4934
BRAGBragg Gaming Group Inc. Common Shares $2.11
33.133K
$53.70M
$69.91K
4935
PDCCPearl Diver Credit Company Inc. $13.93
5.018K
$94.78M
$69.90K
4936
FLNTFluent, Inc. Common Stock $2.40
29.17K
$70.70M
$69.86K
4937
MCHXMarchex, Inc. Class B $1.67
41.873K
$73.15M
$69.76K
4938
USIOUsio, Inc. Common Stock $1.35
51.56K
$36.87M
$69.61K
4939
COOTAustralian Oilseeds Holdings Limited Ordinary Shares $0.5168
134.158K
$14.42M
$69.33K
4940
NTWKNetSol Technologies, Inc. $3.01
22.933K
$35.51M
$69.03K
4941
YDKGYueda Digital Holding Class A Ordinary Share $0.9400
73.204K
$5.21M
$68.81K
4942
SPHLSpringview Holdings Ltd Class A Ordinary Shares $2.05
33.438K
$3.39M
$68.55K
4943
MSGMMotorsport Games Inc. Class A Common Stock $3.14
21.739K
$15.92M
$68.16K
4944
MMLPMartin Midstream Partners LP $2.62
25.975K
$102.32M
$68.05K
4945
KOREKORE Group Holdings, Inc. $4.22
16.095K
$74.02M
$67.92K
4946
BJDXBluejay Diagnostics, Inc. Common Stock $0.6805
99.002K
$1.23M
$67.37K
4947
BGMSBio Green Med Solution, Inc. Common Stock $1.46
46.119K
$7.15M
$67.33K
4948
ANTXAN2 Therapeutics, Inc. Common Stock $1.14
58.817K
$31.24M
$67.05K
4949
OFALOFA Group Ordinary Shares $0.6101
109.229K
$8.68M
$66.64K
4950
RVPRetractable Technologies, Inc $0.7721
86.276K
$23.11M
$66.61K
4951
ATONAlphaTON Capital Corp. Common Stock $0.5760
115.198K
$4.72M
$66.35K
4952
MGIHMillennium Group International Holdings Limited Ordinary Shares $1.21
54.791K
$13.61M
$66.30K
4953
$23.73
2.773K
$108.74M
$65.80K
4954
MDBHMDB Capital Holdings, LLC Class A common $3.25
20.2K
$32.90M
$65.55K
4955
$21.31
3.063K
$220.57M
$65.27K
4956
IMRNImmuron Limited American Depositary Shares $0.7800
83.672K
$6.30M
$65.26K
4957
EBONEbang International Holdings Inc. Class A Ordinary Shares $3.06
21.237K
$19.22M
$64.99K
4958
$26.19
2.479K
$159.08M
$64.93K
4959
$9.25
6.995K
$35.79M
$64.70K
4960
$3.30
19.499K
$123.39M
$64.35K
4961
LOCLLocal Bounti Corporation $2.14
30.008K
$47.66M
$64.22K
4962
PULMPulmatrix, Inc. Common Stock $2.19
29.275K
$7.98M
$64.00K
4963
EPEmpire Petroleum Corporation $3.01
21.207K
$104.92M
$63.83K
4964
$2.60
24.528K
$10.14M
$63.77K
4965
CAPTCaptivision Inc. Ordinary Shares $0.3472
183.65K
$11.24M
$63.76K
4966
GLMDGalmed Pharmaceuticals Ltd. $0.7506
84.936K
$4.11M
$63.75K
4967
$8.09
7.858K
$15.38M
$63.57K
4968
PRPOPrecipio, Inc. Common Stock $22.98
2.762K
$40.26M
$63.47K
4969
MYSEMyseum, Inc. Common Stock $1.71
37.017K
$7.29M
$63.30K
4970
$1.87
33.83K
$2.85M
$63.26K
4971
AUUDAuddia Inc. Common Stock $0.9697
65.14K
$3.01M
$63.17K
4972
HTCOCaravelle International Group Ordinary Shares $8.40
7.499K
$62.04M
$62.99K
4973
RCTRedCloud Holdings plc Ordinary Shares $1.49
42.129K
$65.90M
$62.77K
4974
CHSNChanson International Holding Class A Ordinary Shares $2.20
28.528K
$85.75M
$62.76K
4975
ILAGIntelligent Living Application Group Inc. Ordinary Shares $4.05
15.413K
$84.12M
$62.42K
4976
TGEThe Generation Essentials Group $1.02
60.871K
$49.57M
$62.26K
4977
SOSSOS Limited American Depositary Shares, each representing ten (10) Class A Ordinary Shares $1.39
44.622K
$12.39M
$62.02K
4978
JEM707 Cayman Holdings Limited Ordinary Shares $0.1749
353.751K
$4.61M
$61.87K
4979
AUREPrestige Wealth Inc. Class A Ordinary Shares $0.2777
222.65K
$102.25M
$61.83K
4980
XWELXWELL, Inc. Common Stock $0.4608
133.964K
$2.66M
$61.73K
4981
ARBBARB IOT Group Limited Ordinary Shares $5.67
10.88K
$10.01M
$61.69K
4982
AUBNAuburn National Bancorporation $26.95
2.272K
$94.16M
$61.23K
4983
$6.14
9.971K
$28.21M
$61.22K
4984
ZJKZJK Industrial Co., Ltd. Ordinary Shares $2.00
30.296K
$127.64M
$60.59K
4985
CLGNCollPlant Biotechnologies Ltd Ordinary Shares $1.43
42.335K
$18.27M
$60.54K
4986
$6.15
9.809K
$55.63M
$60.33K
4987
KPRXKiora Pharmaceuticals, Inc. Common Stock $1.97
30.546K
$7.23M
$60.02K
4988
CEPFCantor Equity Partners IV, Inc. Class A Ordinary Shares $10.29
5.831K
$588.07M
$60.00K
4989
SHIMShimmick Corporation Common Stock $2.88
20.83K
$103.15M
$59.99K
4990
PEBKPeoples Bancorp of North Carol $36.20
1.654K
$192.19M
$59.87K
4991
CUPRCuprina Holdings (Cayman) Limited Class A Ordinary Shares $0.4010
149.253K
$8.60M
$59.85K
4992
DKIDarkIris Inc. Class A Ordinary Shares $0.3146
189.017K
$5.58M
$59.46K
4993
ASRVAmeriServ Financial Inc $3.13
18.917K
$51.71M
$59.21K
4994
$1.03
57.208K
$5.96M
$58.98K
4995
ARTLArtelo Biosciences, Inc. Common Stock $1.20
48.812K
$2.42M
$58.57K
4996
FORAForian Inc. Common Stock $2.13
27.351K
$66.30M
$58.36K
4997
JLJ-Long Group Limited Ordinary Shares $6.12
9.47K
$23.01M
$57.92K
4998
WBUYWEBUY GLOBAL LTD. Ordinary Shares $1.31
44.124K
$2.96M
$57.80K
4999
$0.8700
66.15K
$27.61M
$57.55K
5000
CDTConduit Pharmaceuticals Inc. Common Stock $1.31
43.921K
$2.13M
$57.54K