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
ITP IT Tech Packaging, Inc. $0.2050
250.288K
$3.48M
$51.31K
4902
BJDX Bluejay Diagnostics, Inc. Common Stock $1.34
38.22K
$2.00M
$51.21K
4903
ENSC Ensysce Biosciences, Inc. Common Stock $2.10
24.442K
$6.22M
$51.21K
4904
PALI Palisade Bio, Inc. Common Stock $0.6653
76.876K
$6.20M
$51.15K
4905
SGD Safe and Green Development Corporation Common Stock $1.13
45.223K
$4.25M
$51.10K
4906
HXHX Haoxin Holdings Limited Class A Ordinary Shares $0.9650
52.674K
$13.27M
$50.83K
4907
GV Visionary Holdings Inc. Common Shares $1.56
32.525K
$6.38M
$50.74K
4908
XCUR Exicure, Inc. Common Stock $5.61
8.999K
$35.44M
$50.48K
4909
$0.8201
61.155K
$34.38M
$50.15K
4910
$5.15
9.731K
$1.02B
$50.11K
4911
WCT Wellchange Holdings Company Limited Ordinary shares $0.2090
239.176K
$11.13M
$49.99K
4912
GROV Grove Collaborative Holdings, Inc. $1.53
32.554K
$62.75M
$49.81K
4913
FRGT Freight Technologies, Inc. Ordinary Shares $1.23
40.362K
$3.39M
$49.65K
4914
BLIN Bridgeline Digital Inc. $1.43
34.703K
$17.32M
$49.63K
4915
ATHR Aether Holdings, Inc. Common Stock $6.70
7.374K
$81.08M
$49.41K
4916
ADGM Adagio Medical Holdings, Inc Common Stock $1.61
30.632K
$24.76M
$49.32K
4917
$19.67
2.485K
$60.41M
$48.87K
4918
$0.9564
50.93K
$60.03M
$48.71K
4919
IDAI T Stamp Inc. Class A Common Stock $2.86
17.003K
$7.28M
$48.68K
4920
NTIP Network-1 Technologies, Inc. $1.49
32.32K
$34.04M
$48.16K
4921
GLE Global Engine Group Holding Limited Ordinary Shares $0.7099
67.61K
$12.99M
$48.00K
4922
AEHL Antelope Enterprise Holdings Limited Class A Ordinary Shares $3.42
14.033K
$17.69M
$47.99K
4923
TWNP Twin Hospitality Group Inc. Class A Common Stock $3.56
13.465K
$204.08M
$47.94K
4924
HCAI Hauchen AI Parking Management Technology Holding Co., Ltd. Ordinary Shares $0.6159
77.684K
$20.78M
$47.85K
4925
ZDAI Primega Group Holdings Limited Ordinary Shares $0.4855
98.418K
$12.82M
$47.78K
4926
KNDI Kandi Technologies Group, Inc. Ordinary Shares $1.47
32.446K
$120.19M
$47.53K
4927
GRI GRI Bio, Inc. Common Stock $1.37
34.507K
$3.45M
$47.27K
4928
XPL Solitario Resources Corp. $0.7700
61.335K
$69.45M
$47.23K
4929
DWTX Dogwood Therapeutics, Inc. Common Stock $4.96
9.52K
$9.48M
$47.22K
4930
HERZ Herzfeld Credit Income Fund, Inc. Common Stock $2.42
19.463K
$38.06M
$47.12K
4931
PLUT Plutus Financial Group Limited Ordinary Shares $2.97
15.865K
$45.59M
$47.12K
4932
CVU CPI Aerostructures, Inc. $2.51
18.734K
$32.64M
$46.93K
4933
$2.74
17.125K
$55.67M
$46.92K
4934
LSAK Lesaka Technologies, Inc. Common Stock $4.69
9.989K
$381.06M
$46.85K
4935
$12.37
3.786K
$170.75M
$46.83K
4936
BAFN BayFirst Financial Corp. Common Stock $9.15
5.099K
$37.82M
$46.66K
4937
MIGI Mawson Infrastructure Group Inc. Common Stock $0.4095
113.052K
$8.54M
$46.29K
4938
PN Skycorp Solar Group Limited Ordinary Shares $0.9399
49.041K
$25.38M
$46.09K
4939
MTC MMTec, Inc. Common Shares $0.9745
47.183K
$24.54M
$45.98K
4940
CCEC Capital Clean Energy Carriers Corp. Common Share $21.23
2.157K
$1.25B
$45.78K
4941
SOPH SOPHiA GENETICS SA Ordinary Shares $3.39
13.494K
$229.09M
$45.74K
4942
$8.70
5.242K
$304.47M
$45.61K
4943
KORE KORE Group Holdings, Inc. $2.47
18.417K
$43.18M
$45.46K
4944
IOTR iOThree Limited Ordinary Shares $0.4364
104.15K
$11.19M
$45.45K
4945
AIFU Fanhua Inc. American Depositary Shares $5.05
8.958K
$67.52M
$45.24K
4946
FBGL FBS Global Limited Ordinary Shares $0.6000
75.084K
$8.10M
$45.05K
4947
ASRV AmeriServ Financial Inc $2.94
15.298K
$48.57M
$44.98K
4948
PIII P3 Health Partners Inc. Common Stock $8.50
5.288K
$27.78M
$44.95K
4949
BREA Brera Holdings PLC Class B Ordinary Shares $6.44
6.964K
$15.55M
$44.85K
4950
$7.49
5.977K
$67.99M
$44.77K
4951
SCAG Scage Future American Depositary Shares $3.47
12.884K
$250.69M
$44.71K
4952
$6.49
6.88K
$35.01M
$44.65K
4953
PSIG PS International Group Ltd. Ordinary Shares $0.4894
91.021K
$12.71M
$44.55K
4954
$19.25
2.312K
$86.50M
$44.51K
4955
BHST BioHarvest Sciences Inc. Common Stock $8.18
5.429K
$141.79M
$44.41K
4956
NEXA Nexa Resources S.A. Common Shares $4.88
9.087K
$646.30M
$44.34K
4957
DYAI Dyadic International, Inc. $0.9397
47.016K
$34.01M
$44.18K
4958
YTRA Yatra Online, Inc. Ordinary Shares $1.45
30.244K
$87.48M
$43.85K
4959
ZEO Zeo Energy Corporation Class A Common Stock $1.65
26.391K
$51.19M
$43.55K
4960
OXBR Oxbridge Re Holdings Limited $2.15
20.166K
$16.20M
$43.36K
4961
$1.71
25.218K
$7.87M
$43.12K
4962
$1.10
39.073K
$25.99M
$42.98K
4963
ELBM Electra Battery Materials Corporation Common Stock $0.9152
46.904K
$16.44M
$42.93K
4964
SVRE SaverOne 2014 Ltd. American Depositary Shares $1.93
22.17K
$2.20M
$42.79K
4965
FOXX Foxx Development Holdings Inc. Common Stock $5.40
7.916K
$36.62M
$42.75K
4966
CMND Clearmind Medicine Inc. Common Shares $1.03
41.033K
$5.55M
$42.32K
4967
SOHO Sotherly Hotels Inc. Common Stock $0.7273
57.59K
$14.90M
$41.89K
4968
SNAL Snail, Inc. Class A Common Stock $0.9059
46.17K
$34.06M
$41.83K
4969
NTRB Nutriband Inc. Common Stock $6.51
6.395K
$72.46M
$41.63K
4970
BKYI BIO-key International, Inc. Common Stock $0.7560
54.896K
$5.19M
$41.50K
4971
BIAF bioAffinity Technologies, Inc. Common Stock $0.2448
169.257K
$6.97M
$41.43K
4972
GCTK GlucoTrack, Inc. Common Stock $4.25
9.726K
$3.82M
$41.34K
4973
DLPN Dolphin Entertainment, Inc. $1.18
34.816K
$13.85M
$41.08K
4974
$2.91
14.037K
$15.77M
$40.85K
4975
DLXY Delixy Holdings Limited Ordinary Shares $5.30
7.688K
$86.66M
$40.75K
4976
DRCT Direct Digital Holdings, Inc. Class A Common Stock $0.4500
89.939K
$10.13M
$40.47K
4977
PXS Pyxis Tankers Inc. Common Stock $2.79
14.358K
$29.26M
$40.06K
4978
$0.7317
54.679K
$8.52M
$40.01K
4979
ELWS Earlyworks Co., Ltd. American Depositary Shares $2.49
16.099K
$7.49M
$40.01K
4980
KZR Kezar Life Sciences, Inc. Common Stock $3.95
10.101K
$28.93M
$39.90K
4981
SFBC Sound Financial Bancorp, Inc. $47.25
842
$112.84M
$39.79K
4982
SORA Top Win International Limited Ordinary Shares $4.99
7.941K
$124.07M
$39.63K
4983
PTHS Pelthos Therapeutics Inc. $23.65
1.667K
$71.95M
$39.43K
4984
$1.91
20.662K
$66.18M
$39.36K
4985
ENTX Entera Bio Ltd. Ordinary Shares $1.95
20.185K
$88.82M
$39.26K
4986
$6.28
6.213K
$56.81M
$39.02K
4987
LEXX Lexaria Bioscience Corp. Common Stock $0.8803
44.308K
$17.22M
$39.00K
4988
SILO Silo Pharma, Inc. Common Stock $0.6247
62.382K
$5.87M
$38.97K
4989
ANGH Anghami Inc. Ordinary Shares $3.14
12.404K
$21.00M
$38.95K
4990
INAB IN8bio, Inc. Common Stock $2.22
17.462K
$10.07M
$38.75K
4991
EP Empire Petroleum Corporation $4.96
7.811K
$167.79M
$38.74K
4992
JRSH Jerash Holdings (US), Inc. Common Stock $3.41
11.363K
$43.29M
$38.73K
4993
NHTC Natural Health Trends Corp. $4.40
8.753K
$50.66M
$38.51K
4994
$4.34
8.841K
$27.15M
$38.33K
4995
IONR ioneer Ltd American Depositary Shares $3.16
12.12K
$186.09M
$38.30K
4996
MBINM Merchants Bancorp Depositary Shares, Each Representing a 1/40th Interest in a Share of 8.25% Fixed-Rate Reset Series D Non-Cumulative Perpetual Preferred Stock $25.22
1.515K
$131.14M
$38.21K
4997
MNDR Mobile-health Network Solutions Class A Ordinary Shares $0.9607
39.698K
$6.08M
$38.14K
4998
CCEL Cryo-Cell International Inc. $4.72
8.08K
$38.03M
$38.14K
4999
CRT Cross Timbers Royalty Trust $8.80
4.33K
$52.80M
$38.10K
5000
AVAL GRUPO AVAL ACCIONES Y VALORES S.A. $3.32
11.459K
$3.94B
$38.04K