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
PLUR Pluri Inc. Common Stock $3.67
11.379K
$36.89M
$41.76K
4902
LINK Interlink Electronics, Inc. Common Stock $3.31
11.37K
$52.13M
$37.63K
4903
BOSC B.O.S. Better On-Line Solutions Ltd. $4.64
11.351K
$28.70M
$52.67K
4904
IPM Intelligent Protection Management Corp. Common Stock $1.68
11.32K
$15.26M
$19.02K
4905
MCHPP Microchip Technology Incorporated Depositary Shares Each Representing a 1/20th Interest in a Share of 7.50% Series A Mandatory Convertible Preferred Stock $66.92
11.254K
$1.81B
$753.12K
4906
$4,997.63
11.234K
$4.79B
$56.14M
4907
WTM White Mountains Insurance Group Ltd. $2,225.80
11.221K
$5.66B
$24.98M
4908
$14.73
11.216K
$66.69M
$165.21K
4909
JCTC Jewett-Cameron Trading $1.80
11.207K
$6.34M
$20.17K
4910
CDTG CDT Environmental Technology Investment Holdings Limited ordinary shares $0.2313
11.198K
$2.85M
$2.59K
4911
BH.A Biglari Holdings Inc. Class A Common Stock $2,002.47
11.184K
$414.24M
$22.40M
4912
HQI HireQuest, Inc. Common Stock (DE) $11.88
11.179K
$167.51M
$132.81K
4913
GMM Global Mofy Metaerse Limited Ordinary Shares $1.21
11.054K
$55.47M
$13.38K
4914
TNMG TNL Mediagene Ordinary Shares $3.06
11.048K
$7.82M
$33.81K
4915
EBON Ebang International Holdings Inc. Class A Ordinary Shares $2.39
10.912K
$11.94M
$26.11K
4916
SCOR comScore, Inc. Common Stock $6.89
10.886K
$34.56M
$75.00K
4917
PIII P3 Health Partners Inc. Common Stock $2.15
10.854K
$7.07M
$23.34K
4918
CMT Core Molding Technologies, Inc. $19.09
10.841K
$169.10M
$206.95K
4919
VMAR Vision Marine Technologies Inc. Common Shares $2.59
10.841K
$2.58M
$28.08K
4920
MDRR Medalist Diversified REIT, Inc. $11.70
10.831K
$13.02M
$126.75K
4921
$3.48
10.805K
$60.94M
$37.60K
4922
BRNS Barinthus Biotherapeutics plc American Depositary Shares $0.6000
10.763K
$24.50M
$6.46K
4923
VSME VS Media Holdings Limited Class A Ordinary Shares $1.25
10.763K
$3.42M
$13.45K
4924
CREX CREATIVE REALITIES, INC. $3.47
10.709K
$36.50M
$37.16K
4925
LITB LIGHTINTHEBOX HOLDING CO., LTD. $2.89
10.708K
$53.14M
$30.95K
4926
FACT FACT II Acquisition Corp. Class A Ordinary Shares $10.48
10.705K
$193.76M
$112.19K
4927
UK Ucommune International Ltd Ordinary Shares $0.4900
10.655K
$1.02M
$5.22K
4928
OVBC Ohio Valley Banc Corp $43.98
10.639K
$207.19M
$467.90K
4929
INTJ Intelligent Group Limited Ordinary Shares $7.08
10.597K
$217.71M
$75.03K
4930
WFF WF Holding Limited Ordinary Shares $0.3700
10.575K
$9.23M
$3.91K
4931
ARTW Arts-Way Manufacturing Co Inc $2.45
10.527K
$12.68M
$25.79K
4932
UYSC UY Scuti Acquisition Corp. Ordinary Shares $10.32
10.402K
$79.03M
$107.35K
4933
FULTP Fulton Financial Corporation Depositary Shares, Each Representing a 1/40th Interest in a Share of Fixed Rate Non-Cumulative Perpetual Preferred Stock, Series A $18.84
10.263K
$150.72M
$193.35K
4934
PTN Palatin Technologies, Inc. $22.96
10.262K
$40.69M
$235.62K
4935
ANNA AleAnna, Inc. Class A Common Stock $2.67
10.235K
$108.57M
$27.33K
4936
HBANL Huntington Bancshares Incorporated Depositary Shares, Each Representing a 1/40th Interest in a Share of 6.875% Series J Non-Cumulative Perpetual Preferred Stock $25.51
10.202K
$331.63M
$260.25K
4937
$100.59
10.171K
$411.86M
$1.02M
4938
MKZR MacKenzie Realty Capital, Inc. Common Stock $3.62
10.167K
$7.12M
$36.80K
4939
CRE Cre8 Enterprise Limited Class A Ordinary Shares $2.19
10.155K
$3.58M
$22.19K
4940
HBANM Huntington Bancshares Incorporated Depositary Shares each representing a 1/1000th interest in a share of Huntington Series I Preferred Stock $22.93
10.129K
$160.51M
$232.26K
4941
$82.62
10.11K
$4.31B
$835.29K
4942
NITO N2OFF, Inc. Common Stock $0.8751
10.046K
$2.37M
$8.79K
4943
RMCF Rocky Mountain Chocolate Factory, Inc. Common Stock $2.39
10.019K
$22.31M
$23.95K
4944
$14.63
10.002K
$278.27M
$146.33K
4945
TACH Titan Acquisition Corp. Class A Ordinary Shares $10.29
10K
$284.00M
$102.90K
4946
BYSI BeyondSpring Inc. Ordinary Shares $1.36
9.994K
$54.85M
$13.59K
4947
PCB PCB Bancorp Common Stock $22.43
9.911K
$319.87M
$222.30K
4948
WTF Waton Financial Limited Ordinary Shares $4.86
9.874K
$231.24M
$47.99K
4949
YAAS Youxin Technology Ltd Class A Ordinary shares $1.25
9.844K
$2.91M
$12.31K
4950
DXR Daxor Corporation Common Stock $12.00
9.835K
$60.46M
$118.02K
4951
PFIS Peoples Financial Services Corp. $54.68
9.813K
$546.50M
$536.57K
4952
SGU Star Group, L.P. Common Units Representing Limited Partner Interest $13.00
9.792K
$427.43M
$127.30K
4953
RNAZ TransCode Therapeutics, Inc. Common Stock $10.19
9.76K
$9.34M
$99.45K
4954
FRD Friedman Industries, Inc $18.35
9.745K
$130.47M
$178.77K
4955
CLRB Cellectar Biosciences INC NEW $3.35
9.728K
$14.20M
$32.59K
4956
CITR General Enterprise Ventures, Inc. $6.90
9.714K
$129.74M
$67.03K
4957
GDTC CytoMed Therapeutics Limited Ordinary Shares $1.04
9.683K
$12.20M
$10.07K
4958
VHC VirnetX Holding Corporation $14.48
9.68K
$61.84M
$140.17K
4959
$225.12
9.51K
$424.93M
$2.14M
4960
TWG Top Wealth Group Holding Limited Ordinary Shares $3.76
9.378K
$2.18M
$35.26K
4961
CNSP CNS Pharmaceuticals, Inc. Common Stock $2.98
9.328K
$1.85M
$27.80K
4962
BSET Bassett Furniture Industries I $14.51
9.294K
$125.57M
$134.86K
4963
NTRB Nutriband Inc. Common Stock $4.43
9.219K
$53.93M
$40.84K
4964
$7.37
9.202K
$40.77M
$67.83K
4965
HCMA HCM III Acquisition Corp. Class A Ordinary Share $10.14
9.2K
$256.54M
$93.29K
4966
RYM RYTHM, Inc. Common Stock $17.66
9.156K
$37.95M
$161.69K
4967
NCEL NewcelX Ltd. Ordinary Shares $2.71
9.119K
$12.35M
$24.71K
4968
KFFB Kentucky First Federal Bancorp $4.54
9.09K
$36.71M
$41.27K
4969
PCSC Perceptive Capital Solutions Corp Class A Ordinary Shares $12.82
9.063K
$114.24M
$116.19K
4970
GLIBA GCI Liberty, Inc. Series A GCI Group Common Stock $39.35
9.057K
$143.66M
$356.39K
4971
WSBCO WesBanco, Inc. Depositary Shares each representing 1/40th interest in a share of 7.375% Fixed-Rate Reset Non-Cumulative Perpetual Preferred Stock, Series B $25.70
9.046K
$236.44M
$232.48K
4972
GENC Gencor Industries, Inc. $15.41
8.986K
$190.14M
$138.47K
4973
QUMS Quantumsphere Acquisition Corp. Ordinary Shares $10.07
8.959K
$114.86M
$90.22K
4974
NWFL Norwood Financial Corp $29.12
8.914K
$269.77M
$259.58K
4975
RMBI Richmond Mutual Bancorporation, Inc. Common Stock $14.07
8.873K
$146.98M
$124.80K
4976
INTG Intergroup Corporation (The) $30.41
8.817K
$65.35M
$268.12K
4977
RYET Ruanyun Edai Technology Inc. Ordinary shares $0.9893
8.805K
$33.39M
$8.71K
4978
CUPR Cuprina Holdings (Cayman) Limited Class A Ordinary Shares $0.4028
8.736K
$2.97M
$3.52K
4979
SELF Global Self Storage, Inc. Common Stock $5.02
8.723K
$56.86M
$43.75K
4980
$13.70
8.714K
$387.74M
$119.38K
4981
$1.56
8.664K
$17.24M
$13.52K
4982
ECBK ECB Bancorp, Inc. Common Stock $17.56
8.649K
$154.46M
$151.86K
4983
BOLT Bolt Biotherapeutics, Inc. Common Stock $5.03
8.632K
$9.65M
$43.42K
4984
CAAS China Automotive Systems, Inc. $4.53
8.6K
$136.67M
$38.96K
4985
MGRT Mega Fortune Company Limited Ordinary Shares $6.21
8.565K
$85.32M
$53.15K
4986
MYSE Myseum, Inc. Common Stock $1.85
8.545K
$7.89M
$15.81K
4987
OMH Ohmyhome Limited Ordinary Shares $1.46
8.539K
$37.39M
$12.44K
4988
SCII SC II Acquisition Corp. Class A ordinary share $9.97
8.463K
$171.98M
$84.38K
4989
BRFH Barfresh Food Group Inc. Common Stock $2.87
8.425K
$45.83M
$24.18K
4990
LCUT Lifetime Brands, Inc. $3.41
8.385K
$77.26M
$28.59K
4991
KPLT Katapult Holdings, Inc. Common Stock $6.50
8.353K
$30.16M
$54.26K
4992
ZYBT Zhengye Biotechnology Holding Limited Ordinary Shares $0.7900
8.288K
$37.26M
$6.55K
4993
GBLI Global Indemnity Group, LLC $28.00
8.287K
$279.45M
$232.04K
4994
TCRT Alaunos Therapeutics, Inc. Common Stock $2.85
8.237K
$6.62M
$23.48K
4995
BOTJ Bank of the James Financial Group, Inc $19.99
8.14K
$90.82M
$162.72K
4996
PCLA PicoCELA Inc. American Depositary Shares $4.73
8.126K
$19.65M
$38.44K
4997
XCUR Exicure, Inc. Common Stock $3.59
8.117K
$22.88M
$29.14K
4998
KBSX FST Corp. Ordinary Shares $1.20
8.089K
$53.50M
$9.67K
4999
LSBK Lake Shore Bancorp, Inc. $15.54
8.026K
$121.64M
$124.76K
5000
JYD Jayud Global Logistics Limited Class A Ordinary Shares $2.51
7.992K
$6.59M
$20.06K