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
EGHAEGH Acquisition Corp. Class A Ordinary Shares
$10.34
-0.02
-0.19%
14.698K
$160.27M
$151.98K
4902
VIRCVirco Mfg. Corporation
$5.99
-0.11
-1.80%
14.688K
$94.22M
$87.98K
4903
CLGNCollPlant Biotechnologies Ltd Ordinary Shares
$0.4264
+0.0065
+1.55%
14.683K
$6.15M
$6.26K
4904
WTBAWest Bancorporation
$23.62
-0.22
-0.92%
14.67K
$402.20M
$346.51K
4905
MODDModular Medical, Inc. Common Stock
$4.50
+0.50
+12.50%
14.655K
$24.35M
$65.95K
4906
BAFNBayFirst Financial Corp. Common Stock
$6.41
+0.37
+6.13%
14.636K
$26.33M
$93.82K
4907
FSEAFirst Seacoast Bancorp, Inc. Common Stock
$16.66
-0.07
-0.42%
14.582K
$78.16M
$242.94K
4908
CPBICentral Plains Bancshares, Inc. Common Stock
$18.75
+0.26
+1.41%
14.43K
$78.85M
$270.56K
4909
HINDVyome Holdings, Inc. Common Stock
$2.23
+0.07
+3.24%
14.412K
$15.65M
$32.14K
4910
GLMDGalmed Pharmaceuticals Ltd.
$0.5685
-0.0115
-1.98%
14.408K
$3.74M
$8.19K
4911
REVBRevelation Biosciences, Inc. Common Stock
$1.06
-0.03
-2.75%
14.259K
$4.14M
$15.11K
4912
MLACMountain Lake Acquisition Corp. Class A Ordinary Shares
$10.60
-0.01
-0.09%
14.154K
$328.52M
$150.03K
4913
EHLDEuroholdings Ltd. Common Stock
$8.58
+0.48
+5.90%
14.139K
$24.16M
$121.28K
4914
NICMNicola Mining Inc. American Depositary Shares
$6.39
+0.23
+3.73%
14.068K
$122.22M
$89.89K
4915
SYNXSilynxcom Ltd.
$1.19
-0.04
-3.25%
14.065K
$7.89M
$16.74K
4916
PCBPCB Bancorp Common Stock
$24.51
-0.15
-0.61%
14.061K
$348.89M
$344.64K
4917
SNSESensei Biotherapeutics, Inc. Common Stock
$18.04
-0.43
-2.33%
14.059K
$24.21M
$253.62K
4918
TRGSTRG Latin America Acquisitions Corp. Class A Ordinary Shares
$9.87
+0.00
+0.00%
14K
$205.86M
$138.18K
4919
ALARAlarum Technologies Ltd. American Depositary Share
$7.79
+0.15
+1.90%
13.986K
$57.14M
$108.88K
4920
SNTSenstar Technologies Corporation Common Shares
$2.76
+0.06
+2.22%
13.827K
$64.40M
$38.16K
4921
UNTYUnity Bancorp
$54.58
-0.79
-1.43%
13.817K
$548.03M
$754.13K
4922
TSBKTimberland Bancorp Inc
$40.09
-0.60
-1.47%
13.741K
$313.82M
$550.88K
4923
GNLNGreenlane Holdings, Inc. Class A Common Stock
$3.14
-0.10
-3.09%
13.73K
$1.98M
$43.11K
4924
AACGATA Creativity Global American Depositary Shares
$1.20
+0.05
+4.35%
13.711K
$51.64M
$16.45K
4925
CITRGeneral Enterprise Ventures, Inc.
$7.28
-0.70
-8.77%
13.642K
$162.76M
$99.31K
4926
INTSIntensity Therapeutics, Inc. Common stock
$4.67
-0.05
-1.06%
13.625K
$12.62M
$63.63K
4927
DAAQDigital Asset Acquisition Corp. Class A Ordinary shares
$10.32
+0.00
+0.00%
13.624K
$178.02M
$140.60K
4928
RADXRadiopharm Theranostics Limited American Depositary Shares
$4.55
-0.10
-2.16%
13.597K
$53.75M
$61.86K
4929
BBGIBeasley Broadcasting Group Inc
$15.29
-0.43
-2.76%
13.569K
$14.88M
$207.47K
4930
SGASaga Communications, Inc. Class A Common Stock (FL)
$9.58
-0.32
-3.20%
13.513K
$60.99M
$129.50K
4931
FENGPhoenix New Media Limited American Depositary Shares (each representing forty-eight (48) Class A Ordinary Shares)
$1.67
-0.03
-1.76%
13.502K
$9.02M
$22.55K
4932
FRSXForesight Autonomous Holdings Ltd. American Depositary Shares
$2.00
-0.01
-0.50%
13.418K
$4.79M
$26.84K
4933
NAIINatural Alternatives International Inc.
$2.52
-0.04
-1.56%
13.356K
$15.57M
$33.66K
4934
TCRTAlaunos Therapeutics, Inc. Common Stock
$2.56
+0.19
+8.02%
13.352K
$6.15M
$34.18K
4935
IPHAInnate Pharma S.A. ADS
$1.90
+0.05
+2.70%
13.339K
$178.45M
$25.34K
4936
ALISCalisa Acquisition Corp Ordinary shares
$10.06
-0.00
-0.05%
13.3K
$84.78M
$133.80K
4937
RETOReTo Eco-Solutions, Inc. Common Shares
$2.55
-0.05
-1.92%
13.262K
$8.98M
$33.82K
4938
GROVGrove Collaborative Holdings, Inc.
$1.24
+0.03
+2.48%
13.19K
$52.11M
$16.36K
4939
XCURExicure, Inc. Common Stock
$2.70
-0.06
-2.17%
13.183K
$17.21M
$35.59K
4940
FGLFounder Group Limited Ordinary Shares
$1.88
+0.02
+1.08%
13.146K
$658.38K
$24.71K
4941
NVRNVR, Inc.
$6,036.99
+3.87
+0.06%
13.115K
$16.30B
$79.18M
4942
HYFMHydrofarm Holdings Group, Inc. Common Stock
$0.9895
+0.0195
+2.01%
12.952K
$4.71M
$12.82K
4943
SEEDOrigin Agritech Limited
$1.15
+0.08
+7.48%
12.922K
$13.71M
$14.86K
4944
LBGJLi Bang International Corporation Inc. Ordinary Shares
$0.9484
+0.0920
+10.74%
12.82K
$3.04M
$12.16K
4945
KMRKK-Tech Solutions Company Limited Class A Ordinary Shares
$2.07
+0.04
+1.97%
12.74K
$35.19M
$26.37K
4946
JMSBJohn Marshall Bancorp, Inc. Common Stock
$21.06
-0.64
-2.95%
12.712K
$297.20M
$267.71K
4947
BLRKBluerock Acquisition Corp. Class A Ordinary Shares
$9.95
-0.01
-0.10%
12.705K
$171.64M
$126.41K
4948
BCABBioAtla, Inc. Common Stock
$3.75
+0.07
+1.90%
12.693K
$6.21M
$47.60K
4949
CDROCodere Online Luxembourg, S.A. Ordinary Shares
$9.35
-0.16
-1.68%
12.591K
$423.09M
$117.73K
4950
KPLTKatapult Holdings, Inc. Common Stock
$6.10
-0.25
-3.94%
12.585K
$29.07M
$76.77K
4951
ROMARoma Green Finance Limited Ordinary Shares
$7.44
+0.04
+0.47%
12.536K
$397.72M
$93.21K
4952
RICKRCI Hospitality Holdings, Inc.
$24.33
-0.18
-0.73%
12.533K
$186.16M
$304.93K
4953
RDAGRepublic Digital Acquisition Company Class A Ordinary Shares
$10.30
+0.02
+0.15%
12.438K
$309.00M
$128.11K
4954
ANPARich Sparkle Holdings Limited Ordinary Shares
$6.57
+0.07
+1.08%
12.315K
$99.22M
$80.91K
4955
CLLSCellectis S.A. American Depositary Shares
$3.50
-0.11
-3.05%
12.277K
$252.33M
$42.97K
4956
CRWSCrown Crafts Inc
$2.72
-0.01
-0.37%
12.229K
$29.10M
$33.26K
4957
CMCMCheetah Mobile Inc. American Depositary Shares, each representing fifty (50) Class A Ordinary Shares
$4.77
+0.77
+19.25%
12.214K
$49.43M
$58.26K
4958
RFLRafael Holdings, Inc. Class B Common Stock
$1.33
+0.03
+2.31%
12.193K
$68.13M
$16.22K
4959
DYORInsight Digital Partners II Class A Ordinary Shares
$10.03
+0.02
+0.20%
12.12K
$173.02M
$121.56K
4960
UONEUrban One, Inc. Class A Common Stock
$5.91
-0.10
-1.60%
12.038K
$3.63M
$71.14K
4961
AIHSSenmiao Technology Limited Common Stock
$1.17
+0.00
+0.00%
11.972K
$5.33M
$14.01K
4962
NWAXNew America Acquisition I Corp.
$10.13
+0.00
+0.00%
11.945K
$377.85M
$121.00K
4963
ELSEElectro-Sensors Inc
$7.66
+0.00
+0.00%
11.927K
$27.06M
$91.36K
4964
MDWDMediWound Ltd.
$16.58
-0.22
-1.31%
11.919K
$213.09M
$197.62K
4965
FTLFFitLife Brands, Inc. Common Stock
$10.06
-0.24
-2.33%
11.879K
$94.47M
$119.50K
4966
XBITXBiotech Inc
$2.44
-0.04
-1.61%
11.867K
$74.39M
$28.96K
4967
BGIBirks Group Inc
$0.7091
+0.0304
+4.48%
11.839K
$8.42M
$8.40K
4968
REBNReborn Coffee, Inc. Common Stock
$2.19
+0.09
+4.21%
11.815K
$17.97M
$25.86K
4969
AFRIForafric Global PLC Ordinary Shares
$9.87
-0.17
-1.69%
11.743K
$265.30M
$115.90K
4970
WTMWhite Mountains Insurance Group Ltd.
$2,146.85
+10.01
+0.47%
11.709K
$5.32B
$25.14M
4971
BVFLBV Financial, Inc. Common Stock
$19.79
-1.21
-5.76%
11.669K
$171.36M
$230.93K
4972
MARPSMarine Petroleum Trust
$4.98
+0.08
+1.62%
11.646K
$9.96M
$57.99K
4973
KBSXFST Corp. Ordinary Shares
$1.39
-0.00
-0.27%
11.616K
$62.06M
$16.10K
4974
FTRKFAST TRACK GROUP Ordinary shares
$0.4794
-0.0506
-9.55%
11.613K
$10.46M
$5.57K
4975
TGLTreasure Global Inc. Common Stock
$3.99
+0.03
+0.76%
11.53K
$6.69M
$46.00K
4976
ALXAlexander's Inc.
$246.36
-3.64
-1.46%
11.488K
$1.26B
$2.83M
4977
BGMSBio Green Med Solution, Inc. Common Stock
$0.9700
-0.0100
-1.02%
11.416K
$5.35M
$11.07K
4978
EVOXEvolution Global Acquisition Corp Class A Ordinary Shares
$10.02
+0.00
+0.00%
11.4K
$240.48M
$114.23K
4979
TXMDTherapeuticsMD, Inc.
$2.11
-0.04
-2.09%
11.289K
$24.36M
$23.76K
4980
TPCSTechprecision Corporation
$3.89
+0.11
+2.91%
11.272K
$38.94M
$43.85K
4981
HBANLHuntington Bancshares Incorporated Depositary Shares, Each Representing a 1/40th Interest in a Share of 6.875% Series J Non-Cumulative Perpetual Preferred Stock
$25.10
-0.06
-0.24%
11.256K
$326.30M
$282.53K
4982
MGIHMillennium Group International Holdings Limited Ordinary Shares
$1.43
-0.06
-3.70%
11.228K
$16.09M
$16.06K
4983
GGRGogoro Inc. Ordinary Shares
$4.01
-0.07
-1.72%
11.213K
$59.24M
$44.96K
4984
JCSEJE Cleantech Holdings Limited Ordinary Shares
$1.26
+0.05
+4.13%
11.186K
$2.21M
$14.09K
4985
SVRESaverOne 2014 Ltd. American Depositary Shares
$4.23
-0.32
-6.95%
11.057K
$3.96M
$46.81K
4986
ZNBZeta Network Group Class A Ordinary Shares
$1.76
+0.00
+0.00%
10.99K
$2.36M
$19.34K
4987
IPEXInflection Point Acquisition Corp. V Class A Ordinary Shares
$10.48
+0.01
+0.10%
10.915K
$114.44M
$114.39K
4988
ALCOAlico Inc
$41.31
+0.39
+0.95%
10.857K
$306.37M
$448.50K
4989
AMTDAMTD IDEA Group American Depositary Shares, each representing six (6) Class A Ordinary Shares
$0.9800
-0.0120
-1.21%
10.844K
$55.06M
$10.63K
4990
FITBOFifth Third Bancorp Depositary Shares each representing a 1/1000th ownership interest in a share of Non-Cumulative Perpetual Preferred Stock, Series K
$18.58
+0.08
+0.43%
10.781K
$185.80M
$200.31K
4991
VNTGVantage Corp
$0.7540
+0.0235
+3.22%
10.723K
$23.93M
$8.09K
4992
GHCGRAHAM HOLDINGS COMPANY
$1,104.69
+1.37
+0.12%
10.623K
$3.69B
$11.74M
4993
TOPPToppoint Holdings Inc.
$0.9280
+0.0739
+8.65%
10.604K
$18.28M
$9.84K
4994
NWFLNorwood Financial Corp
$29.95
-0.09
-0.30%
10.567K
$326.18M
$316.48K
4995
IMTEIntegrated Media Technology Limited Ordinary Shares
$0.4855
-0.0335
-6.45%
10.518K
$1.67M
$5.11K
4996
LXEHLixiang Education Holding Co., Ltd. American Depositary Shares
$1.51
+0.03
+2.27%
10.482K
$2.83M
$15.87K
4997
FCRSFutureCrest Acquisition Corp.
$10.23
+0.02
+0.20%
10.469K
$367.64M
$107.10K
4998
HKPDHong Kong Pharma Digital Technology Holdings Limited Ordinary shares
$0.5299
-0.0201
-3.65%
10.447K
$8.66M
$5.54K
4999
KUSTKustom Entertainment, Inc. Common Stock
$3.17
-0.05
-1.55%
10.403K
$1.99M
$32.98K
5000
GEF.BGreif, Inc. Class B
$80.03
+0.79
+1.00%
10.383K
$1.71B
$830.95K