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
EGHA EGH Acquisition Corp. Class A Ordinary Shares $10.34
14.698K
$160.27M
$151.98K
4902
VIRC Virco Mfg. Corporation $5.99
14.688K
$94.22M
$87.98K
4903
CLGN CollPlant Biotechnologies Ltd Ordinary Shares $0.4264
14.683K
$6.15M
$6.26K
4904
$23.62
14.67K
$402.20M
$346.51K
4905
MODD Modular Medical, Inc. Common Stock $4.50
14.655K
$24.35M
$65.95K
4906
BAFN BayFirst Financial Corp. Common Stock $6.41
14.636K
$26.33M
$93.82K
4907
FSEA First Seacoast Bancorp, Inc. Common Stock $16.66
14.582K
$78.16M
$242.94K
4908
CPBI Central Plains Bancshares, Inc. Common Stock $18.75
14.43K
$78.85M
$270.56K
4909
HIND Vyome Holdings, Inc. Common Stock $2.23
14.412K
$15.65M
$32.14K
4910
GLMD Galmed Pharmaceuticals Ltd. $0.5685
14.408K
$3.74M
$8.19K
4911
REVB Revelation Biosciences, Inc. Common Stock $1.06
14.259K
$4.14M
$15.11K
4912
MLAC Mountain Lake Acquisition Corp. Class A Ordinary Shares $10.60
14.154K
$328.52M
$150.03K
4913
EHLD Euroholdings Ltd. Common Stock $8.58
14.139K
$24.16M
$121.28K
4914
NICM Nicola Mining Inc. American Depositary Shares $6.39
14.068K
$122.22M
$89.89K
4915
$1.19
14.065K
$7.89M
$16.74K
4916
PCB PCB Bancorp Common Stock $24.51
14.061K
$348.89M
$344.64K
4917
SNSE Sensei Biotherapeutics, Inc. Common Stock $18.04
14.059K
$24.21M
$253.62K
4918
TRGS TRG Latin America Acquisitions Corp. Class A Ordinary Shares $9.87
14K
$205.86M
$138.18K
4919
ALAR Alarum Technologies Ltd. American Depositary Share $7.79
13.986K
$57.14M
$108.88K
4920
SNT Senstar Technologies Corporation Common Shares $2.76
13.827K
$64.40M
$38.16K
4921
$54.58
13.817K
$548.03M
$754.13K
4922
TSBK Timberland Bancorp Inc $40.09
13.741K
$313.82M
$550.88K
4923
GNLN Greenlane Holdings, Inc. Class A Common Stock $3.14
13.73K
$1.98M
$43.11K
4924
AACG ATA Creativity Global American Depositary Shares $1.20
13.711K
$51.64M
$16.45K
4925
CITR General Enterprise Ventures, Inc. $7.28
13.642K
$162.76M
$99.31K
4926
INTS Intensity Therapeutics, Inc. Common stock $4.67
13.625K
$12.62M
$63.63K
4927
DAAQ Digital Asset Acquisition Corp. Class A Ordinary shares $10.32
13.624K
$178.02M
$140.60K
4928
RADX Radiopharm Theranostics Limited American Depositary Shares $4.55
13.597K
$53.75M
$61.86K
4929
BBGI Beasley Broadcasting Group Inc $15.29
13.569K
$14.88M
$207.47K
4930
SGA Saga Communications, Inc. Class A Common Stock (FL) $9.58
13.513K
$60.99M
$129.50K
4931
FENG Phoenix New Media Limited American Depositary Shares (each representing forty-eight (48) Class A Ordinary Shares) $1.67
13.502K
$9.02M
$22.55K
4932
FRSX Foresight Autonomous Holdings Ltd. American Depositary Shares $2.00
13.418K
$4.79M
$26.84K
4933
NAII Natural Alternatives International Inc. $2.52
13.356K
$15.57M
$33.66K
4934
TCRT Alaunos Therapeutics, Inc. Common Stock $2.56
13.352K
$6.15M
$34.18K
4935
IPHA Innate Pharma S.A. ADS $1.90
13.339K
$178.45M
$25.34K
4936
ALIS Calisa Acquisition Corp Ordinary shares $10.06
13.3K
$84.78M
$133.80K
4937
RETO ReTo Eco-Solutions, Inc. Common Shares $2.55
13.262K
$8.98M
$33.82K
4938
GROV Grove Collaborative Holdings, Inc. $1.24
13.19K
$52.11M
$16.36K
4939
XCUR Exicure, Inc. Common Stock $2.70
13.183K
$17.21M
$35.59K
4940
FGL Founder Group Limited Ordinary Shares $1.88
13.146K
$658.38K
$24.71K
4941
$6,036.99
13.115K
$16.30B
$79.18M
4942
HYFM Hydrofarm Holdings Group, Inc. Common Stock $0.9895
12.952K
$4.71M
$12.82K
4943
SEED Origin Agritech Limited $1.15
12.922K
$13.71M
$14.86K
4944
LBGJ Li Bang International Corporation Inc. Ordinary Shares $0.9484
12.82K
$3.04M
$12.16K
4945
KMRK K-Tech Solutions Company Limited Class A Ordinary Shares $2.07
12.74K
$35.19M
$26.37K
4946
JMSB John Marshall Bancorp, Inc. Common Stock $21.06
12.712K
$297.20M
$267.71K
4947
BLRK Bluerock Acquisition Corp. Class A Ordinary Shares $9.95
12.705K
$171.64M
$126.41K
4948
BCAB BioAtla, Inc. Common Stock $3.75
12.693K
$6.21M
$47.60K
4949
CDRO Codere Online Luxembourg, S.A. Ordinary Shares $9.35
12.591K
$423.09M
$117.73K
4950
KPLT Katapult Holdings, Inc. Common Stock $6.10
12.585K
$29.07M
$76.77K
4951
ROMA Roma Green Finance Limited Ordinary Shares $7.44
12.536K
$397.72M
$93.21K
4952
RICK RCI Hospitality Holdings, Inc. $24.33
12.533K
$186.16M
$304.93K
4953
RDAG Republic Digital Acquisition Company Class A Ordinary Shares $10.30
12.438K
$309.00M
$128.11K
4954
ANPA Rich Sparkle Holdings Limited Ordinary Shares $6.57
12.315K
$99.22M
$80.91K
4955
CLLS Cellectis S.A. American Depositary Shares $3.50
12.277K
$252.33M
$42.97K
4956
$2.72
12.229K
$29.10M
$33.26K
4957
CMCM Cheetah Mobile Inc. American Depositary Shares, each representing fifty (50) Class A Ordinary Shares $4.77
12.214K
$49.43M
$58.26K
4958
RFL Rafael Holdings, Inc. Class B Common Stock $1.33
12.193K
$68.13M
$16.22K
4959
DYOR Insight Digital Partners II Class A Ordinary Shares $10.03
12.12K
$173.02M
$121.56K
4960
UONE Urban One, Inc. Class A Common Stock $5.91
12.038K
$3.63M
$71.14K
4961
AIHS Senmiao Technology Limited Common Stock $1.17
11.972K
$5.33M
$14.01K
4962
NWAX New America Acquisition I Corp. $10.13
11.945K
$377.85M
$121.00K
4963
$7.66
11.927K
$27.06M
$91.36K
4964
$16.58
11.919K
$213.09M
$197.62K
4965
FTLF FitLife Brands, Inc. Common Stock $10.06
11.879K
$94.47M
$119.50K
4966
$2.44
11.867K
$74.39M
$28.96K
4967
$0.7091
11.839K
$8.42M
$8.40K
4968
REBN Reborn Coffee, Inc. Common Stock $2.19
11.815K
$17.97M
$25.86K
4969
AFRI Forafric Global PLC Ordinary Shares $9.87
11.743K
$265.30M
$115.90K
4970
WTM White Mountains Insurance Group Ltd. $2,146.85
11.709K
$5.32B
$25.14M
4971
BVFL BV Financial, Inc. Common Stock $19.79
11.669K
$171.36M
$230.93K
4972
MARPS Marine Petroleum Trust $4.98
11.646K
$9.96M
$57.99K
4973
KBSX FST Corp. Ordinary Shares $1.39
11.616K
$62.06M
$16.10K
4974
FTRK FAST TRACK GROUP Ordinary shares $0.4794
11.613K
$10.46M
$5.57K
4975
TGL Treasure Global Inc. Common Stock $3.99
11.53K
$6.69M
$46.00K
4976
$246.36
11.488K
$1.26B
$2.83M
4977
BGMS Bio Green Med Solution, Inc. Common Stock $0.9700
11.416K
$5.35M
$11.07K
4978
EVOX Evolution Global Acquisition Corp Class A Ordinary Shares $10.02
11.4K
$240.48M
$114.23K
4979
$2.11
11.289K
$24.36M
$23.76K
4980
TPCS Techprecision Corporation $3.89
11.272K
$38.94M
$43.85K
4981
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 $25.10
11.256K
$326.30M
$282.53K
4982
MGIH Millennium Group International Holdings Limited Ordinary Shares $1.43
11.228K
$16.09M
$16.06K
4983
GGR Gogoro Inc. Ordinary Shares $4.01
11.213K
$59.24M
$44.96K
4984
JCSE JE Cleantech Holdings Limited Ordinary Shares $1.26
11.186K
$2.21M
$14.09K
4985
SVRE SaverOne 2014 Ltd. American Depositary Shares $4.23
11.057K
$3.96M
$46.81K
4986
ZNB Zeta Network Group Class A Ordinary Shares $1.76
10.99K
$2.36M
$19.34K
4987
IPEX Inflection Point Acquisition Corp. V Class A Ordinary Shares $10.48
10.915K
$114.44M
$114.39K
4988
$41.31
10.857K
$306.37M
$448.50K
4989
AMTD AMTD IDEA Group American Depositary Shares, each representing six (6) Class A Ordinary Shares $0.9800
10.844K
$55.06M
$10.63K
4990
FITBO Fifth Third Bancorp Depositary Shares each representing a 1/1000th ownership interest in a share of Non-Cumulative Perpetual Preferred Stock, Series K $18.58
10.781K
$185.80M
$200.31K
4991
$0.7540
10.723K
$23.93M
$8.09K
4992
GHC GRAHAM HOLDINGS COMPANY $1,104.69
10.623K
$3.69B
$11.74M
4993
TOPP Toppoint Holdings Inc. $0.9280
10.604K
$18.28M
$9.84K
4994
NWFL Norwood Financial Corp $29.95
10.567K
$326.18M
$316.48K
4995
IMTE Integrated Media Technology Limited Ordinary Shares $0.4855
10.518K
$1.67M
$5.11K
4996
LXEH Lixiang Education Holding Co., Ltd. American Depositary Shares $1.51
10.482K
$2.83M
$15.87K
4997
FCRS FutureCrest Acquisition Corp. $10.23
10.469K
$367.64M
$107.10K
4998
HKPD Hong Kong Pharma Digital Technology Holdings Limited Ordinary shares $0.5299
10.447K
$8.66M
$5.54K
4999
KUST Kustom Entertainment, Inc. Common Stock $3.17
10.403K
$1.99M
$32.98K
5000
$80.03
10.383K
$1.71B
$830.95K