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
MB MasterBeef Group Ordinary Shares $4.00
15.101K
$68.00M
$60.40K
4902
MATH Metalpha Technology Holding Limited Ordinary Shares $0.9840
15.097K
$46.36M
$14.86K
4903
HIFS Hingham Institution for Saving $291.33
15.096K
$613.54M
$4.40M
4904
CTOR Citius Oncology, Inc. Common Stock $0.7213
15.075K
$67.07M
$10.87K
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 $74.47
15.067K
$2.01B
$1.12M
4906
$1.73
15.052K
$147.15M
$26.04K
4907
FGMC FG Merger II Corp. Common stock $10.10
15.052K
$103.99M
$152.03K
4908
POLA Polar Power, Inc. Common Stock $1.65
14.957K
$6.01M
$24.68K
4909
GLMD Galmed Pharmaceuticals Ltd. $0.5586
14.834K
$3.68M
$8.29K
4910
AKAN Akanda Corp. Common Shares $10.05
14.759K
$5.44M
$148.33K
4911
ATHR Aether Holdings, Inc. Common Stock $4.31
14.701K
$52.34M
$63.36K
4912
$33.47
14.654K
$281.60M
$490.47K
4913
IMA ImageneBio, Inc. Common Stock $5.90
14.636K
$66.55M
$86.35K
4914
BNR Burning Rock Biotech Limited American Depositary Shares $11.70
14.626K
$103.12M
$171.12K
4915
AERT Aeries Technology, Inc. Class A Ordinary Share $7.20
14.607K
$41.32M
$105.17K
4916
$10.47
14.606K
$81.92M
$152.92K
4917
$3.87
14.603K
$36.64M
$56.51K
4918
AMOD Alpha Modus Holdings, Inc. Class A Common Stock $4.00
14.538K
$5.53M
$58.16K
4919
OTAI Starlink AI Acquisition Corporation $9.93
14.524K
$136.57M
$144.24K
4920
$1.11
14.501K
$7.33M
$16.02K
4921
XLO Xilio Therapeutics, Inc. Common Stock $9.20
14.452K
$60.49M
$132.96K
4922
ARCI Archimedes Tech SPAC Partners III Co. Ordinary Share $10.05
14.37K
$354.38M
$144.42K
4923
TELA TELA Bio, Inc. Common Stock $0.8580
14.359K
$38.41M
$12.32K
4924
VIRC Virco Mfg. Corporation $6.08
14.334K
$95.64M
$87.15K
4925
RVSN Rail Vision Ltd. Ordinary Share $4.88
14.324K
$10.69M
$69.87K
4926
DOYU DouYu International Holdings Limited ADS $4.45
14.292K
$134.30M
$63.60K
4927
BOTJ Bank of the James Financial Group, Inc $25.40
14.233K
$115.40M
$361.52K
4928
BMGL Basel Medical Group Ltd Ordinary Shares $5.88
14.149K
$9.21M
$83.20K
4929
BOXL Boxlight Corporation Class A Common Stock $4.56
14.096K
$3.17M
$64.35K
4930
MNY MoneyHero Limited Class A Ordinary Shares $0.9349
14.06K
$28.58M
$13.14K
4931
$4.11
14.057K
$44.63M
$57.77K
4932
PARK Park Dental Partners, Inc. Common Stock $20.10
14.026K
$90.75M
$281.92K
4933
MLCI Mount Logan Capital Inc. Common Stock $3.53
13.924K
$39.50M
$49.15K
4934
GENC Gencor Industries, Inc. $15.26
13.879K
$188.29M
$211.79K
4935
FENG Phoenix New Media Limited American Depositary Shares (each representing forty-eight (48) Class A Ordinary Shares) $1.50
13.877K
$8.10M
$20.82K
4936
ZJK ZJK Industrial Co., Ltd. Ordinary Shares $1.90
13.823K
$105.11M
$26.26K
4937
ODYS Odysight.ai Inc. Common Stock $4.31
13.795K
$72.44M
$59.46K
4938
SGA Saga Communications, Inc. Class A Common Stock (FL) $9.06
13.787K
$57.66M
$124.91K
4939
IZEA IZEA Worldwide, Inc. Common Stock $3.36
13.783K
$58.84M
$46.31K
4940
ALOV Aldabra 4 Liquidity Opportunity Vehicle, Inc. Class A Ordinary Shares $9.97
13.753K
$299.25M
$137.12K
4941
$2.47
13.747K
$20.36M
$33.96K
4942
AMBR Amber International Holding Limited American Depositary Shares $1.40
13.737K
$121.23M
$19.23K
4943
$0.5764
13.69K
$2.60M
$7.89K
4944
$3.01
13.649K
$35.25M
$41.08K
4945
GBR New Concept Energy Inc $0.7000
13.63K
$3.59M
$9.54K
4946
WAVE Eco Wave Power Global AB (publ) American Depositary Shares $8.66
13.578K
$48.06M
$117.59K
4947
MTC MMTec, Inc. Common Shares $2.49
13.49K
$247.97M
$33.59K
4948
SONM Sonim Technologies, Inc. Common Stock $4.03
13.487K
$6.00M
$54.35K
4949
SMSI Smith Micro Software Inc $2.66
13.485K
$13.60M
$35.87K
4950
TIL Instil Bio, Inc. Common Stock $7.66
13.426K
$51.95M
$102.84K
4951
HWH HWH International Inc. Common Stock $1.24
13.402K
$9.58M
$16.62K
4952
EVO Evotec SE American Depositary Shares $2.84
13.387K
$1.01B
$38.02K
4953
BPYPM Brookfield Property Partners L.P. 6.25% Class A Cumulative Redeemable Preferred Units, Series 1 $16.16
13.331K
$429.40M
$215.43K
4954
LPA Logistic Properties of the Americas $3.21
13.128K
$101.49M
$42.14K
4955
DXLG Destination XL Group, Inc. Common Stock $0.6332
13.065K
$35.00M
$8.27K
4956
$43.90
13.058K
$283.01M
$573.25K
4957
APM Aptorum Group Limited Class A Ordinary Shares $0.7852
13.033K
$4.98M
$10.23K
4958
$15.75
13.032K
$322.58M
$205.25K
4959
FSI Flexible Solutions International, Inc. $5.95
12.975K
$75.85M
$77.20K
4960
SLNG Stabilis Solutions, Inc. Common Stock $3.92
12.972K
$72.90M
$50.85K
4961
LSBK Lake Shore Bancorp, Inc. $17.00
12.94K
$133.67M
$219.98K
4962
KLRS Kalaris Therapeutics, Inc. Common Stock $4.49
12.871K
$106.83M
$57.79K
4963
$6,471.44
12.818K
$17.47B
$82.95M
4964
LSTA Lisata Therapeutics, Inc. Common Stock $3.59
12.81K
$32.69M
$45.99K
4965
SNFCA Security National Financial Co $9.99
12.666K
$224.28M
$126.53K
4966
$6.10
12.66K
$298.06M
$77.23K
4967
NINE Nine Energy Service, Inc. $11.42
12.641K
$159.31M
$144.36K
4968
BTTC Black Titan Corporation Ordinary Shares $0.8026
12.582K
$8.65M
$10.10K
4969
LSH Lakeside Holding Limited Common Stock $0.4362
12.577K
$15.02M
$5.49K
4970
CLIK Click Holdings Limited Ordinary Share $1.46
12.575K
$10.86M
$18.36K
4971
PDC Perpetuals.com Ltd American Depositary Shares $5.01
12.573K
$22.87M
$62.99K
4972
YDKG Yueda Digital Holding Class A Ordinary Share $0.8500
12.555K
$4.71M
$10.67K
4973
NTIP Network-1 Technologies, Inc. $1.47
12.526K
$33.61M
$18.41K
4974
$271.66
12.513K
$1.39B
$3.40M
4975
WYHG Wing Yip Food Holdings Group Limited American Depositary Shares $4.27
12.509K
$53.73M
$53.41K
4976
$272.37
12.46K
$514.23M
$3.39M
4977
TKLF Yoshitsu Co., Ltd American Depositary Shares $2.12
12.46K
$8.97M
$26.42K
4978
CRAC Crown Reserve Acquisition Corp. I Class A Ordinary Shares $10.12
12.444K
$182.73M
$125.93K
4979
INM InMed Pharmaceuticals Inc. Common Shares $1.66
12.397K
$5.50M
$20.58K
4980
COE 51Talk Online Education Group American Depositary Shares, each representing sixty (60) Class A Ordinary Shares $16.70
12.313K
$71.48M
$205.63K
4981
LXEH Lixiang Education Holding Co., Ltd. American Depositary Shares $1.44
12.31K
$2.70M
$17.73K
4982
QTI QT Imaging Holdings, Inc. Common Stock $3.71
12.305K
$51.08M
$45.65K
4983
BCSS Bain Capital GSS Investment Corp. $10.22
12.29K
$479.32M
$125.60K
4984
CREX CREATIVE REALITIES, INC. $3.88
12.231K
$41.01M
$47.46K
4985
SRBK SR Bancorp, Inc. Common stock $18.96
12.195K
$153.58M
$231.22K
4986
SOGP Sound Group Inc. American Depositary Shares $10.45
12.162K
$31.96M
$127.09K
4987
TWG Top Wealth Group Holding Limited Ordinary Shares $2.27
12.157K
$44.45M
$27.60K
4988
HUHU HUHUTECH International Group Inc. Ordinary Shares $7.18
12.151K
$183.05M
$87.24K
4989
AKTX Akari Therapeutics plc ADR (0.01 USD) $13.16
12.128K
$15.06M
$159.60K
4990
PBHC Pathfinder Bancorp Inc $15.91
12.09K
$77.58M
$192.35K
4991
VSA TCTM Kids IT Education Inc. American Depositary Shares $3.42
12.041K
$2.12M
$41.18K
4992
UPLD Upland Software, Inc. $4.85
12.031K
$14.24M
$58.35K
4993
CNF CNFinance Holdings Limited American Depositary Shares ("ADSs"), each representing twenty (20) Ordinary Shares $2.70
11.983K
$18.52M
$32.35K
4994
DUKR DUKE Robotics Corp. Common Stock $5.64
11.972K
$19.22M
$67.52K
4995
$37.55
11.884K
$357.93M
$446.24K
4996
NEXM NexMetals Mining Corp. Common Shares $2.31
11.883K
$82.35M
$27.45K
4997
AESP Aeon Acquisition I Corp. Class A Ordinary Shares $9.89
11.878K
$142.10M
$117.41K
4998
CSBR Champions Oncology, Inc. $5.81
11.847K
$80.68M
$68.83K
4999
KBSX FST Corp. Ordinary Shares $0.8800
11.816K
$39.39M
$10.40K
5000
BGSI Boyd Group Services Inc. $95.81
11.787K
$2.67B
$1.13M