Stock Rankings by Volume - Rankings 501 to 600
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 501 to 600.
501
$184.19
563.602K
$42.53B
$103.81M
502
$1,050.49
98.7K
$50.46B
$103.68M
503
$88.78
1.167M
$8.24B
$103.61M
504
EWEdwards Lifesciences Corp $76.79
1.343M
$45.05B
$103.13M
505
$132.12
778.492K
$43.84B
$102.85M
506
TRGPTarga Resources Corp. $172.80
595.036K
$37.49B
$102.82M
507
$6.86
14.968M
$2.08B
$102.68M
508
AMPAmeriprise Financial, Inc. $543.30
188.546K
$51.73B
$102.44M
509
DRIDarden Restaurants, Inc. $220.27
464.358K
$25.78B
$102.28M
510
$414.84
245.92K
$22.14B
$102.02M
511
CFLTConfluent, Inc. Class A Common Stock $26.00
3.92M
$8.85B
$101.92M
512
$339.10
299.184K
$23.90B
$101.45M
513
FTAIFTAI Aviation Ltd. Common Stock $114.95
878.651K
$11.79B
$101.00M
514
SEZLSezzle Inc. Common Stock $181.52
554.75K
$6.04B
$100.70M
515
CNKCinemark Holdings, Inc. $30.71
3.277M
$3.53B
$100.64M
516
FOURShift4 Payments, Inc. $102.00
986.248K
$7.02B
$100.60M
517
FICOFair Isaac Corporation $1,857.27
54.155K
$45.21B
$100.58M
518
$148.63
674.945K
$7.95B
$100.32M
519
NDAQNasdaq, Inc. Common Stock $90.11
1.108M
$51.73B
$99.83M
520
BEBloom Energy Corporation $24.10
4.141M
$5.60B
$99.80M
521
EDConsolidated Edison, Inc. $100.31
994.606K
$36.14B
$99.77M
522
COOPMr. Cooper Group Inc. Common Stock $151.31
659.092K
$9.68B
$99.73M
523
$48.05
2.068M
$33.95B
$99.35M
524
$64.50
1.537M
$98.93B
$99.14M
525
MINMMinim, Inc. Common Stock $3.42
28.971M
$25.14M
$99.08M
526
$102.92
961.937K
$44.82B
$99.00M
527
$7,605.48
12.962K
$22.24B
$98.58M
528
$37.10
2.656M
$11.77B
$98.52M
529
$21.03
4.668M
$40.37B
$98.17M
530
$25.90
3.783M
$24.33B
$97.97M
531
CELHCelsius Holdings, Inc. Common Stock $46.41
2.098M
$11.97B
$97.35M
532
$86.40
1.124M
$29.70B
$97.13M
533
$115.89
834.499K
$21.01B
$96.71M
534
CHDChurch & Dwight Co., Inc. $98.41
980.315K
$24.24B
$96.47M
535
SJMThe J.M. Smucker Company $104.50
922.61K
$11.15B
$96.41M
536
STTState Street Corporation $110.31
873.216K
$31.46B
$96.32M
537
$43.13
2.214M
$49.48B
$95.49M
538
HIGThe Hartford Financial Services Group, Inc. $124.99
761.657K
$35.51B
$95.20M
539
$22.63
4.193M
$8.44B
$94.90M
540
$130.98
723.891K
$7.38B
$94.82M
541
NVTSNavitas Semiconductor Corporation Common Stock $6.41
14.755M
$1.23B
$94.58M
542
COOThe Cooper Companies, Inc. Common Stock $73.30
1.289M
$14.62B
$94.45M
543
ADMArcher Daniels Midland Company $55.29
1.707M
$26.56B
$94.40M
544
$59.17
1.578M
$8.01B
$93.39M
545
SBACSBA Communications Corp $233.93
398.746K
$25.13B
$93.28M
546
RFRegions Financial Corp. $24.41
3.794M
$21.94B
$92.60M
547
GTLBGitLab Inc. Class A Common Stock $46.30
1.995M
$7.65B
$92.37M
548
TEVATeva Pharmaceutical Industries Limited American Depositary Shares $17.08
5.364M
$19.59B
$91.62M
549
TWTradeweb Markets Inc. Class A Common Stock $138.98
656.873K
$29.66B
$91.29M
550
$53.07
1.716M
$45.45B
$91.06M
551
$152.37
595.13K
$9.00B
$90.68M
552
FUTUFutu Holdings Limited American Depositary Shares $121.38
746.542K
$16.90B
$90.62M
553
KTOSKratos Defense & Security Solutions, Inc. $44.72
2.009M
$7.53B
$89.81M
554
GRABGrab Holdings Limited Class A Ordinary Shares $4.88
18.286M
$20.13B
$89.25M
555
CRSPCRISPR Therapeutics AG $52.17
1.709M
$4.51B
$89.18M
556
$28.52
3.125M
$6.77B
$89.12M
557
$44.01
2.02M
$4.47B
$88.91M
558
$214.37
414.546K
$36.68B
$88.87M
559
$87.21
1.018M
$9.20B
$88.81M
560
$68.19
1.301M
$39.33B
$88.75M
561
$164.24
539K
$28.41B
$88.53M
562
$14.00
6.3M
$25.40B
$88.21M
563
$31.21
2.823M
$9.30B
$88.10M
564
$67.00
1.302M
$8.50B
$87.24M
565
FISFidelity National Information Services, Inc. $81.50
1.068M
$42.82B
$87.08M
566
AAPADVANCE AUTO PARTS INC $51.75
1.677M
$3.10B
$86.80M
567
CNPCenterPoint Energy, Inc. $35.94
2.413M
$23.46B
$86.74M
568
KNXKnight-Swift Transportation Holdings Inc. Class A Common Stock $47.39
1.825M
$7.68B
$86.47M
569
EXRExtra Space Storage, Inc. $152.88
564.05K
$32.44B
$86.23M
570
IRIngersoll Rand Inc. Common Stock $86.98
990.77K
$35.09B
$86.18M
571
ZETAZeta Global Holdings Corp. $15.46
5.569M
$3.64B
$86.09M
572
$106.54
806.215K
$15.03B
$85.89M
573
LBRDKLiberty Broadband Corporation Class C $100.56
852.228K
$14.41B
$85.70M
574
ARESAres Management Corporation Class A Common Stock $177.96
481.024K
$38.88B
$85.60M
575
RXRXRecursion Pharmaceuticals, Inc. Class A Common Stock $5.25
16.293M
$2.13B
$85.53M
576
DOCHealthpeak Properties, Inc. $18.38
4.641M
$12.77B
$85.30M
577
$91.61
930.657K
$17.87B
$85.26M
578
AAgilent Technologies Inc. $121.38
700.093K
$34.48B
$84.98M
579
$214.77
395.639K
$41.35B
$84.97M
580
$80.65
1.051M
$54.14B
$84.79M
581
HLNHaleon plc American Depositary Shares (Each representing two Ordinary Shares) $10.16
8.298M
$45.65B
$84.33M
582
$144.03
584.206K
$44.54B
$84.14M
583
$490.47
171.327K
$87.40B
$84.03M
584
$13.29
6.32M
$7.11B
$83.99M
585
VMCVulcan Materials Company(Holding Company) $266.24
314.395K
$35.17B
$83.70M
586
JLLJones Lang LaSalle, Inc. $260.64
320.301K
$12.37B
$83.48M
587
IPInternational Paper Co. $50.43
1.65M
$26.62B
$83.23M
588
DAVEDave Inc. Class A Common Stock $283.00
293.76K
$3.78B
$83.13M
589
LITELumentum Holdings Inc. Common Stock $92.75
894.291K
$6.44B
$82.95M
590
$10.76
7.687M
$26.32B
$82.72M
591
CARRCarrier Global Corporation $75.18
1.098M
$64.45B
$82.55M
592
$63.78
1.294M
$8.38B
$82.53M
593
$53.05
1.555M
$18.03B
$82.50M
594
$97.80
841.74K
$18.58B
$82.32M
595
CPCanadian Pacific Kansas City Limited $81.27
1.011M
$75.62B
$82.16M
596
CARTMaplebear Inc. Common Stock $47.20
1.726M
$12.31B
$81.45M
597
$1.82
44.742M
$1.63B
$81.42M
598
$261.81
309.247K
$32.52B
$80.96M
599
BBWIBath & Body Works, Inc. $33.14
2.443M
$7.01B
$80.96M
600
$50.00
1.606M
$27.64B
$80.29M