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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Volume (Day)
Market Cap
$ Volume (Day)
501
MBLYMobileye Global Inc. Class A Common Stock
$7.26
-0.02
-0.27%
3.823M
$1.77B
$27.76M
502
DDominion Energy, Inc Common Stock
$64.50
+0.21
+0.33%
3.803M
$56.69B
$245.27M
503
JDZGJIADE LIMITED Common stock
$2.08
+0.56
+36.85%
3.802M
$2.23M
$7.91M
504
PCORProcore Technologies, Inc.
$47.19
-2.51
-5.05%
3.784M
$7.08B
$178.56M
505
ARESAres Management Corporation Class A Common Stock
$100.22
-4.43
-4.23%
3.782M
$22.14B
$379.06M
506
BCRXBioCryst Pharmaceuticals Inc
$9.60
-0.35
-3.52%
3.774M
$2.41B
$36.23M
507
TEVATeva Pharmaceutical Industries Limited American Depositary Shares
$30.84
-0.48
-1.54%
3.771M
$35.91B
$116.27M
508
DXCDXC Technology Company
$11.51
-0.93
-7.49%
3.763M
$1.95B
$43.30M
509
CWANClearwater Analytics Holdings, Inc.
$23.96
-0.06
-0.25%
3.761M
$7.10B
$90.11M
510
ASSTAsset Entities Inc. Class B Common Stock
$10.66
+0.92
+9.45%
3.759M
$632.00M
$40.07M
511
WIXWIX.com Ltd.
$65.11
-2.53
-3.74%
3.747M
$3.80B
$243.95M
512
BENFranklin Resources, Inc.
$24.91
-0.09
-0.36%
3.745M
$12.97B
$93.29M
513
RUNSunrun Inc
$13.32
+0.40
+3.09%
3.741M
$3.12B
$49.83M
514
CLVTClarivate Plc
$2.18
-0.02
-0.91%
3.736M
$1.40B
$8.14M
515
USEGU.S. Energy Corp. Common Stock (DE)
$0.6876
-0.0384
-5.29%
3.733M
$30.44M
$2.57M
516
FSMFORTUNA Silver Mines Inc.
$10.42
-0.01
-0.10%
3.727M
$3.18B
$38.83M
517
ASNSActelis Networks, Inc. Common Stock
$0.0881
+0.0281
+46.83%
3.723M
$2.35M
$328.03K
518
SAILSailPoint, Inc. Common Stock
$10.50
-0.70
-6.25%
3.721M
$5.92B
$39.07M
519
ASPIASP Isotopes Inc. Common Stock
$4.40
+0.12
+2.80%
3.717M
$487.70M
$16.36M
520
UMACUnusual Machines, Inc.
$13.73
+1.21
+9.66%
3.71M
$534.93M
$50.94M
521
VNRXVolitionRX Limited Common Stock
$0.1656
-0.0101
-5.75%
3.707M
$26.24M
$613.85K
522
TTETotalEnergies SE
$92.20
+0.39
+0.42%
3.704M
$196.73B
$341.48M
523
NCNOnCino, Inc. Common Stock
$17.45
-0.41
-2.30%
3.698M
$2.00B
$64.53M
524
NEXTNextDecade Corporation Common Stock
$7.57
+0.16
+2.14%
3.665M
$2.01B
$27.74M
525
DELLDell Technologies Inc.
$177.75
-3.22
-1.78%
3.664M
$56.59B
$651.24M
526
HKITHitek Global Inc. Class A Ordinary Share
$1.15
+0.02
+1.73%
3.663M
$842.92K
$4.21M
527
SLSSELLAS Life Sciences Group, Inc. Common Stock
$4.81
-0.35
-6.82%
3.663M
$863.79M
$17.62M
528
AESIAtlas Energy Solutions Inc.
$11.37
-0.23
-1.98%
3.644M
$1.42B
$41.44M
529
MISTMilestone Pharmaceuticals Inc. Common Shares
$2.02
+0.09
+4.66%
3.604M
$237.69M
$7.28M
530
CARAvis Budget Group, Inc.
$301.06
+1.06
+0.35%
3.601M
$10.63B
$1.08B
531
ABSIAbsci Corporation Common Stock
$2.99
+0.04
+1.36%
3.59M
$457.53M
$10.73M
532
BCEBCE, Inc.
$23.35
-0.54
-2.26%
3.574M
$21.77B
$83.45M
533
RRCRange Resources Corp
$42.84
+0.28
+0.66%
3.57M
$10.09B
$152.95M
534
BXBlackstone Inc.
$115.25
-2.42
-2.06%
3.565M
$85.54B
$410.92M
535
BABoeing Company
$217.84
-1.69
-0.77%
3.564M
$171.08B
$776.47M
536
VEEVVeeva Systems Inc.
$152.75
-3.86
-2.46%
3.563M
$24.95B
$544.31M
537
PMPhilip Morris International Inc.
$160.45
-0.81
-0.50%
3.562M
$250.07B
$571.50M
538
STNEStoneCo Ltd. Class A Common Shares
$14.06
-0.04
-0.28%
3.544M
$3.78B
$49.83M
539
LENLennar Corporation Class A
$88.51
-0.99
-1.10%
3.537M
$19.10B
$313.11M
540
RMSGReal Messenger Corporation Ordinary Shares
$0.6050
+0.1750
+40.70%
3.536M
$2.92M
$2.14M
541
RITMRithm Capital Corp.
$9.95
+0.04
+0.40%
3.535M
$5.53B
$35.18M
542
AVTRAvantor, Inc.
$7.82
-0.15
-1.86%
3.532M
$5.33B
$27.63M
543
NLYAnnaly Capital Management. Inc.
$22.14
+0.11
+0.50%
3.522M
$15.91B
$77.97M
544
FLEXFlex Ltd. Ordinary Shares
$77.24
+2.03
+2.70%
3.493M
$28.40B
$269.82M
545
BEKEKE Holdings Inc. American Depositary Shares (each representing three Class A Ordinary Shares)
$15.82
+0.29
+1.85%
3.484M
$17.88B
$55.11M
546
CNCCentene Corporation
$37.35
-0.46
-1.21%
3.479M
$18.37B
$129.92M
547
MSMorgan Stanley
$177.82
+0.21
+0.12%
3.473M
$281.20B
$617.64M
548
AMKRAmkor Technology Inc
$58.03
+2.89
+5.24%
3.448M
$14.38B
$200.10M
549
GLMDGalmed Pharmaceuticals Ltd.
$0.7145
-0.0155
-2.12%
3.448M
$4.70M
$2.46M
550
PKPark Hotels & Resorts Inc. Common Stock
$11.20
+0.06
+0.54%
3.44M
$2.25B
$38.53M
551
VEEETwin Vee PowerCats Co. Common Stock
$0.2552
-0.0419
-14.10%
3.438M
$2.20M
$877.36K
552
INVHInvitation Homes Inc. Common Stock
$26.01
+0.10
+0.39%
3.411M
$15.59B
$88.71M
553
IVZInvesco LTD
$23.58
+0.03
+0.13%
3.409M
$10.45B
$80.38M
554
LUVSouthwest Airlines Co.
$39.70
-0.52
-1.29%
3.404M
$19.50B
$135.15M
555
KKRKKR & Co. Inc.
$91.22
-1.76
-1.89%
3.4M
$81.33B
$310.17M
556
BTIBritish American Tobacco p.l.c. American Depositary Shares, American Depositary Shares, each representing one Ordinary Share
$58.81
+0.04
+0.07%
3.395M
$127.79B
$199.64M
557
FLOFlowers Foods, Inc.
$8.25
+0.11
+1.29%
3.393M
$1.74B
$27.98M
558
BFRGBullfrog AI Holdings, Inc. Common Stock
$0.9199
-0.1130
-10.94%
3.392M
$11.65M
$3.12M
559
BBWIBath & Body Works, Inc.
$18.12
-0.30
-1.61%
3.389M
$3.64B
$61.41M
560
SUSuncor Energy, Inc.
$64.33
+1.16
+1.84%
3.386M
$76.35B
$217.80M
561
EVHEvolent Health, Inc Class A Common Stock
$2.35
-0.11
-4.47%
3.382M
$262.35M
$7.95M
562
SBSWSibanye-Stillwater American Depositary Shares, each representing four ordinary shares
$12.83
-0.15
-1.15%
3.371M
$9.08B
$43.25M
563
DLTRDollar Tree Inc.
$100.56
-2.44
-2.37%
3.361M
$19.84B
$338.02M
564
PEPPepsiCo, Inc.
$157.24
-0.69
-0.44%
3.361M
$214.94B
$528.45M
565
OVIDOvid Therapeutics Inc. Common Stock
$2.75
-0.06
-2.10%
3.36M
$362.77M
$9.24M
566
GOROGold Resource Corporation
$1.51
+0.05
+3.16%
3.355M
$243.78M
$5.05M
567
NXENexGen Energy Ltd.
$11.38
-0.10
-0.87%
3.347M
$7.52B
$38.09M
568
SVMSilvercorp Metals Inc. Common Shares
$11.56
+0.47
+4.24%
3.338M
$2.55B
$38.59M
569
ASMAvino Silver & Gold Mines Ltd. (Canada)
$7.03
-0.02
-0.28%
3.329M
$1.19B
$23.40M
570
TMCTMC the metals company Inc. Common Stock
$4.36
-0.05
-1.14%
3.318M
$1.89B
$14.47M
571
STZConstellation Brands, Inc.
$166.76
+4.75
+2.93%
3.303M
$28.91B
$550.75M
572
NUVBNuvation Bio Inc.
$4.48
-0.18
-3.86%
3.301M
$1.55B
$14.79M
573
LADRLADDER CAPITAL CORP
$9.90
-0.10
-1.00%
3.275M
$1.26B
$32.42M
574
KSSKohls Corporation
$13.33
-0.27
-1.99%
3.269M
$1.50B
$43.58M
575
NATNordic American Tanker
$5.73
-0.22
-3.70%
3.251M
$1.21B
$18.63M
576
PACBPacific Biosciences of California, Inc.
$1.37
-0.01
-0.60%
3.245M
$414.25M
$4.45M
577
TENBTenable Holdings, Inc.
$16.23
-0.27
-1.64%
3.243M
$1.86B
$52.63M
578
DHID.R. Horton Inc.
$142.64
-1.36
-0.94%
3.223M
$41.32B
$459.72M
579
CFGCitizens Financial Group, Inc.
$64.17
-0.80
-1.23%
3.211M
$27.27B
$206.03M
580
ULUnilever plc
$58.58
+0.33
+0.57%
3.21M
$127.99B
$188.06M
581
FTVFortive Corporation
$59.05
-1.25
-2.07%
3.209M
$18.18B
$189.51M
582
GPNGlobal Payments, Inc.
$65.44
-1.01
-1.52%
3.206M
$18.01B
$209.79M
583
CXMSprinklr, Inc.
$5.40
-0.22
-3.88%
3.205M
$797.61M
$17.31M
584
AFRMAffirm Holdings, Inc. Class A Common Stock
$48.56
-0.54
-1.10%
3.204M
$14.20B
$155.58M
585
DOCSDoximity, Inc.
$21.05
-0.15
-0.71%
3.203M
$2.82B
$67.43M
586
KALAKALA BIO, Inc. Common Stock
$0.2100
+0.0208
+10.99%
3.2M
$191.38M
$671.95K
587
BHPBHP Group Limited American Depositary Shares (Each representing two Ordinary Shares)
$76.82
+0.36
+0.47%
3.198M
$195.08B
$245.68M
588
CLSCelestica, Inc.
$351.94
+20.54
+6.20%
3.193M
$40.46B
$1.12B
589
IAGIAMGold Corporation
$20.01
+0.34
+1.74%
3.189M
$11.76B
$63.82M
590
GPKGraphic Packaging Holding Company
$9.67
-0.03
-0.31%
3.172M
$2.86B
$30.67M
591
MGMMGM RESORTS INTERNATIONAL
$37.23
+0.49
+1.34%
3.171M
$9.53B
$118.05M
592
TMUST-Mobile US, Inc.
$195.98
-3.07
-1.54%
3.171M
$215.94B
$621.36M
593
MPTMedical Properties Trust, Inc.
$4.93
+0.05
+1.03%
3.164M
$2.95B
$15.60M
594
YSSYork Space Systems Inc.
$33.00
-2.40
-6.78%
3.16M
$4.21B
$104.27M
595
SRADSportradar Group AG Class A Ordinary Shares
$15.68
+0.38
+2.48%
3.159M
$3.47B
$49.53M
596
BTUPeabody Energy Corporation
$28.43
+0.59
+2.14%
3.157M
$3.46B
$89.76M
597
WOLFWolfspeed, Inc.
$23.51
-1.10
-4.45%
3.151M
$1.06B
$74.08M
598
STXSeagate Technology Holdings PLC Ordinary Shares (Ireland)
$503.58
-1.42
-0.28%
3.147M
$109.82B
$1.58B
599
PCTPureCycle Technologies, Inc. Common stock
$5.97
+0.48
+8.73%
3.14M
$1.08B
$18.74M
600
NVAXNovavax Inc
$8.16
-0.41
-4.78%
3.135M
$1.33B
$25.58M