Stock Rankings by Volume - Rankings 601 to 700
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 601 to 700.
601
$34.40
6.1K
$807.15M
$209.84K
602
SGISomnigroup International Inc. $55.00
3.812K
$11.47B
$209.66K
603
$24.15
8.669K
$4.73B
$209.36K
604
RRRichtech Robotics Inc. Class B Common Stock $2.10
99.61K
$241.18M
$209.26K
605
$473.20
442
$19.15B
$209.15K
606
CLOVClover Health Investments, Corp $3.84
54.417K
$1.94B
$208.96K
607
CTMXCytomX Therapeutics, Inc. $0.9900
210.813K
$79.30M
$208.70K
608
ACLSAxcelis Technologies Inc $59.07
3.525K
$1.90B
$208.22K
609
WGSGeneDx Holdings Corp. Class A Common Stock $58.30
3.565K
$1.66B
$207.84K
610
$167.22
1.242K
$11.73B
$207.69K
611
EBSEmergent Biosolutions, Inc. $5.49
37.672K
$297.47M
$206.82K
612
SPHRSphere Entertainment Co. $30.80
6.708K
$1.11B
$206.61K
613
$4.83
42.627K
$790.44M
$205.89K
614
$27.65
7.427K
$3.95B
$205.36K
615
KLACKLA Corporation Common Stock $707.40
288
$93.55B
$203.73K
616
CRONCronos Group Inc. Common Share $2.00
101.748K
$765.06M
$203.50K
617
GOGLGolden Ocean Group Limited Common Stock $7.62
26.614K
$1.52B
$202.80K
618
MLMMartin Marietta Materials $539.01
374
$32.49B
$201.59K
619
$21.74
9.213K
$286.87M
$200.29K
620
MKTXMarketAxess Holdings Inc. $229.64
866
$8.54B
$198.87K
621
LNCLincoln National Corp. $34.61
5.734K
$5.91B
$198.45K
622
SLNOSoleno Therapeutics, Inc. Common Stock $77.51
2.541K
$3.87B
$196.95K
623
$11.47
17.102K
$884.13M
$196.16K
624
EXKEndeavour Silver Corp. $3.49
56.017K
$960.48M
$195.50K
625
STNEStoneCo Ltd. Class A Common Shares $13.42
14.558K
$3.64B
$195.37K
626
$109.00
1.791K
$59.49B
$195.22K
627
$67.50
2.866K
$3.81B
$193.46K
628
DVNDevon Energy Corporation $30.62
6.294K
$19.86B
$192.72K
629
$51.50
3.74K
$5.53B
$192.61K
630
CDIOCardio Diagnostics Holdings Inc. Common stock $0.2000
958.211K
$10.43M
$191.64K
631
CHYCalamos Convertible and High Income Fund $10.23
18.7K
$797.58M
$191.30K
632
TJXTJX Companies, Inc. (The) $129.31
1.474K
$144.37B
$190.60K
633
DOCUDocuSign, Inc. Common Stock $83.43
2.279K
$16.89B
$190.14K
634
$335.94
565
$89.74B
$189.81K
635
ICEIntercontinental Exchange Inc. $177.77
1.067K
$102.07B
$189.68K
636
$31.09
6.088K
$2.28B
$189.28K
637
AREBAmerican Rebel Holdings, Inc. Common Stock $3.00
62.955K
$7.11M
$188.87K
638
TOVXTheriva Biologics, Inc. $0.7385
254.96K
$2.05M
$188.29K
639
$18.00
10.46K
$634.57M
$188.28K
640
RITRReitar Logtech Holdings Limited Ordinary shares $3.75
50K
$234.16M
$187.50K
641
$77.10
2.431K
$12.20B
$187.43K
642
$112.50
1.66K
$12.35B
$186.75K
643
BKSYBlackSky Technology Inc. $9.69
19.031K
$303.83M
$184.41K
644
$253.74
726
$30.62B
$184.22K
645
INSPInspire Medical Systems, Inc. $158.91
1.159K
$4.69B
$184.18K
646
GEHCGE HealthCare Technologies Inc. Common Stock $69.50
2.644K
$31.82B
$183.76K
647
MTSIMACOM Technology Solutions Holdings, Inc $121.50
1.508K
$8.76B
$183.22K
648
FSMFORTUNA Silver Mines Inc. $6.25
29.13K
$1.92B
$182.06K
649
SATLSatellogic Inc. Class A Ordinary Shares $4.27
42.472K
$441.98M
$181.36K
650
CHKPCheck Point Software Technologies Ltd $223.00
810
$24.17B
$180.63K
651
TMCTMC the metals company Inc. Common Stock $2.96
61.02K
$1.06B
$180.62K
652
PGRProgressive Corporation $287.20
628
$168.36B
$180.36K
653
CACICACI INTERNATIONAL CLA $478.00
377
$10.51B
$180.21K
654
$17.18
10.485K
$3.82B
$180.13K
655
MSIMotorola Solutions, Inc. New $417.50
431
$69.63B
$179.94K
656
CIVICivitas Resources, Inc. $26.75
6.711K
$2.48B
$179.52K
657
$15.80
11.319K
$1.92B
$178.84K
658
VMIValmont Industries, Inc. $304.60
586
$6.11B
$178.50K
659
$203.20
876
$16.14B
$178.00K
660
GAMBGambling.com Group Limited Ordinary Shares $13.64
13.013K
$485.52M
$177.50K
661
$2.84
62.498K
$29.71B
$177.49K
662
PHIOPhio Pharmaceuticals Corp. Common Stock $1.99
88.59K
$9.51M
$176.29K
663
$19.12
9.158K
$6.30B
$175.10K
664
$5.05
34.645K
$1.78B
$174.96K
665
DKLDELEK LOGISTICS PARTNERS, LP $38.00
4.602K
$2.04B
$174.88K
666
$7.75
22.519K
$1.46B
$174.52K
667
BRBroadridge Financial Solutions Inc $238.16
731
$27.98B
$174.09K
668
TMToyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $185.20
936
$241.37B
$173.35K
669
MCHPMicrochip Technology Inc $48.79
3.539K
$26.19B
$172.67K
670
$236.00
730
$94.72B
$172.28K
671
COLDAmericold Realty Trust, Inc. $18.02
9.548K
$5.13B
$172.05K
672
COOPMr. Cooper Group Inc. Common Stock $118.50
1.446K
$7.58B
$171.35K
673
$4.91
34.861K
$3.11B
$171.16K
674
AIFFFirefly Neuroscience, Inc. Common Stock $2.91
58.538K
$33.82M
$170.35K
675
$27.81
6.122K
$61.72B
$170.25K
676
ADPAutomatic Data Processing $306.12
556
$124.26B
$170.20K
677
$153.30
1.108K
$10.12B
$169.86K
678
HAINHain Celestial Group Inc $1.39
121.665K
$125.44M
$169.11K
679
BKBank of New York Mellon Corporation $84.71
1.984K
$60.82B
$168.06K
680
IHGInterContinental Hotels Group Plc $118.32
1.418K
$18.27B
$167.78K
681
KRPKimbell Royalty Partners, LP Common Units representing Limited Partner Interests $12.75
13.07K
$1.19B
$166.64K
682
$9.12
18.27K
$22.07B
$166.62K
683
VMCVulcan Materials Company(Holding Company) $267.96
621
$35.40B
$166.40K
684
CWSTCasella Waste Systems Inc $124.00
1.337K
$7.87B
$165.79K
685
PSTGPure Storage, Inc. Class A $48.46
3.421K
$15.85B
$165.78K
686
$11.75
13.997K
$3.27B
$164.51K
687
WSTWest Pharmaceutical Services, Inc. $213.70
769
$15.35B
$164.34K
688
CIMChimera Investment Corp. $12.51
13.105K
$1.01B
$163.94K
689
TPCTutor Perini Corporation $27.24
6.009K
$1.44B
$163.69K
690
$223.20
732
$3.75B
$163.38K
691
FISFidelity National Information Services, Inc. $75.99
2.15K
$39.96B
$163.38K
692
APDAir Products & Chemicals, Inc. $266.60
606
$59.27B
$161.56K
693
$84.76
1.882K
$9.31B
$159.52K
694
IOVAIovance Biotherapeutics, Inc. Common Stock $3.18
50.114K
$1.06B
$159.36K
695
$11.12
14.242K
$2.25B
$158.37K
696
DDDuPont de Nemours, Inc. Common Stock $65.15
2.426K
$27.27B
$158.05K
697
$178.92
883
$23.58B
$157.99K
698
$127.80
1.233K
$2.64B
$157.58K
699
ACELAccel Entertainment, Inc. $11.75
13.349K
$994.54M
$156.85K
700
$286.72
546
$103.33B
$156.55K