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
$3.89
3.127M
$1.65B
$12.16M
602
SLNOSoleno Therapeutics, Inc. Common Stock $52.62
3.122M
$2.72B
$164.28M
603
$15.51
3.112M
$969.83M
$48.26M
604
SESea Limited American Depositary Shares, each representing one Class A Ordinary Share $85.91
3.111M
$48.58B
$267.28M
605
$86.24
3.107M
$8.02B
$267.94M
606
SIDCompanhia Siderurgica Nacional S.A. (CSN) $1.33
3.105M
$1.76B
$4.13M
607
ADPTAdaptive Biotechnologies Corporation Common Stock $13.00
3.103M
$2.00B
$40.34M
608
$6.15
3.097M
$1.51B
$19.05M
609
$1.57
3.092M
$511.32M
$4.85M
610
VNETVNET Group, Inc. American Depositary Shares $8.42
3.091M
$2.22B
$26.02M
611
EXLSExlService Holdings, Inc. $29.27
3.088M
$4.58B
$90.37M
612
ABEOAbeona Therapeutics Inc. Common Stock $4.92
3.08M
$280.68M
$15.15M
613
$208.33
3.08M
$368.35B
$641.62M
614
UPWKUpwork Inc. Common Stock $10.69
3.073M
$1.39B
$32.85M
615
HMYHarmony Gold Mining Company Limited $16.55
3.07M
$10.54B
$50.81M
616
$138.99
3.068M
$172.52B
$426.45M
617
TXNTexas Instruments Incorporated $215.46
3.068M
$196.17B
$660.98M
618
USASAmericas Gold and Silver Corporation $5.61
3.056M
$1.80B
$17.15M
619
$308.69
3.054M
$323.76B
$942.85M
620
ULCCFrontier Group Holdings, Inc. Common Stock $3.90
3.052M
$895.96M
$11.90M
621
$86.00
3.03M
$54.18B
$260.57M
622
ORealty Income Corporation $63.42
3.005M
$59.14B
$190.59M
623
$5.10
3.003M
$909.82M
$15.32M
624
CDNSCadence Design Systems $266.93
3.001M
$73.70B
$801.15M
625
LPTHLightpath Technologies Inc $12.90
2.982M
$744.44M
$38.47M
626
$121.88
2.981M
$55.19B
$363.30M
627
$9.40
2.971M
$486.05M
$27.93M
628
ORCOrchid Island Capital, Inc. $7.21
2.971M
$1.41B
$21.42M
629
IPInternational Paper Co. $36.50
2.968M
$19.33B
$108.32M
630
$22.81
2.967M
$2.55B
$67.68M
631
GNWGenworth Financial, Inc. $8.75
2.966M
$3.39B
$25.95M
632
$21.42
2.953M
$5.50B
$63.25M
633
$5.98
2.952M
$1.42B
$17.65M
634
STUBStubHub Holdings, Inc. $6.32
2.944M
$2.10B
$18.60M
635
$9.71
2.944M
$2.31B
$28.59M
636
IBKRInteractive Brokers Group, Inc. Class A Common Stock $71.10
2.94M
$31.68B
$209.06M
637
$27.55
2.94M
$4.46B
$80.99M
638
GWREGUIDEWIRE SOFTWARE, INC. $117.19
2.939M
$9.92B
$344.37M
639
$28.60
2.934M
$3.39B
$83.93M
640
$59.87
2.929M
$4.63B
$175.36M
641
APADA Paradise Acquisition Corp. Class A Ordinary Shares $10.27
2.922M
$211.56M
$30.01M
642
$21.38
2.921M
$2.96B
$62.45M
643
$33.25
2.92M
$59.74B
$97.09M
644
MBOTMicrobot Medical, Inc. Common Stock $2.35
2.92M
$157.81M
$6.86M
645
NBNioCorp Developments Ltd. Common Stock $4.84
2.919M
$606.59M
$14.13M
646
$45.16
2.914M
$4.67B
$131.61M
647
$31.14
2.892M
$2.21B
$90.06M
648
EZRAReliance Global Group, Inc. Common Stock $0.2010
2.891M
$4.27M
$581.03K
649
$192.10
2.889M
$10.13B
$554.91M
650
CMPXCompass Therapeutics, Inc. Common Stock $5.21
2.885M
$938.26M
$15.03M
651
$18.35
2.879M
$7.18B
$52.82M
652
$18.32
2.865M
$14.17B
$52.48M
653
NAVNNavan, Inc. Class A Common Stock $12.55
2.865M
$2.95B
$35.95M
654
ABNBAirbnb, Inc. Class A Common Stock $128.50
2.848M
$54.43B
$365.97M
655
$226.50
2.845M
$18.20B
$644.40M
656
$123.33
2.838M
$12.81B
$350.01M
657
$118.07
2.836M
$17.89B
$334.85M
658
$34.25
2.829M
$7.62B
$96.88M
659
$35.11
2.828M
$11.44B
$99.30M
660
$18.92
2.826M
$4.99B
$53.46M
661
$139.31
2.822M
$19.46B
$393.15M
662
$97.43
2.812M
$32.34B
$274.00M
663
MFGMizuho Financial Group, Inc. American Depositary Shares (Each representing one-fifth of an Ordinary Share) $8.62
2.809M
$107.25B
$24.20M
664
$13.12
2.807M
$2.65B
$36.82M
665
NWGNatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) $16.56
2.803M
$66.09B
$46.42M
666
BRK.BBERKSHIRE HATHAWAY Class B $480.23
2.788M
$667.87B
$1.34B
667
BKDBrookdale Senior Living, Inc. $13.55
2.784M
$3.22B
$37.73M
668
TJXTJX Companies, Inc. (The) $161.80
2.782M
$179.08B
$450.20M
669
BAMBrookfield Asset Management Ltd. $44.90
2.782M
$73.55B
$124.92M
670
CFCF Industries Holding, Inc. $120.96
2.782M
$18.58B
$336.48M
671
VICIVICI Properties Inc. Common Stock $28.19
2.778M
$30.13B
$78.30M
672
$45.60
2.771M
$6.47B
$126.35M
673
GRMLGreenland Mines Ltd. Common Stock $0.4001
2.768M
$48.51M
$1.11M
674
$73.31
2.75M
$19.34B
$201.61M
675
DBRGDigitalBridge Group, Inc. $15.55
2.746M
$2.84B
$42.69M
676
CCOClear Channel Outdoor Holdings, Inc. Common Stock $2.37
2.737M
$1.18B
$6.49M
677
$23.47
2.736M
$9.07B
$64.22M
678
RBBNRibbon Communications Inc. Common Stock $2.48
2.735M
$434.81M
$6.77M
679
ORLYO'Reilly Automotive, Inc. $93.01
2.729M
$77.82B
$253.79M
680
FLGFlagstar Financial, Inc. $14.04
2.727M
$5.84B
$38.29M
681
BAXBaxter International Inc. $17.11
2.722M
$8.83B
$46.57M
682
NDAQNasdaq, Inc. Common Stock $83.47
2.708M
$47.45B
$226.08M
683
CLColgate-Palmolive Company $84.32
2.707M
$67.65B
$228.27M
684
SHLSShoals Technologies Group, Inc. Class A Common Stock $7.01
2.705M
$1.18B
$18.96M
685
$71.70
2.696M
$7.80B
$193.29M
686
NTRANatera, Inc. Common Stock $193.03
2.695M
$27.36B
$520.12M
687
ALHCAlignment Healthcare, Inc. Common Stock $20.50
2.689M
$4.19B
$55.13M
688
LIONLionsgate Studios Corp. Common Shares $10.90
2.689M
$3.16B
$29.31M
689
UPSUnited Parcel Service, Inc. Class B $101.80
2.686M
$75.81B
$273.48M
690
FPSForgent Power Solutions, Inc. $31.90
2.686M
$7.79B
$85.67M
691
SONYSony Group Corporation American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock) $21.00
2.681M
$129.15B
$56.31M
692
SMXSMX (Security Matters) Public Limited Company Class A Ordinary Shares $6.31
2.681M
$19.18M
$16.92M
693
TECKTeck Resources Limited $55.80
2.678M
$26.89B
$149.46M
694
TPGTPG Inc. Class A Common Stock $38.40
2.676M
$5.90B
$102.77M
695
$11.92
2.673M
$18.05B
$31.87M
696
SEDGSolarEdge Technologies, Inc. $41.96
2.668M
$2.53B
$111.97M
697
DASHDoorDash, Inc. Class A Common Stock $152.96
2.66M
$62.71B
$406.94M
698
PGRProgressive Corporation $194.13
2.658M
$113.56B
$516.09M
699
$2.57
2.653M
$791.82M
$6.82M
700
JELDJELD-WEN Holding, Inc. $1.06
2.651M
$91.41M
$2.81M