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
$15.10
3.414M
$4.39B
$51.55M
602
ASTIAscent Solar Technologies, Inc. Common Stock $5.35
3.403M
$50.62M
$18.20M
603
DDOGDatadog, Inc. Class A Common Stock $222.10
3.392M
$73.48B
$753.46M
604
APAAPA Corporation Common Stock $38.85
3.392M
$13.73B
$131.76M
605
$480.10
3.378M
$165.48B
$1.62B
606
$9.22
3.369M
$1.52B
$31.04M
607
$16.88
3.364M
$9.76B
$56.78M
608
$7.00
3.363M
$749.73M
$23.54M
609
AKANAkanda Corp. Common Shares $23.20
3.362M
$12.40M
$77.99M
610
CPSHCPS Technologies Corp. Common Stock $6.75
3.361M
$121.55M
$22.68M
611
$244.48
3.358M
$98.82B
$820.89M
612
UZXLinkage Global Inc Class A Ordinary Shares $0.4400
3.335M
$4.47M
$1.47M
613
AKAMAkamai Technologies Inc $147.41
3.321M
$21.43B
$489.59M
614
$127.55
3.316M
$35.04B
$422.89M
615
TBHBrag House Holdings, Inc. Common Stock $0.7590
3.301M
$17.83M
$2.51M
616
VERIVeritone, Inc. Common Stock $2.13
3.276M
$198.11M
$6.98M
617
$11.90
3.273M
$530.89M
$38.94M
618
TENBTenable Holdings, Inc. $25.25
3.262M
$2.78B
$82.36M
619
ORealty Income Corporation $62.05
3.258M
$57.86B
$202.14M
620
BBWIBath & Body Works, Inc. $17.75
3.256M
$3.57B
$57.79M
621
CERTCertara, Inc. Common Stock $5.27
3.252M
$819.83M
$17.14M
622
OPTTOcean Power Technologies, Inc. $0.3501
3.25M
$79.83M
$1.14M
623
$20.70
3.24M
$5.46B
$67.06M
624
INOInovio Pharmaceuticals, Inc. $1.33
3.233M
$109.42M
$4.30M
625
$41.18
3.221M
$12.28B
$132.63M
626
DRHDiamondRock Hospitality Company $10.71
3.22M
$2.19B
$34.49M
627
MRNAModerna, Inc. Common Stock $46.85
3.212M
$18.59B
$150.47M
628
LXLexinFintech Holdings Ltd. American Depositary Shares $2.01
3.208M
$259.53M
$6.45M
629
FRVOFervo Energy Company Class A common stock $38.31
3.195M
$10.57B
$122.40M
630
EPDEnterprise Products Partners L.P. $39.56
3.188M
$85.52B
$126.13M
631
AMTXAemetis, Inc. (DE) Common Stock $2.69
3.187M
$189.29M
$8.57M
632
PALIPalisade Bio, Inc. Common Stock $1.93
3.184M
$335.01M
$6.15M
633
$38.06
3.181M
$19.95B
$121.05M
634
BRK.BBERKSHIRE HATHAWAY Class B $485.56
3.156M
$678.96B
$1.53B
635
NBNioCorp Developments Ltd. Common Stock $5.40
3.152M
$786.17M
$17.02M
636
FISFidelity National Information Services, Inc. $43.58
3.146M
$22.53B
$137.08M
637
DFNST3 Defense Inc. Common Stock $0.3650
3.14M
$13.81M
$1.15M
638
MPTMedical Properties Trust, Inc. $5.09
3.134M
$3.04B
$15.95M
639
FPSForgent Power Solutions, Inc. $47.70
3.13M
$11.64B
$149.30M
640
$24.78
3.117M
$1.16B
$77.23M
641
FLEXFlex Ltd. Ordinary Shares $131.20
3.116M
$48.24B
$408.83M
642
SIDCompanhia Siderurgica Nacional S.A. (CSN) $1.35
3.115M
$1.79B
$4.20M
643
GDSGDS Holdings Limited ADS $34.63
3.113M
$6.75B
$107.78M
644
MLCOMelco Resorts & Entertainment Limited American Depositary Shares $5.39
3.112M
$2.09B
$16.77M
645
ATYRaTyr Pharma, Inc. Common Stock $0.4992
3.102M
$48.95M
$1.55M
646
NWSANews Corporation Class A Common Stock $25.78
3.093M
$9.41B
$79.73M
647
TXG10x Genomics, Inc. Class A Common Stock $23.75
3.09M
$2.78B
$73.38M
648
TROXTRONOX LIMITED CL A ORDINARY SHARES $7.53
3.074M
$1.20B
$23.14M
649
USASAmericas Gold and Silver Corporation $5.80
3.072M
$1.89B
$17.81M
650
$118.25
3.065M
$87.85B
$362.47M
651
IVRInvesco Mortgage Capital Inc. $7.89
3.064M
$732.38M
$24.17M
652
REREATRenew Inc. American Depositary Shares (every three of which representing two Class A ordinary shares) $4.67
3.056M
$614.03M
$14.27M
653
CSIQCanadian Solar Inc. Common Shares (ON) $18.85
3.056M
$1.28B
$57.61M
654
$114.79
3.054M
$50.97B
$350.54M
655
HUTHut 8 Corp. Common Stock $105.50
3.052M
$11.88B
$321.99M
656
$27.05
3.029M
$8.99B
$81.94M
657
UTIUniversal Technical Institute, Inc. $40.06
3.028M
$2.21B
$121.28M
658
$12.60
3.023M
$19.67B
$38.07M
659
AIBBlockchAIn Digital Infrastructure, Inc $2.85
3.019M
$107.29M
$8.61M
660
EVCEntravision Communication $9.81
3.016M
$811.15M
$29.59M
661
$9.27
3.008M
$5.18B
$27.89M
662
DNLIDenali Therapeutics Inc. Common Stock $18.60
3M
$2.95B
$55.81M
663
MUFGMitsubishi UFJ Financial Group, Inc. $19.40
2.998M
$230.23B
$58.17M
664
UGPUltrapar Participacoes S.A. $5.67
2.996M
$6.33B
$16.99M
665
COLDAmericold Realty Trust, Inc. $14.76
2.993M
$4.21B
$44.18M
666
CRKComstock Resources, Inc. $13.92
2.987M
$4.09B
$41.58M
667
$4.06
2.982M
$700.54M
$12.11M
668
NRGVEnergy Vault Holdings, Inc. $5.12
2.973M
$891.63M
$15.22M
669
$81.08
2.97M
$50.62B
$240.82M
670
BWBabcock & Wilcox Enterprises, Inc. $18.95
2.966M
$2.58B
$56.21M
671
UPSTUpstart Holdings, Inc. Common stock $28.40
2.965M
$2.72B
$84.20M
672
AAPADVANCE AUTO PARTS INC $58.00
2.963M
$3.50B
$171.83M
673
AEOAmerican Eagle Outfitters $16.46
2.94M
$2.76B
$48.38M
674
AHRAmerican Healthcare REIT, Inc. $50.19
2.932M
$9.67B
$147.16M
675
PENGPenguin Solutions, Inc. Ordinary Shares $52.80
2.924M
$2.68B
$154.40M
676
$200.75
2.919M
$316.64B
$586.01M
677
QFINQifu Technology, Inc. American Depositary Shares $11.79
2.903M
$1.67B
$34.23M
678
BFLYButterfly Network, Inc. $4.38
2.902M
$1.15B
$12.71M
679
ASMAvino Silver & Gold Mines Ltd. (Canada) $6.54
2.9M
$1.10B
$18.97M
680
$178.75
2.875M
$118.89B
$513.99M
681
NTLAIntellia Therapeutics, Inc $12.54
2.871M
$1.75B
$36.00M
682
$49.50
2.87M
$32.80B
$142.06M
683
RUMRumble Inc. Class A Common Stock $8.12
2.86M
$1.76B
$23.22M
684
OTISOtis Worldwide Corporation $72.78
2.859M
$27.93B
$208.05M
685
BRZEBraze, Inc. Class A Common Stock $24.09
2.851M
$2.73B
$68.68M
686
$1.56
2.839M
$616.69M
$4.43M
687
$49.48
2.837M
$44.84B
$140.37M
688
NIVFNewGenIvf Group Limited Class A ordinary shares $0.9431
2.831M
$536.19K
$2.67M
689
CZRCaesars Entertainment, Inc. Common Stock $28.42
2.828M
$5.79B
$80.36M
690
VOYGVoyager Technologies, Inc. $45.23
2.821M
$2.42B
$127.60M
691
GSKGSK plc American Depositary Shares (Each representing two Ordinary Shares) $51.11
2.821M
$103.61B
$144.16M
692
BURBurford Capital Limited $4.53
2.819M
$992.38M
$12.77M
693
INVHInvitation Homes Inc. Common Stock $29.29
2.815M
$17.40B
$82.46M
694
TECKTeck Resources Limited $63.60
2.813M
$30.65B
$178.89M
695
ABVEAbove Food Ingredients Inc. Common Stock $0.5608
2.81M
$16.00M
$1.58M
696
$66.63
2.793M
$7.40B
$186.10M
697
$191.38
2.783M
$19.88B
$532.65M
698
ULCCFrontier Group Holdings, Inc. Common Stock $4.92
2.779M
$1.13B
$13.67M
699
$84.06
2.768M
$54.09B
$232.72M
700
NTSKNetskope, Inc. Class A Common Stock $11.71
2.767M
$2.71B
$32.40M