Stock Rankings by Volume - Rankings 701 to 800
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 701 to 800.
701
FWONKLiberty Media Corporation Series C Liberty Formula One Common Stock $94.50
1.649K
$23.56B
$155.83K
702
HLTHilton Worldwide Holdings Inc. $244.39
637
$58.09B
$155.68K
703
$6.63
23.287K
$738.08M
$154.39K
704
GLBEGlobal-E Online Ltd. Ordinary Shares $37.66
4.043K
$6.38B
$152.26K
705
$11.66
13.031K
$2.03B
$151.94K
706
$133.49
1.137K
$232.25B
$151.78K
707
TIGRUP Fintech Holding Ltd American Depositary Share representing fifteen Class A Ordinary Shares $9.35
16.208K
$1.65B
$151.54K
708
RSGRepublic Services Inc. $252.95
599
$79.05B
$151.52K
709
PDYNPalladyne AI Corp. Common Stock $5.90
25.62K
$210.71M
$151.16K
710
KTOSKratos Defense & Security Solutions, Inc. $36.75
4.113K
$5.63B
$151.15K
711
$19.30
7.829K
$2.96B
$151.10K
712
$122.60
1.231K
$7.43B
$150.92K
713
SSYSStratasys Inc (ISRAEL) $10.47
14.377K
$873.54M
$150.53K
714
BTCTBTC Digital Ltd. Ordinary Shares $4.05
37.121K
$21.28M
$150.34K
715
$477.50
314
$16.66B
$149.94K
716
EHCEncompass Health Corporation Common Stock $116.20
1.286K
$11.71B
$149.43K
717
$255.03
582
$72.33B
$148.43K
718
SKYTSkyWater Technology, Inc. Common Stock $7.30
20.286K
$350.65M
$148.09K
719
$9.58
15.414K
$200.08M
$147.67K
720
HALOHalozyme Therapeutics, Inc. $70.88
2.08K
$8.76B
$147.43K
721
THGThe Hanover Insurance Group, Inc. $167.50
877
$6.04B
$146.90K
722
BCSFBain Capital Specialty Finance, Inc. $15.01
9.783K
$973.68M
$146.84K
723
SBACSBA Communications Corp $240.30
611
$25.82B
$146.82K
724
$657.57
223
$42.74B
$146.64K
725
DFSDiscover Financial Services $192.00
763
$48.32B
$146.50K
726
$6.03
24.28K
$2.01B
$146.41K
727
CANGCango Inc. American Depositary Shares, each representing two (2) Class A Ordinary Shares $4.20
34.804K
$435.91M
$146.18K
728
KTTAPasithea Therapeutics Corp. Common Stock $1.08
134.847K
$2.92M
$145.63K
729
PUKPRUDENTIAL PLC ADS (REP 2 ORD SHARES) $22.30
6.488K
$28.89B
$144.68K
730
$19.50
7.417K
$9.53B
$144.63K
731
$33.66
4.275K
$7.83B
$143.90K
732
MPCMARATHON PETROLEUM CORPORATION $146.18
984
$45.54B
$143.84K
733
WCNWaste Connections, Inc. $198.54
724
$51.30B
$143.74K
734
ADTNADTRAN Holdings, Inc. Common Stock $7.75
18.46K
$619.71M
$143.07K
735
ACTGAcacia Research Corporation $3.56
40.015K
$342.07M
$142.45K
736
NLYAnnaly Capital Management. Inc. $19.30
7.37K
$11.63B
$142.24K
737
$11.84
12.003K
$2.43B
$142.12K
738
LINELineage, Inc. Common Stock $44.51
3.186K
$10.17B
$141.81K
739
$23.65
5.961K
$8.90B
$140.98K
740
$186.90
751
$5.44B
$140.36K
741
CFCF Industries Holding, Inc. $81.75
1.706K
$13.61B
$139.47K
742
$12.04
11.5K
$1.14B
$138.46K
743
MNDYmonday.com Ltd. Ordinary Shares $282.01
488
$14.32B
$137.62K
744
STRLSterling Infrastructure, Inc. Common Stock $184.99
742
$5.63B
$137.26K
745
PRMBPrimo Brands Corporation $33.75
4.057K
$12.69B
$136.92K
746
$75.85
1.805K
$32.00B
$136.91K
747
TMETencent Music Entertainment Group American Depositary Shares, each representing two Class A Ordinary Shares $14.47
9.46K
$22.30B
$136.89K
748
ODFLOld Dominion Freight Line $155.93
875
$33.08B
$136.44K
749
XUnited States Steel Corporation $40.93
3.329K
$9.21B
$136.26K
750
NFENew Fortress Energy Inc. Class A Common Stock $6.16
22.111K
$1.69B
$136.20K
751
$34.21
3.976K
$42.32B
$136.02K
752
JXNJackson Financial Inc. $86.57
1.569K
$6.24B
$135.83K
753
$72.70
1.859K
$3.83B
$135.15K
754
$152.41
882
$45.20B
$134.43K
755
LBRDKLiberty Broadband Corporation Class C $93.30
1.438K
$13.37B
$134.17K
756
ZMZoom Video Communications, Inc. Class A Common Stock $79.41
1.688K
$24.21B
$134.04K
757
$83.46
1.605K
$101.13B
$133.95K
758
ORCOrchid Island Capital, Inc. $7.16
18.616K
$763.75M
$133.28K
759
$107.00
1.245K
$3.89B
$133.22K
760
$9.65
13.719K
$1.77B
$132.39K
761
$10.84
12.205K
$3.09B
$132.30K
762
$15.46
8.55K
$1.33B
$132.18K
763
IOTRiOThree Limited Ordinary Shares $0.4302
303.15K
$11.03M
$130.42K
764
$57.04
2.283K
$11.04B
$130.22K
765
$224.61
578
$125.72B
$129.82K
766
$7.80
16.515K
$602.59M
$128.82K
767
UPXIUpexi, Inc. Common Stock $12.12
10.611K
$451.97M
$128.61K
768
$12.99
9.864K
$5.06B
$128.13K
769
DOCHealthpeak Properties, Inc. $17.35
7.362K
$12.12B
$127.73K
770
JKHYHenry (Jack) & Associates $172.65
737
$12.59B
$127.24K
771
$292.19
430
$117.00B
$125.64K
772
$114.00
1.102K
$2.10B
$125.63K
773
SYMSymbotic Inc. Class A Common Stock $22.65
5.493K
$2.44B
$124.42K
774
$170.00
731
$2.32B
$124.27K
775
MBOTMicrobot Medical, Inc. Common Stock $2.52
49.163K
$91.42M
$123.89K
776
$362.00
340
$87.09B
$123.08K
777
MNSTMonster Beverage Corporation $60.78
2.017K
$59.15B
$122.59K
778
$99.16
1.236K
$5.30B
$122.56K
779
SILASila Realty Trust, Inc. $25.10
4.882K
$1.39B
$122.54K
780
ENVXEnovix Corporation Common Stock $6.33
19.328K
$1.22B
$122.35K
781
GTLSChart Industries, Inc. $153.24
794
$7.00B
$121.67K
782
LUMNLumen Technologies, Inc. $4.31
28.163K
$4.42B
$121.38K
783
$4.28
28.338K
$394.49M
$121.29K
784
BONBon Natural Life Limited Ordinary Shares $0.0562
2.153M
$5.28M
$121.01K
785
HTGCHercules Capital, Inc. $17.45
6.927K
$3.06B
$120.88K
786
$17.45
6.915K
$1.24B
$120.67K
787
LYGLloyds Banking Group PLC $3.91
30.579K
$58.63B
$119.56K
788
TLRYTilray Brands, Inc. Common Stock $0.4390
270.428K
$445.98M
$118.72K
789
$213.60
555
$7.65B
$118.55K
790
BFAMBRIGHT HORIZONS FAMILY SOLUTIONS INC. $125.00
945
$7.17B
$118.13K
791
CLColgate-Palmolive Company $91.00
1.298K
$73.81B
$118.12K
792
$136.70
863
$3.15B
$117.97K
793
SWKStanley Black & Decker, Inc. $59.70
1.973K
$9.24B
$117.79K
794
AWKAmerican Water Works Company, Inc $148.07
788
$28.88B
$116.68K
795
TSEMTower Semiconductor Ltd $36.81
3.162K
$4.09B
$116.39K
796
CNRCore Natural Resources, Inc. $72.64
1.601K
$3.88B
$116.30K
797
MUFGMitsubishi UFJ Financial Group, Inc. $12.28
9.432K
$141.30B
$115.82K
798
ONDSOndas Holdings Inc. Common Stock $0.7597
152.054K
$101.39M
$115.52K
799
AACTAres Acquisition Corporation II $11.29
10.225K
$698.38M
$115.44K
800
$170.11
676
$34.14B
$114.99K