Stock Rankings by Volume - Rankings 801 to 900
Listing of stocks ranked by volume. Current stock rankings are updated every 30 minutes showing live volume statistics. Rankings 801 to 900.
801
$52.39
2.668M
$114.30B
$139.80M
802
DRSLeonardo DRS, Inc. Common Stock $44.50
2.665M
$11.84B
$118.59M
803
EXPDExpeditors International of Washington, Inc. $138.83
2.663M
$18.61B
$369.70M
804
AIGAmerican International Group, Inc. $79.84
2.653M
$42.84B
$211.81M
805
PLBYPLBY Group, Inc. Common Stock $2.25
2.644M
$242.45M
$5.95M
806
AJGArthur J. Gallagher & Co. $215.98
2.641M
$55.53B
$570.50M
807
$1.66
2.637M
$354.84M
$4.38M
808
RPGLRepublic Power Group Limited Class A Ordinary Shares $6.30
2.637M
$390.76M
$16.62M
809
GUTSFractyl Health, Inc. Common Stock $0.4850
2.637M
$66.47M
$1.28M
810
CMPSCOMPASS Pathways Plc American Depository Shares $8.00
2.635M
$768.14M
$21.08M
811
BF.BBrown-Forman Corporation Class B $30.42
2.629M
$8.96B
$79.98M
812
$22.69
2.617M
$6.57B
$59.39M
813
HRTXHeron Therapeutics, Inc. $1.11
2.61M
$203.53M
$2.90M
814
$46.75
2.604M
$13.87B
$121.75M
815
BMBLBumble Inc. Class A Common Stock $2.91
2.604M
$328.07M
$7.58M
816
PAGSPagSeguro Digital Ltd. $10.93
2.602M
$2.29B
$28.44M
817
$73.09
2.596M
$28.13B
$189.75M
818
$29.94
2.596M
$3.80B
$77.72M
819
SIDCompanhia Siderurgica Nacional S.A. (CSN) $1.67
2.595M
$2.21B
$4.32M
820
NTLAIntellia Therapeutics, Inc $13.51
2.595M
$1.56B
$35.06M
821
NAKAKindly MD, Inc. Common Stock $0.2331
2.594M
$102.53M
$604.71K
822
$316.50
2.588M
$85.62B
$819.25M
823
$88.64
2.588M
$38.60B
$229.36M
824
BXSLBlackstone Secured Lending Fund $24.01
2.587M
$5.55B
$62.12M
825
LIMNLiminatus Pharma, Inc. Class A Common Stock $0.2349
2.58M
$7.30M
$605.99K
826
$124.70
2.576M
$52.44B
$321.27M
827
EXEExpand Energy Corporation Common Stock $103.18
2.567M
$24.80B
$264.88M
828
PMPhilip Morris International Inc. $187.00
2.566M
$291.10B
$479.92M
829
CFGCitizens Financial Group, Inc. $62.12
2.564M
$26.40B
$159.29M
830
NGNovaGold Resources Inc. $11.60
2.564M
$5.09B
$29.74M
831
ANNXAnnexon, Inc. Common Stock $5.02
2.563M
$600.56M
$12.86M
832
GCTSGCT Semiconductor Holding, Inc. $1.35
2.562M
$77.08M
$3.46M
833
$41.20
2.558M
$127.38B
$105.37M
834
ALKTAlkami Technology, Inc. Common Stock $15.51
2.557M
$1.63B
$39.66M
835
BRBRBellRing Brands, Inc. $18.34
2.557M
$2.15B
$46.89M
836
WTTRSelect Water Solutions, Inc. $13.65
2.552M
$1.44B
$34.83M
837
$57.00
2.545M
$6.01B
$145.07M
838
TECKTeck Resources Limited $59.81
2.54M
$28.79B
$151.95M
839
PZGParamount Gold Nevada Corp. $2.66
2.529M
$222.94M
$6.73M
840
NTSKNetskope, Inc. Class A Common Stock $9.93
2.526M
$845.49M
$25.07M
841
BRZEBraze, Inc. Class A Common Stock $17.47
2.517M
$1.79B
$43.98M
842
TEVATeva Pharmaceutical Industries Limited American Depositary Shares $33.92
2.516M
$39.50B
$85.33M
843
$217.00
2.514M
$23.29B
$545.46M
844
ICEIntercontinental Exchange Inc. $155.36
2.51M
$88.23B
$390.02M
845
KCKingsoft Cloud Holdings Limited American Depositary Shares $13.15
2.505M
$3.97B
$32.94M
846
IXHLIncannex Healthcare Limited American Depositary Shares $0.2731
2.503M
$97.86M
$683.60K
847
PGRProgressive Corporation $206.08
2.502M
$120.84B
$515.64M
848
$162.00
2.501M
$22.01B
$405.22M
849
BRK.BBERKSHIRE HATHAWAY Class B $494.01
2.497M
$678.19B
$1.23B
850
GFSGlobalFoundries Inc. Ordinary Shares $47.94
2.497M
$26.50B
$119.67M
851
PAYPaymentus Holdings, Inc. $24.67
2.495M
$1.37B
$61.54M
852
STFSStar Fashion Culture Holdings Limited Class A Ordinary Shares $0.0945
2.487M
$4.39M
$235.03K
853
NWSANews Corporation Class A Common Stock $23.28
2.486M
$8.62B
$57.87M
854
$39.10
2.476M
$1.20B
$96.82M
855
$10.63
2.475M
$1.59B
$26.31M
856
LXRXLexicon Pharmaceuticals, Inc. $1.48
2.47M
$537.97M
$3.66M
857
ALABAstera Labs, Inc. Common Stock $128.01
2.47M
$21.79B
$316.16M
858
$17.66
2.469M
$1.35B
$43.61M
859
BSYBentley Systems, Incorporated Class B Common Stock $32.34
2.468M
$9.44B
$79.82M
860
$92.38
2.468M
$91.85B
$227.95M
861
ALKAlaska Air Group, Inc. $52.51
2.465M
$6.02B
$129.44M
862
PAAPlains All American Pipeline, L.P. Common Units representing Limited Partner Interests $20.38
2.464M
$14.38B
$50.22M
863
CRBGCorebridge Financial, Inc. $27.53
2.464M
$13.26B
$67.83M
864
$5.42
2.463M
$666.30M
$13.35M
865
$24.09
2.462M
$3.22B
$59.32M
866
$4.79
2.462M
$1.16B
$11.79M
867
GPKGraphic Packaging Holding Company $12.05
2.459M
$3.56B
$29.63M
868
$56.77
2.458M
$50.81B
$139.56M
869
ASPIASP Isotopes Inc. Common Stock $5.47
2.45M
$606.30M
$13.40M
870
GLPIGaming and Leisure Properties, Inc. $48.33
2.448M
$13.69B
$118.31M
871
$126.25
2.448M
$66.39B
$309.05M
872
FSKFS KKR Capital Corp. Common Stock $13.11
2.445M
$3.67B
$32.06M
873
STXSeagate Technology Holdings PLC Ordinary Shares (Ireland) $396.01
2.44M
$86.36B
$966.34M
874
IRTIndependence Realty Trust Inc. $16.72
2.433M
$3.97B
$40.68M
875
COLBColumbia Banking Systems Inc $29.86
2.433M
$8.93B
$72.64M
876
$33.99
2.429M
$3.54B
$82.56M
877
$18.41
2.425M
$2.76B
$44.65M
878
$4.59
2.423M
$906.48M
$11.12M
879
$57.60
2.421M
$9.01B
$139.46M
880
$60.51
2.419M
$29.11B
$146.37M
881
LBTYALiberty Global Ltd. Class A Common Shares $12.88
2.416M
$2.25B
$31.12M
882
NXXTNextNRG, Inc. Common Stock $0.5688
2.414M
$76.45M
$1.37M
883
ITRMIterum Therapeutics plc Ordinary Share $0.2375
2.413M
$12.66M
$573.08K
884
$75.40
2.412M
$92.96B
$181.87M
885
ATOMAtomera Incorporated Common Stock $5.36
2.406M
$169.81M
$12.90M
886
ZTOZTO Express (Cayman) Inc. American Depositary Shares, each representing one Class A ordinary share $25.24
2.404M
$14.88B
$60.68M
887
$22.67
2.402M
$2.40B
$54.45M
888
SPOTSpotify Technology S.A. $465.66
2.397M
$95.85B
$1.12B
889
$22.81
2.397M
$3.27B
$54.66M
890
CAICaris Life Sciences, Inc. Common Stock $18.20
2.395M
$5.14B
$43.59M
891
BKYIBIO-key International, Inc. Common Stock $0.5381
2.386M
$5.83M
$1.28M
892
LNTAlliant Energy Corporation Common Stock $71.63
2.384M
$18.42B
$170.77M
893
ESPREsperion Therapeutics, Inc. $3.30
2.383M
$788.93M
$7.86M
894
AHHArmada Hoffler Properties, Inc. $5.94
2.38M
$476.11M
$14.14M
895
EVLVEvolv Technologies Holdings, Inc. Class A Common Stock $5.05
2.38M
$881.82M
$12.02M
896
HAYWHayward Holdings, Inc. $15.67
2.376M
$3.40B
$37.23M
897
ASSTAsset Entities Inc. Class B Common Stock $7.21
2.372M
$454.39M
$17.10M
898
$45.08
2.371M
$11.71B
$106.89M
899
PFGPrincipal Financial Group, Inc. $94.85
2.368M
$20.57B
$224.60M
900
EXLSExlService Holdings, Inc. $28.00
2.362M
$4.44B
$66.13M