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
NCNOnCino, Inc. Common Stock $15.36
2.679M
$1.76B
$41.15M
802
ALTAltimmune, Inc. Common Stock $4.61
2.678M
$520.16M
$12.35M
803
MIAXMiami International Holdings, Inc. $39.59
2.674M
$3.22B
$105.87M
804
GUTSFractyl Health, Inc. Common Stock $0.4859
2.673M
$66.59M
$1.30M
805
$52.32
2.668M
$114.15B
$139.61M
806
DRSLeonardo DRS, Inc. Common Stock $44.50
2.665M
$11.84B
$118.59M
807
EXPDExpeditors International of Washington, Inc. $138.83
2.663M
$18.61B
$369.70M
808
AIGAmerican International Group, Inc. $79.84
2.654M
$42.84B
$211.93M
809
RPGLRepublic Power Group Limited Class A Ordinary Shares $6.40
2.645M
$396.96M
$16.93M
810
PLBYPLBY Group, Inc. Common Stock $2.26
2.644M
$243.53M
$5.98M
811
AJGArthur J. Gallagher & Co. $215.98
2.641M
$55.53B
$570.50M
812
$1.65
2.639M
$352.70M
$4.36M
813
CMPSCOMPASS Pathways Plc American Depository Shares $7.90
2.637M
$758.70M
$20.83M
814
BF.BBrown-Forman Corporation Class B $30.27
2.629M
$8.92B
$79.58M
815
HRTXHeron Therapeutics, Inc. $1.13
2.619M
$207.14M
$2.96M
816
$22.69
2.617M
$6.57B
$59.39M
817
NAKAKindly MD, Inc. Common Stock $0.2346
2.616M
$103.19M
$613.66K
818
$47.17
2.604M
$13.99B
$122.84M
819
BMBLBumble Inc. Class A Common Stock $2.91
2.604M
$328.07M
$7.58M
820
PAGSPagSeguro Digital Ltd. $11.00
2.602M
$2.30B
$28.62M
821
NTLAIntellia Therapeutics, Inc $13.56
2.599M
$1.57B
$35.24M
822
$73.09
2.598M
$28.13B
$189.87M
823
SIDCompanhia Siderurgica Nacional S.A. (CSN) $1.67
2.597M
$2.21B
$4.34M
824
$29.94
2.596M
$3.80B
$77.72M
825
$316.50
2.589M
$85.62B
$819.31M
826
BXSLBlackstone Secured Lending Fund $24.00
2.588M
$5.55B
$62.12M
827
$87.88
2.588M
$38.27B
$227.41M
828
GCTSGCT Semiconductor Holding, Inc. $1.34
2.578M
$76.48M
$3.45M
829
$124.50
2.578M
$52.36B
$320.91M
830
EXEExpand Energy Corporation Common Stock $103.18
2.567M
$24.80B
$264.88M
831
PMPhilip Morris International Inc. $187.00
2.566M
$291.10B
$479.92M
832
NGNovaGold Resources Inc. $11.70
2.565M
$5.13B
$30.03M
833
CFGCitizens Financial Group, Inc. $61.54
2.564M
$26.15B
$157.82M
834
ANNXAnnexon, Inc. Common Stock $4.98
2.563M
$595.77M
$12.76M
835
$41.13
2.558M
$127.15B
$105.21M
836
BRBRBellRing Brands, Inc. $18.00
2.557M
$2.11B
$46.01M
837
ALKTAlkami Technology, Inc. Common Stock $15.51
2.557M
$1.63B
$39.66M
838
WTTRSelect Water Solutions, Inc. $13.65
2.553M
$1.44B
$34.85M
839
$57.00
2.545M
$6.01B
$145.07M
840
TECKTeck Resources Limited $59.73
2.541M
$28.75B
$151.75M
841
STFSStar Fashion Culture Holdings Limited Class A Ordinary Shares $0.0912
2.537M
$4.24M
$231.40K
842
AREBAmerican Rebel Holdings, Inc. Common Stock $0.1715
2.533M
$1.82M
$434.39K
843
PZGParamount Gold Nevada Corp. $2.67
2.53M
$223.78M
$6.76M
844
IXHLIncannex Healthcare Limited American Depositary Shares $0.2742
2.529M
$98.24M
$693.32K
845
NTSKNetskope, Inc. Class A Common Stock $9.89
2.526M
$842.51M
$24.99M
846
BRZEBraze, Inc. Class A Common Stock $16.97
2.525M
$1.74B
$42.84M
847
TEVATeva Pharmaceutical Industries Limited American Depositary Shares $33.60
2.517M
$39.14B
$84.58M
848
ICEIntercontinental Exchange Inc. $155.36
2.51M
$88.23B
$390.02M
849
KCKingsoft Cloud Holdings Limited American Depositary Shares $13.15
2.505M
$3.97B
$32.94M
850
PGRProgressive Corporation $206.08
2.502M
$120.84B
$515.64M
851
$162.00
2.501M
$22.01B
$405.22M
852
BRK.BBERKSHIRE HATHAWAY Class B $494.10
2.499M
$678.31B
$1.23B
853
GFSGlobalFoundries Inc. Ordinary Shares $47.70
2.497M
$26.37B
$119.10M
854
PAYPaymentus Holdings, Inc. $24.80
2.496M
$1.38B
$61.90M
855
LXRXLexicon Pharmaceuticals, Inc. $1.51
2.492M
$548.83M
$3.76M
856
NWSANews Corporation Class A Common Stock $23.28
2.486M
$8.62B
$57.87M
857
$38.22
2.477M
$1.17B
$94.67M
858
$10.63
2.475M
$1.59B
$26.31M
859
ALABAstera Labs, Inc. Common Stock $128.03
2.473M
$21.79B
$316.56M
860
$17.84
2.471M
$1.36B
$44.09M
861
BSYBentley Systems, Incorporated Class B Common Stock $32.38
2.469M
$9.46B
$79.95M
862
$92.38
2.468M
$91.85B
$227.95M
863
$24.07
2.466M
$3.22B
$59.36M
864
PAAPlains All American Pipeline, L.P. Common Units representing Limited Partner Interests $20.45
2.465M
$14.43B
$50.41M
865
ALKAlaska Air Group, Inc. $52.51
2.465M
$6.02B
$129.44M
866
$5.42
2.465M
$666.30M
$13.36M
867
$4.70
2.465M
$1.14B
$11.58M
868
CRBGCorebridge Financial, Inc. $27.53
2.464M
$13.26B
$67.85M
869
$57.10
2.46M
$51.10B
$140.48M
870
GPKGraphic Packaging Holding Company $12.05
2.459M
$3.56B
$29.63M
871
ASPIASP Isotopes Inc. Common Stock $5.33
2.452M
$590.78M
$13.07M
872
$126.30
2.448M
$66.42B
$309.20M
873
GLPIGaming and Leisure Properties, Inc. $48.33
2.448M
$13.69B
$118.31M
874
FSKFS KKR Capital Corp. Common Stock $13.11
2.445M
$3.67B
$32.06M
875
STXSeagate Technology Holdings PLC Ordinary Shares (Ireland) $396.02
2.441M
$86.36B
$966.86M
876
IRTIndependence Realty Trust Inc. $16.72
2.433M
$3.97B
$40.68M
877
COLBColumbia Banking Systems Inc $29.86
2.433M
$8.93B
$72.64M
878
$33.87
2.429M
$3.53B
$82.27M
879
$4.56
2.427M
$900.56M
$11.07M
880
$18.33
2.426M
$2.75B
$44.47M
881
ITRMIterum Therapeutics plc Ordinary Share $0.2325
2.424M
$12.39M
$563.51K
882
$57.60
2.421M
$9.01B
$139.46M
883
NXXTNextNRG, Inc. Common Stock $0.5300
2.419M
$71.24M
$1.28M
884
ATOMAtomera Incorporated Common Stock $5.49
2.419M
$174.01M
$13.29M
885
$60.51
2.419M
$29.11B
$146.37M
886
LBTYALiberty Global Ltd. Class A Common Shares $12.88
2.416M
$2.25B
$31.12M
887
$75.40
2.412M
$92.96B
$181.87M
888
EVLVEvolv Technologies Holdings, Inc. Class A Common Stock $5.05
2.404M
$881.82M
$12.14M
889
ZTOZTO Express (Cayman) Inc. American Depositary Shares, each representing one Class A ordinary share $25.24
2.404M
$14.88B
$60.68M
890
$22.24
2.402M
$2.35B
$53.42M
891
SPOTSpotify Technology S.A. $459.00
2.399M
$94.48B
$1.10B
892
$22.82
2.397M
$3.27B
$54.69M
893
CAICaris Life Sciences, Inc. Common Stock $18.25
2.395M
$5.15B
$43.71M
894
ESPREsperion Therapeutics, Inc. $3.30
2.391M
$789.27M
$7.90M
895
BKYIBIO-key International, Inc. Common Stock $0.5599
2.388M
$6.07M
$1.34M
896
LNTAlliant Energy Corporation Common Stock $71.63
2.384M
$18.42B
$170.77M
897
AHHArmada Hoffler Properties, Inc. $5.98
2.382M
$479.32M
$14.24M
898
HAYWHayward Holdings, Inc. $15.67
2.376M
$3.40B
$37.23M
899
ASSTAsset Entities Inc. Class B Common Stock $7.20
2.375M
$453.95M
$17.10M
900
$1.69
2.374M
$432.84M
$4.01M