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
BMRNBioMarin Pharmaceuticals Inc $59.43
1.013M
$11.42B
$60.20M
802
JEFJefferies Financial Group Inc. $61.50
978.062K
$12.69B
$60.15M
803
$44.77
1.342M
$25.86B
$60.09M
804
$15.35
3.9M
$1.56B
$59.87M
805
$79.60
751.979K
$3.86B
$59.86M
806
BTDRBitdeer Technologies Group Class A Ordinary Shares $11.01
5.424M
$2.56B
$59.72M
807
HRLHormel Foods Corporation $23.69
2.521M
$13.03B
$59.72M
808
EXPDExpeditors International of Washington, Inc. $149.01
400.142K
$19.97B
$59.63M
809
BF.BBrown-Forman Corporation Class B $26.00
2.289M
$12.04B
$59.53M
810
WHWyndham Hotels & Resorts, Inc. Common Stock $75.50
787.265K
$5.70B
$59.44M
811
SMXSMX (Security Matters) Public Limited Company Class A Ordinary Shares $16.23
3.657M
$141.21M
$59.35M
812
MTDMettler-Toledo International $1,394.19
42.299K
$28.48B
$58.97M
813
$44.35
1.325M
$53.28B
$58.76M
814
LOGILogitech International SA $100.20
586.071K
$14.72B
$58.72M
815
$36.14
1.624M
$185.33B
$58.68M
816
$99.86
586.138K
$27.01B
$58.53M
817
RXRXRecursion Pharmaceuticals, Inc. Class A Common Stock $4.11
14.214M
$2.14B
$58.42M
818
TRIThomson Reuters Corporation $131.89
442.407K
$58.67B
$58.35M
819
$58.56
995.733K
$20.68B
$58.31M
820
$65.40
888.857K
$142.62B
$58.13M
821
MEDPMedpace Holdings, Inc. Common Stock $561.65
102.932K
$15.82B
$57.81M
822
$156.15
368.976K
$11.20B
$57.62M
823
$75.26
765.326K
$6.75B
$57.60M
824
$337.97
170.329K
$10.13B
$57.57M
825
$37.43
1.537M
$8.04B
$57.52M
826
JKHYHenry (Jack) & Associates $182.48
314.75K
$13.21B
$57.44M
827
MKTXMarketAxess Holdings Inc. $181.25
316.711K
$6.74B
$57.40M
828
EXRExtra Space Storage, Inc. $130.22
438.297K
$27.64B
$57.08M
829
$177.94
320.547K
$13.32B
$57.04M
830
MHKMohawk Industries, Inc. $109.30
521.163K
$6.76B
$56.96M
831
$487.32
116.538K
$671.39M
$56.79M
832
CHDChurch & Dwight Co., Inc. $83.90
676.434K
$20.15B
$56.75M
833
$163.86
346.116K
$9.22B
$56.71M
834
CCEPCoca-Cola Europacific Partners plc Ordinary Shares $90.70
623.207K
$40.69B
$56.52M
835
$217.49
259.696K
$17.16B
$56.48M
836
$284.24
198.352K
$20.00B
$56.38M
837
$44.00
1.281M
$11.80B
$56.34M
838
NNENano Nuclear Energy Inc. Common Stock $24.29
2.315M
$1.23B
$56.23M
839
$2.64
21.296M
$2.37B
$56.22M
840
IFFInternational Flavors & Fragrances Inc. $67.30
834.749K
$17.24B
$56.18M
841
$14.03
3.992M
$11.01B
$56.02M
842
FYBRFrontier Communications Parent, Inc. Common Stock $38.06
1.47M
$9.53B
$55.93M
843
$7,292.77
7.633K
$19.93B
$55.67M
844
DOCHealthpeak Properties, Inc. $16.10
3.443M
$11.19B
$55.43M
845
TYLTyler Technologies, Inc. $453.95
122.1K
$19.53B
$55.43M
846
GLPIGaming and Leisure Properties, Inc. $44.41
1.247M
$12.57B
$55.40M
847
$338.08
163.715K
$13.71B
$55.35M
848
$30.38
1.819M
$18.71B
$55.26M
849
$56.85
969.399K
$3.59B
$55.11M
850
APAAPA Corporation Common Stock $24.50
2.248M
$8.69B
$55.06M
851
$43.65
1.261M
$39.07B
$55.03M
852
$318.40
172.775K
$8.20B
$55.01M
853
NVTSNavitas Semiconductor Corporation Common Stock $7.11
7.727M
$1.64B
$54.94M
854
HSTHost Hotels & Resorts, Inc. $17.73
3.097M
$12.19B
$54.91M
855
SWKStanley Black & Decker, Inc. $74.01
740.756K
$11.46B
$54.82M
856
ALCAlcon Inc. Ordinary Shares $78.81
692.492K
$38.71B
$54.58M
857
$78.99
689.08K
$271.19B
$54.43M
858
$29.80
1.823M
$106.55B
$54.33M
859
$80.51
674.807K
$8.69B
$54.33M
860
$403.52
134.311K
$7.56B
$54.20M
861
FIGRFigure Technology Solutions, Inc. Class A Common Stock $41.12
1.317M
$8.80B
$54.17M
862
SOPASociety Pass Incorporated Common Stock $3.80
14.222M
$23.20M
$54.04M
863
BXPBoston Properties, Inc. $67.47
798.349K
$10.69B
$53.86M
864
$379.83
141.797K
$22.62B
$53.86M
865
PSKYParamount Skydance Corporation Class B Common Stock $13.41
4.009M
$14.79B
$53.76M
866
$135.05
397.843K
$12.83B
$53.73M
867
RGAReinsurance Group of America, Incorporated $203.36
261.898K
$13.36B
$53.26M
868
$104.32
509.169K
$7.78B
$53.12M
869
GPCRStructure Therapeutics Inc. American Depositary Shares $71.50
740.509K
$5.05B
$52.95M
870
CACCCredit Acceptance Corp $443.46
119.045K
$4.89B
$52.79M
871
MODModine Manufacturing Co $133.51
395.299K
$7.03B
$52.78M
872
GRALGRAIL, Inc. Common Stock $85.00
618.851K
$3.31B
$52.60M
873
JLLJones Lang LaSalle, Inc. $336.47
156.332K
$15.88B
$52.60M
874
RPMRPM International, Inc. $104.00
505.456K
$13.33B
$52.57M
875
IDRIdaho Strategic Resources, Inc. $40.02
1.313M
$624.01M
$52.56M
876
BTBTBit Digital, Inc. Ordinary Shares $1.89
27.739M
$611.75M
$52.43M
877
$52.97
983.196K
$14.20B
$52.08M
878
SEDGSolarEdge Technologies, Inc. $28.85
1.802M
$1.73B
$52.00M
879
$16.49
3.153M
$9.78B
$51.99M
880
PONYPony AI Inc. American Depositary Shares $14.47
3.578M
$6.27B
$51.78M
881
AAPADVANCE AUTO PARTS INC $38.90
1.327M
$2.34B
$51.64M
882
$26.25
1.962M
$11.68B
$51.50M
883
AMCRAmcor plc Ordinary Shares $8.38
6.142M
$19.34B
$51.45M
884
LNTAlliant Energy Corporation Common Stock $65.01
790.08K
$16.71B
$51.36M
885
$240.61
213.274K
$12.05B
$51.32M
886
EQNREquinor ASA American Depositary Shares (Each Representing One Ordinary Share, nominal value NOK 2.50 per share) $23.50
2.183M
$58.77B
$51.29M
887
BIRKBirkenstock Holding plc $40.90
1.253M
$7.52B
$51.24M
888
$99.78
512.195K
$24.78B
$51.11M
889
PRMBPrimo Brands Corporation $16.00
3.19M
$5.85B
$51.04M
890
ARWRArrowhead Research Corporation $65.65
774.376K
$8.92B
$50.84M
891
MBLYMobileye Global Inc. Class A Common Stock $10.46
4.852M
$8.51B
$50.75M
892
CNICanadian National Railway $99.20
511.568K
$61.06B
$50.75M
893
MAAMid-America Apartment Communities, Inc. $138.91
365.016K
$16.26B
$50.70M
894
LECOLincoln Electric Holdings Inc $239.64
211.433K
$13.19B
$50.67M
895
LBRDKLiberty Broadband Corporation Class C $48.74
1.038M
$6.99B
$50.59M
896
$76.09
664.591K
$16.44B
$50.57M
897
$255.06
198.157K
$4.33B
$50.54M
898
KYMRKymera Therapeutics, Inc. Common Stock $77.81
648.151K
$6.22B
$50.43M
899
EMNEastman Chemical Company $63.41
794.506K
$7.23B
$50.38M
900
$32.10
1.568M
$11.91B
$50.34M