Stock Rankings by Market Cap
Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 1 to 100.
1
$181.40
$4.41T
7.454M
$1.35B
2
$277.60
$4.10T
107.784K
$29.92M
3
GOOG Alphabet Inc. Class C Capital Stock $320.33
$3.87T
1.024M
$328.14M
4
GOOGL Alphabet Inc. Class A Common Stock $320.25
$3.86T
1.57M
$502.83M
5
$486.06
$3.61T
336.488K
$163.55M
6
$231.85
$2.48T
331.917K
$76.95M
7
AVGO Broadcom Inc. Common Stock $380.78
$1.80T
356.435K
$135.72M
8
META Meta Platforms, Inc. Class A Common Stock $633.84
$1.60T
346.446K
$219.59M
9
TSM Taiwan Semiconductor Manufacturing Company Ltd. $288.24
$1.49T
97.619K
$28.14M
10
TSLA Tesla, Inc. Common Stock $425.17
$1.41T
1.036M
$440.37M
11
BRK.B BERKSHIRE HATHAWAY Class B $509.17
$1.10T
8.274K
$4.21M
12
$1,110.39
$993.82B
22.224K
$24.68M
13
$106.85
$851.90B
85.601K
$9.15M
14
$303.50
$826.21B
6.826K
$2.07M
15
$334.70
$645.94B
4.183K
$1.40M
16
$208.40
$594.11B
1.381M
$287.86M
17
$206.17
$496.72B
12.04K
$2.48M
18
MA Mastercard Incorporated $548.00
$492.10B
810
$443.88K
19
XOM Exxon Mobil Corporation $114.60
$483.27B
11.169K
$1.28M
20
$105.20
$445.77B
290.906K
$30.60M
21
$231.90
$409.86B
1.475K
$342.05K
22
$1,037.50
$402.70B
41.598K
$43.16M
23
PLTR Palantir Technologies Inc. Class A Common Stock $166.47
$396.77B
512.748K
$85.36M
24
COST Costco Wholesale Corp $894.66
$396.49B
2.171K
$1.94M
25
BAC Bank of America Corporation $52.55
$383.75B
16.586K
$871.59K
26
BABA Alibaba Group Holding Limited American Depositary Shares, each represents eight Ordinary Shares $158.68
$378.61B
340.36K
$54.01M
27
$351.16
$349.54B
1.833K
$643.68K
28
PG Procter & Gamble Company $148.49
$346.98B
8.23K
$1.22M
29
AMD Advanced Micro Devices $211.06
$343.61B
1.532M
$323.26M
30
$72.41
$311.48B
11.545K
$835.97K
31
$293.79
$309.89B
5.965K
$1.75M
32
CSCO Cisco Systems, Inc. Common Stock (DE) $76.50
$302.26B
20.362K
$1.56M
33
$148.62
$297.14B
5.877K
$873.44K
34
UNH UNITEDHEALTH GROUP INCORPORATED (Delaware) $326.89
$296.11B
63.209K
$20.66M
35
$92.71
$287.45B
34.468K
$3.20M
36
IBM International Business Machines Corporation $304.75
$284.86B
12.206K
$3.72M
37
$238.19
$277.40B
3.964K
$944.19K
38
$85.24
$267.58B
2.782K
$237.14K
39
$567.71
$265.96B
10.749K
$6.10M
40
$165.90
$263.67B
1.025K
$170.05K
41
$104.83
$260.20B
36.052K
$3.78M
42
MU Micron Technology, Inc. $228.90
$256.93B
261.061K
$59.76M
43
AXP American Express Company $364.25
$250.91B
845
$307.79K
44
$129.53
$248.54B
8.526K
$1.10M
45
PM Philip Morris International Inc. $157.00
$244.39B
2.345K
$368.17K
46
$70.25
$241.18B
13.964K
$980.97K
47
GS Goldman Sachs Group Inc. $803.35
$240.95B
659
$529.41K
48
$172.90
$231.82B
778
$134.52K
49
$205.85
$230.24B
203.976K
$41.99M
50
$232.73
$221.56B
12.229K
$2.85M
51
MCD McDonald's Corporation $309.35
$220.30B
1.277K
$395.04K
52
$48.66
$216.22B
866.538K
$42.17M
53
SHOP Shopify Inc. Class A subordinate voting shares $160.95
$209.53B
24.542K
$3.95M
54
SHEL Shell plc American Depositary Shares (Each represents two Ordinary shares) $73.16
$209.44B
69.458K
$5.08M
55
ISRG Intuitive Surgical Inc. $583.68
$206.91B
1.831K
$1.07M
56
$145.70
$199.22B
5.024K
$732.01K
57
AMAT Applied Materials Inc $245.00
$195.18B
14.826K
$3.63M
58
$154.56
$194.13B
10.63K
$1.64M
59
LIN Linde plc Ordinary Share $407.92
$190.48B
119
$48.54K
60
APP Applovin Corporation Class A Common Stock $561.80
$189.86B
15.876K
$8.92M
61
$36.45
$186.86B
6.351K
$231.49K
62
DIS The Walt Disney Company $103.31
$184.44B
7.87K
$813.05K
63
$25.84
$183.19B
32.66K
$843.93K
64
$101.38
$181.40B
2.234K
$226.48K
65
$647.00
$180.12B
719
$465.19K
66
MUFG Mitsubishi UFJ Financial Group, Inc. $15.71
$178.81B
101
$1.59K
67
$85.28
$177.60B
6.611K
$563.79K
68
UBER Uber Technologies, Inc. $84.77
$176.14B
71.604K
$6.07M
69
$163.95
$175.59B
11.368K
$1.86M
70
SONY Sony Group Corporation American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock) $29.18
$174.08B
18.729K
$546.51K
71
$36.22
$172.77B
554.34K
$20.08M
72
$826.00
$171.38B
662
$546.81K
73
$40.55
$170.98B
36.763K
$1.49M
74
$139.66
$170.95B
6.15K
$858.91K
75
PDD PDD Holdings Inc. American Depositary Shares $115.94
$164.59B
49.087K
$5.69M
76
$230.77
$163.00B
253
$58.38K
77
SCHW The Charles Schwab Corporation $91.10
$161.88B
1.989K
$181.20K
78
$127.44
$160.48B
22.061K
$2.81M
79
$1,034.00
$160.43B
245
$253.33K
80
BKNG Booking Holdings Inc. Common Stock $4,911.00
$158.30B
94
$461.63K
81
$127.25
$157.88B
973
$123.81K
82
$578.20
$156.88B
6.974K
$4.03M
83
$10.57
$155.75B
13.653K
$144.31K
84
$250.47
$155.33B
1.019K
$255.23K
85
BSX Boston Scientific Corp. $101.65
$150.69B
700
$71.15K
86
KLAC KLA Corporation Common Stock $1,146.21
$150.60B
100
$114.62K
87
$493.90
$149.55B
60
$29.63K
88
TXN Texas Instruments Incorporated $162.05
$147.24B
1.693K
$274.35K
89
$59.96
$147.02B
36.889K
$2.21M
90
$25.74
$146.35B
135.77K
$3.49M
91
$376.31
$143.91B
200
$75.26K
92
ARM Arm Holdings plc American Depositary Shares $133.67
$141.82B
15.252K
$2.04M
93
$82.99
$141.68B
100
$8.30K
94
$65.36
$141.06B
4.573K
$298.89K
95
$184.38
$140.15B
29.547K
$5.45M
96
BHP BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) $54.24
$137.72B
21.599K
$1.17M
97
$215.97
$137.30B
1.159K
$250.31K
98
$229.51
$136.14B
954
$218.95K
99
$105.33
$135.10B
272
$28.65K
100
$320.59
$134.20B
5.983K
$1.92M