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
$173.25
$4.22T
4.626M
$801.45M
2
$510.82
$3.80T
57.375K
$29.31M
3
$238.72
$3.54T
525.404K
$125.42M
4
GOOG Alphabet Inc. Class C Capital Stock $252.10
$3.05T
114.301K
$28.82M
5
GOOGL Alphabet Inc. Class A Common Stock $251.76
$3.04T
897.318K
$225.91M
6
$233.29
$2.49T
287.581K
$67.09M
7
META Meta Platforms, Inc. Class A Common Stock $777.79
$1.95T
57.275K
$44.55M
8
AVGO Broadcom Inc. Common Stock $358.80
$1.69T
55.194K
$19.80M
9
TSM Taiwan Semiconductor Manufacturing Company Ltd. $261.70
$1.36T
93.705K
$24.52M
10
TSLA Tesla, Inc. Common Stock $416.61
$1.34T
1.888M
$786.50M
11
BRK.B BERKSHIRE HATHAWAY Class B $490.70
$1.06T
2.805K
$1.38M
12
$306.00
$869.56B
329.968K
$100.97M
13
$309.93
$852.23B
7.757K
$2.40M
14
$103.54
$825.47B
15.445K
$1.60M
15
$754.44
$676.32B
18.321K
$13.82M
16
$338.67
$657.34B
482
$163.24K
17
MA Mastercard Incorporated $586.42
$530.13B
161
$94.41K
18
$1,216.00
$516.71B
52.992K
$64.44M
19
XOM Exxon Mobil Corporation $114.40
$487.72B
1.088K
$124.47K
20
$176.30
$424.59B
624
$110.01K
21
COST Costco Wholesale Corp $954.69
$423.38B
577
$550.86K
22
$422.67
$420.72B
2.141K
$904.93K
23
PLTR Palantir Technologies Inc. Class A Common Stock $168.79
$400.43B
602.794K
$101.75M
24
BABA Alibaba Group Holding Limited American Depositary Shares, each represents eight Ordinary Shares $166.35
$396.58B
837.27K
$139.28M
25
$217.50
$384.23B
2.007K
$436.52K
26
BAC Bank of America Corporation $50.79
$376.19B
15.141K
$769.00K
27
PG Procter & Gamble Company $158.05
$369.91B
661
$104.47K
28
$871.38
$342.63B
19.337K
$16.85M
29
$159.23
$320.82B
752
$119.74K
30
$294.01
$311.78B
1.962K
$576.85K
31
UNH UNITEDHEALTH GROUP INCORPORATED (Delaware) $337.95
$306.07B
143.764K
$48.59M
32
$257.66
$300.07B
32.192K
$8.29M
33
$66.36
$285.59B
23.436K
$1.56M
34
$238.00
$267.85B
726
$172.79K
35
CSCO Cisco Systems, Inc. Common Stock (DE) $67.09
$265.22B
4.931K
$330.82K
36
TM Toyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $200.62
$261.49B
1.018K
$204.23K
37
$81.53
$261.18B
1.426K
$116.26K
38
$58.09
$258.13B
468.849K
$27.24M
39
AMD Advanced Micro Devices $158.60
$257.38B
629.98K
$99.91M
40
PM Philip Morris International Inc. $163.40
$254.35B
231
$37.75K
41
$155.77
$248.66B
612
$95.33K
42
IBM International Business Machines Corporation $257.50
$239.87B
1.878K
$483.59K
43
$77.36
$239.85B
9.648K
$746.37K
44
$69.25
$239.40B
26.119K
$1.81M
45
$122.73
$237.59B
1.09K
$133.78K
46
$240.46
$228.92B
20.744K
$4.99M
47
AXP American Express Company $327.54
$227.93B
545
$178.51K
48
MCD McDonald's Corporation $305.00
$217.65B
5.691K
$1.74M
49
$159.00
$212.83B
435
$69.17K
50
$29.37
$210.01B
9.76K
$286.65K
51
SHEL Shell plc American Depositary Shares (Each represents two Ordinary shares) $71.86
$208.27B
99.339K
$7.14M
52
DIS The Walt Disney Company $115.24
$207.19B
1.916K
$220.80K
53
$440.68
$206.45B
302
$133.09K
54
APP Applovin Corporation Class A Common Stock $603.80
$204.24B
12.58K
$7.60M
55
$80.88
$202.02B
13.383K
$1.08M
56
UBER Uber Technologies, Inc. $95.32
$198.78B
181.473K
$17.30M
57
$934.50
$193.93B
1.359K
$1.27M
58
$140.22
$191.97B
2.655K
$372.28K
59
SHOP Shopify Inc. Class A subordinate voting shares $146.61
$190.54B
9.066K
$1.33M
60
PDD PDD Holdings Inc. American Depositary Shares $133.10
$188.95B
166.901K
$22.21M
61
$100.73
$185.43B
8.068K
$812.69K
62
$43.82
$184.76B
9.555K
$418.70K
63
$141.93
$178.39B
14.255K
$2.02M
64
$164.35
$177.33B
11.129K
$1.83M
65
MU Micron Technology, Inc. $157.81
$176.61B
137.603K
$21.72M
66
SONY Sony Group Corporation American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock) $28.96
$173.26B
3.467K
$100.40K
67
$618.49
$168.37B
7.205K
$4.46M
68
SCHW The Charles Schwab Corporation $92.11
$167.20B
1.1K
$101.32K
69
$215.58
$163.01B
28.25K
$6.09M
70
ARM Arm Holdings plc American Depositary Shares $153.22
$162.30B
16.147K
$2.47M
71
TXN Texas Instruments Incorporated $177.50
$161.37B
129.179K
$22.93M
72
ISRG Intuitive Surgical Inc. $435.13
$155.98B
688
$299.37K
73
TJX TJX Companies, Inc. (The) $139.09
$154.80B
1.179K
$163.99K
74
$62.33
$152.83B
38.605K
$2.41M
75
$120.45
$152.44B
7.078K
$852.55K
76
$271.68
$152.36B
150
$40.75K
77
$352.89
$149.70B
8.934K
$3.15M
78
$9.95
$147.61B
13.624K
$135.56K
79
$273.80
$147.40B
2.896K
$792.92K
80
$236.50
$147.30B
591
$139.77K
81
BSX Boston Scientific Corp. $99.01
$146.71B
1.06K
$104.95K
82
$119.05
$145.35B
1.195K
$142.26K
83
$70.08
$144.31B
5.147K
$360.70K
84
ETN Eaton Corporation, plc Ordinary Shares $370.10
$144.08B
281
$104.00K
85
$225.00
$143.89B
849
$191.03K
86
$184.11
$143.72B
100
$18.41K
87
PGR Progressive Corporation $238.00
$139.56B
8.667K
$2.06M
88
AMAT Applied Materials Inc $173.49
$138.21B
1.24K
$215.13K
89
$191.00
$136.77B
104
$19.86K
90
$23.95
$136.16B
115.431K
$2.76M
91
BHP BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) $53.44
$135.69B
120.741K
$6.45M
92
PANW Palo Alto Networks, Inc. Common Stock $200.94
$134.41B
2.871K
$576.90K
93
HON Honeywell International, Inc. $211.24
$134.12B
184
$38.87K
94
$61.37
$133.74B
9.668K
$593.33K
95
$41.30
$130.89B
691
$28.54K
96
$142.00
$126.51B
400
$56.80K
97
BTI British American Tobacco p.l.c. American Depositary Shares, American Depositary Shares, each representing one Ordinary Share $56.05
$122.30B
10.408K
$583.37K
98
$244.13
$120.10B
382
$93.26K
99
$32.39
$119.59B
2.256K
$73.07K
100
$25.22
$117.78B
663.682K
$16.74M