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
$163.16
$3.98T
2.518M
$410.86M
2
$499.56
$3.71T
50.536K
$25.25M
3
$210.88
$3.15T
335.49K
$70.75M
4
$223.35
$2.37T
833.426K
$186.15M
5
GOOG Alphabet Inc. Class C Capital Stock $177.84
$2.16T
92.649K
$16.48M
6
GOOGL Alphabet Inc. Class A Common Stock $176.80
$2.15T
142.39K
$25.17M
7
META Meta Platforms, Inc. Class A Common Stock $723.80
$1.82T
66.82K
$48.36M
8
AVGO Broadcom Inc. Common Stock $274.00
$1.29T
180.503K
$49.46M
9
TSM Taiwan Semiconductor Manufacturing Company Ltd. $229.65
$1.19T
125.032K
$28.71M
10
BRK.B BERKSHIRE HATHAWAY Class B $476.20
$1.03T
9.336K
$4.45M
11
TSLA Tesla, Inc. Common Stock $308.51
$993.70B
2.116M
$652.88M
12
$286.50
$796.20B
14.869K
$4.26M
13
$94.85
$756.94B
96.702K
$9.17M
14
$787.10
$706.61B
3.775K
$2.97M
15
$354.00
$691.54B
4.525K
$1.60M
16
$232.94
$654.29B
70.315K
$16.38M
17
$1,256.31
$534.65B
16.059K
$20.18M
18
MA Mastercard Incorporated $560.50
$508.98B
2.074K
$1.16M
19
XOM Exxon Mobil Corporation $114.47
$493.32B
7.831K
$896.41K
20
COST Costco Wholesale Corp $971.00
$430.62B
9.049K
$8.79M
21
$157.15
$378.11B
5.121K
$804.77K
22
PG Procter & Gamble Company $157.88
$370.16B
4.105K
$648.10K
23
$371.80
$369.91B
2.413K
$897.15K
24
$303.75
$354.35B
1.492K
$453.20K
25
BAC Bank of America Corporation $46.66
$351.44B
366.625K
$17.11M
26
$194.32
$343.25B
1.148K
$223.08K
27
PLTR Palantir Technologies Inc. Class A Common Stock $141.10
$332.98B
821.681K
$115.94M
28
$797.94
$313.75B
4.007K
$3.20M
29
$69.56
$309.08B
118.297K
$8.23M
30
$69.70
$300.01B
29.958K
$2.09M
31
PM Philip Morris International Inc. $180.72
$281.29B
1.538K
$277.95K
32
UNH UNITEDHEALTH GROUP INCORPORATED (Delaware) $300.24
$272.36B
61.753K
$18.54M
33
CSCO Cisco Systems, Inc. Common Stock (DE) $68.38
$270.78B
172.577K
$11.80M
34
$251.00
$267.66B
2.188K
$549.19K
35
$153.60
$266.04B
2.524K
$387.69K
36
$81.75
$266.03B
9.383K
$767.06K
37
IBM International Business Machines Corporation $285.80
$265.62B
6.901K
$1.97M
38
$227.40
$258.20B
1.041K
$236.72K
39
BABA Alibaba Group Holding Limited American Depositary Shares, each represents eight Ordinary Shares $107.10
$255.54B
609.422K
$65.27M
40
$263.00
$251.43B
15.405K
$4.05M
41
$123.06
$243.05B
4.471K
$550.20K
42
AMD Advanced Micro Devices $143.11
$232.05B
856.505K
$122.58M
43
AXP American Express Company $325.03
$227.71B
565
$183.64K
44
$141.70
$227.33B
2.097K
$297.15K
45
TM Toyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $170.20
$221.82B
2.045K
$348.06K
46
$71.02
$220.19B
34.789K
$2.47M
47
DIS The Walt Disney Company $120.89
$217.33B
6.463K
$781.31K
48
GS Goldman Sachs Group Inc. $703.00
$215.71B
985
$692.46K
49
$61.65
$215.38B
16.749K
$1.03M
50
MCD McDonald's Corporation $297.86
$212.98B
5.596K
$1.67M
51
SHEL Shell plc American Depositary Shares (Each represents two Ordinary shares) $71.97
$211.49B
38.438K
$2.77M
52
$83.70
$210.17B
164.502K
$13.77M
53
$740.00
$206.42B
945
$699.30K
54
TXN Texas Instruments Incorporated $220.43
$200.25B
8.04K
$1.77M
55
UBER Uber Technologies, Inc. $95.75
$200.23B
50.988K
$4.88M
56
$960.01
$198.87B
10.31K
$9.90M
57
$27.59
$198.53B
38.135K
$1.05M
58
$145.58
$194.49B
1.111K
$161.74K
59
$75.89
$193.97B
183
$13.89K
60
$405.71
$190.81B
2.302K
$933.94K
61
$133.13
$187.76B
286
$38.08K
62
ISRG Intuitive Surgical Inc. $521.45
$186.90B
1.409K
$734.72K
63
$135.51
$185.79B
5.897K
$799.10K
64
$288.00
$179.38B
318
$91.58K
65
$41.99
$177.04B
29.548K
$1.24M
66
$158.27
$173.78B
25.737K
$4.07M
67
$1,098.50
$170.19B
404
$443.79K
68
$225.36
$169.92B
36.704K
$8.27M
69
SCHW The Charles Schwab Corporation $93.04
$169.05B
150
$13.96K
70
TMO Thermo Fisher Scientific, Inc. $429.65
$162.19B
306
$131.47K
71
$86.30
$161.19B
12.31K
$1.06M
72
AMAT Applied Materials Inc $196.41
$157.62B
9.271K
$1.82M
73
$369.50
$156.74B
6.53K
$2.41M
74
ARM Arm Holdings plc American Depositary Shares $147.00
$155.71B
17.684K
$2.60M
75
MUFG Mitsubishi UFJ Financial Group, Inc. $13.61
$155.05B
587
$7.99K
76
BSX Boston Scientific Corp. $103.90
$153.71B
2.409K
$250.30K
77
$74.25
$152.85B
1.824K
$135.43K
78
HON Honeywell International, Inc. $235.08
$151.22B
686
$161.26K
79
$60.88
$149.26B
31.785K
$1.94M
80
PDD PDD Holdings Inc. American Depositary Shares $105.05
$149.13B
34.864K
$3.66M
81
$206.20
$147.57B
1.966K
$405.39K
82
SHOP Shopify Inc. Class A subordinate voting shares $113.69
$147.50B
27.326K
$3.11M
83
SONY Sony Group Corporation American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock) $24.50
$147.06B
1.565K
$38.34K
84
$534.17
$145.79B
3.508K
$1.87M
85
PGR Progressive Corporation $248.59
$145.73B
503
$125.04K
86
$25.63
$145.72B
133.101K
$3.41M
87
SPOT Spotify Technology S.A. $709.95
$145.58B
2.182K
$1.55M
88
$114.30
$142.18B
2.682K
$306.55K
89
$219.50
$140.40B
2.627K
$576.63K
90
$515.02
$139.48B
449
$231.24K
91
TJX TJX Companies, Inc. (The) $124.44
$138.83B
125
$15.56K
92
$62.54
$137.86B
2.708K
$169.36K
93
MU Micron Technology, Inc. $122.20
$136.76B
117.791K
$14.39M
94
$105.44
$132.42B
23.317K
$2.46M
95
$35.42
$132.24B
933.502K
$33.06M
96
BUD Anheuser-Busch INBEV SA/NV $67.56
$130.89B
1.988K
$134.31K
97
BHP BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) $51.38
$130.37B
41.868K
$2.15M
98
PANW Palo Alto Networks, Inc. Common Stock $192.81
$128.57B
44.91K
$8.66M
99
$100.26
$128.24B
5.716K
$573.09K
100
$227.73
$127.63B
110
$25.05K