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
$246.65
$3.73T
1.211M
$298.70M
2
$137.74
$3.37T
4.612M
$635.27M
3
$447.58
$3.33T
197.673K
$88.47M
4
$229.50
$2.41T
660.441K
$151.57M
5
GOOG Alphabet Inc. Class C Capital Stock $195.00
$2.39T
1.123M
$219.02M
6
GOOGL Alphabet Inc. Class A Common Stock $193.46
$2.37T
992.666K
$192.04M
7
META Meta Platforms, Inc. Class A Common Stock $629.50
$1.59T
118.975K
$74.89M
8
TSLA Tesla, Inc. Common Stock $421.70
$1.35T
4.392M
$1.85B
9
TSM Taiwan Semiconductor Manufacturing Company Ltd. $193.81
$1.01T
113.356K
$21.97M
10
BRK.B BERKSHIRE HATHAWAY Class B $461.55
$995.29B
6.903K
$3.19M
11
AVGO Broadcom Inc. Common Stock $181.20
$846.31B
749.723K
$135.85M
12
$95.35
$765.98B
45.488K
$4.34M
13
$792.18
$712.42B
3.068K
$2.43M
14
$243.39
$685.23B
2.009K
$488.97K
15
$313.50
$607.08B
2.448K
$767.45K
16
$177.88
$492.92B
35.434K
$6.30M
17
XOM Exxon Mobil Corporation $112.10
$492.68B
15.561K
$1.74M
18
$110.56
$491.15B
55.372K
$6.12M
19
MA Mastercard Incorporated $534.36
$490.45B
120
$64.12K
20
UNH UNITEDHEALTH GROUP INCORPORATED (Delaware) $531.00
$488.67B
13.421K
$7.13M
21
COST Costco Wholesale Corp $1,002.98
$444.39B
96.009K
$96.30M
22
$421.39
$418.59B
4.283K
$1.80M
23
PG Procter & Gamble Company $171.10
$402.95B
3.203K
$548.03K
24
$933.00
$398.82B
4.567K
$4.26M
25
$146.95
$353.80B
12.4K
$1.82M
26
BAC Bank of America Corporation $46.02
$353.11B
29.582K
$1.36M
27
$352.00
$336.86B
17.239K
$6.07M
28
$174.40
$308.19B
1.306K
$227.77K
29
$251.68
$293.59B
4.246K
$1.07M
30
$713.58
$280.58B
8.77K
$6.26M
31
$156.35
$278.76B
5.734K
$896.51K
32
$63.36
$272.94B
126.068K
$7.99M
33
$230.70
$267.72B
2.521K
$581.59K
34
$101.54
$256.86B
56.509K
$5.74M
35
$71.45
$237.89B
11.738K
$838.68K
36
$1,147.18
$236.68B
387
$443.96K
37
TM Toyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $178.40
$233.91B
590
$105.26K
38
CSCO Cisco Systems, Inc. Common Stock (DE) $58.70
$233.79B
15.847K
$930.22K
39
$363.50
$227.14B
1.143K
$415.48K
40
$158.55
$217.53B
33.933K
$5.38M
41
$491.00
$216.14B
1.139M
$559.08M
42
AXP American Express Company $302.25
$212.92B
889
$268.70K
43
IBM International Business Machines Corporation $229.97
$212.64B
4.175K
$960.12K
44
MCD McDonald's Corporation $296.36
$212.38B
1.608K
$476.55K
45
BABA Alibaba Group Holding Limited American Depositary Shares, each represents eight Ordinary Shares $89.02
$212.26B
694.91K
$61.86M
46
AMD Advanced Micro Devices $129.75
$210.56B
620.795K
$80.55M
47
$67.05
$207.90B
11.251K
$754.38K
48
DIS The Walt Disney Company $114.50
$207.35B
22.269K
$2.55M
49
$127.30
$205.08B
419
$53.34K
50
$114.40
$198.42B
377
$43.13K
51
$99.11
$198.15B
8.432K
$835.70K
52
PM Philip Morris International Inc. $127.09
$197.60B
2.318K
$294.59K
53
SHEL Shell plc American Depositary Shares (Each represents two Ordinary shares) $64.41
$196.54B
41K
$2.64M
54
ISRG Intuitive Surgical Inc. $540.00
$192.34B
203
$109.62K
55
$670.60
$187.71B
179
$120.04K
56
$388.00
$187.33B
6.23K
$2.42M
57
GS Goldman Sachs Group Inc. $590.07
$185.23B
1.063K
$627.24K
58
$169.02
$182.93B
5.251K
$887.52K
59
$126.21
$178.52B
123
$15.52K
60
$42.18
$177.56B
18.394K
$775.86K
61
$158.43
$176.02B
13.468K
$2.13M
62
$48.60
$174.73B
37.048K
$1.80M
63
$23.66
$169.77B
228.567K
$5.41M
64
$1,072.94
$166.18B
618
$663.08K
65
PLTR Palantir Technologies Inc. Class A Common Stock $71.50
$162.88B
2.123M
$151.78M
66
$116.60
$155.20B
3.754K
$437.72K
67
$40.01
$153.10B
13.152K
$526.21K
68
SCHW The Charles Schwab Corporation $82.75
$151.48B
3.17K
$262.32K
69
$266.55
$150.51B
1.168K
$311.33K
70
SHOP Shopify Inc. Class A subordinate voting shares $116.48
$150.50B
18.595K
$2.17M
71
ARM Arm Holdings plc American Depositary Shares $141.42
$148.63B
31.039K
$4.39M
72
HON Honeywell International, Inc. $228.50
$148.58B
1.934K
$441.92K
73
$273.01
$146.75B
342.845K
$93.60M
74
MUFG Mitsubishi UFJ Financial Group, Inc. $12.12
$145.96B
470
$5.70K
75
$58.57
$144.85B
7.628K
$446.77K
76
$189.87
$144.15B
3.523K
$668.91K
77
$376.90
$143.68B
445
$167.72K
78
PDD PDD Holdings Inc. American Depositary Shares $103.05
$143.11B
255.344K
$26.31M
79
$25.22
$142.92B
174.432K
$4.40M
80
PGR Progressive Corporation $242.76
$142.21B
115
$27.92K
81
$158.50
$140.78B
2.412K
$382.30K
82
AMAT Applied Materials Inc $170.24
$140.35B
5.822K
$991.14K
83
SONY Sony Group Corporation American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock) $22.60
$135.94B
20.625K
$466.13K
84
$71.79
$135.77B
7.47K
$536.27K
85
BHP BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) $52.93
$134.18B
20.874K
$1.10M
86
BSX Boston Scientific Corp. $90.90
$133.97B
647
$58.81K
87
$106.20
$133.79B
7.596K
$806.70K
88
$102.28
$132.31B
1.783K
$182.37K
89
UBER Uber Technologies, Inc. $62.75
$132.13B
1.251M
$78.51M
90
PANW Palo Alto Networks, Inc. Common Stock $397.00
$130.26B
630
$250.11K
91
$56.38
$127.22B
20.167K
$1.14M
92
$168.36
$125.96B
121.556K
$20.47M
93
$447.52
$122.44B
454
$203.17K
94
VRTX Vertex Pharmaceuticals Inc $464.61
$119.65B
100
$46.46K
95
SNY Sanofi American Depositary Shares (Each representing one-half of one ordinary share) $47.58
$119.29B
4.191K
$199.41K
96
$500.30
$118.59B
5.829K
$2.92M
97
$78.70
$117.14B
19.584K
$1.54M
98
$203.24
$115.63B
542
$110.16K
99
BMY Bristol-Myers Squibb Co. $56.65
$114.90B
7.625K
$431.96K
100
$92.13
$114.82B
948
$87.34K