Stock Rankings by Market Cap - Rankings 301 to 400

Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 301 to 400.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Market Cap
Volume (Day)
$ Volume (Day)
301
FNVFranco-Nevada Corporation
$256.77
+6.77
+2.71%
$49.50B
454.83K
$116.78M
302
ZTSZOETIS INC.
$117.17
-2.01
-1.68%
$49.46B
1.06M
$124.21M
303
TERTeradyne, Inc. Common Stock
$311.09
+10.79
+3.59%
$48.70B
1.521M
$473.12M
304
CCJCameco Corporation
$111.44
+1.45
+1.32%
$48.54B
1.832M
$204.18M
305
NDAQNasdaq, Inc. Common Stock
$85.22
-0.36
-0.42%
$48.44B
1.287M
$109.68M
306
PSAPublic Storage
$274.40
+3.52
+1.30%
$48.16B
422.818K
$116.02M
307
CVECenovus Energy Inc.
$25.61
+0.01
+0.02%
$48.14B
9.879M
$252.94M
308
FERFerrovial SE Ordinary Shares
$66.90
+0.99
+1.50%
$48.04B
681.557K
$45.60M
309
NOKNokia Corporation
$8.33
+0.23
+2.85%
$47.84B
45.012M
$374.99M
310
CARRCarrier Global Corporation
$57.24
+0.24
+0.42%
$47.82B
3.028M
$173.30M
311
EWEdwards Lifesciences Corp
$81.93
+1.30
+1.61%
$47.24B
2.273M
$186.22M
312
ABEVAMBEV S.A.
$2.97
+0.04
+1.37%
$46.73B
17.393M
$51.57M
313
FERGFerguson plc
$240.24
+5.40
+2.30%
$46.70B
1.034M
$248.45M
314
COHRCoherent Corp.
$248.94
+6.79
+2.80%
$46.67B
4.47M
$1.11B
315
METMetLife, Inc.
$71.44
+0.42
+0.59%
$46.58B
1.785M
$127.51M
316
SESea Limited American Depositary Shares, each representing one Class A Ordinary Share
$82.06
-1.72
-2.05%
$46.41B
2.349M
$192.72M
317
ARGXargenx SE American Depositary Shares
$747.50
+5.65
+0.76%
$46.26B
196.789K
$147.10M
318
URIUnited Rentals, Inc.
$730.27
+1.71
+0.23%
$45.92B
281.482K
$205.56M
319
ITUBItau Unibanco Holding S.A. American Depositary Shares
$8.49
+0.10
+1.13%
$45.90B
14.644M
$124.25M
320
FFord Motor Company
$11.64
-0.04
-0.30%
$45.59B
19.208M
$223.49M
321
GRMNGarmin Ltd
$235.78
+3.46
+1.49%
$45.38B
313.818K
$73.99M
322
WDSWoodside Energy Group Limited American Depositary Shares, each representing one Ordinary Share
$23.65
+0.33
+1.43%
$44.95B
896.266K
$21.19M
323
IDXXIdexx Laboratories Inc
$560.41
-1.26
-0.22%
$44.56B
193.98K
$108.71M
324
KRThe Kroger Co.
$70.38
-1.98
-2.74%
$44.54B
3.537M
$248.95M
325
BDXBecton, Dickinson and Co.
$156.13
-1.57
-1.00%
$44.46B
1.033M
$161.21M
326
HLNHaleon plc American Depositary Shares (Each representing two Ordinary Shares)
$9.98
+0.02
+0.20%
$44.44B
5.4M
$53.89M
327
CVNACarvana Co.
$309.41
-7.84
-2.47%
$44.24B
2.309M
$714.30M
328
DALDelta Air Lines, Inc.
$67.72
+0.22
+0.33%
$44.23B
6.906M
$467.67M
329
WABWabtec Inc.
$256.82
+6.91
+2.76%
$43.79B
953.877K
$244.97M
330
ALNYAlnylam Pharmaceuticals, Inc.
$330.05
-2.64
-0.79%
$43.77B
329.411K
$108.72M
331
AUAngloGold Ashanti plc
$103.21
+2.19
+2.17%
$43.41B
2.405M
$248.19M
332
GFIGold Fields Ltd ADR
$48.34
+1.06
+2.24%
$43.27B
3.883M
$187.69M
333
YUMYum! Brands, Inc.
$154.26
-2.93
-1.86%
$42.64B
532.85K
$82.20M
334
FITBFifth Third Bancorp
$46.84
-0.04
-0.09%
$42.42B
6.038M
$282.81M
335
CMGChipotle Mexican Grill, Inc.
$32.54
+0.15
+0.46%
$42.37B
6.654M
$216.50M
336
ODFLOld Dominion Freight Line
$200.40
+4.29
+2.19%
$41.77B
972.546K
$194.90M
337
MTArcelorMittal
$53.89
+0.66
+1.24%
$41.76B
971.919K
$52.38M
338
EBAYeBay Inc
$92.75
+0.95
+1.03%
$41.55B
1.797M
$166.66M
339
WCNWaste Connections, Inc.
$162.66
+0.22
+0.14%
$41.51B
631.213K
$102.67M
340
ESLTElbit Systems Ltd
$891.03
+41.94
+4.94%
$41.47B
65.908K
$58.73M
341
DEODiageo plc
$74.48
+0.48
+0.65%
$41.46B
873.909K
$65.09M
342
ROKRockwell Automation, Inc.
$368.54
+8.54
+2.37%
$41.41B
531.448K
$195.86M
343
JDJD.com, Inc.
$28.82
-0.21
-0.71%
$41.28B
5.378M
$154.96M
344
EDConsolidated Edison, Inc.
$113.71
+0.53
+0.46%
$41.08B
449.258K
$51.08M
345
CCEPCoca-Cola Europacific Partners plc Ordinary Shares
$92.02
+0.75
+0.82%
$41.06B
974.215K
$89.65M
346
PYPLPayPal Holdings, Inc. Common Stock
$44.59
-0.99
-2.17%
$41.05B
9.369M
$417.74M
347
AIGAmerican International Group, Inc.
$75.92
+0.85
+1.13%
$40.74B
1.451M
$110.13M
348
PEGPublic Service Enterprise Group Incorporated
$81.31
+0.36
+0.44%
$40.55B
1.134M
$92.24M
349
DHID.R. Horton Inc.
$138.91
+1.69
+1.23%
$40.24B
1.093M
$151.80M
350
AMPAmeriprise Financial, Inc.
$439.67
-8.82
-1.97%
$40.09B
332.155K
$146.04M
351
MSTRMicroStrategy Inc
$122.04
-6.36
-4.95%
$39.78B
10.694M
$1.31B
352
CBRECBRE GROUP, INC.
$134.73
-0.73
-0.54%
$39.77B
785.841K
$105.88M
353
NUENucor Corporation
$173.61
+2.64
+1.54%
$39.52B
822.9K
$142.86M
354
MSCIMSCI, Inc.
$537.23
-2.98
-0.55%
$39.47B
173.395K
$93.15M
355
TRIThomson Reuters Corporation
$88.48
-1.07
-1.19%
$39.38B
1.809M
$160.05M
356
VTRVentas, Inc.
$82.15
+0.37
+0.45%
$39.02B
878.038K
$72.13M
357
DDOGDatadog, Inc. Class A Common Stock
$118.73
-0.73
-0.61%
$38.97B
1.92M
$227.91M
358
PCGPG&E Corporation
$17.71
+0.08
+0.43%
$38.92B
8.991M
$159.18M
359
COINCoinbase Global, Inc. Class A Common Stock
$173.63
-4.21
-2.37%
$38.73B
5.739M
$996.50M
360
KGCKinross Gold Corporation
$32.05
+1.05
+3.39%
$38.38B
7.326M
$234.80M
361
EQTEQT CORP
$61.42
-1.33
-2.12%
$38.38B
5.674M
$348.47M
362
RBLXRoblox Corporation
$57.51
+0.51
+0.89%
$38.05B
5.719M
$328.92M
363
WECWEC Energy Group, Inc.
$116.51
+0.74
+0.64%
$37.95B
712.993K
$83.07M
364
RKLBRocket Lab USA, Inc. Common Stock
$65.80
+0.17
+0.26%
$37.47B
20.961M
$1.38B
365
KBKB Financial Group Inc
$100.48
+0.48
+0.48%
$37.46B
170.049K
$17.09M
366
BEBloom Energy Corporation
$133.43
-5.32
-3.83%
$37.43B
8.118M
$1.08B
367
HIGThe Hartford Financial Services Group, Inc.
$134.77
-0.12
-0.09%
$37.18B
424.891K
$57.26M
368
PUKPRUDENTIAL PLC ADS (REP 2 ORD SHARES)
$29.21
+0.27
+0.93%
$36.95B
790.499K
$23.09M
369
ALCAlcon Inc. Ordinary Shares
$75.65
+0.07
+0.09%
$36.87B
1.235M
$93.46M
370
HMCHonda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock
$24.38
-0.12
-0.49%
$36.84B
737.494K
$17.98M
371
VMCVulcan Materials Company(Holding Company)
$281.58
+8.78
+3.22%
$36.74B
947.858K
$266.90M
372
TTWOTake-Two Interactive Software Inc
$198.24
+0.74
+0.37%
$36.71B
611.14K
$121.15M
373
ROPRoper Technologies, Inc. Common Stock
$354.70
+0.70
+0.20%
$36.51B
450.813K
$159.90M
374
MLMMartin Marietta Materials
$604.95
+11.38
+1.92%
$36.49B
152.362K
$92.17M
375
LVSLas Vegas Sands Corp.
$54.02
+0.14
+0.26%
$36.30B
1.53M
$82.65M
376
ERICEricsson American Depositary Shares
$11.51
-0.06
-0.52%
$35.79B
6.101M
$70.23M
377
LYVLive Nation Entertainment Inc.
$152.15
-0.36
-0.24%
$35.73B
1.609M
$244.75M
378
STTState Street Corporation
$128.07
+1.33
+1.05%
$35.70B
813.617K
$104.20M
379
NTRNutrien Ltd. Common Shares
$73.89
-1.08
-1.44%
$35.55B
1.86M
$137.44M
380
MCHPMicrochip Technology Inc
$65.66
+0.40
+0.61%
$35.53B
2.925M
$192.09M
381
INSMInsmed, Inc.
$164.61
-0.58
-0.35%
$35.48B
1.322M
$217.54M
382
MDLNMedline Inc. Class A common stock
$43.57
-1.35
-3.01%
$35.36B
3.944M
$171.84M
383
TEVATeva Pharmaceutical Industries Limited American Depositary Shares
$30.23
+0.10
+0.32%
$35.20B
2.592M
$78.35M
384
CCICrown Castle Inc.
$80.54
-0.77
-0.95%
$35.12B
1.212M
$97.63M
385
SLFSun Life Financial Inc.
$63.17
+0.27
+0.43%
$34.99B
390.653K
$24.68M
386
KDPKeurig Dr Pepper Inc.
$25.71
-0.76
-2.89%
$34.92B
5.647M
$145.16M
387
ADMArcher Daniels Midland Company
$72.47
+0.45
+0.62%
$34.92B
1.623M
$117.65M
388
VODVodafone Group PLC
$15.11
+0.08
+0.51%
$34.90B
3.077M
$46.49M
389
AXONAxon Enterprise, Inc. Common Stock
$427.41
+1.21
+0.28%
$34.36B
326.386K
$139.50M
390
SYYSysco Corporation
$71.72
+0.18
+0.24%
$34.35B
4.662M
$334.33M
391
PRUPrudential Financial, Inc.
$98.34
+0.34
+0.35%
$34.20B
1.097M
$107.83M
392
IXORIX Corporation
$30.39
+0.32
+1.06%
$34.16B
204.31K
$6.21M
393
ACGLArch Capital Group Ltd
$95.53
-0.20
-0.21%
$34.03B
918.837K
$87.78M
394
EMEEMCOR Group, Inc.
$762.67
+14.81
+1.98%
$33.96B
131.539K
$100.32M
395
ONCBeiGene, Ltd. American Depositary Shares
$309.14
+3.00
+0.98%
$33.92B
181.918K
$56.24M
396
TSTenaris S. A.
$57.59
-0.55
-0.95%
$33.48B
1.562M
$89.93M
397
KVUEKenvue Inc.
$17.42
+0.20
+1.13%
$33.38B
14.71M
$256.17M
398
CLSCelestica, Inc.
$287.49
+1.51
+0.53%
$33.03B
1.214M
$349.15M
399
CHTCHUNGHWA TELECOM CO., LTD
$42.28
+0.11
+0.27%
$32.80B
54.233K
$2.29M
400
TCOMTrip.com Group Limited American Depositary Shares
$50.07
-0.06
-0.12%
$32.66B
1.412M
$70.68M