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
$195.83
$4.74T
71.285M
$13.96B
2
$277.99
$4.08T
37.4M
$10.40B
3
$354.53
$2.63T
22.455M
$7.96B
4
$228.93
$2.46T
26.504M
$6.07B
5
TSM Taiwan Semiconductor Manufacturing Company Ltd. $440.56
$2.28T
6.27M
$2.76B
6
GOOGL Alphabet Inc. Class A Common Stock $341.23
$1.99T
15.916M
$5.43B
7
GOOG Alphabet Inc. Class C Capital Stock $340.84
$1.86T
8.734M
$2.98B
8
AVGO Broadcom Inc. Common Stock $382.58
$1.82T
9.316M
$3.56B
9
TSLA Tesla, Inc. Common Stock $375.24
$1.41T
15.063M
$5.65B
10
MU Micron Technology, Inc. $1,202.52
$1.36T
46.953M
$56.46B
11
META Meta Platforms, Inc. Class A Common Stock $548.95
$1.21T
6.384M
$3.50B
12
SPCX Space Exploration Technologies Corp. Class A Common Stock $151.84
$1.12T
32.463M
$4.93B
13
$1,139.30
$1.07T
968.537K
$1.10B
14
$116.66
$928.39B
6.836M
$797.44M
15
$338.65
$907.42B
4.273M
$1.45B
16
AMD Advanced Micro Devices $523.14
$853.03B
13.107M
$6.86B
17
$1,824.23
$708.07B
1.222M
$2.23B
18
BRK.B BERKSHIRE HATHAWAY Class B $492.07
$688.07B
1.41M
$693.88M
19
$129.63
$651.52B
68.039M
$8.82B
20
$245.89
$591.90B
3.352M
$824.32M
21
XOM Exxon Mobil Corporation $136.96
$567.69B
4.48M
$613.54M
22
$336.30
$558.17B
2.448M
$823.23M
23
AMAT Applied Materials Inc $636.48
$505.34B
5.381M
$3.43B
24
$386.69
$483.58B
5.977M
$2.31B
25
$1,038.46
$478.31B
1.765M
$1.83B
26
CSCO Cisco Systems, Inc. Common Stock (DE) $118.92
$468.70B
6.917M
$822.51M
27
$152.24
$437.83B
12.575M
$1.91B
28
MA Mastercard Incorporated $497.86
$436.64B
934.844K
$465.42M
29
$242.69
$428.78B
2.746M
$666.41M
30
COST Costco Wholesale Corp $944.47
$418.85B
853.301K
$805.92M
31
BAC Bank of America Corporation $58.51
$415.22B
16.394M
$959.22M
32
$373.01
$389.18B
2.124M
$792.17M
33
UNH UNITEDHEALTH GROUP INCORPORATED (Delaware) $416.80
$378.51B
2.212M
$921.79M
34
ARM Arm Holdings plc American Depositary Shares $353.25
$377.29B
4.614M
$1.63B
35
BRK.A Berkshire Hathaway Inc. $738,653.39
$373.53B
88
$65.00M
36
$223.56
$352.61B
2.078M
$464.48M
37
PG Procter & Gamble Company $149.79
$348.79B
4.269M
$639.48M
38
$80.41
$345.96B
5.456M
$438.74M
39
$344.75
$343.76B
1.87M
$644.56M
40
$171.76
$342.08B
3.098M
$532.16M
41
$95.77
$329.13B
594.301K
$56.92M
42
SNDK Sandisk Corporation Common Stock $2,219.20
$328.64B
7.373M
$16.36B
43
GS Goldman Sachs Group Inc. $1,087.78
$320.90B
598.385K
$650.91M
44
$155.78
$316.98B
2.663M
$414.77M
45
$124.05
$306.37B
3.291M
$408.20M
46
$72.10
$303.58B
18.005M
$1.30B
47
$1,087.44
$292.22B
1.316M
$1.43B
48
$185.91
$288.32B
703.724K
$130.83M
49
$204.46
$284.15B
407.428K
$83.30M
50
TXN Texas Instruments Incorporated $311.44
$283.43B
1.96M
$610.30M
51
PM Philip Morris International Inc. $179.09
$279.11B
747.811K
$133.92M
52
TM Toyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $167.70
$264.88B
177.453K
$29.76M
53
$85.34
$261.16B
3.603M
$307.49M
54
$186.56
$251.23B
1.043M
$194.51M
55
$146.29
$249.51B
4.503M
$658.74M
56
PLTR Palantir Technologies Inc. Class A Common Stock $106.94
$245.53B
31.616M
$3.38B
57
IBM International Business Machines Corporation $260.64
$244.97B
4.646M
$1.21B
58
LIN Linde plc Ordinary Share $524.70
$242.59B
529.713K
$277.94M
59
MRVL Marvell Technology, Inc. Common Stock $276.74
$242.09B
18.61M
$5.15B
60
MUFG Mitsubishi UFJ Financial Group, Inc. $20.14
$238.96B
808.066K
$16.27M
61
PANW Palo Alto Networks, Inc. Common Stock $290.72
$236.93B
2.23M
$648.18M
62
AXP American Express Company $346.89
$236.69B
856.309K
$297.05M
63
$682.65
$235.30B
6.117M
$4.18B
64
BABA Alibaba Group Holding Limited American Depositary Shares, each represents eight Ordinary Shares $95.57
$229.29B
11.864M
$1.13B
65
STX Seagate Technology Holdings PLC Ordinary Shares (Ireland) $1,021.70
$229.09B
2.551M
$2.61B
66
$209.56
$220.88B
19.939M
$4.18B
67
SHEL Shell plc American Depositary Shares (Each represents two Ordinary shares) $77.30
$216.70B
3.32M
$256.64M
68
$167.75
$211.22B
3.046M
$510.98M
69
BHP BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) $81.36
$206.71B
972.563K
$79.13M
70
$419.71
$204.44B
1.882M
$790.05M
71
$165.73
$203.89B
2.065M
$342.21M
72
$120.19
$198.60B
511.479K
$61.47M
73
$13.51
$198.38B
2.898M
$39.14M
74
$182.59
$197.59B
1.597M
$291.62M
75
$223.40
$192.27B
15.773M
$3.52B
76
$46.02
$192.14B
5.926M
$272.68M
77
$355.85
$192.06B
568.723K
$202.38M
78
$140.52
$192.05B
2.152M
$302.43M
79
MCD McDonald's Corporation $267.65
$190.17B
2.56M
$685.22M
80
TMO Thermo Fisher Scientific, Inc. $510.94
$189.88B
1.069M
$546.41M
81
$86.97
$181.36B
3.726M
$324.06M
82
TJX TJX Companies, Inc. (The) $159.92
$176.66B
1.96M
$313.44M
83
$151.04
$176.35B
1.345M
$203.19M
84
$78.76
$175.09B
533.195K
$41.99M
85
DIS The Walt Disney Company $100.15
$173.90B
3.026M
$303.05M
86
$220.14
$173.54B
1.357M
$298.70M
87
CRWD CrowdStrike Holdings, Inc. Class A Common Stock $674.31
$171.66B
864.728K
$583.10M
88
$617.65
$166.73B
368.566K
$227.64M
89
$50.37
$165.10B
765.259K
$38.55M
90
$93.76
$163.31B
5.69M
$533.53M
91
ETN Eaton Corporation, plc Ordinary Shares $419.73
$162.98B
715.938K
$300.50M
92
$47.81
$162.07B
4.9M
$234.25M
93
$266.95
$158.49B
750.759K
$200.41M
94
$222.08
$156.77B
709.172K
$157.49M
95
SCHW The Charles Schwab Corporation $89.97
$156.47B
2.743M
$246.77M
96
$22.50
$156.30B
14.089M
$316.94M
97
$124.92
$155.09B
2.394M
$299.03M
98
$981.27
$152.33B
307.783K
$302.02M
99
SMFG Sumitomo Mitsui Financial Group, Inc $23.82
$151.92B
674.972K
$16.07M
100
BUD Anheuser-Busch INBEV SA/NV $83.94
$150.86B
1.992M
$167.24M