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
$179.56
$4.36T
3.483M
$625.34M
2
$271.92
$4.02T
1.186M
$322.57M
3
GOOGL Alphabet Inc. Class A Common Stock $311.08
$3.75T
2.286M
$711.08M
4
GOOG Alphabet Inc. Class C Capital Stock $311.00
$3.75T
1.087M
$337.98M
5
$472.83
$3.51T
1.157M
$546.84M
6
$222.69
$2.38T
510.876K
$113.77M
7
AVGO Broadcom Inc. Common Stock $346.12
$1.63T
237.363K
$82.16M
8
META Meta Platforms, Inc. Class A Common Stock $599.96
$1.51T
697.577K
$418.52M
9
TSM Taiwan Semiconductor Manufacturing Company Ltd. $272.95
$1.42T
196.194K
$53.55M
10
TSLA Tesla, Inc. Common Stock $398.85
$1.33T
1.067M
$425.67M
11
BRK.A Berkshire Hathaway Inc. $755,000.00
$1.09T
2
$1.51M
12
BRK.B BERKSHIRE HATHAWAY Class B $502.10
$1.08T
15.833K
$7.95M
13
$1,051.69
$941.28B
79.412K
$83.52M
14
$105.50
$841.14B
26.477K
$2.79M
15
$299.00
$813.96B
8.392K
$2.51M
16
$328.37
$633.72B
2.857K
$938.15K
17
$196.85
$561.18B
252.522K
$49.71M
18
XOM Exxon Mobil Corporation $117.00
$493.39B
5.32K
$622.44K
19
$203.38
$490.00B
11.456K
$2.33M
20
MA Mastercard Incorporated $542.74
$487.38B
2.38K
$1.29M
21
$103.52
$438.65B
603.201K
$62.44M
22
COST Costco Wholesale Corp $899.00
$398.42B
2.244K
$2.02M
23
BABA Alibaba Group Holding Limited American Depositary Shares, each represents eight Ordinary Shares $159.49
$380.54B
499.968K
$79.74M
24
$976.09
$378.87B
7.191K
$7.02M
25
BAC Bank of America Corporation $51.82
$378.39B
17.824K
$923.58K
26
PLTR Palantir Technologies Inc. Class A Common Stock $156.49
$372.98B
624.684K
$97.76M
27
PG Procter & Gamble Company $150.36
$351.35B
3.957K
$594.97K
28
$343.58
$341.99B
1.349K
$463.49K
29
AMD Advanced Micro Devices $205.85
$335.13B
523.512K
$107.76M
30
$72.74
$312.90B
18.299K
$1.33M
31
$287.71
$303.48B
3.333K
$958.94K
32
CSCO Cisco Systems, Inc. Common Stock (DE) $76.54
$302.42B
18.37K
$1.41M
33
$149.81
$299.52B
7.573K
$1.13M
34
UNH UNITEDHEALTH GROUP INCORPORATED (Delaware) $326.50
$295.76B
184.722K
$60.31M
35
$90.77
$281.44B
7.224K
$655.72K
36
IBM International Business Machines Corporation $298.97
$279.46B
5.57K
$1.67M
37
$239.47
$278.89B
2.703K
$647.29K
38
$83.29
$261.45B
7.046K
$586.86K
39
$554.00
$259.54B
866
$479.76K
40
$160.81
$255.58B
30.137K
$4.85M
41
$100.36
$249.10B
139.464K
$14.00M
42
$127.25
$244.17B
4.302K
$547.43K
43
AXP American Express Company $354.00
$243.85B
1.64K
$580.56K
44
PM Philip Morris International Inc. $154.93
$241.17B
1.548K
$239.83K
45
MU Micron Technology, Inc. $213.10
$239.20B
492.389K
$104.93M
46
$68.90
$236.55B
19.135K
$1.32M
47
$209.12
$233.90B
1.239K
$259.10K
48
GS Goldman Sachs Group Inc. $778.10
$233.37B
2.21K
$1.72M
49
$168.45
$225.85B
7.445K
$1.25M
50
$127.55
$221.79B
1.895K
$241.71K
51
TMO Thermo Fisher Scientific, Inc. $588.89
$221.25B
101
$59.48K
52
MCD McDonald's Corporation $308.79
$219.91B
1.221K
$377.03K
53
$228.33
$217.37B
11.934K
$2.72M
54
SHEL Shell plc American Depositary Shares (Each represents two Ordinary shares) $72.97
$208.95B
28.904K
$2.11M
55
ISRG Intuitive Surgical Inc. $564.55
$200.13B
1.262K
$712.46K
56
$146.36
$200.13B
1.88K
$275.17K
57
SHOP Shopify Inc. Class A subordinate voting shares $150.00
$195.28B
14.542K
$2.18M
58
LIN Linde plc Ordinary Share $411.86
$192.32B
869
$357.91K
59
$42.83
$190.31B
9.219M
$394.84M
60
$36.51
$187.17B
3K
$109.53K
61
DIS The Walt Disney Company $104.30
$186.21B
26.933K
$2.81M
62
$664.28
$184.94B
1.275K
$846.96K
63
$25.83
$183.12B
22.995K
$593.96K
64
$144.50
$181.50B
7.94K
$1.15M
65
$334.81
$180.29B
6.583K
$2.20M
66
AMAT Applied Materials Inc $226.28
$180.26B
2.477K
$560.48K
67
APP Applovin Corporation Class A Common Stock $527.51
$178.27B
53.846K
$28.40M
68
$98.99
$177.12B
8.453K
$836.76K
69
UBER Uber Technologies, Inc. $84.60
$175.78B
69.589K
$5.89M
70
$163.90
$175.54B
21.06K
$3.45M
71
$83.56
$174.02B
1.372K
$114.64K
72
$41.15
$173.51B
27.854K
$1.15M
73
SONY Sony Group Corporation American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock) $28.82
$171.94B
4.454K
$128.36K
74
$817.50
$169.62B
401
$327.82K
75
TJX TJX Companies, Inc. (The) $151.78
$168.92B
2.919K
$443.05K
76
$34.80
$166.00B
541.408K
$18.84M
77
PDD PDD Holdings Inc. American Depositary Shares $114.39
$162.39B
177.139K
$20.26M
78
$132.61
$162.33B
5.428K
$719.83K
79
SCHW The Charles Schwab Corporation $90.65
$161.08B
187
$16.95K
80
$226.76
$160.17B
390
$88.44K
81
$1,017.00
$157.79B
1.02K
$1.04M
82
$126.56
$157.02B
1.431K
$181.11K
83
$252.99
$156.89B
884
$223.64K
84
BKNG Booking Holdings Inc. Common Stock $4,845.00
$156.17B
1.389K
$6.73M
85
$558.82
$151.62B
7.824K
$4.37M
86
$10.17
$149.83B
9.753K
$99.18K
87
$118.91
$149.74B
16.807K
$2.00M
88
$60.37
$148.02B
102.438K
$6.18M
89
TXN Texas Instruments Incorporated $160.27
$145.63B
730
$117.00K
90
BSX Boston Scientific Corp. $96.97
$143.75B
352
$34.13K
91
$25.09
$142.65B
263.689K
$6.62M
92
ARM Arm Holdings plc American Depositary Shares $133.00
$141.11B
35.978K
$4.79M
93
$367.28
$140.46B
197
$72.35K
94
$64.34
$138.85B
12.036K
$774.40K
95
$180.30
$137.05B
47.597K
$8.58M
96
$325.20
$136.13B
7.013K
$2.28M
97
BHP BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) $52.64
$133.66B
32.164K
$1.69M
98
$209.80
$133.38B
1.205K
$252.81K
99
$235.60
$132.13B
541
$127.46K
100
$486.70
$131.57B
101
$49.16K