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
$205.47
$4.97T
37.809M
$7.77B
2
$292.20
$4.29T
12.303M
$3.59B
3
$388.41
$2.89T
13.467M
$5.23B
4
$237.02
$2.55T
19.707M
$4.67B
5
TSM Taiwan Semiconductor Manufacturing Company Ltd. $423.54
$2.20T
3.243M
$1.37B
6
GOOGL Alphabet Inc. Class A Common Stock $362.69
$2.11T
9.131M
$3.31B
7
GOOG Alphabet Inc. Class C Capital Stock $361.03
$1.97T
5.481M
$1.98B
8
AVGO Broadcom Inc. Common Stock $380.85
$1.80T
7.699M
$2.93B
9
TSLA Tesla, Inc. Common Stock $396.23
$1.49T
19.8M
$7.85B
10
META Meta Platforms, Inc. Class A Common Stock $570.75
$1.25T
3.962M
$2.26B
11
MU Micron Technology, Inc. $992.35
$1.12T
19.992M
$19.84B
12
$1,149.81
$1.08T
618.417K
$711.06M
13
$120.17
$956.32B
4.192M
$503.72M
14
$320.68
$859.27B
1.928M
$618.18M
15
AMD Advanced Micro Devices $511.09
$833.39B
13.184M
$6.74B
16
$1,870.29
$725.95B
1.235M
$2.31B
17
BRK.B BERKSHIRE HATHAWAY Class B $487.98
$682.35B
1.127M
$549.88M
18
$122.77
$617.04B
56.798M
$6.97B
19
XOM Exxon Mobil Corporation $148.18
$614.18B
4.619M
$684.48M
20
$239.72
$577.06B
1.406M
$336.97M
21
$325.06
$539.51B
1.532M
$498.10M
22
$183.20
$526.89B
10.403M
$1.91B
23
CSCO Cisco Systems, Inc. Common Stock (DE) $122.63
$483.34B
3.513M
$430.83M
24
$366.75
$458.65B
2.507M
$919.28M
25
AMAT Applied Materials Inc $558.00
$443.03B
2.232M
$1.25B
26
COST Costco Wholesale Corp $975.04
$432.41B
372.852K
$363.54M
27
MA Mastercard Incorporated $490.34
$430.05B
901.825K
$442.20M
28
$911.66
$419.90B
650.786K
$593.30M
29
BAC Bank of America Corporation $56.12
$398.23B
9.711M
$544.95M
30
ARM Arm Holdings plc American Depositary Shares $372.66
$398.02B
6.547M
$2.44B
31
$224.77
$397.12B
898.486K
$201.95M
32
$187.50
$373.42B
2.455M
$460.25M
33
UNH UNITEDHEALTH GROUP INCORPORATED (Delaware) $408.06
$370.58B
1.738M
$709.40M
34
BRK.A Berkshire Hathaway Inc. $731,885.00
$370.11B
133
$97.34M
35
$82.43
$354.65B
3.268M
$269.36M
36
PG Procter & Gamble Company $149.55
$348.23B
1.114M
$166.63M
37
$332.54
$346.95B
907.651K
$301.83M
38
$215.99
$340.68B
1.163M
$251.23M
39
$80.15
$337.50B
11.539M
$924.86M
40
$328.64
$327.69B
1.006M
$330.56M
41
$92.59
$318.21B
709.856K
$65.73M
42
GS Goldman Sachs Group Inc. $1,070.31
$315.75B
593.597K
$635.33M
43
$153.68
$312.71B
389.303K
$59.83M
44
$120.84
$298.44B
1.797M
$217.20M
45
PLTR Palantir Technologies Inc. Class A Common Stock $129.47
$297.27B
11.152M
$1.44B
46
SNDK Sandisk Corporation Common Stock $1,967.09
$291.31B
5.423M
$10.67B
47
PM Philip Morris International Inc. $184.80
$288.01B
520.014K
$96.10M
48
$201.44
$279.95B
323.557K
$65.18M
49
$180.42
$279.81B
643.202K
$116.05M
50
TM Toyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $175.00
$276.41B
89.986K
$15.75M
51
TXN Texas Instruments Incorporated $300.72
$273.68B
1.079M
$324.56M
52
BABA Alibaba Group Holding Limited American Depositary Shares, each represents eight Ordinary Shares $111.78
$268.18B
2.822M
$315.43M
53
IBM International Business Machines Corporation $273.72
$257.27B
1.904M
$521.14M
54
$83.83
$256.54B
2.564M
$214.93M
55
$929.33
$249.73B
798.178K
$741.77M
56
MRVL Marvell Technology, Inc. Common Stock $284.02
$248.46B
17.697M
$5.03B
57
$184.33
$248.23B
654.604K
$120.66M
58
LIN Linde plc Ordinary Share $522.95
$241.78B
491.868K
$257.22M
59
SHEL Shell plc American Depositary Shares (Each represents two Ordinary shares) $86.08
$241.33B
3.152M
$271.30M
60
$140.89
$240.30B
3.071M
$432.67M
61
MUFG Mitsubishi UFJ Financial Group, Inc. $20.09
$238.36B
850.021K
$17.07M
62
BHP BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) $89.89
$228.38B
930.228K
$83.62M
63
PANW Palo Alto Networks, Inc. Common Stock $279.16
$227.52B
1.857M
$518.27M
64
$212.16
$223.62B
5.232M
$1.11B
65
AXP American Express Company $323.60
$220.80B
424.49K
$137.36M
66
STX Seagate Technology Holdings PLC Ordinary Shares (Ireland) $920.92
$206.50B
1.295M
$1.19B
67
$163.74
$206.18B
2.384M
$390.33M
68
$189.11
$204.65B
883.721K
$167.12M
69
MCD McDonald's Corporation $287.11
$203.99B
1.083M
$310.87M
70
$418.58
$203.88B
602.493K
$252.19M
71
$48.14
$200.99B
5.254M
$252.89M
72
$143.69
$196.39B
1.456M
$209.20M
73
$88.14
$195.76B
283.134K
$24.95M
74
$117.78
$194.61B
523.908K
$61.70M
75
$560.74
$193.28B
2.497M
$1.40B
76
$355.51
$191.87B
546.712K
$194.36M
77
$154.38
$189.92B
1.273M
$196.49M
78
$162.11
$189.27B
1.047M
$169.69M
79
$12.68
$186.26B
2.43M
$30.81M
80
TJX TJX Companies, Inc. (The) $168.06
$185.66B
1.08M
$181.58M
81
$85.65
$178.60B
3.218M
$275.63M
82
TMO Thermo Fisher Scientific, Inc. $474.79
$176.44B
277.098K
$131.56M
83
CRWD CrowdStrike Holdings, Inc. Class A Common Stock $689.35
$175.48B
797.454K
$549.72M
84
DIS The Walt Disney Company $100.47
$174.46B
1.983M
$199.22M
85
$219.24
$172.83B
1.675M
$367.29M
86
$23.49
$163.22B
8.332M
$195.72M
87
$273.01
$162.09B
388.161K
$105.97M
88
$1,041.43
$161.66B
134.028K
$139.58M
89
SCHW The Charles Schwab Corporation $91.99
$159.98B
3.411M
$313.73M
90
$48.77
$159.84B
999.986K
$48.76M
91
SCCO Southern Copper Corporation $188.75
$155.92B
318.837K
$60.18M
92
$577.20
$155.81B
157.904K
$91.14M
93
$125.24
$155.49B
1.201M
$150.46M
94
SMFG Sumitomo Mitsui Financial Group, Inc $24.35
$155.30B
555.779K
$13.53M
95
$180.10
$155.00B
2.358M
$424.65M
96
$87.93
$153.16B
3.666M
$322.35M
97
ETN Eaton Corporation, plc Ordinary Shares $393.88
$152.94B
451.34K
$177.77M
98
$44.43
$150.62B
6.733M
$299.14M
99
$213.32
$150.59B
347.699K
$74.17M
100
$26.36
$150.21B
9.979M
$262.99M