Stock Rankings by Market Cap - Rankings 901 to 1000
Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 901 to 1000.
901
ACMR ACM Research, Inc. Class A Common Stock $52.66
$3.22B
4.475K
$235.65K
902
RRR Red Rock Resorts, Inc. Class A Common Stock $55.01
$3.22B
102
$5.61K
903
$51.25
$3.21B
988
$50.64K
904
ZIM ZIM Integrated Shipping Services Ltd. $26.48
$3.19B
12.041K
$318.85K
905
$22.20
$3.18B
2.934K
$65.13K
906
XXI Twenty One Capital, Inc. $9.13
$3.16B
7.002K
$63.93K
907
ERAS Erasca, Inc. Common Stock $10.17
$3.16B
8.434K
$85.77K
909
$55.67
$3.15B
298
$16.59K
910
$12.30
$3.15B
85.512K
$1.05M
911
OPCH Option Care Health, Inc. Common Stock $20.01
$3.14B
1.975K
$39.52K
912
BULL Webull Corporation Class A Ordinary Shares $7.01
$3.14B
54.671K
$383.24K
913
UPST Upstart Holdings, Inc. Common stock $32.75
$3.13B
44.721K
$1.46M
914
DAVE Dave Inc. Class A Common Stock $271.89
$3.13B
192
$52.20K
915
UNFI United Natural Foods Inc $51.44
$3.13B
110
$5.66K
916
AMBA Ambarella, Inc. Ordinary Shares $71.35
$3.12B
4.497K
$320.86K
917
QLYS Qualys, Inc. Common Stock $88.51
$3.12B
112
$9.91K
918
ORKA Oruka Therapeutics, Inc. Common Stock $62.00
$3.11B
1.871K
$116.00K
919
MPT Medical Properties Trust, Inc. $5.07
$3.11B
154
$780.78
920
NIQ NIQ Global Intelligence plc $10.50
$3.10B
1.182K
$12.41K
921
CSQ Calamos Strategic Total Return Fund $19.25
$3.09B
376
$7.24K
922
$13.09
$3.08B
37.344K
$488.83K
923
CCC CCC Intelligent Solutions Holdings Inc. Common Stock $5.25
$3.08B
7.983K
$41.91K
924
$20.18
$3.06B
1.163K
$23.47K
925
HTGC Hercules Capital, Inc. $16.30
$3.05B
1.036K
$16.89K
926
VECO Veeco Instruments Inc $50.50
$3.05B
6.874K
$347.14K
927
$18.88
$3.04B
2.532K
$47.80K
928
VRNS Varonis Systems, Inc. $26.35
$3.03B
668
$17.60K
929
GPCR Structure Therapeutics Inc. American Depositary Shares $42.60
$3.02B
214
$9.12K
931
$27.83
$3.00B
811
$22.57K
932
KLRA Kailera Therapeutics, Inc. Common Stock $25.20
$2.97B
100
$2.52K
933
AMPX Amprius Technologies, Inc. $21.10
$2.97B
62.394K
$1.32M
934
$94.39
$2.97B
55.968K
$5.28M
935
RSI Rush Street Interactive, Inc. $28.28
$2.94B
235
$6.65K
936
SRAD Sportradar Group AG Class A Ordinary Shares $13.23
$2.93B
252
$3.33K
937
$49.50
$2.92B
3.298K
$163.25K
938
$13.55
$2.92B
8.739K
$118.41K
939
$86.23
$2.91B
582
$50.19K
940
ARQT Arcutis Biotherapeutics, Inc. Common Stock $23.25
$2.91B
429
$9.97K
941
CON Concentra Group Holdings Parent, Inc. $22.53
$2.90B
101
$2.28K
942
$54.80
$2.89B
273
$14.96K
943
GPK Graphic Packaging Holding Company $9.76
$2.89B
662
$6.46K
944
DYN Dyne Therapeutics, Inc. Common Stock $17.44
$2.88B
201
$3.51K
945
FSM FORTUNA Silver Mines Inc. $9.44
$2.88B
1.775K
$16.76K
946
WU The Western Union Company $9.17
$2.87B
3.405K
$31.22K
947
HSAI Hesai Group American Depositary Share, each ADS represents one Class B ordinary share $21.94
$2.86B
5.741K
$125.96K
948
UNIT Uniti Group Inc. Common Stock $11.73
$2.85B
100
$1.17K
949
SBLK Star Bulk Carriers Corp. $25.50
$2.84B
3.66K
$93.33K
950
BANC Banc of California, Inc. $18.49
$2.84B
108
$2.00K
951
SEZL Sezzle Inc. Common Stock $84.09
$2.84B
1.803K
$151.61K
952
AEO American Eagle Outfitters $16.80
$2.80B
875
$14.70K
953
BBAR Banco BBVA Argentina S.A. $13.70
$2.80B
131
$1.79K
956
CECO Ceco Environmental Corp $76.50
$2.74B
623
$47.66K
957
SUPN Supernus Pharmaceuticals, Inc. $47.61
$2.74B
908
$43.23K
959
RLX RLX Technology Inc. American Depositary Shares, each representing the right to receive one (1) Class A ordinary share $2.16
$2.73B
2.5K
$5.40K
960
KOD Kodiak Sciences Inc Common Stock $43.43
$2.70B
613
$26.62K
961
$12.46
$2.70B
197.67K
$2.46M
962
EXK Endeavour Silver Corp. $9.11
$2.70B
29.848K
$271.86K
963
VISN Vistance Networks, Inc. Common Stock $11.94
$2.69B
23.822K
$284.43K
964
$25.80
$2.69B
2.285K
$58.95K
965
XMTR Xometry, Inc. Class A Common Stock $53.40
$2.69B
121
$6.46K
966
BRZE Braze, Inc. Class A Common Stock $23.60
$2.68B
1.519K
$35.85K
967
TXG 10x Genomics, Inc. Class A Common Stock $22.47
$2.67B
542
$12.18K
968
SVM Silvercorp Metals Inc. Common Shares $12.09
$2.67B
1.637K
$19.79K
969
$28.21
$2.67B
3.886K
$109.63K
970
$37.48
$2.66B
350
$13.12K
971
$43.75
$2.65B
267
$11.68K
972
LWLG Lightwave Logic, Inc. Common Stock $17.58
$2.65B
344.852K
$6.06M
974
$35.18
$2.64B
336
$11.82K
975
$33.06
$2.64B
4.295K
$141.99K
976
BATRK Atlanta Braves Holdings, Inc. Series C Common Stock $50.10
$2.64B
321
$16.08K
977
$7.17
$2.61B
4.071K
$29.19K
978
DJT Trump Media & Technology Group Corp. Common Stock $9.38
$2.60B
43.12K
$404.47K
979
$14.85
$2.58B
950
$14.11K
981
ACHC Acadia Healthcare Company, Inc. $28.00
$2.58B
4.277K
$119.76K
982
STNE StoneCo Ltd. Class A Common Shares $11.04
$2.57B
4.095K
$45.21K
983
SEDG SolarEdge Technologies, Inc. $42.18
$2.57B
11.334K
$478.07K
984
IRON Disc Medicine, Inc. Common Stock $66.91
$2.56B
102
$6.82K
986
STUB StubHub Holdings, Inc. $7.53
$2.50B
130
$978.90
987
RARE Ultragenyx Pharmaceutical Inc. $25.40
$2.50B
500
$12.70K
988
AMSC American Superconductor Corp $52.31
$2.49B
5.661K
$296.13K
989
NESR National Energy Services Reunited Corp. Ordinary Shares $24.69
$2.49B
101
$2.49K
990
IDYA IDEAYA Biosciences, Inc. Common Stock $28.30
$2.49B
334
$9.45K
991
HTFL Heartflow, Inc. Common Stock $28.67
$2.47B
103
$2.95K
992
$45.20
$2.47B
300
$13.56K
994
ETOR eToro Group Ltd. Class A Common Shares $36.60
$2.45B
1.767K
$64.67K
995
$129.81
$2.44B
134
$17.39K
996
$22.85
$2.44B
606
$13.85K
997
CDLR Cadeler A/S American Depositary Share (each representing four (4) Ordinary Shares) $27.85
$2.44B
1K
$27.85K
998
$10.49
$2.44B
15.787K
$165.61K
999
NTSK Netskope, Inc. Class A Common Stock $10.54
$2.44B
673
$7.09K
1000
WRD WeRide Inc. American Depositary Shares $7.68
$2.43B
15.332K
$117.75K