Stock Rankings by Market Cap - Rankings 1201 to 1300

Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 1201 to 1300.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Market Cap
Volume (Day)
$ Volume (Day)
1201
CRUSCirrus Logic Inc
$118.50
-2.18
-1.81%
$6.05B
123.038K
$14.58M
1202
SGHCSuper Group (SGHC) Limited
$11.95
-0.12
-0.99%
$6.04B
1.37M
$16.37M
1203
NXENexGen Energy Ltd.
$9.23
+0.18
+1.99%
$6.04B
3.942M
$36.38M
1204
PCVXVaxcyte, Inc. Common Stock
$46.14
+0.77
+1.70%
$6.04B
690.292K
$31.85M
1205
BTGB2Gold Corp.
$4.52
-0.02
-0.44%
$6.04B
16.923M
$76.49M
1206
TRNOTerreno Realty Corporation
$58.71
-1.27
-2.12%
$6.04B
281.734K
$16.54M
1207
CHEChemed Corporation
$428.03
-0.17
-0.04%
$6.04B
53.95K
$23.09M
1208
GXOGXO Logistics, Inc.
$52.64
-0.41
-0.77%
$6.03B
722.922K
$38.05M
1209
PACSPACS Group, Inc.
$38.40
-0.84
-2.14%
$6.01B
967.382K
$37.15M
1210
FBINFortune Brands Innovations, Inc.
$50.02
-0.57
-1.13%
$6.01B
392.097K
$19.61M
1211
BLTEBelite Bio, Inc American Depositary Shares
$159.96
+0.16
+0.10%
$6.00B
48.063K
$7.69M
1212
ENLTEnlight Renewable Energy Ltd. Ordinary Shares
$45.38
+0.38
+0.84%
$5.99B
34.658K
$1.57M
1213
KEXKirby Corporation
$110.17
-0.70
-0.63%
$5.97B
259.021K
$28.54M
1214
CGNXCognex Corp
$35.60
-0.53
-1.47%
$5.97B
763.923K
$27.20M
1215
RHPRyman Hospitality Properties, Inc
$94.62
-1.08
-1.13%
$5.96B
156.49K
$14.81M
1216
HRHealthcare Realty Trust Incorporated
$16.95
-0.16
-0.94%
$5.96B
1.996M
$33.83M
1217
LEALear Corporation
$114.60
-1.48
-1.27%
$5.94B
209.494K
$24.01M
1218
COMPCompass, Inc.
$10.57
-0.04
-0.38%
$5.94B
4.651M
$49.17M
1219
HLNEHamilton Lane Incorporated Class A Common Stock
$134.31
-1.51
-1.11%
$5.91B
230.443K
$30.95M
1220
HXLHexcel Corporation
$73.90
-1.24
-1.65%
$5.88B
635.456K
$46.96M
1221
RLIRLI Corp.
$63.98
-0.54
-0.84%
$5.88B
244.129K
$15.62M
1222
LTHLife Time Group Holdings, Inc.
$26.58
-0.19
-0.71%
$5.86B
1.115M
$29.64M
1223
TKRThe Timken Company
$84.13
-1.68
-1.96%
$5.86B
364.536K
$30.67M
1224
PRMBPrimo Brands Corporation
$16.00
-0.36
-2.20%
$5.85B
3.19M
$51.04M
1225
MMacy's Inc.
$22.00
-0.07
-0.32%
$5.85B
2.744M
$60.37M
1226
ALKAlaska Air Group, Inc.
$50.20
+0.05
+0.10%
$5.82B
902.546K
$45.31M
1227
LWLamb Weston Holdings, Inc.
$41.89
-0.05
-0.12%
$5.82B
2.251M
$94.30M
1228
CIFRCipher Mining Inc. Common Stock
$14.70
+0.25
+1.73%
$5.81B
14.092M
$207.15M
1229
BMABanco Macro S.A.
$90.44
+0.44
+0.49%
$5.78B
110.769K
$10.02M
1230
SWXSouthwest Gas Holdings, Inc.
$80.02
-0.87
-1.08%
$5.78B
190.977K
$15.28M
1231
EPRTEssential Properties Realty Trust, Inc.
$29.11
-0.68
-2.27%
$5.77B
825.915K
$24.04M
1232
ANFAbercrombie & Fitch Co.
$125.75
-1.37
-1.08%
$5.77B
827.931K
$104.11M
1233
TMHCTaylor Morrison Home Corporation Common Stock
$58.87
-0.01
-0.02%
$5.75B
358.22K
$21.09M
1234
RALRalliant Corporation
$50.91
-0.31
-0.61%
$5.74B
621.883K
$31.66M
1235
WIXWIX.com Ltd.
$104.53
+1.52
+1.48%
$5.74B
722.929K
$75.57M
1236
BFAMBRIGHT HORIZONS FAMILY SOLUTIONS INC.
$101.39
+0.03
+0.03%
$5.73B
250.283K
$25.38M
1237
BLSHBullish
$38.00
-1.00
-2.56%
$5.73B
1.657M
$62.96M
1238
ACTEnact Holdings, Inc. Common Stock
$39.64
-0.46
-1.15%
$5.72B
72.613K
$2.88M
1239
MIRMirion Technologies, Inc.
$23.42
-0.36
-1.51%
$5.72B
1.32M
$30.92M
1240
CIGCompanhia Energetica De Minas Gerais-CEMIG
$2.00
-0.05
-2.44%
$5.72B
1.248M
$2.50M
1241
SOBOSouth Bow Corporation
$27.47
-0.88
-3.10%
$5.72B
509.353K
$13.99M
1242
GBCIGlacier Bancorp Inc
$44.00
-0.49
-1.10%
$5.72B
341.504K
$15.03M
1243
IRTCiRhythm Technologies, Inc
$177.44
-1.25
-0.70%
$5.72B
88.042K
$15.62M
1244
NOVNOV Inc.
$15.64
-0.17
-1.08%
$5.70B
1.266M
$19.80M
1245
WHWyndham Hotels & Resorts, Inc. Common Stock
$75.50
-1.37
-1.78%
$5.70B
787.265K
$59.44M
1246
DARDARLING INGREDIENTS INC.
$36.00
-0.51
-1.40%
$5.69B
1.241M
$44.69M
1247
MNSOMINISO Group Holding Limited American Depositary Shares, each representing four Ordinary Shares
$18.76
-0.11
-0.56%
$5.69B
233.811K
$4.39M
1248
ARWArrow Electronics, Inc.
$110.18
-2.63
-2.33%
$5.68B
409.074K
$45.07M
1249
UECUranium Energy Corp.
$11.66
-0.12
-1.02%
$5.64B
6.152M
$71.73M
1250
LPXLouisiana-Pacific Corp.
$80.76
-1.51
-1.84%
$5.62B
210.346K
$16.99M
1251
WFRDWeatherford International plc Ordinary Shares
$78.26
-0.89
-1.12%
$5.61B
222.171K
$17.39M
1252
ENICEnel Chile S.A. American Depositary Shares Representing Common Stock (Each representing 50 shares of Common Stock)
$4.02
-0.01
-0.25%
$5.56B
182.307K
$732.87K
1253
OPENOpendoor Technologies Inc Common Stock
$5.83
+0.11
+1.92%
$5.56B
41.187M
$240.12M
1254
OLEDUniversal Display Corp
$116.78
-2.18
-1.83%
$5.55B
231.166K
$27.00M
1255
SITESiteOne Landscape Supply, Inc.
$124.56
-1.87
-1.48%
$5.55B
208.053K
$25.92M
1256
GTESGates Industrial Corporation plc
$21.47
-0.31
-1.42%
$5.55B
760.594K
$16.33M
1257
COGTCogent Biosciences, Inc. Common Stock
$36.00
+0.00
+0.00%
$5.53B
3.013M
$108.48M
1258
HRBH&R Block, Inc.
$43.70
+0.46
+1.06%
$5.52B
793.575K
$34.68M
1259
RDNTRadNet, Inc. Common Stock
$71.35
-0.25
-0.35%
$5.51B
416.11K
$29.69M
1260
ACHRArcher Aviation Inc.
$7.51
-0.04
-0.53%
$5.51B
26.192M
$196.70M
1261
STVNStevanato Group S.p.A.
$20.18
-0.17
-0.84%
$5.51B
120.72K
$2.44M
1262
CVLTCommault Systems, Inc.
$124.70
-2.18
-1.72%
$5.50B
300.825K
$37.51M
1263
SLMSLM Corporation
$27.06
-0.14
-0.51%
$5.49B
996.678K
$26.97M
1264
ETSYEtsy, Inc.
$55.45
+0.25
+0.45%
$5.47B
1.846M
$102.33M
1265
KMXCarMax Inc.
$38.52
-0.70
-1.78%
$5.46B
1.783M
$68.67M
1266
HOMBHome BancShares, Inc.
$27.78
-0.27
-0.96%
$5.46B
660.241K
$18.34M
1267
BILLBILL Holdings, Inc.
$54.42
-0.57
-1.04%
$5.45B
894.538K
$48.68M
1268
PTGXProtagonist Therapeutics, Inc
$87.17
-0.12
-0.14%
$5.45B
416.749K
$36.33M
1269
THOThor Industries, Inc.
$102.67
-1.33
-1.28%
$5.42B
167.776K
$17.23M
1270
ATATAtour Lifestyle Holdings Limited American Depositary Shares
$39.22
-0.31
-0.80%
$5.42B
977.864K
$38.35M
1271
ENSEnerSys, Inc.
$146.77
-1.73
-1.16%
$5.42B
119.456K
$17.53M
1272
MAINMain Street Capital Corporation
$60.40
-0.30
-0.49%
$5.41B
251.584K
$15.19M
1273
PIPRPiper Sandler Companies
$325.00
-18.97
-5.52%
$5.41B
41.616K
$13.53M
1274
BIPCBrookfield Infrastructure Corporation Class A Subordinate Voting Shares
$45.40
-0.28
-0.61%
$5.41B
248.108K
$11.26M
1275
VNTVontier Corporation
$37.18
-0.70
-1.85%
$5.39B
725.104K
$26.96M
1276
TFXTeleflex Incorporated
$122.04
+1.03
+0.85%
$5.39B
329.386K
$40.20M
1277
BOOTBoot Barn Holdings, Inc.
$175.48
-4.53
-2.52%
$5.35B
206.055K
$36.16M
1278
UBSIUnited Bankshares Inc
$38.33
-0.35
-0.90%
$5.34B
420.286K
$16.11M
1279
CBCCentral Bancompany, Inc. Class A Common Stock
$24.12
+0.41
+1.73%
$5.32B
316.886K
$7.64M
1280
MTDRMATADOR RESOURCES COMPANY
$42.80
+0.05
+0.12%
$5.32B
620.35K
$26.55M
1281
LMNDLemonade, Inc.
$71.15
-0.39
-0.55%
$5.32B
954.203K
$67.89M
1282
HWCHancock Whitney Corporation Common Stock
$63.54
-1.24
-1.91%
$5.31B
550.31K
$34.97M
1283
CNXCNX Resources Corporation
$36.77
-0.42
-1.13%
$5.31B
1.721M
$63.27M
1284
UFPIUFP Industries, Inc. Common Stock
$91.05
-1.06
-1.15%
$5.30B
147.406K
$13.42M
1285
PORPortland General Electric Company
$47.13
-1.09
-2.26%
$5.30B
569.353K
$26.83M
1286
PIImpinj, Inc. Common Stock
$176.01
+7.50
+4.45%
$5.30B
879.291K
$154.76M
1287
FCNFTI Consulting, Inc.
$170.83
-1.39
-0.81%
$5.27B
69.277K
$11.83M
1288
CHRDChord Energy Corporation Common Stock
$92.70
-0.40
-0.43%
$5.27B
400.697K
$37.14M
1289
OMABGrupo Aeroportuario del Centro Norte S.A.B. de C.V
$108.77
-0.12
-0.11%
$5.25B
35.686K
$3.88M
1290
BKHBlack Hills Corporation
$69.42
-0.18
-0.26%
$5.24B
373.426K
$25.92M
1291
FLGFlagstar Financial, Inc.
$12.57
-0.07
-0.55%
$5.23B
1.807M
$22.72M
1292
MMSIMerit Medical Systems Inc
$88.14
-0.42
-0.47%
$5.23B
224.711K
$19.81M
1293
ACAArcosa, Inc. Common Stock
$106.36
-1.09
-1.01%
$5.22B
89.445K
$9.51M
1294
MCYMercury General Corp.
$94.06
+0.10
+0.11%
$5.21B
139.704K
$13.14M
1295
REZIResideo Technologies, Inc. Common Stock
$34.75
-0.63
-1.78%
$5.20B
434.46K
$15.10M
1296
DOOBRP Inc. Common Subordinate Voting Shares
$70.76
-0.98
-1.37%
$5.19B
71.594K
$5.07M
1297
KRGKite Realty Group Trust
$23.97
-0.15
-0.62%
$5.19B
1.175M
$28.17M
1298
APGEApogee Therapeutics, Inc. Common Stock
$75.48
-0.28
-0.37%
$5.16B
251.755K
$19.00M
1299
WTMWhite Mountains Insurance Group Ltd.
$2,078.03
-0.59
-0.03%
$5.15B
10.053K
$20.89M
1300
IMVTImmunovant, Inc. Common Stock
$25.54
+0.22
+0.87%
$5.15B
717.533K
$18.33M