Stock Rankings by Market Cap - Rankings 1301 to 1400
Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 1301 to 1400.
1301
OPRA Opera Limited American Depositary Shares $12.95
$1.16B
1.101K
$14.26K
1302
AMPH Amphastar Pharmaceuticals, Inc. $25.20
$1.16B
2.244K
$56.55K
1303
$8.01
$1.16B
10.864K
$87.02K
1304
TNGX Tango Therapeutics, Inc. $8.59
$1.16B
841
$7.22K
1305
PSNY Gores Guggenheim, Inc. Class A Common Stock $0.5430
$1.15B
20.697K
$11.24K
1306
CRAI CRA International, Inc. $174.71
$1.15B
329
$57.48K
1307
ACVA ACV Auctions Inc. Class A Common Stock $6.64
$1.14B
322
$2.14K
1308
TYRA Tyra Biosciences, Inc. Common Stock $21.40
$1.14B
1.234K
$26.41K
1309
INBX Inhibrx, Inc. Common Stock $78.33
$1.14B
866
$67.83K
1310
CLOV Clover Health Investments, Corp $2.19
$1.13B
16.152K
$35.37K
1311
MXL MaxLinear, Inc. Common Stock $12.95
$1.13B
5.108K
$66.15K
1312
EYPT EyePoint Pharmaceuticals, Inc. Common Stock $13.64
$1.13B
580
$7.91K
1313
$55.42
$1.13B
2.058K
$114.05K
1314
ESRT EMPIRE STATE REALTY TRUST, INC. $6.59
$1.12B
976
$6.43K
1315
$15.70
$1.12B
128
$2.01K
1316
$3.25
$1.11B
121.978K
$396.43K
1317
MVST Microvast Holdings, Inc. Common Stock $3.38
$1.11B
160.235K
$541.59K
1318
MOMO Hello Group Inc. American Depositary Shares $6.95
$1.11B
323
$2.24K
1319
METC Ramaco Resources, Inc. Class A Common Stock $16.61
$1.10B
4.948K
$82.19K
1320
TRIN Trinity Capital Inc. Common Stock $14.48
$1.10B
2.819K
$40.82K
1321
DEC Diversified Energy Company plc $14.40
$1.10B
3.305K
$47.59K
1322
TSHA Taysha Gene Therapies, Inc. Common Stock $3.99
$1.09B
9.8K
$39.13K
1324
RLAY Relay Therapeutics, Inc. Common Stock $6.26
$1.08B
110
$688.60
1325
MNMD Mind Medicine (MindMed) Inc. Common Shares $11.15
$1.08B
2.101K
$23.43K
1326
ROOT Root, Inc. Class A Common Stock $69.75
$1.08B
4.988K
$347.91K
1327
SBGI Sinclair, Inc. Class A Common Stock $15.50
$1.08B
657
$10.18K
1328
PMT PennyMac Mortgage Investment Trust $12.37
$1.08B
612
$7.57K
1329
SEPN Septerna, Inc. Common Stock $24.02
$1.08B
118
$2.83K
1330
YALA Yalla Group Limited American Depositary Shares, each representing one Class A Ordinary Share $6.78
$1.07B
568
$3.85K
1331
$24.79
$1.06B
110
$2.73K
1332
AMC AMC ENTERTAINMENT HOLDINGS, INC. $2.07
$1.06B
77.501K
$160.23K
1333
VOYG Voyager Technologies, Inc. $18.11
$1.06B
10.542K
$190.86K
1334
USPH US Physical Therapy Inc $69.41
$1.06B
218
$15.13K
1335
EVO Evotec SE American Depositary Shares $2.96
$1.05B
9.351K
$27.68K
1336
$45.03
$1.04B
335
$15.09K
1337
AESI Atlas Energy Solutions Inc. $8.38
$1.04B
7.432K
$62.28K
1338
PHAT Phathom Pharmaceuticals, Inc. Common Stock $14.58
$1.04B
100
$1.46K
1339
KOD Kodiak Sciences Inc Common Stock $19.50
$1.03B
100
$1.95K
1340
$1.98
$1.03B
8.306K
$16.40K
1341
NBTX Nanobiotix S.A. American Depositary Shares $21.41
$1.03B
4.367K
$93.50K
1342
EH EHang Holdings Limited ADS $14.27
$1.03B
16.901K
$241.19K
1343
ABCL AbCellera Biologics Inc. Common Shares $3.43
$1.03B
62.748K
$215.23K
1344
ARRY Array Technologies, Inc. Common Stock $6.72
$1.03B
24.698K
$165.97K
1345
TLRY Tilray Brands, Inc. Common Stock $0.9083
$1.02B
167.217K
$151.88K
1346
EVLV Evolv Technologies Holdings, Inc. Class A Common Stock $5.83
$1.02B
7.962K
$46.42K
1348
SGML Sigma Lithium Corporation Common Shares $9.12
$1.02B
274.206K
$2.50M
1349
GO Grocery Outlet Holding Corp. Common Stock $10.35
$1.02B
501
$5.19K
1350
$6.24
$1.01B
25.418K
$158.60K
1351
$9.76
$1.01B
6.214K
$60.65K
1353
USAS Americas Gold and Silver Corporation $3.68
$1.01B
18.48K
$68.01K
1354
$1.31
$1.01B
3.297K
$4.32K
1355
NUTX Nutex Health Inc. Common Stock $141.50
$1.00B
408
$57.73K
1356
$8.90
$998.87M
400
$3.56K
1357
RZLV Rezolve AI Limited Ordinary Shares $3.06
$987.65M
439.6K
$1.35M
1358
TWO Two Harbors Investment Corp. $9.46
$985.31M
250
$2.37K
1359
PCRX Pacira BioSciences, Inc. Common Stock $22.90
$985.19M
950
$21.76K
1360
UCTT Ultra Clean Holdings, Inc. $21.65
$982.63M
786
$17.02K
1361
LUNR Intuitive Machines, Inc. Class A Common Stock $8.19
$977.23M
129.579K
$1.06M
1362
$7.50
$968.47M
989
$7.42K
1363
TTI TETRA Technologies, Inc. $7.22
$965.65M
3.29K
$23.75K
1364
SLDP Solid Power, Inc. Class A Common Stock $5.05
$964.67M
525.021K
$2.65M
1365
NTLA Intellia Therapeutics, Inc $8.28
$959.07M
99.419K
$823.19K
1366
PRCH Porch Group, Inc. Common Stock $9.10
$958.88M
1.421K
$12.93K
1367
PUMP ProPetro Holding Corp. $9.22
$958.72M
400
$3.69K
1368
$10.99
$956.32M
2.648K
$29.10K
1369
WBI WaterBridge Infrastructure LLC $22.00
$951.83M
301
$6.62K
1370
DEA Easterly Government Properties, Inc. $20.56
$947.99M
866
$17.80K
1371
IPX IperionX Limited American Depositary Share $28.00
$939.80M
1.056K
$29.57K
1372
MLTX MoonLake Immunotherapeutics Class A Ordinary Shares $13.20
$935.19M
14.184K
$187.23K
1373
RERE ATRenew Inc. American Depositary Shares (every three of which representing two Class A ordinary shares) $4.19
$930.38M
11.675K
$48.92K
1374
PENG Penguin Solutions, Inc. Ordinary Shares $17.56
$928.21M
171
$3.00K
1375
$4.52
$919.67M
1.17K
$5.29K
1376
$8.99
$918.74M
1.15K
$10.34K
1377
ANAB AnaptysBio, Inc. Common Stock $33.00
$913.72M
13.113K
$432.73K
1378
PLPC Preformed Line Products Co $186.00
$911.75M
557
$103.60K
1379
BCAX Bicara Therapeutics Inc. Common Stock $16.60
$909.38M
216
$3.59K
1380
$3.81
$907.84M
68.725K
$261.84K
1381
$6.77
$906.19M
15.284K
$103.47K
1382
GDRX GoodRx Holdings, Inc. Class A Common Stock $2.66
$902.89M
1.037K
$2.76K
1383
RZLT Rezolute, Inc. Common Stock (NV) $9.69
$898.30M
7.297K
$70.69K
1384
CNL Collective Mining Ltd. $9.72
$896.81M
350
$3.40K
1385
CCO Clear Channel Outdoor Holdings, Inc. Common Stock $1.80
$895.15M
100
$180.00
1386
$16.36
$891.30M
14.625K
$239.27K
1387
FLGT Fulgent Genetics, Inc. Common Stock $28.75
$888.73M
363
$10.44K
1388
PFLT PennantPark Floating Rate Capital Ltd. $8.95
$888.00M
466
$4.17K
1389
CMPX Compass Therapeutics, Inc. Common Stock $4.97
$884.51M
1.797K
$8.94K
1390
HNRG Hallador Energy Company $20.00
$876.50M
1.409K
$28.18K
1391
GLUE Monte Rosa Therapeutics, Inc. Common Stock $13.45
$875.83M
292
$3.93K
1392
SANA Sana Biotechnology, Inc. Common Stock $3.27
$871.02M
39.562K
$129.37K
1393
INMD InMode Ltd. Ordinary Shares $13.77
$870.39M
3.933K
$54.16K
1394
ULCC Frontier Group Holdings, Inc. Common Stock $3.81
$869.55M
6.416K
$24.44K
1395
CRON Cronos Group Inc. Common Share $2.27
$869.17M
7.197K
$16.34K
1396
IOVA Iovance Biotherapeutics, Inc. Common Stock $2.18
$865.39M
70.045K
$152.70K
1397
BTQ BTQ Technologies Corp. Common Stock $6.15
$861.33M
83.443K
$513.27K
1398
$5.35
$859.61M
1.2K
$6.42K
1399
BORR Borr Drilling Limited $3.00
$857.62M
1.871K
$5.61K
1400
XIFR XPLR Infrastructure, LP $9.10
$855.09M
7.46K
$67.89K