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
LYFT Lyft, Inc. Class A Common Stock $13.82
$5.25B
13.205M
$182.50M
1302
MARA Marathon Digital Holdings, Inc. Common Stock $13.76
$5.25B
38.958M
$536.06M
1303
IRDM Iridium Communications Inc. $49.62
$5.25B
1.871M
$92.85M
1304
XENE Xenon Pharmaceuticals Inc $54.17
$5.24B
814.068K
$44.10M
1305
$3.75
$5.23B
68.538M
$257.05M
1306
SBRA Sabra Healthcare REIT, Inc. $20.72
$5.23B
1.526M
$31.61M
1307
$150.56
$5.22B
263.356K
$39.65M
1308
$161.75
$5.20B
77.423K
$12.52M
1309
TTAN ServiceTitan, Inc. Class A Common Stock $62.60
$5.18B
611.046K
$38.25M
1310
GOLF Acushnet Holdings Corp. $88.43
$5.18B
136.338K
$12.06M
1311
$82.50
$5.18B
344.445K
$28.42M
1312
$9.27
$5.18B
3.008M
$27.89M
1313
HESM Hess Midstream LP Class A Share representing a limited partner Interest $40.28
$5.17B
1.877M
$75.62M
1314
BIPC Brookfield Infrastructure Corporation Class A Subordinate Voting Shares $41.97
$5.16B
926.778K
$38.90M
1315
TKC TURKCELL ILETISIM HIZMETLERI A.S. ADS $5.86
$5.16B
1.17M
$6.86M
1316
$31.60
$5.16B
1.897M
$59.94M
1317
$113.12
$5.15B
567.28K
$64.17M
1318
$86.99
$5.14B
364.289K
$31.69M
1319
PAGP Plains GP Holdings, L.P. Class A Units representing Limited Partner Interests $25.94
$5.13B
1.885M
$48.90M
1320
IPGP IPG Photonics Corporation $120.94
$5.13B
395.176K
$47.79M
1321
$6.97
$5.12B
4.625M
$32.24M
1322
HASI HANNON ARMSTRONG SUSTAINABLE INFRASTRUCTURE CAPITAL INC $39.87
$5.12B
892.914K
$35.60M
1323
$5.10
$5.10B
845.692K
$4.31M
1324
$164.65
$5.09B
62.931K
$10.36M
1325
$7.57
$5.09B
1.349M
$10.21M
1326
GLBE Global-E Online Ltd. Ordinary Shares $29.96
$5.08B
463.738K
$13.89M
1327
$23.85
$5.08B
1.082M
$25.81M
1328
WMG Warner Music Group Corp. Class A Common Stock $34.72
$5.08B
2.591M
$89.98M
1329
PECO Phillips Edison & Company, Inc. Common Stock $40.30
$5.08B
632.453K
$25.49M
1330
PRM Perimeter Solutions, SA $31.10
$5.07B
1.001M
$31.13M
1331
APGE Apogee Therapeutics, Inc. Common Stock $81.16
$5.02B
263.495K
$21.39M
1332
SITE SiteOne Landscape Supply, Inc. $113.36
$5.02B
456.566K
$51.76M
1333
JAN JanOne Inc. Common Stock (NV) $26.70
$5.00B
350.461K
$9.36M
1334
OTF Blue Owl Technology Finance Corp. $10.80
$5.00B
1.85M
$19.98M
1335
CNX CNX Resources Corporation $35.31
$5.00B
738.04K
$26.06M
1336
$10.90
$4.97B
36.571M
$398.62M
1337
OLLI Ollie's Bargain Outlet Holdings, Inc. Common Stock $81.84
$4.96B
1.763M
$144.29M
1338
$38.89
$4.93B
1.345M
$52.30M
1339
LPX Louisiana-Pacific Corp. $70.51
$4.93B
717.635K
$50.60M
1340
$16.96
$4.92B
1.382M
$23.43M
1341
ALH Alliance Laundry Holdings Inc. $24.77
$4.92B
239.094K
$5.92M
1342
GBTG Global Business Travel Group, Inc. $9.43
$4.92B
1.619M
$15.26M
1343
$20.44
$4.91B
6.168M
$126.11M
1344
$174.74
$4.90B
274.153K
$47.91M
1345
AX Axos Financial, Inc. Common Stock $86.07
$4.90B
181.848K
$15.65M
1346
$65.76
$4.89B
486.072K
$31.96M
1347
SON Sonoco Products Company $49.37
$4.88B
627.074K
$30.96M
1348
MIAX Miami International Holdings, Inc. $51.42
$4.88B
881.563K
$45.33M
1349
MKTX MarketAxess Holdings Inc. $137.28
$4.88B
512.011K
$70.29M
1350
NAKA Kindly MD, Inc. Common Stock $7.00
$4.87B
463.88K
$3.25M
1351
SXT Sensient Technology Corporation $114.44
$4.87B
174.542K
$19.97M
1352
CRSP CRISPR Therapeutics AG $50.17
$4.84B
1.337M
$67.07M
1353
$36.36
$4.83B
1M
$36.36M
1354
$52.56
$4.83B
366.163K
$19.25M
1355
NAVN Navan, Inc. Class A Common Stock $20.20
$4.79B
4.046M
$81.74M
1356
CIGI Colliers International Group Inc. Subordinate Voting Shares $96.20
$4.79B
150.716K
$14.50M
1357
$6.29
$4.78B
77.241M
$485.84M
1358
ACLS Axcelis Technologies Inc $155.38
$4.78B
418.102K
$64.96M
1359
$75.95
$4.77B
127.338K
$9.67M
1360
$40.21
$4.76B
2.088M
$83.97M
1361
$4,948.02
$4.74B
3.463K
$17.13M
1362
DNTH Dianthus Therapeutics, Inc. Common Stock $86.48
$4.73B
400.924K
$34.67M
1363
EMAT Evolution Metals & Technologies Corp. Common Stock $7.96
$4.72B
156.92K
$1.25M
1364
QS QuantumScape Corporation $8.16
$4.72B
19.798M
$161.62M
1365
WFG West Fraser Timber Co. Ltd $62.10
$4.72B
147.361K
$9.15M
1366
$8.00
$4.70B
56.204M
$449.56M
1367
$285.00
$4.69B
134.776K
$38.41M
1368
BOOT Boot Barn Holdings, Inc. $154.65
$4.69B
406.835K
$62.92M
1369
$60.12
$4.65B
982.859K
$59.09M
1370
$28.01
$4.65B
964.05K
$27.00M
1371
$154.09
$4.64B
281.059K
$43.31M
1372
$101.00
$4.64B
683.813K
$69.07M
1373
CWEN Clearway Energy, Inc. Class C Common Stock $38.27
$4.64B
750.465K
$28.72M
1374
LAUR Laureate Education, Inc. Common Stock $33.12
$4.64B
622.06K
$20.60M
1375
FFIN First Financial Bankshares Inc $32.24
$4.62B
374.756K
$12.08M
1376
MAIN Main Street Capital Corporation $49.62
$4.61B
1.822M
$90.39M
1377
ALK Alaska Air Group, Inc. $41.33
$4.61B
1.785M
$73.77M
1378
LGND Ligand Pharmaceuticals Inc. $229.33
$4.60B
315.067K
$72.25M
1379
REYN Reynolds Consumer Products Inc. Common Stock $21.79
$4.59B
902.494K
$19.67M
1380
AQN Algonquin Power & Utilities Corp $5.97
$4.59B
4.026M
$24.01M
1381
EBC Eastern Bankshares, Inc. Common Stock $19.85
$4.59B
737.387K
$14.64M
1382
PTEN Patterson-UTI Energy Inc $12.07
$4.58B
4.236M
$51.15M
1383
INDV Indivior PLC Ordinary Shares $37.53
$4.58B
786.173K
$29.51M
1384
IBOC International Bancshares Corp $73.50
$4.57B
169.394K
$12.45M
1385
XMTR Xometry, Inc. Class A Common Stock $89.21
$4.56B
315.777K
$28.17M
1386
CSTM Constellium SE Class A Ordinary shares $33.47
$4.56B
1.551M
$51.90M
1387
UFPI UFP Industries, Inc. Common Stock $80.54
$4.55B
295.901K
$23.83M
1388
BF.A Brown-Forman Corporation Class A $26.98
$4.54B
74.369K
$2.01M
1389
RELY Remitly Global, Inc. Common Stock $21.58
$4.54B
1.652M
$35.65M
1390
MDU MDU Resources Group, Inc. $22.16
$4.54B
1.655M
$36.68M
1391
VIRT Virtu Financial, Inc. Class A $52.11
$4.53B
449.17K
$23.41M
1392
$9.80
$4.53B
5.284M
$51.78M
1393
ACMR ACM Research, Inc. Class A Common Stock $73.98
$4.53B
1.663M
$123.06M
1394
$127.00
$4.53B
442.808K
$56.24M
1395
EQPT EquipmentShare.com Inc Common Stock $21.04
$4.52B
1.705M
$35.87M
1396
FBIN Fortune Brands Innovations, Inc. $37.86
$4.52B
2.636M
$99.81M
1397
EXLS ExlService Holdings, Inc. $29.51
$4.51B
1.304M
$38.49M
1398
WSC WillScot Mobile Mini Holdings Corp. Class A Common Stock $24.78
$4.49B
1.438M
$35.64M
1399
$58.62
$4.48B
307.69K
$18.04M
1400
TFSL TFS Financial Corporation $15.97
$4.48B
602.668K
$9.62M