Stock Rankings by Market Cap - Rankings 101 to 200

Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 101 to 200.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Market Cap
Volume (Day)
$ Volume (Day)
101
PFEPfizer Inc.
$25.96
-0.11
-0.42%
$147.96B
13.746M
$356.84M
102
WELLWelltower Inc.
$208.57
-4.62
-2.17%
$147.23B
1.398M
$291.65M
103
HONHoneywell International, Inc.
$231.00
+2.50
+1.09%
$146.37B
1.747M
$403.55M
104
UBERUber Technologies, Inc.
$71.90
-1.49
-2.04%
$146.35B
7.552M
$542.94M
105
BUDAnheuser-Busch INBEV SA/NV
$81.10
-1.53
-1.85%
$145.75B
789.888K
$64.06M
106
ISRGIntuitive Surgical Inc.
$406.08
-11.68
-2.80%
$143.82B
825.786K
$335.34M
107
BBVABanco Bilbao Vizcaya Argentaria, S.A.
$24.85
+0.29
+1.18%
$140.01B
861.283K
$21.40M
108
DELLDell Technologies Inc.
$418.29
+9.32
+2.28%
$135.89B
4.228M
$1.77B
109
SHOPShopify Inc. Class A subordinate voting shares
$111.70
-1.81
-1.59%
$135.72B
3.599M
$402.01M
110
COPConocoPhillips
$110.89
+0.37
+0.33%
$135.10B
2.872M
$318.43M
111
BKNGBooking Holdings Inc. Common Stock
$173.04
-2.69
-1.53%
$134.08B
2.423M
$419.19M
112
PLDPROLOGIS, INC.
$142.36
-3.65
-2.50%
$132.72B
1.595M
$227.09M
113
RIORio Tinto plc
$103.65
-0.55
-0.52%
$130.08B
1.409M
$146.02M
114
BTIBritish American Tobacco p.l.c. American Depositary Shares, American Depositary Shares, each representing one Ordinary Share
$59.77
-1.39
-2.27%
$129.56B
2.408M
$143.93M
115
CRMSalesforce, Inc.
$157.13
-4.98
-3.07%
$128.69B
7.845M
$1.23B
116
HDBHDFC Bank Limited
$25.06
-0.27
-1.07%
$128.62B
3.197M
$80.13M
117
CBChubb Limited
$328.23
+0.23
+0.07%
$127.31B
563.956K
$185.11M
118
CVSCVS HEALTH CORPORATION
$99.40
-0.79
-0.78%
$126.82B
2.909M
$289.14M
119
COFCapital One Financial
$203.46
+1.98
+0.98%
$126.61B
3.411M
$693.98M
120
DHRDanaher Corporation
$178.16
-3.11
-1.72%
$126.10B
1.09M
$194.21M
121
MFGMizuho Financial Group, Inc. American Depositary Shares (Each representing one-fifth of an Ordinary Share)
$10.31
+0.29
+2.89%
$125.93B
6.29M
$64.85M
122
ULUnilever plc
$57.94
-0.80
-1.36%
$125.53B
3.958M
$229.34M
123
SPGIS&P Global Inc.
$420.54
-13.36
-3.08%
$124.48B
804.151K
$338.18M
124
VRTVertiv Holdings Co Class A Common Stock
$322.61
+19.61
+6.47%
$123.92B
3.249M
$1.05B
125
LOWLowe's Companies Inc.
$220.84
-3.17
-1.41%
$123.82B
1.056M
$233.24M
126
LMTLockheed Martin Corp.
$533.03
-2.62
-0.49%
$122.90B
474.088K
$252.70M
127
SONYSony Group Corporation American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock)
$20.43
-0.08
-0.37%
$121.84B
2.947M
$60.20M
128
PGRProgressive Corporation
$205.69
+2.57
+1.27%
$120.19B
1.53M
$314.75M
129
PHParker-Hannifin Corporation
$952.38
+17.10
+1.83%
$120.08B
361.488K
$344.27M
130
BMOBank of Montreal
$170.98
+1.69
+1.00%
$119.75B
343.524K
$58.74M
131
ENBEnbridge, Inc
$54.75
-1.18
-2.11%
$119.55B
1.578M
$86.39M
132
NEMNewmont Corporation
$109.40
+0.83
+0.76%
$116.79B
5.172M
$565.82M
133
VRTXVertex Pharmaceuticals Inc
$457.87
+8.74
+1.94%
$116.21B
549.787K
$251.73M
134
SYKStryker Corporation
$300.73
-7.28
-2.36%
$115.29B
887.579K
$266.92M
135
MOAltria Group, Inc.
$69.00
-0.91
-1.29%
$115.21B
2.963M
$204.42M
136
PDDPDD Holdings Inc. American Depositary Shares
$80.02
-1.59
-1.95%
$113.90B
2.608M
$208.71M
137
HWMHowmet Aerospace Inc.
$282.58
+5.87
+2.12%
$113.06B
1.204M
$340.29M
138
BMYBristol-Myers Squibb Co.
$55.32
-0.65
-1.16%
$112.97B
2.908M
$160.87M
139
BNBrookfield Corporation
$45.77
+0.05
+0.11%
$112.18B
1.84M
$84.21M
140
CDNSCadence Design Systems
$396.40
+9.46
+2.44%
$109.33B
786.713K
$311.85M
141
EQIXEquinix, Inc. Common Stock REIT
$1,085.35
-14.65
-1.33%
$107.04B
221.008K
$239.87M
142
PWRQuanta Services, Inc.
$711.38
-11.45
-1.58%
$106.75B
511.768K
$364.06M
143
BNSBank of Nova Scotia
$86.70
+1.03
+1.20%
$106.20B
793.101K
$68.76M
144
TTTrane Technologies plc
$478.39
-7.00
-1.44%
$105.75B
321.363K
$153.74M
145
FTNTFortinet, Inc.
$144.30
-3.14
-2.13%
$105.72B
4.019M
$579.96M
146
ACNAccenture PLC
$158.79
-7.38
-4.44%
$105.62B
3.094M
$491.32M
147
BPBP p.l.c.
$40.35
-0.44
-1.08%
$105.60B
5.974M
$241.06M
148
GSKGSK plc American Depositary Shares (Each representing two Ordinary Shares)
$52.10
+0.05
+0.10%
$105.51B
2.421M
$126.15M
149
MARMarriot International Class A Common Stock
$398.33
+2.16
+0.55%
$105.04B
637.14K
$253.79M
150
SNYSanofi American Depositary Shares (Each representing one-half of one ordinary share)
$43.16
-0.33
-0.76%
$104.80B
6.029M
$260.20M
151
SOThe Southern Company
$92.94
-0.94
-1.00%
$104.77B
2.269M
$210.88M
152
CMCanadian Imperial Bank of Commerce
$113.70
-0.60
-0.52%
$103.79B
499.96K
$56.85M
153
NOWSERVICENOW, INC.
$99.39
-2.17
-2.14%
$102.50B
13.723M
$1.36B
154
FCXFreeport-McMoran Inc.
$70.79
+0.22
+0.30%
$101.76B
6.464M
$457.53M
155
IBNICICI Bank Limited
$28.05
-0.22
-0.76%
$100.55B
1.929M
$54.09M
156
MDTMedtronic plc
$78.29
-3.05
-3.74%
$100.51B
3.762M
$294.48M
157
CMICummins Inc.
$726.24
+19.24
+2.72%
$100.21B
934.659K
$678.79M
158
BNYBank of New York Mellon Corporation
$145.21
+0.76
+0.53%
$99.67B
928.375K
$134.81M
159
GDGeneral Dynamics Corporation
$363.51
+1.00
+0.28%
$98.30B
313.605K
$114.00M
160
CEGConstellation Energy Corporation Common Stock
$269.39
+0.09
+0.03%
$96.74B
1.499M
$403.90M
161
DUKDuke Energy Corporation
$124.01
-2.00
-1.58%
$96.67B
1.142M
$141.67M
162
BXBlackstone Inc.
$127.87
-0.13
-0.10%
$94.99B
2.076M
$265.51M
163
PNCPNC Financial Services Group
$235.95
-1.80
-0.76%
$94.75B
924.685K
$218.18M
164
SPOTSpotify Technology S.A.
$458.05
-11.95
-2.54%
$94.30B
1.111M
$508.75M
165
MCKMcKesson Corporation
$780.12
-5.32
-0.68%
$93.77B
427.583K
$333.56M
166
INGING Groep N.V. American Depositary Shares
$31.59
+0.41
+1.31%
$92.25B
3.416M
$107.92M
167
USBU.S. Bancorp
$58.75
-0.43
-0.72%
$91.13B
3.98M
$233.85M
168
BCSBarclays PLC
$26.77
+0.33
+1.25%
$90.76B
3.606M
$96.52M
169
MNSTMonster Beverage Corporation
$92.27
-0.65
-0.69%
$90.24B
1.314M
$121.22M
170
CMECME Group Inc.
$248.67
-13.23
-5.05%
$90.11B
3.418M
$849.86M
171
AEMAgnico Eagle Mines Ltd.
$178.29
+2.49
+1.42%
$89.23B
1.914M
$341.20M
172
SNPSSynopsys Inc
$465.95
+12.61
+2.78%
$89.22B
998.631K
$465.31M
173
KKRKKR & Co. Inc.
$99.35
+0.75
+0.76%
$89.20B
1.605M
$159.50M
174
JCIJohnson Controls International plc
$145.61
+0.63
+0.43%
$88.84B
1.509M
$219.69M
175
CNQCanadian Natural Resources Limited
$42.61
-0.55
-1.26%
$88.68B
3.634M
$154.81M
176
ADPAutomatic Data Processing
$219.82
-1.18
-0.53%
$87.87B
1.109M
$243.69M
177
WMWaste Management, Inc.
$216.76
-1.24
-0.57%
$87.05B
797.494K
$172.86M
178
WMBWilliams Companies Inc.
$71.21
+0.21
+0.30%
$86.99B
1.78M
$126.77M
179
EQNREquinor ASA American Depositary Shares (Each Representing One Ordinary Share, nominal value NOK 2.50 per share)
$33.83
+0.03
+0.07%
$86.48B
2.759M
$93.31M
180
HCAHCA Healthcare, Inc.
$388.33
-6.68
-1.69%
$86.15B
672.547K
$261.17M
181
HOODRobinhood Markets, Inc. Class A Common Stock
$108.10
+11.39
+11.78%
$85.53B
44.136M
$4.77B
182
CSXCSX Corporation
$45.82
-0.90
-1.93%
$85.14B
4.875M
$223.36M
183
ELVElevance Health, Inc.
$392.02
-5.99
-1.50%
$85.13B
364.034K
$142.71M
184
AMTAmerican Tower Corporation
$181.87
-2.14
-1.16%
$84.73B
779.877K
$141.84M
185
EMREmerson Electric Co.
$150.83
+1.02
+0.68%
$84.48B
1.106M
$166.83M
186
MELIMercado Libre, Inc
$1,665.42
-9.91
-0.59%
$84.43B
290.82K
$484.34M
187
ASXASE Technology Holding Co., Ltd.
$37.74
-0.09
-0.24%
$84.36B
3.439M
$129.77M
188
MMM3M Company
$161.05
-0.46
-0.28%
$84.00B
1.42M
$228.64M
189
RCLRoyal Caribbean Group
$306.73
-7.27
-2.32%
$82.26B
776.738K
$238.25M
190
SNOWSnowflake Inc.
$236.14
-2.87
-1.20%
$81.84B
2.781M
$656.60M
191
ADBEAdobe Inc.
$201.70
-5.98
-2.88%
$81.53B
5.614M
$1.13B
192
LYGLloyds Banking Group PLC
$5.59
+0.01
+0.09%
$81.45B
28.128M
$157.09M
193
CMCSAComcast Corp
$22.84
-0.83
-3.51%
$81.37B
18.321M
$418.45M
194
BEBloom Energy Corporation
$284.91
-1.05
-0.37%
$81.04B
4.694M
$1.34B
195
NGGNational Grid PLC
$81.27
-0.13
-0.16%
$80.88B
610.85K
$49.64M
196
HLTHilton Worldwide Holdings Inc.
$354.93
+5.93
+1.70%
$80.80B
779.985K
$276.84M
197
APOApollo Global Management, Inc.
$139.95
+1.66
+1.20%
$80.68B
1.953M
$273.35M
198
MCOMoody's Corporation
$459.71
-6.80
-1.46%
$80.31B
587.281K
$269.98M
199
BAMBrookfield Asset Management Ltd.
$48.90
+0.04
+0.08%
$80.10B
1.083M
$52.95M
200
AMXAmerica Movil S.A.B de C.V American Depositary Shares (each representing the right to receive twenty (20) Series B Shares)
$26.64
+0.09
+0.34%
$80.02B
453.885K
$12.09M