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.
101
MRVL Marvell Technology, Inc. Common Stock $164.74
$144.06B
11.443M
$1.89B
102
SCCO Southern Copper Corporation $171.18
$141.41B
892.782K
$152.83M
103
PDD PDD Holdings Inc. American Depositary Shares $99.56
$141.33B
3.56M
$354.42M
104
APP Applovin Corporation Class A Common Stock $459.52
$140.65B
2.052M
$942.91M
105
BUD Anheuser-Busch INBEV SA/NV $76.63
$137.73B
1.084M
$83.10M
106
$159.18
$136.74B
6.557M
$1.04B
107
$43.68
$135.05B
1.653M
$72.20M
108
SMFG Sumitomo Mitsui Financial Group, Inc $21.15
$134.92B
2.056M
$43.48M
109
HON Honeywell International, Inc. $212.46
$134.63B
1.732M
$367.91M
110
$141.19
$131.62B
1.785M
$252.02M
111
$233.80
$130.94B
1.423M
$332.72M
112
$59.80
$130.66B
4.315M
$258.03M
113
$427.45
$129.72B
864.967K
$369.73M
114
$25.15
$129.05B
2.142M
$53.86M
115
BTI British American Tobacco p.l.c. American Depositary Shares, American Depositary Shares, each representing one Ordinary Share $58.71
$127.47B
3.21M
$188.46M
116
$326.22
$127.30B
1.012M
$330.19M
117
VRT Vertiv Holdings Co Class A Common Stock $328.80
$126.29B
4.001M
$1.32B
118
$100.61
$126.26B
1.4M
$140.85M
119
BBVA Banco Bilbao Vizcaya Argentaria, S.A. $21.99
$125.54B
678.317K
$14.92M
120
$74.35
$124.26B
10.24M
$761.35M
121
$174.61
$123.58B
3.414M
$596.07M
122
SONY Sony Group Corporation American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock) $19.83
$121.95B
4.796M
$95.10M
123
$46.37
$121.38B
11.175M
$518.19M
124
$105.55
$120.25B
5.217M
$550.63M
125
BMY Bristol-Myers Squibb Co. $58.50
$119.44B
15.337M
$897.23M
126
$192.01
$119.42B
4.149M
$796.68M
127
$179.51
$119.40B
3.095M
$555.52M
128
$54.66
$119.36B
2.286M
$124.97M
129
$513.90
$118.49B
1.031M
$530.01M
130
PGR Progressive Corporation $199.00
$116.41B
1.365M
$271.60M
131
$108.82
$116.17B
4.234M
$460.73M
132
CRWD CrowdStrike Holdings, Inc. Class A Common Stock $455.15
$115.43B
1.323M
$602.12M
133
$295.24
$113.07B
3.982M
$1.18B
134
$45.76
$112.14B
3.908M
$178.82M
135
SNY Sanofi American Depositary Shares (Each representing one-half of one ordinary share) $46.24
$112.10B
2.13M
$98.49M
136
PH Parker-Hannifin Corporation $887.00
$111.95B
1.271M
$1.13B
137
$743.10
$111.51B
1.165M
$865.46M
138
$397.85
$110.03B
1.684M
$669.83M
139
$97.05
$109.50B
5.926M
$575.10M
140
$485.00
$107.24B
863.972K
$419.03M
141
VRTX Vertex Pharmaceuticals Inc $421.60
$107.24B
612.892K
$258.40M
142
EQIX Equinix, Inc. Common Stock REIT $1,085.03
$107.01B
535.234K
$580.74M
143
$152.48
$106.87B
406.14K
$61.93M
144
MFG Mizuho Financial Group, Inc. American Depositary Shares (Each representing one-fifth of an Ordinary Share) $8.51
$105.94B
2.128M
$18.11M
145
CVS CVS HEALTH CORPORATION $82.16
$105.30B
3.854M
$316.63M
146
$289.54
$105.05B
1.652M
$478.40M
147
GSK GSK plc American Depositary Shares (Each representing two Ordinary Shares) $51.60
$104.66B
3.679M
$189.84M
148
$80.55
$103.42B
6.697M
$539.50M
149
CM Canadian Imperial Bank of Commerce $112.18
$103.01B
1.199M
$134.52M
150
EQNR Equinor ASA American Depositary Shares (Each Representing One Ordinary Share, nominal value NOK 2.50 per share) $39.70
$101.51B
3.294M
$130.78M
151
$251.00
$101.45B
4.527M
$1.14B
152
DUK Duke Energy Corporation $128.60
$100.07B
2.108M
$271.14M
153
$814.02
$99.71B
481.272K
$391.77M
154
CNQ Canadian Natural Resources Limited $46.96
$97.95B
7.577M
$355.79M
155
$27.18
$96.84B
24.299M
$660.45M
156
$433.09
$96.83B
761.072K
$329.61M
157
CEG Constellation Energy Corporation Common Stock $307.96
$96.49B
1.738M
$535.34M
158
$239.76
$96.08B
1.301M
$311.99M
159
$78.00
$95.87B
1.078M
$84.05M
160
$26.41
$94.56B
3.269M
$86.33M
161
MAR Marriot International Class A Common Stock $354.80
$94.00B
792.05K
$281.02M
162
$393.50
$93.89B
900.03K
$354.16M
163
$126.43
$93.83B
4.888M
$617.98M
164
$90.98
$93.80B
21.471M
$1.95B
165
CDNS Cadence Design Systems $339.50
$93.73B
1.567M
$532.13M
166
GD General Dynamics Corporation $345.84
$93.67B
1.213M
$419.60M
167
$1,847.01
$93.64B
344.816K
$636.88M
168
$486.95
$93.28B
696.651K
$339.24M
169
$228.77
$92.17B
1.053M
$240.84M
170
$103.36
$92.15B
3.495M
$361.22M
171
WMB Williams Companies Inc. $75.35
$92.04B
3.746M
$282.26M
172
AEM Agnico Eagle Mines Ltd. $183.80
$92.00B
2.614M
$480.47M
173
BK Bank of New York Mellon Corporation $133.30
$91.74B
2.052M
$273.59M
174
$658.13
$90.93B
525.86K
$346.08M
175
SPOT Spotify Technology S.A. $441.30
$90.86B
1.266M
$558.62M
176
PNC PNC Financial Services Group $220.71
$89.03B
762.897K
$168.38M
177
JCI Johnson Controls International plc $145.15
$88.84B
1.708M
$247.90M
178
$88.49
$88.02B
830.587K
$73.50M
179
ICE Intercontinental Exchange Inc. $154.45
$87.49B
2.733M
$422.04M
180
$56.13
$87.13B
5.498M
$308.62M
181
ADP Automatic Data Processing $213.93
$86.14B
2.16M
$462.08M
182
$56.90
$85.50B
8.313M
$473.01M
183
AMT American Tower Corporation $181.66
$84.72B
1.384M
$251.38M
184
ING ING Groep N.V. American Depositary Shares $29.00
$84.69B
2.03M
$58.86M
185
$55.71
$84.34B
242.472K
$13.51M
186
BSX Boston Scientific Corp. $56.68
$84.24B
15.692M
$889.45M
187
$44.86
$83.36B
4.766M
$213.82M
188
EPD Enterprise Products Partners L.P. $38.29
$82.77B
3.04M
$116.39M
189
BE Bloom Energy Corporation $291.99
$82.46B
8.953M
$2.61B
190
$56.77
$81.61B
11.838M
$672.05M
191
PBR PETROLEO BRASILEIRO S.A.-PETROBRAS ADS (REP 1 COMMON SHARE) $21.90
$81.49B
8.619M
$188.76M
192
NOC Northrop Grumman Corp. $569.27
$80.85B
492.062K
$280.11M
193
$371.75
$80.73B
547.432K
$203.51M
194
ORLY O'Reilly Automotive, Inc. $96.37
$80.63B
5.254M
$506.29M
195
$166.18
$80.06B
2.031M
$337.52M
196
UPS United Parcel Service, Inc. Class B $107.51
$80.06B
3.699M
$397.68M
197
$67.54
$79.98B
3.214M
$217.06M
198
$23.25
$79.70B
5.838M
$135.73M
199
$456.10
$79.68B
511.355K
$233.23M
200
AMX America Movil S.A.B de C.V American Depositary Shares (each representing the right to receive twenty (20) Series B Shares) $26.34
$79.26B
617.738K
$16.27M