Stock Rankings by Market Cap - Rankings 1901 to 2000
Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 1901 to 2000.
1901
GOVX GeoVax Labs, Inc. New $1.06
$16.10M
4.888M
$5.18M
1902
BBLG Bone Biologics Corp Common Stock $4.92
$16.09M
120
$590.40
1903
EYEN Eyenovia, Inc. Common Stock $5.55
$16.00M
524.854K
$2.91M
1904
FLGC Flora Growth Corp. Common Stock $0.7073
$15.96M
1.659K
$1.17K
1905
PMN ProMIS Neurosciences Inc. Common Shares (ON) $0.4880
$15.95M
100
$48.80
1906
OPI Office Properties Income Trust Common Shares of Beneficial Interest $0.2241
$15.89M
24.167K
$5.42K
1907
WKSP Worksport, Ltd. Common Stock $3.04
$15.81M
800
$2.43K
1908
DTSS Datasea Inc. Common Stock $2.06
$15.77M
210
$432.62
1909
LIDR AEye, Inc. Class A Common Stock $0.8189
$15.75M
1.359K
$1.11K
1910
MRKR Marker Therapeutics, Inc. Common Stock $1.45
$15.53M
276
$400.20
1911
FGL Founder Group Limited Ordinary Shares $0.7946
$15.43M
93.123K
$74.00K
1912
COCP Cocrystal Pharma, Inc. Common Stock $1.50
$15.26M
510
$765.00
1913
USEA United Maritime Corporation Common Stock $1.63
$15.00M
237
$386.31
1914
VYNE VYNE Therapeutics Inc. Common Stock $0.8900
$14.83M
1.2K
$1.07K
1915
RLYB Rallybio Corporation Common Stock $0.3549
$14.77M
200
$70.98
1916
MTVA MetaVia Inc. Common Stock $0.7496
$14.67M
668
$500.73
1917
INEO INNEOVA Holdings Limited Ordinary Shares $1.48
$14.63M
79.284K
$117.48K
1918
$0.8800
$14.54M
33.434K
$29.42K
1919
$7.79
$14.52M
616.95K
$4.81M
1920
SFHG Samfine Creation Holdings Group Limited Ordinary Share $0.7100
$14.41M
140
$99.40
1921
ACXP Acurx Pharmaceuticals, Inc. Common Stock $0.6128
$14.39M
3.518M
$2.16M
1922
HKPD Hong Kong Pharma Digital Technology Holdings Limited Ordinary shares $1.30
$14.30M
42.571K
$55.34K
1923
LYRA Lyra Therapeutics, Inc. Common Stock $10.70
$14.18M
1.089K
$11.65K
1924
SONM Sonim Technologies, Inc. Common Stock $1.35
$13.91M
75.781K
$102.30K
1925
EVAX Evaxion Biotech A/S American Depositary Share $2.19
$13.83M
360
$788.40
1926
CANF Can-Fite BioPharma Ltd. American Depositary Shares, each representing three hundred (300) Ordinary Shares $1.06
$13.65M
7.81K
$8.28K
1927
XHLD TEN Holdings, Inc. Common Stock $0.4750
$13.63M
31.677K
$15.05K
1928
$3.62
$13.62M
606
$2.19K
1929
$1.81
$13.54M
4.152M
$7.52M
1930
UBX Unity Biotechnology, Inc. Common Stock $0.7852
$13.51M
1.213K
$952.45
1931
INBS Intelligent Bio Solutions Inc. Common Stock $1.94
$13.41M
22.375K
$43.41K
1932
MARPS Marine Petroleum Trust $6.68
$13.36M
16.359K
$109.28K
1933
PRPH ProPhase Labs, Inc. Common Stock (DE) $0.3216
$13.36M
742.94K
$238.93K
1934
SOGP Sound Group Inc. American Depositary Shares $2.68
$13.23M
31.146K
$83.47K
1935
BNAI Brand Engagement Network Inc. Common Stock $0.3111
$13.15M
103.234K
$32.12K
1936
NERV Minerva Neurosciences, Inc $1.88
$13.15M
250
$470.00
1937
SCNX Scienture Holdings, Inc. Common Stock $1.00
$13.12M
2.212K
$2.21K
1938
VVOS Vivos Therapeutics, Inc. Common Stock $2.21
$13.02M
100
$221.00
1939
ORKT Orangekloud Technology Inc. Class A Ordinary Shares $0.5557
$12.98M
652
$362.32
1940
NXTC NextCure, Inc. Common Stock $0.4606
$12.92M
5.746K
$2.65K
1941
TIRX TIAN RUIXIANG Holdings Ltd Class A Ordinary Shares $1.27
$12.92M
1.078K
$1.37K
1942
ABP Abpro Holdings, Inc Common Stock $0.2116
$12.86M
25.241K
$5.34K
1943
$0.4353
$12.75M
69.409M
$30.21M
1944
BRTX BioRestorative Therapies, Inc. Common Stock (NV) $1.69
$12.69M
3.23K
$5.46K
1945
BNZI Banzai International, Inc. Class A Common Stock $0.6688
$12.68M
80.864K
$54.08K
1946
ATHA Athira Pharma, Inc. Common Stock $0.3219
$12.57M
100
$32.19
1947
KZIA Kazia Therapeutics Limited American Depositary Shares $9.15
$12.44M
145
$1.33K
1948
COSM Cosmos Holdings Inc. Common Stock $0.4322
$12.39M
882
$381.20
1949
CYCU Cycurion, Inc. Common Stock $0.3919
$12.32M
550.184K
$215.62K
1950
MHUA Meihua International Medical Technologies Co., Ltd. Ordinary Shares $0.3860
$12.32M
2.471K
$953.81
1951
ALLR Allarity Therapeutics, Inc. Common Stock $0.8101
$12.22M
4.199K
$3.40K
1952
JZXN Jiuzi Holdings, Inc. Ordinary Shares $1.10
$12.11M
2.932K
$3.23K
1953
BPT BP Prudhoe Bay Royalty Trust $0.5605
$11.99M
85.97K
$48.19K
1954
GWAV Greenwave Technology Solutions, Inc. Common Stock $0.1960
$11.99M
5.438K
$1.07K
1955
WAI Top KingWin Ltd Class A Ordinary Shares $1.62
$11.96M
5.363K
$8.69K
1956
MKZR MacKenzie Realty Capital, Inc. Common Stock $0.7536
$11.89M
859
$647.34
1957
CDTG CDT Environmental Technology Investment Holdings Limited ordinary shares $0.9600
$11.83M
90.758K
$87.13K
1958
ARBB ARB IOT Group Limited Ordinary Shares $6.70
$11.81M
125
$837.50
1959
EQ Equillium, Inc. Common Stock $0.3300
$11.79M
12.582K
$4.15K
1960
DATS DatChat, Inc. Common Stock $2.78
$11.70M
8.043K
$22.36K
1961
CLIK Click Holdings Limited Ordinary Share $0.3692
$11.70M
5.185K
$1.91K
1962
GP GreenPower Motor Company Inc. Common Shares $0.3950
$11.65M
6.395K
$2.53K
1963
$5.41
$11.61M
229
$1.24K
1964
ILAG Intelligent Living Application Group Inc. Ordinary Shares $0.5591
$11.61M
3.4K
$1.90K
1965
AIMD Ainos, Inc. Common Stock $0.5516
$11.56M
185.095K
$102.10K
1966
EPWK EPWK Holdings Ltd. Class A Ordinary Shares $0.5141
$11.47M
130.952K
$67.32K
1967
HTCR Heartcore Enterprises, Inc. Common Stock $0.5182
$11.44M
3.228K
$1.67K
1968
GTI Graphjet Technology Class A Ordinary Shares $0.0775
$11.42M
3.89M
$301.48K
1969
GNLN Greenlane Holdings, Inc. Class A Common Stock $0.0111
$11.33M
44.843M
$497.75K
1970
SKK SKK Holdings Limited Common Stock $0.6040
$11.33M
643
$388.37
1971
DRCT Direct Digital Holdings, Inc. Class A Common Stock $0.5400
$11.28M
2.482K
$1.34K
1972
DHAI DIH Holdings US, Inc. Class A Common Stock $0.2377
$11.25M
14.732K
$3.50K
1973
VCIG VCI Global Limited Ordinary Share $2.67
$11.22M
7.448K
$19.89K
1974
SDOT Sadot Group Inc. Common Stock $1.80
$11.18M
15.709K
$28.28K
1975
BNGO Bionano Genomics, Inc. Common Stock $3.32
$11.17M
2.218K
$7.36K
1976
SDST Stardust Power Inc. Common Stock $0.1848
$11.12M
839.419K
$155.12K
1977
$0.4199
$10.99M
10.408K
$4.37K
1978
BCDA BioCardia, Inc. Common Stock $2.10
$10.87M
569
$1.19K
1979
$0.1951
$10.82M
226.322K
$44.16K
1980
IMCC IM Cannabis Corp. Common Shares $3.20
$10.77M
77.307K
$247.38K
1981
WETH Wetouch Technology Inc. Common Stock $0.9027
$10.77M
100
$90.27
1982
BIYA Baiya International Group Inc. Ordinary Shares $0.8570
$10.73M
3.862K
$3.31K
1983
ECDA ECD Automotive Design, Inc. Common Stock $0.3020
$10.69M
13.371K
$4.04K
1984
HCWB HCW Biologics Inc. Common Stock $5.35
$10.67M
1.827K
$9.77K
1985
AREB American Rebel Holdings, Inc. Common Stock $1.63
$10.66M
5.121K
$8.35K
1986
IOTR iOThree Limited Ordinary Shares $0.4151
$10.65M
11.364K
$4.72K
1987
CMBM Cambium Networks Corporation Ordinary Shares $0.3755
$10.61M
1.46K
$548.23
1988
PAVM PAVmed Inc. Common Stock $0.6116
$10.58M
315
$192.65
1989
NLSP NLS Pharmaceutics Ltd. Ordinary Shares $2.34
$10.55M
7.628K
$17.85K
1990
DEVS DevvStream Corp. Common Stock $0.3483
$10.49M
34.122K
$11.88K
1991
ICU SeaStar Medical Holding Corporation Common Stock $0.9900
$10.49M
1.554K
$1.54K
1992
MMA Alta Global Group Limited $1.00
$10.48M
7.422K
$7.42K
1993
FTEL Fitell Corporation Ordinary Shares $0.5000
$10.46M
4.492K
$2.25K
1994
BTAI BioXcel Therapeutics, Inc. Common Stock $1.71
$10.36M
1.081K
$1.85K
1995
$0.5302
$10.34M
1.861M
$986.63K
1996
HCTI Healthcare Triangle, Inc. Common Stock $0.0252
$10.29M
75.188M
$1.89M
1997
ONMD OneMedNet Corp Class A Common Stock $0.3351
$10.24M
369
$123.65
1998
$1.52
$10.14M
15.146K
$23.02K
1999
BHAT Blue Hat Interactive Entertainment Technology Ordinary Shares $2.04
$10.08M
1.104K
$2.25K
2000
CLDI Calidi Biotherapeutics, Inc. $0.3162
$10.05M
4K
$1.26K