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.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Market Cap
Volume (Day)
$ Volume (Day)
1901
NGVTIngevity Corporation
$66.67
+1.05
+1.60%
$2.32B
105.525K
$7.04M
1902
PKPark Hotels & Resorts Inc. Common Stock
$11.51
+0.05
+0.44%
$2.32B
2.629M
$30.26M
1903
VVXV2X, Inc.
$73.97
+1.62
+2.24%
$2.32B
291.672K
$21.57M
1904
MHMcGraw Hill, Inc.
$12.09
-0.15
-1.23%
$2.31B
296.105K
$3.58M
1905
TNKTeekay Tankers Ltd.
$77.17
-0.83
-1.06%
$2.31B
365.973K
$28.24M
1906
RAREUltragenyx Pharmaceutical Inc.
$23.39
-0.61
-2.54%
$2.30B
612.759K
$14.33M
1907
TBBKThe Bancorp Inc.
$55.32
+0.25
+0.45%
$2.30B
147.946K
$8.18M
1908
FRSHFreshworks Inc. Class A Common Stock
$9.12
-0.02
-0.22%
$2.30B
7.554M
$68.89M
1909
NEXTNextDecade Corporation Common Stock
$8.66
+0.15
+1.76%
$2.29B
1.646M
$14.26M
1910
BUSEFirst Busey Corporation Class A Common Stock
$27.08
+0.07
+0.26%
$2.29B
367.338K
$9.95M
1911
SOCSable Offshore Corp.
$14.80
+0.24
+1.65%
$2.28B
1.663M
$24.62M
1912
CHRNChronoScale Corporation Common Stock
$15.95
+0.15
+0.95%
$2.28B
170.643K
$2.72M
1913
NMRKNewmark Group, Inc. Class A Common Stock
$14.60
+0.07
+0.48%
$2.28B
927.906K
$13.55M
1914
TBBBBBB Foods Inc.
$36.69
-0.38
-1.03%
$2.28B
395.467K
$14.51M
1915
LCIDLucid Group, Inc. Common Stock
$5.84
+0.00
+0.02%
$2.28B
9.924M
$57.97M
1916
PBHPrestige Consumer Healthcare Inc.
$48.00
-0.19
-0.39%
$2.27B
833.874K
$40.03M
1917
DRVNDriven Brands Holdings Inc. Common Stock
$13.78
+0.23
+1.70%
$2.27B
955.287K
$13.16M
1918
KODKodiak Sciences Inc Common Stock
$36.21
-1.29
-3.44%
$2.27B
203.782K
$7.38M
1919
AMPXAmprius Technologies, Inc.
$15.92
+0.27
+1.73%
$2.25B
5.692M
$90.61M
1920
PLUSePlus Inc
$85.37
+2.22
+2.67%
$2.25B
186.576K
$15.93M
1921
NKTRNektar Therapeutics
$66.61
-1.45
-2.13%
$2.25B
464.919K
$30.97M
1922
TET1 Energy Inc.
$8.04
-0.86
-9.66%
$2.25B
61.947M
$498.05M
1923
NGLNGL ENERGY PARTNERS LP
$18.09
+0.62
+3.55%
$2.24B
193.715K
$3.50M
1924
PENNPENN Entertainment, Inc. Common Stock
$16.72
-0.11
-0.65%
$2.24B
2.399M
$40.11M
1925
DXPEDXP Enterprises Inc
$144.20
+0.06
+0.04%
$2.24B
144.937K
$20.90M
1926
LMATLeMaitre Vascular, Inc.
$97.75
-1.78
-1.79%
$2.23B
146.139K
$14.29M
1927
AMRAlpha Metallurgical Resources, Inc.
$175.30
-0.57
-0.32%
$2.23B
127.985K
$22.44M
1928
AGYSAgilysys, Inc. Common Stock (DE)
$79.21
-0.88
-1.10%
$2.23B
247.933K
$19.64M
1929
EFSCEnterprise Financial Services Corporation
$60.83
+0.04
+0.07%
$2.23B
137.625K
$8.37M
1930
CPRICapri Holdings Limited
$18.67
+0.16
+0.86%
$2.22B
1.856M
$34.65M
1931
NTBThe Bank of N.T. Butterfield & Son Limited
$56.01
-0.19
-0.34%
$2.22B
125.27K
$7.02M
1932
AKO.BEmbotelladora Andina S.A. Series B
$28.12
-0.07
-0.25%
$2.22B
576
$16.20K
1933
ADPTAdaptive Biotechnologies Corporation Common Stock
$13.85
-0.05
-0.36%
$2.22B
1.02M
$14.13M
1934
ECOOkeanis Eco Tankers Corp.
$56.65
+0.96
+1.72%
$2.21B
428.864K
$24.30M
1935
HNIHNI Corporation
$30.70
-0.24
-0.78%
$2.21B
297.968K
$9.15M
1936
DRDDRDGOLD Ltd.
$25.45
-0.84
-3.20%
$2.21B
119.685K
$3.05M
1937
UTIUniversal Technical Institute, Inc.
$40.06
+1.15
+2.96%
$2.21B
3.028M
$121.28M
1938
DJTTrump Media & Technology Group Corp. Common Stock
$7.96
-0.05
-0.63%
$2.20B
2.525M
$20.10M
1939
BANRBanner Corp.
$64.65
-0.06
-0.09%
$2.20B
100.983K
$6.53M
1940
LBLandBridge Company LLC
$78.70
+2.79
+3.68%
$2.19B
375.12K
$29.52M
1941
AVPTAvePoint, Inc. Class A Common Stock
$10.33
+0.17
+1.67%
$2.19B
778.947K
$8.05M
1942
DRHDiamondRock Hospitality Company
$10.71
-0.11
-1.02%
$2.19B
3.22M
$34.49M
1943
IMAXImax Corp
$39.70
+2.70
+7.30%
$2.18B
3.688M
$146.43M
1944
COHUCohu Inc
$46.25
+0.70
+1.54%
$2.18B
574.893K
$26.59M
1945
DCODucommun Incorporated
$144.55
+0.83
+0.58%
$2.18B
143.692K
$20.77M
1946
HTHHILLTOP HOLDINGS INC.
$37.22
+0.01
+0.03%
$2.18B
197.989K
$7.37M
1947
CYDChina Yuchai International Ltd.
$58.00
+4.00
+7.41%
$2.18B
353.27K
$20.49M
1948
AXGNAxogen, Inc. Common Stock
$40.85
-0.63
-1.52%
$2.17B
393.497K
$16.07M
1949
ALRMAlarm.com Holdings, Inc.
$43.80
-0.07
-0.16%
$2.17B
182.625K
$8.00M
1950
THRTHERMON GROUP HOLDINGS, INC.
$65.71
+0.37
+0.57%
$2.16B
259.134K
$17.03M
1951
MCHPPMicrochip Technology Incorporated Depositary Shares Each Representing a 1/20th Interest in a Share of 7.50% Series A Mandatory Convertible Preferred Stock
$79.59
+1.83
+2.35%
$2.15B
9.213K
$733.26K
1952
CARGCarGurus, Inc. Class A Common Stock
$28.28
+0.61
+2.20%
$2.15B
1.146M
$32.42M
1953
BCRXBioCryst Pharmaceuticals Inc
$8.44
+0.09
+1.05%
$2.15B
3.617M
$30.52M
1954
BPREBluerock Private Real Estate Fund
$14.96
-0.04
-0.27%
$2.14B
547.028K
$8.18M
1955
ARXSArxis, Inc. Class A Common Stock
$35.10
+0.10
+0.29%
$2.14B
262.335K
$9.21M
1956
LBTYALiberty Global Ltd. Class A Common Shares
$12.18
-0.04
-0.33%
$2.14B
796.124K
$9.70M
1957
SLDESlide Insurance Holdings, Inc. Common Stock
$18.63
-0.14
-0.75%
$2.13B
522.123K
$9.73M
1958
DOOBRP Inc. Common Subordinate Voting Shares
$55.38
+0.58
+1.06%
$2.13B
110.812K
$6.14M
1959
FORTYFormula Systems 1985 Ltd
$139.05
+5.68
+4.26%
$2.13B
491
$68.27K
1960
ACHCAcadia Healthcare Company, Inc.
$23.18
+0.02
+0.09%
$2.13B
2.183M
$50.60M
1961
PRDOPerdoceo Education Corporation
$33.98
+0.24
+0.71%
$2.13B
519.631K
$17.66M
1962
NMMNavios Maritime Partners L.P.
$74.25
-0.35
-0.47%
$2.13B
133.309K
$9.90M
1963
CCUCompania Cervecerias Unidas S.A.
$11.52
-0.29
-2.46%
$2.13B
72.697K
$837.47K
1964
CXWCoreCivic, Inc.
$21.50
+0.46
+2.19%
$2.13B
474.583K
$10.20M
1965
LEVILevi Strauss & Co. Class A Common Stock
$21.65
-0.15
-0.69%
$2.13B
1.843M
$39.89M
1966
ESTAEstablishment Labs Holdings Inc.
$72.19
+1.49
+2.11%
$2.12B
220.242K
$15.90M
1967
CLBKColumbia Financial, Inc. Common Stock
$20.37
+0.04
+0.17%
$2.12B
349.715K
$7.12M
1968
ASTHAstrana Health Inc. Common Stock
$38.00
+0.46
+1.23%
$2.12B
283.887K
$10.79M
1969
MBINMerchants Bancorp Common Stock
$45.99
-0.85
-1.81%
$2.11B
45.073K
$2.07M
1970
CEPUCentral Puerto S.A. American Depositary Shares (each represents ten Common Shares)
$13.95
-0.51
-3.53%
$2.11B
184.458K
$2.57M
1971
ZLABZai Lab Limited American Depositary Shares
$18.61
-0.15
-0.80%
$2.11B
318.19K
$5.92M
1972
SYBTStock Yards Bancorp, Inc.
$71.22
-0.07
-0.10%
$2.10B
105.881K
$7.54M
1973
NWNNorthwest Natural Holding Company
$49.93
+0.34
+0.69%
$2.10B
96.639K
$4.83M
1974
HGHamilton Insurance Group, Ltd. Class B Common Shares
$31.55
-0.31
-0.97%
$2.10B
242.006K
$7.64M
1975
BLBDBlue Bird Corporation Common Stock
$66.30
+1.35
+2.08%
$2.10B
275.026K
$18.23M
1976
HCMHUTCHMED (China) Limited American Depositary Shares
$12.02
-0.08
-0.66%
$2.10B
45.624K
$548.40K
1977
BRSLBrightstar Lottery
$11.20
+0.11
+0.99%
$2.09B
1.795M
$20.11M
1978
MLCOMelco Resorts & Entertainment Limited American Depositary Shares
$5.39
+0.03
+0.60%
$2.09B
3.112M
$16.77M
1979
GRFSGrifois, S.A.
$8.00
-0.04
-0.50%
$2.09B
354.5K
$2.84M
1980
ATENA10 NETWORKS INC
$29.00
+0.40
+1.40%
$2.09B
671.284K
$19.47M
1981
KVYOKlaviyo, Inc.
$14.80
-0.36
-2.36%
$2.09B
6.003M
$88.85M
1982
NVCRNovoCure Limited Ordinary Shares
$17.96
+0.06
+0.34%
$2.08B
586.012K
$10.52M
1983
PHVSPharvaris N.V. Ordinary Shares
$29.68
-0.89
-2.91%
$2.07B
252.439K
$7.49M
1984
MCRIMonarch Casino & Resort Inc
$116.81
+0.26
+0.22%
$2.07B
68.922K
$8.05M
1985
INVXInnovex International, Inc.
$30.07
-0.67
-2.18%
$2.07B
317.56K
$9.55M
1986
PBIPitney Bowes Inc.
$15.25
-0.23
-1.49%
$2.07B
1.66M
$25.32M
1987
STCStewart Information Services Corporation
$67.69
-0.42
-0.62%
$2.06B
72.139K
$4.88M
1988
ARRARMOUR Residential REIT, Inc.
$16.59
-0.13
-0.78%
$2.06B
1.971M
$32.69M
1989
PSNYGores Guggenheim, Inc. Class A Common Stock
$22.41
+1.91
+9.29%
$2.05B
95.523K
$2.14M
1990
VRRMVerra Mobility Corporation Class A Common Stock
$13.49
+0.12
+0.90%
$2.05B
1.411M
$19.03M
1991
CTOSCustom Truck One Source, Inc.
$9.01
-0.43
-4.56%
$2.05B
552.785K
$4.98M
1992
SEMSELECT MEDICAL HOLDINGS CORP
$16.52
-0.02
-0.12%
$2.05B
2.563M
$42.34M
1993
NWBINorthwest Bancshares, Inc
$13.98
+0.00
+0.00%
$2.05B
516.017K
$7.21M
1994
BHCBausch Health Companies Inc.
$5.47
-0.16
-2.90%
$2.04B
1.454M
$7.95M
1995
XRAYDENTSPLY SIRONA Inc.
$10.20
+0.23
+2.31%
$2.04B
4.103M
$41.85M
1996
WSWorthington Steel, Inc.
$40.09
+1.09
+2.79%
$2.04B
190.634K
$7.64M
1997
PCTPureCycle Technologies, Inc. Common stock
$11.24
-0.06
-0.53%
$2.03B
3.505M
$39.39M
1998
FUNCedar Fair, L.P.
$19.83
-0.09
-0.45%
$2.03B
1.068M
$21.18M
1999
OMCLOmnicell Inc
$44.41
+0.40
+0.91%
$2.02B
182.789K
$8.12M
2000
TGSTransportadora de Gas del Sur S.A. ADS
$29.05
-0.60
-2.01%
$2.02B
248.78K
$7.23M