Stock Rankings by Market Cap - Rankings 2001 to 2100
Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 2001 to 2100.
2001
$8.37
$249.19M
126
$1.05K
2002
CMPX Compass Therapeutics, Inc. Common Stock $1.80
$248.91M
493
$887.40
2003
UROY Uranium Royalty Corp. Common Stock $1.86
$248.70M
2.649K
$4.93K
2004
EMX EMX Royalty Corporation $2.27
$247.42M
500
$1.14K
2005
SNFCA Security National Financial Co $10.01
$247.14M
203
$2.03K
2006
SEG Seaport Entertainment Group Inc. $19.46
$247.04M
302
$5.88K
2007
TOI The Oncology Institute, Inc. Common Stock $2.81
$246.60M
1.633K
$4.59K
2008
JMSB John Marshall Bancorp, Inc. Common Stock $17.20
$245.55M
511
$8.79K
2009
ODV Osisko Development Corp. $1.79
$244.53M
1.691K
$3.03K
2010
MAMA Mama's Creations, Inc. Common Stock $6.50
$244.37M
309
$2.01K
2011
JILL J.Jill, Inc. Common Stock $15.80
$241.47M
421
$6.65K
2012
KGEI Kolibri Global Energy Inc. Common Stock $6.80
$241.32M
101
$686.80
2013
QTRX Quanterix Corporation Common Stock $6.22
$241.27M
850
$5.29K
2014
EGHT 8x8, Inc. Common Stock $1.83
$241.00M
100
$183.00
2015
KINS Kingstone Companies, Inc. $17.44
$239.47M
1.497K
$26.11K
2016
AARD Aardvark Therapeutics, Inc. Common Stock $11.01
$238.87M
513
$5.65K
2017
$2.91
$238.23M
100
$291.00
2018
$7.35
$238.11M
5.783K
$42.51K
2019
FULC Fulcrum Therapeutics, Inc. Common Stock $4.40
$237.51M
650
$2.86K
2020
DBVT DBV Technologies S.A. $8.68
$237.28M
1K
$8.68K
2021
POWW AMMO, Inc. Common Stock $1.99
$236.33M
1.6K
$3.18K
2022
CADL Candel Therapeutics, Inc. Common Stock $5.00
$236.16M
856
$4.28K
2023
$9.70
$235.00M
9.818K
$95.23K
2024
PLX Protalix BioTherapeutics, Inc. Common Stock $3.00
$234.10M
1.644K
$4.93K
2025
RR Richtech Robotics Inc. Class B Common Stock $2.03
$233.05M
63.227K
$128.35K
2026
DCGO DocGo Inc. Common Stock $2.35
$232.53M
155
$363.68
2027
$11.80
$230.90M
659
$7.78K
2028
TSAT Telesat Corporation Class A Common Shares and Class B Variable Voting Shares $16.25
$230.63M
576
$9.36K
2029
OCFT OneConnect Financial Technology Co., Ltd. American Depositary Shares, each representing thirty (30) Ordinary Shares $5.91
$230.49M
880
$5.20K
2030
PHAT Phathom Pharmaceuticals, Inc. Common Stock $3.30
$230.03M
7.548K
$24.93K
2031
NATR Nature's Sunshine Products Inc. $12.40
$229.20M
226
$2.80K
2032
$1.14
$228.69M
6.752K
$7.70K
2033
TTSH Tile Shop Holdings, Inc. $5.10
$228.12M
201
$1.03K
2034
$11.00
$227.80M
401
$4.41K
2035
$1.13
$227.73M
101
$114.36
2036
NGNE Neurogene, Inc. Common Stock $15.96
$227.62M
106
$1.69K
2037
GOSS Gossamer Bio, Inc. Common Stock $1.00
$227.24M
9.042K
$9.04K
2038
BLDE Blade Air Mobility, Inc. Class A Common Stock $2.84
$227.07M
709
$2.01K
2039
PRME Prime Medicine, Inc. Common Stock $1.73
$226.91M
984
$1.70K
2040
LSEA Landsea Homes Corporation Common Stock $6.20
$225.74M
1K
$6.20K
2041
NYXH Nyxoah SA Ordinary Shares $6.02
$225.31M
2.628K
$15.82K
2042
ACRE Ares Commercial Real Estate Corporation $4.08
$223.82M
1.2K
$4.90K
2043
KNOP KNOT OFFSHORE PARTNERS LP $6.40
$223.60M
202
$1.29K
2044
PDYN Palladyne AI Corp. Common Stock $6.26
$223.57M
10.786K
$67.52K
2045
HUMA Humacyte, Inc. Common Stock $1.44
$223.37M
3.556K
$5.12K
2046
ARQQ Arqit Quantum Inc. Ordinary Shares $17.40
$221.79M
8.82K
$153.47K
2047
FNKO Funko, Inc. Class A Common Stock $4.11
$221.48M
450
$1.85K
2048
FTK Flotek Industries, Inc. $7.40
$220.72M
300
$2.22K
2049
CGC Canopy Growth Corporation Common Shares $1.41
$220.21M
24.666K
$34.77K
2050
PWOD Penns Woods Bancorp Inc $29.10
$219.84M
626
$18.22K
2051
IDR Idaho Strategic Resources, Inc. $16.04
$219.19M
300
$4.81K
2052
OCGN Ocugen, Inc. Common Stock $0.7444
$217.38M
4.477K
$3.33K
2053
$12.40
$217.25M
824
$10.22K
2054
HBB Hamilton Beach Brands Holding Company Class A Common Stock $15.69
$216.24M
786
$12.33K
2055
QSI Quantum-Si Incorporated Class A Common Stock $1.17
$214.28M
80.236K
$93.88K
2056
ALMS Alumis Inc. Common Stock $3.94
$214.28M
583
$2.30K
2057
FRST Primis Financial Corp. Common Stock $8.62
$213.11M
511
$4.40K
2058
$11.25
$212.86M
600
$6.75K
2059
AZUL Azul S.A. American Depositary Shares (each representing three preferred shares) $0.6901
$212.59M
25.264K
$17.43K
2060
ANNX Annexon, Inc. Common Stock $1.90
$208.46M
442
$839.80
2061
TLS Telos Corporation Common Stock $2.76
$206.64M
100
$276.00
2062
$3.87
$205.67M
3.729K
$14.43K
2063
$18.40
$205.09M
207
$3.81K
2064
CIO CITY OFFICE REIT, INC. $5.08
$205.02M
906
$4.60K
2065
FLWS 1-800-FLOWERS.COM Inc $5.61
$204.93M
250
$1.40K
2066
IPHA Innate Pharma S.A. ADS $2.22
$204.59M
471
$1.05K
2067
SLDP Solid Power, Inc. Class A Common Stock $1.12
$204.13M
3.576K
$4.01K
2068
DVS Dolly Varden Silver Corporation $2.55
$202.77M
632
$1.61K
2069
$9.66
$201.75M
7.973K
$77.02K
2070
BDMD Baird Medical Investment Holdings Ltd Ordinary Share $5.49
$199.63M
14.068K
$77.23K
2071
$1.14
$199.40M
750
$855.00
2072
$2.32
$198.69M
856
$1.99K
2073
BRY Berry Corporation (bry) Common Stock $2.56
$198.65M
12.43K
$31.82K
2074
$1.27
$198.12M
1.401K
$1.78K
2075
SLN Silence Therapeutics Plc American Depository Share $4.19
$197.87M
700
$2.93K
2076
PROP Prairie Operating Co. Common Stock $4.60
$197.53M
10.928K
$50.27K
2077
TSSI TSS, Inc. Common Stock $7.89
$197.48M
18.138K
$143.11K
2078
TVRD Tvardi Therapeutics, Inc. Common Stock $21.10
$197.40M
201
$4.24K
2079
MASS 908 Devices Inc. Common Stock $5.52
$197.35M
100
$552.20
2080
BLFY Blue Foundry Bancorp Common Stock $8.90
$196.66M
210
$1.87K
2081
ILLR Triller Group Inc. Common Stock $1.29
$195.58M
3.943K
$5.09K
2082
PAL Proficient Auto Logistics, Inc. Common Stock $7.20
$194.90M
202
$1.45K
2083
FSFG First Savings Financial Group, Inc $28.00
$193.74M
150
$4.20K
2084
HITI High Tide Inc. Common Shares $2.38
$192.63M
302
$718.76
2085
BYND Beyond Meat, Inc. Common Stock $2.52
$192.48M
6.373K
$16.06K
2086
CVRX CVRx, Inc. Common Stock $7.39
$192.41M
854
$6.31K
2087
$3.72
$191.49M
200
$744.00
2088
MITT AG MORTGAGE INVESTMENT TRUST, INC. $6.44
$191.00M
207
$1.33K
2089
CURI CuriosityStream Inc. Class A Common Stock $3.35
$190.72M
200
$670.00
2090
ISTR Investar Holding Corporation $19.40
$190.69M
101
$1.96K
2091
NVX NOVONIX Limited American Depository Shares $1.19
$189.22M
267
$317.73
2092
$1.59
$188.80M
2K
$3.18K
2093
ESPR Esperion Therapeutics, Inc. $0.9906
$187.68M
23.123K
$22.91K
2094
FLD FTAC Emerald Acquisition Corp. Class A Common Stock $4.00
$187.56M
1.323K
$5.29K
2095
LRMR Larimar Therapeutics, Inc. Common Stock $2.93
$187.54M
5.147K
$15.08K
2096
KIDZ Classover Holdings, Inc. Class B Common Stock $8.38
$186.61M
17.663M
$148.02M
2097
ZTEK Zentek Ltd. Common Stock $1.78
$185.67M
123
$218.94
2098
CATX Perspective Therapeutics, Inc. $2.50
$185.13M
1.848K
$4.62K
2099
INSE Inspired Entertainment, Inc. $6.80
$182.95M
202
$1.37K
2100
SNBR Sleep Number Corporation Common Stock $8.06
$182.64M
1.225K
$9.87K