Stock Rankings by Market Cap - Rankings 201 to 300
Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 201 to 300.
201
$145.20
$64.64B
1.908K
$277.04K
202
PYPL PayPal Holdings, Inc. Common Stock $67.50
$64.49B
167.69K
$11.32M
203
$300.40
$64.27B
400
$120.16K
204
$284.10
$63.97B
1.89K
$536.95K
205
AEM Agnico Eagle Mines Ltd. $127.00
$63.94B
14.72K
$1.87M
206
APD Air Products & Chemicals, Inc. $285.46
$63.53B
836
$238.64K
207
CRH CRH Public Limited Company $94.12
$63.30B
9.097K
$856.21K
208
DB Deutsche Bank Aktiengesellschaft $32.75
$63.08B
23.018K
$753.84K
209
REGN Regeneron Pharmaceuticals Inc $576.00
$62.19B
25.188K
$14.51M
210
$27.84
$61.86B
5.161K
$143.68K
211
ET Energy Transfer LP Common Units representing limited partner interests $18.00
$61.77B
69.414K
$1.25M
212
NSC Norfolk Southern Corp. $275.00
$61.70B
101
$27.78K
213
LYG Lloyds Banking Group PLC $4.13
$61.68B
35.986K
$148.62K
214
AEP American Electric Power Company, Inc. $113.14
$60.48B
688
$77.84K
215
$203.03
$59.99B
220
$44.67K
216
DLR Digital Realty Trust, Inc. $175.05
$59.58B
287
$50.24K
217
$399.57
$59.22B
135
$53.94K
218
AXON Axon Enterprise, Inc. Common Stock $748.00
$58.23B
224
$167.55K
219
$12.07
$58.23B
195.213K
$2.36M
220
CNI Canadian National Railway $92.95
$58.02B
1.231K
$114.42K
221
MNST Monster Beverage Corporation $58.98
$57.52B
5.681K
$335.07K
222
CARR Carrier Global Corporation $67.56
$57.50B
1.116K
$75.40K
223
CMG Chipotle Mexican Grill, Inc. $42.40
$56.85B
63.254K
$2.68M
224
TFC Truist Financial Corporation $43.23
$55.74B
1.467K
$63.42K
225
NWG NatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) $13.76
$55.63B
19.549K
$268.99K
226
$39.60
$55.44B
78.679K
$3.12M
227
NDAQ Nasdaq, Inc. Common Stock $95.70
$54.91B
4.95K
$473.72K
228
$98.36
$54.65B
22.816K
$2.24M
229
$62.67
$53.61B
7.066K
$442.83K
230
$52.48
$53.57B
241
$12.65K
231
$99.06
$53.56B
332
$32.89K
232
$81.64
$53.24B
542
$44.25K
233
NXPI NXP Semiconductors N.V. $211.00
$53.20B
1.305K
$275.36K
234
SPG Simon Property Group, Inc. $162.00
$52.88B
131
$21.22K
235
VRT Vertiv Holdings Co Class A Common Stock $138.50
$52.88B
162.296K
$22.48M
236
CRWV CoreWeave, Inc. Class A Common Stock $109.10
$52.53B
346.834K
$37.84M
237
FLUT Flutter Entertainment plc $298.20
$52.51B
2.319K
$691.53K
238
$221.49
$52.25B
2.142K
$474.43K
239
$45.50
$52.22B
13.239K
$602.37K
240
$28.67
$52.05B
31.054K
$890.32K
241
$233.98
$51.89B
3.297K
$771.43K
242
$383.50
$51.78B
18.417K
$7.06M
243
MPC MARATHON PETROLEUM CORPORATION $168.00
$51.61B
2.768K
$465.02K
244
$142.99
$51.51B
5.922K
$846.79K
245
$34.06
$51.48B
939
$31.98K
246
$97.93
$51.41B
1.681K
$164.62K
247
O Realty Income Corporation $56.20
$50.75B
62.849K
$3.53M
248
$81.01
$50.60B
226
$18.31K
249
$75.23
$50.50B
293
$22.04K
250
$52.69
$50.16B
5.051K
$266.14K
251
$33.60
$50.12B
8.798K
$295.61K
252
TEAM Atlassian Corporation Class A Common Stock $190.00
$49.88B
2.519K
$478.61K
253
D Dominion Energy, Inc Common Stock $58.30
$49.72B
12.838K
$748.46K
254
$122.87
$49.65B
203
$24.94K
255
$39.38
$48.34B
1.03K
$40.56K
256
DDOG Datadog, Inc. Class A Common Stock $138.00
$47.66B
33.616K
$4.64M
257
$70.36
$46.52B
2.287K
$160.91K
258
$75.12
$46.20B
98.167K
$7.37M
259
$282.00
$46.08B
792
$223.34K
260
$45.20
$45.63B
4.485K
$202.72K
261
$99.71
$45.30B
17.531K
$1.75M
262
$31.20
$44.97B
190.303K
$5.94M
263
CCEP Coca-Cola Europacific Partners plc Ordinary Shares $98.12
$44.75B
12.82K
$1.26M
264
$32.84
$44.61B
8.414K
$276.32K
265
$925.00
$44.44B
2.99K
$2.77M
266
TAK Takeda Pharmaceutical Company Limited American Depositary Shares (each representing 1/2 of a share of Common Stock) $14.03
$44.31B
43.034K
$603.77K
267
PEG Public Service Enterprise Group Incorporated $88.65
$44.24B
282
$25.00K
268
$219.88
$44.13B
1.558K
$342.57K
269
$44.75
$44.12B
2.417K
$108.16K
270
ZS Zscaler, Inc. Common Stock $283.03
$44.07B
2.109K
$596.91K
271
$131.55
$43.65B
93.004K
$12.23M
272
$45.13
$43.64B
6.965K
$314.33K
273
$10.93
$43.46B
265.674K
$2.90M
274
HLN Haleon plc American Depositary Shares (Each representing two Ordinary Shares) $9.66
$43.39B
10.278K
$99.29K
275
FANG Diamondback Energy, Inc. $148.30
$43.33B
118
$17.50K
276
HMC Honda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock $31.71
$43.24B
522
$16.55K
277
IDXX Idexx Laboratories Inc $534.31
$42.97B
495
$264.48K
278
OXY Occidental Petroleum Corporation $43.61
$42.92B
47.57K
$2.07M
279
$143.70
$42.84B
13.509K
$1.94M
280
WPM Wheaton Precious Metals Corp. Common Stock $93.57
$42.46B
8.203K
$767.52K
281
VLO Valero Energy Corporation $136.48
$42.40B
395
$53.91K
282
$73.40
$42.33B
6.382K
$468.44K
283
$90.81
$41.85B
11.28K
$1.02M
284
FIS Fidelity National Information Services, Inc. $78.76
$41.38B
292
$23.00K
285
$21.50
$41.28B
26.49K
$569.54K
286
TTWO Take-Two Interactive Software Inc $223.11
$41.16B
1.682K
$375.27K
287
$9.64
$41.15B
349.548K
$3.37M
288
$83.90
$41.02B
64.569K
$5.42M
289
TCOM Trip.com Group Limited American Depositary Shares $61.45
$40.16B
1.682K
$103.36K
290
$143.88
$39.99B
366
$52.66K
291
ARES Ares Management Corporation Class A Common Stock $182.99
$39.98B
102
$18.66K
292
$94.29
$39.95B
1.141K
$107.58K
293
$271.79
$39.85B
985
$267.71K
294
CRCL Circle Internet Group, Inc. $175.01
$39.84B
351.269K
$61.48M
295
$29.19
$39.58B
201.084K
$5.87M
296
ROK Rockwell Automation, Inc. $348.00
$39.23B
112
$38.98K
297
$153.08
$38.46B
755
$115.58K
298
$79.12
$37.78B
107
$8.47K
299
$185.97
$37.68B
562
$104.52K
300
ED Consolidated Edison, Inc. $103.50
$37.29B
100
$10.35K