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
$205.08
$82.05B
2.133M
$437.45M
202
$375.84
$81.51B
976.064K
$366.84M
203
AMT American Tower Corporation $174.02
$81.07B
4.162M
$724.36M
204
DASH DoorDash, Inc. Class A Common Stock $196.00
$80.62B
3.112M
$609.98M
205
$250.80
$80.45B
1.581M
$396.42M
206
MDLZ Mondelez International, Inc. Class A $62.65
$80.42B
7.728M
$484.13M
207
$67.84
$80.10B
2.951M
$200.22M
208
$79.97
$79.58B
795.13K
$63.59M
209
$149.37
$79.56B
2.516M
$375.82M
210
BAM Brookfield Asset Management Ltd. $48.48
$79.42B
2.584M
$125.29M
211
CP Canadian Pacific Kansas City Limited $88.89
$78.67B
2.469M
$219.49M
212
REGN Regeneron Pharmaceuticals Inc $763.20
$78.63B
1.152M
$878.95M
213
TRV The Travelers Companies, Inc. $374.30
$78.07B
1.832M
$685.86M
214
ASX ASE Technology Holding Co., Ltd. $34.90
$78.01B
8.759M
$305.67M
215
$88.69
$77.82B
6.654M
$590.17M
216
UPS United Parcel Service, Inc. Class B $104.17
$77.77B
5.461M
$568.86M
217
$276.00
$77.68B
1.55M
$427.76M
218
NOC Northrop Grumman Corp. $543.00
$77.12B
786.668K
$427.16M
219
$360.55
$77.01B
1.313M
$473.56M
220
HON Honeywell International, Inc. $242.63
$76.90B
3.037M
$736.89M
221
CNI Canadian National Railway $126.00
$76.36B
1.418M
$178.67M
222
AMX America Movil S.A.B de C.V American Depositary Shares (each representing the right to receive twenty (20) Series B Shares) $25.35
$76.09B
1.023M
$25.92M
223
NSC Norfolk Southern Corp. $335.14
$75.28B
1.455M
$487.73M
224
$49.87
$74.56B
12.28M
$612.40M
225
SPG Simon Property Group, Inc. $229.83
$74.53B
1.264M
$290.49M
226
$280.50
$74.20B
2.171M
$608.89M
227
$387.20
$74.14B
2.236M
$865.78M
228
NWG NatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) $18.60
$74.06B
5.704M
$106.10M
229
ORLY O'Reilly Automotive, Inc. $89.02
$73.77B
5.806M
$516.82M
230
MFC Manulife Financial Corp. $44.25
$73.54B
1.315M
$58.17M
231
AEM Agnico Eagle Mines Ltd. $144.60
$73.39B
2.612M
$377.73M
232
CL Colgate-Palmolive Company $91.30
$73.06B
6.394M
$583.81M
233
HLT Hilton Worldwide Holdings Inc. $320.49
$72.96B
2.269M
$727.05M
234
PBR PETROLEO BRASILEIRO S.A.-PETROBRAS ADS (REP 1 COMMON SHARE) $19.60
$72.93B
11.614M
$227.63M
235
$307.10
$72.66B
1.286M
$395.05M
236
APO Apollo Global Management, Inc. $125.59
$72.40B
4.336M
$544.57M
237
MSI Motorola Solutions, Inc. New $435.75
$72.33B
699.064K
$304.62M
238
$32.26
$71.77B
9.315M
$300.50M
239
ET Energy Transfer LP Common Units representing limited partner interests $20.42
$70.27B
8.677M
$177.18M
240
$67.43
$70.26B
1.124M
$75.82M
241
TDG TransDigm Group Incorporated $1,254.38
$70.16B
392.651K
$492.53M
242
$132.73
$69.85B
3.009M
$399.32M
243
$393.50
$69.76B
805.909K
$317.13M
244
AEP American Electric Power Company, Inc. $128.16
$69.73B
5.715M
$732.49M
245
MPWR Monolithic Power Systems, Inc. $1,416.00
$69.57B
1.529M
$2.17B
246
BSX Boston Scientific Corp. $46.69
$69.40B
18.679M
$872.21M
247
DB Deutsche Bank Aktiengesellschaft $36.70
$68.96B
1.565M
$57.42M
248
HOOD Robinhood Markets, Inc. Class A Common Stock $86.25
$68.24B
22.915M
$1.98B
249
ALL The Allstate Corporation $264.08
$67.98B
1.211M
$319.93M
250
$1,085.98
$67.59B
366.711K
$398.24M
251
$15.08
$66.94B
28.296M
$426.68M
252
DLR Digital Realty Trust, Inc. $188.60
$66.28B
2.148M
$405.03M
253
WBD Warner Bros. Discovery, Inc. Series A Common Stock $26.37
$66.11B
36.912M
$973.38M
254
$144.71
$65.73B
3.177M
$459.68M
255
APD Air Products & Chemicals, Inc. $294.89
$65.67B
1.334M
$393.49M
256
HONA Honeywell Aerospace Inc. Common Stock $206.40
$65.39B
2.302M
$475.24M
257
$1,382.22
$65.26B
308.267K
$426.09M
258
$127.48
$64.89B
1.906M
$243.02M
259
RSG Republic Services Inc. $210.55
$64.78B
1.117M
$235.09M
260
TFC Truist Financial Corporation $51.84
$64.59B
6.438M
$333.73M
261
AJG Arthur J. Gallagher & Co. $249.42
$64.08B
1.712M
$427.08M
262
CRH CRH Public Limited Company $95.48
$63.80B
6.328M
$604.24M
263
ABNB Airbnb, Inc. Class A Common Stock $151.57
$63.35B
2.434M
$368.97M
264
HPE Hewlett Packard Enterprise Company $47.55
$62.97B
17.027M
$809.68M
265
$130.00
$62.87B
898.821K
$116.85M
266
$35.42
$62.09B
4.35M
$154.08M
267
$96.13
$61.85B
5.559M
$534.37M
268
$36.75
$61.13B
5.95M
$218.68M
269
D Dominion Energy, Inc Common Stock $69.41
$61.04B
3.295M
$228.71M
270
$311.34
$60.57B
904.838K
$281.71M
271
$61.00
$60.52B
5.68M
$346.47M
272
FIX Comfort Systems USA, Inc. $1,717.38
$60.44B
393.108K
$675.12M
273
SE Sea Limited American Depositary Shares, each representing one Class A Ordinary Share $106.20
$60.21B
2.785M
$295.75M
274
O Realty Income Corporation $63.92
$59.60B
5.071M
$324.12M
275
$205.69
$59.55B
2.252M
$463.31M
276
$58.42
$59.28B
1.195M
$69.82M
277
$90.32
$59.04B
2.729M
$246.46M
278
$258.91
$58.96B
1.424M
$368.64M
279
FANG Diamondback Energy, Inc. $207.00
$58.23B
1.578M
$326.61M
280
TRGP Targa Resources Corp. $270.37
$58.03B
883.806K
$238.95M
281
TER Teradyne, Inc. Common Stock $368.09
$57.62B
3.749M
$1.38B
282
NXPI NXP Semiconductors N.V. $228.07
$57.58B
6.28M
$1.43B
283
$91.35
$57.56B
4.738M
$432.85M
284
BE Bloom Energy Corporation $201.50
$57.32B
21.941M
$4.42B
285
$14.64
$57.30B
54.385M
$796.28M
286
OXY Occidental Petroleum Corporation $57.59
$57.28B
6.717M
$386.86M
287
$86.82
$57.09B
4.458M
$387.03M
288
$323.36
$56.76B
1.326M
$428.86M
289
$30.49
$56.73B
5.368M
$163.68M
290
$293.78
$56.66B
1.134M
$333.03M
291
$265.39
$55.61B
1.262M
$335.01M
292
$241.71
$55.40B
1.028M
$248.40M
293
TAK Takeda Pharmaceutical Company Limited American Depositary Shares (each representing 1/2 of a share of Common Stock) $17.14
$54.92B
4.104M
$70.35M
294
LITE Lumentum Holdings Inc. Common Stock $705.76
$54.91B
4.644M
$3.28B
295
KEYS Keysight Technologies, Inc. $319.08
$54.53B
1.119M
$357.07M
296
$47.52
$54.53B
9.251M
$439.63M
297
$14.30
$54.45B
47.551M
$679.99M
298
$70.14
$54.36B
1.337M
$93.77M
299
$229.61
$53.78B
1.686M
$387.15M
300
ROK Rockwell Automation, Inc. $480.08
$53.42B
920.086K
$441.71M