Stock Rankings by Market Cap - Rankings 3001 to 3100
Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 3001 to 3100.
3001
KFS Kingsway Financial Services, Inc. $16.49
$468.81M
93.942K
$1.55M
3002
TALK Talkspace, Inc. Common Stock $2.80
$468.48M
1.113M
$3.12M
3003
ANSC Agriculture & Natural Solutions Acquisition Corporation Class A Ordinary Shares $10.85
$467.91M
500
$5.43K
3004
$44.61
$467.23M
11.851K
$528.67K
3005
$6.31
$467.02M
6.682K
$42.16K
3006
$32.38
$466.28M
22.171K
$717.90K
3007
CAPR Capricor Therapeutics Inc $10.19
$465.76M
731.219K
$7.45M
3008
BVS Bioventus Inc. Class A Common Stock $7.02
$465.50M
139.861K
$981.12K
3009
$15.62
$465.03M
1.57M
$24.53M
3010
BWB Bridgewater Bancshares, Inc. Common Stock $16.94
$464.83M
43.77K
$741.46K
3011
CNDT Conduent Incorporated Common Stock $2.87
$464.73M
220.874K
$634.28K
3012
NWTN NWTN Inc. Class B Ordinary Shares $1.59
$464.60M
54.458K
$86.59K
3013
LAES SEALSQ Corp Ordinary Shares $3.99
$462.87M
6.331M
$25.26M
3014
ATYR aTyr Pharma, Inc. Common Stock $5.19
$461.93M
2.314M
$12.01M
3015
$28.02
$461.74M
22.184K
$621.60K
3016
FFWM First Foundation Inc. $5.60
$461.36M
818.658K
$4.58M
3017
$112.73
$461.01M
20.737K
$2.34M
3018
SBC SBC Medical Group Holdings Incorporated Common Stock $4.45
$460.55M
75.903K
$337.39K
3019
GTEN Gores Holdings X, Inc. Class A ordinary shares $10.21
$460.22M
14.803K
$151.14K
3020
CGEM Cullinan Therapeutics, Inc. Common Stock $7.80
$460.02M
104.212K
$812.33K
3021
PSBD Palmer Square Capital BDC Inc. $14.19
$459.38M
19.03K
$270.04K
3022
TTI TETRA Technologies, Inc. $3.45
$459.05M
966.422K
$3.33M
3023
AAM AA Mission Acquisition Corp. $10.43
$458.65M
24.6K
$256.58K
3024
$7.01
$458.44M
1.221M
$8.56M
3025
MREO Mereo BioPharma Group plc American Depositary Shares $2.88
$457.92M
790.142K
$2.28M
3026
CHW Calamos Global Dynamic Income Fund $7.17
$457.59M
57.83K
$414.35K
3027
DDL Dingdong (Cayman) Limited American Depositary Shares (each two representing three Ordinary Shares) $2.11
$457.38M
101.67K
$214.52K
3028
$65.70
$456.54M
1.104K
$72.53K
3029
MTW The Manitowoc Company, Inc. $12.88
$456.51M
128.391K
$1.65M
3030
CCSI Consensus Cloud Solutions, Inc. Common Stock $23.33
$455.89M
41.179K
$960.71K
3031
BRDG Bridge Investment Group Holdings Inc. $10.21
$455.72M
138.053K
$1.41M
3032
PNNT Pennant Investment Corp $6.98
$455.44M
201.94K
$1.41M
3033
FITBI Fifth Third Bancorp Depositary Shares $25.29
$455.22M
16.341K
$413.26K
3034
FBIZ First Business Financial Services, Inc. $54.71
$455.08M
50.554K
$2.77M
3035
BOC Boston Omaha Corporation $14.45
$454.50M
133.962K
$1.94M
3036
METCB Ramaco Resources, Inc. Class B Common Stock $8.28
$452.95M
74.006K
$612.77K
3037
$30.21
$452.67M
60.442K
$1.83M
3038
NCMI National CineMedia, Inc. $4.79
$451.72M
349.405K
$1.67M
3039
$7.86
$451.70M
20.283K
$159.32K
3040
QSG QuantaSing Group Limited American Depositary Shares $8.81
$450.31M
795.637K
$7.01M
3041
KRNY Kearny Financial Corporation $6.95
$448.83M
119.939K
$833.58K
3042
$9.84
$448.35M
203.091K
$2.00M
3043
TRML Tourmaline Bio, Inc. Common Stock $17.36
$445.95M
39.173K
$680.04K
3044
OPEN Opendoor Technologies Inc Common Stock $0.6099
$444.70M
51.015M
$31.11M
3045
$32.12
$443.86M
10.206K
$327.82K
3046
SLDP Solid Power, Inc. Class A Common Stock $2.47
$443.02M
7.122M
$17.59M
3047
FTK Flotek Industries, Inc. $14.84
$443.00M
236.528K
$3.51M
3048
$12.70
$442.29M
322.002K
$4.09M
3049
NUS NuSkin Enterprises, Inc. $8.95
$442.25M
303.489K
$2.72M
3050
CMTG Claros Mortgage Trust, Inc. $3.16
$441.04M
315.738K
$996.15K
3051
$8.74
$440.40M
362.744K
$3.17M
3052
SVC Service Properties Trust Common Stock $2.64
$439.92M
448.769K
$1.18M
3053
RAPP Rapport Therapeutics, Inc. Common Stock $12.02
$438.70M
42.503K
$510.89K
3054
$56.07
$437.38M
12.867K
$721.39K
3055
$12.39
$436.17M
63.447K
$786.11K
3056
OFIX Orthofix Medical Inc. Common Stock (DE) $11.12
$435.69M
130.124K
$1.45M
3057
RPAY Repay Holdings Corporation Class A Common Stock $4.88
$435.40M
576.742K
$2.81M
3058
DH Definitive Healthcare Corp. Class A Common Stock $4.05
$434.20M
192.694K
$779.45K
3059
PAYS Paysign, Inc. Common Stock $8.00
$433.74M
603.643K
$4.83M
3060
PRTC PureTech Health plc American Depositary Shares $18.01
$432.70M
500
$9.01K
3061
GAMB Gambling.com Group Limited Ordinary Shares $12.12
$431.51M
125.858K
$1.53M
3062
$2.17
$431.30M
1.303M
$2.83M
3063
FFIC Flushing Financial Corp $12.73
$429.98M
248.476K
$3.16M
3064
$7.45
$429.71M
1.874M
$13.96M
3065
GRRR Gorilla Technology Group Inc. Ordinary shares $21.23
$429.26M
1.68M
$35.66M
3066
SRDX Surmodics, Inc. Common Stock $29.99
$428.83M
128.736K
$3.86M
3067
NEON Neonode Inc. Common Stock $25.55
$428.80M
282.938K
$7.23M
3068
RRBI Red River Bancshares, Inc. Common Stock $63.99
$427.66M
2.157K
$138.03K
3069
PRME Prime Medicine, Inc. Common Stock $3.25
$426.71M
3.641M
$11.83M
3070
DHIL Diamond Hill Investment Group $155.23
$423.42M
28.731K
$4.46M
3071
GCBC Greene County Bancorp Inc $24.86
$423.29M
20.675K
$513.98K
3072
$42.79
$422.68M
22.042K
$943.18K
3073
CARE Carter Bankshares, Inc. Common Stock $18.25
$422.54M
57.244K
$1.04M
3074
NETD Nabors Energy Transition Corp. II Class A Ordinary Shares $11.08
$422.43M
1.302M
$14.43M
3075
CMCL Caledonia Mining Corporation Plc $21.87
$421.95M
84.503K
$1.85M
3076
CPS Cooper-Standard Automotive Inc. $24.03
$421.68M
114.73K
$2.76M
3077
GCL GCL Global Holdings Ltd Ordinary Shares $3.33
$420.63M
68.43K
$227.94K
3078
CCRN Cross Country Healthcare Inc $12.95
$420.55M
129.066K
$1.67M
3079
ZBIO Zenas BioPharma, Inc. Common Stock $10.03
$419.60M
129.623K
$1.30M
3080
BSVN Bank7 Corp. Common stock $44.39
$419.45M
2.76K
$122.52K
3081
IVA Inventiva S.A. American Depository Shares $3.01
$418.64M
6.9K
$20.77K
3082
RZLT Rezolute, Inc. Common Stock (NV) $4.82
$418.45M
577.327K
$2.78M
3083
MBAV M3-Brigade Acquisition V Corp. Class A Ordinary shares $11.64
$418.31M
132.148K
$1.54M
3084
ASC ARDMORE SHIPPING CORPORATION $10.29
$418.02M
252.235K
$2.60M
3085
MBX MBX Biosciences, Inc. Common Stock $12.47
$416.80M
68.151K
$849.84K
3086
$220.86
$416.60M
77.334K
$17.08M
3087
BMRC Bank of Marin Bancorp $25.68
$416.43M
108.82K
$2.79M
3088
SDHY PGIM Short Duration High Yield Opportunities Fund $16.86
$415.86M
27.899K
$470.24K
3089
SOHU Sohu.com Limited American Depositary Shares $13.82
$415.35M
59.355K
$819.99K
3090
DIN Dine Brands Global, Inc. $26.55
$414.86M
134.582K
$3.57M
3091
BPYPM Brookfield Property Partners L.P. 6.25% Class A Cumulative Redeemable Preferred Units, Series 1 $15.59
$414.25M
5.323K
$82.99K
3092
$7.58
$414.12M
166.991K
$1.27M
3093
ALTI AlTi Global, Inc. Class A Common Stock $4.14
$413.48M
120.846K
$500.30K
3094
$5.86
$413.24M
246.331K
$1.44M
3095
$2.38
$411.08M
437.735K
$1.04M
3096
BIGC BigCommerce Holdings, Inc. Series 1 Common Stock $5.13
$410.90M
375.332K
$1.93M
3097
GILT Gilat Satellite Networks Ltd $7.20
$410.87M
192.216K
$1.38M
3098
SCM STELLUS CAPITAL INVESTMENT CORPORATION $14.43
$410.05M
84.133K
$1.21M
3099
$16.37
$409.96M
38.402K
$628.64K
3100
$3.66
$409.29M
219.788K
$803.98K