Stock Rankings by Market Cap - Rankings 301 to 400

Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 301 to 400.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Market Cap
Volume (Day)
$ Volume (Day)
301
ROPRoper Technologies, Inc. Common Stock
$444.45
-5.95
-1.32%
$47.38B
328.427K
$145.97M
302
TTWOTake-Two Interactive Software Inc
$255.95
-1.37
-0.53%
$47.29B
541.12K
$138.50M
303
AMEAmetek, Inc.
$205.31
-1.50
-0.73%
$47.26B
469.721K
$96.44M
304
TCOMTrip.com Group Limited American Depositary Shares
$71.91
+0.24
+0.33%
$47.00B
895.47K
$64.39M
305
FERFerrovial SE Ordinary Shares
$64.74
-0.18
-0.28%
$46.29B
609.709K
$39.47M
306
OKEOneok, Inc.
$73.50
-0.60
-0.81%
$46.25B
1.926M
$141.58M
307
AIGAmerican International Group, Inc.
$85.55
-0.52
-0.60%
$46.16B
1.166M
$99.74M
308
FASTFastenal Co
$40.14
-0.65
-1.59%
$46.08B
3.424M
$137.46M
309
PSAPublic Storage
$260.00
-1.37
-0.52%
$45.62B
553.798K
$143.99M
310
BSBRBANCO SANTANDER (BRASIL) SA
$6.11
-0.04
-0.57%
$45.61B
320.001K
$1.95M
311
AMPAmeriprise Financial, Inc.
$490.34
-3.63
-0.73%
$45.56B
254.944K
$125.01M
312
CTVACorteva, Inc. Common Stock
$67.03
-0.28
-0.42%
$45.29B
1.3M
$87.14M
313
DALDelta Air Lines, Inc.
$69.30
+0.04
+0.06%
$45.25B
2.282M
$158.11M
314
AXONAxon Enterprise, Inc. Common Stock
$567.90
-3.10
-0.54%
$45.11B
285.474K
$162.12M
315
HEIHEICO Corporation
$323.59
-5.21
-1.58%
$45.09B
263.794K
$85.36M
316
BIDUBaidu, Inc.
$130.98
-2.96
-2.21%
$45.03B
2.048M
$268.22M
317
HLNHaleon plc American Depositary Shares (Each representing two Ordinary Shares)
$10.11
+0.08
+0.80%
$45.02B
4.009M
$40.53M
318
BKRBaker Hughes Company
$45.53
-0.69
-1.49%
$44.93B
2.627M
$119.59M
319
WCNWaste Connections, Inc.
$175.36
-2.19
-1.23%
$44.90B
956.867K
$167.80M
320
FERGFerguson plc
$222.70
-2.99
-1.32%
$44.69B
524.379K
$116.78M
321
EXCExelon Corporation
$44.32
+0.40
+0.91%
$44.69B
1.986M
$88.02M
322
CARRCarrier Global Corporation
$52.76
-0.61
-1.13%
$44.44B
2.329M
$122.87M
323
TGTTarget Corporation
$97.72
+0.08
+0.08%
$44.25B
3.603M
$352.13M
324
LVSLas Vegas Sands Corp.
$65.34
+0.20
+0.31%
$44.18B
2.637M
$172.30M
325
MSTRMicroStrategy Inc
$151.92
-3.70
-2.38%
$43.96B
14.192M
$2.16B
326
ROKRockwell Automation, Inc.
$389.07
-4.03
-1.03%
$43.74B
381.925K
$148.60M
327
XELXcel Energy, Inc.
$73.86
-0.33
-0.44%
$43.69B
1.494M
$110.32M
328
RDDTReddit, Inc.
$229.94
-2.08
-0.90%
$43.57B
1.762M
$405.05M
329
MPWRMonolithic Power Systems, Inc.
$907.00
-14.01
-1.52%
$43.45B
174.264K
$158.06M
330
AUAngloGold Ashanti plc
$85.77
-0.38
-0.44%
$43.30B
816.168K
$70.00M
331
FANGDiamondback Energy, Inc.
$150.50
-1.01
-0.67%
$43.12B
815.589K
$122.75M
332
CPNGCoupang, Inc.
$23.51
-0.42
-1.76%
$42.94B
8.088M
$190.16M
333
IMOImperial Oil Limited
$86.31
-0.85
-0.98%
$42.88B
229.956K
$19.85M
334
TEAMAtlassian Corporation Class A Common Stock
$162.00
-1.00
-0.61%
$42.62B
1.108M
$179.58M
335
CCLCarnival Corporation
$30.58
-0.19
-0.60%
$42.27B
6.962M
$212.89M
336
MSCIMSCI, Inc.
$573.73
-7.52
-1.29%
$42.23B
229.607K
$131.73M
337
YUMYum! Brands, Inc.
$151.28
-0.47
-0.31%
$42.00B
707.424K
$107.02M
338
LNGCheniere Energy Inc
$194.42
+0.98
+0.51%
$41.85B
979.868K
$190.51M
339
DHID.R. Horton Inc.
$144.15
-0.60
-0.41%
$41.76B
990.387K
$142.76M
340
ETREntergy Corporation
$92.43
-0.93
-1.00%
$41.28B
932.475K
$86.19M
341
CCEPCoca-Cola Europacific Partners plc Ordinary Shares
$90.70
-1.23
-1.34%
$40.68B
623.207K
$56.52M
342
JDJD.com, Inc.
$28.65
-0.05
-0.17%
$40.66B
6.351M
$181.95M
343
OXYOccidental Petroleum Corporation
$41.10
-0.02
-0.05%
$40.49B
5.835M
$239.82M
344
CCJCameco Corporation
$92.84
+2.02
+2.22%
$40.42B
1.312M
$121.81M
345
PAYXPaychex Inc
$112.18
-0.82
-0.73%
$40.27B
1.104M
$123.89M
346
FICOFair Isaac Corporation
$1,690.50
-53.50
-3.07%
$40.18B
173.049K
$292.54M
347
PEGPublic Service Enterprise Group Incorporated
$80.30
-0.64
-0.79%
$40.08B
993.36K
$79.77M
348
CTSHCognizant Technology Solutions
$83.00
-1.22
-1.45%
$40.06B
1.622M
$134.63M
349
FNVFranco-Nevada Corporation
$207.27
+0.54
+0.26%
$39.96B
234.918K
$48.69M
350
CUKCarnival PLC
$30.26
-0.26
-0.85%
$39.72B
761.396K
$23.04M
351
TRGPTarga Resources Corp.
$184.50
-1.10
-0.59%
$39.60B
407.635K
$75.21M
352
EBAYeBay Inc
$87.53
+0.24
+0.27%
$39.56B
2.378M
$208.13M
353
KRThe Kroger Co.
$62.49
-0.02
-0.03%
$39.55B
2.784M
$174.00M
354
XYZBlock, Inc.
$65.04
-0.26
-0.40%
$39.52B
2.85M
$185.37M
355
PRUPrudential Financial, Inc.
$112.88
-0.88
-0.77%
$39.50B
593.1K
$66.95M
356
PUKPRUDENTIAL PLC ADS (REP 2 ORD SHARES)
$31.12
-0.09
-0.29%
$39.29B
367.062K
$11.42M
357
GFIGold Fields Ltd ADR
$43.65
-0.30
-0.68%
$39.07B
1.261M
$55.03M
358
GRMNGarmin Ltd
$202.85
-2.05
-1.00%
$39.02B
339.312K
$68.83M
359
CCICrown Castle Inc.
$88.95
+1.15
+1.31%
$38.74B
1.402M
$124.71M
360
ALCAlcon Inc. Ordinary Shares
$78.81
-0.34
-0.43%
$38.71B
692.492K
$54.58M
361
ABEVAMBEV S.A.
$2.48
+0.01
+0.28%
$38.68B
17.272M
$42.78M
362
AAgilent Technologies Inc.
$136.07
-1.54
-1.12%
$38.58B
555.253K
$75.55M
363
HIGThe Hartford Financial Services Group, Inc.
$137.80
-1.01
-0.73%
$38.43B
359.052K
$49.48M
364
IQVIQVIA Holdings Inc.
$225.41
-1.77
-0.78%
$38.39B
312.564K
$70.46M
365
HMCHonda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock
$29.49
-0.21
-0.71%
$38.26B
591.363K
$17.44M
366
KDPKeurig Dr Pepper Inc.
$28.07
-0.03
-0.11%
$38.14B
3.871M
$108.67M
367
CPRTCopart Inc
$39.22
-0.26
-0.66%
$37.97B
4.191M
$164.36M
368
RYAAYRyanair Holdings plc American Depositary Shares
$72.19
-0.61
-0.84%
$37.86B
306.442K
$22.12M
369
ELThe Estee Lauder Companies Inc. Class A
$104.72
-0.67
-0.64%
$37.74B
1.292M
$135.30M
370
VMCVulcan Materials Company(Holding Company)
$285.50
-2.51
-0.87%
$37.72B
442.702K
$126.39M
371
FLUTFlutter Entertainment plc
$215.04
-0.50
-0.23%
$37.68B
866.233K
$186.27M
372
MLMMartin Marietta Materials
$622.66
-8.43
-1.34%
$37.55B
184.709K
$115.01M
373
CRWVCoreWeave, Inc. Class A Common Stock
$71.80
-1.65
-2.25%
$37.43B
16.963M
$1.22B
374
RKLBRocket Lab USA, Inc. Common Stock
$69.98
-0.78
-1.10%
$37.38B
15.871M
$1.11B
375
NUENucor Corporation
$163.05
-1.91
-1.16%
$37.31B
699.133K
$113.99M
376
GEHCGE HealthCare Technologies Inc. Common Stock
$81.64
-1.36
-1.64%
$37.19B
937.725K
$76.56M
377
INSMInsmed, Inc.
$174.04
-0.14
-0.08%
$37.12B
1.414M
$246.08M
378
HSYThe Hershey Company
$181.98
-0.21
-0.12%
$36.90B
672.689K
$122.42M
379
VEEVVeeva Systems Inc.
$223.23
-0.19
-0.09%
$36.69B
554.728K
$123.83M
380
WABWabtec Inc.
$213.45
-3.37
-1.55%
$36.49B
340.071K
$72.59M
381
VTRVentas, Inc.
$77.38
-0.80
-1.02%
$36.35B
1.48M
$114.51M
382
UALUnited Airlines Holdings, Inc. Common Stock
$111.80
+0.26
+0.23%
$36.19B
1.635M
$182.74M
383
FISVFiserv, Inc. Common Stock
$67.10
-0.43
-0.64%
$36.09B
3.093M
$207.54M
384
STTState Street Corporation
$129.00
-1.51
-1.16%
$36.00B
1.041M
$134.35M
385
ZSZscaler, Inc. Common Stock
$225.11
-1.89
-0.83%
$35.90B
784.861K
$176.68M
386
EDConsolidated Edison, Inc.
$99.32
-0.52
-0.52%
$35.85B
614.757K
$61.06M
387
NOKNokia Corporation
$6.46
-0.11
-1.67%
$35.82B
9.978M
$64.46M
388
ARESAres Management Corporation Class A Common Stock
$162.46
-0.74
-0.45%
$35.80B
812.031K
$131.92M
389
TEVATeva Pharmaceutical Industries Limited American Depositary Shares
$31.19
-0.05
-0.18%
$35.78B
3.902M
$121.70M
390
ASXASE Technology Holding Co., Ltd.
$16.23
+0.09
+0.55%
$35.41B
4.242M
$68.85M
391
SYYSysco Corporation
$73.69
-0.42
-0.57%
$35.29B
1.027M
$75.70M
392
BBDBanco Bradesco S.A. American Depositary Shares (Each representing one Preferred Shares)
$3.33
-0.02
-0.60%
$35.22B
9.651M
$32.14M
393
MDLNMedline Inc. Class A common stock
$42.29
+0.58
+1.39%
$35.19B
3.391M
$143.39M
394
HEI.AHEICO CORP CL A
$252.43
-2.99
-1.17%
$35.18B
137.636K
$34.74M
395
PCGPG&E Corporation
$16.00
-0.10
-0.62%
$35.17B
6.356M
$101.69M
396
RMDResMed Inc.
$240.90
-1.60
-0.66%
$35.16B
365.779K
$88.12M
397
FMXFOMENTO ECONOMICO MEXICANO, S.A.B. DE C.V.
$101.08
+0.64
+0.64%
$34.93B
128.276K
$12.97M
398
KEYSKeysight Technologies, Inc.
$203.30
-2.90
-1.41%
$34.87B
375.312K
$76.30M
399
ACGLArch Capital Group Ltd
$95.92
-0.58
-0.60%
$34.78B
670.192K
$64.28M
400
EXPEExpedia Group, Inc. Common Stock
$283.31
-1.24
-0.44%
$34.71B
617.288K
$174.88M