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.
301
ROP Roper Technologies, Inc. Common Stock $444.45
$47.38B
328.427K
$145.97M
302
TTWO Take-Two Interactive Software Inc $255.95
$47.29B
541.12K
$138.50M
303
$205.31
$47.26B
469.721K
$96.44M
304
TCOM Trip.com Group Limited American Depositary Shares $71.91
$47.00B
895.47K
$64.39M
305
FER Ferrovial SE Ordinary Shares $64.74
$46.29B
609.709K
$39.47M
306
$73.50
$46.25B
1.926M
$141.58M
307
AIG American International Group, Inc. $85.55
$46.16B
1.166M
$99.74M
308
$40.14
$46.08B
3.424M
$137.46M
309
$260.00
$45.62B
553.798K
$143.99M
310
BSBR BANCO SANTANDER (BRASIL) SA $6.11
$45.61B
320.001K
$1.95M
311
AMP Ameriprise Financial, Inc. $490.34
$45.56B
254.944K
$125.01M
312
CTVA Corteva, Inc. Common Stock $67.03
$45.29B
1.3M
$87.14M
313
$69.30
$45.25B
2.282M
$158.11M
314
AXON Axon Enterprise, Inc. Common Stock $567.90
$45.11B
285.474K
$162.12M
315
$323.59
$45.09B
263.794K
$85.36M
316
$130.98
$45.03B
2.048M
$268.22M
317
HLN Haleon plc American Depositary Shares (Each representing two Ordinary Shares) $10.11
$45.02B
4.009M
$40.53M
318
$45.53
$44.93B
2.627M
$119.59M
319
WCN Waste Connections, Inc. $175.36
$44.90B
956.867K
$167.80M
320
$222.70
$44.69B
524.379K
$116.78M
321
$44.32
$44.69B
1.986M
$88.02M
322
CARR Carrier Global Corporation $52.76
$44.44B
2.329M
$122.87M
323
$97.72
$44.25B
3.603M
$352.13M
324
$65.34
$44.18B
2.637M
$172.30M
325
$151.92
$43.96B
14.192M
$2.16B
326
ROK Rockwell Automation, Inc. $389.07
$43.74B
381.925K
$148.60M
327
$73.86
$43.69B
1.494M
$110.32M
328
$229.94
$43.57B
1.762M
$405.05M
329
MPWR Monolithic Power Systems, Inc. $907.00
$43.45B
174.264K
$158.06M
330
$85.77
$43.30B
816.168K
$70.00M
331
FANG Diamondback Energy, Inc. $150.50
$43.12B
815.589K
$122.75M
332
$23.51
$42.94B
8.088M
$190.16M
333
$86.31
$42.88B
229.956K
$19.85M
334
TEAM Atlassian Corporation Class A Common Stock $162.00
$42.62B
1.108M
$179.58M
335
$30.58
$42.27B
6.962M
$212.89M
336
$573.73
$42.23B
229.607K
$131.73M
337
$151.28
$42.00B
707.424K
$107.02M
338
$194.42
$41.85B
979.868K
$190.51M
339
$144.15
$41.76B
990.387K
$142.76M
340
$92.43
$41.28B
932.475K
$86.19M
341
CCEP Coca-Cola Europacific Partners plc Ordinary Shares $90.70
$40.68B
623.207K
$56.52M
342
$28.65
$40.66B
6.351M
$181.95M
343
OXY Occidental Petroleum Corporation $41.10
$40.49B
5.835M
$239.82M
344
$92.84
$40.42B
1.312M
$121.81M
345
$112.18
$40.27B
1.104M
$123.89M
346
FICO Fair Isaac Corporation $1,690.50
$40.18B
173.049K
$292.54M
347
PEG Public Service Enterprise Group Incorporated $80.30
$40.08B
993.36K
$79.77M
348
CTSH Cognizant Technology Solutions $83.00
$40.06B
1.622M
$134.63M
349
FNV Franco-Nevada Corporation $207.27
$39.96B
234.918K
$48.69M
350
$30.26
$39.72B
761.396K
$23.04M
351
TRGP Targa Resources Corp. $184.50
$39.60B
407.635K
$75.21M
352
$87.53
$39.56B
2.378M
$208.13M
353
$62.49
$39.55B
2.784M
$174.00M
354
$65.04
$39.52B
2.85M
$185.37M
355
PRU Prudential Financial, Inc. $112.88
$39.50B
593.1K
$66.95M
356
PUK PRUDENTIAL PLC ADS (REP 2 ORD SHARES) $31.12
$39.29B
367.062K
$11.42M
357
$43.65
$39.07B
1.261M
$55.03M
358
$202.85
$39.02B
339.312K
$68.83M
359
$88.95
$38.74B
1.402M
$124.71M
360
ALC Alcon Inc. Ordinary Shares $78.81
$38.71B
692.492K
$54.58M
361
$2.48
$38.68B
17.272M
$42.78M
362
A Agilent Technologies Inc. $136.07
$38.58B
555.253K
$75.55M
363
HIG The Hartford Financial Services Group, Inc. $137.80
$38.43B
359.052K
$49.48M
364
$225.41
$38.39B
312.564K
$70.46M
365
HMC Honda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock $29.49
$38.26B
591.363K
$17.44M
366
$28.07
$38.14B
3.871M
$108.67M
367
$39.22
$37.97B
4.191M
$164.36M
368
RYAAY Ryanair Holdings plc American Depositary Shares $72.19
$37.86B
306.442K
$22.12M
369
EL The Estee Lauder Companies Inc. Class A $104.72
$37.74B
1.292M
$135.30M
370
VMC Vulcan Materials Company(Holding Company) $285.50
$37.72B
442.702K
$126.39M
371
FLUT Flutter Entertainment plc $215.04
$37.68B
866.233K
$186.27M
372
MLM Martin Marietta Materials $622.66
$37.55B
184.709K
$115.01M
373
CRWV CoreWeave, Inc. Class A Common Stock $71.80
$37.43B
16.963M
$1.22B
374
RKLB Rocket Lab USA, Inc. Common Stock $69.98
$37.38B
15.871M
$1.11B
375
$163.05
$37.31B
699.133K
$113.99M
376
GEHC GE HealthCare Technologies Inc. Common Stock $81.64
$37.19B
937.725K
$76.56M
377
$174.04
$37.12B
1.414M
$246.08M
378
$181.98
$36.90B
672.689K
$122.42M
379
$223.23
$36.69B
554.728K
$123.83M
380
$213.45
$36.49B
340.071K
$72.59M
381
$77.38
$36.35B
1.48M
$114.51M
382
UAL United Airlines Holdings, Inc. Common Stock $111.80
$36.19B
1.635M
$182.74M
383
FISV Fiserv, Inc. Common Stock $67.10
$36.09B
3.093M
$207.54M
384
STT State Street Corporation $129.00
$36.00B
1.041M
$134.35M
385
ZS Zscaler, Inc. Common Stock $225.11
$35.90B
784.861K
$176.68M
386
ED Consolidated Edison, Inc. $99.32
$35.85B
614.757K
$61.06M
387
$6.46
$35.82B
9.978M
$64.46M
388
ARES Ares Management Corporation Class A Common Stock $162.46
$35.80B
812.031K
$131.92M
389
TEVA Teva Pharmaceutical Industries Limited American Depositary Shares $31.19
$35.78B
3.902M
$121.70M
390
ASX ASE Technology Holding Co., Ltd. $16.23
$35.41B
4.242M
$68.85M
391
$73.69
$35.29B
1.027M
$75.70M
392
BBD Banco Bradesco S.A. American Depositary Shares (Each representing one Preferred Shares) $3.33
$35.22B
9.651M
$32.14M
393
MDLN Medline Inc. Class A common stock $42.29
$35.19B
3.391M
$143.39M
394
$252.43
$35.18B
137.636K
$34.74M
395
$16.00
$35.17B
6.356M
$101.69M
396
$240.90
$35.16B
365.779K
$88.12M
397
FMX FOMENTO ECONOMICO MEXICANO, S.A.B. DE C.V. $101.08
$34.93B
128.276K
$12.97M
398
KEYS Keysight Technologies, Inc. $203.30
$34.87B
375.312K
$76.30M
399
ACGL Arch Capital Group Ltd $95.92
$34.78B
670.192K
$64.28M
400
EXPE Expedia Group, Inc. Common Stock $283.31
$34.71B
617.288K
$174.88M