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
AMEAmetek, Inc.
$230.48
+4.98
+2.21%
$52.80B
1.683M
$387.92M
302
VSTVistra Corp.
$155.49
-3.33
-2.10%
$52.64B
2.757M
$428.64M
303
CCJCameco Corporation
$120.60
-1.90
-1.55%
$52.53B
1.961M
$236.55M
304
METMetLife, Inc.
$80.23
+0.25
+0.31%
$52.31B
2.633M
$211.23M
305
EBAYeBay Inc
$116.37
+13.36
+12.97%
$52.13B
11.309M
$1.32B
306
NUENucor Corporation
$227.52
+0.34
+0.15%
$51.79B
890.421K
$202.59M
307
NDAQNasdaq, Inc. Common Stock
$91.10
-0.90
-0.98%
$51.79B
1.699M
$154.74M
308
FASTFastenal Co
$44.91
+0.21
+0.47%
$51.56B
4.285M
$192.45M
309
STMSTMicroelectronics N.V.
$56.55
+1.36
+2.46%
$51.53B
7.607M
$430.18M
310
XELXcel Energy, Inc.
$82.31
-0.29
-0.35%
$51.37B
3.704M
$304.88M
311
ADSKAutodesk Inc
$243.47
+4.98
+2.09%
$51.37B
1.989M
$484.17M
312
FERGFerguson plc
$264.27
-2.57
-0.96%
$51.37B
989.177K
$261.41M
313
INFYInfosys Limited American Depositary Shares
$12.54
+0.07
+0.57%
$50.86B
7.812M
$97.97M
314
MCHPMicrochip Technology Inc
$93.60
+0.69
+0.74%
$50.65B
6.125M
$573.33M
315
EAElectronic Arts Inc
$202.02
-0.58
-0.29%
$50.56B
1.057M
$213.46M
316
FERFerrovial SE Ordinary Shares
$68.98
+0.16
+0.23%
$49.48B
1.175M
$81.04M
317
SESea Limited American Depositary Shares, each representing one Class A Ordinary Share
$86.24
+0.61
+0.71%
$48.89B
2.444M
$210.81M
318
ARGXargenx SE American Depositary Shares
$784.00
+2.25
+0.29%
$48.76B
166.258K
$130.35M
319
SNOWSnowflake Inc.
$141.02
+0.51
+0.36%
$48.75B
8.239M
$1.16B
320
EWEdwards Lifesciences Corp
$83.98
+0.98
+1.18%
$48.42B
5.147M
$432.28M
321
ZTSZOETIS INC.
$114.52
-0.43
-0.38%
$48.17B
2.679M
$306.75M
322
CLSCelestica, Inc.
$417.00
+8.95
+2.19%
$47.94B
2.171M
$905.51M
323
EXCExelon Corporation
$46.64
+0.50
+1.08%
$47.72B
5.596M
$261.00M
324
ITUBItau Unibanco Holding S.A. American Depositary Shares
$8.67
-0.05
-0.57%
$46.90B
9.517M
$82.51M
325
FFord Motor Company
$11.89
-0.18
-1.49%
$46.85B
44.852M
$533.30M
326
GRMNGarmin Ltd
$242.42
-10.22
-4.05%
$46.76B
544.754K
$132.06M
327
DDOGDatadog, Inc. Class A Common Stock
$141.11
+6.64
+4.94%
$46.32B
5.686M
$802.39M
328
CAHCardinal Health, Inc.
$195.09
+3.03
+1.58%
$45.91B
1.754M
$342.24M
329
ROKRockwell Automation, Inc.
$407.69
-2.31
-0.56%
$45.81B
572.373K
$233.35M
330
FITBFifth Third Bancorp
$50.55
-0.26
-0.51%
$45.78B
4.459M
$225.39M
331
RKLBRocket Lab USA, Inc. Common Stock
$79.22
-3.70
-4.47%
$45.61B
15.276M
$1.21B
332
ABEVAMBEV S.A.
$2.89
-0.01
-0.34%
$45.56B
11.569M
$33.44M
333
PYPLPayPal Holdings, Inc. Common Stock
$50.55
+0.35
+0.70%
$45.48B
7.721M
$390.28M
334
DALDelta Air Lines, Inc.
$68.95
+0.60
+0.88%
$45.30B
7.949M
$548.07M
335
IDXXIdexx Laboratories Inc
$567.46
+1.57
+0.28%
$45.07B
481.156K
$273.04M
336
WABWabtec Inc.
$265.00
-4.66
-1.73%
$44.96B
480.022K
$127.21M
337
DEODiageo plc
$80.05
-1.18
-1.45%
$44.56B
1.22M
$97.62M
338
PCGPG&E Corporation
$16.52
-0.16
-0.96%
$44.27B
11.294M
$186.58M
339
MTArcelorMittal
$56.85
-0.10
-0.18%
$44.06B
1.595M
$90.66M
340
WDSWoodside Energy Group Limited American Depositary Shares, each representing one Ordinary Share
$23.17
+0.17
+0.74%
$44.05B
592.545K
$13.73M
341
YUMYum! Brands, Inc.
$158.36
-2.12
-1.32%
$43.73B
1.234M
$195.41M
342
FNVFranco-Nevada Corporation
$226.15
+0.98
+0.44%
$43.61B
520.911K
$117.80M
343
COINCoinbase Global, Inc. Class A Common Stock
$193.50
+3.86
+2.04%
$43.16B
6.165M
$1.19B
344
CMGChipotle Mexican Grill, Inc.
$32.96
-1.05
-3.08%
$42.93B
18.399M
$606.50M
345
JDJD.com, Inc.
$29.94
-0.26
-0.86%
$42.89B
4.201M
$125.79M
346
ODFLOld Dominion Freight Line
$205.81
-7.67
-3.59%
$42.87B
1.814M
$373.44M
347
MSCIMSCI, Inc.
$588.85
-7.86
-1.32%
$42.87B
197.69K
$116.41M
348
AMPAmeriprise Financial, Inc.
$467.19
-8.41
-1.77%
$42.60B
343.806K
$160.62M
349
BDXBecton, Dickinson and Co.
$149.31
-0.14
-0.10%
$42.51B
2.013M
$300.58M
350
DHID.R. Horton Inc.
$149.80
-4.06
-2.64%
$42.48B
1.751M
$262.24M
351
AIGAmerican International Group, Inc.
$78.54
+3.05
+4.04%
$42.17B
8.094M
$635.73M
352
STTState Street Corporation
$152.00
-1.40
-0.91%
$42.11B
1.135M
$172.47M
353
VTRVentas, Inc.
$88.02
+0.19
+0.22%
$41.85B
3.361M
$295.83M
354
TRIThomson Reuters Corporation
$94.41
-1.49
-1.55%
$41.82B
1.414M
$133.52M
355
HLNHaleon plc American Depositary Shares (Each representing two Ordinary Shares)
$9.38
+0.08
+0.86%
$41.78B
7.282M
$68.30M
356
CCEPCoca-Cola Europacific Partners plc Ordinary Shares
$94.18
+0.24
+0.26%
$41.71B
621.04K
$58.49M
357
KRThe Kroger Co.
$67.82
-0.34
-0.50%
$41.55B
2.798M
$189.79M
358
CBRECBRE GROUP, INC.
$141.81
-0.20
-0.14%
$41.52B
1.07M
$151.71M
359
KBKB Financial Group Inc
$110.70
+0.09
+0.08%
$41.27B
103.577K
$11.47M
360
WCNWaste Connections, Inc.
$161.23
+3.23
+2.04%
$41.15B
1.051M
$169.40M
361
EDConsolidated Edison, Inc.
$110.49
-1.00
-0.90%
$40.71B
1.301M
$143.74M
362
ONON Semiconductor Corp
$103.28
+2.46
+2.44%
$40.62B
8.28M
$855.16M
363
TTWOTake-Two Interactive Software Inc
$217.44
+3.44
+1.61%
$40.26B
818.188K
$177.91M
364
TEVATeva Pharmaceutical Industries Limited American Depositary Shares
$34.52
-0.13
-0.38%
$40.20B
4.998M
$172.52M
365
SLFSun Life Financial Inc.
$72.32
+1.67
+2.36%
$40.07B
315.103K
$22.79M
366
EMEEMCOR Group, Inc.
$901.00
+1.00
+0.11%
$40.04B
262.552K
$236.56M
367
PEGPublic Service Enterprise Group Incorporated
$80.15
-1.45
-1.78%
$39.97B
2.047M
$164.03M
368
KDPKeurig Dr Pepper Inc.
$29.22
-0.12
-0.41%
$39.76B
5.181M
$151.39M
369
ALNYAlnylam Pharmaceuticals, Inc.
$296.11
-14.45
-4.65%
$39.51B
937.143K
$277.50M
370
AUAngloGold Ashanti plc
$93.42
+0.17
+0.18%
$39.29B
970.92K
$90.70M
371
CCICrown Castle Inc.
$89.26
+0.05
+0.06%
$38.95B
2.821M
$251.76M
372
VMCVulcan Materials Company(Holding Company)
$297.32
-5.84
-1.93%
$38.79B
831.264K
$247.15M
373
ESLTElbit Systems Ltd
$829.00
-10.34
-1.23%
$38.76B
49.466K
$41.01M
374
XYZBlock, Inc.
$71.64
+0.95
+1.34%
$38.62B
3.244M
$232.40M
375
WECWEC Energy Group, Inc.
$117.46
-0.43
-0.36%
$38.26B
1.444M
$169.59M
376
PUKPRUDENTIAL PLC ADS (REP 2 ORD SHARES)
$30.17
-0.08
-0.25%
$38.07B
486.176K
$14.67M
377
IRMIron Mountain Inc.
$127.50
+3.42
+2.76%
$37.93B
1.675M
$213.55M
378
HPEHewlett Packard Enterprise Company
$28.56
-0.37
-1.28%
$37.89B
9.216M
$263.21M
379
MDLNMedline Inc. Class A common stock
$44.80
+0.29
+0.65%
$37.88B
2.259M
$101.20M
380
GFIGold Fields Ltd ADR
$42.20
-0.44
-1.03%
$37.77B
1.76M
$74.27M
381
VODVodafone Group PLC
$16.20
+0.41
+2.60%
$37.37B
11.609M
$188.06M
382
HIGThe Hartford Financial Services Group, Inc.
$135.81
-6.20
-4.37%
$37.23B
1.271M
$172.60M
383
LYVLive Nation Entertainment Inc.
$158.25
+0.31
+0.20%
$37.16B
1.791M
$283.43M
384
IXORIX Corporation
$33.02
-0.57
-1.70%
$37.12B
169.087K
$5.58M
385
TSTenaris S. A.
$63.71
-0.20
-0.31%
$37.04B
754.233K
$48.05M
386
MLMMartin Marietta Materials
$614.49
-0.51
-0.08%
$37.03B
346.891K
$213.16M
387
ROPRoper Technologies, Inc. Common Stock
$358.47
+2.29
+0.64%
$36.70B
732.568K
$262.60M
388
HMCHonda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock
$24.19
-0.01
-0.04%
$36.55B
1.091M
$26.39M
389
EQTEQT CORP
$58.36
-1.75
-2.91%
$36.50B
5.363M
$312.97M
390
ERICEricsson American Depositary Shares
$11.70
+0.24
+2.12%
$36.39B
5.522M
$64.62M
391
NTRNutrien Ltd. Common Shares
$75.52
-0.86
-1.13%
$36.31B
1.559M
$117.70M
392
GFSGlobalFoundries Inc. Ordinary Shares
$65.21
+0.27
+0.42%
$36.28B
1.762M
$114.92M
393
ADMArcher Daniels Midland Company
$75.25
+0.01
+0.01%
$36.26B
2.686M
$202.14M
394
ALCAlcon Inc. Ordinary Shares
$74.09
-0.79
-1.05%
$36.11B
1.331M
$98.62M
395
JBLJabil Inc.
$342.00
+4.95
+1.47%
$36.08B
1.071M
$366.17M
396
IBKRInteractive Brokers Group, Inc. Class A Common Stock
$80.33
+0.65
+0.82%
$35.80B
3.442M
$276.49M
397
LVSLas Vegas Sands Corp.
$53.79
-0.59
-1.08%
$35.70B
4.356M
$234.30M
398
SYYSysco Corporation
$74.05
-1.00
-1.33%
$35.46B
2.963M
$219.40M
399
TCOMTrip.com Group Limited American Depositary Shares
$54.22
-0.17
-0.31%
$35.36B
1.21M
$65.60M
400
KGCKinross Gold Corporation
$29.55
-0.46
-1.52%
$35.29B
7.333M
$216.72M