Stock Rankings by Market Cap - Rankings 501 to 600

Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 501 to 600.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Market Cap
Volume (Day)
$ Volume (Day)
501
NMRNomura Holdings, Inc
$5.55
+0.02
+0.34%
$16.40B
91.555K
$508.02K
502
TECKTeck Resources Limited
$32.85
-2.07
-5.93%
$16.36B
25.55K
$839.32K
503
HRLHormel Foods Corporation
$29.69
+0.04
+0.13%
$16.33B
1.151K
$34.17K
504
DKNGDraftKings Inc. Class A Common Stock
$32.64
-0.61
-1.83%
$16.32B
37.224K
$1.21M
505
KEYKeyCorp
$14.65
-0.16
-1.08%
$16.29B
8.634K
$126.49K
506
CSLCarlisle Companies, Inc.
$376.00
-1.00
-0.27%
$16.26B
298
$112.05K
507
BF.BBrown-Forman Corporation Class B
$34.34
+0.07
+0.20%
$16.23B
2.002K
$68.75K
508
ONON Semiconductor Corp
$37.85
-0.76
-1.97%
$15.97B
5.736K
$217.11K
509
ZZillow Group, Inc. Class C Capital Stock
$65.83
+0.45
+0.68%
$15.80B
250
$16.46K
510
ZGZILLOW GROUP INC CLASS A
$65.29
-0.63
-0.96%
$15.68B
1.423K
$92.91K
511
BF.ABrown-Forman Corporation Class A
$33.10
+0.00
+0.00%
$15.65B
101
$3.34K
512
TLKPT Telekomunikasi Indonesia
$15.76
+0.00
+0.00%
$15.61B
5.7K
$89.83K
513
AFRMAffirm Holdings, Inc. Class A Common Stock
$47.90
-2.29
-4.56%
$15.33B
124.831K
$5.98M
514
LUVSouthwest Airlines Co.
$26.70
-0.75
-2.73%
$15.32B
14.406K
$384.64K
515
TRMBTrimble Inc. Common Stock
$62.30
-0.20
-0.32%
$15.31B
505
$31.46K
516
WSTWest Pharmaceutical Services, Inc.
$212.75
+0.00
+0.00%
$15.29B
450
$95.74K
517
EGEverest Group, Ltd.
$358.29
-2.41
-0.67%
$15.28B
1.185K
$424.57K
518
BJBJs Wholesale Club Holdings, Inc. Common Stock
$116.00
-0.11
-0.09%
$15.27B
329
$38.16K
519
DKSDick's Sporting Goods, Inc.
$191.22
-1.56
-0.81%
$15.27B
443
$84.71K
520
WDCWestern Digital Corp.
$43.50
+1.49
+3.55%
$15.13B
352.917K
$15.35M
521
CHWYChewy, Inc.
$36.41
-0.82
-2.20%
$15.06B
7.899K
$287.60K
522
ONONOn Holding AG
$46.43
-1.57
-3.27%
$15.04B
17.719K
$822.69K
523
EQHEquitable Holdings, Inc.
$48.99
-1.15
-2.29%
$15.03B
10.451K
$511.99K
524
ZTOZTO Express (Cayman) Inc. American Depositary Shares, each representing one Class A ordinary share
$18.74
-0.09
-0.48%
$14.96B
1.5K
$28.11K
525
FMSFresenius Medical Care AG
$25.26
-0.13
-0.51%
$14.82B
5.135K
$129.71K
526
OMCOmnicom Group Inc.
$75.13
+0.00
+0.00%
$14.71B
306
$22.99K
527
RIVNRivian Automotive, Inc. Class A Common Stock
$12.98
-0.35
-2.63%
$14.68B
266.912K
$3.46M
528
PSTGPure Storage, Inc. Class A
$45.01
-0.29
-0.64%
$14.67B
9.876K
$444.52K
529
FFIVF5, Inc. Common Stock
$254.33
-6.58
-2.52%
$14.66B
759
$193.03K
530
WESWestern Midstream Partners, LP
$38.00
-0.22
-0.58%
$14.49B
2.048K
$77.82K
531
TPRTapestry, Inc. Common Stock
$69.61
+0.11
+0.16%
$14.41B
560
$38.98K
532
TWLOTwilio Inc.
$93.50
-2.25
-2.35%
$14.27B
1.797K
$168.02K
533
CNHCNH INDUSTRIAL N.V.
$11.40
-0.18
-1.55%
$14.23B
7.743K
$88.27K
534
SBSCOMPANHIA DE SANEAMENTO B SICO DO ESTADO DE SAO PAULO-SABESP ADS'S
$20.60
+0.00
+0.00%
$14.08B
119
$2.45K
535
ARCCAres Capital Corporation
$20.47
-0.24
-1.16%
$14.01B
11.299K
$231.29K
536
SOFISoFi Technologies, Inc. Common Stock
$12.66
-0.54
-4.09%
$13.98B
2.899M
$36.70M
537
BBYBest Buy Company, Inc.
$65.40
-0.60
-0.91%
$13.82B
3.773K
$246.75K
538
RCIRogers Communications, Inc.
$25.53
-0.27
-1.05%
$13.74B
1.24K
$31.66K
539
MDBMongoDB, Inc. Class A
$169.00
-4.00
-2.31%
$13.72B
9.029K
$1.53M
540
BIPBrookfield Infrastructure Partners L.P. Limited Partnership Units
$29.45
+0.04
+0.14%
$13.67B
1.681K
$49.51K
541
KIMKimco Realty Corp.
$20.04
+0.00
+0.00%
$13.62B
303
$6.07K
542
CGThe Carlyle Group Inc. Common Stock
$37.65
-1.47
-3.77%
$13.59B
500
$18.82K
543
UTHRUnited Therapeutics Corp
$302.00
-7.00
-2.27%
$13.56B
285
$86.07K
544
UDRUDR, Inc.
$40.73
+0.00
+0.00%
$13.49B
316
$12.87K
545
AVYAvery Dennison Corp.
$170.80
+0.00
+0.00%
$13.49B
105
$17.93K
546
AMCRAmcor plc Ordinary Shares
$9.30
-0.06
-0.64%
$13.44B
8.593K
$79.91K
547
DTDynatrace, Inc.
$44.87
-2.15
-4.56%
$13.43B
1.05K
$47.12K
548
FLEXFlex Ltd. Ordinary Shares
$34.85
+1.35
+4.03%
$13.35B
404
$14.08K
549
TKOTKO Group Holdings, Inc.
$162.14
+0.00
+0.00%
$13.22B
102
$16.54K
550
GMABGenmab A/S ADS
$21.20
+0.07
+0.33%
$13.21B
9.203K
$195.10K
551
WPCW.P. Carey Inc. (REIT)
$60.24
+0.00
+0.00%
$13.19B
185
$11.14K
552
RBRKRubrik, Inc.
$69.00
-1.65
-2.34%
$13.09B
16.281K
$1.12M
553
SNAPSnap Inc.
$7.71
-0.14
-1.78%
$13.08B
4.743M
$36.57M
554
UNMUnum Group
$73.80
+1.30
+1.79%
$13.01B
5.138K
$379.18K
555
CFCF Industries Holding, Inc.
$78.00
-0.69
-0.88%
$12.98B
2.665K
$207.87K
556
FSLRFirst Solar, Inc.
$120.96
+0.36
+0.30%
$12.97B
450.921K
$54.54M
557
PPCPilgrims Pride Corporation
$54.59
-2.21
-3.89%
$12.96B
1.622K
$88.54K
558
ACMAecom
$97.39
-1.11
-1.13%
$12.92B
613
$59.70K
559
IEXIDEX Corporation
$170.75
+0.00
+0.00%
$12.90B
115
$19.64K
560
PFGCPerformance Food Group Company
$82.18
+0.00
+0.00%
$12.84B
203
$16.68K
561
ALGNAlign Technology Inc
$175.00
-2.00
-1.13%
$12.81B
350
$61.25K
562
LBRDKLiberty Broadband Corporation Class C
$89.40
-0.51
-0.57%
$12.81B
520
$46.49K
563
THCTenet Healthcare Corporation New
$135.69
-2.82
-2.04%
$12.81B
790
$107.20K
564
JKHYHenry (Jack) & Associates
$174.00
-0.41
-0.24%
$12.68B
310
$53.94K
565
JBHTJB Hunt Transport Services Inc
$127.78
-1.85
-1.43%
$12.68B
1.125K
$143.75K
566
PAAPlains All American Pipeline, L.P. Common Units representing Limited Partner Interests
$18.00
-0.11
-0.61%
$12.67B
7.582K
$136.48K
567
SGISomnigroup International Inc.
$60.60
+0.60
+1.00%
$12.64B
543
$32.91K
568
MASMasco Corporation
$59.81
+0.00
+0.00%
$12.62B
296
$17.70K
569
FUTUFutu Holdings Limited American Depositary Shares
$90.32
-1.72
-1.87%
$12.58B
53.155K
$4.80M
570
DOCHealthpeak Properties, Inc.
$18.00
+0.10
+0.56%
$12.57B
6.619K
$119.14K
571
ACIAlbertsons Companies, Inc.
$21.81
-0.13
-0.59%
$12.56B
827
$18.04K
572
LBRDALiberty Broadband Corporation Class A
$87.60
-1.29
-1.45%
$12.55B
807
$70.69K
573
PAYCPAYCOM SOFTWARE, INC.
$224.14
-3.77
-1.65%
$12.55B
1.374K
$307.97K
574
SNNSmith & Nephew plc
$28.61
+0.31
+1.10%
$12.52B
16.695K
$477.64K
575
AREAlexandria Real Estate Equities, Inc.
$72.24
-1.00
-1.37%
$12.50B
3.6K
$260.06K
576
AURAurora Innovation, Inc. Class A Common Stock
$7.03
-0.27
-3.70%
$12.42B
73.999K
$520.21K
577
RGAReinsurance Group of America, Incorporated
$187.00
-6.00
-3.11%
$12.36B
1.48K
$276.76K
578
OCOwens Corning
$144.20
+0.00
+0.00%
$12.33B
101
$14.56K
579
CPTCamden Property Trust
$112.20
-0.11
-0.10%
$12.21B
307
$34.45K
580
YPFYPF Sociedad Anonima
$30.91
-0.69
-2.18%
$12.16B
3.209K
$99.19K
581
ILMNIllumina Inc
$76.58
-0.93
-1.20%
$12.12B
884
$67.70K
582
XPOXPO, Inc.
$102.50
+4.07
+4.13%
$12.07B
22.509K
$2.31M
583
GMEGameStop Corp. Class A
$26.90
-0.41
-1.48%
$12.03B
139.358K
$3.75M
584
YMMFull Truck Alliance Co. Ltd. American Depositary Shares (each representing 20 Class A Ordinary Shares)
$11.50
-0.01
-0.09%
$12.03B
2.954K
$33.97K
585
MORNMorningstar, Inc.
$279.60
+19.60
+7.54%
$11.96B
1.368K
$382.49K
586
WLKWestlake Corporation
$92.70
+0.10
+0.11%
$11.91B
790
$73.23K
587
TERTeradyne, Inc. Common Stock
$73.21
-1.80
-2.40%
$11.77B
2.865K
$209.75K
588
ALLEAllegion Public Limited Company
$136.83
+0.00
+0.00%
$11.77B
106
$14.50K
589
AGIAlamos Gold Inc. Class A Common Shares
$27.90
-0.17
-0.61%
$11.73B
14.245K
$397.44K
590
RNRRenaissanceRe Holdings Ltd.
$241.00
-2.01
-0.83%
$11.72B
762
$183.64K
591
INCYIncyte Genomics Inc
$60.50
+1.69
+2.87%
$11.71B
389
$23.53K
592
BSACBanco Santander-Chile
$24.80
+0.79
+3.29%
$11.68B
1.629K
$40.40K
593
AKAMAkamai Technologies Inc
$79.82
-1.38
-1.70%
$11.66B
1.197K
$95.54K
594
CAGConagra Brands, Inc.
$24.41
+0.00
+0.00%
$11.65B
13.45K
$328.31K
595
FTITechnipFMC plc Ordinary Share
$27.79
-0.80
-2.80%
$11.65B
310
$8.61K
596
EWBCEast-West Bancorp Inc
$84.31
-3.00
-3.44%
$11.62B
679
$57.25K
597
NLYAnnaly Capital Management. Inc.
$19.44
-0.24
-1.21%
$11.62B
34.728K
$675.14K
598
SCIService Corporation International
$80.60
-0.50
-0.62%
$11.61B
425
$34.26K
599
MBLYMobileye Global Inc. Class A Common Stock
$14.28
-0.59
-3.97%
$11.60B
7.187K
$102.63K
600
RTORentokil Initial plc American Depositary Shares (each representing five (5) Ordinary Shares)
$23.06
-0.03
-0.13%
$11.59B
3.443K
$79.40K