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.
501
$68.84
$15.34B
473
$32.56K
502
KSPI Joint Stock Company Kaspi.kz American Depository Shares $79.98
$15.26B
2.564K
$205.07K
503
RPRX Royalty Pharma plc Class A Ordinary Shares $35.99
$15.17B
201
$7.23K
504
WES Western Midstream Partners, LP $39.75
$15.16B
6.197K
$246.34K
505
$287.50
$15.12B
395
$113.56K
506
WMG Warner Music Group Corp. Class A Common Stock $28.98
$15.11B
708
$20.52K
507
RIVN Rivian Automotive, Inc. Class A Common Stock $12.61
$15.11B
205.32K
$2.59M
508
DOCU DocuSign, Inc. Common Stock $74.75
$15.10B
491
$36.70K
509
JHX JAMES HARDIE INDUSTRIES plc. $26.00
$15.06B
128
$3.33K
510
$36.11
$14.91B
6.359K
$229.64K
511
SFM Sprouts Farmers Market, Inc. $151.19
$14.80B
1.903K
$287.71K
512
FMS Fresenius Medical Care AG $25.17
$14.77B
13.716K
$345.23K
513
FNF Fidelity National Financial, Inc. $53.61
$14.72B
335
$17.96K
514
$111.00
$14.69B
1.639K
$181.93K
515
FTI TechnipFMC plc Ordinary Share $35.71
$14.68B
295
$10.53K
516
$74.89
$14.62B
2.229K
$166.93K
517
$35.15
$14.60B
307
$10.79K
518
$16.98
$14.29B
2.622M
$44.53M
519
HIMS Hims & Hers Health, Inc. $63.39
$14.19B
880.058K
$55.79M
520
$120.01
$14.14B
379
$45.48K
521
THC Tenet Healthcare Corporation New $160.02
$14.14B
978
$156.50K
522
NVT nVent Electric plc Ordinary Shares $85.00
$13.99B
68.307K
$5.81M
523
COO The Cooper Companies, Inc. Common Stock $69.81
$13.93B
262
$18.29K
524
$71.72
$13.89B
212
$15.20K
525
FTAI FTAI Aviation Ltd. Common Stock $135.00
$13.85B
2.293K
$309.56K
526
$174.08
$13.74B
3.132K
$545.22K
527
$77.00
$13.72B
4.8K
$369.60K
528
BLDR Builders FirstSource, Inc. $124.00
$13.70B
6.679K
$828.20K
529
CHRW C.H. Robinson Worldwide, Inc. $115.00
$13.65B
935
$107.53K
530
BF.B Brown-Forman Corporation Class B $28.73
$13.58B
6.041K
$173.56K
531
EWBC East-West Bancorp Inc $98.43
$13.57B
1.309K
$128.84K
532
BBY Best Buy Company, Inc. $64.00
$13.53B
2.819K
$180.42K
533
BF.A Brown-Forman Corporation Class A $28.60
$13.52B
994
$28.43K
534
BWXT BWX Technologies, Inc. $147.80
$13.50B
3.341K
$493.80K
535
$30.58
$13.38B
851
$26.02K
536
MNDY monday.com Ltd. Ordinary Shares $260.00
$13.37B
404
$105.04K
537
$32.07
$13.33B
201.937K
$6.48M
538
ASTS AST SpaceMobile, Inc. Class A Common Stock $51.34
$13.27B
264.566K
$13.58M
539
$188.54
$13.26B
153
$28.85K
540
QXO QXO, Inc. Common Stock $19.74
$13.23B
14.343K
$283.13K
541
H Hyatt Hotels Corporation $138.02
$13.17B
174
$24.02K
542
LTM LATAM Airlines Group S.A. American Depositary Shares (each representing two thousand (2,000) shares of Common Stock) $43.50
$13.15B
301
$13.09K
543
MANH Manhattan Associates Inc $217.00
$13.12B
260
$56.42K
544
$21.33
$13.12B
18.1K
$386.07K
545
UTHR United Therapeutics Corp $290.00
$13.08B
9.898K
$2.87M
546
$35.15
$13.01B
36.203K
$1.27M
547
NLY Annaly Capital Management. Inc. $20.24
$13.00B
8.621K
$174.49K
548
PAYC PAYCOM SOFTWARE, INC. $231.35
$12.96B
1.167K
$269.99K
549
ARE Alexandria Real Estate Equities, Inc. $75.80
$12.94B
2.029K
$153.80K
550
ROKU Roku, Inc. Class A Common Stock $87.75
$12.87B
138.125K
$12.12M
551
GLPI Gaming and Leisure Properties, Inc. $45.36
$12.84B
271
$12.29K
552
$258.10
$12.81B
3.405K
$878.83K
553
$25.98
$12.76B
97.563K
$2.53M
554
PAA Plains All American Pipeline, L.P. Common Units representing Limited Partner Interests $18.10
$12.73B
6.098K
$110.37K
555
$90.00
$12.72B
950
$85.50K
556
PARAA Paramount Global Class A Common Stock $18.80
$12.67B
399
$7.50K
557
$8.60
$12.48B
1.179K
$10.14K
558
NBIS Nebius Group N.V. Class A Ordinary Shares $52.01
$12.42B
306.146K
$15.92M
559
$107.81
$12.30B
175
$18.87K
560
$71.00
$12.22B
200
$14.20K
561
BEN Franklin Resources, Inc. $23.20
$12.19B
3.997K
$92.73K
562
SAIL SailPoint, Inc. Common Stock $21.87
$12.17B
3.05K
$66.70K
563
CRS Carpenter Technology Corp $244.00
$12.15B
107
$26.11K
564
CHYM Chime Financial, Inc. Class A Common Stock $33.22
$12.11B
5.943K
$197.43K
565
$19.24
$12.04B
100
$1.92K
566
$212.81
$12.03B
154
$32.77K
567
RTO Rentokil Initial plc American Depositary Shares (each representing five (5) Ordinary Shares) $23.72
$11.93B
4.601K
$109.14K
568
$42.21
$11.89B
3.081K
$130.05K
569
MEDP Medpace Holdings, Inc. Common Stock $421.01
$11.83B
109
$45.89K
570
DOC Healthpeak Properties, Inc. $16.96
$11.79B
10.758K
$182.46K
571
RGA Reinsurance Group of America, Incorporated $178.23
$11.78B
104
$18.54K
572
$119.51
$11.73B
10.571K
$1.26M
573
JEF Jefferies Financial Group Inc. $56.50
$11.65B
175
$9.89K
574
$113.28
$11.64B
1.657K
$187.70K
575
RDY Dr. Reddy's Laboratories Limited American Depositary Shares $13.97
$11.63B
5.387K
$75.26K
576
CELH Celsius Holdings, Inc. Common Stock $44.72
$11.54B
24.421K
$1.09M
577
$305.00
$11.47B
133
$40.57K
578
SJM The J.M. Smucker Company $107.26
$11.44B
891
$95.57K
579
$35.98
$11.41B
310
$11.15K
580
$36.95
$11.37B
1.955K
$72.24K
581
FRHC Freedom Holding Corp. $185.00
$11.32B
3.908K
$722.98K
582
YMM Full Truck Alliance Co. Ltd. American Depositary Shares (each representing 20 Class A Ordinary Shares) $10.82
$11.32B
245.767K
$2.66M
583
OHI Omega Healthcare Investors Inc. $39.07
$11.31B
312
$12.19K
584
$107.93
$11.28B
3.613K
$389.95K
585
$38.66
$11.26B
829.827K
$32.08M
586
MBLY Mobileye Global Inc. Class A Common Stock $13.83
$11.25B
31.117K
$430.35K
587
PPC Pilgrims Pride Corporation $47.40
$11.24B
693
$32.85K
588
$190.00
$11.23B
2.017K
$383.23K
589
UHAL U-Haul Holding Company $57.00
$11.18B
270
$15.39K
590
NCLH Norwegian Cruise Line Holdings Ltd. Ordinary Shares $24.88
$11.12B
82.463K
$2.05M
591
$193.30
$11.11B
175
$33.83K
592
BAX Baxter International Inc. $21.51
$11.04B
22.735K
$489.03K
593
$42.00
$11.01B
1K
$42.00K
594
DRS Leonardo DRS, Inc. Common Stock $41.20
$10.96B
4.111K
$169.37K
595
$6.99
$10.96B
51.242K
$358.18K
596
$57.99
$10.87B
849
$49.23K
597
APPF AppFolio, Inc. Class A $301.00
$10.84B
1.775K
$534.28K
598
$76.84
$10.84B
1.928K
$148.15K
599
MRNA Moderna, Inc. Common Stock $28.01
$10.83B
737.805K
$20.67M
600
$61.11
$10.82B
258.61K
$15.80M