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
$112.41
$23.57B
720.544K
$81.00M
502
CMS CMS Energy Corporation $76.81
$23.54B
944.288K
$72.53M
503
ARES Ares Management Corporation Class A Common Stock $106.21
$23.46B
1.628M
$172.92M
504
$7.58
$23.41B
956.438K
$7.25M
505
ULTA Ulta Beauty, Inc. Common Stock $526.89
$23.37B
321.759K
$169.53M
506
DRI Darden Restaurants, Inc. $202.85
$23.36B
1.517M
$307.67M
507
AXIApC AXIA Energia American Depositary Shares, each representing one Preferred Class C Share $10.37
$23.32B
155.193K
$1.61M
508
AVB AvalonBay Communities, Inc. $166.38
$23.31B
248.101K
$41.28M
509
UTHR United Therapeutics Corp $531.39
$23.29B
185.885K
$98.78M
510
$58.75
$23.15B
3.223M
$189.35M
511
UMC United Microelectronic Corp. $9.20
$23.13B
2.614M
$24.04M
512
LPLA LPL Financial Holdings Inc. $284.10
$22.75B
469.194K
$133.30M
513
$2.17
$22.71B
5.273M
$11.42M
514
$66.46
$22.62B
1.221M
$81.17M
515
$64.98
$22.59B
1.814M
$117.89M
516
$59.65
$22.52B
520.386K
$31.04M
517
TECK Teck Resources Limited $46.68
$22.47B
4.853M
$226.52M
518
CHD Church & Dwight Co., Inc. $94.68
$22.41B
688.869K
$65.22M
519
$134.00
$22.36B
685.214K
$91.82M
520
$116.16
$22.34B
930.139K
$108.04M
521
$70.25
$22.33B
977.808K
$68.69M
522
$46.36
$22.18B
891.233K
$41.32M
523
$89.07
$22.07B
411.812K
$36.68M
524
$239.49
$21.96B
213.45K
$51.12M
525
AXIA AXIA Energia American Depositary Shares (Each representing one Common Share) $10.80
$21.91B
1.862M
$20.11M
526
$181.06
$21.78B
527.697K
$95.54M
527
$263.78
$21.74B
151.793K
$40.04M
528
$364.55
$21.73B
357.125K
$130.19M
529
$105.17
$21.67B
135.443K
$14.24M
530
$184.98
$21.67B
579.99K
$107.29M
531
$96.56
$21.61B
1.072M
$103.55M
532
RF Regions Financial Corp. $25.01
$21.59B
5.389M
$134.74M
533
$180.57
$21.56B
697.586K
$125.96M
534
$266.82
$21.44B
553.973K
$147.81M
535
SOFI SoFi Technologies, Inc. Common Stock $16.76
$21.37B
38.611M
$647.13M
536
PSTG Pure Storage, Inc. Class A $64.71
$21.37B
673.558K
$43.59M
537
DGX Quest Diagnostics Inc. $194.38
$21.36B
208.651K
$40.56M
538
FMX FOMENTO ECONOMICO MEXICANO, S.A.B. DE C.V. $105.41
$21.32B
176.073K
$18.56M
539
$217.36
$21.32B
150.075K
$32.62M
540
$196.92
$21.13B
636.623K
$125.36M
541
EL The Estee Lauder Companies Inc. Class A $85.42
$21.12B
1.163M
$99.31M
542
$106.12
$21.10B
1.283M
$136.19M
543
BNTX BioNTech SE American Depositary Share $87.83
$21.08B
866.957K
$76.14M
544
LDOS Leidos Holdings, Inc. $165.58
$20.93B
285.367K
$47.25M
545
ALAB Astera Labs, Inc. Common Stock $122.64
$20.88B
2.114M
$259.28M
546
$19.11
$20.82B
9.167M
$175.13M
547
CHRW C.H. Robinson Worldwide, Inc. $174.29
$20.67B
712.978K
$124.26M
548
KEP Korea Electric Power Corp $16.06
$20.61B
296.145K
$4.75M
549
BR Broadridge Financial Solutions Inc $175.20
$20.45B
300.719K
$52.69M
550
MRNA Moderna, Inc. Common Stock $51.73
$20.43B
2.223M
$114.99M
551
$13.09
$20.43B
2.91M
$38.08M
552
$169.05
$20.29B
464.682K
$78.55M
553
$102.79
$20.28B
699.105K
$71.86M
554
ZM Zoom Video Communications, Inc. Class A Common Stock $75.82
$20.17B
895.021K
$67.86M
555
SBS COMPANHIA DE SANEAMENTO B SICO DO ESTADO DE SAO PAULO-SABESP ADS'S $28.56
$20.10B
798.433K
$22.80M
556
LEN Lennar Corporation Class A $92.95
$20.06B
1.195M
$111.03M
557
PAAS Pan American Silver Corp. $47.41
$20.00B
10.246M
$485.74M
558
$37.43
$19.97B
5.525M
$206.79M
559
$145.84
$19.97B
875.626K
$127.70M
560
LUV Southwest Airlines Co. $40.44
$19.87B
3.261M
$131.86M
561
$283.79
$19.85B
176.567K
$50.11M
562
$103.81
$19.82B
1.035M
$107.45M
563
IHG InterContinental Hotels Group Plc $130.03
$19.60B
115.265K
$14.99M
564
RVMD Revolution Medicines, Inc. Common Stock $98.85
$19.59B
570.803K
$56.42M
565
EXPD Expeditors International of Washington, Inc. $146.49
$19.56B
368.694K
$54.01M
566
CF CF Industries Holding, Inc. $127.00
$19.52B
3.787M
$480.87M
567
ROIV Roivant Sciences Ltd. Common Shares $27.25
$19.50B
1.568M
$42.72M
568
FCNCA First Citizens BancShares Inc $1,781.91
$19.48B
59.967K
$106.86M
569
USFD US Foods Holding Corp. $88.29
$19.47B
1.039M
$91.69M
570
$37.04
$19.42B
2.579M
$95.53M
571
RPRX Royalty Pharma plc Class A Ordinary Shares $45.32
$19.42B
932.14K
$42.24M
572
BURL BURLINGTON STORES, INC. $308.16
$19.39B
275.826K
$85.00M
573
RIVN Rivian Automotive, Inc. Class A Common Stock $15.66
$19.37B
52.737M
$825.59M
574
CRDO Credo Technology Group Holding Ltd Ordinary Shares $104.70
$19.31B
3.471M
$363.39M
575
NVT nVent Electric plc Ordinary Shares $119.39
$19.31B
990.282K
$118.23M
576
BCH Banco de ChileAmerican Depositary Shares (Each representing 200 shares of Common Stock) $38.19
$19.29B
117.61K
$4.49M
577
$137.49
$19.20B
2.515M
$345.85M
578
SBAC SBA Communications Corp $181.20
$19.17B
201.097K
$36.44M
579
$126.06
$19.10B
369.133K
$46.53M
580
$67.82
$18.98B
1.218M
$82.64M
581
YUMC Yum China Holdings, Inc. Common Stock $53.49
$18.89B
872.842K
$46.69M
582
$123.52
$18.89B
384.891K
$47.54M
583
TROW T Rowe Price Group Inc $86.50
$18.86B
824.062K
$71.28M
584
BWXT BWX Technologies, Inc. $206.01
$18.84B
396.815K
$81.75M
585
$159.81
$18.80B
831.788K
$132.93M
586
$221.65
$18.80B
1.153M
$255.64M
587
CRS Carpenter Technology Corp $376.21
$18.74B
261.469K
$98.37M
588
JBHT JB Hunt Transport Services Inc $197.64
$18.70B
313.767K
$62.01M
589
$358.58
$18.67B
116.503K
$41.78M
590
FWONK Liberty Media Corporation Series C Liberty Formula One Common Stock $83.26
$18.66B
580.927K
$48.37M
591
$6.43
$18.63B
13.972M
$89.84M
592
$80.84
$18.62B
859.993K
$69.52M
593
$519.00
$18.59B
166.61K
$86.47M
594
FLUT Flutter Entertainment plc $105.84
$18.55B
586.997K
$62.12M
595
PFG Principal Financial Group, Inc. $85.43
$18.52B
380.126K
$32.47M
596
BBD Banco Bradesco S.A. American Depositary Shares (Each representing one Preferred Shares) $3.48
$18.38B
19.926M
$69.24M
597
PKX POSCO Holdings Inc. American Depositary Shares (Each representing 1/4th of a share of Common Stock) $56.75
$18.37B
85.397K
$4.85M
598
LULU lululemon athletica inc. $163.56
$18.35B
1.785M
$292.00M
599
$92.07
$18.32B
518.823K
$47.77M
600
PKG Packaging Corp of America $204.29
$18.22B
585.764K
$119.66M