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
CTSHCognizant Technology Solutions
$52.77
-0.24
-0.45%
$25.01B
6.302M
$332.57M
502
UTHRUnited Therapeutics Corp
$570.40
-4.60
-0.80%
$25.00B
143.288K
$81.73M
503
PKXPOSCO Holdings Inc. American Depositary Shares (Each representing 1/4th of a share of Common Stock)
$78.50
+0.15
+0.19%
$24.88B
141.323K
$11.09M
504
AWKAmerican Water Works Company, Inc
$127.41
-1.00
-0.78%
$24.88B
1.215M
$154.80M
505
WRBW.R. Berkley Corporation
$66.38
-0.84
-1.25%
$24.86B
1.274M
$84.57M
506
VRSNVeriSign Inc
$272.44
+1.35
+0.50%
$24.79B
422.785K
$115.18M
507
BNTXBioNTech SE American Depositary Share
$97.41
-2.22
-2.23%
$24.63B
962.274K
$93.74M
508
FTAIFTAI Aviation Ltd. Common Stock
$239.38
-10.81
-4.32%
$24.56B
1.464M
$350.36M
509
TSEMTower Semiconductor Ltd
$217.46
-0.08
-0.04%
$24.53B
1.313M
$285.45M
510
FICOFair Isaac Corporation
$1,032.59
+3.58
+0.35%
$24.50B
214.935K
$221.94M
511
RFRegions Financial Corp.
$28.26
-0.26
-0.91%
$24.40B
4.833M
$136.59M
512
FMXFOMENTO ECONOMICO MEXICANO, S.A.B. DE C.V.
$119.97
+1.59
+1.34%
$24.27B
423.53K
$50.81M
513
EQREquity Residential
$64.75
-0.71
-1.08%
$24.26B
1.69M
$109.44M
514
WTWWillis Towers Watson Public Limited Company Ordinary Shares
$256.34
+0.14
+0.05%
$24.15B
1.355M
$347.41M
515
NMRNomura Holdings, Inc
$7.82
-0.01
-0.06%
$24.14B
1.258M
$9.83M
516
BGBunge Global SA
$124.51
-2.61
-2.05%
$24.13B
962.124K
$119.79M
517
LYBLyondellBasell Industries N.V. Class A
$74.75
+0.15
+0.20%
$24.13B
6.431M
$480.74M
518
PPGPPG Industries, Inc.
$107.43
-1.49
-1.37%
$24.04B
1.273M
$136.76M
519
EXEExpand Energy Corporation Common Stock
$99.90
-2.23
-2.18%
$24.02B
2.315M
$231.27M
520
FISFidelity National Information Services, Inc.
$46.54
-0.23
-0.49%
$23.94B
2.61M
$121.46M
521
PEverpure, Inc.
$71.97
+0.51
+0.71%
$23.78B
1.004M
$72.25M
522
VRSKVerisk Analytics, Inc. Common Stock
$181.11
-6.07
-3.24%
$23.73B
1.294M
$234.39M
523
RDDTReddit, Inc.
$166.80
-0.22
-0.13%
$23.67B
13.207M
$2.20B
524
DXCMDexCom, Inc.
$61.00
+3.25
+5.63%
$23.54B
9.498M
$579.36M
525
JBHTJB Hunt Transport Services Inc
$248.73
-2.80
-1.11%
$23.53B
451.745K
$112.36M
526
AERAercap Holdings N.V.
$140.94
-6.07
-4.13%
$23.52B
1.08M
$152.20M
527
SBSCOMPANHIA DE SANEAMENTO B SICO DO ESTADO DE SAO PAULO-SABESP ADS'S
$33.30
-0.24
-0.72%
$23.47B
489.503K
$16.30M
528
KEYKeyCorp
$21.86
-0.25
-1.13%
$23.45B
4.776M
$104.39M
529
CMSCMS Energy Corporation
$76.03
-0.61
-0.80%
$23.42B
2.563M
$194.86M
530
SBACSBA Communications Corp
$218.58
-3.42
-1.54%
$23.18B
434.493K
$94.97M
531
ULTAUlta Beauty, Inc. Common Stock
$531.95
-8.05
-1.49%
$23.17B
399.519K
$212.52M
532
LLoews Corporation
$112.61
+0.80
+0.72%
$23.17B
838.223K
$94.39M
533
CRCLCircle Internet Group, Inc.
$100.60
+9.05
+9.89%
$22.99B
8.947M
$900.07M
534
ALBAlbemarle Corporation
$193.87
-3.60
-1.82%
$22.85B
1.134M
$219.81M
535
FSLRFirst Solar, Inc.
$212.50
+11.50
+5.72%
$22.83B
4.663M
$990.95M
536
NINiSource Inc.
$47.55
-0.73
-1.51%
$22.79B
3.865M
$183.79M
537
CHDChurch & Dwight Co., Inc.
$96.02
-1.03
-1.06%
$22.74B
3.146M
$302.05M
538
PHMPultegroup, Inc.
$119.21
-4.29
-3.47%
$22.71B
981.544K
$117.01M
539
TROWT Rowe Price Group Inc
$103.42
+0.42
+0.41%
$22.50B
1.681M
$173.82M
540
ZSZscaler, Inc. Common Stock
$139.95
+6.95
+5.23%
$22.50B
2.515M
$352.03M
541
BCEBCE, Inc.
$23.96
+0.16
+0.67%
$22.34B
1.733M
$41.53M
542
MKLMarkel Group Inc.
$1,779.36
-2.66
-0.15%
$22.33B
107.107K
$190.58M
543
DRIDarden Restaurants, Inc.
$194.76
-5.98
-2.98%
$22.31B
963.777K
$187.71M
544
NTAPNetApp, Inc
$111.90
+1.80
+1.63%
$22.08B
845.037K
$94.56M
545
RPRXRoyalty Pharma plc Class A Ordinary Shares
$49.47
-1.14
-2.25%
$21.98B
1.952M
$96.57M
546
PFGPrincipal Financial Group, Inc.
$101.19
+0.63
+0.63%
$21.93B
905.219K
$91.60M
547
OMCOmnicom Group Inc.
$76.92
-0.29
-0.38%
$21.92B
3.223M
$247.88M
548
PAASPan American Silver Corp.
$51.87
-0.11
-0.21%
$21.86B
4.126M
$214.04M
549
FCNCAFirst Citizens BancShares Inc
$1,984.44
+1.44
+0.07%
$21.69B
31.397K
$62.31M
550
WWDWoodward, Inc.
$362.99
-5.02
-1.36%
$21.64B
797.896K
$289.63M
551
ENTGEntegris Inc
$142.29
+1.29
+0.91%
$21.63B
3.804M
$541.29M
552
VLTOVeralto Corporation
$87.63
-0.84
-0.95%
$21.52B
1.235M
$108.26M
553
WITWipro Limited
$2.05
+0.01
+0.48%
$21.50B
2.941M
$6.03M
554
IHGInterContinental Hotels Group Plc
$142.94
-0.16
-0.11%
$21.47B
134.331K
$19.20M
555
WSMWilliams-Sonoma, Inc.
$180.25
-1.53
-0.84%
$21.45B
721.982K
$130.14M
556
CRSCarpenter Technology Corp
$429.41
+7.50
+1.78%
$21.39B
437.052K
$187.67M
557
DGXQuest Diagnostics Inc.
$192.67
-1.83
-0.94%
$21.33B
519.217K
$100.04M
558
WSTWest Pharmaceutical Services, Inc.
$300.68
+5.68
+1.93%
$21.24B
504.242K
$151.62M
559
CHTRCharter Comm Inc Del CL A New
$172.20
+4.82
+2.88%
$21.18B
3.571M
$614.86M
560
MDBMongoDB, Inc. Class A
$263.00
+11.48
+4.56%
$21.14B
1.22M
$320.84M
561
MTSIMACOM Technology Solutions Holdings, Inc
$281.75
+1.15
+0.41%
$21.13B
503.225K
$141.78M
562
ATIATI Inc.
$154.60
-2.54
-1.62%
$21.10B
1.248M
$192.90M
563
STESTERIS plc
$214.40
-3.39
-1.56%
$21.03B
535.83K
$114.88M
564
LHLabcorp Holdings Inc.
$255.84
-5.39
-2.06%
$21.03B
508.458K
$130.08M
565
SOFISoFi Technologies, Inc. Common Stock
$16.46
+0.21
+1.30%
$20.99B
73.18M
$1.20B
566
CHRWC.H. Robinson Worldwide, Inc.
$177.67
-6.47
-3.51%
$20.94B
1.255M
$222.94M
567
CPAYCorpay, Inc.
$307.22
-2.28
-0.74%
$20.91B
191.123K
$58.72M
568
ASTSAST SpaceMobile, Inc. Class A Common Stock
$70.94
-3.34
-4.50%
$20.76B
12.391M
$878.99M
569
EFXEquifax, Incorporated
$173.85
-1.16
-0.66%
$20.70B
873.815K
$151.91M
570
STLAStellantis N.V.
$7.14
-0.18
-2.46%
$20.69B
27.488M
$196.26M
571
SWSmurfit Westrock plc
$39.43
+1.08
+2.82%
$20.67B
4.939M
$194.75M
572
ILMNIllumina Inc
$135.50
+9.50
+7.54%
$20.58B
2.343M
$317.44M
573
USFDUS Foods Holding Corp.
$93.04
-0.46
-0.49%
$20.49B
1.41M
$131.23M
574
BBDBanco Bradesco S.A. American Depositary Shares (Each representing one Preferred Shares)
$3.85
-0.03
-0.84%
$20.36B
12.924M
$49.76M
575
MAIRMadison Air Solutions Corporation
$40.17
+1.99
+5.21%
$20.14B
2.518M
$101.16M
576
BURLBURLINGTON STORES, INC.
$318.00
-2.01
-0.63%
$19.98B
288.908K
$91.87M
577
BWXTBWX Technologies, Inc.
$217.00
-0.05
-0.02%
$19.88B
490.743K
$106.49M
578
APGAPi Group Corporation
$45.94
+0.24
+0.53%
$19.87B
3.618M
$166.22M
579
GPNGlobal Payments, Inc.
$72.01
-0.48
-0.66%
$19.82B
2.314M
$166.66M
580
RGLDRoyal Gold Inc
$232.55
+1.01
+0.44%
$19.73B
493.834K
$114.84M
581
FWONKLiberty Media Corporation Series C Liberty Formula One Common Stock
$88.02
+0.08
+0.09%
$19.73B
1.839M
$161.84M
582
SNASnap-on Incorporated
$380.39
-4.41
-1.15%
$19.70B
200.566K
$76.29M
583
AFRMAffirm Holdings, Inc. Class A Common Stock
$67.30
+2.90
+4.50%
$19.68B
6.072M
$408.61M
584
ROIVRoivant Sciences Ltd. Common Shares
$27.36
-1.27
-4.43%
$19.58B
3.155M
$86.33M
585
EXPDExpeditors International of Washington, Inc.
$147.23
-1.17
-0.79%
$19.58B
557.076K
$82.02M
586
ELThe Estee Lauder Companies Inc. Class A
$79.18
+0.20
+0.25%
$19.57B
6.28M
$497.25M
587
BROBrown & Brown, Inc.
$57.42
-1.34
-2.28%
$19.55B
3.94M
$226.25M
588
ASAmer Sports, Inc.
$35.24
+0.26
+0.74%
$19.54B
2.717M
$95.73M
589
TUTelus Corporation
$12.50
+0.00
+0.00%
$19.52B
2.403M
$30.04M
590
RBARB Global, Inc.
$104.90
+0.05
+0.05%
$19.50B
936.276K
$98.22M
591
KEPKorea Electric Power Corp
$15.13
+0.13
+0.87%
$19.43B
274.305K
$4.15M
592
PKGPackaging Corp of America
$218.06
+1.41
+0.65%
$19.41B
616.471K
$134.43M
593
SATSEchoStar Corporation
$123.18
-0.67
-0.54%
$19.40B
1.985M
$244.56M
594
INCYIncyte Genomics Inc
$97.40
+3.20
+3.40%
$19.38B
953.512K
$92.87M
595
LNTAlliant Energy Corporation Common Stock
$74.06
+0.63
+0.86%
$19.13B
3.844M
$284.72M
596
LENLennar Corporation Class A
$88.46
-2.13
-2.35%
$19.09B
1.825M
$161.41M
597
HPQHP Inc.
$20.84
-0.04
-0.19%
$19.06B
10.361M
$215.93M
598
EVRGEvergy, Inc.
$82.61
-0.25
-0.30%
$19.02B
1.158M
$95.70M
599
BEKEKE Holdings Inc. American Depositary Shares (each representing three Class A Ordinary Shares)
$17.00
-0.05
-0.29%
$19.02B
2.448M
$41.61M
600
DDDuPont de Nemours, Inc. Common Stock
$46.24
+0.73
+1.60%
$18.95B
2.707M
$125.16M