Stock Rankings by Market Cap - Rankings 601 to 700

Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 601 to 700.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Market Cap
Volume (Day)
$ Volume (Day)
601
XPEVXPeng Inc. American depositary shares, each representing two Class A ordinary shares
$20.38
-0.06
-0.29%
$19.44B
8.975M
$182.91M
602
TSTenaris S. A.
$38.45
-0.39
-1.00%
$19.41B
533.051K
$20.50M
603
GFSGlobalFoundries Inc. Ordinary Shares
$34.92
-0.88
-2.46%
$19.40B
1.904M
$66.48M
604
PFGPrincipal Financial Group, Inc.
$88.21
-0.69
-0.78%
$19.38B
372.304K
$32.84M
605
AMCRAmcor plc Ordinary Shares
$41.89
-0.11
-0.27%
$19.34B
1.229M
$51.48M
606
DGXQuest Diagnostics Inc.
$173.53
-1.96
-1.12%
$19.30B
419.664K
$72.82M
607
EXASExact Sciences Corp
$101.56
-0.24
-0.24%
$19.29B
1.184M
$120.25M
608
INCYIncyte Genomics Inc
$98.00
-0.43
-0.44%
$19.24B
1.06M
$103.92M
609
BCHBanco de ChileAmerican Depositary Shares (Each representing 200 shares of Common Stock)
$38.05
-0.04
-0.11%
$19.22B
103.608K
$3.94M
610
RBARB Global, Inc.
$102.86
-1.85
-1.77%
$19.10B
478.512K
$49.22M
611
VIVTelefonica Brasil, S.A. American Depositary Shares (Each representing One Common Share)
$11.85
-0.03
-0.25%
$18.93B
276.169K
$3.27M
612
CHRWC.H. Robinson Worldwide, Inc.
$160.00
-1.91
-1.18%
$18.90B
583.838K
$93.41M
613
UUnity Software Inc.
$44.16
-0.85
-1.89%
$18.90B
4.573M
$201.95M
614
RGLDRoyal Gold Inc
$222.65
-0.60
-0.27%
$18.79B
419.687K
$93.44M
615
SGISomnigroup International Inc.
$89.28
-1.11
-1.23%
$18.74B
533.604K
$47.64M
616
GMABGenmab A/S ADS
$30.38
-1.04
-3.31%
$18.71B
1.819M
$55.26M
617
TRMBTrimble Inc. Common Stock
$78.35
-1.10
-1.38%
$18.64B
808.693K
$63.36M
618
CRCLCircle Internet Group, Inc.
$78.83
-1.14
-1.43%
$18.56B
5.041M
$397.40M
619
PKGPackaging Corp of America
$206.23
-1.61
-0.77%
$18.56B
239.066K
$49.30M
620
JBHTJB Hunt Transport Services Inc
$195.46
-0.75
-0.38%
$18.49B
430.24K
$84.09M
621
TTDThe Trade Desk, Inc.
$37.89
-0.21
-0.55%
$18.32B
6.69M
$253.48M
622
MKCMcCormick & Company, Incorporated Non-VTG CS
$68.11
-0.24
-0.35%
$18.28B
1.075M
$73.19M
623
MKC.VMcCormick & Company, Incorporated Voting CS
$68.01
-0.09
-0.13%
$18.26B
699
$47.54K
624
FIGFigma, Inc.
$36.79
-0.76
-2.02%
$18.23B
4.476M
$164.66M
625
BURLBURLINGTON STORES, INC.
$288.85
+1.13
+0.39%
$18.18B
514.935K
$148.74M
626
ITGartner, Inc.
$252.12
-2.32
-0.91%
$18.17B
466.767K
$117.68M
627
WWDWoodward, Inc.
$302.32
-1.82
-0.60%
$18.14B
207.386K
$62.70M
628
SNASnap-on Incorporated
$344.60
-4.67
-1.34%
$17.92B
136.444K
$47.02M
629
ZBHZimmer Biomet Holdings, Inc.
$90.35
-0.26
-0.29%
$17.91B
709.139K
$64.07M
630
FTITechnipFMC plc Ordinary Share
$44.15
-1.10
-2.43%
$17.86B
1.429M
$63.08M
631
DKSDick's Sporting Goods, Inc.
$197.97
-2.21
-1.10%
$17.81B
839.096K
$166.12M
632
CDWCDW Corporation
$136.20
-2.19
-1.58%
$17.73B
600.225K
$81.75M
633
BEKEKE Holdings Inc. American Depositary Shares (each representing three Class A Ordinary Shares)
$15.76
-0.06
-0.38%
$17.67B
5.757M
$90.73M
634
FTVFortive Corporation
$55.21
-0.73
-1.30%
$17.54B
1.123M
$62.02M
635
PINSPinterest, Inc. Class A Common Stock
$25.89
-0.06
-0.23%
$17.49B
7.171M
$185.66M
636
THCTenet Healthcare Corporation New
$198.72
-1.93
-0.96%
$17.46B
485.588K
$96.50M
637
SMCISuper Micro Computer, Inc. Common Stock
$29.24
-0.36
-1.22%
$17.46B
21.445M
$627.06M
638
IFFInternational Flavors & Fragrances Inc.
$67.30
-0.31
-0.46%
$17.24B
834.749K
$56.18M
639
BGBunge Global SA
$89.09
-0.41
-0.46%
$17.23B
522.89K
$46.58M
640
MTZMasTec, Inc.
$217.49
-3.35
-1.52%
$17.16B
259.696K
$56.48M
641
INVHInvitation Homes Inc. Common Stock
$27.98
+0.00
+0.00%
$17.15B
2.833M
$79.25M
642
DKNGDraftKings Inc. Class A Common Stock
$34.44
-0.16
-0.46%
$17.14B
5.625M
$193.71M
643
TLNTalen Energy Corporation Common Stock
$374.84
-5.16
-1.36%
$17.13B
283.771K
$106.37M
644
GPCGenuine Parts Company
$122.96
-0.75
-0.61%
$17.11B
389.278K
$47.87M
645
QQnity Electronics, Inc.
$81.65
-1.75
-2.10%
$17.10B
872.833K
$71.27M
646
GWREGUIDEWIRE SOFTWARE, INC.
$201.01
-1.03
-0.51%
$17.09B
596.5K
$119.90M
647
PNRPentair plc
$104.14
-1.64
-1.55%
$17.04B
375.211K
$39.07M
648
WYWeyerhaeuser Company
$23.65
-0.25
-1.05%
$17.04B
3.217M
$76.08M
649
LILi Auto Inc. American Depositary Shares
$16.80
+0.00
+0.00%
$17.02B
7.173M
$120.50M
650
DDDuPont de Nemours, Inc. Common Stock
$40.58
-0.03
-0.07%
$17.00B
2.369M
$96.14M
651
VGVenture Global, Inc.
$6.91
-0.10
-1.43%
$16.92B
9.595M
$66.30M
652
LIILennox International Inc.
$485.58
-6.95
-1.41%
$16.90B
124.297K
$60.36M
653
YUMCYum China Holdings, Inc. Common Stock
$47.72
+0.01
+0.02%
$16.87B
478.963K
$22.86M
654
ESSEssex Property Trust, Inc
$261.68
-2.40
-0.91%
$16.85B
234.768K
$61.43M
655
USFDUS Foods Holding Corp.
$75.32
-0.53
-0.70%
$16.79B
1.919M
$144.57M
656
GDDYGoDaddy Inc
$124.08
-1.62
-1.29%
$16.77B
590.507K
$73.27M
657
GENGen Digital Inc. Common Stock
$27.18
-0.07
-0.26%
$16.76B
1.395M
$37.92M
658
CXCemex S.A.B. de C.V.
$11.55
-0.04
-0.35%
$16.76B
3.428M
$39.59M
659
DOWDow Inc.
$23.36
-0.09
-0.38%
$16.75B
5.688M
$132.87M
660
LNTAlliant Energy Corporation Common Stock
$65.01
-0.51
-0.78%
$16.71B
790.08K
$51.36M
661
SBSCOMPANHIA DE SANEAMENTO B SICO DO ESTADO DE SAO PAULO-SABESP ADS'S
$23.86
-0.28
-1.16%
$16.71B
442.052K
$10.55M
662
EVRGEvergy, Inc.
$72.37
-0.83
-1.13%
$16.66B
693.558K
$50.19M
663
ALBAlbemarle Corporation
$141.44
+0.36
+0.26%
$16.65B
1.287M
$181.96M
664
HOLXHologic Inc
$74.49
-0.03
-0.04%
$16.63B
1.239M
$92.33M
665
ZGZILLOW GROUP INC CLASS A
$68.23
-1.07
-1.54%
$16.52B
1.022M
$69.71M
666
ZZillow Group, Inc. Class C Capital Stock
$68.22
-0.92
-1.33%
$16.51B
1.884M
$128.55M
667
RPRXRoyalty Pharma plc Class A Ordinary Shares
$38.64
-1.32
-3.30%
$16.51B
1.823M
$70.45M
668
TRUTransUnion
$85.00
-1.82
-2.10%
$16.51B
1.235M
$104.94M
669
NWSNews Corporation Class B Common Stock
$29.71
-0.35
-1.17%
$16.50B
407.251K
$12.10M
670
TKOTKO Group Holdings, Inc.
$209.10
-5.11
-2.39%
$16.50B
571.893K
$119.58M
671
APGAPi Group Corporation
$38.26
-0.61
-1.57%
$16.49B
1.295M
$49.56M
672
NVTnVent Electric plc Ordinary Shares
$101.97
-1.08
-1.05%
$16.45B
922.994K
$94.12M
673
APTVAptiv PLC
$76.09
-0.65
-0.85%
$16.44B
664.591K
$50.57M
674
AGIAlamos Gold Inc. Class A Common Shares
$39.15
+0.44
+1.13%
$16.44B
1.011M
$39.58M
675
FNFabrinet
$455.28
-8.73
-1.88%
$16.31B
311.115K
$141.64M
676
ZTOZTO Express (Cayman) Inc. American Depositary Shares, each representing one Class A ordinary share
$20.71
-0.26
-1.24%
$16.30B
770.918K
$15.97M
677
MAAMid-America Apartment Communities, Inc.
$138.91
-0.99
-0.71%
$16.26B
365.016K
$50.70M
678
WESWestern Midstream Partners, LP
$39.66
+0.07
+0.18%
$16.18B
756.162K
$29.99M
679
PKXPOSCO Holdings Inc. American Depositary Shares (Each representing 1/4th of a share of Common Stock)
$53.21
+0.00
+0.00%
$16.10B
55.348K
$2.95M
680
ROKURoku, Inc. Class A Common Stock
$108.75
-1.85
-1.67%
$16.07B
1.486M
$161.65M
681
WMGWarner Music Group Corp. Class A Common Stock
$30.67
+0.34
+1.12%
$16.02B
1.068M
$32.77M
682
JBSJBS N.V.
$14.42
+0.01
+0.07%
$15.99B
2.193M
$31.63M
683
XPOXPO, Inc.
$135.91
-1.17
-0.85%
$15.95B
497.09K
$67.56M
684
BIPBrookfield Infrastructure Partners L.P. Limited Partnership Units
$34.40
-0.57
-1.63%
$15.95B
273.69K
$9.41M
685
IONQIonQ, Inc.
$44.86
-0.26
-0.58%
$15.89B
10.228M
$458.84M
686
JLLJones Lang LaSalle, Inc.
$336.47
-2.43
-0.72%
$15.88B
156.332K
$52.60M
687
ULSUL Solutions Inc.
$78.86
-1.23
-1.54%
$15.85B
636.599K
$50.20M
688
BWXTBWX Technologies, Inc.
$173.28
-0.39
-0.22%
$15.84B
389.227K
$67.45M
689
NLYAnnaly Capital Management. Inc.
$22.38
-0.03
-0.13%
$15.82B
7.122M
$159.40M
690
MEDPMedpace Holdings, Inc. Common Stock
$561.65
-6.35
-1.12%
$15.82B
102.932K
$57.81M
691
ATIATI Inc.
$115.99
-0.73
-0.63%
$15.76B
519.832K
$60.30M
692
CRSCarpenter Technology Corp
$314.84
-4.80
-1.50%
$15.68B
360.847K
$113.61M
693
JJacobs Solutions Inc.
$132.46
-1.81
-1.35%
$15.64B
197.811K
$26.20M
694
LTMLATAM Airlines Group S.A. American Depositary Shares (each representing two thousand (2,000) shares of Common Stock)
$54.00
+0.22
+0.41%
$15.50B
230.566K
$12.45M
695
SNSharkNinja, Inc.
$109.67
-4.28
-3.76%
$15.48B
566.635K
$62.14M
696
EWBCEast-West Bancorp Inc
$112.39
-1.61
-1.41%
$15.46B
378.43K
$42.53M
697
ONONOn Holding AG
$46.69
-0.69
-1.46%
$15.42B
2.686M
$125.43M
698
RVMDRevolution Medicines, Inc. Common Stock
$79.65
-0.05
-0.06%
$15.40B
512.988K
$40.86M
699
COOThe Cooper Companies, Inc. Common Stock
$78.50
-3.63
-4.42%
$15.38B
779.87K
$61.22M
700
TXTTextron, Inc.
$87.17
-1.63
-1.84%
$15.36B
1.133M
$98.79M