Stock Rankings by Market Cap - Rankings 701 to 800

Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 701 to 800.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Market Cap
Volume (Day)
$ Volume (Day)
701
LECOLincoln Electric Holdings Inc
$275.81
+3.53
+1.30%
$15.11B
155.996K
$43.03M
702
THCTenet Healthcare Corporation New
$174.96
-3.57
-2.00%
$15.07B
484.076K
$84.69M
703
YUMCYum China Holdings, Inc. Common Stock
$42.94
+0.11
+0.26%
$14.99B
1.23M
$52.80M
704
RMBSRambus Inc
$136.88
+3.70
+2.78%
$14.80B
1.992M
$272.65M
705
SUISun Communities, Inc
$120.03
-3.30
-2.68%
$14.79B
357.753K
$42.94M
706
OVVOvintiv Inc.
$52.63
-0.89
-1.66%
$14.79B
2.415M
$127.12M
707
BWABorgWarner Inc.
$72.10
+0.44
+0.61%
$14.79B
1.059M
$76.37M
708
SMTCSemtech Corp
$158.64
+4.94
+3.21%
$14.78B
1.408M
$223.33M
709
CSLCarlisle Companies, Inc.
$364.54
+14.63
+4.18%
$14.75B
168.774K
$61.52M
710
TOLToll Brothers, Inc.
$156.71
+3.89
+2.55%
$14.65B
546.719K
$85.68M
711
JHXJAMES HARDIE INDUSTRIES plc.
$25.24
+0.48
+1.92%
$14.64B
3.681M
$92.90M
712
TLKPT Telekomunikasi Indonesia
$14.78
-0.44
-2.86%
$14.64B
504.103K
$7.45M
713
DTMDT Midstream, Inc.
$142.11
+0.99
+0.70%
$14.50B
288.528K
$41.00M
714
PNFPPinnacle Financial Partners In
$95.72
-0.54
-0.56%
$14.46B
418.77K
$40.08M
715
WULFTeraWulf Inc. Common Stock
$29.13
+0.63
+2.21%
$14.43B
19.314M
$562.62M
716
TIGOMillicom International Cellular S.A. Common Stock
$85.34
-2.40
-2.74%
$14.42B
705.876K
$60.24M
717
RTORentokil Initial plc American Depositary Shares (each representing five (5) Ordinary Shares)
$28.52
-0.08
-0.26%
$14.41B
807.603K
$23.03M
718
GENGen Digital Inc. Common Stock
$23.87
-0.34
-1.40%
$14.38B
2.532M
$60.44M
719
UNMUnum Group
$89.98
-2.00
-2.17%
$14.38B
905.713K
$81.50M
720
EVREvercore Inc.
$370.95
+0.95
+0.26%
$14.35B
122.193K
$45.33M
721
HUTHut 8 Corp. Common Stock
$126.25
+5.60
+4.64%
$14.22B
2.134M
$269.46M
722
JJacobs Solutions Inc.
$120.34
-4.22
-3.39%
$14.21B
775.867K
$93.37M
723
SBUXStarbucks Corp
$101.18
+1.07
+1.06%
$14.13B
4.474M
$452.63M
724
REGRegency Centers Corporation
$77.09
-0.68
-0.87%
$14.11B
562.597K
$43.37M
725
ARMKARAMARK
$53.44
-0.56
-1.04%
$14.05B
726.733K
$38.84M
726
GRABGrab Holdings Limited Class A Ordinary Shares
$3.54
+0.07
+2.01%
$14.05B
41.229M
$145.95M
727
JAZZJazz Pharmaceuticals, Inc.
$223.22
-4.25
-1.87%
$14.02B
414.726K
$92.58M
728
AEISAdvanced Energy Industries Inc
$368.54
+8.41
+2.33%
$14.02B
330.116K
$121.66M
729
IESCIES Holdings, Inc. Common Stock
$702.88
+3.06
+0.44%
$14.00B
126.69K
$89.05M
730
ALLYAlly Financial Inc.
$45.68
-0.33
-0.71%
$14.00B
1.069M
$48.82M
731
WSOWatsco, Inc.
$398.83
+12.90
+3.34%
$13.97B
134.196K
$53.52M
732
NWSANews Corporation Class A Common Stock
$25.66
-0.35
-1.33%
$13.97B
3.62M
$92.87M
733
RPMRPM International, Inc.
$108.79
+1.42
+1.32%
$13.88B
264.469K
$28.77M
734
RKTRocket Companies, Inc.
$14.14
+0.68
+5.01%
$13.86B
25.127M
$355.17M
735
JLLJones Lang LaSalle, Inc.
$297.58
-6.86
-2.25%
$13.81B
250.569K
$74.56M
736
SKMSK Telecom Co., Ltd. American Depositary Shares (Each representing 5/9th of a Ordinary Share of SK Telecom Co., LTD.)
$35.67
+0.07
+0.20%
$13.79B
1.945M
$69.37M
737
RGAReinsurance Group of America, Incorporated
$209.94
-1.74
-0.82%
$13.75B
194.408K
$40.81M
738
APTVAptiv PLC
$64.38
+0.99
+1.56%
$13.62B
1.218M
$78.44M
739
PSPershing Square Inc.
$34.00
-0.40
-1.16%
$13.60B
111.994K
$3.81M
740
DYDycom Industries, Inc.
$452.39
-18.22
-3.87%
$13.59B
355.426K
$160.79M
741
SOLSSolstice Advanced Materials Inc. Common Stock
$85.06
-0.58
-0.68%
$13.51B
381.717K
$32.47M
742
SWKStanley Black & Decker, Inc.
$86.83
+3.20
+3.82%
$13.50B
640.732K
$55.63M
743
DOCHealthpeak Properties, Inc.
$19.58
+0.08
+0.38%
$13.50B
2.877M
$56.31M
744
DVADaVita Inc.
$209.32
-2.67
-1.26%
$13.44B
285.612K
$59.78M
745
LDOSLeidos Holdings, Inc.
$106.45
-2.21
-2.03%
$13.39B
1.045M
$111.29M
746
HRLHormel Foods Corporation
$24.31
-0.03
-0.10%
$13.38B
1.978M
$48.07M
747
TEAMAtlassian Corporation Class A Common Stock
$83.75
-1.54
-1.81%
$13.37B
2.173M
$182.02M
748
CRBGCorebridge Financial, Inc.
$29.17
-0.69
-2.29%
$13.32B
1.289M
$37.60M
749
SANMSanmina Corp
$248.34
-5.75
-2.26%
$13.31B
276.468K
$68.66M
750
AEGAegon Ltd.
$8.45
+0.00
+0.00%
$13.29B
4.628M
$39.10M
751
PTCPTC, INC
$114.86
-2.24
-1.91%
$13.27B
980.445K
$112.61M
752
EGEverest Group, Ltd.
$334.48
-0.97
-0.29%
$13.24B
203.07K
$67.92M
753
GLGlobe Life Inc.
$170.40
-1.88
-1.09%
$13.23B
471.953K
$80.42M
754
APLDApplied Digital Corporation Common Stock
$46.28
-0.27
-0.58%
$13.23B
8.566M
$396.45M
755
OHIOmega Healthcare Investors Inc.
$44.33
-0.41
-0.91%
$13.20B
1.318M
$58.44M
756
CNHCNH INDUSTRIAL N.V.
$10.61
+0.21
+2.02%
$13.16B
4.552M
$48.30M
757
BBIOBridgeBio Pharma, Inc. Common Stock
$66.90
-1.19
-1.74%
$13.10B
1.349M
$90.27M
758
EXELExelixis Inc
$52.09
-0.35
-0.67%
$13.09B
1.062M
$55.33M
759
DKNGDraftKings Inc. Class A Common Stock
$26.33
-0.09
-0.32%
$13.06B
9.231M
$243.01M
760
HTHTH World Group Limited American Depositary Shares
$42.47
-0.88
-2.03%
$13.06B
1.85M
$78.57M
761
MEDPMedpace Holdings, Inc. Common Stock
$456.47
-8.67
-1.86%
$13.04B
137.261K
$62.65M
762
BTSGBrightSpring Health Services, Inc. Common Stock
$65.79
+0.93
+1.43%
$12.98B
1.369M
$90.09M
763
LAMRLamar Advertising Co
$149.07
-1.35
-0.90%
$12.98B
198.815K
$29.64M
764
CHKPCheck Point Software Technologies Ltd
$122.84
+0.84
+0.69%
$12.97B
501.605K
$61.62M
765
ARCCAres Capital Corporation
$18.07
-0.17
-0.91%
$12.97B
3.956M
$71.46M
766
SOLVSolventum Corporation
$74.71
-0.53
-0.70%
$12.94B
571.315K
$42.68M
767
AAOIApplied Optoelectronics, Inc.
$161.01
-11.50
-6.66%
$12.92B
11.079M
$1.78B
768
COOThe Cooper Companies, Inc. Common Stock
$66.02
+2.57
+4.04%
$12.88B
1.068M
$70.52M
769
AXSMAxsome Therapeutics, Inc
$250.00
-5.63
-2.20%
$12.86B
302.995K
$75.75M
770
AIZAssurant, Inc.
$259.16
-6.10
-2.30%
$12.84B
138.895K
$36.00M
771
ALGNAlign Technology Inc
$179.16
+2.78
+1.57%
$12.83B
351.947K
$63.05M
772
QXOQXO, Inc. Common Stock
$17.61
+0.59
+3.47%
$12.77B
8.167M
$143.82M
773
FMSFresenius Medical Care AG
$23.64
+0.11
+0.45%
$12.77B
242.322K
$5.73M
774
SNNSmith & Nephew plc
$30.13
-0.60
-1.94%
$12.76B
488.651K
$14.72M
775
GLPIGaming and Leisure Properties, Inc.
$44.96
-0.30
-0.66%
$12.74B
1.192M
$53.58M
776
EQHEquitable Holdings, Inc.
$45.26
-1.14
-2.45%
$12.74B
1.019M
$46.13M
777
RNRRenaissanceRe Holdings Ltd.
$298.80
-3.70
-1.22%
$12.74B
111.61K
$33.35M
778
TOSTToast, Inc.
$24.66
+0.05
+0.18%
$12.72B
4.467M
$110.13M
779
JEFJefferies Financial Group Inc.
$62.08
+0.07
+0.11%
$12.69B
740.855K
$45.99M
780
GGGGraco Inc
$76.24
+0.23
+0.30%
$12.65B
364.546K
$27.79M
781
FNFFidelity National Financial, Inc.
$46.84
-0.11
-0.23%
$12.61B
643.053K
$30.12M
782
NTNXNutanix, Inc. Class A Common Stock
$46.38
+0.00
+0.00%
$12.54B
1.793M
$83.14M
783
AITApplied Industrial Technologies, Inc.
$338.33
+4.95
+1.49%
$12.50B
145.664K
$49.28M
784
CRCrane Company
$215.55
+5.94
+2.83%
$12.45B
191.855K
$41.35M
785
PENPenumbra, Inc.
$316.39
+0.58
+0.18%
$12.44B
139.506K
$44.14M
786
TRUTransUnion
$64.43
-0.58
-0.88%
$12.42B
1.075M
$69.27M
787
PNWPinnacle West Capital Corporation
$102.41
-0.36
-0.35%
$12.41B
417.031K
$42.71M
788
IVZInvesco LTD
$27.89
-1.20
-4.13%
$12.36B
4.086M
$113.95M
789
ZTOZTO Express (Cayman) Inc. American Depositary Shares, each representing one Class A ordinary share
$21.90
+0.06
+0.25%
$12.34B
721.364K
$15.79M
790
IONSIonis Pharmaceuticals, Inc. Common Stock
$74.65
-0.35
-0.47%
$12.34B
393.83K
$29.40M
791
AVYAvery Dennison Corp.
$160.37
-0.23
-0.14%
$12.27B
378.624K
$60.72M
792
WBSWebster Financial Corporation Waterbury
$75.65
+0.06
+0.08%
$12.26B
1.368M
$103.48M
793
UDRUDR, Inc.
$37.72
-0.14
-0.36%
$12.25B
1.946M
$73.40M
794
CSGPCoStar Group Inc
$29.91
-0.82
-2.65%
$12.21B
5.656M
$169.16M
795
DRSLeonardo DRS, Inc. Common Stock
$45.73
-1.27
-2.70%
$12.20B
388.342K
$17.76M
796
ELANElanco Animal Health Incorporated Common Stock
$24.35
+0.71
+2.98%
$12.16B
1.781M
$43.36M
797
LULUlululemon athletica inc.
$112.09
-0.56
-0.49%
$12.15B
2.092M
$234.48M
798
CNACNA Financial Corporation
$44.89
-0.65
-1.42%
$12.14B
175.761K
$7.89M
799
SPXCSPX Technologies, Inc.
$242.44
+2.57
+1.07%
$12.14B
271.389K
$65.79M
800
KNXKnight-Swift Transportation Holdings Inc. Class A Common Stock
$74.63
+1.42
+1.94%
$12.13B
2.997M
$223.69M