Stock Rankings by Market Cap - Rankings 801 to 900
Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 801 to 900.
801
$57.50
$3.91B
897
$51.58K
802
AKRO Akero Therapeutics, Inc. Common Stock $49.05
$3.91B
100
$4.91K
803
CORZ Core Scientific, Inc. Common Stock $12.83
$3.90B
37.284K
$478.35K
804
$208.00
$3.90B
8.622K
$1.79M
806
AG FIRST MAJESTIC SILVER CORP $7.93
$3.84B
121.702K
$965.10K
807
$8.63
$3.83B
50.278K
$433.90K
808
AVPT AvePoint, Inc. Class A Common Stock $18.09
$3.83B
1.58K
$28.58K
809
PAGP Plains GP Holdings, L.P. Class A Units representing Limited Partner Interests $19.30
$3.82B
3.012K
$58.13K
810
MTSR Metsera, Inc. Common Stock $36.32
$3.82B
3.439K
$124.90K
811
IREN Iris Energy Limited Ordinary Shares $15.73
$3.80B
273.087K
$4.30M
812
CNR Core Natural Resources, Inc. $72.17
$3.80B
450
$32.48K
813
TENB Tenable Holdings, Inc. $31.00
$3.79B
491
$15.22K
814
$68.18
$3.78B
200
$13.64K
815
$6.59
$3.75B
9.581K
$63.14K
816
INSP Inspire Medical Systems, Inc. $127.01
$3.75B
198
$25.15K
817
FRSH Freshworks Inc. Class A Common Stock $12.82
$3.74B
7.729K
$99.09K
818
BMNR BitMine Immersion Technologies, Inc. $33.24
$3.73B
962.253K
$31.99M
820
VKTX Viking Therapeutics, Inc $33.06
$3.72B
13.242K
$437.78K
821
KC Kingsoft Cloud Holdings Limited American Depositary Shares $13.46
$3.66B
59.495K
$800.80K
822
$5.77
$3.65B
63.673K
$367.39K
823
RRR Red Rock Resorts, Inc. Class A Common Stock $60.60
$3.64B
752
$45.57K
824
$212.50
$3.62B
11.054K
$2.35M
825
$9.14
$3.61B
2.51K
$22.94K
826
SMG The Scotts Miracle-Gro Company $62.50
$3.61B
250
$15.63K
827
GLXY Galaxy Digital Inc. Class A Common Stock $27.51
$3.60B
70.115K
$1.93M
828
PAY Paymentus Holdings, Inc. $28.77
$3.60B
736
$21.17K
829
ZETA Zeta Global Holdings Corp. $15.28
$3.60B
50.813K
$776.42K
830
$51.00
$3.58B
239
$12.19K
831
$45.39
$3.54B
1.5K
$68.09K
833
NVST Envista Holdings Corporation Common stock, $0.01 par value per share $20.83
$3.53B
3.53K
$73.53K
834
HTGC Hercules Capital, Inc. $19.25
$3.50B
4.433K
$85.34K
835
$13.66
$3.48B
211.849K
$2.89M
836
BTSG BrightSpring Health Services, Inc. Common Stock $19.60
$3.47B
579
$11.35K
837
ARLP Alliance Resource Partners LP $27.00
$3.47B
1.321K
$35.67K
838
CNO CNO Financial Group, Inc. $35.59
$3.46B
100
$3.56K
839
$70.85
$3.46B
10.691K
$757.46K
840
$17.60
$3.45B
600
$10.56K
841
STNE StoneCo Ltd. Class A Common Shares $12.66
$3.44B
21.141K
$267.65K
842
$4.30
$3.40B
32.292K
$138.86K
843
$12.45
$3.38B
19.625K
$244.33K
844
CVCO Cavco Industries Inc. $424.39
$3.36B
118
$50.08K
845
APLD Applied Digital Corporation Common Stock $12.83
$3.36B
383.285K
$4.92M
846
GTM ZoomInfo Technologies Inc Common Stock $10.20
$3.35B
3.626K
$36.99K
847
$23.49
$3.35B
1.271K
$29.86K
848
ASO Academy Sports and Outdoors, Inc. $50.25
$3.34B
166
$8.34K
849
ASAN Asana, Inc. Class A Common Stock $14.15
$3.33B
12.624K
$178.63K
850
BL BlackLine, Inc. Common Stock $52.93
$3.30B
2.196K
$116.23K
851
CLBT Cellebrite DI Ltd. Class A Ordinary Shares $13.73
$3.29B
320
$4.39K
852
HAYW Hayward Holdings, Inc. $15.17
$3.29B
580
$8.80K
853
UGP Ultrapar Participacoes S.A. $3.05
$3.26B
111
$338.55
854
RELY Remitly Global, Inc. Common Stock $15.93
$3.25B
1.468K
$23.39K
855
$45.41
$3.23B
2.011K
$91.32K
856
ATHM Autohome Inc. American Depositary Shares, each representing four Class A Ordinary Shares $27.23
$3.23B
377
$10.27K
857
IPGP IPG Photonics Corporation $75.58
$3.21B
448
$33.86K
858
INTA Intapp, Inc. Common Stock $39.66
$3.21B
144
$5.71K
859
BXMT Blackstone Mortgage Trust, Inc. (NEW) $18.67
$3.20B
100
$1.87K
860
MGNI Magnite, Inc. Common Stock $22.50
$3.17B
902
$20.30K
861
DAVE Dave Inc. Class A Common Stock $237.50
$3.17B
395
$93.81K
862
$231.48
$3.16B
1.175K
$271.99K
863
CAAP Corporacion America Airports S.A. $19.54
$3.15B
900
$17.59K
864
ATMU Atmus Filtration Technologies Inc. $37.91
$3.13B
298
$11.30K
866
$9.62
$3.13B
3.856K
$37.09K
867
HASI HANNON ARMSTRONG SUSTAINABLE INFRASTRUCTURE CAPITAL INC $25.75
$3.13B
300
$7.73K
868
CAKE Cheesecake Factory (The) $63.02
$3.12B
38.76K
$2.44M
869
CATY Cathay General Bancorp $44.76
$3.10B
3.391K
$151.78K
870
$22.83
$3.07B
44.594K
$1.02M
871
$26.60
$3.05B
2.219K
$59.03K
872
COMM CommScope Holding Company, Inc. $13.98
$3.03B
12.38M
$173.06M
873
CNK Cinemark Holdings, Inc. $26.10
$3.00B
1.352K
$35.29K
874
$10.67
$3.00B
148.279K
$1.58M
875
$121.50
$2.99B
100
$12.15K
876
$24.48
$2.97B
1.2K
$29.38K
877
$23.37
$2.96B
1.533K
$35.83K
878
APLS Apellis Pharmaceuticals, Inc. Common Stock $23.40
$2.95B
249
$5.83K
880
$10.22
$2.92B
12.7K
$129.78K
881
CSQ Calamos Strategic Total Return Fund $18.20
$2.92B
353
$6.42K
882
NEXT NextDecade Corporation Common Stock $11.11
$2.91B
1.831K
$20.34K
883
WGS GeneDx Holdings Corp. Class A Common Stock $101.21
$2.91B
517
$52.33K
884
KGS Kodiak Gas Services, Inc. $33.06
$2.90B
14.86K
$491.27K
885
DLO DLocal Limited Class A Common Shares $10.14
$2.90B
7.754K
$78.63K
886
INTR Inter & Co. Inc. Class A Common Shares $6.58
$2.89B
600
$3.95K
887
ENLT Enlight Renewable Energy Ltd. Ordinary Shares $24.09
$2.89B
875
$21.08K
890
GENI Genius Sports Limited $11.94
$2.83B
10.445K
$124.71K
891
$6.63
$2.83B
12.933K
$85.75K
893
PRCT PROCEPT BioRobotics Corporation Common Stock $50.75
$2.81B
452
$22.94K
894
ALVO Alvotech Ordinary Shares $8.94
$2.80B
100
$894.00
895
$9.48
$2.78B
1.5K
$14.22K
896
$5.58
$2.78B
13.694K
$76.41K
897
BRZE Braze, Inc. Class A Common Stock $26.28
$2.78B
461
$12.12K
898
APLE Apple Hospitality REIT, Inc. $11.66
$2.77B
100
$1.17K
899
RUM Rumble Inc. Class A Common Stock $8.16
$2.76B
7.16K
$58.43K
900
CWK Cushman & Wakefield plc Ordinary Shares $11.93
$2.76B
200
$2.39K