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
AR ANTERO RESOURCES CORPORATION $38.58
$11.95B
3.809M
$146.93M
802
MEDP Medpace Holdings, Inc. Common Stock $417.58
$11.93B
240.47K
$100.42M
803
FHN First Horizon Corporation $24.89
$11.89B
2.422M
$60.29M
804
$171.61
$11.89B
1.128M
$193.64M
805
$36.80
$11.87B
6.972M
$256.57M
806
EQH Equitable Holdings, Inc. $42.15
$11.87B
3.106M
$130.91M
807
$36.39
$11.86B
2.621M
$95.38M
808
$66.69
$11.85B
4.937M
$329.26M
809
$27.09
$11.82B
8.35M
$226.21M
810
$44.95
$11.81B
2.273M
$102.18M
811
MDGL Madrigal Pharmaceuticals, Inc. Common Stock $513.68
$11.78B
151.546K
$77.85M
812
HRL Hormel Foods Corporation $21.40
$11.78B
2.639M
$56.48M
813
$441.26
$11.77B
363.259K
$160.29M
814
BMNR BitMine Immersion Technologies, Inc. $21.87
$11.76B
27.241M
$595.89M
815
GEN Gen Digital Inc. Common Stock $19.40
$11.75B
3.697M
$71.73M
816
TFII TFI International Inc. $142.47
$11.71B
267.921K
$38.17M
817
$56.77
$11.70B
2.012M
$114.21M
818
KTOS Kratos Defense & Security Solutions, Inc. $62.14
$11.65B
2.319M
$144.12M
819
WBS Webster Financial Corporation Waterbury $72.22
$11.64B
1.513M
$109.27M
820
ALLE Allegion Public Limited Company $135.49
$11.64B
672.622K
$91.13M
821
$31.95
$11.60B
1.733M
$55.36M
822
EMBJ Embraer S.A. American Depositary Shares (Each representing Four Common Shares) $62.61
$11.59B
829.594K
$51.94M
823
$86.74
$11.57B
3.522M
$305.51M
824
SOLV Solventum Corporation $66.63
$11.55B
1.029M
$68.55M
825
NIO NIO Inc. American depositary shares, each representing one Class A ordinary share $5.93
$11.54B
58.721M
$348.22M
826
COKE Coca-Cola Consolidated, Inc. Common Stock $203.70
$11.51B
291.115K
$59.30M
827
$231.51
$11.51B
513.43K
$118.86M
828
GH Guardant Health, Inc. Common Stock $87.60
$11.49B
912.829K
$79.96M
829
RDY Dr. Reddy's Laboratories Limited American Depositary Shares $13.76
$11.48B
1.974M
$27.15M
830
WMS ADVANCED DRAINAGE SYSTEMS, INC. $147.31
$11.47B
312.451K
$46.03M
831
DOC Healthpeak Properties, Inc. $16.41
$11.41B
8.232M
$135.04M
832
GIL Gildan Activewear Inc. $61.49
$11.39B
1.378M
$84.74M
833
DKNG DraftKings Inc. Class A Common Stock $22.95
$11.38B
7.202M
$165.29M
834
$337.85
$11.36B
569.479K
$192.40M
835
CACI CACI INTERNATIONAL CLA $513.29
$11.34B
235.045K
$120.65M
836
$25.54
$11.32B
2.787M
$71.19M
837
$17.63
$11.32B
15.163M
$267.32M
838
$37.94
$11.31B
3.943M
$149.58M
839
AIT Applied Industrial Technologies, Inc. $302.99
$11.30B
164.559K
$49.86M
840
NTNX Nutanix, Inc. Class A Common Stock $42.49
$11.27B
2.243M
$95.32M
841
$100.15
$11.24B
1.129M
$113.10M
842
ELAN Elanco Animal Health Incorporated Common Stock $22.51
$11.19B
3.276M
$73.74M
843
PAG Penske Automotive Group, Inc. $169.84
$11.17B
302.343K
$51.35M
844
$30.30
$11.16B
3.114M
$94.35M
845
JKHY Henry (Jack) & Associates $154.03
$11.12B
649.594K
$100.06M
846
$14.06
$11.09B
7.765M
$109.16M
847
SUZ Suzano S.A. American Depositary Shares (each representing one Ordinary Share ) representing one Ordinary Share) $8.76
$11.07B
2.146M
$18.80M
848
SCI Service Corporation International $79.78
$11.07B
1.516M
$120.96M
849
$43.53
$11.06B
3.574M
$155.58M
850
$596.92
$11.04B
340.318K
$203.14M
851
$106.00
$11.03B
1.211M
$128.34M
852
ZBRA Zebra Technologies Corporation $227.10
$10.98B
456.534K
$103.68M
853
$104.45
$10.94B
1.471M
$153.60M
854
AFG American Financial Group, Inc. $131.64
$10.94B
416.998K
$54.89M
855
$84.49
$10.92B
616.066K
$52.05M
856
$90.22
$10.92B
592.289K
$53.44M
857
ALSN ALLISON TRANSMISSION HOLDINGS, INC. $131.23
$10.91B
606.523K
$79.59M
858
WTRG Essential Utilities, Inc. $38.03
$10.77B
1.282M
$48.76M
859
EGP EastGroup Properties Inc. $200.18
$10.76B
206.731K
$41.38M
860
$21.26
$10.72B
298.893K
$6.35M
861
PAC Grupo Aeroportuario del Pacifico, S.A.B. de C.V. Amer. Dep. Shares (each rep. 10 Ser. B shares) $249.38
$10.71B
46.514K
$11.60M
862
$137.11
$10.69B
1.428M
$195.85M
863
EHC Encompass Health Corporation Common Stock $107.48
$10.69B
1.539M
$165.38M
864
DRS Leonardo DRS, Inc. Common Stock $40.03
$10.65B
413.856K
$16.57M
865
ENSG The Ensign Group, Inc. $183.72
$10.64B
676.273K
$124.24M
866
$90.97
$10.59B
2.422M
$220.30M
867
$87.23
$10.55B
12.814M
$1.12B
868
ESI Element Solutions Inc. $43.30
$10.55B
2.21M
$95.69M
869
AXSM Axsome Therapeutics, Inc $206.05
$10.54B
1.382M
$284.83M
870
ARWR Arrowhead Research Corporation $74.81
$10.48B
1.323M
$98.98M
871
$81.40
$10.47B
1.639M
$133.43M
872
BMRN BioMarin Pharmaceuticals Inc $54.06
$10.45B
1.035M
$55.93M
873
SPXC SPX Technologies, Inc. $208.13
$10.44B
1.197M
$249.04M
874
$91.46
$10.43B
223.158K
$20.41M
875
TXRH Texas Roadhouse, Inc. $158.29
$10.42B
1.131M
$178.98M
876
SWKS Skyworks Solutions Inc $69.30
$10.42B
3.532M
$244.78M
877
KNX Knight-Swift Transportation Holdings Inc. Class A Common Stock $64.00
$10.40B
2.093M
$133.95M
878
$24.23
$10.35B
15.071M
$365.18M
879
SFD Smithfield Foods, Inc. Common Stock $26.29
$10.34B
944.462K
$24.83M
880
SJM The J.M. Smucker Company $96.97
$10.34B
873.019K
$84.66M
881
AM Antero Midstream Corporation Common Stock $21.70
$10.31B
2.097M
$45.51M
882
$407.78
$10.26B
261.355K
$106.58M
883
$34.55
$10.26B
6.588M
$227.63M
884
$14.28
$10.18B
17.91M
$255.75M
885
AUR Aurora Innovation, Inc. Class A Common Stock $6.13
$10.13B
27.191M
$166.68M
886
$151.65
$10.13B
422.385K
$64.05M
887
DAR DARLING INGREDIENTS INC. $63.77
$10.12B
2.937M
$187.28M
888
WTFC Wintrust Financial Corp $150.05
$10.12B
240.442K
$36.08M
889
BEP Brookfield Renewable Partners L.P. $33.36
$10.12B
1.586M
$52.92M
890
PINS Pinterest, Inc. Class A Common Stock $20.33
$10.09B
13.345M
$271.35M
891
BTSG BrightSpring Health Services, Inc. Common Stock $52.01
$10.05B
8.88M
$461.90M
892
MOH Molina Healthcare, Inc. $192.70
$10.04B
914.461K
$176.22M
893
JEF Jefferies Financial Group Inc. $49.10
$10.04B
2.481M
$121.83M
894
VFS VinFast Auto Ltd. Ordinary Shares $4.28
$10.01B
348.748K
$1.49M
895
$42.40
$9.99B
1.506M
$63.86M
896
$107.26
$9.99B
1.917M
$205.67M
897
DCI Donaldson Company, Inc. $86.22
$9.99B
555.214K
$47.87M
898
VMI Valmont Industries, Inc. $510.48
$9.98B
176.392K
$90.04M
899
CART Maplebear Inc. Common Stock $42.15
$9.98B
3.435M
$144.78M
900
FRT Federal Realty Investment Trust $115.32
$9.96B
1.572M
$181.29M