Stock Rankings by Market Cap - Rankings 1301 to 1400

Listing of stocks ranked by market cap. Current stock rankings are updated every 30 minutes showing live market capitalization value. Rankings 1301 to 1400.

#
Symbol
Last Price
Change (Day)
Change % (Day)
Market Cap
Volume (Day)
$ Volume (Day)
1301
LANCLancaster Colony Corp
$178.04
+2.34
+1.33%
$4.91B
28.624K
$5.10M
1302
CRKComstock Resources, Inc.
$16.77
+0.11
+0.63%
$4.90B
862.985K
$14.47M
1303
SLGSL Green Realty Corp.
$68.28
+4.12
+6.41%
$4.90B
459.143K
$31.35M
1304
NSITInsight Enterprises Inc
$153.93
+0.73
+0.48%
$4.89B
99.148K
$15.26M
1305
ACAArcosa, Inc. Common Stock
$100.01
+1.12
+1.13%
$4.88B
34.176K
$3.42M
1306
KBHKB Home
$66.50
-0.25
-0.37%
$4.88B
281.022K
$18.69M
1307
SONSonoco Products Company
$49.53
-0.15
-0.30%
$4.87B
204.369K
$10.12M
1308
IDCCInterDigital, Inc.
$191.94
-0.06
-0.03%
$4.86B
111.378K
$21.38M
1309
FUNCedar Fair, L.P.
$48.50
-0.72
-1.46%
$4.86B
272.978K
$13.24M
1310
ABGAsbury Automotive Group, Inc.
$246.91
+1.86
+0.76%
$4.84B
29.103K
$7.19M
1311
AMTMAmentum Holdings, Inc.
$19.81
-0.29
-1.44%
$4.82B
1.018M
$20.16M
1312
PIPRPiper Sandler Companies
$302.79
+3.38
+1.13%
$4.80B
15.078K
$4.57M
1313
INGMIngram Micro Holding Corporation
$20.43
+1.03
+5.31%
$4.80B
121.529K
$2.48M
1314
ALKSAlkermes Inc. plc
$29.65
-0.65
-2.15%
$4.80B
326.413K
$9.68M
1315
FRSHFreshworks Inc. Class A Common Stock
$15.80
+0.10
+0.64%
$4.79B
973.891K
$15.39M
1316
HWCHancock Whitney Corporation Common Stock
$55.26
+0.37
+0.67%
$4.76B
73.685K
$4.07M
1317
RDNRadian Group Inc.
$31.93
+0.10
+0.31%
$4.76B
238.334K
$7.61M
1318
KTBKontoor Brands, Inc. Common Stock
$86.20
-6.81
-7.32%
$4.75B
88.615K
$7.64M
1319
LOPEGrand Canyon Education, Inc
$162.94
+0.64
+0.39%
$4.75B
30.86K
$5.03M
1320
PAMPAMPA ENERGIA S.A.
$87.27
+1.67
+1.95%
$4.75B
32.109K
$2.80M
1321
CNSCohen & Steers Inc.
$93.60
+0.80
+0.86%
$4.73B
42.202K
$3.95M
1322
BCCBoise Cascade Company
$123.19
+1.31
+1.07%
$4.73B
150.249K
$18.51M
1323
PHIPLDT Inc.
$21.89
+0.49
+2.29%
$4.73B
24.659K
$539.79K
1324
ESGREnstar Group
$322.17
+0.27
+0.08%
$4.73B
26.615K
$8.57M
1325
NENoble Corporation plc
$29.46
+0.47
+1.62%
$4.72B
491.408K
$14.48M
1326
VKTXViking Therapeutics, Inc
$42.39
+0.11
+0.26%
$4.72B
992.814K
$42.09M
1327
VVVValvoline Inc.
$36.82
-0.89
-2.36%
$4.72B
432.101K
$15.91M
1328
ASTSAST SpaceMobile, Inc. Class A Common Stock
$23.50
-0.19
-0.80%
$4.71B
2.044M
$48.03M
1329
CRCCalifornia Resources Corporation
$51.50
+0.70
+1.38%
$4.71B
195.608K
$10.07M
1330
ACHRArcher Aviation Inc.
$10.74
+1.38
+14.74%
$4.70B
48.039M
$515.94M
1331
LAZLazard, Inc.
$51.90
-0.10
-0.19%
$4.70B
385.024K
$19.98M
1332
SFBSServisFirst Bancshares Inc.
$86.03
+1.03
+1.21%
$4.69B
45.644K
$3.93M
1333
PECOPhillips Edison & Company, Inc. Common Stock
$38.22
-0.26
-0.68%
$4.69B
124.235K
$4.75M
1334
CLFCleveland-Cliffs Inc.
$9.46
+0.03
+0.32%
$4.67B
5.459M
$51.64M
1335
NJRNew Jersey Resources Corp
$46.83
+0.42
+0.90%
$4.67B
73.772K
$3.45M
1336
MMacy's Inc.
$16.77
+0.17
+1.02%
$4.66B
2.093M
$35.11M
1337
AVTAvnet, Inc.
$53.53
+0.03
+0.06%
$4.65B
162.006K
$8.67M
1338
EEFTEuronet Worldwide Inc
$105.74
+1.75
+1.68%
$4.65B
106.34K
$11.24M
1339
PONYPony AI Inc. American Depositary Shares
$13.31
-1.13
-7.83%
$4.64B
558.377K
$7.43M
1340
LBTYKLiberty Global Ltd. Class C Common Shares
$12.96
+0.05
+0.39%
$4.63B
854.607K
$11.08M
1341
MATXMatsons, Inc.
$139.26
+1.05
+0.76%
$4.62B
41.34K
$5.76M
1342
FCFSFirstCash Holdings, Inc. Common Stock
$103.25
+0.16
+0.16%
$4.62B
35.13K
$3.63M
1343
BDCBelden Inc.
$114.50
+1.38
+1.22%
$4.62B
59.21K
$6.78M
1344
IEPIcahn Enterprises L.P
$9.15
-0.13
-1.35%
$4.61B
994.264K
$9.10M
1345
PORPortland General Electric Company
$43.71
+0.26
+0.60%
$4.61B
429.92K
$18.79M
1346
LTHLife Time Group Holdings, Inc.
$22.24
+0.45
+2.07%
$4.60B
557.871K
$12.41M
1347
AIC3.ai, Inc.
$35.62
+0.11
+0.31%
$4.60B
2.574M
$91.69M
1348
EXPOExponent Inc
$90.45
+1.13
+1.27%
$4.59B
67.233K
$6.08M
1349
LRNStride, Inc.
$105.00
+2.10
+2.04%
$4.58B
134.922K
$14.17M
1350
IRTIndependence Realty Trust Inc.
$20.30
+0.10
+0.50%
$4.57B
361.482K
$7.34M
1351
STEPStepStone Group Inc. Class A Common Stock
$60.26
+0.35
+0.58%
$4.57B
124.586K
$7.51M
1352
KRYSKrystal Biotech, Inc. Common Stock
$158.52
-4.48
-2.75%
$4.56B
77.981K
$12.36M
1353
BOXBOX, INC.
$31.66
-0.33
-1.03%
$4.55B
275.423K
$8.72M
1354
PRCTPROCEPT BioRobotics Corporation Common Stock
$83.72
+2.47
+3.04%
$4.53B
184.172K
$15.42M
1355
AGOAssured Guaranty, LTD
$88.94
+0.36
+0.40%
$4.53B
62.81K
$5.59M
1356
FELEFranklin Electric Co Inc
$98.90
+0.30
+0.30%
$4.52B
17.649K
$1.75M
1357
AVAVAeroVironment, Inc.
$160.00
-0.61
-0.38%
$4.51B
127.572K
$20.41M
1358
ITGRInteger Holdings Corporation
$134.49
-1.41
-1.04%
$4.51B
40.332K
$5.42M
1359
BOOTBoot Barn Holdings, Inc.
$147.64
-0.84
-0.57%
$4.51B
206.069K
$30.42M
1360
GBTGGlobal Business Travel Group, Inc.
$9.57
+0.18
+1.92%
$4.50B
170.219K
$1.63M
1361
TNETTRINET GROUP, INC.
$90.50
+0.84
+0.94%
$4.49B
63.454K
$5.74M
1362
BRZEBraze, Inc. Class A Common Stock
$43.16
-1.63
-3.64%
$4.47B
264.547K
$11.42M
1363
ZETAZeta Global Holdings Corp.
$18.77
+0.34
+1.84%
$4.46B
2.951M
$55.38M
1364
RELYRemitly Global, Inc. Common Stock
$22.50
+0.06
+0.27%
$4.46B
292.114K
$6.57M
1365
LBTYALiberty Global Ltd. Class A Common Shares
$12.46
+0.14
+1.14%
$4.46B
471.443K
$5.87M
1366
MGYMagnolia Oil & Gas Corporation Class A Common Stock
$23.21
+0.21
+0.91%
$4.43B
471.118K
$10.93M
1367
TXNMTXNM Energy, Inc.
$48.80
+2.60
+5.63%
$4.40B
197.667K
$9.65M
1368
ELPCompanhia Paranaense de Energia - COPEL American Depositary Shares (each representing four (4) Class B Preferred Shares)
$5.90
+0.03
+0.43%
$4.40B
78.791K
$464.47K
1369
ABCBAmeris Bancorp
$63.58
+1.18
+1.89%
$4.39B
73.094K
$4.65M
1370
GLNGGolar LNG Ltd
$42.01
-0.14
-0.33%
$4.38B
599.674K
$25.19M
1371
AEISAdvanced Energy Industries Inc
$116.15
+4.05
+3.61%
$4.38B
44.911K
$5.22M
1372
MMSMAXIMUS, Inc.
$72.97
+0.29
+0.40%
$4.37B
220.529K
$16.09M
1373
AHRAmerican Healthcare REIT, Inc.
$28.49
+0.31
+1.10%
$4.36B
427.582K
$12.18M
1374
PLXSPlexus Corp
$160.84
+1.66
+1.04%
$4.36B
81.627K
$13.13M
1375
RUSHARush Enterprises Inc
$55.10
-0.90
-1.61%
$4.35B
70.674K
$3.89M
1376
BCBrunswick Corporation
$65.90
+0.23
+0.35%
$4.35B
223.124K
$14.70M
1377
AROCArchrock Inc
$24.80
+0.17
+0.69%
$4.34B
429.991K
$10.66M
1378
BGCBGC Group, Inc. Class A Common Stock
$9.04
+0.09
+1.01%
$4.34B
1.126M
$10.18M
1379
TGSTransportadora de Gas del Sur S.A. ADS
$28.81
+0.67
+2.38%
$4.34B
38.034K
$1.10M
1380
VCTRVictory Capital Holdings, Inc. Class A Common Stock
$66.65
+1.75
+2.70%
$4.33B
91.291K
$6.08M
1381
FLOFlowers Foods, Inc.
$20.52
+0.08
+0.39%
$4.32B
518.767K
$10.65M
1382
PRIMPrimoris Services Corporation
$80.41
+0.14
+0.17%
$4.32B
129.05K
$10.38M
1383
TACTransAlta Corporation
$14.44
+0.20
+1.40%
$4.31B
331.034K
$4.78M
1384
GOLFAcushnet Holdings Corp.
$70.84
-1.16
-1.61%
$4.31B
92.025K
$6.52M
1385
SMSM Energy Company
$37.54
+0.34
+0.91%
$4.30B
324.93K
$12.20M
1386
RUSHBRush Enterprises Inc
$54.33
+0.69
+1.28%
$4.29B
1.131K
$61.45K
1387
MSMMSC Industrial Direct Co., Inc. Class A
$76.77
+0.89
+1.17%
$4.29B
136.985K
$10.52M
1388
FTDRFrontdoor, Inc. Common Stock
$56.48
+1.01
+1.82%
$4.28B
199.426K
$11.26M
1389
SRRKScholar Rock Holding Corporation Common Stock
$45.56
+1.28
+2.89%
$4.27B
325.325K
$14.82M
1390
BKHBlack Hills Corporation
$59.45
+1.10
+1.89%
$4.26B
153.441K
$9.12M
1391
ORAOrmat Technologies, Inc.
$70.25
+1.14
+1.65%
$4.25B
402.843K
$28.30M
1392
NWLNewell Brands Inc.
$10.17
+0.12
+1.19%
$4.23B
1.54M
$15.66M
1393
IPARInter Parfums Inc
$131.85
+3.31
+2.58%
$4.22B
29.304K
$3.86M
1394
AXSMAxsome Therapeutics, Inc
$87.01
+0.67
+0.78%
$4.22B
221.545K
$19.28M
1395
PAYPaymentus Holdings, Inc.
$33.83
+0.32
+0.94%
$4.22B
159.119K
$5.38M
1396
KMPRKemper Corporation
$65.81
+0.92
+1.42%
$4.21B
90.477K
$5.95M
1397
CIVICivitas Resources, Inc.
$43.65
+0.43
+0.99%
$4.21B
425.055K
$18.55M
1398
IESCIES Holdings, Inc. Common Stock
$210.50
-2.68
-1.26%
$4.20B
57.897K
$12.19M
1399
ACLXArcellx, Inc. Common Stock
$77.58
+0.95
+1.24%
$4.20B
227.815K
$17.67M
1400
ABAllianceBernstein Holding, L.P.
$36.97
+0.84
+2.32%
$4.19B
130.154K
$4.81M