Nasdaq stocks
The 3,287 companies we cover that are listed on the Nasdaq, largest first by market value. Each links to its research page: share price, fundamentals, our fair value estimate and which funds own it. This is page 1 of 9: numbers 1 to 400.
Other exchanges
- Nasdaq (3,287)
- NYSE (2,118)
- OTC (1,414)
- NYSE American (260)
- ASX (102)
- TSX (102)
- LSE (94)
- JSE (92)
- HKEX (78)
- NYSE Arca (71)
- Tokyo (70)
- NSE India (63)
- Xetra (41)
- Shanghai (38)
- Euronext Paris (25)
- Shenzhen (20)
- Cboe (18)
- SIX (14)
- B3 (12)
- KRX (12)
- BME (10)
- Euronext Amsterdam (10)
- Euronext Milan (10)
- Nasdaq Stockholm (9)
- BMV (8)
- TWSE (8)
- SGX (7)
- IDX (6)
- Tadawul (6)
- Nasdaq Copenhagen (5)
- Oslo Børs (4)
- Euronext Brussels (3)
- NVDA NVIDIA Corporation$5.59T
- AAPL Apple Inc.$4.93T
- GOOGL Alphabet Inc.$4.28T
- GOOG Alphabet Inc.$4.11T
- MSFT Microsoft Corporation$3.85T
- AMZN Amazon.com, Inc.$2.71T
- META Meta Platforms, Inc.$1.85T
- AVGO Broadcom Inc.$1.69T
- TSLA Tesla, Inc.$1.38T
- MU Micron Technology, Inc.$1.21T
- SKHY SK hynix Inc.$1.02T
- AMD Advanced Micro Devices, Inc.$986.21B
- WMT Walmart Inc.$842.92B
- ASML ASML Holding (ADR)$692.72B
- INTC Intel Corporation$629.10B
- AMAT Applied Materials$478.36B
- CSCO Cisco Systems$478.14B
- PLTR Palantir Technologies Inc.$454.89B
- LRCX Lam Research$438.11B
- COST Costco Wholesale Corporation$407.89B
- ARM Arm Holdings plc$310.25B
- KLAC KLA Corp.$302.43B
- NFLX Netflix, Inc.$291.63B
- AZN AstraZeneca (ADR)$266.15B
- PANW Palo Alto Networks$265.62B
- TXN Texas Instruments Incorporated$255.94B
- LIN Linde plc$244.95B
- MRVL Marvell Technology$211.65B
- STX Seagate Technology$205.97B
- TMUS T-Mobile US$203.03B
- WDC Western Digital$200.81B
- QCOM QUALCOMM Incorporated$198.82B
- AMGN Amgen Inc.$196.12B
- ADI Analog Devices$192.72B
- CRWD CrowdStrike Holdings$190.60B
- PEP PepsiCo, Inc.$176.32B
- GILD Gilead Sciences$161.19B
- ISRG Intuitive Surgical$144.07B
- BKNG Booking Holdings$138.23B
- VRTX Vertex Pharmaceuticals$123.19B
- SBUX Starbucks Corp.$120.82B
- FTNT Fortinet Inc.$115.40B
- CDNS Cadence Design Systems$105.96B
- SNY Sanofi$105.33B
- EQIX Equinix Inc.$103.67B
- HOOD Robinhood Markets$100.83B
- MAR Marriott International$99.18B
- ADP Automatic Data Processing$96.70B
- MNST Monster Beverage$95.25B
- ADBE Adobe Inc.$94.49B
- MELI MercadoLibre Inc.$93.90B
- CSX CSX Corp.$91.81B
- DDOG Datadog Inc.$91.67B
- CEG Constellation Energy$89.77B
- ABNB Airbnb Inc.$88.21B
- CME CME Group$86.82B
- SNPS Synopsys Inc.$85.30B
- CMCSA Comcast Corp.$84.20B
- DASH DoorDash Inc.$83.58B
- MDLZ Mondelez International$75.52B
- INTU Intuit Inc.$75.21B
- NXPI NXP Semiconductors$73.79B
- AEP American Electric Power$73.69B
- CTAS Cintas Corp.$71.88B
- HON Honeywell International$71.74B
- ORLY O'Reilly Automotive$71.50B
- ROST Ross Stores$71.50B
- REGN Regeneron Pharmaceuticals$69.67B
- MDLN Medline Inc.$68.88B
- WBD Warner Bros. Discovery$66.66B
- MPWR Monolithic Power Systems$66.46B
- HONA Honeywell Aerospace Inc.$65.77B
- PCAR PACCAR Inc.$65.56B
- LITE Lumentum Holdings Inc.$59.36B
- BKR Baker Hughes Company$57.20B
- TER Teradyne, Inc.$55.30B
- FAST Fastenal Co.$53.37B
- EA Electronic Arts$51.76B
- FITB Fifth Third Bancorp$51.72B
- FANG Diamondback Energy$51.59B
- XEL Xcel Energy$49.98B
- NDAQ Nasdaq Inc.$49.81B
- COIN Coinbase Global, Inc.$49.41B
- MCHP Microchip Technology$48.11B
- RKLB Rocket Lab Corporation$47.94B
- EXC Exelon Corp.$47.89B
- NBIS Nebius Group N.V.$47.67B
- ODFL Old Dominion Freight$47.34B
- FER Ferrovial N.V.$45.91B
- AXON Axon Enterprise$45.60B
- TTWO Take-Two Interactive$45.15B
- IDXX IDEXX Laboratories$44.46B
- ADSK Autodesk Inc.$44.01B
- KDP Keurig Dr Pepper$43.09B
- FLEX Flex Ltd.$42.05B
- TRI Thomson Reuters Corporation$41.16B
- PYPL PayPal Holdings$40.86B
- UAL United Airlines Holdings, Inc.$39.32B
- RVMD Revolution Medicines, Inc.$39.11B
- ERIC Telefonaktiebolaget LM Ericsson (publ)$38.70B
- PAYX Paychex Inc.$38.24B
- GFS GlobalFoundries$37.84B
- VOD Vodafone Group Public Limited Company$37.74B
- ON ON Semiconductor$37.35B
- HBAN Huntington Bancshares$36.22B
- ROP Roper Technologies$35.92B
- ALNY Alnylam Pharmaceuticals, Inc.$35.88B
- ACGL Arch Capital$35.31B
- ESLT Elbit Systems Ltd.$34.45B
- WDAY Workday Inc.$34.32B
- NTRS Northern Trust$33.97B
- MSTR MicroStrategy Inc.$33.86B
- STLD Steel Dynamics$32.94B
- RPRX Royalty Pharma plc$32.51B
- RYAAY Ryanair Holdings plc$31.23B
- WTW Willis Towers Watson Public Limited Company$31.20B
- KHC Kraft Heinz$29.47B
- GEHC GE HealthCare$29.43B
- BIIB Biogen Inc.$29.40B
- DXCM DexCom Inc.$28.93B
- TSEM Tower Semiconductor Ltd.$28.88B
- ILMN Illumina Inc.$28.78B
- AFRM Affirm Holdings, Inc.$28.28B
- MDB MongoDB Inc.$27.51B
- MRNA Moderna Inc.$27.09B
- JBHT J.B. Hunt Transport$26.40B
- ZM Zoom Video$26.32B
- UTHR United Therapeutics Corporation$26.32B
- SYM Symbotic Inc.$25.61B
- CPRT Copart Inc.$25.47B
- TROW T. Rowe Price$25.40B
- VRSN Verisign$24.58B
- FSLR First Solar$24.48B
- VRSK Verisk Analytics$24.29B
- LPLA LPL Financial Holdings Inc.$24.26B
- FOXA Fox Corporation$24.19B
- OKTA Okta Inc.$24.09B
- SOFI SoFi Technologies$24.09B
- DLTR Dollar Tree$24.00B
- FCNCA First Citizens BancShares, Inc.$23.90B
- INCY Incyte Corporation$23.75B
- INIO Innio N.V.$23.68B
- INSM Insmed Incorporated$23.54B
- TEAM Atlassian Corp.$22.55B
- ZS Zscaler Inc.$22.52B
- EXPD Expeditors Intl$22.50B
- RIVN Rivian Automotive, Inc.$22.01B
- FTAI FTAI Aviation Ltd.$21.93B
- ASTS AST SpaceMobile, Inc.$21.81B
- EXE Expand Energy Corporation$21.01B
- ROKU Roku Inc.$20.87B
- BSP Bending Spoons S.p.A.$20.81B
- CHTR Charter Communications$20.48B
- ULTA Ulta Beauty$20.17B
- CTSH Cognizant Technology$20.14B
- VTRS Viatris Inc.$20.08B
- EVRG Evergy, Inc.$19.93B
- TLN Talen Energy Corporation$18.94B
- CDW CDW Corp.$18.45B
- SMCI Super Micro Computer$18.31B
- EWBC East West Bancorp, Inc.$18.00B
- PDD PDD Holdings (ADR)$17.85B
- NBIX Neurocrine Biosciences, Inc.$17.51B
- ARXS Arxis, Inc.$17.40B
- KSPI Joint Stock Company Kaspi.kz$16.95B
- NWS News Corporation$16.92B
- SMTC Semtech Corporation$16.81B
- PAA Plains All American Pipeline, L.P.$16.66B
- QNT Quantinuum Inc.$16.62B
- CG The Carlyle Group Inc.$16.60B
- RGLD Royal Gold, Inc.$16.38B
- TSCO Tractor Supply Company$16.27B
- GRAB Grab Holdings Limited$16.11B
- TIGO Millicom International Cellular S.A.$16.04B
- NDSN Nordson Corporation$16.03B
- LAMR Lamar Advertising Company$15.95B
- JAZZ Jazz Pharmaceuticals plc$15.95B
- LOGI Logitech International S.A.$15.19B
- REG Regency Centers Corporation$15.02B
- NTNX Nutanix, Inc.$14.99B
- LECO Lincoln Electric Holdings, Inc.$14.76B
- PTC PTC Inc.$14.41B
- EXEL Exelixis, Inc.$14.09B
- IREN IREN Limited$13.79B
- LULU Lululemon Athletica$13.54B
- DKNG DraftKings Inc.$13.14B
- ICLR ICON Public Limited Company$13.11B
- ZBRA Zebra Technologies$12.98B
- CHKP Check Point Software Technologies Ltd.$12.96B
- GLPI Gaming and Leisure Properties, Inc.$12.95B
- ERIE Erie Indemnity Company$12.92B
- ALGN Align Technology$12.85B
- GEN Gen Digital Inc.$12.48B
- TXRH Texas Roadhouse$12.46B
- HUT Hut 8 Corp.$12.38B
- MDGL Madrigal Pharmaceuticals, Inc.$12.38B
- CORT Corcept Therapeutics Incorporated$12.38B
- APA APA Corporation$12.25B
- NTES NetEase Inc. (ADR)$12.07B
- AUR Aurora Innovation, Inc.$12.02B
- ENLT Enlight Renewable Energy Ltd$11.99B
- SEIC SEI Investments Company$11.94B
- CSGP CoStar Group, Inc.$11.64B
- SAIA Saia, Inc.$11.51B
- LGN Legence Corp.$11.46B
- AEIS Advanced Energy Industries, Inc.$11.44B
- FIVE Five Below, Inc.$11.24B
- PODD Insulet$11.17B
- TECH Bio-Techne Corporation$11.16B
- CYTK Cytokinetics, Incorporated$10.96B
- ABVX ABIVAX Société Anonyme$10.89B
- AAL American Airlines Group Inc.$10.79B
- CART Maplebear Inc.$10.77B
- WTFC Wintrust Financial Corporation$10.74B
- JKHY Jack Henry & Associates, Inc.$10.70B
- UMBF UMB Financial Corporation$10.57B
- VICR Vicor Corporation$10.55B
- PAYP PayPay Corporation$10.50B
- CGNX Cognex Corporation$10.47B
- GSAT Globalstar, Inc.$10.28B
- SIRI Sirius XM Holdings$10.24B
- ENSG The Ensign Group, Inc.$10.23B
- ONB Old National Bancorp$10.17B
- SOLS Solstice Advanced Materials, Inc.$10.06B
- APGE Apogee Therapeutics, Inc.$10.06B
- KRYS Krystal Biotech, Inc.$10.01B
- DPZ Domino's Pizza$9.96B
- SANM Sanmina Corporation$9.95B
- NUVL Nuvalent Inc$9.81B
- SFD Smithfield Foods, Inc.$9.74B
- FROG JFrog Ltd.$9.71B
- BSY Bentley Systems, Incorporated$9.65B
- VSAT Viasat, Inc.$9.52B
- KTOS Kratos Defense & Security Solutions, Inc.$9.44B
- GLXY Galaxy Digital$9.44B
- CIFR Cipher Digital Inc.$9.36B
- IBRX ImmunityBio, Inc.$9.36B
- AAON AAON, Inc.$9.27B
- TTD The Trade Desk$9.18B
- SWKS Skyworks Solutions$9.08B
- FORM FormFactor, Inc.$9.07B
- PTGX Protagonist Therapeutics, Inc.$9.06B
- SNEX StoneX Group Inc.$8.97B
- GGAL Grupo Financiero Galicia S.A.$8.93B
- CRNX Crinetics Pharmaceuticals, Inc.$8.88B
- LLYVA Liberty Live Holdings, Inc.$8.80B
- POWL Powell Industries, Inc.$8.48B
- VLY Valley National Bancorp$8.28B
- MBLY Mobileye Global Inc.$8.21B
- RGEN Repligen Corporation$8.17B
- SYRE Spyre Therapeutics, Inc.$8.14B
- AAOI Applied Optoelectronics, Inc.$8.04B
- MXL MaxLinear, Inc.$8.00B
- IMVT Immunovant, Inc.$7.93B
- CHYM Chime Financial, Inc.$7.91B
- PCVX Vaxcyte, Inc.$7.89B
- CELH Celsius Holdings$7.82B
- POOL Pool Corp.$7.67B
- IONS Ionis Pharmaceuticals, Inc.$7.63B
- CBC Central Bancompany, Inc.$7.47B
- MAAS Maase Inc.$7.33B
- LSTR Landstar System, Inc.$7.27B
- AVAV AeroVironment, Inc.$7.19B
- SLAB Silicon Laboratories Inc.$7.14B
- SFM Sprouts Farmers Market, Inc.$7.09B
- DBX Dropbox, Inc.$7.08B
- AVT Avnet, Inc.$7.07B
- CORZ Core Scientific, Inc.$7.02B
- LNTH Lantheus Holdings, Inc.$7.00B
- MIRM Mirum Pharmaceuticals, Inc.$6.89B
- PPC Pilgrim's Pride Corporation$6.78B
- VFS VinFast Auto Ltd.$6.67B
- NAVN Navan, Inc.$6.65B
- FRVO Fervo Energy Company$6.64B
- CROX Crocs$6.60B
- XENE Xenon Pharmaceuticals Inc.$6.55B
- RRR Red Rock Resorts, Inc.$6.53B
- CGON CG Oncology, Inc.$6.39B
- LKQ LKQ Corporation$6.35B
- ZG Zillow Group, Inc.$6.34B
- MYRG MYR Group Inc.$6.34B
- ACT Enact Holdings, Inc.$6.34B
- MIDD The Middleby Corporation$6.25B
- HWC Hancock Whitney Corporation$6.25B
- GDS GDS Holdings Limited$6.24B
- QBTS D-Wave Quantum Inc.$6.24B
- QLYS Qualys, Inc.$6.17B
- APPF AppFolio, Inc.$6.17B
- CZR Caesars Entertainment, Inc.$6.14B
- ENPH Enphase Energy$5.91B
- GTX Garrett Motion Inc.$5.90B
- BLLN BillionToOne, Inc.$5.90B
- BIDU Baidu Inc. (ADR)$5.89B
- PECO Phillips Edison & Company, Inc.$5.89B
- BLTE Belite Bio, Inc$5.88B
- CHDN Churchill Downs Incorporated$5.84B
- GTLB GitLab Inc.$5.83B
- DFTX Definium Therapeutics, Inc.$5.79B
- ROAD Construction Partners, Inc.$5.79B
- MKTX MarketAxess Holdings Inc.$5.77B
- AMRX Amneal Pharmaceuticals, Inc.$5.74B
- DSC DSC Holdings Ltd.$5.73B
- DUOL Duolingo, Inc.$5.70B
- FSV FirstService Corporation$5.64B
- MMED MiniMed Group, Inc.$5.64B
- JD JD.com (ADR)$5.61B
- DAVE Dave Inc.$5.58B
- PTRN Pattern Group Inc.$5.58B
- SBRA Sabra Health Care REIT, Inc.$5.56B
- CAR Avis Budget Group, Inc.$5.52B
- DNTH Dianthus Therapeutics, Inc.$5.46B
- BGC BGC Group, Inc.$5.38B
- FTDR Frontdoor, Inc.$5.25B
- OTEX Open Text Corporation$5.22B
- GLNG Golar LNG Limited$5.16B
- GRFS Grifols, S.A.$5.16B
- TVTX Travere Therapeutics, Inc.$5.16B
- IRDM Iridium Communications Inc.$5.16B
- STEP StepStone Group Inc.$5.12B
- CRSP CRISPR Therapeutics AG$5.06B
- LAUR Laureate Education, Inc.$5.05B
- IEP Icahn Enterprises L.P.$5.04B
- CAKE The Cheesecake Factory Incorporated$5.04B
- OCTV Octave Intelligence plc$5.00B
- SHC Sotera Health Company$4.95B
- RELY Remitly Global, Inc.$4.82B
- WAY Waystar Holding Corp.$4.81B
- DYN Dyne Therapeutics, Inc.$4.70B
- FULT Fulton Financial Corporation$4.67B
- MMYT MakeMyTrip Limited$4.67B
- REYN Reynolds Consumer Products Inc.$4.65B
- FELE Franklin Electric Co., Inc.$4.61B
- IPGP IPG Photonics Corporation$4.58B
- NTSK Netskope, Inc.$4.51B
- CELC Celcuity Inc.$4.46B
- ACAD ACADIA Pharmaceuticals Inc.$4.44B
- CENX Century Aluminum Company$4.43B
- PEGA Pegasystems Inc.$4.41B
- EWTX Edgewise Therapeutics, Inc.$4.39B
- LIVN LivaNova PLC$4.39B
- DLO DLocal Limited$4.38B
- WSC WillScot Holdings Corporation$4.37B
- LEGN Legend Biotech Corporation$4.30B
- MEOH Methanex Corporation$4.30B
- BULL Webull Corporation$4.17B
- CALM Cal-Maine Foods, Inc.$4.13B
- EXLS ExlService Holdings, Inc.$4.11B
- ICUI ICU Medical, Inc.$4.09B
- INDB Independent Bank Corp.$4.05B
- TCOM Trip.com Group (ADR)$3.97B
- LASR nLIGHT, Inc.$3.95B
- CHEF The Chefs' Warehouse, Inc.$3.88B
- IPAR Interparfums, Inc.$3.85B
- CLMT Calumet, Inc.$3.85B
- TLX Telix Pharmaceuticals Limited$3.82B
- ALM Almonty Industries Inc.$3.81B
- PTEN Patterson-UTI Energy, Inc.$3.80B
- FFBC First Financial Bancorp.$3.75B
- IRTC iRhythm Holdings, Inc.$3.72B
- LOPE Grand Canyon Education, Inc.$3.71B
- FIBK First Interstate BancSystem, Inc.$3.69B
- VEON VEON Ltd.$3.67B
- ADPT Adaptive Biotechnologies Corporation$3.67B
- DNLI Denali Therapeutics Inc.$3.65B
- OPEN Opendoor Technologies Inc.$3.64B
- FA First Advantage Corporation$3.63B
- CLSK CleanSpark, Inc.$3.63B
- GPCR Structure Therapeutics Inc.$3.61B
- ALMS Alumis Inc.$3.57B
- NSIT Insight Enterprises, Inc.$3.55B
- PRVA Privia Health Group, Inc.$3.54B
- FHB First Hawaiian, Inc.$3.50B
- DIOD Diodes Incorporated$3.50B
- OPCH Option Care Health, Inc.$3.45B
- GBDC Golub Capital BDC, Inc.$3.45B
- PPLI People Incorporated$3.41B
- KYIV Kyivstar Group Ltd.$3.28B
- BATRK Atlanta Braves Holdings, Inc.$3.26B
- EXPO Exponent, Inc.$3.24B
- COLM Columbia Sportswear Company$3.24B
- SBCF Seacoast Banking Corporation of Florida$3.23B
- CARG CarGurus, Inc.$3.22B
- PONY Pony AI Inc.$3.18B
- CRVL CorVel Corporation$3.18B
- EMAT Evolution Metals & Technologies Corp.$3.10B
- PLUG Plug Power Inc.$3.08B
- LBTYK Liberty Global Ltd.$3.07B
- BTDR Bitdeer Technologies Group$3.06B
- ADEA Adeia Inc.$3.05B
- MGEE MGE Energy, Inc.$3.04B
- TRMD TORM plc$3.03B
- UPST Upstart Holdings, Inc.$3.02B
- FRSH Freshworks Inc.$3.01B
- ASO Academy Sports and Outdoors, Inc.$3.00B
- CLDX Celldex Therapeutics, Inc.$2.99B
- SPSC SPS Commerce, Inc.$2.96B
- BRZE Braze, Inc.$2.95B
- NTCT NetScout Systems, Inc.$2.92B
- PLBL Polibeli Group Ltd$2.88B
- AVPT AvePoint, Inc.$2.87B
Market values are in US dollars, from each company’s most recent data refresh; every company page dates its own figures. SPACs, warrants, units, rights and closed-end funds are left out of this directory, as they are left out of search. Browse by name, A to Z or by sector.
