Net income, ranked
501 S&P 500 names with this line in their filings, latest fiscal year, largest first. Net income attributable to the parent / common stockholders, as filed.
Coverage CLICK A NAME FOR ITS FIVE-YEAR SERIES
| # | Company | Sector | Latest | YoY |
|---|---|---|---|---|
| 1 | GOOG Alphabet Inc. (Class C) | Communication Services | $132.2B | +$32.1B |
| 2 | GOOGL Alphabet Inc. (Class A) | Communication Services | $132.2B | +$32.1B |
| 3 | NVDA Nvidia | Information Technology | $120.1B | +$47.2B |
| 4 | AAPL Apple Inc. | Information Technology | $112.0B | +$18.3B |
| 5 | MSFT Microsoft | Information Technology | $101.8B | +$13.7B |
| 6 | AMZN Amazon | Consumer Discretionary | $77.7B | +$18.4B |
| 7 | BRK.B Berkshire Hathaway | Financials | $67.0B | −$22.0B |
| 8 | META Meta Platforms | Communication Services | $60.5B | −$1.9B |
| 9 | JPM JPMorgan Chase | Financials | $57.0B | −$1.4B |
| 10 | BAC Bank of America | Financials | $30.5B | +$3.5B |
| 11 | XOM ExxonMobil | Energy | $28.8B | −$4.8B |
| 12 | JNJ Johnson & Johnson | Health Care | $26.8B | +$12.7B |
| 13 | AVGO Broadcom | Information Technology | $23.1B | +$17.2B |
| 14 | T AT&T | Communication Services | $22.0B | +$11.0B |
| 15 | WMT Walmart | Consumer Staples | $21.9B | +$2.5B |
| 16 | WFC Wells Fargo | Financials | $21.3B | +$1.6B |
| 17 | LLY Lilly (Eli) | Health Care | $20.6B | +$10.1B |
| 18 | V Visa Inc. | Financials | $20.1B | +$315M |
| 19 | CMCSA Comcast | Communication Services | $20.0B | +$3.8B |
| 20 | MRK Merck & Co. | Health Care | $18.3B | +$1.1B |
| 21 | GS Goldman Sachs | Financials | $17.2B | +$2.9B |
| 22 | VZ Verizon | Communication Services | $17.2B | −$332M |
| 23 | ORCL Oracle Corporation | Information Technology | $17.1B | +$4.6B |
| 24 | MS Morgan Stanley | Financials | $16.9B | +$3.5B |
| 25 | PG Procter & Gamble | Consumer Staples | $16.0B | +$1.1B |
| 26 | MA Mastercard | Financials | $15.0B | +$2.1B |
| 27 | C Citigroup | Financials | $14.3B | +$1.6B |
| 28 | HD Home Depot (The) | Consumer Discretionary | $14.2B | −$650M |
| 29 | KO Coca-Cola Company (The) | Consumer Staples | $13.1B | +$2.5B |
| 30 | DIS Walt Disney Company (The) | Communication Services | $12.4B | +$7.4B |
| 31 | CVX Chevron Corporation | Energy | $12.3B | −$5.4B |
| 32 | UNH UnitedHealth Group | Health Care | $12.1B | −$2.3B |
| 33 | PM Philip Morris International | Consumer Staples | $11.3B | +$4.3B |
| 34 | PGR Progressive Corporation | Financials | $11.3B | +$2.8B |
| 35 | TMUS T-Mobile US | Communication Services | $11.0B | −$347M |
| 36 | NFLX Netflix | Communication Services | $11.0B | +$2.3B |
| 37 | AXP American Express | Financials | $10.8B | +$704M |
| 38 | IBM IBM | Information Technology | $10.6B | +$4.6B |
| 39 | CB Chubb Limited | Financials | $10.3B | +$1.0B |
| 40 | ALL Allstate | Financials | $10.3B | +$5.6B |
| 41 | CSCO Cisco | Information Technology | $10.2B | −$140M |
| 42 | UBER Uber | Industrials | $10.1B | +$197M |
| 43 | CAT Caterpillar Inc. | Industrials | $8.9B | −$1.9B |
| 44 | SCHW Charles Schwab Corporation | Financials | $8.9B | +$2.9B |
| 45 | GE GE Aerospace | Industrials | $8.7B | +$2.1B |
| 46 | MCD McDonald's | Consumer Discretionary | $8.6B | +$340M |
| 47 | MU Micron Technology | Information Technology | $8.5B | +$7.8B |
| 48 | GILD Gilead Sciences | Health Care | $8.5B | +$8.0B |
| 49 | PEP PepsiCo | Consumer Staples | $8.2B | −$1.3B |
| 50 | COST Costco | Consumer Staples | $8.1B | +$732M |
| 51 | COP ConocoPhillips | Energy | $8.0B | −$1.3B |
| 52 | PFE Pfizer | Health Care | $7.8B | −$260M |
| 53 | AMGN Amgen | Health Care | $7.7B | +$3.6B |
| 54 | ACN Accenture | Information Technology | $7.7B | +$414M |
| 55 | USB U.S. Bancorp | Financials | $7.6B | +$1.3B |
| 56 | CRM Salesforce | Information Technology | $7.5B | +$1.3B |
| 57 | UNP Union Pacific Corporation | Industrials | $7.1B | +$391M |
| 58 | ADBE Adobe Inc. | Information Technology | $7.1B | +$1.6B |
| 59 | NEM Newmont | Materials | $7.1B | +$3.7B |
| 60 | BMY Bristol Myers Squibb | Health Care | $7.1B | +$16.0B |
| 61 | AMAT Applied Materials | Information Technology | $7.0B | −$179M |
| 62 | MO Altria | Consumer Staples | $6.9B | −$4.3B |
| 63 | LIN Linde plc | Materials | $6.9B | +$333M |
| 64 | NEE NextEra Energy | Utilities | $6.8B | −$111M |
| 65 | HCA HCA Healthcare | Health Care | $6.8B | +$1.0B |
| 66 | RTX RTX Corporation | Industrials | $6.7B | +$2.0B |
| 67 | TMO Thermo Fisher Scientific | Health Care | $6.7B | +$369M |
| 68 | LOW Lowe's | Consumer Discretionary | $6.7B | −$303M |
| 69 | PNC PNC Financial Services | Financials | $6.6B | +$1.1B |
| 70 | ABT Abbott Laboratories | Health Care | $6.5B | −$6.9B |
| 71 | CI Cigna | Health Care | $6.3B | +$2.5B |
| 72 | TRV Travelers Companies (The) | Financials | $6.3B | +$1.3B |
| 73 | DELL Dell Technologies | Information Technology | $5.9B | +$1.3B |
| 74 | ELV Elevance Health | Health Care | $5.7B | −$318M |
| 75 | UPS United Parcel Service | Industrials | $5.6B | −$210M |
| 76 | BLK BlackRock | Financials | $5.6B | −$816M |
| 77 | BNY BNY Mellon | Financials | $5.5B | +$1.0B |
| 78 | QCOM Qualcomm | Information Technology | $5.5B | −$4.6B |
| 79 | TJX TJX Companies | Consumer Discretionary | $5.5B | +$630M |
| 80 | BKNG Booking Holdings | Consumer Discretionary | $5.4B | −$478M |
| 81 | LRCX Lam Research | Information Technology | $5.4B | +$1.5B |
| 82 | PYPL PayPal | Financials | $5.2B | +$1.1B |
| 83 | DE Deere & Company | Industrials | $5.0B | −$2.1B |
| 84 | LMT Lockheed Martin | Industrials | $5.0B | −$319M |
| 85 | DAL Delta Air Lines | Industrials | $5.0B | +$1.5B |
| 86 | TXN Texas Instruments | Information Technology | $5.0B | +$202M |
| 87 | CHTR Charter Communications | Communication Services | $5.0B | −$96M |
| 88 | EOG EOG Resources | Energy | $5.0B | −$1.4B |
| 89 | TFC Truist Financial | Financials | $5.0B | +$505M |
| 90 | DUK Duke Energy | Utilities | $5.0B | +$444M |
| 91 | GEV GE Vernova | Industrials | $4.9B | +$3.3B |
| 92 | MDT Medtronic | Health Care | $4.8B | +$139M |
| 93 | MCK McKesson Corporation | Health Care | $4.8B | +$1.5B |
| 94 | HON Honeywell Technologies | Industrials | $4.7B | −$976M |
| 95 | SPG Simon Property Group | Real Estate | $4.6B | +$2.3B |
| 96 | REGN Regeneron Pharmaceuticals | Health Care | $4.5B | +$92M |
| 97 | SPGI S&P Global | Financials | $4.5B | +$619M |
| 98 | EIX Edison International | Utilities | $4.5B | +$3.2B |
| 99 | FDX FedEx | Industrials | $4.4B | +$341M |
| 100 | PSX Phillips 66 | Energy | $4.4B | +$2.3B |
| 101 | ACGL Arch Capital Group | Financials | $4.4B | +$87M |
| 102 | AMD Advanced Micro Devices | Information Technology | $4.3B | +$2.7B |
| 103 | APH Amphenol | Information Technology | $4.3B | +$1.8B |
| 104 | RCL Royal Caribbean Group | Consumer Discretionary | $4.3B | +$1.4B |
| 105 | ABBV AbbVie | Health Care | $4.2B | −$52M |
| 106 | GD General Dynamics | Industrials | $4.2B | +$428M |
| 107 | NOC Northrop Grumman | Industrials | $4.2B | +$8M |
| 108 | SO Southern Company | Utilities | $4.2B | −$89M |
| 109 | MRSH Marsh McLennan | Financials | $4.2B | +$100M |
| 110 | ETN Eaton Corporation | Industrials | $4.1B | +$293M |
| 111 | ADP Automatic Data Processing | Industrials | $4.1B | +$328M |
| 112 | CME CME Group | Financials | $4.1B | +$546M |
| 113 | KLAC KLA Corporation | Information Technology | $4.1B | +$1.3B |
| 114 | MPC Marathon Petroleum | Energy | $4.0B | +$602M |
| 115 | VRTX Vertex Pharmaceuticals | Health Care | $4.0B | +$4.5B |
| 116 | INTU Intuit | Information Technology | $3.9B | +$906M |
| 117 | HIG Hartford (The) | Financials | $3.8B | +$725M |
| 118 | TSLA Tesla, Inc. | Consumer Discretionary | $3.8B | −$3.3B |
| 119 | CRH CRH plc | Materials | $3.8B | +$261M |
| 120 | TGT Target Corporation | Consumer Staples | $3.7B | −$386M |
| 121 | AON Aon plc | Financials | $3.7B | +$1.0B |
| 122 | AFL Aflac | Financials | $3.6B | −$1.8B |
| 123 | DHR Danaher Corporation | Health Care | $3.6B | −$285M |
| 124 | DHI D. R. Horton | Consumer Discretionary | $3.6B | −$1.2B |
| 125 | AEP American Electric Power | Utilities | $3.6B | +$613M |
| 126 | PRU Prudential Financial | Financials | $3.6B | +$849M |
| 127 | AMP Ameriprise Financial | Financials | $3.6B | +$162M |
| 128 | SYF Synchrony Financial | Financials | $3.6B | +$53M |
| 129 | PH Parker Hannifin | Industrials | $3.5B | +$687M |
| 130 | ANET Arista Networks | Information Technology | $3.5B | +$659M |
| 131 | APO Apollo Global Management | Financials | $3.5B | −$1.1B |
| 132 | FISV Fiserv | Financials | $3.5B | +$349M |
| 133 | OKE Oneok | Energy | $3.4B | +$358M |
| 134 | MET MetLife | Financials | $3.4B | −$1.0B |
| 135 | SLB Schlumberger | Energy | $3.4B | −$1.1B |
| 136 | UAL United Airlines Holdings | Industrials | $3.4B | +$204M |
| 137 | APP AppLovin | Information Technology | $3.3B | +$1.8B |
| 138 | PLD Prologis | Real Estate | $3.3B | −$403M |
| 139 | ICE Intercontinental Exchange | Financials | $3.3B | +$561M |
| 140 | JCI Johnson Controls | Industrials | $3.3B | +$1.6B |
| 141 | MMM 3M | Industrials | $3.2B | −$923M |
| 142 | SYK Stryker Corporation | Health Care | $3.2B | +$253M |
| 143 | NKE Nike, Inc. | Consumer Discretionary | $3.1B | −$111M |
| 144 | AIG American International Group | Financials | $3.1B | +$4.5B |
| 145 | ITW Illinois Tool Works | Industrials | $3.1B | −$422M |
| 146 | KMI Kinder Morgan | Energy | $3.1B | +$443M |
| 147 | BX Blackstone Inc. | Financials | $3.0B | +$243M |
| 148 | D Dominion Energy | Utilities | $3.0B | +$964M |
| 149 | STT State Street Corporation | Financials | $2.9B | +$258M |
| 150 | TT Trane Technologies | Industrials | $2.9B | +$351M |
| 151 | BSX Boston Scientific | Health Care | $2.9B | +$1.0B |
| 152 | CSX CSX Corporation | Industrials | $2.9B | −$581M |
| 153 | NSC Norfolk Southern | Industrials | $2.9B | +$251M |
| 154 | ISRG Intuitive Surgical | Health Care | $2.9B | +$533M |
| 155 | MTB M&T Bank | Financials | $2.9B | +$263M |
| 156 | CMI Cummins | Industrials | $2.8B | −$1.1B |
| 157 | VICI Vici Properties | Real Estate | $2.8B | +$97M |
| 158 | EXC Exelon | Utilities | $2.8B | +$308M |
| 159 | CCL Carnival Corporation | Consumer Discretionary | $2.8B | +$844M |
| 160 | WM Waste Management | Industrials | $2.7B | −$38M |
| 161 | GM General Motors | Consumer Discretionary | $2.7B | −$3.3B |
| 162 | ZTS Zoetis | Health Care | $2.7B | +$187M |
| 163 | MRVL Marvell Technology | Information Technology | $2.7B | +$3.6B |
| 164 | DVN Devon Energy | Energy | $2.6B | −$251M |
| 165 | WMB Williams Companies | Energy | $2.6B | +$393M |
| 166 | MAR Marriott International | Consumer Discretionary | $2.6B | +$226M |
| 167 | PCG PG&E Corporation | Utilities | $2.6B | +$118M |
| 168 | BKR Baker Hughes | Energy | $2.6B | −$391M |
| 169 | SHW Sherwin-Williams | Materials | $2.6B | −$113M |
| 170 | ORLY O’Reilly Automotive | Consumer Discretionary | $2.5B | +$152M |
| 171 | AMT American Tower | Real Estate | $2.5B | +$274M |
| 172 | HPQ HP Inc. | Information Technology | $2.5B | −$246M |
| 173 | FITB Fifth Third Bancorp | Financials | $2.5B | +$208M |
| 174 | ABNB Airbnb | Consumer Discretionary | $2.5B | −$137M |
| 175 | AZO AutoZone | Consumer Discretionary | $2.5B | −$164M |
| 176 | URI United Rentals | Industrials | $2.5B | −$81M |
| 177 | MCO Moody's Corporation | Financials | $2.5B | +$401M |
| 178 | COF Capital One | Financials | $2.5B | −$2.3B |
| 179 | MDLZ Mondelez International | Consumer Staples | $2.5B | −$2.2B |
| 180 | CINF Cincinnati Financial | Financials | $2.4B | +$101M |
| 181 | PCAR Paccar | Industrials | $2.4B | −$1.8B |
| 182 | KKR KKR & Co. | Financials | $2.4B | −$706M |
| 183 | VLO Valero Energy | Energy | $2.3B | −$422M |
| 184 | CEG Constellation Energy | Utilities | $2.3B | −$1.4B |
| 185 | EMR Emerson Electric | Industrials | $2.3B | +$325M |
| 186 | ADI Analog Devices | Information Technology | $2.3B | +$632M |
| 187 | FOX Fox Corporation (Class B) | Communication Services | $2.3B | +$762M |
| 188 | FOXA Fox Corporation (Class A) | Communication Services | $2.3B | +$762M |
| 189 | BA Boeing | Industrials | $2.2B | +$14.1B |
| 190 | CTSH Cognizant | Information Technology | $2.2B | −$10M |
| 191 | PHM PulteGroup | Consumer Discretionary | $2.2B | −$865M |
| 192 | HBAN Huntington Bancshares | Financials | $2.2B | +$271M |
| 193 | FCX Freeport-McMoRan | Materials | $2.2B | +$315M |
| 194 | RF Regions Financial Corporation | Financials | $2.2B | +$263M |
| 195 | MSI Motorola Solutions | Information Technology | $2.2B | +$577M |
| 196 | ROST Ross Stores | Consumer Discretionary | $2.1B | +$54M |
| 197 | RSG Republic Services | Industrials | $2.1B | +$96M |
| 198 | RJF Raymond James Financial | Financials | $2.1B | +$67M |
| 199 | CL Colgate-Palmolive | Consumer Staples | $2.1B | −$757M |
| 200 | PEG Public Service Enterprise Group | Utilities | $2.1B | +$339M |
| 201 | TROW T. Rowe Price | Financials | $2.1B | −$13M |
| 202 | GEHC GE HealthCare | Health Care | $2.1B | +$91M |
| 203 | KDP Keurig Dr Pepper | Consumer Staples | $2.1B | +$638M |
| 204 | LEN Lennar | Consumer Discretionary | $2.1B | −$1.9B |
| 205 | ECL Ecolab | Materials | $2.1B | −$37M |
| 206 | TDG TransDigm Group | Industrials | $2.1B | +$360M |
| 207 | EQT EQT Corporation | Energy | $2.0B | +$1.8B |
| 208 | EBAY eBay Inc. | Consumer Discretionary | $2.0B | +$56M |
| 209 | ED Consolidated Edison | Utilities | $2.0B | +$203M |
| 210 | KMB Kimberly-Clark | Consumer Staples | $2.0B | −$524M |
| 211 | NXPI NXP Semiconductors | Information Technology | $2.0B | −$489M |
| 212 | XEL Xcel Energy | Utilities | $2.0B | +$82M |
| 213 | TRGP Targa Resources | Energy | $1.9B | +$611M |
| 214 | MNST Monster Beverage | Consumer Staples | $1.9B | +$396M |
| 215 | WDC Western Digital | Information Technology | $1.9B | +$2.7B |
| 216 | HOOD Robinhood Markets | Financials | $1.9B | +$472M |
| 217 | SBUX Starbucks | Consumer Discretionary | $1.9B | −$1.9B |
| 218 | FTNT Fortinet | Information Technology | $1.9B | +$108M |
| 219 | TEL TE Connectivity | Information Technology | $1.8B | −$1.4B |
| 220 | SRE Sempra | Utilities | $1.8B | −$1.0B |
| 221 | CFG Citizens Financial Group | Financials | $1.8B | +$322M |
| 222 | KEY KeyCorp | Financials | $1.8B | +$2.0B |
| 223 | SYY Sysco | Consumer Staples | $1.8B | −$127M |
| 224 | EXE Expand Energy | Energy | $1.8B | +$2.5B |
| 225 | CTAS Cintas | Industrials | $1.8B | +$241M |
| 226 | NDAQ Nasdaq, Inc. | Financials | $1.8B | +$671M |
| 227 | PSA Public Storage | Real Estate | $1.8B | −$288M |
| 228 | WRB W. R. Berkley Corporation | Financials | $1.8B | +$23M |
| 229 | CVS CVS Health | Health Care | $1.8B | −$2.8B |
| 230 | PAYX Paychex | Industrials | $1.8B | +$103M |
| 231 | ETR Entergy | Utilities | $1.8B | +$703M |
| 232 | NOW ServiceNow | Information Technology | $1.7B | +$323M |
| 233 | NUE Nucor | Materials | $1.7B | −$283M |
| 234 | NTRS Northern Trust | Financials | $1.7B | −$294M |
| 235 | GWW W. W. Grainger | Industrials | $1.7B | −$203M |
| 236 | ES Eversource Energy | Utilities | $1.7B | +$881M |
| 237 | STZ Constellation Brands | Consumer Staples | $1.7B | +$1.8B |
| 238 | BDX Becton Dickinson | Health Care | $1.7B | −$27M |
| 239 | L Loews Corporation | Financials | $1.7B | +$253M |
| 240 | FANG Diamondback Energy | Energy | $1.7B | −$1.7B |
| 241 | GRMN Garmin | Consumer Discretionary | $1.7B | +$252M |
| 242 | LVS Las Vegas Sands | Consumer Discretionary | $1.6B | +$181M |
| 243 | PLTR Palantir Technologies | Information Technology | $1.6B | +$1.2B |
| 244 | OXY Occidental Petroleum | Energy | $1.6B | −$752M |
| 245 | LHX L3Harris | Industrials | $1.6B | +$104M |
| 246 | WTW Willis Towers Watson | Financials | $1.6B | +$1.7B |
| 247 | GLW Corning Inc. | Information Technology | $1.6B | +$1.1B |
| 248 | EG Everest Group | Financials | $1.6B | +$218M |
| 249 | CARR Carrier Global | Industrials | $1.6B | −$4.1B |
| 250 | LULU Lululemon Athletica | Consumer Discretionary | $1.6B | −$235M |
| 251 | PPG PPG Industries | Materials | $1.6B | +$460M |
| 252 | CAH Cardinal Health | Health Care | $1.6B | +$709M |
| 253 | YUM Yum! Brands | Consumer Discretionary | $1.6B | +$73M |
| 254 | WEC WEC Energy Group | Utilities | $1.6B | +$30M |
| 255 | SOLV Solventum | Health Care | $1.6B | +$1.1B |
| 256 | COR Cencora | Health Care | $1.6B | +$45M |
| 257 | CPRT Copart | Industrials | $1.6B | +$189M |
| 258 | ROP Roper Technologies | Information Technology | $1.5B | −$13M |
| 259 | CMG Chipotle Mexican Grill | Consumer Discretionary | $1.5B | +$2M |
| 260 | FSLR First Solar | Information Technology | $1.5B | +$236M |
| 261 | DG Dollar General | Consumer Staples | $1.5B | +$387M |
| 262 | HWM Howmet Aerospace | Industrials | $1.5B | +$353M |
| 263 | AJG Arthur J. Gallagher & Co. | Financials | $1.5B | +$31M |
| 264 | UHS Universal Health Services | Health Care | $1.5B | +$347M |
| 265 | AME Ametek | Industrials | $1.5B | +$104M |
| 266 | KVUE Kenvue | Consumer Staples | $1.5B | +$440M |
| 267 | STX Seagate Technology | Information Technology | $1.5B | +$1.1B |
| 268 | DTE DTE Energy | Utilities | $1.5B | +$58M |
| 269 | HLT Hilton Worldwide | Consumer Discretionary | $1.5B | −$78M |
| 270 | AEE Ameren | Utilities | $1.5B | +$274M |
| 271 | CF CF Industries | Materials | $1.5B | +$237M |
| 272 | LDOS Leidos | Industrials | $1.4B | +$194M |
| 273 | APA APA Corporation | Energy | $1.4B | +$630M |
| 274 | CVNA Carvana | Consumer Discretionary | $1.4B | +$1.2B |
| 275 | RMD ResMed | Health Care | $1.4B | +$380M |
| 276 | GPN Global Payments | Financials | $1.4B | −$170M |
| 277 | OTIS Otis Worldwide | Industrials | $1.4B | −$261M |
| 278 | IQV IQVIA | Health Care | $1.4B | −$13M |
| 279 | EQIX Equinix | Real Estate | $1.4B | +$535M |
| 280 | NVR NVR, Inc. | Consumer Discretionary | $1.3B | −$342M |
| 281 | VRT Vertiv | Industrials | $1.3B | +$837M |
| 282 | SNPS Synopsys | Information Technology | $1.3B | −$931M |
| 283 | DLR Digital Realty | Real Estate | $1.3B | +$706M |
| 284 | XYZ Block, Inc. | Financials | $1.3B | −$1.6B |
| 285 | A Agilent Technologies | Health Care | $1.3B | +$14M |
| 286 | EXPE Expedia Group | Consumer Discretionary | $1.3B | +$60M |
| 287 | BIIB Biogen | Health Care | $1.3B | −$339M |
| 288 | INCY Incyte | Health Care | $1.3B | +$1.3B |
| 289 | HAL Halliburton | Energy | $1.3B | −$1.2B |
| 290 | DLTR Dollar Tree | Consumer Staples | $1.3B | +$4.3B |
| 291 | NTAP NetApp | Information Technology | $1.3B | +$90M |
| 292 | EME Emcor | Industrials | $1.3B | +$266M |
| 293 | COIN Coinbase | Financials | $1.3B | −$1.3B |
| 294 | FAST Fastenal | Industrials | $1.3B | +$108M |
| 295 | DRI Darden Restaurants | Consumer Discretionary | $1.2B | +$157M |
| 296 | MSCI MSCI Inc. | Financials | $1.2B | +$93M |
| 297 | ATO Atmos Energy | Utilities | $1.2B | +$156M |
| 298 | HUM Humana | Health Care | $1.2B | −$19M |
| 299 | STLD Steel Dynamics | Materials | $1.2B | −$352M |
| 300 | PFG Principal Financial Group | Financials | $1.2B | −$386M |
| 301 | PPL PPL Corporation | Utilities | $1.2B | +$293M |
| 302 | NWS News Corp (Class B) | Communication Services | $1.2B | +$914M |
| 303 | NWSA News Corp (Class A) | Communication Services | $1.2B | +$914M |
| 304 | WAB Wabtec | Industrials | $1.2B | +$114M |
| 305 | GL Globe Life | Financials | $1.2B | +$90M |
| 306 | CBRE CBRE Group | Real Estate | $1.2B | +$189M |
| 307 | ULTA Ulta Beauty | Consumer Discretionary | $1.2B | −$48M |
| 308 | MLM Martin Marietta Materials | Materials | $1.1B | −$858M |
| 309 | PANW Palo Alto Networks | Information Technology | $1.1B | −$1.4B |
| 310 | ADSK Autodesk | Information Technology | $1.1B | +$12M |
| 311 | EQR Equity Residential | Real Estate | $1.1B | +$84M |
| 312 | AWK American Water Works | Utilities | $1.1B | +$60M |
| 313 | CDNS Cadence Design Systems | Information Technology | $1.1B | +$53M |
| 314 | CBOE Cboe Global Markets | Financials | $1.1B | +$335M |
| 315 | TSCO Tractor Supply | Consumer Discretionary | $1.1B | −$5M |
| 316 | CTVA Corteva | Materials | $1.1B | +$187M |
| 317 | DOV Dover Corporation | Industrials | $1.1B | −$1.6B |
| 318 | WSM Williams-Sonoma, Inc. | Consumer Discretionary | $1.1B | −$37M |
| 319 | ADM Archer Daniels Midland | Consumer Staples | $1.1B | −$722M |
| 320 | VMC Vulcan Materials Company | Materials | $1.1B | +$165M |
| 321 | EW Edwards Lifesciences | Health Care | $1.1B | −$3.1B |
| 322 | CMS CMS Energy | Utilities | $1.1B | +$68M |
| 323 | CPAY Corpay | Financials | $1.1B | +$66M |
| 324 | BBY Best Buy | Consumer Discretionary | $1.1B | +$142M |
| 325 | CDW CDW Corporation | Information Technology | $1.1B | −$11M |
| 326 | IDXX Idexx Laboratories | Health Care | $1.1B | +$172M |
| 327 | O Realty Income | Real Estate | $1.1B | +$198M |
| 328 | BRO Brown & Brown | Financials | $1.1B | +$61M |
| 329 | SBAC SBA Communications | Real Estate | $1.1B | +$304M |
| 330 | CNP CenterPoint Energy | Utilities | $1.1B | +$33M |
| 331 | AVB AvalonBay Communities | Real Estate | $1.1B | −$31M |
| 332 | SMCI Supermicro | Information Technology | $1.0B | −$104M |
| 333 | PWR Quanta Services | Industrials | $1.0B | +$124M |
| 334 | DECK Deckers Brands | Consumer Discretionary | $1.0B | +$58M |
| 335 | ODFL Old Dominion | Industrials | $1.0B | −$162M |
| 336 | FIX Comfort Systems USA | Industrials | $1.0B | +$500M |
| 337 | FE FirstEnergy | Utilities | $1.0B | +$42M |
| 338 | SNA Snap-on | Industrials | $1.0B | −$27M |
| 339 | KR Kroger | Consumer Staples | $1.0B | −$1.6B |
| 340 | DGX Quest Diagnostics | Health Care | $992M | +$121M |
| 341 | IBKR Interactive Brokers | Financials | $984M | +$229M |
| 342 | EXR Extra Space Storage | Real Estate | $974M | +$119M |
| 343 | GEN Gen Digital | Information Technology | $973M | +$330M |
| 344 | XYL Xylem Inc. | Industrials | $957M | +$67M |
| 345 | VST Vistra Corp. | Utilities | $944M | −$1.7B |
| 346 | RL Ralph Lauren Corporation | Consumer Discretionary | $941M | +$198M |
| 347 | VLTO Veralto | Industrials | $940M | +$107M |
| 348 | WELL Welltower | Real Estate | $937M | −$15M |
| 349 | DASH DoorDash | Consumer Discretionary | $935M | +$812M |
| 350 | NI NiSource | Utilities | $930M | +$169M |
| 351 | TXT Textron | Industrials | $921M | +$97M |
| 352 | BALL Ball Corporation | Materials | $912M | −$3.1B |
| 353 | AES AES Corporation | Utilities | $910M | −$769M |
| 354 | VEEV Veeva Systems | Health Care | $909M | +$195M |
| 355 | VRSK Verisk Analytics | Industrials | $908M | −$50M |
| 356 | TDY Teledyne Technologies | Information Technology | $895M | +$76M |
| 357 | HUBB Hubbell Incorporated | Industrials | $887M | +$108M |
| 358 | EA Electronic Arts | Communication Services | $887M | −$234M |
| 359 | HSY Hershey Company (The) | Consumer Staples | $883M | −$1.3B |
| 360 | FLEX Flex Ltd. | Information Technology | $880M | +$42M |
| 361 | LH Labcorp | Health Care | $876M | +$130M |
| 362 | GDDY GoDaddy | Information Technology | $875M | −$62M |
| 363 | AIZ Assurant | Financials | $873M | +$112M |
| 364 | MTD Mettler Toledo | Health Care | $869M | +$6M |
| 365 | ROK Rockwell Automation | Industrials | $869M | −$84M |
| 366 | NRG NRG Energy | Utilities | $864M | −$261M |
| 367 | EVRG Evergy | Utilities | $856M | −$18M |
| 368 | KEYS Keysight Technologies | Information Technology | $850M | +$236M |
| 369 | BR Broadridge Financial Solutions | Industrials | $840M | +$141M |
| 370 | DXCM Dexcom | Health Care | $836M | +$260M |
| 371 | VRSN Verisign | Information Technology | $826M | +$40M |
| 372 | BG Bunge Global | Consumer Staples | $816M | −$321M |
| 373 | EXPD Expeditors International | Industrials | $810M | +$0M |
| 374 | CLX Clorox | Consumer Staples | $810M | +$530M |
| 375 | LNT Alliant Energy | Utilities | $810M | +$120M |
| 376 | MAS Masco | Industrials | $810M | −$12M |
| 377 | LII Lennox International | Industrials | $806M | −$5M |
| 378 | MKC McCormick & Company | Consumer Staples | $789M | +$1M |
| 379 | STE Steris | Health Care | $782M | +$168M |
| 380 | PKG Packaging Corporation of America | Materials | $774M | −$31M |
| 381 | HST Host Hotels & Resorts | Real Estate | $765M | +$68M |
| 382 | DVA DaVita | Health Care | $747M | −$190M |
| 383 | CHD Church & Dwight | Consumer Staples | $737M | +$152M |
| 384 | PTC PTC Inc. | Information Technology | $734M | +$358M |
| 385 | IT Gartner | Information Technology | $729M | −$524M |
| 386 | WBD Warner Bros. Discovery | Communication Services | $727M | +$12.0B |
| 387 | BF.B Brown–Forman | Consumer Staples | $715M | −$154M |
| 388 | CASY Casey's | Consumer Staples | $714M | +$168M |
| 389 | ZBH Zimmer Biomet | Health Care | $705M | −$199M |
| 390 | SW Smurfit Westrock | Materials | $699M | +$380M |
| 391 | WDAY Workday, Inc. | Information Technology | $693M | +$167M |
| 392 | FFIV F5, Inc. | Information Technology | $692M | +$126M |
| 393 | Q Qnity Electronics | Information Technology | $692M | −$1M |
| 394 | AVY Avery Dennison | Materials | $688M | −$17M |
| 395 | ESS Essex Property Trust | Real Estate | $670M | −$72M |
| 396 | EFX Equifax | Industrials | $660M | +$56M |
| 397 | JBL Jabil | Information Technology | $657M | −$731M |
| 398 | PNR Pentair | Industrials | $654M | +$28M |
| 399 | FICO Fair Isaac | Information Technology | $652M | +$139M |
| 400 | ALLE Allegion | Industrials | $644M | +$46M |
| 401 | WAT Waters Corporation | Health Care | $643M | +$5M |
| 402 | MPWR Monolithic Power Systems | Information Technology | $622M | −$971M |
| 403 | PNW Pinnacle West Capital | Utilities | $616M | +$8M |
| 404 | HII Huntington Ingalls Industries | Industrials | $605M | +$55M |
| 405 | DPZ Domino's | Consumer Discretionary | $602M | +$18M |
| 406 | JBHT J.B. Hunt | Industrials | $598M | +$27M |
| 407 | FDS FactSet | Financials | $597M | +$60M |
| 408 | INVH Invitation Homes | Real Estate | $588M | +$134M |
| 409 | CHRW C.H. Robinson | Industrials | $587M | +$121M |
| 410 | KIM Kimco Realty | Real Estate | $585M | +$174M |
| 411 | IR Ingersoll Rand | Industrials | $581M | −$257M |
| 412 | FTV Fortive | Industrials | $579M | −$254M |
| 413 | ERIE Erie Indemnity | Financials | $559M | −$41M |
| 414 | TER Teradyne | Information Technology | $554M | +$12M |
| 415 | TKO TKO Group Holdings | Communication Services | $546M | +$792M |
| 416 | AOS A. O. Smith | Industrials | $546M | +$13M |
| 417 | MOS Mosaic Company (The) | Materials | $541M | +$366M |
| 418 | REG Regency Centers | Real Estate | $528M | +$127M |
| 419 | ARES Ares Management | Financials | $527M | +$64M |
| 420 | ROL Rollins, Inc. | Industrials | $527M | +$60M |
| 421 | BEN Franklin Resources | Financials | $525M | +$60M |
| 422 | AMCR Amcor | Materials | $511M | −$219M |
| 423 | LYV Live Nation Entertainment | Communication Services | $496M | −$400M |
| 424 | WST West Pharmaceutical Services | Health Care | $494M | +$1M |
| 425 | NDSN Nordson Corporation | Industrials | $484M | +$17M |
| 426 | IEX IDEX Corporation | Industrials | $483M | −$22M |
| 427 | TPL Texas Pacific Land Corporation | Energy | $481M | +$27M |
| 428 | HRL Hormel Foods | Consumer Staples | $478M | −$327M |
| 429 | SWKS Skyworks Solutions | Information Technology | $477M | −$119M |
| 430 | TSN Tyson Foods | Consumer Staples | $474M | −$326M |
| 431 | JKHY Jack Henry & Associates | Financials | $456M | +$74M |
| 432 | AKAM Akamai Technologies | Information Technology | $452M | −$53M |
| 433 | MAA Mid-America Apartment Communities | Real Estate | $447M | −$81M |
| 434 | CCI Crown Castle | Real Estate | $444M | +$4.3B |
| 435 | TTD Trade Desk (The) | Communication Services | $443M | +$50M |
| 436 | LUV Southwest Airlines | Industrials | $441M | −$24M |
| 437 | BLDR Builders FirstSource | Industrials | $435M | −$643M |
| 438 | TRMB Trimble Inc. | Information Technology | $424M | −$1.1B |
| 439 | NCLH Norwegian Cruise Line Holdings | Consumer Discretionary | $423M | −$487M |
| 440 | ZBRA Zebra Technologies | Information Technology | $419M | −$109M |
| 441 | FRT Federal Realty Investment Trust | Real Estate | $411M | +$116M |
| 442 | ALGN Align Technology | Health Care | $410M | −$11M |
| 443 | SWK Stanley Black & Decker | Industrials | $402M | +$108M |
| 444 | HSIC Henry Schein | Health Care | $398M | +$8M |
| 445 | CPT Camden Property Trust | Real Estate | $384M | +$221M |
| 446 | FIS Fidelity National Information Services | Financials | $382M | −$1.1B |
| 447 | UDR UDR, Inc. | Real Estate | $378M | +$288M |
| 448 | COO Cooper Companies (The) | Health Care | $375M | −$17M |
| 449 | WYNN Wynn Resorts | Consumer Discretionary | $327M | −$174M |
| 450 | WY Weyerhaeuser | Real Estate | $324M | −$72M |
| 451 | TYL Tyler Technologies | Information Technology | $316M | +$53M |
| 452 | J Jacobs Solutions | Industrials | $289M | −$517M |
| 453 | BXP BXP, Inc. | Real Estate | $277M | +$262M |
| 454 | VTR Ventas | Real Estate | $251M | +$170M |
| 455 | PODD Insulet Corporation | Health Care | $247M | −$171M |
| 456 | RVTY Revvity | Health Care | $241M | −$29M |
| 457 | MCHP Microchip Technology | Information Technology | $230M | +$230M |
| 458 | MGM MGM Resorts | Consumer Discretionary | $206M | −$541M |
| 459 | TPR Tapestry, Inc. | Consumer Discretionary | $183M | −$633M |
| 460 | APTV Aptiv | Consumer Discretionary | $165M | −$1.6B |
| 461 | GNRC Generac | Industrials | $160M | −$157M |
| 462 | IRM Iron Mountain | Real Estate | $145M | −$36M |
| 463 | AXON Axon Enterprise | Industrials | $125M | −$252M |
| 464 | CIEN Ciena | Information Technology | $123M | +$39M |
| 465 | ON ON Semiconductor | Information Technology | $121M | −$1.5B |
| 466 | DDOG Datadog | Information Technology | $108M | −$76M |
| 467 | TECH Bio-Techne | Health Care | $73M | −$95M |
| 468 | DOC Healthpeak Properties | Real Estate | $71M | −$172M |
| 469 | GPC Genuine Parts Company | Consumer Discretionary | $66M | −$838M |
| 470 | HPE Hewlett Packard Enterprise | Information Technology | $57M | −$2.5B |
| 471 | COHR Coherent Corp. | Information Technology | $49M | +$206M |
| 472 | LITE Lumentum | Information Technology | $26M | +$572M |
| 473 | CSGP CoStar Group | Real Estate | $7M | −$132M |
| 474 | OMC Omnicom Group | Communication Services | −$54M | −$1.5B |
| 475 | GIS General Mills | Consumer Staples | −$88M | −$2.4B |
| 476 | SJM J.M. Smucker Company (The) | Consumer Staples | −$139M | +$1.1B |
| 477 | CRL Charles River Laboratories | Health Care | −$144M | −$166M |
| 478 | CRWD CrowdStrike | Information Technology | −$162M | −$147M |
| 479 | INTC Intel | Information Technology | −$267M | +$18.5B |
| 480 | TTWO Take-Two Interactive | Communication Services | −$298M | +$4.2B |
| 481 | HAS Hasbro | Consumer Discretionary | −$322M | −$708M |
| 482 | IFF International Flavors & Fragrances | Materials | −$361M | −$624M |
| 483 | APD Air Products | Materials | −$394M | −$4.2B |
| 484 | ALB Albemarle Corporation | Materials | −$511M | +$669M |
| 485 | IVZ Invesco | Financials | −$726M | −$1.3B |
| 486 | LYB LyondellBasell | Materials | −$738M | −$2.1B |
| 487 | DD DuPont | Materials | −$779M | −$1.5B |
| 488 | BAX Baxter International | Health Care | −$957M | −$308M |
| 489 | EL Estée Lauder Companies (The) | Consumer Staples | −$1.1B | −$1.5B |
| 490 | ARE Alexandria Real Estate Equities | Real Estate | −$1.4B | −$1.8B |
| 491 | SNDK Sandisk | Information Technology | −$1.6B | −$969M |
| 492 | TAP Molson Coors Beverage Company | Consumer Staples | −$2.1B | −$3.3B |
| 493 | DOW Dow Inc. | Materials | −$2.6B | −$3.7B |
| 494 | MRNA Moderna | Health Care | −$2.8B | +$739M |
| 495 | VTRS Viatris | Health Care | −$3.5B | −$2.9B |
| 496 | IP International Paper | Materials | −$3.5B | −$4.1B |
| 497 | KHC Kraft Heinz | Consumer Staples | −$5.8B | −$8.6B |
| 498 | PSKY Paramount Skydance Corporation | Communication Services | −$6.2B | −$5.6B |
| 499 | CNC Centene Corporation | Health Care | −$6.7B | −$10.0B |
| 500 | F Ford Motor Company | Consumer Discretionary | −$8.2B | −$14.1B |
| 501 | ECHO EchoStar | Communication Services | −$14.5B | −$14.4B |
Not investment advice. Rankings order filed figures; they are not a view on any security. Names without this XBRL line are excluded and the count above says so.