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Oberflächensprache

GSSC Goldman Sachs ActiveBeta U.S. Small Cap Equity ETF

90.96 0.01 (+0.01%)

Kurs vom Aug 26, 2026 19:59 UTC · Market data delayed approximately 15–20 minutes unless otherwise indicated.

Vorheriger Schlusskurs90.95 Tagesspanne90.69 – 91.15
52-Wochen-Spanne70.21 – 92.84 Volumen21.79K
Durchschn. Volumen36.20K AUM$1.10B (Aug 27, 2026)
Kostenquote0.20% Rendite (TTM)1.03%
NAV91.01 Aufgeld/Abschlag-0.05% indikativ
AuflegungJun 28, 2017 Positionen1364
AnbieterGoldman BörseAMEX
KategorieUs Small Cap Abgebildeter IndexIn den Quelldaten nicht angegeben
CUSIP381430602 ISINUS3814306029
ManagementIn den Quelldaten nicht angegeben

Über diesen ETF

This ETF aims to replicate the investment returns generated by the Goldman Sachs ActiveBeta U.S. Small Cap Equity Index.

Beschreibung vom Fondsdatenanbieter · Profil per Aug 27, 2026.

Kurschart

Tägliche Schlusskurse (Kursrendite, nicht Gesamtrendite). Die Vergleichslinien sind auf die prozentuale Veränderung ab dem Beginn des Zeitraums normiert. Quelle: Financial Modeling Prep.

Wertentwicklung

1M3M6MYTD1Y3Y*5Y*10Y*Auflegung*
Kursrendite +1.54% +5.39% +14.33% +20.27% +22.69% +16.47% +6.91% +9.35%
Gesamtrendite +1.54% +5.64% +14.91% +20.88% +24.14% +17.99% +8.34% +10.72%

* Annualisiert. Die Gesamtrendite verwendet die dividendenbereinigte Kursreihe (Ausschüttungen reinvestiert); die Kursrendite verwendet unbereinigte Schlusskurse. Wertentwicklung per Aug 26, 2026. Vergangene Wertentwicklungen sind kein verlässlicher Indikator für künftige Ergebnisse.

Gebühren

Nettokostenquote0.20% Jährliche Kosten einer Anlage von 10.000 $$20.00

Nur zur Veranschaulichung: Kostenquote × 10.000 $. Handelskosten, Geld-Brief-Spannen, Steuern und Wertänderungen sind nicht enthalten. Details zu Brutto- und Nettokostenquote sowie etwaige Gebührenbefreiungen sind im Prospekt aufgeführt.

Positionen

Positionen per Aug 26, 2026 — Portfolio-Meldedatum des Datenanbieters; die Positionen sind keine Echtzeit-Bestände. 1418 Zeilen in der Datenbank.

#PositionTickerGewichtungAktienMarktwert
1 CMRC/CME EMINIRUS2K 9/2026 1.26% 92 $13.8M
2 10X GENOMICS INC TXG 0.50% 84.94K $5.4M
3 ENOVA INTERNATIONAL, INC. ENVA 0.40% 17.70K $4.4M
4 ALKERMES PLC ALKS 0.39% 86.35K $4.2M
5 CAREDX, INC. CDNA 0.38% 87.45K $4.2M
6 TRAVERE THERAPEUTICS, INC. TVTX 0.37% 61.19K $4.0M
7 ACADIAN ASSET MANAGEMENT INC AAMI 0.33% 39.21K $3.6M
8 DAVE INC. DAVE 0.29% 9.03K $3.2M
9 STONEX GROUP INC. SNEX 0.29% 46.41K $3.1M
10 ACADIA PHARMACEUTICALS, INC. ACAD 0.28% 104.59K $3.1M
11 ZETA GLOBAL HOLDINGS CORP. ZETA 0.28% 107.84K $3.1M
12 ATRICURE, INC ATRC 0.27% 59.91K $3.0M
13 VICTORIA'S SECRET & COMPANY VSXY 0.27% 33.29K $2.9M
14 UNITED NATURAL FOODS INC UNFI 0.26% 58.53K $2.8M
15 VIASAT, INC VSAT 0.25% 38.45K $2.8M
16 TG THERAPEUTICS, INC. TGTX 0.25% 49.61K $2.8M
17 COMPASS, INC. COMP 0.25% 234.14K $2.7M
18 UMB FINANCIAL CORP UMBF 0.25% 18.73K $2.7M
19 APPIAN CORPORATION APPN 0.24% 68.07K $2.7M
20 ENERSYS ENS 0.24% 13.85K $2.6M
21 AMNEAL NEWCO INC. AMRX 0.23% 143.44K $2.6M
22 GRIFFON CORPORATION GFF 0.23% 25.09K $2.5M
23 PTC THERAPEUTICS, INC. PTCT 0.23% 35.59K $2.5M
24 DXP ENTERPRISES INC DXPE 0.23% 13.49K $2.5M
25 LIGAND PHARMACEUTICALS INCORPORATED LGND 0.23% 8.97K $2.5M
26 BIOCRYST PHARMACEUTICALS INC BCRX 0.23% 259.05K $2.5M
27 JACKSON FINANCIAL INC. JXN 0.23% 18.71K $2.5M
28 CARGURUS, INC. CARG 0.23% 66.45K $2.5M
29 CIMPRESS PLC CMPR 0.22% 27.93K $2.4M
30 FIRSTCASH HLDGS INC FCFS 0.22% 10.32K $2.4M
31 TUTOR PERINI CORPORATION TPC 0.22% 27.57K $2.4M
32 THE CHEF'S WAREHOUSE INC CHEF 0.22% 21.43K $2.4M
33 MOOG INC CL A MOG-A 0.22% 6.36K $2.4M
34 MERCURY GENERAL CORPORATION MCY 0.22% 22.67K $2.4M
35 ETON PHARMACEUTICALS, INC. ETON 0.22% 37.34K $2.4M
36 GLAUKOS CORPORATION GKOS 0.22% 12.78K $2.4M
37 BRINKER INTERNATIONAL INC EAT 0.21% 8.93K $2.3M
38 TEREX CORP (NEW) TEX 0.21% 34.13K $2.2M
39 VALLEY NATIONAL BANCORP VLY 0.21% 159.14K $2.2M
40 SEZZLE INC. SEZL 0.20% 18.97K $2.2M
41 BOX, INC. BOX 0.20% 66.84K $2.2M
42 ABERCROMBIE & FITCH CO. ANF 0.20% 19.91K $2.2M
43 RUSH ENTERPRISES, INC RUSHA 0.20% 28.39K $2.2M
44 BRIGHTSPRING HEALTH SERVICES, INC. BTSG 0.20% 37.41K $2.2M
45 FIGS, INC. FIGS 0.20% 145.93K $2.2M
46 HERBALIFE LTD HLF 0.20% 175.01K $2.2M
47 ARCUTIS BIOTHERAPEUTICS INC ARQT 0.20% 87.31K $2.2M
48 SUPERNUS PHARMACEUTICALS, INC. SUPN 0.20% 47.76K $2.2M
49 FRONTDOOR, INC. FTDR 0.19% 25.65K $2.1M
50 PJT PARTNERS INC. PJT 0.19% 12.01K $2.1M
51 THE BANCORP INC TBBK 0.19% 31.58K $2.1M
52 MIRUM PHARMACEUTICALS INC MIRM 0.19% 21.79K $2.1M
53 INTERDIGITAL INC IDCC 0.19% 6.17K $2.1M
54 KRYSTAL BIOTECH, INC. KRYS 0.19% 6.16K $2.1M
55 WISDOMTREE INVESTMENTS, INC. WT 0.19% 88.20K $2.1M
56 HARMONY BIOSCIENCES HOLDINGS, INC. HRMY 0.19% 54.45K $2.1M
57 AXOS FINANCIAL INC AX 0.19% 21.61K $2.1M
58 ARTISAN PARTNERS ASSET MANAGEMENT INC. APAM 0.19% 48.23K $2.1M
59 EXTREME NETWORKS INC EXTR 0.19% 92.31K $2.1M
60 MOELIS & COMPANY MC 0.19% 30.10K $2.1M
61 SSR MINING INC SSRM.TO 0.19% 53.30K $2.1M
62 COMMERCIAL METALS CO CMC 0.18% 30.97K $2.0M
63 PENGUIN SOLUTIONS, INC. PENG 0.18% 39.64K $2.0M
64 PLEXUS CORP. PLXS 0.18% 8.45K $2.0M
65 YELP INC. YELP 0.18% 83.37K $2.0M
66 QUALYS INC QLYS 0.18% 11.07K $2.0M
67 CARETRUST REIT, INC. CTRE 0.18% 49.14K $1.9M
68 BREAD FINANCIAL HOLDINGS INC BFH 0.18% 18.42K $1.9M
69 LIQUIDIA CORPORATION LQDA 0.18% 27.56K $1.9M
70 BANK OF N.T. BUTTERFIELD & SON LIMITED (THE) NTB 0.18% 33.00K $1.9M
71 INDIVIOR PHARMACEUTICALS, INC. INDV 0.18% 53.39K $1.9M
72 COMMVAULT SYSTEMS, INC. CVLT 0.18% 14.71K $1.9M
73 PAR PACIFIC HOLDINGS INC PARR 0.18% 25.93K $1.9M
74 TELADOC HEALTH INC TDOC 0.18% 310.59K $1.9M
75 MAREX GROUP LIMITED MRX 0.18% 27.22K $1.9M
76 RUSH STREET INTERACTIVE INC RSI 0.18% 72.60K $1.9M
77 FORTREA HOLDINGS INC. FTRE 0.18% 104.47K $1.9M
78 GRANITE CONSTRUCTION INC. GVA 0.17% 15.51K $1.9M
79 AZENTA INC BRKS 0.17% 57.97K $1.9M
80 STEPSTONE GROUP INC. STEP 0.17% 38.71K $1.9M
81 TARSUS PHARMACEUTICALS INC TARS 0.17% 25.86K $1.9M
82 ARGAN, INC AGX 0.17% 4.00K $1.9M
83 UNIVERSAL INSURANCE HOLDINGS, INC. UVE 0.17% 42.75K $1.9M
84 ESCO TECHNOLOGIES INC ESE 0.17% 6.74K $1.9M
85 ADAPTIVE BIOTECHNOLOGIES CORPORATION ADPT 0.17% 71.88K $1.8M
86 HNI CORP HNI 0.17% 37.22K $1.8M
87 PRICESMART, INC. PSMT 0.17% 10.41K $1.8M
88 IDT CORPORATION IDT 0.17% 26.64K $1.8M
89 UPBOUND GROUP, INC. RCII 0.17% 94.52K $1.8M
90 FIVE9, INC. FIVN 0.16% 54.81K $1.8M
91 CNO FINANCIAL GROUP, INC. CNO 0.16% 33.10K $1.8M
92 TRANSOCEAN LTD. RIGN.SW 0.16% 311.06K $1.8M
93 HANCOCK WHITNEY CORP HWC 0.16% 23.90K $1.8M
94 SONOS INC SONO 0.16% 115.80K $1.8M
95 FIRST BANCORP (PUERTO RICO) FBP 0.16% 62.95K $1.8M
96 NATIONAL HEALTHCARE CORP NHC 0.16% 7.75K $1.8M
97 OLD NATIONAL BANCORP ONB 0.16% 68.62K $1.8M
98 GENEDX HOLDINGS CORP. WGS 0.16% 20.64K $1.8M
99 SPYRE THERAPEUTICS INC SYRE 0.16% 16.45K $1.8M
100 TENABLE HOLDINGS, INC TENB 0.16% 51.38K $1.7M
101 STEVEN MADDEN LTD SHOO 0.16% 37.66K $1.7M
102 LANTHEUS HOLDINGS, INC. LNTH 0.16% 17.10K $1.7M
103 OCEANEERING INTERNATIONAL, INC. OII 0.16% 34.02K $1.7M
104 INNODATA INC INOD 0.16% 29.87K $1.7M
105 SALLY BEAUTY HOLDINGS, INC. SBH 0.16% 102.07K $1.7M
106 SOUTHWEST GAS HOLDINGS SWX 0.16% 19.02K $1.7M
107 AZZ INC. AZZ 0.16% 12.09K $1.7M
108 MAGNOLIA OIL & GAS CORPORATION MGY 0.16% 62.34K $1.7M
109 ARCOSA INC ACA 0.15% 11.63K $1.7M
110 BANDWIDTH INC. BAND 0.15% 36.19K $1.7M
111 ATMUS FILTRATION TECHNOLOGIES INC. ATMU 0.15% 34.69K $1.7M
112 BLACK HILLS CORPORATION BKH 0.15% 23.18K $1.7M
113 ARLO TECHNOLOGIES INC ARLO 0.15% 127.47K $1.7M
114 KFORCE INC KFRC 0.15% 28.86K $1.7M
115 HEALTHEQUITY, INC. HQY 0.15% 15.78K $1.7M
116 CALIX, INC. CALX 0.15% 41.63K $1.7M
117 WD 40 CO WDFC 0.15% 7.66K $1.7M
118 HAMILTON INSURANCE GROUP LTD. HG 0.15% 46.94K $1.7M
119 HCI GROUP, INC. HCI 0.15% 8.91K $1.7M
120 MATSON, INC. MATX 0.15% 7.41K $1.6M
121 INTERPARFUMS INC IPAR 0.15% 14.06K $1.6M
122 AMERIS BANCORP ABCB 0.15% 19.09K $1.6M
123 ESSENT GROUP LTD. ESNT 0.15% 23.95K $1.6M
124 TXNM ENERGY INC TXNM 0.15% 28.73K $1.6M
125 ALLIENT INC. ALNT 0.15% 17.57K $1.6M
126 CECO ENVIRONMENTAL CORP CECO 0.15% 22.82K $1.6M
127 ASANA INC ASAN 0.15% 166.60K $1.6M
128 PORTLAND GENERAL ELECTRIC CO POR 0.15% 32.65K $1.6M
129 HIMS & HERS HEALTH, INC. HIMS 0.15% 52.01K $1.6M
130 ZURN ELKAY WATER SOLUTIONS CORP ZWS 0.15% 32.96K $1.6M
131 ORMAT TECHNOLOGIES, INC. ORA 0.15% 15.24K $1.6M
132 PROTAGONIST THERAPEUTICS, INC. PTGX 0.15% 10.37K $1.6M
133 CONMED CORPORATION CNMD 0.15% 31.16K $1.6M
134 INTERFACE INC. TILE 0.15% 41.82K $1.6M
135 SPIRE INC. SR 0.15% 19.39K $1.6M
136 PACIRA BIOSCIENCES INC PCRX 0.15% 64.21K $1.6M
137 ENPRO INC NPO 0.15% 5.24K $1.6M
138 BENCHMARK ELECTRONICS INC BHE 0.15% 22.17K $1.6M
139 HUT 8 CORP HUT 0.14% 19.88K $1.6M
140 BLUE BIRD CORPORATION BLBD 0.14% 26.71K $1.6M
141 DANA INC DAN 0.14% 52.00K $1.6M
142 REALREAL INC, THE REAL 0.14% 138.78K $1.6M
143 TWIST BIOSCIENCE CORPORATION TWST 0.14% 11.09K $1.6M
144 PATHWARD FINANCIAL, INC. CASH 0.14% 18.79K $1.6M
145 BACKBLAZE, INC. BLZE 0.14% 100.01K $1.6M
146 FRANKLIN ELECTRIC INC FELE 0.14% 14.98K $1.5M
147 FEDERAL SIGNAL CORPORATION FSS 0.14% 12.89K $1.5M
148 PRESTIGE CONSUMER HEALTHCARE, INC PBH 0.14% 29.61K $1.5M
149 ONE GAS, INC. OGS 0.14% 19.08K $1.5M
150 INGLES MARKETS INC CL-A IMKTA 0.14% 17.90K $1.5M
151 FLUOR CORPORATION FLR 0.14% 29.73K $1.5M
152 AMYLYX PHARMACEUTICALS, INC. AMLX 0.14% 39.66K $1.5M
153 KONTOOR BRANDS, INC. KTB 0.14% 18.08K $1.5M
154 ACI WORLDWIDE, INC. ACIW 0.14% 28.48K $1.5M
155 PATTERSON-UTI ENERGY, INC. PTEN 0.14% 125.64K $1.5M
156 PHINIA INC. PHIN 0.14% 20.88K $1.5M
157 MADISON SQUARE GARDEN ENTERTAINMENT CORP MSGE 0.14% 18.62K $1.5M
158 BEL FUSE INC CL-B BELFB 0.14% 5.96K $1.5M
159 CNX RESOURCES CORP CNX 0.14% 40.45K $1.5M
160 IRHYTHM HOLDINGS, INC. COMMON STOCK IRTC 0.13% 11.74K $1.5M
161 INNOVIVA, INC. INVA 0.13% 69.71K $1.5M
162 HERITAGE INSURANCE HRTG 0.13% 42.24K $1.5M
163 SI-BONE, INC. SIBN 0.13% 75.00K $1.5M
164 DEFINIUM THERAPEUTICS INC DFTX 0.13% 33.58K $1.5M
165 UROGEN PHARMA LTD. URGN 0.13% 31.48K $1.5M
166 NATIONAL ENERGY SERVICES NESR 0.13% 43.35K $1.4M
167 DELEK US HOLDINGS INC DK 0.13% 21.27K $1.4M
168 NWPX INFRASTRUCTURE INC NWPX 0.13% 13.08K $1.4M
169 MYR GROUP INC. MYRG 0.13% 4.68K $1.4M
170 SCANSOURCE, INC. SCSC 0.13% 26.38K $1.4M
171 MYERS INDS INC MYE 0.13% 42.55K $1.4M
172 BIOLIFE SOLUTIONS, INC. BLFS 0.13% 38.19K $1.4M
173 RIGEL PHARMACEUTICALS, INC. RIGL 0.13% 31.37K $1.4M
174 GRAHAM HOLDINGS CO GHC 0.13% 1.20K $1.4M
175 INSPIRE MEDICAL SYSTEMS, INC. INSP 0.13% 22.92K $1.4M
176 MILLERKNOLL INC MLKN 0.13% 60.79K $1.4M
177 MATERION CORPORATION MTRN 0.13% 6.12K $1.4M
178 SPRINKLR, INC. CXM 0.13% 189.23K $1.4M
179 UFP INDUSTRIES, INC. UFPI 0.13% 15.62K $1.4M
180 CAL-MAINE FOODS INC CALM 0.13% 16.39K $1.4M
181 DIGI INTERNATIONAL, INC. DGII 0.13% 18.75K $1.4M
182 CHEESECAKE FACTORY INCORPORATED (THE) CAKE 0.13% 12.04K $1.4M
183 ASTRONICS CORPORATION ATRO 0.13% 18.45K $1.4M
184 INSIGHT ENTERPRISES, INC. NSIT 0.13% 9.49K $1.4M
185 PRAXIS PRECISION MEDICINES, INC. PRAX 0.13% 3.74K $1.4M
186 NAPCO SECURITY TECHNOLOGIES, INC. NSSC 0.13% 36.56K $1.4M
187 PREFORMED LINE PRODS CO PLPC 0.13% 3.38K $1.4M
188 SKYWEST, INC. SKYW 0.13% 13.50K $1.4M
189 LAUREATE EDUCATION, INC. LAUR 0.13% 36.77K $1.4M
190 PROG HOLDINGS, INC. PRG 0.13% 35.05K $1.4M
191 RED VIOLET, INC. RDVT 0.13% 19.51K $1.4M
192 RADIAN GROUP INC. RDN 0.13% 37.23K $1.4M
193 PIPER SANDLER COMPANIES PIPR 0.13% 18.26K $1.4M
194 DNOW INC DNOW 0.13% 88.27K $1.4M
195 NETSCOUT SYSTEMS INC NTCT 0.12% 36.02K $1.4M
196 ALPHATEC HOLDINGS, INC. ATEC 0.12% 147.34K $1.4M
197 VERICEL CORPORATION VCEL 0.12% 32.17K $1.4M
198 COHEN & STEERS, INC. CNS 0.12% 16.32K $1.4M
199 INSTALLED BUILDING PRODUCTS, INC. IBP 0.12% 5.54K $1.4M
200 SERVISFIRST BANCSHARES, INC. SFBS 0.12% 30.87K $1.4M
201 KODIAK GAS SERVICES, INC. KGS 0.12% 22.82K $1.4M
202 ICU MEDICAL INC ICUI 0.12% 7.38K $1.3M
203 MERIT MEDICAL SYS INC MMSI 0.12% 14.83K $1.3M
204 BELDEN INC BDC 0.12% 11.47K $1.3M
205 HARROW INC HROW 0.12% 33.62K $1.3M
206 DELUXE CORPORATION DLX 0.12% 55.54K $1.3M
207 VAREX IMAGING CORPORATION VREX 0.12% 72.21K $1.3M
208 KNOWLES CORPORATION KN 0.12% 40.85K $1.3M
209 NOBLE CORPORATION PLC NOBLE.CO 0.12% 28.91K $1.3M
210 DUCOMMUN INCORPORATED DCO 0.12% 7.22K $1.3M
211 SIGNET JEWELERS LIMITED SIG 0.12% 15.91K $1.3M
212 CALIFORNIA RESOURCES CORPORATION CRC 0.12% 25.35K $1.3M
213 NORTHWESTERN CORPORATION NWE 0.12% 19.04K $1.3M
214 NEW JERSEY RESOURCES CORPORATION NJR 0.12% 24.67K $1.3M
215 WINMARK CORP WINA 0.12% 3.76K $1.3M
216 SIRIUSPOINT LTD. SPNT 0.12% 54.70K $1.3M
217 LIVANOVA PLC LIVN 0.12% 16.77K $1.3M
218 DIODES INCORPORATED DIOD 0.12% 14.62K $1.3M
219 CBL & ASSOCIATES PROPERTIES, INC. CBL 0.12% 23.47K $1.3M
220 HELIX ENERGY SOLUTNS GROUP INC HLX 0.12% 130.52K $1.3M
221 AVIENT COR AVNT 0.12% 29.15K $1.3M
222 HELMERICH & PAYNE INC. HP 0.12% 30.46K $1.3M
223 SCORPIO TANKERS INC. STNG 0.12% 16.49K $1.3M
224 SELECTIVE INSURANCE GROUP INC SIGI 0.12% 13.90K $1.3M
225 WORLD KINECT CORP WKC 0.12% 35.99K $1.3M
226 TEEKAY CORP LTD TK 0.12% 95.92K $1.3M
227 VICTORY CAPITAL HOLDINGS, INC. VCTR 0.12% 11.02K $1.3M
228 UNITED BANKSHARES INC W V UBSI 0.12% 26.52K $1.3M
229 IRADIMED CORPORATION IRMD 0.12% 14.48K $1.3M
230 INTERNATIONAL SEAWAYS, INC. INSW 0.12% 12.60K $1.3M
231 RYMAN HOSPITALITY PPTYS INC RHP 0.12% 9.60K $1.3M
232 SPHERE ENTERTAINMENT CO SPHR 0.11% 7.93K $1.2M
233 NOVOCURE LIMITED (JE) NVCR 0.11% 74.44K $1.2M
234 BLADEX INC BLX 0.11% 23.20K $1.2M
235 BROOKFIELD INFRASTRUCTURE CORP BIPC.TO 0.11% 31.69K $1.2M
236 ULTRA CLEAN HOLDINGS, INC. UCTT 0.11% 17.07K $1.2M
237 PEBBLEBROOK HOTEL TRUST PEB 0.11% 67.82K $1.2M
238 ROOT, INC ROOT 0.11% 21.96K $1.2M
239 NUTEX HEALTH INC NUTX 0.11% 6.60K $1.2M
240 TIDEWATER INC. TDW 0.11% 13.28K $1.2M
241 ANI PHARMACEUTICALS INC ANIP 0.11% 16.59K $1.2M
242 AMERICAN PUBLIC EDUCATION, INC. APEI 0.11% 26.57K $1.2M
243 ENOVIS CORPORATION ENOV 0.11% 48.50K $1.2M
244 TANDEM DIABETES CARE, INC. TNDM 0.11% 54.34K $1.2M
245 LUMEN TECHNOLOGIES INC LUMN 0.11% 212.09K $1.2M
246 MAXLINEAR, INC. MXL 0.11% 19.13K $1.2M
247 SM ENERGY COMPANY SM 0.11% 32.76K $1.2M
248 CONSENSUS CLOUD SOLUTIONS INC CCSI 0.11% 30.80K $1.2M
249 SPS COMMERCE, INC. SPSC 0.11% 14.63K $1.2M
250 MANITOWOC COMPANY, INC. (THE) MTW 0.11% 60.40K $1.2M
251 INTERNATIONAL BANCSHARES CORPORATION IBOC 0.11% 16.61K $1.2M
252 DIEBOLD NIXDORF, INCORPORATED DBD 0.11% 17.17K $1.2M
253 OUTFRONT MEDIA INC. OUT 0.11% 38.81K $1.2M
254 GUARDIAN PHARMACY SERVICES INC GRDN 0.11% 31.30K $1.2M
255 COLLEGIUM PHARMACEUTICAL INC COLL 0.11% 43.07K $1.2M
256 EVERFORTH INC EFOR 0.11% 36.23K $1.2M
257 USA TODAY CO INC TDAY 0.11% 183.20K $1.2M
258 COVISTA INC CVSA 0.11% 8.82K $1.2M
259 NORTHEAST BANCORP, INC NBN 0.11% 9.04K $1.2M
260 THERAVANCE BIOPHARMA INC TBPH 0.11% 68.81K $1.2M
261 KULICKE AND SOFFA INDUSTRIES, INC. KLIC 0.11% 13.96K $1.2M
262 GARRETT MOTION INC. GTX 0.11% 45.11K $1.2M
263 PALOMAR HOLDINGS, INC. PLMR 0.11% 8.76K $1.2M
264 PAGERDUTY INC PD 0.11% 93.76K $1.2M
265 EVERQUOTE, INC. EVER 0.11% 43.57K $1.2M
266 CONSTELLIUM SE CSTM 0.11% 43.54K $1.2M
267 TEXAS CAPITAL BANCSHARES, INC. TCBI 0.11% 11.81K $1.2M
268 PEDIATRIX MEDICAL GROUP INC MD 0.11% 43.43K $1.2M
269 ALARM.COM HOLDINGS, INC. ALRM 0.11% 20.03K $1.2M
270 ROGERS CORP ROG 0.11% 9.39K $1.2M
271 ARCHROCK, INC. AROC 0.11% 37.52K $1.2M
272 CABOT CORP. CBT 0.11% 13.73K $1.2M
273 PROTO LABS, INC PRLB 0.11% 14.97K $1.1M
274 ASBURY AUTOMOTIVE GROUP, INC. ABG 0.11% 5.45K $1.1M
275 PBF ENERGY INC. PBF 0.11% 16.51K $1.1M
276 CACTUS, INC. WHD 0.11% 16.85K $1.1M
277 WILLDAN GROUP, INC. WLDN 0.10% 13.71K $1.1M
278 PELOTON INTERACTIVE, INC. PTON 0.10% 213.35K $1.1M
279 ENCORE CAPITAL GROUP, INC ECPG 0.10% 11.08K $1.1M
280 PERIMETER SOLUTIONS, INC. PRM 0.10% 37.19K $1.1M
281 REX AMERICAN RESOURCES CORP REX 0.10% 26.82K $1.1M
282 SABRA HEALTH CARE REIT, INC. SBRA 0.10% 55.48K $1.1M
283 MESA LABORATORIES INC MLAB 0.10% 9.12K $1.1M
284 ATKORE INC ATKR 0.10% 12.12K $1.1M
285 GULFPORT ENERGY CORPORATION GPOR 0.10% 6.45K $1.1M
286 ITRON, INC. ITRI 0.10% 11.44K $1.1M
287 FULTON FINANCIAL CORPORATION FULT 0.10% 47.82K $1.1M
288 VISTANCE NETWORKS INC COMM 0.10% 103.84K $1.1M
289 ADMA BIOLOGICS, INC. ADMA 0.10% 117.70K $1.1M
290 FORUM ENERGY TECHNOLOGIES, INC. FET 0.10% 14.77K $1.1M
291 NORDIC AMERICAN TANKERS LTD 0UC0.L 0.10% 160.24K $1.1M
292 BUCKLE INC COM BKE 0.10% 25.19K $1.1M
293 SELLAS LIFE SCIENCES GROUP, INC. SLS 0.10% 78.00K $1.1M
294 SENECA FOODS CORP CL-A SENEA 0.10% 5.88K $1.1M
295 STONECO LTD STNE 0.10% 116.68K $1.1M
296 TALOS ENERGY INC. TALO 0.10% 65.81K $1.1M
297 SILICON LABORATORIES INC. SLAB 0.10% 5.10K $1.1M
298 TEEKAY TANKERS LTD 0EAQ.L 0.10% 12.03K $1.1M
299 ATLANTIC UNION BANKSHARES CORPORATION AUB 0.10% 27.00K $1.1M
300 ACM RESEARCH, INC. ACMR 0.10% 14.29K $1.1M
301 VALARIS LIMITED VAL 0.10% 12.87K $1.1M
302 OPENLANE INC OPLN 0.10% 32.31K $1.1M
303 ORUKA THERAPEUTICS, INC. ORKA 0.10% 10.74K $1.1M
304 DIAMONDROCK HOSPITALITY CO DRH 0.10% 86.27K $1.1M
305 INTEGER HOLDINGS CORPORATION ITGR 0.10% 8.78K $1.1M
306 FEDERAL AGRICULTURAL MORTGAGE AGM 0.10% 4.99K $1.1M
307 BOISE CASCADE COMPANY BCC 0.10% 13.30K $1.1M
308 TENNANT COMPANY TNC 0.10% 15.89K $1.1M
309 REVOLVE GROUP INC RVLV 0.10% 45.22K $1.1M
310 RAPID7, INC. RPD 0.10% 88.88K $1.1M
311 APPLE HOSPITALITY REIT INC APLE 0.10% 65.17K $1.1M
312 HOME BANCSHARES, INC. HOMB 0.10% 35.91K $1.1M
313 SPECTRUM BRANDS HOLDINGS INC SPB 0.10% 12.19K $1.1M
314 BROADSTONE NET LEASE INC BNL 0.10% 50.78K $1.1M
315 CASTLE BIOSCIENCES INC CSTL 0.10% 32.14K $1.1M
316 LIVERAMP HOLDINGS, INC. RAMP 0.10% 28.55K $1.1M
317 LEGALZOOM COM INC LZ 0.10% 178.57K $1.1M
318 CAVCO INDUSTRIES INC CVCO 0.10% 1.84K $1.1M
319 AMPHASTAR PHARMACEUTICALS, INC. AMPH 0.10% 49.70K $1.1M
320 GORMAN-RUPP CO GRC 0.10% 13.72K $1.1M
321 ARTERIS, INC. AIP 0.10% 47.11K $1.1M
322 AAR CORP. AIR 0.10% 7.91K $1.1M
323 CHATHAM LODGING TRUST CLDT 0.10% 77.10K $1.1M
324 DIANTHUS THERAPEUTICS INC DNTH 0.10% 9.61K $1.1M
325 NMI HOLDINGS, INC. NMIH 0.10% 23.23K $1.1M
326 BOWMAN CONSULTING GROUP LTD BWMN 0.10% 24.77K $1.1M
327 CORMEDIX INC CRMD 0.10% 127.16K $1.1M
328 RLJ LODGING TRUST RLJ 0.10% 91.07K $1.1M
329 AXCELIS TECHNOLOGIES, INC. ACLS 0.10% 8.49K $1.0M
330 AMN HEALTHCARE SERVICES, INC. AMN 0.10% 30.32K $1.0M
331 CSW INDUSTRIALS, INC. CSW 0.10% 3.19K $1.0M
332 DAKTRONICS, INC DAKT 0.10% 54.95K $1.0M
333 STRIDE INC LRN 0.10% 12.27K $1.0M
334 PITNEY-BOWES INC PBI 0.10% 63.13K $1.0M
335 BRINK'S COMPANY (THE) BCO 0.10% 9.25K $1.0M
336 DHT HOLDINGS INC DHT 0.10% 52.91K $1.0M
337 CONCENTRA GROUP HOLDINGS PARENT, INC. CON 0.10% 29.79K $1.0M
338 NICOLET BANKSHARES INC NIC 0.10% 6.03K $1.0M
339 SPROUT SOCIAL, INC. SPT 0.10% 100.72K $1.0M
340 GRAHAM CORP (DEL) GHM 0.10% 10.71K $1.0M
341 URBAN OUTFITTERS INC URBN 0.10% 13.68K $1.0M
342 OFG BANCORP OFG 0.10% 19.86K $1.0M
343 PATRICK INDUSTRIES, INC. PATK 0.10% 12.19K $1.0M
344 KITE REALTY GROUP TRUST KRG 0.09% 39.49K $1.0M
345 RHYTHM PHARMACEUTICALS, INC. RYTM 0.09% 9.27K $1.0M
346 SYNAPTICS INCORPORATED SYNA 0.09% 11.00K $1.0M
347 AVISTA CORPORATION AVA 0.09% 27.14K $1.0M
348 MURPHY OIL CORPORATION MUR 0.09% 28.58K $1.0M
349 MAMA'S CREATIONS INC MAMA 0.09% 62.28K $1.0M
350 BANKUNITED INC BKU 0.09% 22.13K $1.0M
351 COHU, INC. COHU 0.09% 19.95K $1.0M
352 WILEY JOHN & SONS CL-A WLY 0.09% 19.20K $1.0M
353 ASSOCIATED BANC-CORP ASB 0.09% 32.91K $1.0M
354 WEIS MARKETS INC. WMK 0.09% 14.30K $1.0M
355 VERACYTE, INC. VCYT 0.09% 24.48K $1.0M
356 WARBY PARKER INC WRBY 0.09% 38.70K $1.0M
357 CALUMET INC CLMT 0.09% 21.41K $1.0M
358 WOLVERINE WORLD WIDE WWW 0.09% 48.41K $1.0M
359 NORTHWEST NATURAL HOLDING NWN 0.09% 20.11K $1.0M
360 GLOBAL INDUSTRIAL CO GIC 0.09% 25.51K $1.0M
361 ENERPAC TOOL GROUP CORP EPAC 0.09% 27.16K $1.0M
362 ACUSHNET HOLDINGS CORP. GOLF 0.09% 11.22K $1.0M
363 IMPINJ, INC. PI 0.09% 6.24K $1.0M
364 BROOKDALE SENIOR LIVING, INC. BKD 0.09% 82.64K $1.0M
365 A10 NETWORKS, INC. ATEN 0.09% 39.66K $1.0M
366 BADGER METER, INC. BMI 0.09% 7.33K $995.7K
367 ADDUS HOMECARE CORPORATION ADUS 0.09% 8.22K $993.7K
368 ONESPAN, INC. OSPN 0.09% 63.59K $991.9K
369 SCHOLASTIC CORPORATION SCHL 0.09% 24.58K $990.6K
370 M/I HOMES, INC. MHO 0.09% 6.51K $990.2K
371 KORN FERRY KFY 0.09% 11.68K $989.7K
372 AXOGEN INC AXGN 0.09% 20.07K $988.1K
373 WORKIVA INC. WK 0.09% 13.19K $987.7K
374 BLUELINX HOLDINGS INC. BXC 0.09% 11.88K $986.1K
375 KOPPERS HOLDINGS INC. KOP 0.09% 21.51K $985.8K
376 XENIA HOTELS & RESORTS, INC. XHR 0.09% 50.09K $984.8K
377 PORCH GROUP INC PRCH 0.09% 57.70K $984.3K
378 RELAY THERAPEUTICS INC RLAY 0.09% 49.66K $981.2K
379 CUSTOMERS BANCORP, INC. CUBI 0.09% 12.36K $976.4K
380 XPEL INC XPEL 0.09% 19.30K $976.3K
381 ESQUIRE FINANCIAL HOLDINGS, INC. ESQ 0.09% 8.50K $975.9K
382 G-III APPAREL GROUP, LTD. GIII 0.09% 28.85K $975.3K
383 LINCOLN EDL SERVICES CORP LINC 0.09% 39.19K $973.0K
384 JBT MAREL CORP JBTM 0.09% 8.43K $970.5K
385 APOGEE ENTERPRISES, INC. APOG 0.09% 23.46K $970.2K
386 CATHAY GENERAL BANCORP CATY 0.09% 15.56K $969.9K
387 CUSHMAN & WAKEFIELD PLC CWK 0.09% 66.02K $966.5K
388 HAWAIIAN ELEC INDS INC HE 0.09% 84.56K $964.8K
389 KB HOME KBH 0.09% 17.30K $962.5K
390 ANGIODYNAMICS, INC. ANGO 0.09% 60.95K $961.2K
391 CG ONCOLOGY, INC. CGON 0.09% 12.26K $958.8K
392 GENTHERM INCORPORATED THRM 0.09% 24.26K $957.0K
393 ADEIA INC. ADEA 0.09% 36.34K $954.9K
394 COPT DEFENSE PROPERTIES CDP 0.09% 25.41K $951.9K
395 BJ'S RESTAURANTS, INC. BJRI 0.09% 14.14K $951.1K
396 TANGO THERAPEUTICS, INC. TNGX 0.09% 38.75K $949.9K
397 HUDSON PACIFIC PROPERTIES, INC. HPP 0.09% 64.55K $949.6K
398 PHIBRO ANIMAL HEALTH CORPORATION PAHC 0.09% 26.80K $946.2K
399 ERASCA, INC. ERAS 0.09% 53.66K $944.4K
400 COSTAMARE INC. CMRE 0.09% 60.58K $943.8K
401 PEABODY ENERGY CORPORATION BTU 0.09% 33.70K $940.3K
402 CYTOKINETICS, INC. CYTK 0.09% 12.15K $936.8K
403 BRISTOW GROUP INC VTOL 0.09% 20.32K $933.8K
404 OOMA, INC. OOMA 0.09% 43.84K $931.3K
405 WSFS FINANCIAL CORP WSFS 0.09% 11.71K $930.5K
406 IRONWOOD PHARMACEUTICALS, INC. IRWD 0.09% 225.26K $930.3K
407 CHAMPION HOMES INC SKY 0.09% 10.16K $930.3K
408 PERDOCEO EDUCATION CORPORATION PRDO 0.09% 28.15K $929.3K
409 QUINSTREET, INC. QNST 0.08% 45.19K $926.0K
410 CIPHER DIGITAL INC CIFR 0.08% 60.24K $925.3K
411 FIRST FINL BANKSHARES INC FFIN 0.08% 27.24K $925.1K
412 KADANT INC. KAI 0.08% 2.96K $924.6K
413 DLOCAL LIMITED DLO 0.08% 61.14K $924.5K
414 NAVIGATOR HOLDINGS LTD. NVGS 0.08% 41.38K $924.1K
415 COGENT BIOSCIENCES, INC. COGT 0.08% 25.45K $921.9K
416 GENWORTH FINANCIAL INC GNW 0.08% 92.66K $916.4K
417 PALVELLA THERAPEUTICS INC PVLA 0.08% 6.29K $916.3K
418 CERUS CORPORATION CERS 0.08% 339.22K $912.5K
419 GRID DYNAMICS HOLDINGS INC GDYN 0.08% 115.98K $911.6K
420 TACTILE SYSTEMS TECHNOLOGY INC TCMD 0.08% 39.00K $911.1K
421 MACERICH COMPANY MAC 0.08% 37.35K $909.8K
422 MERCHANTS BANCORP MBIN 0.08% 16.82K $909.6K
423 PHOTRONICS, INC. PLAB 0.08% 30.78K $908.8K
424 AURINIA PHARMACEUTICALS INC. AUPH 0.08% 54.79K $907.8K
425 MOVADO GROUP, INC MOV 0.08% 26.10K $906.6K
426 MILLER INDS INC MLR 0.08% 15.96K $905.6K
427 CELCUITY INC. CELC 0.08% 9.96K $904.6K
428 MITEK SYSTEMS INC (NEW) MITK 0.08% 50.51K $901.8K
429 FORTE BIOSCIENCES, INC. FBRX 0.08% 11.69K $899.9K
430 US DOLLAR 0.08% 0 $899.7K
431 HARMONIC INC. HLIT 0.08% 74.73K $897.5K
432 OXFORD IND INC OXM 0.08% 24.44K $893.6K
433 SEADRILL LTD SDRL.OL 0.08% 19.10K $893.2K
434 CLEAR SECURE, INC. YOU 0.08% 19.97K $892.7K
435 QUANEX BUILDING PRODUCTS CORP NX 0.08% 44.72K $892.1K
436 APOGEE THERAPEUTICS INC APGE 0.08% 6.61K $890.6K
437 CLEANSPARK INC CLSK 0.08% 74.64K $890.5K
438 HUB GROUP, INC. HUBG 0.08% 22.13K $889.7K
439 RUSH ENTERPRISES INC RUSHB 0.08% 11.27K $889.6K
440 EVOLUS, INC. EOLS 0.08% 101.25K $889.0K
441 PDF SOLUTIONS, INC. PDFS 0.08% 20.15K $888.0K
442 HELIOS TECHNOLOGIES INC. HLIO 0.08% 11.99K $886.9K
443 UPWORK, INC. UPWK 0.08% 103.33K $885.5K
444 BLOOMIN' BRANDS, INC. BLMN 0.08% 77.36K $885.0K
445 CORSAIR GAMING, INC. CRSR 0.08% 81.11K $884.9K
446 ICHOR HOLDINGS LTD 0Z0F.L 0.08% 15.52K $883.1K
447 MIMEDX GROUP, INC. MDXG 0.08% 206.58K $882.1K
448 MERITAGE HOMES CORPORATION MTH 0.08% 12.12K $879.0K
449 GREIF, INC GEF 0.08% 10.19K $876.3K
450 FLEX LNG LIMITED FLNG.OL 0.08% 27.47K $875.0K
451 KIMBALL ELECTRONICS, INC. KE 0.08% 38.44K $875.0K
452 VSE CORPORATION VSEC 0.08% 4.06K $873.3K
453 LIFE TIME GROUP HOLDINGS, INC. LTH 0.08% 19.06K $871.5K
454 SUMMIT HOTEL PROPERTIES, INC. INN 0.08% 141.88K $871.1K
455 PHILLIPS EDISON & COMPANY, INC. PECO 0.08% 21.97K $870.8K
456 BOSTON BEER INC CL A SAM 0.08% 4.59K $869.7K
457 NETSTREIT CORP. NTST 0.08% 41.76K $868.5K
458 MATIV INC SWM 0.08% 70.44K $862.9K
459 KURA ONCOLOGY, INC. KURA 0.08% 69.51K $862.0K
460 EASTERN BANKSHARES INC EBC 0.08% 38.02K $860.8K
461 STANDEX INTERNATL CORP SXI 0.08% 2.84K $860.5K
462 HILTON GRAND VACATIONS INC. HGV 0.08% 18.93K $858.9K
463 VAXCYTE INC PCVX 0.08% 13.86K $857.3K
464 RADNET, INC. RDNT 0.08% 11.43K $853.4K
465 SFL CORPORATION LTD SFL 0.08% 69.56K $852.8K
466 HONEST COMPANY, INC. HNST 0.08% 163.97K $851.8K
467 TETRA TECHNOLOGIES INC (DEL) TTI 0.08% 125.68K $850.9K
468 PROVIDENT FINANCIAL SERVICES, INC PFS 0.08% 36.10K $850.8K
469 GROUP 1 AUTOMOTIVE, INC. GPI 0.08% 3.28K $850.8K
470 GATX CORPORATION GATX 0.08% 4.76K $850.1K
471 SAREPTA THERAPEUTICS INC SRPT 0.08% 46.86K $849.6K
472 CTS CORPORATION CTS 0.08% 15.13K $849.2K
473 DORIAN LPG LTD LPG 0.08% 16.53K $848.2K
474 UNITED COMMUNITY BANKS, INC. UCB 0.08% 23.93K $847.3K
475 KAISER ALUMINUM CORPORATION KALU 0.08% 5.55K $846.7K
476 MINERALS TECHNOLOGIES INC. MTX 0.08% 11.72K $843.3K
477 VEECO INSTRUMENTS INC VECO 0.08% 18.03K $842.9K
478 VISHAY PRECISION GROUP, INC. VPG 0.08% 12.71K $840.7K
479 ARDMORE SHIPPING CORPORATION ASC 0.08% 46.01K $839.7K
480 TRUSTCO BANK CORP N Y TRST 0.08% 14.67K $839.0K
481 ANDERSONS, INC. (THE) ANDE 0.08% 12.75K $838.7K
482 TRIPADVISOR, INC. TRIP 0.08% 82.28K $838.4K
483 GOLAR LNG LIMITED 0HDY.L 0.08% 16.19K $832.1K
484 INHIBRX BIOSCIENCES, INC. INBX 0.08% 7.92K $830.7K
485 RYERSON HOLDING CORPORATION RYZ 0.08% 34.28K $829.9K
486 FIRST BUSINESS FINL SVCS, INC. FBIZ 0.08% 11.85K $829.6K
487 CYTEK BIOSCIENCES, INC. CTKB 0.08% 186.52K $828.1K
488 PREFERRED BANK PFBC 0.08% 7.96K $827.8K
489 GLOBAL NET LEASE, INC. GNL 0.08% 89.77K $827.6K
490 PERRIGO CO PLC 0Y5E.L 0.08% 58.00K $827.6K
491 WARRIOR MET COAL, INC. HCC 0.08% 7.75K $826.6K
492 CARTER'S, INC. CRI 0.08% 24.07K $826.2K
493 RIGETTI COMPUTING INC RGTI 0.08% 50.34K $824.1K
494 PC CONNECTION INC. CNXN 0.08% 10.74K $823.6K
495 FINANCIAL INSTITUTIONS INC FISI 0.08% 20.14K $822.2K
496 NATIONAL HEALTH INVESTORS, INC. NHI 0.08% 11.24K $821.7K
497 H.B. FULLER COMPANY FUL 0.08% 14.17K $821.5K
498 DELCATH SYSTEMS, INC. DCTH 0.08% 49.03K $821.3K
499 INTEGRA LIFESCIENCES HOLDING IART 0.08% 49.12K $819.9K
500 GROUPON, INC. GRPN 0.07% 41.66K $817.8K
501 MARINEMAX, INC. HZO 0.07% 15.68K $817.5K
502 ESSENTIAL PROPERTIES REALTY EPRT 0.07% 26.38K $817.3K
503 DWAVE QUANTUM INC QBTS 0.07% 43.72K $816.6K
504 NATIONAL BEVERAGE CORP. FIZZ 0.07% 24.68K $816.2K
505 SAFE BULKERS, INC. SB 0.07% 94.28K $815.5K
506 KENNAMETAL INC. KMT 0.07% 27.80K $814.4K
507 VITA COCO COMPANY, INC. (THE) COCO 0.07% 12.83K $813.2K
508 PIEDMONT REALTY TRUST INC PDM 0.07% 82.73K $811.6K
509 OIL STATES INTERNATIONAL, INC. OIS 0.07% 97.53K $810.5K
510 DOUGLAS EMMETT, INC. DEI 0.07% 67.81K $810.3K
511 VISTEON CORPORATION VC 0.07% 7.96K $810.3K
512 AGNT INC EXPI 0.07% 178.02K $810.0K
513 CALERES, INC CAL 0.07% 59.30K $809.5K
514 COMPASS DIVERSIFIED CODI 0.07% 70.08K $809.5K
515 MUELLER WATER PRODUCTS, INC. MWA 0.07% 32.10K $807.3K
516 GRAIL, INC. GRAL 0.07% 10.51K $805.1K
517 AMALGAMATED FINANCIAL CORP AMAL 0.07% 16.48K $803.9K
518 PROGRESS SOFTWARE CORPORATION PRGS 0.07% 18.48K $802.3K
519 SUNSTONE HOTEL INVESTORS INC. SHO 0.07% 70.94K $802.3K
520 ABM INDUSTRIES INC ABM 0.07% 17.11K $802.0K
521 STARLING ONCOLOGY INC TOI 0.07% 130.56K $800.4K
522 ARBUTUS BIOPHARMA CORP ABUS 0.07% 153.55K $798.4K
523 DOUGLAS DYNAMICS, INC. PLOW 0.07% 19.11K $795.6K
524 TOMPKINS FINANCIAL CORPORATION TMP 0.07% 8.12K $795.0K
525 LCI INDUSTRIES LCII 0.07% 7.60K $794.7K
526 KODIAK SCIENCES, INC. KOD 0.07% 21.32K $793.6K
527 NORTHRIM BANCORP, INC. NRIM 0.07% 30.72K $791.6K
528 INDEPENDENT BANK CORP. INDB 0.07% 9.46K $789.5K
529 ATLANTICUS HLDGS CORP ATLC 0.07% 8.28K $788.1K
530 GREEN BRICK PARTNERS, INC. GRBK 0.07% 10.81K $787.0K
531 NATIONAL VISION HOLDINGS, INC. EYE 0.07% 43.01K $784.1K
532 ARCBEST CORP ARCB 0.07% 5.82K $782.6K
533 WESBANCO, INC. WSBC 0.07% 19.19K $781.5K
534 IMMUNOME, INC. IMNM 0.07% 27.90K $781.5K
535 ARCUS BIOSCIENCES, INC. RCUS 0.07% 25.83K $778.0K
536 TRUSTMARK CORPORATION TRMK 0.07% 16.73K $777.4K
537 CORE NATURAL RESOURCES INC CNR 0.07% 8.05K $774.8K
538 OMNIAB, INC OABI 0.07% 164.41K $774.4K
539 CENTURY COMMUNITIES, INC. CCS 0.07% 11.15K $774.1K
540 CARS.COM INC. CARS 0.07% 62.58K $773.4K
541 INDEPENDENT BANK (MI) IBCP 0.07% 20.91K $773.0K
542 WEAVE COMMUNICATIONS, INC. WEAV 0.07% 105.55K $769.5K
543 TERRENO REALTY CORPORATION TRNO 0.07% 11.16K $768.8K
544 RIOT PLATFORMS INC RIOT 0.07% 38.40K $768.0K
545 GREEN PLAINS INC GPRE 0.07% 51.27K $767.6K
546 GLACIER BANCORP INC (NEW) GBCI 0.07% 16.39K $766.4K
547 PHREESIA, INC. PHR 0.07% 65.54K $766.2K
548 EPLUS INC. PLUS 0.07% 8.82K $760.6K
549 SOLARIS ENERGY INFRASTRUCTURE INC SEI 0.07% 14.19K $759.8K
550 XOMETRY INC XMTR 0.07% 8.98K $759.6K
551 NPK INTERNATIONAL INC NPKI 0.07% 57.53K $757.1K
552 RENASANT CORPORATION RNST 0.07% 18.26K $756.3K
553 STOKE THERAPEUTICS, INC. STOK 0.07% 23.39K $755.9K
554 BANC OF CALIFORNIA INC BANC 0.07% 40.53K $755.8K
555 BANK OF HAWAII CORPORATION BOH 0.07% 9.83K $755.4K
556 ORTHOPEDIATRICS CORP KIDS 0.07% 30.11K $754.9K
557 CALLAWAY GOLF COMPANY ELY 0.07% 47.72K $753.5K
558 OPTION CARE HEALTH, INC. OPCH 0.07% 31.82K $753.1K
559 CONSTRUCTION PARTNERS INC ROAD 0.07% 6.94K $752.8K
560 FIRST FINL BANCORP FFBC 0.07% 22.84K $752.4K
561 FIRST BANCORP FBNC 0.07% 11.52K $752.1K
562 ENERGY FUELS INC. EFR.TO 0.07% 50.43K $750.4K
563 ASTEC INDUSTRIES INC ASTE 0.07% 17.18K $749.3K
564 JFROG LTD FROG 0.07% 8.31K $749.2K
565 OMNICELL, INC. OMCL 0.07% 21.61K $748.9K
566 ETHAN ALLEN INTERIORS INC. ETD 0.07% 32.10K $747.4K
567 MASTERBRAND INC MBC 0.07% 80.17K $747.2K
568 INNOVEX INTERNATIONAL INC INVX 0.07% 26.11K $747.2K
569 C V B FINL CORP CVBF 0.07% 33.29K $747.0K
570 CAPRI HOLDINGS LIMITED CPRI 0.07% 54.52K $745.9K
571 SELECT WATER SOLUTIONS INC WTTR 0.07% 38.73K $744.1K
572 ECOVYST INC. ECVT 0.07% 73.84K $743.5K
573 FIRST MERCHANTS CORPORATION FRME 0.07% 17.74K $743.5K
574 IDEAYA BIOSCIENCES, INC IDYA 0.07% 18.54K $742.3K
575 REAL BROKERAGE INC. (THE) REAX 0.07% 308.54K $740.5K
576 LXP INDUSTRIAL TRUST LXP 0.07% 12.11K $740.3K
577 AMERICAN EAGLE OUTFITTERS INC AEO 0.07% 43.72K $737.5K
578 OSI SYSTEMS, INC. OSIS 0.07% 3.61K $737.4K
579 GENCO SHIPPING & TRADING LIMITED GNK 0.07% 27.37K $737.4K
580 AEHR TEST SYSTEMS AEHR 0.07% 7.63K $736.0K
581 CONSOLIDATED WATER CO., INC. CWCO 0.07% 24.58K $735.8K
582 FIRST INTERSTATE BANCSYSTEM, INC. FIBK 0.07% 19.75K $735.6K
583 LSI INDUSTRIES INC LYTS 0.07% 37.46K $733.9K
584 DYNEX CAPITAL, INC. DX 0.07% 56.01K $730.9K
585 GROCERY OUTLET HOLDING CORP. GO 0.07% 60.53K $728.8K
586 CENTURY ALUMINUM COMPANY CENX 0.07% 16.68K $728.4K
587 Q2 HOLDINGS, INC. QTWO 0.07% 11.32K $726.7K
588 PHATHOM PHARMACEUTICALS INC PHAT 0.07% 83.86K $726.2K
589 FIRST FINANCIAL CORP THFF 0.07% 9.11K $725.3K
590 ZENAS BIOPHARMA INC ZBIO 0.07% 22.91K $725.2K
591 UNITED FIRE GROUP INC UFCS 0.07% 13.37K $721.0K
592 CRYOPORT, INC. CYRX 0.07% 44.08K $720.2K
593 GOLD.COM INC GOLD 0.07% 15.63K $715.8K
594 COMPASS MINERALS INTL, INC. CMP 0.07% 29.05K $711.7K
595 NVE CORP NVEC 0.07% 6.67K $711.4K
596 DIGITAL TURBINE, INC. APPS 0.07% 66.11K $710.0K
597 MERCURY SYSTEMS INC MRCY 0.06% 7.91K $708.4K
598 VILLAGE SUPERMKT INC CL-A(NEW) VLGEA 0.06% 15.99K $707.3K
599 BELLRING BRANDS, INC. BRBR 0.06% 65.07K $706.0K
600 VITAL FARMS, INC. VITL 0.06% 63.69K $705.6K
601 NEXTDOOR HOLDINGS INC NXDR 0.06% 297.41K $704.9K
602 STOCK YARDS BANCORP, INC. SYBT 0.06% 8.62K $704.8K
603 NATURAL GAS SERVICES GROUP, INC. NGS 0.06% 20.20K $702.4K
604 INNOSPEC CORPORTAION IOSP 0.06% 7.41K $702.3K
605 ZIFF DAVIS INC JCOM 0.06% 12.59K $701.4K
606 INDEPENDENCE REALTY TRUST, INC. IRT 0.06% 41.43K $699.4K
607 CENTRAL GARDEN & PET COMPANY CENTA 0.06% 18.18K $697.4K
608 ANAPTYSBIO, INC. ANAB 0.06% 11.93K $697.0K
609 LIBERTY ENERGY INC LBRT 0.06% 37.71K $696.9K
610 BALCHEM CORPORATION BCPC 0.06% 3.92K $696.0K
611 OPKO HEALTH INC OPK 0.06% 468.59K $693.5K
612 BANCFIRST CORPORATION BANF 0.06% 6.16K $692.6K
613 METROPOLITAN BANK HOLDING CORP. MCB 0.06% 7.64K $691.6K
614 KINIKSA PHARMACEUTICALS INTERNATIONAL PLC KNSA 0.06% 8.70K $690.9K
615 OTTER TAIL CORPORATION OTTR 0.06% 7.49K $689.3K
616 SKYWARD SPECIALTY INSURANCE GROUP INC SKWD 0.06% 11.88K $688.0K
617 KOHL'S CORP (WISCONSIN) KSS 0.06% 37.59K $687.8K
618 ALTO NEUROSCIENCE, INC. ANRO 0.06% 18.97K $687.8K
619 HORACE MANN EDUCATORS CORP HMN 0.06% 13.41K $686.8K
620 TITAN MACHINERY INC. TITN 0.06% 36.02K $686.5K
621 U. S. PHYSICAL THERAPY, INC. USPH 0.06% 8.87K $686.1K
622 HEALTHSTREAM, INC HSTM 0.06% 23.84K $686.0K
623 V2X INC VVX 0.06% 8.81K $683.8K
624 LINDBLAD EXPEDITIONS HLDGS INC LIND 0.06% 21.43K $683.6K
625 CHESAPEAKE UTILITIES CORP CPK 0.06% 5.05K $683.6K
626 KYMERA THERAPEUTICS, INC. KYMR 0.06% 5.64K $682.6K
627 C3.AI, INC. AI 0.06% 67.26K $680.0K
628 PUMA BIOTECHNOLOGY, INC. PBYI 0.06% 74.50K $679.4K
629 JANUS INTERNATIONAL GROUP, INC. JBI 0.06% 132.66K $676.6K
630 ORTHOFIX MEDICAL INC. OFIX 0.06% 68.95K $675.0K
631 PAGSEGURO DIGITAL LTD. PAGS 0.06% 77.22K $671.8K
632 IMAX CORPORATION IMAX 0.06% 12.24K $670.4K
633 LTC PROPERTIES INC LTC 0.06% 16.55K $668.8K
634 MALIBU BOATS, INC. MBUU 0.06% 22.67K $668.1K
635 HANMI FINANCIAL CORPORATION HAFC 0.06% 21.37K $667.2K
636 GIBRALTAR INDUSTRIES, INC. ROCK 0.06% 14.34K $663.4K
637 BUILD-A-BEAR WORKSHOP, INC. BBW 0.06% 17.07K $663.4K
638 GREENBRIER COMPANIES INC GBX 0.06% 14.38K $662.7K
639 STITCH FIX, INC SFIX 0.06% 201.31K $662.3K
640 RESIDEO TECHNOLOGIES INC. REZI 0.06% 34.29K $661.1K
641 ACCO BRANDS CORPORATION ACCO 0.06% 157.13K $658.4K
642 BOOT BARN HOLDINGS, INC. BOOT 0.06% 4.07K $658.2K
643 SCHRODINGER INC/UNITED STATES SDGR 0.06% 35.06K $658.1K
644 SUNCOKE ENERGY INC SXC 0.06% 68.37K $657.1K
645 YEXT, INC. YEXT 0.06% 100.51K $656.3K
646 ADTRAN HOLDINGS, INC. ADTN 0.06% 85.02K $655.5K
647 TELEPHONE AND DATA SYS INC TDS 0.06% 19.72K $652.6K
648 NLIGHT, INC. LASR 0.06% 14.79K $652.4K
649 UNITY BANCORP, INC. UNTY 0.06% 10.98K $651.6K
650 KELLY SERVICES INC(CL-A) KELYA 0.06% 38.73K $650.2K
651 SHATTUCK LABS INC STTK 0.06% 82.14K $648.9K
652 LIFE360, INC. LIF 0.06% 14.61K $647.1K
653 RILEY EXPLORATION PERMIAN INC REPX 0.06% 17.18K $646.3K
654 BEAZER HOMES USA, INC. BZH 0.06% 19.46K $644.4K
655 ADIENT PLC ADNT 0.06% 33.94K $644.2K
656 INGEVITY CORPORATION NGVT 0.06% 9.36K $644.2K
657 BLACKBAUD, INC BLKB 0.06% 13.39K $643.8K
658 SOUTHERN FIRST BANCSHARES, INC. SFST 0.06% 10.21K $643.2K
659 GLOBANT S.A. GLOB 0.06% 16.24K $642.7K
660 URANIUM ENERGY CORP. UEC 0.06% 51.30K $641.8K
661 CITY HOLDING CO CHCO 0.06% 4.42K $640.9K
662 CITI TRENDS, INC. CTRN 0.06% 8.59K $638.6K
663 DEL MONTE CORP DMC 0.06% 19.90K $636.7K
664 NABORS INDUSTRIES LTD. NBR 0.06% 7.17K $635.5K
665 TERADATA CORPORATION TDC 0.06% 23.08K $635.1K
666 BANNER CORPORATION BANR 0.06% 8.96K $634.7K
667 BITDEER TECHNOLOGIES GROUP BTDR 0.06% 58.13K $634.2K
668 DXC TECHNOLOGY COMPANY DXC 0.06% 59.63K $633.9K
669 PEAPACK GLADSTONE FINANCIAL CORP PGC 0.06% 13.91K $630.8K
670 CLIMB BIO INC CLYM 0.06% 38.45K $630.5K
671 NATURAL GROCERS BY VITAMIN NGVC 0.06% 22.39K $629.3K
672 MARCUS & MILLICHAP, INC. MMI 0.06% 19.40K $629.0K
673 CENTRAL PACIFIC FINANCIAL CORP CPF 0.06% 16.64K $628.3K
674 REZOLUTE, INC. RZLT 0.06% 125.32K $627.9K
675 IBEX LTD IBEX 0.06% 16.99K $625.9K
676 TREVI THERAPEUTICS INC TRVI 0.06% 34.56K $624.8K
677 INDUSTRIAL LOGISTICS PROPERTIES TRUST ILPT 0.06% 74.10K $623.9K
678 SANDRIDGE ENERGY, INC. SD 0.06% 44.59K $623.8K
679 UNIVEST FINANCIAL CORP UVSP 0.06% 14.90K $622.2K
680 PENNANT GROUP, INC. (THE) PNTG 0.06% 15.95K $620.1K
681 AMC GLOBAL MEDIA INC AMCX 0.06% 49.87K $619.4K
682 INVENTRUST PROPERTIES CORP. IVT 0.06% 18.76K $615.8K
683 TURNING POINT BRANDS, INC. TPB 0.06% 7.37K $615.4K
684 SURGERY PARTNERS, INC. SGRY 0.06% 43.91K $612.5K
685 CRISPR THERAPEUTICS AG CRSP 0.06% 10.71K $611.4K
686 WEST BANCORPORATION INC WTBA 0.06% 21.50K $611.3K
687 CORECIVIC, INC. CXW 0.06% 18.00K $609.1K
688 VAALCO ENERGY, INC. EGY 0.06% 105.27K $608.4K
689 PROPETRO HOLDING CORP. PUMP 0.06% 56.17K $607.7K
690 UFP TECHNOLOGIES, INC. UFPT 0.06% 1.99K $607.4K
691 ALUMIS, INC. ALMS 0.06% 26.22K $603.8K
692 PERPETUA RESOURCES CORP. PPTA.TO 0.06% 23.19K $601.4K
693 LENDINGTREE, INC. TREE 0.06% 19.39K $600.6K
694 CLIMB GLOBAL SOLUTIONS INC CLMB 0.05% 21.86K $600.3K
695 BANKWELL FINANCIAL GROUP INC BWFG 0.05% 9.01K $599.5K
696 ENERGY RECOVERY, INC. ERII 0.05% 76.66K $597.9K
697 MARCUS CORP MCS 0.05% 19.31K $596.9K
698 IMMIX BIOPHARMA INC IMMX 0.05% 43.84K $596.7K
699 BORR DRILLING LIMITED BORR.OL 0.05% 136.10K $596.1K
700 IBOTTA, INC. IBTA 0.05% 15.50K $595.8K
701 GIGACLOUD TECHNOLOGY INC GCT 0.05% 11.75K $593.3K
702 MERCANTILE BANK CORPORATION MBWM 0.05% 9.83K $592.7K
703 BRIGHT MINDS BIOSCIENCES INC DRUG.CN 0.05% 7.69K $592.2K
704 BERKSHIRE HILLS BANCORP INC. BBT 0.05% 18.74K $591.7K
705 MASTERCRAFT BOAT HOLDINGS INC MCFT 0.05% 23.65K $591.4K
706 PARKE BANCORP, INC. PKBK 0.05% 17.41K $591.3K
707 XEROX HOLDINGS CORP XRX 0.05% 206.51K $588.6K
708 VESTIS CORPORATION VSTS 0.05% 46.16K $588.5K
709 HAVERTY FURNITURE COS INC HVT 0.05% 21.34K $588.5K
710 CBIZ, INC. CBZ 0.05% 10.78K $588.4K
711 PRIVIA HEALTH GROUP, INC. PRVA 0.05% 27.98K $588.2K
712 TANGER INC SKT 0.05% 15.10K $588.2K
713 ASTRANA HEALTH INC AMEH 0.05% 15.41K $587.4K
714 DAUCH CORPORATION AXL 0.05% 90.88K $587.1K
715 HAPPEN INC LC 0.05% 32.14K $586.5K
716 CONTINEUM THERAPEUTICS, INC CTNM 0.05% 35.26K $586.4K
717 ACADIA REALTY TRUST AKR 0.05% 27.48K $586.3K
718 CONNECTONE BANCORP INC CNOB 0.05% 18.19K $585.6K
719 CORE SCIENTIFIC, INC. CORZ 0.05% 33.86K $584.7K
720 LA Z BOY CHAIR CO LZB 0.05% 18.19K $584.3K
721 ONESPAWORLD HOLDINGS LIMITED OSW 0.05% 22.02K $583.8K
722 COLUMBUS MCKINNON CORP CMCO 0.05% 32.51K $583.6K
723 CERENCE, INC. CRNC 0.05% 77.08K $583.5K
724 HELEN OF TROY LTD (NEW) HELE 0.05% 20.40K $583.1K
725 EASTERLY GOVT PPTYS INC DEA 0.05% 23.35K $582.8K
726 GENESCO INC. GCO 0.05% 16.46K $577.4K
727 ACADEMY SPORTS & OUTDOORS INC ASO 0.05% 12.49K $576.6K
728 BEL FUSE INC CL-A BELFA 0.05% 2.80K $576.6K
729 OPORTUN FINANCIAL CORPORATION OPRT 0.05% 75.77K $575.9K
730 STND MOTOR PROD INC CL-A SMP 0.05% 15.35K $575.8K
731 RPC INC RES 0.05% 92.84K $575.6K
732 DIVERSIFIED HEALTHCARE TRUST DHC 0.05% 71.82K $574.6K
733 EL POLLO LOCO HOLDINGS, INC. LOCO 0.05% 36.09K $573.8K
734 ADAMAS TRUST INC ADAM 0.05% 57.85K $570.4K
735 TRIMAS CORPORATION TRS 0.05% 14.39K $569.4K
736 WINNEBAGO INDUSTRIES INC WGO 0.05% 17.70K $569.0K
737 UNIVERSAL TECHNICAL INSTITUTE INC UTI 0.05% 25.77K $567.4K
738 DORMAN PRODUCTS, INC. DORM 0.05% 4.33K $567.0K
739 ENTERPRISE FINL SVCS CORP. EFSC 0.05% 8.92K $566.7K
740 ALPHA METALLURGICAL RESOURCES, INC. AMR 0.05% 2.70K $566.6K
741 BRANDYWINE REALTY TRUST NEW BDN 0.05% 177.77K $565.3K
742 SENSIENT TECHNOLOGIES CORPORATION SXT 0.05% 4.09K $562.7K
743 COVENANT LOGISTICS GROUP INC CVLG 0.05% 16.20K $560.9K
744 GETTY REALTY CORP (NEW) GTY 0.05% 16.79K $560.8K
745 EVERTEC INC EVTC 0.05% 18.94K $559.8K
746 UNITED STATES ANTIMONY CORP UAMY 0.05% 109.51K $558.5K
747 QCR HOLDINGS, INC. QCRH 0.05% 5.53K $558.3K
748 BRAZE, INC. BRZE 0.05% 17.73K $557.5K
749 ALAMO GROUP INC. ALG 0.05% 3.37K $557.4K
750 POLARIS INC PII 0.05% 8.66K $556.9K
751 AMPRIUS TECHNOLOGIES, INC. AMPX 0.05% 55.95K $551.7K
752 QUAKER HOUGHTON KWR 0.05% 3.39K $549.4K
753 NATIONAL PRESTO IND. INC NPK 0.05% 3.53K $547.8K
754 AVEANNA HEALTHCARE HOLDINGS INC AVAH 0.05% 39.89K $546.5K
755 PROGYNY INC PGNY 0.05% 21.46K $546.1K
756 TRUEBLUE, INC. TBI 0.05% 51.14K $545.7K
757 FASTLY, INC FSLY 0.05% 23.75K $544.8K
758 AMPLITUDE, INC. AMPL 0.05% 41.37K $544.0K
759 ZYMEWORKS INC. ZYME 0.05% 18.89K $543.4K
760 VIEMED HEALTHCARE, INC. VMD.TO 0.05% 59.77K $543.3K
761 MIDLAND STATES BANCORP, INC. MSBI 0.05% 16.52K $541.7K
762 TARGET HOSPITALITY CORP TH 0.05% 30.34K $540.9K
763 FLOWERS FOODS, INC. FLO 0.05% 74.29K $540.9K
764 YESWAY, INC. YSWY 0.05% 21.27K $540.7K
765 CARTER BANKSHARES INC CARE 0.05% 17.39K $540.0K
766 MISTRAS GROUP, INC. MG 0.05% 28.25K $539.5K
767 NEWTEK BUSINESS SVCS CORP NEWT 0.05% 43.51K $538.2K
768 MBX BIOSCIENCES, INC. MBX 0.05% 8.09K $537.4K
769 EMBECTA CORP. EMBC 0.05% 107.47K $536.3K
770 OVID THERAPEUTICS INC. OVID 0.05% 189.79K $535.2K
771 CERTARA, INC. CERT 0.05% 67.23K $535.1K
772 SERVICE PROPERTIES TRUST SVC 0.05% 66.76K $534.7K
773 STRATTEC SEC CORP STRT 0.05% 6.87K $533.9K
774 VIRTUS INVESTMENT PARTNERS, INC. VRTS 0.05% 3.16K $532.8K
775 CURBLINE PROPERTIES CORP. CURB 0.05% 17.82K $530.8K
776 RESOLUTE HOLDINGS MANAGEMENT, INC. RHLD 0.05% 4.12K $529.9K
777 HURON CONSULTING GROUP INC. HURN 0.05% 3.26K $529.9K
778 TOWNEBANK TOWN 0.05% 14.00K $529.6K
779 GENIE ENERGY LTD. GNE 0.05% 34.54K $527.7K
780 URBAN EDGE PROPERTIES REIT UE 0.05% 24.39K $526.8K
781 NEIGHBORHOOD INTELLIGENCE INC OSTK 0.05% 134.94K $526.3K
782 REPUBLIC BANCORP INC CL-A RBCAA 0.05% 5.54K $526.1K
783 LEGGETT & PLATT, INCORPORATED LEG 0.05% 56.05K $525.7K
784 EMPIRE STATE REALTY TRUST,INC. ESRT 0.05% 110.90K $524.6K
785 LEMAITRE VASCULAR, INC. LMAT 0.05% 6.56K $524.2K
786 COMMUNITY FINANCIAL SYSTEM INC CBU 0.05% 8.30K $523.4K
787 SEACOAST BANKING CORPORATION OF FLORIDA SBCF 0.05% 15.18K $521.1K
788 POWER INTEGRATIONS, INC. POWI 0.05% 9.79K $520.9K
789 JOHNSON OUTDOORS INC. JOUT 0.05% 11.09K $519.6K
790 AMERICAN ASSETS TRUST, INC. AAT 0.05% 22.58K $519.3K
791 THREDUP INC. TDUP 0.05% 184.24K $517.7K
792 HYCROFT MINING HOLDING CORPORATION HYMC 0.05% 20.09K $517.1K
793 FOSSIL GROUP INC. FOSL 0.05% 92.83K $517.1K
794 SHOE STATION GROUP INC SCVL 0.05% 33.08K $516.7K
795 STEPAN COMPANY SCL 0.05% 8.30K $515.9K
796 HYSTER-YALE INC HY 0.05% 15.04K $515.5K
797 LATHAM GROUP, INC. SWIM 0.05% 73.48K $514.4K
798 CORVEL CORPORATION CRVL 0.05% 7.21K $513.6K
799 FIRST BUSEY CORPORATION BUSE 0.05% 16.92K $512.4K
800 RADIANT LOGISTICS INC RLGT 0.05% 60.56K $510.6K
801 WAFD INC WAFD 0.05% 14.07K $510.5K
802 HOME BANCORP, INC. HBCP 0.05% 7.25K $506.8K
803 CTO REALTY GROWTH, INC. CTO 0.05% 22.95K $504.9K
804 SONIC AUTOMOTIVE INC CLASS A SAH 0.05% 6.69K $503.7K
805 KOPIN CORPORATION KOPN 0.05% 106.16K $503.2K
806 CORE LABORATORIES INC CLB 0.05% 41.62K $501.5K
807 PARK HOTELS & RESORTS INC. PK 0.05% 31.61K $501.3K
808 TYRA BIOSCIENCES, INC. TYRA 0.05% 19.20K $501.1K
809 NCR ATLEOS CORP NATL 0.05% 10.77K $500.8K
810 SIERRA BANCORP BSRR 0.05% 12.62K $500.5K
811 CRICUT, INC. CRCT 0.05% 88.30K $498.9K
812 AXT, INC. AXTI 0.05% 7.63K $498.7K
813 MATRIX SERVICE COMPANY MTRX 0.05% 46.55K $498.0K
814 PRECIGEN INC PGEN 0.05% 69.43K $497.8K
815 FUNKO, INC. FNKO 0.05% 72.43K $497.6K
816 MIRION TECHNOLOGIES INC MIR 0.05% 33.86K $497.0K
817 VITESSE ENERGY INC VTS 0.05% 29.09K $496.1K
818 AMERICAN STATES WATER CO AWR 0.05% 5.44K $495.4K
819 PAYSIGN INC PAYS 0.05% 36.12K $493.1K
820 WATERSTONE FINL INC MD WSBF 0.05% 23.27K $492.9K
821 NATHANS FAMOUS INC NATH 0.04% 5.01K $490.2K
822 TIC SOLUTIONS INC TIC 0.04% 52.82K $490.2K
823 SL GREEN REALTY CORP. SLG 0.04% 8.36K $489.9K
824 ANTERIX INC. ATEX 0.04% 5.40K $488.2K
825 DENTSPLY SIRONA INC XRAY 0.04% 44.78K $487.6K
826 PARK NATIONAL CORPORATION PRK 0.04% 2.39K $486.3K
827 ENACT HOLDINGS, INC. ACT 0.04% 9.77K $485.8K
828 XPERI INC. XPER 0.04% 78.39K $485.2K
829 ARCTURUS THERAPEUTICS HOLDINGS INC. ARCT 0.04% 33.76K $484.2K
830 NOVANTA INC. 0VAG.L 0.04% 3.47K $483.7K
831 CARRIAGE SERVICES, INC. CSV 0.04% 13.98K $483.2K
832 HOVNANIAN ENTERPRISES, INC. HOV 0.04% 3.83K $482.9K
833 MYRIAD GENETICS, INC. MYGN 0.04% 157.70K $481.0K
834 NETGEAR, INC. NTGR 0.04% 23.04K $477.5K
835 XMAX INC XMAX 0.04% 52.84K $477.1K
836 XENON PHARMACEUTICALS INC. XENE 0.04% 7.87K $476.8K
837 ELLINGTON FINANCIAL INC. EFC 0.04% 34.91K $475.5K
838 NCR VOYIX CORP NCR 0.04% 59.74K $475.5K
839 RING ENERGY, INC. REI 0.04% 326.78K $473.8K
840 BGC GROUP, INC. BGC 0.04% 39.49K $471.9K
841 8X8, INC. EGHT 0.04% 237.84K $470.9K
842 LIBERTY LATIN AMERICA LTD. 0MDS.L 0.04% 56.39K $470.9K
843 AGILYSYS, INC. AGYS 0.04% 4.13K $470.1K
844 NORTHWEST BANCSHARES, INC. NWBI 0.04% 30.49K $468.6K
845 DISTRIBUTION SOLUTIONS GROUP INC DSGR 0.04% 13.42K $467.1K
846 SAVARA INC SVRA 0.04% 83.75K $465.6K
847 BRIGHTVIEW HOLDINGS, INC. BV 0.04% 42.46K $464.5K
848 HEARTLAND EXPRESS, INC. HTLD 0.04% 37.12K $464.4K
849 REGIONAL MANAGEMENT CORPORATION RM 0.04% 13.36K $462.6K
850 O-I GLASS, INC. OI 0.04% 63.66K $461.5K
851 ONDAS INC. ONDS 0.04% 55.88K $460.5K
852 EMERGENT BIOSOLUTIONS INC. EBS 0.04% 88.81K $460.0K
853 HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC HASI 0.04% 11.65K $460.0K
854 PCB BANCORP PCB 0.04% 16.63K $459.0K
855 CAPITAL CITY BANK GROUP INC CCBG 0.04% 8.88K $458.5K
856 HOPE BANCORP INC HOPE 0.04% 32.83K $458.0K
857 N-ABLE, INC. NABL 0.04% 126.80K $456.5K
858 ALIGNMENT HEALTHCARE INC ALHC 0.04% 33.87K $454.9K
859 POSTAL REALTY TRUST INC PSTL 0.04% 19.71K $453.6K
860 LIFESTANCE HEALTH GROUP, INC. LFST 0.04% 37.25K $452.9K
861 ATLANTA BRAVES HOLDINGS INC BATRK 0.04% 8.63K $452.9K
862 SIMMONS 1ST NATL CORP CL A $5 SFNC 0.04% 19.69K $452.3K
863 PAR TECHNOLOGY CORPORATION PAR 0.04% 23.27K $452.1K
864 CNB FINANCIAL CORP (PA) CCNE 0.04% 13.27K $451.8K
865 HAEMONETICS CORPORATION HAE 0.04% 4.16K $450.4K
866 WESTAMERICA BANCORP WABC 0.04% 7.71K $450.0K
867 SUPER GROUP SGHC LTD SGHC 0.04% 32.07K $448.6K
868 CLEAN ENERGY FUELS CORP. CLNE 0.04% 280.22K $445.5K
869 CRANE NXT CO CXT 0.04% 8.92K $444.4K
870 CENTRUS ENERGY CORP. LEU 0.04% 2.51K $443.9K
871 MGP INGREDIENTS, INC. MGPI 0.04% 24.72K $443.7K
872 SYNDAX PHARMACEUTICALS, INC. SNDX 0.04% 22.65K $443.3K
873 VANDA PHARMACEUTICALS INC. VNDA 0.04% 83.07K $442.8K
874 XENCOR, INC. XNCR 0.04% 15.26K $442.3K
875 NRC HEALTH NRC 0.04% 20.17K $442.1K
876 LIBERTY LATIN AMERICA LTD. LILA 0.04% 52.42K $441.4K
877 EDGEWISE THERAPEUTICS, INC. EWTX 0.04% 9.86K $440.8K
878 PARK AEROSPACE CORP. PKE 0.04% 13.35K $440.7K
879 DIME COMMERCIAL BANCSHARES INC DCOM 0.04% 10.90K $440.5K
880 PROCEPT BIOROBOTICS CORP PRCT 0.04% 20.70K $439.9K
881 OPENDOOR TECHNOLOGIES INC. OPEN 0.04% 128.01K $439.1K
882 CAMDEN NATIONAL CORP CAC 0.04% 7.71K $438.4K
883 BANK FIRST CORPORATION BFC 0.04% 2.84K $437.6K
884 MEDIAALPHA, INC. MAX 0.04% 34.18K $437.5K
885 ALPHA & OMEGA SEMICONDUCTOR, LTD. AOSL 0.04% 16.84K $436.1K
886 NBT BANCORP INC. NBTB 0.04% 8.38K $435.7K
887 METALLUS INC MTUS 0.04% 23.24K $435.3K
888 AMBARELLA INC 0YU1.L 0.04% 6.21K $435.0K
889 FRANKLIN FINANCIAL SERVICES CORPORATION FRAF 0.04% 7.02K $434.3K
890 AVEPOINT INC AVPT 0.04% 32.77K $433.9K
891 CHEMUNG FINANCIAL CORP CHMG 0.04% 5.25K $433.7K
892 FIRST MID BANCSHARES, INC. FMBH 0.04% 8.58K $432.8K
893 FUBOTV INC. FUBO 0.04% 41.33K $432.7K
894 JEFFERSON CAPITAL, INC. JCAP 0.04% 19.56K $432.4K
895 WABASH NATIONAL CORP. WNC 0.04% 35.79K $431.3K
896 KNIFE RIVER CORPORATION KNF 0.04% 6.77K $431.2K
897 FREQUENCY ELECTRONIC INC FEIM 0.04% 7.38K $431.1K
898 SONIDA SENIOR LIVING INC SNDA 0.04% 10.94K $431.0K
899 NEWMARK GROUP, INC. NMRK 0.04% 26.75K $429.9K
900 SEPTERNA, INC. SEPN 0.04% 10.57K $428.3K
901 COMMUNITY HEALTH SYS INC CYH 0.04% 141.69K $426.5K
902 SHOALS TECHNOLOGIES GROUP, INC. SHLS 0.04% 62.71K $426.4K
903 CONCENTRIX CORPORATION CNXC 0.04% 16.37K $426.2K
904 ZUMIEZ INC. ZUMZ 0.04% 23.02K $426.2K
905 SERVICETITAN, INC. TTAN 0.04% 4.45K $425.3K
906 WORLD ACCEP CORP DEL WRLD 0.04% 2.23K $424.8K
907 DAILY JOURNAL CORP DJCO 0.04% 699 $424.5K
908 BIOVENTUS INC. BVS 0.04% 30.15K $422.7K
909 FIRST NATIONAL CORP (VA) FXNC 0.04% 13.59K $422.3K
910 BUSINESS FIRST BANCSHARES, INC. BFST 0.04% 13.48K $421.9K
911 HILLTOP HOLDINGS INC HTH 0.04% 10.89K $421.1K
912 XERIS BIOPHARMA HOLDINGS INC XERS 0.04% 48.11K $420.5K
913 PURSUIT ATTRACTIONS AND HOSPITALITY INC PRSU 0.04% 8.59K $419.0K
914 BYLINE BANCORP, INC. BY 0.04% 10.91K $418.6K
915 TRICO BANCSHARES TCBK 0.04% 7.66K $417.4K
916 ST. JOE COMPANY JOE 0.04% 5.95K $417.1K
917 ORASURE TECHNOLOGIES, INC. OSUR 0.04% 109.05K $416.6K
918 ANIKA THERAPEUTICS, INC. ANIK 0.04% 19.52K $416.6K
919 MCGRATH RENTCORP MGRC 0.04% 3.57K $416.1K
920 ELECTROMED INC. ELMD 0.04% 10.24K $412.6K
921 POWER SOLUTIONS INTL INC PSIX 0.04% 11.78K $412.0K
922 DINE BRANDS GLOBAL INC DIN 0.04% 11.40K $411.8K
923 RXO, INC. RXO 0.04% 19.20K $408.5K
924 CRINETICS PHARMACEUTICALS, INC. CRNX 0.04% 4.81K $407.8K
925 UNIVERSAL CORPORATION UVV 0.04% 8.93K $407.2K
926 CIVISTA BANCSHARES, INC. CIVB 0.04% 14.73K $405.7K
927 JAKKS PACIFIC, INC. JAKK 0.04% 15.88K $405.0K
928 HALLADOR ENERGY COMPANY HNRG 0.04% 25.38K $405.0K
929 CAPITOL FEDERAL FINANCIAL, INC. CFFN 0.04% 47.44K $404.7K
930 GLADSTONE COMMERCIAL CORP GOOD 0.04% 30.70K $404.7K
931 DESIGN THERAPEUTICS, INC. DSGN 0.04% 26.44K $402.6K
932 STRATEGIC EDUCATION INC STRA 0.04% 4.79K $402.1K
933 STAGWELL INC STGW 0.04% 45.22K $401.5K
934 CLEARFIELD, INC. CLFD 0.04% 14.74K $401.4K
935 AMERICAN COASTAL INSURANCE CORP ACIC 0.04% 42.96K $401.3K
936 HEALTHCARE SVCS GROUP INC HCSG 0.04% 17.60K $401.2K
937 ADAPTHEALTH CORP AHCO 0.04% 71.24K $401.1K
938 SMARTRENT, INC. SMRT 0.04% 286.15K $400.6K
939 ONTERRIS, INC. MEG 0.04% 26.09K $400.0K
940 KINGSTONE COMPANIES, INC. KINS 0.04% 19.89K $399.5K
941 WERNER ENTERPRISES, INC. WERN 0.04% 10.59K $398.9K
942 SENSEONICS HOLDINGS, INC. SENS 0.04% 42.44K $398.1K
943 S&T BANCORP INC. STBA 0.04% 7.92K $398.0K
944 PEOPLES BANCORP INC. PEBO 0.04% 9.97K $397.3K
945 CENTRAL GARDEN & PET COMPANY CENT 0.04% 8.96K $397.1K
946 NU SKIN ENTERPRISES, INC. NUS 0.04% 83.20K $396.9K
947 AKEBIA THERAPEUTICS, INC. AKBA 0.04% 440.63K $396.8K
948 STEWART INFORMATION SERVICES CORPORATION STC 0.04% 5.67K $396.6K
949 W&T OFFSHORE, INC WTI 0.04% 104.00K $395.2K
950 BOB'S DISCOUNT FURNITURE, INC. BOBS 0.04% 22.10K $394.0K
951 WORTHINGTON ENTERPRISES INC WOR 0.04% 6.94K $394.0K
952 ARROW FINANCIAL CORP AROW 0.04% 10.28K $394.0K
953 INFUSYSTEM HOLDINGS, INC INFU 0.04% 32.88K $392.9K
954 ZOOMINFO TECHNOLOGIES INC ZI 0.04% 100.72K $392.8K
955 ODDITY TECH LTD ODD 0.04% 28.75K $391.8K
956 BK TECHNOLOGIES CORPORATION BKTI 0.04% 5.19K $391.6K
957 NCINO, INC. NCNO 0.04% 18.65K $390.8K
958 RE/MAX HOLDINGS, INC. RMAX 0.04% 31.61K $390.7K
959 BLACKLINE, INC. BL 0.04% 12.20K $390.3K
960 QUIDELORTHO CORPORATION QDEL 0.04% 26.88K $389.4K
961 ARVINAS, INC. ARVN 0.04% 41.66K $389.1K
962 MARRIOTT VACATIONS WORLDWIDE VAC 0.04% 3.40K $389.0K
963 CALEDONIA MINING CORP PLC CMCL.L 0.04% 15.55K $388.9K
964 MAZE THERAPEUTICS, INC. MAZE 0.04% 13.13K $388.8K
965 LIONSGATE STUDIOS CORP LION 0.04% 33.54K $387.4K
966 WESTERN NEW ENGLAND BANCORP WNEB 0.04% 27.87K $387.1K
967 BLEND LABS, INC. BLND 0.04% 258.02K $387.0K
968 JBG SMITH PROPERTIES JBGS 0.04% 30.96K $387.0K
969 LSB INDUSTRIES INC LXU 0.04% 35.99K $385.8K
970 ARBOR REALTY TRUST, INC. ABR 0.04% 73.47K $385.7K
971 NATIONAL BANKSHARES INC VA NKSH 0.04% 9.32K $385.5K
972 LAKELAND FINANCIAL CORPORATION LKFN 0.04% 6.40K $385.5K
973 CINEMARK HOLDINGS, INC. CNK 0.04% 10.02K $384.9K
974 HAWKINS, INC. HWKN 0.04% 3.27K $384.5K
975 LIVE OAK BANCSHARES, INC LOB 0.04% 9.53K $384.1K
976 PELAGOS INSURANCE CAPITAL LTD PLGO 0.04% 15.98K $383.9K
977 COTY, INC. COTY 0.04% 137.58K $383.9K
978 ABEONA THERAPEUTICS INC. ABEO 0.04% 63.27K $383.4K
979 FIRST UNITED CORP FUNC 0.03% 8.79K $381.7K
980 AVALO THERAPEUTICS, INC. AVTX 0.03% 19.77K $381.0K
981 COURSERA, INC. COUR 0.03% 63.21K $380.5K
982 INVESTORS TITLE CO ITIC 0.03% 1.27K $379.5K
983 ADI GLOBAL DISTR INC ADIG 0.03% 17.14K $378.9K
984 NUVECTIS PHARMA, INC. NVCT 0.03% 15.86K $378.6K
985 ENERGY VAULT HOLDINGS INC NRGV 0.03% 103.95K $378.4K
986 CALIFORNIA WATER SERVICE GROUP CWT 0.03% 7.42K $377.3K
987 ALBANY INTERNATIONAL CORP AIN 0.03% 6.46K $376.7K
988 SPIRE GLOBAL, INC. SPIR 0.03% 27.10K $375.9K
989 NEXXEN INTERNATIONAL LTD. NEXN 0.03% 37.36K $373.6K
990 PAYONEER GLOBAL INC. PAYO 0.03% 52.38K $372.4K
991 FORWARD AIR CORPORATION FWRD 0.03% 21.18K $372.2K
992 GREAT SOUTHERN BANCORP GSBC 0.03% 4.73K $372.2K
993 ULTRAGENYX PHARMACEUTICAL INC. RARE 0.03% 14.46K $371.9K
994 FB FINANCIAL CORPORATION FBK 0.03% 6.38K $371.6K
995 JACK IN THE BOX INC. JACK 0.03% 20.83K $371.3K
996 CRESCENT ENERGY CO CRGY 0.03% 26.79K $371.1K
997 ALEXANDERS INC. ALX 0.03% 1.38K $370.6K
998 MATTHEWS INTL CORP CL-A MATW 0.03% 17.45K $370.4K
999 OLD SECOND BANCORP, INC. OSBC 0.03% 14.55K $370.3K
1000 TITAN INTERNATIONAL INC (NEW) TWI 0.03% 52.60K $369.8K
1001 ORCHESTRA BIOMED HOLDINGS INC OBIO 0.03% 67.95K $369.7K
1002 SAFETY INSURANCE GROUP, INC. SAFT 0.03% 3.56K $369.4K
1003 EVGO INC. EVGO 0.03% 248.52K $367.8K
1004 MONOPAR THERAPEUTICS INC MNPR 0.03% 3.29K $366.9K
1005 ATLANTA BRAVES HOLDINGS INC BATRA 0.03% 6.40K $366.9K
1006 MAXIMUS, INC. MMS 0.03% 6.29K $366.4K
1007 SATELLOGIC INC. SATL 0.03% 69.19K $365.3K
1008 HEARTFLOW, INC. HTFL 0.03% 7.27K $365.0K
1009 INSTEEL INDUSTRIES, INC. IIIN 0.03% 12.03K $363.9K
1010 I3 VERTICALS, INC. IIIV 0.03% 21.66K $363.2K
1011 VISHAY INTERTECHNOLOGY VSH 0.03% 11.89K $361.9K
1012 MFA FINANCIAL, INC. MFA 0.03% 40.47K $361.8K
1013 JOBY AVIATION INC JOBY 0.03% 50.29K $361.6K
1014 OCEANFIRST FINANCIAL CORP OCFC 0.03% 19.09K $361.6K
1015 ALX ONCOLOGY HOLDINGS INC. ALXO 0.03% 181.63K $361.4K
1016 GCM GROSVENOR INC GCMG 0.03% 26.47K $361.4K
1017 NEOGEN CORP NEOG 0.03% 31.13K $361.1K
1018 OPUS GENETICS INC IRD 0.03% 89.32K $360.0K
1019 IMMERSION CORPORATION IMMR 0.03% 47.64K $359.2K
1020 CASELLA WASTE SYSTEMS INC CWST 0.03% 3.79K $358.9K
1021 ALTO INGREDIENTS INC ALTO 0.03% 85.42K $357.9K
1022 LINDSAY CORPORATION LNN 0.03% 3.08K $357.6K
1023 PROTHENA CORPORATION PLC PRTA 0.03% 37.76K $354.6K
1024 FIRST BANCORP, INC (ME) FNLC 0.03% 10.22K $353.3K
1025 PEOPLES FINANCIAL SRVCS CORP PFIS 0.03% 5.00K $353.1K
1026 AGIOS PHARMACEUTICALS, INC. AGIO 0.03% 10.79K $352.0K
1027 PENNYMAC FINANCIAL SERVICS INC PFSI 0.03% 4.67K $351.2K
1028 BURFORD CAPITAL LIMITED BUR.L 0.03% 81.22K $350.0K
1029 NOVAGOLD RESOURCES INC. NG.TO 0.03% 37.26K $348.4K
1030 LANTRONIX, INC. LTRX 0.03% 60.57K $347.7K
1031 VERSIGENT PLC VGNT 0.03% 7.40K $347.6K
1032 VIRGINIA NATIONAL BANKSHARES CORP VABK 0.03% 7.39K $345.3K
1033 LIGHTPATH TECHNOLOGIES, INC. LPTH 0.03% 26.09K $345.2K
1034 PURECYCLE CORP PCYO 0.03% 29.65K $345.1K
1035 ASHLAND INC. ASH 0.03% 4.66K $343.2K
1036 H2O AMERICA HTO 0.03% 5.32K $342.8K
1037 FOX FACTORY HOLDING CORP. FOXF 0.03% 15.78K $341.6K
1038 GRAY MEDIA INC GTN 0.03% 69.28K $340.9K
1039 BICARA THERAPEUTICS INC BCAX 0.03% 14.43K $340.3K
1040 HILLMAN SOLUTIONS CORP HLMN 0.03% 40.98K $340.1K
1041 FIRST COMMONWEALTH FINANCIAL CORPORATION FCF 0.03% 16.22K $340.0K
1042 REPLIMUNE GROUP INC REPL 0.03% 23.08K $339.5K
1043 HERITAGE FINANCIAL CORP HFWA 0.03% 11.68K $339.1K
1044 BRIGHTSTAR LOTTERY PLC BRSL 0.03% 28.65K $338.6K
1045 ARMOUR RESIDENTIAL REIT, INC. ARR 0.03% 20.64K $338.0K
1046 ASSEMBLY BIOSCIENCES, INC. ASMB 0.03% 9.58K $338.0K
1047 KEARNY FINANCIAL CORP. KRNY 0.03% 34.32K $337.0K
1048 ORIGIN BANCORP, INC. OBK 0.03% 6.31K $335.9K
1049 GRANITE RIDGE RESOURCES, INC. GRNT 0.03% 66.50K $335.9K
1050 UMH PROPERTIES, INC. UMH 0.03% 20.19K $335.5K
1051 HOMETRUST BANCSHARES INC HTB 0.03% 7.12K $334.4K
1052 RED RIVER BANCSHARES INC RRBI 0.03% 3.30K $334.3K
1053 CLARIVATE PLC CLVT 0.03% 156.52K $333.4K
1054 SOUTHERN MISSOURI BANCORP, INC. SMBC 0.03% 4.46K $331.6K
1055 GREENE COUNTY BANCORP INC GCBC 0.03% 9.39K $331.3K
1056 FOUR CORNERS PROPERTY TRUST, INC. FCPT 0.03% 12.91K $329.3K
1057 RED ROCK RESORTS, INC. RRR 0.03% 5.42K $329.2K
1058 RAYONIER ADVANCED MATERIALS INC. RYAM 0.03% 39.49K $329.0K
1059 EXPONENT, INC. EXPO 0.03% 4.64K $328.2K
1060 LOVESAC COMPANY LOVE 0.03% 20.65K $327.2K
1061 STRIVE INC (NV) ASST 0.03% 16.58K $327.2K
1062 NUVATION BIO INC NUVB 0.03% 48.37K $327.0K
1063 RIBBON COMMUNICATIONS INC RBBN 0.03% 159.85K $326.1K
1064 COMMUNITY TRUST BANCORP INC CTBI 0.03% 4.23K $324.5K
1065 INNOVATIVE SOLUTIONS AND SUPPORT, INC. ISSC 0.03% 15.46K $323.7K
1066 UNITIL CORPORATION UTL 0.03% 6.04K $323.7K
1067 R C M TECHNOLOGIES, INC. RCMT 0.03% 7.87K $323.6K
1068 HIGHWOODS PROPERTIES INC HIW 0.03% 10.17K $323.1K
1069 MEIRAGTX HOLDINGS PLC MGTX 0.03% 21.73K $322.2K
1070 FRANKLIN COVEY CO FC 0.03% 15.64K $321.8K
1071 DOLE PLC DOLE 0.03% 23.79K $320.1K
1072 METHODE ELECTRONICS, INC. MEI 0.03% 22.79K $319.8K
1073 HORIZON BANCORP INC/IN HBNC 0.03% 16.20K $319.3K
1074 CITIZENS COMMUNITY BANCORP INC CZWI 0.03% 15.25K $318.5K
1075 ZURA BIO LIMITED CLASS A ORDINARY SHARES 94E.F 0.03% 50.53K $318.4K
1076 NIAGEN BIOSCIENCE INC CDXC 0.03% 98.67K $316.7K
1077 BUTTERFLY NETWORK INC BFLY 0.03% 35.34K $316.3K
1078 TRANSMEDICS GROUP, INC. TMDX 0.03% 3.37K $315.6K
1079 MERIDIAN CORPORATION MRBK 0.03% 16.05K $315.5K
1080 ALLEGIANT TRAVEL COMPANY ALGT 0.03% 3.86K $315.2K
1081 CRA INTERNATIONAL, INC. CRAI 0.03% 1.79K $314.6K
1082 ACME UNITED CORP ACU 0.03% 5.11K $314.6K
1083 T1 ENERGY INC TE 0.03% 72.54K $313.4K
1084 PANGAEA LOGISTICS SOL LTD PANL 0.03% 37.48K $313.3K
1085 OPPFI INC OPFI 0.03% 44.23K $313.2K
1086 NEOGENOMICS, INC. NEO 0.03% 19.08K $313.2K
1087 TAYSHA GENE THERAPIES, INC. TSHA 0.03% 52.45K $313.1K
1088 CORE MOLDING TECHNOLOGIES INC CMT 0.03% 12.45K $312.4K
1089 M-TRON INDS INC MPTI 0.03% 3.95K $312.0K
1090 NEUROPACE INC NPCE 0.03% 22.29K $311.9K
1091 NURIX THERAPEUTICS, INC. NRIX 0.03% 11.82K $310.6K
1092 RELMADA THERAPEUTICS, INC. (NV) RLMD 0.03% 67.77K $310.4K
1093 PUBMATIC INC PUBM 0.03% 18.92K $309.5K
1094 ENNIS, INC. EBF 0.03% 14.38K $309.4K
1095 SOLID POWER INC. SLDP 0.03% 134.50K $309.3K
1096 TPG RE FINANCE TRUST, INC. TRTX 0.03% 39.55K $309.3K
1097 MGE ENERGY, INC. MGEE 0.03% 3.89K $308.8K
1098 VOYAGER THERAPEUTICS, INC. VYGR 0.03% 89.64K $308.4K
1099 SIMPLY GOOD FOODS COMPANY(THE) SMPL 0.03% 28.09K $308.2K
1100 REPUBLIC AIRWAYS HOLDINGS INC RJET 0.03% 16.32K $306.4K
1101 FIRST CMNTY CORP S C FCCO 0.03% 9.07K $305.3K
1102 ASPEN AEROGELS, INC. ASPN 0.03% 60.80K $304.6K
1103 STURM, RUGER & COMPANY, INC. RGR 0.03% 7.91K $304.1K
1104 CELLDEX THERAPEUTICS, INC. CLDX 0.03% 7.49K $303.7K
1105 STRATA CRITICAL MEDICAL INC SRTA 0.03% 50.80K $303.3K
1106 FLOWCO HOLDINGS INC. FLOC 0.03% 14.06K $303.2K
1107 INSPERITY INC NSP 0.03% 5.81K $303.0K
1108 HACKETT GROUP, INC. (THE) HCKT 0.03% 27.31K $302.9K
1109 ACLARIS THERAPEUTICS, INC. ACRS 0.03% 47.87K $302.1K
1110 NEWELL BRANDS INC NWL 0.03% 49.52K $300.6K
1111 SURROZEN, INC. SRZN 0.03% 12.52K $300.2K
1112 GRINDR INC. GRND 0.03% 19.24K $299.8K
1113 MINIMED GROUP, INC. MMED 0.03% 15.03K $299.8K
1114 IMMUNITYBIO, INC. IBRX 0.03% 39.46K $299.1K
1115 CVR ENERGY, INC. CVI 0.03% 7.86K $299.0K
1116 FS BANCORP INC FSBW 0.03% 6.96K $299.0K
1117 UNITED STATES LIME & MINERALS, INC. USLM 0.03% 2.47K $298.2K
1118 CORVUS PHARMACEUTICALS, INC. CRVS 0.03% 21.16K $298.2K
1119 PRECISION BIOSCIENCES, INC. DTIL 0.03% 35.21K $297.5K
1120 LUCID GROUP, INC. LCID 0.03% 58.36K $297.0K
1121 COMMERCE.COM INC BIGC 0.03% 131.89K $296.8K
1122 RAPPORT THERAPEUTICS, INC. RAPP 0.03% 5.96K $293.8K
1123 DESIGNER BRANDS INC. DBI 0.03% 50.19K $293.6K
1124 UNISYS CORPORATION UIS 0.03% 111.63K $293.6K
1125 CRACKER BARREL OLD COUNTRY STORE INC. CBRL 0.03% 5.04K $292.4K
1126 MONRO, INC. MNRO 0.03% 22.73K $292.3K
1127 AMERANT BANCORP INC AMTB 0.03% 10.16K $292.2K
1128 BARRETT BUSINESS SERVICES, INC. BBSI 0.03% 8.74K $292.2K
1129 NORTHEAST COMMUNITY BANCORP, INC. NECB 0.03% 11.03K $292.1K
1130 HUNTSMAN CORPORATION HUN 0.03% 30.21K $290.0K
1131 PLUMAS BANCORP (QUINCY, CA) PLBC 0.03% 4.70K $288.3K
1132 MARTEN TRANSPORT LTD MRTN 0.03% 19.58K $287.2K
1133 CHOICEONE FINANCIAL SERVICES INC COFS 0.03% 8.61K $286.1K
1134 EASTMAN KODAK COMPANY KODK 0.03% 29.54K $286.0K
1135 FRESHWORKS INC FRSH 0.03% 21.65K $285.5K
1136 AVIAT NETWORKS, INC. AVNW 0.03% 13.79K $285.0K
1137 EVOLV TECHNOLOGIES HOLDINGS, INC. EVLV 0.03% 54.09K $284.0K
1138 DENALI THERAPEUTICS INC. DNLI 0.03% 11.69K $282.8K
1139 GPGI INC GPGI 0.03% 21.60K $282.1K
1140 COMPASS THERAPEUTICS INC CMPX 0.03% 117.54K $282.1K
1141 INVESTAR HOLDING CORPORATION ISTR 0.03% 9.30K $281.8K
1142 TRINITY INDUSTRIES INC (DEL) TRN 0.03% 9.45K $280.7K
1143 KOSMOS ENERGY LTD. KOS 0.03% 98.13K $280.6K
1144 USA RARE EARTH INC USAR 0.03% 15.32K $280.2K
1145 ORAMED PHARMACEUTICALS INC ORMP 0.03% 58.03K $279.7K
1146 AMTECH SYSTEMS, INC. ASYS 0.03% 19.97K $279.6K
1147 POWERFLEET INC AIOT 0.03% 92.73K $279.1K
1148 FORESTAR GROUP INC. FOR 0.03% 9.64K $278.6K
1149 BRC GROUP HOLDINGS INC RILY 0.03% 39.50K $278.1K
1150 CIVEO CORP CVEO 0.03% 8.23K $277.3K
1151 LIGHTWAVE LOGIC, INC. LWLG 0.03% 47.60K $276.6K
1152 EXPRO LTD XPRO 0.03% 15.41K $276.0K
1153 HAWTHORN BANCSHARES INC HWBK 0.03% 7.05K $275.4K
1154 AMERISAFE, INC. AMSF 0.03% 10.42K $275.2K
1155 RXSIGHT, INC. RXST 0.03% 43.93K $275.0K
1156 FULGENT GENETICS, INC. FLGT 0.03% 14.14K $275.0K
1157 HINGHAM INSTITUTION FOR SAVINGS HIFS 0.03% 901 $273.9K
1158 STONERIDGE, INC. SRI 0.03% 38.17K $273.7K
1159 SAVERS VALUE VILLAGE, INC. SVV 0.03% 25.05K $273.5K
1160 PACS GROUP, INC. PACS 0.03% 6.18K $273.3K
1161 CENTURY THERAPEUTICS, INC IPSC 0.03% 128.77K $273.0K
1162 FLUENCE ENERGY INC FLNC 0.02% 25.01K $271.6K
1163 FIVE STAR BANCORP FSBC 0.02% 6.02K $271.5K
1164 LEGENCE CORP. LGN 0.02% 4.81K $271.4K
1165 NEW ERA ENERGY & DIGITAL INC NUAI 0.02% 56.25K $270.9K
1166 FARMERS NATIONAL BANCORP FMNB 0.02% 17.25K $270.8K
1167 OP BANCORP OPBK 0.02% 17.66K $270.8K
1168 OAK VALLEY BANCORP OVLY 0.02% 7.84K $269.8K
1169 MONARCH CASINO & RESORT, INC. MCRI 0.02% 2.17K $269.6K
1170 DONEGAL GROUP INC DGICA 0.02% 14.15K $268.6K
1171 CANADIAN SOLAR INC. CSIQ 0.02% 18.76K $268.6K
1172 CRITICAL METALS CORP. CRML 0.02% 40.13K $267.7K
1173 MAYVILLE ENGINEERING CO INC MEC 0.02% 12.63K $267.3K
1174 NET LEASE OFFICE PROPERTIES NLOP 0.02% 23.16K $267.1K
1175 RANGER ENERGY SERVICES, INC. RNGR 0.02% 16.67K $266.9K
1176 EDGEWELL PERSONAL CARE COMPANY EPC 0.02% 9.41K $266.8K
1177 ORION PROPERTIES INC ONL 0.02% 91.64K $266.7K
1178 ORION GROUP HOLDINGS INC ORN 0.02% 29.30K $266.6K
1179 JADE BIOSCIENCES INC JBIO 0.02% 12.49K $266.4K
1180 MCEWEN INC MUX 0.02% 12.68K $266.4K
1181 CB FINANCIAL SERVICES INC CBFV 0.02% 7.05K $266.0K
1182 TURTLE BEACH CORP HEAR 0.02% 21.11K $265.8K
1183 E.W. SCRIPPS COMPANY (THE) SSP 0.02% 79.93K $265.4K
1184 SUNRUN INC. RUN 0.02% 29.69K $264.8K
1185 SIMULATIONS PLUS, INC. SLP 0.02% 14.39K $264.8K
1186 MANNKIND CORPORATION MNKD 0.02% 65.05K $264.7K
1187 C&F FINANCIAL CORP CFFI 0.02% 3.04K $264.0K
1188 ADVANSIX INC. ASIX 0.02% 15.68K $263.4K
1189 MACROGENICS, INC MGNX 0.02% 65.49K $263.3K
1190 OHIO VY BANC CORP OVBC 0.02% 5.81K $262.5K
1191 HIMALAYA SHIPPING LTD HSHP.OL 0.02% 15.84K $262.0K
1192 KEEL INFRASTRUCTURE CORP. KEEL 0.02% 80.56K $261.8K
1193 FIRST SOURCE CORPORATION SRCE 0.02% 3.02K $259.5K
1194 BOSTON OMAHA CORP BOMN 0.02% 18.53K $259.5K
1195 ORRSTOWN FINANCIAL SERVICES, INC. ORRF 0.02% 6.16K $259.3K
1196 INTAPP, INC. INTA 0.02% 6.33K $258.9K
1197 USANA HEALTH SCIENCES, INC. USNA 0.02% 19.07K $258.9K
1198 NATIONAL BANK HOLDINGS CORP NBHC 0.02% 6.19K $258.7K
1199 GERMAN AMERICAN BANCORP, INC. GABC 0.02% 5.16K $258.4K
1200 VISTA GOLD CORP. VGZ.TO 0.02% 106.99K $257.8K
1201 SUTRO BIOPHARMA, INC. STRO 0.02% 12.58K $257.7K
1202 JAMES RIVER GROUP HOLDINGS INC JRVR 0.02% 62.55K $257.1K
1203 TECTONIC THERAPEUTIC INC TECX 0.02% 7.04K $256.9K
1204 PENNYMAC MORTGAGE INVESTMENT TRUST PMT 0.02% 27.60K $256.4K
1205 LINEAGE CELL THERAPEUTICS INC LCTX 0.02% 234.45K $255.5K
1206 IMMUNEERING CORPORATION IMRX 0.02% 49.29K $255.3K
1207 IDAHO STRATEGIC RESOURCES INC IDR 0.02% 7.91K $254.9K
1208 CEVA, INC. CEVA 0.02% 9.53K $254.2K
1209 THIRD COAST BANCSHARES, INC. TCBX 0.02% 5.55K $253.1K
1210 EMPLOYERS HOLDINGS, INC. EIG 0.02% 5.14K $253.0K
1211 WHITEHAWK THERAPEUTICS INC WHWK 0.02% 51.74K $252.5K
1212 CHEMOURS COMPANY (THE) CC 0.02% 16.38K $252.0K
1213 UNITED PARKS & RESORTS INC SEAS 0.02% 5.62K $251.6K
1214 CLEAR CHANNEL OUTDOOR HOLDINGS, INC. CCO 0.02% 106.59K $251.6K
1215 NAVITAS SEMICONDUCTOR CORP NVTS 0.02% 20.52K $251.0K
1216 NORWOOD FINANCIAL CORP NWFL 0.02% 7.36K $250.8K
1217 BLACKSTONE MORTGAGE TRUST INC BXMT 0.02% 17.74K $250.5K
1218 ELEDON PHARMACEUTICALS INC ELDN 0.02% 73.44K $250.4K
1219 PLUG POWER INC. PLUG 0.02% 115.24K $250.1K
1220 CARIBOU BIOSCIENCES INC CRBU 0.02% 152.42K $250.0K
1221 YORK WATER CO YORW 0.02% 7.22K $249.6K
1222 KINETIK HOLDINGS INC KNTK 0.02% 4.55K $248.7K
1223 EAGLE BANCORP MONTANA INC EBMT 0.02% 10.78K $246.6K
1224 LIQUIDITY SERVICES, INC. LQDT 0.02% 5.70K $246.4K
1225 BV FINANCIAL INC BVFL 0.02% 11.57K $246.0K
1226 UNDER ARMOUR, INC. UA 0.02% 47.02K $245.9K
1227 UNDER ARMOUR, INC. UAA 0.02% 45.79K $245.9K
1228 LANDMARK BANCORP INC LARK 0.02% 7.72K $245.7K
1229 NACCO INDS INC CL-A (COM) NC 0.02% 5.99K $245.5K
1230 HARLEY-DAVIDSON INC HOG 0.02% 8.67K $245.4K
1231 SHUTTERSTOCK INC SSTK 0.02% 45.72K $245.0K
1232 OIL-DRI CORPORATION OF AMERICA ODC 0.02% 2.65K $243.8K
1233 SYLVAMO CORPORATION SLVM 0.02% 6.60K $243.6K
1234 PLAYTIKA HOLDING CORP. PLTK 0.02% 100.50K $243.2K
1235 DIVERSIFIED ENERGY CORP DEC 0.02% 16.39K $243.1K
1236 IMMUNOVANT INC IMVT 0.02% 5.61K $243.1K
1237 GERON CORPORATION GERN 0.02% 159.51K $242.5K
1238 HIPPO HOLDINGS INC HIPO 0.02% 7.27K $241.7K
1239 ACCEL ENTERTAINMENT INC ACEL 0.02% 20.17K $241.4K
1240 BABCOCK & WILCOX ENTERPRISES, INC. BW 0.02% 31.39K $241.4K
1241 MONTE ROSA THERAPEUTICS, INC. GLUE 0.02% 17.50K $241.1K
1242 FIRST INTERNET BANCORP INBK 0.02% 8.43K $240.8K
1243 KEROS THERAPEUTICS INC KROS 0.02% 22.29K $240.3K
1244 PEOPLES BANCORP OF PEBK 0.02% 5.44K $240.1K
1245 FLGSTR BK NT ORD FLG 0.02% 17.89K $240.0K
1246 SMART SAND, INC. SND 0.02% 51.49K $240.0K
1247 AMERICAN RESOURCES CORP AREC 0.02% 95.42K $239.5K
1248 FUELCELL ENERGY, INC. FCEL 0.02% 12.77K $239.5K
1249 ORION SA OEC 0.02% 39.58K $238.3K
1250 OSCAR HEALTH, INC. OSCR 0.02% 7.49K $238.1K
1251 BURKE & HERBERT FINANCIAL SERVICES CORP BHRB 0.02% 3.27K $237.6K
1252 WEBTOON ENTERTAINMENT INC. WBTN 0.02% 24.65K $236.4K
1253 SECURITY NATL FINL CORP-CL A SNFCA 0.02% 26.83K $236.1K
1254 KEMPER CORPORATION KMPR 0.02% 8.53K $235.9K
1255 INTREPID POTASH, INC. IPI 0.02% 6.22K $235.6K
1256 AMPCO PITTSBURG CORP AP 0.02% 27.64K $235.5K
1257 ALERUS FINANCIAL CORPORATION ALRS 0.02% 7.16K $235.2K
1258 CUSTOM TRUCK ONE SOURCE INC CTOS 0.02% 23.97K $234.2K
1259 ARKO CORP. ARKO 0.02% 49.60K $234.1K
1260 PALISADE BIO, INC. PALI 0.02% 116.17K $233.5K
1261 NELNET, INC. NNI 0.02% 1.82K $231.9K
1262 GEO GROUP, INC. (THE) GEO 0.02% 7.20K $231.8K
1263 LEXICON PHARMACEUTICALS, INC. LXRX 0.02% 99.62K $231.1K
1264 BLACKSKY TECHNOLOGY INC BKSY 0.02% 9.02K $230.9K
1265 ALLIANCE LAUNDRY HOLDINGS INC. ALH 0.02% 9.69K $230.9K
1266 ENVIRI CORP NVRI 0.02% 10.93K $230.9K
1267 APOLLO COML REAL EST FIN INC ARI 0.02% 33.28K $229.3K
1268 QUANTERIX CORPORATION QTRX 0.02% 81.84K $229.1K
1269 SHORE BANCSHARES, INC. SHBI 0.02% 9.84K $228.5K
1270 FARMLAND PARTNERS INC. FPI 0.02% 21.95K $227.5K
1271 EAGLE BANCORP, INC. EGBN 0.02% 8.08K $227.0K
1272 TIPTREE INC TIPT 0.02% 12.24K $226.9K
1273 CHIRON REAL ESTATE INC. GMRE 0.02% 6.07K $226.7K
1274 ICF INTERNATIONAL, INC. ICFI 0.02% 2.54K $225.7K
1275 INTEST CORPORATION INTT 0.02% 19.88K $224.6K
1276 PRIMIS FINANCIAL CORP. FRST 0.02% 13.76K $224.3K
1277 SMARTSTOP SELF STORAG REIT INC SMA 0.02% 6.60K $223.5K
1278 NEXTNAV INC NN 0.02% 14.12K $222.9K
1279 CHIMERA INVESTMENT CORPORATION CIM 0.02% 19.16K $222.6K
1280 OUSTER, INC. OUST 0.02% 6.22K $222.3K
1281 AN2 THERAPEUTICS, INC. ANTX 0.02% 39.44K $222.1K
1282 COLONY BANKCORP, INC. CBAN 0.02% 10.32K $220.6K
1283 WASHINGTON TR BANCORP INC WASH 0.02% 5.55K $220.4K
1284 GLADSTONE LAND CORPORATION LAND 0.02% 24.89K $219.8K
1285 COMMUNITY WEST BANCSHARES CWBC 0.02% 8.44K $219.6K
1286 ERMENEGILDO ZEGNA NV ZGN 0.02% 15.81K $219.1K
1287 CAMP4 THERAPEUTICS CORP CAMP 0.02% 50.71K $219.1K
1288 RECURSION PHARMACEUTICALS, INC. RXRX 0.02% 67.22K $218.5K
1289 SAFEHOLD INC. SAFE 0.02% 14.05K $218.2K
1290 ORCHID ISLAND CAPITAL, INC ORC 0.02% 32.29K $218.0K
1291 TONIX PHARMACEUTICALS HOLDING CORP. TNXP 0.02% 17.46K $217.3K
1292 SOUTHSIDE BANCSHARES, INC. SBSI 0.02% 6.77K $217.1K
1293 TWIN DISC, INCORPORATED TWIN 0.02% 9.59K $217.0K
1294 ARRAY TECHNOLOGIES, INC. ARRY 0.02% 47.31K $216.2K
1295 RH RH 0.02% 1.50K $215.7K
1296 HMH HLDG INC HMH 0.02% 11.04K $215.4K
1297 ABACUS GLOBAL MANAGEMENT INC ABX 0.02% 22.36K $214.9K
1298 ANNEXON INC ANNX 0.02% 42.41K $214.6K
1299 COMMUNITY BANCORP. CMTV 0.02% 5.31K $214.0K
1300 ARMADA HOFFLER PROPERTIES, INC. AHRT 0.02% 31.67K $213.1K
1301 INTERNATIONAL MONEY EXPRESS, INC. IMXI 0.02% 14.96K $212.5K
1302 NEUMORA THERAPEUTICS, INC. NMRA 0.02% 139.21K $212.3K
1303 KYVERNA THERAPEUTICS, INC. KYTX 0.02% 25.75K $212.2K
1304 SIGA TECHNOLOGIES, INC SIGA 0.02% 72.08K $211.9K
1305 BIOAGE LABS INC BIOA 0.02% 22.29K $209.1K
1306 STAAR SURGICAL CO NEW STAA 0.02% 8.98K $208.8K
1307 KORU MEDICAL SYSTEMS, INC. KRMD 0.02% 64.64K $208.1K
1308 INSPIRED ENTERTAINMENT, INC. INSE 0.02% 34.45K $207.8K
1309 RCI HOSPITALITY HOLDINGS INC RICK 0.02% 6.74K $207.4K
1310 IHEARTMEDIA, INC. IHRT 0.02% 77.32K $207.2K
1311 GREENLIGHT CAPITAL RE LTD-A GLRE 0.02% 13.34K $207.0K
1312 GENCOR INDUSTRIES INC GENC 0.02% 10.79K $206.7K
1313 MOTORCAR PARTS OF AMERICA, INC. MPAA 0.02% 17.80K $205.8K
1314 WORTHINGTON STEEL, INC. WS 0.02% 6.16K $205.6K
1315 SANFILIPPO JOHN & SON INC JBSS 0.02% 2.71K $204.3K
1316 FOSTER L.B. CL A FSTR 0.02% 5.42K $203.4K
1317 UNITI GROUP INC. UNIT 0.02% 20.62K $203.1K
1318 CITIZENS, INC. CIA 0.02% 51.31K $202.2K
1319 ECB BANCORP, INC. ECBK 0.02% 9.64K $200.8K
1320 EOS ENERGY ENTERPRISES, INC. EOSE 0.02% 57.93K $200.4K
1321 AMBIQ MICRO, INC. AMBQ 0.02% 3.53K $200.1K
1322 ESTABLISHMENT LABS HOLDINGS INC ESTA 0.02% 2.74K $197.7K
1323 CABLE ONE INC. CABO 0.02% 8.66K $197.7K
1324 CREXENDO, INC. CXDO 0.02% 31.51K $197.6K
1325 ANTERIS TECHNOLOGIES GLOBAL CORP. AVR 0.02% 22.45K $197.6K
1326 ORGANOGENESIS HOLDINGS INC ORGO 0.02% 117.94K $197.0K
1327 ZEVRA THERAPEUTICS INC ZVRA 0.02% 16.90K $196.8K
1328 U.S. GOLD CORP. USAU 0.02% 12.20K $196.5K
1329 SAB BIOTHERAPEUTICS INC SABS 0.02% 54.19K $196.2K
1330 NUSCALE POWER CORP SMR 0.02% 21.68K $196.2K
1331 NEXPOINT RESIDENTIAL TRUST INC NXRT 0.02% 7.91K $195.3K
1332 EVERSPIN TECHNOLOGIES INC. MRAM 0.02% 11.98K $193.4K
1333 SMITH & WESSON BRANDS, INC SWBI 0.02% 14.15K $193.2K
1334 ENCORE ENERGY CORP. EU.V 0.02% 155.76K $193.1K
1335 MARA HOLDINGS INC MARA 0.02% 17.27K $193.1K
1336 MEDALLION FINANCIAL CORP MFIN 0.02% 16.57K $193.0K
1337 SITE CENTERS CORP SITC 0.02% 62.16K $190.8K
1338 SHENANDOAH TELECOMM COMPANY SHEN 0.02% 15.43K $189.8K
1339 CLEARPOINT NEURO INC CLPT 0.02% 12.48K $189.4K
1340 QUICKLOGIC CORPORATION QUIK 0.02% 16.64K $187.5K
1341 PENN ENTERTAINMENT INC PENN 0.02% 10.26K $187.4K
1342 INTUITIVE MACHINES INC LUNR 0.02% 11.24K $187.3K
1343 ARRIVENT BIOPHARMA, INC. AVBP 0.02% 6.53K $184.6K
1344 WOLFSPEED, INC. WOLF 0.02% 7.35K $182.0K
1345 FREIGHTCAR AMERICA, INC. RAIL 0.02% 25.33K $181.1K
1346 F&G ANNUITIES & LIFE, INC. FG 0.02% 7.83K $181.0K
1347 TITAN AMERICA SA TTAM 0.02% 11.83K $178.5K
1348 PATRIA INVESTMENTS LIMITED PAX 0.02% 15.50K $178.0K
1349 TABOOLA.COM LTD TBLA 0.02% 48.14K $175.7K
1350 AMERICAN BATTERY TECHNOLOGY COMPANY ABAT 0.02% 72.41K $173.8K
1351 CENTURI HOLDINGS, INC. CTRI 0.02% 8.31K $172.9K
1352 TECNOGLASS HOLDINGS INC TGLS 0.02% 4.25K $172.7K
1353 BEAM THERAPEUTICS INC BEAM 0.02% 6.01K $170.4K
1354 PROFRAC HOLDING CORP. PFHC 0.02% 34.86K $168.0K
1355 NIOCORP DEVELOPMENTS LIMITED NB.TO 0.02% 39.12K $166.3K
1356 MARZETTI COMPANY/THE LANC 0.02% 1.42K $164.5K
1357 IVANHOE ELECTRIC INC. IE 0.01% 14.46K $162.8K
1358 HUDSON TECHNOLOGIES, INC. HDSN 0.01% 29.49K $162.8K
1359 COMMERCIAL VEHICLE GROUP, INC. CVGI 0.01% 53.04K $162.3K
1360 ACV AUCTIONS INC ACVA 0.01% 21.70K $162.1K
1361 GREENWICH LIFESCIENCES INC GLSI 0.01% 9.14K $160.7K
1362 RMR GROUP INC. (THE) RMR 0.01% 8.07K $158.9K
1363 ENERGY SERVICES OF AMERICA CORP ESOA 0.01% 13.67K $157.6K
1364 SR BANCORP INC SRBK 0.01% 7.96K $156.3K
1365 ATLAS ENERGY SOLUTIONS INC. AESI 0.01% 12.97K $154.3K
1366 BRT APARTMENTS CORP BRT 0.01% 10.35K $153.8K
1367 SIDUS SPACE, INC. SIDU 0.01% 68.95K $153.1K
1368 RF INDUSTRIES LTD RFIL 0.01% 14.32K $153.0K
1369 HANOVER BANCORP, INC. HNVR 0.01% 5.59K $152.4K
1370 MBIA INC. MBI 0.01% 31.00K $152.2K
1371 ENTRADA THERAPEUTICS, INC. TRDA 0.01% 20.63K $151.2K
1372 AEVA TECHNOLOGIES, INC. AEVA 0.01% 9.18K $151.1K
1373 UNICYCIVE THERAPEUTICS, INC. UNCY 0.01% 27.16K $145.0K
1374 SAPIENS INTERNATIONAL CORPORATION N.V. SPNS.TA 0.01% 3.33K $144.5K
1375 ACCENDRA HEALTH INC ACH 0.01% 123.44K $143.2K
1376 SILVACO GROUP, INC. SVCO 0.01% 20.66K $141.5K
1377 STUBHUB HOLDINGS, INC. STUB 0.01% 21.14K $141.0K
1378 AMERICAN SUPERCONDUCTOR CORPORATION AMSC 0.01% 4.72K $136.5K
1379 DOUGLAS ELLIMAN INC DOUG 0.01% 69.90K $136.3K
1380 ONE STOP SYSTEMS INC OSS 0.01% 12.31K $135.9K
1381 FINWISE BANCORP FINW 0.01% 9.66K $133.7K
1382 ANGI INC. ANGIV 0.01% 25.96K $128.2K
1383 WALKER & DUNLOP, INC WD 0.01% 3.11K $122.9K
1384 BCB BANCORP INC BCBP 0.01% 14.05K $122.0K
1385 HYLIION HOLDINGS CORP HYLN 0.01% 38.53K $121.4K
1386 RACKSPACE TECHNOLOGY, INC. RXT 0.01% 38.84K $121.2K
1387 FIDELITY D & D BANCORP INC FDBC 0.01% 2.22K $119.7K
1388 ACRES COMMERCIAL REALTY CORP ACR 0.01% 7.86K $116.5K
1389 COASTAL FINANCIAL CORPORATION - WA CCB 0.01% 2.48K $116.4K
1390 VELO3D INC VELO 0.01% 8.84K $110.3K
1391 LIFEMD INC LFMD 0.01% 33.91K $106.5K
1392 ENERGOUS CORPORATION WATT 0.01% 9.13K $106.0K
1393 WHITEFIBER INC WYFI 0.01% 4.90K $101.7K
1394 FRP HLDGS INC FRPH 0.01% 4.40K $100.3K
1395 SMITH-MIDLAND CORP SMID 0.01% 3.33K $91.7K
1396 NEXPOINT REAL ESTATE FINANCE INC NREF 0.01% 4.98K $87.6K
1397 GOGO INC. GOGO 0.01% 32.92K $84.3K
1398 CONDUENT INCORPORATED CNDT 0.01% 46.41K $74.7K
1399 EYEPOINT INC EYPT 0.01% 14.75K $71.8K
1400 GBANK FINANCIAL HOLDINGS INC GBFH 0.01% 3.27K $70.2K
1401 INFORMATION SVCS GRP, INC. III 0.01% 13.55K $67.4K
1402 SIONNA THERAPEUTICS, INC. SION 0.01% 11.49K $64.2K
1403 KARYOPHARM THERAPEUTICS INC. KPTI 0.01% 33.96K $63.2K
1404 AVADEL PHARMACEUTICALS PUBLIC LIMITED COMPANY AVDL 0.00% 80.65K $51.6K
1405 CONSUMER PORTFOLIO SERVICES, INC. CPSS 0.00% 5.23K $47.9K
1406 EVOLUTION PETROLEUM CORPORATION EPM 0.00% 12.22K $42.4K
1407 EGAIN CORP. EGAN 0.00% 5.75K $41.1K
1408 OMEGAFLEX, INC. OFLX 0.00% 1.50K $41.0K
1409 RGC RESOURCES, INC. RGCO 0.00% 1.83K $40.6K
1410 SUPERIOR GROUP OF COS INC SGC 0.00% 2.66K $33.9K
1411 TENAX THERAPEUTICS, INC. TENX 0.00% 17.45K $32.3K
1412 TIMBERLAND BANCORP, INC. TSBK 0.00% 689 $31.6K
1413 MONTAUK RENEWABLES INC MNTK 0.00% 15.10K $28.1K
1414 RESOLUTE FOREST PRODUCTS INC. RFP 0.00% 15.50K $22.0K
1415 SPOK HOLDINGS INCORPORATED SPOK 0.00% 1.98K $21.0K
1416 CURIOSITYSTREAM INC CURI 0.00% 5.46K $15.5K
1417 OMNIAB INC 0.00% 2.74K $0.00
1418 CHINOOK THERAPEUTICS, INC. KDNY 0.00% 4.10K $0.00

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Sektorgewichtung

Gesundheitswesen 20.75%
Finanzdienstleistungen 17.88%
Technologie 14.54%
Industrie 12.72%
Zyklischer Konsum 10.56%
Energie 5.65%
Immobilien 5.33%
Defensiver Konsum 4.11%
Grundstoffe 3.59%
Kommunikationsdienste 2.61%
Versorger 2.25%

Geografisches Exposure

United States (developed) 93.25%
Bermuda 1.72%
Other 1.34%
Ireland (developed) 0.81%
United Kingdom (developed) 0.65%
Switzerland (developed) 0.38%
Canada (developed) 0.27%
Monaco 0.27%
Cayman Islands 0.20%
Singapore (developed) 0.16%
Panama 0.11%
France (developed) 0.11%
Israel (developed) 0.10%
Puerto Rico 0.09%
Uruguay 0.08%
Luxembourg (developed) 0.08%
Norway (developed) 0.08%
Guernsey 0.07%
Brazil (emerging) 0.06%
Bahamas 0.05%

Ländergewichtungen gemäß Angaben des Datenanbieters. Die Einstufung als Industrieland/Schwellenland/Frontier-Markt folgt der Klassifikation auf der Methodikseite. Währungsgesichert: Kein Währungshedging im Fondsnamen angegeben.

Ausschüttungen

Rendite (TTM)1.03% Ausgeschüttet (letzte 12 Monate)$0.9377
FrequenzQuarterly SEC-RenditeVon unserer Datenquelle nicht bereitgestellt – siehe Emittentenseite
Letztes Ex-DatumJun 24, 2026 Letzte Ausschüttung$0.2142 (Jun 30, 2026)
Wachstum 1J+1.55% Wachstum 3J / 5J (ann.)+5.30% / +14.43%
Ex-DatumStichtagZahltagBetrag
Jun 24, 2026Jun 24, 2026 Jun 30, 2026$0.2142
Mar 25, 2026Mar 25, 2026 Mar 31, 2026$0.2049
Dec 23, 2025Dec 23, 2025 Dec 30, 2025$0.2474
Sep 24, 2025Sep 24, 2025 Sep 30, 2025$0.2712
Jun 24, 2025Jun 24, 2025 Jun 30, 2025$0.1943
Mar 25, 2025Mar 25, 2025 Mar 31, 2025$0.1755
Dec 23, 2024Dec 23, 2024 Dec 30, 2024$0.4371
Sep 24, 2024Sep 24, 2024 Sep 30, 2024$0.1164
Jun 24, 2024Jun 24, 2024 Jun 28, 2024$0.2301
Mar 22, 2024Mar 25, 2024 Mar 28, 2024$0.1959
Dec 26, 2023Dec 27, 2023 Jan 02, 2024$0.3146
Sep 25, 2023Sep 26, 2023 Sep 29, 2023$0.1180

Nachlaufende Ausschüttungsrendite = Ausschüttungen der letzten 12 Monate ÷ aktueller Kurs. Dies ist NICHT die SEC-30-Tage-Rendite, und künftige Ausschüttungen sind nicht garantiert. Der Unterschied erklärt →

Risikokennzahlen

Volatilität 1J / 3J17.81% / 20.41% Sharpe 1J / 3J1.26 / 0.827
Maximaler Drawdown 1J / 3J-10.56% / -26.05% Sortino 1J1.92
Beta gegenüber S&P 500 (3J)1.05 Korrelation vs. S&P 500 (1J)0.8
Abwärtsabweichung 1J11.72% Verwendeter risikofreier Zinssatz3.71% (3M T-bill, FRED)

Berechnet von ETF Explorer Berechnet aus täglichen dividendenbereinigten Schlusskursen; Volatilität und Drawdown sind annualisierte Werte bzw. Periodenwerte; S&P-500-Exposure wird durch SPY approximiert. Stand Aug 27, 2026. Formeln →

Liquidität

Heutiges Volumen21.79K Durchschnittliches Volumen36.20K
AUM$1.10B Aufgeld/Abschlag-0.05%
Geld-/BriefspanneVon unserer Datenquelle nicht bereitgestellt. Prüfen Sie den Kursbildschirm Ihres Brokers; die Spreads sind zur Eröffnung und zum Börsenschluss am weitesten.

Aufgeld/Abschlag vergleicht den verzögerten Marktpreis mit dem zuletzt gemeldeten NAV – ein Richtwert, kein offizielles Schlussaufgeld/-abschlag. So funktioniert die ETF-Liquidität →

Fondsflüsse (geschätzt)

ZeitraumGesch. Nettomittelfluss% des anfänglichen AUMAUM Anfang → Ende
1 Tag $5.0M +0.46% $1.09B → $1.10B
1 Woche $902.1K +0.08% $1.09B → $1.10B

ETF-Explorer-Schätzung: Veränderung des gemeldeten AUM abzüglich des Marktbewegungseffekts, basierend auf unseren eigenen täglichen Momentaufnahmen. Keine offiziellen Ausgabe-/Rücknahmezahlen des Emittenten.

Offizielle Fondsressourcen

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Aktuelle Nachrichten zu GSSC

In den letzten 7 Tagen erwähnt kein Artikel diesen Fonds direkt – es wird allgemeine ETF-Berichterstattung angezeigt.

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Erklärung: AUM ist das Fondsvermögen. Die Kostenquote (Expense Ratio) ist der jährliche Kostensatz, der bereits in der Rendite berücksichtigt ist. Der NAV ist der Wert des Fondsvermögens je Anteil; der Marktpreis kann leicht darüber (Aufgeld) oder darunter (Abgeld) liegen. Die Gesamtrendite setzt voraus, dass Ausschüttungen reinvestiert wurden. Jeder Datensatz zeigt sein eigenes Stichtagsdatum, da Bestände, Vermögen und Kurse nach unterschiedlichen Zeitplänen aktualisiert werden.

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