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界面语言

GUSA Goldman Sachs MarketBeta US 1000 Equity ETF

66.85 0.4972 (+0.75%)

报价截至 Aug 27, 2026 17:51 UTC · Market data delayed approximately 15–20 minutes unless otherwise indicated.

前收盘价66.35 当日价格区间66.35 – 66.85
52周区间54.70 – 67.45 成交量9
平均成交量272 AUM$2.40B (Aug 27, 2026)
费用率0.10% 收益率(TTM)0.96%
NAV66.34 溢价/折价+0.77% 参考性
成立日期Apr 05, 2022 持仓明细1010
发行方Goldman 交易所AMEX
类别 跟踪指数来源数据中未说明
CUSIP38150W107 ISINUS38150W1071
管理来源数据中未说明

关于本ETF

The fund aims to closely follow the returns of its associated benchmark index.

来自基金数据提供商的描述 · 截至以下日期的概况: Aug 27, 2026.

价格走势图

每日收盘价(价格回报,非总回报)。对比折线图以区间起始点为基准,标准化为百分比变动。 来源: Financial Modeling Prep.

业绩表现

1M3M6MYTD1Y3Y*5Y*10Y*成立*
价格回报 +3.85% +2.38% +10.42% +12.34% +18.50% +20.25% +13.09%
总回报 +3.85% +2.63% +10.69% +12.63% +19.40% +21.59% +14.53%

* 已年化。总回报率采用股息调整后价格序列计算(分红再投入);价格回报率采用未经调整的收盘价计算。 业绩截至 Aug 26, 2026. 过往业绩不代表未来表现。

费率

净费率0.10% 每10,000美元投资的年化费用$10.00

仅供示意的费用测算:费用率 × $10,000。不含交易成本、买卖价差、税费及投资价值变动。总费用率与净费用率的详情及任何费用减免安排,请参阅招募说明书。

持仓明细

持仓数据截至 Aug 26, 2026 — 数据提供商报告的投资组合日期;持仓数据非实时仓位。 1007 数据库总行数.

#持仓代码权重股票市值
1 NVIDIA CORPORATION NVDA 6.85% 785.31K $163.7M
2 APPLE INC. AAPL 6.26% 482.43K $149.7M
3 MICROSOFT CORPORATION MSFT 5.04% 247.23K $120.5M
4 AMAZON.COM INC AMZN 3.55% 324.22K $85.0M
5 ALPHABET INC. GOOGL 2.87% 197.16K $68.6M
6 ALPHABET INC. GOOG 2.47% 171.43K $59.1M
7 BROADCOM INC. AVGO 2.36% 157.43K $56.5M
8 META PLATFORMS INC-CLASS A META 1.73% 74.11K $41.4M
9 TESLA, INC. TSLA 1.51% 103.21K $36.0M
10 ELI LILLY & CO LLY 1.48% 28.43K $35.4M
11 MICRON TECHNOLOGY, INC. MU 1.45% 38.04K $34.6M
12 JPMORGAN CHASE & CO JPM 1.34% 90.17K $32.1M
13 ADVANCED MICRO DEVICES, INC. AMD 1.04% 54.66K $25.0M
14 BERKSHIRE HATHAWAY INC. BRK-B 0.99% 47.05K $23.7M
15 EXXONMOBIL HOLDINGS CORPORATION XOM 0.96% 139.85K $22.9M
16 JOHNSON & JOHNSON JNJ 0.93% 81.33K $22.2M
17 VISA INC. V 0.90% 56.02K $21.4M
18 MASTERCARD INCORPORATED MA 0.66% 26.48K $15.9M
19 ABBVIE INC. ABBV 0.66% 59.62K $15.8M
20 WALMART INC WMT 0.65% 146.00K $15.5M
21 CISCO SYSTEMS, INC. CSCO 0.61% 133.06K $14.7M
22 COSTCO WHOLESALE CORPORATION COST 0.61% 14.94K $14.5M
23 BANK OF AMERICA CORP BAC 0.55% 210.03K $13.1M
24 LAM RESEARCH CORPORATION LRCX 0.55% 42.13K $13.1M
25 APPLIED MATERIALS INC AMAT 0.54% 26.74K $12.9M
26 CHEVRON CORPORATION CVX 0.54% 63.01K $12.8M
27 PALANTIR TECHNOLOGIES INC. PLTR 0.53% 71.91K $12.6M
28 INTEL CORPORATION INTC 0.53% 144.69K $12.6M
29 CATERPILLAR INC (DELAWARE) CAT 0.53% 15.53K $12.6M
30 MERCK & CO., INC. MRK 0.53% 83.40K $12.6M
31 UNITEDHEALTH GROUP INCORPORATED UNH 0.51% 30.59K $12.2M
32 COCA-COLA COMPANY (THE) KO 0.50% 130.64K $12.0M
33 GENERAL ELECTRIC COMPANY GE 0.50% 35.12K $12.0M
34 THE PROCTER & GAMBLE COMPANY PG 0.48% 78.55K $11.5M
35 NETFLIX, INC. NFLX 0.48% 142.18K $11.4M
36 THE HOME DEPOT, INC. HD 0.47% 33.64K $11.4M
37 GOLDMAN SACHS GROUP, INC.(THE) GS 0.43% 9.91K $10.3M
38 PHILIP MORRIS INTL INC PM 0.42% 52.56K $10.1M
39 PALO ALTO NETWORKS INC. PANW 0.40% 27.33K $9.6M
40 RTX CORP RTX 0.40% 45.44K $9.5M
41 WELLS FARGO & COMPANY WFC 0.37% 103.26K $8.7M
42 MORGAN STANLEY MS 0.36% 40.73K $8.7M
43 GE VERNOVA LLC GEV 0.36% 9.05K $8.5M
44 ORACLE CORPORATION ORCL 0.34% 56.83K $8.1M
45 AMGEN INC. AMGN 0.34% 18.16K $8.1M
46 KLA CORP KLAC 0.33% 44.06K $8.0M
47 TEXAS INSTRUMENTS INC. TXN 0.33% 30.61K $7.9M
48 THERMO FISHER SCIENTIFIC INC TMO 0.33% 12.53K $7.9M
49 LINDE PLC LIN.DE 0.32% 15.59K $7.6M
50 CITIGROUP INC. C 0.32% 57.87K $7.6M
51 SANDISK CORPORATION SNDK 0.31% 4.96K $7.4M
52 INTL BUSINESS MACHINES CORP IBM 0.31% 31.72K $7.3M
53 VERIZON COMMUNICATIONS INC. VZ 0.30% 140.98K $7.1M
54 ABBOTT LABORATORIES ABT 0.29% 58.48K $6.8M
55 MARVELL TECHNOLOGY, INC. MRVL 0.28% 29.54K $6.8M
56 PEPSICO, INC. PEP 0.28% 46.10K $6.7M
57 ARISTA NETWORKS, INC. ANET 0.27% 34.90K $6.6M
58 MC DONALDS CORP MCD 0.27% 23.98K $6.5M
59 WALT DISNEY COMPANY (THE) DIS 0.27% 58.63K $6.5M
60 CROWDSTRIKE HOLDINGS, INC. CRWD 0.27% 33.87K $6.5M
61 AMPHENOL CORP CL-A (NEW) APH 0.27% 40.85K $6.4M
62 CHARLES SCHWAB CORPORATION SCHW 0.26% 55.33K $6.3M
63 UNION PACIFIC CORP. UNP 0.26% 20.02K $6.2M
64 GILEAD SCIENCES GILD 0.26% 41.82K $6.1M
65 AMERICAN EXPRESS CO. AXP 0.26% 18.10K $6.1M
66 BLACKROCK FUNDING, INC. BLK 0.25% 5.19K $6.1M
67 ANALOG DEVICES INC. ADI 0.25% 16.39K $6.1M
68 AT&T INC. T 0.25% 234.53K $6.0M
69 SEAGATE TECHNOLOGY HOLDIN PLC STX 0.25% 7.55K $6.0M
70 NEXTERA ENERGY, INC. NEE 0.25% 70.37K $5.9M
71 WELLTOWER, INC. WELL 0.24% 23.83K $5.7M
72 BOOKING HOLDINGS INC. BKNG 0.24% 26.52K $5.7M
73 QUALCOMM INC QCOM 0.24% 35.54K $5.6M
74 SALESFORCE INC CRM 0.23% 26.72K $5.6M
75 CONOCOPHILLIPS COP 0.23% 41.11K $5.5M
76 DEERE & COMPANY DE 0.23% 8.32K $5.4M
77 BOEING COMPANY BA 0.23% 25.62K $5.4M
78 PFIZER INC. PFE 0.23% 192.44K $5.4M
79 EATON CORP PLC 0Y3K.L 0.22% 13.04K $5.3M
80 UBER TECHNOLOGIES, INC. UBER 0.22% 66.31K $5.3M
81 TJX COMPANIES INC (NEW) TJX 0.22% 37.27K $5.2M
82 WESTERN DIGITAL CORPORATION WDC 0.21% 11.61K $5.1M
83 NEWMONT CORP NEM 0.20% 36.04K $4.8M
84 VERTEX PHARMACEUTICALS INCORPORATED VRTX 0.20% 8.56K $4.7M
85 BRISTOL-MYERS SQUIBB COMPANY BMY 0.19% 68.91K $4.6M
86 US DOLLAR 0.19% 0 $4.6M
87 DANAHER CORPORATION DHR 0.19% 21.25K $4.6M
88 PROLOGIS INC PLD 0.19% 31.40K $4.5M
89 CAPITAL ONE FINANCIAL CORP COF 0.19% 20.66K $4.5M
90 SERVICENOW INC NOW 0.19% 34.74K $4.4M
91 INTUITIVE SURGICAL, INC. ISRG 0.19% 11.90K $4.4M
92 THE PROGRESSIVE CORPORATION PGR 0.18% 19.67K $4.4M
93 LOCKHEED MARTIN CORPORATION LMT 0.18% 7.78K $4.4M
94 PARKER-HANNIFIN CORP. PH 0.18% 4.24K $4.3M
95 S&P GLOBAL INC. SPGI 0.18% 9.76K $4.2M
96 CHUBB LIMITED 0VQD.L 0.18% 12.17K $4.2M
97 DELL TECHNOLOGIES INC. DELL 0.17% 9.61K $4.2M
98 LOWES COMPANIES INC LOW 0.17% 18.91K $4.1M
99 STARBUCKS CORP. SBUX 0.17% 37.70K $4.1M
100 CVS HEALTH CORP CVS 0.17% 43.05K $4.1M
101 MEDTRONIC PUBLIC LIMITED COMPANY 0Y6X.L 0.17% 43.21K $4.0M
102 ALTRIA GROUP, INC. MO 0.16% 56.38K $3.9M
103 ACCENTURE PLC 0Y0Y.L 0.16% 20.66K $3.9M
104 CORNING INCORPORATED GLW 0.16% 26.26K $3.8M
105 STRYKER CORPORATION SYK 0.16% 11.65K $3.8M
106 AUTOMATIC DATA PROCESSING INC ADP 0.16% 13.48K $3.8M
107 FREEPORT-MCMORAN INC FCX 0.16% 48.27K $3.8M
108 THE BANK OF NY MELLON CORP BNY 0.16% 23.15K $3.8M
109 ADOBE INC ADBE 0.15% 13.40K $3.7M
110 SNOWFLAKE INC. SNOW 0.15% 11.33K $3.7M
111 BLACKSTONE GROUP INC/THE BX 0.15% 24.91K $3.6M
112 MARATHON PETROLEUM CORPORATION MPC 0.15% 9.84K $3.6M
113 HOWMET AEROSPACE INC. HWM 0.15% 13.37K $3.5M
114 EQUINIX, INC. EQIX 0.15% 3.32K $3.5M
115 VALERO ENERGY CORPORATION VLO 0.14% 9.98K $3.5M
116 MCKESSON CORPORATION MCK 0.14% 3.95K $3.5M
117 THE SOUTHERN CO. SO 0.14% 38.06K $3.4M
118 CME GROUP INC. CME 0.14% 12.20K $3.4M
119 TRANE TECHNOLOGIES PUBLIC LIMITED COMPANY TT 0.14% 7.45K $3.4M
120 INTUIT INC INTU 0.14% 8.98K $3.3M
121 PNC FINANCIAL SERVICES GROUP, INC., THE PNC 0.14% 13.52K $3.3M
122 PHILLIPS 66 PSX 0.14% 13.50K $3.3M
123 COMCAST CORPORATION CMCSA 0.14% 119.48K $3.2M
124 CSX CORPORATION CSX 0.13% 62.65K $3.2M
125 DUKE ENERGY CORPORATION DUK 0.13% 26.30K $3.2M
126 U.S. BANCORP USB 0.13% 50.74K $3.2M
127 FORTINET, INC. FTNT 0.13% 20.84K $3.2M
128 MARSH ORD MRSH 0.13% 16.23K $3.2M
129 3M COMPANY MMM 0.13% 17.56K $3.1M
130 CONSTELLATION ENERGY CORP CEG 0.13% 11.35K $3.1M
131 MERCADOLIBRE, INC. MELI 0.13% 1.59K $3.1M
132 QUANTA SERVICES INC PWR 0.13% 5.01K $3.1M
133 INTERCONTINENTAL EXCHANGE INC ICE 0.13% 18.89K $3.1M
134 WASTE MANAGEMENT INC WM 0.13% 13.54K $3.1M
135 VERTIV HOLDINGS LLC VRT 0.13% 11.77K $3.0M
136 CLOUDFLARE, INC. NET 0.13% 10.67K $3.0M
137 EMERSON ELECTRIC CO. EMR 0.12% 18.85K $3.0M
138 SPACE EXPLORATION TECHNOLOGIES CORP. SPCX 0.12% 21.89K $3.0M
139 ELEVANCE HEALTH INC ANTM 0.12% 7.31K $2.9M
140 JOHNSON CONTROLS INTERNATIONAL PUBLIC LIMITED… 0Y7S.L 0.12% 20.55K $2.9M
141 CADENCE DESIGN SYSTEMS INC CDNS 0.12% 9.29K $2.9M
142 THE WILLIAMS COMPANIES, INC. WMB 0.12% 41.22K $2.9M
143 GENERAL DYNAMICS CORP. GD 0.12% 7.51K $2.9M
144 T-MOBILE US, INC. TMUS 0.12% 15.59K $2.8M
145 American Tower Corp AMT 0.12% 15.71K $2.8M
146 MONDELEZ INTERNATIONAL, INC. MDLZ 0.12% 43.21K $2.8M
147 MARRIOTT INTERNATIONAL, INC MAR 0.12% 7.75K $2.8M
148 REGENERON PHARMACEUTICAL INC REGN 0.12% 3.35K $2.8M
149 APPLOVIN CORPORATION APP 0.12% 9.28K $2.8M
150 ILLINOIS TOOL WORKS ITW 0.11% 9.65K $2.7M
151 EOG RESOURCES INC EOG 0.11% 17.96K $2.7M
152 MOTOROLA SOLUTIONS INC MSI 0.11% 5.58K $2.7M
153 NORFOLK SOUTHERN CORPORATION NSC 0.11% 7.58K $2.7M
154 DOORDASH INC DASH 0.11% 11.66K $2.7M
155 SHERWIN-WILLIAMS CO SHW 0.11% 7.69K $2.7M
156 CUMMINS INC CMI 0.11% 4.65K $2.7M
157 THE TRAVELERS COMPANIES, INC TRV 0.11% 7.16K $2.7M
158 ROBINHOOD MARKETS, INC. HOOD 0.11% 25.61K $2.7M
159 GENERAL MOTORS COMPANY GM 0.11% 30.41K $2.6M
160 NORTHROP GRUMMAN CORP NOC 0.11% 4.78K $2.6M
161 MOODY'S CORPORATION MCO 0.11% 5.09K $2.6M
162 TARGET CORPORATION TGT 0.11% 15.31K $2.6M
163 UNITED PARCEL SERVICE, INC. UPS 0.11% 25.25K $2.6M
164 AIRBNB, INC. ABNB 0.11% 13.60K $2.6M
165 SLB LTD SLB.PA 0.11% 47.82K $2.6M
166 ROSS STORES INC ROST 0.11% 10.63K $2.6M
167 SYNOPSYS INC. SNPS 0.11% 6.42K $2.5M
168 O'REILLY AUTOMOTIVE, INC. ORLY 0.11% 27.92K $2.5M
169 COLGATE-PALMOLIVE CO CL 0.10% 27.03K $2.5M
170 FEDEX CORPORATION FDX 0.10% 7.46K $2.5M
171 HILTON WORLDWIDE HOLDINGS INC. HLT 0.10% 7.54K $2.5M
172 KKR & CO. INC. KKR 0.10% 23.14K $2.5M
173 CIGNA GROUP/THE CI 0.10% 8.77K $2.5M
174 BOSTON SCIENTIFIC CORP. BSX 0.10% 50.08K $2.5M
175 ROYAL CARIBBEAN GROUP 0I1W.L 0.10% 8.37K $2.5M
176 DATADOG, INC. DDOG 0.10% 10.83K $2.4M
177 ECOLAB INC. ECL 0.10% 8.43K $2.4M
178 SIMON PROPERTY GROUP INC SPG 0.10% 10.84K $2.4M
179 CINTAS CORPORATION CTAS 0.10% 11.47K $2.4M
180 AON PUBLIC LIMITED COMPANY AON 0.10% 6.51K $2.3M
181 ARTHUR J GALLAGHER & CO AJG 0.10% 8.59K $2.3M
182 HEWLETT PACKARD ENTERPRISE CO HPE 0.10% 44.55K $2.3M
183 HONEYWELL INTERNATIONAL INC HONIV 0.10% 10.70K $2.3M
184 MONSTER BEVERAGE CORPORATION MNST 0.10% 46.92K $2.3M
185 UNITED RENTALS, INC. URI 0.10% 2.11K $2.3M
186 PACCAR INC PCAR 0.10% 17.52K $2.3M
187 AIR PRODUCTS & CHEMICALS INC APD 0.09% 7.41K $2.3M
188 ALLSTATE CORPORATION ALL 0.09% 8.65K $2.3M
189 AMERICAN ELECTRIC POWER INC AEP 0.09% 18.35K $2.2M
190 DIGITAL REALTY TRUST, INC. DLR 0.09% 11.85K $2.2M
191 WARNER BROS DISCOVERY INC WBD 0.09% 77.59K $2.2M
192 TRANSDIGM GROUP INCORPORATED TDG 0.09% 1.85K $2.2M
193 CRH PUBLIC LIMITED COMPANY CRH.L 0.09% 22.55K $2.2M
194 TRUIST FINANCIAL CORPORATION TFC 0.09% 42.11K $2.1M
195 HCA HEALTHCARE, INC HCA 0.09% 4.97K $2.1M
196 TARGA RESOURCES CORP. TRGP 0.09% 7.14K $2.1M
197 BAKER HUGHES CO BKR 0.09% 33.46K $2.1M
198 MONOLITHIC POWER SYSTEMS, INC. MPWR 0.09% 1.59K $2.0M
199 ANGLOGOLD ASHANTI LIMITED ANG.JO 0.09% 16.96K $2.0M
200 KINDER MORGAN INC KMI 0.09% 65.59K $2.0M
201 TE CONNECTIVITY CORPORATION TEL 0.08% 9.89K $2.0M
202 LUMENTUM HOLDINGS INC. LITE 0.08% 2.40K $2.0M
203 REALTY INCOME CORPORATION O 0.08% 31.47K $2.0M
204 FASTENAL COMPANY FAST 0.08% 38.68K $2.0M
205 DOMINION ENERGY INC D 0.08% 29.64K $2.0M
206 CHENIERE ENERGY, INC. LNG 0.08% 7.03K $2.0M
207 ONEOK INC OKE 0.08% 21.21K $2.0M
208 TERADYNE INC TER 0.08% 5.28K $1.9M
209 W.W. GRAINGER INC GWW 0.08% 1.45K $1.9M
210 APOLLO GLOBAL MANAGEMENT INC APO 0.08% 14.34K $1.9M
211 CENCORA INC COR 0.08% 5.88K $1.9M
212 NXP SEMICONDUCTORS N.V. 0EDE.L 0.08% 8.52K $1.9M
213 COMFORT SYSTEMS USA INC FIX 0.08% 1.17K $1.9M
214 NUCOR CORPORATION NUE 0.08% 7.67K $1.9M
215 CORTEVA, INC. CTVA 0.08% 22.57K $1.9M
216 AMETEK INC (NEW) AME 0.08% 7.71K $1.9M
217 SEMPRA ENERGY SRE 0.08% 22.04K $1.9M
218 BLOOM ENERGY CORP BE 0.08% 9.08K $1.9M
219 FORD MOTOR COMPANY F 0.08% 131.94K $1.8M
220 CARDINAL HEALTH, INC. CAH 0.08% 7.91K $1.8M
221 PAYPAL HOLDINGS, INC. PYPL 0.08% 29.60K $1.8M
222 AFLAC INCORPORATED AFL 0.08% 15.36K $1.8M
223 COHERENT CORP COHR 0.08% 6.59K $1.8M
224 AUTODESK, INC. ADSK 0.08% 7.12K $1.8M
225 KEYSIGHT TECHNOLOGIES, INC. KEYS 0.07% 5.75K $1.8M
226 STATE STREET CORPORATION (NEW) STT 0.07% 9.32K $1.8M
227 BECTON, DICKINSON AND COMPANY BDXA 0.07% 9.29K $1.8M
228 CIENA CORPORATION CIEN 0.07% 4.74K $1.8M
229 DEVON ENERGY CORPORATION (NEW) DVN 0.07% 36.42K $1.8M
230 METLIFE, INC. MET 0.07% 18.17K $1.7M
231 EDWARDS LIFESCIENCES CORPORATION EW 0.07% 19.13K $1.7M
232 PUBLIC STORAGE PSA 0.07% 5.32K $1.7M
233 DELTA AIR LINES, INC. DAL 0.07% 20.77K $1.7M
234 AMERIPRISE FINANCIAL, INC. AMP 0.07% 3.03K $1.7M
235 CARVANA CO. CVNA 0.07% 23.47K $1.7M
236 WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORPORATION WAB 0.07% 5.68K $1.7M
237 FIFTH THIRD BANCORP FITB 0.07% 30.47K $1.7M
238 VIVMARK RESIDENTIAL EQR 0.07% 24.48K $1.7M
239 AUTOZONE, INC. AZO 0.07% 549 $1.7M
240 L3HARRIS TECHNOLOGIES INC LHX 0.07% 6.28K $1.7M
241 CHIPOTLE MEXICAN GRILL, INC. CMG 0.07% 43.02K $1.6M
242 ENTERGY CORPORATION ETR 0.07% 15.43K $1.6M
243 NIKE CLASS-B NKE 0.07% 39.98K $1.6M
244 XCEL ENERGY INC. XEL 0.07% 21.04K $1.6M
245 ROCKWELL AUTOMATION INC ROK 0.07% 3.75K $1.6M
246 MODERNA, INC. MRNA 0.07% 11.57K $1.6M
247 EBAY INC. EBAY 0.07% 14.95K $1.6M
248 OCCIDENTAL PETROLEUM CORP OXY 0.07% 26.28K $1.6M
249 CARRIER GLOBAL CORPORATION CARR 0.07% 26.10K $1.6M
250 HUMANA INC. HUM 0.07% 4.04K $1.6M
251 AXON ENTERPRISE, INC. AXON 0.06% 2.56K $1.5M
252 VENTAS, INC. VTR 0.06% 16.36K $1.5M
253 EXELON CORPORATION EXC 0.06% 34.40K $1.5M
254 VISTRA CORP VST 0.06% 11.21K $1.5M
255 NATERA, INC. NTRA 0.06% 4.62K $1.5M
256 REPUBLIC SERVICES INC RSG 0.06% 6.77K $1.5M
257 GARMIN LTD GRMN 0.06% 5.18K $1.5M
258 CBRE GROUP, INC. CBRE 0.06% 9.85K $1.5M
259 IDEXX LABORATORIES IDXX 0.06% 2.64K $1.5M
260 YUM BRANDS, INC. YUM 0.06% 9.30K $1.5M
261 FERGUSON ENTERPRISES INC FERG 0.06% 6.19K $1.5M
262 AGILENT TECHNOLOGIES, INC. A 0.06% 9.52K $1.5M
263 BLOCK, INC. SQ 0.06% 17.88K $1.5M
264 IQVIA HOLDINGS INC IQV 0.06% 5.59K $1.5M
265 PRUDENTIAL FINANCIAL INC PRU 0.06% 11.73K $1.4M
266 ROPER TECHNOLOGIES INC ROP 0.06% 3.44K $1.4M
267 DIAMONDBACK ENERGY INC FANG 0.06% 6.94K $1.4M
268 KEURIG DR PEPPER INC KDP 0.06% 43.38K $1.4M
269 NASDAQ INC. NDAQ 0.06% 14.25K $1.4M
270 AMERICAN INTL GROUP, INC. AIG 0.06% 18.09K $1.4M
271 STRATEGY INC MSTR 0.06% 11.16K $1.4M
272 TAKE TWO INTERACTIVE SOFTWARE TTWO 0.06% 5.84K $1.4M
273 WATERS CORPORATION WAT 0.06% 3.31K $1.4M
274 MSCI INC. MSCI 0.06% 2.37K $1.4M
275 ROCKET LAB CORPORATION RKLB 0.06% 19.83K $1.4M
276 SYSCO CORPORATION SYY 0.06% 16.13K $1.4M
277 PAYCHEX, INC. PAYX 0.06% 10.72K $1.4M
278 P G & E CORPORATION PCG 0.06% 74.05K $1.3M
279 CONSOLIDATED EDISON INC ED 0.06% 12.44K $1.3M
280 MICROCHIP TECHNOLOGY INCORPORATED MCHP 0.06% 18.00K $1.3M
281 WORKDAY, INC. WDAY 0.06% 6.69K $1.3M
282 INTERACTIVE BROKERS GROUP, INC. IBKR 0.06% 14.27K $1.3M
283 REVOLUTION MEDICINES INC RVMD 0.06% 6.27K $1.3M
284 FLEX LTD. FLEX 0.05% 12.28K $1.3M
285 EXPEDIA GROUP INC EXPE 0.05% 3.84K $1.3M
286 COINBASE GLOBAL, INC. COIN 0.05% 7.26K $1.3M
287 HARTFORD INSURANCE GROUP INC/THE HIG 0.05% 9.22K $1.3M
288 D.R. HORTON, INC. DHI 0.05% 8.52K $1.3M
289 ARCHER-DANIELS-MIDLAND COMPANY ADM 0.05% 16.12K $1.3M
290 KENVUE INC. KVUE 0.05% 64.79K $1.3M
291 CREDO TECHNOLOGY GROUP HOLDING LTD CRDO 0.05% 5.60K $1.2M
292 ASTERA LABS, INC. ALAB 0.05% 4.49K $1.2M
293 VEEVA SYSTEMS INC VEEV 0.05% 5.01K $1.2M
294 KIMBERLY-CLARK CORPORATION KMB 0.05% 11.16K $1.2M
295 OLD DOMINION FREIGHT LINE, INC. ODFL 0.05% 6.16K $1.2M
296 UNITED AIRLINES HOLDINGS INC UAL 0.05% 10.91K $1.2M
297 PUBLIC-SVC ENTERPRISE GROUP PEG 0.05% 16.83K $1.2M
298 NETAPP, INC. NTAP 0.05% 6.59K $1.2M
299 IRON MOUNTAIN INCORPORATED IRM 0.05% 9.96K $1.2M
300 VULCAN MATERIALS CO VMC 0.05% 4.37K $1.2M
301 M&T BANK CORPORATION MTB 0.05% 4.93K $1.2M
302 DEXCOM, INC. DXCM 0.05% 12.99K $1.2M
303 WEC ENERGY GROUP, INC. WEC 0.05% 10.98K $1.2M
304 NORTHERN TRUST CORP NTRS 0.05% 6.23K $1.2M
305 HUNTINGTON BANCSHARES INCORPORATED HBAN 0.05% 67.92K $1.2M
306 ARCH CAPITAL GROUP LTD. ACGL 0.05% 11.30K $1.1M
307 ILLUMINA, INC ILMN 0.05% 5.11K $1.1M
308 GE HEALTHCARE TECHNOLOGIES INC. GEHC 0.05% 15.35K $1.1M
309 EMCOR GROUP, INC. EME 0.05% 1.48K $1.1M
310 EQT CORPORATION EQT 0.05% 20.97K $1.1M
311 RESMED INC. RMD 0.05% 4.83K $1.1M
312 CROWN CASTLE INTL CORP CCI 0.05% 14.65K $1.1M
313 WILLIS TOWERS WATSON PLC 0Y4Q.L 0.05% 3.19K $1.1M
314 KROGER COMPANY KR 0.05% 18.92K $1.1M
315 ZOETIS INC. ZTS 0.05% 14.15K $1.1M
316 CENTENE CORPORATION CNC 0.05% 16.55K $1.1M
317 CBOE GLOBAL MARKETS, INC CBOE 0.05% 3.52K $1.1M
318 BIOGEN INC. BIIB 0.05% 4.95K $1.1M
319 MARTIN MARIETTA MATERIALS,INC MLM 0.05% 2.02K $1.1M
320 TWILIO INC. TWLO 0.04% 4.83K $1.1M
321 EVERPURE INC P 0.04% 10.63K $1.1M
322 MONGODB, INC. MDB 0.04% 2.64K $1.1M
323 CARNIVAL CORPORATION 0EV1.L 0.04% 41.34K $1.1M
324 CASEY'S GENERAL STORES,INC CASY 0.04% 1.24K $1.1M
325 INGERSOLL RAND INC IR 0.04% 13.20K $1.1M
326 JABIL INC JBL 0.04% 3.46K $1.1M
327 ALNYLAM PHARMACEUTICALS INC. ALNY 0.04% 4.47K $1.1M
328 SUNBELT RENTALS HOLDINGS, INC. SUNB 0.04% 13.81K $1.1M
329 RAYMOND JAMES FINANCIAL, INC. RJF 0.04% 5.94K $1.0M
330 STEEL DYNAMICS, INC. STLD 0.04% 4.57K $1.0M
331 EXTRA SPACE STORAGE INC. EXR 0.04% 7.05K $1.0M
332 TECHNIPFMC PLC FTI 0.04% 13.37K $1.0M
333 ARES MANAGEMENT CORPORATION ARES 0.04% 7.23K $1.0M
334 COGNIZANT TECHNOLOGY CTSH 0.04% 16.05K $998.6K
335 CITIZENS FINANCIAL GROUP, INC. CFG 0.04% 14.21K $997.8K
336 LIVE NATION ENTERTAINMENT INC LYV 0.04% 5.40K $996.4K
337 AMEREN CORPORATION AEE 0.04% 9.27K $993.5K
338 LPL FINANCIAL HOLDINGS INC. LPLA 0.04% 2.69K $978.6K
339 VICI PROPERTIES INC. VICI 0.04% 36.53K $978.2K
340 HALLIBURTON COMPANY HAL 0.04% 28.11K $973.3K
341 TELEDYNE TECHNOLOGIES INCORPORATED TDY 0.04% 1.55K $967.2K
342 ATI INC ATI 0.04% 4.59K $962.6K
343 EDISON INTERNATIONAL EIX 0.04% 12.99K $961.1K
344 COPART, INC. CPRT 0.04% 28.86K $959.8K
345 THE HERSHEY COMPANY HSY 0.04% 4.99K $947.8K
346 FISERV, INC. FI 0.04% 17.89K $947.6K
347 DTE ENERGY COMPANY DTE 0.04% 6.98K $947.2K
348 ON SEMICONDUCTOR CORPORATION ON 0.04% 13.10K $942.2K
349 ATMOS ENERGY CORPORATION ATO 0.04% 5.61K $942.0K
350 METTLER-TOLEDO INTL MTD 0.04% 672 $940.1K
351 LABCORP HOLDINGS INC LH 0.04% 2.76K $937.3K
352 ZOOM COMMUNICATIONS INC ZM 0.04% 8.93K $935.6K
353 OTIS WORLDWIDE CORPORATION OTIS 0.04% 12.94K $934.4K
354 DOLLAR GENERAL CORPORATION DG 0.04% 7.40K $927.9K
355 ATLASSIAN CORP TEAM 0.04% 5.38K $921.4K
356 AMERICAN WATER WORKS CO, INC. AWK 0.04% 6.58K $920.5K
357 DOVER CORPORATION DOV 0.04% 4.50K $915.9K
358 FAIR ISAAC CORPORATION FICO 0.04% 784 $914.5K
359 SYNCHRONY FINANCIAL SYF 0.04% 11.39K $911.3K
360 WILLIAMS-SONOMA, INC. WSM 0.04% 3.83K $911.1K
361 XYLEM INC. XYL 0.04% 7.97K $910.5K
362 QUEST DIAGNOSTICS INCORPORATED DGX 0.04% 3.72K $906.5K
363 COREWEAVE, INC. CRWV 0.04% 10.47K $902.8K
364 TAPESTRY, INC. TPR 0.04% 6.82K $901.5K
365 EVERSOURCE ENERGY ES 0.04% 12.62K $899.4K
366 INSMED INCORPORATED INSM 0.04% 7.24K $897.7K
367 PPL CORPORATION PPL 0.04% 25.44K $891.3K
368 QNITY ELECTRONICS, INC. Q 0.04% 7.06K $890.9K
369 REGIONS FINANCIAL CORPORATION RF 0.04% 28.89K $885.0K
370 CORPAY INC CPAY 0.04% 2.14K $885.0K
371 HP INC. HPQ 0.04% 30.82K $880.9K
372 CINCINNATI FINANCIAL CRP CINF 0.04% 5.13K $879.0K
373 DARDEN RESTAURANTS, INC. DRI 0.04% 3.85K $869.1K
374 FIRSTENERGY CORP. FE 0.04% 18.64K $868.0K
375 ESTEE LAUDER COS INC CL-A EL 0.04% 8.33K $867.6K
376 CENTERPOINT ENERGY, INC CNP 0.04% 22.16K $866.5K
377 ROYALTY PHARMA PLC RPRX 0.04% 13.94K $855.2K
378 PPG INDUSTRIES, INC. PPG 0.04% 7.51K $850.9K
379 OMNICOM GROUP OMC 0.04% 9.55K $849.1K
380 SMURFIT WESTROCK PUBLIC LIMITED COMPANY SWR.L 0.04% 17.33K $843.8K
381 WEST PHARMACEUTICAL SERVICES WST 0.04% 2.37K $838.4K
382 ROBLOX CORPORATION RBLX 0.04% 21.61K $837.5K
383 NVENT ELECTRIC PUBLIC LIMITED NVT 0.03% 5.45K $835.0K
384 HUBBELL INCORPORATED HUBB 0.03% 1.79K $833.6K
385 VERISK ANALYTICS, INC. VRSK 0.03% 4.40K $833.5K
386 DOLLAR TREE STORES, INC. DLTR 0.03% 6.05K $827.5K
387 EXPEDITORS INTERNATIONAL OF WASHINGTON, INC. EXPD 0.03% 4.41K $827.4K
388 PULTEGROUP INC. PHM 0.03% 6.37K $825.4K
389 CHURCH & DWIGHT CO., INC. CHD 0.03% 8.02K $822.7K
390 PRINCIPAL FINANCIAL GROUP, INC. PFG 0.03% 7.32K $819.0K
391 T. ROWE PRICE GROUP, INC. TROW 0.03% 7.26K $814.8K
392 US FOODS HOLDING CORP. USFD 0.03% 7.36K $804.5K
393 TENET HEALTHCARE CORP THC 0.03% 2.86K $797.0K
394 VERALTO CORPORATION VLTO 0.03% 7.96K $791.2K
395 CARPENTER TECHNOLOGY INC CRS 0.03% 1.65K $786.7K
396 SOFI TECHNOLOGIES, INC. SOFI 0.03% 42.86K $781.8K
397 AMRIZE LTD AMRZ.SW 0.03% 17.29K $781.2K
398 STERIS PUBLIC LIMITED COMPANY STE 0.03% 3.28K $780.7K
399 ULTA BEAUTY INC ULTA 0.03% 1.45K $779.0K
400 EQUIFAX INC. EFX 0.03% 3.99K $776.0K
401 NRG ENERGY, INC. NRG 0.03% 6.90K $770.9K
402 VERISIGN, INC. VRSN 0.03% 2.64K $768.8K
403 CURTISS-WRIGHT CORP CW 0.03% 1.25K $765.6K
404 LIBERTY MEDIA CORP-LIB-NEW-C FWONK 0.03% 7.18K $765.6K
405 DOW INC DOW 0.03% 24.30K $764.1K
406 MARKEL GROUP INC MKL 0.03% 419 $761.4K
407 AERCAP HOLDINGS NV AER 0.03% 5.11K $754.2K
408 XPO INC XPO 0.03% 3.91K $750.5K
409 THE KRAFT HEINZ CO KHC 0.03% 29.02K $745.0K
410 AMCOR PLC AMCR 0.03% 15.54K $744.5K
411 ROYAL GOLD, INC. RGLD 0.03% 2.81K $741.1K
412 PACKAGING CORP OF AMERICA PKG 0.03% 2.97K $739.9K
413 INTL.FLAVORS & FRAGRANCE IFF 0.03% 8.62K $739.3K
414 GENERAL MILLS INC GIS 0.03% 17.97K $735.2K
415 OKTA, INC. OKTA 0.03% 5.61K $734.7K
416 BROWN & BROWN, INC. BRO 0.03% 9.84K $734.4K
417 GLOBAL PAYMENTS INC. GPN 0.03% 7.74K $729.7K
418 BROADRIDGE FINANCIAL BR 0.03% 3.91K $725.1K
419 INCYTE CORPORATION INCY 0.03% 5.66K $724.1K
420 INTERNATIONAL PAPER CO. IP 0.03% 17.62K $723.3K
421 COEUR MINING INC CDE 0.03% 34.61K $722.6K
422 FIDELITY NATL INFO SVCS INC FIS 0.03% 17.44K $722.1K
423 FIRST SOLAR, INC. FSLR 0.03% 3.46K $720.5K
424 F5 INC FFIV 0.03% 1.90K $718.7K
425 SOUTHERN COPPER CORPORATION SCCO 0.03% 3.35K $718.6K
426 TEXAS PACIFIC LAND CORPORATION TPL 0.03% 1.91K $712.5K
427 ENTEGRIS, INC. ENTG 0.03% 5.14K $711.2K
428 CMS ENERGY CORPORATION CMS 0.03% 10.38K $710.1K
429 ROKU, INC. ROKU 0.03% 4.43K $701.5K
430 BURLINGTON STORES INC BURL 0.03% 2.12K $701.3K
431 GUARDANT HEALTH, INC. GH 0.03% 4.30K $701.2K
432 CONSTELLATION BRANDS INC STZ 0.03% 5.08K $699.4K
433 EXPAND ENERGY CORP EXE 0.03% 7.22K $695.5K
434 W.R. BERKLEY CORPORATION WRB 0.03% 9.92K $691.2K
435 REDDIT, INC. RDDT 0.03% 4.45K $680.0K
436 FTAI AVIATION LTD FTAI 0.03% 3.42K $679.0K
437 SNAP-ON INC SNA 0.03% 1.72K $678.5K
438 KEYCORP KEY 0.03% 30.96K $677.0K
439 FIRST CITIZENS BANKSHARES CL A FCNCA 0.03% 310 $676.7K
440 SUPER MICRO COMPUTER, INC. SMCI 0.03% 19.07K $670.7K
441 UNITED THERAPEUTICS CORP UTHR 0.03% 1.31K $670.3K
442 CF INDUSTRIES HOLDINGS, INC. CF 0.03% 5.18K $669.7K
443 HEICO CORP CL-A HEI-A 0.03% 2.57K $666.7K
444 WOODWARD INC WWD 0.03% 2.00K $665.3K
445 RELIANCE INC RS 0.03% 1.73K $660.6K
446 NISOURCE INC. NI 0.03% 16.17K $660.3K
447 ZIMMER BIOMET ZBH 0.03% 6.53K $659.4K
448 J B HUNT TRANS SVCS INC JBHT 0.03% 2.53K $657.8K
449 AFFIRM HOLDINGS, INC. AFRM 0.03% 8.52K $654.9K
450 SBA COMMUNICATIONS CORPORATION SBAC 0.03% 3.54K $654.6K
451 VIATRIS INC VTRS 0.03% 39.03K $645.5K
452 LOEWS CORPORATION L 0.03% 5.73K $638.2K
453 TRACTOR SUPPLY COMPANY TSCO 0.03% 17.67K $634.7K
454 DUPONT DE NEMOURS, INC. DD 0.03% 4.64K $633.7K
455 ESSEX PROPERTY TRUST INC ESS 0.03% 2.15K $632.4K
456 SOUTHWEST AIRLINES CO LUV 0.03% 15.54K $632.4K
457 OVINTIV INC. OVV 0.03% 9.54K $629.0K
458 ZSCALER, INC. ZS 0.03% 3.55K $625.5K
459 EVERGY, INC. EVRG 0.03% 7.68K $625.2K
460 FORTIVE CORPORATION FTV 0.03% 10.27K $621.1K
461 COUPANG, LLC CPNG 0.03% 37.63K $618.6K
462 LENNAR CORPORATION LEN 0.03% 7.01K $617.7K
463 GENUINE PARTS CO. GPC 0.03% 4.55K $617.4K
464 ITT INC. ITT 0.03% 3.01K $616.1K
465 INVITATION HOMES INC. INVH 0.03% 20.19K $615.0K
466 JONES LANG LASALLE INCORPORATED JLL 0.03% 1.56K $606.0K
467 PERMIAN RESOURCES CORP PR 0.03% 25.47K $603.4K
468 JACOBS SOLUTIONS INC J 0.03% 3.98K $603.0K
469 PTC INC. PTC 0.03% 3.89K $600.1K
470 ALLIANT ENERGY CORPORATION LNT 0.02% 8.72K $597.0K
471 SS&C TECHNOLOGIES HOLDINGS, INC. SSNC 0.02% 7.09K $592.6K
472 WEYERHAEUSER COMPANY WY 0.02% 24.29K $592.4K
473 NORDSON CORPORATION NDSN 0.02% 1.77K $592.4K
474 EAST WEST BANCORP INC EWBC 0.02% 4.58K $590.8K
475 JAMES HARDIE INDUSTRIES PUBLIC LIMITED COMPANY JHX 0.02% 19.49K $588.6K
476 TOAST, INC. TOST 0.02% 15.95K $585.7K
477 LEIDOS HLDGS INC LDOS 0.02% 4.23K $585.3K
478 ZEBRA TECHNOLOGIES INC ZBRA 0.02% 1.61K $584.5K
479 IDEX CORPORATION IEX 0.02% 2.50K $583.1K
480 AST SPACEMOBILE INC ASTS 0.02% 9.34K $582.3K
481 CIRCLE INTERNET GROUP, INC. CRCL 0.02% 6.64K $582.1K
482 TD SYNNEX CORP SNX 0.02% 2.38K $579.4K
483 BALL CORPORATION BLL 0.02% 8.95K $576.4K
484 ANNALY CAPITAL MANAGEMENT, INC NLY 0.02% 24.72K $574.7K
485 MKS INC MKSI 0.02% 2.12K $571.2K
486 CDW CORPORATION CDW 0.02% 4.30K $570.3K
487 NUTANIX, INC. NTNX 0.02% 8.51K $567.2K
488 ALBEMARLE CORP ALB 0.02% 4.00K $566.0K
489 ROIVANT SCIENCES LTD ROIV 0.02% 15.53K $564.8K
490 C.H. ROBINSON WORLDWIDE, INC. CHRW 0.02% 3.94K $562.7K
491 YUM CHINA HOLDINGS, INC. YUMC 0.02% 11.41K $558.1K
492 LYONDELLBASELL INDUSTRIES N.V. 0EDD.L 0.02% 8.54K $556.5K
493 MACOM TECHNOLOGY SOLUTIONS MTSI 0.02% 2.16K $555.3K
494 BEST BUY CO INC BBY 0.02% 6.34K $554.4K
495 PERFORMANCE FOOD GROUP COMPANY (DE) PFGC 0.02% 5.22K $552.4K
496 TRANSUNION TRU 0.02% 6.50K $551.8K
497 N V R INC NVR 0.02% 86 $550.2K
498 MASTEC, INC. MTZ 0.02% 2.14K $547.2K
499 REINSURANCE GROUP AMER INC RGA 0.02% 2.23K $546.4K
500 CHARTER COMMUNICATIONS, INC. CHTR 0.02% 3.62K $544.7K
501 TYSON FOODS INC CL-A TSN 0.02% 9.37K $542.3K
502 SHARKNINJA, INC. SN 0.02% 2.95K $540.6K
503 KIMCO REALTY OP, LLC KIM 0.02% 22.29K $539.8K
504 W. P. CAREY INC. WPC 0.02% 7.49K $536.3K
505 HOST HOTELS & RESORTS INC HST 0.02% 22.97K $532.7K
506 RIVIAN AUTOMOTIVE INC RIVN 0.02% 31.80K $527.9K
507 LATTICE SEMICONDUCTOR CORP LSCC 0.02% 4.60K $525.1K
508 JAZZ PHARMACEUTICALS PLC JAZZ 0.02% 2.06K $524.7K
509 RBC BEARINGS INCORPORATED RBC 0.02% 1.05K $522.2K
510 CLEAN HARBORS INC CLH 0.02% 1.66K $521.7K
511 GEN DIGITAL INC GEN 0.02% 17.90K $521.1K
512 MID-AMERICA APT CMNTYS INC MAA 0.02% 3.90K $520.0K
513 NEUROCRINE BIOSCIENCES, INC. NBIX 0.02% 3.37K $516.4K
514 LINCOLN ELECTRIC HOLDINGS INC LECO 0.02% 1.82K $513.1K
515 UNITY SOFTWARE INC. U 0.02% 11.09K $512.1K
516 STANLEY BLACK & DECKER, INC. SWK 0.02% 5.19K $511.7K
517 IONQ INC IONQ 0.02% 12.44K $510.6K
518 PINNACLE FINANCIAL PARTNERS, INC. PNFP 0.02% 5.04K $510.6K
519 AKAMAI TECHNOLOGIES, INC. AKAM 0.02% 4.82K $509.6K
520 WESCO INTERNATIONAL INC. WCC 0.02% 1.51K $507.9K
521 SUN COMMUNITIES, INC SUI 0.02% 4.11K $507.3K
522 FABRINET FN 0.02% 1.20K $507.1K
523 GUIDEWIRE SOFTWARE INC GWRE 0.02% 2.64K $506.8K
524 API GROUP CORPORATION APG 0.02% 12.44K $506.7K
525 TYLER TECHNOLOGIES, INC. TYL 0.02% 1.41K $503.1K
526 ARAMARK ARMK 0.02% 8.46K $501.7K
527 HEALTHPEAK PROPERTIES, INC. DOC 0.02% 23.19K $501.6K
528 BUNGE GLOBAL SA BG 0.02% 4.53K $498.5K
529 EVEREST GROUP LTD 0U96.L 0.02% 1.32K $498.1K
530 LAS VEGAS SANDS CORP. LVS 0.02% 10.60K $497.7K
531 CARLISLE COMPANIES INCORPORATED CSL 0.02% 1.37K $496.7K
532 COOPER COS INC/THE COO 0.02% 6.55K $496.6K
533 STERLING INFRASTRUCTURE INC STRL 0.02% 999 $496.2K
534 FLUTTER ENTERTAINMENT PUBLIC LIMITED COMPANY FLTR.L 0.02% 4.81K $493.5K
535 MASCO CORPORATION MAS 0.02% 6.73K $492.8K
536 CEREBRAS SYSTEMS INC. CBRS 0.02% 2.66K $492.5K
537 HEICO CORPORATION (NEW) HEI 0.02% 1.40K $492.0K
538 FEDEX FREIGHT HOLDING COMPANY, INC. FDXF 0.02% 3.75K $491.9K
539 APA CORPORATION APA 0.02% 11.44K $491.2K
540 TALEN ENERGY CORPORATION TLN 0.02% 1.60K $490.4K
541 FIVE BELOW INC FIVE 0.02% 1.86K $487.6K
542 RUBRIK, INC. RBRK 0.02% 4.97K $487.5K
543 MCCORMICK & CO NON VTG SHRS MKC 0.02% 8.57K $481.9K
544 CHARLES RIVER LABORATORIES INTERNATIONAL, INC. CRL 0.02% 1.61K $481.3K
545 ASSURANT, INC. AIZ 0.02% 1.67K $480.1K
546 TEXTRON INC.DEL. TXT 0.02% 5.84K $479.8K
547 MEDPACE HOLDINGS, INC. MEDP 0.02% 769 $476.8K
548 TRIMBLE INC TRMB 0.02% 7.85K $476.2K
549 DYNATRACE HOLDINGS LLC DT 0.02% 9.65K $473.4K
550 HF SINCLAIR CORP DINO 0.02% 4.96K $471.7K
551 AVERY DENNISON CORPORATION AVY 0.02% 2.57K $471.3K
552 ONTO INNOVATION INC. ONTO 0.02% 1.66K $470.8K
553 ALLEGION PUBLIC LIMITED COMPANY 0Y5C.L 0.02% 2.89K $470.2K
554 CACI INTERNATIONAL INC. CACI 0.02% 738 $469.7K
555 MUELLER INDUSTRIES INC MLI 0.02% 7.35K $466.2K
556 OMEGA HEALTHCARE INVESTORS INC OHI 0.02% 9.94K $462.9K
557 TOLL BROTHERS, INC. TOL 0.02% 3.14K $462.4K
558 REVVITY INC PKI 0.02% 3.76K $462.0K
559 RALPH LAUREN CORP RL 0.02% 1.24K $460.9K
560 BWX TECHNOLOGIES, INC. BWXT 0.02% 3.08K $460.8K
561 FOX CORPORATION FOXA 0.02% 6.66K $460.8K
562 HECLA MINING COMPANY HL 0.02% 22.59K $460.7K
563 BAXTER INTERNATIONAL INC. BAX 0.02% 17.39K $460.7K
564 QXO, INC. QXO 0.02% 34.07K $456.9K
565 TEXAS ROADHOUSE, INC. TXRH 0.02% 2.22K $456.4K
566 MEDLINE INC. MDLN 0.02% 13.14K $456.0K
567 SOLVENTUM CORPORATION SOLV 0.02% 4.97K $453.7K
568 RPM INTERNATIONAL INC RPM 0.02% 4.25K $451.6K
569 GLOBE LIFE INC GL 0.02% 2.61K $451.5K
570 RENAISSANCE RE HOLDINGS LTD RNR 0.02% 1.37K $451.3K
571 COSTAR GROUP, INC. CSGP 0.02% 13.73K $451.0K
572 CROWN HOLDINGS INC CCK 0.02% 3.76K $449.9K
573 EQUITABLE HOLDINGS INC EQH 0.02% 9.16K $449.2K
574 BORGWARNER INC. BWA 0.02% 6.98K $449.0K
575 LAMAR ADVERTISING COMPANY LAMR 0.02% 2.94K $448.6K
576 GARTNER, INC. IT 0.02% 2.21K $447.1K
577 GRACO INC. GGG 0.02% 5.55K $445.0K
578 SAMSARA INC. IOT 0.02% 11.02K $444.2K
579 SOMNIGROUP INTERNATIONAL INC TPX 0.02% 6.90K $443.9K
580 ROCKET COMPANIES, INC. RKT 0.02% 31.38K $442.1K
581 J. M. SMUCKER COMPANY (THE) SJM 0.02% 3.50K $440.9K
582 UNUM GROUP UNM 0.02% 4.89K $438.0K
583 BITMINE IMMERSION TECHNOLOGIES, INC. BMNR 0.02% 18.13K $437.6K
584 CLOROX CO (THE) (DELAWARE) CLX 0.02% 4.08K $437.3K
585 ALCOA CORPORATION AA 0.02% 8.84K $436.4K
586 SITIME CORP SITM 0.02% 747 $434.0K
587 DT MIDSTREAM, INC. DTM 0.02% 3.45K $433.8K
588 HALOZYME THERAPEUTICS, INC. HALO 0.02% 3.96K $430.2K
589 DECKERS OUTDOORS CORP DECK 0.02% 4.67K $429.9K
590 HASBRO, INC. HAS 0.02% 4.46K $425.4K
591 REGENCY CENTERS CORPORATION REG 0.02% 5.54K $425.0K
592 GODADDY INC. GDDY 0.02% 4.23K $424.8K
593 MANHATTAN ASSOCIATES INC MANH 0.02% 1.99K $424.7K
594 TRADEWEB MARKETS INC TW 0.02% 3.92K $424.4K
595 BIOMARIN PHARMACEUTICAL INC. BMRN 0.02% 6.51K $423.3K
596 AGNC INVESTMENT CORP AGNC 0.02% 38.53K $423.1K
597 IES HOLDINGS, INC. IESC 0.02% 1.30K $422.7K
598 BJ'S WHOLESALE CLUB HOLDINGS, INC. BJ 0.02% 4.28K $421.0K
599 DRAFTKINGS INC DKNG 0.02% 16.14K $419.1K
600 APPLIED INDUSTRIAL TECHNOLOGY AIT 0.02% 1.23K $417.3K
601 LENNOX INTERNATIONAL INC LII 0.02% 1.04K $417.1K
602 EQUITY LIFESTYLE PROPERTIES, INC. ELS 0.02% 6.29K $413.4K
603 ELANCO ANIMAL HEALTH INCORPORATED ELAN 0.02% 16.92K $413.3K
604 COREBRIDGE FINANCIAL, INC. CRBG 0.02% 12.90K $412.4K
605 LULULEMON ATHLETICA INC. LULU 0.02% 3.34K $409.7K
606 EXELIXIS, INC. EXEL 0.02% 7.50K $409.1K
607 PENUMBRA, INC. PEN 0.02% 1.26K $408.9K
608 JACK HENRY & ASSOC INC JKHY 0.02% 2.39K $407.0K
609 FIDELITY NATIONAL FINANCIAL, INC. FNF 0.02% 8.58K $406.9K
610 STIFEL FINANCIAL CORP SF 0.02% 5.01K $404.6K
611 HUBSPOT, INC. HUBS 0.02% 1.66K $404.1K
612 TKO GROUP HOLDINGS INC TKO 0.02% 2.08K $403.1K
613 GAMING AND LEISURE PROP, INC. GLPI 0.02% 9.17K $402.7K
614 OWENS CORNING OC 0.02% 2.73K $402.0K
615 PINNACLE WEST CAPITAL CORP PNW 0.02% 4.09K $399.9K
616 VIKING HOLDINGS LTD VIK 0.02% 4.37K $399.8K
617 ENCOMPASS HEALTH CORPORATION EHC 0.02% 3.30K $399.5K
618 DOCUSIGN, INC. DOCU 0.02% 6.38K $399.0K
619 GENERAC HOLDINGS INC. GNRC 0.02% 1.96K $398.0K
620 ECHOSTAR CORPORATION SATS 0.02% 4.63K $395.0K
621 ALLY FINANCIAL INC. ALLY 0.02% 9.29K $394.4K
622 NEXTPOWER INC NXT 0.02% 4.64K $392.8K
623 CORCEPT THERAPEUTICS INC CORT 0.02% 3.19K $392.8K
624 DOMINO'S PIZZA, INC. DPZ 0.02% 1.12K $391.9K
625 FIRST HORIZON CORP FHN 0.02% 15.90K $390.0K
626 AMERICAN HOMES 4 RENT LLC AMH 0.02% 11.20K $390.0K
627 UDR INC UDR 0.02% 10.16K $389.9K
628 HUNTINGTON INGALLS HII 0.02% 1.32K $388.0K
629 DICKS SPORTING GOODS INC DKS 0.02% 2.16K $387.4K
630 PINTEREST INC PINS 0.02% 16.27K $381.9K
631 NEWS CORPORATION NWSA 0.02% 12.32K $379.1K
632 BIO-TECHNE CORPORATION TECH 0.02% 5.23K $378.6K
633 SEMTECH CORPORATION SMTC 0.02% 3.12K $377.7K
634 SERVICE CORP INTERNATL SCI 0.02% 4.45K $374.6K
635 CARLYLE GROUP INC/THE CG 0.02% 7.60K $373.4K
636 KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC. KNX 0.02% 5.40K $373.4K
637 DYCOM INDUSTRIES INC DY 0.02% 980 $373.3K
638 ROLLINS INC. ROL 0.02% 9.97K $371.4K
639 EVERCORE INC EVR 0.02% 1.28K $371.3K
640 ANTERO RESOURCES CORPORATION AR 0.02% 9.77K $370.1K
641 WAYFAIR INC. W 0.02% 3.58K $369.8K
642 ALLISON TRANSMISSION HLDG INC. ALSN 0.02% 2.80K $367.7K
643 COCA-COLA CONSOLIDATED INC COKE 0.02% 1.91K $367.7K
644 FRANKLIN TEMPLETON INC BEN 0.02% 10.61K $367.1K
645 TTM TECHNOLOGIES, INC. TTMI 0.02% 3.42K $366.8K
646 ESSENTIAL UTILITIES INC WTRG 0.02% 8.87K $366.6K
647 REGAL REXNORD CORP RRX 0.02% 2.25K $366.4K
648 FACTSET RESEARCH SYSTEMS INC FDS 0.02% 1.20K $366.4K
649 BRINKER INTERNATIONAL INC EAT 0.02% 1.44K $365.9K
650 CAMDEN PROPERTY TRUST CPT 0.02% 3.35K $365.4K
651 WATSCO, INC. WSO 0.02% 1.18K $365.2K
652 AMERICAN HEALTHCARE REIT INC AHR 0.02% 6.46K $363.0K
653 DONALDSON CO INC DCI 0.02% 3.92K $362.8K
654 ALIGN TECHNOLOGY, INC ALGN 0.02% 2.26K $361.3K
655 MOOG INC CL A MOG-A 0.02% 951 $361.2K
656 EASTGROUP PROPERTIES INC EGP 0.02% 1.78K $360.4K
657 POPULAR, INC. BPOP 0.01% 2.13K $358.4K
658 INVESCO LTD. 0UAN.L 0.01% 11.04K $358.2K
659 ARROWHEAD PHARMACEUTICALS, INC. ARWR 0.01% 4.13K $357.9K
660 GLAUKOS CORPORATION GKOS 0.01% 1.91K $355.3K
661 UMB FINANCIAL CORP UMBF 0.01% 2.46K $354.7K
662 AES CORP. AES 0.01% 24.00K $354.0K
663 BXP INC BXP 0.01% 5.00K $349.7K
664 SOUTHSTATE BANK CORP SSB 0.01% 3.27K $349.6K
665 FLOWSERVE CORPORATION FLS 0.01% 4.34K $349.4K
666 ARROW ELECTRONICS INC. ARW 0.01% 1.73K $349.0K
667 ADVANCED ENERGY INDUSTRIES INC AEIS 0.01% 1.27K $348.8K
668 CNH INDUSTRIAL N.V. CNHI.MI 0.01% 29.49K $346.8K
669 MOLINA HEALTHCARE, INC. MOH 0.01% 1.74K $345.2K
670 AMERICAN FINANCIAL GROUP INC AFG 0.01% 2.39K $344.9K
671 CRANE CO. CR 0.01% 1.67K $344.8K
672 PENTAIR PLC. 0Y5X.L 0.01% 5.44K $344.3K
673 IONIS PHARMACEUTICALS, INC. IONS 0.01% 5.54K $343.7K
674 ENSIGN GROUP, INC. (THE) ENSG 0.01% 1.92K $343.5K
675 NEW YORK TIMES CO.A NYT 0.01% 5.09K $343.3K
676 SEI INVESTMENTS COMPANY SEIC 0.01% 3.10K $342.9K
677 WATTS WATER TECHNOLOGIES INC WTS 0.01% 919 $342.6K
678 BRIDGEBIO PHARMA, INC. BBIO 0.01% 4.21K $341.1K
679 WINTRUST FINANCIAL CORPORATION WTFC 0.01% 2.24K $340.6K
680 LITTELFUSE, INC. LFUS 0.01% 840 $338.8K
681 ACUITY INC AYI 0.01% 1.01K $338.6K
682 SKYWORKS SOLUTIONS, INC. SWKS 0.01% 5.06K $338.5K
683 INSULET CORPORATION PODD 0.01% 2.32K $337.5K
684 APTIV PLC 0YCP.L 0.01% 7.11K $336.4K
685 DARLING INGREDIENTS INC DAR 0.01% 5.37K $334.8K
686 OSHKOSH CORPORATION OSK 0.01% 2.13K $333.1K
687 KRATOS DEFENSE & SECURITY SOL INC KTOS 0.01% 6.23K $330.5K
688 ZIONS BANCORP ZION 0.01% 4.86K $329.6K
689 COGNEX CORPORATION CGNX 0.01% 5.63K $329.3K
690 SPX TECHNOLOGIES INC SPXC 0.01% 1.63K $327.3K
691 MURPHY USA INC. MUSA 0.01% 575 $326.5K
692 SANMINA CORPORATION SANM 0.01% 1.76K $326.5K
693 REPLIGEN CORP RGEN 0.01% 1.79K $325.6K
694 RANGE RESOURCES CORPORATION RRC 0.01% 7.89K $325.5K
695 GLOBUS MEDICAL INC GMED 0.01% 3.86K $324.4K
696 TORO CO (DELAWARE) TTC 0.01% 3.25K $323.3K
697 CYTOKINETICS, INC. CYTK 0.01% 4.17K $321.7K
698 OGE ENERGY CORP (HOLDING CO) OGE 0.01% 7.00K $321.6K
699 DIGITALOCEAN HOLDINGS, INC. DOCN 0.01% 2.88K $321.5K
700 CULLEN FROST BANKERS INC CFR 0.01% 1.96K $321.4K
701 TETRA TECH INC (NEW) TTEK 0.01% 8.72K $321.4K
702 PAYCOM SOFTWARE, INC. PAYC 0.01% 1.40K $321.0K
703 PRAXIS PRECISION MEDICINES, INC. PRAX 0.01% 872 $320.9K
704 OLD REPUBLIC INTL CORP ORI 0.01% 7.61K $319.6K
705 RAMBUS INC RMBS 0.01% 3.67K $319.2K
706 MODINE MFG CO MOD 0.01% 1.69K $318.7K
707 PRIMERICA, INC. PRI 0.01% 1.06K $318.6K
708 AVANTOR FUNDING, INC. AVTR 0.01% 22.25K $317.3K
709 PROTAGONIST THERAPEUTICS, INC. PTGX 0.01% 2.04K $316.2K
710 SAIA, INC. SAIA 0.01% 900 $314.6K
711 CARETRUST REIT, INC. CTRE 0.01% 7.93K $314.5K
712 FEDERAL REALTY OP LP FRT 0.01% 2.67K $314.2K
713 CUBESMART CUBE 0.01% 7.65K $312.9K
714 JFROG LTD FROG 0.01% 3.46K $312.1K
715 RYDER SYSTEM INC R 0.01% 1.27K $311.8K
716 ADVANCED DRAIN SYS INC WMS 0.01% 2.22K $311.3K
717 AFFILIATED MANAGERS GROUP INC AMG 0.01% 865 $310.5K
718 PARAMOUNT SKYDANCE CORPORATION PSKY 0.01% 29.91K $309.5K
719 VALMONT INDUSTRIES INC VMI 0.01% 642 $309.1K
720 BRIXMOR PROPERTY GROUP BRX 0.01% 10.40K $307.8K
721 VIAVI SOLUTIONS INC VIAV 0.01% 8.26K $305.0K
722 MATCH GROUP, INC. MTCH 0.01% 7.31K $305.0K
723 VOYA FINANCIAL INC VOYA 0.01% 3.07K $304.3K
724 BOOZ ALLEN HAMILTON HOLDING BAH 0.01% 4.04K $303.7K
725 JACKSON FINANCIAL INC. JXN 0.01% 2.29K $303.4K
726 AMERICAN AIRLINES GROUP AAL 0.01% 22.17K $302.2K
727 CARMAX, INC. KMX 0.01% 4.80K $301.4K
728 BRIGHTSPRING HEALTH SERVICES, INC. BTSG 0.01% 5.03K $299.4K
729 INTERDIGITAL INC IDCC 0.01% 876 $298.8K
730 NNN REIT INC NNN 0.01% 6.45K $298.7K
731 UNIVERSAL HEALTH SVC CL B UHS 0.01% 1.69K $298.6K
732 SOLSTICE ADVANCED MATERIALS INC. SOLS 0.01% 5.39K $298.4K
733 OLD NATIONAL BANCORP ONB 0.01% 11.58K $298.3K
734 COLUMBIA BANKING SYSTEM, INC. COLB 0.01% 9.73K $298.0K
735 VAXCYTE INC PCVX 0.01% 4.82K $297.9K
736 AGREE REALTY CORPORATION ADC 0.01% 3.99K $297.4K
737 HENRY SCHEIN INC HSIC 0.01% 3.29K $294.9K
738 HEALTHEQUITY, INC. HQY 0.01% 2.79K $293.7K
739 MILLICOM INTL CELLULAR S.A. TIGO 0.01% 3.16K $293.4K
740 VIASAT, INC VSAT 0.01% 4.05K $292.6K
741 KINSALE CAPITAL GROUP INC KNSL 0.01% 737 $291.5K
742 APTARGROUP, INC. ATR 0.01% 2.14K $288.4K
743 ALEXANDRIA REAL ESTATE ARE 0.01% 5.33K $288.0K
744 FIRSTCASH HLDGS INC FCFS 0.01% 1.21K $287.0K
745 REXFORD INDL RLTY INC REXR 0.01% 7.62K $286.9K
746 VIPER ENERGY, INC. VNOM 0.01% 6.38K $285.0K
747 WESTERN ALLIANCE BANCORP WAL 0.01% 3.63K $284.7K
748 WYNN RESORTS, LIMITED WYNN 0.01% 2.86K $284.3K
749 FIRST INDUSTRIAL REALTY TRUST, INC. FR 0.01% 4.48K $284.2K
750 MADRIGAL PHARMACEUTICALS INC MDGL 0.01% 555 $284.1K
751 LITHIA MOTORS INC CL-A LAD 0.01% 769 $283.4K
752 FOX CORPORATION FOX 0.01% 4.58K $282.0K
753 PROSPERITY BANCSHARES, INC. PB 0.01% 3.86K $281.1K
754 APPLIED OPTOELECTRONICS, INC. AAOI 0.01% 2.61K $281.0K
755 AECOM ACM 0.01% 4.32K $281.0K
756 FORMFACTOR INC FORM 0.01% 2.60K $280.8K
757 JEFFERIES FINANCIAL GROUP INC JEF 0.01% 5.40K $280.5K
758 MAPLEBEAR INC. CART 0.01% 5.41K $280.0K
759 TG THERAPEUTICS, INC. TGTX 0.01% 5.00K $279.8K
760 EASTMAN CHEMICAL COMPANY EMN 0.01% 3.83K $278.7K
761 AUTOLIV, INC. ALV 0.01% 2.26K $278.4K
762 SPYRE THERAPEUTICS INC SYRE 0.01% 2.59K $276.7K
763 ETSY, INC. ETSY 0.01% 3.17K $276.2K
764 UGI CORPORATION (HOLDING CO) UGI 0.01% 7.22K $275.6K
765 KRYSTAL BIOTECH, INC. KRYS 0.01% 804 $274.7K
766 HUT 8 CORP HUT 0.01% 3.45K $274.2K
767 BROWN FORMAN CORP CL B BF-B 0.01% 9.52K $273.8K
768 CHORD ENERGY CHRD 0.01% 1.89K $272.8K
769 RYMAN HOSPITALITY PPTYS INC RHP 0.01% 2.08K $272.6K
770 CONAGRA BRANDS INC CAG 0.01% 16.35K $272.5K
771 LINCOLN NATL.CORP.INC. LNC 0.01% 6.43K $272.4K
772 SPROUTS FMRS MKT INC SFM 0.01% 3.16K $272.0K
773 HANOVER INSURANCE GROUP INC THG 0.01% 1.19K $271.6K
774 AXSOME THERAPEUTICS, INC. AXSM 0.01% 1.32K $270.9K
775 COMPASS, INC. COMP 0.01% 23.39K $270.2K
776 MGM RESORTS INTERNATIONAL MGM 0.01% 6.17K $269.7K
777 CRINETICS PHARMACEUTICALS, INC. CRNX 0.01% 3.16K $267.7K
778 ELEMENT SOLUTIONS INC ESI 0.01% 7.64K $267.1K
779 AXALTA COATING SYSTEMS LTD. 0U6C.L 0.01% 7.33K $264.2K
780 NORWEGIAN CRUISE LINE HLDG LTD 0UC3.L 0.01% 15.30K $263.4K
781 MP MATERIALS CORP MP 0.01% 4.58K $262.8K
782 THE TIMKEN COMPANY TKR 0.01% 2.12K $260.8K
783 MOSAIC COMPANY (THE) MOS 0.01% 10.82K $259.7K
784 NATIONAL FUEL GAS CO NFG 0.01% 3.14K $259.3K
785 SIMPSON MANUFACTURING CO INC SSD 0.01% 1.38K $258.8K
786 ALKERMES PLC ALKS 0.01% 5.28K $258.0K
787 COMMERCE BANCSHARES, INC. CBSH 0.01% 4.39K $257.7K
788 QORVO, INC. QRVO 0.01% 2.70K $257.1K
789 GAMESTOP CORP. GME 0.01% 14.11K $254.5K
790 LAMB WESTON HOLDINGS, INC. LW 0.01% 4.64K $254.1K
791 IDACORP, INC. IDA 0.01% 1.84K $254.1K
792 ARMSTRONG WORLD AWI 0.01% 1.43K $254.0K
793 ONEMAIN HOLDINGS, INC. OMF 0.01% 4.03K $253.1K
794 OSCAR HEALTH, INC. OSCR 0.01% 7.92K $252.1K
795 KIRBY CORPORATION KEX 0.01% 1.82K $252.1K
796 PROCORE TECHNOLOGIES, INC. PCOR 0.01% 4.05K $251.7K
797 LIFE TIME GROUP HOLDINGS, INC. LTH 0.01% 5.49K $251.1K
798 ANTERO MIDSTREAM CORP AM 0.01% 11.33K $250.9K
799 AXIS CAPITAL HOLDINGS LIMITED AXS 0.01% 2.52K $250.0K
800 BLUE OWL CAPITAL INC. OWL 0.01% 21.34K $249.2K
801 VENTURE GLOBAL, INC. VG 0.01% 17.28K $248.7K
802 BUILDERS FIRSTSOURCE, INC. BLDR 0.01% 3.54K $248.4K
803 CAVA GROUP, INC. CAVA 0.01% 3.42K $246.2K
804 FLUOR CORPORATION FLR 0.01% 4.77K $244.7K
805 APOGEE THERAPEUTICS INC APGE 0.01% 1.81K $244.4K
806 COMMERCIAL METALS CO CMC 0.01% 3.75K $243.4K
807 ELASTIC N.V. ESTC 0.01% 2.92K $243.0K
808 FIRST AMERICAN FIN CORP FAF 0.01% 3.35K $242.2K
809 TPG INC. TPG 0.01% 4.58K $242.0K
810 AURORA INNOVATION INC AUR 0.01% 42.46K $241.6K
811 CHEMED CORP CHE 0.01% 446 $241.4K
812 FIGMA, INC. FIG 0.01% 8.79K $241.3K
813 HORMEL FOODS CORPORATION HRL 0.01% 10.00K $240.9K
814 HYATT HOTELS CORPORATION H 0.01% 1.34K $240.8K
815 ESCO TECHNOLOGIES INC ESE 0.01% 872 $240.3K
816 HOULIHAN LOKEY, INC. HLI 0.01% 1.86K $239.8K
817 A.O. SMITH CORP (DEL) AOS 0.01% 3.82K $239.5K
818 FEDERAL SIGNAL CORPORATION FSS 0.01% 2.00K $239.1K
819 NOV INC. NOV 0.01% 12.04K $237.9K
820 STAG INDUSTRIAL, INC. STAG 0.01% 6.41K $237.3K
821 NEWMARKET CORP NEU 0.01% 253 $237.0K
822 HEXCEL CORPORATION (NEW) HXL 0.01% 2.56K $236.5K
823 ZURN ELKAY WATER SOLUTIONS CORP ZWS 0.01% 4.79K $233.9K
824 STONEX GROUP INC. SNEX 0.01% 3.45K $233.5K
825 DUTCH BROS INC. BROS 0.01% 4.49K $233.3K
826 MATADOR RES CO MTDR 0.01% 4.04K $232.4K
827 HEALTHCARE REALTY TRUST INC HR 0.01% 12.03K $232.3K
828 MSA SAFETY INC MSA 0.01% 1.22K $231.0K
829 BIO-RAD LABORATORIES, INC. BIO 0.01% 605 $231.0K
830 APPLIED DIGITAL CORP APLD 0.01% 8.58K $230.7K
831 MOHAWK INDUSTRIES INC MHK 0.01% 1.72K $230.6K
832 POOL CORP POOL 0.01% 1.22K $230.0K
833 CHIME FINANCIAL, INC. CHYM 0.01% 7.03K $229.9K
834 KYMERA THERAPEUTICS, INC. KYMR 0.01% 1.89K $228.9K
835 ERIE INDEMNITY COMPANY CL-A ERIE 0.01% 845 $227.0K
836 VALLEY NATIONAL BANCORP VLY 0.01% 16.07K $226.6K
837 DWAVE QUANTUM INC QBTS 0.01% 12.09K $225.9K
838 INGREDION INC INGR 0.01% 2.12K $225.4K
839 AMDOCS LIMITED DOX 0.01% 3.62K $225.1K
840 TEMPUS AI, INC TEM 0.01% 3.40K $224.9K
841 UIPATH, INC. PATH 0.01% 13.56K $224.7K
842 LYFT, INC. LYFT 0.01% 12.67K $224.1K
843 RIOT PLATFORMS INC RIOT 0.01% 11.19K $223.8K
844 WEX INC. WEX 0.01% 1.09K $221.5K
845 AGCO CORPORATION AGCO 0.01% 2.01K $221.5K
846 MADISON SQUARE GARDEN SPORTS CORP. MSGS 0.01% 549 $221.0K
847 SENTINELONE INC S 0.01% 10.61K $221.0K
848 U-HAUL HOLDING COMPANY UHAL-B 0.01% 3.46K $217.5K
849 MOLSON COORS BEVERAGE CO TAP 0.01% 5.06K $217.4K
850 UNITED BANKSHARES INC W V UBSI 0.01% 4.53K $216.5K
851 CELSIUS HOLDINGS, INC. CELH 0.01% 6.18K $216.5K
852 PAYLOCITY HOLDING CORPORATION PCTY 0.01% 1.41K $214.6K
853 ESSENT GROUP LTD. ESNT 0.01% 3.13K $214.5K
854 EAGLE MATERIALS INC. EXP 0.01% 1.05K $213.8K
855 WEATHERFORD INTERNATIONAL PUBLIC LIMITED COMPANY WFRD 0.01% 2.39K $212.0K
856 CLEVELAND-CLIFFS INC. CLF 0.01% 18.73K $211.7K
857 BENTLEY SYSTEMS, INC. BSY 0.01% 5.58K $210.3K
858 LEAR CORPORATION LEA 0.01% 1.71K $210.2K
859 ARGAN, INC AGX 0.01% 448 $210.1K
860 LKQ CORPORATION LKQ 0.01% 8.16K $210.0K
861 GATX CORPORATION GATX 0.01% 1.18K $209.9K
862 TERAWULF INC WULF 0.01% 13.54K $209.6K
863 TELEFLEX INC. TFX 0.01% 1.51K $209.3K
864 FORGENT POWER SOLUTIONS, INC. FPS 0.01% 6.46K $207.8K
865 PLANET LABS PBC PL 0.01% 9.60K $207.1K
866 SOUTHWEST GAS HOLDINGS SWX 0.01% 2.31K $206.5K
867 NOBLE CORPORATION PLC NOBLE.CO 0.01% 4.46K $205.1K
868 DAVITA INC DVA 0.01% 1.16K $204.4K
869 ZILLOW GROUP, INC. Z 0.01% 5.49K $203.3K
870 VORNADO REALTY TRUST VNO 0.01% 5.23K $203.1K
871 CASELLA WASTE SYSTEMS INC CWST 0.01% 2.14K $202.8K
872 BRUKER CORPORATION BRKR 0.01% 3.56K $202.7K
873 CHURCHILL DOWNS INCORPORATED CHDN 0.01% 2.23K $202.4K
874 GLACIER BANCORP INC (NEW) GBCI 0.01% 4.30K $201.3K
875 JBT MAREL CORP JBTM 0.01% 1.75K $201.2K
876 SNAP INC. SNAP 0.01% 36.23K $200.4K
877 FLOOR & DECOR HOLDINGS, INC. FND 0.01% 3.65K $200.3K
878 OKLO INC OKLO 0.01% 5.03K $199.7K
879 AMKOR TECHNOLOGIES INC AMKR 0.01% 4.16K $199.2K
880 HIMS & HERS HEALTH, INC. HIMS 0.01% 6.37K $198.0K
881 DUOLINGO INC. DUOL 0.01% 1.34K $196.3K
882 STARWOOD PROPERTY TRUST, INC. STWD 0.01% 11.97K $195.0K
883 CAESARS ENTERTAINMENT INC CZR 0.01% 6.57K $194.9K
884 RHYTHM PHARMACEUTICALS, INC. RYTM 0.01% 1.75K $194.6K
885 GENPACT LIMITED G 0.01% 5.13K $193.0K
886 RITHM CAPITAL CORP RITM 0.01% 18.77K $192.4K
887 CIRRUS LOGIC CRUS 0.01% 1.72K $192.2K
888 UL SOLUTIONS INC. ULS 0.01% 2.59K $191.8K
889 CHEWY INC CHWY 0.01% 7.82K $191.6K
890 PRIMO BRANDS CORP PRMB 0.01% 8.32K $191.4K
891 EPAM SYSTEMS, INC. EPAM 0.01% 1.72K $191.1K
892 RLI CORP RLI 0.01% 2.86K $190.3K
893 AMER SPORTS, INC. AS 0.01% 6.08K $189.9K
894 TRADE DESK, INC. (THE) TTD 0.01% 14.29K $189.6K
895 INSTALLED BUILDING PRODUCTS, INC. IBP 0.01% 774 $189.5K
896 STANDARD AERO, INC. SARO 0.01% 7.69K $189.0K
897 FIGURE TECHNOLOGY SOLUTIONS, INC. FIGR 0.01% 4.83K $186.7K
898 TRANSOCEAN LTD. RIGN.SW 0.01% 32.34K $186.6K
899 WYNDHAM HOTELS & RESORTS, INC. WH 0.01% 2.49K $185.4K
900 SELECTIVE INSURANCE GROUP INC SIGI 0.01% 1.99K $184.5K
901 LUMEN TECHNOLOGIES INC LUMN 0.01% 32.49K $184.2K
902 SIRIUS XM HOLDINGS INC. SIRI 0.01% 6.46K $183.9K
903 FORTUNE BRANDS INNOVATIONS INC FBHS 0.01% 4.08K $183.5K
904 VIRTU FINANCIAL, INC. VIRT 0.01% 2.76K $182.8K
905 NEXSTAR MEDIA GROUP INC NXST 0.01% 980 $182.5K
906 POWELL INDUSTRIES, INC. POWL 0.01% 965 $182.4K
907 VF CORP VFC 0.01% 12.66K $181.2K
908 GXO LOGISTICS, INC. GXO 0.01% 3.85K $181.1K
909 BANK OZK OZK 0.01% 3.65K $180.3K
910 SCIENCE APPLICATIONS INTL CORP. SAIC 0.01% 1.42K $180.3K
911 RIGETTI COMPUTING INC RGTI 0.01% 10.91K $178.5K
912 VAIL RESORTS, INC. MTN 0.01% 1.19K $178.3K
913 MIRUM PHARMACEUTICALS INC MIRM 0.01% 1.83K $177.1K
914 CIPHER DIGITAL INC CIFR 0.01% 11.38K $174.8K
915 MSC INDUSTRIAL DIRECT CO INC MSM 0.01% 1.46K $174.4K
916 APPFOLIO, INC. APPF 0.01% 769 $173.1K
917 HESS MIDSTREAM LP HESM 0.01% 4.42K $172.3K
918 GENTEX CORP GNTX 0.01% 7.17K $169.1K
919 CELANESE CORPORATION CE 0.01% 3.69K $167.2K
920 DILLARDS INC CL-A DDS 0.01% 260 $167.1K
921 ADT INC. ADT 0.01% 22.50K $167.0K
922 UFP INDUSTRIES, INC. UFPI 0.01% 1.87K $166.5K
923 SLM CORPORATION SLM 0.01% 6.30K $165.9K
924 DROPBOX, INC. DBX 0.01% 4.74K $165.3K
925 LIBERTY LIVE HOLDINGS, INC. LLYVK 0.01% 1.55K $164.2K
926 BROOKFIELD RENEWABLE CORP NEW BEPC.TO 0.01% 4.98K $163.8K
927 AAON INC NEW AAON 0.01% 2.15K $163.2K
928 ENPHASE ENERGY, INC. ENPH 0.01% 4.37K $162.6K
929 KBR, INC. KBR 0.01% 4.31K $162.6K
930 SERVICETITAN, INC. TTAN 0.01% 1.70K $162.2K
931 AEROVIRONMENT INC AVAV 0.01% 1.09K $161.5K
932 AUTONATION, INC. AN 0.01% 827 $161.4K
933 RYAN SPECIALTY HOLDINGS INC RYAN 0.01% 3.64K $161.3K
934 MERITAGE HOMES CORPORATION MTH 0.01% 2.20K $159.3K
935 MIDDLEBY CORPORATION (THE) MIDD 0.01% 1.38K $159.2K
936 THE CAMPBELL'S COMPANY CPB 0.01% 6.56K $158.6K
937 ALASKA AIR GROUP INC(DEL HLDG) ALK 0.01% 3.79K $157.5K
938 LOUISIANA PACIFIC CORP LPX 0.01% 2.17K $157.3K
939 VICOR CORPORATION VICR 0.01% 819 $155.6K
940 ESAB CORPORATION ESAB 0.01% 1.96K $155.5K
941 FTI CONSULTING, INC. FCN 0.01% 997 $155.1K
942 CORE & MAIN INC. CNM 0.01% 3.42K $151.7K
943 ALLEGRO MICROSYSTEMS INC ALGM 0.01% 4.21K $150.0K
944 HAMILTON LANE INCORPORATED HLNE 0.01% 1.39K $146.6K
945 GALAXY DIGITAL INC. GLXY 0.01% 6.33K $144.7K
946 JOBY AVIATION INC JOBY 0.01% 20.09K $144.4K
947 SITEONE LANDSCAPE SUPPLY, INC. SITE 0.01% 1.51K $144.3K
948 COPT DEFENSE PROPERTIES CDP 0.01% 3.81K $142.9K
949 BOYD GAMING CORPORATION BYD 0.01% 1.75K $142.2K
950 ALBERTSONS COMPANIES, INC. ACI 0.01% 11.22K $141.5K
951 GLOBALSTAR, INC. GSAT 0.01% 1.72K $141.3K
952 MORNINGSTAR, INC. MORN 0.01% 648 $140.9K
953 GAP INC GPS 0.01% 6.88K $140.1K
954 DOLBY LABORATORIES, INC. DLB 0.01% 2.10K $139.0K
955 PRIMORIS SERVICES CORPORATION PRIM 0.01% 1.82K $136.8K
956 NEWS CORPORATION NWS 0.01% 3.90K $136.6K
957 PENSKE AUTOMOTIVE GROUP, INC. PAG 0.01% 622 $135.6K
958 KARMAN HOLDINGS INC. KRMN 0.01% 2.62K $134.4K
959 WARNER MUSIC GROUP CORP. WMG 0.01% 4.67K $129.8K
960 CLEARWAY ENERGY, INC. CWEN 0.01% 3.96K $127.9K
961 SCORPIO TANKERS INC. STNG 0.01% 1.62K $127.0K
962 GLOBALFOUNDRIES INC GFS 0.01% 2.62K $120.5K
963 ARXIS, INC. ARXS 0.01% 2.26K $120.1K
964 STEPSTONE GROUP INC. STEP 0.01% 2.43K $119.7K
965 IMMUNOVANT INC IMVT 0.00% 2.62K $113.4K
966 SIGNET JEWELERS LIMITED SIG 0.00% 1.31K $109.7K
967 BOK FINANCIAL CORP (NEW) BOKF 0.00% 770 $108.2K
968 CHOICE HOTELS INTERNATIONAL, INC. CHH 0.00% 948 $105.3K
969 WAYSTAR HOLDING CORP. WAY 0.00% 4.14K $104.8K
970 AMENTUM HOLDINGS, INC. AMTM 0.00% 5.18K $104.0K
971 KINETIK HOLDINGS INC KNTK 0.00% 1.90K $103.9K
972 CARIS LIFE SCIENCES INC CAI 0.00% 3.93K $102.8K
973 AURA MINERALS INC. ORA.TO 0.00% 1.14K $99.3K
974 LINEAGE INC LINE 0.00% 2.42K $98.9K
975 MADISON AIR SOLUTIONS CORPORATION MAIR 0.00% 3.96K $98.9K
976 SYMBOTIC INC. SYM 0.00% 2.42K $96.8K
977 IMMUNITYBIO, INC. IBRX 0.00% 12.62K $95.6K
978 PEGASYSTEMS INC. PEGA 0.00% 2.78K $95.4K
979 CREDIT ACCEPTANCE CORPORATION CACC 0.00% 157 $94.7K
980 FREEDOM HOLDING CORP. FRHC 0.00% 592 $93.2K
981 WESTLAKE CORP WLK 0.00% 1.13K $86.3K
982 KLARNA GROUP PLC KLAR 0.00% 6.09K $86.0K
983 AVIS BUDGET GROUP, INC. CAR 0.00% 575 $84.5K
984 KLAVIYO, INC. KVYO 0.00% 4.37K $79.5K
985 LIBERTY MEDIA CORP-LIB-NEW-A FWONA 0.00% 800 $78.5K
986 UBIQUITI INC UI 0.00% 141 $78.0K
987 PARSONS CORPORATION PSN 0.00% 1.59K $77.6K
988 JANUS LIVING, INC. JAN 0.00% 2.47K $77.0K
989 LEVI STRAUSS & CO. LEVI 0.00% 3.31K $71.8K
990 BIRKENSTOCK HOLDING PLC BIRK 0.00% 2.00K $70.5K
991 LEONARDO DRS INC. DRS 0.00% 1.79K $69.8K
992 LIBERTY LIVE HOLDINGS, INC. LLYVA 0.00% 670 $68.4K
993 SUMMIT THERAPEUTICS INC SMMT 0.00% 4.41K $56.1K
994 LOAR HOLDINGS INC. LOAR 0.00% 771 $56.1K
995 QUANTINUUM INC QNT 0.00% 1.07K $56.0K
996 ZILLOW GROUP INC. ZG 0.00% 1.37K $52.1K
997 REYNOLDS CONSUMER PRODUCTS INC. REYN 0.00% 1.88K $47.5K
998 MOBILEYE GLOBAL INC. MBLY 0.00% 5.43K $46.9K
999 PILGRIM'S PRIDE CORPORATION PPC 0.00% 1.41K $44.9K
1000 SMITHFIELD FOODS, INC. SFD 0.00% 1.74K $38.8K
1001 BROWN FORMAN CORP CL A BF-A 0.00% 1.32K $38.7K
1002 CNA FINCL.CORP. CNA 0.00% 762 $37.8K
1003 SAILPOINT INC SAIL 0.00% 1.87K $33.9K
1004 LENNAR CORPORATION LEN-B 0.00% 280 $24.3K
1005 BAUSCH + LOMB CORPORATION BLCO.TO 0.00% 1.40K $24.2K
1006 U-HAUL HOLDING CO UHAL 0.00% 288 $20.5K
1007 CONTRA/BLUEPRINT MEDICINES CORPORATION BPMC 0.00% 2 $0.92

点击股票代码,查看所有持有该证券的ETF。

行业敞口

科技 35.65%
金融服务 12.08%
可选消费 9.89%
通信服务 9.71%
医疗健康 9.39%
工业 9.22%
必需消费 4.47%
能源 3.47%
房地产 2.14%
公用事业 2.08%
基础材料 1.89%

地区敞口

United States (developed) 97.16%
Ireland (developed) 1.18%
United Kingdom (developed) 0.48%
Switzerland (developed) 0.29%
Singapore (developed) 0.27%
Uruguay 0.13%
Bermuda 0.13%
Other 0.12%
Netherlands (developed) 0.08%
Cayman Islands 0.08%

国家/地区权重以数据提供商报告为准。发达/新兴/前沿市场的分类标签遵循方法论页面中的分类标准。 货币对冲: 基金名称中未显示对冲信息.

分红记录

收益率(TTM)0.96% 已派发(过去12个月)$0.6352
频率Quarterly SEC收益率我们的数据来源未提供此信息——请参阅发行方页面
最近除息日Jun 24, 2026 最近派息$0.1589 (Jun 30, 2026)
1年增长率+4.64% 3年/5年增长率(年化)— / —
除息日股权登记日派息日金额
Jun 24, 2026Jun 24, 2026 Jun 30, 2026$0.1589
Mar 25, 2026Mar 25, 2026 Mar 31, 2026$0.1873
Dec 23, 2025Dec 23, 2025 Dec 30, 2025$0.1380
Sep 24, 2025Sep 24, 2025 Sep 30, 2025$0.1510
Jun 24, 2025Jun 24, 2025 Jun 30, 2025$0.1500
Mar 25, 2025Mar 25, 2025 Mar 31, 2025$0.1460
Dec 23, 2024Dec 23, 2024 Dec 30, 2024$0.1730
Sep 24, 2024Sep 24, 2024 Sep 30, 2024$0.1380
Jun 24, 2024Jun 24, 2024 Jun 28, 2024$0.1441
Mar 22, 2024Mar 25, 2024 Mar 28, 2024$0.1350
Dec 26, 2023Dec 27, 2023 Jan 02, 2024$0.1732
Sep 25, 2023Sep 26, 2023 Sep 29, 2023$0.1247

追踪分派收益率 = 过去 12 个月现金分派 ÷ 当前价格。此数据并非 SEC 30 日收益率,且分派金额不保证持续。 差异解析 →

风险统计

波动率 1年 / 3年13.03% / 15.00% 夏普比率(1年)/(3年)1.29 / 1.29
最大回撤 1年 / 3年-9.32% / -19.62% 索提诺比率(1年)1.89
相对标普500的Beta值(近3年)0.96 与标普500的相关性(1年)0.99
下行偏差 1年8.91% 所用无风险利率3.71% (3M T-bill, FRED)

计算方式: ETF Explorer 基于每日股息调整后收盘价;波动率与最大回撤已年化/按区间计算;标普500敞口以SPY作为代理指标。 截至 Aug 27, 2026. 计算公式 →

流动性

今日成交量9 平均成交量272
AUM$2.40B 溢价/折价+0.77%
买卖价差我们的数据来源未提供此信息。请查看您券商的报价页面;买卖价差在开盘和收盘时最大。

溢价/折价将延迟市场价格与最近披露的净值(NAV)进行比较——此数据为参考性数据,并非官方收盘溢价/折价。 ETF流动性机制详解 →

资金流量(估算)

期间预估净流量占初始AUM的%AUM期初→期末
1日 $7.5M +0.31% $2.39B → $2.40B
1周 -$15.1M -0.63% $2.40B → $2.40B

ETF Explorer估算:报告AUM变动减去市场涨跌影响,来源于我们自有的每日快照。非官方发行商申购/赎回数据。

基金官方资源

外部链接将在新标签页中打开发行商官网或SEC EDGAR。招募说明书及官方文件始终是权威依据——投资前请务必仔细阅读。

最新资讯: GUSA

过去7天内暂无文章直接提及该基金——显示ETF行业综合报道。

全部相关资讯: GUSA →

使用指引:AUM为基金规模;费用率为内嵌于收益中的年度成本;NAV为基金每份资产净值,市场价格可能略高于NAV(溢价)或略低于NAV(折价);总回报假设分配收益已再投资。每项数据集均显示各自的截止日期,因为持仓、资产和报价的更新频率不同。

商品

大宗商品(综合)黄金石油与天然气白银

数字资产

加密货币比特币

固定收益

债券(全类别)国际债券政府债券国债公司债券高收益债券市政债券TIPS / 通胀保值债券

收益

股息备兑认购/期权收益优先股

地区

国际全球发达市场新兴市场国际小盘股前沿市场

板块与主题

金融科技能源房地产 / REITs医疗健康材料工业清洁能源基础设施

策略

缓冲/预设结果ESG / 可持续货币对冲动量等权重低波动率

结构

主动型ETF反向杠杆型

风格与规模

成长美国大盘价值美国小盘美国中盘全市场