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IWC iShares Micro-Cap ETF

183.00 0.21 (+0.11%)

Quote as of Oct 09, 2026 19:59 UTC · Market data delayed approximately 15–20 minutes unless otherwise indicated.

Compare Overlap News
Previous Close182.79 Day Range182.26 – 183.74
52-Week Range143.74 – 203.28 Volume158.36K
Avg Volume103.33K AUM$1.32B (Oct 10, 2026)
Expense Ratio0.60% Yield (TTM)1.06%
NAV182.95 Premium/Discount+0.03% indicative
InceptionAug 12, 2005 Holdings1368
IssueriShares ExchangeAMEX
Category— Index TrackedNot stated in source data
CUSIP464288869 ISINUS4642888691
ManagementNot stated in source data

About this ETF

This iShares Micro-Cap ETF endeavors to mirror the investment outcomes of a benchmark index comprising stocks from the smallest U.S. companies by market capitalization.

Description from the fund data provider · profile as of Oct 10, 2026.

Price Chart

Daily closing prices (price return, not total return). Comparison lines are normalized to percent change from the range start. Source: Financial Modeling Prep.

Performance

1M3M6MYTD1Y3Y*5Y*10Y*Incep.*
Price return -4.91% -6.38% +8.03% +16.04% +18.57% +22.54% +4.70% +9.05% +6.30%
Total return -4.91% -6.38% +8.32% +16.53% +19.62% +23.82% +5.87% +10.25% +7.50%

* Annualized. Total return uses the dividend-adjusted price series (distributions reinvested); price return uses unadjusted closes. Performance through Oct 09, 2026. Past performance does not guarantee future results.

Fees

Net expense ratio0.60% Annual cost of a $10,000 investment$60.00

Illustrative calculation only: expense ratio × $10,000. It excludes trading costs, bid/ask spreads, taxes and changes in investment value. Gross vs. net expense details and any fee waivers are in the prospectus.

Holdings

Holdings as of Oct 10, 2026 · portfolio reporting date from the data provider; holdings are not live positions. 1371 rows in database.

#HoldingTickerWeightSharesMarket Value
1 PENGUIN SOLUTIONS INC PENG 0.86% 158.69K $11.4M
2 CAREDX CDNA 0.76% 161.68K $10.1M
3 OUSTER OUST 0.63% 208.82K $8.3M
4 SELLAS LIFE SCIENCES GROUP INC SLS 0.54% 633.98K $7.1M
5 HYPERLIQUID STRATEGIES INC PURR 0.52% 605.27K $6.8M
6 NURIX THERAPEUTICS NRIX 0.51% 302.30K $6.7M
7 STRIVE INC CLASS A ASST 0.51% 236.70K $6.7M
8 INTERFACE TILE 0.49% 184.39K $6.4M
9 INNODATA INOD 0.47% 100.41K $6.1M
10 VIRIDIAN THERAPEUTICS ORS VRDN 0.44% 316.75K $5.8M
11 LINDBLAD EXPEDITIONS HOLDINGS LIND 0.43% 157.76K $5.6M
12 NORDIC AMERICAN TANKERS LTD NAT 0.42% 650.10K $5.6M
13 PORCH GROUP PRCH 0.42% 317.64K $5.6M
14 BUTTERFLY NETWORK CLASS A BFLY 0.42% 692.34K $5.6M
15 XERIS BIOPHARMA HOLDINGS XERS 0.42% 540.88K $5.5M
16 MBX BIOSCIENCES MBX 0.40% 97.90K $5.2M
17 ALLIENT INC ALNT 0.39% 47.02K $5.1M
18 QCR HOLDINGS INC QCRH 0.39% 51.47K $5.1M
19 ORIGIN BANCORP INC OBK 0.38% 95.23K $5.0M
20 DIME COMMERCIAL BANCSHARES DCOM 0.38% 129.56K $5.0M
21 UROGEN PHARMA URGN 0.38% 134.39K $5.0M
22 BANDWIDTH CLASS A BAND 0.37% 93.61K $4.9M
23 BANK FIRST CORP BFC 0.36% 32.27K $4.8M
24 CONNECTONE BANCORP CNOB 0.35% 154.39K $4.7M
25 PRECIGEN PGEN 0.35% 609.29K $4.6M
26 ETON PHARMACEUTCIALS INC ETON 0.35% 84.25K $4.6M
27 ELLINGTON FINANCIAL EFC 0.35% 393.55K $4.6M
28 OMEROS OMER 0.33% 227.69K $4.4M
29 PENNANT GROUP PNTG 0.33% 107.71K $4.3M
30 ABSCI CORP ABSI 0.32% 474.27K $4.2M
31 IDT CLASS B IDT 0.32% 52.38K $4.2M
32 ARLO TECHNOLOGIES ARLO 0.32% 342.70K $4.2M
33 REX AMERICAN RESOURCES REX 0.32% 92.72K $4.2M
34 PEOPLES BANCORP INC PEBO 0.31% 112.54K $4.1M
35 OLD SECOND BANCORP INC OSBC 0.30% 160.32K $4.0M
36 BLK CSH FND TREASURY SL AGENCY — 0.30% 3.95M $4.0M
37 NUVATION BIO CLASS A NUVB 0.30% 795.82K $3.9M
38 COMMUNITY TRUST BANCORP CTBI 0.29% 51.33K $3.9M
39 UNITED FIRE GROUP INC UFCS 0.29% 68.51K $3.9M
40 AMBIQ MICRO AMBQ 0.29% 65.51K $3.9M
41 DIGITAL TURBINE APPS 0.29% 356.59K $3.8M
42 FIRST MID BANCSHARES INC FMBH 0.29% 77.75K $3.8M
43 SCANSOURCE SCSC 0.29% 64.63K $3.8M
44 BURKE HERBERT FINANCIAL SERVICES C BHRB 0.29% 55.42K $3.8M
45 UNIVERSAL INSURANCE HOLDINGS INC UVE 0.29% 80.26K $3.8M
46 PERSONALIS PSNL 0.28% 228.90K $3.7M
47 MYERS INDUSTRIES INC MYE 0.28% 119.76K $3.7M
48 UNIVEST FINANCIAL CORP UVSP 0.28% 88.96K $3.7M
49 BJS RESTAURANTS INC BJRI 0.28% 61.01K $3.6M
50 BYLINE BANCORP INC BY 0.27% 98.04K $3.6M
51 CRA INTERNATIONAL INC CRAI 0.27% 20.05K $3.6M
52 WILLDAN GROUP WLDN 0.27% 47.30K $3.5M
53 PURSUIT ATTRACTIONS AND HOSPITALIT PRSU 0.26% 66.40K $3.5M
54 THE REALREAL REAL 0.26% 356.06K $3.4M
55 TURNING POINT BRANDS TPB 0.26% 60.02K $3.4M
56 BRISTOW GROUP VTOL 0.26% 83.69K $3.4M
57 FIRST TRACKS BIOTHERAPEUTICS INC TRAX 0.26% 105.84K $3.4M
58 AVEANNA HEALTHCARE HOLDINGS INC AVAH 0.26% 274.36K $3.4M
59 MARINEMAX INC HZO 0.25% 63.34K $3.3M
60 REPLIMUNE GROUP REPL 0.25% 254.61K $3.3M
61 GREEN PLAINS GPRE 0.25% 219.35K $3.3M
62 ORCHID ISLAND CAPITAL INC ORC 0.25% 649.70K $3.3M
63 NUTEX HEALTH INC NUTX 0.25% 15.84K $3.2M
64 CASTLE BIOSCIENCES CSTL 0.24% 94.59K $3.2M
65 LIQUIDITY SERVICES INC LQDT 0.24% 75.48K $3.2M
66 MERCANTILE BANK CORP MBWM 0.24% 54.46K $3.2M
67 PREFORMED LINE PRODUCTS PLPC 0.24% 7.96K $3.2M
68 AMERANT BANCORP CLASS A AMTB 0.24% 108.79K $3.2M
69 HORIZON BANCORP INC HBNC 0.24% 161.91K $3.2M
70 CNB FINANCIAL CORP CCNE 0.24% 93.66K $3.2M
71 HARROW HROW 0.24% 102.33K $3.1M
72 DIVERSIFIED ENERGY COMPANY DEC 0.24% 219.56K $3.1M
73 BUSINESS FIRST BANCSHARES INC BFST 0.23% 100.63K $3.1M
74 UNUSUAL MACHINES INC UMAC 0.23% 144.42K $3.1M
75 CBL ASSOCIATES PROPERTIES CBL 0.23% 62.69K $3.1M
76 METROPOLITAN BANK HOLDING CORP MCB 0.23% 35.22K $3.1M
77 NORTHEAST BANK NBN 0.23% 24.12K $3.1M
78 NWPX INFRASTRUCTURE NWPX 0.23% 30.26K $3.0M
79 USA TODAY INC TDAY 0.23% 433.75K $3.0M
80 CAMDEN NATIONAL CORP CAC 0.23% 53.76K $3.0M
81 TRUSTCO BANK CORP TRST 0.23% 55.20K $3.0M
82 NPK INTERNATIONAL NPKI 0.23% 261.88K $3.0M
83 UNITIL CORP UTL 0.23% 57.20K $3.0M
84 ZENAS BIOPHARMA ZBIO 0.23% 113.92K $3.0M
85 PULSE BIOSCIENCES INC PLSE 0.23% 59.71K $3.0M
86 FUELCELL ENERGY INC FCEL 0.22% 171.53K $3.0M
87 CULLINAN THERAPEUTICS CGEM 0.22% 191.20K $3.0M
88 CEVA CEVA 0.22% 87.72K $3.0M
89 GRAHAM CORP GHM 0.22% 35.84K $2.9M
90 DOUGLAS DYNAMICS INC PLOW 0.22% 73.69K $2.9M
91 RAPPORT THERAPEUTICS RAPP 0.22% 96.81K $2.9M
92 RED VIOLET INC RDVT 0.22% 36.17K $2.9M
93 ANTERIX ATEX 0.22% 37.79K $2.9M
94 MAZE THERAPEUTICS MAZE 0.22% 111.55K $2.9M
95 ESQUIRE FINANCIAL HOLDINGS INC ESQ 0.22% 24.36K $2.9M
96 GENCO SHIPPING AND TRADING GNK 0.22% 103.20K $2.9M
97 FARMERS NATIONAL BANC CORP FMNB 0.22% 188.22K $2.9M
98 QUANTUM CORPORATION QMCO 0.22% 98.04K $2.9M
99 FORUM ENERGY TECHNOLOGIES INC FET 0.22% 33.74K $2.8M
100 ORIC PHARMACEUTICALS ORIC 0.22% 236.25K $2.8M
101 WINMARK WINA 0.22% 9.60K $2.8M
102 RIGEL PHARMACEUTICALS RIGL 0.21% 57.95K $2.8M
103 NB BANCORP INC NBBK 0.21% 124.64K $2.8M
104 QUINSTREET INC QNST 0.21% 174.73K $2.8M
105 VISHAY PRECISION GROUP VPG 0.21% 38.44K $2.8M
106 TETRA TECHNOLOGIES TTI 0.21% 449.76K $2.8M
107 HERITAGE INSURANCE HOLDINGS INC HRTG 0.21% 78.05K $2.7M
108 AMALGAMATED FINANCIAL CORP AMAL 0.21% 58.16K $2.7M
109 TEEKAY CORPORATION CORP LTD TK 0.21% 178.01K $2.7M
110 DAILY JOURNAL DJCO 0.21% 4.26K $2.7M
111 RAPID7 RPD 0.21% 210.30K $2.7M
112 FIRST FINANCIAL CORPORATION CORP THFF 0.21% 36.80K $2.7M
113 QUANEX BUILDING PRODUCTS CORP NX 0.21% 146.43K $2.7M
114 GOLD INC GOLD 0.21% 64.98K $2.7M
115 AMERICAN PUBLIC EDUCATION APEI 0.20% 56.44K $2.7M
116 ARTERIS INC AIP 0.20% 116.41K $2.7M
117 OIL DRI CORPORATION OF AMERICA ODC 0.20% 31.50K $2.7M
118 SUNCOKE ENERGY INC SXC 0.20% 271.67K $2.6M
119 BEAZER HOMES BZH 0.20% 78.42K $2.6M
120 SI BONE SIBN 0.20% 138.47K $2.6M
121 NATIONAL PRESTO INDUSTRIES INC NPK 0.20% 17.17K $2.6M
122 EQUITY BANCSHARES INC CLASS A EQBK 0.20% 54.22K $2.6M
123 METROCITY BANKSHARES INC MCBS 0.20% 74.19K $2.6M
124 RED CAT HOLDINGS INC RCAT 0.20% 434.27K $2.6M
125 TRANSCAT TRNS 0.19% 29.48K $2.5M
126 KOPPERS HOLDINGS INC KOP 0.19% 57.51K $2.5M
127 SENECA FOODS CLASS A SENEA 0.19% 14.27K $2.5M
128 ORRSTOWN FINANCIAL SERVICES INC ORRF 0.19% 60.78K $2.5M
129 FIVE STAR BANCORP FSBC 0.19% 58.69K $2.5M
130 FIRST COMMUNITY BANKSHARES INC FCBC 0.19% 52.26K $2.5M
131 MID PENN BANCORP INC MPB 0.19% 68.71K $2.5M
132 EVOLV TECHNOLOGIES HOLDINGS CLASS EVLV 0.19% 541.07K $2.5M
133 SMARTFINANCIAL INC SMBK 0.19% 49.36K $2.5M
134 BLACKSKY TECHNOLOGY CLASS A BKSY 0.19% 116.67K $2.5M
135 CADRE HOLDINGS INC CDRE 0.19% 99.33K $2.5M
136 HEALTHSTREAM HSTM 0.19% 75.62K $2.5M
137 DAKTRONICS INC DAKT 0.19% 136.50K $2.4M
138 FINANCIAL INSTITUTIONS INC FISI 0.19% 62.52K $2.4M
139 LB PHARMACEUTICALS INC LBRX 0.19% 70.51K $2.4M
140 BARRETT BUSINESS SERVICES INC BBSI 0.18% 75.59K $2.4M
141 MITEK SYSTEMS INC MITK 0.18% 142.27K $2.4M
142 MANITOWOC INC MTW 0.18% 111.51K $2.4M
143 ALTO NEUROSCIENCE INC ANRO 0.18% 100.58K $2.4M
144 MONTE ROSA THERAPEUTICS GLUE 0.18% 233.32K $2.4M
145 BACKBLAZE INC CLASS A BLZE 0.18% 184.78K $2.4M
146 CTO REALTY GROWTH INC CTO 0.18% 115.80K $2.4M
147 KOPIN CORP KOPN 0.18% 558.06K $2.3M
148 HANMI FINANCIAL CORP HAFC 0.18% 74.93K $2.3M
149 ALERUS FINANCIAL CORP ALRS 0.18% 73.85K $2.3M
150 PREFERRED BANK PFBC 0.18% 22.70K $2.3M
151 SAVARA SVRA 0.18% 481.77K $2.3M
152 VOR BIOPHARMA VOR 0.18% 121.21K $2.3M
153 CHAINCE DIGITAL HOLDINGS INC CD 0.17% 210.46K $2.3M
154 COLLEGIUM PHARMACEUTICAL COLL 0.17% 103.81K $2.3M
155 IRADIMED IRMD 0.17% 26.72K $2.3M
156 HOMETRUST BANCSHARES INC HTB 0.17% 49.17K $2.3M
157 INDEPENDENT BANK CORP IBCP 0.17% 63.76K $2.3M
158 WASHINGTON TRUST BANCORP INC WASH 0.17% 60.98K $2.3M
159 METALLUS INC MTUS 0.17% 115.61K $2.3M
160 T1 ENERGY TE 0.17% 657.13K $2.3M
161 SHORE BANCSHARES INC SHBI 0.17% 99.68K $2.3M
162 CENTRAL PACIFIC FINANCIAL CORP CPF 0.17% 61.83K $2.2M
163 PEAPACK GLADSTONE FINANCIAL CORP PGC 0.17% 51.17K $2.2M
164 HIPPO HOLDINGS HIPO 0.17% 65.10K $2.2M
165 ALPHA AND OMEGA SEMICONDUCTOR AOSL 0.17% 77.94K $2.2M
166 LINCOLN EDUCATIONAL SERVICES CORP LINC 0.17% 95.16K $2.2M
167 SOUTHERN MISSOURI BANCORP INC SMBC 0.17% 30.77K $2.2M
168 KIMBALL ELECTRONICS INC KE 0.17% 76.15K $2.2M
169 ARDMORE SHIPPING CORP ASC 0.17% 112.24K $2.2M
170 SOUTH PLAINS FINANCIAL INC SPFI 0.17% 51.01K $2.2M
171 DAKOTA GOLD CORP DC 0.17% 367.99K $2.2M
172 CAPITAL CITY BANK INC CCBG 0.16% 44.58K $2.2M
173 LSI INDUSTRIES INC LYTS 0.16% 105.79K $2.2M
174 AVALO THERAPEUTICS AVTX 0.16% 160.86K $2.2M
175 NANO NUCLEAR ENERGY NNE 0.16% 141.26K $2.2M
176 RILEY EXPLORATION PERMIAN INC REPX 0.16% 48.11K $2.1M
177 CARTER BANKSHARES INC CARE 0.16% 70.25K $2.1M
178 VERASTEM INC VSTM 0.16% 262.36K $2.1M
179 PAYSIGN INC PAYS 0.16% 142.07K $2.1M
180 ARBUTUS BIOPHARMA CORP ABUS 0.16% 506.10K $2.1M
181 ONESPAN OSPN 0.16% 117.21K $2.1M
182 CONSENSUS CLOUD SOLUTIONS INC CCSI 0.16% 57.00K $2.1M
183 PEOPLES FINANCIAL SERVICES CORP PFIS 0.16% 30.05K $2.1M
184 THIRD COAST BANCSHARES INC TCBX 0.16% 49.18K $2.1M
185 CORVUS PHARMACEUTICALS CRVS 0.16% 200.73K $2.0M
186 ZEVRA THERAPEUTICS INC ZVRA 0.16% 185.74K $2.0M
187 BAR HARBOR BANKSHARES BHB 0.15% 52.91K $2.0M
188 COMMUNITY WEST BANCSHARES CWBC 0.15% 78.01K $2.0M
189 FREQUENCY ELECTRONICS INC FEIM 0.15% 27.14K $2.0M
190 SMITH WESSON BRANDS INC SWBI 0.15% 141.36K $2.0M
191 ACNB CORP ACNB 0.15% 31.96K $2.0M
192 MIDLAND STATES BANCORP INC MSBI 0.15% 61.99K $2.0M
193 MAMAS CREATIONS INC MAMA 0.15% 150.53K $2.0M
194 CERIBELL CBLL 0.15% 86.81K $2.0M
195 GREAT SOUTHERN BANCORP INC GSBC 0.15% 25.60K $2.0M
196 BOWMAN CONSULTING GROUP BWMN 0.15% 46.79K $2.0M
197 ARRIVENT BIOPHARMA AVBP 0.15% 119.67K $2.0M
198 IRONWOOD PHARMA CLASS A IRWD 0.15% 516.67K $2.0M
199 MEIRAGTX HOLDINGS PLC MGTX 0.15% 189.27K $2.0M
200 CASS INFORMATION SYSTEMS INC CASS 0.15% 36.76K $2.0M
201 FAETH THERAPEUTICS INC FTH 0.15% 77.07K $2.0M
202 VAALCO ENERGY INC EGY 0.15% 328.88K $2.0M
203 GLADSTONE COMMERCIAL REIT CORP GOOD 0.15% 154.41K $2.0M
204 ANNEXON ANNX 0.15% 490.13K $2.0M
205 LIGHTPATH TECHNOLOGIES INC CLASS A LPTH 0.15% 200.57K $2.0M
206 EASTMAN KODAK KODK 0.15% 203.51K $2.0M
207 CHATHAM LODGING TRUST REIT CLDT 0.15% 142.53K $1.9M
208 THE MARCUS CORP MCS 0.15% 71.51K $1.9M
209 ARROW FINANCIAL CORP AROW 0.15% 52.35K $1.9M
210 OLEMA PHARMACEUTICALS OLMA 0.15% 247.32K $1.9M
211 CANDEL THERAPEUTICS INC CADL 0.15% 199.81K $1.9M
212 BIOVENTUS CLASS A BVS 0.15% 151.86K $1.9M
213 SPROUT SOCIAL CLASS A SPT 0.15% 172.24K $1.9M
214 NETGEAR NTGR 0.14% 82.07K $1.9M
215 PARK AEROSPACE CORP PKE 0.14% 63.66K $1.9M
216 POSTAL REALTY TRUST CLASS A PSTL 0.14% 84.24K $1.9M
217 INVESCO MORTGAGE CAPITAL REIT INC IVR 0.14% 331.32K $1.9M
218 YEXT YEXT 0.14% 273.47K $1.9M
219 EVERQUOTE CLASS A EVER 0.14% 89.27K $1.9M
220 MILLER INDUSTRIES INC MLR 0.14% 34.92K $1.8M
221 4D MOLECULAR THERAPEUTICS INC FDMT 0.14% 144.57K $1.8M
222 HBT FINANCIAL INC HBT 0.14% 51.66K $1.8M
223 LIMBACH HOLDINGS INC LMB 0.14% 35.97K $1.8M
224 ADTRAN HOLDINGS INC ADTN 0.14% 242.73K $1.8M
225 NEXTDOOR HOLDINGS CLASS A NXDR 0.14% 723.02K $1.8M
226 FIRST BUSINESS FINANCIAL SERVICES FBIZ 0.14% 25.61K $1.8M
227 CIVISTA BANCSHARES INC CIVB 0.14% 66.68K $1.8M
228 CALIFORNIA BANCORP BCAL 0.14% 83.16K $1.8M
229 JADE BIOSCIENCES JBIO 0.14% 126.59K $1.8M
230 ENNIS INC EBF 0.14% 78.64K $1.8M
231 COASTAL FINANCIAL CORP CCB 0.14% 41.88K $1.8M
232 INSTEEL INDUSTRIES INC IIIN 0.13% 59.93K $1.8M
233 ACHIEVE LIFE SCIENCES ACHV 0.13% 245.60K $1.8M
234 INDIE SEMICONDUCTOR INC CLASS A INDI 0.13% 676.29K $1.8M
235 SOUTHERN FIRST BANCSHARES INC SFST 0.13% 29.06K $1.8M
236 SATELLOGIC CLASS A SATL 0.13% 345.33K $1.8M
237 HIMALAYA SHIPPING LTD HSHP 0.13% 93.77K $1.7M
238 IMMIX BIOPHARMA IMMX 0.13% 188.18K $1.7M
239 NORTHRIM BANCORP INC NRIM 0.13% 70.47K $1.7M
240 MIMEDX GROUP MDXG 0.13% 374.68K $1.7M
241 NVE CORP NVEC 0.13% 15.52K $1.7M
242 KEARNY FINANCIAL CORP KRNY 0.13% 187.49K $1.7M
243 CORMEDIX CRMD 0.13% 235.46K $1.7M
244 CLIMB GLOBAL SOLUTIONS INC CLMB 0.13% 52.60K $1.7M
245 BLUELINX HOLDINGS BXC 0.13% 24.03K $1.7M
246 XMAX INC XMAX 0.13% 193.65K $1.7M
247 3D SYSTEMS CORP DDD 0.13% 509.07K $1.7M
248 GINKGO BIOWORKS HOLDINGS CLASS A DNA 0.13% 150.32K $1.7M
249 METHODE ELECTRONICS MEI 0.13% 110.75K $1.7M
250 CANADIAN SOLAR CSIQ 0.13% 153.33K $1.7M
251 WABASH NATIONAL WNC 0.13% 125.83K $1.7M
252 ENVIRI CORP NVRI 0.13% 84.46K $1.7M
253 RED RIVER BANCSHARES INC RRBI 0.13% 16.35K $1.7M
254 FRANKLIN BSP REALTY TRUST FBRT 0.13% 264.58K $1.7M
255 SAGIMET BIOSCIENCES SERIES A SGMT 0.13% 185.48K $1.7M
256 CRITICAL METALS CORP CRML 0.12% 240.12K $1.6M
257 OOMA OOMA 0.12% 81.24K $1.6M
258 UNITED STATES ANTIMONY CORP UAMY 0.12% 438.39K $1.6M
259 GRID DYNAMICS HOLDINGS CLASS A GDYN 0.12% 203.41K $1.6M
260 SOLID BIOSCIENCES INC SLDB 0.12% 238.49K $1.6M
261 AQUESTIVE THERAPEUTICS AQST 0.12% 341.08K $1.6M
262 HOVNANIAN ENTERPRISES CLASS A HOV 0.12% 14.74K $1.6M
263 OMNIAB INC OABI 0.12% 347.38K $1.6M
264 HALLADOR ENERGY HNRG 0.12% 111.56K $1.6M
265 YORK WATER YORW 0.12% 51.99K $1.6M
266 ANTERIS TECHNOLOGIES GLOBAL CORP AVR 0.12% 242.57K $1.6M
267 COVENANT LOGISTICS GROUP INC CLASS CVLG 0.12% 49.00K $1.6M
268 TACTILE SYSTEMS TECHNOLOGY TCMD 0.12% 72.25K $1.6M
269 TITAN MACHINERY INC TITN 0.12% 67.19K $1.6M
270 FERROGLOBE PLC GSM 0.12% 378.76K $1.6M
271 ALTIMMUNE INC ALT 0.12% 606.66K $1.6M
272 NIOCORP DEVELOPMENTS NB 0.12% 461.62K $1.6M
273 AEVA TECHNOLOGIES AEVA 0.12% 114.45K $1.6M
274 ORANGE COUNTY BANCORP INC OBT 0.12% 41.87K $1.6M
275 ETHAN ALLEN INTERIORS ETD 0.12% 74.74K $1.6M
276 SOLID POWER CLASS A SLDP 0.12% 641.06K $1.6M
277 MOVADO GROUP INC MOV 0.12% 48.43K $1.5M
278 WAVE LIFE SCIENCES INC WVE 0.12% 446.45K $1.5M
279 UNIVERSAL HEALTH REALTY INCOME TRU UHT 0.12% 41.23K $1.5M
280 PARK OHIO HOLDINGS CORP PKOH 0.12% 31.89K $1.5M
281 HINGHAM INSTITUTION FOR SAVINGS HIFS 0.12% 5.28K $1.5M
282 CARRIAGE SERVICES INC CSV 0.12% 45.34K $1.5M
283 SAFE BULKERS SB 0.12% 173.27K $1.5M
284 SIERRA BANCORP BSRR 0.12% 38.36K $1.5M
285 HYLIION HOLDINGS CORP HYLN 0.12% 403.72K $1.5M
286 FARMERS AND MERCHANTS BANCORP INC FMAO 0.12% 43.10K $1.5M
287 CHOICEONE FINANCIAL SERVICES INC COFS 0.12% 46.01K $1.5M
288 HOME BANCORP INC HBCP 0.11% 22.62K $1.5M
289 BIT DIGITAL BTBT 0.11% 1.11M $1.5M
290 STARLING ONCOLOGY STLN 0.11% 241.75K $1.5M
291 ATLANTICUS HOLDINGS CORP ATLC 0.11% 16.26K $1.5M
292 OIL STATES INTERNATIONAL OIS 0.11% 180.44K $1.5M
293 THE HONEST COMPANY HNST 0.11% 297.56K $1.5M
294 ENERGY VAULT HOLDINGS NRGV 0.11% 446.47K $1.5M
295 ODDITY TECH CLASS A ODD 0.11% 75.57K $1.5M
296 RESOLUTE HOLDINGS MANAGEMENT INC RHLD 0.11% 12.71K $1.5M
297 CONSOLIDATED WATER LTD CWCO 0.11% 48.59K $1.5M
298 CYTOMX THERAPEUTICS CTMX 0.11% 596.47K $1.5M
299 KELLY SERVICES INC CLASS A KELYA 0.11% 90.97K $1.5M
300 LUXFER HOLDINGS PLC LXFR 0.11% 85.23K $1.5M
301 EVOLUS INC EOLS 0.11% 187.61K $1.5M
302 SHATTUCK LABS INC STTK 0.11% 258.42K $1.5M
303 KARAT PACKAGING INC KRT 0.11% 27.13K $1.5M
304 WEAVE COMMUNICATIONS INC WEAV 0.11% 195.94K $1.4M
305 COLUMBUS MCKINNON CORP CMCO 0.11% 90.60K $1.4M
306 REALLOYS INC ALOY 0.11% 189.92K $1.4M
307 CERUS CORP CERS 0.11% 628.80K $1.4M
308 WEST BANCORPORATION INC WTBA 0.11% 49.73K $1.4M
309 SANDRIDGE ENERGY INC SD 0.11% 101.69K $1.4M
310 ACLARIS THERAPEUTICS ACRS 0.11% 375.09K $1.4M
311 TABOOLA.COM LTD TBLA 0.11% 403.52K $1.4M
312 ADVANSIX ASIX 0.11% 84.52K $1.4M
313 CITIZENS AND NORTHERN CORP CZNC 0.11% 55.86K $1.4M
314 EDITAS MEDICINE EDIT 0.11% 495.34K $1.4M
315 IBEX LTD IBEX 0.11% 31.53K $1.4M
316 CAPITAL BANCORP INC CBNK 0.11% 35.75K $1.4M
317 BRIDGEWATER BANCSHARES INC BWB 0.11% 67.99K $1.4M
318 PUMA BIOTECHNOLOGY INC PBYI 0.11% 138.83K $1.4M
319 EL POLLO LOCO INC LOCO 0.10% 92.17K $1.4M
320 ENTRAVISION COMMUNICATIONS CORP CL EVC 0.10% 202.50K $1.4M
321 FARMLAND PARTNERS INC FPI 0.10% 130.53K $1.4M
322 CHIRON REAL ESTATE INC XRN 0.10% 40.10K $1.4M
323 DELCATH SYS INC DCTH 0.10% 90.86K $1.4M
324 RAYONIER ADVANCED MATERIALS RYAM 0.10% 197.03K $1.4M
325 INVESTORS TITLE ITIC 0.10% 4.57K $1.4M
326 MNTN CLASS A MNTN 0.10% 130.34K $1.4M
327 BANK OF MARIN BANCORP BMRC 0.10% 49.98K $1.4M
328 CONTANGO SILVER AND GOLD INC CTGO 0.10% 83.27K $1.4M
329 WILLIS LEASE FINANCE WLFC 0.10% 33.84K $1.4M
330 RBB BANCORP RBB 0.10% 52.29K $1.4M
331 COLONY BANKCORP INC CBAN 0.10% 66.46K $1.3M
332 WORLD ACCEPTANCE CORP WRLD 0.10% 7.40K $1.3M
333 NUVECTIS PHARMA INC NVCT 0.10% 66.06K $1.3M
334 NEW ERA ENERGY AND DIGITAL INC NUAI 0.10% 274.74K $1.3M
335 AVITA MEDICAL INC RCEL 0.10% 99.12K $1.3M
336 POWER SOLUTIONS INTERNATIONAL PSIX 0.10% 27.18K $1.3M
337 NEUROGENE NGNE 0.10% 49.71K $1.3M
338 ANGIODYNAMICS ANGO 0.10% 117.24K $1.3M
339 RACKSPACE TECHNOLOGY INC RXT 0.10% 362.65K $1.3M
340 PLUMAS BANCORP PLBC 0.10% 21.23K $1.3M
341 UNITY BANCORP INC UNTY 0.10% 23.67K $1.3M
342 CALERES INC CAL 0.10% 104.79K $1.3M
343 CRESCENT BIOPHARMA CBIO 0.10% 91.94K $1.3M
344 VILLAGE SUPER MARKET INC CLASS A VLGEA 0.10% 29.52K $1.3M
345 PONCE FINANCIAL GROUP INC PDLB 0.10% 64.19K $1.3M
346 AEBI SCHMIDT HOLDING AG AEBI 0.10% 117.47K $1.3M
347 CALEDONIA MINING PLC CMCL.L 0.10% 53.06K $1.3M
348 TIPTREE INC TIPT 0.10% 74.42K $1.3M
349 ACCO BRANDS CORP ACCO 0.10% 289.41K $1.3M
350 INDUSTRIAL LOGISTICS PROPERTIES TR ILPT 0.10% 179.24K $1.3M
351 IDAHO STRATEGIC RESOURCES INC IDR 0.10% 48.55K $1.3M
352 FOSSIL GROUP INC FOSL 0.10% 182.40K $1.3M
353 VIRGIN GALACTIC HOLDINGS INC SHS C SPCE 0.10% 433.44K $1.3M
354 AVIDIA BANCORP INC AVBC 0.10% 57.84K $1.3M
355 CLIMB BIO INC CLYM 0.10% 117.14K $1.3M
356 ASP ISOTOPES ASPI 0.10% 448.57K $1.3M
357 BANKWELL FINANCIAL GROUP INC BWFG 0.10% 19.28K $1.3M
358 LEXICON PHARMACEUTICALS LXRX 0.10% 718.44K $1.3M
359 FLOTEK INDUSTRIES INC FTK 0.10% 46.10K $1.3M
360 GLADSTONE LAND REIT CORP LAND 0.10% 131.53K $1.3M
361 REAL REMAX GROUP REAX 0.09% 73.15K $1.2M
362 FIRST BANK FRBA 0.09% 70.49K $1.2M
363 NATURAL GAS SERVICES GROUP NGS 0.09% 37.51K $1.2M
364 MAGNERA MAGN 0.09% 106.50K $1.2M
365 CITI TRENDS INC CTRN 0.09% 24.40K $1.2M
366 NATURAL GROCERS BY VITAMIN COTTAGE NGVC 0.09% 41.21K $1.2M
367 TAT TECHNOLOGIES LTD TATT 0.09% 37.53K $1.2M
368 ONE LIBERTY PROPERTIES REIT INC OLP 0.09% 56.10K $1.2M
369 VISTA GOLD CORP VGZ.TO 0.09% 457.86K $1.2M
370 OVID THERAPEUTICS OVID 0.09% 522.17K $1.2M
371 UR ENERGY INC URE.TO 0.09% 1.20M $1.2M
372 ORTHOPEDIATRICS CORP KIDS 0.09% 55.79K $1.2M
373 ASPEN AEROGELS ASPN 0.09% 214.96K $1.2M
374 FRONTVIEW REIT FVR 0.09% 72.38K $1.2M
375 GREENLIGHT CAPITAL LTD CLASS A GLRE 0.09% 80.24K $1.2M
376 MONOPAR THERAPEUTICS MNPR 0.09% 14.27K $1.2M
377 GROUPON GRPN 0.09% 62.67K $1.2M
378 FORWARD INDUSTRIES INC FWDI 0.09% 165.98K $1.2M
379 AURA BIOSCIENCES AURA 0.09% 183.10K $1.2M
380 COOPER STANDARD HOLDINGS CPS 0.09% 54.68K $1.2M
381 INVESTAR HOLDING CORP ISTR 0.09% 40.65K $1.2M
382 FIRST BANCORP INC FNLC 0.09% 35.30K $1.2M
383 SHARONAI HOLDINGS INC CLASS A SHAZ 0.09% 30.15K $1.2M
384 OPORTUN FINANCIAL CORP OPRT 0.09% 135.34K $1.2M
385 CONTINEUM THERAPEUTICS CLASS A CTNM 0.09% 88.81K $1.2M
386 CITIZENS FINANCIAL SERVICES INC CZFS 0.09% 14.72K $1.2M
387 INTREPID POTASH INC IPI 0.09% 35.36K $1.2M
388 CERENCE CRNC 0.09% 139.90K $1.2M
389 MISTRAS GROUP INC MG 0.09% 56.00K $1.2M
390 ATEA PHARMACEUTICALS AVIR 0.09% 224.57K $1.2M
391 908 DEVICES MASS 0.09% 99.86K $1.2M
392 BRIGHT MINDS BIOSCIENCES DRUG 0.09% 22.16K $1.2M
393 HYSTER YALE INC CLASS A HY 0.09% 35.45K $1.2M
394 W AND T OFFSHORE WTI 0.09% 310.48K $1.1M
395 ORTHOFIX MEDICAL OFIX 0.09% 127.57K $1.1M
396 GENESCO INC GCO 0.09% 31.12K $1.1M
397 TITAN INTERNATIONAL INC TWI 0.09% 167.95K $1.1M
398 DINE BRANDS GLOBAL DIN 0.09% 38.81K $1.1M
399 SPIRE GLOBAL CLASS A SPIR 0.09% 110.11K $1.1M
400 HAVERTY FURNITURE COMPANIES INC HVT 0.09% 41.37K $1.1M
401 REZOLUTE RZLT 0.09% 245.17K $1.1M
402 RAMACO RESOURCES INC CLASS A METC 0.09% 133.45K $1.1M
403 MASTERCRAFT BOAT HOLDINGS INC MCFT 0.09% 58.02K $1.1M
404 ORION GROUP INC ORN 0.09% 124.23K $1.1M
405 DESIGN THERAPEUTICS DSGN 0.09% 97.51K $1.1M
406 MVB FINANCIAL CORP MVBF 0.08% 37.85K $1.1M
407 NORWOOD FINANCIAL CORP NWFL 0.08% 32.91K $1.1M
408 PHATHOM PHARMACEUTICALS PHAT 0.08% 156.24K $1.1M
409 GENIE ENERGY LTD CLASS B GNE 0.08% 66.32K $1.1M
410 EMERGENT BIOSOLUTIONS EBS 0.08% 163.24K $1.1M
411 LB FOSTER FSTR 0.08% 31.29K $1.1M
412 TEJON RANCH TRC 0.08% 67.58K $1.1M
413 LATHAM GROUP INC SWIM 0.08% 182.78K $1.1M
414 INTERNATIONAL MONEY EXPRESS INC IMXI 0.08% 88.81K $1.1M
415 NORTHEAST COMMUNITY BANCORP INC NECB 0.08% 40.08K $1.1M
416 EVERSPIN TECHNOLOGIES INC MRAM 0.08% 66.29K $1.1M
417 PRIMIS FINANCIAL CORP FRST 0.08% 71.13K $1.1M
418 RADIANT LOGISTIC INC RLGT 0.08% 115.54K $1.1M
419 ENANTA PHARMACEUTICALS INC ENTA 0.08% 89.88K $1.1M
420 CLEARFIELD INC CLFD 0.08% 32.74K $1.1M
421 TIMBERLAND BANCORP INC TSBK 0.08% 23.84K $1.1M
422 ARCTURUS THERAPEUTICS HOLDINGS INC ARCT 0.08% 84.04K $1.1M
423 PARKE BANCORP INC PKBK 0.08% 32.79K $1.1M
424 XEROX HOLDINGS CORP XRX 0.08% 366.58K $1.1M
425 POWERFLEET AIOT 0.08% 405.37K $1.1M
426 SENSEONICS HOLDINGS INC SENS 0.08% 117.88K $1.1M
427 OCUGEN OCGN 0.08% 1.08M $1.1M
428 SIGHT SCIENCES SGHT 0.08% 124.77K $1.1M
429 PRIME MEDICINE PRME 0.08% 295.00K $1.1M
430 GMR SOLUTIONS INC CLASS A GMRS 0.08% 99.68K $1.1M
431 COMMUNITY HEALTH SYSTEMS INC CYH 0.08% 383.62K $1.0M
432 ROCKY BRANDS INC RCKY 0.08% 23.00K $1.0M
433 CHEMUNG FINANCIAL CORP CHMG 0.08% 12.82K $1.0M
434 NORTHPOINTE BANCSHARES INC NPB 0.08% 65.70K $1.0M
435 NEUROPACE NPCE 0.08% 83.02K $1.0M
436 AMERICAN INTEGRITY INSURANCE GROUP AII 0.08% 38.05K $1.0M
437 MEDIAALPHA CLASS A MAX 0.08% 95.74K $1.0M
438 BAYCOM CORP BCML 0.08% 33.05K $1.0M
439 CABALETTA BIO CABA 0.08% 522.42K $1.0M
440 NERDWALLET CLASS A NRDS 0.08% 103.82K $1.0M
441 VIEMED HEALTHCARE INC VMD 0.08% 107.59K $1.0M
442 DONEGAL GROUP INC CLASS A DGICA 0.08% 54.54K $1.0M
443 GEVO GEVO 0.08% 748.53K $1.0M
444 VOX ROYALTY CORP VOXR 0.08% 198.50K $1.0M
445 SERVE ROBOTICS SERV 0.08% 224.82K $1.0M
446 C AND F FINANCIAL CORP CFFI 0.08% 9.85K $1.0M
447 WEYCO GROUP INC WEYS 0.08% 19.20K $998.9K
448 AMC GLOBAL MEDIA CLASS A AMCX 0.08% 91.18K $997.5K
449 STITCH FIX CLASS A SFIX 0.08% 363.61K $992.6K
450 KKR REAL ESTATE FINANCE INC TRUST KREF 0.08% 155.62K $991.3K
451 RING ENERGY INC REI 0.08% 734.26K $991.3K
452 CIVEO CORP CVEO 0.08% 31.03K $989.9K
453 BUILD A BEAR WORKSHOP BBW 0.08% 38.14K $987.9K
454 OPUS GENETICS INC IRD 0.07% 220.61K $983.9K
455 FS BANCORP INC FSBW 0.07% 22.11K $979.8K
456 CLEARWATER PAPER CORP CLW 0.07% 50.20K $979.5K
457 PCB BANCORP PCB 0.07% 35.06K $977.9K
458 8X8 INC EGHT 0.07% 449.13K $970.1K
459 M TRON INDUSTRIES INC MPTI 0.07% 13.27K $969.0K
460 ASSEMBLY BIOSCIENCES INC ASMB 0.07% 42.39K $967.3K
461 STRATA CRITICAL MEDICAL CLASS A SRTA 0.07% 216.26K $966.7K
462 FENNEC PHARMACEUTICALS FENC 0.07% 90.91K $966.4K
463 MAYVILLE ENGINEERING COMPANY INC MEC 0.07% 63.24K $965.6K
464 ODYSSEY THERAPEUTICS INC ODTX 0.07% 52.43K $950.0K
465 WATERSTONE FINANCIAL INC WSBF 0.07% 48.42K $948.1K
466 I3 VERTICALS CLASS A IIIV 0.07% 61.17K $945.7K
467 NATHANS FAMOUS INC NATH 0.07% 9.28K $944.4K
468 TWIN DISC INC TWIN 0.07% 36.23K $942.6K
469 NEXXEN INTERNATIONAL LTD NEXN 0.07% 103.76K $940.1K
470 RELMADA THERAPEUTICS INC RLMD 0.07% 296.11K $938.7K
471 RICHTECH ROBOTICS CLASS B RR 0.07% 585.88K $937.4K
472 ALPINE INCOME PROPERTY TRUST INC PINE 0.07% 52.18K $933.0K
473 FIRST COMMUNITY CORP FCCO 0.07% 28.61K $928.1K
474 CLEARPOINT NEURO INC CLPT 0.07% 88.31K $926.4K
475 SUMMIT MIDSTREAM CORP SMC 0.07% 28.26K $923.9K
476 REGIONAL MANAGEMENT CORP RM 0.07% 27.21K $922.9K
477 JOHN MARSHALL BANCORP INC JMSB 0.07% 40.21K $922.8K
478 DIAMEDICA THERAPEUTICS INC DMAC 0.07% 114.78K $919.4K
479 FTAI INFRASTRUCTURE FIP 0.07% 345.02K $917.7K
480 MATRIX SERVICE MTRX 0.07% 86.32K $917.6K
481 AVIDBANK HOLDINGS INC AVBH 0.07% 29.25K $917.0K
482 AMES NATIONAL CORP ATLO 0.07% 28.57K $913.8K
483 FLEXSTEEL INDUSTRIES INC FLXS 0.07% 10.53K $911.2K
484 FRIEDMAN INDUSTRIES INC FRD 0.07% 21.75K $910.4K
485 STARZ ENTERTAINMENT STRZ 0.07% 38.42K $908.0K
486 RANGER ENERGY SERVICES INC CLASS A RNGR 0.07% 58.66K $906.8K
487 AGENUS INC AGEN 0.07% 120.11K $905.6K
488 C4 THERAPEUTICS CCCC 0.07% 317.38K $904.5K
489 PERMA FIX ENVIRONMENTAL SERVICES I PESI 0.07% 63.87K $904.4K
490 ATN INTERNATIONAL INC ATNI 0.07% 31.80K $903.5K
491 LENDINGTREE TREE 0.07% 35.64K $903.4K
492 NEWTEKONE NEWT 0.07% 81.13K $896.5K
493 QUAD GRAPHICS INC CLASS A QUAD 0.07% 94.07K $892.7K
494 INNOVATIVE SOLUTIONS AND SUPPORT I IA 0.07% 46.43K $891.5K
495 PANGAEA LOGISTICS SOLUTIONS PANL 0.07% 102.52K $881.7K
496 COMMERCIAL BANCGROUP INC CBK 0.07% 27.88K $879.1K
497 FUNKO CLASS A FNKO 0.07% 134.82K $876.3K
498 PERSPECTIVE THERAPEUTICS CATX 0.07% 323.23K $875.9K
499 NATIONAL BANKSHARES INC NKSH 0.07% 20.30K $872.7K
500 FRANKLIN FINANCIAL SERVICES CORP FRAF 0.07% 13.77K $872.1K
501 INHIBIKASE THERAPEUTICS IKT 0.07% 456.24K $871.4K
502 SILVIA SVIA 0.07% 230.94K $870.7K
503 AMERICAN BATTERY TECHNOLOGY COMPAN ABAT 0.07% 424.70K $870.6K
504 JOHNSON OUTDOORS INC CLASS A JOUT 0.07% 19.58K $869.2K
505 KURA SUSHI USA KRUS 0.07% 21.69K $866.2K
506 LANTRONIX INC LTRX 0.07% 126.43K $863.5K
507 FIDELITY D AND D BANCORP INC FDBC 0.07% 15.24K $863.3K
508 ALTO INGREDIENTS INC ALTO 0.07% 231.27K $862.7K
509 FIRST UNITED CORP FUNC 0.07% 19.81K $861.8K
510 USCB FINANCIAL HOLDINGS INC CLASS USCB 0.07% 38.76K $857.8K
511 GRANITE RIDGE RESOURCES GRNT 0.07% 178.44K $856.5K
512 FVCBANKCORP INC FVCB 0.07% 48.77K $856.3K
513 LCNB CORP LCNB 0.06% 44.88K $850.1K
514 BOSTON OMAHA CORP CLASS A BOC 0.06% 65.28K $847.3K
515 ISABELLA BANK CORP ISBA 0.06% 21.98K $845.3K
516 FUBOTV CLASS A FUBO 0.06% 90.37K $844.9K
517 EYEPOINT INC EYPT 0.06% 242.95K $840.6K
518 PRIORITY TECHNOLOGY HOLDINGS INC PRTH 0.06% 107.75K $840.4K
519 TRUEBLUE INC TBI 0.06% 91.15K $834.9K
520 FIRST WESTERN FINANCIAL INC MYFW 0.06% 27.48K $827.1K
521 FIRST NORTHERN COMMUNITY BANCORP FNRN 0.06% 47.46K $821.1K
522 JAKKS PACIFIC INC JAKK 0.06% 29.35K $820.6K
523 ZIPRECRUITER INC CLASS A ZIP 0.06% 205.81K $819.1K
524 BLUE RIDGE BANKSHARES INC BRBS 0.06% 209.52K $817.1K
525 KYVERNA THERAPEUTICS KYTX 0.06% 131.53K $812.9K
526 STRATTEC SECURITY CORP STRT 0.06% 12.63K $812.3K
527 INFUSYSTEM HOLDINGS INC INFU 0.06% 60.40K $810.0K
528 NN INC NNBR 0.06% 201.62K $808.5K
529 LEGACY HOUSING CORP LEGH 0.06% 28.32K $803.6K
530 SEAPORT THERAPEUTICS INC SPTX 0.06% 44.85K $803.2K
531 REPAY HOLDINGS CORP CLASS A RPAY 0.06% 207.14K $801.6K
532 BIGLARI HOLDINGS INCINARY CLASS B BH 0.06% 2.17K $798.6K
533 HAMILTON BEACH BRANDS HOLDING COMP HBB 0.06% 22.81K $798.3K
534 FULCRUM THERAPEUTICS FULC 0.06% 212.60K $797.3K
535 OAK VALLEY BANCORP OVLY 0.06% 23.17K $794.2K
536 WESTERN NEW ENGLAND BANCORP INC WNEB 0.06% 57.86K $792.7K
537 FB BANCORP FBLA 0.06% 45.82K $790.4K
538 VANDA PHARMACEUTICALS INC VNDA 0.06% 174.29K $789.5K
539 AMERICAN COASTAL INSURANCE CORP ACIC 0.06% 80.03K $786.7K
540 TECTONIC THERAPEUTIC TECX 0.06% 34.56K $786.3K
541 BANK7 CORP BSVN 0.06% 14.13K $785.3K
542 VIANT TECHNOLOGY INC CLASS A DSP 0.06% 59.57K $783.9K
543 GREENE COUNTY BANCORP INC GCBC 0.06% 22.71K $779.8K
544 HACKETT GROUP HCKT 0.06% 70.95K $779.0K
545 XPERI INC XPER 0.06% 148.25K $778.3K
546 BIGCOMMERCE HOLDINGS SERIES CMRC 0.06% 241.68K $778.2K
547 THREDUP CLASS A TDUP 0.06% 329.84K $775.1K
548 RICHARDSON ELECTRONICS LTD RELL 0.06% 38.78K $774.4K
549 TSS INC TSSI 0.06% 77.55K $773.2K
550 REPUBLIC AIRWAYS HOLDINGS RJET 0.06% 44.62K $772.4K
551 PERMA PIPE INTERNATIONAL HOLDINGS PPIH 0.06% 24.71K $770.1K
552 FIRST NATIONAL CORP FXNC 0.06% 25.61K $767.5K
553 VIRGINIA NATIONAL BANKSHARES CORP VABK 0.06% 15.61K $766.7K
554 FATE THERAPEUTICS INC FATE 0.06% 358.83K $764.3K
555 SHOE STATION GROUP INC SHOE 0.06% 58.49K $763.9K
556 ZURA BIO LTD CLASS A ZURA 0.06% 184.55K $762.2K
557 IHEARTMEDIA CLASS A IHRT 0.06% 386.06K $760.5K
558 AVIAT NETWORKS INC AVNW 0.06% 37.17K $758.9K
559 NRC HEALTH NRC 0.06% 37.10K $757.6K
560 EIKON THERAPEUTICS EIKN 0.06% 100.20K $751.5K
561 COASTALSOUTH BANCSHARES INC COSO 0.06% 27.77K $746.9K
562 DUOS TECHNOLOGIES GROUP INC DUOT 0.06% 95.75K $746.8K
563 ROCKET PHARMACEUTICALS RCKT 0.06% 283.32K $745.1K
564 ORASURE TECHNOLOGIES INC OSUR 0.06% 196.27K $744.8K
565 SPOK HOLDINGS INC SPOK 0.06% 67.33K $744.7K
566 CLARITEV CORP CLASS A CTEV 0.06% 30.48K $741.7K
567 X4 PHARMACEUTICALS XFOR 0.06% 265.43K $740.5K
568 FRP HOLDINGS INC FRPH 0.06% 37.04K $734.6K
569 AMTECH SYSTEMS INC ASYS 0.06% 45.20K $732.7K
570 TELOS CORPORATION CORP TLS 0.06% 167.54K $732.2K
571 ABACUS GLOBAL MANAGEMENT INC CLASS ABX 0.06% 87.94K $731.7K
572 NU SKIN ENTERPRISES CLASS A NUS 0.06% 153.01K $729.9K
573 CAPSOVISION INC CV 0.06% 109.36K $724.0K
574 OUTDOOR HOLDING POWW 0.05% 318.90K $717.5K
575 ABEONA THERAPEUTICS INC ABEO 0.05% 144.31K $715.8K
576 HAWTHORN BANCSHARES HWBK 0.05% 18.70K $715.5K
577 SPYGLASS PHARMA SHS SGP 0.05% 29.03K $714.8K
578 ORCHESTRA BIOMED HOLDINGS INC OBIO 0.05% 124.70K $714.5K
579 LEXEO THERAPEUTICS LXEO 0.05% 222.18K $713.2K
580 PRINCETON BANCORP INC BPRN 0.05% 16.35K $712.9K
581 CONDUENT CNDT 0.05% 450.96K $708.0K
582 COMMUNITY BANCORP VT CMTV 0.05% 16.10K $706.7K
583 UTAH MEDICAL PRODUCTS INC UTMD 0.05% 9.56K $706.5K
584 Z SQUARED INC ZSQR 0.05% 142.45K $705.1K
585 PALISADE BIO INC PALI 0.05% 485.38K $703.8K
586 PUBLIC POLICY HOLDING INC PPHC 0.05% 64.51K $703.2K
587 APNIMED INC APMD 0.05% 38.55K $702.4K
588 JACK IN THE BOX INC JACK 0.05% 56.22K $700.0K
589 BK TECHNOLOGIES CORP BKTI 0.05% 9.52K $698.5K
590 MACROGENICS INC MGNX 0.05% 196.47K $697.5K
591 KINGSTONE COMPANIES INC KINS 0.05% 36.55K $695.9K
592 PURE CYCLE CORP PCYO 0.05% 63.15K $694.6K
593 ALICO INC ALCO 0.05% 17.94K $694.2K
594 EAGLE FINANCIAL SERVICES INC EFSI 0.05% 15.11K $692.1K
595 CHICAGO ATLANTIC REAL ESTATE FINAN REFI 0.05% 71.66K $690.8K
596 SUTRO BIOPHARMA INC STRO 0.05% 45.06K $690.4K
597 ANIKA THERAPEUTICS INC ANIK 0.05% 35.83K $688.9K
598 PROTALIX BIOTHERAPEUTICS PLX 0.05% 253.60K $684.7K
599 SKY HARBOUR GROUP CLASS A SKYH 0.05% 71.70K $684.1K
600 KEROS THERAPEUTICS KROS 0.05% 58.07K $676.0K
601 ACME UNITED CORP ACU 0.05% 10.87K $673.4K
602 FIRST CAPITAL INC FCAP 0.05% 10.43K $668.8K
603 SHOULDER INNOVATIONS SI 0.05% 37.28K $666.9K
604 ONCE UPON A FARM PBC OFRM 0.05% 40.73K $665.2K
605 RICHMOND MUTUAL BANCORPORATION INC RMBI 0.05% 43.27K $664.6K
606 IMMUNEERING CLASS A IMRX 0.05% 177.06K $662.2K
607 SURROZEN SRZN 0.05% 23.67K $662.1K
608 AKEBIA THERAPEUTICS INC AKBA 0.05% 811.28K $661.0K
609 ARKO PETROLEUM CORP CLASS A APC 0.05% 40.54K $660.0K
610 CRAWFORD CLASS A CRD-A 0.05% 51.47K $658.8K
611 HMH HOLDING INC CLASS A HMH 0.05% 35.14K $658.5K
612 DESIGNER BRANDS CLASS A DBI 0.05% 113.64K $658.0K
613 KINGSWAY CORP KWY 0.05% 69.03K $655.0K
614 FIRST INTERNET BANCORP INBK 0.05% 24.72K $654.2K
615 LOVESAC COMPANY LOVE 0.05% 44.67K $651.7K
616 CHARGEPOINT HOLDINGS INC CLASS A CHPT 0.05% 80.10K $651.2K
617 OPPFI INC CLASS A OPFI 0.05% 106.33K $647.6K
618 LIGHTBRIDGE LTBR 0.05% 107.57K $646.5K
619 LIFEWAY FOODS INC LWAY 0.05% 30.57K $644.7K
620 PEOPLES BANCORP OF NORTH CAROLINA PEBK 0.05% 14.55K $643.8K
621 ELMET GROUP ELMT 0.05% 31.27K $639.8K
622 MEDALLION FINANCIAL CORP MFIN 0.05% 53.07K $639.5K
623 BARNES AND NOBLE EDUCATION INC BNED 0.05% 53.52K $639.0K
624 RIMINI STREET INC RMNI 0.05% 155.49K $636.7K
625 LIMONEIRA LMNR 0.05% 52.62K $634.0K
626 TREDEGAR CORP TG 0.05% 88.78K $633.0K
627 INFORMATION SERVICES GROUP INC III 0.05% 110.44K $631.7K
628 CADIZ INC CDZI 0.05% 179.21K $630.8K
629 IMMERSION CORP IMMR 0.05% 88.17K $629.5K
630 WHITEHAWK MINERALS CORP CLASS A WHK 0.05% 23.86K $629.5K
631 ENCORE ENERGY EU 0.05% 622.85K $629.1K
632 US GOLD CORP USAU 0.05% 45.06K $625.9K
633 CPI CARD GROUP INC PMTS 0.05% 24.98K $624.6K
634 MBIA INC MBI 0.05% 136.34K $624.4K
635 BIOAGE LABS BIOA 0.05% 100.43K $623.7K
636 SMARTRENT INC CLASS A SMRT 0.05% 536.42K $622.2K
637 ARES COMMERCIAL REAL ESTATE REIT C ACRE 0.05% 169.68K $621.0K
638 AMERICAN OUTDOOR BRANDS INC AOUT 0.05% 37.98K $619.1K
639 SES AI CLASS A SES 0.05% 790.36K $618.3K
640 OCTAVE SPECIALTY GROUP INC OSG 0.05% 129.42K $617.3K
641 CONCRETE PUMPING HOLDINGS INC BBCP 0.05% 65.28K $614.9K
642 SEACOR MARINE HOLDINGS INC SMHI 0.05% 71.06K $614.7K
643 ELECTROMED INC ELMD 0.05% 22.11K $614.5K
644 NEXPOINT DIVERSIFIED REAL ESTATE T NXDT 0.05% 119.38K $613.6K
645 ONITY GROUP INC ONIT 0.05% 22.33K $612.7K
646 RCM TECHNOLOGIES INC RCMT 0.05% 14.63K $612.2K
647 ZUMIEZ ZUMZ 0.05% 43.02K $611.3K
648 RGC RESOURCES INC RGCO 0.05% 26.94K $609.2K
649 GEMINI SPACE STATION INC CLASS A GEMI 0.05% 136.12K $608.5K
650 READY CAPITAL CORP RC 0.05% 460.29K $607.6K
651 BLEND LABS CLASS A BLND 0.05% 578.30K $607.2K
652 KOLIBRI GLOBAL ENERGY INC KGEI 0.05% 93.98K $607.1K
653 BAKKT INC CLASS A BKKT 0.05% 86.30K $606.7K
654 RXSIGHT RXST 0.05% 124.98K $606.1K
655 HUDSON TECHNOLOGIES INC HDSN 0.05% 117.08K $605.3K
656 HOLLEY HLLY 0.05% 248.01K $605.1K
657 OP BANCORP OPBK 0.05% 40.07K $603.9K
658 TREACE MEDICAL CONCEPTS TMCI 0.05% 154.83K $600.0K
659 TURTLE BEACH TBCH 0.05% 47.11K $599.7K
660 REFORMATION REF 0.05% 44.65K $598.3K
661 RANPAK HOLDINGS CLASS A PACK 0.05% 152.77K $595.8K
662 LINEAGE CELL THERAPEUTICS INC LCTX 0.05% 577.33K $594.6K
663 BNB STANDARD CORP BNC 0.05% 116.57K $594.5K
664 GENCOR INDUSTRIES INC GENC 0.05% 32.84K $593.7K
665 DAVE AND BUSTERS ENTERTAINMENT PLAY 0.05% 85.17K $593.6K
666 TAYLOR DEVICES INC TAYD 0.04% 10.10K $591.9K
667 ALECTOR ALEC 0.04% 292.32K $590.5K
668 PIONEER BANCORP INC PBFS 0.04% 33.51K $590.4K
669 MERIDIAN CORP MRBK 0.04% 31.55K $590.0K
670 MONTAUK RENEWABLES INC MNTK 0.04% 214.56K $587.9K
671 RESERVOIR MEDIA INC RSVR 0.04% 62.34K $585.9K
672 AELUMA INC ALMU 0.04% 49.01K $584.7K
673 BENITEC BIOPHARMA INC BNTC 0.04% 66.81K $584.6K
674 ELEDON PHARMACEUTICALS INC ELDN 0.04% 241.42K $584.2K
675 SCRIBE THERAPEUTICS INC SCTX 0.04% 30.32K $583.0K
676 PALLADYNE AI CORP PDYN 0.04% 113.58K $581.6K
677 ANGI INC CLASS A ANGI 0.04% 92.50K $580.9K
678 AERSALE CORP ASLE 0.04% 118.03K $580.7K
679 NATURES SUNSHINE PRODUCTS INC NATR 0.04% 46.18K $580.5K
680 LIFECORE BIOMEDICAL LFCR 0.04% 89.91K $578.1K
681 QUICKLOGIC CORP QUIK 0.04% 53.85K $576.8K
682 CORE MOLDING TECHNOLOGIES INC CMT 0.04% 25.00K $575.2K
683 VELOCITY FINANCIAL INC VEL 0.04% 38.54K $574.7K
684 CF BANKSHARES INC CFBK 0.04% 16.60K $573.6K
685 TRISALUS LF SC CM A TLSI 0.04% 138.87K $573.5K
686 CITIZENS COMMUNITY BANCORP INC CZWI 0.04% 26.62K $570.0K
687 STONERIDGE INC SRI 0.04% 87.69K $569.1K
688 PROKIDNEY CORP CLASS A PROK 0.04% 341.51K $566.9K
689 COSTAMARE BULKERS HOLDINGS LTD CMDB 0.04% 26.58K $566.7K
690 CB FINANCIAL SERVICES INC CBFV 0.04% 15.06K $565.6K
691 CENTURY THERAPEUTICS IPSC 0.04% 386.08K $563.7K
692 DHI GROUP INC DHX 0.04% 113.36K $563.4K
693 RCI HOSPITALITY HOLDINGS INC RICK 0.04% 21.12K $563.4K
694 LARIMAR THERAPEUTICS LRMR 0.04% 208.46K $562.8K
695 TPG MORTGAGE INVESTMENT TRUST INC MITT 0.04% 98.64K $561.3K
696 ASURE SOFTWARE INC ASUR 0.04% 75.97K $558.4K
697 XPONENTIAL FITNESS CLASS A XPOF 0.04% 111.68K $553.9K
698 GCT SEMICONDUCTOR HOLDING INC GCTS 0.04% 262.43K $551.1K
699 OHIO VALLEY BANC CORP OVBC 0.04% 12.08K $551.0K
700 AMERICAN WELL CLASS A AMWL 0.04% 43.94K $550.6K
701 SB FINANCIAL GROUP INC SBFG 0.04% 18.68K $550.2K
702 GALECTIN THERAPEUTICS INC GALT 0.04% 150.29K $547.1K
703 SANARA MEDTECH SMTI 0.04% 15.59K $546.3K
704 GSI TECHNOLOGY INC GSIT 0.04% 110.38K $543.6K
705 ADC THERAPEUTICS LTD ADCT 0.04% 341.42K $542.9K
706 GBANK FINL HLDGS INC GBFH 0.04% 30.81K $542.2K
707 SEAPORT ENTERTAINMENT GROUP INC SEG 0.04% 24.21K $541.4K
708 FRANKLIN COVEY FC 0.04% 29.48K $538.0K
709 LANDMARK BANCORP INC LARK 0.04% 17.00K $535.4K
710 J JILL INC JILL 0.04% 21.73K $531.8K
711 GOPRO INC CLASS A GPRO 0.04% 450.49K $531.6K
712 EAGLE BANCORP MONTANA INC EBMT 0.04% 25.30K $527.7K
713 COMSTOCK INC LODE 0.04% 238.29K $526.6K
714 INTEST CORP INTT 0.04% 36.47K $524.8K
715 EW SCRIPPS CLASS A SSP 0.04% 180.48K $521.6K
716 VUZIX CORP VUZI 0.04% 204.02K $518.2K
717 ENTRADA THERAPEUTICS TRDA 0.04% 93.47K $516.9K
718 AMPLIFY ENERGY AMPY 0.04% 112.60K $515.7K
719 USANA HEALTH SCIENCES INC USNA 0.04% 35.10K $514.6K
720 BASSETT FURNITURE INDUSTRIES INC BSET 0.04% 23.61K $513.0K
721 SEVEN HILLS REALTY TRUST SEVN 0.04% 74.09K $512.7K
722 CITIZENS INC CLASS A CIA 0.04% 144.14K $508.8K
723 RIBBON COMMUNICATIONS RBBN 0.04% 295.40K $508.1K
724 ONE STOP SYSTEMS INC OSS 0.04% 66.38K $507.8K
725 SIDUS SPACE INC CLASS A SIDU 0.04% 321.05K $507.3K
726 SAB BIOTHERAPEUTICS SABS 0.04% 175.39K $506.9K
727 SITE CENTERS SITC 0.04% 158.69K $503.1K
728 SECURITY NATIONAL FINANCIAL CORP C SNFCA 0.04% 54.71K $502.2K
729 ESCALADE INC ESCA 0.04% 26.61K $499.8K
730 SMART SAND INC SND 0.04% 94.12K $498.8K
731 TURN THERAPEUTICS INC TTRX 0.04% 43.76K $498.5K
732 ATOMERA INC ATOM 0.04% 120.51K $497.7K
733 ECB BANCORP INC ECBK 0.04% 23.63K $492.0K
734 MAINSTREET BANCSHARES MNSB 0.04% 19.68K $490.4K
735 ENERGY SERVICES OF AMERICA CORP ESOA 0.04% 46.84K $489.9K
736 ACACIA RESEARCH ACTG 0.04% 111.11K $487.8K
737 PRECISION BIOSCIENCES INC DTIL 0.04% 75.11K $483.0K
738 NIAGEN BIOSCIENCE INC NAGE 0.04% 181.46K $482.7K
739 INVIVYD IVVD 0.04% 686.42K $480.8K
740 EXPENSIFY CLASS A EXFY 0.04% 208.97K $480.6K
741 NEIGHBORHOOD INTELLIGENCE NXH 0.04% 277.42K $475.8K
742 JELD WEN HOLDING INC JELD 0.04% 273.20K $475.4K
743 UNISYS UIS 0.04% 204.72K $472.9K
744 WHITEHAWK THERAPEUTICS WHWK 0.04% 135.77K $471.1K
745 FINWARD BANCORP FNWD 0.04% 11.31K $470.8K
746 INOGEN INGN 0.04% 79.07K $469.7K
747 BRC GROUP HOLDINGS INC RILY 0.04% 90.90K $469.0K
748 NACCO INDUSTRIES INC CLASS A NC 0.04% 12.82K $468.2K
749 ANGEL OAK MORTGAGE REIT AOMR 0.04% 64.33K $467.7K
750 VELO3D INC VELO 0.04% 51.93K $466.3K
751 NATIONAL CINEMEDIA INC NCMI 0.04% 210.90K $466.1K
752 NET LEASE OFFICE PROPERTIES NLOP 0.04% 47.55K $460.8K
753 BV FINANCIAL INC BVFL 0.03% 21.33K $460.0K
754 AMERICAN RESOURCES CORP CLASS A AREC 0.03% 278.79K $460.0K
755 ORAMED PHARMACEUTICALS INC ORMP 0.03% 108.98K $457.7K
756 BIODESIX INC BDSX 0.03% 17.74K $454.7K
757 EASTERN EML 0.03% 18.04K $453.5K
758 WW INTERNATIONAL INC WW 0.03% 30.31K $453.4K
759 AMPCO PITTSBURGH CORP AP 0.03% 50.59K $452.8K
760 BALLY S BALY 0.03% 32.38K $452.4K
761 WESTWOOD HOLDINGS GROUP INC WHG 0.03% 23.46K $450.5K
762 SUPERIOR GROUP OF COMPANIES INC SGC 0.03% 34.25K $449.3K
763 KLX ENERGY SERVICES HOLDINGS INC KLXE 0.03% 353.42K $445.3K
764 ANAVEX LIFE SCIENCES CORP AVXL 0.03% 289.07K $445.2K
765 GRAFTECH INTERNATIONAL LTD EAF 0.03% 50.18K $444.1K
766 PROTARA THERAPEUTICS INC TARA 0.03% 167.12K $442.9K
767 ESPEY MANUFACTURING AND ELECTRONIC ESP 0.03% 7.42K $442.0K
768 SIGA TECHNOLOGIES INC SIGA 0.03% 133.74K $438.7K
769 PRIMEENERGY RESOURCES CORP PNRG 0.03% 2.06K $436.3K
770 QUANTERIX QTRX 0.03% 135.85K $436.1K
771 OPTIMIZERX OPRX 0.03% 52.02K $435.9K
772 CASH COLLATERAL MSFUT USD — 0.03% 435.71K $435.7K
773 CODEXIS CDXS 0.03% 319.11K $434.0K
774 FORRESTER RESEARCH INC FORR 0.03% 37.23K $433.8K
775 HOOKER FURNISHINGS CORP HOFT 0.03% 34.23K $433.3K
776 JAMES RIVER GROUP HOLDINGS INC JRVR 0.03% 119.55K $432.8K
777 BRT APARTMENTS CORP BRT 0.03% 31.76K $429.7K
778 AIRO GROUP HOLDINGS INC AIRO 0.03% 69.73K $428.8K
779 CANTON STRATEGIC HOLDINGS INC CNTN 0.03% 205.56K $427.6K
780 MOTORCAR PARTS OF AMERICA INC MPAA 0.03% 40.30K $425.2K
781 ALTI GLOBAL INC CLASS A ALTI 0.03% 156.68K $421.5K
782 CHAIN BRIDGE BANCORP INC CLASS A CBNA 0.03% 8.49K $421.4K
783 FUTUREFUEL CORP FF 0.03% 80.94K $419.3K
784 HOYNE BANCORP INC HYNE 0.03% 24.54K $413.0K
785 PRO DEX INC PDEX 0.03% 6.63K $412.8K
786 COHERUS ONCOLOGY INC CHRS 0.03% 385.33K $412.3K
787 ARTIVA BIOTHERAPEUTICS INC ARTV 0.03% 60.38K $410.6K
788 KORU MEDICAL SYSTEMS INC KRMD 0.03% 136.73K $410.2K
789 BCB BANCORP INC BCBP 0.03% 49.16K $408.5K
790 LIFEZONE METALS LTD LZM 0.03% 122.55K $408.1K
791 TON STRATEGY TONX 0.03% 125.53K $406.7K
792 COMPASS THERAPEUTICS CMPX 0.03% 410.71K $403.9K
793 SR BANCORP INC SRBK 0.03% 21.59K $402.9K
794 MEDIWOUND LTD MDWD 0.03% 32.37K $402.0K
795 HUCKLEBERRY AI INC CLASS B HUCK 0.03% 129.28K $399.5K
796 CREXENDO INC CXDO 0.03% 67.11K $397.3K
797 UNIVERSAL LOGISTICS HOLDINGS INC ULH 0.03% 22.79K $395.7K
798 MEDIFAST INC MED 0.03% 34.58K $395.3K
799 CS DISCO LAW 0.03% 90.49K $394.5K
800 AN2 THERAPEUTICS INC ANTX 0.03% 84.27K $394.4K
801 NEOVOLTA INC NEOV 0.03% 151.63K $394.2K
802 ALTA EQUIPMENT GROUP INC CLASS A ALTG 0.03% 62.34K $394.0K
803 ZENTALIS PHARMACEUTICALS ZNTL 0.03% 156.64K $393.2K
804 LAKE SHORE BANCORP INC LSBK 0.03% 21.78K $392.9K
805 VOYAGER THERAPEUTICS VYGR 0.03% 164.59K $390.1K
806 EPSILON ENERGY LTD EPSN 0.03% 64.20K $389.7K
807 ATRIUM THERAPEUTICS INC RNA 0.03% 46.87K $387.2K
808 NEXPOINT REAL ESTATE FINANCE NREF 0.03% 24.81K $386.5K
809 RHINEBECK BANCORP INC RBKB 0.03% 29.72K $384.8K
810 AIRJOULE TECHNOLOGIES CLASS A AIRJ 0.03% 103.93K $383.5K
811 HURCO COMPANIES INC HURC 0.03% 18.19K $383.1K
812 CURIOSITYSTREAM INC CLASS A CURI 0.03% 130.08K $382.4K
813 AXE COMPUTE INC AGPU 0.03% 33.43K $381.5K
814 EVOLUTION PETROLEUM CORP EPM 0.03% 104.45K $380.2K
815 KALTURA INC KLTR 0.03% 290.76K $379.4K
816 RIVERVIEW BANCORP INC RVSB 0.03% 63.43K $379.3K
817 CARLSMED CARL 0.03% 26.86K $377.3K
818 TONIX PHARMACEUTICALS HOLDING TNXP 0.03% 51.29K $373.4K
819 GREENWICH LIFESCIENCES INC GLSI 0.03% 24.61K $372.5K
820 CLAROS MORTGAGE TRUST INC CMTG 0.03% 298.94K $370.7K
821 KORRO BIO KRRO 0.03% 35.01K $370.4K
822 MAPLIGHT THERAPEUTICS MPLT 0.03% 40.47K $370.3K
823 MINERVA NEUROSCIENCES INC NERV 0.03% 114.63K $369.1K
824 ORION PROPERTIES ONL 0.03% 167.13K $367.7K
825 CAMP4 THERAPEUTICS CORP CAMP 0.03% 99.05K $366.5K
826 DOUGLAS ELLIMAN INC DOUG 0.03% 234.07K $365.2K
827 RED ROBIN GOURMET BURGERS INC RRGB 0.03% 43.06K $363.4K
828 ONEWATER MARINE CLASS A INC ONEW 0.03% 37.73K $362.9K
829 DEFI DEVELOPMENT CORP DFDV 0.03% 79.20K $362.7K
830 ALX ONCOLOGY HOLDINGS INC ALXO 0.03% 306.88K $362.1K
831 LIFETIME BRANDS INC LCUT 0.03% 38.87K $361.5K
832 DMC GLOBAL INC BOOM 0.03% 62.22K $359.6K
833 EXAGEN XGN 0.03% 44.01K $359.5K
834 BANK OF THE JAMES FINANCIAL GROUP BOTJ 0.03% 13.22K $359.1K
835 AEMETIS INC AMTX 0.03% 206.57K $357.4K
836 GLOBAL WATER RESOURCES INC GWRS 0.03% 43.56K $355.4K
837 SPRUCE BIOSCIENCES SPRB 0.03% 7.80K $355.2K
838 HANOVER BANCORP INC HNVR 0.03% 14.18K $352.7K
839 ASCENT INDUSTRIES ACNT 0.03% 25.59K $350.3K
840 NINE ENERGY SERVICE INC NINE 0.03% 44.44K $347.5K
841 SOLANA COMPANY CLASS A HSDT 0.03% 145.68K $346.7K
842 KULR TECHNOLOGY GROUP INC KULR 0.03% 140.65K $346.0K
843 PRELUDE THERAPEUTICS PRLD 0.03% 88.18K $342.2K
844 SIFCO INDUSTRIES INC SIF 0.03% 15.19K $342.1K
845 NAUTILUS BIOTECHNOLGY NAUT 0.03% 187.93K $342.0K
846 MAGYAR BANCORP INC MGYR 0.03% 18.14K $340.9K
847 LIFEMD INC LFMD 0.03% 127.94K $339.0K
848 SKYX PLATFORMS CORP SKYX 0.03% 303.41K $336.8K
849 FINWISE BANCORP FINW 0.03% 31.02K $335.6K
850 STRAWBERRY FIELDS REIT INC STRW 0.03% 25.82K $330.4K
851 EVI INDUSTRIES INC EVI 0.02% 17.16K $327.1K
852 LAND END LE 0.02% 31.48K $327.1K
853 GENELUX GNLX 0.02% 130.78K $327.0K
854 IMMUNIC IMUX 0.02% 43.17K $326.3K
855 SBC MEDICAL GROUP HOLDINGS INC SBC 0.02% 61.06K $326.1K
856 BIGLARI HOLDINGS INC CLASS A BH-A 0.02% 179 $323.6K
857 VERA BRADLEY INC VRA 0.02% 63.38K $322.0K
858 HIREQUEST INC HQI 0.02% 17.69K $321.6K
859 SILVACO GROUP INC SVCO 0.02% 40.18K $321.1K
860 CLARUS CORP CLAR 0.02% 93.64K $320.2K
861 NI HOLDINGS INC NODK 0.02% 21.45K $319.3K
862 PEPGEN PEPG 0.02% 133.37K $317.4K
863 HEALTH CATALYST HCAT 0.02% 181.31K $317.3K
864 NKARTA NKTX 0.02% 142.40K $316.1K
865 UNICYCIVE THERAPEUTICS INC UNCY 0.02% 77.66K $316.1K
866 SOUND FINANCIAL BANCORP INC SFBC 0.02% 7.22K $316.1K
867 LUCID DIAGNOSTICS INC LUCD 0.02% 485.78K $315.8K
868 ACUMEN PHARMACEUTICALS INC ABOS 0.02% 150.28K $315.6K
869 ATIF HOLDINGS LTD AUC 0.02% 34.17K $312.7K
870 STAR HOLDINGS SHARES OF BENEFICIAL STHO 0.02% 36.86K $312.2K
871 COYA THERAPEUTICS INC COYA 0.02% 62.44K $311.6K
872 LEGACY EDUCATION INC LGCY 0.02% 30.80K $311.1K
873 EVOMMUNE EVMN 0.02% 48.25K $309.3K
874 NRX PHARMACEUTICALS INC NRXP 0.02% 106.80K $308.6K
875 MAMMOTH ENERGY SERVICES INC TUSK 0.02% 111.52K $307.8K
876 PROVIDENT FINANCIAL HOLDINGS INC PROV 0.02% 16.59K $306.7K
877 REPOSITRAK INC TRAK 0.02% 39.24K $306.5K
878 PYXIS ONCOLOGY INC PYXS 0.02% 153.76K $306.0K
879 OMEGA FLEX INC OFLX 0.02% 11.61K $304.8K
880 BETTER HOME FINANCE HOLDING CLASS BETR 0.02% 29.88K $303.3K
881 RESOURCES CONNECTION RGP 0.02% 101.35K $303.0K
882 MAUI LAND AND PINEAPPLE INC MLP 0.02% 19.97K $303.0K
883 ALPHA TEKNOVA TKNO 0.02% 35.75K $301.7K
884 OPTIMUMBANK HOLDINGS INC OPHC 0.02% 33.45K $301.7K
885 CHERRY HILL MORTGAGE INVESTMENT RE CHMI 0.02% 115.40K $301.2K
886 CONSUMER PORTFOLIO SERVICES INC CPSS 0.02% 31.93K $300.8K
887 BIOMEA FUSION BMEA 0.02% 218.85K $299.8K
888 SUJA LIFE INC CLASS A SUJA 0.02% 28.42K $299.3K
889 ORION ENERGY SYSTEMS INC OESX 0.02% 11.15K $298.9K
890 MICROVAST HOLDINGS MVST 0.02% 510.63K $298.2K
891 ANIXA BIOSCIENCES INC ANIX 0.02% 101.84K $296.3K
892 CIBUS INC CLASS A CBUS 0.02% 184.54K $293.4K
893 INOVIO PHARMACEUTICALS INC INO 0.02% 265.39K $289.3K
894 SOLUNA HOLDINGS INC SLNH 0.02% 303.95K $288.6K
895 SEER CLASS A SEER 0.02% 132.84K $288.3K
896 LAKELAND INDUSTRIES INC LAKE 0.02% 28.30K $285.5K
897 INSPIRED ENTERTAINMENT INC INSE 0.02% 81.09K $285.5K
898 COMMERCIAL VEHICLE GROUP INC CVGI 0.02% 99.08K $285.4K
899 CARTESIAN THERAPEUTICS RNAC 0.02% 41.80K $285.1K
900 FIFTH DISTRICT BANCORP INC FDSB 0.02% 16.05K $284.3K
901 CORBUS PHARMACEUTICALS HOLDINGS CRBP 0.02% 53.93K $284.2K
902 EGAIN CORP EGAN 0.02% 53.45K $283.8K
903 SUI GROUP HOLDINGS LTD SUIG 0.02% 206.20K $280.4K
904 BRAEMAR HOTELS RESORTS INC BHR 0.02% 187.64K $279.6K
905 ORGANOGENESIS HOLDINGS CLASS A ORGO 0.02% 217.02K $277.8K
906 UNIFI INC UFI 0.02% 44.32K $273.9K
907 BLACK DIAMOND THERAPEUTICS INC BDTX 0.02% 151.09K $273.5K
908 BRC INC CLASS A BRCC 0.02% 28.59K $273.3K
909 BYRNA TECHNOLOGIES INC BYRN 0.02% 57.71K $272.9K
910 GROWGENERATION CORP GRWG 0.02% 180.43K $272.5K
911 PROFICIENT AUTO LOGISTICS INC PAL 0.02% 76.96K $270.1K
912 APYX MEDICAL INC APYX 0.02% 114.14K $269.4K
913 UNION BANKSHARES INC UNB 0.02% 11.68K $268.7K
914 ENVELA CORP ELA 0.02% 22.11K $266.9K
915 OPTICAL CABLE CORP OCC 0.02% 16.96K $266.5K
916 1STDIBS COM INC DIBS 0.02% 67.28K $265.1K
917 SURF AIR MOBILITY SRFM 0.02% 284.39K $264.3K
918 JOURNEY MEDICAL CORP DERM 0.02% 44.26K $263.3K
919 DIGIMARC DMRC 0.02% 42.02K $262.6K
920 KVH INDUSTRIES INC KVHI 0.02% 39.60K $261.8K
921 TUHURA BIOSCIENCES INC HURA 0.02% 135.31K $261.1K
922 ZEVIA CLASS A ZVIA 0.02% 218.19K $259.6K
923 MOBIA MEDICAL INC MOBI 0.02% 30.29K $259.3K
924 TORRID HOLDINGS INC CURV 0.02% 109.30K $257.9K
925 FIRST NORTHWEST BAN FNWB 0.02% 26.53K $257.6K
926 FREIGHTCAR AMERICA INC RAIL 0.02% 41.73K $257.5K
927 BROADWIND INC BWEN 0.02% 66.23K $255.7K
928 SYNTEC OPTICS HOLDINGS INC CLASS A OPTX 0.02% 30.91K $255.3K
929 AUBURN NATIONAL BANCORPORATION INC AUBN 0.02% 9.42K $254.1K
930 RITHM PROPERTY INC TRUST RPT 0.02% 23.38K $253.2K
931 CHEGG INC CHGG 0.02% 342.61K $252.0K
932 GREENLAND ENERGY COMPANY GLND 0.02% 96.13K $250.4K
933 CARDIFF ONCOLOGY CRDF 0.02% 233.81K $247.8K
934 FIRST CAROLINA FINANCIAL SERVICES FCBM 0.02% 19.32K $247.2K
935 RF INDUSTRIES LTD RFIL 0.02% 29.45K $246.8K
936 OWLET INC CLASS A OWLT 0.02% 52.95K $246.7K
937 Q32 BIO QTTB 0.02% 30.25K $244.7K
938 RIDENOW GROUP INC CLASS B RDNW 0.02% 50.81K $244.4K
939 FIRST US BANCSHARES INC FUSB 0.02% 14.78K $244.2K
940 SOUNDTHINKING INC SSTI 0.02% 29.48K $243.5K
941 PARK DENTAL PARTNERS INC PARK 0.02% 11.70K $241.1K
942 STEREOTAXIS INC STXS 0.02% 216.47K $240.3K
943 KEWAUNEE SCIENTIFIC CORP KEQU 0.02% 7.02K $237.5K
944 UNITED BANCORP INC UBCP 0.02% 16.33K $237.3K
945 VIRCO MANUFACTURING CORP VIRC 0.02% 36.50K $237.3K
946 PULMONX LUNG 0.02% 129.93K $235.2K
947 LYELL IMMUNOPHARMA LYEL 0.02% 26.69K $234.6K
948 MICROBOT MEDICAL INC MBOT 0.02% 218.77K $234.1K
949 PATRIOT NATIONAL BANCORP INC PNBK 0.02% 270.81K $234.0K
950 COGNITION THERAPEUTICS INC CGTX 0.02% 260.75K $233.4K
951 HYPERFINE CLASS A HYPR 0.02% 248.08K $233.2K
952 MEDICINOVA INC MNOV 0.02% 150.61K $231.9K
953 NOMAD POWER SOLUTIONS INC NMAD 0.02% 54.29K $231.8K
954 LENZ THERAPEUTICS LENZ 0.02% 65.31K $230.5K
955 TEAM INC TISI 0.02% 8.64K $229.3K
956 CARECLOUD INC CCLD 0.02% 117.83K $228.6K
957 FOGHORN THERAPEUTICS FHTX 0.02% 114.17K $227.2K
958 PMV PHARMACEUTICALS INC PMVP 0.02% 152.08K $226.6K
959 CENTRAL PLAINS BANCSHARES INC CPBI 0.02% 11.37K $225.3K
960 OUTSET MEDICAL OM 0.02% 54.92K $224.6K
961 LOANDEPOT CLASS A LDI 0.02% 362.66K $224.2K
962 5E ADVANCED MATERIALS FEAM 0.02% 66.99K $221.7K
963 ARQ ARQ 0.02% 105.32K $221.7K
964 PARAMOUNT GOLD NEVADA CORP PZG 0.02% 195.82K $221.3K
965 ZENATECH ZENA 0.02% 167.10K $220.6K
966 GAIN THERAPEUTICS INC GANX 0.02% 136.57K $220.6K
967 FORAFRIC GLOBAL PLC AFRI 0.02% 17.55K $219.4K
968 SKYAI INC SKYA 0.02% 129.25K $218.4K
969 SILVERCREST ASSET MANAGEMENT GROUP SAMG 0.02% 21.07K $214.7K
970 UPEXI INC UPXI 0.02% 197.41K $213.2K
971 TOWNSQUARE MEDIA INC CLASS A TSQ 0.02% 48.04K $212.8K
972 TENAX THERAPEUTICS INC TENX 0.02% 114.25K $212.5K
973 TUCOWS INC TCX 0.02% 21.96K $212.2K
974 COMSTOCK HOLDING COMPANIES INC CLA CHCI 0.02% 11.39K $211.2K
975 AIB DATA CENTERS INC AIB 0.02% 147.71K $211.2K
976 FIRST GUARANTY BANCSHARES INC FGBI 0.02% 24.88K $211.0K
977 EQUILLIUM INC EQ 0.02% 145.98K $210.2K
978 SERA PROGNOSTICS CLASS A SERA 0.02% 103.64K $209.4K
979 LIFEVANTAGE CORP LFVN 0.02% 34.73K $208.1K
980 TILLYS INC CLASS A TLYS 0.02% 46.72K $207.4K
981 NEURAXIS INC NRXS 0.02% 30.61K $207.2K
982 HF FOODS GROUP INC HFFG 0.02% 128.18K $206.4K
983 VTV THERAPEUTICS INC CLASS A VTVT 0.02% 6.85K $206.0K
984 REGIS CORP RGS 0.02% 6.90K $204.0K
985 AMPLITECH GROUP INC AMPG 0.02% 72.33K $204.0K
986 RALLYBIO CORP RLYB 0.02% 12.00K $203.9K
987 TRON INC TRON 0.02% 163.59K $202.9K
988 VINCE HOLDING CORP VNCE 0.02% 17.56K $202.7K
989 WIDEPOINT CORP WYY 0.02% 28.10K $201.5K
990 COMPX INTERNATIONAL INC CLASS A CIX 0.02% 5.09K $201.0K
991 LENSAR INC LNSR 0.02% 30.80K $198.7K
992 WRAP TECHNOLOGIES INC WRAP 0.02% 134.97K $198.4K
993 INSEEGO INSG 0.02% 44.44K $198.2K
994 1-800 FLOWERS.COM CLASS A FLWS 0.01% 72.10K $196.8K
995 MINDWALK HOLDINGS HYFT 0.01% 137.10K $196.1K
996 PLIANT THERAPEUTICS PLRX 0.01% 195.73K $195.7K
997 VENU HOLDING CORP VENU 0.01% 143.81K $195.6K
998 SMITH MIDLAND CORP SMID 0.01% 8.81K $195.5K
999 IMMUCELL CORP ICCC 0.01% 19.99K $194.9K
1000 MAIA BIOTECHNOLOGY INC MAIA 0.01% 169.45K $194.9K
1001 AMREP CORP AXR 0.01% 9.38K $194.3K
1002 ULTRALIFE CORP ULBI 0.01% 31.28K $194.3K
1003 FIRY INC CLASS A FIRY 0.01% 16.14K $194.0K
1004 PLAYBOY INC PLBY 0.01% 196.50K $193.9K
1005 NORTHERN TECHNOLOGIES INTERNATIONA NTIC 0.01% 25.27K $193.6K
1006 ENERGOUS CORP WATT 0.01% 17.09K $193.4K
1007 SUNRISE REALTY TRUST INC SUNS 0.01% 32.20K $192.9K
1008 CUE BIOPHARMA CUE 0.01% 8.64K $192.9K
1009 NEURONETICS INC STIM 0.01% 89.76K $192.1K
1010 CUMBERLAND PHARMACEUTICALS CPIX 0.01% 27.38K $191.1K
1011 ONKURE THERAPEUTICS INC CLASS A OKUR 0.01% 82.93K $190.7K
1012 EMPERY DIGITAL INC EMPD 0.01% 60.55K $190.7K
1013 PAMT CORP PAMT 0.01% 15.21K $190.7K
1014 STARFIGHTERS SPACE INC FJET 0.01% 113.48K $190.6K
1015 GENASYS INC GNSS 0.01% 135.54K $190.4K
1016 CATALYST BANCORP INC CLST 0.01% 11.37K $190.4K
1017 NLI HOLDINGS INC NL 0.01% 27.23K $189.8K
1018 AARDVARK THERAPEUTICS AARD 0.01% 40.07K $188.7K
1019 SUMMIT STATE BANK SSBI 0.01% 15.49K $188.6K
1020 GEOSPACE TECHNOLOGIES CORP GEOS 0.01% 40.69K $188.0K
1021 AMERISERV FINANCIAL INC ASRV 0.01% 42.18K $187.7K
1022 AIRSHIP AI HOLDINGS INC CLASS A AISP 0.01% 81.84K $187.4K
1023 NETSOL TECHNOLOGIES INC NTWK 0.01% 31.02K $187.4K
1024 JOINT CORP JYNT 0.01% 26.18K $186.4K
1025 CPS TECHNOLOGIES CORP CPSH 0.01% 51.56K $185.6K
1026 PATHFINDER BANCORP INC PBHC 0.01% 10.95K $184.6K
1027 UNIVERSAL ELECTRONICS INC UEIC 0.01% 33.60K $184.5K
1028 ELECTROCORE ECOR 0.01% 19.34K $183.9K
1029 PDS BIOTECHNOLOGY CORP PDSB 0.01% 179.92K $183.5K
1030 DLH HOLDINGS CORP DLHC 0.01% 43.13K $183.3K
1031 ACRES COMMERCIAL REALTY ACR 0.01% 17.82K $182.0K
1032 OS THERAPIES INC OSTX 0.01% 112.32K $182.0K
1033 AUDIOEYE INC AEYE 0.01% 26.58K $181.8K
1034 USIO USIO 0.01% 63.38K $180.0K
1035 RESEARCH SOLUTIONS INC RSSS 0.01% 87.88K $178.4K
1036 ALDEYRA THERAPEUTICS INC ALDX 0.01% 187.50K $177.7K
1037 CODA OCTOPUS GROUP INC CODA 0.01% 17.33K $177.6K
1038 CAESARSTONE LTD CSTE 0.01% 63.94K $177.1K
1039 OPTEX SYSTEMS HOLDINGS INC OPXS 0.01% 17.71K $177.1K
1040 HENNESSY ADVISORS INC HNNA 0.01% 17.33K $176.9K
1041 ROADZEN INC RDZN 0.01% 156.91K $175.7K
1042 FORTRESS BIOTECH INC FBIO 0.01% 83.50K $174.5K
1043 GLOBAL SELF STORAGE INC SELF 0.01% 35.48K $173.3K
1044 NOODLES CLASS A NDLS 0.01% 12.51K $172.8K
1045 SONO TEK CORP SOTK 0.01% 25.27K $172.3K
1046 DULUTH HOLDINGS INC CLASS B DLTH 0.01% 42.93K $172.2K
1047 ALPHA PRO TECH LTD APT 0.01% 28.01K $168.0K
1048 CSP INC CSPI 0.01% 22.53K $167.4K
1049 HERON THERAPEUTICS INC HRTX 0.01% 466.64K $167.2K
1050 TECHPRECISION CORP TPCS 0.01% 28.65K $166.8K
1051 ATARA BIOTHERAPEUTICS ATRA 0.01% 17.95K $165.7K
1052 FINANCE OF AMERICA COMPANIES INC C FOA 0.01% 12.65K $165.1K
1053 TRANSCONTINENTAL REALTY INVESTORS TCI 0.01% 3.58K $164.4K
1054 BROADWAY FINANCIAL CORP CLASS A BYFC 0.01% 14.10K $164.2K
1055 XBIOTECH INC XBIT 0.01% 74.45K $163.8K
1056 SPERO THERAPEUTICS SPRO 0.01% 143.24K $163.3K
1057 CPI AEROSTRUCTURES INC CVU 0.01% 32.01K $163.2K
1058 WINCHESTER BANCORP INC WSBK 0.01% 12.65K $163.0K
1059 SAFE PRO GROUP INC SPAI 0.01% 38.04K $162.2K
1060 NEUMORA THERAPEUTICS INC NMRA 0.01% 335.02K $160.7K
1061 THRYV HOLDINGS INC THRY 0.01% 108.06K $157.8K
1062 VERITONE INC VERI 0.01% 269.54K $157.7K
1063 LEE ENTERPRISES INC LEE 0.01% 20.88K $156.6K
1064 HOME FEDERAL BANCORP INC HFBL 0.01% 6.27K $156.2K
1065 VIVANI MEDICAL INC VANI 0.01% 126.67K $155.8K
1066 BTCS INC BTCS 0.01% 121.58K $155.6K
1067 IDEAL POWER INC IPWR 0.01% 42.09K $155.3K
1068 RAFAEL HOLDINGS INC CLASS B RFL 0.01% 104.51K $154.7K
1069 DATACENTREX INC DTCX 0.01% 87.05K $154.1K
1070 INVE TECHNOLOGIES INC INVE 0.01% 63.88K $151.4K
1071 BGSF BGSF 0.01% 31.70K $151.2K
1072 AEYE INC CLASS A LIDR 0.01% 144.40K $150.9K
1073 AGEAGLE AERIAL SYS INC UAVS 0.01% 180.71K $150.1K
1074 AMER VANGUARD AVD 0.01% 87.33K $149.3K
1075 INTELLICHECK INC IDN 0.01% 64.69K $148.1K
1076 LGL GROUP LGL 0.01% 21.55K $145.4K
1077 ARMATA PHARMACEUTICALS ARMP 0.01% 37.66K $145.3K
1078 BAYFIRST FINL CORP BAFN 0.01% 21.62K $145.3K
1079 BRANCHOUT FOOD INC BOF 0.01% 40.97K $145.0K
1080 TECOGEN INC TGEN 0.01% 58.71K $145.0K
1081 SANUWAVE HEALTH INC SNWV 0.01% 24.63K $144.0K
1082 BOUNDLESS BIO BOLD 0.01% 55.76K $143.8K
1083 TELOMIR PHARMACEUTICALS INC TELO 0.01% 124.72K $143.4K
1084 VIRNETX HOLDING CORP VHC 0.01% 11.63K $143.1K
1085 SPECTRAL AI INC CLASS A MDAI 0.01% 87.13K $142.9K
1086 CINGULATE INC CING 0.01% 29.16K $142.3K
1087 BIG SKY INDUSTRIAL INC BSIN 0.01% 98.10K $142.2K
1088 MARKETWISE INC CLASS A MKTW 0.01% 7.19K $142.0K
1089 HYPERION DEFI INC HYPD 0.01% 42.17K $141.9K
1090 INMUNE BIO INC INMB 0.01% 77.29K $141.4K
1091 INHIBRX INC CVR — 0.01% 73.45K $141.0K
1092 CLIPPER REALTY CLPR 0.01% 44.19K $140.1K
1093 CARIBOU BIOSCIENCES CRBU 0.01% 287.90K $138.5K
1094 IBIO INC IBIO 0.01% 149.76K $137.8K
1095 FORUM MARKETS INC FRMM 0.01% 30.62K $137.5K
1096 FLEXIBLE SOLUTIONS INTERNATIONAL I FSI 0.01% 22.39K $135.5K
1097 SPORTSMANS WAREHOUSE HOLDINGS INC SPWH 0.01% 119.58K $135.1K
1098 FULL HOUSE RESORTS INC FLL 0.01% 110.54K $134.9K
1099 INSIGHT MOLECULAR DIAGNOSTICS INC IMDX 0.01% 40.98K $134.4K
1100 PHUNWARE INC PHUN 0.01% 65.12K $134.1K
1101 MIND TECHNOLOGY INC MIND 0.01% 28.93K $133.4K
1102 SILVER BOW MINING CORP SBMT 0.01% 16.99K $133.0K
1103 CHAMPIONS ONCOLOGY INC CSBR 0.01% 26.96K $132.9K
1104 VERRICA PHARMACEUTICALS INC VRCA 0.01% 31.36K $131.1K
1105 CULP INC CULP 0.01% 36.06K $130.9K
1106 SENSUS HEALTHCARE INC SRTS 0.01% 43.92K $130.4K
1107 ADICET BIO ACET 0.01% 22.68K $130.2K
1108 FLUENT INC FLNT 0.01% 45.79K $129.1K
1109 SWARMER INC SWMR 0.01% 9.80K $128.7K
1110 NANO X IMAGING LTD NNOX 0.01% 226.65K $128.4K
1111 AIRGAIN INC AIRG 0.01% 32.18K $128.1K
1112 CANTERBURY PARK HOLDING CORP CPHC 0.01% 8.10K $128.0K
1113 EMPIRE PETROLEUM CORP EP 0.01% 43.22K $127.9K
1114 LITE STRATEGY INC LITS 0.01% 104.76K $127.8K
1115 INNOVATE CORP VATE 0.01% 17.75K $127.8K
1116 AIR T INC AIRT 0.01% 4.18K $127.4K
1117 CINEVERSE CORP CLASS A CNVS 0.01% 65.75K $126.9K
1118 FILANA THERAPEUTICS FLNA 0.01% 155.94K $126.9K
1119 SACHEM CAPITAL CORP SACH 0.01% 147.12K $126.9K
1120 BARK INC CLASS A BARK 0.01% 15.44K $126.8K
1121 FUEL TECH INC FTEK 0.01% 76.54K $126.7K
1122 HERITAGE GLOBAL INC HGBL 0.01% 98.93K $126.6K
1123 SAGA COMMUNICATIONS INC CLASS A SGA 0.01% 15.05K $126.4K
1124 PRECISION OPTICS INC POCI 0.01% 27.09K $126.4K
1125 BOGOTA FINANCIAL CORP BSBK 0.01% 13.93K $126.4K
1126 TOYO LTD TOYO 0.01% 28.98K $126.3K
1127 JERASH HOLDINGS US INC JRSH 0.01% 20.93K $126.0K
1128 MARATHON BANCORP INC MBBC 0.01% 8.38K $124.9K
1129 DRILLING TOOLS INTERNATIONAL CORP DTI 0.01% 61.39K $123.4K
1130 CLENE INC CLNN 0.01% 31.80K $123.4K
1131 TRANSACT TECHNOLOGIES INC TACT 0.01% 26.84K $123.2K
1132 TEXAS COMMUNITY BANCSHARES INC TCBS 0.01% 6.98K $118.7K
1133 PRECIPIO INC PRPO 0.01% 5.11K $118.5K
1134 TRAEGER COOK 0.01% 2.30K $118.3K
1135 LEONABIO INC LONA 0.01% 20.41K $117.4K
1136 CATO CORP CLASS A CATO 0.01% 49.13K $116.9K
1137 VALHI INC VHI 0.01% 7.83K $116.7K
1138 ACRIVON THERAPEUTICS ACRV 0.01% 62.05K $116.0K
1139 ANNOVIS BIO INC ANVS 0.01% 97.89K $114.5K
1140 OPAL FUELS CLASS A OPAL 0.01% 68.08K $114.4K
1141 VALUE LINE INC VALU 0.01% 2.63K $114.3K
1142 VERU VERU 0.01% 46.97K $113.7K
1143 ODYSSEY MARINE EXPLORATION INC OMEX 0.01% 171.64K $112.6K
1144 SOW GOOD INC SOWG 0.01% 51.14K $112.5K
1145 DEFINITIVE HEALTHCARE CORP CLASS A DH 0.01% 115.89K $112.0K
1146 TRAVELZOO TZOO 0.01% 20.79K $111.4K
1147 STEM STEM 0.01% 26.52K $111.4K
1148 WHERE FOOD COMES FROM INC WFCF 0.01% 7.92K $110.9K
1149 POWERUS PUSA 0.01% 43.44K $110.8K
1150 GRANITE POINT MORTGAGE TRUST GPMT 0.01% 15.39K $110.5K
1151 RARE EARTHS AMERICAS INC REA 0.01% 11.62K $109.5K
1152 ACTINIUM PHARMACEUTICALS INC ATNM 0.01% 101.11K $109.2K
1153 GRABAGUN DIGITAL HOLDINGS INC PEW 0.01% 57.68K $108.4K
1154 MOBILE INFRASTRUCTURE CORP BEEP 0.01% 39.00K $108.4K
1155 RAMACO RESOURCES CLASS B METCB 0.01% 23.56K $108.4K
1156 IMAGENEBIO INC IMA 0.01% 25.30K $107.8K
1157 FITLIFE BRANDS INC FTLF 0.01% 12.35K $107.4K
1158 BLAIZE HOLDINGS INC BZAI 0.01% 373.75K $107.2K
1159 ACCENDRA HEALTH ACH 0.01% 239.76K $106.3K
1160 XILIO THERAPEUTICS INC XLO 0.01% 11.76K $106.0K
1161 MANHATTAN BRIDGE CAPITAL INC LOAN 0.01% 29.86K $105.4K
1162 SIEBERT FINANCIAL CORP SIEB 0.01% 47.40K $105.2K
1163 FATPIPE INC FATN 0.01% 20.48K $104.6K
1164 PIXELWORKS PXLW 0.01% 17.30K $104.5K
1165 DARIOHEALTH CORP DRIO 0.01% 19.02K $103.3K
1166 RAVE RESTAURANT GROUP INC RAVE 0.01% 45.88K $102.8K
1167 MOUNT LOGAN CAPITAL INC MLCI 0.01% 33.58K $102.4K
1168 RAPID MICRO BIOSYSTEMS CLASS A RPID 0.01% 118.37K $102.0K
1169 GRANDSTAND GRSD 0.01% 67.00K $101.8K
1170 COMTECH TELECOMMUNICATIONS CORP CMTL 0.01% 86.06K $101.6K
1171 ONE GROUP HOSPITALITY INC STKS 0.01% 66.48K $101.0K
1172 XTI AEROSPACE INC XTIA 0.01% 125.49K $101.0K
1173 IZEA WORLDWIDE INC IZEA 0.01% 42.89K $100.6K
1174 CERVOMED INC CRVO 0.01% 30.59K $100.3K
1175 TIGO ENERGY TYGO 0.01% 110.33K $98.6K
1176 BIOTE CORP CLASS A BTMD 0.01% 84.14K $98.4K
1177 ZEDGE INC CLASS B ZDGE 0.01% 33.52K $98.2K
1178 SHIMMICK CORP SHIM 0.01% 31.62K $97.4K
1179 PELTHOS THERAPEUTICS INC PTHS 0.01% 4.73K $96.9K
1180 FG COMMUNITIES HOLDINGS INC FGC 0.01% 14.69K $95.8K
1181 374WATER INC SCWO 0.01% 35.77K $94.8K
1182 TTEC HOLDINGS INC TTEC 0.01% 64.74K $94.5K
1183 SUNPOWER INC SPWR 0.01% 335.22K $94.3K
1184 MARCHEX INC CLASS B MCHX 0.01% 69.21K $94.1K
1185 XTEND AI ROBOTICS INC XTND 0.01% 36.87K $93.6K
1186 VIRTRA INC VTSI 0.01% 35.40K $93.5K
1187 FREECAST INC CLASS A CAST 0.01% 79.08K $92.5K
1188 ELUTIA INC CLASS A ELUT 0.01% 110.95K $91.8K
1189 ACORN ENERGY INC ACFN 0.01% 4.81K $91.5K
1190 BIRCHTECH CORP BCHTD 0.01% 63.35K $91.2K
1191 ELICIO THERAPEUTICS INC ELTX 0.01% 50.14K $90.7K
1192 CREATIVE REALITIES INC CREX 0.01% 38.23K $90.6K
1193 ISPIRE TECHNOLOGY INC ISPR 0.01% 61.96K $90.5K
1194 QT IMAGING HOLDINGS INC QTI 0.01% 34.61K $90.0K
1195 METAGENOMI THERAPEUTICS INC MGX 0.01% 90.45K $89.8K
1196 BRAND ENGAGEMENT NETWORK INC BNAI 0.01% 16.88K $89.3K
1197 XBP GLOBAL HOLDINGS INC XBP 0.01% 28.23K $88.9K
1198 CONTEXT THERAPEUTICS INC CNTX 0.01% 296.65K $88.7K
1199 TAO SYNERGIES INC TAOX 0.01% 23.24K $88.5K
1200 PRAIRIE OPERATING PROP 0.01% 216.67K $88.2K
1201 LIVEONE INC LVO 0.01% 32.23K $88.0K
1202 SKILLSOFT CORP CLASS A SKIL 0.01% 14.22K $87.3K
1203 PIONEER POWER SOLUTIONS INC PPSI 0.01% 27.82K $85.7K
1204 LAIRD SUPERFOOD INC LSF 0.01% 27.57K $84.9K
1205 NEONC TECHNOLOGIES HOLDINGS INC NTHI 0.01% 33.54K $84.9K
1206 ODYSIGHT AI INC ODYS 0.01% 32.78K $84.3K
1207 SPRUCE POWER HOLDING CORP SPRU 0.01% 53.61K $83.6K
1208 LANZATECH GLOBAL INC LNZA 0.01% 13.77K $83.2K
1209 ALIGOS THERAPEUTICS ALGS 0.01% 15.56K $82.6K
1210 CVRX INC CVRX 0.01% 48.88K $82.1K
1211 GRACE THERAPEUTICS INC GRCE 0.01% 39.77K $81.1K
1212 VIRTUIX HOLDINGS INC CLASS A VTIX 0.01% 74.79K $80.8K
1213 ATOSSA THERAPEUTICS INC ATOS 0.01% 33.23K $80.4K
1214 INSTIL BIO TIL 0.01% 12.17K $79.8K
1215 FREIGHTOS LTD CRGO 0.01% 96.16K $79.8K
1216 BUDA JUICE INC BUDA 0.01% 10.60K $79.4K
1217 EVA LIVE INC GOAI 0.01% 45.63K $78.9K
1218 MASTECH DIGITAL INC MHH 0.01% 11.61K $77.3K
1219 MDXHEALTH SA MDXH 0.01% 132.88K $77.1K
1220 NEXTCURE INC NXTC 0.01% 11.34K $76.9K
1221 KESTREL GROUP LTD KG 0.01% 15.09K $76.4K
1222 GAIA INC CLASS A GAIA 0.01% 53.86K $75.4K
1223 ASCENT SOLAR TECHNOLOGIES INC ASTI 0.01% 33.66K $75.4K
1224 KEY TRONIC CORP KTCC 0.01% 34.51K $74.9K
1225 UNITED GUARDIAN INC UG 0.01% 10.58K $74.7K
1226 MERIDIAN HOLDINGS INC MRDN 0.01% 6.88K $74.6K
1227 HIGH ROLLER TECHNOLOGIES INC ROLR 0.01% 16.68K $74.2K
1228 LUMENT FINANCE TRUST INC LFT 0.01% 15.57K $74.0K
1229 SYPRIS SOLUTIONS INC SYPR 0.01% 39.53K $73.9K
1230 BLUEROCK HOMES TRUST INC CLASS A BHM 0.01% 9.22K $73.8K
1231 GREAT ELM GROUP INC GEG 0.01% 33.94K $73.0K
1232 FLYEXCLUSIVE INC CLASS A FLYX 0.01% 55.39K $72.6K
1233 HEARTBEAM BEAT 0.01% 147.41K $72.0K
1234 KALARIS THERAPEUTICS INC KLRS 0.01% 28.80K $72.0K
1235 GROVE COLLABORATIVE HOLDINGS INC C GROV 0.01% 69.41K $71.5K
1236 MARYGOLD COMPANIES INC MGLD 0.01% 35.55K $71.1K
1237 SCILEX HOLDING SCLX 0.01% 23.93K $70.8K
1238 BRIDGER AEROSPACE GROUP INC BAER 0.01% 115.12K $70.7K
1239 MINK THERAPEUTICS INC INKT 0.01% 6.38K $70.6K
1240 AXIL BRANDS INC AXIL 0.01% 12.28K $70.3K
1241 RYTHM INC RYM 0.01% 3.67K $70.2K
1242 STAR EQUITY HOLDINGS INC STRR 0.01% 7.14K $70.1K
1243 NETWORK TECHNOLOGIES INC NTIP 0.01% 44.17K $68.9K
1244 NUTRIBAND INC NTRB 0.01% 11.38K $68.9K
1245 BEAM GLOBAL BEEM 0.01% 63.10K $68.8K
1246 FTC SOLAR INC FTCI 0.01% 35.23K $68.0K
1247 FRANKLIN WIRELESS CORP FKWL 0.01% 30.74K $67.9K
1248 MIRA PHARMACEUTICALS INC MIRA 0.01% 96.44K $67.8K
1249 CENTURY CASINOS INC CNTY 0.01% 79.18K $67.8K
1250 KOSS CORP KOSS 0.01% 18.20K $67.2K
1251 EHEALTH INC EHTH 0.01% 94.19K $66.8K
1252 CVD EQUIPMENT CORP CVV 0.00% 15.57K $65.2K
1253 INTERGROUP CORP INTG 0.00% 1.97K $63.6K
1254 REIN THERAPEUTICS INC RNTX 0.00% 82.48K $63.5K
1255 SERES THERAPEUTICS MCRB 0.00% 24.05K $63.3K
1256 WHEELS UP EXPERIENCE CLASS A UP 0.00% 16.22K $63.1K
1257 COHEN COMPANY INC COHN 0.00% 5.85K $63.0K
1258 AMERICAN REALTY INVESTORS INC ARL 0.00% 4.04K $63.0K
1259 KENTUCKY FIRST FEDERAL BANCORP KFFB 0.00% 10.98K $62.6K
1260 PETMED EXPRESS PETS 0.00% 48.84K $62.5K
1261 ROYALTY MANAGEMENT CORP CLASS A RMCO 0.00% 25.18K $62.5K
1262 DOMINARI HOLDINGS INC DOMH 0.00% 28.90K $62.1K
1263 VIVID SEATS INC CLASS A SEAT 0.00% 18.37K $61.4K
1264 BEYONDSPRING INC BYSI 0.00% 100.74K $61.4K
1265 BEACHBODY COMPANY INC CLASS A BODI 0.00% 13.34K $61.4K
1266 EXOZYMES INC EXOZ 0.00% 10.87K $60.9K
1267 PEDEVCO CORP PED 0.00% 4.58K $58.9K
1268 FLANIGANS ENTERPRISES INC BDL 0.00% 1.27K $58.8K
1269 PARADIUM AI AREN 0.00% 51.38K $58.6K
1270 STABILIS SOLUTIONS INC SLNG 0.00% 10.96K $57.0K
1271 LULU S FASHION LOUNGE HOLDINGS INC LVLU 0.00% 4.65K $56.8K
1272 US GOLDMINING INC USGO 0.00% 9.41K $56.7K
1273 INTERLINK ELECTRONICS INC LINK 0.00% 11.23K $56.3K
1274 RENT THE RUNWAY CLASS A RENT 0.00% 30.71K $56.2K
1275 NEPHROS INC NEPH 0.00% 16.81K $55.3K
1276 BEELINE HOLDINGS INC BLNE 0.00% 75.33K $55.2K
1277 AMCON DISTRIBUTING DIT 0.00% 867 $55.1K
1278 SMARTBIRD INC CLASS A BIRD 0.00% 19.12K $55.1K
1279 LIVEWIRE GROUP LVWR 0.00% 37.14K $54.6K
1280 FIREFLY NEUROSCIENCE INC AIFF 0.00% 45.11K $54.6K
1281 SOLESENCE INC SLSN 0.00% 64.63K $54.0K
1282 INNVENTURE INC INV 0.00% 178.17K $54.0K
1283 BATTALION OIL CORP BATL 0.00% 51.78K $53.3K
1284 NEXTTRIP INC NTRP 0.00% 27.84K $53.2K
1285 AIRSCULPT TECHNOLOGIES INC AIRS 0.00% 31.61K $52.3K
1286 INSPIREMD INC NSPR 0.00% 108.79K $52.2K
1287 DAWSON GEOPHYSICAL DWSN 0.00% 19.71K $51.1K
1288 CHILDRENS PLACE INC PLCE 0.00% 26.26K $50.4K
1289 MOBIX LABS CLASS A MOBX 0.00% 44.53K $50.3K
1290 NEXTBOAT INC OTH 0.00% 23.92K $48.1K
1291 CERENOME INC CNSY 0.00% 26.80K $48.0K
1292 RANK ONE COMPUTING CORP ROC 0.00% 13.48K $47.9K
1293 J W MAYS INC MAYS 0.00% 1.20K $47.6K
1294 PODCASTONE INC PODC 0.00% 21.68K $47.5K
1295 ACCESS NEWSWIRE INC ISDR 0.00% 10.25K $47.1K
1296 CIRCLE8 GROUP INC CIRC 0.00% 104.19K $46.5K
1297 SOLIDION TECHNOLOGY INC STI 0.00% 8.03K $46.4K
1298 KATAPULT HOLDINGS INC KPLT 0.00% 10.17K $45.5K
1299 PALATIN TECHNOLOGIES INC PTN 0.00% 5.03K $45.3K
1300 GIFTIFY INC GIFT 0.00% 78.03K $44.9K
1301 COMSCORE INC SCOR 0.00% 10.96K $44.5K
1302 HEALTH IN TECH INC CLASS A HIT 0.00% 59.30K $44.4K
1303 INTELLINETICS INLX 0.00% 8.21K $44.3K
1304 AETHER HOLDINGS INC ATHR 0.00% 15.03K $43.7K
1305 ELAUWIT CONNECTION INC ELWT 0.00% 7.41K $42.7K
1306 SOUTHLAND HOLDINGS INC SLND 0.00% 54.27K $42.3K
1307 STABLECOIN DEVELOPMENT CORP NBY 0.00% 21.12K $42.0K
1308 CONNECT BIOPHARMA HOLDINGS LTD CNTB 0.00% 47.47K $41.8K
1309 WORKHORSE GROUP INC WKHS 0.00% 14.12K $41.2K
1310 BRIDGFORD FOODS CORP BRID 0.00% 6.69K $39.5K
1311 KARYOPHARM THERAPEUTICS KPTI 0.00% 63.42K $38.1K
1312 KNIGHTSCOPE INC CLASS A KSCP 0.00% 58.39K $37.7K
1313 MONOGRAM ORTHOPAEDICS INC CVR — 0.00% 34.02K $36.7K
1314 CORVEX INC MOVE 0.00% 3.74K $36.7K
1315 ABUNDIA GLOBAL IMPACT GROUP INC HUSA 0.00% 38.94K $36.6K
1316 TSCAN THERAPEUTICS INC TCRX 0.00% 158.72K $36.2K
1317 DOGWOOD THERAPEUTICS INC DWTX 0.00% 25.22K $35.6K
1318 WESHOP HOLDINGS CLASS A WSHP 0.00% 7.24K $34.5K
1319 NORTECH SYSTEM INC NSYS 0.00% 3.08K $34.5K
1320 PAVMED INC PAVM 0.00% 12.53K $33.7K
1321 DARE BIOSCIENCE INC DARE 0.00% 42.91K $33.1K
1322 LOGISTIC PROPERTIES OF THE AMERICA LPA 0.00% 10.93K $32.1K
1323 VROOM VRM 0.00% 3.48K $31.2K
1324 BEASLEY BROADCAST GROUP INC CLASS BBGI 0.00% 3.00K $31.2K
1325 NOMADAR CORP CLASS A NOMA 0.00% 19.80K $31.1K
1326 AMC ROBOTICS CORP AMCI 0.00% 10.82K $30.3K
1327 AMERICAS CAR MART INC CRMT 0.00% 22.68K $28.3K
1328 MASSIMO GROUP MAMO 0.00% 28.44K $27.4K
1329 A K A BRANDS HOLDING CORP AKA 0.00% 2.47K $26.5K
1330 GAMEHAUS HOLDINGS INC CLASS A GMHS 0.00% 42.99K $26.0K
1331 ACTUATE THERAPEUTICS INC ACTU 0.00% 36.22K $24.6K
1332 NEUROONE MEDICAL TECHNOLOGIES CORP NMTC 0.00% 22.39K $24.2K
1333 REELEMENT TECHNOLOGIES CORP — 0.00% 31.71K $23.9K
1334 FOLD HOLDINGS INC CLASS A FLD 0.00% 43.07K $23.8K
1335 ONEMEDNET CORP CLASS A ONMD 0.00% 4.50K $21.7K
1336 SYSTEM1 CLASS A SST 0.00% 9.19K $20.8K
1337 ESTRELLA IMMUNOPHARMA INC ESLA 0.00% 47.04K $19.6K
1338 LIVE VENTURES INC LIVE 0.00% 2.53K $19.6K
1339 K TECH SOLUTIONS COMPANY LTD CLASS KMRK 0.00% 15.30K $17.3K
1340 CHINOOK THERAPEUTICS INC CVR — 0.00% 33.11K $16.9K
1341 VIDA GLOBAL INC CLASS A VIDA 0.00% 12.25K $16.8K
1342 BARFRESH FOOD GROUP INC BRFH 0.00% 18.69K $14.8K
1343 NAMIB MINERALS NAMM 0.00% 13.23K $14.7K
1344 CHRONOSCALE HOLDINGS CORP CHRN 0.00% 723 $13.8K
1345 ATLANTIC AMERICAN CORP AAME 0.00% 11.09K $13.4K
1346 BINAH CAPITAL GROUP INC BCG 0.00% 11.91K $12.3K
1347 VERDE CLEAN FUELS CLASS A VGAS 0.00% 11.01K $12.0K
1348 REEDS INC REED 0.00% 16.43K $10.6K
1349 BLUE GOLD LTD CLASS A BGL 0.00% 54.69K $9.7K
1350 VISIONWAVE HOLDINGS INC VWAV 0.00% 1.79K $9.2K
1351 FOXX DEVELOPMENT HOLDINGS INC FOXX 0.00% 3.19K $7.4K
1352 ALSET INC AEI 0.00% 10.69K $7.4K
1353 BENEFICIENT CLASS A BENF 0.00% 3.98K $4.3K
1354 SRAX INC SOC 0.00% 49.88K $3.0K
1355 IKENA ONCOLOGY INC CVR — 0.00% 67.79K $2.0K
1356 OPTINOSE INC — 0.00% 473 $283.80
1357 COHERUS ONCOLOGY INC — 0.00% 388.01K $3.88
1358 AMERICAN INFRASTRUCTURE HOLDING CO — 0.00% 18.64K $1.30
1359 TRINSEO PLC Prvt — 0.00% 91.17K $0.91
1360 THIRD HARMONIC BIO INC THRD 0.00% 58.05K $0.58
1361 STERLING BANCORP INC SBT 0.00% 46.55K $0.47
1362 IMARA INC — 0.00% 37.16K $0.37
1363 VERDERA COMMON SHARE RESTRICTION 2 — 0.00% 22.73K $0.23
1364 VERDERA ENERGY CORP. CONTRA RESTRI — 0.00% 22.73K $0.23
1365 RENT THE RUNWAY INC — 0.00% 31.77K $0.32
1366 NOVUSTERRA INC (PROPOSED) — 0.00% 12.89K $0.13
1367 BTCS INC — 0.00% 19.14K $0.19
1368 NUTRIBAND INC SERIES A NTRB 0.00% 1.88K $0.02
1369 BOWL AMERICA INC ESCROW — 0.00% 3.64K $0.04
1370 GTXI INC - CVR — 0.00% 1.63K $0.02
1371 USD CASH — -0.16% -2.05M -$2.1M

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Sector Exposure

Healthcare 26.83%
Financial Services 24.50%
Technology 12.91%
Industrials 11.48%
Consumer Cyclical 7.78%
Basic Materials 4.01%
Real Estate 3.65%
Energy 3.13%
Communication Services 2.72%
Consumer Defensive 2.09%
Utilities 0.90%

Geographic Exposure

United States (developed) 96.95%
Bermuda 0.89%
Other 0.50%
Israel (developed) 0.34%
United Kingdom (developed) 0.27%
Cayman Islands 0.20%
Puerto Rico 0.20%
Canada (developed) 0.19%
Monaco 0.15%
Switzerland (developed) 0.13%
British Virgin Islands 0.13%

Country weights as reported by the data provider. Developed/emerging/frontier labels follow the classification on the Methodology page. Currency hedged: No hedging indicated in the fund name.

Distributions

Yield (TTM)1.06% Paid (last 12 months)$1.9420
FrequencyQuarterly SEC yieldNot provided by our data source; see the issuer page
Last ex-dateSep 15, 2026 Last payment$0.4494 (Sep 18, 2026)
Growth 1Y+40.98% Growth 3Y / 5Y (ann.)+12.86% / +16.09%
Ex-dateRecordPay dateAmount
Sep 15, 2026Sep 15, 2026 Sep 18, 2026$0.4494
Jun 15, 2026Jun 15, 2026 Jun 18, 2026$0.5145
Mar 17, 2026Mar 17, 2026 Mar 20, 2026$0.2451
Dec 16, 2025Dec 16, 2025 Dec 19, 2025$0.7330
Sep 16, 2025Sep 16, 2025 Sep 19, 2025$0.3976
Jun 16, 2025Jun 16, 2025 Jun 20, 2025$0.3241
Mar 18, 2025Mar 18, 2025 Mar 21, 2025$0.2783
Dec 17, 2024Dec 17, 2024 Dec 20, 2024$0.3775
Sep 25, 2024Sep 25, 2024 Sep 30, 2024$0.4183
Jun 11, 2024Jun 11, 2024 Jun 17, 2024$0.3259
Mar 21, 2024Mar 22, 2024 Mar 27, 2024$0.2543
Dec 20, 2023Dec 21, 2023 Dec 27, 2023$0.3870

Trailing distribution yield = last 12 months of cash ÷ current price. It is NOT the SEC 30-day yield and distributions are not guaranteed to continue. The difference explained →

Risk Statistics

Volatility 1Y / 3Y23.43% / 24.49% Sharpe 1Y / 3Y0.983 / 0.981
Max drawdown 1Y / 3Y-12.43% / -29.46% Sortino 1Y1.45
Beta vs S&P 500 (3Y)1.20 Correlation vs S&P 500 (1Y)0.765
Downside deviation 1Y15.86% Risk-free rate used4.05% (3M T-bill, FRED)

Computed by ETF Explorer from daily dividend-adjusted closes; volatility and drawdown are annualized/period figures; S&P 500 exposure proxied by SPY. As of Oct 11, 2026. Formulas →

Liquidity

Volume today158.36K Average volume103.33K
AUM$1.32B Premium/Discount+0.03%
Bid/Ask spreadNot provided by our data source. Check your broker's quote screen; spreads are widest at the open and close.

Premium/discount compares the delayed market price with the last reported NAV: an indicative figure, not the official closing premium/discount. How ETF liquidity works →

Fund Flows (estimated)

PeriodEst. net flow% of starting AUMAUM start → end
1 Day -$1.6M -0.12% $1.32B → $1.32B
1 Month -$60.6M -4.22% $1.44B → $1.32B
1 Week -$15.3M -1.13% $1.36B → $1.32B

ETF Explorer estimate: change in reported AUM minus the market-move effect, from our own daily snapshots. Not official issuer creation/redemption data.

Official Fund Resources

External links open the issuer's site or SEC EDGAR in a new tab. The prospectus and official documents are always the authoritative source; review them before investing.

Latest News for IWC

No articles mention this fund directly in the last 7 days; showing general ETF coverage.

A Sinking Ship or A Turnaround Bet ↗ I've talked about this before: there is a very specific hole in my portfolio. I focus on dividend stocks because I use them to create extra income… ETF Trends · Oct 11, 07:06 UTC iShares Core U.S. Aggregate Bond ETF $AGG Holdings Trimmed by Capital Advisors Wealth Management LLC ↗ Capital Advisors Wealth Management LLC lowered its position in shares of iShares Core U.S. Aggregate Bond ETF (NYSEARCA:AGG) by 91.4% in the third… Defense World · Oct 11, 05:39 UTC SPDR Portfolio High Yield Bond ETF $SPHY Shares Sold by Balefire LLC ↗ Balefire LLC lowered its position in SPDR Portfolio High Yield Bond ETF (NYSEARCA:SPHY) by 72.5% in the third quarter, according to the company in… Defense World · Oct 11, 05:39 UTC Avidian Wealth Enterprises LLC Makes New $687,000 Investment in iShares MSCI ACWI ex U.S. ETF $ACWX ↗ Avidian Wealth Enterprises LLC acquired a new stake in iShares MSCI ACWI ex U.S. ETF (NASDAQ: ACWX) during the undefined quarter, according to the… Defense World · Oct 11, 05:39 UTC SPDR S&P 400 Mid Cap Growth ETF $MDYG Shares Newly Acquired by Avidian Wealth Enterprises LLC ↗ Avidian Wealth Enterprises LLC acquired a new stake in SPDR S&P 400 Mid Cap Growth ETF (NYSEARCA:MDYG) in the third quarter, according to the company… Defense World · Oct 11, 05:39 UTC Avidian Wealth Enterprises LLC Sells 105,855 Shares of Avantis U.S. Equity ETF $AVUS ↗ Avidian Wealth Enterprises LLC trimmed its position in Avantis U.S. Equity ETF (NYSEARCA:AVUS) by 95.8% during the undefined quarter, according to… Defense World · Oct 11, 05:39 UTC
All news for IWC →

Guided help: AUM is fund size. The expense ratio is the yearly cost baked into returns. NAV is the value of what the fund owns per share; the market price can sit slightly above (premium) or below (discount) it. Total return assumes distributions were reinvested. Every dataset shows its own as-of date because holdings, assets and quotes update on different schedules.

Commodity

Commodities (broad)GoldOil & GasSilver

Digital Assets

CryptocurrencyBitcoin

Fixed Income

Bonds (all)Government BondsTreasury BondsCorporate BondsHigh Yield BondsMunicipal BondsInternational BondsTIPS / Inflation-Protected

Income

DividendCovered Call / Option IncomePreferred Stocks

Region

InternationalGlobalDeveloped MarketsEmerging MarketsInternational Small CapFrontier Markets

Sector & Theme

FinancialsTechnologyEnergyReal Estate / REITsHealthcareIndustrialsMaterialsInfrastructureClean Energy

Strategy

Buffer / Defined OutcomeESG / SustainableCurrency HedgedMomentumEqual WeightLow Volatility

Structure

Active ETFsLeveragedInverse

Style & Size

U.S. Large CapGrowthValueU.S. Small CapU.S. Mid CapTotal Market