متأخر
ابحث في كل صندوق ETF. قارِن كل شيء.
القائمة
جميع صناديق ETF فلتر الأسواق التصنيفات دولي مقارنة الأخبار
تصفح الفئات القطاعات المُصدِرون المقتنيات والأسهم الأداء خريطة الحرارة التداخل بين الصناديق الإطلاقات الجديدة
التصنيفات أعلى عائد الأفضل أداءً أكبر صناديق الاستثمار المتداولة الأكثر نشاطاً رائج أدنى الرسوم جميع التصنيفات
دولي الأسواق الناشئة الأسواق المتقدمة أوروبا آسيا والمحيط الهادئ مُحوَّط بالعملة المركز الدولي
تعلّم وأدوات تعلّم استفسر عن البيانات وكلاء الذكاء الاصطناعي ★ المحفوظات API
حول من نحن تواصل معنا إخلاء المسؤولية
الأعضاء
بوابة API

وصول مجاني للقراءة فقط بصيغة JSON إلى البيانات المخزّنة مؤقتاً في الموقع.

الوضع الداكن

🧭 العرض الإرشادي
جديد على الأسواق — الأسعار والعوائد وYTD والقيمة السوقية؟ نشرح كل مصطلح أثناء تصفحك بلغة واضحة. البيانات ذاتها مع المساعدة المدمجة.

⚡ عرض الخبراء
أنت تعرف الأسواق. البيانات فحسب — نظيفة وسريعة ومكثفة، بدون شروحات إضافية. هذا هو العرض الافتراضي.

لغة الواجهة

IWM iShares Russell 2000 ETF

298.93 -0.3 (-0.10%)

السعر كما في Aug 26, 2026 20:00 UTC · Market data delayed approximately 15–20 minutes unless otherwise indicated.

الإغلاق السابق299.23 النطاق اليومي298.15 – 299.95
النطاق السعري خلال 52 أسبوعاً228.90 – 305.18 حجم التداول10.40M
متوسط حجم التداول24.43M إجمالي الأصول المُدارة$80.87B (Aug 27, 2026)
نسبة الرسوم0.19% العائد (آخر 12 شهرًا)0.89%
NAV299.30 العلاوة/الخصم-0.12% استرشادي
تاريخ الإنشاءMay 22, 2000 المقتنيات1962
المُصدِرiShares البورصةAMEX
الفئةUs Small Cap المؤشر المتتبَّعRussell 2000
CUSIP464287655 ISINUS4642876555
الإدارةسلبي / تتبع المؤشر (وفق وصف الجهة المُصدِرة)

نبذة عن هذا الـ ETF

iShares Trust - iShares Russell 2000 ETF is an exchange traded fund launched by BlackRock, Inc. It is managed by BlackRock Fund Advisors. The fund invests in public equity markets of the United States. It invests in stocks of companies operating across diversified sectors. The fund invests in growth and value stocks of small-cap companies. The fund seeks to track the performance of the Russell 2000 Index, by using representative sampling technique. iShares Trust - iShares Russell 2000 ETF was formed on May 22, 2000 and is domiciled in the United States.

الوصف من مزود بيانات الصندوق · الملف التعريفي كما في Aug 27, 2026.

مخطط السعر

أسعار الإغلاق اليومية (عائد السعر، لا العائد الإجمالي). تُوحَّد خطوط المقارنة إلى نسبة التغير المئوي من بداية النطاق الزمني. المصدر: Financial Modeling Prep.

الأداء

1M3M6MYTD1Y3Y*5Y*10Y*الإنشاء*
العائد السعري +2.06% +2.95% +12.98% +21.44% +27.60% +17.54% +5.72% +9.28% +7.41%
إجمالي العائد +2.06% +3.19% +13.46% +21.95% +28.93% +18.93% +7.04% +10.66% +8.79%

* مُحتسَب على أساس سنوي. يستخدم إجمالي العائد سلسلة الأسعار المعدَّلة بالتوزيعات (مع إعادة استثمار التوزيعات)؛ فيما يستخدم عائد السعر أسعار الإغلاق غير المعدَّلة. الأداء حتى Aug 26, 2026. الأداء السابق لا يضمن نتائج مستقبلية.

الرسوم

نسبة المصاريف الصافية0.19% التكلفة السنوية لاستثمار قيمته 10,000 دولار$19.00

حساب توضيحي فقط: نسبة المصروفات × 10,000$. لا يشمل تكاليف التداول وفروق أسعار العرض والطلب والضرائب والتغيرات في قيمة الاستثمار. تفاصيل المصروفات الإجمالية والصافية وأي إعفاءات من الرسوم مذكورة في نشرة الإصدار.

المقتنيات

المقتنيات كما في Aug 26, 2026 — تاريخ تقرير المحفظة من مزود البيانات؛ الملكيات ليست مراكز آنية. 1967 صفوف في قاعدة البيانات.

#ورقة مالية مُحتفَظ بهاالرمزالوزنالأسهمالقيمة السوقية
1 MOOG INC CLASS A MOG-A 0.34% 732.95K $276.1M
2 BRINKER INTERNATIONAL INC EAT 0.34% 1.11M $276.0M
3 UMB FINANCIAL CORP UMBF 0.34% 1.91M $274.4M
4 GLAUKOS GKOS 0.33% 1.47M $267.0M
5 CYTOKINETICS CYTK 0.32% 3.37M $261.3M
6 JFROG FROG 0.31% 2.79M $249.9M
7 TWIST BIOSCIENCE TWST 0.30% 1.64M $248.6M
8 FIRSTCASH HOLDINGS INC FCFS 0.30% 1.06M $243.5M
9 BRIGHTSPRING HEALTH SERVICES INC BTSG 0.29% 4.18M $239.3M
10 PRAXIS PRECISION MEDICINES PRAX 0.29% 645.24K $237.5M
11 KRYSTAL BIOTECH KRYS 0.29% 666.16K $237.3M
12 PROTAGONIST THERAPEUTICS PTGX 0.29% 1.57M $236.7M
13 VIASAT INC VSAT 0.29% 3.25M $235.3M
14 OLD NATIONAL BANCORP ONB 0.29% 9.08M $233.0M
15 CARETRUST REIT CTRE 0.28% 5.81M $231.8M
16 INTERDIGITAL INC IDCC 0.28% 667.96K $230.8M
17 HEALTHEQUITY HQY 0.28% 2.18M $229.4M
18 RYMAN HOSPITALITY PROPERTIES REIT RHP 0.28% 1.71M $227.5M
19 HUT CORP HUT 0.28% 2.65M $226.2M
20 CRINETICS PHARMACEUTICALS CRNX 0.28% 2.64M $224.4M
21 SM ENERGY SM 0.27% 6.24M $222.7M
22 SSR MINING SSRM.TO 0.27% 5.67M $222.3M
23 COMPASS INC CLASS A COMP 0.27% 18.41M $217.2M
24 ALKERMES ALKS 0.26% 4.28M $210.6M
25 VAXCYTE PCVX 0.25% 3.38M $206.6M
26 JACKSON FINANCIAL CLASS A JXN 0.25% 1.57M $206.1M
27 TG THERAPEUTICS TGTX 0.25% 3.72M $205.9M
28 SPYRE THERAPEUTICS INC SYRE 0.25% 1.90M $204.3M
29 KYMERA THERAPEUTICS KYMR 0.25% 1.60M $202.4M
30 10X GENOMICS CLASS A TXG 0.24% 3.07M $198.4M
31 STONEX GROUP INC SNEX 0.24% 2.80M $195.4M
32 RIOT PLATFORMS RIOT 0.24% 9.14M $194.7M
33 COMMERCIAL METALS CMC 0.24% 2.90M $193.9M
34 TEREX TEX 0.23% 2.94M $191.6M
35 OSCAR HEALTH CLASS A OSCR 0.23% 6.18M $191.3M
36 FLUOR CORP FLR 0.23% 3.67M $188.3M
37 TERRENO REALTY REIT TRNO 0.23% 2.75M $187.9M
38 ZURN ELKAY WATER SOLUTIONS CORP ZWS 0.23% 3.84M $187.7M
39 FEDERAL SIGNAL CORP FSS 0.23% 1.55M $187.5M
40 ESCO TECHNOLOGIES ESE 0.23% 675.70K $187.0M
41 ENERSYS ENS 0.23% 954.39K $185.4M
42 SILICON LABORATORIES SLAB 0.23% 848.27K $185.2M
43 ARCOSA ACA 0.23% 1.27M $183.8M
44 D WAVE QUANTUM QBTS 0.22% 9.44M $182.6M
45 VALLEY NATIONAL VLY 0.22% 12.72M $179.3M
46 MACERICH REIT MAC 0.22% 7.26M $176.2M
47 HIMS HERS HEALTH CLASS A HIMS 0.21% 5.51M $174.9M
48 ESSENTIAL PROPERTIES REALTY TRUST EPRT 0.21% 5.67M $174.5M
49 MATSON INC MATX 0.21% 781.68K $174.2M
50 ORMAT TECH INC ORA 0.21% 1.60M $170.4M
51 SOUTHWEST GAS HOLDINGS SWX 0.21% 1.90M $169.4M
52 LANTHEUS HOLDINGS LNTH 0.21% 1.67M $168.2M
53 PBF ENERGY CLASS A PBF 0.21% 2.53M $168.2M
54 URANIUM ENERGY UEC 0.21% 12.61M $167.3M
55 UNITED BANKSHARES UBSI 0.20% 3.52M $167.1M
56 ENPRO NPO 0.20% 550.80K $167.1M
57 PLEXUS CORP PLXS 0.20% 692.91K $167.0M
58 LIFE TIME GROUP HOLDINGS LTH 0.20% 3.75M $166.9M
59 SCHOLAR ROCK HOLDING SRRK 0.20% 2.85M $165.9M
60 GATX GATX 0.20% 913.41K $163.7M
61 QUALYS QLYS 0.20% 929.47K $163.5M
62 GLACIER BANCORP INC GBCI 0.20% 3.43M $162.5M
63 ZETA GLOBAL HOLDINGS CLASS A ZETA 0.20% 5.81M $161.9M
64 HANCOCK WHITNEY HWC 0.20% 2.17M $161.8M
65 ESSENT GROUP ESNT 0.20% 2.34M $161.7M
66 RHYTHM PHARMACEUTICALS RYTM 0.20% 1.41M $159.5M
67 JBT MAREL JBTM 0.20% 1.35M $159.4M
68 ARGAN AGX 0.19% 351.29K $158.2M
69 VICTORIA S SECRET VSXY 0.19% 1.81M $157.7M
70 MAGNOLIA OIL GAS CORP CLASS A MGY 0.19% 5.95M $157.3M
71 VSE CORP VSEC 0.19% 722.21K $157.2M
72 COGENT BIOSCIENCES COGT 0.19% 4.25M $156.6M
73 PTC THERAPEUTICS PTCT 0.19% 2.12M $155.6M
74 APOGEE THERAPEUTICS APGE 0.19% 1.15M $155.4M
75 PORTLAND GENERAL ELECTRIC POR 0.19% 3.08M $153.3M
76 TRAVERE THERAPEUTICS TVTX 0.19% 2.28M $153.0M
77 FRONTDOOR INC FTDR 0.19% 1.83M $152.9M
78 KODIAK GAS SERVICES INC KGS 0.19% 2.58M $152.2M
79 TXNM ENERGY INC TXNM 0.19% 2.65M $152.1M
80 ENOVA INTERNATIONAL ENVA 0.19% 624.88K $152.1M
81 CASELLA WASTE SYSTEMS CLASS A CWST 0.19% 1.63M $151.9M
82 NOBLE CORPORATION PLC NOBLE.CO 0.19% 3.30M $151.2M
83 XENON PHARMACEUTICALS XENE 0.19% 2.50M $151.2M
84 ATLANTIC UNION BANKSHARES AUB 0.18% 3.72M $150.6M
85 INSTALLED BUILDING PRODUCTS IBP 0.18% 609.14K $150.4M
86 SENSIENT TECHNOLOGIES SXT 0.18% 1.10M $150.4M
87 COMMVAULT SYSTEMS CVLT 0.18% 1.14M $150.1M
88 BALCHEM BCPC 0.18% 835.31K $149.9M
89 DEFINIUM THERAPEUTICS INC DFTX 0.18% 3.34M $149.7M
90 CG ONCOLOGY CGON 0.18% 1.88M $148.6M
91 MAXLINEAR MXL 0.18% 2.22M $147.2M
92 AMERIS BANCORP ABCB 0.18% 1.72M $146.7M
93 BLACK HILLS CORP BKH 0.18% 2.00M $146.3M
94 LUMEN TECHNOLOGIES LUMN 0.18% 24.83M $146.2M
95 SELECTIVE INSURANCE GROUP SIGI 0.18% 1.59M $146.0M
96 CORE SCIENTIFIC INC CORZ 0.18% 8.06M $145.3M
97 RIGETTI COMPUTING RGTI 0.18% 8.56M $145.0M
98 TRANSOCEAN RIGN.SW 0.18% 25.15M $144.6M
99 LIGAND PHARMACEUTICALS LGND 0.18% 512.89K $144.5M
100 SERVICETITAN CLASS A TTAN 0.18% 1.57M $144.5M
101 CRISPR THERAPEUTICS AG CRSP 0.18% 2.37M $144.4M
102 WARRIOR MET COAL INC HCC 0.18% 1.36M $143.6M
103 HOME BANCSHARES INC HOMB 0.18% 4.79M $143.4M
104 USD CASH 0.18% 143.04M $143.0M
105 KITE REALTY GROUP TRUST REIT KRG 0.18% 5.41M $143.0M
106 NEW JERSEY RESOURCES CORP NJR 0.17% 2.64M $142.3M
107 CIPHER DIGITAL INC CIFR 0.17% 8.70M $141.8M
108 MERIT MEDICAL SYSTEMS INC MMSI 0.17% 1.54M $139.9M
109 ACI WORLDWIDE ACIW 0.17% 2.67M $139.9M
110 RADNET RDNT 0.17% 1.81M $139.3M
111 GRANITE CONSTRUCTION GVA 0.17% 1.14M $139.1M
112 AAR AIR 0.17% 1.02M $138.1M
113 ARCHROCK AROC 0.17% 4.46M $137.0M
114 CHEESECAKE FACTORY INC CAKE 0.17% 1.21M $136.8M
115 SABRA HEALTH CARE REIT SBRA 0.17% 6.57M $136.7M
116 PIPER SANDLER COMPANIES PIPR 0.17% 1.82M $136.3M
117 DIANTHUS THERAPEUTICS INC DNTH 0.17% 1.21M $135.4M
118 CONSTRUCTION PARTNERS CLASS A ROAD 0.17% 1.23M $135.0M
119 AXOS FINANCIAL AX 0.16% 1.36M $134.4M
120 CSW INDUSTRIALS CSW 0.16% 414.87K $133.9M
121 HERC HOLDINGS HRI 0.16% 855.46K $133.5M
122 PHILLIPS EDISON AND COMPANY PECO 0.16% 3.34M $133.4M
123 ONE GAS OGS 0.16% 1.64M $131.9M
124 ORUKA THERAPEUTICS INC ORKA 0.16% 1.29M $131.8M
125 HA SUSTAINABLE INFRASTRUCTURE CAPI HASI 0.16% 3.32M $131.4M
126 CNO FINANCIAL GROUP CNO 0.16% 2.42M $131.3M
127 HAEMONETICS CORP HAE 0.16% 1.21M $131.2M
128 GOLAR LNG 0HDY.L 0.16% 2.52M $131.0M
129 UFP INDUSTRIES UFPI 0.16% 1.46M $130.0M
130 CHAMPION HOMES INC SKY 0.16% 1.42M $129.9M
131 RADIAN GROUP RDN 0.16% 3.51M $129.3M
132 NOVANTA 0VAG.L 0.16% 922.00K $128.8M
133 BROOKFIELD INFRASTRUCTURE CORP CLA BIPC.TO 0.16% 3.24M $128.4M
134 VICTORY CAPITAL HOLDINGS CLASS A VCTR 0.16% 1.11M $128.4M
135 OCEANEERING INTERNATIONAL INC OII 0.16% 2.57M $128.1M
136 CNX RESOURCES CNX 0.16% 3.54M $127.3M
137 LIQUIDIA LQDA 0.16% 1.80M $127.1M
138 OUTFRONT MEDIA OUT 0.16% 4.14M $127.0M
139 MERCURY SYSTEMS INC MRCY 0.15% 1.44M $126.3M
140 BOOT BARN HOLDINGS BOOT 0.15% 789.87K $126.1M
141 VALARIS LTD VAL 0.15% 1.47M $126.0M
142 CORE NATURAL RESOURCES CNR 0.15% 1.30M $125.7M
143 SPIRE INC SR 0.15% 1.51M $125.7M
144 MATERION MTRN 0.15% 535.67K $124.5M
145 JOBY AVIATION CLASS A JOBY 0.15% 17.24M $124.5M
146 MERITAGE CORP MTH 0.15% 1.69M $124.5M
147 ABERCROMBIE AND FITCH CLASS A ANF 0.15% 1.14M $124.2M
148 IMPINJ PI 0.15% 745.08K $123.8M
149 MURPHY OIL CORP MUR 0.15% 3.57M $123.5M
150 RUSH ENTERPRISES CLASS A RUSHA 0.15% 1.58M $121.7M
151 CACTUS CLASS A WHD 0.15% 1.81M $121.4M
152 PERIMETER SOLUTIONS PRM 0.15% 3.88M $121.4M
153 LAUREATE EDUCATION LAUR 0.15% 3.16M $121.1M
154 EASTERN BANKSHARES INC EBC 0.15% 5.41M $120.9M
155 COVISTA CVSA 0.15% 881.98K $120.3M
156 PRICESMART PSMT 0.15% 674.27K $119.5M
157 VARONIS SYSTEMS VRNS 0.15% 2.92M $119.1M
158 MIRUM PHARMACEUTICALS MIRM 0.15% 1.21M $118.9M
159 MYR GROUP INC MYRG 0.15% 400.63K $118.6M
160 TIDEWATER TDW 0.15% 1.28M $118.6M
161 BRINKS BCO 0.15% 1.07M $118.5M
162 GARRETT MOTION GTX 0.15% 4.51M $118.5M
163 CAVCO INDUSTRIES CVCO 0.14% 201.14K $118.2M
164 MARA HOLDINGS MARA 0.14% 9.93M $117.4M
165 BELDEN BDC 0.14% 1.00M $117.0M
166 BOX INC CLASS A BOX 0.14% 3.53M $116.4M
167 SERVISFIRST BANCSHARES INC SFBS 0.14% 2.69M $116.2M
168 FIRST FINANCIAL BANKSHARES INC FFIN 0.14% 3.43M $115.7M
169 KORN FERRY KFY 0.14% 1.36M $115.1M
170 ASSOCIATED BANCORP ASB 0.14% 3.72M $114.8M
171 BGC GROUP INC CLASS A BGC 0.14% 9.70M $114.4M
172 SPHERE ENTERTAINMENT CLASS A SPHR 0.14% 714.79K $114.3M
173 ICU MEDICAL ICUI 0.14% 626.01K $114.1M
174 KONTOOR BRANDS KTB 0.14% 1.42M $114.0M
175 NORTHWESTERN ENERGY GROUP NWE 0.14% 1.61M $113.9M
176 MAREX GROUP LTD MRX 0.14% 1.61M $113.8M
177 LIVANOVA PLC LIVN 0.14% 1.43M $113.7M
178 FULTON FINANCIAL FULT 0.14% 4.79M $113.3M
179 ITRON ITRI 0.14% 1.15M $113.1M
180 KULICKE AND SOFFA INDUSTRIES INC KLIC 0.14% 1.33M $112.7M
181 URBAN OUTFITTERS URBN 0.14% 1.48M $112.4M
182 COPT DEFENSE PROPERTIES CDP 0.14% 2.99M $112.1M
183 TEXAS CAPITAL BANCSHARES TCBI 0.14% 1.14M $112.1M
184 SL GREEN REALTY REIT CORP SLG 0.14% 1.87M $111.9M
185 INSIGHT ENTERPRISES INC NSIT 0.14% 741.86K $111.7M
186 CABOT CORP CBT 0.14% 1.34M $111.7M
187 PJT PARTNERS CLASS A PJT 0.14% 639.26K $111.6M
188 VISHAY INTERTECHNOLOGY INC VSH 0.14% 3.53M $110.7M
189 INDIVIOR PHARMACEUTICALS INC INDV 0.14% 3.07M $110.3M
190 ACM RESEARCH CLASS A ACMR 0.13% 1.38M $110.1M
191 TANGER SKT 0.13% 2.86M $110.0M
192 DIODES DIOD 0.13% 1.18M $109.7M
193 FIRST BANCORP FBP 0.13% 3.91M $109.6M
194 INTEGER HOLDINGS CORP ITGR 0.13% 872.22K $109.4M
195 BLK CSH FND TREASURY SL AGENCY 0.13% 109.24M $109.2M
196 UNIFIRST UNF 0.13% 378.54K $109.0M
197 BROADSTONE NET LEASE BNL 0.13% 5.05M $108.9M
198 ASBURY AUTOMOTIVE GROUP INC ABG 0.13% 502.03K $108.2M
199 CLEAR SECURE CLASS A YOU 0.13% 2.44M $108.1M
200 AXT AXTI 0.13% 1.60M $108.0M
201 ATMUS FILTRATION TECHNOLOGIES ATMU 0.13% 2.16M $107.4M
202 INTERNATIONAL SEAWAYS INSW 0.13% 1.08M $107.1M
203 CHEFS WAREHOUSE INC CHEF 0.13% 955.22K $106.8M
204 AZZ INC AZZ 0.13% 770.42K $106.7M
205 CATHAY GENERAL BANCORP CATY 0.13% 1.72M $106.5M
206 FLAGSTAR BANK NATIONAL ASSOCIATION FLG 0.13% 7.92M $106.5M
207 REMITLY GLOBAL RELY 0.13% 4.05M $106.1M
208 DELEK US HOLDINGS INC DK 0.13% 1.57M $106.1M
209 AVIENT CORP AVNT 0.13% 2.37M $105.9M
210 SKYWEST SKYW 0.13% 1.02M $105.8M
211 HELMERICH & PAYNE HP 0.13% 2.51M $105.8M
212 GEO GROUP GEO 0.13% 3.28M $105.3M
213 IRHYTHM HOLDINGS INC IRTC 0.13% 849.01K $104.5M
214 WSFS FINANCIAL WSFS 0.13% 1.33M $104.4M
215 XOMETRY CLASS A XMTR 0.13% 1.19M $104.3M
216 CONCENTRA GROUP HOLDINGS PARENT IN CON 0.13% 3.00M $104.2M
217 BADGER METER BMI 0.13% 762.61K $104.0M
218 PATTERSON UTI ENERGY INC PTEN 0.13% 9.01M $103.7M
219 INDEPENDENT BANK CORP INDB 0.13% 1.25M $103.7M
220 Q2 HOLDINGS INC QTWO 0.13% 1.62M $103.5M
221 ENERGY FUELS EFR.TO 0.13% 6.46M $103.1M
222 ADAPTIVE BIOTECHNOLOGIES ADPT 0.13% 3.93M $103.1M
223 ARCHER AVIATION CLASS A ACHR 0.13% 17.28M $103.0M
224 ONDAS INC ONDS 0.13% 12.45M $102.6M
225 UNITED COMMUNITY BANKS INC UCB 0.13% 2.92M $102.4M
226 TUTOR PERINI TPC 0.13% 1.17M $102.4M
227 HEARTFLOW HTFL 0.13% 2.05M $102.3M
228 INDEPENDENCE REALTY IRT 0.13% 6.13M $102.3M
229 CINEMARK HOLDINGS INC CNK 0.12% 2.73M $101.9M
230 M I HOMES INC MHO 0.12% 660.33K $101.8M
231 DYNE THERAPEUTICS DYN 0.12% 3.86M $101.7M
232 INTERNATIONAL BANCSHARES CORP IBOC 0.12% 1.43M $101.4M
233 ACADIA PHARMACEUTICALS ACAD 0.12% 3.31M $101.0M
234 AXCELIS TECHNOLOGIES ACLS 0.12% 804.17K $100.8M
235 MUELLER WATER PRODUCTS SERIES A MWA 0.12% 4.03M $100.4M
236 STEPSTONE GROUP CLASS A STEP 0.12% 2.02M $100.4M
237 GRIFFON GFF 0.12% 987.47K $100.1M
238 FRANKLIN ELECTRIC FELE 0.12% 983.17K $100.1M
239 LEMONADE INC LMND 0.12% 1.84M $100.1M
240 ERASCA ERAS 0.12% 5.63M $100.1M
241 MOELIS CLASS A MC 0.12% 1.47M $100.0M
242 WORKIVA CLASS A WK 0.12% 1.34M $99.5M
243 RENASANT CORP RNST 0.12% 2.39M $98.0M
244 GRAHAM HOLDINGS COMPANY CLASS B GHC 0.12% 82.90K $97.7M
245 CVB FINANCIAL CORP CVBF 0.12% 4.36M $97.5M
246 KNIFE RIVER CORP KNF 0.12% 1.48M $97.2M
247 CALIFORNIA RESOURCES CRC 0.12% 1.88M $97.0M
248 APPLE HOSPITALITY REIT INC APLE 0.12% 5.79M $97.0M
249 HINGE HEALTH CLASS A HNGE 0.12% 1.07M $96.4M
250 AMYLYX PHARMACEUTICALS AMLX 0.12% 2.57M $96.4M
251 TENABLE HOLDINGS TENB 0.12% 2.94M $96.3M
252 OPTION CARE HEALTH INC OPCH 0.12% 4.06M $96.1M
253 USA RARE EARTH CLASS A USAR 0.12% 4.94M $95.9M
254 STANDEX INTERNATIONAL CORP SXI 0.12% 312.69K $95.3M
255 WESBANCO WSBC 0.12% 2.35M $95.2M
256 CAL MAINE FOODS CALM 0.12% 1.13M $95.0M
257 CECO ENVIRONMENTAL CECO 0.12% 1.35M $94.8M
258 IMMUNOVANT IMVT 0.12% 2.17M $94.6M
259 SYNAPTICS SYNA 0.12% 996.77K $94.6M
260 DENALI THERAPEUTICS DNLI 0.12% 3.78M $94.3M
261 CONSTELLIUM SE CLASS A CSTM 0.12% 3.47M $93.9M
262 OPENLANE OPLN 0.11% 2.73M $93.5M
263 PAR PACIFIC HOLDINGS INC PARR 0.11% 1.27M $93.4M
264 KADANT INC KAI 0.11% 307.99K $93.3M
265 HNI HNI 0.11% 1.86M $92.9M
266 STRIDE INC LRN 0.11% 1.08M $92.6M
267 DORMAN PRODUCTS DORM 0.11% 709.88K $92.6M
268 CENTRUS ENERGY CLASS A LEU 0.11% 478.44K $92.5M
269 RXO INC RXO 0.11% 4.28M $92.5M
270 GENWORTH FINANCIAL INC GNW 0.11% 9.36M $92.3M
271 SCORPIO TANKERS STNG 0.11% 1.19M $92.1M
272 DAVE CLASS A DAVE 0.11% 262.99K $91.9M
273 CUSHMAN AND WAKEFIELD LTD CWK 0.11% 6.17M $91.6M
274 LXP INDUSTRIAL TRUST LXP 0.11% 1.50M $91.6M
275 AMERICAN STATES WATER AWR 0.11% 1.01M $91.5M
276 HIGHWOODS PROPERTIES REIT HIW 0.11% 2.87M $91.5M
277 NATIONAL HEALTH INVESTORS REIT NHI 0.11% 1.25M $91.3M
278 MIRION TECHNOLOGIES CLASS A MIR 0.11% 6.20M $91.2M
279 VERACYTE VCYT 0.11% 2.07M $91.0M
280 OTTER TAIL OTTR 0.11% 995.53K $90.9M
281 CELCUITY CELC 0.11% 981.67K $90.6M
282 NMI HOLDINGS NMIH 0.11% 2.00M $90.5M
283 FASTLY CLASS A FSLY 0.11% 3.93M $90.5M
284 POLARIS INC PII 0.11% 1.42M $90.3M
285 IDEAYA BIOSCIENCES IDYA 0.11% 2.12M $90.3M
286 CRESCENT ENERGY CLASS A CRGY 0.11% 6.70M $90.1M
287 TANGO THERAPEUTICS TNGX 0.11% 3.62M $89.7M
288 KB HOME KBH 0.11% 1.56M $89.1M
289 PALOMAR HOLDINGS PLMR 0.11% 675.72K $89.0M
290 FIRST FINANCIAL BANCORP FFBC 0.11% 2.70M $88.3M
291 EXPONENT EXPO 0.11% 1.26M $88.1M
292 VERSIGENT PLC VGNT 0.11% 1.86M $87.9M
293 NCR ATLEOS NATL 0.11% 1.89M $87.9M
294 MAGNITE MGNI 0.11% 3.67M $87.8M
295 GRAIL INC GRAL 0.11% 1.06M $87.6M
296 PEABODY ENERGY CORP BTU 0.11% 3.19M $87.6M
297 FIRST INTERSTATE BANCSYSTEM FIBK 0.11% 2.36M $87.4M
298 NOVAGOLD RESOURCES INC NG.TO 0.11% 8.94M $87.3M
299 ASHLAND ASH 0.11% 1.18M $87.3M
300 MIAMI INTERNATIONAL HOLDINGS MIAX 0.11% 1.97M $87.3M
301 NICOLET BANKSHARES INC NIC 0.11% 507.74K $86.9M
302 DANA INCORPORATED INC DAN 0.11% 2.88M $86.8M
303 OPENDOOR TECHNOLOGIES CLASS A OPEN 0.11% 24.05M $86.6M
304 KINIKSA PHARMACEUTICALS INTERNATIO KNSA 0.11% 1.08M $86.5M
305 PARK NATIONAL CORP PRK 0.11% 432.37K $86.4M
306 TELEPHONE AND DATA SYSTEMS TDS 0.11% 2.55M $86.3M
307 IOVANCE BIOTHERAPEUTICS INC IOVA 0.11% 10.22M $86.2M
308 SIGNET JEWELERS SIG 0.11% 1.02M $86.0M
309 LEGENCE CLASS A LGN 0.11% 1.50M $85.9M
310 STEVEN MADDEN SHOO 0.11% 1.88M $85.8M
311 COMMUNITY FINANCIAL SYSTEM INC CBU 0.10% 1.36M $85.6M
312 RELAY THERAPEUTICS RLAY 0.10% 4.16M $85.6M
313 TOWNEBANK TOWN 0.10% 2.26M $85.3M
314 SEACOAST BANKING OF FLORIDA SBCF 0.10% 2.51M $85.2M
315 ULTRA CLEAN HOLDINGS INC UCTT 0.10% 1.15M $84.5M
316 MARRIOTT VACATIONS WORLDWIDE VAC 0.10% 721.66K $84.4M
317 WISDOMTREE WT 0.10% 3.49M $84.1M
318 OSI SYSTEMS OSIS 0.10% 410.17K $83.7M
319 CALUMET CLMT 0.10% 1.78M $83.6M
320 CORECIVIC REIT CXW 0.10% 2.52M $83.3M
321 SIMMONS FIRST NATIONAL CLASS A SFNC 0.10% 3.67M $83.2M
322 CELLDEX THERAPEUTICS CLDX 0.10% 2.01M $82.9M
323 CHESAPEAKE UTILITIES CPK 0.10% 612.30K $82.7M
324 MAXIMUS MMS 0.10% 1.41M $82.7M
325 CLEANSPARK CLSK 0.10% 6.48M $82.6M
326 ATKORE ATKR 0.10% 882.52K $82.6M
327 TRANSMEDICS GROUP TMDX 0.10% 879.88K $82.4M
328 NUSCALE POWER CORP CLASS A SMR 0.10% 8.35M $81.9M
329 MADISON SQUARE GARDEN ENTERTAINMEN MSGE 0.10% 1.01M $81.8M
330 BANKUNITED BKU 0.10% 1.76M $81.7M
331 HB FULLER FUL 0.10% 1.43M $81.7M
332 AVISTA AVA 0.10% 2.16M $81.6M
333 EDGEWISE THERAPEUTICS EWTX 0.10% 1.82M $80.6M
334 IMMUNITYBIO INC IBRX 0.10% 9.83M $80.5M
335 COLUMBIA FINANCIAL INC CLBK 0.10% 6.88M $80.2M
336 PLUG POWER PLUG 0.10% 35.17M $79.8M
337 THE VITA COCO COMPANY COCO 0.10% 1.25M $79.8M
338 GROUP AUTOMOTIVE INC GPI 0.10% 300.95K $79.7M
339 IMMUNOME IMNM 0.10% 2.71M $79.6M
340 CENTURY ALUMINUM CENX 0.10% 1.79M $79.0M
341 CALIFORNIA WATER SERVICE GROUP CWT 0.10% 1.56M $78.7M
342 PARK HOTELS RESORTS INC PK 0.10% 4.87M $78.7M
343 NAVAN CLASS A NAVN 0.10% 2.68M $78.5M
344 BEL FUSE CLASS B BELFB 0.10% 313.59K $78.4M
345 AMNEAL PHARMACEUTICALS CLASS A AMRX 0.10% 4.37M $78.3M
346 POWER INTEGRATIONS POWI 0.10% 1.43M $78.3M
347 BEAM THERAPEUTICS BEAM 0.10% 2.52M $78.3M
348 BALDWIN INSURANCE GROUP CLASS A BWIN 0.10% 2.52M $78.0M
349 ARCBEST ARCB 0.10% 573.53K $77.7M
350 ADEIA ADEA 0.10% 2.86M $77.7M
351 WEBULL CORP CLASS A BULL 0.10% 8.69M $77.7M
352 AMBARELLA 0YU1.L 0.10% 1.10M $77.6M
353 SPS COMMERCE SPSC 0.09% 961.34K $77.4M
354 AGILYSYS INC AGYS 0.09% 676.37K $77.4M
355 TARSUS PHARMACEUTICALS TARS 0.09% 1.08M $76.9M
356 SEADRILL SDRL.OL 0.09% 1.63M $76.8M
357 CURBLINE PROPERTIES CURB 0.09% 2.55M $76.6M
358 LIBERTY ENERGY CLASS A LBRT 0.09% 4.13M $75.9M
359 DNOW DNOW 0.09% 4.81M $75.7M
360 MERCURY GENERAL MCY 0.09% 722.58K $75.5M
361 MGE ENERGY MGEE 0.09% 954.50K $75.4M
362 SHAKE SHACK INC CLASS A SHAK 0.09% 1.01M $75.1M
363 EXTREME NETWORKS EXTR 0.09% 3.32M $75.1M
364 BRAZE INC CLASS A BRZE 0.09% 2.44M $75.0M
365 PROVIDENT FINANCIAL SERVICES INC PFS 0.09% 3.20M $75.0M
366 BOISE CASCADE BCC 0.09% 925.12K $75.0M
367 AEHR TEST SYSTEMS AEHR 0.09% 783.74K $74.9M
368 WD-40 WDFC 0.09% 349.49K $74.8M
369 UNITED NATURAL FOODS INC UNFI 0.09% 1.57M $74.8M
370 NATIONAL HEALTHCARE CORP NHC 0.09% 331.71K $74.5M
371 BROOKDALE SENIOR LIVING INC BKD 0.09% 6.11M $74.5M
372 MANPOWER INC MAN 0.09% 1.20M $74.5M
373 ACADIA REALTY TRUST REIT AKR 0.09% 3.49M $74.2M
374 RED ROCK RESORTS ORS CLASS A RRR 0.09% 1.24M $74.0M
375 DYNEX CAPITAL REIT DX 0.09% 5.67M $73.8M
376 VISTEON VC 0.09% 709.64K $73.5M
377 KNOWLES KN 0.09% 2.18M $73.5M
378 VEECO INSTRUMENTS INC VECO 0.09% 1.54M $73.4M
379 DIGITALBRIDGE GROUP INC CLASS A DBRG 0.09% 4.59M $73.3M
380 DIGI INTERNATIONAL DGII 0.09% 964.03K $73.2M
381 MCGRATH RENT MGRC 0.09% 636.89K $73.1M
382 BANK OF HAWAII BOH 0.09% 956.36K $72.8M
383 ACADEMY SPORTS AND OUTDOORS ASO 0.09% 1.67M $72.8M
384 SOLARIS ENERGY INFRASTRUCTURE INC SEI 0.09% 1.37M $72.6M
385 DHT HOLDINGS DHT 0.09% 3.78M $72.5M
386 ARCUTIS BIOTHERAPEUTICS ARQT 0.09% 2.91M $72.3M
387 ARTISAN PARTNERS ASSET MANAGEMENT APAM 0.09% 1.66M $72.3M
388 SOUNDHOUND AI CLASS A SOUN 0.09% 10.23M $72.1M
389 KINETIK HOLDINGS CLASS A KNTK 0.09% 1.33M $72.0M
390 ARCUS BIOSCIENCES RCUS 0.09% 2.28M $71.9M
391 FOUR CORNERS PROPERTY INC TRUST FCPT 0.09% 2.83M $71.8M
392 URBAN EDGE PROPERTIES UE 0.09% 3.31M $71.8M
393 NETSCOUT SYSTEMS NTCT 0.09% 1.88M $71.5M
394 ACADIA HEALTHCARE COMPANY ACHC 0.09% 2.38M $71.2M
395 ABM INDUSTRIES INC ABM 0.09% 1.52M $70.9M
396 NORTHERN OIL AND GAS NOG 0.09% 2.68M $70.9M
397 FRESHWORKS CLASS A FRSH 0.09% 5.50M $70.7M
398 CARGURUS CLASS A CARG 0.09% 1.94M $70.7M
399 RESIDEO TECHNOLOGIES REZI 0.09% 3.54M $70.5M
400 PATRICK INDUSTRIES PATK 0.09% 826.83K $70.5M
401 ALARM.COM HOLDINGS ALRM 0.09% 1.24M $70.3M
402 GULFPORT ENERGY GPOR 0.09% 406.78K $70.2M
403 WAYSTAR HOLDING WAY 0.09% 2.88M $69.8M
404 ST JOE JOE 0.09% 1.00M $69.5M
405 PHINIA PHIN 0.08% 977.40K $69.3M
406 WARBY PARKER CLASS A WRBY 0.08% 2.66M $69.1M
407 CBIZ CBZ 0.08% 1.26M $69.1M
408 FIRST MERCHANTS FRME 0.08% 1.65M $68.6M
409 SELLAS LIFE SCIENCES GROUP INC SLS 0.08% 4.86M $68.5M
410 ADVANCE AUTO PARTS INC AAP 0.08% 1.57M $68.5M
411 DIAMONDROCK HOSPITALITY DRH 0.08% 5.31M $68.4M
412 AMERICAN EAGLE OUTFITTERS AEO 0.08% 4.07M $68.1M
413 ONESPAWORLD HOLDINGS LTD OSW 0.08% 2.59M $68.1M
414 BANCORP INC TBBK 0.08% 1.01M $68.0M
415 ACADIAN ASSET MANAGEMENT AAMI 0.08% 726.02K $67.9M
416 AXOGEN AXGN 0.08% 1.36M $67.7M
417 HURON CONSULTING GROUP HURN 0.08% 423.74K $67.5M
418 TERADATA TDC 0.08% 2.46M $67.3M
419 ENLIVEN THERAPEUTICS ELVN 0.08% 1.10M $67.3M
420 CAREDX CDNA 0.08% 1.32M $67.3M
421 FIRST BANCORP FBNC 0.08% 1.05M $67.3M
422 RUSH STREET INTERACTIVE CLASS A RSI 0.08% 2.58M $67.2M
423 ATLANTA BRAVES HOLDINGS SERIES C BATRK 0.08% 1.26M $66.9M
424 BEACON FINANCIAL BBT 0.08% 2.13M $66.8M
425 NURIX THERAPEUTICS INC NRIX 0.08% 2.47M $66.7M
426 UPSTART HOLDINGS UPST 0.08% 2.18M $66.6M
427 BANC OF CALIFORNIA BANC 0.08% 3.58M $66.5M
428 NEKTAR THERAPEUTICS NKTR 0.08% 884.45K $66.3M
429 NBT BANCORP NBTB 0.08% 1.29M $66.3M
430 NEOGEN NEOG 0.08% 5.69M $66.3M
431 LCI INDUSTRIES LCII 0.08% 632.40K $66.3M
432 BENCHMARK ELECTRONICS INC BHE 0.08% 922.01K $66.3M
433 WAFD INC WAFD 0.08% 1.83M $66.2M
434 TRUSTMARK TRMK 0.08% 1.43M $66.0M
435 PRIVIA HEALTH GROUP INC PRVA 0.08% 3.11M $65.8M
436 DUCOMMUN DCO 0.08% 361.73K $65.6M
437 PENGUIN SOLUTIONS INC PENG 0.08% 1.30M $65.4M
438 SUPERNUS PHARMACEUTICALS SUPN 0.08% 1.44M $65.4M
439 ULTRAGENYX PHARMACEUTICAL RARE 0.08% 2.47M $65.3M
440 NEWELL BRANDS INC NWL 0.08% 11.00M $65.2M
441 FB FINANCIAL FBK 0.08% 1.14M $65.1M
442 KAISER ALUMINIUM KALU 0.08% 422.04K $64.9M
443 HILTON GRAND VACATIONS HGV 0.08% 1.44M $64.8M
444 NEWMARK GROUP INC CLASS A NMRK 0.08% 4.04M $64.6M
445 CRANE NXT CXT 0.08% 1.28M $64.1M
446 IMAX CORP IMAX 0.08% 1.19M $63.9M
447 PRESTIGE CONSUMER HEALTHCARE PBH 0.08% 1.23M $63.5M
448 GPGI INC CLASS A GPGI 0.08% 4.67M $63.5M
449 VISTANCE NETWORKS INC COMM 0.08% 5.74M $63.3M
450 HELIOS TECHNOLOGIES INC HLIO 0.08% 851.55K $63.2M
451 DXP ENTERPRISES DXPE 0.08% 335.40K $63.2M
452 FIVE9 FIVN 0.08% 1.95M $63.1M
453 INGEVITY NGVT 0.08% 913.42K $63.1M
454 FIRST BUSEY BUSE 0.08% 2.10M $63.0M
455 CUSTOMERS BANCORP CUBI 0.08% 798.66K $62.5M
456 INVENTRUST PROPERTIES IVT 0.08% 1.91M $62.5M
457 ALIGNMENT HEALTHCARE ALHC 0.08% 4.59M $62.3M
458 ATRICURE ATRC 0.08% 1.28M $62.3M
459 NLIGHT LASR 0.08% 1.44M $62.2M
460 COHEN & STEERS INC CNS 0.08% 743.65K $61.7M
461 CHEMOURS CC 0.08% 3.91M $61.7M
462 ACUSHNET HOLDINGS CORP GOLF 0.08% 714.82K $61.6M
463 SKYWARD SPECIALTY INSURANCE GROUP SKWD 0.08% 1.07M $61.6M
464 ASTRONICS ATRO 0.08% 826.74K $61.6M
465 BANCFIRST CORP BANF 0.08% 551.79K $61.3M
466 TRINITY INDUSTRIES INC TRN 0.07% 2.07M $61.2M
467 ENTERPRISE FINANCIAL SERVICES CORP EFSC 0.07% 963.73K $61.1M
468 INNOSPEC INC IOSP 0.07% 645.29K $60.9M
469 BANK OF NT BUTTERFIELD & SON LTD NTB 0.07% 1.04M $60.9M
470 COHU COHU 0.07% 1.20M $60.9M
471 LIVERAMP HOLDINGS INC RAMP 0.07% 1.61M $60.9M
472 HUB GROUP CLASS A HUBG 0.07% 1.55M $60.7M
473 ATAIBECKLEY INC ATAI 0.07% 8.15M $60.7M
474 LIFESTANCE HEALTH GROUP LFST 0.07% 4.94M $60.6M
475 EPLUS PLUS 0.07% 700.04K $60.5M
476 CALIX NETWORKS CALX 0.07% 1.52M $60.5M
477 LIONSGATE STUDIOS LION 0.07% 5.12M $60.4M
478 PAYMENTUS HOLDINGS INC CLASS A PAY 0.07% 1.53M $60.2M
479 MARZETTI LANC 0.07% 512.64K $60.2M
480 DISC MEDICINE IRON 0.07% 729.99K $60.2M
481 PERPETUA RESOURCES PPTA.TO 0.07% 2.21M $59.8M
482 HAWKINS INC HWKN 0.07% 503.71K $59.6M
483 FLYWIRE FLYW 0.07% 3.10M $59.5M
484 UFP TECHNOLOGIES INC UFPT 0.07% 195.58K $59.5M
485 ALPHA METALLURGICAL RESOURCE AMR 0.07% 275.60K $59.4M
486 BANNER CORP BANR 0.07% 844.85K $59.4M
487 INTAPP INTA 0.07% 1.45M $59.0M
488 QUAKER HOUGHTON CORP KWR 0.07% 358.25K $59.0M
489 WERNER ENTERPRISES WERN 0.07% 1.57M $58.9M
490 SUPER GROUP SGHC 0.07% 4.22M $58.9M
491 STONECO CLASS A STNE 0.07% 6.01M $58.8M
492 INTERFACE TILE 0.07% 1.51M $58.7M
493 BIOCRYST PHARMACEUTICALS BCRX 0.07% 5.97M $58.7M
494 NAVITAS SEMICONDUCTOR NVTS 0.07% 4.69M $58.4M
495 OUSTER OUST 0.07% 1.61M $58.3M
496 PENN ENTERTAINMENT PENN 0.07% 3.28M $58.3M
497 KENNAMETAL KMT 0.07% 1.98M $58.1M
498 PEDIATRIX MEDICAL GROUP INC MD 0.07% 2.15M $58.0M
499 VERA THERAPEUTICS CLASS A VERA 0.07% 1.64M $58.0M
500 ADDUS HOMECARE CORP ADUS 0.07% 478.71K $58.0M
501 H2O AMERICA HTO 0.07% 906.36K $57.9M
502 ROGERS ROG 0.07% 463.78K $57.9M
503 BLACKSTONE MORTGAGE TRUST REIT CLA BXMT 0.07% 4.12M $57.8M
504 MINERALS TECHNOLOGIES MTX 0.07% 804.97K $57.8M
505 REDWIRE RDW 0.07% 5.03M $57.7M
506 V2X VVX 0.07% 754.93K $57.7M
507 ADMA BIOLOGICS ADMA 0.07% 5.91M $57.5M
508 DENTSPLY SIRONA XRAY 0.07% 5.23M $57.4M
509 NCINO NCNO 0.07% 2.75M $57.2M
510 VERICEL VCEL 0.07% 1.32M $57.1M
511 PENNYMAC FINANCIAL SERVICES PFSI 0.07% 769.17K $57.0M
512 GREEN BRICK PARTNERS GRBK 0.07% 774.21K $56.9M
513 VERADERMICS MANE 0.07% 556.20K $56.9M
514 RH RH 0.07% 402.77K $56.9M
515 ANDERSONS INC ANDE 0.07% 862.90K $56.9M
516 TEEKAY TANKERS LTD CLASS A 0EAQ.L 0.07% 631.17K $56.8M
517 OCULAR THERAPEUTIX OCUL 0.07% 5.22M $56.7M
518 AVEPOINT CLASS A AVPT 0.07% 4.34M $56.7M
519 NORTHWEST BANCSHARES INC NWBI 0.07% 3.70M $56.6M
520 PELOTON INTERACTIVE CLASS A INC PTON 0.07% 10.51M $56.5M
521 NEOGENOMICS NEO 0.07% 3.37M $56.5M
522 CALLAWAY GOLF COMPANY ELY 0.07% 3.63M $56.2M
523 ENCORE CAPITAL GROUP ECPG 0.07% 547.96K $56.1M
524 VIRIDIAN THERAPEUTICS ORS INC VRDN 0.07% 2.32M $56.0M
525 STEWART INFO SERVICES CORP STC 0.07% 808.71K $56.0M
526 SELECT WATER SOLUTIONS CLASS A WTTR 0.07% 2.93M $55.6M
527 BREAD FINANCIAL HOLDINGS BFH 0.07% 514.44K $55.4M
528 SUNRUN INC RUN 0.07% 6.01M $55.2M
529 NORTHWEST NATURAL HOLDING COMPANY NWN 0.07% 1.10M $55.2M
530 OFG BANCORP OFG 0.07% 1.06M $54.9M
531 INTERPARFUMS INC IPAR 0.07% 470.31K $54.8M
532 INTUITIVE MACHINES INC CLASS A LUNR 0.07% 3.29M $54.6M
533 HCI GROUP INC HCI 0.07% 294.10K $54.6M
534 JOHN WILEY AND SONS CLASS A WLY 0.07% 1.01M $54.5M
535 MBX BIOSCIENCES MBX 0.07% 790.30K $54.2M
536 STOCK YARDS BANCORP INC SYBT 0.07% 675.95K $54.2M
537 HAPPEN LC 0.07% 2.97M $54.2M
538 TALOS ENERGY TALO 0.07% 3.28M $54.1M
539 FEDERAL AGRICULTURAL MORTGAGE NON AGM 0.07% 246.66K $54.0M
540 FIRST COMMONWEALTH FINANCIAL CORP FCF 0.07% 2.60M $53.9M
541 HORACE MANN EDUCATORS CORP HMN 0.07% 1.05M $53.6M
542 ARMOUR RESIDENTIAL REIT ARR 0.07% 3.25M $53.2M
543 KEEL INFRASTRUCTURE CORP KEEL 0.07% 15.15M $53.2M
544 SUNSTONE HOTEL INVESTORS REIT INC SHO 0.07% 4.67M $53.1M
545 CORVEL CRVL 0.06% 754.45K $52.9M
546 GREIF INC CLASS A GEF 0.06% 623.88K $52.8M
547 PACS GROUP PACS 0.06% 1.20M $52.7M
548 XENCOR XNCR 0.06% 1.79M $52.6M
549 SPECTRUM BRANDS HOLDINGS SPB 0.06% 590.60K $52.5M
550 NATIONAL ENERGY SERVICES REUNITED NESR 0.06% 1.57M $52.5M
551 PERDOCEO EDUCATION PRDO 0.06% 1.57M $52.3M
552 NETSTREIT NTST 0.06% 2.54M $52.3M
553 SEZZLE INC SEZL 0.06% 421.28K $52.3M
554 PERRIGO PLC 0Y5E.L 0.06% 3.61M $52.3M
555 LTC PROPERTIES REIT LTC 0.06% 1.28M $52.0M
556 CITY HOLDING CHCO 0.06% 357.78K $51.7M
557 AGIOS PHARMACEUTICALS AGIO 0.06% 1.52M $51.5M
558 ICHOR HOLDINGS 0Z0F.L 0.06% 899.17K $51.4M
559 ALLEGIANT TRAVEL ALGT 0.06% 621.50K $51.2M
560 AURINIA PHARMACEUTICALS AUPH 0.06% 3.04M $50.9M
561 UROGEN PHARMA URGN 0.06% 1.09M $50.7M
562 NELNET CLASS A NNI 0.06% 393.11K $50.6M
563 TRINET GROUPINARY TNET 0.06% 725.14K $50.5M
564 PEBBLEBROOK HOTEL TRUST REIT PEB 0.06% 2.75M $50.4M
565 SAREPTA THERAPEUTICS SRPT 0.06% 2.66M $50.4M
566 KOHLS CORP KSS 0.06% 2.84M $50.2M
567 DXC TECHNOLOGY DXC 0.06% 4.59M $50.0M
568 GETTY REALTY REIT GTY 0.06% 1.49M $50.0M
569 GLOBAL NET LEASE INC GNL 0.06% 5.40M $50.0M
570 BROOKFIELD BUSINESS CORP CLASS A BBUC.TO 0.06% 1.76M $49.9M
571 INSPERITY NSP 0.06% 952.64K $49.9M
572 ESTABLISHMENT LABS INC ESTA 0.06% 690.92K $49.9M
573 STRATEGIC EDUCATION STRA 0.06% 577.29K $49.7M
574 DORIAN LPG LPG 0.06% 973.59K $49.4M
575 BIOHAVEN BHVN 0.06% 3.43M $49.3M
576 ZIFF DAVIS INC JCOM 0.06% 888.44K $49.2M
577 ENERPAC TOOL GROUP CLASS A EPAC 0.06% 1.32M $49.1M
578 TREVI THERAPEUTICS TRVI 0.06% 2.73M $49.0M
579 GENIUS SPORTS LTD GENI 0.06% 6.13M $48.7M
580 ALUMIS ALMS 0.06% 2.03M $48.6M
581 EVERTEC INC EVTC 0.06% 1.63M $48.6M
582 BUTTERFLY NETWORK CLASS A BFLY 0.06% 5.37M $48.5M
583 HAWAIIAN ELECTRIC INDUSTRIES HE 0.06% 4.26M $48.4M
584 NOVOCURE NVCR 0.06% 2.75M $48.4M
585 FIRST ADVANTAGE FA 0.06% 2.38M $48.3M
586 PROTO LABS PRLB 0.06% 621.21K $48.2M
587 DOUBLEVERIFY HOLDINGS DV 0.06% 3.62M $48.2M
588 GERMAN AMERICAN BANCORP INC GABC 0.06% 971.19K $48.2M
589 BLUE BIRD BLBD 0.06% 818.46K $48.0M
590 PAYONEER GLOBAL INC PAYO 0.06% 6.75M $48.0M
591 SMARTSTOP SELF STORAGE REIT INC SMA 0.06% 1.41M $48.0M
592 SONOS SONO 0.06% 3.12M $47.7M
593 CENTRAL GARDEN AND PET CLASS A CENTA 0.06% 1.24M $47.6M
594 XENIA HOTELS RESORTS REIT XHR 0.06% 2.41M $47.5M
595 CENTURI HOLDINGS INC CTRI 0.06% 2.27M $47.2M
596 MASTERBRAND MBC 0.06% 5.20M $47.1M
597 PROGRESS SOFTWARE CORP PRGS 0.06% 1.09M $47.1M
598 INTELLIA THERAPEUTICS NTLA 0.06% 3.48M $47.0M
599 INNODATA INOD 0.06% 821.23K $46.9M
600 A10 NETWORKS INC ATEN 0.06% 1.87M $46.9M
601 STOKE THERAPEUTICS STOK 0.06% 1.40M $46.7M
602 SIRIUSPOINT SPNT 0.06% 1.95M $46.7M
603 DIVERSIFIED HEALTHCARE TRUST DHC 0.06% 5.77M $46.6M
604 PATHWARD FINANCIAL INC CASH 0.06% 552.42K $46.2M
605 WORTHINGTON ENTERPRISES WOR 0.06% 805.50K $46.2M
606 RECURSION PHARMACEUTICALS CLASS A RXRX 0.06% 12.96M $46.2M
607 CENTURY COMMUNITIES INC CCS 0.06% 655.44K $46.1M
608 VOYAGER TECHNOLOGIES CLASS A VOYG 0.06% 1.33M $46.1M
609 NUVATION BIO CLASS A NUVB 0.06% 6.48M $46.0M
610 NATIONAL BANK HOLDINGS CORP CLASS NBHC 0.06% 1.11M $46.0M
611 PROGYNY PGNY 0.06% 1.78M $46.0M
612 WORLD KINECT WKC 0.06% 1.30M $45.8M
613 TIC SOLUTIONS INC TIC 0.06% 4.67M $45.6M
614 SYNDAX PHARMACEUTICALS SNDX 0.06% 2.29M $45.5M
615 FIREFLY AEROSPACE FLY 0.06% 2.04M $45.5M
616 CLOVER HEALTH INVESTMENTS CLASS A CLOV 0.06% 10.98M $45.3M
617 INSPIRE MEDICAL SYSTEMS INSP 0.06% 740.77K $45.2M
618 GOODYEAR TIRE & RUBBER GT 0.06% 7.29M $45.2M
619 GENEDX HOLDINGS CLASS A WGS 0.06% 516.50K $45.1M
620 GLOBANT GLOB 0.06% 1.12M $45.0M
621 FORTREA HOLDINGS INC FTRE 0.06% 2.46M $44.9M
622 HARMONY BIOSCIENCES HLDG HRMY 0.05% 1.15M $44.8M
623 JETBLUE AIRWAYS JBLU 0.05% 8.79M $44.6M
624 S AND T BANCORP INC STBA 0.05% 889.78K $44.5M
625 BLACKBAUD BLKB 0.05% 934.10K $44.3M
626 QUANTUM COMPUTING QUBT 0.05% 5.23M $44.2M
627 UNITI GROUP INC UNIT 0.05% 4.38M $44.2M
628 LEMAITRE VASCULAR LMAT 0.05% 558.98K $44.1M
629 ASTRANA HEALTH AMEH 0.05% 1.17M $44.0M
630 ALAMO GROUP ALG 0.05% 271.43K $44.0M
631 PORCH GROUP INC PRCH 0.05% 2.52M $43.9M
632 PHOTRONICS PLAB 0.05% 1.50M $43.9M
633 WOLVERINE WORLD WIDE WWW 0.05% 2.14M $43.7M
634 TRIUMPH FINANCIAL TFIN 0.05% 593.96K $43.7M
635 GOOSEHEAD INSURANCE CLASS A GSHD 0.05% 603.09K $43.6M
636 BLADEX INC CLASS E BLX 0.05% 797.39K $43.5M
637 HOPE BANCORP INC HOPE 0.05% 3.13M $43.4M
638 ALBANY INTERNATIONAL CORP CLASS A AIN 0.05% 743.82K $43.3M
639 ETON PHARMACEUTCIALS INC ETON 0.05% 684.94K $43.2M
640 HAMILTON INSURANCE GROUP CLASS B HG 0.05% 1.23M $43.2M
641 INNOVATIVE INDUSTRIAL PROPERTIES I IIPR 0.05% 746.55K $43.0M
642 ELLINGTON FINANCIAL EFC 0.05% 3.16M $42.9M
643 QCR HOLDINGS INC QCRH 0.05% 429.48K $42.9M
644 DIME COMMERCIAL BANCSHARES DCOM 0.05% 1.06M $42.6M
645 AMC ENTERTAINMENT HOLDINGS INC CLA AMC 0.05% 16.01M $42.4M
646 GORMAN-RUPP GRC 0.05% 548.53K $42.1M
647 TURNING POINT BRANDS INC TPB 0.05% 487.71K $41.8M
648 INFLEQTION INC INFQ 0.05% 3.02M $41.8M
649 ICF INTERNATIONAL ICFI 0.05% 471.65K $41.7M
650 HILLTOP HOLDINGS HTH 0.05% 1.08M $41.6M
651 SALLY BEAUTY HOLDINGS INC SBH 0.05% 2.53M $41.6M
652 MILLERKNOLL MLKN 0.05% 1.79M $41.6M
653 KOSMOS ENERGY KOS 0.05% 15.22M $41.6M
654 1ST SOURCE CORP SRCE 0.05% 482.34K $41.5M
655 PROG HOLDINGS INC PRG 0.05% 1.04M $41.5M
656 PALVELLA THERAPEUTICS INC PVLA 0.05% 279.68K $41.5M
657 CTS CORP CTS 0.05% 730.41K $41.4M
658 HILLMAN SOLUTIONS CORP HLMN 0.05% 5.10M $41.4M
659 SIX FLAGS ENTERTAINMENT CORP FUN 0.05% 2.49M $41.3M
660 DAMORA THERAPEUTICS INC DMRA 0.05% 1.35M $41.3M
661 HUNTSMAN CORP HUN 0.05% 4.32M $41.2M
662 HEALTHCARE SERVICES GROUP HCSG 0.05% 1.79M $41.1M
663 DIEBOLD NIXDORF INC DBD 0.05% 606.04K $41.1M
664 LINDBLAD EXPEDITIONS HOLDINGS LIND 0.05% 1.29M $41.0M
665 INNOVIVA INVA 0.05% 1.93M $40.9M
666 CAPRI HOLDINGS LTD CPRI 0.05% 3.07M $40.8M
667 BANK FIRST CORP BFC 0.05% 266.88K $40.8M
668 TRICO BANCSHARES TCBK 0.05% 757.74K $40.8M
669 KEMPER KMPR 0.05% 1.47M $40.7M
670 CONMED CORP CNMD 0.05% 796.01K $40.7M
671 APPIAN CORP CLASS A APPN 0.05% 1.03M $40.7M
672 NEXTNAV NN 0.05% 2.59M $40.7M
673 BLACKLINE INC BL 0.05% 1.28M $40.6M
674 ORIGIN BANCORP INC OBK 0.05% 764.27K $40.4M
675 CONNECTONE BANCORP CNOB 0.05% 1.26M $40.4M
676 SHARPLINK INC SBET 0.05% 4.83M $40.3M
677 RAPPORT THERAPEUTICS RAPP 0.05% 788.00K $40.3M
678 BIOLIFE SOLUTIONS BLFS 0.05% 1.08M $40.2M
679 KODIAK SCIENCES KOD 0.05% 1.02M $40.1M
680 OCEANFIRST FINANCIAL CORP OCFC 0.05% 2.12M $39.9M
681 DAUCH CORPORATION AXL 0.05% 6.20M $39.8M
682 SAFETY INSURANCE GROUP INC SAFT 0.05% 383.45K $39.8M
683 SLIDE INSURANCE HOLDINGS SLDE 0.05% 1.72M $39.7M
684 PAGSEGURO DIGITAL LTD CLASS A PAGS 0.05% 4.40M $39.7M
685 ADI GLOBAL DISTRIBUTION ADIG 0.05% 1.77M $39.4M
686 ANI PHARMACEUTICALS ANIP 0.05% 520.56K $39.4M
687 PITNEY BOWES PBI 0.05% 2.30M $39.3M
688 DOUGLAS EMMETT REIT DEI 0.05% 3.22M $39.1M
689 TRUMP MEDIA TECHNOLOGY GROUP CORP DJT 0.05% 4.15M $39.0M
690 MONARCH CASINO AND RESORT MCRI 0.05% 315.56K $39.0M
691 OMNICELL INC OMCL 0.05% 1.17M $39.0M
692 STUBHUB HOLDINGS INC CLASS A STUB 0.05% 5.73M $39.0M
693 ENACT HOLDINGS INC ACT 0.05% 786.32K $39.0M
694 HYPERLIQUID STRATEGIES INC PURR 0.05% 3.28M $38.9M
695 MINERALYS THERAPEUTICS MLYS 0.05% 1.48M $38.9M
696 TANDEM DIABETES CARE TNDM 0.05% 1.79M $38.7M
697 ADIENT PLC ADNT 0.05% 2.08M $38.7M
698 CIMPRESS PLC CMPR 0.05% 440.43K $38.7M
699 SFL SFL 0.05% 3.16M $38.7M
700 BIGBEAR.AI HOLDINGS BBAI 0.05% 12.50M $38.6M
701 XERIS BIOPHARMA HOLDINGS XERS 0.05% 4.40M $38.4M
702 TAYSHA GENE THERAPIES TSHA 0.05% 6.16M $38.2M
703 NATIONAL VISION HOLDINGS EYE 0.05% 2.04M $38.1M
704 ENOVIS CORP ENOV 0.05% 1.49M $38.1M
705 PEOPLES BANCORP INC PEBO 0.05% 961.79K $38.0M
706 WENDYS WEN 0.05% 4.16M $38.0M
707 RLJ LODGING TRUST REIT RLJ 0.05% 3.28M $38.0M
708 BITDEER TECHNOLOGIES GROUP CLASS A BTDR 0.05% 3.36M $37.9M
709 PDF SOLUTIONS PDFS 0.05% 851.67K $37.7M
710 EXPRO LTD XPRO 0.05% 2.14M $37.7M
711 BOSTON BEER CLASS A SAM 0.05% 198.25K $37.6M
712 VIA TRANSPORTATION CLASS A VIA 0.05% 1.34M $37.4M
713 FORTE BIOSCIENCES INC FBRX 0.05% 484.67K $37.3M
714 LIVE OAK BANCSHARES LOB 0.05% 930.82K $37.2M
715 MARQETA CLASS A MQ 0.05% 2.27M $37.1M
716 IVANHOE ELECTRIC IE 0.05% 3.11M $37.0M
717 LAKELAND FINANCIAL CORP LKFN 0.05% 620.72K $37.0M
718 ARLO TECHNOLOGIES ARLO 0.05% 2.77M $36.8M
719 NOVAVAX NVAX 0.05% 3.90M $36.8M
720 GREENBRIER INC GBX 0.05% 796.71K $36.8M
721 DLOCAL CLASS A DLO 0.05% 2.37M $36.8M
722 HYCROFT MINING HOLDING CORP CLASS HYMC 0.04% 1.40M $36.6M
723 NORDIC AMERICAN TANKERS LTD 0UC0.L 0.04% 5.29M $36.5M
724 BUCKLE BKE 0.04% 834.17K $36.5M
725 FMC CORP FMC 0.04% 3.25M $36.3M
726 HELIX ENERGY SOLUTIONS GROUP INC HLX 0.04% 3.60M $36.0M
727 AZENTA BRKS 0.04% 1.08M $36.0M
728 AMPRIUS TECHNOLOGIES INC AMPX 0.04% 3.54M $36.0M
729 PRECIGEN PGEN 0.04% 4.94M $35.9M
730 ALLIANCE LAUNDRY HOLDINGS ALH 0.04% 1.51M $35.9M
731 FIGS CLASS A FIGS 0.04% 2.44M $35.9M
732 AMERICAN SUPERCONDUCTOR CORP AMSC 0.04% 1.21M $35.8M
733 WALKER & DUNLOP INC WD 0.04% 878.53K $35.7M
734 CULLINAN THERAPEUTICS CGEM 0.04% 1.56M $35.7M
735 OMEROS OMER 0.04% 1.85M $35.7M
736 ALLIENT INC ALNT 0.04% 383.58K $35.7M
737 BANDWIDTH CLASS A BAND 0.04% 763.76K $35.6M
738 GIBRALTAR INDUSTRIES ROCK 0.04% 772.35K $35.5M
739 ORCHID ISLAND CAPITAL INC ORC 0.04% 5.29M $35.5M
740 ENERGIZER HOLDINGS INC ENR 0.04% 1.61M $35.3M
741 STRIVE INC CLASS A ASST 0.04% 1.65M $35.2M
742 HARMONIC HLIT 0.04% 2.86M $35.2M
743 EDGEWELL PERSONAL CARE EPC 0.04% 1.21M $35.2M
744 STEPAN SCL 0.04% 565.80K $35.1M
745 COURSERA COUR 0.04% 5.67M $35.1M
746 UMH PROPERTIES INC UMH 0.04% 2.12M $35.1M
747 MERCHANTS BANCORP MBIN 0.04% 655.45K $35.1M
748 J AND J SNACK FOODS CORP JJSF 0.04% 392.26K $35.0M
749 SCANSOURCE SCSC 0.04% 619.45K $34.8M
750 FLOWERS FOODS INC FLO 0.04% 4.90M $34.8M
751 ALKAMI TECHNOLOGY ALKT 0.04% 1.72M $34.7M
752 TOMPKINS FINANCIAL CORP TMP 0.04% 354.69K $34.7M
753 GIGACLOUD TECHNOLOGY INC CLASS A GCT 0.04% 659.97K $34.5M
754 WESTAMERICA BANCORPORATION WABC 0.04% 593.36K $34.4M
755 AMN HEALTHCARE AMN 0.04% 1.01M $34.4M
756 HARROW HROW 0.04% 831.06K $34.3M
757 CRACKER BARREL OLD COUNTRY STORE I CBRL 0.04% 588.12K $34.3M
758 HERBALIFE LTD HLF 0.04% 2.65M $34.2M
759 C3 AI INC CLASS A AI 0.04% 3.48M $34.1M
760 EVERFORTH EFOR 0.04% 1.08M $34.1M
761 ABSCI CORP ABSI 0.04% 3.54M $34.1M
762 XPEL XPEL 0.04% 668.04K $33.5M
763 LA-Z-BOY INC LZB 0.04% 1.04M $33.4M
764 UNITED STATES LIME AND MINERALS IN USLM 0.04% 280.73K $33.4M
765 VIR BIOTECHNOLOGY VIR 0.04% 3.11M $33.4M
766 INNOVEX INTERNATIONAL INC INVX 0.04% 1.16M $33.3M
767 PENNANT GROUP PNTG 0.04% 868.96K $33.2M
768 GENTHERM THRM 0.04% 823.92K $33.0M
769 NEPTUNE INSURANCE HOLDINGS CLASS A NP 0.04% 954.90K $32.9M
770 LEGGETT & PLATT LEG 0.04% 3.52M $32.8M
771 AMPLITUDE CLASS A AMPL 0.04% 2.50M $32.8M
772 MANNKIND MNKD 0.04% 7.89M $32.8M
773 COMMUNITY TRUST BANCORP CTBI 0.04% 429.12K $32.8M
774 ZYMEWORKS ZYME 0.04% 1.19M $32.7M
775 NABORS INDUSTRIES NBR 0.04% 371.80K $32.6M
776 BELLRING BRANDS BRBR 0.04% 3.03M $32.6M
777 INGLES MARKETS CLASS A IMKTA 0.04% 384.49K $32.6M
778 BJS RESTAURANTS INC BJRI 0.04% 497.98K $32.5M
779 REPLIMUNE GROUP REPL 0.04% 2.05M $32.3M
780 PIEDMONT REALTY TRUST CLASS A PDM 0.04% 3.26M $32.3M
781 THE REALREAL REAL 0.04% 2.90M $32.3M
782 NAPCO SECURITY TECHNOLOGIES NSSC 0.04% 885.18K $32.2M
783 TENNANT TNC 0.04% 459.83K $32.2M
784 SYLVAMO CORP SLVM 0.04% 872.85K $32.2M
785 OLD SECOND BANCORP INC OSBC 0.04% 1.28M $32.2M
786 NEXTDECADE NEXT 0.04% 4.31M $32.2M
787 WILLDAN GROUP WLDN 0.04% 376.53K $32.2M
788 YELP YELP 0.04% 1.36M $32.2M
789 ACV AUCTIONS CLASS A ACVA 0.04% 4.40M $32.0M
790 CARTERS CRI 0.04% 937.49K $31.8M
791 MYERS INDUSTRIES INC MYE 0.04% 971.88K $31.8M
792 EOS ENERGY ENTERPRISES CLASS A EOSE 0.04% 8.95M $31.7M
793 G III APPAREL GROUP LTD GIII 0.04% 950.27K $31.6M
794 DIGITAL TURBINE APPS 0.04% 2.92M $31.6M
795 HARLEY DAVIDSON HOG 0.04% 1.15M $31.5M
796 LGI HOMES LGIH 0.04% 532.01K $31.4M
797 BRISTOW GROUP VTOL 0.04% 681.52K $31.3M
798 FIRST MID BANCSHARES INC FMBH 0.04% 623.64K $31.3M
799 HERITAGE FINANCIAL CORP HFWA 0.04% 1.08M $31.2M
800 PROCEPT BIOROBOTICS CORP PRCT 0.04% 1.44M $31.1M
801 VESTIS VSTS 0.04% 2.41M $31.0M
802 AGILON HEALTH AGL 0.04% 322.10K $31.0M
803 GLOBAL BUSINESS TRAVEL GROUP CLASS GBTG 0.04% 3.27M $30.9M
804 REX AMERICAN RESOURCES REX 0.04% 744.38K $30.9M
805 ARTIVION INC AORT 0.04% 1.17M $30.9M
806 BYLINE BANCORP INC BY 0.04% 809.70K $30.9M
807 UNITED FIRE GROUP INC UFCS 0.04% 574.16K $30.7M
808 ARRIVENT BIOPHARMA AVBP 0.04% 971.97K $30.5M
809 DONNELLEY FINANCIAL SOLUTIONS DFIN 0.04% 637.78K $30.5M
810 ACCELERANT HOLDINGS CLASS A ARX 0.04% 1.55M $30.4M
811 NCR VOYIX NCR 0.04% 3.73M $30.3M
812 UNIVERSAL UVV 0.04% 660.84K $30.3M
813 UNIVEST FINANCIAL CORP UVSP 0.04% 728.90K $30.3M
814 PERSONALIS PSNL 0.04% 1.75M $30.2M
815 LINDSAY LNN 0.04% 264.79K $30.2M
816 US PHYSICAL THERAPY INC USPH 0.04% 390.84K $30.2M
817 SHOALS TECHNOLOGIES GROUP CLASS A SHLS 0.04% 4.38M $30.2M
818 PERELLA WEINBERG PARTNERS CLASS A PWP 0.04% 1.82M $30.2M
819 PELAGOS INSURANCE CAPITAL LTD PLGO 0.04% 1.25M $30.1M
820 INHIBRX BIOSCIENCES INC INBX 0.04% 243.94K $29.9M
821 AMERICAN ASSETS TRUST REIT AAT 0.04% 1.29M $29.9M
822 RUM GROUP CLASS A RUM 0.04% 2.92M $29.8M
823 KURA ONCOLOGY KURA 0.04% 2.19M $29.7M
824 O I GLASS OI 0.04% 3.96M $29.7M
825 TRIPADVISOR TRIP 0.04% 2.94M $29.7M
826 ALPHATEC HOLDNGS ATEC 0.04% 3.18M $29.7M
827 ANAPTYSBIO ANAB 0.04% 508.29K $29.7M
828 SONIDA SENIOR LIVING SNDA 0.04% 722.01K $29.6M
829 BRIGHTSTAR LOTTERY PLC BRSL 0.04% 2.54M $29.5M
830 INTEGRA LIFESCIENCES HOLDINGS IART 0.04% 1.76M $29.5M
831 GROCERY OUTLET HOLDING GO 0.04% 2.43M $29.4M
832 CVR ENERGY INC CVI 0.04% 774.95K $29.4M
833 CONCENTRIX CNXC 0.04% 1.09M $29.4M
834 SCHRODINGER INC SDGR 0.04% 1.47M $29.3M
835 BURKE HERBERT FINANCIAL SERVICES C BHRB 0.04% 408.04K $29.3M
836 WORTHINGTON STEEL INC WS 0.04% 859.89K $29.2M
837 LADDER CAPITAL CORP CLASS A LADR 0.04% 2.93M $29.2M
838 TELADOC HEALTH INC TDOC 0.04% 4.70M $29.1M
839 VIRTUS INVESTMENT PARTNERS VRTS 0.04% 174.30K $29.0M
840 IDT CLASS B IDT 0.04% 417.49K $29.0M
841 UNIVERSAL INSURANCE HOLDINGS INC UVE 0.04% 668.12K $28.9M
842 SURGERY PARTNERS SGRY 0.04% 2.06M $28.9M
843 AMBIQ MICRO AMBQ 0.04% 478.74K $28.8M
844 ECOVYST ECVT 0.04% 2.84M $28.8M
845 TRUPANION TRUP 0.04% 902.43K $28.7M
846 UNUSUAL MACHINES INC UMAC 0.04% 1.17M $28.6M
847 RYERSON HOLDING RYZ 0.03% 1.16M $28.4M
848 QUINSTREET INC QNST 0.03% 1.41M $28.4M
849 EASTERLY GOVERNMENT PROPERTIES INC DEA 0.03% 1.13M $28.4M
850 CBL ASSOCIATES PROPERTIES CBL 0.03% 507.86K $28.3M
851 MERCANTILE BANK CORP MBWM 0.03% 469.06K $28.3M
852 MCEWEN INC MUX 0.03% 1.32M $28.3M
853 DOLE PLC DOLE 0.03% 2.08M $28.2M
854 TRIMAS TRS 0.03% 707.46K $28.1M
855 DELUXE DLX 0.03% 1.17M $28.0M
856 LB PHARMACEUTICALS INC LBRX 0.03% 574.19K $28.0M
857 BICARA THERAPEUTICS INC BCAX 0.03% 1.13M $27.9M
858 CRA INTERNATIONAL INC CRAI 0.03% 161.84K $27.8M
859 UNIVERSAL TECHNICAL INSTITUTE UTI 0.03% 1.23M $27.8M
860 NPK INTERNATIONAL NPKI 0.03% 2.11M $27.8M
861 MONTE ROSA THERAPEUTICS GLUE 0.03% 1.90M $27.7M
862 MAZE THERAPEUTICS MAZE 0.03% 908.26K $27.6M
863 LIBERTY LATIN AMERICA CLASS C 0MDS.L 0.03% 3.23M $27.6M
864 AVEANNA HEALTHCARE HOLDINGS INC AVAH 0.03% 2.02M $27.5M
865 DEL MONTE DMC 0.03% 860.85K $27.4M
866 MIDDLESEX WATER MSEX 0.03% 467.24K $27.4M
867 UPBOUND GROUP RCII 0.03% 1.41M $27.3M
868 PROPETRO HOLDING PUMP 0.03% 2.58M $27.3M
869 NWPX INFRASTRUCTURE INC NWPX 0.03% 247.14K $27.3M
870 BORR DRILLING BORR.OL 0.03% 6.11M $27.2M
871 UPWORK UPWK 0.03% 3.12M $27.2M
872 ANTERIX ATEX 0.03% 294.16K $27.2M
873 FIRST TRACKS BIOTHERAPEUTICS INC TRAX 0.03% 600.06K $27.1M
874 CASTLE BIOSCIENCES CSTL 0.03% 771.22K $27.0M
875 PREFORMED LINE PRODUCTS PLPC 0.03% 65.37K $27.0M
876 FUELCELL ENERGY INC FCEL 0.03% 1.39M $26.9M
877 BABCOCK AND WILCOX ENTERPRISES BW 0.03% 3.43M $26.9M
878 UTZ BRANDS INC CLASS A UTZ 0.03% 1.88M $26.8M
879 TECNOGLASS HOLDINGS TGLS 0.03% 661.06K $26.7M
880 QUIDELORTHO CORP QDEL 0.03% 1.77M $26.7M
881 METROPOLITAN BANK HOLDING CORP MCB 0.03% 293.86K $26.7M
882 BUSINESS FIRST BANCSHARES INC BFST 0.03% 854.69K $26.6M
883 MARINEMAX INC HZO 0.03% 510.23K $26.6M
884 ORIC PHARMACEUTICALS ORIC 0.03% 1.92M $26.6M
885 CNB FINANCIAL CORP CCNE 0.03% 782.77K $26.5M
886 DIVERSIFIED ENERGY COMPANY DEC 0.03% 1.81M $26.5M
887 MARAVAI LIFESCIENCES HOLDINGS INC MRVI 0.03% 2.93M $26.4M
888 PURSUIT ATTRACTIONS AND HOSPITALIT PRSU 0.03% 538.45K $26.3M
889 LIQUIDITY SERVICES INC LQDT 0.03% 610.30K $26.3M
890 UNDER ARMOUR INC CLASS A UAA 0.03% 5.13M $26.3M
891 CAPITOL FEDERAL FINANCIAL INC CFFN 0.03% 3.08M $26.3M
892 GREEN PLAINS GPRE 0.03% 1.79M $26.2M
893 HORIZON BANCORP INC HBNC 0.03% 1.34M $26.2M
894 WINMARK WINA 0.03% 75.26K $26.1M
895 ASTEC INDUSTRIES ASTE 0.03% 596.51K $26.1M
896 PAGERDUTY PD 0.03% 2.13M $26.1M
897 RED CAT HOLDINGS INC RCAT 0.03% 2.86M $26.1M
898 PACIRA BIOSCIENCES PCRX 0.03% 1.02M $26.0M
899 PC CONNECTION INC CNXN 0.03% 328.10K $26.0M
900 COMSTOCK RESOURCES CRK 0.03% 1.83M $25.9M
901 FLEX LNG FLNG.OL 0.03% 804.93K $25.7M
902 CAMDEN NATIONAL CORP CAC 0.03% 454.89K $25.6M
903 FIRST FINANCIAL CORPORATION CORP THFF 0.03% 323.29K $25.6M
904 ATLAS ENERGY SOLUTIONS AESI 0.03% 2.13M $25.6M
905 GRAHAM CORP GHM 0.03% 274.19K $25.6M
906 VERTEX CLASS A VERX 0.03% 1.89M $25.5M
907 CHIMERA INVESTMENT CIM 0.03% 2.19M $25.5M
908 CORVUS PHARMACEUTICALS CRVS 0.03% 1.75M $25.5M
909 FLUENCE ENERGY INC CLASS A FLNC 0.03% 2.26M $25.4M
910 NORTHEAST BANK NBN 0.03% 197.95K $25.3M
911 REVOLVE GROUP CLASS A INC RVLV 0.03% 1.08M $25.2M
912 KFORCE INC KFRC 0.03% 435.71K $25.1M
913 DOUGLAS DYNAMICS INC PLOW 0.03% 602.06K $25.1M
914 TYRA BIOSCIENCES TYRA 0.03% 939.92K $25.1M
915 CADRE HOLDINGS INC CDRE 0.03% 797.55K $25.0M
916 VOR BIOPHARMA VOR 0.03% 1.04M $25.0M
917 PURECYCLE TECHNOLOGIES PCT 0.03% 3.74M $25.0M
918 FARMERS NATIONAL BANC CORP FMNB 0.03% 1.60M $25.0M
919 FIRSTSUN CAPITAL BANCORP FSUN 0.03% 620.16K $25.0M
920 EXCELERATE ENERGY CLASS A EE 0.03% 627.03K $24.9M
921 ZENAS BIOPHARMA ZBIO 0.03% 735.13K $24.8M
922 AMALGAMATED FINANCIAL CORP AMAL 0.03% 511.14K $24.7M
923 PENNYMAC MORTGAGE INVESTMENT TRUST PMT 0.03% 2.66M $24.7M
924 BLOOMIN BRANDS INC BLMN 0.03% 2.23M $24.6M
925 ZOOMINFO TECHNOLOGIES ZI 0.03% 6.36M $24.6M
926 TRUSTCO BANK CORP TRST 0.03% 431.35K $24.5M
927 LIGHTWAVE LOGIC LWLG 0.03% 4.11M $24.4M
928 NUTEX HEALTH INC NUTX 0.03% 129.65K $24.4M
929 STANDARD MOTOR PRODUCTS INC SMP 0.03% 647.53K $24.3M
930 GOLD INC GOLD 0.03% 517.91K $24.3M
931 CERTARA CERT 0.03% 2.97M $24.2M
932 COTY INC CLASS A COTY 0.03% 9.05M $24.2M
933 CLEAR CHANNEL OUTDOOR HOLDINGS INC CCO 0.03% 10.14M $24.1M
934 UNITIL CORP UTL 0.03% 447.07K $24.1M
935 ALTO NEUROSCIENCE INC ANRO 0.03% 663.61K $24.1M
936 AMERANT BANCORP CLASS A AMTB 0.03% 840.42K $24.0M
937 BURFORD CAPITAL LTD BUR.L 0.03% 5.37M $24.0M
938 SERVICE PROPERTIES TRUST SVC 0.03% 3.01M $24.0M
939 SONIC AUTOMOTIVE INC CLASS A SAH 0.03% 311.49K $24.0M
940 SOUTHSIDE BANCSHARES INC SBSI 0.03% 749.40K $23.9M
941 ARDELYX ARDX 0.03% 6.28M $23.7M
942 CENTERSPACE CSR 0.03% 440.25K $23.7M
943 QUANEX BUILDING PRODUCTS CORP NX 0.03% 1.19M $23.6M
944 THE SIMPLY GOOD FOODS COMPANY SMPL 0.03% 2.16M $23.6M
945 SEPTERNA SEPN 0.03% 570.96K $23.6M
946 FOX FACTORY HOLDING FOXF 0.03% 1.11M $23.6M
947 PULSE BIOSCIENCES INC PLSE 0.03% 480.84K $23.6M
948 STAGWELL CLASS A STGW 0.03% 2.70M $23.5M
949 EMPLOYERS HOLDINGS EIG 0.03% 481.51K $23.5M
950 OIL DRI CORPORATION OF AMERICA ODC 0.03% 254.38K $23.3M
951 ASANA CLASS A ASAN 0.03% 2.47M $23.3M
952 BACKBLAZE INC CLASS A BLZE 0.03% 1.52M $23.3M
953 COLLEGIUM PHARMACEUTICAL INC COLL 0.03% 845.78K $23.2M
954 MFA FINANCIAL MFA 0.03% 2.62M $23.1M
955 WINNEBAGO INDUSTRIES WGO 0.03% 724.93K $23.1M
956 NB BANCORP INC NBBK 0.03% 1.03M $23.0M
957 GENCO SHIPPING AND TRADING GNK 0.03% 842.32K $23.0M
958 WEIS MARKETS WMK 0.03% 323.92K $23.0M
959 MEIRAGTX HOLDINGS PLC MGTX 0.03% 1.54M $22.9M
960 SAFEHOLD INC SAFE 0.03% 1.48M $22.9M
961 USA TODAY INC TDAY 0.03% 3.51M $22.8M
962 APOGEE ENTERPRISES INC APOG 0.03% 550.63K $22.7M
963 HANMI FINANCIAL CORP HAFC 0.03% 733.28K $22.7M
964 TETRA TECHNOLOGIES TTI 0.03% 3.35M $22.7M
965 FINANCIAL INSTITUTIONS INC FISI 0.03% 550.75K $22.4M
966 HERITAGE INSURANCE HOLDINGS INC HRTG 0.03% 653.70K $22.4M
967 SENECA FOODS CLASS A SENEA 0.03% 117.11K $22.3M
968 RIGEL PHARMACEUTICALS RIGL 0.03% 475.70K $22.2M
969 UNDER ARMOUR INC CLASS C UA 0.03% 4.44M $22.2M
970 EVOLV TECHNOLOGIES HOLDINGS CLASS EVLV 0.03% 4.20M $22.2M
971 CANDEL THERAPEUTICS INC CADL 0.03% 1.63M $22.2M
972 GERON GERN 0.03% 14.29M $22.1M
973 UNITED PARKS AND RESORTS SEAS 0.03% 506.27K $22.1M
974 SAVARA SVRA 0.03% 3.95M $22.1M
975 OLEMA PHARMACEUTICALS OLMA 0.03% 2.02M $22.0M
976 SI BONE SIBN 0.03% 1.13M $22.0M
977 OMADA HEALTH OMDA 0.03% 918.29K $22.0M
978 KOPIN CORP KOPN 0.03% 4.54M $21.9M
979 EQUITY BANCSHARES INC CLASS A EQBK 0.03% 440.64K $21.9M
980 CENTRAL PACIFIC FINANCIAL CORP CPF 0.03% 580.18K $21.8M
981 BLACKSKY TECHNOLOGY CLASS A BKSY 0.03% 864.17K $21.8M
982 MARTEN TRANSPORT MRTN 0.03% 1.50M $21.8M
983 INDIE SEMICONDUCTOR INC CLASS A INDI 0.03% 5.50M $21.8M
984 ORRSTOWN FINANCIAL SERVICES INC ORRF 0.03% 520.55K $21.8M
985 KOPPERS HOLDINGS INC KOP 0.03% 471.63K $21.8M
986 AMERICAN PUBLIC EDUCATION APEI 0.03% 468.74K $21.7M
987 SUNCOKE ENERGY INC SXC 0.03% 2.21M $21.6M
988 DAILY JOURNAL DJCO 0.03% 34.88K $21.6M
989 ADAMAS ADAM 0.03% 2.19M $21.5M
990 NANO NUCLEAR ENERGY NNE 0.03% 1.12M $21.5M
991 LIFE360 LIF 0.03% 482.54K $21.5M
992 NATIONAL PRESTO INDUSTRIES INC NPK 0.03% 137.00K $21.5M
993 GCM GROSVENOR CLASS A GCMG 0.03% 1.58M $21.4M
994 LIBERTY CAPITAL SERIES C GLIBK 0.03% 808.84K $21.3M
995 AVALO THERAPEUTICS AVTX 0.03% 1.08M $21.3M
996 CRYOPORT CYRX 0.03% 1.27M $21.3M
997 METROCITY BANKSHARES INC MCBS 0.03% 605.90K $21.3M
998 ESQUIRE FINANCIAL HOLDINGS INC ESQ 0.03% 188.33K $21.3M
999 ARTERIS INC AIP 0.03% 911.34K $21.2M
1000 TRANSCAT TRNS 0.03% 239.54K $21.1M
1001 T1 ENERGY TE 0.03% 4.54M $21.1M
1002 MITEK SYSTEMS INC MITK 0.03% 1.17M $21.1M
1003 ARBUTUS BIOPHARMA CORP ABUS 0.03% 4.06M $21.1M
1004 RAPID7 RPD 0.03% 1.74M $21.1M
1005 FORUM ENERGY TECHNOLOGIES INC FET 0.03% 275.31K $21.1M
1006 SPRINKLR CLASS A CXM 0.03% 2.81M $21.0M
1007 REPUBLIC BANCORP INC CLASS A RBCAA 0.03% 222.34K $21.0M
1008 FIRST COMMUNITY BANKSHARES INC FCBC 0.03% 424.93K $21.0M
1009 BEAZER HOMES BZH 0.03% 629.69K $20.9M
1010 JANUX THERAPEUTICS JANX 0.03% 1.11M $20.8M
1011 HUDSON PACIFIC PROPERTIES REIT HPP 0.03% 1.39M $20.8M
1012 PAR TECHNOLOGY PAR 0.03% 1.07M $20.8M
1013 BARRETT BUSINESS SERVICES INC BBSI 0.03% 613.51K $20.7M
1014 NAVIGATOR HOLDINGS NVGS 0.03% 931.10K $20.7M
1015 ANNEXON ANNX 0.03% 4.01M $20.6M
1016 KAILERA THERAPEUTICS INC KLRA 0.03% 1.16M $20.6M
1017 PAPA JOHNS INTERNATIONAL INC PZZA 0.03% 855.56K $20.6M
1018 ALERUS FINANCIAL CORP ALRS 0.03% 623.29K $20.6M
1019 DRIVEN BRANDS HOLDINGS DRVN 0.03% 1.56M $20.5M
1020 FIRST WATCH RESTAURANT GROUP FWRG 0.03% 1.58M $20.5M
1021 COMPASS DIVERSIFIED CODI 0.03% 1.78M $20.5M
1022 EAGLE BANCORP EGBN 0.03% 738.60K $20.4M
1023 BRIGHTVIEW HOLDINGS BV 0.03% 1.83M $20.4M
1024 RED VIOLET INC RDVT 0.03% 294.05K $20.4M
1025 NATIONAL BEVERAGE FIZZ 0.03% 611.56K $20.4M
1026 MID PENN BANCORP INC MPB 0.02% 549.61K $20.3M
1027 BETA BIONICS INC BBNX 0.02% 1.05M $20.3M
1028 SMARTFINANCIAL INC SMBK 0.02% 398.39K $20.3M
1029 VISHAY PRECISION GROUP VPG 0.02% 314.04K $20.2M
1030 ARBOR REALTY TRUST REIT ABR 0.02% 3.93M $20.2M
1031 COMPASS MINERALS INTERNATIONAL CMP 0.02% 823.11K $20.2M
1032 STAAR SURGICAL STAA 0.02% 872.06K $20.2M
1033 SHORE BANCSHARES INC SHBI 0.02% 874.27K $20.2M
1034 F&G ANNUITIES AND LIFE INC FG 0.02% 875.50K $20.2M
1035 CASS INFORMATION SYSTEMS INC CASS 0.02% 351.55K $20.2M
1036 SABRE SABR 0.02% 8.92M $20.2M
1037 WASHINGTON TRUST BANCORP INC WASH 0.02% 507.53K $20.1M
1038 SOLID BIOSCIENCES INC SLDB 0.02% 2.03M $20.0M
1039 VAREX IMAGING VREX 0.02% 1.08M $20.0M
1040 PATRIA INVESTMENTS LTD CLASS A PAX 0.02% 1.70M $20.0M
1041 ACLARIS THERAPEUTICS ACRS 0.02% 3.05M $20.0M
1042 BKV BKV 0.02% 825.74K $19.9M
1043 LINCOLN EDUCATIONAL SERVICES CORP LINC 0.02% 778.92K $19.8M
1044 JBG SMITH PROPERTIES JBGS 0.02% 1.55M $19.6M
1045 FIVE STAR BANCORP FSBC 0.02% 435.94K $19.6M
1046 GREEN DOT CLASS A GDOT 0.02% 1.46M $19.6M
1047 LIGHTPATH TECHNOLOGIES INC CLASS A LPTH 0.02% 1.42M $19.5M
1048 DAKTRONICS INC DAKT 0.02% 1.02M $19.5M
1049 EVERQUOTE CLASS A EVER 0.02% 726.09K $19.5M
1050 PRA GROUP INC PRAA 0.02% 989.80K $19.5M
1051 PHIBRO ANIMAL HEALTH CORP CLASS A PAHC 0.02% 541.64K $19.5M
1052 SANA BIOTECHNOLOGY SANA 0.02% 4.75M $19.5M
1053 TEEKAY CORPORATION CORP LTD TK 0.02% 1.46M $19.5M
1054 ROOT INC CLASS A ROOT 0.02% 337.09K $19.4M
1055 CEVA CEVA 0.02% 716.30K $19.4M
1056 PEAPACK GLADSTONE FINANCIAL CORP PGC 0.02% 425.78K $19.2M
1057 CLARIVATE PLC CLVT 0.02% 8.88M $19.2M
1058 BETA TECHNOLOGIES CLASS A BETA 0.02% 866.97K $19.2M
1059 RUSH ENTERPRISES CLASS B RUSHB 0.02% 244.01K $19.0M
1060 ARDAGH METAL PACKAGING SA AMBP 0.02% 3.59M $19.0M
1061 CTO REALTY GROWTH INC CTO 0.02% 865.18K $19.0M
1062 MISSION PRODUCE INC AVO 0.02% 1.46M $19.0M
1063 MILLER INDUSTRIES INC MLR 0.02% 331.22K $18.9M
1064 MARCUS & MILLICHAP INC MMI 0.02% 584.54K $18.9M
1065 CAPITAL CITY BANK INC CCBG 0.02% 369.55K $18.9M
1066 WOLFSPEED INC WOLF 0.02% 746.59K $18.9M
1067 COSTAMARE CMRE 0.02% 1.20M $18.9M
1068 SWEETGREEN INC CLASS A SG 0.02% 2.73M $18.8M
1069 IRADIMED IRMD 0.02% 214.00K $18.8M
1070 ELEMENTAL ROYALTY CORP ELE.TO 0.02% 823.85K $18.8M
1071 DAKOTA GOLD CORP DC 0.02% 2.94M $18.8M
1072 CARDINAL INFRASTRUCTURE GROUP INC CDNL 0.02% 433.47K $18.8M
1073 ANTERIS TECHNOLOGIES GLOBAL CORP AVR 0.02% 2.11M $18.8M
1074 FLOWCO HOLDINGS CLASS A FLOC 0.02% 908.97K $18.8M
1075 CARTER BANKSHARES INC CARE 0.02% 596.15K $18.7M
1076 SOUTHERN MISSOURI BANCORP INC SMBC 0.02% 252.62K $18.7M
1077 AMERESCO INC CLASS A AMRC 0.02% 845.08K $18.7M
1078 WAVE LIFE SCIENCES INC WVE 0.02% 3.55M $18.6M
1079 CASH COLLATERAL MSFUT USD 0.02% 18.61M $18.6M
1080 4D MOLECULAR THERAPEUTICS INC FDMT 0.02% 1.18M $18.6M
1081 INDEPENDENT BANK CORP IBCP 0.02% 504.34K $18.5M
1082 PREFERRED BANK PFBC 0.02% 178.65K $18.5M
1083 IRONWOOD PHARMA CLASS A IRWD 0.02% 4.21M $18.5M
1084 KESTRA MEDICAL TECHNOLOGIES KMTS 0.02% 684.12K $18.4M
1085 AMPHASTAR PHARMACEUTICALS AMPH 0.02% 836.71K $18.4M
1086 TARGET HOSPITALITY TH 0.02% 1.06M $18.4M
1087 JADE BIOSCIENCES INC JBIO 0.02% 840.98K $18.4M
1088 NATIONAL HEALTHCARE PROPERTIES CLA NHP 0.02% 1.10M $18.4M
1089 LEGALZOOM COM LZ 0.02% 3.12M $18.3M
1090 BAR HARBOR BANKSHARES BHB 0.02% 465.09K $18.3M
1091 METALLUS INC MTUS 0.02% 946.68K $18.3M
1092 INVESCO MORTGAGE CAPITAL REIT INC IVR 0.02% 2.45M $18.2M
1093 CONSENSUS CLOUD SOLUTIONS INC CCSI 0.02% 468.34K $18.2M
1094 HEALTHSTREAM HSTM 0.02% 628.80K $18.2M
1095 ZEVRA THERAPEUTICS INC ZVRA 0.02% 1.50M $18.1M
1096 PATTERN GROUP SERIES A PTRN 0.02% 844.60K $18.1M
1097 THE MARCUS CORP MCS 0.02% 598.07K $18.0M
1098 PEOPLES FINANCIAL SERVICES CORP PFIS 0.02% 257.62K $18.0M
1099 HOMETRUST BANCSHARES INC HTB 0.02% 385.59K $18.0M
1100 CANADIAN SOLAR CSIQ 0.02% 1.26M $17.9M
1101 UNITED STATES ANTIMONY CORP UAMY 0.02% 3.45M $17.9M
1102 MANITOWOC INC MTW 0.02% 917.43K $17.9M
1103 THIRD COAST BANCSHARES INC TCBX 0.02% 392.79K $17.9M
1104 EMPIRE STATE REALTY REIT CLASS A ESRT 0.02% 3.73M $17.8M
1105 LUCID GROUP LCID 0.02% 3.37M $17.7M
1106 REALLOYS INC ALOY 0.02% 1.46M $17.7M
1107 ACNB CORP ACNB 0.02% 273.48K $17.7M
1108 THERAVANCE BIOPHARMA TBPH 0.02% 1.04M $17.7M
1109 ARROW FINANCIAL CORP AROW 0.02% 460.32K $17.6M
1110 LSI INDUSTRIES INC LYTS 0.02% 848.02K $17.5M
1111 MATIV HOLDINGS SWM 0.02% 1.42M $17.5M
1112 HIPPO HOLDINGS HIPO 0.02% 519.62K $17.5M
1113 MESA LABORATORIES MLAB 0.02% 137.07K $17.5M
1114 BIOVENTUS CLASS A BVS 0.02% 1.24M $17.4M
1115 GUARDIAN PHARMACY SERVICES CLASS A GRDN 0.02% 466.60K $17.4M
1116 SOUTH PLAINS FINANCIAL INC SPFI 0.02% 396.97K $17.4M
1117 VERRA MOBILITY CLASS A VRRM 0.02% 3.92M $17.4M
1118 JANUS INTERNATIONAL GROUP JBI 0.02% 3.43M $17.3M
1119 HELEN OF TROY LTD HELE 0.02% 597.02K $17.3M
1120 ENOVIX ENVX 0.02% 5.08M $17.2M
1121 SUMMIT HOTEL PROPERTIES REIT INC INN 0.02% 2.77M $17.1M
1122 ALPHA AND OMEGA SEMICONDUCTOR AOSL 0.02% 640.52K $17.1M
1123 TRONOX HOLDINGS PLC TROX 0.02% 3.07M $16.9M
1124 PUBMATIC CLASS A PUBM 0.02% 1.02M $16.9M
1125 FRANKLIN BSP REALTY TRUST INC FBRT 0.02% 1.99M $16.9M
1126 CERIBELL CBLL 0.02% 705.37K $16.9M
1127 ARRAY TECHNOLOGIES INC ARRY 0.02% 3.70M $16.8M
1128 MATTHEWS INTERNATIONAL CORP CLASS MATW 0.02% 781.16K $16.8M
1129 COMMUNITY WEST BANCSHARES CWBC 0.02% 642.28K $16.7M
1130 PAYSIGN INC PAYS 0.02% 1.18M $16.7M
1131 SCHOLASTIC SCHL 0.02% 406.71K $16.7M
1132 GLADSTONE COMMERCIAL REIT CORP GOOD 0.02% 1.27M $16.6M
1133 BLUELINX HOLDINGS BXC 0.02% 198.71K $16.6M
1134 MIDLAND STATES BANCORP INC MSBI 0.02% 503.66K $16.5M
1135 AVALYN PHARMA INC AVLN 0.02% 429.80K $16.4M
1136 NIOCORP DEVELOPMENTS NB.TO 0.02% 3.67M $16.4M
1137 CHATHAM LODGING TRUST REIT CLDT 0.02% 1.19M $16.4M
1138 ARDMORE SHIPPING CORP ASC 0.02% 912.02K $16.4M
1139 ERMENEGILDO ZEGNA NV ZGN 0.02% 1.20M $16.4M
1140 SINCLAIR CLASS A SBGI 0.02% 1.11M $16.4M
1141 MECHANICS BANCORP CLASS A MCHB 0.02% 1.02M $16.4M
1142 CORMEDIX CRMD 0.02% 1.91M $16.4M
1143 GREAT SOUTHERN BANCORP INC GSBC 0.02% 208.18K $16.4M
1144 POSTAL REALTY TRUST CLASS A PSTL 0.02% 697.40K $16.3M
1145 ALTIMMUNE INC ALT 0.02% 5.09M $16.3M
1146 EASTMAN KODAK KODK 0.02% 1.72M $16.2M
1147 RPC INC RES 0.02% 2.64M $16.2M
1148 REAL REMAX GROUP REAX 0.02% 567.77K $16.1M
1149 SABLE OFFSHORE CLASS A SOC 0.02% 3.43M $16.1M
1150 CLIMB BIO INC CLYM 0.02% 902.64K $16.1M
1151 CANNAE HOLDINGS INC CNNE 0.02% 1.03M $16.1M
1152 COASTAL FINANCIAL CORP CCB 0.02% 341.03K $16.1M
1153 ACHIEVE LIFE SCIENCES ACHV 0.02% 1.97M $16.1M
1154 WILLIS LEASE FINANCE WLFC 0.02% 293.30K $16.0M
1155 KEARNY FINANCIAL CORP KRNY 0.02% 1.61M $16.0M
1156 MAMAS CREATIONS INC MAMA 0.02% 958.90K $16.0M
1157 BOWHEAD SPECIALTY HOLDINGS BOW 0.02% 474.45K $15.9M
1158 ADTRAN HOLDINGS INC ADTN 0.02% 1.98M $15.9M
1159 ALEXANDERS REIT INC ALX 0.02% 58.48K $15.8M
1160 LSB INDUSTRIES LXU 0.02% 1.54M $15.8M
1161 NAVIENT NAVI 0.02% 1.66M $15.7M
1162 ACCEL ENTERTAINMENT INC CLASS A ACEL 0.02% 1.32M $15.7M
1163 SMITH WESSON BRANDS INC SWBI 0.02% 1.16M $15.6M
1164 HOVNANIAN ENTERPRISES CLASS A HOV 0.02% 122.19K $15.6M
1165 MNTN CLASS A MNTN 0.02% 1.18M $15.5M
1166 CIVISTA BANCSHARES INC CIVB 0.02% 567.06K $15.5M
1167 SPROUT SOCIAL CLASS A SPT 0.02% 1.45M $15.5M
1168 JOHN B SANFILIPPO AND SON JBSS 0.02% 206.41K $15.4M
1169 SHENANDOAH TELECOMMUNICATIONS SHEN 0.02% 1.26M $15.4M
1170 OPKO HEALTH OPK 0.02% 10.34M $15.4M
1171 BOWMAN CONSULTING GROUP BWMN 0.02% 361.87K $15.4M
1172 CYTOMX THERAPEUTICS CTMX 0.02% 4.55M $15.3M
1173 ANGIODYNAMICS ANGO 0.02% 960.47K $15.3M
1174 PARK AEROSPACE CORP PKE 0.02% 471.05K $15.3M
1175 CORSAIR GAMING INC CRSR 0.02% 1.29M $15.3M
1176 CUSTOM TRUCK ONE SOURCE CTOS 0.02% 1.58M $15.3M
1177 BRIGHT MINDS BIOSCIENCES DRUG.CN 0.02% 191.90K $15.3M
1178 IMMIX BIOPHARMA IMMX 0.02% 1.05M $15.3M
1179 GLOBAL INDUSTRIAL GIC 0.02% 383.87K $15.2M
1180 NORTHRIM BANCORP INC NRIM 0.02% 595.41K $15.2M
1181 SAGIMET BIOSCIENCES SERIES A SGMT 0.02% 1.48M $15.2M
1182 FIRST BUSINESS FINANCIAL SERVICES FBIZ 0.02% 217.06K $15.2M
1183 VAALCO ENERGY INC EGY 0.02% 2.65M $15.2M
1184 SOUTHERN FIRST BANCSHARES INC SFST 0.02% 243.76K $15.1M
1185 ONESPAN OSPN 0.02% 983.29K $15.1M
1186 BRIGHTSPIRE CAPITAL CLASS A BRSP 0.02% 3.10M $15.1M
1187 RESOLUTE HOLDINGS MANAGEMENT INC RHLD 0.02% 104.18K $15.1M
1188 PHREESIA PHR 0.02% 1.30M $15.0M
1189 RILEY EXPLORATION PERMIAN INC REPX 0.02% 401.75K $15.0M
1190 FORESTAR GROUP INC FOR 0.02% 514.12K $14.9M
1191 REDWOOD TRUST REIT RWT 0.02% 3.15M $14.9M
1192 CARS.COM INC CARS 0.02% 1.20M $14.8M
1193 ALLOGENE THERAPEUTICS ALLO 0.02% 6.83M $14.8M
1194 HALLADOR ENERGY HNRG 0.02% 903.02K $14.8M
1195 INSTEEL INDUSTRIES INC IIIN 0.02% 484.89K $14.8M
1196 ETHAN ALLEN INTERIORS ETD 0.02% 620.83K $14.8M
1197 NEXPOINT RESIDENTIAL TRUST INC NXRT 0.02% 602.97K $14.7M
1198 HBT FINANCIAL INC HBT 0.02% 413.01K $14.7M
1199 ARVINAS INC ARVN 0.02% 1.53M $14.7M
1200 RAMACO RESOURCES INC CLASS A METC 0.02% 1.14M $14.7M
1201 KIMBALL ELECTRONICS INC KE 0.02% 623.78K $14.7M
1202 ENVIRI CORP NVRI 0.02% 676.56K $14.6M
1203 METHODE ELECTRONICS MEI 0.02% 910.53K $14.6M
1204 LEXICON PHARMACEUTICALS LXRX 0.02% 6.24M $14.6M
1205 BRANDYWINE REALTY TRUST REIT BDN 0.02% 4.45M $14.6M
1206 NETGEAR NTGR 0.02% 679.72K $14.5M
1207 ADAPTHEALTH AHCO 0.02% 2.65M $14.5M
1208 AKTIS ONCOLOGY INC AKTS 0.02% 543.69K $14.5M
1209 TPG RE FINANCE TRUST INC TRTX 0.02% 1.85M $14.5M
1210 YEXT YEXT 0.02% 2.20M $14.4M
1211 CORE LABORATORIES CLB 0.02% 1.20M $14.4M
1212 VERASTEM INC VSTM 0.02% 2.04M $14.4M
1213 NEXTDOOR HOLDINGS CLASS A NXDR 0.02% 6.04M $14.4M
1214 ODDITY TECH CLASS A ODD 0.02% 1.02M $14.4M
1215 XMAX INC XMAX 0.02% 1.56M $14.4M
1216 EVOLENT HEALTH CLASS A EVH 0.02% 2.95M $14.4M
1217 ENNIS INC EBF 0.02% 670.64K $14.4M
1218 UNIVERSAL HEALTH REALTY INCOME TRU UHT 0.02% 340.28K $14.3M
1219 CYTEK BIOSCIENCES CTKB 0.02% 3.12M $14.3M
1220 VITESSE ENERGY INC VTS 0.02% 840.93K $14.3M
1221 AMERISAFE INC AMSF 0.02% 545.48K $14.3M
1222 CRITICAL METALS CORP CRML 0.02% 1.76M $14.3M
1223 COVENANT LOGISTICS GROUP INC CLASS CVLG 0.02% 405.71K $14.2M
1224 MALIBU BOATS CLASS A INC MBUU 0.02% 499.87K $14.2M
1225 CALIFORNIA BANCORP BCAL 0.02% 664.74K $14.2M
1226 UR ENERGY INC URE.TO 0.02% 9.57M $14.2M
1227 AQUESTIVE THERAPEUTICS INC AQST 0.02% 2.78M $14.1M
1228 MINIMED INC MMED 0.02% 742.54K $14.0M
1229 ONTERRIS MEG 0.02% 877.54K $14.0M
1230 MOVADO GROUP INC MOV 0.02% 400.02K $14.0M
1231 GREIF INC CLASS B GEF-B 0.02% 129.30K $13.9M
1232 TACTILE SYSTEMS TECHNOLOGY TCMD 0.02% 590.67K $13.9M
1233 ENERGY VAULT HOLDINGS NRGV 0.02% 3.54M $13.9M
1234 CERUS CORP CERS 0.02% 5.12M $13.9M
1235 RAYONIER ADVANCED MATERIALS RYAM 0.02% 1.61M $13.9M
1236 GRID DYNAMICS HOLDINGS CLASS A GDYN 0.02% 1.75M $13.8M
1237 AH REALTY INC AHRT 0.02% 2.02M $13.7M
1238 RIDGEPOST CAPITAL INC CLASS A PX 0.02% 1.55M $13.7M
1239 NEWSMAX CLASS B NMAX 0.02% 1.25M $13.7M
1240 EVOLUS INC EOLS 0.02% 1.52M $13.6M
1241 NVE CORP NVEC 0.02% 127.10K $13.6M
1242 MIMEDX GROUP MDXG 0.02% 3.13M $13.6M
1243 STURM RUGER RGR 0.02% 353.44K $13.6M
1244 ENTRAVISION COMMUNICATIONS CORP CL EVC 0.02% 1.66M $13.6M
1245 KELLY SERVICES INC CLASS A KELYA 0.02% 794.77K $13.5M
1246 CONTANGO SILVER AND GOLD INC CTGO 0.02% 662.86K $13.5M
1247 OXFORD INDUSTRIES INC OXM 0.02% 367.34K $13.5M
1248 JEFFERSON CAPITAL INC JCAP 0.02% 615.08K $13.4M
1249 RED RIVER BANCSHARES INC RRBI 0.02% 133.30K $13.4M
1250 HOME BANCORP INC HBCP 0.02% 194.56K $13.4M
1251 THE HONEST COMPANY HNST 0.02% 2.43M $13.4M
1252 SIERRA BANCORP BSRR 0.02% 336.87K $13.3M
1253 BIT DIGITAL BTBT 0.02% 8.34M $13.2M
1254 SATELLOGIC CLASS A SATL 0.02% 2.44M $13.1M
1255 COLUMBUS MCKINNON CORP CMCO 0.02% 733.08K $13.0M
1256 CHOICEONE FINANCIAL SERVICES INC COFS 0.02% 392.09K $13.0M
1257 HINGHAM INSTITUTION FOR SAVINGS HIFS 0.02% 43.18K $13.0M
1258 YORK WATER YORW 0.02% 379.01K $13.0M
1259 MONOPAR THERAPEUTICS MNPR 0.02% 117.19K $13.0M
1260 OOMA OOMA 0.02% 630.65K $13.0M
1261 CARRIAGE SERVICES INC CSV 0.02% 370.72K $12.9M
1262 FARMERS AND MERCHANTS BANCORP INC FMAO 0.02% 382.07K $12.9M
1263 IDAHO STRATEGIC RESOURCES INC IDR 0.02% 390.41K $12.9M
1264 OMNIAB INC OABI 0.02% 2.76M $12.9M
1265 WABASH NATIONAL WNC 0.02% 1.04M $12.9M
1266 WORLD ACCEPTANCE CORP WRLD 0.02% 65.95K $12.8M
1267 HIMALAYA SHIPPING LTD HSHP.OL 0.02% 758.24K $12.7M
1268 CHIRON REAL ESTATE INC GMRE 0.02% 335.87K $12.7M
1269 DELCATH SYS INC DCTH 0.02% 747.33K $12.6M
1270 DESIGN THERAPEUTICS DSGN 0.02% 805.73K $12.6M
1271 WEAVE COMMUNICATIONS WEAV 0.02% 1.73M $12.6M
1272 ORANGE COUNTY BANCORP INC OBT 0.02% 332.90K $12.6M
1273 ATLANTICUS HOLDINGS CORP ATLC 0.02% 133.74K $12.6M
1274 SHATTUCK LABS INC STTK 0.02% 1.55M $12.5M
1275 SAFE BULKERS INC SB 0.02% 1.44M $12.5M
1276 COGENT COMMUNICATIONS HOLDINGS INC CCOI 0.02% 1.26M $12.5M
1277 STARLING ONCOLOGY TOI 0.02% 1.97M $12.4M
1278 TIPTREE INC TIPT 0.02% 675.90K $12.4M
1279 FERROGLOBE PLC GSM 0.02% 3.10M $12.4M
1280 GENERATE BIOMEDICINES INC GENB 0.02% 609.82K $12.4M
1281 TABOOLA.COM LTD TBLA 0.02% 3.33M $12.3M
1282 CLEARPOINT NEURO INC CLPT 0.02% 727.28K $12.3M
1283 SOLID POWER CLASS A SLDP 0.02% 5.26M $12.3M
1284 WEST BANCORPORATION INC WTBA 0.02% 431.67K $12.3M
1285 OIL STATES INTERNATIONAL OIS 0.02% 1.46M $12.3M
1286 BUILD A BEAR WORKSHOP BBW 0.02% 311.61K $12.3M
1287 INDUSTRIAL LOGISTICS PROPERTIES TR ILPT 0.02% 1.46M $12.3M
1288 ARHAUS CLASS A ARHS 0.01% 1.36M $12.2M
1289 CLIMB GLOBAL SOLUTIONS INC CLMB 0.01% 445.87K $12.1M
1290 RBB BANCORP RBB 0.01% 458.37K $12.1M
1291 COOPER STANDARD HOLDINGS CPS 0.01% 455.25K $12.1M
1292 3D SYSTEMS CORP DDD 0.01% 3.76M $12.1M
1293 HEARTLAND EXPRESS INC HTLD 0.01% 984.89K $12.1M
1294 OCUGEN OCGN 0.01% 8.61M $12.0M
1295 GROUPON GRPN 0.01% 613.66K $12.0M
1296 ASP ISOTOPES ASPI 0.01% 3.00M $12.0M
1297 LIMBACH HOLDINGS INC LMB 0.01% 285.63K $12.0M
1298 PARK OHIO HOLDINGS CORP PKOH 0.01% 265.18K $12.0M
1299 NEUROGENE NGNE 0.01% 292.43K $11.9M
1300 DINE BRANDS GLOBAL DIN 0.01% 336.74K $11.9M
1301 AEBI SCHMIDT HOLDING AG AEBI 0.01% 960.37K $11.9M
1302 BRIDGEWATER BANCSHARES INC BWB 0.01% 562.01K $11.9M
1303 AEVA TECHNOLOGIES AEVA 0.01% 729.43K $11.8M
1304 INVESTORS TITLE ITIC 0.01% 38.80K $11.8M
1305 UNITY BANCORP INC UNTY 0.01% 199.99K $11.7M
1306 CITIZENS AND NORTHERN CORP CZNC 0.01% 452.54K $11.7M
1307 GRAY MEDIA INC GTN 0.01% 2.32M $11.7M
1308 SANDRIDGE ENERGY INC SD 0.01% 836.26K $11.6M
1309 CONSOLIDATED WATER LTD CWCO 0.01% 384.99K $11.6M
1310 BANKWELL FINANCIAL GROUP INC BWFG 0.01% 175.42K $11.5M
1311 LUXFER HOLDINGS PLC LXFR 0.01% 671.21K $11.5M
1312 EL POLLO LOCO INC LOCO 0.01% 730.87K $11.5M
1313 CAPRICOR THERAPEUTICS CAPR 0.01% 1.38M $11.5M
1314 ONE LIBERTY PROPERTIES REIT INC OLP 0.01% 466.06K $11.5M
1315 AGNT INC EXPI 0.01% 2.51M $11.4M
1316 TAT TECHNOLOGIES LTD TATT.TA 0.01% 303.38K $11.4M
1317 COLONY BANKCORP INC CBAN 0.01% 538.91K $11.4M
1318 CENTRAL GARDEN AND PET CENT 0.01% 256.09K $11.3M
1319 ADVANSIX ASIX 0.01% 692.46K $11.3M
1320 CALERES INC CAL 0.01% 863.34K $11.3M
1321 SAUL CENTERS REIT INC BFS 0.01% 329.81K $11.3M
1322 MASTERCRAFT BOAT HOLDINGS INC MCFT 0.01% 454.25K $11.2M
1323 GREENLIGHT CAPITAL LTD CLASS A GLRE 0.01% 724.51K $11.2M
1324 CONTINEUM THERAPEUTICS CLASS A CTNM 0.01% 656.29K $11.2M
1325 NUVECTIS PHARMA INC NVCT 0.01% 431.69K $11.2M
1326 REGENXBIO RGNX 0.01% 1.25M $11.2M
1327 OVID THERAPEUTICS OVID 0.01% 3.83M $11.2M
1328 PHATHOM PHARMACEUTICALS PHAT 0.01% 1.26M $11.1M
1329 DREAM FINDERS HOMES INC CLASS A DFH 0.01% 724.37K $11.1M
1330 FARMLAND PARTNERS INC FPI 0.01% 1.08M $11.1M
1331 COMMUNITY HEALTHCARE TRUST INC CHCT 0.01% 735.62K $11.0M
1332 PLUMAS BANCORP PLBC 0.01% 179.53K $11.0M
1333 RELMADA THERAPEUTICS INC RLMD 0.01% 2.40M $11.0M
1334 KARAT PACKAGING INC KRT 0.01% 223.09K $11.0M
1335 PACIFIC BIOSCIENCES OF CALIFORNIA PACB 0.01% 7.26M $11.0M
1336 CAPITAL BANCORP INC CBNK 0.01% 302.91K $11.0M
1337 AMC GLOBAL MEDIA CLASS A AMCX 0.01% 855.00K $11.0M
1338 DONEGAL GROUP INC CLASS A DGICA 0.01% 573.81K $11.0M
1339 CALEDONIA MINING PLC CMCL.L 0.01% 433.66K $11.0M
1340 ARCTURUS THERAPEUTICS HOLDINGS INC ARCT 0.01% 703.11K $10.9M
1341 MAGNERA MAGN 0.01% 850.80K $10.8M
1342 PUMA BIOTECHNOLOGY INC PBYI 0.01% 1.16M $10.8M
1343 PROTHENA PLC PRTA 0.01% 1.15M $10.8M
1344 PRIMIS FINANCIAL CORP FRST 0.01% 673.68K $10.8M
1345 SPIRE GLOBAL CLASS A SPIR 0.01% 786.15K $10.8M
1346 STRATA CRITICAL MEDICAL CLASS A SRTA 0.01% 1.74M $10.8M
1347 C4 THERAPEUTICS CCCC 0.01% 2.56M $10.8M
1348 GRINDR INC GRND 0.01% 685.22K $10.8M
1349 ORTHOPEDIATRICS CORP KIDS 0.01% 438.59K $10.7M
1350 INTREPID POTASH INC IPI 0.01% 283.85K $10.7M
1351 HYLIION HOLDINGS CORP HYLN 0.01% 3.31M $10.7M
1352 ATLANTA BRAVES HOLDINGS SERIES A BATRA 0.01% 185.30K $10.7M
1353 INTERNATIONAL MONEY EXPRESS INC IMXI 0.01% 757.16K $10.7M
1354 FTAI INFRASTRUCTURE FIP 0.01% 2.78M $10.5M
1355 VILLAGE SUPER MARKET INC CLASS A VLGEA 0.01% 237.60K $10.5M
1356 ALAMAR BIOSCIENCES INC ALMR 0.01% 317.33K $10.5M
1357 BANK OF MARIN BANCORP BMRC 0.01% 390.33K $10.5M
1358 TITAN MACHINERY INC TITN 0.01% 545.75K $10.4M
1359 FREQUENCY ELECTRONICS INC FEIM 0.01% 174.47K $10.4M
1360 ENERGY RECOVERY ERII 0.01% 1.33M $10.4M
1361 ACCO BRANDS CORP ACCO 0.01% 2.47M $10.4M
1362 NEW ERA ENERGY AND DIGITAL INC NUAI 0.01% 2.05M $10.4M
1363 MEDIAALPHA CLASS A MAX 0.01% 808.71K $10.4M
1364 INVESTAR HOLDING CORP ISTR 0.01% 343.32K $10.4M
1365 VITAL FARMS INC VITL 0.01% 933.94K $10.4M
1366 FIRST BANK FRBA 0.01% 576.97K $10.4M
1367 SAVERS VALUE VILLAGE SVV 0.01% 966.49K $10.4M
1368 PARKE BANCORP INC PKBK 0.01% 304.37K $10.3M
1369 CAMPING WORLD HOLDINGS INC CLASS A CWH 0.01% 1.59M $10.3M
1370 FIRST BANCORP INC FNLC 0.01% 298.16K $10.3M
1371 KKR REAL ESTATE FINANCE INC TRUST KREF 0.01% 1.36M $10.3M
1372 FORWARD AIR CORP FWRD 0.01% 592.36K $10.3M
1373 TITAN AMERICA SA TTAM 0.01% 667.20K $10.3M
1374 COMMUNITY HEALTH SYSTEMS INC CYH 0.01% 3.44M $10.2M
1375 ENANTA PHARMACEUTICALS INC ENTA 0.01% 726.32K $10.2M
1376 REZOLUTE RZLT 0.01% 2.04M $10.2M
1377 PONCE FINANCIAL GROUP INC PDLB 0.01% 503.40K $10.2M
1378 GEVO GEVO 0.01% 6.01M $10.2M
1379 HAVERTY FURNITURE COMPANIES INC HVT 0.01% 372.80K $10.2M
1380 FULGENT GENETICS FLGT 0.01% 507.35K $10.1M
1381 IBOTTA CLASS A IBTA 0.01% 259.87K $10.1M
1382 TITAN INTERNATIONAL INC TWI 0.01% 1.40M $10.1M
1383 TECTONIC THERAPEUTIC TECX 0.01% 265.42K $10.0M
1384 NATURAL GAS SERVICES GROUP NGS 0.01% 291.20K $10.0M
1385 I3 VERTICALS CLASS A IIIV 0.01% 587.99K $10.0M
1386 EYEPOINT INC EYPT 0.01% 1.99M $10.0M
1387 IBEX LTD IBEX 0.01% 268.44K $10.0M
1388 HYSTER YALE INC CLASS A HY 0.01% 285.45K $9.9M
1389 ATEA PHARMACEUTICALS AVIR 0.01% 1.81M $9.8M
1390 CLARITEV CORP CLASS A CTEV 0.01% 260.95K $9.8M
1391 ORTHOFIX MEDICAL OFIX 0.01% 1.02M $9.8M
1392 POWERFLEET AIOT 0.01% 3.31M $9.7M
1393 NEWTEKONE NEWT 0.01% 781.56K $9.7M
1394 LB FOSTER FSTR 0.01% 254.79K $9.7M
1395 STITCH FIX CLASS A SFIX 0.01% 3.06M $9.7M
1396 FRONTVIEW REIT FVR 0.01% 485.29K $9.7M
1397 MVB FINANCIAL CORP MVBF 0.01% 320.70K $9.7M
1398 CITIZENS FINANCIAL SERVICES INC CZFS 0.01% 119.56K $9.7M
1399 EVERSPIN TECHNOLOGIES INC MRAM 0.01% 546.62K $9.6M
1400 NEUROPACE NPCE 0.01% 679.65K $9.6M
1401 NATURAL GROCERS BY VITAMIN COTTAGE NGVC 0.01% 337.92K $9.5M
1402 XEROX HOLDINGS CORP XRX 0.01% 3.22M $9.5M
1403 TIMBERLAND BANCORP INC TSBK 0.01% 205.53K $9.5M
1404 CRICUT INC CLASS A CRCT 0.01% 1.61M $9.5M
1405 RICHTECH ROBOTICS CLASS B RR 0.01% 4.78M $9.4M
1406 ORION GROUP INC ORN 0.01% 1.01M $9.4M
1407 NORTHEAST COMMUNITY BANCORP INC NECB 0.01% 356.46K $9.4M
1408 KYVERNA THERAPEUTICS KYTX 0.01% 1.06M $9.4M
1409 LEXEO THERAPEUTICS LXEO 0.01% 1.82M $9.3M
1410 CERENCE CRNC 0.01% 1.16M $9.3M
1411 STARZ ENTERTAINMENT STRZ 0.01% 319.17K $9.3M
1412 LATHAM GROUP INC SWIM 0.01% 1.30M $9.3M
1413 GINKGO BIOWORKS HOLDINGS CLASS A DNA 0.01% 1.24M $9.3M
1414 BEL FUSE CLASS A BELFA 0.01% 44.85K $9.3M
1415 CABALETTA BIO CABA 0.01% 2.89M $9.3M
1416 FRONTIER GROUP HOLDINGS ULCC 0.01% 1.56M $9.3M
1417 YESWAY INC CLASS A YSWY 0.01% 373.06K $9.3M
1418 NORTHPOINTE BANCSHARES INC NPB 0.01% 547.90K $9.3M
1419 FORWARD INDUSTRIES INC FWDI 0.01% 1.53M $9.3M
1420 RMR GROUP CLASS A RMR 0.01% 471.95K $9.3M
1421 GLADSTONE LAND REIT CORP LAND 0.01% 1.06M $9.3M
1422 NORWOOD FINANCIAL CORP NWFL 0.01% 272.61K $9.3M
1423 WEALTHFRONT WLTH 0.01% 980.65K $9.2M
1424 MONRO MNRO 0.01% 659.38K $9.2M
1425 PRIME MEDICINE PRME 0.01% 2.48M $9.2M
1426 SENSEONICS HOLDINGS INC SENS 0.01% 960.14K $9.1M
1427 BIOAGE LABS BIOA 0.01% 903.67K $9.1M
1428 LENDINGTREE TREE 0.01% 298.56K $9.1M
1429 CITI TRENDS INC CTRN 0.01% 130.83K $9.1M
1430 ASPEN AEROGELS ASPN 0.01% 1.74M $9.1M
1431 ZURA BIO LTD CLASS A 94E.F 0.01% 1.44M $9.1M
1432 W AND T OFFSHORE WTI 0.01% 2.52M $9.1M
1433 ARS PHARMACEUTICALS SPRY 0.01% 1.59M $9.1M
1434 CRESCENT BIOPHARMA CBIO 0.01% 533.36K $9.1M
1435 STRATTEC SECURITY CORP STRT 0.01% 114.44K $9.0M
1436 AURA BIOSCIENCES AURA 0.01% 1.16M $9.0M
1437 AMERICAN INTEGRITY INSURANCE GROUP AII 0.01% 339.30K $8.9M
1438 FLOTEK INDUSTRIES INC FTK 0.01% 370.57K $8.9M
1439 ARKO ARKO 0.01% 1.90M $8.9M
1440 SERVE ROBOTICS INC SERV 0.01% 1.82M $8.9M
1441 BAYCOM CORP BCML 0.01% 295.83K $8.9M
1442 PCB BANCORP PCB 0.01% 321.50K $8.9M
1443 ROCKET PHARMACEUTICALS RCKT 0.01% 2.34M $8.8M
1444 VOX ROYALTY CORP VOXR.TO 0.01% 1.52M $8.8M
1445 WATERSTONE FINANCIAL INC WSBF 0.01% 417.10K $8.8M
1446 NERDWALLET CLASS A NRDS 0.01% 866.02K $8.8M
1447 CLEARWATER PAPER CORP CLW 0.01% 402.02K $8.8M
1448 FENNEC PHARMACEUTICALS FRX.TO 0.01% 743.69K $8.7M
1449 CLEARFIELD INC CLFD 0.01% 293.90K $8.7M
1450 AMERICAN BATTERY TECHNOLOGY COMPAN ABAT 0.01% 3.34M $8.6M
1451 COMPASS THERAPEUTICS CMPX 0.01% 3.41M $8.6M
1452 SUTRO BIOPHARMA INC STRO 0.01% 401.57K $8.6M
1453 PERSPECTIVE THERAPEUTICS INC CATX 0.01% 2.61M $8.6M
1454 M TRON INDUSTRIES INC MPTI 0.01% 107.64K $8.6M
1455 FVCBANKCORP INC FVCB 0.01% 464.61K $8.6M
1456 ASSEMBLY BIOSCIENCES INC ASMB 0.01% 241.83K $8.5M
1457 EDITAS MEDICINE EDIT 0.01% 2.60M $8.5M
1458 IHEARTMEDIA CLASS A IHRT 0.01% 3.18M $8.5M
1459 CHEMUNG FINANCIAL CORP CHMG 0.01% 103.17K $8.5M
1460 QUAD GRAPHICS INC CLASS A QUAD 0.01% 835.20K $8.5M
1461 ANAVEX LIFE SCIENCES CORP AVXL 0.01% 2.39M $8.5M
1462 TEJON RANCH TRC 0.01% 525.04K $8.5M
1463 ORION SA OEC 0.01% 1.42M $8.5M
1464 SIGHT SCIENCES SGHT 0.01% 1.02M $8.5M
1465 GENESCO INC GCO 0.01% 250.31K $8.4M
1466 AMES NATIONAL CORP ATLO 0.01% 264.03K $8.4M
1467 DISTRIBUTION SOLUTIONS GROUP DSGR 0.01% 241.09K $8.4M
1468 VISTA GOLD CORP VGZ.TO 0.01% 3.54M $8.4M
1469 RACKSPACE TECHNOLOGY INC RXT 0.01% 2.46M $8.4M
1470 OPORTUN FINANCIAL CORP OPRT 0.01% 1.12M $8.4M
1471 ROCKY BRANDS INC RCKY 0.01% 185.78K $8.4M
1472 PORTILLO S INC CLASS A PTLO 0.01% 1.72M $8.3M
1473 KURA SUSHI USA KRUS 0.01% 177.27K $8.3M
1474 FUBOTV CLASS A FUBO 0.01% 757.69K $8.3M
1475 MAYVILLE ENGINEERING COMPANY INC MEC 0.01% 404.05K $8.3M
1476 MCGRAW HILL MH 0.01% 634.15K $8.3M
1477 MISTRAS GROUP INC MG 0.01% 433.87K $8.2M
1478 CIVEO CORP CVEO 0.01% 245.45K $8.2M
1479 REGIONAL MANAGEMENT CORP RM 0.01% 246.70K $8.2M
1480 908 DEVICES MASS 0.01% 747.38K $8.2M
1481 GENIE ENERGY LTD CLASS B GNE 0.01% 533.11K $8.2M
1482 X4 PHARMACEUTICALS INC XFOR 0.01% 1.96M $8.2M
1483 SIMULATIONS PLUS SLP 0.01% 443.98K $8.2M
1484 POWER SOLUTIONS INTERNATIONAL PSIX 0.01% 224.41K $8.1M
1485 EMBECTA EMBC 0.01% 1.61M $8.1M
1486 TRUEBLUE INC TBI 0.01% 750.83K $8.1M
1487 PERMA FIX ENVIRONMENTAL SERVICES I PESI 0.01% 454.21K $8.0M
1488 NEXXEN INTERNATIONAL LTD NEXN 0.01% 790.66K $8.0M
1489 RANGER ENERGY SERVICES INC CLASS A RNGR 0.01% 499.69K $8.0M
1490 AEVEX CORP CLASS A AVEX 0.01% 454.41K $7.9M
1491 NEIGHBORHOOD INTELLIGENCE OSTK 0.01% 1.94M $7.9M
1492 FIRST COMMUNITY CORP FCCO 0.01% 231.20K $7.9M
1493 INNOVATIVE SOLUTIONS AND SUPPORT I ISSC 0.01% 366.08K $7.9M
1494 FS BANCORP INC FSBW 0.01% 183.41K $7.8M
1495 AMERICAN COASTAL INSURANCE CORP ACIC 0.01% 832.24K $7.8M
1496 VIEMED HEALTHCARE INC VMD.TO 0.01% 858.74K $7.8M
1497 COMMERCIAL BANCGROUP INC CBK 0.01% 228.19K $7.8M
1498 WESTROCK COFFEE WEST 0.01% 953.79K $7.8M
1499 XPERI INC XPER 0.01% 1.23M $7.7M
1500 BOBS DISCOUNT FURNITURE INC BOBS 0.01% 446.92K $7.7M
1501 ALPINE INCOME PROPERTY TRUST INC PINE 0.01% 392.27K $7.7M
1502 PANGAEA LOGISTICS SOLUTIONS PANL 0.01% 921.50K $7.7M
1503 JACK IN THE BOX INC JACK 0.01% 462.15K $7.7M
1504 ATN INTERNATIONAL INC ATNI 0.01% 250.70K $7.7M
1505 BOSTON OMAHA CORP CLASS A BOMN 0.01% 547.55K $7.7M
1506 EMERGENT BIOSOLUTIONS EBS 0.01% 1.36M $7.7M
1507 CRAWFORD CLASS A CRD-A 0.01% 583.46K $7.7M
1508 ALTO INGREDIENTS INC ALTO 0.01% 1.92M $7.7M
1509 AVIDIA BANCORP INC AVBC 0.01% 347.57K $7.6M
1510 PALISADE BIO INC PALI 0.01% 3.68M $7.6M
1511 MYRIAD GENETICS MYGN 0.01% 2.38M $7.6M
1512 JOHN MARSHALL BANCORP INC JMSB 0.01% 332.10K $7.6M
1513 ABACUS GLOBAL MANAGEMENT INC CLASS ABX 0.01% 769.35K $7.6M
1514 FRIEDMAN INDUSTRIES INC FRD 0.01% 172.09K $7.6M
1515 VANDA PHARMACEUTICALS INC VNDA 0.01% 1.39M $7.5M
1516 THREDUP CLASS A TDUP 0.01% 2.73M $7.5M
1517 FALCON S BEYOND GLOBAL INC CLASS A FBYD 0.01% 668.25K $7.5M
1518 MATRIX SERVICE MTRX 0.01% 696.75K $7.5M
1519 AGENUS INC AGEN 0.01% 891.90K $7.5M
1520 INHIBIKASE THERAPEUTICS IKT 0.01% 2.97M $7.4M
1521 READY CAPITAL CORP RC 0.01% 3.73M $7.4M
1522 JOHNSON OUTDOORS INC CLASS A JOUT 0.01% 162.20K $7.4M
1523 BUMBLE CLASS A BMBL 0.01% 2.60M $7.4M
1524 RADIANT LOGISTIC INC RLGT 0.01% 855.59K $7.4M
1525 VIRGIN GALACTIC HOLDINGS INC SHS C SPCE 0.01% 2.48M $7.4M
1526 KRISPY KREME DNUT 0.01% 2.07M $7.4M
1527 FLEXSTEEL INDUSTRIES INC FLXS 0.01% 90.08K $7.3M
1528 HERTZ GLOBAL HLDGS INC HTZ 0.01% 3.29M $7.3M
1529 FUNKO CLASS A FNKO 0.01% 1.09M $7.3M
1530 RIMINI STREET INC RMNI 0.01% 1.41M $7.3M
1531 FRANKLIN FINANCIAL SERVICES CORP FRAF 0.01% 117.73K $7.3M
1532 LIBERTY LATIN AMERICA CLASS A LILA 0.01% 844.13K $7.3M
1533 LIGHTBRIDGE CORP LTBR 0.01% 876.17K $7.3M
1534 ZIPRECRUITER INC CLASS A ZIP 0.01% 1.67M $7.3M
1535 ABEONA THERAPEUTICS INC ABEO 0.01% 1.17M $7.3M
1536 BLEND LABS CLASS A BLND 0.01% 4.88M $7.2M
1537 ARDENT HEALTH INC ARDT 0.01% 636.06K $7.2M
1538 FOSSIL GROUP INC FOSL 0.01% 1.31M $7.2M
1539 NATIONAL BANKSHARES INC NKSH 0.01% 174.67K $7.2M
1540 FIRST UNITED CORP FUNC 0.01% 165.12K $7.1M
1541 DUOS TECHNOLOGIES GROUP INC DUOT 0.01% 696.92K $7.1M
1542 B AND G FOODS INC BGS 0.01% 2.02M $7.1M
1543 BAKKT INC CLASS A BKKT 0.01% 823.12K $7.1M
1544 LARIMAR THERAPEUTICS LRMR 0.01% 1.70M $7.1M
1545 BIGLARI HOLDINGS INCINARY CLASS B BH 0.01% 18.61K $7.1M
1546 ONE STOP SYSTEMS INC OSS 0.01% 635.86K $7.1M
1547 DAVE AND BUSTERS ENTERTAINMENT PLAY 0.01% 700.35K $7.1M
1548 GRANITE RIDGE RESOURCES GRNT 0.01% 1.40M $7.1M
1549 IMMUNEERING CLASS A IMRX 0.01% 1.35M $7.0M
1550 ELEDON PHARMACEUTICALS INC ELDN 0.01% 2.01M $7.0M
1551 SUMMIT MIDSTREAM CORP SMC 0.01% 208.09K $7.0M
1552 FIRST WESTERN FINANCIAL INC MYFW 0.01% 224.53K $7.0M
1553 SHOE STATION GROUP INC SCVL 0.01% 486.72K $7.0M
1554 SHARONAI HOLDINGS INC CLASS A SHAZ 0.01% 113.97K $6.9M
1555 N ABLE INC NABL 0.01% 1.85M $6.9M
1556 USCB FINANCIAL HOLDINGS INC CLASS USCB 0.01% 308.42K $6.9M
1557 FIRST NATIONAL CORP FXNC 0.01% 220.88K $6.9M
1558 REPAY HOLDINGS CORP CLASS A RPAY 0.01% 1.79M $6.9M
1559 BENITEC BIOPHARMA INC BNTC 0.01% 526.52K $6.9M
1560 MGP INGREDIENTS MGPI 0.01% 381.34K $6.8M
1561 CONDUENT CNDT 0.01% 4.19M $6.8M
1562 FIDELITY D AND D BANCORP INC FDBC 0.01% 126.97K $6.8M
1563 8X8 INC EGHT 0.01% 3.48M $6.8M
1564 LCNB CORP LCNB 0.01% 345.51K $6.8M
1565 ENCORE ENERGY EU.V 0.01% 4.91M $6.7M
1566 C AND F FINANCIAL CORP CFFI 0.01% 75.44K $6.7M
1567 SPYGLASS PHARMA SHS SGP 0.01% 253.43K $6.7M
1568 NRC HEALTH NRC 0.01% 303.58K $6.7M
1569 GREENE COUNTY BANCORP INC GCBC 0.01% 188.17K $6.6M
1570 BLUE RIDGE BANKSHARES INC BRBS 0.01% 1.70M $6.6M
1571 OAK VALLEY BANCORP OVLY 0.01% 194.95K $6.6M
1572 EIKON THERAPEUTICS INC EIKN 0.01% 529.17K $6.6M
1573 RING ENERGY INC REI 0.01% 4.61M $6.6M
1574 ELECTROMED INC ELMD 0.01% 168.52K $6.6M
1575 KINGSTONE COMPANIES INC KINS 0.01% 332.27K $6.6M
1576 HACKETT GROUP HCKT 0.01% 589.81K $6.6M
1577 ANIKA THERAPEUTICS INC ANIK 0.01% 307.26K $6.6M
1578 ATEGRITY SPECIALTY INSURANCE COMPA ASIC 0.01% 243.92K $6.6M
1579 FRP HOLDINGS INC FRPH 0.01% 286.90K $6.5M
1580 ONITY GROUP INC ONIT 0.01% 186.01K $6.5M
1581 REPUBLIC AIRWAYS HOLDINGS RJET 0.01% 341.11K $6.5M
1582 ORASURE TECHNOLOGIES INC OSUR 0.01% 1.73M $6.5M
1583 UPSTREAM BIO UPB 0.01% 909.04K $6.5M
1584 PETCO HEALTH AND WELLNESS COMPANY WOOF 0.01% 2.36M $6.5M
1585 NATHANS FAMOUS INC NATH 0.01% 66.56K $6.5M
1586 AVIDBANK HOLDINGS INC AVBH 0.01% 204.62K $6.5M
1587 SMARTRENT INC CLASS A SMRT 0.01% 4.51M $6.5M
1588 RXSIGHT RXST 0.01% 1.02M $6.5M
1589 BANK7 CORP BSVN 0.01% 125.00K $6.5M
1590 TELOS CORPORATION CORP TLS 0.01% 1.48M $6.5M
1591 CENTURY THERAPEUTICS IPSC 0.01% 2.98M $6.5M
1592 WEYCO GROUP INC WEYS 0.01% 141.78K $6.5M
1593 CLEAN ENERGY FUELS CLNE 0.01% 4.12M $6.5M
1594 ISABELLA BANK CORP ISBA 0.01% 164.82K $6.5M
1595 FIRST NORTHERN COMMUNITY BANCORP FNRN 0.01% 369.94K $6.5M
1596 COMSTOCK INC LODE 0.01% 1.80M $6.4M
1597 ARES COMMERCIAL REAL ESTATE REIT C ACRE 0.01% 1.36M $6.4M
1598 AKEBIA THERAPEUTICS INC AKBA 0.01% 6.70M $6.4M
1599 MACROGENICS INC MGNX 0.01% 1.54M $6.4M
1600 JAKKS PACIFIC INC JAKK 0.01% 245.06K $6.4M
1601 HOLLEY HLLY 0.01% 2.21M $6.4M
1602 NU SKIN ENTERPRISES CLASS A NUS 0.01% 1.32M $6.4M
1603 ZUMIEZ ZUMZ 0.01% 346.01K $6.4M
1604 FB BANCORP FBLA 0.01% 399.52K $6.4M
1605 TWIN DISC INC TWIN 0.01% 269.81K $6.3M
1606 RANPAK HOLDINGS CORP CLASS A PACK 0.01% 1.25M $6.3M
1607 WHITEFIBER INC WYFI 0.01% 308.30K $6.3M
1608 INNOVAGE HOLDING CORP INNV 0.01% 575.23K $6.3M
1609 AVIAT NETWORKS INC AVNW 0.01% 296.39K $6.3M
1610 DIAMEDICA THERAPEUTICS INC DMAC 0.01% 921.15K $6.2M
1611 LUMEXA IMAGING HOLDINGS LMRI 0.01% 510.92K $6.2M
1612 PRINCETON BANCORP INC BPRN 0.01% 145.58K $6.2M
1613 EVE HOLDING EVEX 0.01% 2.50M $6.2M
1614 OPTIMUM COMMUNICATIONS INC CLASS A ATUS 0.01% 6.13M $6.1M
1615 AMERICAN RESOURCES CORP CLASS A AREC 0.01% 2.23M $6.1M
1616 FOGHORN THERAPEUTICS FHTX 0.01% 884.89K $6.1M
1617 HAMILTON BEACH BRANDS HOLDING COMP HBB 0.01% 185.18K $6.0M
1618 SEVEN HILLS REALTY TRUST SEVN 0.01% 777.16K $6.0M
1619 CPI CARD GROUP INC PMTS 0.01% 207.17K $6.0M
1620 WESTERN NEW ENGLAND BANCORP INC WNEB 0.01% 433.89K $6.0M
1621 CADIZ INC CDZI 0.01% 1.44M $6.0M
1622 MBIA INC MBI 0.01% 1.22M $6.0M
1623 MEDALLION FINANCIAL CORP MFIN 0.01% 497.23K $6.0M
1624 ALECTOR ALEC 0.01% 2.52M $5.9M
1625 US GOLD CORP USAU 0.01% 365.19K $5.9M
1626 INFORMATION SERVICES GROUP INC III 0.01% 1.17M $5.9M
1627 FULCRUM THERAPEUTICS FULC 0.01% 1.53M $5.9M
1628 OUTDOOR HOLDING POWW 0.01% 2.67M $5.9M
1629 BK TECHNOLOGIES CORP BKTI 0.01% 76.78K $5.9M
1630 IMMERSION CORP IMMR 0.01% 769.40K $5.9M
1631 INFINITY NATURAL RESOURCES INC CLA INR 0.01% 405.23K $5.9M
1632 CHICAGO ATLANTIC REAL ESTATE FINAN REFI 0.01% 541.14K $5.8M
1633 SHOULDER INNOVATIONS SI 0.01% 261.19K $5.8M
1634 COASTALSOUTH BANCSHARES INC COSO 0.01% 211.48K $5.8M
1635 VIRGINIA NATIONAL BANKSHARES CORP VABK 0.01% 123.51K $5.8M
1636 ENTRADA THERAPEUTICS TRDA 0.01% 758.02K $5.8M
1637 VELOCITY FINANCIAL INC VEL 0.01% 317.85K $5.8M
1638 ALICO INC ALCO 0.01% 139.10K $5.7M
1639 MERIDIAN CORP MRBK 0.01% 291.89K $5.7M
1640 LOVESAC COMPANY LOVE 0.01% 356.05K $5.7M
1641 TSS INC TSSI 0.01% 663.34K $5.7M
1642 LEGACY HOUSING CORP LEGH 0.01% 195.24K $5.6M
1643 FIRST INTERNET BANCORP INBK 0.01% 198.08K $5.6M
1644 PEOPLES BANCORP OF NORTH CAROLINA PEBK 0.01% 128.64K $5.6M
1645 SKY HARBOUR GROUP CLASS A SKYH 0.01% 527.52K $5.6M
1646 PRIORITY TECHNOLOGY HOLDINGS INC PRTH 0.01% 997.91K $5.6M
1647 PURE CYCLE CORP PCYO 0.01% 477.69K $5.6M
1648 KINGSWAY CORP KFS 0.01% 530.42K $5.6M
1649 RCI HOSPITALITY HOLDINGS INC RICK 0.01% 183.56K $5.6M
1650 PALLADYNE AI CORP PDYN 0.01% 949.85K $5.6M
1651 VELO3D INC VELO 0.01% 432.71K $5.6M
1652 TRISALUS LF SC CM A TLSI 0.01% 1.10M $5.5M
1653 CITIZENS COMMUNITY BANCORP INC CZWI 0.01% 264.99K $5.5M
1654 VIANT TECHNOLOGY INC CLASS A DSP 0.01% 446.95K $5.5M
1655 NATURES SUNSHINE PRODUCTS INC NATR 0.01% 386.61K $5.5M
1656 KEROS THERAPEUTICS KROS 0.01% 468.70K $5.5M
1657 NEXPOINT DIVERSIFIED REAL ESTATE T NXDT 0.01% 975.79K $5.5M
1658 OPUS GENETICS INC IRD 0.01% 1.33M $5.5M
1659 TREDEGAR CORP TG 0.01% 688.52K $5.5M
1660 GOGO GOGO 0.01% 2.00M $5.4M
1661 LIMONEIRA LMNR 0.01% 391.87K $5.4M
1662 BARNES AND NOBLE EDUCATION INC BNED 0.01% 427.82K $5.4M
1663 CHAINCE DIGITAL HOLDINGS INC CD 0.01% 1.61M $5.3M
1664 PROTARA THERAPEUTICS INC TARA 0.01% 1.35M $5.3M
1665 LANTRONIX INC LTRX 0.01% 905.25K $5.3M
1666 SPOK HOLDINGS INC SPOK 0.01% 498.91K $5.3M
1667 GSI TECHNOLOGY INC GSIT 0.01% 884.69K $5.3M
1668 WEBTOON ENTERTAINMENT INC WBTN 0.01% 557.68K $5.3M
1669 SEAPORT ENTERTAINMENT GROUP INC SEG 0.01% 192.13K $5.3M
1670 RICHARDSON ELECTRONICS LTD RELL 0.01% 311.91K $5.3M
1671 ASURE SOFTWARE INC ASUR 0.01% 609.96K $5.3M
1672 TONIX PHARMACEUTICALS HOLDING TNXP 0.01% 384.82K $5.3M
1673 SEACOR MARINE HOLDINGS INC SMHI 0.01% 539.50K $5.2M
1674 HUDSON TECHNOLOGIES INC HDSN 0.01% 953.56K $5.2M
1675 ATRIUM THERAPEUTICS INC RNA 0.01% 372.46K $5.2M
1676 TURTLE BEACH HEAR 0.01% 405.27K $5.2M
1677 CONCRETE PUMPING HOLDINGS INC BBCP 0.01% 547.28K $5.2M
1678 EVGO INC CLASS A EVGO 0.01% 3.48M $5.2M
1679 INFUSYSTEM HOLDINGS INC INFU 0.01% 431.01K $5.2M
1680 OP BANCORP OPBK 0.01% 339.90K $5.2M
1681 AERSALE CORP ASLE 0.01% 922.59K $5.2M
1682 ONCE UPON A FARM PBC OFRM 0.01% 306.70K $5.2M
1683 FIRST CAPITAL INC FCAP 0.01% 83.22K $5.2M
1684 ARKO PETROLEUM CORP CLASS A APC 0.01% 272.70K $5.1M
1685 ALX ONCOLOGY HOLDINGS INC ALXO 0.01% 2.56M $5.1M
1686 GEMINI SPACE STATION INC CLASS A GEMI 0.01% 1.10M $5.1M
1687 EW SCRIPPS CLASS A SSP 0.01% 1.55M $5.1M
1688 OPPFI INC CLASS A OPFI 0.01% 699.69K $5.1M
1689 STONERIDGE INC SRI 0.01% 709.07K $5.1M
1690 CORE MOLDING TECHNOLOGIES INC CMT 0.01% 201.43K $5.1M
1691 KRONOS WORLDWIDE KRO 0.01% 571.21K $5.1M
1692 DESIGNER BRANDS CLASS A DBI 0.01% 918.62K $5.1M
1693 TPG MORTGAGE INVESTMENT TRUST INC MITT 0.01% 753.38K $5.1M
1694 PERMA PIPE INTERNATIONAL HOLDINGS PPIH 0.01% 190.04K $5.1M
1695 PAYSAFE LTD PSFE 0.01% 741.69K $5.1M
1696 RCM TECHNOLOGIES INC RCMT 0.01% 120.25K $5.1M
1697 EAGLE FINANCIAL SERVICES INC EFSI 0.01% 119.67K $5.0M
1698 HMH HOLDING INC CLASS A HMH 0.01% 263.90K $5.0M
1699 INVIVYD ADGI 0.01% 5.30M $5.0M
1700 FRANKLIN COVEY FC 0.01% 243.74K $5.0M
1701 RIBBON COMMUNICATIONS RBBN 0.01% 2.41M $5.0M
1702 CF BANKSHARES INC CFBK 0.01% 143.11K $5.0M
1703 NATIONAL CINEMEDIA INC NCMI 0.01% 1.82M $5.0M
1704 VUZIX CORP VUZI 0.01% 1.81M $5.0M
1705 SIDUS SPACE INC CLASS A SIDU 0.01% 2.16M $4.9M
1706 CAPSOVISION INC CV 0.01% 833.69K $4.9M
1707 GBANK FINL HLDGS INC GBFH 0.01% 237.24K $4.9M
1708 EAGLE BANCORP MONTANA INC EBMT 0.01% 213.59K $4.9M
1709 OCTAVE SPECIALTY GROUP INC AMBC 0.01% 1.07M $4.8M
1710 ALTI GLOBAL INC CLASS A ALTI 0.01% 1.20M $4.8M
1711 ACME UNITED CORP ACU 0.01% 78.00K $4.8M
1712 CITIZENS INC CLASS A CIA 0.01% 1.24M $4.8M
1713 PIONEER BANCORP INC PBFS 0.01% 277.85K $4.8M
1714 BRC GROUP HOLDINGS INC RILY 0.01% 668.36K $4.8M
1715 QUICKLOGIC CORP QUIK 0.01% 422.99K $4.8M
1716 NIAGEN BIOSCIENCE INC CDXC 0.01% 1.47M $4.8M
1717 AELUMA INC ALMU 0.01% 338.10K $4.8M
1718 RESERVOIR MEDIA INC RSVR 0.01% 483.65K $4.8M
1719 Z SQUARED INC COEP 0.01% 1.16M $4.7M
1720 ZENTALIS PHARMACEUTICALS ZNTL 0.01% 1.22M $4.7M
1721 PRECISION BIOSCIENCES INC DTIL 0.01% 554.54K $4.7M
1722 XPONENTIAL FITNESS CLASS A XPOF 0.01% 902.28K $4.7M
1723 VOYAGER THERAPEUTICS VYGR 0.01% 1.36M $4.7M
1724 UTAH MEDICAL PRODUCTS INC UTMD 0.01% 66.58K $4.7M
1725 JAMES RIVER GROUP HOLDINGS INC JRVR 0.01% 1.14M $4.7M
1726 HIGHPEAK ENERGY INC HPK 0.01% 595.50K $4.7M
1727 UNISYS UIS 0.01% 1.73M $4.7M
1728 HAWTHORN BANCSHARES INC HWBK 0.01% 119.46K $4.7M
1729 LINEAGE CELL THERAPEUTICS INC LCTX 0.01% 4.10M $4.6M
1730 YORK SPACE SYSTEMS INC YSS 0.01% 494.88K $4.6M
1731 PROTALIX BIOTHERAPEUTICS INC PLX 0.01% 1.91M $4.6M
1732 AIRO GROUP HOLDINGS INC AIRO 0.01% 562.21K $4.6M
1733 TAYLOR DEVICES INC TAYD 0.01% 76.61K $4.6M
1734 ATOMERA INC ATOM 0.01% 995.99K $4.6M
1735 LIFEZONE METALS LTD LZM 0.01% 986.28K $4.5M
1736 CORBUS PHARMACEUTICALS HOLDINGS CRBP 0.01% 401.64K $4.5M
1737 OHIO VALLEY BANC CORP OVBC 0.01% 100.04K $4.5M
1738 EVOMMUNE EVMN 0.01% 327.79K $4.5M
1739 ESCALADE INC ESCA 0.01% 223.93K $4.5M
1740 COSTAMARE BULKERS HOLDINGS LTD CMDB 0.01% 217.02K $4.5M
1741 AMTECH SYSTEMS INC ASYS 0.01% 313.08K $4.5M
1742 BIGCOMMERCE HOLDINGS SERIES BIGC 0.01% 1.90M $4.4M
1743 AMPLIFY ENERGY AMPY 0.01% 944.50K $4.4M
1744 ORCHESTRA BIOMED HOLDINGS INC OBIO 0.01% 819.95K $4.4M
1745 NET LEASE OFFICE PROPERTIES NLOP 0.01% 375.60K $4.4M
1746 GENCOR INDUSTRIES INC GENC 0.01% 226.03K $4.4M
1747 COHERUS ONCOLOGY INC CHRS 0.01% 3.18M $4.4M
1748 MOTORCAR PARTS OF AMERICA INC MPAA 0.01% 367.91K $4.3M
1749 SPRUCE BIOSCIENCES SPRB 0.01% 67.82K $4.3M
1750 PRELUDE THERAPEUTICS PRLD 0.01% 649.42K $4.3M
1751 KOLIBRI GLOBAL ENERGY INC KEI.TO 0.01% 737.26K $4.3M
1752 BRT APARTMENTS CORP BRT 0.01% 282.00K $4.3M
1753 ELMET GROUP ELMT 0.01% 238.70K $4.2M
1754 MAINSTREET BANCSHARES MNSB 0.01% 170.15K $4.2M
1755 MICROVAST HOLDINGS MVST 0.01% 5.37M $4.2M
1756 GALECTIN THERAPEUTICS INC GALT 0.01% 1.05M $4.2M
1757 SURROZEN SRZN 0.01% 176.24K $4.1M
1758 COMMUNITY BANCORP VT CMTV 0.01% 100.83K $4.1M
1759 SITE CENTERS SITC 0.01% 1.37M $4.1M
1760 NEXPOINT REAL ESTATE FINANCE NREF 0.01% 235.71K $4.1M
1761 CLAROS MORTGAGE TRUST INC CMTG 0.01% 2.39M $4.1M
1762 ENERGY SERVICES OF AMERICA CORP ESOA 0.01% 354.27K $4.1M
1763 AIRJOULE TECHNOLOGIES CLASS A AIRJ 0.00% 840.46K $4.1M
1764 ANGEL OAK MORTGAGE REIT AOMR 0.00% 479.63K $4.0M
1765 INSPIRED ENTERTAINMENT INC INSE 0.00% 673.22K $4.0M
1766 PHOENIX EDUCATION PARTNERS PXED 0.00% 139.97K $4.0M
1767 BLACK ROCK COFFEE BAR CLASS A BRCB 0.00% 435.59K $4.0M
1768 ACACIA RESEARCH ACTG 0.00% 885.57K $4.0M
1769 CARIBOU BIOSCIENCES CRBU 0.00% 2.26M $4.0M
1770 NACCO INDUSTRIES INC CLASS A NC 0.00% 95.90K $4.0M
1771 SAB BIOTHERAPEUTICS INC SABS 0.00% 1.04M $4.0M
1772 USANA HEALTH SCIENCES INC USNA 0.00% 285.29K $3.9M
1773 KORRO BIO KRRO 0.00% 283.36K $3.9M
1774 DOUGLAS ELLIMAN INC DOUG 0.00% 1.98M $3.9M
1775 SHUTTERSTOCK SSTK 0.00% 686.64K $3.8M
1776 LANDMARK BANCORP INC LARK 0.00% 117.65K $3.8M
1777 CODEXIS CDXS 0.00% 2.26M $3.8M
1778 BCB BANCORP INC BCBP 0.00% 436.50K $3.8M
1779 J JILL INC JILL 0.00% 190.49K $3.8M
1780 ADVANTAGE SOLUTIONS CLASS A ADV 0.00% 111.64K $3.8M
1781 DOMO INC CLASS B DOMO 0.00% 1.01M $3.7M
1782 BV FINANCIAL INC BVFL 0.00% 175.46K $3.7M
1783 NEUMORA THERAPEUTICS INC NMRA 0.00% 2.47M $3.7M
1784 PLAYTIKA HOLDING CORP PLTK 0.00% 1.51M $3.7M
1785 SOLUNA HOLDINGS INC SLNH 0.00% 3.00M $3.7M
1786 LIFEWAY FOODS INC LWAY 0.00% 141.11K $3.7M
1787 SWARMER INC SWMR 0.00% 95.00K $3.7M
1788 WHITEHAWK THERAPEUTICS WHWK 0.00% 724.56K $3.7M
1789 ANGI INC CLASS A ANGIV 0.00% 745.78K $3.7M
1790 RGC RESOURCES INC RGCO 0.00% 166.24K $3.6M
1791 EXZEO GROUP INC XZO 0.00% 211.59K $3.6M
1792 KORU MEDICAL SYSTEMS INC KRMD 0.00% 1.13M $3.6M
1793 CB FINANCIAL SERVICES INC CBFV 0.00% 95.24K $3.6M
1794 FUTUREFUEL CORP FF 0.00% 661.05K $3.6M
1795 LUCID DIAGNOSTICS INC LUCD 0.00% 3.52M $3.6M
1796 SECURITY NATIONAL FINANCIAL CORP C SNFCA 0.00% 405.44K $3.5M
1797 CABLE ONE INC CABO 0.00% 133.63K $3.5M
1798 INOGEN INGN 0.00% 635.31K $3.5M
1799 PROFRAC HOLDING CLASS A PFHC 0.00% 749.87K $3.5M
1800 SUPERIOR GROUP OF COMPANIES INC SGC 0.00% 277.79K $3.5M
1801 LYELL IMMUNOPHARMA LYEL 0.00% 224.01K $3.5M
1802 CARTESIAN THERAPEUTICS RNAC 0.00% 334.21K $3.5M
1803 KALTURA INC KLTR 0.00% 2.27M $3.5M
1804 PRO DEX INC PDEX 0.00% 52.83K $3.4M
1805 SES AI CLASS A SES 0.00% 6.29M $3.4M
1806 UNIVERSAL LOGISTICS HOLDINGS INC ULH 0.00% 177.58K $3.4M
1807 SIGA TECHNOLOGIES INC SIGA 0.00% 1.12M $3.4M
1808 PRIMEENERGY RESOURCES CORP PNRG 0.00% 16.35K $3.4M
1809 CHARGEPOINT HOLDINGS INC CLASS A CHPT 0.00% 579.51K $3.4M
1810 CARLSMED CARL 0.00% 210.23K $3.4M
1811 AN2 THERAPEUTICS INC ANTX 0.00% 595.24K $3.4M
1812 PROFICIENT AUTO LOGISTICS INC PAL 0.00% 620.57K $3.4M
1813 ORION PROPERTIES ONL 0.00% 1.14M $3.4M
1814 AMPCO PITTSBURGH CORP AP 0.00% 379.82K $3.4M
1815 SMART SAND INC SND 0.00% 714.19K $3.3M
1816 ONEWATER MARINE CLASS A INC ONEW 0.00% 278.15K $3.3M
1817 LIFEMD INC LFMD 0.00% 1.03M $3.3M
1818 LIFECORE BIOMEDICAL LNDC 0.00% 719.98K $3.3M
1819 SR BANCORP INC SRBK 0.00% 169.93K $3.3M
1820 UNICYCIVE THERAPEUTICS INC UNCY 0.00% 608.15K $3.3M
1821 GREENWICH LIFESCIENCES INC GLSI 0.00% 178.31K $3.3M
1822 MAPLIGHT THERAPEUTICS MPLT 0.00% 264.31K $3.3M
1823 EVERCOMMERCE INC EVCM 0.00% 368.20K $3.3M
1824 ORAMED PHARMACEUTICALS INC ORMP 0.00% 626.30K $3.3M
1825 WESTWOOD HOLDINGS GROUP INC WHG 0.00% 165.06K $3.2M
1826 MINERVA NEUROSCIENCES INC NERV 0.00% 642.97K $3.2M
1827 ACUMEN PHARMACEUTICALS INC ABOS 0.00% 1.02M $3.2M
1828 INTEST CORP INTT 0.00% 278.45K $3.2M
1829 ALTA EQUIPMENT GROUP INC CLASS A ALTG 0.00% 510.55K $3.2M
1830 CURIOSITYSTREAM INC CLASS A CURI 0.00% 1.16M $3.2M
1831 RICHMOND MUTUAL BANCORPORATION INC RMBI 0.00% 196.64K $3.1M
1832 EGAIN CORP EGAN 0.00% 434.52K $3.1M
1833 ORGANOGENESIS HOLDINGS CLASS A ORGO 0.00% 1.78M $3.1M
1834 ESPEY MANUFACTURING AND ELECTRONIC ESP 0.00% 49.88K $3.1M
1835 BRAEMAR HOTELS RESORTS INC BHR 0.00% 1.51M $3.1M
1836 QUANTERIX QTRX 0.00% 1.11M $3.1M
1837 CS DISCO LAW 0.00% 740.68K $3.1M
1838 MEDIWOUND LTD MDWD 0.00% 237.51K $3.1M
1839 NKARTA NKTX 0.00% 1.13M $3.1M
1840 MONTAUK RENEWABLES INC MNTK 0.00% 1.67M $3.0M
1841 CREXENDO INC CXDO 0.00% 480.73K $3.0M
1842 TECHTARGET INC TTGT 0.00% 776.85K $3.0M
1843 FINWISE BANCORP FINW 0.00% 217.63K $3.0M
1844 LAND END LE 0.00% 249.57K $3.0M
1845 SIONNA THERAPEUTICS SION 0.00% 477.62K $3.0M
1846 PROKIDNEY CORP CLASS A PROK 0.00% 1.70M $2.9M
1847 HANOVER BANCORP INC HNVR 0.00% 108.92K $2.9M
1848 MAUI LAND AND PINEAPPLE INC MLP 0.00% 182.14K $2.9M
1849 STARFIGHTERS SPACE INC FJET 0.00% 757.68K $2.9M
1850 LOANDEPOT INC CLASS A LDI 0.00% 3.06M $2.8M
1851 ADC THERAPEUTICS SA ADCT 0.00% 2.70M $2.8M
1852 NI HOLDINGS INC NODK 0.00% 182.74K $2.8M
1853 STRAWBERRY FIELDS REIT INC STRW 0.00% 197.91K $2.8M
1854 TRON INC SRM 0.00% 1.31M $2.8M
1855 COMMERCIAL VEHICLE GROUP INC CVGI 0.00% 891.67K $2.8M
1856 LIBERTY CAPITAL SERIES A GLIBA 0.00% 100.23K $2.7M
1857 AEMETIS INC AMTX 0.00% 1.40M $2.7M
1858 BLACK DIAMOND THERAPEUTICS INC BDTX 0.00% 1.19M $2.7M
1859 FINANCE OF AMERICA COMPANIES INC C FOA 0.00% 135.88K $2.7M
1860 EVOLUTION PETROLEUM CORP EPM 0.00% 762.29K $2.7M
1861 GRAFTECH INTERNATIONAL LTD EAF 0.00% 395.23K $2.6M
1862 BETTER HOME FINANCE HOLDING CLASS BETR 0.00% 212.74K $2.6M
1863 FREIGHTCAR AMERICA INC RAIL 0.00% 360.82K $2.6M
1864 GYRE THERAPEUTICS GYRE 0.00% 389.22K $2.6M
1865 SILVERCREST ASSET MANAGEMENT GROUP SAMG 0.00% 258.51K $2.6M
1866 SANARA MEDTECH INC SMTI 0.00% 73.67K $2.6M
1867 BALLY S BALY 0.00% 263.54K $2.5M
1868 CANTON STRATEGIC HOLDINGS INC THAR 0.00% 1.08M $2.5M
1869 LENZ THERAPEUTICS LENZ 0.00% 531.71K $2.5M
1870 ENVELA CORP ELA 0.00% 174.34K $2.5M
1871 REPOSITRAK INC PCYG 0.00% 301.69K $2.4M
1872 CHAIN BRIDGE BANCORP INC CLASS A CBNA 0.00% 52.74K $2.4M
1873 LIFETIME BRANDS INC LCUT 0.00% 253.60K $2.4M
1874 KVH INDUSTRIES INC KVHI 0.00% 311.96K $2.3M
1875 ECB BANCORP INC ECBK 0.00% 111.97K $2.3M
1876 GLOBAL WATER RESOURCES INC GWRS 0.00% 247.59K $2.3M
1877 BIGLARI HOLDINGS INC CLASS A BH-A 0.00% 1.19K $2.3M
1878 STEREOTAXIS INC STXS 0.00% 1.61M $2.3M
1879 RF INDUSTRIES LTD RFIL 0.00% 211.88K $2.3M
1880 ALPHA TEKNOVA TKNO 0.00% 301.86K $2.3M
1881 INNVENTURE INC INV 0.00% 1.46M $2.2M
1882 CONSUMER PORTFOLIO SERVICES INC CPSS 0.00% 240.38K $2.2M
1883 OMEGA FLEX INC OFLX 0.00% 82.68K $2.2M
1884 1STDIBS COM INC DIBS 0.00% 496.99K $2.2M
1885 SILVACO GROUP INC SVCO 0.00% 325.42K $2.2M
1886 CAMP4 THERAPEUTICS CORP CAMP 0.00% 497.25K $2.2M
1887 ACCENDRA HEALTH ACH 0.00% 1.90M $2.2M
1888 DIGIMARC DMRC 0.00% 377.71K $2.2M
1889 ONKURE THERAPEUTICS INC CLASS A OKUR 0.00% 561.65K $2.2M
1890 KINDERCARE LEARNING COMPANIES INC KLC 0.00% 830.67K $2.1M
1891 VERITONE INC VERI 0.00% 2.37M $2.1M
1892 EVI INDUSTRIES INC EVI 0.00% 142.58K $2.1M
1893 1-800 FLOWERS.COM CLASS A FLWS 0.00% 523.84K $2.1M
1894 ACRES COMMERCIAL REALTY ACR 0.00% 137.91K $2.0M
1895 VENU HOLDING CORP VENU 0.00% 1.02M $2.0M
1896 NET POWER CLASS A NPWR 0.00% 1.05M $2.0M
1897 GOPRO INC CLASS A GPRO 0.00% 3.34M $2.0M
1898 EPSILON ENERGY LTD EPSN 0.00% 340.84K $2.0M
1899 SMITH MIDLAND CORP SMID 0.00% 70.56K $1.9M
1900 BRC INC CLASS A BRCC 0.00% 227.16K $1.9M
1901 RHINEBECK BANCORP INC RBKB 0.00% 150.79K $1.9M
1902 ZENATECH INC ZENA 0.00% 1.00M $1.8M
1903 TORRID HOLDINGS INC CURV 0.00% 862.99K $1.8M
1904 BRAND ENGAGEMENT NETWORK INC BNAI 0.00% 133.78K $1.8M
1905 HIREQUEST INC HQI 0.00% 99.90K $1.7M
1906 THRYV HOLDINGS INC THRY 0.00% 885.59K $1.7M
1907 PAMT CORP PTSI 0.00% 142.74K $1.7M
1908 RIDENOW GROUP INC CLASS B RDNW 0.00% 277.11K $1.6M
1909 ARTIVA BIOTHERAPEUTICS INC ARTV 0.00% 138.79K $1.6M
1910 SBC MEDICAL GROUP HOLDINGS INC SBC 0.00% 373.84K $1.6M
1911 TUCOWS INC TCX 0.00% 175.19K $1.6M
1912 VALHI INC VHI 0.00% 85.60K $1.5M
1913 ENERGOUS CORP WATT 0.00% 136.22K $1.5M
1914 INHIBRX INC CVR 0.00% 794.44K $1.5M
1915 TENAX THERAPEUTICS INC TENX 0.00% 646.00K $1.5M
1916 INSEEGO INSG 0.00% 330.09K $1.5M
1917 SYNTEC OPTICS HOLDINGS INC CLASS A OPTX 0.00% 189.32K $1.5M
1918 AIRSCULPT TECHNOLOGIES INC AIRS 0.00% 543.64K $1.5M
1919 HYPERFINE CLASS A HYPR 0.00% 1.66M $1.4M
1920 PLAYBOY INC PLBY 0.00% 1.15M $1.4M
1921 ROADZEN INC RDZN 0.00% 903.25K $1.4M
1922 MARKETWISE INC CLASS A MKTW 0.00% 69.92K $1.3M
1923 OPAL FUELS CLASS A OPAL 0.00% 595.62K $1.3M
1924 PUBLIC POLICY HOLDING INC PPHC 0.00% 115.46K $1.3M
1925 TRANSCONTINENTAL REALTY INVESTORS TCI 0.00% 32.23K $1.3M
1926 CVRX CVRX 0.00% 366.78K $1.2M
1927 COMPX INTERNATIONAL INC CLASS A CIX 0.00% 38.89K $1.2M
1928 INTELLICHECK INC IDN 0.00% 424.48K $1.2M
1929 NLI HOLDINGS INC NL 0.00% 185.55K $1.2M
1930 SILVER BOW MINING CORP SBMT 0.00% 129.76K $1.2M
1931 HERON THERAPEUTICS INC HRTX 0.00% 3.64M $1.2M
1932 BLAIZE HOLDINGS INC BZAI 0.00% 2.48M $1.2M
1933 AKERO THERAPEUTICS CVR 0.00% 1.73M $1.1M
1934 ARMATA PHARMACEUTICALS ARMP 0.00% 194.48K $1.1M
1935 COMSTOCK HOLDING COMPANIES INC CLA CHCI 0.00% 54.42K $1.1M
1936 VALUE LINE INC VALU 0.00% 27.80K $1.0M
1937 CONTEXT THERAPEUTICS INC CNTX 0.00% 2.30M $1.0M
1938 TIGO ENERGY TYGO 0.00% 931.92K $978.5K
1939 LEE ENTERPRISES INC LEE 0.00% 113.22K $960.1K
1940 ELICIO THERAPEUTICS INC ELTX 0.00% 314.58K $946.9K
1941 INNOVATE CORP VATE 0.00% 122.38K $944.8K
1942 US GOLDMINING INC USGO 0.00% 96.36K $934.7K
1943 NAUTILUS BIOTECHNOLGY NAUT 0.00% 1.06M $933.2K
1944 TOYO LTD TOYO 0.00% 199.16K $930.1K
1945 KARYOPHARM THERAPEUTICS KPTI 0.00% 483.91K $929.1K
1946 CONNECT BIOPHARMA HOLDINGS LTD CNTB 0.00% 379.03K $928.6K
1947 RENT THE RUNWAY CLASS A RENT 0.00% 250.25K $913.4K
1948 FORAFRIC GLOBAL PLC AFRI 0.00% 73.30K $806.3K
1949 FIRST GUARANTY BANCSHARES INC FGBI 0.00% 95.38K $775.4K
1950 LIVEWIRE GROUP LVWR 0.00% 518.95K $638.3K
1951 WHEELS UP EXPERIENCE CLASS A UP 0.00% 124.77K $623.8K
1952 RAMACO RESOURCES CLASS B METCB 0.00% 88.70K $601.4K
1953 FLYEXCLUSIVE INC CLASS A FLYX 0.00% 393.82K $512.0K
1954 AMERICAN REALTY INVESTORS INC ARL 0.00% 28.99K $444.5K
1955 CHINOOK THERAPEUTICS INC 0.00% 1.32M $223.8K
1956 CHINOOK THERAPEUTICS INC CVR 0.00% 272.34K $138.9K
1957 ARCELLX INC CVR 0.00% 936.94K $65.6K
1958 TRINSEO PLC 0.00% 764.14K $2.3K
1959 CASH COLLATERAL USD C 0.00% 20 $20.05
1960 STERLING BANCORP INC SBT 0.00% 580.76K $5.81
1961 THIRD HARMONIC BIO INC THRD 0.00% 603.45K $6.03
1962 OMNIAB INC $12.50 VESTING Prvt 0.00% 130.68K $1.31
1963 Petrocorp Inc Escrow 0.00% 26.11K $0.26
1964 GTXI INC - CVR 0.00% 13.27K $0.13
1965 CAD CASH 0.00% 0 $0.01
1966 OMNIAB INC $15.00 VESTING Prvt 0.00% 130.68K $1.31
1967 PDL BIOPHARMA INC 0.00% 11.85K $0.12

انقر على رمز التداول لرؤية جميع صناديق الاستثمار المتداولة التي تمتلكه.

التعرض القطاعي

الرعاية الصحية 20.04%
الخدمات المالية 18.60%
التكنولوجيا 13.78%
الصناعة 13.54%
السلع الاستهلاكية الدورية 9.24%
العقارات 6.86%
الطاقة 6.01%
المواد الأساسية 4.19%
المرافق العامة 2.79%
السلع الاستهلاكية الدفاعية 2.73%
خدمات الاتصالات 2.22%

التعرض الجغرافي

United States (developed) 95.04%
Bermuda 1.27%
United Kingdom (developed) 0.70%
Switzerland (developed) 0.54%
Canada (developed) 0.50%
Ireland (developed) 0.46%
Other 0.26%
Singapore (developed) 0.19%
Cayman Islands 0.16%
Monaco 0.16%
France (developed) 0.11%
Guernsey 0.10%
Luxembourg (developed) 0.09%
Bahamas 0.08%
Puerto Rico 0.07%
Brazil (emerging) 0.05%
Panama 0.05%

الأوزان الجغرافية كما أفادت بها جهة بيانات الصندوق. تتبع تصنيفات الأسواق المتقدمة/الناشئة/الحدودية ما هو مُحدد في صفحة المنهجية. مُحوَّط بالعملة: لا يوجد تحوط مشار إليه في اسم الصندوق.

التوزيعات

العائد (آخر 12 شهرًا)0.89% المدفوع (آخر 12 شهراً)$2.6564
التكرارQuarterly عائد SECغير متوفر من مصدر بياناتنا — راجع صفحة الجهة المُصدِرة
آخر تاريخ انفصالJun 15, 2026 آخر دفعة$0.6951 (Jun 18, 2026)
النمو خلال سنة+7.04% النمو خلال 3 سنوات / 5 سنوات (سنوي)-2.09% / +6.90%
تاريخ الاستحقاقتاريخ الاستحقاقتاريخ الدفعالمبلغ
Jun 15, 2026Jun 15, 2026 Jun 18, 2026$0.6951
Mar 17, 2026Mar 17, 2026 Mar 20, 2026$0.4420
Dec 16, 2025Dec 16, 2025 Dec 19, 2025$0.8425
Sep 16, 2025Sep 16, 2025 Sep 19, 2025$0.6768
Jun 16, 2025Jun 16, 2025 Jun 20, 2025$0.5756
Mar 18, 2025Mar 18, 2025 Mar 21, 2025$0.4598
Dec 17, 2024Dec 17, 2024 Dec 20, 2024$0.6940
Sep 25, 2024Sep 25, 2024 Sep 30, 2024$0.7522
Jun 11, 2024Jun 11, 2024 Jun 17, 2024$0.5622
Mar 21, 2024Mar 22, 2024 Mar 27, 2024$0.5221
Dec 20, 2023Dec 21, 2023 Dec 27, 2023$0.7339
Sep 26, 2023Sep 27, 2023 Oct 02, 2023$0.8289

عائد التوزيع المتراكم = إجمالي التوزيعات النقدية لآخر 12 شهراً ÷ السعر الحالي. وهو ليس عائد SEC لـ 30 يوماً، ولا يُضمن استمرار التوزيعات. الفرق موضحاً →

إحصاءات المخاطر

التذبذب لسنة / 3 سنوات18.70% / 21.18% شارب 1 سنة / 3 سنوات1.48 / 0.852
أقصى تراجع خلال سنة / 3 سنوات-11.03% / -27.50% سورتينو 1 سنة2.23
بيتا مقارنةً بـ S&P 500 (3 سنوات)1.12 الارتباط مقابل S&P 500 (سنة واحدة)0.819
انحراف الجانب السلبي (سنة واحدة)12.36% معدل العائد الخالي من المخاطر المُستخدَم3.71% (3M T-bill, FRED)

محسوب بواسطة ETF Explorer مستندةً إلى إغلاقات يومية معدَّلة بالأرباح الموزَّعة؛ أرقام التذبذب والتراجع مُحوَّلة إلى أساس سنوي/فترة زمنية؛ التعرّض لمؤشر S&P 500 يُقاس بالوكالة عبر SPY. بتاريخ Aug 27, 2026. الصيغ والمعادلات →

السيولة

حجم التداول اليوم10.40M متوسط حجم التداول24.43M
إجمالي الأصول المُدارة$80.87B العلاوة/الخصم-0.12%
فارق السعر بين العرض والطلبغير متوفر من مصدر بياناتنا. راجع شاشة عروض الأسعار لدى وسيطك؛ تكون الفروقات السعرية في أوسع حالاتها عند الافتتاح والإغلاق.

يقارن العلاوة/الخصم سعر السوق المتأخر بآخر صافي قيمة أصول مُعلَنة — وهو رقم استرشادي، وليس العلاوة/الخصم الرسمية عند الإغلاق. كيف تعمل سيولة ETF →

تدفقات الصناديق (تقديرية)

الفترةصافي التدفق المقدَّر% من إجمالي الأصول المُدارة في بداية الفترةإجمالي الأصول المُدارة: البداية ← النهاية
يوم واحد $0.00 0.00% $80.87B → $80.87B
أسبوع واحد -$1.43B -1.75% $81.96B → $80.87B

تقدير ETF Explorer: التغير في صافي الأصول المُعلنة مطروحًا منه أثر حركة السوق، مستمدًّا من لقطاتنا اليومية. ليست بيانات اشتراك/استرداد رسمية من جهة الإصدار.

الموارد الرسمية للصندوق

تفتح الروابط الخارجية الموقع الرسمي لجهة الإصدار أو قاعدة بيانات SEC EDGAR في تبويب جديد. تُعدّ نشرة الإصدار والوثائق الرسمية دائمًا المرجع الموثوق — يُرجى مراجعتها قبل الاستثمار.

آخر الأخبار لـ IWM

لا توجد مقالات تذكر هذا الصندوق مباشرةً في آخر 7 أيام — يتم عرض التغطية العامة لصناديق المؤشرات المتداولة.

جميع الأخبار المتعلقة بـ IWM →

إرشادات: AUM هو حجم الصندوق. ونسبة المصروفات هي التكلفة السنوية المُدمجة في العوائد. وصافي قيمة الأصول (NAV) هو قيمة ما يمتلكه الصندوق لكل وحدة؛ وقد يكون سعر السوق أعلى قليلاً (علاوة) أو أدنى منه (خصم). ويفترض إجمالي العائد أن التوزيعات أُعيد استثمارها. تعرض كل مجموعة بيانات تاريخ تحديثها الخاص، إذ تتجدد المقتنيات والأصول والأسعار وفق جداول زمنية مختلفة.

السلعة

السلع (واسعة النطاق)الذهبالنفط والغازالفضة

الأصول الرقمية

العملات المشفرةBitcoin

الدخل الثابت

السندات (جميع الأنواع)السندات الدوليةالسندات الحكوميةسندات الخزانةالسندات الشركاتسندات عالية العائدالسندات البلديةTIPS / محمي من التضخم

الدخل

توزيع الأرباحالخيارات المغطاة / دخل الخياراتالأسهم الممتازة

المنطقة الجغرافية

دوليعالميالأسواق المتقدمةالأسواق الناشئةالشركات الصغيرة الدوليةالأسواق الحدودية

القطاع والموضوع

المالياتالتكنولوجياالطاقةالعقارات / صناديق REITsالرعاية الصحيةالمواد الأساسيةالصناعةالطاقة النظيفةالبنية التحتية

الاستراتيجية

الحماية / النتيجة المحددةESG / الاستثمار المستداممُحوَّط بالعملةالزخمالوزن المتساويتذبذب منخفض

الهيكل

صناديق ETF النشطةعكسيمرفوعة

الأسلوب والحجم

النموالشركات الأمريكية الكبيرةقيمةالشركات الأمريكية الصغيرةالشركات الأمريكية المتوسطةالسوق الكلي