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Oberflächensprache

PRF Invesco RAFI US 1000 ETF

56.23 0.07 (+0.12%)

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

Vorheriger Schlusskurs56.16 Tagesspanne56.01 – 56.33
52-Wochen-Spanne43.76 – 56.66 Volumen196.84K
Durchschn. Volumen416.05K AUM$10.07B (Aug 27, 2026)
Kostenquote0.34% Rendite (TTM)1.32%
NAV56.15 Aufgeld/Abschlag+0.14% indikativ
AuflegungDec 19, 2005 Positionen997
AnbieterInvesco BörseAMEX
Kategorie Abgebildeter IndexIn den Quelldaten nicht angegeben
CUSIP46137V613 ISINUS46137V6130
ManagementIn den Quelldaten nicht angegeben

Über diesen ETF

The Invesco RAFI US 1000 ETF, referred to as the Fund, is designed to emulate the performance of the RAFI Fundamental Select US 1000 Index. It typically allocates at least 90% of its total assets to the common stocks composing this Index. The Index itself is crafted to track prominent U.S. equities, chosen according to four fundamental indicators of company size: book value, cash flow, sales, and dividends. The one thousand equities demonstrating the highest fundamental strength receive weighting based on their respective fundamental scores. Both the Fund and its underlying Index undergo an annual rebalancing process. Please note an upcoming transition: as of the close of business on March 21, 2025, the Fund's current underlying index, the FTSE RAFI US 1000 Index, will be superseded by the RAFI Fundamental Select US 1000 Index (the "New Underlying Index"). Simultaneously, the Fund's official designation will become "Invesco RAFI US 1000 ETF." As of August 31, 2025, the Fund achieved an overall 4-star rating from Morningstar Inc., positioning it among 1077 similar funds. It also secured 4-star ratings for its 3-year, 5-year, and 10-year performance periods, within comparison groups of 1077, 1018, and 826 funds, respectively. Morningstar's ratings are based on a risk-adjusted return methodology that emphasizes consistent performance and accounts for downside risk. For comparison, open-end mutual funds and exchange-traded funds are treated as a single category, and ratings are only issued for funds with a history of at least three years. The overall rating is a weighted average of the applicable three-, five-, and ten-year performance metrics, incorporating fees and expenses but excluding sales charges. This information, copyrighted by Morningstar Inc. (©2025), is proprietary and should not be reproduced or distributed; its accuracy, completeness, or timeliness is not guaranteed. Morningstar and its content providers disclaim liability for any losses resulting from the use of this data. Prior performance does not indicate future returns. Star ratings are distributed as follows: the top 10% receive five stars, the subsequent 22.5% four stars, the next 35% three stars, the following 22.5% two stars, and the bottom 10% one star. Ratings are updated monthly. It is important to note that if current or past fee waivers and/or expense reimbursements had not been applied, the Morningstar rating would have been lower. Ratings may also vary for different share classes due to differing performance characteristics.

Beschreibung vom Fondsdatenanbieter · Profil per Aug 27, 2026.

Kurschart

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

Wertentwicklung

1M3M6MYTD1Y3Y*5Y*10Y*Auflegung*
Kursrendite +3.00% +5.02% +13.03% +19.84% +27.51% +19.98% +11.26% +11.61% +8.77%
Gesamtrendite +3.00% +5.36% +13.85% +20.72% +29.50% +22.11% +13.34% +13.84% +10.82%

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

Gebühren

Nettokostenquote0.34% Jährliche Kosten einer Anlage von 10.000 $$34.00

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

Positionen

Positionen per Aug 26, 2026 — Portfolio-Meldedatum des Datenanbieters; die Positionen sind keine Echtzeit-Bestände. 1001 Zeilen in der Datenbank.

#PositionTickerGewichtungAktienMarktwert
1 Apple Inc AAPL 4.25% 1.38M $428.8M
2 Alphabet Inc GOOGL 3.49% 1.01M $351.3M
3 Microsoft Corp MSFT 2.72% 557.40K $274.1M
4 Amazon.com Inc AMZN 2.19% 846.99K $221.1M
5 ExxonMobil Holdings Corp XOM 1.88% 1.18M $189.2M
6 Berkshire Hathaway Inc BRK-B 1.76% 350.98K $177.0M
7 JPMorgan Chase & Co JPM 1.69% 478.39K $170.6M
8 Intel Corp INTC 1.68% 1.94M $169.4M
9 Meta Platforms Inc META 1.38% 243.37K $138.7M
10 Chevron Corp CVX 1.29% 652.10K $130.3M
11 Bank of America Corp BAC 1.25% 2.01M $125.5M
12 UnitedHealth Group Inc UNH 1.24% 316.13K $125.4M
13 Johnson & Johnson JNJ 1.17% 432.49K $118.1M
14 Micron Technology Inc MU 0.98% 105.67K $98.6M
15 Merck & Co Inc MRK 0.91% 587.64K $91.9M
16 Citigroup Inc C 0.89% 671.99K $89.5M
17 Pfizer Inc PFE 0.81% 2.86M $81.7M
18 Wells Fargo & Co WFC 0.80% 955.04K $81.0M
19 Verizon Communications Inc VZ 0.80% 1.60M $80.4M
20 Cisco Systems Inc CSCO 0.79% 717.86K $79.8M
21 AT&T Inc T 0.70% 2.75M $70.9M
22 Walmart Inc WMT 0.70% 666.40K $70.2M
23 Procter & Gamble Co/The PG 0.66% 460.61K $67.0M
24 Valero Energy Corp VLO 0.63% 187.88K $64.0M
25 ConocoPhillips COP 0.63% 478.29K $63.1M
26 NVIDIA Corp NVDA 0.62% 292.41K $62.3M
27 Bristol-Myers Squibb Co BMY 0.61% 901.44K $61.2M
28 AbbVie Inc ABBV 0.60% 228.73K $60.8M
29 Goldman Sachs Group Inc/The GS 0.58% 55.61K $58.9M
30 Marathon Petroleum Corp MPC 0.52% 147.66K $52.4M
31 General Motors Co GM 0.51% 596.52K $51.2M
32 Broadcom Inc AVGO 0.50% 141.88K $50.6M
33 CVS Health Corp CVS 0.50% 542.08K $50.4M
34 Moderna Inc MRNA 0.49% 311.99K $49.6M
35 Comcast Corp CMCSA 0.49% 1.82M $49.3M
36 Home Depot Inc/The HD 0.48% 143.29K $48.4M
37 RTX Corp RTX 0.46% 221.65K $46.6M
38 Amgen Inc AMGN 0.46% 103.80K $45.9M
39 Ford Motor Co F 0.45% 3.27M $45.6M
40 Elevance Health Inc ANTM 0.45% 113.48K $45.3M
41 Morgan Stanley MS 0.44% 206.49K $44.8M
42 Costco Wholesale Corp COST 0.43% 45.59K $43.8M
43 Advanced Micro Devices Inc AMD 0.43% 91.00K $43.6M
44 Applied Materials Inc AMAT 0.42% 87.95K $42.2M
45 Phillips 66 PSX 0.41% 176.51K $41.8M
46 Caterpillar Inc CAT 0.41% 51.36K $41.7M
47 Target Corp TGT 0.41% 254.59K $41.6M
48 Centene Corp CNC 0.40% 613.14K $39.9M
49 Walt Disney Co/The DIS 0.39% 354.34K $39.4M
50 Visa Inc V 0.39% 102.36K $39.3M
51 Thermo Fisher Scientific Inc TMO 0.37% 58.87K $37.0M
52 Abbott Laboratories ABT 0.36% 315.59K $36.6M
53 QUALCOMM Inc QCOM 0.36% 227.31K $36.5M
54 Gilead Sciences Inc GILD 0.36% 243.46K $36.2M
55 Union Pacific Corp UNP 0.36% 115.79K $35.8M
56 Coca-Cola Co/The KO 0.35% 386.39K $35.4M
57 Capital One Financial Corp COF 0.35% 163.44K $35.3M
58 Humana Inc HUM 0.35% 90.31K $35.2M
59 Eli Lilly & Co LLY 0.35% 28.46K $35.1M
60 International Business Machines Corp IBM 0.34% 147.12K $34.5M
61 Lockheed Martin Corp LMT 0.34% 61.45K $34.2M
62 PepsiCo Inc PEP 0.34% 239.30K $34.0M
63 Hewlett Packard Enterprise Co HPE 0.34% 632.73K $33.8M
64 Texas Instruments Inc TXN 0.32% 125.69K $32.7M
65 Philip Morris International Inc PM 0.32% 167.88K $32.6M
66 Cigna Group/The CI 0.32% 114.69K $32.0M
67 Lam Research Corp LRCX 0.30% 97.12K $30.6M
68 Lowe's Cos Inc LOW 0.30% 139.93K $30.0M
69 Deere & Co DE 0.30% 47.40K $29.9M
70 Salesforce Inc CRM 0.28% 138.31K $28.4M
71 EOG Resources Inc EOG 0.28% 193.65K $28.4M
72 Accenture PLC ACN 0.27% 145.85K $27.3M
73 Nucor Corp NUE 0.27% 109.45K $27.1M
74 US Bancorp USB 0.27% 430.10K $26.8M
75 Linde PLC LIN 0.27% 54.91K $26.8M
76 Tesla Inc TSLA 0.26% 74.98K $26.3M
77 FedEx Corp FDX 0.26% 77.11K $25.7M
78 United Parcel Service Inc UPS 0.26% 244.52K $25.7M
79 Bank of New York Mellon Corp/The BNY 0.25% 155.39K $25.4M
80 Mastercard Inc MA 0.25% 41.54K $24.9M
81 PayPal Holdings Inc PYPL 0.25% 399.70K $24.9M
82 PNC Financial Services Group Inc/The PNC 0.25% 101.73K $24.8M
83 Oracle Corp ORCL 0.24% 167.47K $24.2M
84 Duke Energy Corp DUK 0.24% 199.06K $24.2M
85 Analog Devices Inc ADI 0.24% 64.77K $24.2M
86 Altria Group Inc MO 0.23% 345.22K $23.5M
87 NextEra Energy Inc NEE 0.23% 277.76K $23.4M
88 Adobe Inc ADBE 0.23% 85.24K $23.3M
89 Warner Bros Discovery Inc WBD 0.23% 802.19K $23.2M
90 Chubb Ltd CB 0.23% 67.31K $23.1M
91 Mondelez International Inc MDLZ 0.22% 357.69K $22.5M
92 Dow Inc DOW 0.22% 745.00K $22.5M
93 Truist Financial Corp TFC 0.22% 445.15K $22.4M
94 CSX Corp CSX 0.22% 434.48K $22.4M
95 Devon Energy Corp DVN 0.22% 466.71K $21.9M
96 American International Group Inc AIG 0.21% 280.64K $21.4M
97 Regeneron Pharmaceuticals Inc REGN 0.21% 25.37K $21.1M
98 Netflix Inc NFLX 0.21% 256.99K $21.1M
99 Danaher Corp DHR 0.20% 95.45K $20.6M
100 MetLife Inc MET 0.20% 214.50K $20.6M
101 Blackrock Inc BLK 0.20% 17.33K $20.4M
102 McDonald's Corp MCD 0.20% 75.82K $20.3M
103 HP Inc HPQ 0.20% 688.11K $20.3M
104 American Express Co AXP 0.20% 59.53K $20.0M
105 3M Co MMM 0.19% 109.53K $19.6M
106 Archer-Daniels-Midland Co ADM 0.19% 248.16K $19.6M
107 Travelers Cos Inc/The TRV 0.19% 53.02K $19.6M
108 SLB Ltd SLB 0.19% 367.60K $19.6M
109 Medtronic PLC MDT 0.19% 211.95K $19.3M
110 Seagate Technology Holdings PLC STX 0.19% 23.49K $19.3M
111 Southern Co/The SO 0.19% 213.67K $19.2M
112 Newmont Corp NEM 0.19% 138.05K $18.7M
113 Prologis Inc PLD 0.18% 128.07K $18.4M
114 Allstate Corp/The ALL 0.18% 70.95K $18.3M
115 Freeport-McMoRan Inc FCX 0.18% 228.14K $18.2M
116 General Electric Co GE 0.18% 50.73K $17.7M
117 Charter Communications Inc CHTR 0.18% 114.20K $17.7M
118 General Dynamics Corp GD 0.17% 46.75K $17.6M
119 Dell Technologies Inc DELL 0.17% 38.97K $17.6M
120 Booking Holdings Inc BKNG 0.17% 80.49K $17.2M
121 Norfolk Southern Corp NSC 0.17% 47.95K $16.8M
122 Dominion Energy Inc D 0.17% 248.99K $16.7M
123 Marvell Technology Inc MRVL 0.16% 68.46K $16.5M
124 State Street Corp STT 0.16% 85.12K $16.4M
125 Starbucks Corp SBUX 0.16% 154.95K $16.4M
126 Northrop Grumman Corp NOC 0.16% 30.10K $16.3M
127 Kroger Co/The KR 0.16% 278.81K $16.3M
128 Synchrony Financial SYF 0.16% 198.74K $16.1M
129 Progressive Corp/The PGR 0.16% 72.11K $16.0M
130 Kinder Morgan Inc KMI 0.16% 516.75K $16.0M
131 Charles Schwab Corp/The SCHW 0.16% 142.00K $15.9M
132 S&P Global Inc SPGI 0.16% 36.41K $15.8M
133 Kraft Heinz Co/The KHC 0.16% 621.78K $15.7M
134 Aflac Inc AFL 0.16% 135.24K $15.7M
135 Emerson Electric Co EMR 0.15% 99.92K $15.5M
136 Western Digital Corp WDC 0.15% 34.24K $15.4M
137 T-Mobile US Inc TMUS 0.15% 84.35K $15.3M
138 PACCAR Inc PCAR 0.15% 118.19K $15.3M
139 Occidental Petroleum Corp OXY 0.15% 258.62K $15.1M
140 DR Horton Inc DHI 0.15% 99.47K $15.0M
141 Prudential Financial Inc PRU 0.15% 124.51K $15.0M
142 eBay Inc EBAY 0.15% 141.10K $15.0M
143 Vertex Pharmaceuticals Inc VRTX 0.15% 26.86K $14.8M
144 Corteva Inc CTVA 0.15% 177.19K $14.7M
145 TJX Cos Inc/The TJX 0.14% 104.06K $14.5M
146 Eaton Corp PLC ETN 0.14% 35.21K $14.4M
147 Automatic Data Processing Inc ADP 0.14% 50.85K $14.4M
148 KLA Corp KLAC 0.14% 77.88K $14.3M
149 LyondellBasell Industries NV LYB 0.14% 224.95K $14.1M
150 USD Pending Dividends 0.14% 0 $14.1M
151 Biogen Inc BIIB 0.14% 62.21K $13.7M
152 Baker Hughes Co BKR 0.14% 220.94K $13.7M
153 Global Payments Inc GPN 0.13% 142.86K $13.4M
154 American Electric Power Co Inc AEP 0.13% 108.95K $13.4M
155 L3Harris Technologies Inc LHX 0.13% 50.92K $13.3M
156 HCA Healthcare Inc HCA 0.13% 30.99K $13.3M
157 Cognizant Technology Solutions Corp CTSH 0.13% 209.59K $13.2M
158 NIKE Inc NKE 0.13% 333.95K $13.2M
159 Honeywell International Inc HONIV 0.13% 61.01K $13.2M
160 Becton Dickinson & Co BDXA 0.13% 69.28K $13.1M
161 Cummins Inc CMI 0.13% 22.91K $13.1M
162 Marsh & McLennan Cos Inc MRSH 0.13% 66.33K $12.8M
163 Steel Dynamics Inc STLD 0.13% 55.17K $12.7M
164 Corning Inc GLW 0.13% 86.49K $12.7M
165 Exelon Corp EXC 0.13% 285.80K $12.7M
166 CRH PLC CRH 0.12% 130.93K $12.6M
167 Best Buy Co Inc BBY 0.12% 146.50K $12.5M
168 Fifth Third Bancorp FITB 0.12% 227.29K $12.5M
169 ONEOK Inc OKE 0.12% 135.71K $12.4M
170 McKesson Corp MCK 0.12% 13.55K $12.3M
171 Dollar General Corp DG 0.12% 98.42K $12.1M
172 Johnson Controls International plc JCI 0.12% 85.01K $12.1M
173 Fiserv Inc FI 0.12% 226.71K $11.9M
174 Welltower Inc WELL 0.12% 49.19K $11.9M
175 Williams Cos Inc/The WMB 0.12% 165.68K $11.8M
176 HF Sinclair Corp DINO 0.12% 124.50K $11.6M
177 Illinois Tool Works Inc ITW 0.11% 41.12K $11.6M
178 CME Group Inc CME 0.11% 41.45K $11.5M
179 Stryker Corp SYK 0.11% 34.70K $11.5M
180 Sempra SRE 0.11% 136.35K $11.5M
181 Bunge Global SA BG 0.11% 100.72K $11.3M
182 Keurig Dr Pepper Inc KDP 0.11% 350.81K $11.2M
183 T Rowe Price Group Inc TROW 0.11% 98.05K $11.1M
184 Tyson Foods Inc TSN 0.11% 192.99K $11.0M
185 Viatris Inc VTRS 0.11% 659.30K $11.0M
186 Aon PLC AON 0.11% 30.86K $11.0M
187 Vivmark Residential EQR 0.11% 161.77K $10.9M
188 Lennar Corp LEN 0.11% 124.71K $10.9M
189 Air Products and Chemicals Inc APD 0.11% 35.45K $10.8M
190 Intercontinental Exchange Inc ICE 0.11% 66.52K $10.8M
191 Edison International EIX 0.11% 143.29K $10.7M
192 General Mills Inc GIS 0.11% 267.07K $10.6M
193 PG&E Corp PCG 0.11% 578.31K $10.6M
194 Waste Management Inc WM 0.11% 47.68K $10.6M
195 Ovintiv Inc OVV 0.10% 163.90K $10.6M
196 Consolidated Edison Inc ED 0.10% 96.49K $10.3M
197 Colgate-Palmolive Co CL 0.10% 111.46K $10.2M
198 Block Inc SQ 0.10% 122.00K $10.1M
199 Intuit Inc INTU 0.10% 27.93K $10.0M
200 Citizens Financial Group Inc CFG 0.10% 141.81K $9.9M
201 Ameriprise Financial Inc AMP 0.10% 17.66K $9.9M
202 Honeywell Aerospace Inc HONAV 0.10% 61.01K $9.8M
203 Parker-Hannifin Corp PH 0.10% 9.49K $9.6M
204 PBF Energy Inc PBF 0.09% 143.92K $9.6M
205 Labcorp Holdings Inc LH 0.09% 28.25K $9.5M
206 PulteGroup Inc PHM 0.09% 72.07K $9.4M
207 M&T Bank Corp MTB 0.09% 39.16K $9.4M
208 Realty Income Corp O 0.09% 148.22K $9.3M
209 American Tower Corp AMT 0.09% 51.96K $9.3M
210 Digital Realty Trust Inc DLR 0.09% 48.10K $9.3M
211 Uber Technologies Inc UBER 0.09% 115.05K $9.2M
212 Fidelity National Information Services Inc FIS 0.09% 228.09K $9.2M
213 Xcel Energy Inc XEL 0.09% 119.53K $9.2M
214 United Rentals Inc URI 0.09% 8.75K $9.2M
215 TE Connectivity PLC TEL 0.09% 45.55K $9.2M
216 Cheniere Energy Inc LNG 0.09% 32.31K $9.0M
217 Kenvue Inc KVUE 0.09% 463.89K $9.0M
218 Principal Financial Group Inc PFG 0.09% 80.05K $8.9M
219 Diamondback Energy Inc FANG 0.09% 44.65K $8.9M
220 Baxter International Inc BAX 0.09% 336.90K $8.9M
221 Reliance Inc RS 0.09% 22.73K $8.7M
222 NetApp Inc NTAP 0.09% 46.36K $8.7M
223 Cardinal Health Inc CAH 0.08% 35.86K $8.5M
224 Hartford Insurance Group Inc/The HIG 0.08% 61.57K $8.5M
225 CBRE Group Inc CBRE 0.08% 55.90K $8.5M
226 Equinix Inc EQIX 0.08% 7.87K $8.4M
227 Qnity Electronics Inc Q 0.08% 66.53K $8.4M
228 International Flavors & Fragrances Inc IFF 0.08% 96.25K $8.4M
229 Omnicom Group Inc OMC 0.08% 94.88K $8.4M
230 Entergy Corp ETR 0.08% 78.38K $8.3M
231 TD SYNNEX Corp SNX 0.08% 33.01K $8.3M
232 Halliburton Co HAL 0.08% 245.44K $8.3M
233 Stanley Black & Decker Inc SWK 0.08% 83.86K $8.3M
234 Expeditors International of Washington Inc EXPD 0.08% 43.62K $8.2M
235 Dollar Tree Inc DLTR 0.08% 61.27K $8.2M
236 International Paper Co IP 0.08% 199.81K $8.2M
237 Ferguson Enterprises Inc FERG 0.08% 35.17K $8.2M
238 APA Corp APA 0.08% 196.94K $8.1M
239 Fox Corp FOXA 0.08% 115.56K $8.1M
240 Sysco Corp SYY 0.08% 97.19K $8.1M
241 Blackstone Inc BX 0.08% 56.06K $8.0M
242 IQVIA Holdings Inc IQV 0.08% 30.96K $8.0M
243 Amphenol Corp APH 0.08% 49.80K $7.9M
244 Huntington Bancshares Inc/OH HBAN 0.08% 463.44K $7.9M
245 Weyerhaeuser Co WY 0.08% 320.91K $7.8M
246 Carrier Global Corp CARR 0.08% 133.37K $7.8M
247 Kimberly-Clark Corp KMB 0.08% 69.60K $7.7M
248 GE HealthCare Technologies Inc GEHC 0.08% 102.70K $7.6M
249 Public Service Enterprise Group Inc PEG 0.07% 102.74K $7.5M
250 Eversource Energy ES 0.07% 105.82K $7.5M
251 Agilent Technologies Inc A 0.07% 48.52K $7.5M
252 Edwards Lifesciences Corp EW 0.07% 82.46K $7.5M
253 Palo Alto Networks Inc PANW 0.07% 22.00K $7.5M
254 O'Reilly Automotive Inc ORLY 0.07% 82.73K $7.5M
255 Microchip Technology Inc MCHP 0.07% 101.60K $7.5M
256 Mosaic Co/The MOS 0.07% 305.68K $7.4M
257 Westinghouse Air Brake Technologies Corp WAB 0.07% 24.94K $7.4M
258 Arrow Electronics Inc ARW 0.07% 36.24K $7.3M
259 Ally Financial Inc ALLY 0.07% 172.30K $7.3M
260 CF Industries Holdings Inc CF 0.07% 57.67K $7.3M
261 Regions Financial Corp RF 0.07% 234.27K $7.2M
262 Amcor PLC AMCR 0.07% 151.51K $7.2M
263 WW Grainger Inc GWW 0.07% 5.50K $7.2M
264 Ross Stores Inc ROST 0.07% 29.67K $7.2M
265 Keysight Technologies Inc KEYS 0.07% 22.26K $7.1M
266 PPG Industries Inc PPG 0.07% 62.48K $7.1M
267 Northern Trust Corp NTRS 0.07% 37.87K $7.1M
268 Simon Property Group Inc SPG 0.07% 31.87K $7.0M
269 Molina Healthcare Inc MOH 0.07% 34.52K $6.9M
270 US Foods Holding Corp USFD 0.07% 63.27K $6.9M
271 PPL Corp PPL 0.07% 195.90K $6.9M
272 DuPont de Nemours Inc DD 0.07% 49.93K $6.8M
273 Roper Technologies Inc ROP 0.07% 16.42K $6.8M
274 Ecolab Inc ECL 0.07% 23.24K $6.7M
275 KeyCorp KEY 0.07% 304.50K $6.7M
276 Arthur J Gallagher & Co AJG 0.07% 24.70K $6.6M
277 BorgWarner Inc BWA 0.07% 101.53K $6.6M
278 FirstEnergy Corp FE 0.07% 141.52K $6.6M
279 Zimmer Biomet Holdings Inc ZBH 0.07% 65.75K $6.6M
280 Teradyne Inc TER 0.07% 17.91K $6.6M
281 Illumina Inc ILMN 0.07% 29.16K $6.6M
282 WEC Energy Group Inc WEC 0.06% 60.12K $6.4M
283 Targa Resources Corp TRGP 0.06% 22.19K $6.4M
284 Lithia Motors Inc LAD 0.06% 17.09K $6.4M
285 CarMax Inc KMX 0.06% 98.70K $6.3M
286 Expand Energy Corp EXE 0.06% 66.54K $6.3M
287 Crown Castle Inc CCI 0.06% 82.03K $6.3M
288 Cincinnati Financial Corp CINF 0.06% 36.50K $6.3M
289 Expedia Group Inc EXPE 0.06% 18.42K $6.2M
290 Willis Towers Watson PLC WTW 0.06% 17.95K $6.2M
291 GE Vernova Inc GEV 0.06% 6.71K $6.2M
292 Boston Scientific Corp BSX 0.06% 123.37K $6.2M
293 Quest Diagnostics Inc DGX 0.06% 25.12K $6.1M
294 Constellation Brands Inc STZ 0.06% 45.23K $6.1M
295 J M Smucker Co/The SJM 0.06% 48.38K $6.1M
296 Fortinet Inc FTNT 0.06% 39.21K $6.0M
297 Motorola Solutions Inc MSI 0.06% 12.41K $6.0M
298 ON Semiconductor Corp ON 0.06% 83.07K $6.0M
299 Flex Ltd FLEX 0.06% 55.04K $6.0M
300 Ventas Inc VTR 0.06% 63.94K $6.0M
301 Owens Corning OC 0.06% 40.78K $6.0M
302 Eastman Chemical Co EMN 0.06% 82.42K $5.9M
303 Cintas Corp CTAS 0.06% 28.89K $5.9M
304 Fastenal Co FAST 0.06% 117.38K $5.9M
305 Estee Lauder Cos Inc/The EL 0.06% 56.28K $5.9M
306 EQT Corp EQT 0.06% 108.60K $5.9M
307 Paychex Inc PAYX 0.06% 46.74K $5.8M
308 Genuine Parts Co GPC 0.06% 42.34K $5.8M
309 VICI Properties Inc VICI 0.06% 221.22K $5.8M
310 Avnet Inc AVT 0.06% 66.37K $5.8M
311 Jones Lang LaSalle Inc JLL 0.06% 14.76K $5.8M
312 Constellation Energy Corp CEG 0.06% 20.79K $5.8M
313 Jabil Inc JBL 0.06% 18.70K $5.8M
314 Performance Food Group Co PFGC 0.06% 54.91K $5.8M
315 Macy's Inc M 0.06% 254.66K $5.8M
316 Conagra Brands Inc CAG 0.06% 352.32K $5.7M
317 Ciena Corp CIEN 0.06% 14.69K $5.7M
318 Old Dominion Freight Line Inc ODFL 0.06% 28.65K $5.7M
319 Quanta Services Inc PWR 0.06% 9.40K $5.7M
320 Solventum Corp SOLV 0.06% 61.82K $5.7M
321 Arista Networks Inc ANET 0.06% 29.61K $5.7M
322 DTE Energy Co DTE 0.06% 41.48K $5.6M
323 Intuitive Surgical Inc ISRG 0.06% 15.13K $5.6M
324 Ameren Corp AEE 0.06% 51.96K $5.6M
325 Sherwin-Williams Co/The SHW 0.05% 15.78K $5.5M
326 Alexandria Real Estate Equities Inc ARE 0.05% 104.53K $5.5M
327 Builders FirstSource Inc BLDR 0.05% 79.71K $5.5M
328 SM Energy Co SM 0.05% 154.79K $5.5M
329 NVR Inc NVR 0.05% 858 $5.5M
330 Ball Corp BLL 0.05% 84.92K $5.4M
331 Twilio Inc TWLO 0.05% 24.10K $5.4M
332 KKR & Co Inc KKR 0.05% 50.08K $5.4M
333 Moody's Corp MCO 0.05% 10.48K $5.4M
334 Cleveland-Cliffs Inc CLF 0.05% 459.96K $5.3M
335 Evergy Inc EVRG 0.05% 64.86K $5.3M
336 ServiceNow Inc NOW 0.05% 41.56K $5.3M
337 Lear Corp LEA 0.05% 42.22K $5.2M
338 AMETEK Inc AME 0.05% 21.56K $5.2M
339 Public Storage PSA 0.05% 16.15K $5.2M
340 Waters Corp WAT 0.05% 12.55K $5.2M
341 JB Hunt Transport Services Inc JBHT 0.05% 19.79K $5.2M
342 Boeing Co/The BA 0.05% 24.49K $5.2M
343 Franklin Templeton Inc BEN 0.05% 147.22K $5.2M
344 Rockwell Automation Inc ROK 0.05% 11.99K $5.1M
345 Cencora Inc COR 0.05% 15.68K $5.1M
346 Invesco Ltd IVZ 0.05% 156.10K $5.1M
347 Corpay Inc CPAY 0.05% 12.35K $5.1M
348 Zoetis Inc ZTS 0.05% 65.78K $5.1M
349 Lumentum Holdings Inc LITE 0.05% 5.68K $5.0M
350 Incyte Corp INCY 0.05% 38.74K $5.0M
351 Annaly Capital Management Inc NLY 0.05% 216.48K $5.0M
352 Yum! Brands Inc YUM 0.05% 31.95K $5.0M
353 Cadence Design Systems Inc CDNS 0.05% 15.02K $5.0M
354 Raymond James Financial Inc RJF 0.05% 28.42K $5.0M
355 Fedex Freight Holding Co Inc FDXF 0.05% 38.56K $5.0M
356 Paramount Skydance Corp PSKY 0.05% 465.04K $5.0M
357 Knight-Swift Transportation Holdings Inc KNX 0.05% 72.32K $5.0M
358 Synopsys Inc SNPS 0.05% 12.10K $4.9M
359 OneMain Holdings Inc OMF 0.05% 77.58K $4.9M
360 Workday Inc WDAY 0.05% 25.09K $4.9M
361 Packaging Corp of America PKG 0.05% 19.78K $4.9M
362 Airbnb Inc ABNB 0.05% 25.50K $4.9M
363 CDW Corp/DE CDW 0.05% 34.14K $4.9M
364 First Citizens BancShares Inc/NC FCNCA 0.05% 2.23K $4.8M
365 CenterPoint Energy Inc CNP 0.05% 123.50K $4.8M
366 Darden Restaurants Inc DRI 0.05% 21.79K $4.8M
367 Markel Group Inc MKL 0.05% 2.65K $4.8M
368 Lumen Technologies Inc LUMN 0.05% 812.17K $4.8M
369 WESCO International Inc WCC 0.05% 14.10K $4.8M
370 Vistra Corp VST 0.05% 34.30K $4.8M
371 ManpowerGroup Inc MAN 0.05% 76.59K $4.8M
372 Skyworks Solutions Inc SWKS 0.05% 71.58K $4.7M
373 Qorvo Inc QRVO 0.05% 49.84K $4.7M
374 Universal Health Services Inc UHS 0.05% 26.72K $4.7M
375 CNH Industrial NV CNHI 0.05% 405.88K $4.7M
376 Republic Services Inc RSG 0.05% 21.21K $4.7M
377 Robert Half Inc RHI 0.05% 103.89K $4.7M
378 MGM Resorts International MGM 0.05% 107.53K $4.7M
379 Kohl's Corp KSS 0.05% 263.58K $4.7M
380 Molson Coors Beverage Co TAP 0.05% 110.12K $4.6M
381 News Corp NWSA 0.05% 149.24K $4.6M
382 Jacobs Solutions Inc J 0.05% 30.47K $4.6M
383 Loews Corp L 0.05% 41.25K $4.6M
384 Marriott International Inc/MD MAR 0.05% 12.73K $4.6M
385 Extra Space Storage Inc EXR 0.05% 31.37K $4.5M
386 Unum Group UNM 0.05% 50.61K $4.5M
387 Chord Energy Corp CHRD 0.04% 32.02K $4.5M
388 Nasdaq Inc NDAQ 0.04% 45.57K $4.5M
389 Dover Corp DOV 0.04% 22.17K $4.5M
390 Mohawk Industries Inc MHK 0.04% 33.36K $4.5M
391 American Financial Group Inc/OH AFG 0.04% 30.65K $4.4M
392 CH Robinson Worldwide Inc CHRW 0.04% 30.65K $4.4M
393 Celanese Corp CE 0.04% 98.72K $4.4M
394 American Water Works Co Inc AWK 0.04% 31.93K $4.4M
395 Casey's General Stores Inc CASY 0.04% 5.29K $4.4M
396 Textron Inc TXT 0.04% 53.29K $4.4M
397 Zebra Technologies Corp ZBRA 0.04% 12.09K $4.4M
398 Healthpeak Properties Inc DOC 0.04% 200.08K $4.3M
399 Snap-on Inc SNA 0.04% 10.98K $4.3M
400 Autodesk Inc ADSK 0.04% 17.10K $4.3M
401 LKQ Corp LKQ 0.04% 169.28K $4.3M
402 Toll Brothers Inc TOL 0.04% 28.45K $4.3M
403 Apollo Global Management Inc APO 0.04% 32.19K $4.3M
404 Organon & Co OGN 0.04% 311.62K $4.3M
405 Jazz Pharmaceuticals PLC JAZZ 0.04% 16.44K $4.3M
406 Host Hotels & Resorts Inc HST 0.04% 183.30K $4.2M
407 Henry Schein Inc HSIC 0.04% 46.94K $4.2M
408 Ryder System Inc R 0.04% 16.94K $4.2M
409 Revvity Inc PKI 0.04% 33.24K $4.1M
410 Tenet Healthcare Corp THC 0.04% 15.24K $4.1M
411 AutoNation Inc AN 0.04% 20.96K $4.1M
412 Tapestry Inc TPR 0.04% 31.69K $4.1M
413 CMS Energy Corp CMS 0.04% 59.89K $4.1M
414 Reinsurance Group of America Inc RGA 0.04% 16.79K $4.1M
415 SS&C Technologies Holdings Inc SSNC 0.04% 49.42K $4.1M
416 Corebridge Financial Inc CRBG 0.04% 128.48K $4.1M
417 Ingersoll Rand Inc IR 0.04% 51.95K $4.1M
418 Lincoln National Corp LNC 0.04% 94.54K $4.0M
419 BXP Inc BXP 0.04% 55.80K $4.0M
420 Hershey Co/The HSY 0.04% 21.48K $4.0M
421 Old Republic International Corp ORI 0.04% 94.79K $4.0M
422 Alcoa Corp AA 0.04% 77.35K $4.0M
423 Monster Beverage Corp MNST 0.04% 81.28K $4.0M
424 Chipotle Mexican Grill Inc CMG 0.04% 105.39K $3.9M
425 Zions Bancorp NA ZION 0.04% 58.21K $3.9M
426 Sandisk Corp SNDK 0.04% 2.65K $3.9M
427 Leidos Holdings Inc LDOS 0.04% 29.05K $3.9M
428 Atmos Energy Corp ATO 0.04% 23.32K $3.9M
429 Smurfit Westrock PLC SW 0.04% 78.91K $3.9M
430 Arch Capital Group Ltd ACGL 0.04% 38.72K $3.9M
431 TransDigm Group Inc TDG 0.04% 3.25K $3.9M
432 Hilton Worldwide Holdings Inc HLT 0.04% 11.75K $3.9M
433 AES Corp/The AES 0.04% 260.65K $3.8M
434 Jackson Financial Inc JXN 0.04% 29.12K $3.8M
435 Albemarle Corp ALB 0.04% 28.70K $3.8M
436 Fidelity National Financial Inc FNF 0.04% 80.63K $3.8M
437 Akamai Technologies Inc AKAM 0.04% 36.12K $3.8M
438 Howmet Aerospace Inc HWM 0.04% 14.35K $3.8M
439 Zoom Communications Inc ZM 0.04% 37.49K $3.8M
440 Church & Dwight Co Inc CHD 0.04% 36.83K $3.8M
441 Gen Digital Inc GEN 0.04% 127.85K $3.7M
442 Teledyne Technologies Inc TDY 0.04% 5.96K $3.7M
443 Vulcan Materials Co VMC 0.04% 13.50K $3.7M
444 Tractor Supply Co TSCO 0.04% 103.97K $3.7M
445 Invitation Homes Inc INVH 0.04% 121.64K $3.7M
446 Fortive Corp FTV 0.04% 61.21K $3.6M
447 Murphy USA Inc MUSA 0.04% 6.69K $3.6M
448 Xylem Inc/NY XYL 0.04% 32.19K $3.6M
449 Carlisle Cos Inc CSL 0.04% 9.85K $3.6M
450 NOV Inc NOV 0.04% 179.40K $3.6M
451 PVH Corp PVH 0.04% 47.92K $3.6M
452 Kimco Realty Corp KIM 0.04% 146.84K $3.5M
453 Martin Marietta Materials Inc MLM 0.03% 6.59K $3.5M
454 F5 Inc FFIV 0.03% 9.15K $3.5M
455 Sirius XM Holdings Inc SIRI 0.03% 121.85K $3.5M
456 UGI Corp UGI 0.03% 91.22K $3.5M
457 Trane Technologies PLC TT 0.03% 7.68K $3.5M
458 Avantor Inc AVTR 0.03% 242.38K $3.5M
459 Masco Corp MAS 0.03% 47.89K $3.5M
460 Otis Worldwide Corp OTIS 0.03% 48.75K $3.5M
461 NiSource Inc NI 0.03% 85.41K $3.5M
462 STERIS PLC STE 0.03% 14.57K $3.4M
463 Mettler-Toledo International Inc MTD 0.03% 2.46K $3.4M
464 Albertsons Cos Inc ACI 0.03% 277.21K $3.4M
465 DoorDash Inc DASH 0.03% 14.67K $3.4M
466 First American Financial Corp FAF 0.03% 46.45K $3.4M
467 Darling Ingredients Inc DAR 0.03% 54.34K $3.4M
468 Alliant Energy Corp LNT 0.03% 49.68K $3.4M
469 Williams-Sonoma Inc WSM 0.03% 14.41K $3.4M
470 Antero Resources Corp AR 0.03% 88.91K $3.4M
471 Iron Mountain Inc IRM 0.03% 27.80K $3.4M
472 Amdocs Ltd DOX 0.03% 53.93K $3.4M
473 AGCO Corp AGCO 0.03% 30.25K $3.4M
474 Oshkosh Corp OSK 0.03% 21.56K $3.3M
475 TechnipFMC PLC FTI 0.03% 44.49K $3.3M
476 Pinnacle West Capital Corp PNW 0.03% 34.23K $3.3M
477 Coherent Corp COHR 0.03% 11.53K $3.3M
478 Affiliated Managers Group Inc AMG 0.03% 9.09K $3.3M
479 Essex Property Trust Inc ESS 0.03% 11.34K $3.3M
480 VF Corp VFC 0.03% 238.72K $3.3M
481 Caesars Entertainment Inc CZR 0.03% 111.33K $3.3M
482 Matson Inc MATX 0.03% 14.58K $3.2M
483 Crown Holdings Inc CCK 0.03% 26.98K $3.2M
484 Align Technology Inc ALGN 0.03% 20.32K $3.2M
485 W R Berkley Corp WRB 0.03% 47.28K $3.2M
486 EMCOR Group Inc EME 0.03% 4.36K $3.2M
487 Hormel Foods Corp HRL 0.03% 135.08K $3.2M
488 East West Bancorp Inc EWBC 0.03% 24.55K $3.2M
489 Mid-America Apartment Communities Inc MAA 0.03% 24.06K $3.2M
490 Marriott Vacations Worldwide Corp VAC 0.03% 27.03K $3.2M
491 United Therapeutics Corp UTHR 0.03% 6.09K $3.2M
492 WP Carey Inc WPC 0.03% 43.84K $3.1M
493 Avery Dennison Corp AVY 0.03% 17.48K $3.1M
494 Patterson-UTI Energy Inc PTEN 0.03% 271.69K $3.1M
495 LPL Financial Holdings Inc LPLA 0.03% 8.61K $3.1M
496 Commercial Metals Co CMC 0.03% 46.50K $3.1M
497 GoDaddy Inc GDDY 0.03% 31.13K $3.1M
498 Pinnacle Financial Partners Inc PNFP 0.03% 30.70K $3.1M
499 Hasbro Inc HAS 0.03% 31.97K $3.1M
500 First Horizon Corp FHN 0.03% 126.60K $3.1M
501 Science Applications International Corp SAIC 0.03% 24.26K $3.1M
502 Equitable Holdings Inc EQH 0.03% 62.89K $3.1M
503 Brunswick Corp/DE BC 0.03% 37.93K $3.0M
504 Whirlpool Corp WHR 0.03% 74.66K $3.0M
505 ResMed Inc RMD 0.03% 12.84K $3.0M
506 Gartner Inc IT 0.03% 15.46K $3.0M
507 Elanco Animal Health Inc ELAN 0.03% 120.42K $3.0M
508 Newell Brands Inc NWL 0.03% 509.22K $3.0M
509 Sun Communities Inc SUI 0.03% 23.87K $3.0M
510 ICON PLC ICLR 0.03% 17.79K $3.0M
511 McCormick & Co Inc/MD MKC 0.03% 55.13K $3.0M
512 DaVita Inc DVA 0.03% 16.77K $3.0M
513 Murphy Oil Corp MUR 0.03% 86.10K $3.0M
514 Snowflake Inc SNOW 0.03% 9.40K $3.0M
515 Cooper Cos Inc/The COO 0.03% 40.42K $3.0M
516 Meritage Homes Corp MTH 0.03% 40.15K $2.9M
517 Exelixis Inc EXEL 0.03% 51.74K $2.9M
518 Insight Enterprises Inc NSIT 0.03% 19.48K $2.9M
519 Nexstar Media Group Inc NXST 0.03% 15.48K $2.9M
520 Permian Resources Corp PR 0.03% 125.61K $2.9M
521 Jefferies Financial Group Inc JEF 0.03% 55.54K $2.9M
522 EchoStar Corp SATS 0.03% 33.62K $2.9M
523 Charles River Laboratories International Inc CRL 0.03% 9.77K $2.9M
524 Verisk Analytics Inc VRSK 0.03% 15.34K $2.9M
525 Viasat Inc VSAT 0.03% 39.80K $2.9M
526 Assurant Inc AIZ 0.03% 10.11K $2.9M
527 BioMarin Pharmaceutical Inc BMRN 0.03% 43.43K $2.9M
528 United Natural Foods Inc UNFI 0.03% 60.26K $2.9M
529 ARAMARK Holdings Corp ARMK 0.03% 48.35K $2.9M
530 IDEX Corp IEX 0.03% 12.38K $2.9M
531 Allison Transmission Holdings Inc ALSN 0.03% 21.53K $2.8M
532 Huntington Ingalls Industries Inc HII 0.03% 9.71K $2.8M
533 Regal Rexnord Corp RRX 0.03% 17.37K $2.8M
534 Unity Software Inc U 0.03% 62.46K $2.8M
535 West Pharmaceutical Services Inc WST 0.03% 8.06K $2.8M
536 Rithm Capital Corp RITM 0.03% 275.64K $2.8M
537 SEI Investments Co SEIC 0.03% 25.19K $2.8M
538 Huntsman Corp HUN 0.03% 293.00K $2.8M
539 Take-Two Interactive Software Inc TTWO 0.03% 11.98K $2.8M
540 Rivian Automotive Inc RIVN 0.03% 165.80K $2.8M
541 Bio-Rad Laboratories Inc BIO 0.03% 7.11K $2.8M
542 Ingredion Inc INGR 0.03% 26.34K $2.8M
543 MKS Inc MKSI 0.03% 10.21K $2.8M
544 Sonoco Products Co SON 0.03% 47.42K $2.7M
545 Bread Financial Holdings Inc BFH 0.03% 25.50K $2.7M
546 Olin Corp OLN 0.03% 157.18K $2.7M
547 Sanmina Corp SANM 0.03% 14.27K $2.7M
548 Everest Group Ltd RE 0.03% 7.24K $2.7M
549 Thor Industries Inc THO 0.03% 34.16K $2.7M
550 CACI International Inc CACI 0.03% 4.42K $2.7M
551 AGNC Investment Corp AGNC 0.03% 247.30K $2.7M
552 Ashland Inc ASH 0.03% 36.53K $2.7M
553 SLM Corp SLM 0.03% 101.64K $2.7M
554 NRG Energy Inc NRG 0.03% 23.67K $2.7M
555 Okta Inc OKTA 0.03% 20.52K $2.7M
556 Goodyear Tire & Rubber Co/The GT 0.03% 431.52K $2.7M
557 Globe Life Inc GL 0.03% 15.52K $2.7M
558 AerCap Holdings NV AER 0.03% 18.10K $2.7M
559 Trimble Inc TRMB 0.03% 44.47K $2.6M
560 Flutter Entertainment PLC FLUT 0.03% 25.84K $2.6M
561 Avis Budget Group Inc CAR 0.03% 18.07K $2.6M
562 Helmerich & Payne Inc HP 0.03% 62.32K $2.6M
563 Victoria's Secret & Co VSXY 0.03% 29.93K $2.6M
564 Pinterest Inc PINS 0.03% 110.25K $2.6M
565 Aptiv PLC APTV 0.03% 55.90K $2.6M
566 MGIC Investment Corp MTG 0.03% 83.33K $2.6M
567 Polaris Inc PII 0.03% 40.95K $2.6M
568 Dexcom Inc DXCM 0.03% 29.12K $2.6M
569 Advance Auto Parts Inc AAP 0.03% 59.46K $2.6M
570 Sensata Technologies Holding PLC ST 0.03% 61.51K $2.6M
571 Hubbell Inc HUBB 0.03% 5.55K $2.6M
572 Regency Centers Corp REG 0.03% 33.55K $2.6M
573 Ulta Beauty Inc ULTA 0.03% 4.79K $2.6M
574 Royalty Pharma PLC RPRX 0.03% 41.29K $2.6M
575 Vishay Intertechnology Inc VSH 0.03% 81.27K $2.5M
576 Fortune Brands Innovations Inc FBHS 0.03% 55.66K $2.5M
577 Equifax Inc EFX 0.03% 13.24K $2.5M
578 Acuity Inc AYI 0.03% 7.46K $2.5M
579 RPM International Inc RPM 0.02% 23.58K $2.5M
580 Landstar System Inc LSTR 0.02% 14.11K $2.5M
581 Genworth Financial Inc GNW 0.02% 254.48K $2.5M
582 Park Hotels & Resorts Inc PK 0.02% 155.07K $2.5M
583 Teleflex Inc TFX 0.02% 17.86K $2.5M
584 nVent Electric PLC NVT 0.02% 16.52K $2.5M
585 Crocs Inc CROX 0.02% 20.36K $2.5M
586 OGE Energy Corp OGE 0.02% 54.01K $2.5M
587 Etsy Inc ETSY 0.02% 29.31K $2.5M
588 Carnival Corp Ltd CCL 0.02% 94.59K $2.5M
589 Essential Utilities Inc WTRG 0.02% 60.64K $2.5M
590 Clorox Co/The CLX 0.02% 23.50K $2.5M
591 UDR Inc UDR 0.02% 64.14K $2.4M
592 Asbury Automotive Group Inc ABG 0.02% 11.32K $2.4M
593 Dropbox Inc DBX 0.02% 70.01K $2.4M
594 Veeva Systems Inc VEEV 0.02% 9.82K $2.4M
595 UFP Industries Inc UFPI 0.02% 27.11K $2.4M
596 Camden Property Trust CPT 0.02% 22.10K $2.4M
597 Starwood Property Trust Inc STWD 0.02% 148.33K $2.4M
598 Entegris Inc ENTG 0.02% 17.21K $2.4M
599 Booz Allen Hamilton Holding Corp BAH 0.02% 32.31K $2.4M
600 Roku Inc ROKU 0.02% 14.85K $2.4M
601 MSCI Inc MSCI 0.02% 4.19K $2.4M
602 Liberty Global Ltd LBTYA 0.02% 217.50K $2.3M
603 Timken Co/The TKR 0.02% 19.18K $2.3M
604 Toro Co/The TTC 0.02% 23.55K $2.3M
605 Fluor Corp FLR 0.02% 45.51K $2.3M
606 Coinbase Global Inc COIN 0.02% 12.44K $2.3M
607 Broadridge Financial Solutions Inc BR 0.02% 12.46K $2.3M
608 Nordson Corp NDSN 0.02% 6.90K $2.3M
609 Healthcare Realty Trust Inc HR 0.02% 118.61K $2.3M
610 Dana Inc DAN 0.02% 76.03K $2.3M
611 Range Resources Corp RRC 0.02% 55.89K $2.3M
612 Harley-Davidson Inc HOG 0.02% 83.29K $2.3M
613 Carlyle Group Inc/The CG 0.02% 46.78K $2.3M
614 CNO Financial Group Inc CNO 0.02% 42.19K $2.3M
615 Spectrum Brands Holdings Inc SPB 0.02% 25.66K $2.3M
616 Group 1 Automotive Inc GPI 0.02% 8.62K $2.3M
617 Voya Financial Inc VOYA 0.02% 22.65K $2.3M
618 Delek US Holdings Inc DK 0.02% 33.34K $2.3M
619 DENTSPLY SIRONA Inc XRAY 0.02% 204.85K $2.2M
620 Brown-Forman Corp BF-B 0.02% 79.52K $2.2M
621 First Solar Inc FSLR 0.02% 10.83K $2.2M
622 Vornado Realty Trust VNO 0.02% 56.01K $2.2M
623 IDEXX Laboratories Inc IDXX 0.02% 4.07K $2.2M
624 Prosperity Bancshares Inc PB 0.02% 30.81K $2.2M
625 Deckers Outdoor Corp DECK 0.02% 25.16K $2.2M
626 Copart Inc CPRT 0.02% 66.85K $2.2M
627 Robinhood Markets Inc HOOD 0.02% 19.87K $2.2M
628 Gentex Corp GNTX 0.02% 93.93K $2.2M
629 Flagstar Bank NA FLG 0.02% 165.24K $2.2M
630 Super Micro Computer Inc SMCI 0.02% 57.69K $2.2M
631 Royal Caribbean Cruises Ltd RCL 0.02% 7.56K $2.2M
632 Atkore Inc ATKR 0.02% 23.57K $2.2M
633 Brown & Brown Inc BRO 0.02% 30.04K $2.2M
634 Delta Air Lines Inc DAL 0.02% 26.31K $2.2M
635 ITT Inc ITT 0.02% 10.67K $2.2M
636 Peabody Energy Corp BTU 0.02% 79.38K $2.2M
637 Veralto Corp VLTO 0.02% 22.07K $2.2M
638 Campbell's Company/The CPB 0.02% 92.68K $2.2M
639 Boise Cascade Co BCC 0.02% 26.82K $2.2M
640 SBA Communications Corp SBAC 0.02% 11.52K $2.2M
641 Ralph Lauren Corp RL 0.02% 5.96K $2.2M
642 U-Haul Holding Co UHAL-B 0.02% 34.93K $2.1M
643 Lamb Weston Holdings Inc LW 0.02% 38.64K $2.1M
644 Western Union Co/The WU 0.02% 291.08K $2.1M
645 Valley National Bancorp VLY 0.02% 151.35K $2.1M
646 CNX Resources Corp CNX 0.02% 59.17K $2.1M
647 FMC Corp FMC 0.02% 189.88K $2.1M
648 Service Corp International/US SCI 0.02% 25.09K $2.1M
649 Americold Realty Trust Inc COLD 0.02% 136.65K $2.1M
650 Jack Henry & Associates Inc JKHY 0.02% 12.19K $2.1M
651 Evercore Inc EVR 0.02% 7.23K $2.1M
652 FactSet Research Systems Inc FDS 0.02% 7.01K $2.1M
653 Graphic Packaging Holding Co GPK 0.02% 180.99K $2.1M
654 Monolithic Power Systems Inc MPWR 0.02% 1.58K $2.1M
655 Lincoln Electric Holdings Inc LECO 0.02% 7.35K $2.1M
656 KB Home KBH 0.02% 35.77K $2.0M
657 Rush Enterprises Inc RUSHA 0.02% 26.49K $2.0M
658 SL Green Realty Corp SLG 0.02% 34.13K $2.0M
659 American Homes 4 Rent AMH 0.02% 59.06K $2.0M
660 BJ's Wholesale Club Holdings Inc BJ 0.02% 21.62K $2.0M
661 TransUnion TRU 0.02% 23.98K $2.0M
662 Fortrea Holdings Inc FTRE 0.02% 111.44K $2.0M
663 Crowdstrike Holdings Inc CRWD 0.02% 10.97K $2.0M
664 AutoZone Inc AZO 0.02% 669 $2.0M
665 AECOM ACM 0.02% 32.12K $2.0M
666 Genpact Ltd G 0.02% 53.87K $2.0M
667 ArcBest Corp ARCB 0.02% 14.77K $2.0M
668 SOUTHSTATE BANK CORP SSB 0.02% 18.80K $2.0M
669 Everpure Inc P 0.02% 19.39K $2.0M
670 FNB Corp/PA FNB 0.02% 108.39K $2.0M
671 Penske Automotive Group Inc PAG 0.02% 9.02K $2.0M
672 Primerica Inc PRI 0.02% 6.66K $2.0M
673 AMN Healthcare Services Inc AMN 0.02% 58.31K $2.0M
674 Matador Resources Co MTDR 0.02% 35.55K $2.0M
675 Kilroy Realty Corp KRC 0.02% 53.05K $2.0M
676 Mueller Industries Inc MLI 0.02% 32.02K $2.0M
677 Liberty Media Corp-Liberty Formula One FWONK 0.02% 18.83K $2.0M
678 StoneX Group Inc SNEX 0.02% 28.17K $2.0M
679 Federal Realty Investment Trust FRT 0.02% 16.64K $2.0M
680 Watsco Inc WSO 0.02% 6.48K $2.0M
681 A O Smith Corp AOS 0.02% 31.40K $2.0M
682 Southern Copper Corp SCCO 0.02% 8.87K $1.9M
683 Hanover Insurance Group Inc/The THG 0.02% 8.54K $1.9M
684 Gaming and Leisure Properties Inc GLPI 0.02% 44.87K $1.9M
685 MSC Industrial Direct Co Inc MSM 0.02% 16.15K $1.9M
686 Kyndryl Holdings Inc KD 0.02% 146.63K $1.9M
687 Solstice Advanced Materials Inc SOLS 0.02% 34.36K $1.9M
688 Rexford Industrial Realty Inc REXR 0.02% 50.59K $1.9M
689 Alpha Metallurgical Resources Inc AMR 0.02% 8.82K $1.9M
690 Vertiv Holdings Co VRT 0.02% 7.41K $1.9M
691 Acadia Healthcare Co Inc ACHC 0.02% 63.20K $1.9M
692 Alaska Air Group Inc ALK 0.02% 43.55K $1.9M
693 Dick's Sporting Goods Inc DKS 0.02% 15.15K $1.9M
694 Cousins Properties Inc CUZ 0.02% 62.09K $1.9M
695 Domino's Pizza Inc DPZ 0.02% 5.34K $1.9M
696 United Bankshares Inc/WV UBSI 0.02% 39.08K $1.9M
697 Axalta Coating Systems Ltd AXTA 0.02% 50.75K $1.8M
698 Generac Holdings Inc GNRC 0.02% 9.15K $1.8M
699 Woodward Inc WWD 0.02% 5.43K $1.8M
700 Omega Healthcare Investors Inc OHI 0.02% 39.12K $1.8M
701 Lamar Advertising Co LAMR 0.02% 12.07K $1.8M
702 Penn Entertainment Inc PENN 0.02% 103.11K $1.8M
703 Bank OZK OZK 0.02% 37.20K $1.8M
704 Old National Bancorp/IN ONB 0.02% 71.31K $1.8M
705 Texas Roadhouse Inc TXRH 0.02% 8.98K $1.8M
706 Ziff Davis Inc JCOM 0.02% 32.84K $1.8M
707 Littelfuse Inc LFUS 0.02% 4.44K $1.8M
708 Donaldson Co Inc DCI 0.02% 19.21K $1.8M
709 AptarGroup Inc ATR 0.02% 13.25K $1.8M
710 Stifel Financial Corp SF 0.02% 22.42K $1.8M
711 Envista Holdings Corp NVST 0.02% 64.95K $1.8M
712 Western Alliance Bancorp WAL 0.02% 22.34K $1.8M
713 Chemours Co/The CC 0.02% 112.72K $1.8M
714 Snap Inc SNAP 0.02% 298.59K $1.8M
715 Moog Inc MOG-A 0.02% 4.69K $1.8M
716 World Kinect Corp WKC 0.02% 49.88K $1.8M
717 Silicon Laboratories Inc SLAB 0.02% 8.06K $1.8M
718 Vail Resorts Inc MTN 0.02% 11.87K $1.8M
719 Datadog Inc DDOG 0.02% 7.87K $1.8M
720 M/I Homes Inc MHO 0.02% 11.36K $1.8M
721 Essent Group Ltd ESNT 0.02% 25.34K $1.7M
722 Portland General Electric Co POR 0.02% 35.07K $1.7M
723 Brixmor Property Group Inc BRX 0.02% 59.13K $1.7M
724 EnerSys ENS 0.02% 8.98K $1.7M
725 Wintrust Financial Corp WTFC 0.02% 11.49K $1.7M
726 Southwest Gas Holdings Inc SWX 0.02% 19.47K $1.7M
727 Cullen/Frost Bankers Inc CFR 0.02% 10.61K $1.7M
728 Gap Inc/The GPS 0.02% 86.04K $1.7M
729 Columbia Banking System Inc COLB 0.02% 56.73K $1.7M
730 MasTec Inc MTZ 0.02% 6.99K $1.7M
731 Radian Group Inc RDN 0.02% 46.71K $1.7M
732 Academy Sports & Outdoors Inc ASO 0.02% 39.54K $1.7M
733 Gates Industrial Corp Ltd GTES 0.02% 66.22K $1.7M
734 Chemed Corp CHE 0.02% 3.15K $1.7M
735 Clean Harbors Inc CLH 0.02% 5.52K $1.7M
736 Flowserve Corp FLS 0.02% 21.08K $1.7M
737 NNN REIT Inc NNN 0.02% 36.82K $1.7M
738 WillScot Holdings Corp WSC 0.02% 79.83K $1.7M
739 Graco Inc GGG 0.02% 21.57K $1.7M
740 Medical Properties Trust Inc MPW 0.02% 413.07K $1.7M
741 Curtiss-Wright Corp CW 0.02% 2.78K $1.7M
742 Cushman & Wakefield Ltd CWK 0.02% 113.61K $1.7M
743 Signet Jewelers Ltd SIG 0.02% 19.92K $1.7M
744 Palantir Technologies Inc PLTR 0.02% 9.74K $1.7M
745 Avient Corp AVNT 0.02% 37.66K $1.7M
746 Werner Enterprises Inc WERN 0.02% 44.58K $1.7M
747 Sprouts Farmers Market Inc SFM 0.02% 19.52K $1.7M
748 DT Midstream Inc DTM 0.02% 13.22K $1.7M
749 Diodes Inc DIOD 0.02% 18.02K $1.7M
750 Neurocrine Biosciences Inc NBIX 0.02% 10.91K $1.7M
751 ABM Industries Inc ABM 0.02% 35.90K $1.7M
752 Rayonier Inc RYN 0.02% 78.43K $1.7M
753 EPAM Systems Inc EPAM 0.02% 14.87K $1.7M
754 NewMarket Corp NEU 0.02% 1.77K $1.6M
755 Amkor Technology Inc AMKR 0.02% 33.78K $1.6M
756 Popular Inc BPOP 0.02% 9.70K $1.6M
757 Comfort Systems USA Inc FIX 0.02% 1.05K $1.6M
758 Concentrix Corp CNXC 0.02% 60.77K $1.6M
759 DXC Technology Co DXC 0.02% 149.46K $1.6M
760 Las Vegas Sands Corp LVS 0.02% 34.42K $1.6M
761 Match Group Inc MTCH 0.02% 38.51K $1.6M
762 WEX Inc WEX 0.02% 8.12K $1.6M
763 GXO Logistics Inc GXO 0.02% 34.21K $1.6M
764 Kirby Corp KEX 0.02% 11.75K $1.6M
765 Virtu Financial Inc VIRT 0.02% 24.76K $1.6M
766 RenaissanceRe Holdings Ltd RNR 0.02% 4.90K $1.6M
767 Black Hills Corp BKH 0.02% 22.04K $1.6M
768 Cognex Corp CGNX 0.02% 26.87K $1.6M
769 Terex Corp TEX 0.02% 24.56K $1.6M
770 KBR Inc KBR 0.02% 42.46K $1.6M
771 Five Below Inc FIVE 0.02% 6.16K $1.6M
772 Burlington Stores Inc BURL 0.02% 5.06K $1.6M
773 White Mountains Insurance Group Ltd WTM 0.02% 745 $1.6M
774 Applied Industrial Technologies Inc AIT 0.02% 4.74K $1.6M
775 Eagle Materials Inc EXP 0.02% 7.99K $1.6M
776 National Fuel Gas Co NFG 0.02% 19.33K $1.6M
777 CoreCivic Inc CXW 0.02% 47.87K $1.6M
778 Ares Management Corp ARES 0.02% 11.09K $1.6M
779 Coupang Inc CPNG 0.02% 94.39K $1.6M
780 CubeSmart CUBE 0.02% 38.56K $1.6M
781 Laureate Education Inc LAUR 0.02% 40.76K $1.6M
782 VeriSign Inc VRSN 0.02% 5.32K $1.6M
783 Element Solutions Inc ESI 0.02% 43.71K $1.6M
784 Maplebear Inc CART 0.02% 30.01K $1.5M
785 Korn Ferry KFY 0.02% 18.28K $1.5M
786 Pentair PLC PNR 0.02% 24.64K $1.5M
787 Apple Hospitality REIT Inc APLE 0.02% 91.75K $1.5M
788 ADT Inc ADT 0.02% 206.60K $1.5M
789 Bruker Corp BRKR 0.02% 26.98K $1.5M
790 Capri Holdings Ltd CPRI 0.02% 115.06K $1.5M
791 Warrior Met Coal Inc HCC 0.02% 14.52K $1.5M
792 Encompass Health Corp EHC 0.02% 12.71K $1.5M
793 Highwoods Properties Inc HIW 0.02% 47.77K $1.5M
794 Hancock Whitney Corp HWC 0.02% 20.31K $1.5M
795 BankUnited Inc BKU 0.02% 32.70K $1.5M
796 People Inc PPLI 0.01% 38.17K $1.5M
797 Hub Group Inc HUBG 0.01% 38.33K $1.5M
798 Valmont Industries Inc VMI 0.01% 3.18K $1.5M
799 Cirrus Logic Inc CRUS 0.01% 13.44K $1.5M
800 Pool Corp POOL 0.01% 8.02K $1.5M
801 Macerich Co/The MAC 0.01% 61.39K $1.5M
802 Helen of Troy Ltd HELE 0.01% 51.42K $1.5M
803 United Airlines Holdings Inc UAL 0.01% 12.65K $1.5M
804 Lyft Inc LYFT 0.01% 84.15K $1.5M
805 Abercrombie & Fitch Co ANF 0.01% 13.63K $1.5M
806 Mattel Inc MAT 0.01% 96.76K $1.5M
807 Plexus Corp PLXS 0.01% 6.12K $1.5M
808 HEICO Corp HEI 0.01% 4.20K $1.5M
809 CoStar Group Inc CSGP 0.01% 44.85K $1.5M
810 TriNet Group Inc TNET 0.01% 21.09K $1.5M
811 James Hardie Industries PLC JHX 0.01% 48.28K $1.5M
812 Advanced Drainage Systems Inc WMS 0.01% 10.35K $1.5M
813 Associated Banc-Corp ASB 0.01% 47.47K $1.5M
814 Graham Holdings Co GHC 0.01% 1.24K $1.5M
815 FirstCash Holdings Inc FCFS 0.01% 6.37K $1.5M
816 Arcosa Inc ACA 0.01% 10.04K $1.5M
817 Invesco Government & Agency Portfolio AGPXX 0.01% 1.44M $1.4M
818 Federated Hermes Inc FHI 0.01% 22.01K $1.4M
819 Noble Corp PLC NE 0.01% 31.36K $1.4M
820 Westlake Corp WLK 0.01% 19.22K $1.4M
821 Adient PLC ADNT 0.01% 76.89K $1.4M
822 Telephone and Data Systems Inc TDS 0.01% 42.12K $1.4M
823 Carter's Inc CRI 0.01% 41.85K $1.4M
824 Travel + Leisure Co TNL 0.01% 19.26K $1.4M
825 Cabot Corp CBT 0.01% 16.94K $1.4M
826 Post Holdings Inc POST 0.01% 17.43K $1.4M
827 California Resources Corp CRC 0.01% 27.32K $1.4M
828 QuidelOrtho Corp QDEL 0.01% 93.22K $1.4M
829 Liberty Energy Inc LBRT 0.01% 76.32K $1.4M
830 Home BancShares Inc/AR HOMB 0.01% 46.85K $1.4M
831 Middleby Corp/The MIDD 0.01% 12.26K $1.4M
832 Novavax Inc NVAX 0.01% 147.98K $1.4M
833 Herc Holdings Inc HRI 0.01% 8.93K $1.4M
834 Steven Madden Ltd SHOO 0.01% 30.50K $1.4M
835 New York Times Co/The NYT 0.01% 20.14K $1.4M
836 Simmons First National Corp SFNC 0.01% 60.77K $1.4M
837 Century Communities Inc CCS 0.01% 19.61K $1.4M
838 Tetra Tech Inc TTEK 0.01% 37.46K $1.4M
839 Louisiana-Pacific Corp LPX 0.01% 19.03K $1.4M
840 American Eagle Outfitters Inc AEO 0.01% 82.20K $1.4M
841 Ralliant Corp RAL 0.01% 22.29K $1.4M
842 IDACORP Inc IDA 0.01% 9.96K $1.4M
843 XPO Inc XPO 0.01% 7.12K $1.4M
844 Andersons Inc/The ANDE 0.01% 20.69K $1.4M
845 PriceSmart Inc PSMT 0.01% 7.64K $1.4M
846 Boyd Gaming Corp BYD 0.01% 16.68K $1.4M
847 Phinia Inc PHIN 0.01% 18.98K $1.3M
848 Dolby Laboratories Inc DLB 0.01% 20.29K $1.3M
849 PTC Inc PTC 0.01% 8.86K $1.3M
850 Equity LifeStyle Properties Inc ELS 0.01% 20.45K $1.3M
851 Zillow Group Inc Z 0.01% 36.80K $1.3M
852 ONE Gas Inc OGS 0.01% 16.49K $1.3M
853 Southwest Airlines Co LUV 0.01% 32.46K $1.3M
854 Cathay General Bancorp CATY 0.01% 21.31K $1.3M
855 Northwestern Energy Group Inc NWE 0.01% 18.58K $1.3M
856 Cboe Global Markets Inc CBOE 0.01% 4.24K $1.3M
857 Valvoline Inc VVV 0.01% 39.79K $1.3M
858 FTI Consulting Inc FCN 0.01% 8.63K $1.3M
859 Wyndham Hotels & Resorts Inc WH 0.01% 17.25K $1.3M
860 Selective Insurance Group Inc SIGI 0.01% 14.23K $1.3M
861 STAG Industrial Inc STAG 0.01% 35.22K $1.3M
862 Saia Inc SAIA 0.01% 3.79K $1.3M
863 Fair Isaac Corp FICO 0.01% 1.14K $1.3M
864 Versant Media Group Inc VSNTV 0.01% 32.58K $1.3M
865 Teradata Corp TDC 0.01% 47.34K $1.3M
866 Commerce Bancshares Inc/MO CBSH 0.01% 22.16K $1.3M
867 Urban Outfitters Inc URBN 0.01% 16.99K $1.3M
868 Spire Inc SR 0.01% 15.47K $1.3M
869 Silgan Holdings Inc SLGN 0.01% 30.06K $1.3M
870 Core Natural Resources Inc CNR 0.01% 13.20K $1.3M
871 Globus Medical Inc GMED 0.01% 15.42K $1.3M
872 Bath & Body Works Inc BBWI 0.01% 72.68K $1.3M
873 Maximus Inc MMS 0.01% 21.80K $1.3M
874 Cal-Maine Foods Inc CALM 0.01% 15.12K $1.3M
875 Simpson Manufacturing Co Inc SSD 0.01% 6.82K $1.3M
876 Royal Gold Inc RGLD 0.01% 4.75K $1.3M
877 Magnolia Oil & Gas Corp MGY 0.01% 47.73K $1.3M
878 Enphase Energy Inc ENPH 0.01% 33.68K $1.3M
879 Kite Realty Group Trust KRG 0.01% 47.40K $1.3M
880 Leggett & Platt Inc LEG 0.01% 134.12K $1.3M
881 Somnigroup International Inc TPX 0.01% 19.41K $1.2M
882 Hexcel Corp HXL 0.01% 13.28K $1.2M
883 New Jersey Resources Corp NJR 0.01% 23.02K $1.2M
884 Weatherford International PLC WFRD 0.01% 14.01K $1.2M
885 NetScout Systems Inc NTCT 0.01% 32.33K $1.2M
886 Everforth Inc EFOR 0.01% 38.98K $1.2M
887 First Interstate BancSystem Inc FIBK 0.01% 32.99K $1.2M
888 Agree Realty Corp ADC 0.01% 16.43K $1.2M
889 Euronet Worldwide Inc EEFT 0.01% 17.09K $1.2M
890 Sabra Health Care REIT Inc SBRA 0.01% 58.14K $1.2M
891 First Industrial Realty Trust Inc FR 0.01% 19.00K $1.2M
892 SkyWest Inc SKYW 0.01% 11.62K $1.2M
893 TXNM Energy Inc TXNM 0.01% 20.84K $1.2M
894 Blackstone Mortgage Trust Inc BXMT 0.01% 84.75K $1.2M
895 API Group Corp APG 0.01% 29.23K $1.2M
896 Synaptics Inc SYNA 0.01% 12.41K $1.2M
897 Perrigo Co PLC PRGO 0.01% 81.05K $1.2M
898 Sarepta Therapeutics Inc SRPT 0.01% 61.76K $1.2M
899 LGI Homes Inc LGIH 0.01% 19.73K $1.2M
900 GATX Corp GATX 0.01% 6.46K $1.2M
901 Moelis & Co MC 0.01% 16.93K $1.2M
902 EastGroup Properties Inc EGP 0.01% 5.65K $1.1M
903 PROG Holdings Inc PRG 0.01% 28.65K $1.1M
904 LCI Industries LCII 0.01% 10.87K $1.1M
905 NCR Atleos Corp NATL 0.01% 24.30K $1.1M
906 Strategy Inc MSTR 0.01% 8.89K $1.1M
907 Lennox International Inc LII 0.01% 2.89K $1.1M
908 Vontier Corp VNT 0.01% 33.57K $1.1M
909 Antero Midstream Corp AM 0.01% 50.76K $1.1M
910 Douglas Emmett Inc DEI 0.01% 91.17K $1.1M
911 Glacier Bancorp Inc GBCI 0.01% 23.26K $1.1M
912 Crane Co CR 0.01% 5.32K $1.1M
913 Winnebago Industries Inc WGO 0.01% 34.31K $1.1M
914 EPR Properties EPR 0.01% 18.11K $1.1M
915 Dycom Industries Inc DY 0.01% 3.10K $1.1M
916 RH RH 0.01% 7.70K $1.1M
917 JetBlue Airways Corp JBLU 0.01% 214.08K $1.1M
918 First Hawaiian Inc FHB 0.01% 41.84K $1.1M
919 Nomad Foods Ltd NOMD 0.01% 90.42K $1.1M
920 Avista Corp AVA 0.01% 28.46K $1.1M
921 HB Fuller Co FUL 0.01% 18.82K $1.1M
922 Tyler Technologies Inc TYL 0.01% 3.06K $1.1M
923 Grand Canyon Education Inc LOPE 0.01% 7.15K $1.1M
924 Allegion plc ALLE 0.01% 6.64K $1.1M
925 Kemper Corp KMPR 0.01% 38.24K $1.1M
926 Kennametal Inc KMT 0.01% 36.13K $1.1M
927 Teladoc Health Inc TDOC 0.01% 170.40K $1.1M
928 Flowers Foods Inc FLO 0.01% 147.71K $1.1M
929 Hudson Pacific Properties Inc HPP 0.01% 69.78K $1.0M
930 Under Armour Inc UAA 0.01% 199.73K $1.0M
931 Yelp Inc YELP 0.01% 42.94K $1.0M
932 Core & Main Inc CNM 0.01% 22.99K $1.0M
933 Columbia Sportswear Co COLM 0.01% 17.17K $1.0M
934 Tronox Holdings PLC TROX 0.01% 182.01K $1.0M
935 Brighthouse Financial Inc BHF 0.01% 18.96K $983.3K
936 Enovis Corp ENOV 0.01% 38.39K $982.0K
937 Paycom Software Inc PAYC 0.01% 4.21K $974.5K
938 Hawaiian Electric Industries Inc HE 0.01% 85.09K $967.5K
939 Visteon Corp VC 0.01% 9.33K $966.7K
940 Resideo Technologies Inc REZI 0.01% 48.41K $964.7K
941 Option Care Health Inc OPCH 0.01% 40.36K $954.2K
942 PennyMac Financial Services Inc PFSI 0.01% 12.84K $952.5K
943 Axis Capital Holdings Ltd AXS 0.01% 9.52K $946.3K
944 Upbound Group Inc RCII 0.01% 48.74K $943.7K
945 Floor & Decor Holdings Inc FND 0.01% 17.30K $939.8K
946 MillerKnoll Inc MLKN 0.01% 38.77K $901.1K
947 Vistance Networks Inc COMM 0.01% 80.13K $884.6K
948 Masterbrand Inc MBC 0.01% 95.15K $861.1K
949 Houlihan Lokey Inc HLI 0.01% 6.65K $858.6K
950 Liberty Latin America Ltd LILAK 0.01% 95.89K $819.9K
951 Docusign Inc DOCU 0.01% 13.15K $796.3K
952 Coca-Cola Consolidated Inc COKE 0.01% 4.00K $786.1K
953 SiteOne Landscape Supply Inc SITE 0.01% 8.27K $786.1K
954 BWX Technologies Inc BWXT 0.01% 5.20K $778.3K
955 Xerox Holdings Corp XRX 0.01% 261.16K $770.4K
956 Assured Guaranty Ltd AGO 0.01% 9.98K $749.7K
957 Sylvamo Corp SLVM 0.01% 19.95K $736.0K
958 Mobility Global Inc MBGL 0.01% 36.27K $734.9K
959 Scorpio Tankers Inc STNG 0.01% 9.36K $722.4K
960 Alnylam Pharmaceuticals Inc ALNY 0.01% 2.98K $715.0K
961 Esab Corp ESAB 0.01% 8.84K $710.9K
962 Rollins Inc ROL 0.01% 19.41K $705.7K
963 O-I Glass Inc OI 0.01% 93.62K $703.1K
964 SoFi Technologies Inc SOFI 0.01% 36.74K $698.1K
965 Ollie's Bargain Outlet Holdings Inc OLLI 0.01% 9.28K $692.2K
966 MongoDB Inc MDB 0.01% 1.71K $690.4K
967 Ingles Markets Inc IMKTA 0.01% 8.12K $688.1K
968 Arbor Realty Trust Inc ABR 0.01% 133.13K $685.6K
969 Crescent Energy Co CRGY 0.01% 50.21K $675.4K
970 Talen Energy Corp TLN 0.01% 2.18K $669.5K
971 RLI Corp RLI 0.01% 10.28K $666.8K
972 Universal Corp/VA UVV 0.01% 14.46K $663.7K
973 Rocket Cos Inc RKT 0.01% 46.00K $657.8K
974 Del Monte Corp DMC 0.01% 20.37K $648.9K
975 HubSpot Inc HUBS 0.01% 2.71K $645.3K
976 Midera Food Processing Inc MFP 0.01% 12.24K $630.2K
977 Northern Oil & Gas Inc NOG 0.01% 23.28K $615.1K
978 GameStop Corp GME 0.01% 32.20K $582.6K
979 JBG SMITH Properties JBGS 0.01% 45.75K $578.8K
980 Chimera Investment Corp CIM 0.01% 48.84K $567.0K
981 Navient Corp NAVI 0.01% 59.18K $561.6K
982 ADI Global Distribution Inc ADIG 0.01% 24.18K $538.6K
983 Hilton Grand Vacations Inc HGV 0.01% 11.87K $532.9K
984 AppLovin Corp APP 0.01% 1.70K $529.2K
985 Alight Inc ALIT 0.01% 34.76K $519.9K
986 Trade Desk Inc/The TTD 0.00% 36.41K $482.4K
987 Hertz Global Holdings Inc HTZ 0.00% 211.06K $470.7K
988 Kelly Services Inc KELYA 0.00% 24.52K $417.5K
989 Sunrun Inc RUN 0.00% 31.46K $289.2K
990 Versigent PLC VGNT 0.00% 5.85K $276.1K
991 JELD-WEN Holding Inc JELD 0.00% 110.31K $264.7K
992 Gray Media Inc GTN 0.00% 42.79K $214.8K
993 Optimum Communications Inc ATUS 0.00% 198.11K $198.1K
994 Brightstar Lottery PLC IGT 0.00% 15.87K $184.3K
995 Nu Skin Enterprises Inc NUS 0.00% 33.51K $162.5K
996 Accendra Health Inc ACH 0.00% 93.38K $108.3K
997 F&G Annuities & Life Inc FG 0.00% 2.15K $49.6K
998 Hain Celestial Group Inc/The HAIN 0.00% 53.11K $46.4K
999 TPG Inc 12/31/2030 0.00% 55.78K $0.00
1000 SECURITIES LENDING - BNYM 0.00% 1 $0.01
1001 CASH & EQUIVALENTS 0.00% -452 -$451.90

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Sektorgewichtung

Technologie 20.66%
Finanzdienstleistungen 16.60%
Gesundheitswesen 12.82%
Zyklischer Konsum 9.19%
Industrie 9.08%
Kommunikationsdienste 8.72%
Energie 8.01%
Defensiver Konsum 6.27%
Versorger 3.02%
Grundstoffe 3.02%
Immobilien 2.61%

Geografisches Exposure

United States (developed) 97.25%
Ireland (developed) 1.27%
United Kingdom (developed) 0.47%
Switzerland (developed) 0.33%
Singapore (developed) 0.19%
Bermuda 0.17%
Netherlands (developed) 0.14%
Other 0.14%

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

Ausschüttungen

Rendite (TTM)1.32% Ausgeschüttet (letzte 12 Monate)$0.7418
FrequenzQuarterly SEC-RenditeVon unserer Datenquelle nicht bereitgestellt – siehe Emittentenseite
Letztes Ex-DatumJun 22, 2026 Letzte Ausschüttung$0.1753 (Jun 26, 2026)
Wachstum 1J-0.86% Wachstum 3J / 5J (ann.)-38.18% / -21.09%
Ex-DatumStichtagZahltagBetrag
Jun 22, 2026Jun 22, 2026 Jun 26, 2026$0.1753
Mar 23, 2026Mar 23, 2026 Mar 27, 2026$0.1848
Dec 22, 2025Dec 22, 2025 Dec 26, 2025$0.1889
Sep 22, 2025Sep 22, 2025 Sep 26, 2025$0.1928
Jun 23, 2025Jun 23, 2025 Jun 27, 2025$0.1751
Mar 24, 2025Mar 24, 2025 Mar 28, 2025$0.1894
Dec 23, 2024Dec 23, 2024 Dec 27, 2024$0.1972
Sep 23, 2024Sep 23, 2024 Sep 27, 2024$0.1865
Jun 24, 2024Jun 24, 2024 Jun 28, 2024$0.1733
Mar 18, 2024Mar 19, 2024 Mar 22, 2024$0.1614
Dec 18, 2023Dec 19, 2023 Dec 22, 2023$0.1809
Sep 18, 2023Sep 19, 2023 Sep 22, 2023$0.1582

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

Risikokennzahlen

Volatilität 1J / 3J10.67% / 13.14% Sharpe 1J / 3J2.50 / 1.49
Maximaler Drawdown 1J / 3J-6.61% / -15.82% Sortino 1J3.83
Beta gegenüber S&P 500 (3J)0.772 Korrelation vs. S&P 500 (1J)0.87
Abwärtsabweichung 1J6.95% Verwendeter risikofreier Zinssatz3.71% (3M T-bill, FRED)

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

Liquidität

Heutiges Volumen196.84K Durchschnittliches Volumen416.05K
AUM$10.07B Aufgeld/Abschlag+0.14%
Geld-/BriefspanneVon unserer Datenquelle nicht bereitgestellt. Prüfen Sie den Kursbildschirm Ihres Brokers; die Spreads sind zur Eröffnung und zum Börsenschluss am weitesten.

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

Fondsflüsse (geschätzt)

ZeitraumGesch. Nettomittelfluss% des anfänglichen AUMAUM Anfang → Ende
1 Tag $2.9M +0.03% $10.07B → $10.07B
1 Woche -$49.2M -0.49% $10.05B → $10.07B

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

Offizielle Fondsressourcen

Externe Links öffnen die Website des Emittenten oder SEC EDGAR in einem neuen Tab. Der Prospekt und die offiziellen Dokumente sind stets die maßgebliche Quelle — lesen Sie diese vor einer Anlage sorgfältig.

Aktuelle Nachrichten zu PRF

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

Alle Nachrichten zu PRF →

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

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