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PRFZ Invesco RAFI US 1500 Small-Mid ETF

55.59 -0.01 (-0.02%)

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

Chiusura precedente55.60 Day Range55.43 – 55.70
52-Week Range42.73 – 56.84 Volume128.71K
Avg Volume137.41K AUM$2.85B (Aug 27, 2026)
Expense Ratio0.34% Rendimento (TTM)0.77%
NAV55.62 Premio/Sconto-0.05% indicativo
InceptionSep 20, 2006 Posizioni in portafoglio1498
EmittenteInvesco BorsaNASDAQ
CategoryFinancials Indice replicatoNon indicato nei dati di fonte
CUSIP46137V597 ISINUS46137V5975
GestioneNon indicato nei dati di fonte

About this ETF

The Invesco RAFI US 1500 Small-Mid ETF (PRFZ) aims to replicate the performance of the RAFI Fundamental Select US 1500 Index. Typically, the Fund allocates at least 90% of its total assets to the common stocks that make up this index. The underlying index focuses on tracking the performance of small and medium-sized U.S. companies. Its constituent firms are chosen based on four core financial indicators: book value, cash flow generation, sales revenue, and dividend payments. Specifically, the index selects equities ranked between 1,001 and 2,500 in fundamental size from a universe of 3,000 companies, assigning each a weight proportional to its fundamental value. Both the ETF's portfolio and the index's composition undergo annual rebalancing. A significant shift is scheduled for the close of business on March 21, 2025. The Fund will transition from its current benchmark, the FTSE RAFI US 1500 Mid Small Index, to the RAFI Fundamental Select US 1500 Index. Concurrently, the Fund's official name will be "Invesco RAFI US 1500 Small-Mid ETF." As of August 31, 2025, Morningstar Inc. awarded the Fund an overall 4-star rating, placing it favorably among 577 evaluated funds. This strong performance was consistent across various durations: it earned 4 stars for the 3-year period (out of 577 funds), 4 stars for the 5-year period (out of 556 funds), and 4 stars for the 10-year period (out of 405 funds). Morningstar's ratings employ a risk-adjusted return methodology, which considers monthly performance fluctuations, emphasizing penalties for downward volatility and rewarding consistent returns. For comparative analysis, Morningstar integrates open-end mutual funds and exchange-traded funds into a single comparison group. Only funds with a minimum of three years of operational history are eligible for ratings. The comprehensive overall rating is a weighted average derived from the 3-, 5-, and 10-year performance metrics, where applicable, and includes all fees and expenses but excludes sales charges. Important Disclaimers from Morningstar: This information is proprietary and must not be copied or distributed. Morningstar does not guarantee its accuracy, completeness, or timeliness, nor do they assume responsibility for any damages or losses resulting from its use. Investors should be aware that past performance is not a reliable indicator of future results. Within each category, the top 10% of funds receive five stars, the subsequent 22.5% earn four stars, the middle 35% are awarded three stars, the next 22.5% get two stars, and the bottom 10% receive one star. These ratings are subject to monthly updates. It is also important to note that any fee waivers or expense reimbursements, current or past, might have positively impacted the Morningstar rating, which could have been lower otherwise. Furthermore, ratings for different share classes may vary due to distinct performance characteristics.

Description from the fund data provider · profilo aggiornato al Aug 27, 2026.

Grafico del prezzo

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

Performance

1M3M6MYTD1Y3Y*5Y*10Y*Incep.*
Rendimento del prezzo +3.27% +6.92% +14.12% +21.14% +25.17% +17.67% +8.21% +10.25% +8.97%
Rendimento totale +3.27% +7.13% +14.62% +21.64% +26.34% +19.07% +9.56% +11.63% +10.27%

* Annualized. Total return uses the dividend-adjusted price series (distributions reinvested); price return uses unadjusted closes. Performance al Aug 26, 2026. Le performance passate non garantiscono risultati futuri.

Fees

Expense ratio netto0.34% Annual cost of a $10,000 investment$34.00

Calcolo a solo scopo illustrativo: expense ratio × 10.000 $. Esclude i costi di negoziazione, gli spread denaro/lettera, le imposte e le variazioni del valore dell'investimento. I dettagli sull'expense ratio lordo e netto e le eventuali esenzioni dalle commissioni sono riportati nel prospetto.

Posizioni in portafoglio

Posizioni in portafoglio al Aug 26, 2026 — data di riferimento del portafoglio fornita dal provider di dati; le posizioni non sono in tempo reale. 1506 righe nel database.

#PosizioneTickerPesoAzioniValore di Mercato
1 ATI Inc ATI 0.47% 61.80K $13.3M
2 Revolution Medicines Inc RVMD 0.44% 59.33K $12.5M
3 Roivant Sciences Ltd ROIV 0.43% 335.31K $12.2M
4 10X Genomics Inc TXG 0.43% 188.43K $12.2M
5 SharkNinja Inc SN 0.38% 59.23K $10.9M
6 Par Pacific Holdings Inc PARR 0.38% 146.25K $10.8M
7 Crescent Energy Co CRGY 0.38% 800.75K $10.8M
8 Iridium Communications Inc IRDM 0.37% 224.91K $10.6M
9 Onto Innovation Inc ONTO 0.37% 35.94K $10.5M
10 Paycom Software Inc PAYC 0.35% 43.56K $10.1M
11 MaxLinear Inc MXL 0.33% 143.52K $9.5M
12 TTM Technologies Inc TTMI 0.33% 83.50K $9.4M
13 Bio-Techne Corp TECH 0.33% 129.58K $9.4M
14 Enova International Inc ENVA 0.33% 38.28K $9.3M
15 Viavi Solutions Inc VIAV 0.32% 245.91K $9.3M
16 Corcept Therapeutics Inc CORT 0.32% 74.53K $9.2M
17 GEO Group Inc/The GEO 0.32% 281.51K $9.1M
18 Iovance Biotherapeutics Inc IOVA 0.31% 1.03M $8.7M
19 Carpenter Technology Corp CRS 0.30% 17.77K $8.6M
20 H&R Block Inc HRB 0.30% 162.03K $8.6M
21 Cracker Barrel Old Country Store Inc CBRL 0.30% 145.38K $8.5M
22 Compass Inc COMP 0.29% 708.69K $8.4M
23 Credit Acceptance Corp CACC 0.29% 13.84K $8.4M
24 Haemonetics Corp HAE 0.29% 75.70K $8.2M
25 Advanced Energy Industries Inc AEIS 0.29% 29.59K $8.1M
26 Halozyme Therapeutics Inc HALO 0.28% 74.10K $8.1M
27 Watts Water Technologies Inc WTS 0.28% 21.74K $8.1M
28 MongoDB Inc MDB 0.28% 19.83K $8.0M
29 UMB Financial Corp UMBF 0.28% 55.91K $8.0M
30 Atlantic Union Bankshares Corp AUB 0.27% 192.47K $7.8M
31 Docusign Inc DOCU 0.27% 128.66K $7.8M
32 Dynatrace Inc DT 0.27% 151.30K $7.6M
33 International Seaways Inc INSW 0.26% 74.99K $7.4M
34 Qualys Inc QLYS 0.26% 41.92K $7.4M
35 Natera Inc NTRA 0.26% 21.76K $7.3M
36 Integer Holdings Corp ITGR 0.26% 58.22K $7.3M
37 Champion Homes Inc SKY 0.26% 79.49K $7.3M
38 Manhattan Associates Inc MANH 0.25% 33.91K $7.2M
39 Cavco Industries Inc CVCO 0.25% 12.28K $7.2M
40 GRAIL Inc GRAL 0.25% 87.33K $7.2M
41 Guidewire Software Inc GWRE 0.25% 38.22K $7.2M
42 Covista Inc CVSA 0.25% 52.27K $7.1M
43 Northern Oil & Gas Inc NOG 0.25% 269.43K $7.1M
44 Trex Co Inc TREX 0.25% 151.96K $7.1M
45 Ionis Pharmaceuticals Inc IONS 0.25% 110.50K $7.0M
46 HealthEquity Inc HQY 0.24% 65.98K $7.0M
47 FormFactor Inc FORM 0.24% 64.33K $6.9M
48 Axon Enterprise Inc AXON 0.24% 11.22K $6.9M
49 Toast Inc TOST 0.24% 186.92K $6.9M
50 Twist Bioscience Corp TWST 0.24% 45.06K $6.8M
51 Victory Capital Holdings Inc VCTR 0.24% 58.74K $6.8M
52 Hecla Mining Co HL 0.23% 320.48K $6.7M
53 Itron Inc ITRI 0.23% 67.19K $6.6M
54 Sensient Technologies Corp SXT 0.23% 48.39K $6.6M
55 Granite Construction Inc GVA 0.23% 53.45K $6.5M
56 UniFirst Corp/MA UNF 0.23% 22.56K $6.5M
57 Wendy's Co/The WEN 0.23% 710.84K $6.5M
58 AAR Corp AIR 0.23% 47.70K $6.5M
59 RingCentral Inc RNG 0.22% 95.99K $6.3M
60 Terreno Realty Corp TRNO 0.22% 92.09K $6.3M
61 CCC Intelligent Solutions Holdings Inc CCCS 0.22% 842.27K $6.3M
62 Lattice Semiconductor Corp LSCC 0.22% 54.09K $6.3M
63 GLOBALFOUNDRIES Inc GFS 0.22% 136.19K $6.3M
64 BILL Holdings Inc BILL 0.22% 130.81K $6.2M
65 ICU Medical Inc ICUI 0.22% 34.20K $6.2M
66 Neogen Corp NEOG 0.22% 533.16K $6.2M
67 RLI Corp RLI 0.22% 95.07K $6.2M
68 Ensign Group Inc/The ENSG 0.21% 34.28K $6.1M
69 Lantheus Holdings Inc LNTH 0.21% 60.83K $6.1M
70 LivaNova PLC LIVN 0.21% 77.18K $6.1M
71 UiPath Inc PATH 0.21% 366.62K $6.1M
72 Independence Realty Trust Inc IRT 0.21% 364.71K $6.1M
73 MarketAxess Holdings Inc MKTX 0.21% 36.89K $6.0M
74 ExlService Holdings Inc EXLS 0.21% 159.84K $6.0M
75 Arrowhead Pharmaceuticals Inc ARWR 0.21% 67.30K $6.0M
76 Tradeweb Markets Inc TW 0.21% 54.97K $5.9M
77 HubSpot Inc HUBS 0.21% 24.83K $5.9M
78 Nutanix Inc NTNX 0.21% 88.16K $5.9M
79 Scotts Miracle-Gro Co/The SMG 0.21% 93.52K $5.9M
80 RBC Bearings Inc RBC 0.20% 11.80K $5.9M
81 LXP Industrial Trust LXP 0.20% 95.77K $5.8M
82 Callaway Golf Co ELY 0.20% 377.39K $5.8M
83 Tutor Perini Corp TPC 0.20% 66.49K $5.8M
84 Essential Properties Realty Trust Inc EPRT 0.20% 188.05K $5.8M
85 Valaris Ltd VAL 0.20% 67.40K $5.8M
86 Kontoor Brands Inc KTB 0.20% 71.98K $5.8M
87 Axcelis Technologies Inc ACLS 0.20% 45.79K $5.7M
88 InterDigital Inc IDCC 0.20% 16.57K $5.7M
89 Semtech Corp SMTC 0.20% 44.80K $5.7M
90 Hyatt Hotels Corp H 0.20% 32.23K $5.7M
91 Materion Corp MTRN 0.20% 24.50K $5.7M
92 Commvault Systems Inc CVLT 0.20% 43.30K $5.7M
93 Texas Capital Bancshares Inc TCBI 0.20% 57.40K $5.7M
94 RXO Inc RXO 0.20% 260.23K $5.6M
95 Repligen Corp RGEN 0.20% 30.73K $5.6M
96 Archrock Inc AROC 0.20% 181.57K $5.6M
97 Ryman Hospitality Properties Inc RHP 0.20% 41.91K $5.6M
98 Hilton Grand Vacations Inc HGV 0.20% 124.03K $5.6M
99 Fulton Financial Corp FULT 0.19% 235.19K $5.6M
100 Outfront Media Inc OUT 0.19% 181.32K $5.6M
101 Armstrong World Industries Inc AWI 0.19% 30.89K $5.6M
102 Texas Pacific Land Corp TPL 0.19% 14.85K $5.5M
103 Relay Therapeutics Inc RLAY 0.19% 268.16K $5.5M
104 MSA Safety Inc MSA 0.19% 29.36K $5.5M
105 CBIZ Inc CBZ 0.19% 100.58K $5.5M
106 Churchill Downs Inc CHDN 0.19% 61.91K $5.5M
107 Erie Indemnity Co ERIE 0.19% 21.07K $5.4M
108 Pebblebrook Hotel Trust PEB 0.19% 295.40K $5.4M
109 ACI Worldwide Inc ACIW 0.19% 103.06K $5.4M
110 MYR Group Inc MYRG 0.19% 18.21K $5.4M
111 MDU Resources Group Inc MDU 0.19% 267.67K $5.3M
112 Ameris Bancorp ABCB 0.19% 62.47K $5.3M
113 Penguin Solutions Inc PENG 0.19% 106.04K $5.3M
114 DigitalOcean Holdings Inc DOCN 0.19% 47.38K $5.3M
115 PTC Therapeutics Inc PTCT 0.19% 72.56K $5.3M
116 Insperity Inc NSP 0.19% 101.78K $5.3M
117 Merit Medical Systems Inc MMSI 0.19% 58.07K $5.3M
118 Opendoor Technologies Inc OPEN 0.18% 1.47M $5.3M
119 Eastern Bankshares Inc EBC 0.18% 236.00K $5.3M
120 Power Integrations Inc POWI 0.18% 96.56K $5.3M
121 Ormat Technologies Inc ORA 0.18% 49.17K $5.2M
122 Enpro Inc NPO 0.18% 17.19K $5.2M
123 Cheesecake Factory Inc/The CAKE 0.18% 45.89K $5.2M
124 DigitalBridge Group Inc DBRG 0.18% 325.79K $5.2M
125 Sphere Entertainment Co SPHR 0.18% 32.38K $5.2M
126 Guardant Health Inc GH 0.18% 31.26K $5.2M
127 Ultragenyx Pharmaceutical Inc RARE 0.18% 194.55K $5.1M
128 DNOW Inc DNOW 0.18% 325.04K $5.1M
129 Mercury Systems Inc MRCY 0.18% 58.37K $5.1M
130 Federal Signal Corp FSS 0.18% 42.23K $5.1M
131 COPT Defense Properties CDP 0.18% 135.44K $5.1M
132 Allegiant Travel Co ALGT 0.18% 61.52K $5.1M
133 Oceaneering International Inc OII 0.18% 101.31K $5.1M
134 Zurn Elkay Water Solutions Corp ZWS 0.18% 103.50K $5.1M
135 Denali Therapeutics Inc DNLI 0.18% 201.79K $5.0M
136 American Healthcare REIT Inc AHR 0.18% 88.06K $5.0M
137 Broadstone Net Lease Inc BNL 0.18% 232.97K $5.0M
138 Piper Sandler Cos PIPR 0.18% 67.11K $5.0M
139 CVR Energy Inc CVI 0.17% 131.57K $5.0M
140 Knife River Corp KNF 0.17% 75.75K $5.0M
141 Talos Energy Inc TALO 0.17% 301.70K $5.0M
142 Everus Construction Group Inc ECG 0.17% 41.96K $5.0M
143 Vaxcyte Inc PCVX 0.17% 80.81K $4.9M
144 Interactive Brokers Group Inc IBKR 0.17% 50.15K $4.9M
145 Aurora Innovation Inc AUR 0.17% 852.65K $4.9M
146 Gulfport Energy Corp GPOR 0.17% 28.39K $4.9M
147 Phillips Edison & Co Inc PECO 0.17% 122.45K $4.9M
148 Lineage Inc LINE 0.17% 118.37K $4.9M
149 Kosmos Energy Ltd KOS 0.17% 1.79M $4.9M
150 BOK Financial Corp BOKF 0.17% 34.90K $4.8M
151 American Airlines Group Inc AAL 0.17% 344.81K $4.8M
152 Modine Manufacturing Co MOD 0.17% 25.51K $4.8M
153 Box Inc BOX 0.17% 144.77K $4.8M
154 Oscar Health Inc OSCR 0.17% 154.42K $4.8M
155 YETI Holdings Inc YETI 0.17% 111.40K $4.7M
156 Rambus Inc RMBS 0.17% 52.70K $4.7M
157 Dillard's Inc DDS 0.17% 7.42K $4.7M
158 Nabors Industries Ltd NBR 0.17% 53.88K $4.7M
159 Travere Therapeutics Inc TVTX 0.17% 70.52K $4.7M
160 Morningstar Inc MORN 0.16% 21.73K $4.7M
161 Ultra Clean Holdings Inc UCTT 0.16% 63.19K $4.6M
162 Belden Inc BDC 0.16% 39.46K $4.6M
163 Progress Software Corp PRGS 0.16% 106.02K $4.6M
164 MACOM Technology Solutions Holdings Inc MTSI 0.16% 17.18K $4.6M
165 Fastly Inc FSLY 0.16% 198.67K $4.6M
166 DiamondRock Hospitality Co DRH 0.16% 352.13K $4.5M
167 Schneider National Inc SNDR 0.16% 130.51K $4.5M
168 BrightSpring Health Services Inc BTSG 0.16% 78.77K $4.5M
169 Installed Building Products Inc IBP 0.16% 18.18K $4.5M
170 Axos Financial Inc AX 0.16% 45.39K $4.5M
171 Cargurus Inc CARG 0.16% 123.01K $4.5M
172 HNI Corp HNI 0.16% 89.74K $4.5M
173 Nektar Therapeutics NKTR 0.16% 59.62K $4.5M
174 Globant SA GLOB 0.16% 111.20K $4.5M
175 Plug Power Inc PLUG 0.16% 1.96M $4.5M
176 Griffon Corp GFF 0.16% 43.72K $4.4M
177 Cloudflare Inc NET 0.16% 15.96K $4.4M
178 Brink's Co/The BCO 0.16% 39.91K $4.4M
179 DraftKings Inc DKNG 0.15% 170.81K $4.4M
180 SentinelOne Inc S 0.15% 216.80K $4.4M
181 Clearway Energy Inc CWEN 0.15% 135.45K $4.4M
182 Intellia Therapeutics Inc NTLA 0.15% 325.02K $4.4M
183 Cactus Inc WHD 0.15% 64.67K $4.3M
184 Cohu Inc COHU 0.15% 85.78K $4.3M
185 Crinetics Pharmaceuticals Inc CRNX 0.15% 51.15K $4.3M
186 Bloom Energy Corp BE 0.15% 19.82K $4.3M
187 Frontdoor Inc FTDR 0.15% 51.45K $4.3M
188 Elastic NV ESTC 0.15% 53.23K $4.3M
189 ESCO Technologies Inc ESE 0.15% 15.42K $4.3M
190 Balchem Corp BCPC 0.15% 23.72K $4.3M
191 Patrick Industries Inc PATK 0.15% 49.84K $4.3M
192 Stride Inc LRN 0.15% 49.58K $4.2M
193 TPG Inc TPG 0.15% 80.02K $4.2M
194 CareTrust REIT Inc CTRE 0.15% 105.71K $4.2M
195 ACADIA Pharmaceuticals Inc ACAD 0.15% 136.83K $4.2M
196 FTAI Aviation Ltd FTAI 0.15% 20.84K $4.2M
197 Penumbra Inc PEN 0.15% 12.86K $4.2M
198 Bank of Hawaii Corp BOH 0.15% 54.72K $4.2M
199 Beam Therapeutics Inc BEAM 0.15% 134.27K $4.2M
200 CVB Financial Corp CVBF 0.14% 184.03K $4.1M
201 Boston Beer Co Inc/The SAM 0.14% 21.75K $4.1M
202 CareDx Inc CDNA 0.14% 81.06K $4.1M
203 Universal Display Corp OLED 0.14% 46.04K $4.1M
204 Primoris Services Corp PRIM 0.14% 54.87K $4.1M
205 Independent Bank Corp INDB 0.14% 48.99K $4.1M
206 Grocery Outlet Holding Corp GO 0.14% 335.27K $4.1M
207 Sally Beauty Holdings Inc SBH 0.14% 244.70K $4.0M
208 AZZ Inc AZZ 0.14% 29.04K $4.0M
209 Bright Horizons Family Solutions Inc BFAM 0.14% 53.34K $3.9M
210 Concentra Group Holdings Parent Inc CON 0.14% 113.02K $3.9M
211 OPENLANE Inc OPLN 0.14% 114.48K $3.9M
212 JBT Marel Corp JBTM 0.14% 33.07K $3.9M
213 Chefs' Warehouse Inc/The CHEF 0.14% 34.84K $3.9M
214 agilon health Inc AGL 0.14% 40.15K $3.9M
215 Wayfair Inc W 0.14% 36.90K $3.9M
216 Medpace Holdings Inc MEDP 0.13% 6.27K $3.8M
217 Agios Pharmaceuticals Inc AGIO 0.13% 113.42K $3.8M
218 SPX Technologies Inc SPXC 0.13% 19.12K $3.8M
219 WSFS Financial Corp WSFS 0.13% 48.90K $3.8M
220 United Community Banks Inc/GA UCB 0.13% 109.35K $3.8M
221 Acadia Realty Trust AKR 0.13% 180.35K $3.8M
222 Dorian LPG Ltd LPG 0.13% 75.22K $3.8M
223 Coca-Cola Consolidated Inc COKE 0.13% 19.38K $3.8M
224 Renasant Corp RNST 0.13% 92.56K $3.8M
225 Encore Capital Group Inc ECPG 0.13% 37.08K $3.8M
226 Kodiak Gas Services Inc KGS 0.13% 64.40K $3.8M
227 Franklin Electric Co Inc FELE 0.13% 37.23K $3.8M
228 Acushnet Holdings Corp GOLF 0.13% 43.66K $3.8M
229 Tanger Inc SKT 0.13% 97.83K $3.8M
230 Veeco Instruments Inc VECO 0.13% 78.46K $3.7M
231 Standex International Corp SXI 0.13% 12.24K $3.7M
232 Life Time Group Holdings Inc LTH 0.13% 83.45K $3.7M
233 Dorman Products Inc DORM 0.13% 28.49K $3.7M
234 Bridgebio Pharma Inc BBIO 0.13% 46.23K $3.7M
235 TKO Group Holdings Inc TKO 0.13% 19.18K $3.7M
236 Six Flags Entertainment Corp FUN 0.13% 223.39K $3.7M
237 Parsons Corp PSN 0.13% 77.03K $3.7M
238 John Wiley & Sons Inc WLY 0.13% 68.46K $3.7M
239 Wynn Resorts Ltd WYNN 0.13% 37.36K $3.7M
240 Ichor Holdings Ltd ICHR 0.13% 64.59K $3.7M
241 Nextpower Inc NXT 0.13% 43.28K $3.7M
242 United Parks & Resorts Inc SEAS 0.13% 83.82K $3.7M
243 Boot Barn Holdings Inc BOOT 0.13% 22.90K $3.7M
244 Dauch Corp AXL 0.13% 567.91K $3.7M
245 Extreme Networks Inc EXTR 0.13% 161.15K $3.6M
246 Bloomin' Brands Inc BLMN 0.13% 330.23K $3.6M
247 Tidewater Inc TDW 0.13% 39.45K $3.6M
248 Coeur Mining Inc CDE 0.13% 167.59K $3.6M
249 Allegro MicroSystems Inc ALGM 0.12% 95.31K $3.6M
250 Mueller Water Products Inc MWA 0.12% 143.02K $3.6M
251 Wolverine World Wide Inc WWW 0.12% 174.25K $3.6M
252 WesBanco Inc WSBC 0.12% 87.85K $3.6M
253 Red Rock Resorts Inc RRR 0.12% 59.59K $3.6M
254 NeoGenomics Inc NEO 0.12% 211.93K $3.6M
255 Mercury General Corp MCY 0.12% 33.95K $3.5M
256 Beacon Financial Corp BBT 0.12% 112.79K $3.5M
257 Novanta Inc NOVT 0.12% 25.28K $3.5M
258 Xencor Inc XNCR 0.12% 120.32K $3.5M
259 Hayward Holdings Inc HAYW 0.12% 243.58K $3.5M
260 Affirm Holdings Inc AFRM 0.12% 45.08K $3.5M
261 Customers Bancorp Inc CUBI 0.12% 44.78K $3.5M
262 Pilgrim's Pride Corp PPC 0.12% 107.93K $3.5M
263 Quaker Chemical Corp KWR 0.12% 21.20K $3.5M
264 CONMED Corp CNMD 0.12% 67.95K $3.5M
265 Banc of California Inc BANC 0.12% 186.74K $3.5M
266 ROBLOX Corp RBLX 0.12% 88.47K $3.5M
267 EZCORP Inc EZPW 0.12% 98.17K $3.5M
268 Kaiser Aluminum Corp KALU 0.12% 22.45K $3.5M
269 BGC Group Inc BGC 0.12% 292.14K $3.4M
270 Glaukos Corp GKOS 0.12% 18.96K $3.4M
271 Sterling Infrastructure Inc STRL 0.12% 7.02K $3.4M
272 V2X Inc VVX 0.12% 44.66K $3.4M
273 Sonos Inc SONO 0.12% 223.15K $3.4M
274 Biohaven Ltd BHVN 0.12% 236.60K $3.4M
275 ACM Research Inc ACMR 0.12% 42.21K $3.4M
276 OSI Systems Inc OSIS 0.12% 16.50K $3.4M
277 Vestis Corp VSTS 0.12% 260.56K $3.4M
278 Brinker International Inc EAT 0.12% 13.45K $3.3M
279 Artisan Partners Asset Management Inc APAM 0.12% 76.33K $3.3M
280 DXP Enterprises Inc/TX DXPE 0.12% 17.66K $3.3M
281 Pitney Bowes Inc PBI 0.12% 194.72K $3.3M
282 Levi Strauss & Co LEVI 0.12% 157.62K $3.3M
283 Remitly Global Inc RELY 0.12% 126.66K $3.3M
284 Magnite Inc MGNI 0.12% 138.48K $3.3M
285 Amentum Holdings Inc AMTM 0.12% 163.12K $3.3M
286 American States Water Co AWR 0.12% 36.53K $3.3M
287 Energizer Holdings Inc ENR 0.12% 149.95K $3.3M
288 CSW Industrials Inc CSW 0.12% 10.19K $3.3M
289 Exponent Inc EXPO 0.11% 46.74K $3.3M
290 Seaboard Corp SEB 0.11% 792 $3.3M
291 Prestige Consumer Healthcare Inc PBH 0.11% 63.44K $3.3M
292 National Vision Holdings Inc EYE 0.11% 174.25K $3.3M
293 Procore Technologies Inc PCOR 0.11% 53.69K $3.3M
294 DoubleVerify Holdings Inc DV 0.11% 244.18K $3.3M
295 Digital Turbine Inc APPS 0.11% 299.96K $3.2M
296 Rogers Corp ROG 0.11% 25.99K $3.2M
297 Knowles Corp KN 0.11% 96.33K $3.2M
298 Kinsale Capital Group Inc KNSL 0.11% 8.35K $3.2M
299 Arcus Biosciences Inc RCUS 0.11% 102.55K $3.2M
300 Helios Technologies Inc HLIO 0.11% 43.51K $3.2M
301 Green Plains Inc GPRE 0.11% 220.05K $3.2M
302 Acadian Asset Management Inc AAMI 0.11% 34.36K $3.2M
303 Casella Waste Systems Inc CWST 0.11% 34.15K $3.2M
304 Azenta Inc BRKS 0.11% 95.93K $3.2M
305 Five9 Inc FIVN 0.11% 98.61K $3.2M
306 RLJ Lodging Trust RLJ 0.11% 274.78K $3.2M
307 Insmed Inc INSM 0.11% 25.61K $3.2M
308 ProPetro Holding Corp PUMP 0.11% 297.85K $3.2M
309 WisdomTree Inc WT 0.11% 130.78K $3.2M
310 Uniti Group Inc UNIT 0.11% 311.81K $3.1M
311 Amylyx Pharmaceuticals Inc AMLX 0.11% 83.74K $3.1M
312 Cinemark Holdings Inc CNK 0.11% 83.86K $3.1M
313 Peloton Interactive Inc PTON 0.11% 580.37K $3.1M
314 FuelCell Energy Inc FCEL 0.11% 161.02K $3.1M
315 Reynolds Consumer Products Inc REYN 0.11% 126.19K $3.1M
316 Protagonist Therapeutics Inc PTGX 0.11% 20.52K $3.1M
317 Paylocity Holding Corp PCTY 0.11% 20.20K $3.1M
318 Kadant Inc KAI 0.11% 10.15K $3.1M
319 Nurix Therapeutics Inc NRIX 0.11% 113.96K $3.1M
320 elf Beauty Inc ELF 0.11% 29.02K $3.1M
321 Crane NXT Co CXT 0.11% 61.14K $3.1M
322 TripAdvisor Inc TRIP 0.11% 302.47K $3.1M
323 Supernus Pharmaceuticals Inc SUPN 0.11% 66.93K $3.0M
324 Marzetti Company/The LANC 0.11% 25.86K $3.0M
325 Gold.com Inc GOLD 0.11% 64.64K $3.0M
326 Amneal Pharmaceuticals Inc AMRX 0.11% 168.39K $3.0M
327 Seacoast Banking Corp of Florida SBCF 0.11% 88.61K $3.0M
328 Nicolet Bankshares Inc NIC 0.11% 17.60K $3.0M
329 Happen Inc LC 0.11% 164.82K $3.0M
330 NMI Holdings Inc NMIH 0.11% 66.29K $3.0M
331 LiveRamp Holdings Inc RAMP 0.10% 79.33K $3.0M
332 Huron Consulting Group Inc HURN 0.10% 18.73K $3.0M
333 First Financial Bancorp FFBC 0.10% 91.29K $3.0M
334 Applied Optoelectronics Inc AAOI 0.10% 26.31K $3.0M
335 ServisFirst Bancshares Inc SFBS 0.10% 68.92K $3.0M
336 Addus HomeCare Corp ADUS 0.10% 24.55K $3.0M
337 Freshpet Inc FRPT 0.10% 39.40K $3.0M
338 Ducommun Inc DCO 0.10% 16.34K $3.0M
339 Clover Health Investments Corp CLOV 0.10% 717.54K $3.0M
340 Brookdale Senior Living Inc BKD 0.10% 242.71K $3.0M
341 IPG Photonics Corp IPGP 0.10% 41.06K $2.9M
342 First Financial Bankshares Inc FFIN 0.10% 87.30K $2.9M
343 Atmus Filtration Technologies Inc ATMU 0.10% 59.15K $2.9M
344 Freshworks Inc FRSH 0.10% 228.17K $2.9M
345 GameStop Corp GME 0.10% 161.37K $2.9M
346 BJ's Restaurants Inc BJRI 0.10% 44.66K $2.9M
347 ICF International Inc ICFI 0.10% 32.93K $2.9M
348 National Energy Services Reunited Corp NESR 0.10% 86.88K $2.9M
349 Reddit Inc RDDT 0.10% 17.78K $2.9M
350 Sunstone Hotel Investors Inc SHO 0.10% 254.08K $2.9M
351 Replimune Group Inc REPL 0.10% 182.46K $2.9M
352 SPS Commerce Inc SPSC 0.10% 35.72K $2.9M
353 Ligand Pharmaceuticals Inc LGND 0.10% 10.19K $2.9M
354 Cohen & Steers Inc CNS 0.10% 34.56K $2.9M
355 Tandem Diabetes Care Inc TNDM 0.10% 132.88K $2.9M
356 Urban Edge Properties UE 0.10% 131.79K $2.9M
357 Alarm.com Holdings Inc ALRM 0.10% 50.26K $2.9M
358 Kymera Therapeutics Inc KYMR 0.10% 22.43K $2.8M
359 H2O America HTO 0.10% 44.47K $2.8M
360 Buckle Inc/The BKE 0.10% 64.70K $2.8M
361 Newmark Group Inc NMRK 0.10% 174.77K $2.8M
362 Benchmark Electronics Inc BHE 0.10% 38.89K $2.8M
363 WaFd Inc WAFD 0.10% 77.13K $2.8M
364 Select Water Solutions Inc WTTR 0.10% 146.94K $2.8M
365 Expro Ltd XPRO 0.10% 157.34K $2.8M
366 Edgewell Personal Care Co EPC 0.10% 95.71K $2.8M
367 Trinity Industries Inc TRN 0.10% 93.54K $2.8M
368 Choice Hotels International Inc CHH 0.10% 25.09K $2.8M
369 Praxis Precision Medicines Inc PRAX 0.10% 7.41K $2.7M
370 Otter Tail Corp OTTR 0.09% 29.68K $2.7M
371 Coty Inc COTY 0.09% 1.01M $2.7M
372 Perdoceo Education Corp PRDO 0.09% 80.67K $2.7M
373 CNA Financial Corp CNA 0.09% 54.63K $2.7M
374 Greif Inc GEF 0.09% 31.50K $2.7M
375 Calix Inc CALX 0.09% 66.85K $2.7M
376 Progyny Inc PGNY 0.09% 102.94K $2.7M
377 Waystar Holding Corp WAY 0.09% 109.23K $2.6M
378 Insulet Corp PODD 0.09% 18.48K $2.6M
379 JFrog Ltd FROG 0.09% 29.49K $2.6M
380 Herbalife Ltd HLF 0.09% 203.54K $2.6M
381 J & J Snack Foods Corp JJSF 0.09% 29.40K $2.6M
382 Varonis Systems Inc VRNS 0.09% 64.21K $2.6M
383 Adaptive Biotechnologies Corp ADPT 0.09% 99.79K $2.6M
384 Bancorp Inc/The TBBK 0.09% 39.05K $2.6M
385 Pediatrix Medical Group Inc MD 0.09% 96.88K $2.6M
386 Greenbrier Cos Inc/The GBX 0.09% 56.13K $2.6M
387 Preformed Line Products Co PLPC 0.09% 6.28K $2.6M
388 California Water Service Group CWT 0.09% 50.96K $2.6M
389 First Busey Corp BUSE 0.09% 86.00K $2.6M
390 Veracyte Inc VCYT 0.09% 58.51K $2.6M
391 Interparfums Inc IPAR 0.09% 22.07K $2.6M
392 Ambarella Inc AMBA 0.09% 36.34K $2.6M
393 Coursera Inc COUR 0.09% 415.28K $2.6M
394 Provident Financial Services Inc PFS 0.09% 109.18K $2.6M
395 VSE Corp VSEC 0.09% 11.72K $2.6M
396 Federal Agricultural Mortgage Corp AGM 0.09% 11.60K $2.5M
397 Simply Good Foods Co/The SMPL 0.09% 231.84K $2.5M
398 Ideaya Biosciences Inc IDYA 0.09% 59.15K $2.5M
399 Badger Meter Inc BMI 0.09% 18.35K $2.5M
400 FB Financial Corp FBK 0.09% 43.61K $2.5M
401 Innospec Inc IOSP 0.09% 26.36K $2.5M
402 ZoomInfo Technologies Inc ZI 0.09% 644.33K $2.5M
403 Xenia Hotels & Resorts Inc XHR 0.09% 126.25K $2.5M
404 National Health Investors Inc NHI 0.09% 33.66K $2.5M
405 Cytokinetics Inc CYTK 0.09% 31.81K $2.5M
406 Live Nation Entertainment Inc LYV 0.09% 13.16K $2.5M
407 Ingevity Corp NGVT 0.09% 35.59K $2.5M
408 Blackbaud Inc BLKB 0.09% 51.69K $2.5M
409 Talen Energy Corp TLN 0.09% 7.95K $2.4M
410 Alamo Group Inc ALG 0.09% 15.08K $2.4M
411 Brady Corp BRC 0.09% 26.07K $2.4M
412 DHT Holdings Inc DHT 0.09% 126.84K $2.4M
413 MarineMax Inc HZO 0.09% 46.54K $2.4M
414 SiTime Corp SITM 0.08% 4.08K $2.4M
415 Spyre Therapeutics Inc SYRE 0.08% 22.59K $2.4M
416 AAON Inc AAON 0.08% 31.80K $2.4M
417 Gitlab Inc GTLB 0.08% 58.11K $2.4M
418 TG Therapeutics Inc TGTX 0.08% 43.60K $2.4M
419 Howard Hughes Holdings Inc HHH 0.08% 36.04K $2.4M
420 TriMas Corp TRS 0.08% 60.62K $2.4M
421 Four Corners Property Trust Inc FCPT 0.08% 94.86K $2.4M
422 Chesapeake Utilities Corp CPK 0.08% 17.79K $2.4M
423 Dynex Capital Inc DX 0.08% 184.56K $2.4M
424 BlackLine Inc BL 0.08% 75.91K $2.4M
425 Ellington Financial Inc EFC 0.08% 176.31K $2.4M
426 Alumis Inc ALMS 0.08% 99.86K $2.4M
427 Tenable Holdings Inc TENB 0.08% 72.96K $2.4M
428 Sonic Automotive Inc SAH 0.08% 31.05K $2.4M
429 AtriCure Inc ATRC 0.08% 49.06K $2.4M
430 nCino Inc NCNO 0.08% 114.70K $2.4M
431 Banner Corp BANR 0.08% 33.88K $2.4M
432 Perimeter Solutions Inc PRM 0.08% 75.71K $2.4M
433 Kratos Defense & Security Solutions Inc KTOS 0.08% 45.01K $2.4M
434 International Bancshares Corp IBOC 0.08% 33.40K $2.4M
435 RadNet Inc RDNT 0.08% 30.73K $2.4M
436 Strategic Education Inc STRA 0.08% 27.43K $2.4M
437 Millrose Properties Inc MRP 0.08% 76.09K $2.4M
438 Triumph Financial Inc TFIN 0.08% 32.01K $2.4M
439 Photronics Inc PLAB 0.08% 80.04K $2.3M
440 McGrath RentCorp MGRC 0.08% 20.43K $2.3M
441 Bentley Systems Inc BSY 0.08% 63.25K $2.3M
442 SoFi Technologies Inc SOFI 0.08% 122.69K $2.3M
443 Pacira BioSciences Inc PCRX 0.08% 91.29K $2.3M
444 Omnicell Inc OMCL 0.08% 69.86K $2.3M
445 Green Brick Partners Inc GRBK 0.08% 31.49K $2.3M
446 Helix Energy Solutions Group Inc HLX 0.08% 231.28K $2.3M
447 Butterfly Network Inc BFLY 0.08% 253.16K $2.3M
448 Global Net Lease Inc GNL 0.08% 246.74K $2.3M
449 Surgery Partners Inc SGRY 0.08% 161.36K $2.3M
450 Enact Holdings Inc ACT 0.08% 45.71K $2.3M
451 National HealthCare Corp NHC 0.08% 10.08K $2.3M
452 Vicor Corp VICR 0.08% 11.62K $2.3M
453 Integra LifeSciences Holdings Corp IART 0.08% 134.66K $2.3M
454 Bel Fuse Inc BELFB 0.08% 9.04K $2.3M
455 WD-40 Co WDFC 0.08% 10.53K $2.3M
456 PJT Partners Inc PJT 0.08% 12.92K $2.3M
457 Scholastic Corp SCHL 0.08% 54.85K $2.2M
458 InvenTrust Properties Corp IVT 0.08% 68.79K $2.2M
459 Warner Music Group Corp WMG 0.08% 80.05K $2.2M
460 StandardAero Inc SARO 0.08% 89.93K $2.2M
461 Flywire Corp FLYW 0.08% 116.50K $2.2M
462 Healthcare Services Group Inc HCSG 0.08% 97.54K $2.2M
463 Vir Biotechnology Inc VIR 0.08% 208.81K $2.2M
464 LTC Properties Inc LTC 0.08% 54.91K $2.2M
465 Interface Inc TILE 0.08% 57.32K $2.2M
466 NETSTREIT Corp NTST 0.08% 108.12K $2.2M
467 Argan Inc AGX 0.08% 4.94K $2.2M
468 Central Garden & Pet Co CENTA 0.08% 58.17K $2.2M
469 Adeia Inc ADEA 0.08% 81.51K $2.2M
470 Innovative Industrial Properties Inc IIPR 0.08% 38.22K $2.2M
471 IES Holdings Inc IESC 0.08% 7.01K $2.2M
472 Erasca Inc ERAS 0.08% 123.41K $2.2M
473 Albany International Corp AIN 0.08% 37.65K $2.2M
474 Dyne Therapeutics Inc DYN 0.08% 82.92K $2.2M
475 Astronics Corp ATRO 0.08% 29.18K $2.2M
476 Astrana Health Inc AMEH 0.08% 57.49K $2.2M
477 Planet Fitness Inc PLNT 0.08% 41.11K $2.2M
478 Community Financial System Inc CBU 0.08% 34.27K $2.2M
479 G-III Apparel Group Ltd GIII 0.08% 64.79K $2.2M
480 Jack in the Box Inc JACK 0.08% 128.53K $2.1M
481 Innoviva Inc INVA 0.08% 101.32K $2.1M
482 Credo Technology Group Holding Ltd CRDO 0.08% 9.47K $2.1M
483 First Bancorp/Southern Pines NC FBNC 0.08% 33.53K $2.1M
484 Cullinan Therapeutics Inc CGEM 0.08% 93.41K $2.1M
485 Madrigal Pharmaceuticals Inc MDGL 0.07% 4.17K $2.1M
486 A10 Networks Inc ATEN 0.07% 84.85K $2.1M
487 Samsara Inc IOT 0.07% 54.44K $2.1M
488 MP Materials Corp MP 0.07% 35.36K $2.1M
489 Global Ship Lease Inc GSL 0.07% 46.86K $2.1M
490 CECO Environmental Corp CECO 0.07% 30.17K $2.1M
491 Digi International Inc DGII 0.07% 27.86K $2.1M
492 Q2 Holdings Inc QTWO 0.07% 33.03K $2.1M
493 Lucid Group Inc LCID 0.07% 400.36K $2.1M
494 Celldex Therapeutics Inc CLDX 0.07% 51.07K $2.1M
495 Privia Health Group Inc PRVA 0.07% 98.88K $2.1M
496 Golar LNG Ltd GLNG 0.07% 40.23K $2.1M
497 Diebold Nixdorf Inc DBD 0.07% 30.80K $2.1M
498 Schrodinger Inc/United States SDGR 0.07% 103.51K $2.1M
499 OceanFirst Financial Corp OCFC 0.07% 109.71K $2.1M
500 Omeros Corp OMER 0.07% 107.22K $2.1M
501 Leonardo DRS Inc DRS 0.07% 53.96K $2.1M
502 Sotera Health Co SHC 0.07% 105.36K $2.1M
503 Payoneer Global Inc PAYO 0.07% 288.54K $2.1M
504 Hilltop Holdings Inc HTH 0.07% 53.20K $2.0M
505 UL Solutions Inc ULS 0.07% 27.68K $2.0M
506 Virtus Investment Partners Inc VRTS 0.07% 12.30K $2.0M
507 Duolingo Inc DUOL 0.07% 13.94K $2.0M
508 BioCryst Pharmaceuticals Inc BCRX 0.07% 206.38K $2.0M
509 Marqeta Inc MQ 0.07% 124.14K $2.0M
510 First Advantage Corp FA 0.07% 99.57K $2.0M
511 Dine Brands Global Inc DIN 0.07% 56.99K $2.0M
512 Northwest Bancshares Inc NWBI 0.07% 131.94K $2.0M
513 Lindsay Corp LNN 0.07% 17.58K $2.0M
514 Norwegian Cruise Line Holdings Ltd NCLH 0.07% 116.27K $2.0M
515 Stewart Information Services Corp STC 0.07% 28.78K $2.0M
516 Harmony Biosciences Holdings Inc HRMY 0.07% 51.09K $2.0M
517 Zscaler Inc ZS 0.07% 11.81K $2.0M
518 Trustmark Corp TRMK 0.07% 43.11K $2.0M
519 Minerals Technologies Inc MTX 0.07% 27.66K $2.0M
520 Powell Industries Inc POWL 0.07% 10.43K $2.0M
521 Inspire Medical Systems Inc INSP 0.07% 32.42K $2.0M
522 NCR Voyix Corp NCR 0.07% 242.61K $2.0M
523 National Bank Holdings Corp NBHC 0.07% 47.72K $2.0M
524 Ecovyst Inc ECVT 0.07% 194.29K $2.0M
525 Curbline Properties Corp CURB 0.07% 65.30K $2.0M
526 Kura Oncology Inc KURA 0.07% 144.45K $2.0M
527 City Holding Co CHCO 0.07% 13.57K $2.0M
528 Kodiak Sciences Inc KOD 0.07% 49.63K $2.0M
529 Hamilton Lane Inc HLNE 0.07% 18.32K $2.0M
530 World Acceptance Corp WRLD 0.07% 10.06K $1.9M
531 Ingram Micro Holding Corp INGM 0.07% 67.06K $1.9M
532 Arvinas Inc ARVN 0.07% 202.09K $1.9M
533 Pegasystems Inc PEGA 0.07% 56.99K $1.9M
534 Proto Labs Inc PRLB 0.07% 24.93K $1.9M
535 ePlus Inc PLUS 0.07% 22.33K $1.9M
536 Upstart Holdings Inc UPST 0.07% 62.96K $1.9M
537 Seneca Foods Corp SENEA 0.07% 10.07K $1.9M
538 Century Aluminum Co CENX 0.07% 43.37K $1.9M
539 La-Z-Boy Inc LZB 0.07% 59.75K $1.9M
540 Getty Realty Corp GTY 0.07% 56.49K $1.9M
541 AppLovin Corp APP 0.07% 6.09K $1.9M
542 Genco Shipping & Trading Ltd GNK 0.07% 69.21K $1.9M
543 Allient Inc ALNT 0.07% 20.18K $1.9M
544 Tango Therapeutics Inc TNGX 0.07% 75.67K $1.9M
545 First Commonwealth Financial Corp FCF 0.07% 90.31K $1.9M
546 Towne Bank/Portsmouth VA TOWN 0.07% 49.51K $1.9M
547 C3.ai Inc AI 0.07% 190.76K $1.9M
548 Zymeworks Inc ZYME 0.07% 67.79K $1.9M
549 Construction Partners Inc ROAD 0.07% 16.95K $1.9M
550 Park National Corp PRK 0.07% 9.30K $1.9M
551 Oxford Industries Inc OXM 0.06% 50.19K $1.8M
552 Maravai LifeSciences Holdings Inc MRVI 0.06% 203.28K $1.8M
553 Nelnet Inc NNI 0.06% 14.19K $1.8M
554 Mirion Technologies Inc MIR 0.06% 124.14K $1.8M
555 Krystal Biotech Inc KRYS 0.06% 5.10K $1.8M
556 Hovnanian Enterprises Inc HOV 0.06% 14.20K $1.8M
557 Zeta Global Holdings Corp ZETA 0.06% 64.92K $1.8M
558 Beazer Homes USA Inc BZH 0.06% 54.05K $1.8M
559 Atlas Energy Solutions Inc AESI 0.06% 149.09K $1.8M
560 Northwest Natural Holding Co NWN 0.06% 35.80K $1.8M
561 Gibraltar Industries Inc ROCK 0.06% 38.85K $1.8M
562 Blue Owl Capital Inc OWL 0.06% 151.28K $1.8M
563 Comstock Resources Inc CRK 0.06% 125.82K $1.8M
564 Hawkins Inc HWKN 0.06% 15.02K $1.8M
565 Stagwell Inc STGW 0.06% 203.51K $1.8M
566 Planet Labs PBC PL 0.06% 82.05K $1.8M
567 Recursion Pharmaceuticals Inc RXRX 0.06% 496.63K $1.8M
568 Horace Mann Educators Corp HMN 0.06% 34.55K $1.8M
569 LifeStance Health Group Inc LFST 0.06% 143.50K $1.8M
570 First Merchants Corp FRME 0.06% 42.18K $1.8M
571 Harmonic Inc HLIT 0.06% 141.44K $1.7M
572 Fox Factory Holding Corp FOXF 0.06% 81.99K $1.7M
573 QuinStreet Inc QNST 0.06% 86.45K $1.7M
574 Hope Bancorp Inc HOPE 0.06% 125.25K $1.7M
575 BancFirst Corp BANF 0.06% 15.60K $1.7M
576 Evolent Health Inc EVH 0.06% 353.76K $1.7M
577 Calumet Inc CLMT 0.06% 36.64K $1.7M
578 Kforce Inc KFRC 0.06% 29.86K $1.7M
579 CTS Corp CTS 0.06% 30.08K $1.7M
580 Certara Inc CERT 0.06% 209.21K $1.7M
581 Easterly Government Properties Inc DEA 0.06% 67.63K $1.7M
582 Dianthus Therapeutics Inc DNTH 0.06% 15.08K $1.7M
583 Syndax Pharmaceuticals Inc SNDX 0.06% 84.58K $1.7M
584 PagerDuty Inc PD 0.06% 137.46K $1.7M
585 Virgin Galactic Holdings Inc SPCE 0.06% 566.34K $1.7M
586 ARMOUR Residential REIT Inc ARR 0.06% 102.41K $1.7M
587 CRA International Inc CRAI 0.06% 9.74K $1.7M
588 Pathward Financial Inc CASH 0.06% 19.91K $1.7M
589 ScanSource Inc SCSC 0.06% 29.52K $1.7M
590 RPC Inc RES 0.06% 269.36K $1.7M
591 Rocket Lab Corp RKLB 0.06% 24.58K $1.6M
592 Shift4 Payments Inc FOUR 0.06% 34.23K $1.6M
593 Enerpac Tool Group Corp EPAC 0.06% 43.88K $1.6M
594 Kiniksa Pharmaceuticals International Plc KNSA 0.06% 20.31K $1.6M
595 Worthington Enterprises Inc WOR 0.06% 28.41K $1.6M
596 Enterprise Financial Services Corp EFSC 0.06% 25.65K $1.6M
597 National Presto Industries Inc NPK 0.06% 10.36K $1.6M
598 Eagle Bancorp Inc EGBN 0.06% 58.60K $1.6M
599 Dave & Buster's Entertainment Inc PLAY 0.06% 160.81K $1.6M
600 Orchid Island Capital Inc ORC 0.06% 240.94K $1.6M
601 Pacific Biosciences of California Inc PACB 0.06% 1.07M $1.6M
602 Compass Minerals International Inc CMP 0.06% 65.83K $1.6M
603 CorVel Corp CRVL 0.06% 23.06K $1.6M
604 Chewy Inc CHWY 0.06% 65.36K $1.6M
605 Donnelley Financial Solutions Inc DFIN 0.06% 33.76K $1.6M
606 USD Pending Dividends 0.06% 0 $1.6M
607 Monarch Casino & Resort Inc MCRI 0.06% 13.00K $1.6M
608 AeroVironment Inc AVAV 0.06% 10.89K $1.6M
609 Cogent Biosciences Inc COGT 0.06% 43.59K $1.6M
610 Sana Biotechnology Inc SANA 0.06% 390.91K $1.6M
611 Utz Brands Inc UTZ 0.06% 112.41K $1.6M
612 Braze Inc BRZE 0.06% 51.96K $1.6M
613 Monro Inc MNRO 0.06% 114.36K $1.6M
614 Immunovant Inc IMVT 0.06% 36.62K $1.6M
615 MFA Financial Inc MFA 0.06% 179.90K $1.6M
616 Rapid7 Inc RPD 0.06% 131.07K $1.6M
617 Scholar Rock Holding Corp SRRK 0.06% 27.12K $1.6M
618 Astera Labs Inc ALAB 0.06% 5.58K $1.6M
619 MGE Energy Inc MGEE 0.06% 19.94K $1.6M
620 Nuvation Bio Inc NUVB 0.05% 220.87K $1.6M
621 St Joe Co/The JOE 0.05% 22.54K $1.6M
622 TIC Solutions Inc TIC 0.05% 159.30K $1.6M
623 US Physical Therapy Inc USPH 0.05% 20.07K $1.6M
624 Figs Inc FIGS 0.05% 105.44K $1.5M
625 Forward Air Corp FWRD 0.05% 88.90K $1.5M
626 Invesco Government & Agency Portfolio AGPXX 0.05% 1.55M $1.5M
627 GigaCloud Technology Inc GCT 0.05% 29.48K $1.5M
628 Clarivate PLC CLVT 0.05% 711.75K $1.5M
629 Appfolio Inc APPF 0.05% 6.89K $1.5M
630 Bandwidth Inc BAND 0.05% 32.89K $1.5M
631 Apogee Therapeutics Inc APGE 0.05% 11.34K $1.5M
632 NBT Bancorp Inc NBTB 0.05% 29.71K $1.5M
633 Skyward Specialty Insurance Group Inc SKWD 0.05% 26.59K $1.5M
634 Hims & Hers Health Inc HIMS 0.05% 47.65K $1.5M
635 Papa John's International Inc PZZA 0.05% 62.72K $1.5M
636 Upwork Inc UPWK 0.05% 172.49K $1.5M
637 Carvana Co CVNA 0.05% 19.80K $1.5M
638 Corsair Gaming Inc CRSR 0.05% 126.08K $1.5M
639 Novocure Ltd NVCR 0.05% 84.46K $1.5M
640 Hillman Solutions Corp HLMN 0.05% 183.06K $1.5M
641 UFP Technologies Inc UFPT 0.05% 4.88K $1.5M
642 Innovex International Inc INVX 0.05% 51.77K $1.5M
643 ServiceTitan Inc TTAN 0.05% 16.04K $1.5M
644 ConnectOne Bancorp Inc CNOB 0.05% 45.92K $1.5M
645 3D Systems Corp DDD 0.05% 455.80K $1.5M
646 USA TODAY Co Inc TDAY 0.05% 225.97K $1.5M
647 Marten Transport Ltd MRTN 0.05% 100.92K $1.5M
648 ADTRAN Holdings Inc ADTN 0.05% 181.73K $1.5M
649 QCR Holdings Inc QCRH 0.05% 14.54K $1.5M
650 Krispy Kreme Inc DNUT 0.05% 408.17K $1.5M
651 Employers Holdings Inc EIG 0.05% 29.72K $1.5M
652 Firstsun Capital Bancorp FSUN 0.05% 35.98K $1.4M
653 Revolve Group Inc RVLV 0.05% 62.07K $1.4M
654 Bank First Corp BFC 0.05% 9.43K $1.4M
655 SunCoke Energy Inc SXC 0.05% 147.71K $1.4M
656 Smithfield Foods Inc SFD 0.05% 64.71K $1.4M
657 Cars.com Inc CARS 0.05% 116.49K $1.4M
658 Cerence Inc CRNC 0.05% 179.11K $1.4M
659 QuantumScape Corp QS 0.05% 246.47K $1.4M
660 NETGEAR Inc NTGR 0.05% 67.05K $1.4M
661 Dime Commercial Bancshares Inc DCOM 0.05% 35.41K $1.4M
662 IDT Corp IDT 0.05% 20.59K $1.4M
663 Live Oak Bancshares Inc LOB 0.05% 35.70K $1.4M
664 Arcturus Therapeutics Holdings Inc ARCT 0.05% 92.00K $1.4M
665 Eastman Kodak Co KODK 0.05% 149.89K $1.4M
666 Stock Yards Bancorp Inc SYBT 0.05% 17.61K $1.4M
667 Ginkgo Bioworks Holdings Inc DNA 0.05% 186.88K $1.4M
668 Walker & Dunlop Inc WD 0.05% 34.62K $1.4M
669 Doximity Inc DOCS 0.05% 56.87K $1.4M
670 Genius Sports Ltd GENI 0.05% 175.05K $1.4M
671 Ryan Specialty Holdings Inc RYAN 0.05% 31.64K $1.4M
672 Tennant Co TNC 0.05% 19.83K $1.4M
673 Rubrik Inc RBRK 0.05% 14.97K $1.4M
674 Caleres Inc CAL 0.05% 105.75K $1.4M
675 Rhythm Pharmaceuticals Inc RYTM 0.05% 12.17K $1.4M
676 Quanex Building Products Corp NX 0.05% 69.01K $1.4M
677 QXO Inc QXO 0.05% 99.30K $1.4M
678 Rocket Cos Inc RKT 0.05% 95.77K $1.4M
679 Edgewise Therapeutics Inc EWTX 0.05% 30.83K $1.4M
680 4D Molecular Therapeutics Inc FDMT 0.05% 86.44K $1.4M
681 Birkenstock Holding Plc BIRK 0.05% 37.92K $1.3M
682 Origin Bancorp Inc OBK 0.05% 25.29K $1.3M
683 Inhibrx Biosciences Inc INBX 0.05% 10.87K $1.3M
684 Stepan Co SCL 0.05% 21.51K $1.3M
685 Figma Inc FIG 0.05% 48.62K $1.3M
686 Mirum Pharmaceuticals Inc MIRM 0.05% 13.37K $1.3M
687 Ryerson Holding Corp RYZ 0.05% 53.02K $1.3M
688 Castle Biosciences Inc CSTL 0.05% 37.25K $1.3M
689 Apogee Enterprises Inc APOG 0.05% 31.40K $1.3M
690 PubMatic Inc PUBM 0.05% 78.26K $1.3M
691 PennyMac Mortgage Investment Trust PMT 0.05% 139.31K $1.3M
692 Wingstop Inc WING 0.05% 11.36K $1.3M
693 S&T Bancorp Inc STBA 0.05% 25.80K $1.3M
694 Arcutis Biotherapeutics Inc ARQT 0.05% 51.86K $1.3M
695 Mission Produce Inc AVO 0.05% 98.84K $1.3M
696 Cogent Communications Holdings Inc CCOI 0.05% 130.06K $1.3M
697 Gentherm Inc THRM 0.04% 32.02K $1.3M
698 Merchants Bancorp/IN MBIN 0.04% 23.95K $1.3M
699 Viridian Therapeutics Inc VRDN 0.04% 52.90K $1.3M
700 American Assets Trust Inc AAT 0.04% 55.38K $1.3M
701 Piedmont Realty Trust Inc PDM 0.04% 129.04K $1.3M
702 NPK International Inc NPKI 0.04% 97.05K $1.3M
703 Allogene Therapeutics Inc ALLO 0.04% 588.36K $1.3M
704 Ameresco Inc AMRC 0.04% 57.85K $1.3M
705 UMH Properties Inc UMH 0.04% 76.91K $1.3M
706 Universal Insurance Holdings Inc UVE 0.04% 29.29K $1.3M
707 Lakeland Financial Corp LKFN 0.04% 21.26K $1.3M
708 Brandywine Realty Trust BDN 0.04% 385.84K $1.3M
709 Vishay Precision Group Inc VPG 0.04% 19.58K $1.3M
710 Diversified Healthcare Trust DHC 0.04% 155.92K $1.3M
711 Pagaya Technologies Ltd PGY 0.04% 56.34K $1.3M
712 Forum Energy Technologies Inc FET 0.04% 16.34K $1.3M
713 Alpha & Omega Semiconductor Ltd AOSL 0.04% 46.89K $1.2M
714 Rocket Pharmaceuticals Inc RCKT 0.04% 329.49K $1.2M
715 Palomar Holdings Inc PLMR 0.04% 9.45K $1.2M
716 Preferred Bank/Los Angeles CA PFBC 0.04% 12.02K $1.2M
717 Deluxe Corp DLX 0.04% 51.88K $1.2M
718 Amphastar Pharmaceuticals Inc AMPH 0.04% 56.47K $1.2M
719 Peoples Bancorp Inc/OH PEBO 0.04% 31.37K $1.2M
720 Shoals Technologies Group Inc SHLS 0.04% 179.92K $1.2M
721 Amplitude Inc AMPL 0.04% 94.53K $1.2M
722 F&G Annuities & Life Inc FG 0.04% 53.22K $1.2M
723 Metropolitan Bank Holding Corp MCB 0.04% 13.50K $1.2M
724 Vita Coco Co Inc/The COCO 0.04% 19.23K $1.2M
725 AnaptysBio Inc ANAB 0.04% 20.91K $1.2M
726 nLight Inc LASR 0.04% 28.19K $1.2M
727 Worthington Steel Inc WS 0.04% 35.81K $1.2M
728 Green Dot Corp GDOT 0.04% 90.62K $1.2M
729 Shake Shack Inc SHAK 0.04% 16.39K $1.2M
730 1st Source Corp SRCE 0.04% 14.10K $1.2M
731 Smith & Wesson Brands Inc SWBI 0.04% 89.44K $1.2M
732 Weis Markets Inc WMK 0.04% 16.98K $1.2M
733 Westamerica BanCorp WABC 0.04% 20.77K $1.2M
734 Ironwood Pharmaceuticals Inc IRWD 0.04% 273.71K $1.2M
735 Workiva Inc WK 0.04% 16.11K $1.2M
736 Xometry Inc XMTR 0.04% 13.61K $1.2M
737 Agilysys Inc AGYS 0.04% 10.38K $1.2M
738 PDF Solutions Inc PDFS 0.04% 26.79K $1.2M
739 Bristow Group Inc VTOL 0.04% 25.73K $1.2M
740 Camping World Holdings Inc CWH 0.04% 181.79K $1.2M
741 Portillo's Inc PTLO 0.04% 240.92K $1.2M
742 Honest Co Inc/The HNST 0.04% 210.50K $1.2M
743 Geron Corp GERN 0.04% 746.65K $1.2M
744 HCI Group Inc HCI 0.04% 6.23K $1.2M
745 Trupanion Inc TRUP 0.04% 36.21K $1.2M
746 American Public Education Inc APEI 0.04% 24.93K $1.2M
747 Joby Aviation Inc JOBY 0.04% 159.24K $1.1M
748 PAR Technology Corp PAR 0.04% 59.10K $1.1M
749 Old Second Bancorp Inc OSBC 0.04% 45.38K $1.1M
750 BlueLinx Holdings Inc BXC 0.04% 13.68K $1.1M
751 Cava Group Inc CAVA 0.04% 16.43K $1.1M
752 First Watch Restaurant Group Inc FWRG 0.04% 87.36K $1.1M
753 Navigator Holdings Ltd NVGS 0.04% 51.16K $1.1M
754 Mesa Laboratories Inc MLAB 0.04% 8.89K $1.1M
755 Safety Insurance Group Inc SAFT 0.04% 10.89K $1.1M
756 B&G Foods Inc BGS 0.04% 318.92K $1.1M
757 Myers Industries Inc MYE 0.04% 34.26K $1.1M
758 Intapp Inc INTA 0.04% 27.46K $1.1M
759 Clear Secure Inc YOU 0.04% 24.99K $1.1M
760 Collegium Pharmaceutical Inc COLL 0.04% 40.26K $1.1M
761 Archer Aviation Inc ACHR 0.04% 185.55K $1.1M
762 BrightView Holdings Inc BV 0.04% 98.33K $1.1M
763 Sunrun Inc RUN 0.04% 119.20K $1.1M
764 Array Digital Infrastructure Inc USM 0.04% 30.55K $1.1M
765 Chime Financial Inc CHYM 0.04% 33.02K $1.1M
766 Aspen Aerogels Inc ASPN 0.04% 208.31K $1.1M
767 indie Semiconductor Inc INDI 0.04% 274.57K $1.1M
768 AngioDynamics Inc ANGO 0.04% 68.15K $1.1M
769 National Beverage Corp FIZZ 0.04% 32.53K $1.1M
770 Amalgamated Financial Corp AMAL 0.04% 22.29K $1.1M
771 Tecnoglass Holdings Inc TGLS 0.04% 26.58K $1.1M
772 OFG Bancorp OFG 0.04% 20.59K $1.1M
773 Ladder Capital Corp LADR 0.04% 106.64K $1.1M
774 NWPX Infrastructure Inc NWPX 0.04% 9.60K $1.1M
775 Astec Industries Inc ASTE 0.04% 24.20K $1.1M
776 Byline Bancorp Inc BY 0.04% 27.77K $1.1M
777 Apollo Commercial Real Estate Finance Inc ARI 0.04% 153.78K $1.1M
778 Staar Surgical Co STAA 0.04% 45.42K $1.1M
779 Life360 Inc LIF 0.04% 23.62K $1.1M
780 Magnera Corp MAGN 0.04% 82.48K $1.1M
781 CBL & Associates Properties Inc CBL 0.04% 18.80K $1.0M
782 Viking Therapeutics Inc VKTX 0.04% 30.67K $1.0M
783 Liquidity Services Inc LQDT 0.04% 24.27K $1.0M
784 Douglas Dynamics Inc PLOW 0.04% 25.07K $1.0M
785 Hamilton Insurance Group Ltd HG 0.04% 29.80K $1.0M
786 BioLife Solutions Inc BLFS 0.04% 27.88K $1.0M
787 Middlesex Water Co MSEX 0.04% 17.66K $1.0M
788 REX American Resources Corp REX 0.04% 24.95K $1.0M
789 Empire State Realty Trust Inc ESRT 0.04% 216.19K $1.0M
790 IHS Holding Ltd IHS 0.04% 123.09K $1.0M
791 Madison Square Garden Sports Corp MSGS 0.04% 2.52K $1.0M
792 Kinetik Holdings Inc KNTK 0.04% 18.92K $1.0M
793 Klaviyo Inc KVYO 0.04% 58.18K $1.0M
794 Annexon Inc ANNX 0.04% 198.34K $1.0M
795 Axogen Inc AXGN 0.04% 20.42K $1.0M
796 Investors Title Co ITIC 0.04% 3.35K $1.0M
797 Amerant Bancorp Inc AMTB 0.04% 35.49K $1.0M
798 ANI Pharmaceuticals Inc ANIP 0.04% 13.37K $1.0M
799 Bumble Inc BMBL 0.04% 354.39K $1.0M
800 Driven Brands Holdings Inc DRVN 0.04% 76.21K $1.0M
801 Gorman-Rupp Co/The GRC 0.04% 13.03K $1.0M
802 Phreesia Inc PHR 0.03% 86.67K $998.5K
803 CEVA Inc CEVA 0.03% 36.85K $998.0K
804 SiriusPoint Ltd SPNT 0.03% 41.44K $992.8K
805 CryoPort Inc CYRX 0.03% 59.11K $988.3K
806 Build-A-Bear Workshop Inc BBW 0.03% 25.07K $986.8K
807 Axsome Therapeutics Inc AXSM 0.03% 4.79K $984.9K
808 Wabash National Corp WNC 0.03% 79.34K $984.6K
809 Daktronics Inc DAKT 0.03% 51.45K $983.1K
810 Riley Exploration Permian Inc REPX 0.03% 26.23K $980.1K
811 Ethan Allen Interiors Inc ETD 0.03% 41.19K $978.7K
812 Asana Inc ASAN 0.03% 103.66K $978.6K
813 Atlanta Braves Holdings Inc BATRK 0.03% 18.42K $975.9K
814 Appian Corp APPN 0.03% 24.66K $975.8K
815 BRC Group Holdings Inc RILY 0.03% 135.10K $975.4K
816 Ouster Inc OUST 0.03% 26.92K $975.2K
817 Capitol Federal Financial Inc CFFN 0.03% 114.08K $974.2K
818 Intrepid Potash Inc IPI 0.03% 25.69K $971.2K
819 Sturm Ruger & Co Inc RGR 0.03% 25.28K $970.6K
820 Sprout Social Inc SPT 0.03% 90.57K $968.2K
821 Ardagh Metal Packaging SA AMBP 0.03% 182.59K $965.9K
822 Centuri Holdings Inc CTRI 0.03% 46.41K $964.8K
823 Alexander's Inc ALX 0.03% 3.56K $963.7K
824 Arlo Technologies Inc ARLO 0.03% 72.22K $962.0K
825 Turning Point Brands Inc TPB 0.03% 11.17K $958.7K
826 Yext Inc YEXT 0.03% 145.39K $956.7K
827 EverQuote Inc EVER 0.03% 35.62K $956.5K
828 Columbus McKinnon Corp/NY CMCO 0.03% 53.64K $954.3K
829 Solid Biosciences Inc SLDB 0.03% 96.47K $954.1K
830 HealthStream Inc HSTM 0.03% 33.02K $953.1K
831 Koppers Holdings Inc KOP 0.03% 20.39K $940.7K
832 REGENXBIO Inc RGNX 0.03% 105.25K $937.8K
833 Custom Truck One Source Inc CTOS 0.03% 97.03K $936.4K
834 Petco Health & Wellness Co Inc WOOF 0.03% 338.07K $933.1K
835 Sprinklr Inc CXM 0.03% 124.45K $929.7K
836 First Tracks Biotherapeutics Inc TRAX 0.03% 20.61K $929.6K
837 PRA Group Inc PRAA 0.03% 47.20K $928.9K
838 Stitch Fix Inc SFIX 0.03% 292.85K $928.3K
839 Mitek Systems Inc MITK 0.03% 51.46K $927.3K
840 Oil States International Inc OIS 0.03% 110.53K $926.3K
841 Stoke Therapeutics Inc STOK 0.03% 27.66K $925.4K
842 Genesco Inc GCO 0.03% 27.47K $923.7K
843 KKR Real Estate Finance Trust Inc KREF 0.03% 121.00K $919.6K
844 Gray Media Inc GTN 0.03% 182.84K $917.9K
845 Aclaris Therapeutics Inc ACRS 0.03% 140.30K $916.9K
846 Centerspace CSR 0.03% 16.99K $916.0K
847 XPEL Inc XPEL 0.03% 18.18K $913.2K
848 Vitesse Energy Inc VTS 0.03% 53.45K $908.1K
849 Grid Dynamics Holdings Inc GDYN 0.03% 115.04K $905.4K
850 W&T Offshore Inc WTI 0.03% 251.21K $904.4K
851 Strategy Inc MSTR 0.03% 7.13K $903.9K
852 Sweetgreen Inc SG 0.03% 130.78K $902.3K
853 Marcus Corp/The MCS 0.03% 29.90K $902.1K
854 OneSpan Inc OSPN 0.03% 58.45K $899.6K
855 Adamas Trust Inc ADAM 0.03% 91.40K $899.4K
856 Frontier Group Holdings Inc ULCC 0.03% 150.33K $897.5K
857 LeMaitre Vascular Inc LMAT 0.03% 11.33K $894.6K
858 Heartland Express Inc HTLD 0.03% 72.43K $890.2K
859 Northeast Bank NBN 0.03% 6.97K $888.9K
860 NerdWallet Inc NRDS 0.03% 87.73K $887.8K
861 Warby Parker Inc WRBY 0.03% 33.90K $881.4K
862 United Fire Group Inc UFCS 0.03% 16.47K $881.4K
863 Marcus & Millichap Inc MMI 0.03% 27.16K $880.0K
864 Phibro Animal Health Corp PAHC 0.03% 24.43K $877.7K
865 Gladstone Commercial Corp GOOD 0.03% 66.54K $873.1K
866 Oppenheimer Holdings Inc OPY 0.03% 7.51K $869.0K
867 C4 Therapeutics Inc CCCC 0.03% 206.53K $867.4K
868 ORIC Pharmaceuticals Inc ORIC 0.03% 62.64K $866.3K
869 Dream Finders Homes Inc DFH 0.03% 56.47K $864.5K
870 Rayonier Advanced Materials Inc RYAM 0.03% 100.14K $862.2K
871 Paymentus Holdings Inc PAY 0.03% 21.91K $862.0K
872 Hanmi Financial Corp HAFC 0.03% 27.83K $861.5K
873 Global Business Travel Group I GBTG 0.03% 90.85K $860.3K
874 Safehold Inc SAFE 0.03% 55.52K $860.0K
875 Lovesac Co/The LOVE 0.03% 53.93K $858.6K
876 Metallus Inc MTUS 0.03% 44.21K $852.8K
877 Transcat Inc TRNS 0.03% 9.66K $852.2K
878 Liberty Capital Corp GLBKV 0.03% 32.32K $852.2K
879 Legalzoom.com Inc LZ 0.03% 145.14K $852.0K
880 NIQ Global Intelligence Plc NIQ 0.03% 44.23K $851.1K
881 Heritage Financial Corp/WA HFWA 0.03% 29.57K $850.6K
882 Impinj Inc PI 0.03% 5.12K $850.2K
883 MeiraGTx Holdings plc MGTX 0.03% 56.88K $848.6K
884 Barrett Business Services Inc BBSI 0.03% 25.10K $848.3K
885 Methode Electronics Inc MEI 0.03% 52.72K $846.1K
886 Nextdoor Holdings Inc NXDR 0.03% 354.00K $846.1K
887 Vericel Corp VCEL 0.03% 19.50K $842.6K
888 EVERTEC Inc EVTC 0.03% 28.03K $838.5K
889 ACV Auctions Inc ACVA 0.03% 115.02K $837.3K
890 TFS Financial Corp TFSL 0.03% 46.86K $833.7K
891 German American Bancorp Inc GABC 0.03% 16.78K $832.8K
892 Fulgent Genetics Inc FLGT 0.03% 41.72K $832.3K
893 Varex Imaging Corp VREX 0.03% 44.99K $832.3K
894 Funko Inc FNKO 0.03% 123.62K $832.0K
895 AdaptHealth Corp AHCO 0.03% 151.40K $829.7K
896 BKV Corp BKV 0.03% 34.31K $824.7K
897 Consensus Cloud Solutions Inc CCSI 0.03% 21.13K $822.9K
898 VAALCO Energy Inc EGY 0.03% 143.67K $821.8K
899 Washington Trust Bancorp Inc WASH 0.03% 20.77K $821.7K
900 Malibu Boats Inc MBUU 0.03% 28.83K $820.4K
901 GoodRx Holdings Inc GDRX 0.03% 236.02K $820.2K
902 LSB Industries Inc LXU 0.03% 79.78K $820.1K
903 Horizon Bancorp Inc/IN HBNC 0.03% 41.94K $820.0K
904 Shoe Station Group Inc SCVL 0.03% 57.19K $818.4K
905 Franklin BSP Realty Trust Inc FBRT 0.03% 96.41K $817.5K
906 Enviri Corp NVRI 0.03% 37.78K $816.9K
907 Orrstown Financial Services Inc ORRF 0.03% 19.52K $816.3K
908 Navitas Semiconductor Corp NVTS 0.03% 65.60K $816.0K
909 Alkami Technology Inc ALKT 0.03% 40.43K $813.9K
910 IonQ Inc IONQ 0.03% 19.30K $811.7K
911 Sinclair Inc SBGI 0.03% 55.14K $810.6K
912 TriCo Bancshares TCBK 0.03% 15.04K $810.5K
913 Diversified Energy Co DEC 0.03% 55.06K $807.7K
914 PC Connection Inc CNXN 0.03% 10.15K $805.4K
915 Janus International Group Inc JBI 0.03% 159.19K $803.9K
916 CTO Realty Growth Inc CTO 0.03% 36.61K $803.5K
917 Atlanticus Holdings Corp ATLC 0.03% 8.55K $802.9K
918 Ramaco Resources Inc METC 0.03% 62.10K $802.4K
919 Loar Holdings Inc LOAR 0.03% 10.92K $798.5K
920 Central Pacific Financial Corp CPF 0.03% 21.21K $798.2K
921 NB Bancorp Inc NBBK 0.03% 35.57K $797.9K
922 Oil-Dri Corp of America ODC 0.03% 8.69K $797.0K
923 Target Hospitality Corp TH 0.03% 45.81K $796.7K
924 Pennant Group Inc/The PNTG 0.03% 20.69K $791.5K
925 Mativ Holdings Inc SWM 0.03% 64.07K $791.3K
926 Solaris Energy Infrastructure Inc SEI 0.03% 14.96K $791.2K
927 Univest Financial Corp UVSP 0.03% 19.06K $791.1K
928 Tootsie Roll Industries Inc TR 0.03% 19.11K $790.9K
929 Ardmore Shipping Corp ASC 0.03% 43.93K $790.3K
930 AH Realty Trust Inc AHRT 0.03% 116.30K $789.7K
931 OneSpaWorld Holdings Ltd OSW 0.03% 29.86K $784.2K
932 Ferroglobe PLC GSM 0.03% 195.00K $782.0K
933 Cimpress PLC CMPR 0.03% 8.89K $781.3K
934 Clear Channel Outdoor Holdings Inc CCO 0.03% 327.16K $778.6K
935 Strattec Security Corp STRT 0.03% 9.80K $774.6K
936 Super Group SGHC Ltd SGHC 0.03% 55.45K $773.6K
937 Olema Pharmaceuticals Inc OLMA 0.03% 70.88K $773.3K
938 AMC Global Media Inc AMCX 0.03% 60.05K $771.7K
939 Financial Institutions Inc FISI 0.03% 18.98K $771.1K
940 Service Properties Trust SVC 0.03% 96.73K $770.0K
941 Lemonade Inc LMND 0.03% 14.12K $768.6K
942 GeneDx Holdings Corp WGS 0.03% 8.75K $764.8K
943 BellRing Brands Inc BRBR 0.03% 71.06K $764.6K
944 Ubiquiti Inc UI 0.03% 1.33K $764.1K
945 Heritage Insurance Holdings Inc HRTG 0.03% 22.34K $763.9K
946 Hingham Institution For Savings The HIFS 0.03% 2.51K $756.3K
947 Lexicon Pharmaceuticals Inc LXRX 0.03% 322.70K $755.1K
948 Summit Hotel Properties Inc INN 0.03% 121.69K $754.5K
949 Citi Trends Inc CTRN 0.03% 10.82K $754.3K
950 GCM Grosvenor Inc GCMG 0.03% 55.65K $752.3K
951 Community Health Systems Inc CYH 0.03% 253.31K $752.3K
952 John B Sanfilippo & Son Inc JBSS 0.03% 10.05K $752.3K
953 Sabre Corp SABR 0.03% 332.10K $750.6K
954 TrustCo Bank Corp NY TRST 0.03% 13.07K $743.8K
955 fuboTV Inc FUBO 0.03% 67.86K $743.1K
956 Ocular Therapeutix Inc OCUL 0.03% 68.16K $741.6K
957 StepStone Group Inc STEP 0.03% 14.88K $740.8K
958 Manitowoc Co Inc/The MTW 0.03% 38.01K $740.3K
959 Stratasys Ltd SSYS 0.03% 93.46K $739.3K
960 Standard Motor Products Inc SMP 0.03% 19.59K $735.1K
961 Baldwin Insurance Group Inc/The BWIN 0.03% 23.67K $731.7K
962 Real REMAX Group Inc REAX 0.03% 25.72K $731.2K
963 Dutch Bros Inc BROS 0.03% 14.20K $725.5K
964 Taysha Gene Therapies Inc TSHA 0.03% 116.99K $725.3K
965 Columbia Financial Inc CLBK 0.03% 62.13K $724.1K
966 Designer Brands Inc DBI 0.03% 130.90K $722.6K
967 Disc Medicine Inc IRON 0.03% 8.76K $722.2K
968 Burke & Herbert Financial Services Corp BHRB 0.03% 10.05K $721.5K
969 Peapack-Gladstone Financial Corp PGC 0.03% 15.91K $718.3K
970 Covenant Logistics Group Inc CVLG 0.03% 20.41K $715.7K
971 Community Trust Bancorp Inc CTBI 0.03% 9.36K $714.5K
972 Artivion Inc AORT 0.03% 27.06K $713.8K
973 LendingTree Inc TREE 0.02% 23.32K $712.8K
974 TETRA Technologies Inc TTI 0.02% 104.96K $710.6K
975 AdvanSix Inc ASIX 0.02% 43.38K $709.7K
976 Cooper-Standard Holding Inc CPS 0.02% 26.50K $706.3K
977 Monte Rosa Therapeutics Inc GLUE 0.02% 48.39K $704.5K
978 MGP Ingredients Inc MGPI 0.02% 39.31K $704.1K
979 Mercantile Bank Corp MBWM 0.02% 11.63K $701.5K
980 Movado Group Inc MOV 0.02% 20.01K $699.8K
981 HighPeak Energy Inc HPK 0.02% 88.81K $698.9K
982 Pursuit Attractions and Hospitality Inc PRSU 0.02% 14.28K $698.8K
983 Redwood Trust Inc RWT 0.02% 147.15K $694.5K
984 Tompkins Financial Corp TMP 0.02% 7.07K $690.9K
985 Miller Industries Inc/TN MLR 0.02% 12.07K $690.2K
986 Ready Capital Corp RC 0.02% 344.53K $685.6K
987 TPG RE Finance Trust Inc TRTX 0.02% 87.86K $685.3K
988 Core Laboratories Inc CLB 0.02% 56.67K $683.4K
989 Tactile Systems Technology Inc TCMD 0.02% 28.97K $683.1K
990 Willdan Group Inc WLDN 0.02% 7.98K $682.2K
991 First Financial Corp THFF 0.02% 8.60K $681.1K
992 Great Southern Bancorp Inc GSBC 0.02% 8.62K $678.4K
993 Dole PLC DOLE 0.02% 50.08K $678.1K
994 Chiron Real Estate Inc GMRE 0.02% 17.97K $676.9K
995 Rigel Pharmaceuticals Inc RIGL 0.02% 14.47K $676.4K
996 Natural Grocers by Vitamin Cottage Inc NGVC 0.02% 23.81K $672.1K
997 Circle Internet Group Inc CRCL 0.02% 7.26K $668.2K
998 Emergent BioSolutions Inc EBS 0.02% 118.39K $667.7K
999 Unitil Corp UTL 0.02% 12.38K $667.1K
1000 Pelagos Insurance Capital Ltd PLGO 0.02% 27.57K $666.0K
1001 Repay Holdings Corp RPAY 0.02% 172.86K $663.8K
1002 Arhaus Inc ARHS 0.02% 74.37K $663.4K
1003 Midland States Bancorp Inc MSBI 0.02% 20.18K $660.1K
1004 Tarsus Pharmaceuticals Inc TARS 0.02% 9.15K $653.8K
1005 Keros Therapeutics Inc KROS 0.02% 55.86K $652.4K
1006 Forestar Group Inc FOR 0.02% 22.46K $650.3K
1007 Definium Therapeutics Inc DFTX 0.02% 14.42K $646.2K
1008 Absci Corp ABSI 0.02% 67.04K $645.6K
1009 ZipRecruiter Inc ZIP 0.02% 148.18K $644.6K
1010 Clearwater Paper Corp CLW 0.02% 29.55K $643.3K
1011 Cadre Holdings Inc CDRE 0.02% 20.42K $640.9K
1012 AGNT Inc EXPI 0.02% 139.94K $638.1K
1013 Northrim BanCorp Inc NRIM 0.02% 24.96K $637.5K
1014 Matthews International Corp MATW 0.02% 29.56K $635.5K
1015 Arbutus Biopharma Corp ABUS 0.02% 122.15K $635.2K
1016 Claritev Corp CTEV 0.02% 16.77K $631.3K
1017 Camden National Corp CAC 0.02% 11.18K $629.9K
1018 Ring Energy Inc REI 0.02% 434.50K $625.7K
1019 Farmland Partners Inc FPI 0.02% 60.65K $622.9K
1020 Savers Value Village Inc SVV 0.02% 57.99K $621.6K
1021 Insteel Industries Inc IIIN 0.02% 20.42K $621.3K
1022 SailPoint Inc SAIL 0.02% 34.71K $620.2K
1023 Perella Weinberg Partners PWP 0.02% 37.33K $618.5K
1024 Smartstop Self Storage REIT Inc SMA 0.02% 18.12K $616.8K
1025 Southern Missouri Bancorp Inc SMBC 0.02% 8.32K $615.8K
1026 CNB Financial Corp/PA CCNE 0.02% 18.10K $613.8K
1027 Ardent Health Inc ARDT 0.02% 53.91K $609.2K
1028 Mid Penn Bancorp Inc MPB 0.02% 16.47K $609.1K
1029 Independent Bank Corp/MI IBCP 0.02% 16.58K $608.8K
1030 Napco Security Technologies Inc NSSC 0.02% 16.69K $608.0K
1031 Wave Life Sciences Inc WVE 0.02% 115.69K $607.4K
1032 AvePoint Inc AVPT 0.02% 46.44K $607.0K
1033 Vanda Pharmaceuticals Inc VNDA 0.02% 111.49K $606.5K
1034 Gevo Inc GEVO 0.02% 357.61K $604.4K
1035 Borr Drilling Ltd BORR 0.02% 135.21K $603.0K
1036 First Mid Bancshares Inc FMBH 0.02% 11.88K $595.7K
1037 IBEX Holdings Ltd IBEX 0.02% 15.99K $594.7K
1038 Janux Therapeutics Inc JANX 0.02% 31.84K $594.7K
1039 SandRidge Energy Inc SD 0.02% 42.72K $593.8K
1040 Cass Information Systems Inc CASS 0.02% 10.35K $593.6K
1041 Savara Inc SVRA 0.02% 105.47K $590.6K
1042 Cable One Inc CABO 0.02% 22.39K $589.7K
1043 Barnes & Noble Education Inc BNED 0.02% 46.76K $589.6K
1044 NexPoint Residential Trust Inc NXRT 0.02% 24.11K $589.2K
1045 Onterris Inc MEG 0.02% 36.82K $589.1K
1046 SI-BONE Inc SIBN 0.02% 30.14K $589.0K
1047 OPKO Health Inc OPK 0.02% 394.86K $588.3K
1048 International Money Express Inc IMXI 0.02% 41.77K $588.1K
1049 Equity Bancshares Inc EQBK 0.02% 11.80K $587.3K
1050 Altimmune Inc ALT 0.02% 183.44K $587.0K
1051 El Pollo Loco Holdings Inc LOCO 0.02% 37.31K $585.4K
1052 Alignment Healthcare Inc ALHC 0.02% 43.00K $584.3K
1053 Carter Bankshares Inc CARE 0.02% 18.53K $582.0K
1054 Celsius Holdings Inc CELH 0.02% 16.43K $580.8K
1055 Fate Therapeutics Inc FATE 0.02% 227.52K $580.2K
1056 Verastem Inc VSTM 0.02% 81.71K $578.5K
1057 United States Lime & Minerals Inc USLM 0.02% 4.84K $576.7K
1058 Amplify Energy Corp AMPY 0.02% 122.68K $572.9K
1059 Ennis Inc EBF 0.02% 26.63K $571.2K
1060 CG oncology Inc CGON 0.02% 7.18K $566.9K
1061 Cytek Biosciences Inc CTKB 0.02% 123.71K $566.6K
1062 Shore Bancshares Inc SHBI 0.02% 24.50K $565.9K
1063 Lincoln Educational Services Corp LINC 0.02% 22.22K $564.7K
1064 Hallador Energy Co HNRG 0.02% 34.45K $563.7K
1065 AMERISAFE Inc AMSF 0.02% 21.46K $561.9K
1066 Biglari Holdings Inc BH 0.02% 1.47K $558.9K
1067 Titan International Inc TWI 0.02% 77.40K $556.5K
1068 Oruka Therapeutics Inc ORKA 0.02% 5.46K $555.4K
1069 Myriad Genetics Inc MYGN 0.02% 174.07K $555.3K
1070 Cabaletta Bio Inc CABA 0.02% 172.32K $554.9K
1071 Republic Bancorp Inc/KY RBCAA 0.02% 5.87K $554.7K
1072 Personalis Inc PSNL 0.02% 32.15K $554.6K
1073 Southside Bancshares Inc SBSI 0.02% 17.33K $553.1K
1074 Park Aerospace Corp PKE 0.02% 16.90K $549.6K
1075 Orion SA OEC 0.02% 92.00K $549.2K
1076 Vertex Inc VERX 0.02% 40.52K $547.8K
1077 Venture Global Inc VG 0.02% 38.88K $547.0K
1078 OrthoPediatrics Corp KIDS 0.02% 22.17K $543.2K
1079 Business First Bancshares Inc BFST 0.02% 17.41K $542.4K
1080 Accel Entertainment Inc ACEL 0.02% 45.45K $540.8K
1081 Postal Realty Trust Inc PSTL 0.02% 23.04K $539.1K
1082 Simulations Plus Inc SLP 0.02% 29.26K $538.1K
1083 Kimball Electronics Inc KE 0.02% 22.59K $531.2K
1084 Farmers National Banc Corp FMNB 0.02% 34.00K $531.1K
1085 Energy Recovery Inc ERII 0.02% 67.65K $531.0K
1086 Enliven Therapeutics Inc ELVN 0.02% 8.61K $525.5K
1087 Willis Lease Finance Corp WLFC 0.02% 9.59K $523.6K
1088 Latham Group Inc SWIM 0.02% 72.74K $519.4K
1089 Gladstone Land Corp LAND 0.02% 59.11K $519.0K
1090 Viper Energy Inc VNOM 0.02% 11.77K $518.5K
1091 Hyliion Holdings Corp HYLN 0.02% 158.92K $514.9K
1092 Chatham Lodging Trust CLDT 0.02% 37.15K $512.3K
1093 Puma Biotechnology Inc PBYI 0.02% 54.97K $512.3K
1094 Procept Biorobotics Corp PRCT 0.02% 23.70K $511.9K
1095 Invesco Mortgage Capital Inc IVR 0.02% 68.26K $507.8K
1096 Ridgepost Capital Inc PX 0.02% 57.39K $506.2K
1097 Community Healthcare Trust Inc CHCT 0.02% 33.62K $505.0K
1098 Shenandoah Telecommunications Co SHEN 0.02% 40.90K $502.2K
1099 Alerus Financial Corp ALRS 0.02% 15.16K $501.4K
1100 Costamare Inc CMRE 0.02% 31.73K $500.4K
1101 Ooma Inc OOMA 0.02% 24.29K $500.2K
1102 TransMedics Group Inc TMDX 0.02% 5.33K $498.5K
1103 Kearny Financial Corp/MD KRNY 0.02% 50.23K $496.7K
1104 Teekay Corp Ltd TK 0.02% 37.12K $495.9K
1105 Global Industrial Co GIC 0.02% 12.47K $494.3K
1106 Slide Insurance Holdings Inc SLDE 0.02% 21.32K $491.5K
1107 Enanta Pharmaceuticals Inc ENTA 0.02% 34.89K $491.2K
1108 Zumiez Inc ZUMZ 0.02% 26.58K $490.4K
1109 Oportun Financial Corp OPRT 0.02% 65.13K $489.1K
1110 LSI Industries Inc LYTS 0.02% 23.40K $483.2K
1111 Theravance Biopharma Inc TBPH 0.02% 28.28K $481.5K
1112 N-able Inc/US NABL 0.02% 127.98K $479.9K
1113 Tiptree Inc TIPT 0.02% 26.03K $479.0K
1114 Clearfield Inc CLFD 0.02% 16.25K $478.5K
1115 Cerus Corp CERS 0.02% 175.37K $477.0K
1116 York Water Co/The YORW 0.02% 13.86K $475.4K
1117 Home Bancorp Inc HBCP 0.02% 6.88K $474.7K
1118 Blend Labs Inc BLND 0.02% 318.81K $471.8K
1119 BrightSpire Capital Inc BRSP 0.02% 96.39K $469.4K
1120 Titan Machinery Inc TITN 0.02% 24.52K $469.0K
1121 Vital Farms Inc VITL 0.02% 41.97K $466.3K
1122 SmartFinancial Inc SMBK 0.02% 9.08K $461.8K
1123 Galaxy Digital Inc GLXY 0.02% 18.58K $460.7K
1124 IRhythm Holdings Inc IRTC 0.02% 3.74K $460.2K
1125 Cricut Inc CRCT 0.02% 78.17K $458.9K
1126 Patria Investments Ltd PAX 0.02% 38.95K $458.8K
1127 GoPro Inc GPRO 0.02% 747.52K $454.8K
1128 ChargePoint Holdings Inc CHPT 0.02% 77.72K $453.9K
1129 Industrial Logistics Properties Trust ILPT 0.02% 54.07K $453.6K
1130 Octave Specialty Group Inc AMBC 0.02% 100.25K $452.1K
1131 Granite Ridge Resources Inc GRNT 0.02% 89.16K $450.3K
1132 Webtoon Entertainment Inc WBTN 0.02% 47.53K $449.2K
1133 Coastal Financial Corp/WA CCB 0.02% 9.52K $448.9K
1134 Carriage Services Inc CSV 0.02% 12.82K $446.1K
1135 Ardelyx Inc ARDX 0.02% 117.74K $445.1K
1136 Verra Mobility Corp VRRM 0.02% 100.14K $443.6K
1137 Array Technologies Inc ARRY 0.02% 97.40K $443.2K
1138 NewtekOne Inc NEWT 0.02% 35.58K $442.9K
1139 Winmark Corp WINA 0.02% 1.27K $442.3K
1140 Zentalis Pharmaceuticals Inc ZNTL 0.02% 113.39K $440.0K
1141 ACCO Brands Corp ACCO 0.02% 103.49K $435.7K
1142 Angi Inc ANGIV 0.02% 88.26K $435.1K
1143 RMR Group Inc/The RMR 0.02% 22.08K $434.4K
1144 Lands' End Inc LE 0.02% 36.08K $431.9K
1145 Orion Group Holdings Inc ORN 0.02% 46.22K $431.2K
1146 Akebia Therapeutics Inc AKBA 0.02% 449.60K $430.9K
1147 Third Coast Bancshares Inc TCBX 0.02% 9.46K $430.0K
1148 Ibotta Inc IBTA 0.02% 11.09K $429.7K
1149 Turtle Beach Corp HEAR 0.01% 33.24K $427.1K
1150 Pangaea Logistics Solutions Ltd PANL 0.01% 50.75K $425.8K
1151 Universal Health Realty Income Trust UHT 0.01% 10.06K $423.8K
1152 Capital City Bank Group Inc CCBG 0.01% 8.29K $423.8K
1153 Five Star Bancorp FSBC 0.01% 9.43K $423.3K
1154 Vera Therapeutics Inc VERA 0.01% 11.97K $422.4K
1155 Haverty Furniture Cos Inc HVT 0.01% 15.45K $420.7K
1156 Ranger Energy Services Inc RNGR 0.01% 26.14K $418.5K
1157 JAKKS Pacific Inc JAKK 0.01% 16.00K $418.3K
1158 OmniAb Inc OABI 0.01% 89.64K $417.7K
1159 Embecta Corp EMBC 0.01% 82.86K $416.8K
1160 Mayville Engineering Co Inc MEC 0.01% 20.28K $415.8K
1161 Solid Power Inc SLDP 0.01% 176.65K $413.3K
1162 South Plains Financial Inc SPFI 0.01% 9.44K $412.5K
1163 Unity Bancorp Inc UNTY 0.01% 7.02K $411.6K
1164 Apartment Investment and Management Co AIV 0.01% 159.13K $410.5K
1165 loanDepot Inc LDI 0.01% 444.01K $410.2K
1166 Rigetti Computing Inc RGTI 0.01% 24.07K $407.7K
1167 ChoiceOne Financial Services Inc COFS 0.01% 12.20K $405.5K
1168 SoundHound AI Inc SOUN 0.01% 57.36K $404.4K
1169 Community West Bancshares CWBC 0.01% 15.53K $403.8K
1170 CoreWeave Inc CRWV 0.01% 4.57K $402.6K
1171 AtaiBeckley Inc ATAI 0.01% 53.97K $401.5K
1172 New Fortress Energy Inc NFE 0.01% 1.39M $397.4K
1173 Bicara Therapeutics Inc BCAX 0.01% 15.99K $393.1K
1174 Editas Medicine Inc EDIT 0.01% 118.73K $389.4K
1175 MasterCraft Boat Holdings Inc MCFT 0.01% 15.74K $389.2K
1176 Goosehead Insurance Inc GSHD 0.01% 5.35K $387.3K
1177 HomeTrust Bancshares Inc HTB 0.01% 8.31K $387.1K
1178 1-800-Flowers.com Inc FLWS 0.01% 98.34K $385.5K
1179 Kronos Worldwide Inc KRO 0.01% 42.74K $380.8K
1180 Rocky Brands Inc RCKY 0.01% 8.45K $380.6K
1181 First Community Bankshares Inc FCBC 0.01% 7.71K $380.3K
1182 Orthofix Medical Inc OFIX 0.01% 39.39K $379.7K
1183 Paysafe Ltd PSFE 0.01% 54.84K $374.0K
1184 Telos Corp TLS 0.01% 85.36K $373.0K
1185 Natural Gas Services Group Inc NGS 0.01% 10.80K $371.2K
1186 Johnson Outdoors Inc JOUT 0.01% 8.10K $370.1K
1187 Safe Bulkers Inc SB 0.01% 42.53K $370.1K
1188 Alvotech SA ALVO 0.01% 73.17K $369.5K
1189 Vor BioPharma Inc VOR 0.01% 15.32K $367.9K
1190 Septerna Inc SEPN 0.01% 8.84K $365.1K
1191 Alector Inc ALEC 0.01% 154.59K $364.8K
1192 Fluence Energy Inc FLNC 0.01% 32.30K $363.1K
1193 Domo Inc DOMO 0.01% 97.37K $362.2K
1194 Mistras Group Inc MG 0.01% 19.06K $362.0K
1195 Hackett Group Inc/The HCKT 0.01% 32.25K $360.8K
1196 Ares Commercial Real Estate Corp ACRE 0.01% 76.18K $360.3K
1197 TaskUS Inc TGNOF 0.01% 45.20K $359.8K
1198 Quantum-Si Inc QSI 0.01% 424.35K $359.6K
1199 Mechanics Bancorp MCHB 0.01% 22.34K $359.5K
1200 TrueBlue Inc TBI 0.01% 33.38K $358.5K
1201 Hyster-Yale Inc HY 0.01% 10.29K $358.3K
1202 SITE Centers Corp SITC 0.01% 119.87K $357.2K
1203 AXT Inc AXTI 0.01% 5.29K $357.0K
1204 Flexsteel Industries Inc FLXS 0.01% 4.37K $356.0K
1205 First Business Financial Services Inc FBIZ 0.01% 5.07K $354.8K
1206 Legacy Housing Corp LEGH 0.01% 12.24K $354.2K
1207 Sutro Biopharma Inc STRO 0.01% 16.49K $353.6K
1208 Nutex Health Inc NUTX 0.01% 1.88K $353.4K
1209 Aviat Networks Inc AVNW 0.01% 16.66K $352.3K
1210 Franklin Covey Co FC 0.01% 17.20K $351.2K
1211 Alpine Income Property Trust Inc PINE 0.01% 17.79K $350.7K
1212 Quad/Graphics Inc QUAD 0.01% 34.31K $349.9K
1213 Bank of Marin Bancorp BMRC 0.01% 12.86K $345.2K
1214 Southern First Bancshares Inc SFST 0.01% 5.48K $340.5K
1215 Arko Corp ARKO 0.01% 72.87K $340.3K
1216 Clean Energy Fuels Corp CLNE 0.01% 215.21K $337.9K
1217 Bar Harbor Bankshares BHB 0.01% 8.52K $335.7K
1218 Alto Ingredients Inc ALTO 0.01% 83.81K $334.4K
1219 WW International Inc WW 0.01% 18.94K $334.3K
1220 Donegal Group Inc DGICA 0.01% 17.45K $333.8K
1221 USANA Health Sciences Inc USNA 0.01% 24.14K $332.7K
1222 PACS Group Inc PACS 0.01% 7.55K $332.0K
1223 Xperi Inc XPER 0.01% 52.61K $331.5K
1224 Invivyd Inc ADGI 0.01% 352.29K $330.7K
1225 Anika Therapeutics Inc ANIK 0.01% 15.41K $329.8K
1226 I3 Verticals Inc IIIV 0.01% 19.16K $325.7K
1227 Prothena Corp PLC PRTA 0.01% 34.52K $325.1K
1228 Civista Bancshares Inc CIVB 0.01% 11.86K $324.7K
1229 RCI Hospitality Holdings Inc RICK 0.01% 10.70K $324.7K
1230 Civeo Corp CVEO 0.01% 9.65K $323.5K
1231 Matrix Service Co MTRX 0.01% 29.89K $321.9K
1232 Tempus AI Inc TEM 0.01% 4.67K $320.8K
1233 EW Scripps Co/The SSP 0.01% 97.21K $319.8K
1234 AMC Entertainment Holdings Inc AMC 0.01% 120.64K $319.7K
1235 Central BanCo Inc CBC 0.01% 9.77K $319.0K
1236 Limbach Holdings Inc LMB 0.01% 7.60K $318.5K
1237 Fulcrum Therapeutics Inc FULC 0.01% 81.82K $315.8K
1238 Blue Bird Corp BLBD 0.01% 5.33K $312.3K
1239 Miami International Holdings Inc MIAX 0.01% 7.03K $311.5K
1240 Bowman Consulting Group Ltd BWMN 0.01% 7.32K $311.4K
1241 Saul Centers Inc BFS 0.01% 9.09K $310.1K
1242 Luxfer Holdings PLC LXFR 0.01% 18.08K $310.1K
1243 Summit Midstream Corp SMC 0.01% 9.23K $309.5K
1244 ACNB Corp ACNB 0.01% 4.77K $308.5K
1245 Immunome Inc IMNM 0.01% 10.49K $308.3K
1246 ArriVent Biopharma Inc AVBP 0.01% 9.83K $308.2K
1247 Viking Holdings Ltd VIK 0.01% 3.34K $308.0K
1248 ADMA Biologics Inc ADMA 0.01% 31.56K $306.7K
1249 EyePoint Inc EYPT 0.01% 61.25K $306.6K
1250 Arrow Financial Corp AROW 0.01% 7.97K $304.3K
1251 ImmunityBio Inc IBRX 0.01% 36.87K $302.0K
1252 AerSale Corp ASLE 0.01% 53.61K $300.7K
1253 Colony Bankcorp Inc CBAN 0.01% 14.19K $300.6K
1254 Ranpak Holdings Corp PACK 0.01% 59.05K $298.8K
1255 Investar Holding Corp ISTR 0.01% 9.86K $298.2K
1256 Atea Pharmaceuticals Inc AVIR 0.01% 54.37K $295.2K
1257 Village Super Market Inc VLGEA 0.01% 6.69K $295.0K
1258 Tonix Pharmaceuticals Holding Corp TNXP 0.01% 21.56K $294.6K
1259 Bankwell Financial Group Inc BWFG 0.01% 4.47K $293.8K
1260 Bowhead Specialty Holdings Inc BOW 0.01% 8.73K $293.3K
1261 NRC Health NRC 0.01% 13.30K $293.0K
1262 Voyager Therapeutics Inc VYGR 0.01% 83.86K $291.8K
1263 Prime Medicine Inc PRME 0.01% 78.41K $290.9K
1264 Conduent Inc CNDT 0.01% 178.44K $290.9K
1265 Trump Media & Technology Group Corp DJT 0.01% 30.91K $290.5K
1266 McGraw Hill Inc MH 0.01% 22.13K $288.5K
1267 Karat Packaging Inc KRT 0.01% 5.83K $288.4K
1268 Coherus Oncology Inc CHRS 0.01% 209.95K $287.6K
1269 Enovix Corp ENVX 0.01% 84.48K $285.5K
1270 NuScale Power Corp SMR 0.01% 28.73K $281.8K
1271 Gogo Inc GOGO 0.01% 103.22K $280.8K
1272 Peoples Financial Services Corp PFIS 0.01% 4.02K $280.6K
1273 OraSure Technologies Inc OSUR 0.01% 74.06K $279.9K
1274 CytomX Therapeutics Inc CTMX 0.01% 82.73K $278.8K
1275 Nkarta Inc NKTX 0.01% 102.82K $278.7K
1276 California BanCorp BCAL 0.01% 12.98K $277.3K
1277 Madison Square Garden Entertainment Corp MSGE 0.01% 3.41K $274.7K
1278 Ovid therapeutics Inc OVID 0.01% 93.97K $273.5K
1279 Sierra Bancorp BSRR 0.01% 6.92K $273.1K
1280 Hudson Technologies Inc HDSN 0.01% 49.72K $272.0K
1281 Kyverna Therapeutics Inc KYTX 0.01% 30.58K $270.3K
1282 UWM Holdings Corp UWMC 0.01% 177.33K $267.8K
1283 MiMedx Group Inc MDXG 0.01% 61.47K $266.8K
1284 Quanterix Corp QTRX 0.01% 95.31K $265.9K
1285 Neumora Therapeutics Inc NMRA 0.01% 176.94K $265.4K
1286 Commerce.com Inc BIGC 0.01% 113.30K $264.0K
1287 SmartRent Inc SMRT 0.01% 182.84K $263.3K
1288 Metrocity Bankshares Inc MCBS 0.01% 7.48K $262.7K
1289 One Liberty Properties Inc OLP 0.01% 10.66K $261.8K
1290 ProFrac Holding Corp PFHC 0.01% 56.03K $261.6K
1291 Entravision Communications Corp EVC 0.01% 32.01K $260.9K
1292 RxSight Inc RXST 0.01% 40.66K $260.2K
1293 Genie Energy Ltd GNE 0.01% 16.68K $257.2K
1294 Shattuck Labs Inc STTK 0.01% 31.91K $257.2K
1295 KinderCare Learning Cos Inc KLC 0.01% 100.77K $255.9K
1296 Excelerate Energy Inc EE 0.01% 6.43K $255.1K
1297 Onity Group Inc ONIT 0.01% 7.24K $254.6K
1298 Parke Bancorp Inc PKBK 0.01% 7.47K $254.0K
1299 iHeartMedia Inc IHRT 0.01% 94.35K $252.9K
1300 Tejon Ranch Co TRC 0.01% 15.57K $251.9K
1301 ATN International Inc ATNI 0.01% 8.19K $251.4K
1302 Red River Bancshares Inc RRBI 0.01% 2.47K $249.0K
1303 Primis Financial Corp FRST 0.01% 15.47K $248.5K
1304 8x8 Inc EGHT 0.01% 127.19K $248.0K
1305 Beyond Meat Inc BYND 0.01% 17.40K $246.9K
1306 Unisys Corp UIS 0.01% 91.77K $246.9K
1307 Northpointe Bancshares Inc NPB 0.01% 14.53K $246.4K
1308 Centrus Energy Corp LEU 0.01% 1.27K $245.4K
1309 Powerfleet Inc NJ AIOT 0.01% 83.31K $244.9K
1310 L B Foster Co FSTR 0.01% 6.42K $244.6K
1311 RBB Bancorp RBB 0.01% 9.16K $242.8K
1312 Holley Inc HLLY 0.01% 83.98K $242.7K
1313 Upstream Bio Inc UPB 0.01% 33.61K $241.3K
1314 Assembly Biosciences Inc ASMB 0.01% 6.70K $236.9K
1315 GrafTech International Ltd EAF 0.01% 35.29K $236.4K
1316 Starz Entertainment Corp STRZ 0.01% 8.10K $236.3K
1317 Bridgewater Bancshares Inc BWB 0.01% 11.17K $235.9K
1318 Regional Management Corp RM 0.01% 6.97K $232.4K
1319 OneWater Marine Inc ONEW 0.01% 19.17K $230.6K
1320 Organogenesis Holdings Inc ORGO 0.01% 132.10K $229.9K
1321 Groupon Inc GRPN 0.01% 11.71K $229.3K
1322 NET Lease Office Properties NLOP 0.01% 19.75K $229.3K
1323 Uranium Energy Corp UEC 0.01% 17.24K $228.8K
1324 AIRO Group Holdings Inc AIRO 0.01% 27.55K $224.2K
1325 Legence Corp LGN 0.01% 3.86K $221.0K
1326 First Internet Bancorp INBK 0.01% 7.67K $218.5K
1327 Meridian Corp MRBK 0.01% 11.12K $217.5K
1328 Distribution Solutions Group Inc DSGR 0.01% 6.05K $210.6K
1329 Black Diamond Therapeutics Inc BDTX 0.01% 93.97K $210.5K
1330 Karman Holdings Inc KRMN 0.01% 4.25K $209.3K
1331 Fossil Group Inc FOSL 0.01% 38.15K $208.3K
1332 MBIA Inc MBI 0.01% 42.48K $208.2K
1333 Mineralys Therapeutics Inc MLYS 0.01% 7.90K $208.2K
1334 Flowco Holdings Inc FLOC 0.01% 10.08K $208.1K
1335 Motorcar Parts of America Inc MPAA 0.01% 17.66K $207.2K
1336 Entrada Therapeutics Inc TRDA 0.01% 27.00K $205.8K
1337 Century Therapeutics Inc IPSC 0.01% 94.61K $205.3K
1338 Spok Holdings Inc SPOK 0.01% 19.18K $202.9K
1339 Anavex Life Sciences Corp AVXL 0.01% 56.79K $202.2K
1340 Rackspace Technology Inc RXT 0.01% 59.35K $201.8K
1341 Universal Technical Institute Inc UTI 0.01% 8.91K $200.6K
1342 Richardson Electronics Ltd/United States RELL 0.01% 11.70K $197.4K
1343 TPG Mortgage Investment Trust Inc MITT 0.01% 29.36K $197.3K
1344 Shutterstock Inc SSTK 0.01% 35.61K $197.3K
1345 Applied Digital Corp APLD 0.01% 6.82K $196.6K
1346 SIGA Technologies Inc SIGA 0.01% 64.53K $196.2K
1347 Chicago Atlantic Real Estate Finance Inc REFI 0.01% 17.97K $194.0K
1348 HBT Financial Inc HBT 0.01% 5.40K $192.6K
1349 MVB Financial Corp MVBF 0.01% 6.33K $190.6K
1350 Maze Therapeutics Inc MAZE 0.01% 6.26K $190.4K
1351 Lexeo Therapeutics Inc LXEO 0.01% 36.65K $188.0K
1352 DMC Global Inc BOOM 0.01% 27.28K $186.9K
1353 Alta Equipment Group Inc ALTG 0.01% 30.15K $186.7K
1354 AST SpaceMobile Inc ASTS 0.01% 3.01K $186.5K
1355 Hamilton Beach Brands Holding Co HBB 0.01% 5.70K $186.0K
1356 FutureFuel Corp FF 0.01% 34.54K $185.8K
1357 Alico Inc ALCO 0.01% 4.49K $184.3K
1358 Northeast Community Bancorp Inc NECB 0.01% 6.96K $183.8K
1359 Nature's Sunshine Products Inc NATR 0.01% 12.85K $182.3K
1360 Information Services Group Inc III 0.01% 35.87K $182.2K
1361 Utah Medical Products Inc UTMD 0.01% 2.57K $182.1K
1362 MacroGenics Inc MGNX 0.01% 43.38K $180.9K
1363 Ribbon Communications Inc RBBN 0.01% 87.49K $180.2K
1364 Consolidated Water Co Ltd CWCO 0.01% 5.98K $180.1K
1365 Celcuity Inc CELC 0.01% 1.94K $179.0K
1366 Inogen Inc INGN 0.01% 31.97K $177.1K
1367 Chemung Financial Corp CHMG 0.01% 2.14K $176.6K
1368 Relmada Therapeutics Inc RLMD 0.01% 38.12K $175.0K
1369 National CineMedia Inc NCMI 0.01% 64.11K $174.4K
1370 Thryv Holdings Inc THRY 0.01% 90.08K $173.9K
1371 SEACOR Marine Holdings Inc SMHI 0.01% 17.80K $172.7K
1372 Greenlight Capital Re Ltd GLRE 0.01% 11.06K $171.3K
1373 Humacyte Inc HUMA 0.01% 242.78K $170.2K
1374 Park-Ohio Holdings Corp PKOH 0.01% 3.72K $167.8K
1375 Microvast Holdings Inc MVST 0.01% 213.35K $167.5K
1376 Douglas Elliman Inc DOUG 0.01% 85.33K $166.4K
1377 Orion Properties Inc ONL 0.01% 56.56K $166.3K
1378 Radiant Logistics Inc RLGT 0.01% 19.14K $164.8K
1379 Citizens Financial Services Inc CZFS 0.01% 2.03K $164.2K
1380 PDL BioPharma Inc 0.01% 526.60K $163.2K
1381 Waterstone Financial Inc WSBF 0.01% 7.74K $162.8K
1382 Aldeyra Therapeutics Inc ALDX 0.01% 104.91K $162.6K
1383 FTAI Infrastructure Inc FIP 0.01% 42.86K $161.6K
1384 American Superconductor Corp AMSC 0.01% 5.41K $160.5K
1385 Medifast Inc MED 0.01% 13.18K $160.3K
1386 Twin Disc Inc TWIN 0.01% 6.80K $159.7K
1387 Boston Omaha Corp BOMN 0.01% 11.33K $159.2K
1388 Lakeland Industries Inc LAKE 0.01% 13.80K $159.0K
1389 NexPoint Diversified Real Estate Trust NXDT 0.01% 28.29K $158.7K
1390 Artesian Resources Corp ARTNA 0.01% 4.42K $158.1K
1391 Outdoor Holding Co POWW 0.01% 70.78K $156.4K
1392 Tenaya Therapeutics Inc TNYA 0.01% 221.38K $155.3K
1393 C&F Financial Corp CFFI 0.01% 1.73K $154.5K
1394 Forrester Research Inc FORR 0.01% 12.82K $154.2K
1395 Chegg Inc CHGG 0.01% 192.52K $152.4K
1396 Resources Connection Inc RGP 0.01% 35.23K $150.1K
1397 Universal Logistics Holdings Inc ULH 0.01% 7.68K $148.1K
1398 Farmers & Merchants Bancorp Inc/Archbold OH FMAO 0.01% 4.38K $147.6K
1399 Caribou Biosciences Inc CRBU 0.01% 82.12K $144.5K
1400 Citizens & Northern Corp CZNC 0.00% 5.51K $142.2K
1401 Seaport Entertainment Group Inc SEG 0.00% 5.17K $141.8K
1402 West BanCorp Inc WTBA 0.00% 4.92K $140.3K
1403 Lyell Immunopharma Inc LYEL 0.00% 9.01K $139.5K
1404 Evolution Petroleum Corp EPM 0.00% 39.79K $138.5K
1405 Tredegar Corp TG 0.00% 17.00K $134.8K
1406 Limoneira Co LMNR 0.00% 9.65K $133.2K
1407 Ames National Corp ATLO 0.00% 4.16K $132.4K
1408 Capital Bancorp Inc CBNK 0.00% 3.63K $131.9K
1409 Concrete Pumping Holdings Inc BBCP 0.00% 13.89K $131.7K
1410 First Bank/Hamilton NJ FRBA 0.00% 7.14K $128.4K
1411 Children's Place Inc/The PLCE 0.00% 47.29K $127.2K
1412 Western New England Bancorp Inc WNEB 0.00% 9.23K $127.2K
1413 National Bankshares Inc NKSH 0.00% 3.10K $126.8K
1414 Angel Oak Mortgage REIT Inc AOMR 0.00% 14.84K $125.3K
1415 X4 Pharmaceuticals Inc XFOR 0.00% 30.09K $125.2K
1416 Norwood Financial Corp NWFL 0.00% 3.66K $124.3K
1417 Pliant Therapeutics Inc PLRX 0.00% 104.04K $123.8K
1418 Timberland Bancorp Inc/WA TSBK 0.00% 2.69K $123.8K
1419 Aura Biosciences Inc AURA 0.00% 15.66K $122.5K
1420 BioAge Labs Inc BIOA 0.00% 12.09K $122.2K
1421 ThredUp Inc TDUP 0.00% 44.15K $121.9K
1422 Nexpoint Real Estate Finance Inc NREF 0.00% 6.97K $121.0K
1423 Codexis Inc CDXS 0.00% 71.28K $119.7K
1424 PCB Bancorp PCB 0.00% 4.26K $117.6K
1425 First Bancorp Inc/The FNLC 0.00% 3.40K $117.5K
1426 Viemed Healthcare Inc VMD 0.00% 12.82K $116.7K
1427 Claros Mortgage Trust Inc CMTG 0.00% 67.15K $114.8K
1428 Crawford & Co CRD-A 0.00% 8.62K $113.7K
1429 Gossamer Bio Inc GOSS 0.00% 555.10K $113.5K
1430 TechTarget Inc TTGT 0.00% 28.91K $112.4K
1431 BCB Bancorp Inc BCBP 0.00% 12.64K $109.5K
1432 Hooker Furnishings Corp HOFT 0.00% 7.83K $108.2K
1433 BayCom Corp BCML 0.00% 3.57K $107.0K
1434 Seven Hills Realty Trust SEVN 0.00% 13.51K $104.4K
1435 Stoneridge Inc SRI 0.00% 14.09K $101.4K
1436 American Well Corp AMWL 0.00% 8.59K $100.1K
1437 FS Bancorp Inc FSBW 0.00% 2.34K $99.8K
1438 Braemar Hotels & Resorts Inc BHR 0.00% 46.46K $95.2K
1439 Selectquote Inc SLQT 0.00% 172.47K $94.6K
1440 Clarus Corp CLAR 0.00% 24.80K $94.2K
1441 American Outdoor Brands Inc AOUT 0.00% 8.83K $93.7K
1442 Medallion Financial Corp MFIN 0.00% 7.70K $92.2K
1443 Proficient Auto Logistics Inc PAL 0.00% 15.80K $85.5K
1444 Superior Group of Cos Inc SGC 0.00% 6.72K $84.5K
1445 Standard BioTools Inc LAB 0.00% 129.59K $84.2K
1446 Advantage Solutions Inc ADV 0.00% 2.44K $82.3K
1447 DHI Group Inc DHX 0.00% 18.36K $80.4K
1448 Isabella Bank Corp ISBA 0.00% 1.98K $77.5K
1449 Bassett Furniture Industries Inc BSET 0.00% 3.93K $74.4K
1450 NACCO Industries Inc NC 0.00% 1.79K $74.4K
1451 Weyco Group Inc WEYS 0.00% 1.63K $74.4K
1452 Foghorn Therapeutics Inc FHTX 0.00% 10.79K $73.9K
1453 James River Group Holdings Inc JRVR 0.00% 17.56K $72.5K
1454 ALX Oncology Holdings Inc ALXO 0.00% 35.59K $71.2K
1455 American Vanguard Corp AVD 0.00% 31.61K $70.8K
1456 Costamare Bulkers Holdings Ltd CMDB 0.00% 3.28K $67.6K
1457 Cardlytics Inc CDLX 0.00% 15.52K $66.4K
1458 Skillsoft Corp SKIL 0.00% 8.40K $66.3K
1459 Seres Therapeutics Inc MCRB 0.00% 12.88K $64.4K
1460 Escalade Inc ESCA 0.00% 3.18K $64.2K
1461 Heron Therapeutics Inc HRTX 0.00% 198.33K $64.1K
1462 Exodus Movement Inc EXOD 0.00% 6.60K $64.0K
1463 Karyopharm Therapeutics Inc KPTI 0.00% 32.11K $61.7K
1464 NN Inc NNBR 0.00% 17.39K $61.4K
1465 Lifevantage Corp LFVN 0.00% 8.82K $60.3K
1466 TTEC Holdings Inc TTEC 0.00% 42.49K $59.5K
1467 LCNB Corp LCNB 0.00% 3.01K $59.1K
1468 Health Catalyst Inc HCAT 0.00% 37.05K $58.5K
1469 Five Point Holdings LLC FPH 0.00% 11.25K $57.5K
1470 Friedman Industries Inc FRD 0.00% 1.30K $57.2K
1471 Granite Point Mortgage Trust Inc GPMT 0.00% 52.96K $56.1K
1472 Hurco Cos Inc HURC 0.00% 2.44K $55.3K
1473 Rithm Property Trust Inc RPT 0.00% 4.17K $55.0K
1474 Definitive Healthcare Corp DH 0.00% 72.80K $54.9K
1475 eHealth Inc EHTH 0.00% 44.93K $53.9K
1476 Acme United Corp ACU 0.00% 858 $53.2K
1477 Bally's Corp BALY 0.00% 5.48K $52.0K
1478 Seritage Growth Properties SRG 0.00% 22.98K $48.5K
1479 Seer Inc SEER 0.00% 23.68K $48.3K
1480 Core Molding Technologies Inc CMT 0.00% 1.89K $48.0K
1481 Princeton Bancorp Inc BPRN 0.00% 1.04K $44.1K
1482 Security National Financial Corp SNFCA 0.00% 4.88K $42.6K
1483 Atrium Therapeutics Inc RNA 0.00% 2.94K $41.2K
1484 Getty Images Holdings Inc GETY 0.00% 154.49K $41.1K
1485 First United Corp FUNC 0.00% 946 $40.8K
1486 DocGo Inc DCGO 0.00% 106.78K $40.8K
1487 America's Car-Mart Inc/TX CRMT 0.00% 16.22K $38.1K
1488 Comtech Telecommunications Corp CMTL 0.00% 20.50K $36.3K
1489 Westwood Holdings Group Inc WHG 0.00% 1.81K $35.5K
1490 Eastern Co/The EML 0.00% 1.30K $33.3K
1491 Universal Electronics Inc UEIC 0.00% 7.60K $33.2K
1492 Spero Therapeutics Inc SPRO 0.00% 26.90K $33.1K
1493 Accuray Inc ARAY 0.00% 117.97K $31.4K
1494 Playstudios Inc MYPS 0.00% 57.51K $29.1K
1495 Traeger Inc COOK 0.00% 483 $27.7K
1496 Franklin Street Properties Corp FSP 0.00% 62.82K $27.5K
1497 Destination XL Group Inc DXLG 0.00% 28.24K $17.5K
1498 Leslie's Inc LESL 0.00% 11.89K $7.2K
1499 Global Indemnity Group LLC GBLI 0.00% 146 $4.2K
1500 OmniAb Inc 11/02/2027 0.00% 4.73K $0.00
1501 Chinook Therapeutics Inc 0.00% 14.88K $0.00
1502 Novo Nordisk A/S 06/30/2031 0.00% 22.13K $0.00
1503 SECURITIES LENDING - BNYM 0.00% 1 $0.01
1504 OmniAb Inc 11/02/2027 0.00% 4.73K $0.00
1505 Bristol-Myers Squibb Co 01/23/2031 0.00% 23.54K $0.00
1506 CASH & EQUIVALENTS -0.01% -262.49K -$262.5K

Click a ticker to see every ETF that owns it.

Esposizione settoriale

Tecnologia 18.26%
Sanità 18.03%
Industria 15.23%
Servizi Finanziari 14.56%
Beni di Consumo Ciclici 11.50%
Immobiliare 6.97%
Energia 5.02%
Materiali di Base 3.17%
Beni di Consumo Difensivi 3.13%
Servizi di Comunicazione 2.82%
Servizi di Pubblica Utilità 1.31%

Esposizione Geografica

United States (developed) 97.46%
United Kingdom (developed) 0.96%
Bermuda 0.72%
Luxembourg (developed) 0.22%
Netherlands (developed) 0.16%
Cayman Islands 0.10%
Greece (emerging) 0.07%
Other 0.06%
Ireland (developed) 0.06%
Switzerland (developed) 0.05%

Country weights as reported by the data provider. Developed/emerging/frontier labels follow the classification on the Methodology page. Currency hedged: Nessuna copertura valutaria indicata nel nome del fondo.

Distributions

Rendimento (TTM)0.77% Distribuito (ultimi 12 mesi)$0.4303
FrequenzaQuarterly Rendimento SECNon fornito dalla nostra fonte dati — consulta la pagina dell'emittente
Ultima ex-dataJun 22, 2026 Ultimo pagamento$0.0992 (Jun 26, 2026)
Crescita 1A-15.78% Crescita 3A / 5A (ann.)-44.07% / -21.45%
Ex-dateRecordData di pagamentoImporto
Jun 22, 2026Jun 22, 2026 Jun 26, 2026$0.0992
Mar 23, 2026Mar 23, 2026 Mar 27, 2026$0.1017
Dec 22, 2025Dec 22, 2025 Dec 26, 2025$0.1144
Sep 22, 2025Sep 22, 2025 Sep 26, 2025$0.1150
Jun 23, 2025Jun 23, 2025 Jun 27, 2025$0.1052
Mar 24, 2025Mar 24, 2025 Mar 28, 2025$0.0437
Dec 23, 2024Dec 23, 2024 Dec 27, 2024$0.2305
Sep 23, 2024Sep 23, 2024 Sep 27, 2024$0.1315
Jun 24, 2024Jun 24, 2024 Jun 28, 2024$0.1563
Mar 18, 2024Mar 19, 2024 Mar 22, 2024$0.0861
Dec 18, 2023Dec 19, 2023 Dec 22, 2023$0.1202
Sep 18, 2023Sep 19, 2023 Sep 22, 2023$0.1434

Rendimento da distribuzione trailing = ultimi 12 mesi di liquidità distribuita ÷ prezzo corrente. NON corrisponde al rendimento SEC a 30 giorni e la continuità delle distribuzioni non è garantita. La differenza spiegata →

Statistiche di rischio

Volatilità 1A / 3A17.46% / 20.25% Sharpe 1A / 3A1.41 / 0.887
Drawdown massimo 1A / 3A-10.36% / -26.53% Sortino 1A2.17
Beta vs S&P 500 (3Y)1.07 Correlation vs S&P 500 (1Y)0.811
Downside deviation 1Y11.37% Tasso privo di rischio utilizzato3.71% (3M T-bill, FRED)

Computed by ETF Explorer da chiusure giornaliere rettificate per i dividendi; volatilità e drawdown sono valori annualizzati/di periodo; l'esposizione all'S&P 500 è approssimata tramite SPY. Aggiornato al Aug 27, 2026. Formule →

Liquidità

Volume odierno128.71K Average volume137.41K
AUM$2.85B Premio/Sconto-0.05%
Bid/Ask spreadNon fornito dalla nostra fonte dati. Verifica lo spread sul tuo broker; gli spread sono più ampi in apertura e in chiusura.

Il premio/sconto confronta il prezzo di mercato in ritardo con l'ultimo NAV comunicato — un dato indicativo, non il premio/sconto ufficiale di chiusura. Come funziona la liquidità degli ETF →

Flussi del Fondo (stimati)

PeriodoEst. net flow% of starting AUMAUM start → end
1 Day $10.9M +0.38% $2.84B → $2.85B
1 Week -$60.0M -2.07% $2.90B → $2.85B

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

Risorse ufficiali del fondo

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

Ultime Notizie su PRFZ

Nessun articolo menziona direttamente questo fondo negli ultimi 7 giorni — viene mostrata la copertura generale sugli ETF.

All news for PRFZ →

Guida rapida: l'AUM è la dimensione del fondo. L'expense ratio è il costo annuo incorporato nei rendimenti. Il NAV è il valore di ciò che il fondo detiene per quota; il prezzo di mercato può essere leggermente superiore (premio) o inferiore (sconto) al NAV. Il rendimento totale presuppone il reinvestimento delle distribuzioni. Ogni dato riporta la propria data di aggiornamento, poiché portafoglio, patrimonio e quotazioni si aggiornano con frequenze diverse.

Materia Prima

Commodities (broad)OroPetrolio e gasArgento

Digital Assets

CryptocurrencyBitcoin

Reddito Fisso

Bonds (all)Obbligazioni internazionaliTitoli di StatoTreasury BondCorporate BondsObbligazioni ad alto rendimentoObbligazioni MunicipaliTIPS / Inflation-Protected

Proventi

DividendoCovered Call / Option IncomeAzioni privilegiate

Regione

InternazionaleGlobaleDeveloped MarketsMercati EmergentiSmall cap internazionaleMercati Frontier

Settore e tema

FinanziariTecnologiaEnergiaImmobiliare / REITSanitàMaterialiIndustriaClean EnergyInfrastrutture

Strategia

Buffer / Defined OutcomeESG / SustainableCurrency HedgedMomentumEqual WeightBassa Volatilità

Struttura

Active ETFsInversoA leva

Stile e dimensione

CrescitaLarge Cap USAValueSmall Cap USAMid Cap USAMercato Totale