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SCHB Schwab U.S. Broad Market ETF

29.77 0.16 (+0.54%)

Quotazione aggiornata al Aug 27, 2026 15:37 UTC · Market data delayed approximately 15–20 minutes unless otherwise indicated.

Chiusura precedente29.61 Day Range29.66 – 29.80
52-Week Range24.28 – 30.15 Volume1.57M
Avg Volume8.19M AUM$44.58B (Aug 27, 2026)
Expense Ratio0.03% Rendimento (TTM)1.02%
NAV29.60 Premio/Sconto+0.56% indicativo
InceptionNov 03, 2009 Posizioni in portafoglio2380
EmittenteSchwab BorsaAMEX
Category Indice replicatoNon indicato nei dati di fonte
CUSIP808524102 ISINUS8085241029
GestioneNon indicato nei dati di fonte

About this ETF

This fund is designed to replicate the overall performance of the Dow Jones U.S. Broad Stock Market Index with utmost accuracy, prior to accounting for any operational expenses or management fees.

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 +3.57% +2.32% +10.73% +12.89% +18.77% +20.08% +10.28% +13.01% +12.50%
Rendimento totale +3.57% +2.60% +11.36% +13.54% +20.17% +21.59% +11.79% +14.33% +13.90%

* 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 netto0.03% Annual cost of a $10,000 investment$3.00

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. 2379 righe nel database.

#PosizioneTickerPesoAzioniValore di Mercato
1 NVIDIA NVDA 6.95% 14.54M $3.10B
2 APPLE AAPL 6.13% 8.82M $2.73B
3 MICROSOFT MSFT 4.92% 4.46M $2.19B
4 AMAZON COM INC AMZN 3.44% 5.88M $1.54B
5 ALPHABET CLASS A GOOGL 2.74% 3.52M $1.22B
6 BROADCOM INC AVGO 2.28% 2.84M $1.01B
7 ALPHABET CLASS C GOOG 2.19% 2.84M $975.0M
8 META PLATFORMS CLASS A META 1.69% 1.32M $752.1M
9 MICRON TECHNOLOGY MU 1.42% 677.04K $632.2M
10 TESLA INC TSLA 1.33% 1.69M $592.2M
11 ELI LILLY LLY 1.32% 474.83K $586.2M
12 JPMORGAN CHASE JPM 1.29% 1.61M $574.2M
13 BERKSHIRE HATHAWAY INC CLASS B BRK-B 1.25% 1.10M $555.7M
14 ADVANCED MICRO DEVICES AMD 1.05% 978.94K $469.5M
15 EXXONMOBIL HOLDINGS CORP XOM 0.90% 2.49M $400.3M
16 JOHNSON & JOHNSON JNJ 0.89% 1.45M $395.1M
17 VISA CLASS A V 0.86% 996.43K $383.1M
18 MASTERCARD CLASS A MA 0.65% 484.43K $290.6M
19 ABBVIE ABBV 0.63% 1.06M $282.1M
20 WALMART INC WMT 0.62% 2.63M $277.6M
21 CISCO SYSTEMS INC CSCO 0.59% 2.37M $263.7M
22 INTEL CORPORATION CORP INTC 0.58% 2.97M $259.6M
23 COSTCO WHOLESALE CORP COST 0.57% 266.21K $255.8M
24 BANK OF AMERICA BAC 0.55% 3.92M $244.9M
25 PALANTIR TECHNOLOGIES CLASS A PLTR 0.53% 1.38M $238.0M
26 LAM RESEARCH LRCX 0.53% 750.72K $236.4M
27 MERCK & CO INC MRK 0.52% 1.48M $232.0M
28 APPLIED MATERIAL INC AMAT 0.51% 475.76K $228.6M
29 CHEVRON CVX 0.50% 1.12M $224.8M
30 CATERPILLAR INC CAT 0.50% 276.63K $224.6M
31 GE AEROSPACE GE 0.49% 626.49K $219.2M
32 UNITEDHEALTH GROUP INC UNH 0.49% 545.16K $216.4M
33 COCA-COLA KO 0.48% 2.32M $212.9M
34 NETFLIX NFLX 0.47% 2.53M $207.8M
35 PROCTER & GAMBLE PG 0.46% 1.40M $203.4M
36 HOME DEPOT HD 0.45% 597.84K $202.2M
37 GOLDMAN SACHS GROUP INC GS 0.42% 177.01K $187.6M
38 PHILIP MORRIS INTERNATIONAL INC PM 0.41% 936.05K $181.7M
39 RTX RTX 0.38% 808.53K $170.2M
40 PALO ALTO NETWORKS PANW 0.37% 486.87K $165.6M
41 MORGAN STANLEY MS 0.35% 718.99K $156.0M
42 WELLS FARGO WFC 0.35% 1.84M $155.9M
43 GE VERNOVA INC GEV 0.34% 161.28K $149.6M
44 ORACLE ORCL 0.33% 1.02M $147.4M
45 KLA KLAC 0.32% 782.37K $143.6M
46 AMGEN INC AMGN 0.32% 323.26K $143.1M
47 TEXAS INSTRUMENT INC TXN 0.32% 546.45K $142.2M
48 THERMO FISHER SCIENTIFIC INC TMO 0.31% 223.07K $140.2M
49 CITIGROUP INC C 0.31% 1.02M $136.6M
50 LINDE PLC LIN 0.30% 277.67K $135.4M
51 INTERNATIONAL BUSINESS MACHINES IBM 0.30% 562.87K $131.9M
52 SANDISK SNDK 0.30% 88.84K $131.7M
53 MARVELL TECHNOLOGY MRVL 0.28% 525.43K $126.4M
54 VERIZON COMMUNICATIONS INC VZ 0.28% 2.51M $126.0M
55 ABBOTT LABORATORIES ABT 0.27% 1.04M $121.4M
56 ARISTA NETWORKS INC ANET 0.27% 620.16K $118.5M
57 AMPHENOL CORP CLASS A APH 0.26% 737.39K $117.2M
58 PEPSICO PEP 0.26% 820.07K $116.8M
59 WALT DISNEY DIS 0.26% 1.04M $115.8M
60 MCDONALDS CORP MCD 0.26% 426.67K $114.5M
61 CROWDSTRIKE HOLDINGS CLASS A CRWD 0.25% 611.43K $113.4M
62 GILEAD SCIENCES GILD 0.25% 744.72K $110.9M
63 SEAGATE TECHNOLOGY HOLDINGS PLC STX 0.25% 134.62K $110.7M
64 UNION PACIFIC UNP 0.25% 356.08K $110.3M
65 CHARLES SCHWAB SCHW 0.25% 975.00K $109.5M
66 ANALOG DEVICES ADI 0.25% 292.42K $109.4M
67 AT&T INC T 0.24% 4.16M $107.3M
68 AMERICAN EXPRESS AXP 0.24% 318.82K $107.2M
69 NEXTERA ENERGY NEE 0.24% 1.25M $105.4M
70 WELLTOWER WELL 0.23% 424.01K $102.3M
71 BLACKROCK BLK 0.23% 86.45K $101.8M
72 QUALCOMM QCOM 0.23% 631.54K $101.5M
73 SALESFORCE CRM 0.23% 491.23K $101.1M
74 BOEING BA 0.22% 472.17K $99.7M
75 BOOKING HOLDINGS BKNG 0.22% 466.14K $99.7M
76 UBER TECHNOLOGIES UBER 0.22% 1.22M $98.1M
77 PFIZER PFE 0.22% 3.42M $97.9M
78 CONOCOPHILLIPS COP 0.22% 730.99K $96.4M
79 EATON PLC ETN 0.21% 232.88K $95.4M
80 DEERE DE 0.21% 150.69K $95.1M
81 WESTERN DIGITAL CORP WDC 0.21% 206.89K $93.3M
82 TJX TJX 0.21% 662.11K $92.4M
83 NEWMONT NEM 0.20% 643.18K $87.0M
84 VERTEX PHARMACEUTICALS VRTX 0.19% 152.44K $84.3M
85 BRISTOL MYERS SQUIBB BMY 0.19% 1.23M $83.3M
86 DANAHER DHR 0.18% 378.61K $81.8M
87 PROLOGIS REIT PLD 0.18% 568.42K $81.5M
88 CAPITAL ONE FINANCIAL CORP COF 0.18% 373.64K $80.9M
89 INTUITIVE SURGICAL INC ISRG 0.18% 212.63K $79.1M
90 SERVICENOW INC NOW 0.18% 619.50K $78.7M
91 S&P GLOBAL INC SPGI 0.18% 181.68K $78.7M
92 DELL TECHNOLOGIES INC CLASS C DELL 0.18% 173.55K $78.4M
93 PROGRESSIVE PGR 0.17% 349.89K $77.8M
94 PARKER-HANNIFIN CORP PH 0.17% 75.60K $76.9M
95 CHUBB CB 0.17% 216.11K $74.2M
96 STARBUCKS CORP SBUX 0.16% 682.46K $72.2M
97 LOWES COMPANIES INC LOW 0.16% 335.53K $72.1M
98 CVS HEALTH CVS 0.16% 764.37K $71.1M
99 MEDTRONIC PLC MDT 0.16% 771.95K $70.4M
100 CORNING GLW 0.16% 470.07K $69.2M
101 FREEPORT MCMORAN INC FCX 0.16% 865.12K $69.2M
102 ACCENTURE PLC CLASS A ACN 0.15% 369.33K $69.1M
103 ALTRIA GROUP INC MO 0.15% 1.00M $68.3M
104 STRYKER SYK 0.15% 206.59K $68.3M
105 LOCKHEED MARTIN CORP LMT 0.15% 121.53K $67.7M
106 AUTOMATIC DATA PROCESSING INC ADP 0.15% 239.13K $67.7M
107 BANK OF NEW YORK MELLON CORP BNY 0.15% 412.07K $67.5M
108 ADOBE INC ADBE 0.15% 243.09K $66.6M
109 SNOWFLAKE SNOW 0.15% 207.35K $65.8M
110 MCKESSON CORP MCK 0.15% 72.16K $65.4M
111 BLACKSTONE BX 0.14% 444.99K $63.9M
112 EQUINIX REIT EQIX 0.14% 59.22K $63.6M
113 HOWMET AEROSPACE HWM 0.14% 240.22K $63.5M
114 MARATHON PETROLEUM MPC 0.14% 175.82K $62.4M
115 SOUTHERN SO 0.14% 678.61K $61.1M
116 VALERO ENERGY CORP VLO 0.14% 178.75K $60.9M
117 CME GROUP CLASS A CME 0.14% 217.52K $60.4M
118 TRANE TECHNOLOGIES PLC TT 0.14% 132.34K $60.3M
119 INTUIT INTU 0.13% 165.86K $59.3M
120 VERTIV HOLDINGS CLASS A VRT 0.13% 230.71K $59.1M
121 PNC FINANCIAL SERVICES GROUP PNC 0.13% 240.32K $58.7M
122 US BANCORP USB 0.13% 933.69K $58.3M
123 COMCAST CLASS A CMCSA 0.13% 2.14M $58.0M
124 GENERAL DYNAMICS CORP GD 0.13% 152.64K $57.5M
125 CSX CSX 0.13% 1.11M $57.5M
126 FORTINET FTNT 0.13% 372.85K $57.3M
127 DUKE ENERGY CORP DUK 0.13% 469.76K $57.2M
128 PHILLIPS PSX 0.13% 240.60K $57.0M
129 3M MMM 0.13% 312.25K $56.1M
130 MARSH INC MRSH 0.13% 288.51K $55.8M
131 INTERCONTINENTAL EXCHANGE INC ICE 0.12% 339.50K $55.0M
132 CADENCE DESIGN SYSTEMS CDNS 0.12% 165.06K $54.8M
133 QUANTA SERVICES INC PWR 0.12% 89.96K $54.4M
134 CONSTELLATION ENERGY CORP CEG 0.12% 191.83K $53.5M
135 CLOUDFLARE CLASS A NET 0.12% 191.87K $53.3M
136 ROBINHOOD MARKETS CLASS A HOOD 0.12% 473.83K $53.2M
137 DOORDASH CLASS A DASH 0.12% 226.51K $52.9M
138 WILLIAMS WMB 0.12% 732.68K $52.1M
139 EMERSON ELECTRIC EMR 0.12% 336.01K $52.1M
140 ELEVANCE HEALTH INC ELV 0.12% 130.30K $52.0M
141 JOHNSON CONTROLS INTERNATIONAL PLC JCI 0.12% 365.41K $51.9M
142 T MOBILE US INC TMUS 0.11% 278.75K $50.7M
143 APPLOVIN CLASS A APP 0.11% 161.08K $50.1M
144 AMERICAN TOWER REIT AMT 0.11% 279.42K $49.9M
145 REGENERON PHARMACEUTICALS REGN 0.11% 59.71K $49.8M
146 WASTE MANAGEMENT INC WM 0.11% 223.02K $49.6M
147 SPACE EXPLORATION TECHNOLOGIES COR SPCX 0.11% 354.03K $48.9M
148 MONDELEZ INTERNATIONAL INC CLASS A MDLZ 0.11% 768.69K $48.5M
149 MOTOROLA SOLUTIONS INC MSI 0.11% 99.36K $48.3M
150 SHERWIN WILLIAMS SHW 0.11% 137.21K $48.1M
151 SLB SLB 0.11% 897.19K $47.8M
152 AIRBNB CLASS A ABNB 0.11% 250.87K $47.8M
153 CUMMINS INC CMI 0.11% 82.90K $47.5M
154 TRAVELERS COMPANIES TRV 0.11% 128.05K $47.4M
155 NORFOLK SOUTHERN CORP NSC 0.11% 134.41K $47.2M
156 EOG RESOURCES EOG 0.11% 321.37K $47.2M
157 UNITED PARCEL SERVICE INC CLASS B UPS 0.11% 446.87K $47.0M
158 SYNOPSYS SNPS 0.11% 114.76K $47.0M
159 MARRIOTT INTERNATIONAL CLASS A MAR 0.11% 130.93K $46.9M
160 ROSS STORES INC ROST 0.10% 193.45K $46.7M
161 GENERAL MOTORS GM 0.10% 539.82K $46.4M
162 MOODYS MCO 0.10% 89.61K $46.0M
163 AON PLC CLASS A AON 0.10% 127.77K $45.4M
164 O REILLY AUTOMOTIVE ORLY 0.10% 497.53K $45.0M
165 HILTON WORLDWIDE HOLDINGS INC HLT 0.10% 136.23K $44.9M
166 KKR AND CO INC KKR 0.10% 413.91K $44.6M
167 BOSTON SCIENTIFIC CORP BSX 0.10% 893.05K $44.6M
168 TARGET CORP TGT 0.10% 272.26K $44.5M
169 CIGNA CI 0.10% 158.79K $44.4M
170 ILLINOIS TOOL INC ITW 0.10% 157.20K $44.3M
171 DATADOG INC CLASS A DDOG 0.10% 198.51K $44.3M
172 ECOLAB ECL 0.10% 151.74K $44.0M
173 FEDEX CORP FDX 0.10% 131.64K $44.0M
174 COLGATE-PALMOLIVE CL 0.10% 478.92K $43.8M
175 ROYAL CARIBBEAN GROUP RCL 0.10% 149.08K $43.6M
176 NORTHROP GRUMMAN CORP NOC 0.10% 79.95K $43.4M
177 WARNER BROS. DISCOVERY SERIES A WBD 0.10% 1.48M $42.9M
178 SIMON PROPERTY GROUP REIT INC SPG 0.10% 194.60K $42.6M
179 HEWLETT PACKARD ENTERPRISE HPE 0.10% 796.49K $42.6M
180 MONSTER BEVERAGE MNST 0.09% 856.48K $41.8M
181 CINTAS CTAS 0.09% 203.49K $41.7M
182 ARTHUR J GALLAGHER AJG 0.09% 154.05K $41.4M
183 LUMENTUM HOLDINGS LITE 0.09% 46.53K $41.2M
184 HONEYWELL INTERNATIONAL INC WHEN I HON 0.09% 189.85K $41.0M
185 PACCAR INC PCAR 0.09% 315.65K $40.8M
186 AIR PRODUCTS AND CHEMICALS APD 0.09% 133.31K $40.5M
187 DIGITAL REALTY TRUST REIT DLR 0.09% 209.09K $40.2M
188 AMERICAN ELECTRIC POWER INC AEP 0.09% 326.90K $40.2M
189 ALLSTATE CORP ALL 0.09% 155.22K $40.0M
190 HCA HEALTHCARE HCA 0.09% 93.20K $40.0M
191 TRANSDIGM GROUP TDG 0.09% 33.50K $40.0M
192 UNITED RENTALS URI 0.09% 37.46K $39.5M
193 CRH PUBLIC LIMITED PLC CRH 0.09% 403.55K $38.9M
194 MONOLITHIC POWER SYSTEMS INC MPWR 0.09% 29.36K $38.3M
195 CENCORA COR 0.09% 116.00K $38.1M
196 TRUIST FINANCIAL TFC 0.08% 748.14K $37.7M
197 TARGA RESOURCES TRGP 0.08% 129.47K $37.2M
198 BAKER HUGHES CLASS A BKR 0.08% 596.18K $36.9M
199 APOLLO GLOBAL MANAGEMENT APO 0.08% 276.21K $36.8M
200 KINDER MORGAN KMI 0.08% 1.17M $36.3M
201 DOMINION ENERGY D 0.08% 528.68K $35.4M
202 TE CONNECTIVITY PLC TEL 0.08% 174.80K $35.2M
203 REALTY INCOME REIT O 0.08% 559.85K $35.2M
204 CHENIERE ENERGY INC LNG 0.08% 125.89K $35.1M
205 FASTENAL FAST 0.08% 687.59K $34.6M
206 ONEOK OKE 0.08% 377.21K $34.6M
207 TERADYNE TER 0.08% 93.73K $34.4M
208 BLOOM ENERGY CLASS A BE 0.08% 157.50K $34.3M
209 NXP SEMICONDUCTORS NV NXPI 0.08% 151.56K $34.1M
210 MODERNA INC MRNA 0.08% 213.74K $34.0M
211 WW GRAINGER INC GWW 0.08% 25.91K $33.8M
212 NUCOR NUE 0.08% 136.12K $33.7M
213 COHERENT COHR 0.08% 116.75K $33.7M
214 CARDINAL HEALTH CAH 0.08% 140.62K $33.5M
215 CORTEVA CTVA 0.07% 400.60K $33.3M
216 AMETEK INC AME 0.07% 137.18K $33.2M
217 PAYPAL HOLDINGS PYPL 0.07% 530.60K $33.1M
218 SEMPRA SRE 0.07% 392.46K $33.0M
219 COMFORT SYSTEMS USA FIX 0.07% 21.05K $32.9M
220 KEYSIGHT TECHNOLOGIES KEYS 0.07% 102.58K $32.9M
221 DELTA AIR LINES DAL 0.07% 392.59K $32.9M
222 CIENA CIEN 0.07% 84.64K $32.8M
223 FORD MOTOR F 0.07% 2.35M $32.8M
224 PUBLIC STORAGE REIT PSA 0.07% 100.70K $32.5M
225 CARVANA CLASS A CVNA 0.07% 428.54K $32.5M
226 DEVON ENERGY DVN 0.07% 690.71K $32.4M
227 AFLAC AFL 0.07% 277.47K $32.3M
228 STATE STREET STT 0.07% 165.54K $32.0M
229 AUTODESK ADSK 0.07% 126.53K $31.8M
230 BECTON DICKINSON BDX 0.07% 165.65K $31.5M
231 EDWARDS LIFESCIENCES EW 0.07% 343.58K $31.2M
232 METLIFE MET 0.07% 323.52K $31.0M
233 HONEYWELL AEROSPACE INC HONA 0.07% 189.85K $30.5M
234 WESTINGHOUSE AIR BRAKE TECHNOLOGIE WAB 0.07% 101.92K $30.3M
235 AMERIPRISE FINANCE INC AMP 0.07% 53.76K $30.1M
236 FIFTH THIRD BANCORP FITB 0.07% 542.81K $29.8M
237 AUTOZONE AZO 0.07% 9.80K $29.7M
238 AXON ENTERPRISE AXON 0.07% 48.22K $29.6M
239 VIVMARK RESIDENTIAL VMRK 0.07% 437.16K $29.6M
240 L3HARRIS TECHNOLOGIES LHX 0.07% 112.02K $29.4M
241 SSC GOVERNMENT MM GVMXX GVMXX 0.07% 29.33M $29.4M
242 ENTERGY CORP ETR 0.07% 276.01K $29.3M
243 XCEL ENERGY INC XEL 0.07% 375.90K $29.0M
244 NATERA NTRA 0.06% 85.83K $28.9M
245 CHIPOTLE MEXICAN GRILL CMG 0.06% 771.11K $28.9M
246 ROCKWELL AUTOMATION INC ROK 0.06% 66.82K $28.7M
247 NIKE CLASS B NKE 0.06% 719.99K $28.4M
248 GARMIN GRMN 0.06% 98.36K $28.4M
249 EBAY EBAY 0.06% 266.43K $28.3M
250 HUMANA HUM 0.06% 72.03K $28.1M
251 CARRIER GLOBAL CARR 0.06% 468.20K $27.4M
252 VENTAS REIT VTR 0.06% 291.69K $27.4M
253 EXELON CORP EXC 0.06% 612.66K $27.2M
254 FERGUSON ENTERPRISES INC FERG 0.06% 115.75K $27.0M
255 CBRE GROUP CLASS A CBRE 0.06% 175.76K $26.7M
256 BLOCK CLASS A XYZ 0.06% 321.85K $26.6M
257 VISTRA VST 0.06% 189.95K $26.4M
258 REPUBLIC SERVICES INC RSG 0.06% 119.48K $26.4M
259 NASDAQ INC NDAQ 0.06% 267.31K $26.4M
260 INTERACTIVE BROKERS GROUP INC CLAS IBKR 0.06% 266.74K $26.2M
261 AGILENT TECHNOLOGIES INC A 0.06% 168.91K $26.2M
262 YUM BRANDS YUM 0.06% 166.54K $26.0M
263 IQVIA HOLDINGS IQV 0.06% 100.28K $26.0M
264 IDEXX LABORATORIES INC IDXX 0.06% 47.23K $26.0M
265 KEURIG DR PEPPER INC KDP 0.06% 814.98K $26.0M
266 OCCIDENTAL PETROLEUM CORP OXY 0.06% 436.43K $25.5M
267 STRATEGY INC CLASS A MSTR 0.06% 199.82K $25.4M
268 REVOLUTION MEDICINES RVMD 0.06% 119.81K $25.3M
269 ROPER TECHNOLOGIES ROP 0.06% 60.63K $25.1M
270 PRUDENTIAL FINANCIAL INC PRU 0.06% 207.73K $25.0M
271 COINBASE GLOBAL INC CLASS A COIN 0.06% 133.13K $24.9M
272 MSCI INC MSCI 0.06% 43.56K $24.6M
273 WATERS CORP WAT 0.05% 58.68K $24.3M
274 AMERICAN INTERNATIONAL GROUP AIG 0.05% 318.13K $24.3M
275 TAKE TWO INTERACTIVE SOFTWARE TTWO 0.05% 104.15K $24.3M
276 PAYCHEX PAYX 0.05% 193.82K $24.2M
277 PG&E CORP PCG 0.05% 1.32M $24.2M
278 SYSCO SYY 0.05% 287.90K $24.0M
279 FLEX LTD FLEX 0.05% 219.92K $24.0M
280 MICROCHIP TECHNOLOGY INC MCHP 0.05% 325.19K $23.9M
281 D R HORTON DHI 0.05% 158.40K $23.9M
282 WORKDAY CLASS A WDAY 0.05% 122.71K $23.9M
283 CONSOLIDATED EDISON ED 0.05% 220.61K $23.6M
284 DIAMONDBACK ENERGY FANG 0.05% 116.30K $23.3M
285 EXPEDIA GROUP EXPE 0.05% 68.77K $23.3M
286 ARCHER DANIELS MIDLAND ADM 0.05% 289.88K $23.0M
287 UNITED AIRLINES HOLDINGS UAL 0.05% 195.13K $22.9M
288 HARTFORD INSURANCE GROUP HIG 0.05% 164.76K $22.8M
289 ASTERA LABS ALAB 0.05% 80.56K $22.8M
290 VEEVA SYSTEMS CLASS A VEEV 0.05% 90.95K $22.5M
291 KENVUE KVUE 0.05% 1.15M $22.3M
292 CREDO TECHNOLOGY GROUP HOLDING LTD CRDO 0.05% 97.64K $22.1M
293 NETAPP INC NTAP 0.05% 117.89K $22.1M
294 KIMBERLY CLARK KMB 0.05% 198.68K $22.1M
295 PUBLIC SERVICE ENTERPRISE GROUP PEG 0.05% 298.33K $21.9M
296 OLD DOMINION FREIGHT LINE ODFL 0.05% 109.96K $21.8M
297 IRON MOUNTAIN INC IRM 0.05% 177.72K $21.5M
298 VULCAN MATERIALS VMC 0.05% 77.70K $21.3M
299 M&T BANK MTB 0.05% 88.19K $21.2M
300 ARCH CAPITAL GROUP ACGL 0.05% 210.75K $21.2M
301 WEC ENERGY GROUP WEC 0.05% 194.82K $20.8M
302 HUNTINGTON BANCSHARES INC HBAN 0.05% 1.22M $20.7M
303 NORTHERN TRUST NTRS 0.05% 110.59K $20.7M
304 ILLUMINA INC ILMN 0.05% 91.38K $20.6M
305 DEXCOM INC DXCM 0.05% 230.45K $20.6M
306 HEICO HEI 0.05% 58.45K $20.5M
307 RESMED RMD 0.05% 86.58K $20.5M
308 ROCKET LAB CORP RKLB 0.05% 306.13K $20.5M
309 TWILIO CLASS A TWLO 0.05% 91.20K $20.4M
310 GE HEALTHCARE TECHNOLOGIES GEHC 0.05% 275.40K $20.4M
311 EQT EQT 0.05% 375.54K $20.3M
312 CARNIVAL CORP LTD CCL 0.05% 770.89K $20.2M
313 KROGER KR 0.04% 341.28K $20.0M
314 CROWN CASTLE INC CCI 0.04% 261.01K $19.9M
315 EMCOR GROUP INC EME 0.04% 26.56K $19.7M
316 EVERPURE INC CLASS A P 0.04% 190.56K $19.6M
317 MONGODB CLASS A MDB 0.04% 48.28K $19.6M
318 ZOETIS INC CLASS A ZTS 0.04% 252.80K $19.6M
319 WILLIS TOWERS WATSON WTW 0.04% 56.32K $19.5M
320 JABIL JBL 0.04% 63.07K $19.5M
321 BIOGEN BIIB 0.04% 88.09K $19.5M
322 CBOE GLOBAL MARKETS CBOE 0.04% 62.89K $19.4M
323 ALNYLAM PHARMACEUTICALS ALNY 0.04% 79.98K $19.2M
324 MARTIN MARIETTA MATERIALS MLM 0.04% 35.87K $19.1M
325 STEEL DYNAMICS INC STLD 0.04% 81.18K $18.8M
326 SUNBELT RENTALS HOLDINGS INC SUNB 0.04% 246.93K $18.7M
327 CENTENE CORP CNC 0.04% 282.14K $18.4M
328 EXTRA SPACE STORAGE REIT EXR 0.04% 126.38K $18.3M
329 RAYMOND JAMES RJF 0.04% 104.17K $18.2M
330 TECHNIPFMC PLC FTI 0.04% 241.86K $18.2M
331 ARES MANAGEMENT CLASS A ARES 0.04% 127.05K $18.2M
332 CASEYS GENERAL STORES INC CASY 0.04% 21.90K $18.1M
333 COGNIZANT TECHNOLOGY SOLUTIONS CLA CTSH 0.04% 285.44K $18.0M
334 AMEREN AEE 0.04% 166.31K $17.8M
335 COPART INC CPRT 0.04% 532.13K $17.7M
336 CITIZENS FINANCIAL GROUP INC CFG 0.04% 253.51K $17.7M
337 LIVE NATION ENTERTAINMENT LYV 0.04% 94.74K $17.7M
338 ATI ATI 0.04% 81.40K $17.5M
339 TELEDYNE TECHNOLOGIES INC TDY 0.04% 27.55K $17.3M
340 LPL FINANCIAL HOLDINGS LPLA 0.04% 47.63K $17.3M
341 EDISON INTERNATIONAL EIX 0.04% 230.19K $17.2M
342 VICI PPTYS INC VICI 0.04% 654.12K $17.2M
343 DTE ENERGY DTE 0.04% 125.20K $17.1M
344 ON SEMICONDUCTOR CORP ON 0.04% 234.51K $17.0M
345 HALLIBURTON HAL 0.04% 502.97K $17.0M
346 FISERV INC FISV 0.04% 321.50K $16.9M
347 ATMOS ENERGY ATO 0.04% 100.52K $16.9M
348 METTLER TOLEDO MTD 0.04% 11.99K $16.8M
349 INGERSOLL RAND INC IR 0.04% 213.61K $16.8M
350 HERSHEY FOODS HSY 0.04% 89.08K $16.7M
351 LABCORP HOLDINGS LH 0.04% 48.95K $16.5M
352 WILLIAMS SONOMA INC WSM 0.04% 70.40K $16.5M
353 HP INC HPQ 0.04% 556.73K $16.4M
354 OTIS WORLDWIDE OTIS 0.04% 229.50K $16.4M
355 SYNCHRONY FINANCIAL SYF 0.04% 202.13K $16.3M
356 DOVER CORP DOV 0.04% 80.36K $16.2M
357 CORPAY CPAY 0.04% 39.25K $16.2M
358 QUEST DIAGNOSTICS INC DGX 0.04% 66.14K $16.2M
359 ZOOM COMMUNICATIONS CLASS A ZM 0.04% 160.07K $16.2M
360 INSMED INSM 0.04% 130.35K $16.2M
361 DOLLAR GENERAL CORP DG 0.04% 131.58K $16.1M
362 XYLEM INC XYL 0.04% 142.91K $16.1M
363 AMERICAN WATER WORKS AWK 0.04% 116.95K $16.1M
364 ATLASSIAN CORP CLASS A TEAM 0.04% 96.23K $16.0M
365 QNITY ELECTRONICS Q 0.04% 125.96K $16.0M
366 EVERSOURCE ENERGY ES 0.04% 224.29K $15.9M
367 CINCINNATI FINANCIAL CINF 0.04% 92.69K $15.9M
368 FAIR ISAAC FICO 0.04% 13.91K $15.8M
369 ROBLOX CORP CLASS A RBLX 0.04% 403.87K $15.8M
370 TAPESTRY TPR 0.04% 121.38K $15.8M
371 PPL CORP PPL 0.04% 450.31K $15.8M
372 REGIONS FINANCIAL RF 0.04% 513.18K $15.7M
373 SMURFIT WESTROCK PLC SW 0.03% 315.14K $15.6M
374 LIBERTY MEDIA FORMULA ONE SERIES C FWONK 0.03% 148.33K $15.5M
375 ESTEE LAUDER INC CLASS A EL 0.03% 147.34K $15.5M
376 CENTERPOINT ENERGY CNP 0.03% 391.93K $15.3M
377 PPG INDUSTRIES PPG 0.03% 133.74K $15.2M
378 OMNICOM GROUP INC OMC 0.03% 171.34K $15.1M
379 DARDEN RESTAURANTS INC DRI 0.03% 68.50K $15.1M
380 PULTEGROUP PHM 0.03% 114.14K $14.9M
381 VERISK ANALYTICS VRSK 0.03% 78.57K $14.8M
382 EXPEDITORS INTERNATIONAL OF WASHIN EXPD 0.03% 78.30K $14.8M
383 HUBBELL INC HUBB 0.03% 31.73K $14.7M
384 NVENT ELECTRIC PLC NVT 0.03% 96.94K $14.7M
385 WEST PHARMACEUTICAL SERVICES WST 0.03% 42.05K $14.7M
386 DOLLAR TREE INC DLTR 0.03% 108.76K $14.6M
387 VERALTO CORP VLTO 0.03% 148.05K $14.6M
388 SOFI TECHNOLOGIES SOFI 0.03% 769.62K $14.6M
389 CHURCH AND DWIGHT INC CHD 0.03% 142.55K $14.6M
390 T ROWE PRICE GROUP TROW 0.03% 129.18K $14.6M
391 CARPENTER TECHNOLOGY CRS 0.03% 29.97K $14.6M
392 FIRSTENERGY CORP FE 0.03% 311.55K $14.5M
393 VERISIGN VRSN 0.03% 48.99K $14.4M
394 NRG ENERGY INC NRG 0.03% 126.37K $14.4M
395 US FOODS HOLDING USFD 0.03% 131.78K $14.4M
396 ROYALTY PHARMA PLC CLASS A RPRX 0.03% 231.17K $14.4M
397 TENET HEALTHCARE CORP THC 0.03% 52.06K $14.2M
398 COREWEAVE CLASS A CRWV 0.03% 158.77K $14.0M
399 FOX CLASS A FOXA 0.03% 198.58K $14.0M
400 ULTA BEAUTY INC ULTA 0.03% 25.96K $14.0M
401 STERIS STE 0.03% 58.77K $13.9M
402 AFFIRM HOLDINGS CLASS A AFRM 0.03% 177.80K $13.9M
403 EQUIFAX EFX 0.03% 72.00K $13.8M
404 AMRIZE AG AMRZ 0.03% 309.12K $13.7M
405 EXPAND ENERGY EXE 0.03% 143.59K $13.6M
406 XPO XPO 0.03% 70.70K $13.6M
407 MARKEL GROUP MKL 0.03% 7.46K $13.5M
408 CURTISS WRIGHT CW 0.03% 22.12K $13.5M
409 FIRST SOLAR FSLR 0.03% 64.80K $13.4M
410 COEUR MINING CDE 0.03% 620.75K $13.4M
411 INTERNATIONAL FLAVORS & FRAGRANCES IFF 0.03% 153.62K $13.4M
412 COUPANG CLASS A CPNG 0.03% 797.77K $13.3M
413 AMCOR PLC AMCR 0.03% 280.14K $13.3M
414 INCYTE CORP INCY 0.03% 101.57K $13.2M
415 UNITED THERAPEUTICS UTHR 0.03% 25.41K $13.2M
416 OKTA CLASS A OKTA 0.03% 100.69K $13.2M
417 GUARDANT HEALTH GH 0.03% 79.51K $13.1M
418 PRINCIPAL FINANCIAL GROUP INC PFG 0.03% 117.48K $13.1M
419 ROYAL GOLD RGLD 0.03% 48.89K $13.1M
420 PACKAGING CORP OF AMERICA PKG 0.03% 53.09K $13.1M
421 GLOBAL PAYMENTS INC GPN 0.03% 139.21K $13.1M
422 DOW DOW 0.03% 432.92K $13.1M
423 BROWN & BROWN INC BRO 0.03% 177.97K $13.1M
424 F5 INC FFIV 0.03% 33.92K $13.0M
425 SUPER MICRO COMPUTER INC SMCI 0.03% 336.92K $13.0M
426 TEXAS PACIFIC LAND TPL 0.03% 34.76K $13.0M
427 INTERNATIONAL PAPER IP 0.03% 315.97K $13.0M
428 GENERAL MILLS INC GIS 0.03% 324.43K $12.9M
429 BROADRIDGE FINANCIAL SOLUTIONS INC BR 0.03% 69.77K $12.9M
430 KRAFT HEINZ KHC 0.03% 508.99K $12.9M
431 FIDELITY NATIONAL INFORMATION SERV FIS 0.03% 315.13K $12.8M
432 REDDIT CLASS A RDDT 0.03% 78.35K $12.7M
433 CMS ENERGY CMS 0.03% 184.88K $12.7M
434 ENTEGRIS INC ENTG 0.03% 91.44K $12.7M
435 ROKU CLASS A ROKU 0.03% 79.14K $12.7M
436 WOODWARD WWD 0.03% 36.25K $12.3M
437 FTAI AVIATION FTAI 0.03% 61.41K $12.3M
438 SNAP ON INC SNA 0.03% 31.09K $12.3M
439 KEYCORP KEY 0.03% 553.37K $12.1M
440 WR BERKLEY WRB 0.03% 175.72K $12.0M
441 SOUTHWEST AIRLINES LUV 0.03% 294.44K $12.0M
442 SBA COMMUNICATIONS REIT CORP CLASS SBAC 0.03% 64.00K $12.0M
443 FIRST CITIZENS BANCSHARES CLASS A FCNCA 0.03% 5.54K $12.0M
444 LENNAR A CORP CLASS A LEN 0.03% 136.29K $12.0M
445 BURLINGTON STORES BURL 0.03% 37.78K $11.9M
446 NISOURCE NI 0.03% 291.49K $11.9M
447 RELIANCE RS 0.03% 30.67K $11.8M
448 CF INDUSTRIES HOLDINGS INC CF 0.03% 92.34K $11.8M
449 JB HUNT TRANSPORT SERVICES JBHT 0.03% 44.52K $11.7M
450 ZIMMER BIOMET HOLDINGS ZBH 0.03% 116.21K $11.7M
451 VIATRIS VTRS 0.03% 695.98K $11.6M
452 LOEWS L 0.03% 102.91K $11.4M
453 EVERGY EVRG 0.03% 139.96K $11.4M
454 GENUINE PARTS GPC 0.03% 82.53K $11.4M
455 ESSEX PROPERTY TRUST REIT ESS 0.03% 38.75K $11.3M
456 CONSTELLATION BRANDS CLASS A STZ 0.03% 83.49K $11.3M
457 TD SYNNEX SNX 0.03% 44.82K $11.3M
458 TRACTOR SUPPLY TSCO 0.03% 316.50K $11.2M
459 CHARTER COMMUNICATIONS CLASS A CHTR 0.03% 72.16K $11.2M
460 DUPONT DE NEMOURS DD 0.02% 81.66K $11.1M
461 PERMIAN RESOURCES CLASS A PR 0.02% 474.67K $11.1M
462 ITT INC ITT 0.02% 53.67K $11.1M
463 JONES LANG LASALLE JLL 0.02% 27.99K $11.0M
464 MKS MKSI 0.02% 40.56K $11.0M
465 FORTIVE FTV 0.02% 184.33K $11.0M
466 CDW CDW 0.02% 76.10K $10.8M
467 OVINTIV OVV 0.02% 166.29K $10.7M
468 FLUTTER ENTERTAINMENT PLC FLUT 0.02% 104.72K $10.7M
469 ALLIANT ENERGY CORP LNT 0.02% 155.93K $10.7M
470 NORDSON NDSN 0.02% 31.90K $10.6M
471 EAST WEST BANCORP EWBC 0.02% 82.14K $10.6M
472 JACOBS SOLUTIONS INC J 0.02% 70.32K $10.6M
473 NUTANIX CLASS A NTNX 0.02% 159.39K $10.6M
474 TOAST CLASS A TOST 0.02% 287.49K $10.6M
475 WEYERHAEUSER REIT WY 0.02% 431.29K $10.5M
476 ZSCALER ZS 0.02% 62.29K $10.5M
477 MACOM TECHNOLOGY SOLUTIONS MTSI 0.02% 39.38K $10.5M
478 PTC PTC 0.02% 69.33K $10.5M
479 SS AND C TECHNOLOGIES HOLDINGS SSNC 0.02% 125.97K $10.5M
480 NVR NVR 0.02% 1.60K $10.3M
481 BALL CORP BALL 0.02% 160.68K $10.3M
482 ZEBRA TECHNOLOGIES CORP CLASS A ZBRA 0.02% 28.51K $10.3M
483 IDEX IEX 0.02% 44.56K $10.3M
484 LEIDOS HOLDINGS LDOS 0.02% 76.19K $10.3M
485 ANNALY CAPITAL MANAGEMENT REIT INC NLY 0.02% 442.15K $10.2M
486 CH ROBINSON WORLDWIDE CHRW 0.02% 70.93K $10.2M
487 TRANSUNION TRU 0.02% 118.41K $10.1M
488 BEST BUY BBY 0.02% 116.83K $10.0M
489 INVITATION HOMES INVH 0.02% 329.55K $10.0M
490 PERFORMANCE FOOD GROUP PFGC 0.02% 94.07K $9.9M
491 ROIVANT SCIENCES LTD ROIV 0.02% 270.02K $9.9M
492 JAZZ PHARMACEUTICALS PLC JAZZ 0.02% 37.77K $9.8M
493 WESCO INTERNATIONAL WCC 0.02% 28.86K $9.8M
494 IONQ IONQ 0.02% 232.59K $9.8M
495 KIMCO REALTY REIT CORP KIM 0.02% 404.37K $9.7M
496 AST SPACEMOBILE CLASS A ASTS 0.02% 156.40K $9.7M
497 LYONDELLBASELL INDUSTRIES CLASS A LYB 0.02% 154.79K $9.7M
498 TYSON FOODS INC CLASS A TSN 0.02% 168.58K $9.6M
499 REINSURANCE GROUP OF AMERICA RGA 0.02% 39.37K $9.6M
500 GEN DIGITAL GEN 0.02% 328.30K $9.6M
501 RIVIAN AUTOMOTIVE INC CLASS A RIVN 0.02% 574.73K $9.6M
502 W. P. CAREY REIT WPC 0.02% 133.50K $9.6M
503 LATTICE SEMICONDUCTOR LSCC 0.02% 82.50K $9.6M
504 GUIDEWIRE SOFTWARE GWRE 0.02% 50.55K $9.5M
505 RB GLOBAL RBA 0.02% 111.26K $9.5M
506 UNITY SOFTWARE U 0.02% 209.39K $9.4M
507 ALBEMARLE CORP ALB 0.02% 70.72K $9.4M
508 RBC BEARINGS RBC 0.02% 18.83K $9.3M
509 API GROUP APG 0.02% 231.15K $9.3M
510 NEWS CLASS A NWSA 0.02% 301.55K $9.3M
511 ARAMARK ARMK 0.02% 157.66K $9.3M
512 LINCOLN ELECTRIC HOLDINGS LECO 0.02% 33.16K $9.3M
513 NEUROCRINE BIOSCIENCES NBIX 0.02% 60.26K $9.2M
514 FABRINET FN 0.02% 21.36K $9.2M
515 STANLEY BLACK & DECKER INC SWK 0.02% 93.51K $9.2M
516 MID AMERICA APARTMENT COMMUNITIES MAA 0.02% 69.72K $9.2M
517 MASTEC INC MTZ 0.02% 37.18K $9.2M
518 AKAMAI TECHNOLOGIES INC AKAM 0.02% 86.65K $9.2M
519 BUNGE GLOBAL SA BG 0.02% 81.70K $9.1M
520 PINNACLE FINANCIAL PARTNERS PNFP 0.02% 90.50K $9.1M
521 CLEAN HARBORS INC CLH 0.02% 29.43K $9.1M
522 RUBRIK CLASS A RBRK 0.02% 97.05K $9.0M
523 HEALTHPEAK PROPERTIES INC DOC 0.02% 414.42K $9.0M
524 TYLER TECHNOLOGIES TYL 0.02% 25.52K $8.9M
525 MASCO MAS 0.02% 122.30K $8.9M
526 STERLING INFRASTRUCTURE STRL 0.02% 18.26K $8.9M
527 APA APA 0.02% 214.70K $8.9M
528 HOST HOTELS & RESORTS REIT HST 0.02% 383.62K $8.8M
529 DYNATRACE INC DT 0.02% 175.79K $8.8M
530 EVEREST GROUP EG 0.02% 23.45K $8.8M
531 ONTO INNOVATION ONTO 0.02% 30.17K $8.8M
532 CARLISLE COMPANIES CSL 0.02% 24.09K $8.8M
533 SAMSARA CLASS A IOT 0.02% 223.39K $8.8M
534 CHARLES RIVER LABORATORIES INTERNA CRL 0.02% 29.35K $8.7M
535 SUN COMMUNITIES REIT INC SUI 0.02% 69.28K $8.7M
536 INVESCO LTD IVZ 0.02% 264.97K $8.7M
537 COOPER COO 0.02% 118.06K $8.6M
538 FIVE BELOW FIVE 0.02% 33.23K $8.6M
539 MEDLINE CLASS A MDLN 0.02% 241.71K $8.6M
540 EXELIXIS INC EXEL 0.02% 151.62K $8.6M
541 TEXTRON INC TXT 0.02% 104.94K $8.6M
542 BITMINE IMMERSION TECHNOLOGIES BMNR 0.02% 344.38K $8.6M
543 TOLL BROTHERS INC TOL 0.02% 56.65K $8.6M
544 ROCKET COMPANIES INC CLASS A RKT 0.02% 594.45K $8.5M
545 HF SINCLAIR DINO 0.02% 91.05K $8.5M
546 HECLA MINING HL 0.02% 404.21K $8.5M
547 REVVITY RVTY 0.02% 67.54K $8.4M
548 TRIMBLE INC TRMB 0.02% 141.85K $8.4M
549 LAS VEGAS SANDS LVS 0.02% 177.98K $8.4M
550 ASSURANT INC AIZ 0.02% 29.40K $8.4M
551 FEDEX FREIGHT HOLDING COMPANY INC FDXF 0.02% 64.99K $8.4M
552 BRIDGEBIO PHARMA BBIO 0.02% 104.05K $8.4M
553 BWX TECHNOLOGIES INC BWXT 0.02% 55.84K $8.4M
554 EQUITABLE HOLDINGS EQH 0.02% 170.82K $8.4M
555 OMEGA HEALTHCARE INVESTORS REIT OHI 0.02% 177.94K $8.4M
556 COSTAR GROUP CSGP 0.02% 254.33K $8.4M
557 RALPH LAUREN CLASS A RL 0.02% 22.98K $8.3M
558 RENAISSANCERE HOLDING RNR 0.02% 25.22K $8.3M
559 MCCORMICK & CO NON-VOTING MKC 0.02% 151.91K $8.3M
560 AVERY DENNISON CORP AVY 0.02% 45.94K $8.3M
561 TALEN ENERGY CORP TLN 0.02% 26.79K $8.2M
562 GARTNER IT 0.02% 41.95K $8.2M
563 SOLVENTUM SOLV 0.02% 89.34K $8.2M
564 RPM INTERNATIONAL INC RPM 0.02% 76.49K $8.2M
565 MUELLER INDUSTRIES INC MLI 0.02% 132.52K $8.2M
566 ALLEGION PLC ALLE 0.02% 50.80K $8.2M
567 ALCOA CORP AA 0.02% 158.35K $8.1M
568 BORGWARNER BWA 0.02% 124.72K $8.1M
569 MEDPACE HOLDINGS MEDP 0.02% 13.20K $8.1M
570 SOMNIGROUP INTERNATIONAL SGI 0.02% 126.12K $8.1M
571 BAXTER INTERNATIONAL BAX 0.02% 305.97K $8.1M
572 GLOBE LIFE GL 0.02% 46.70K $8.0M
573 JM SMUCKER SJM 0.02% 64.01K $8.0M
574 CROWN HOLDINGS INC CCK 0.02% 66.23K $8.0M
575 CACI INTERNATIONAL INC CLASS A CACI 0.02% 13.01K $8.0M
576 LAMAR ADVERTISING COMPANY CLASS A LAMR 0.02% 52.35K $8.0M
577 TEXAS ROADHOUSE INC TXRH 0.02% 39.10K $8.0M
578 UNUM UNM 0.02% 88.40K $7.9M
579 HALOZYME THERAPEUTICS HALO 0.02% 72.48K $7.9M
580 GODADDY CLASS A GDDY 0.02% 79.32K $7.9M
581 SITIME SITM 0.02% 13.23K $7.9M
582 DT MIDSTREAM INC DTM 0.02% 62.04K $7.9M
583 SHARKNINJA SN 0.02% 42.51K $7.8M
584 HASBRO HAS 0.02% 80.56K $7.8M
585 GRACO GGG 0.02% 98.73K $7.8M
586 MANHATTAN ASSOCIATES MANH 0.02% 36.09K $7.7M
587 CLOROX CLX 0.02% 73.23K $7.7M
588 BIOMARIN PHARMACEUTICAL BMRN 0.02% 115.81K $7.7M
589 DRAFTKINGS CLASS A DKNG 0.02% 296.53K $7.7M
590 LULULEMON ATHLETICA LULU 0.02% 64.50K $7.6M
591 CARLYLE GROUP INC CG 0.02% 155.96K $7.6M
592 ARROWHEAD PHARMACEUTICALS ARWR 0.02% 85.40K $7.6M
593 AGNC INVESTMENT REIT AGNC 0.02% 695.22K $7.6M
594 EQUITY LIFESTYLE PROPERTIES REIT I ELS 0.02% 115.33K $7.5M
595 REGENCY CENTERS REIT CORP REG 0.02% 97.94K $7.5M
596 HUBSPOT HUBS 0.02% 31.59K $7.5M
597 DECKERS OUTDOOR DECK 0.02% 84.47K $7.5M
598 PENUMBRA PEN 0.02% 23.09K $7.5M
599 JACK HENRY AND ASSOCIATES INC JKHY 0.02% 43.14K $7.5M
600 NEXTPOWER INC NXT 0.02% 88.12K $7.5M
601 ELANCO ANIMAL HEALTH ELAN 0.02% 297.84K $7.5M
602 TRADEWEB MARKETS INC CLASS A TW 0.02% 69.19K $7.5M
603 APPLIED INDUSTRIAL TECHNOLOGIES AIT 0.02% 21.88K $7.3M
604 LENNOX INTERNATIONAL INC LII 0.02% 18.86K $7.3M
605 GAMING AND LEISURE PROPERTIES REIT GLPI 0.02% 170.26K $7.3M
606 DOCUSIGN DOCU 0.02% 120.78K $7.3M
607 STIFEL FINANCIAL SF 0.02% 91.67K $7.3M
608 TKO GROUP HOLDINGS INC CLASS A TKO 0.02% 37.71K $7.3M
609 FIDELITY NATIONAL FINANCIAL INC FNF 0.02% 153.13K $7.3M
610 BJS WHOLESALE CLUB HOLDINGS BJ 0.02% 76.52K $7.2M
611 OWENS CORNING OC 0.02% 49.19K $7.2M
612 ALLY FINANCIAL INC ALLY 0.02% 168.43K $7.2M
613 PINNACLE WEST PNW 0.02% 72.79K $7.1M
614 ECHOSTAR CLASS A ECHO 0.02% 81.81K $7.1M
615 GENERAC HOLDINGS GNRC 0.02% 35.06K $7.1M
616 ENCOMPASS HEALTH EHC 0.02% 58.84K $7.1M
617 TTM TECHNOLOGIES INC TTMI 0.02% 62.76K $7.1M
618 SEMTECH SMTC 0.02% 55.14K $7.0M
619 SERVICE CORPORATION INTERNATIONAL SCI 0.02% 82.71K $7.0M
620 WAYFAIR CLASS A W 0.02% 66.49K $7.0M
621 CORCEPT THERAPEUTICS CORT 0.02% 56.24K $7.0M
622 FIRST HORIZON FHN 0.02% 284.26K $6.9M
623 PINTEREST CLASS A PINS 0.02% 291.15K $6.9M
624 BIO TECHNE TECH 0.02% 94.96K $6.9M
625 ESSENTIAL UTILITIES INC WTRG 0.02% 167.82K $6.8M
626 HUNTINGTON INGALLS INDUSTRIES HII 0.02% 23.48K $6.8M
627 QXO INC QXO 0.02% 491.07K $6.8M
628 UDR REIT UDR 0.02% 177.45K $6.8M
629 KNIGHT-SWIFT TRANSPORTATION HOLDIN KNX 0.01% 97.14K $6.7M
630 EVERCORE CLASS A EVR 0.01% 22.97K $6.7M
631 NEW YORK TIMES CLASS A NYT 0.01% 96.86K $6.7M
632 COCA COLA CONSOLIDATED INC COKE 0.01% 33.71K $6.6M
633 AMERICAN HOMES RENT REIT CLASS A AMH 0.01% 191.65K $6.6M
634 ANTERO RESOURCES AR 0.01% 173.60K $6.6M
635 AMERICAN HEALTHCARE REIT AHR 0.01% 115.21K $6.6M
636 POPULAR BPOP 0.01% 38.68K $6.6M
637 ALLISON TRANSMISSION HOLDINGS ALSN 0.01% 49.49K $6.5M
638 FACTSET RESEARCH SYSTEMS FDS 0.01% 21.88K $6.5M
639 CAMDEN PROPERTY TRUST REIT CPT 0.01% 59.73K $6.5M
640 ALIGN TECHNOLOGY ALGN 0.01% 40.48K $6.5M
641 EASTGROUP PROPERTIES REIT EGP 0.01% 31.86K $6.5M
642 REGAL REXNORD RRX 0.01% 39.73K $6.4M
643 MOOG INC CLASS A 0.01% 17.07K $6.4M
644 DONALDSON DCI 0.01% 68.91K $6.4M
645 FRANKLIN TEMPLETON BEN 0.01% 183.20K $6.4M
646 BRINKER INTERNATIONAL INC EAT 0.01% 25.62K $6.4M
647 CYTOKINETICS CYTK 0.01% 82.04K $6.4M
648 ROLLINS INC ROL 0.01% 174.72K $6.4M
649 BXP BXP 0.01% 87.82K $6.3M
650 DOMINOS PIZZA DPZ 0.01% 18.09K $6.3M
651 ADVANCED ENERGY INDUSTRIES AEIS 0.01% 22.92K $6.3M
652 DYCOM INDUSTRIES INC DY 0.01% 17.95K $6.3M
653 ENSIGN GROUP ENSG 0.01% 35.14K $6.3M
654 ARROW ELECTRONICS ARW 0.01% 31.05K $6.3M
655 GLAUKOS GKOS 0.01% 34.59K $6.3M
656 AES AES 0.01% 425.62K $6.3M
657 WATSCO WSO 0.01% 20.69K $6.3M
658 CULLEN FROST BANKERS INC CFR 0.01% 38.18K $6.2M
659 IONIS PHARMACEUTICALS IONS 0.01% 97.94K $6.2M
660 SOUTHSTATE BANK CORP SSB 0.01% 58.59K $6.2M
661 MOLINA HEALTHCARE INC MOH 0.01% 31.12K $6.2M
662 AVANTOR AVTR 0.01% 428.95K $6.2M
663 SANMINA SANM 0.01% 32.34K $6.2M
664 CNH INDUSTRIAL N.V. CNH 0.01% 532.15K $6.2M
665 SEI INVESTMENTS SEIC 0.01% 55.25K $6.1M
666 PAYCOM SOFTWARE PAYC 0.01% 26.35K $6.1M
667 SPX TECHNOLOGIES INC SPXC 0.01% 30.37K $6.1M
668 PENTAIR PLC PNR 0.01% 97.54K $6.1M
669 CRANE CR 0.01% 29.52K $6.1M
670 FLOWSERVE FLS 0.01% 75.48K $6.1M
671 WATTS WATER TECHNOLOGIES CLASS A WTS 0.01% 16.35K $6.1M
672 INSULET PODD 0.01% 42.34K $6.1M
673 UMB FINANCIAL CORP UMBF 0.01% 42.18K $6.1M
674 LITTELFUSE LFUS 0.01% 14.93K $6.1M
675 WINTRUST FINANCIAL CORP WTFC 0.01% 39.99K $6.0M
676 ADVANCED DRAINAGE SYSTEMS INC WMS 0.01% 42.63K $6.0M
677 ACUITY AYI 0.01% 17.63K $6.0M
678 KRATOS DEFENSE AND SECURITY SOLUTI KTOS 0.01% 113.81K $6.0M
679 MATCH GROUP INC MTCH 0.01% 141.68K $6.0M
680 MODINE MANUFACTURING MOD 0.01% 31.73K $6.0M
681 APTIV PLC APTV 0.01% 127.54K $6.0M
682 DARLING INGREDIENTS DAR 0.01% 94.87K $5.9M
683 COGNEX CGNX 0.01% 98.70K $5.9M
684 SKYWORKS SOLUTIONS SWKS 0.01% 89.74K $5.9M
685 ZIONS BANCORPORATION ZION 0.01% 86.97K $5.9M
686 AMERICAN FINANCIAL GROUP AFG 0.01% 40.83K $5.9M
687 TETRA TECH TTEK 0.01% 158.63K $5.8M
688 RAMBUS RMBS 0.01% 64.74K $5.8M
689 TORO TTC 0.01% 58.41K $5.8M
690 VIASAT INC VSAT 0.01% 80.11K $5.8M
691 RANGE RESOURCES RRC 0.01% 141.22K $5.8M
692 AFFILIATED MANAGERS GROUP AMG 0.01% 15.85K $5.8M
693 OSHKOSH CORP OSK 0.01% 37.27K $5.8M
694 OGE ENERGY OGE 0.01% 125.36K $5.8M
695 TWIST BIOSCIENCE TWST 0.01% 37.94K $5.7M
696 OLD REPUBLIC INTERNATIONAL ORI 0.01% 135.98K $5.7M
697 REPLIGEN RGEN 0.01% 31.37K $5.7M
698 MADRIGAL PHARMACEUTICALS MDGL 0.01% 11.08K $5.7M
699 PRAXIS PRECISION MEDICINES PRAX 0.01% 15.41K $5.7M
700 AMERICAN AIRLINES GROUP AAL 0.01% 406.16K $5.7M
701 CARETRUST REIT CTRE 0.01% 141.82K $5.7M
702 UNIVERSAL HEALTH SERVICES INC CLAS UHS 0.01% 32.08K $5.6M
703 RYDER SYSTEM R 0.01% 22.71K $5.6M
704 PROTAGONIST THERAPEUTICS PTGX 0.01% 37.12K $5.6M
705 KRYSTAL BIOTECH KRYS 0.01% 15.66K $5.6M
706 JACKSON FINANCIAL CLASS A JXN 0.01% 42.29K $5.6M
707 GLOBUS MEDICAL CLASS A GMED 0.01% 66.95K $5.6M
708 CUBESMART REIT CUBE 0.01% 135.49K $5.5M
709 DIGITALOCEAN HOLDINGS DOCN 0.01% 48.78K $5.5M
710 PRIMERICA PRI 0.01% 18.40K $5.5M
711 MURPHY USA MUSA 0.01% 10.06K $5.5M
712 FEDERAL REALTY INVESTMENT TRUST RE FRT 0.01% 46.49K $5.5M
713 VALMONT INDS VMI 0.01% 11.54K $5.5M
714 BRIGHTSPRING HEALTH SERVICES INC BTSG 0.01% 95.36K $5.5M
715 SAIA INC SAIA 0.01% 15.86K $5.5M
716 VOYA FINANCIAL VOYA 0.01% 54.21K $5.5M
717 RYMAN HOSPITALITY PROPERTIES REIT RHP 0.01% 40.93K $5.4M
718 HEALTHEQUITY HQY 0.01% 51.60K $5.4M
719 BRIXMOR PROPERTY GROUP REIT INC BRX 0.01% 184.23K $5.4M
720 CRINETICS PHARMACEUTICALS CRNX 0.01% 63.93K $5.4M
721 CARMAX INC KMX 0.01% 83.99K $5.4M
722 OLD NATIONAL BANCORP ONB 0.01% 207.85K $5.3M
723 BOOZ ALLEN HAMILTON HOLDING CLASS BAH 0.01% 72.19K $5.3M
724 AGREE REALTY REIT ADC 0.01% 71.65K $5.3M
725 INTERDIGITAL INC IDCC 0.01% 15.35K $5.3M
726 AXSOME THERAPEUTICS AXSM 0.01% 25.78K $5.3M
727 COLUMBIA BANKING SYSTEM INC COLB 0.01% 173.22K $5.3M
728 HENRY SCHEIN HSIC 0.01% 58.81K $5.3M
729 VIAVI SOLUTIONS VIAV 0.01% 139.70K $5.3M
730 SOLSTICE ADVANCED MATERIALS INC SOLS 0.01% 94.68K $5.3M
731 FIRSTCASH HOLDINGS INC FCFS 0.01% 22.81K $5.2M
732 JEFFERIES FINANCIAL GROUP INC JEF 0.01% 99.09K $5.2M
733 NNN REIT NNN 0.01% 112.56K $5.2M
734 APTARGROUP ATR 0.01% 38.45K $5.2M
735 ALEXANDRIA REAL ESTATE EQUITIES RE ARE 0.01% 97.72K $5.2M
736 HUT CORP HUT 0.01% 60.44K $5.2M
737 KINSALE CAPITAL GROUP INC KNSL 0.01% 13.28K $5.2M
738 VIPER ENERGY INC CLASS A VNOM 0.01% 116.32K $5.1M
739 APPLIED OPTOELECTRONICS AAOI 0.01% 45.24K $5.1M
740 PROSPERITY BANCSHARES PB 0.01% 70.38K $5.1M
741 MAPLEBEAR CART 0.01% 98.81K $5.1M
742 AUTOLIV ALV 0.01% 40.96K $5.1M
743 FORMFACTOR INC FORM 0.01% 46.98K $5.1M
744 LITHIA MOTORS INC CLASS A LAD 0.01% 13.58K $5.1M
745 REXFORD INDUSTRIAL REALTY REIT REXR 0.01% 134.02K $5.0M
746 CORE & MAIN INC CLASS A CNM 0.01% 113.36K $5.0M
747 MGM RESORTS INTERNATIONAL MGM 0.01% 115.10K $5.0M
748 FIRST INDUSTRIAL REALTY TRUST FR 0.01% 78.44K $5.0M
749 SPYRE THERAPEUTICS INC SYRE 0.01% 46.20K $5.0M
750 WESTERN ALLIANCE WAL 0.01% 62.16K $5.0M
751 WYNN RESORTS WYNN 0.01% 49.92K $4.9M
752 UGI UGI 0.01% 128.02K $4.9M
753 CONAGRA BRANDS CAG 0.01% 301.54K $4.9M
754 DICKS SPORTING DKS 0.01% 39.45K $4.9M
755 MP MATERIALS CLASS A MP 0.01% 81.49K $4.9M
756 KYMERA THERAPEUTICS KYMR 0.01% 38.63K $4.9M
757 AECOM ACM 0.01% 77.64K $4.9M
758 EASTMAN CHEMICAL EMN 0.01% 67.67K $4.9M
759 ALKERMES ALKS 0.01% 98.96K $4.9M
760 ELEMENT SOLUTIONS INC ESI 0.01% 137.10K $4.9M
761 MOSAIC MOS 0.01% 200.30K $4.9M
762 SM ENERGY SM 0.01% 135.32K $4.8M
763 SPROUTS FARMERS MARKET INC SFM 0.01% 56.07K $4.8M
764 CHORD ENERGY CHRD 0.01% 34.13K $4.8M
765 ZILLOW GROUP CLASS C Z 0.01% 133.07K $4.8M
766 COMMERCE BANCSHARES CBSH 0.01% 82.38K $4.8M
767 ETSY ETSY 0.01% 56.67K $4.8M
768 US DOLLAR USD 0.01% 4.72M $4.7M
769 TIMKEN TKR 0.01% 38.51K $4.7M
770 NATIONAL FUEL GAS NFG 0.01% 57.32K $4.7M
771 NORWEGIAN CRUISE LINE HOLDINGS NCLH 0.01% 272.61K $4.7M
772 VAXCYTE PCVX 0.01% 76.85K $4.7M
773 HANOVER INSURANCE GROUP THG 0.01% 20.66K $4.7M
774 ARMSTRONG WORLD INDUSTRIES AWI 0.01% 26.09K $4.7M
775 COREBRIDGE FINANCIAL INC CRBG 0.01% 146.93K $4.7M
776 APOGEE THERAPEUTICS APGE 0.01% 34.50K $4.7M
777 SIMPSON MANUFACTURING SSD 0.01% 24.91K $4.7M
778 AXALTA COATING SYSTEMS AXTA 0.01% 127.25K $4.6M
779 AXIS CAPITAL HOLDINGS AXS 0.01% 46.29K $4.6M
780 10X GENOMICS CLASS A TXG 0.01% 70.74K $4.6M
781 LAMB WESTON HOLDINGS LW 0.01% 82.15K $4.6M
782 IDACORP IDA 0.01% 32.92K $4.5M
783 COMPASS INC CLASS A COMP 0.01% 383.99K $4.5M
784 LIBERTY LIVE HOLDINGS INC SERIES C LLYVK 0.01% 41.84K $4.5M
785 QORVO QRVO 0.01% 47.85K $4.5M
786 GAMESTOP CLASS A GME 0.01% 249.31K $4.5M
787 STONEX GROUP INC SNEX 0.01% 64.41K $4.5M
788 TG THERAPEUTICS TGTX 0.01% 80.74K $4.5M
789 COMMERCIAL METALS CMC 0.01% 66.89K $4.5M
790 KIRBY CORP KEX 0.01% 32.39K $4.5M
791 BLUE OWL CAPITAL CLASS A OWL 0.01% 377.81K $4.5M
792 APPLIED DIGITAL APLD 0.01% 154.09K $4.4M
793 MADISON SQUARE GARDEN SPORTS CLASS MSGS 0.01% 10.92K $4.4M
794 FIRST AMERICAN FINANCIAL CORP FAF 0.01% 60.60K $4.4M
795 TEREX TEX 0.01% 67.91K $4.4M
796 ELASTIC ESTC 0.01% 55.04K $4.4M
797 BUILDERS FIRSTSOURCE INC BLDR 0.01% 63.72K $4.4M
798 LINCOLN NATIONAL CORP LNC 0.01% 103.48K $4.4M
799 TERRENO REALTY REIT TRNO 0.01% 64.09K $4.4M
800 NOV NOV 0.01% 219.67K $4.4M
801 ONEMAIN HOLDINGS OMF 0.01% 69.14K $4.4M
802 PROCORE TECHNOLOGIES INC PCOR 0.01% 72.12K $4.4M
803 D WAVE QUANTUM QBTS 0.01% 225.81K $4.4M
804 SILICON LABORATORIES SLAB 0.01% 20.00K $4.4M
805 VENTURE GLOBAL CLASS A VG 0.01% 310.22K $4.4M
806 FEDERAL SIGNAL CORP FSS 0.01% 36.15K $4.4M
807 TPG INC CLASS A TPG 0.01% 82.42K $4.4M
808 AURORA INNOVATION CLASS A AUR 0.01% 754.57K $4.4M
809 RHYTHM PHARMACEUTICALS RYTM 0.01% 38.40K $4.4M
810 ANTERO MIDSTREAM AM 0.01% 198.05K $4.3M
811 CHEMED CORP CHE 0.01% 7.97K $4.3M
812 ESCO TECHNOLOGIES ESE 0.01% 15.63K $4.3M
813 FLUOR CORP FLR 0.01% 84.43K $4.3M
814 HYATT HOTELS CORP CLASS A H 0.01% 24.44K $4.3M
815 ZURN ELKAY WATER SOLUTIONS CORP ZWS 0.01% 88.33K $4.3M
816 TEMPUS AI CLASS A TEM 0.01% 62.26K $4.3M
817 HEXCEL HXL 0.01% 45.68K $4.3M
818 AVNET INC AVT 0.01% 48.52K $4.3M
819 ENERSYS ENS 0.01% 21.82K $4.2M
820 STAG INDUSTRIAL REIT STAG 0.01% 114.00K $4.2M
821 UIPATH INC CLASS A PATH 0.01% 253.13K $4.2M
822 A O SMITH AOS 0.01% 67.79K $4.2M
823 NEWMARKET NEU 0.01% 4.51K $4.2M
824 OSCAR HEALTH CLASS A OSCR 0.01% 135.60K $4.2M
825 HOULIHAN LOKEY INC CLASS A HLI 0.01% 32.50K $4.2M
826 BIO RAD LABORATORIES CLASS A BIO 0.01% 10.74K $4.2M
827 MOHAWK INDUSTRIES MHK 0.01% 31.29K $4.2M
828 WEX WEX 0.01% 20.95K $4.2M
829 LYFT CLASS A LYFT 0.01% 236.91K $4.2M
830 RALLIANT RAL 0.01% 67.73K $4.2M
831 CAVA GROUP CAVA 0.01% 60.25K $4.2M
832 ARCOSA ACA 0.01% 28.66K $4.2M
833 VICTORIA S SECRET VSXY 0.01% 47.65K $4.2M
834 MACERICH REIT MAC 0.01% 170.53K $4.1M
835 HORMEL FOODS CORP HRL 0.01% 173.91K $4.1M
836 RIOT PLATFORMS RIOT 0.01% 193.76K $4.1M
837 SENTINELONE INC CLASS A S 0.01% 202.27K $4.1M
838 LIFE TIME GROUP HOLDINGS LTH 0.01% 91.94K $4.1M
839 MOLSON COORS BEVERAGE COMPANY CLAS TAP 0.01% 97.11K $4.1M
840 U HAUL NON VOTING SERIES N UHALB 0.01% 66.44K $4.1M
841 AGCO AGCO 0.01% 36.69K $4.1M
842 ERIE INDEMNITY CLASS A ERIE 0.01% 15.67K $4.0M
843 HIMS HERS HEALTH CLASS A HIMS 0.01% 127.19K $4.0M
844 INGREDION INC INGR 0.01% 38.32K $4.0M
845 VALLEY NATIONAL VLY 0.01% 285.26K $4.0M
846 HEALTHCARE REALTY TRUST INC CLASS HR 0.01% 207.21K $4.0M
847 MATSON INC MATX 0.01% 18.03K $4.0M
848 GATES INDUSTRIAL PLC GTES 0.01% 154.63K $4.0M
849 ESSENTIAL PROPERTIES REALTY TRUST EPRT 0.01% 129.93K $4.0M
850 MSA SAFETY MSA 0.01% 21.29K $4.0M
851 H&R BLOCK INC HRB 0.01% 75.10K $4.0M
852 PAYLOCITY HOLDING CORP PCTY 0.01% 26.12K $4.0M
853 FNB CORP FNB 0.01% 215.87K $4.0M
854 TERAWULF WULF 0.01% 242.56K $4.0M
855 MGIC INVESTMENT MTG 0.01% 126.68K $4.0M
856 CLEVELAND CLIFFS INC CLF 0.01% 340.37K $3.9M
857 PLEXUS CORP PLXS 0.01% 16.23K $3.9M
858 LKQ CORP LKQ 0.01% 154.10K $3.9M
859 LANTHEUS HOLDINGS LNTH 0.01% 38.75K $3.9M
860 MATADOR RESOURCES MTDR 0.01% 70.34K $3.9M
861 UNITED BANKSHARES UBSI 0.01% 82.08K $3.9M
862 ARGAN AGX 0.01% 8.61K $3.9M
863 DUTCH BROS CLASS A BROS 0.01% 75.78K $3.9M
864 QUALYS QLYS 0.01% 21.95K $3.9M
865 VORNADO REALTY TRUST REIT VNO 0.01% 96.65K $3.9M
866 SNAP INC CLASS A SNAP 0.01% 650.43K $3.9M
867 ORMAT TECH INC ORA 0.01% 36.19K $3.8M
868 URANIUM ENERGY UEC 0.01% 289.45K $3.8M
869 ESSENT GROUP ESNT 0.01% 55.46K $3.8M
870 WEATHERFORD INTERNATIONAL PLC WFRD 0.01% 43.33K $3.8M
871 PLANET LABS CLASS A PL 0.01% 176.98K $3.8M
872 EAGLE MATERIALS INC EXP 0.01% 19.18K $3.8M
873 ENPRO NPO 0.01% 12.54K $3.8M
874 COGENT BIOSCIENCES COGT 0.01% 103.37K $3.8M
875 CEREBRAS SYSTEMS INC CLASS A CBRS 0.01% 20.62K $3.8M
876 BROWN FORMAN CLASS B 0.01% 134.57K $3.8M
877 LEAR LEA 0.01% 30.53K $3.8M
878 GATX GATX 0.01% 21.04K $3.8M
879 BRUKER BRKR 0.01% 66.25K $3.8M
880 ELF BEAUTY ELF 0.01% 35.52K $3.8M
881 PTC THERAPEUTICS PTCT 0.01% 50.91K $3.7M
882 TELEFLEX TFX 0.01% 26.59K $3.7M
883 TRAVERE THERAPEUTICS TVTX 0.01% 55.37K $3.7M
884 CAESARS ENTERTAINMENT INC CZR 0.01% 125.02K $3.7M
885 VSE CORP VSEC 0.01% 17.02K $3.7M
886 FORGENT POWER SOLUTIONS CLASS A FPS 0.01% 114.90K $3.7M
887 FLOOR DECOR HOLDINGS CLASS A FND 0.01% 67.91K $3.7M
888 MOBILITY GLOBAL INC MBGL 0.01% 181.68K $3.7M
889 JBT MAREL JBTM 0.01% 31.20K $3.7M
890 GITLAB CLASS A GTLB 0.01% 88.30K $3.7M
891 OKLO CLASS A OKLO 0.01% 82.93K $3.7M
892 SENSATA TECHNOLOGIES HOLDING PLC ST 0.01% 86.48K $3.6M
893 MAGNOLIA OIL GAS CORP CLASS A MGY 0.01% 137.85K $3.6M
894 HANCOCK WHITNEY HWC 0.01% 48.79K $3.6M
895 DUOLINGO CLASS A DUOL 0.01% 24.89K $3.6M
896 CHEWY INC CLASS A CHWY 0.01% 147.24K $3.6M
897 GENPACT G 0.01% 97.21K $3.6M
898 EXLSERVICE HOLDINGS EXLS 0.01% 96.55K $3.6M
899 GLACIER BANCORP INC GBCI 0.01% 76.26K $3.6M
900 LANDSTAR SYSTEM LSTR 0.01% 20.23K $3.6M
901 CROCS CROX 0.01% 29.31K $3.6M
902 MACYS INC M 0.01% 158.44K $3.6M
903 CG ONCOLOGY CGON 0.01% 45.32K $3.6M
904 RITHM CAPITAL CORP RITM 0.01% 351.58K $3.6M
905 RAYONIER REIT RYN 0.01% 168.26K $3.6M
906 EVERUS CONSTRUCTION GROUP ECG 0.01% 30.16K $3.6M
907 PRIMO BRANDS CLASS A CORP PRMB 0.01% 152.47K $3.6M
908 ZETA GLOBAL HOLDINGS CLASS A ZETA 0.01% 127.67K $3.6M
909 ENOVA INTERNATIONAL ENVA 0.01% 14.62K $3.6M
910 POOL POOL 0.01% 19.02K $3.5M
911 CASELLA WASTE SYSTEMS CLASS A CWST 0.01% 37.88K $3.5M
912 CHURCHILL DOWNS CHDN 0.01% 39.87K $3.5M
913 RLI CORP RLI 0.01% 54.37K $3.5M
914 BENTLEY SYSTEMS INC CLASS B BSY 0.01% 95.47K $3.5M
915 SCHOLAR ROCK HOLDING SRRK 0.01% 60.36K $3.5M
916 FRONTDOOR INC FTDR 0.01% 42.07K $3.5M
917 MARKETAXESS HOLDINGS MKTX 0.01% 21.62K $3.5M
918 PORTLAND GENERAL ELECTRIC POR 0.01% 70.53K $3.5M
919 CRISPR THERAPEUTICS AG CRSP 0.01% 57.47K $3.5M
920 TRADE DESK INC CLASS A TTD 0.01% 263.81K $3.5M
921 TXNM ENERGY INC TXNM 0.01% 60.86K $3.5M
922 TRANSOCEAN RIG 0.01% 605.97K $3.5M
923 KODIAK GAS SERVICES INC KGS 0.01% 58.94K $3.5M
924 EPAM SYSTEMS EPAM 0.01% 31.03K $3.5M
925 DEFINIUM THERAPEUTICS INC DFTX 0.01% 77.45K $3.5M
926 ATLANTIC UNION BANKSHARES AUB 0.01% 85.57K $3.5M
927 SENSIENT TECHNOLOGIES SXT 0.01% 25.30K $3.5M
928 CELSIUS HOLDINGS CELH 0.01% 97.93K $3.5M
929 VERSANT MEDIA GROUP INC CLASS A VSNT 0.01% 86.18K $3.4M
930 CORE SCIENTIFIC INC CORZ 0.01% 190.25K $3.4M
931 WYNDHAM HOTELS RESORTS WH 0.01% 45.18K $3.4M
932 CIRRUS LOGIC CRUS 0.01% 30.75K $3.4M
933 SOUTHWEST GAS HOLDINGS SWX 0.01% 38.24K $3.4M
934 ARCHROCK AROC 0.01% 110.88K $3.4M
935 RIGETTI COMPUTING RGTI 0.01% 200.49K $3.4M
936 UL SOLUTIONS INC CLASS A ULS 0.01% 45.89K $3.4M
937 BALCHEM BCPC 0.01% 18.90K $3.4M
938 DAVITA INC DVA 0.01% 19.06K $3.4M
939 AXOS FINANCIAL AX 0.01% 34.29K $3.4M
940 BLACK HILLS CORP BKH 0.01% 46.38K $3.4M
941 NOBLE CORPORATION PLC NE 0.01% 73.84K $3.4M
942 SONOCO PRODUCTS SON 0.01% 58.14K $3.4M
943 LIGAND PHARMACEUTICALS LGND 0.01% 11.94K $3.4M
944 STARWOOD PROPERTY TRUST REIT INC STWD 0.01% 208.63K $3.4M
945 AMKOR TECHNOLOGY AMKR 0.01% 68.66K $3.3M
946 APPFOLIO CLASS A APPF 0.01% 14.98K $3.3M
947 LUMEN TECHNOLOGIES LUMN 0.01% 567.07K $3.3M
948 IES INC IESC 0.01% 10.65K $3.3M
949 MAXLINEAR MXL 0.01% 50.23K $3.3M
950 FORTUNE BRANDS INNOVATIONS FBIN 0.01% 72.85K $3.3M
951 HOME BANCSHARES INC HOMB 0.01% 111.14K $3.3M
952 SELECTIVE INSURANCE GROUP SIGI 0.01% 35.93K $3.3M
953 NEXSTAR MEDIA GROUP INC NXST 0.01% 17.43K $3.3M
954 ACI WORLDWIDE ACIW 0.01% 62.87K $3.3M
955 RADNET RDNT 0.01% 42.81K $3.3M
956 PBF ENERGY CLASS A PBF 0.01% 49.42K $3.3M
957 KITE REALTY GROUP TRUST REIT KRG 0.01% 124.19K $3.3M
958 INSTALLED BUILDING PRODUCTS IBP 0.01% 13.27K $3.3M
959 POWELL INDUSTRIES INC POWL 0.01% 17.21K $3.3M
960 AMERIS BANCORP ABCB 0.01% 38.23K $3.3M
961 VALARIS LTD VAL 0.01% 38.04K $3.3M
962 NEW JERSEY RESOURCES CORP NJR 0.01% 60.54K $3.3M
963 WARRIOR MET COAL INC HCC 0.01% 30.92K $3.3M
964 VICTORY CAPITAL HOLDINGS CLASS A VCTR 0.01% 28.16K $3.2M
965 SLM CORP SLM 0.01% 122.57K $3.2M
966 SIRIUSXM HOLDINGS SIRI 0.01% 112.77K $3.2M
967 SCIENCE APPLICATIONS INTERNATIONAL SAIC 0.01% 25.40K $3.2M
968 RYAN SPECIALTY HOLDINGS CLASS A RYAN 0.01% 73.34K $3.2M
969 MERIT MEDICAL SYSTEMS INC MMSI 0.01% 35.31K $3.2M
970 RUSH ENTERPRISES CLASS A RUSHA 0.01% 41.66K $3.2M
971 CIRCLE INTERNET GROUP CLASS A CRCL 0.01% 34.79K $3.2M
972 GRANITE CONSTRUCTION GVA 0.01% 26.25K $3.2M
973 GXO LOGISTICS GXO 0.01% 67.29K $3.2M
974 SERVICETITAN CLASS A TTAN 0.01% 34.73K $3.2M
975 AAR AIR 0.01% 23.36K $3.2M
976 MSC INDUSTRIAL CLASS A MSM 0.01% 26.71K $3.2M
977 SABRA HEALTH CARE REIT SBRA 0.01% 151.71K $3.2M
978 COMMVAULT SYSTEMS CVLT 0.01% 24.03K $3.2M
979 WHITE MOUNTAINS INSURANCE GROUP WTM 0.01% 1.47K $3.2M
980 CHAMPION HOMES INC SKY 0.01% 34.18K $3.1M
981 VIRTU FINANCIAL INC CLASS A VIRT 0.01% 47.99K $3.1M
982 BRUNSWICK CORP BC 0.01% 38.95K $3.1M
983 ORUKA THERAPEUTICS INC ORKA 0.01% 30.59K $3.1M
984 CSW INDUSTRIALS CSW 0.01% 9.64K $3.1M
985 DROPBOX INC CLASS A DBX 0.01% 89.31K $3.1M
986 BANK OZK OZK 0.01% 63.12K $3.1M
987 UFP INDUSTRIES UFPI 0.01% 34.94K $3.1M
988 GENTEX GNTX 0.01% 130.27K $3.1M
989 SOTERA HEALTH COMPANY SHC 0.01% 157.43K $3.1M
990 ONE GAS OGS 0.01% 38.18K $3.1M
991 VAIL RESORTS MTN 0.01% 20.73K $3.1M
992 IRIDIUM COMMUNICATIONS IRDM 0.01% 65.04K $3.1M
993 PHILLIPS EDISON AND COMPANY PECO 0.01% 76.58K $3.1M
994 CNX RESOURCES CNX 0.01% 84.87K $3.1M
995 AAON AAON 0.01% 40.07K $3.1M
996 MOELIS CLASS A MC 0.01% 44.81K $3.0M
997 CONSTRUCTION PARTNERS CLASS A ROAD 0.01% 27.71K $3.0M
998 TREX TREX 0.01% 64.86K $3.0M
999 HA SUSTAINABLE INFRASTRUCTURE CAPI HASI 0.01% 76.30K $3.0M
1000 COUSINS PROPERTIES REIT INC CUZ 0.01% 99.69K $3.0M
1001 LAUREATE EDUCATION LAUR 0.01% 78.26K $3.0M
1002 ABERCROMBIE AND FITCH CLASS A ANF 0.01% 27.53K $3.0M
1003 CIPHER DIGITAL INC CIFR 0.01% 183.81K $3.0M
1004 ASSOCIATED BANCORP ASB 0.01% 97.06K $3.0M
1005 CNO FINANCIAL GROUP CNO 0.01% 55.19K $3.0M
1006 RINGCENTRAL INC CLASS A RNG 0.01% 45.57K $3.0M
1007 ALASKA AIR GROUP INC ALK 0.01% 68.92K $3.0M
1008 PIPER SANDLER COMPANIES PIPR 0.01% 39.92K $3.0M
1009 LIQUIDIA LQDA 0.01% 42.22K $3.0M
1010 RADIAN GROUP RDN 0.01% 80.58K $3.0M
1011 LAZARD LAZ 0.01% 67.70K $3.0M
1012 MORNINGSTAR MORN 0.01% 13.78K $3.0M
1013 THE CAMPBELL S COMPANY CPB 0.01% 126.22K $3.0M
1014 CHEESECAKE FACTORY INC CAKE 0.01% 26.09K $3.0M
1015 NOVANTA NOVT 0.01% 21.19K $3.0M
1016 AUTONATION AN 0.01% 14.99K $3.0M
1017 OCEANEERING INTERNATIONAL INC OII 0.01% 59.08K $3.0M
1018 CELANESE CORP CE 0.01% 66.11K $2.9M
1019 PERIMETER SOLUTIONS PRM 0.01% 93.90K $2.9M
1020 CORE NATURAL RESOURCES CNR 0.01% 30.29K $2.9M
1021 SPIRE INC SR 0.01% 35.29K $2.9M
1022 ENPHASE ENERGY ENPH 0.01% 78.48K $2.9M
1023 VONTIER VNT 0.01% 87.69K $2.9M
1024 MERITAGE CORP MTH 0.01% 39.84K $2.9M
1025 HAEMONETICS CORP HAE 0.01% 26.98K $2.9M
1026 EASTERN BANKSHARES INC EBC 0.01% 129.41K $2.9M
1027 MERCURY SYSTEMS INC MRCY 0.01% 32.82K $2.9M
1028 MILLROSE PROPERTIES INC CLASS A MRP 0.01% 92.97K $2.9M
1029 ERASCA ERAS 0.01% 162.04K $2.9M
1030 GALAXY DIGITAL INC CLASS A GLXY 0.01% 116.08K $2.9M
1031 AEROVIRONMENT AVAV 0.01% 19.51K $2.9M
1032 MYR GROUP INC MYRG 0.01% 9.70K $2.9M
1033 OUTFRONT MEDIA OUT 0.01% 93.64K $2.9M
1034 FEDERATED HERMES INC CLASS B FHI 0.01% 43.90K $2.9M
1035 KBR INC KBR 0.01% 76.11K $2.9M
1036 STANDARDAERO SARO 0.01% 114.82K $2.9M
1037 ALLEGRO MICROSYSTEMS INC ALGM 0.01% 76.39K $2.9M
1038 MIDDLEBY MIDD 0.01% 25.05K $2.9M
1039 MIRUM PHARMACEUTICALS MIRM 0.01% 29.09K $2.9M
1040 MATERION MTRN 0.01% 12.24K $2.8M
1041 ENVISTA HOLDINGS NVST 0.01% 103.35K $2.8M
1042 ROBERT HALF INC RHI 0.01% 62.90K $2.8M
1043 BOOT BARN HOLDINGS BOOT 0.01% 17.68K $2.8M
1044 VARONIS SYSTEMS VRNS 0.01% 69.17K $2.8M
1045 HAMILTON LANE CLASS A HLNE 0.01% 26.31K $2.8M
1046 COVISTA CVSA 0.01% 20.54K $2.8M
1047 MARA HOLDINGS MARA 0.01% 236.06K $2.8M
1048 PRICESMART PSMT 0.01% 15.69K $2.8M
1049 HERC HOLDINGS HRI 0.01% 17.73K $2.8M
1050 CACTUS CLASS A WHD 0.01% 41.15K $2.8M
1051 MURPHY OIL CORP MUR 0.01% 79.76K $2.8M
1052 PJT PARTNERS CLASS A PJT 0.01% 15.80K $2.8M
1053 TRAVEL LEISURE TNL 0.01% 37.41K $2.8M
1054 GAP GAP 0.01% 136.67K $2.8M
1055 BOYD GAMING BYD 0.01% 33.92K $2.8M
1056 ACM RESEARCH CLASS A ACMR 0.01% 34.48K $2.8M
1057 VF CORP VFC 0.01% 198.46K $2.8M
1058 INSIGHT ENTERPRISES INC NSIT 0.01% 18.23K $2.7M
1059 CAVCO INDUSTRIES CVCO 0.01% 4.67K $2.7M
1060 BOX INC CLASS A BOX 0.01% 83.08K $2.7M
1061 ESAB CORP ESAB 0.01% 34.02K $2.7M
1062 ICU MEDICAL ICUI 0.01% 14.94K $2.7M
1063 EPR PROPERTIES REIT EPR 0.01% 45.11K $2.7M
1064 PLANET FITNESS INC CLASS A PLNT 0.01% 51.53K $2.7M
1065 LOUISIANA PACIFIC LPX 0.01% 37.42K $2.7M
1066 OLLIES BARGAIN OUTLET HOLDINGS INC OLLI 0.01% 36.27K $2.7M
1067 BRINKS BCO 0.01% 24.38K $2.7M
1068 DIANTHUS THERAPEUTICS INC DNTH 0.01% 24.12K $2.7M
1069 KULICKE AND SOFFA INDUSTRIES INC KLIC 0.01% 31.96K $2.7M
1070 FULTON FINANCIAL FULT 0.01% 114.17K $2.7M
1071 BELDEN BDC 0.01% 22.97K $2.7M
1072 REMITLY GLOBAL RELY 0.01% 102.41K $2.7M
1073 KARMAN HOLDINGS INC KRMN 0.01% 54.49K $2.7M
1074 GLOBALSTAR VOTING GSAT 0.01% 32.54K $2.7M
1075 MATTEL INC MAT 0.01% 174.69K $2.7M
1076 INDIVIOR PHARMACEUTICALS INC INDV 0.01% 74.08K $2.7M
1077 IMPINJ PI 0.01% 16.02K $2.7M
1078 SKYWEST SKYW 0.01% 25.62K $2.7M
1079 FTI CONSULTING INC FCN 0.01% 17.47K $2.7M
1080 VICOR VICR 0.01% 13.61K $2.7M
1081 ALBERTSONS COMPANY CLASS A ACI 0.01% 213.97K $2.7M
1082 TANGER SKT 0.01% 68.80K $2.6M
1083 DIODES DIOD 0.01% 28.44K $2.6M
1084 NORTHWESTERN ENERGY GROUP NWE 0.01% 37.29K $2.6M
1085 ITRON ITRI 0.01% 26.71K $2.6M
1086 BREAD FINANCIAL HOLDINGS BFH 0.01% 24.45K $2.6M
1087 JOBY AVIATION CLASS A JOBY 0.01% 363.99K $2.6M
1088 SITEONE LANDSCAPE SUPPLY INC SITE 0.01% 27.62K $2.6M
1089 AMERICOLD REALTY INC TRUST COLD 0.01% 169.54K $2.6M
1090 FIRST BANCORP FBP 0.01% 93.68K $2.6M
1091 BILL HOLDINGS BILL 0.01% 54.95K $2.6M
1092 KORN FERRY KFY 0.01% 31.06K $2.6M
1093 SERVISFIRST BANCSHARES INC SFBS 0.01% 60.65K $2.6M
1094 BGC GROUP INC CLASS A BGC 0.01% 221.38K $2.6M
1095 INTEGER HOLDINGS CORP ITGR 0.01% 20.83K $2.6M
1096 DYNE THERAPEUTICS DYN 0.01% 99.03K $2.6M
1097 VISHAY INTERTECHNOLOGY INC VSH 0.01% 83.06K $2.6M
1098 ADT INC ADT 0.01% 349.87K $2.6M
1099 Q2 HOLDINGS INC QTWO 0.01% 40.68K $2.6M
1100 XOMETRY CLASS A XMTR 0.01% 29.53K $2.6M
1101 FIRST FINANCIAL BANKSHARES INC FFIN 0.01% 76.63K $2.6M
1102 MDU RESOURCES GROUP MDU 0.01% 128.64K $2.6M
1103 CONCENTRA GROUP HOLDINGS PARENT IN CON 0.01% 73.30K $2.6M
1104 GEO GROUP GEO 0.01% 79.19K $2.5M
1105 CABOT CORP CBT 0.01% 30.41K $2.5M
1106 TEXAS CAPITAL BANCSHARES TCBI 0.01% 25.77K $2.5M
1107 UNIVERSAL DISPLAY CORP OLED 0.01% 28.39K $2.5M
1108 VALVOLINE INC VVV 0.01% 77.05K $2.5M
1109 LIVANOVA PLC LIVN 0.01% 31.91K $2.5M
1110 THOR INDUSTRIES THO 0.01% 31.75K $2.5M
1111 SL GREEN REALTY REIT CORP SLG 0.01% 42.08K $2.5M
1112 SPHERE ENTERTAINMENT CLASS A SPHR 0.01% 15.67K $2.5M
1113 AZZ INC AZZ 0.01% 18.06K $2.5M
1114 CHEFS WAREHOUSE CHEF 0.01% 22.36K $2.5M
1115 WSFS FINANCIAL WSFS 0.01% 31.77K $2.5M
1116 COPT DEFENSE PROPERTIES CDP 0.01% 66.47K $2.5M
1117 IRHYTHM HOLDINGS INC IRTC 0.01% 20.25K $2.5M
1118 WARNER MUSIC GROUP CLASS A WMG 0.01% 88.73K $2.5M
1119 HELMERICH & PAYNE HP 0.01% 59.02K $2.5M
1120 UNITED COMMUNITY BANKS INC UCB 0.01% 70.71K $2.5M
1121 KONTOOR BRANDS KTB 0.01% 31.00K $2.5M
1122 ONDAS INC ONDS 0.01% 300.76K $2.5M
1123 CATHAY GENERAL BANCORP CATY 0.01% 40.02K $2.5M
1124 FLAGSTAR BANK NATIONAL ASSOCIATION FLG 0.01% 184.27K $2.5M
1125 VIKING THERAPEUTICS VKTX 0.01% 72.37K $2.5M
1126 CLEAR SECURE CLASS A YOU 0.01% 55.61K $2.5M
1127 UNIFIRST UNF 0.01% 8.52K $2.5M
1128 ASBURY AUTOMOTIVE GROUP INC ABG 0.01% 11.38K $2.5M
1129 TIDEWATER TDW 0.01% 26.56K $2.5M
1130 INTERNATIONAL SEAWAYS INSW 0.01% 24.57K $2.4M
1131 DOLBY LABORATORIES CLASS A DLB 0.01% 36.79K $2.4M
1132 PRIMORIS SERVICES PRIM 0.01% 32.49K $2.4M
1133 KILROY REALTY REIT KRC 0.01% 65.27K $2.4M
1134 ATMUS FILTRATION TECHNOLOGIES ATMU 0.01% 48.65K $2.4M
1135 INDEPENDENT BANK CORP INDB 0.01% 29.03K $2.4M
1136 CALIFORNIA RESOURCES CRC 0.01% 46.69K $2.4M
1137 AVIENT CORP AVNT 0.01% 54.03K $2.4M
1138 OPENLANE OPLN 0.01% 70.12K $2.4M
1139 PATTERSON UTI ENERGY INC PTEN 0.01% 208.66K $2.4M
1140 ACADIA PHARMACEUTICALS ACAD 0.01% 78.58K $2.4M
1141 BROADSTONE NET LEASE BNL 0.01% 111.19K $2.4M
1142 CLEARWAY ENERGY INC CLASS C CWEN 0.01% 73.54K $2.4M
1143 URBAN OUTFITTERS URBN 0.01% 31.44K $2.4M
1144 DELEK US HOLDINGS INC DK 0.01% 35.24K $2.4M
1145 INDEPENDENCE REALTY IRT 0.01% 142.59K $2.4M
1146 GRAHAM HOLDINGS COMPANY CLASS B GHC 0.01% 2.01K $2.4M
1147 BRADY NONVOTING CLASS A BRC 0.01% 25.27K $2.4M
1148 BRIGHT HORIZONS FAMILY SOLUTIONS I BFAM 0.01% 32.02K $2.4M
1149 IDEAYA BIOSCIENCES IDYA 0.01% 55.67K $2.4M
1150 FRESHPET FRPT 0.01% 31.36K $2.4M
1151 PENSKE AUTOMOTIVE GROUP VOTING INC PAG 0.01% 10.71K $2.4M
1152 WILLSCOT HOLDINGS CLASS A WSC 0.01% 110.30K $2.3M
1153 M I HOMES INC MHO 0.01% 15.17K $2.3M
1154 CINEMARK HOLDINGS INC CNK 0.01% 62.50K $2.3M
1155 MUELLER WATER PRODUCTS SERIES A MWA 0.01% 93.43K $2.3M
1156 GRIFFON GFF 0.01% 22.98K $2.3M
1157 GRAPHIC PACKAGING HOLDING GPK 0.01% 203.67K $2.3M
1158 GENWORTH FINANCIAL INC GNW 0.01% 235.84K $2.3M
1159 BATH AND BODY WORKS BBWI 0.01% 132.21K $2.3M
1160 OPTION CARE HEALTH INC OPCH 0.01% 98.26K $2.3M
1161 HNI HNI 0.01% 46.51K $2.3M
1162 BADGER METER BMI 0.01% 16.93K $2.3M
1163 WORKIVA CLASS A WK 0.01% 30.92K $2.3M
1164 GRAND CANYON EDUCATION INC LOPE 0.01% 15.40K $2.3M
1165 TENABLE HOLDINGS TENB 0.01% 69.96K $2.3M
1166 FRANKLIN ELECTRIC FELE 0.01% 22.48K $2.3M
1167 ARCHER AVIATION CLASS A ACHR 0.01% 382.83K $2.3M
1168 MAGNITE MGNI 0.01% 95.42K $2.3M
1169 INTERNATIONAL BANCSHARES CORP IBOC 0.01% 32.01K $2.3M
1170 LIFE360 LIF 0.01% 50.82K $2.3M
1171 RENASANT CORP RNST 0.01% 54.99K $2.3M
1172 CAL MAINE FOODS CALM 0.01% 26.77K $2.3M
1173 AXCELIS TECHNOLOGIES ACLS 0.01% 17.93K $2.3M
1174 SILGAN HOLDINGS SLGN 0.01% 52.49K $2.2M
1175 WESBANCO WSBC 0.01% 55.10K $2.2M
1176 TUTOR PERINI TPC 0.01% 25.56K $2.2M
1177 APPLE HOSPITALITY REIT INC APLE 0.01% 133.29K $2.2M
1178 AMYLYX PHARMACEUTICALS AMLX 0.00% 59.41K $2.2M
1179 CVB FINANCIAL CORP CVBF 0.00% 99.34K $2.2M
1180 DAVE CLASS A DAVE 0.00% 6.34K $2.2M
1181 FASTLY CLASS A FSLY 0.00% 95.89K $2.2M
1182 KNIFE RIVER CORP KNF 0.00% 33.50K $2.2M
1183 CECO ENVIRONMENTAL CECO 0.00% 31.30K $2.2M
1184 MIRION TECHNOLOGIES CLASS A MIR 0.00% 149.26K $2.2M
1185 RXO INC RXO 0.00% 101.25K $2.2M
1186 OTTER TAIL OTTR 0.00% 23.89K $2.2M
1187 CELCUITY CELC 0.00% 23.36K $2.2M
1188 KB HOME KBH 0.00% 37.66K $2.2M
1189 DENALI THERAPEUTICS DNLI 0.00% 86.27K $2.2M
1190 LEMONADE INC LMND 0.00% 39.41K $2.1M
1191 STANDEX INTERNATIONAL CORP SXI 0.00% 7.04K $2.1M
1192 CREDIT ACCEPTANCE CORP CACC 0.00% 3.55K $2.1M
1193 RELAY THERAPEUTICS RLAY 0.00% 104.14K $2.1M
1194 ORGANON OGN 0.00% 155.79K $2.1M
1195 STEPSTONE GROUP CLASS A STEP 0.00% 43.02K $2.1M
1196 EXPONENT EXPO 0.00% 30.39K $2.1M
1197 PAR PACIFIC HOLDINGS INC PARR 0.00% 28.84K $2.1M
1198 CENTRUS ENERGY CLASS A LEU 0.00% 10.99K $2.1M
1199 SYNAPTICS SYNA 0.00% 22.38K $2.1M
1200 LXP INDUSTRIAL TRUST LXP 0.00% 34.79K $2.1M
1201 HIGHWOODS PROPERTIES REIT HIW 0.00% 66.37K $2.1M
1202 CCC INTELLIGENT SOLUTIONS HOLDINGS CCC 0.00% 282.51K $2.1M
1203 STRIDE INC LRN 0.00% 24.54K $2.1M
1204 TRANSMEDICS GROUP TMDX 0.00% 22.43K $2.1M
1205 ARTISAN PARTNERS ASSET MANAGEMENT APAM 0.00% 48.05K $2.1M
1206 DORMAN PRODUCTS DORM 0.00% 16.04K $2.1M
1207 USA RARE EARTH CLASS A USAR 0.00% 107.42K $2.1M
1208 UNIQURE QURE 0.00% 40.61K $2.1M
1209 NCR ATLEOS NATL 0.00% 44.48K $2.1M
1210 PEABODY ENERGY CORP BTU 0.00% 75.15K $2.1M
1211 VERACYTE VCYT 0.00% 46.84K $2.1M
1212 PVH PVH 0.00% 27.66K $2.1M
1213 KADANT INC KAI 0.00% 6.76K $2.0M
1214 SPS COMMERCE SPSC 0.00% 25.38K $2.0M
1215 FIRST FINANCIAL BANCORP FFBC 0.00% 62.46K $2.0M
1216 CHESAPEAKE UTILITIES CPK 0.00% 15.11K $2.0M
1217 NMI HOLDINGS NMIH 0.00% 44.98K $2.0M
1218 CUSHMAN AND WAKEFIELD LTD CWK 0.00% 137.23K $2.0M
1219 TELEPHONE AND DATA SYSTEMS TDS 0.00% 60.26K $2.0M
1220 DANA INCORPORATED INC DAN 0.00% 67.47K $2.0M
1221 POLARIS INC PII 0.00% 31.97K $2.0M
1222 BANKUNITED BKU 0.00% 43.86K $2.0M
1223 NATIONAL HEALTH INVESTORS REIT NHI 0.00% 27.68K $2.0M
1224 COMMUNITY FINANCIAL SYSTEM INC CBU 0.00% 32.22K $2.0M
1225 PALOMAR HOLDINGS PLMR 0.00% 15.35K $2.0M
1226 AMERICAN STATES WATER AWR 0.00% 22.36K $2.0M
1227 LIBERTY GLOBAL LTD CLASS C LBTYK 0.00% 191.58K $2.0M
1228 ADAPTIVE BIOTECHNOLOGIES ADPT 0.00% 76.69K $2.0M
1229 POST HOLDINGS POST 0.00% 24.73K $2.0M
1230 CORECIVIC REIT CXW 0.00% 60.38K $2.0M
1231 GARRETT MOTION GTX 0.00% 76.10K $2.0M
1232 ASHLAND ASH 0.00% 27.10K $2.0M
1233 BRAZE INC CLASS A BRZE 0.00% 64.84K $2.0M
1234 VERSIGENT PLC VGNT 0.00% 42.23K $2.0M
1235 BEL FUSE CLASS B BELFB 0.00% 7.96K $2.0M
1236 PARAMOUNT SKYDANCE CORP CLASS B PSKY 0.00% 186.12K $2.0M
1237 SIMMONS FIRST NATIONAL CLASS A SFNC 0.00% 87.45K $2.0M
1238 DOXIMITY CLASS A DOCS 0.00% 80.14K $2.0M
1239 TOWNEBANK TOWN 0.00% 52.47K $2.0M
1240 EDGEWISE THERAPEUTICS EWTX 0.00% 44.66K $2.0M
1241 PARK HOTELS RESORTS INC PK 0.00% 121.86K $2.0M
1242 IMMUNOVANT IMVT 0.00% 45.27K $2.0M
1243 CRESCENT ENERGY CLASS A CRGY 0.00% 146.14K $2.0M
1244 SIGNET JEWELERS SIG 0.00% 23.21K $2.0M
1245 BEAM THERAPEUTICS BEAM 0.00% 63.19K $2.0M
1246 ATKORE ATKR 0.00% 20.88K $2.0M
1247 CLEANSPARK CLSK 0.00% 153.33K $2.0M
1248 STEVEN MADDEN SHOO 0.00% 42.92K $2.0M
1249 ASSURED GUARANTY LTD AGO 0.00% 25.86K $1.9M
1250 FIRST HAWAIIAN FHB 0.00% 75.28K $1.9M
1251 PLUG POWER PLUG 0.00% 854.74K $1.9M
1252 ULTRA CLEAN HOLDINGS INC UCTT 0.00% 26.43K $1.9M
1253 YETI HOLDINGS YETI 0.00% 45.38K $1.9M
1254 FIRST INTERSTATE BANCSYSTEM FIBK 0.00% 52.08K $1.9M
1255 IOVANCE BIOTHERAPEUTICS INC IOVA 0.00% 227.78K $1.9M
1256 SEACOAST BANKING OF FLORIDA SBCF 0.00% 56.46K $1.9M
1257 OSI SYSTEMS OSIS 0.00% 9.36K $1.9M
1258 SHIFT4 PAYMENTS CLASS A FOUR 0.00% 39.77K $1.9M
1259 WISDOMTREE WT 0.00% 79.04K $1.9M
1260 PARK NATIONAL CORP PRK 0.00% 9.54K $1.9M
1261 ENLIVEN THERAPEUTICS ELVN 0.00% 31.24K $1.9M
1262 MADISON SQUARE GARDEN ENTERTAINMEN MSGE 0.00% 23.59K $1.9M
1263 CALUMET CLMT 0.00% 40.32K $1.9M
1264 AMNEAL PHARMACEUTICALS CLASS A AMRX 0.00% 105.74K $1.9M
1265 NICOLET BANKSHARES INC NIC 0.00% 11.06K $1.9M
1266 NORTHERN OIL AND GAS NOG 0.00% 71.46K $1.9M
1267 BANK OF HAWAII BOH 0.00% 24.74K $1.9M
1268 CELLDEX THERAPEUTICS CLDX 0.00% 45.66K $1.9M
1269 MARRIOTT VACATIONS WORLDWIDE VAC 0.00% 16.06K $1.9M
1270 POWER INTEGRATIONS POWI 0.00% 33.89K $1.9M
1271 HB FULLER FUL 0.00% 32.41K $1.8M
1272 GROUP AUTOMOTIVE INC GPI 0.00% 6.96K $1.8M
1273 WINGSTOP WING 0.00% 16.16K $1.8M
1274 AVISTA AVA 0.00% 48.73K $1.8M
1275 SHAKE SHACK INC CLASS A SHAK 0.00% 24.80K $1.8M
1276 ADEIA ADEA 0.00% 67.61K $1.8M
1277 SOUNDHOUND AI CLASS A SOUN 0.00% 260.13K $1.8M
1278 AMBARELLA AMBA 0.00% 25.90K $1.8M
1279 PROVIDENT FINANCIAL SERVICES INC PFS 0.00% 78.12K $1.8M
1280 CALIFORNIA WATER SERVICE GROUP CWT 0.00% 36.19K $1.8M
1281 TANGO THERAPEUTICS TNGX 0.00% 73.95K $1.8M
1282 LEGENCE CLASS A LGN 0.00% 31.95K $1.8M
1283 IMMUNOME IMNM 0.00% 62.00K $1.8M
1284 LIBERTY ENERGY CLASS A LBRT 0.00% 98.80K $1.8M
1285 CURBLINE PROPERTIES CURB 0.00% 60.26K $1.8M
1286 PEGASYSTEMS PEGA 0.00% 53.20K $1.8M
1287 AMENTUM HOLDINGS AMTM 0.00% 88.98K $1.8M
1288 MGE ENERGY MGEE 0.00% 22.82K $1.8M
1289 ATLANTA BRAVES HOLDINGS SERIES C BATRK 0.00% 33.98K $1.8M
1290 ARCBEST ARCB 0.00% 13.27K $1.8M
1291 DNOW DNOW 0.00% 113.11K $1.8M
1292 MAXIMUS MMS 0.00% 30.45K $1.8M
1293 LIFESTANCE HEALTH GROUP LFST 0.00% 144.86K $1.8M
1294 EXTREME NETWORKS EXTR 0.00% 78.56K $1.8M
1295 BROOKDALE SENIOR LIVING INC BKD 0.00% 145.47K $1.8M
1296 BOK FINANCIAL CORP BOKF 0.00% 12.79K $1.8M
1297 VEECO INSTRUMENTS INC VECO 0.00% 37.10K $1.8M
1298 SOLARIS OILFIELD INFRASTRUCTURE CL SEI 0.00% 33.32K $1.8M
1299 SEADRILL SDRL 0.00% 37.34K $1.8M
1300 HAYWARD HOLDINGS HAYW 0.00% 120.99K $1.8M
1301 OPENDOOR TECHNOLOGIES CLASS A OPEN 0.00% 485.89K $1.8M
1302 NEWELL BRANDS INC NWL 0.00% 294.01K $1.7M
1303 UNITED NATURAL FOODS INC UNFI 0.00% 36.55K $1.7M
1304 ACADEMY SPORTS AND OUTDOORS ASO 0.00% 39.91K $1.7M
1305 BRIGHTHOUSE FINANCIAL BHF 0.00% 33.39K $1.7M
1306 ABM INDUSTRIES INC ABM 0.00% 37.16K $1.7M
1307 KNOWLES KN 0.00% 51.42K $1.7M
1308 BOISE CASCADE BCC 0.00% 21.31K $1.7M
1309 HARLEY DAVIDSON HOG 0.00% 62.76K $1.7M
1310 HINGE HEALTH CLASS A HNGE 0.00% 19.16K $1.7M
1311 LIONSGATE STUDIOS LION 0.00% 146.09K $1.7M
1312 AEHR TEST SYSTEMS AEHR 0.00% 17.96K $1.7M
1313 ALARM.COM HOLDINGS ALRM 0.00% 30.14K $1.7M
1314 ACADIA REALTY TRUST REIT AKR 0.00% 80.46K $1.7M
1315 KINETIK HOLDINGS CLASS A KNTK 0.00% 31.38K $1.7M
1316 DIGI INTERNATIONAL DGII 0.00% 22.40K $1.7M
1317 DYNEX CAPITAL REIT DX 0.00% 130.62K $1.7M
1318 AGILYSYS INC AGYS 0.00% 14.79K $1.7M
1319 MANPOWER INC MAN 0.00% 27.20K $1.7M
1320 BANCORP INC TBBK 0.00% 25.21K $1.7M
1321 LEONARDO DRS INC DRS 0.00% 44.24K $1.7M
1322 CARGURUS CLASS A CARG 0.00% 46.29K $1.7M
1323 ST JOE JOE 0.00% 24.26K $1.7M
1324 TRUSTMARK TRMK 0.00% 36.53K $1.7M
1325 VISTEON VC 0.00% 16.25K $1.7M
1326 TARSUS PHARMACEUTICALS TARS 0.00% 23.48K $1.7M
1327 IMMUNITYBIO INC IBRX 0.00% 204.65K $1.7M
1328 FOUR CORNERS PROPERTY INC TRUST FCPT 0.00% 66.12K $1.7M
1329 PATRICK INDUSTRIES PATK 0.00% 19.60K $1.7M
1330 FRESHWORKS CLASS A FRSH 0.00% 129.48K $1.7M
1331 NATIONAL HEALTHCARE CORP NHC 0.00% 7.41K $1.7M
1332 RED ROCK RESORTS ORS CLASS A RRR 0.00% 27.83K $1.7M
1333 WD-40 WDFC 0.00% 7.75K $1.7M
1334 ADVANCE AUTO PARTS INC AAP 0.00% 38.00K $1.7M
1335 ONESPAWORLD HOLDINGS LTD OSW 0.00% 63.14K $1.7M
1336 WAYSTAR HOLDING WAY 0.00% 68.41K $1.7M
1337 WAFD INC WAFD 0.00% 45.48K $1.6M
1338 QUANTUMSCAPE CLASS A QS 0.00% 282.67K $1.6M
1339 ASTRONICS ATRO 0.00% 22.05K $1.6M
1340 ARCUS BIOSCIENCES RCUS 0.00% 51.97K $1.6M
1341 UPSTART HOLDINGS UPST 0.00% 53.59K $1.6M
1342 URBAN EDGE PROPERTIES UE 0.00% 75.38K $1.6M
1343 KLAVIYO SERIES A KVYO 0.00% 92.90K $1.6M
1344 MCGRATH RENT MGRC 0.00% 14.22K $1.6M
1345 ACADIA HEALTHCARE COMPANY ACHC 0.00% 54.59K $1.6M
1346 ARCUTIS BIOTHERAPEUTICS ARQT 0.00% 64.97K $1.6M
1347 NEKTAR THERAPEUTICS NKTR 0.00% 21.54K $1.6M
1348 RESIDEO TECHNOLOGIES REZI 0.00% 80.94K $1.6M
1349 SCOTTS MIRACLE GRO SMG 0.00% 25.72K $1.6M
1350 HILTON GRAND VACATIONS HGV 0.00% 35.80K $1.6M
1351 NBT BANCORP NBTB 0.00% 31.27K $1.6M
1352 THE VITA COCO COMPANY COCO 0.00% 25.28K $1.6M
1353 AMERICAN EAGLE OUTFITTERS AEO 0.00% 95.82K $1.6M
1354 MERCURY GENERAL MCY 0.00% 15.34K $1.6M
1355 BALDWIN INSURANCE GROUP CLASS A BWIN 0.00% 51.74K $1.6M
1356 AXOGEN AXGN 0.00% 31.95K $1.6M
1357 FIRST BUSEY BUSE 0.00% 53.17K $1.6M
1358 RUSH STREET INTERACTIVE CLASS A RSI 0.00% 61.17K $1.6M
1359 EURONET WORLDWIDE INC EEFT 0.00% 22.30K $1.6M
1360 JANUS LIVING INC CLASS A JAN 0.00% 50.66K $1.6M
1361 DIGITALBRIDGE GROUP INC CLASS A DBRG 0.00% 99.07K $1.6M
1362 CAREDX CDNA 0.00% 31.11K $1.6M
1363 DIAMONDROCK HOSPITALITY DRH 0.00% 122.72K $1.6M
1364 DUCOMMUN DCO 0.00% 8.70K $1.6M
1365 CBIZ CBZ 0.00% 28.59K $1.6M
1366 PHINIA PHIN 0.00% 21.99K $1.6M
1367 NETSKOPE CLASS A NTSK 0.00% 115.42K $1.6M
1368 BENCHMARK ELECTRONICS INC BHE 0.00% 21.62K $1.6M
1369 PARSONS CORP PSN 0.00% 32.23K $1.5M
1370 NETSCOUT SYSTEMS NTCT 0.00% 40.66K $1.5M
1371 HELIOS TECHNOLOGIES INC HLIO 0.00% 20.83K $1.5M
1372 PAYMENTUS HOLDINGS INC CLASS A PAY 0.00% 39.26K $1.5M
1373 BEACON FINANCIAL BBT 0.00% 49.18K $1.5M
1374 FIRST MERCHANTS FRME 0.00% 37.14K $1.5M
1375 NEWMARK GROUP INC CLASS A NMRK 0.00% 96.39K $1.5M
1376 NAVITAS SEMICONDUCTOR NVTS 0.00% 123.66K $1.5M
1377 WESTLAKE CORP WLK 0.00% 20.50K $1.5M
1378 PRIVIA HEALTH GROUP INC PRVA 0.00% 72.17K $1.5M
1379 TERADATA TDC 0.00% 55.78K $1.5M
1380 MADISON AIR SOLUTIONS CORP CLASS A MAIR 0.00% 54.42K $1.5M
1381 WARBY PARKER CLASS A WRBY 0.00% 58.56K $1.5M
1382 DISC MEDICINE IRON 0.00% 18.44K $1.5M
1383 NEOGEN NEOG 0.00% 130.33K $1.5M
1384 ULTRAGENYX PHARMACEUTICAL RARE 0.00% 57.32K $1.5M
1385 KYNDRYL HOLDINGS KD 0.00% 116.37K $1.5M
1386 SIRIUSPOINT SPNT 0.00% 63.15K $1.5M
1387 UBIQUITI UI 0.00% 2.63K $1.5M
1388 UFP TECHNOLOGIES INC UFPT 0.00% 4.96K $1.5M
1389 INVENTRUST PROPERTIES IVT 0.00% 46.19K $1.5M
1390 LOAR HOLDINGS LOAR 0.00% 20.60K $1.5M
1391 VIRIDIAN THERAPEUTICS ORS INC VRDN 0.00% 62.28K $1.5M
1392 GULFPORT ENERGY GPOR 0.00% 8.73K $1.5M
1393 NURIX THERAPEUTICS INC NRIX 0.00% 55.84K $1.5M
1394 CENTURY ALUMINUM CENX 0.00% 34.00K $1.5M
1395 GREIF INC CLASS A GEF 0.00% 17.74K $1.5M
1396 PEOPLE PPLI 0.00% 37.98K $1.5M
1397 SUPERNUS PHARMACEUTICALS SUPN 0.00% 33.05K $1.5M
1398 FIVE9 FIVN 0.00% 46.42K $1.5M
1399 FIRST BANCORP FBNC 0.00% 23.43K $1.5M
1400 ACUSHNET HOLDINGS CORP GOLF 0.00% 17.36K $1.5M
1401 GPGI INC CLASS A GPGI 0.00% 110.10K $1.5M
1402 ARXIS CLASS A ARXS 0.00% 28.15K $1.5M
1403 HUB GROUP CLASS A HUBG 0.00% 37.80K $1.5M
1404 H2O AMERICA HTO 0.00% 23.20K $1.5M
1405 GRAIL INC GRAL 0.00% 17.95K $1.5M
1406 KAISER ALUMINIUM KALU 0.00% 9.60K $1.5M
1407 NLIGHT LASR 0.00% 33.98K $1.5M
1408 LCI INDUSTRIES LCII 0.00% 14.02K $1.5M
1409 ATRICURE ATRC 0.00% 30.14K $1.5M
1410 CUSTOMERS BANCORP CUBI 0.00% 18.73K $1.5M
1411 OUSTER OUST 0.00% 40.45K $1.5M
1412 LINEAGE LINE 0.00% 35.31K $1.5M
1413 RH RH 0.00% 10.29K $1.5M
1414 BANC OF CALIFORNIA BANC 0.00% 78.14K $1.5M
1415 DIEBOLD NIXDORF INC DBD 0.00% 21.26K $1.4M
1416 AVIS BUDGET GROUP INC CAR 0.00% 9.93K $1.4M
1417 DXP ENTERPRISES DXPE 0.00% 7.61K $1.4M
1418 HURON CONSULTING GROUP HURN 0.00% 9.00K $1.4M
1419 PRESTIGE CONSUMER HEALTHCARE PBH 0.00% 27.83K $1.4M
1420 SYMBOTIC INC CLASS A SYM 0.00% 35.42K $1.4M
1421 INGEVITY NGVT 0.00% 20.71K $1.4M
1422 VISTANCE NETWORKS INC VISN 0.00% 129.40K $1.4M
1423 HAWKINS INC HWKN 0.00% 12.04K $1.4M
1424 SUNRUN INC RUN 0.00% 155.05K $1.4M
1425 PENNYMAC FINANCIAL SERVICES PFSI 0.00% 19.20K $1.4M
1426 LIVERAMP HOLDINGS INC RAMP 0.00% 37.72K $1.4M
1427 WERNER ENTERPRISES WERN 0.00% 37.76K $1.4M
1428 COHU COHU 0.00% 28.03K $1.4M
1429 PEDIATRIX MEDICAL GROUP INC MD 0.00% 52.33K $1.4M
1430 BIOCRYST PHARMACEUTICALS BCRX 0.00% 143.33K $1.4M
1431 INTAPP INTA 0.00% 34.58K $1.4M
1432 ANDERSONS INC ANDE 0.00% 21.23K $1.4M
1433 BANCFIRST CORP BANF 0.00% 12.58K $1.4M
1434 CRANE NXT CXT 0.00% 27.86K $1.4M
1435 MARZETTI MZTI 0.00% 11.88K $1.4M
1436 VERA THERAPEUTICS CLASS A VERA 0.00% 39.51K $1.4M
1437 ACADIAN ASSET MANAGEMENT AAMI 0.00% 14.90K $1.4M
1438 ALPHA METALLURGICAL RESOURCE AMR 0.00% 6.45K $1.4M
1439 CALIX NETWORKS CALX 0.00% 34.86K $1.4M
1440 KENNAMETAL KMT 0.00% 47.44K $1.4M
1441 ADDUS HOMECARE CORP ADUS 0.00% 11.42K $1.4M
1442 TRINITY INDUSTRIES INC TRN 0.00% 46.67K $1.4M
1443 CHEMOURS CC 0.00% 87.53K $1.4M
1444 CHOICE HOTELS INTERNATIONAL CHH 0.00% 12.50K $1.4M
1445 FIGS CLASS A FIGS 0.00% 93.79K $1.4M
1446 WESTERN UNION WU 0.00% 187.34K $1.4M
1447 ADMA BIOLOGICS ADMA 0.00% 141.38K $1.4M
1448 TWENTY ONE CAPITAL INC CLASS A XXI 0.00% 210.87K $1.4M
1449 MASTERBRAND MBC 0.00% 151.10K $1.4M
1450 PENN ENTERTAINMENT PENN 0.00% 76.74K $1.4M
1451 PELOTON INTERACTIVE CLASS A INC PTON 0.00% 252.39K $1.4M
1452 INTERFACE TILE 0.00% 34.83K $1.4M
1453 PENGUIN SOLUTIONS INC PENG 0.00% 26.92K $1.4M
1454 ALIGNMENT HEALTHCARE ALHC 0.00% 99.76K $1.4M
1455 STEWART INFO SERVICES CORP STC 0.00% 19.56K $1.4M
1456 BANNER CORP BANR 0.00% 19.25K $1.4M
1457 INNOSPEC INC IOSP 0.00% 14.34K $1.4M
1458 TREVI THERAPEUTICS TRVI 0.00% 75.31K $1.4M
1459 NCINO NCNO 0.00% 64.86K $1.4M
1460 BLACKSTONE MORTGAGE TRUST REIT CLA BXMT 0.00% 96.17K $1.4M
1461 CENTRAL GARDEN AND PET CLASS A CENTA 0.00% 35.18K $1.3M
1462 OFG BANCORP OFG 0.00% 25.84K $1.3M
1463 PROGRESS SOFTWARE CORP PRGS 0.00% 30.90K $1.3M
1464 INSPERITY NSP 0.00% 25.48K $1.3M
1465 FB FINANCIAL FBK 0.00% 23.23K $1.3M
1466 ENCORE CAPITAL GROUP ECPG 0.00% 12.97K $1.3M
1467 QUAKER HOUGHTON CORP KWR 0.00% 8.02K $1.3M
1468 SELECT WATER SOLUTIONS CLASS A WTTR 0.00% 69.64K $1.3M
1469 COHEN & STEERS INC CNS 0.00% 15.91K $1.3M
1470 VERADERMICS MANE 0.00% 12.86K $1.3M
1471 ALUMIS ALMS 0.00% 54.87K $1.3M
1472 NORTHWEST BANCSHARES INC NWBI 0.00% 85.83K $1.3M
1473 NUSCALE POWER CORP CLASS A SMR 0.00% 133.59K $1.3M
1474 CORVEL CRVL 0.00% 18.67K $1.3M
1475 ENTERPRISE FINANCIAL SERVICES CORP EFSC 0.00% 20.64K $1.3M
1476 GOOSEHEAD INSURANCE CLASS A GSHD 0.00% 18.05K $1.3M
1477 STOCK YARDS BANCORP INC SYBT 0.00% 16.29K $1.3M
1478 JOHN WILEY AND SONS CLASS A WLY 0.00% 24.22K $1.3M
1479 DENTSPLY SIRONA XRAY 0.00% 118.82K $1.3M
1480 MINERALS TECHNOLOGIES MTX 0.00% 18.12K $1.3M
1481 CALLAWAY GOLF COMPANY CALY 0.00% 83.68K $1.3M
1482 ARMOUR RESIDENTIAL REIT ARR 0.00% 78.75K $1.3M
1483 MIDERA FOOD PROCESSING INC MFP 0.00% 25.05K $1.3M
1484 SKYWARD SPECIALTY INSURANCE GROUP SKWD 0.00% 22.46K $1.3M
1485 PITNEY BOWES PBI 0.00% 75.44K $1.3M
1486 XENCOR XNCR 0.00% 43.97K $1.3M
1487 MEDICAL PROPERTIES TRUST REIT INC MPT 0.00% 312.92K $1.3M
1488 SUNSTONE HOTEL INVESTORS REIT INC SHO 0.00% 113.13K $1.3M
1489 NEOGENOMICS NEO 0.00% 76.32K $1.3M
1490 INTUITIVE MACHINES INC CLASS A LUNR 0.00% 77.18K $1.3M
1491 FIRST COMMONWEALTH FINANCIAL CORP FCF 0.00% 61.65K $1.3M
1492 PEBBLEBROOK HOTEL TRUST REIT PEB 0.00% 69.55K $1.3M
1493 PERDOCEO EDUCATION PRDO 0.00% 38.16K $1.3M
1494 GREEN BRICK PARTNERS GRBK 0.00% 17.30K $1.3M
1495 EPLUS PLUS 0.00% 14.71K $1.3M
1496 INFLEQTION INC INFQ 0.00% 91.69K $1.3M
1497 GOODYEAR TIRE & RUBBER GT 0.00% 204.37K $1.3M
1498 ZIFF DAVIS INC ZD 0.00% 22.78K $1.3M
1499 SUMMIT THERAPEUTICS SMMT 0.00% 94.28K $1.3M
1500 WHIRLPOOL WHR 0.00% 30.82K $1.3M
1501 LTC PROPERTIES REIT LTC 0.00% 30.79K $1.3M
1502 FEDERAL AGRICULTURAL MORTGAGE NON AGM 0.00% 5.71K $1.3M
1503 TALOS ENERGY TALO 0.00% 75.66K $1.2M
1504 NATIONAL ENERGY SERVICES REUNITED NESR 0.00% 37.24K $1.2M
1505 EZCORP NON VOTING INC CLASS A EZPW 0.00% 35.31K $1.2M
1506 SEZZLE INC SEZL 0.00% 9.98K $1.2M
1507 AMC ENTERTAINMENT HOLDINGS INC CLA AMC 0.00% 466.97K $1.2M
1508 SAREPTA THERAPEUTICS SRPT 0.00% 65.25K $1.2M
1509 PACS GROUP PACS 0.00% 28.00K $1.2M
1510 FLYWIRE FLYW 0.00% 63.99K $1.2M
1511 PAYONEER GLOBAL INC PAYO 0.00% 172.77K $1.2M
1512 SPECTRUM BRANDS HOLDINGS SPB 0.00% 13.76K $1.2M
1513 HAPPEN HAPN 0.00% 66.85K $1.2M
1514 VERICEL VCEL 0.00% 28.21K $1.2M
1515 DOUGLAS EMMETT REIT DEI 0.00% 100.17K $1.2M
1516 CITY HOLDING CHCO 0.00% 8.43K $1.2M
1517 NORTHWEST NATURAL HOLDING COMPANY NWN 0.00% 24.36K $1.2M
1518 TRINET GROUPINARY TNET 0.00% 17.41K $1.2M
1519 ENERPAC TOOL GROUP CLASS A EPAC 0.00% 32.49K $1.2M
1520 STOKE THERAPEUTICS STOK 0.00% 36.00K $1.2M
1521 INTERPARFUMS INC IPAR 0.00% 10.27K $1.2M
1522 BIOHAVEN BHVN 0.00% 83.23K $1.2M
1523 STRATEGIC EDUCATION STRA 0.00% 13.87K $1.2M
1524 OLIN CORP OLN 0.00% 68.53K $1.2M
1525 INTELLIA THERAPEUTICS NTLA 0.00% 87.92K $1.2M
1526 AGIOS PHARMACEUTICALS AGIO 0.00% 35.04K $1.2M
1527 PROGYNY PGNY 0.00% 45.93K $1.2M
1528 PERRIGO PLC PRGO 0.00% 81.89K $1.2M
1529 NETSTREIT NTST 0.00% 57.49K $1.2M
1530 HORACE MANN EDUCATORS CORP HMN 0.00% 23.22K $1.2M
1531 ICF INTERNATIONAL ICFI 0.00% 13.40K $1.2M
1532 AVEPOINT CLASS A AVPT 0.00% 90.42K $1.2M
1533 ROGERS ROG 0.00% 9.46K $1.2M
1534 HOWARD HUGHES HOLDINGS INC HHH 0.00% 17.57K $1.2M
1535 ICHOR HOLDINGS ICHR 0.00% 20.57K $1.2M
1536 KOHLS KSS 0.00% 66.42K $1.2M
1537 SMARTSTOP SELF STORAGE REIT INC SMA 0.00% 34.41K $1.2M
1538 SONOS SONO 0.00% 76.47K $1.2M
1539 LEVI STRAUSS CLASS A LEVI 0.00% 55.23K $1.2M
1540 UTZ BRANDS INC CLASS A UTZ 0.00% 81.54K $1.2M
1541 FIRST ADVANTAGE FA 0.00% 56.81K $1.2M
1542 HOPE BANCORP INC HOPE 0.00% 82.14K $1.1M
1543 ALLEGIANT TRAVEL ALGT 0.00% 13.77K $1.1M
1544 DXC TECHNOLOGY DXC 0.00% 104.03K $1.1M
1545 PORCH GROUP INC PRCH 0.00% 64.83K $1.1M
1546 QUANTUM COMPUTING QUBT 0.00% 133.50K $1.1M
1547 EVERTEC INC EVTC 0.00% 37.75K $1.1M
1548 GETTY REALTY REIT GTY 0.00% 33.65K $1.1M
1549 HAWAIIAN ELECTRIC INDUSTRIES HE 0.00% 98.80K $1.1M
1550 RECURSION PHARMACEUTICALS CLASS A RXRX 0.00% 314.59K $1.1M
1551 KEEL INFRASTRUCTURE CORP KEEL 0.00% 318.59K $1.1M
1552 A10 NETWORKS INC ATEN 0.00% 44.45K $1.1M
1553 NATIONAL BANK HOLDINGS CORP CLASS NBHC 0.00% 26.86K $1.1M
1554 HCI GROUP INC HCI 0.00% 5.97K $1.1M
1555 DILLARDS CLASS A DDS 0.00% 1.74K $1.1M
1556 BLACKSTONE DIGITAL INFRASTRUCTURE BXDC 0.00% 53.37K $1.1M
1557 OCULAR THERAPEUTIX OCUL 0.00% 100.90K $1.1M
1558 CENTURY COMMUNITIES INC CCS 0.00% 15.57K $1.1M
1559 TIC SOLUTIONS INC TIC 0.00% 112.17K $1.1M
1560 BUTTERFLY NETWORK CLASS A BFLY 0.00% 120.86K $1.1M
1561 INNOVATIVE INDUSTRIAL PROPERTIES I IIPR 0.00% 18.95K $1.1M
1562 IPG PHOTONICS CORP IPGP 0.00% 15.22K $1.1M
1563 XENIA HOTELS RESORTS REIT XHR 0.00% 55.45K $1.1M
1564 PHOTRONICS PLAB 0.00% 37.20K $1.1M
1565 DIVERSIFIED HEALTHCARE TRUST DHC 0.00% 134.18K $1.1M
1566 AZENTA AZTA 0.00% 32.58K $1.1M
1567 NELNET CLASS A NNI 0.00% 8.38K $1.1M
1568 DORIAN LPG LPG 0.00% 21.24K $1.1M
1569 BLUE BIRD BLBD 0.00% 18.27K $1.1M
1570 GLOBAL NET LEASE INC GNL 0.00% 115.83K $1.1M
1571 UNITI GROUP INC UNIT 0.00% 105.97K $1.1M
1572 GENEDX HOLDINGS CLASS A WGS 0.00% 12.23K $1.1M
1573 GERMAN AMERICAN BANCORP INC GABC 0.00% 21.48K $1.1M
1574 NOVOCURE NVCR 0.00% 60.38K $1.1M
1575 SYNDAX PHARMACEUTICALS SNDX 0.00% 53.33K $1.1M
1576 DOUBLEVERIFY HOLDINGS DV 0.00% 79.45K $1.1M
1577 INNODATA INOD 0.00% 18.50K $1.1M
1578 SOLAREDGE TECHNOLOGIES SEDG 0.00% 35.39K $1.1M
1579 NUVATION BIO CLASS A NUVB 0.00% 148.27K $1.1M
1580 S AND T BANCORP INC STBA 0.00% 21.03K $1.1M
1581 PATHWARD FINANCIAL INC CASH 0.00% 12.55K $1.0M
1582 RAPPORT THERAPEUTICS RAPP 0.00% 20.39K $1.0M
1583 EXPRO LTD XPRO 0.00% 59.01K $1.0M
1584 MBX BIOSCIENCES MBX 0.00% 15.07K $1.0M
1585 GORMAN-RUPP GRC 0.00% 13.45K $1.0M
1586 ANTERIX ATEX 0.00% 11.17K $1.0M
1587 LEMAITRE VASCULAR LMAT 0.00% 13.03K $1.0M
1588 SHARPLINK INC SBET 0.00% 123.09K $1.0M
1589 TURNING POINT BRANDS INC TPB 0.00% 11.98K $1.0M
1590 ELLINGTON FINANCIAL EFC 0.00% 75.46K $1.0M
1591 SCHNEIDER NATIONAL CLASS B SNDR 0.00% 29.50K $1.0M
1592 GREENBRIER INC GBX 0.00% 22.17K $1.0M
1593 CENTURI HOLDINGS INC CTRI 0.00% 49.22K $1.0M
1594 RLJ LODGING TRUST REIT RLJ 0.00% 88.32K $1.0M
1595 BIGBEAR.AI HOLDINGS BBAI 0.00% 330.29K $1.0M
1596 MOBILEYE GLOBAL INC CLASS A MBLY 0.00% 117.54K $1.0M
1597 OCEANFIRST FINANCIAL CORP OCFC 0.00% 54.03K $1.0M
1598 PROTO LABS PRLB 0.00% 13.12K $1.0M
1599 ENOVIS CORP ENOV 0.00% 39.71K $1.0M
1600 TRICO BANCSHARES TCBK 0.00% 18.85K $1.0M
1601 PDF SOLUTIONS PDFS 0.00% 22.88K $1.0M
1602 SIX FLAGS ENTERTAINMENT CORP FUN 0.00% 60.87K $1.0M
1603 CLOVER HEALTH INVESTMENTS CLASS A CLOV 0.00% 244.46K $1.0M
1604 ALAMO GROUP ALG 0.00% 6.20K $1.0M
1605 AMPLITUDE CLASS A AMPL 0.00% 76.51K $1.0M
1606 ATAIBECKLEY INC ATAI 0.00% 134.81K $1.0M
1607 MARQETA CLASS A MQ 0.00% 61.43K $1.0M
1608 GIBRALTAR INDUSTRIES ROCK 0.00% 21.70K $999.3K
1609 BLACKBAUD BLKB 0.00% 21.00K $996.6K
1610 ALBANY INTERNATIONAL CORP CLASS A AIN 0.00% 17.11K $995.5K
1611 HEALTHCARE SERVICES GROUP HCSG 0.00% 43.31K $994.3K
1612 ASTRANA HEALTH ASTH 0.00% 26.32K $990.6K
1613 CTS CORP CTS 0.00% 17.46K $990.4K
1614 WALKER & DUNLOP INC WD 0.00% 24.24K $987.0K
1615 TAYSHA GENE THERAPIES TSHA 0.00% 158.88K $985.9K
1616 KEMPER KMPR 0.00% 35.28K $980.8K
1617 CONNECTONE BANCORP CNOB 0.00% 30.56K $979.2K
1618 FORTREA HOLDINGS INC FTRE 0.00% 53.48K $977.8K
1619 WORLD KINECT WKC 0.00% 27.53K $974.7K
1620 WORTHINGTON ENTERPRISES WOR 0.00% 16.97K $973.3K
1621 BIOLIFE SOLUTIONS BLFS 0.00% 26.02K $969.3K
1622 TRIUMPH FINANCIAL TFIN 0.00% 13.17K $968.8K
1623 ALKAMI TECHNOLOGY ALKT 0.00% 48.09K $968.7K
1624 ACV AUCTIONS CLASS A ACVA 0.00% 132.80K $967.5K
1625 MERCHANTS BANCORP MBIN 0.00% 17.88K $957.3K
1626 QCR HOLDINGS INC QCRH 0.00% 9.56K $957.0K
1627 DIME COMMERCIAL BANCSHARES DCOM 0.00% 23.67K $956.8K
1628 INSPIRE MEDICAL SYSTEMS INSP 0.00% 15.64K $955.9K
1629 C3 AI INC CLASS A AI 0.00% 97.46K $954.9K
1630 SYLVAMO CORP SLVM 0.00% 25.84K $954.0K
1631 WOLVERINE WORLD WIDE WWW 0.00% 46.52K $953.1K
1632 HILLTOP HOLDINGS HTH 0.00% 24.72K $952.8K
1633 CAPRI HOLDINGS LTD CPRI 0.00% 71.57K $952.6K
1634 MILLERKNOLL MLKN 0.00% 40.95K $952.4K
1635 PROG HOLDINGS INC PRG 0.00% 23.75K $946.5K
1636 BANK FIRST CORP BFC 0.00% 6.16K $942.7K
1637 KOSMOS ENERGY KOS 0.00% 344.58K $941.4K
1638 NOVAVAX NVAX 0.00% 99.56K $940.6K
1639 MINERALYS THERAPEUTICS MLYS 0.00% 35.58K $937.9K
1640 UNDER ARMOUR INC CLASS A UAA 0.00% 182.60K $935.7K
1641 V2X VVX 0.00% 12.23K $934.9K
1642 HUNTSMAN CORP HUN 0.00% 97.94K $934.1K
1643 JETBLUE AIRWAYS JBLU 0.00% 183.04K $930.6K
1644 BLACKLINE INC BL 0.00% 29.39K $930.4K
1645 HILLMAN SOLUTIONS CORP HLMN 0.00% 114.25K $928.4K
1646 KODIAK SCIENCES KOD 0.00% 23.48K $927.4K
1647 LEGGETT & PLATT LEG 0.00% 99.19K $925.1K
1648 OMEROS OMER 0.00% 47.91K $924.5K
1649 CONMED CORP CNMD 0.00% 18.00K $921.1K
1650 ZENAS BIOPHARMA ZBIO 0.00% 27.09K $915.6K
1651 APPIAN CORP CLASS A APPN 0.00% 23.00K $911.1K
1652 AMERICAN SUPERCONDUCTOR CORP AMSC 0.00% 30.68K $910.5K
1653 INNOVIVA INVA 0.00% 42.92K $909.3K
1654 AMPRIUS TECHNOLOGIES INC AMPX 0.00% 89.22K $908.9K
1655 TRUMP MEDIA TECHNOLOGY GROUP CORP DJT 0.00% 96.07K $903.8K
1656 ADI GLOBAL DISTRIBUTION ADIG 0.00% 40.46K $901.8K
1657 DAUCH CORP DCH 0.00% 140.03K $901.1K
1658 FLOWERS FOODS INC FLO 0.00% 126.53K $900.3K
1659 ORCHID ISLAND CAPITAL INC ORC 0.00% 133.63K $898.7K
1660 COMSTOCK RESOURCES CRK 0.00% 63.14K $895.3K
1661 ARLO TECHNOLOGIES ARLO 0.00% 66.54K $887.0K
1662 VESTIS VSTS 0.00% 68.55K $883.7K
1663 OMNICELL INC OMCL 0.00% 26.43K $878.8K
1664 MONARCH CASINO AND RESORT MCRI 0.00% 7.09K $877.5K
1665 ADIENT PLC ADNT 0.00% 46.99K $876.5K
1666 BUCKLE BKE 0.00% 20.01K $875.9K
1667 ORIGIN BANCORP INC OBK 0.00% 16.45K $871.2K
1668 CRACKER BARREL OLD COUNTRY STORE I CBRL 0.00% 14.93K $870.8K
1669 LAKELAND FINANCIAL CORP LKFN 0.00% 14.57K $868.6K
1670 NATIONAL VISION HOLDINGS EYE 0.00% 46.43K $868.4K
1671 TANDEM DIABETES CARE TNDM 0.00% 40.10K $866.1K
1672 HARMONY BIOSCIENCES HLDG HRMY 0.00% 22.00K $857.5K
1673 BOSTON BEER CLASS A SAM 0.00% 4.52K $857.0K
1674 COLUMBIA SPORTSWEAR COLM 0.00% 14.50K $855.4K
1675 COURSERA COUR 0.00% 138.02K $855.0K
1676 HELIX ENERGY SOLUTIONS GROUP INC HLX 0.00% 85.23K $853.0K
1677 COLUMBIA FINANCIAL INC CLBK 0.00% 72.99K $851.4K
1678 DELUXE DLX 0.00% 35.45K $848.9K
1679 LINDBLAD EXPEDITIONS HOLDINGS LIND 0.00% 26.71K $848.4K
1680 BJS RESTAURANTS INC BJRI 0.00% 12.96K $847.1K
1681 TECNOGLASS HOLDINGS TGLS 0.00% 20.93K $846.6K
1682 XERIS BIOPHARMA HOLDINGS XERS 0.00% 96.51K $844.1K
1683 SAFETY INSURANCE GROUP INC SAFT 0.00% 8.13K $843.3K
1684 PENNANT GROUP PNTG 0.00% 21.98K $841.5K
1685 OLD SECOND BANCORP INC OSBC 0.00% 33.38K $841.4K
1686 FIRST TRACKS BIOTHERAPEUTICS INC TRAX 0.00% 18.56K $837.9K
1687 1ST SOURCE CORP SRCE 0.00% 9.73K $837.7K
1688 VIRTUS INVESTMENT PARTNERS VRTS 0.00% 5.02K $835.1K
1689 WESTAMERICA BANCORPORATION WABC 0.00% 14.34K $831.3K
1690 FMC CORP FMC 0.00% 74.36K $831.2K
1691 MANNKIND MNKD 0.00% 198.53K $826.5K
1692 HARMONIC HLIT 0.00% 66.80K $822.9K
1693 ALPHATEC HOLDNGS ATEC 0.00% 88.11K $822.7K
1694 PEOPLES BANCORP INC PEBO 0.00% 20.70K $819.6K
1695 NEXTNAV NN 0.00% 52.08K $816.7K
1696 PILGRIMS PRIDE CORP PPC 0.00% 25.16K $816.6K
1697 GIGACLOUD TECHNOLOGY INC CLASS A GCT 0.00% 15.62K $816.1K
1698 LIBERTY LATIN AMERICA CLASS C LILAK 0.00% 95.30K $815.5K
1699 SAILPOINT SAIL 0.00% 45.39K $811.7K
1700 ALLIANCE LAUNDRY HOLDINGS ALH 0.00% 33.98K $811.0K
1701 HARROW HROW 0.00% 19.60K $810.8K
1702 HERBALIFE LTD HLF 0.00% 62.61K $809.5K
1703 BLOOMIN BRANDS INC BLMN 0.00% 73.24K $809.2K
1704 IDT CLASS B IDT 0.00% 11.65K $808.7K
1705 IVANHOE ELECTRIC IE 0.00% 67.60K $805.8K
1706 J AND J SNACK FOODS CORP JJSF 0.00% 8.99K $804.2K
1707 REDWIRE RDW 0.00% 69.94K $803.6K
1708 ALLIENT INC ALNT 0.00% 8.61K $801.8K
1709 GROCERY OUTLET HOLDING GO 0.00% 65.86K $798.9K
1710 PRECIGEN PGEN 0.00% 109.33K $796.6K
1711 NABORS INDUSTRIES NBR 0.00% 9.06K $795.8K
1712 ENERGIZER HOLDINGS INC ENR 0.00% 36.19K $794.7K
1713 FIGURE TECHNOLOGY SOLUTIONS CLASS FIGR 0.00% 19.24K $792.3K
1714 FIRST MID BANCSHARES INC FMBH 0.00% 15.73K $789.2K
1715 CLARIVATE PLC CLVT 0.00% 364.97K $788.9K
1716 BANDWIDTH CLASS A BAND 0.00% 16.88K $788.2K
1717 ANI PHARMACEUTICALS ANIP 0.00% 10.39K $786.5K
1718 MIAMI INTERNATIONAL HOLDINGS MIAX 0.00% 17.70K $785.6K
1719 ENACT HOLDINGS INC ACT 0.00% 15.83K $785.1K
1720 REYNOLDS CONSUMER PRODUCTS INC REYN 0.00% 31.80K $781.7K
1721 SPRINKLR CLASS A CXM 0.00% 103.80K $776.0K
1722 HERITAGE FINANCIAL CORP HFWA 0.00% 26.92K $775.1K
1723 DONNELLEY FINANCIAL SOLUTIONS DFIN 0.00% 16.20K $774.3K
1724 LIVE OAK BANCSHARES LOB 0.00% 19.30K $772.5K
1725 UMH PROPERTIES INC UMH 0.00% 46.59K $772.2K
1726 CIMPRESS PLC CMPR 0.00% 8.76K $770.6K
1727 NAPCO SECURITY TECHNOLOGIES NSSC 0.00% 21.10K $769.2K
1728 WINNEBAGO INDUSTRIES WGO 0.00% 24.06K $767.8K
1729 ABSCI CORP ABSI 0.00% 79.24K $763.7K
1730 LA-Z-BOY INC LZB 0.00% 23.79K $763.0K
1731 ANAPTYSBIO ANAB 0.00% 13.06K $762.9K
1732 PROCEPT BIOROBOTICS CORP PRCT 0.00% 35.25K $761.9K
1733 GENTHERM THRM 0.00% 18.96K $760.9K
1734 BRISTOW GROUP VTOL 0.00% 16.54K $759.6K
1735 UNITED STATES LIME AND MINERALS IN USLM 0.00% 6.37K $759.2K
1736 EVERFORTH EFOR 0.00% 24.00K $758.0K
1737 BLUELINX HOLDINGS BXC 0.00% 9.03K $754.7K
1738 EDGEWELL PERSONAL CARE EPC 0.00% 26.00K $753.3K
1739 BELLRING BRANDS BRBR 0.00% 69.68K $750.4K
1740 FIRSTSUN CAPITAL BANCORP FSUN 0.00% 18.60K $750.1K
1741 BYLINE BANCORP INC BY 0.00% 19.64K $748.9K
1742 SERVICE PROPERTIES TRUST SVC 0.00% 93.88K $747.9K
1743 AMN HEALTHCARE AMN 0.00% 22.00K $746.6K
1744 G III APPAREL GROUP LTD GIII 0.00% 22.41K $746.5K
1745 TENNANT TNC 0.00% 10.65K $746.5K
1746 YELP YELP 0.00% 31.48K $746.5K
1747 STEPAN SCL 0.00% 12.00K $745.1K
1748 TOMPKINS FINANCIAL CORP TMP 0.00% 7.61K $743.7K
1749 XPEL XPEL 0.00% 14.79K $743.4K
1750 SCANSOURCE SCSC 0.00% 13.21K $743.1K
1751 STAAR SURGICAL STAA 0.00% 32.03K $743.0K
1752 VIR BIOTECHNOLOGY VIR 0.00% 69.21K $741.8K
1753 MARAVAI LIFESCIENCES HOLDINGS INC MRVI 0.00% 82.13K $739.8K
1754 AGILON HEALTH AGL 0.00% 7.66K $736.6K
1755 PIEDMONT REALTY TRUST CLASS A PDM 0.00% 74.26K $735.8K
1756 AVEANNA HEALTHCARE HOLDINGS INC AVAH 0.00% 53.59K $728.9K
1757 APOGEE ENTERPRISES INC APOG 0.00% 17.56K $725.3K
1758 NAVAN CLASS A NAVN 0.00% 24.64K $722.3K
1759 QUIDELORTHO CORP QDEL 0.00% 47.80K $719.9K
1760 UNIVERSAL TECHNICAL INSTITUTE UTI 0.00% 31.85K $717.6K
1761 NCR VOYIX VYX 0.00% 88.13K $717.0K
1762 BURKE HERBERT FINANCIAL SERVICES C BHRB 0.00% 9.94K $713.6K
1763 ECOVYST ECVT 0.00% 70.36K $713.3K
1764 CARTERS CRI 0.00% 21.00K $712.7K
1765 TRIMAS TRS 0.00% 17.86K $710.4K
1766 CULLINAN THERAPEUTICS CGEM 0.00% 30.75K $706.3K
1767 TRIPADVISOR TRIP 0.00% 69.82K $705.3K
1768 RED CAT HOLDINGS INC RCAT 0.00% 77.16K $702.7K
1769 QUINSTREET INC QNST 0.00% 34.82K $700.5K
1770 LGI HOMES LGIH 0.00% 11.83K $699.3K
1771 MYERS INDUSTRIES INC MYE 0.00% 21.36K $698.6K
1772 CHIME FINANCIAL CLASS A CHYM 0.00% 21.00K $695.6K
1773 UPBOUND GROUP UPBD 0.00% 35.72K $692.1K
1774 O I GLASS OI 0.00% 91.93K $690.9K
1775 SHOALS TECHNOLOGIES GROUP CLASS A SHLS 0.00% 100.02K $689.7K
1776 PREFERRED BANK PFBC 0.00% 6.65K $688.5K
1777 GLOBAL BUSINESS TRAVEL GROUP CLASS GBTG 0.00% 72.57K $687.8K
1778 EOS ENERGY ENTERPRISES CLASS A EOSE 0.00% 193.13K $684.2K
1779 RUM GROUP CLASS A RUM 0.00% 66.74K $683.3K
1780 GENCO SHIPPING AND TRADING GNK 0.00% 24.99K $683.2K
1781 WILLDAN GROUP WLDN 0.00% 7.98K $682.3K
1782 LINDSAY LNN 0.00% 5.97K $681.8K
1783 PERELLA WEINBERG PARTNERS CLASS A PWP 0.00% 40.91K $678.4K
1784 FERVO ENERGY CLASS A FRVO 0.00% 41.19K $678.0K
1785 ARTIVION INC AORT 0.00% 25.64K $676.8K
1786 UNIVEST FINANCIAL CORP UVSP 0.00% 16.29K $676.7K
1787 PAGERDUTY PD 0.00% 55.16K $676.3K
1788 REX AMERICAN RESOURCES REX 0.00% 16.26K $675.6K
1789 INTEGRA LIFESCIENCES HOLDINGS IART 0.00% 40.16K $674.7K
1790 SCHRODINGER INC SDGR 0.00% 33.65K $673.2K
1791 CONCENTRIX CNXC 0.00% 25.00K $672.3K
1792 WORTHINGTON STEEL INC WS 0.00% 19.75K $672.3K
1793 US PHYSICAL THERAPY INC USPH 0.00% 8.65K $669.5K
1794 SONIC AUTOMOTIVE INC CLASS A SAH 0.00% 8.65K $666.4K
1795 REPLIMUNE GROUP REPL 0.00% 42.11K $665.8K
1796 UNITED FIRE GROUP INC UFCS 0.00% 12.40K $664.2K
1797 TELADOC HEALTH INC TDOC 0.00% 106.84K $661.9K
1798 INGLES MARKETS CLASS A IMKTA 0.00% 7.78K $659.5K
1799 SALLY BEAUTY HOLDINGS INC SBH 0.00% 39.82K $655.9K
1800 DIGITAL TURBINE APPS 0.00% 60.51K $655.9K
1801 ORIC PHARMACEUTICALS ORIC 0.00% 47.23K $653.7K
1802 KURA ONCOLOGY KURA 0.00% 48.00K $652.9K
1803 RAPID7 RPD 0.00% 53.69K $651.8K
1804 THE REALREAL REAL 0.00% 58.47K $650.7K
1805 CVR ENERGY INC CVI 0.00% 17.07K $647.5K
1806 CASTLE BIOSCIENCES CSTL 0.00% 18.37K $643.5K
1807 EASTERLY GOVERNMENT PROPERTIES INC DEA 0.00% 25.60K $643.1K
1808 CAPITOL FEDERAL FINANCIAL INC CFFN 0.00% 75.01K $641.1K
1809 KFORCE INC KFRC 0.00% 11.11K $640.4K
1810 NPK INTERNATIONAL NPKI 0.00% 48.60K $640.1K
1811 UNIVERSAL UVV 0.00% 13.90K $638.2K
1812 LADDER CAPITAL CORP CLASS A LADR 0.00% 63.89K $637.5K
1813 COMMUNITY TRUST BANCORP CTBI 0.00% 8.32K $635.7K
1814 SURGERY PARTNERS SGRY 0.00% 45.06K $633.6K
1815 AMERICAN ASSETS TRUST REIT AAT 0.00% 27.41K $633.5K
1816 RYERSON HOLDING RYZ 0.00% 25.64K $631.1K
1817 BRIGHTVIEW HOLDINGS BV 0.00% 56.50K $630.4K
1818 NEXTDECADE NEXT 0.00% 84.09K $628.7K
1819 QUANEX BUILDING PRODUCTS CORP NX 0.00% 31.43K $627.3K
1820 PREFORMED LINE PRODUCTS PLPC 0.00% 1.52K $627.2K
1821 PROPETRO HOLDING PUMP 0.00% 59.11K $627.1K
1822 CRA INTERNATIONAL INC CRAI 0.00% 3.64K $626.5K
1823 MONTE ROSA THERAPEUTICS GLUE 0.00% 42.94K $625.7K
1824 MERCANTILE BANK CORP MBWM 0.00% 10.34K $624.1K
1825 SPROUT SOCIAL CLASS A SPT 0.00% 58.27K $623.4K
1826 HORIZON BANCORP INC HBNC 0.00% 31.75K $621.2K
1827 MAZE THERAPEUTICS MAZE 0.00% 20.40K $621.1K
1828 CRYOPORT CYRX 0.00% 37.09K $620.7K
1829 INNOVEX INTERNATIONAL INC INVX 0.00% 21.52K $617.7K
1830 UNIVERSAL INSURANCE HOLDINGS INC UVE 0.00% 14.16K $613.7K
1831 UPWORK UPWK 0.00% 70.13K $613.4K
1832 OIL DRI CORPORATION OF AMERICA ODC 0.00% 6.68K $613.2K
1833 LB PHARMACEUTICALS INC LBRX 0.00% 12.56K $613.2K
1834 UNITED PARKS AND RESORTS PRKS 0.00% 14.01K $612.9K
1835 EQUITY BANCSHARES INC CLASS A EQBK 0.00% 12.26K $610.6K
1836 PAPA JOHNS INTERNATIONAL INC PZZA 0.00% 25.25K $609.4K
1837 SEABOARD SEB 0.00% 146 $604.3K
1838 BICARA THERAPEUTICS INC BCAX 0.00% 24.55K $604.0K
1839 MARINEMAX INC HZO 0.00% 11.51K $600.9K
1840 GRID DYNAMICS HOLDINGS CLASS A GDYN 0.00% 76.22K $600.3K
1841 CENTRAL BANCOMPANY CLASS A CBC 0.00% 18.36K $600.0K
1842 GOLD INC GOLD 0.00% 12.77K $598.9K
1843 HEMAB THERAPEUTICS HOLDINGS INC COAG 0.00% 11.97K $595.0K
1844 SOLV ENERGY CLASS A INC MWH 0.00% 21.06K $594.2K
1845 WINMARK WINA 0.00% 1.71K $593.4K
1846 COLUMBUS MCKINNON CORP CMCO 0.00% 33.12K $589.6K
1847 COTY INC CLASS A COTY 0.00% 220.45K $589.1K
1848 AMALGAMATED FINANCIAL CORP AMAL 0.00% 12.14K $588.4K
1849 CAMDEN NATIONAL CORP CAC 0.00% 10.42K $587.6K
1850 METROPOLITAN BANK HOLDING CORP MCB 0.00% 6.46K $586.6K
1851 CNB FINANCIAL CORP CCNE 0.00% 17.21K $584.1K
1852 GRAHAM CORP GHM 0.00% 6.24K $582.3K
1853 SENECA FOODS CLASS A SENEA 0.00% 3.05K $581.9K
1854 CNA FINANCIAL CORP CNA 0.00% 11.81K $581.0K
1855 ZOOMINFO TECHNOLOGIES GTM 0.00% 150.26K $580.4K
1856 AMERANT BANCORP CLASS A AMTB 0.00% 20.19K $577.9K
1857 ASTEC INDUSTRIES ASTE 0.00% 13.15K $576.3K
1858 MIDDLESEX WATER MSEX 0.00% 9.81K $576.3K
1859 WENDYS WEN 0.00% 63.12K $576.2K
1860 TRUSTCO BANK CORP TRST 0.00% 10.10K $575.1K
1861 BUSINESS FIRST BANCSHARES INC BFST 0.00% 18.41K $574.2K
1862 DEL MONTE DMC 0.00% 17.98K $573.5K
1863 ATLAS ENERGY SOLUTIONS AESI 0.00% 47.46K $570.9K
1864 INDIE SEMICONDUCTOR INC CLASS A INDI 0.00% 143.92K $570.4K
1865 DIVERSIFIED ENERGY COMPANY DEC 0.00% 38.84K $570.2K
1866 FLUENCE ENERGY INC CLASS A FLNC 0.00% 50.53K $568.4K
1867 PURECYCLE TECHNOLOGIES PCT 0.00% 84.90K $567.6K
1868 MESA LABORATORIES MLAB 0.00% 4.44K $566.4K
1869 ARRIVENT BIOPHARMA AVBP 0.00% 18.01K $565.0K
1870 MCEWEN INC MUX 0.00% 26.27K $564.0K
1871 GREEN PLAINS GPRE 0.00% 38.33K $561.9K
1872 TYRA BIOSCIENCES TYRA 0.00% 21.01K $561.1K
1873 PURSUIT ATTRACTIONS AND HOSPITALIT PRSU 0.00% 11.44K $560.2K
1874 CLEAR CHANNEL OUTDOOR HOLDINGS INC CCO 0.00% 235.07K $559.9K
1875 NEPTUNE INSURANCE HOLDINGS CLASS A NP 0.00% 16.23K $559.3K
1876 SABRE SABR 0.00% 246.83K $558.3K
1877 ETHAN ALLEN INTERIORS ETD 0.00% 23.42K $556.9K
1878 CHIMERA INVESTMENT CIM 0.00% 47.92K $556.8K
1879 PC CONNECTION INC CNXN 0.00% 6.99K $554.9K
1880 PAR TECHNOLOGY PAR 0.00% 28.60K $554.2K
1881 CENTRAL PACIFIC FINANCIAL CORP CPF 0.00% 14.71K $554.0K
1882 BEAZER HOMES BZH 0.00% 16.66K $553.3K
1883 ARDELYX ARDX 0.00% 146.04K $552.5K
1884 FOX FACTORY HOLDING FOXF 0.00% 26.00K $552.4K
1885 X-ENERGY INC CLASS A XE 0.00% 28.88K $552.3K
1886 MFA FINANCIAL MFA 0.00% 62.08K $549.2K
1887 UNITIL CORP UTL 0.00% 10.17K $548.4K
1888 CBL ASSOCIATES PROPERTIES CBL 0.00% 9.81K $547.9K
1889 EMPLOYERS HOLDINGS EIG 0.00% 11.15K $544.5K
1890 KOPPERS HOLDINGS INC KOP 0.00% 11.77K $543.2K
1891 STAGWELL CLASS A STGW 0.00% 61.96K $540.1K
1892 TETRA TECHNOLOGIES TTI 0.00% 79.67K $539.8K
1893 LIBERTY CAPITAL SERIES C GLIBK 0.00% 20.43K $539.1K
1894 THE SIMPLY GOOD FOODS COMPANY SMPL 0.00% 49.06K $537.7K
1895 REVOLVE GROUP CLASS A INC RVLV 0.00% 23.00K $536.6K
1896 NORTHEAST BANK NBN 0.00% 4.20K $536.2K
1897 PULSE BIOSCIENCES INC PLSE 0.00% 10.92K $535.6K
1898 LSI INDUSTRIES INC LYTS 0.00% 25.83K $533.7K
1899 COLLEGIUM PHARMACEUTICAL INC COLL 0.00% 19.39K $533.2K
1900 STANDARD MOTOR PRODUCTS INC SMP 0.00% 14.20K $533.2K
1901 ARHAUS CLASS A ARHS 0.00% 59.66K $532.6K
1902 FIRST FINANCIAL CORPORATION CORP THFF 0.00% 6.69K $530.3K
1903 EMPIRE STATE REALTY REIT CLASS A ESRT 0.00% 110.92K $529.5K
1904 RED VIOLET INC RDVT 0.00% 7.62K $529.1K
1905 EXCELERATE ENERGY CLASS A EE 0.00% 13.33K $528.9K
1906 SOUTHSIDE BANCSHARES INC SBSI 0.00% 16.45K $525.2K
1907 LIQUIDITY SERVICES INC LQDT 0.00% 12.13K $523.4K
1908 SANA BIOTECHNOLOGY SANA 0.00% 127.42K $522.8K
1909 PHREESIA PHR 0.00% 45.08K $519.7K
1910 ARBOR REALTY TRUST REIT ABR 0.00% 100.19K $516.4K
1911 BKV BKV 0.00% 21.38K $514.3K
1912 DOUGLAS DYNAMICS INC PLOW 0.00% 12.32K $514.0K
1913 MARTEN TRANSPORT MRTN 0.00% 35.40K $513.3K
1914 F&G ANNUITIES AND LIFE INC FG 0.00% 22.25K $513.1K
1915 CENTERSPACE CSR 0.00% 9.44K $509.2K
1916 READY CAPITAL CORP RC 0.00% 253.75K $505.4K
1917 SUNCRETE INC CLASS A RMIX 0.00% 29.03K $502.3K
1918 HEARTFLOW HTFL 0.00% 10.00K $499.3K
1919 FINANCIAL INSTITUTIONS INC FISI 0.00% 12.27K $498.6K
1920 HUDSON PACIFIC PROPERTIES REIT HPP 0.00% 33.07K $493.5K
1921 SWEETGREEN INC CLASS A SG 0.00% 71.35K $492.7K
1922 LIGHTWAVE LOGIC LWLG 0.00% 82.68K $491.5K
1923 KAILERA THERAPEUTICS INC KLRA 0.00% 27.51K $488.7K
1924 ADAMAS ADAM 0.00% 49.61K $488.6K
1925 HANMI FINANCIAL CORP HAFC 0.00% 15.74K $487.6K
1926 ROOT INC CLASS A ROOT 0.00% 8.40K $485.1K
1927 EAGLE BANCORP EGBN 0.00% 17.50K $484.8K
1928 NB BANCORP INC NBBK 0.00% 21.59K $484.7K
1929 USA TODAY INC TDAY 0.00% 74.41K $483.3K
1930 ORRSTOWN FINANCIAL SERVICES INC ORRF 0.00% 11.54K $483.0K
1931 WOLFSPEED INC WOLF 0.00% 19.06K $482.4K
1932 RIGEL PHARMACEUTICALS RIGL 0.00% 10.30K $482.1K
1933 CANNAE HOLDINGS INC CNNE 0.00% 30.86K $481.8K
1934 COMPASS MINERALS INTERNATIONAL CMP 0.00% 19.58K $481.6K
1935 FIRST COMMUNITY BANKSHARES INC FCBC 0.00% 9.73K $480.6K
1936 TRANSCAT TRNS 0.00% 5.43K $479.1K
1937 SEPTERNA SEPN 0.00% 11.58K $478.6K
1938 PENNYMAC MORTGAGE INVESTMENT TRUST PMT 0.00% 51.27K $476.7K
1939 TOOTSIE ROLL INDUSTRIES INC TR 0.00% 11.48K $475.6K
1940 AMPHASTAR PHARMACEUTICALS AMPH 0.00% 21.61K $475.2K
1941 METROCITY BANKSHARES INC MCBS 0.00% 13.49K $474.4K
1942 CADRE HOLDINGS INC CDRE 0.00% 15.10K $474.3K
1943 CEVA CEVA 0.00% 17.35K $470.3K
1944 MISSION PRODUCE INC AVO 0.00% 35.93K $468.5K
1945 ALERUS FINANCIAL CORP ALRS 0.00% 14.12K $467.2K
1946 DRIVEN BRANDS HOLDINGS DRVN 0.00% 35.44K $466.7K
1947 OPPENHEIMER HOLDINGS NON VOTING CL OPY 0.00% 4.00K $463.5K
1948 SUNCOKE ENERGY INC SXC 0.00% 47.39K $462.9K
1949 WASHINGTON TRUST BANCORP INC WASH 0.00% 11.59K $458.9K
1950 ARVINAS INC ARVN 0.00% 47.70K $458.3K
1951 NERDWALLET CLASS A NRDS 0.00% 45.02K $456.0K
1952 HBT FINANCIAL INC HBT 0.00% 12.77K $456.0K
1953 TFS FINANCIAL CORP TFSL 0.00% 25.59K $455.7K
1954 BARRETT BUSINESS SERVICES INC BBSI 0.00% 13.46K $455.3K
1955 BLACKSKY TECHNOLOGY CLASS A BKSY 0.00% 18.03K $455.0K
1956 SAVARA SVRA 0.00% 81.05K $454.3K
1957 FIVE STAR BANCORP FSBC 0.00% 10.11K $454.1K
1958 ARBUTUS BIOPHARMA CORP ABUS 0.00% 87.00K $452.8K
1959 INDEPENDENT BANK CORP IBCP 0.00% 12.31K $452.3K
1960 DREAM FINDERS HOMES INC CLASS A DFH 0.00% 29.43K $450.9K
1961 MECHANICS BANCORP CLASS A MCHB 0.00% 27.96K $450.3K
1962 WAVE LIFE SCIENCES WVE 0.00% 85.58K $449.6K
1963 BETA BIONICS INC BBNX 0.00% 23.23K $449.6K
1964 GREEN DOT CLASS A GDOT 0.00% 33.50K $449.6K
1965 REPUBLIC BANCORP INC CLASS A RBCAA 0.00% 4.76K $449.5K
1966 MARCUS & MILLICHAP INC MMI 0.00% 13.83K $448.6K
1967 HERITAGE INSURANCE HOLDINGS INC HRTG 0.00% 13.10K $448.3K
1968 OPKO HEALTH OPK 0.00% 299.07K $446.0K
1969 PACIRA BIOSCIENCES PCRX 0.00% 17.43K $445.5K
1970 GCM GROSVENOR CLASS A GCMG 0.00% 32.90K $445.1K
1971 MID PENN BANCORP INC MPB 0.00% 12.02K $444.9K
1972 VAREX IMAGING VREX 0.00% 24.00K $444.3K
1973 CALERES INC CAL 0.00% 33.92K $443.0K
1974 HIPPO HOLDINGS HIPO 0.00% 13.16K $442.7K
1975 NATIONAL BEVERAGE FIZZ 0.00% 13.23K $441.6K
1976 GROUPON GRPN 0.00% 22.52K $441.6K
1977 ESQUIRE FINANCIAL HOLDINGS INC ESQ 0.00% 3.90K $440.5K
1978 EVOLV TECHNOLOGIES HOLDINGS CLASS EVLV 0.00% 83.24K $439.8K
1979 ARRAY TECHNOLOGIES INC ARRY 0.00% 96.36K $438.8K
1980 LINCOLN EDUCATIONAL SERVICES CORP LINC 0.00% 17.22K $438.0K
1981 GOODRX HOLDINGS CLASS A GDRX 0.00% 125.44K $436.2K
1982 OMNIAB INC OABI 0.00% 93.17K $434.5K
1983 GRINDR INC GRND 0.00% 27.64K $434.0K
1984 DAKTRONICS INC DAKT 0.00% 22.69K $433.9K
1985 NATIONAL HEALTHCARE PROPERTIES CLA NHP 0.00% 26.00K $433.0K
1986 IRADIMED IRMD 0.00% 4.92K $432.4K
1987 FIREFLY AEROSPACE FLY 0.00% 19.33K $430.7K
1988 AVALYN PHARMA INC AVLN 0.00% 11.26K $430.4K
1989 BRIGHTSPIRE CAPITAL CLASS A BRSP 0.00% 88.23K $430.0K
1990 CHATHAM LODGING TRUST REIT CLDT 0.00% 31.12K $429.4K
1991 EVOLENT HEALTH CLASS A EVH 0.00% 87.15K $426.5K
1992 SMARTFINANCIAL INC SMBK 0.00% 8.37K $425.9K
1993 SI BONE SIBN 0.00% 21.72K $424.8K
1994 SAFEHOLD INC SAFE 0.00% 27.39K $424.6K
1995 FLOWCO HOLDINGS CLASS A FLOC 0.00% 20.55K $424.5K
1996 SCHOLASTIC SCHL 0.00% 10.33K $423.8K
1997 METALLUS INC MTUS 0.00% 21.88K $422.5K
1998 CERUS CORP CERS 0.00% 154.50K $420.6K
1999 KEARNY FINANCIAL CORP KRNY 0.00% 42.20K $417.7K
2000 EVOLUS INC EOLS 0.00% 46.40K $416.7K
2001 SOUTHERN MISSOURI BANCORP INC SMBC 0.00% 5.61K $415.7K
2002 DESIGN THERAPEUTICS DSGN 0.00% 26.44K $415.0K
2003 ANNEXON ANNX 0.00% 80.23K $413.5K
2004 MATIV HOLDINGS MATV 0.00% 33.44K $413.3K
2005 CAPITAL CITY BANK INC CCBG 0.00% 8.00K $409.5K
2006 MANITOWOC INC MTW 0.00% 21.00K $409.4K
2007 PHIBRO ANIMAL HEALTH CORP CLASS A PAHC 0.00% 11.37K $408.9K
2008 AMERESCO INC CLASS A AMRC 0.00% 18.50K $408.6K
2009 HOVNANIAN ENTERPRISES CLASS A HOV 0.00% 3.20K $408.4K
2010 EVERQUOTE CLASS A EVER 0.00% 15.10K $405.7K
2011 WEIS MARKETS WMK 0.00% 5.70K $404.6K
2012 NATIONAL PRESTO INDUSTRIES INC NPK 0.00% 2.57K $402.8K
2013 FRANKLIN BSP REALTY TRUST INC FBRT 0.00% 47.39K $402.2K
2014 ARCTURUS THERAPEUTICS HOLDINGS INC ARCT 0.00% 25.98K $401.5K
2015 CASS INFORMATION SYSTEMS INC CASS 0.00% 6.98K $400.6K
2016 HOMETRUST BANCSHARES INC HTB 0.00% 8.57K $399.9K
2017 CARS.COM INC CARS 0.00% 32.37K $399.7K
2018 PUBMATIC CLASS A PUBM 0.00% 24.13K $399.6K
2019 KELLY SERVICES INC CLASS A KELYA 0.00% 23.39K $398.6K
2020 SUMMIT HOTEL PROPERTIES REIT INC INN 0.00% 64.07K $397.6K
2021 TRONOX HOLDINGS PLC TROX 0.00% 70.99K $391.5K
2022 HELEN OF TROY LTD HELE 0.00% 13.50K $390.5K
2023 HEARTLAND EXPRESS INC HTLD 0.00% 31.66K $389.4K
2024 NAVIENT NAVI 0.00% 40.71K $386.6K
2025 MILLER INDUSTRIES INC MLR 0.00% 6.72K $384.5K
2026 GENERATE BIOMEDICINES INC GENB 0.00% 18.81K $383.7K
2027 IRONWOOD PHARMA CLASS A IRWD 0.00% 87.23K $383.2K
2028 MGP INGREDIENTS MGPI 0.00% 21.26K $381.0K
2029 STURM RUGER RGR 0.00% 9.92K $381.0K
2030 ARROW FINANCIAL CORP AROW 0.00% 9.97K $380.8K
2031 GINKGO BIOWORKS HOLDINGS CLASS A DNA 0.00% 50.43K $380.5K
2032 CONSENSUS CLOUD SOLUTIONS INC CCSI 0.00% 9.74K $379.9K
2033 ENOVIX ENVX 0.00% 111.78K $378.1K
2034 ACCEL ENTERTAINMENT INC CLASS A ACEL 0.00% 31.72K $377.8K
2035 MIDLAND STATES BANCORP INC MSBI 0.00% 11.50K $376.5K
2036 BETA TECHNOLOGIES CLASS A BETA 0.00% 17.00K $376.2K
2037 GLADSTONE COMMERCIAL REIT CORP GOOD 0.00% 28.55K $374.9K
2038 ALPHA AND OMEGA SEMICONDUCTOR AOSL 0.00% 14.07K $374.8K
2039 PETCO HEALTH AND WELLNESS COMPANY WOOF 0.00% 135.54K $374.4K
2040 GREAT SOUTHERN BANCORP INC GSBC 0.00% 4.75K $374.1K
2041 AKTIS ONCOLOGY INC AKTS 0.00% 13.92K $371.7K
2042 THERAVANCE BIOPHARMA TBPH 0.00% 21.79K $371.3K
2043 JOHN B SANFILIPPO AND SON JBSS 0.00% 4.94K $369.8K
2044 EQUIPMENTSHARE COM INC CLASS A EQPT 0.00% 20.00K $369.7K
2045 BOWHEAD SPECIALTY HOLDINGS BOW 0.00% 10.98K $369.3K
2046 ANGIODYNAMICS ANGO 0.00% 23.04K $367.7K
2047 CUSTOM TRUCK ONE SOURCE CTOS 0.00% 38.07K $367.7K
2048 NIQ GLOBAL INTELLIGENCE PLC NIQ 0.00% 19.09K $367.7K
2049 MINIMED GROUP INC MMED 0.00% 19.31K $365.6K
2050 MATTHEWS INTERNATIONAL CORP CLASS MATW 0.00% 16.84K $362.3K
2051 HINGHAM INSTITUTION FOR SAVINGS HIFS 0.00% 1.20K $361.9K
2052 HEALTHSTREAM HSTM 0.00% 12.52K $361.8K
2053 TPG RE FINANCE TRUST INC TRTX 0.00% 46.31K $361.5K
2054 INVESCO MORTGAGE CAPITAL REIT INC IVR 0.00% 48.12K $358.3K
2055 ENVIRI CORP NVRI 0.00% 16.49K $356.9K
2056 FIRST WATCH RESTAURANT GROUP FWRG 0.00% 27.45K $356.8K
2057 LIMBACH HOLDINGS INC LMB 0.00% 8.49K $356.3K
2058 NETGEAR NTGR 0.00% 16.63K $356.0K
2059 VAALCO ENERGY INC EGY 0.00% 62.11K $355.5K
2060 NEXTDOOR HOLDINGS CLASS A NXDR 0.00% 148.19K $354.5K
2061 GERON GERN 0.00% 228.50K $354.5K
2062 PEAPACK GLADSTONE FINANCIAL CORP PGC 0.00% 7.82K $353.3K
2063 CORMEDIX CRMD 0.00% 41.09K $352.0K
2064 INSTEEL INDUSTRIES INC IIIN 0.00% 11.55K $351.7K
2065 ADAPTHEALTH AHCO 0.00% 64.04K $351.2K
2066 ALIGHT INC CLASS A ALIT 0.00% 23.44K $351.0K
2067 REGENXBIO RGNX 0.00% 39.35K $350.8K
2068 SABLE OFFSHORE CLASS A SOC 0.00% 73.92K $348.5K
2069 COASTAL FINANCIAL CORP CCB 0.00% 7.34K $346.7K
2070 SLIDE INSURANCE HOLDINGS SLDE 0.00% 15.00K $346.2K
2071 BOWMAN CONSULTING GROUP BWMN 0.00% 8.12K $345.5K
2072 LENDINGTREE TREE 0.00% 11.29K $345.4K
2073 SHENANDOAH TELECOMMUNICATIONS SHEN 0.00% 28.01K $344.3K
2074 FORESTAR GROUP INC FOR 0.00% 11.87K $343.9K
2075 PATTERN GROUP SERIES A PTRN 0.00% 15.99K $342.5K
2076 UNIVERSAL HEALTH REALTY INCOME TRU UHT 0.00% 8.11K $342.0K
2077 OXFORD INDUSTRIES INC OXM 0.00% 9.28K $341.7K
2078 SMITH WESSON BRANDS INC SWBI 0.00% 25.13K $339.7K
2079 BRANDYWINE REALTY TRUST REIT BDN 0.00% 103.02K $338.2K
2080 PRIME MEDICINE PRME 0.00% 90.98K $337.8K
2081 HALLADOR ENERGY HNRG 0.00% 20.50K $335.6K
2082 KIMBALL ELECTRONICS INC KE 0.00% 14.24K $335.1K
2083 METHODE ELECTRONICS MEI 0.00% 20.78K $333.7K
2084 IBOTTA CLASS A IBTA 0.00% 8.56K $331.9K
2085 REDWOOD TRUST REIT RWT 0.00% 70.22K $331.7K
2086 ODYSSEY THERAPEUTICS INC ODTX 0.00% 12.60K $330.9K
2087 ALLOGENE THERAPEUTICS ALLO 0.00% 151.66K $329.4K
2088 ADTRAN HOLDINGS INC ADTN 0.00% 41.02K $329.2K
2089 WEAVE COMMUNICATIONS WEAV 0.00% 45.02K $328.4K
2090 RIDGEPOST CAPITAL INC CLASS A RPC 0.00% 37.12K $327.6K
2091 TARGET HOSPITALITY TH 0.00% 18.75K $326.4K
2092 PORTILLO S INC CLASS A PTLO 0.00% 67.23K $326.3K
2093 DINE BRANDS GLOBAL DIN 0.00% 9.16K $324.8K
2094 WORLD ACCEPTANCE CORP WRLD 0.00% 1.66K $321.6K
2095 LSB INDUSTRIES LXU 0.00% 31.19K $320.9K
2096 EDITAS MEDICINE EDIT 0.00% 97.61K $320.4K
2097 ALAMAR BIOSCIENCES INC ALMR 0.00% 9.68K $320.0K
2098 MALIBU BOATS CLASS A INC MBUU 0.00% 11.22K $319.5K
2099 ONESPAN OSPN 0.00% 20.73K $319.3K
2100 FULGENT GENETICS FLGT 0.00% 15.92K $317.9K
2101 ENNIS INC EBF 0.00% 14.81K $317.9K
2102 HAGERTY INC CLASS A HGTY 0.00% 23.64K $317.7K
2103 4D MOLECULAR THERAPEUTICS INC FDMT 0.00% 20.00K $314.6K
2104 RAMACO RESOURCES INC CLASS A METC 0.00% 24.16K $312.4K
2105 REZOLUTE RZLT 0.00% 62.26K $312.2K
2106 AEVA TECHNOLOGIES AEVA 0.00% 19.30K $312.1K
2107 NEXPOINT RESIDENTIAL TRUST INC NXRT 0.00% 12.73K $311.4K
2108 SOUTH PLAINS FINANCIAL INC SPFI 0.00% 7.10K $310.6K
2109 COVENANT LOGISTICS GROUP INC CLASS CVLG 0.00% 8.84K $310.4K
2110 ATLANTICUS HOLDINGS CORP ATLC 0.00% 3.27K $307.4K
2111 RPC INC RES 0.00% 49.84K $306.2K
2112 OLEMA PHARMACEUTICALS OLMA 0.00% 28.00K $305.7K
2113 CERTARA CERT 0.00% 37.32K $304.0K
2114 BIT DIGITAL BTBT 0.00% 191.93K $303.5K
2115 VITESSE ENERGY INC VTS 0.00% 17.81K $302.8K
2116 AMC GLOBAL MEDIA CLASS A AMCX 0.00% 23.52K $302.5K
2117 AEVEX CORP CLASS A AVEX 0.00% 17.31K $302.3K
2118 EXPENSIFY CLASS A EXFY 0.00% 115.19K $302.0K
2119 AMBIQ MICRO AMBQ 0.00% 5.00K $301.1K
2120 CORSAIR GAMING INC CRSR 0.00% 25.30K $299.8K
2121 PHATHOM PHARMACEUTICALS PHAT 0.00% 33.91K $298.7K
2122 INDUSTRIAL LOGISTICS PROPERTIES TR ILPT 0.00% 35.53K $298.4K
2123 GLOBAL INDUSTRIAL GIC 0.00% 7.50K $297.4K
2124 CAMPING WORLD HOLDINGS INC CLASS A CWH 0.00% 45.84K $297.3K
2125 DAILY JOURNAL DJCO 0.00% 480 $297.2K
2126 SEAPORT THERAPEUTICS INC SPTX 0.00% 11.83K $294.0K
2127 CYTEK BIOSCIENCES CTKB 0.00% 63.25K $289.9K
2128 CERIBELL CBLL 0.00% 12.05K $288.9K
2129 BIOVENTUS CLASS A BVS 0.00% 20.43K $287.9K
2130 FRONTIER GROUP HOLDINGS ULCC 0.00% 48.07K $287.2K
2131 ALEXANDERS REIT INC ALX 0.00% 1.05K $285.0K
2132 MOVADO GROUP INC MOV 0.00% 8.14K $284.8K
2133 ORTHOPEDIATRICS CORP KIDS 0.00% 11.59K $284.2K
2134 ARRAY DIGITAL INFRASTRUCTURE INC AD 0.00% 7.82K $280.7K
2135 BEYOND MEAT BYND 0.00% 19.75K $280.5K
2136 AMERISAFE INC AMSF 0.00% 10.63K $278.5K
2137 ARS PHARMACEUTICALS SPRY 0.00% 48.53K $277.8K
2138 PRA GROUP INC PRAA 0.00% 14.00K $275.7K
2139 KODIAK AI INC KDK 0.00% 68.61K $273.9K
2140 STUBHUB HOLDINGS INC CLASS A STUB 0.00% 40.03K $272.9K
2141 ASP ISOTOPES ASPI 0.00% 67.31K $269.5K
2142 PACIFIC BIOSCIENCES OF CALIFORNIA PACB 0.00% 176.38K $268.3K
2143 FATE THERAPEUTICS INC FATE 0.00% 104.50K $266.7K
2144 ENERGY VAULT HOLDINGS NRGV 0.00% 67.23K $264.4K
2145 C4 THERAPEUTICS CCCC 0.00% 62.76K $263.8K
2146 CARRIAGE SERVICES INC CSV 0.00% 7.53K $262.2K
2147 YESWAY INC CLASS A YSWY 0.00% 10.50K $261.7K
2148 LEXICON PHARMACEUTICALS LXRX 0.00% 111.35K $260.8K
2149 ATEA PHARMACEUTICALS AVIR 0.00% 47.83K $259.9K
2150 JANUX THERAPEUTICS JANX 0.00% 13.84K $258.8K
2151 HAWKEYE INC HAWK 0.00% 12.02K $258.5K
2152 BRIDGEBIO ONCOLOGY THERAPEUTICS IN BBOT 0.00% 27.50K $257.9K
2153 GMR SOLUTIONS INC CLASS A GMRS 0.00% 20.26K $257.5K
2154 ANGEL STUDIOS CLASS A ANGX 0.00% 55.71K $255.3K
2155 KRISPY KREME DNUT 0.00% 71.63K $255.2K
2156 SAVERS VALUE VILLAGE SVV 0.00% 23.76K $254.9K
2157 SAUL CENTERS REIT INC BFS 0.00% 7.45K $254.4K
2158 ONE LIBERTY PROPERTIES REIT INC OLP 0.00% 10.35K $254.4K
2159 TREACE MEDICAL CONCEPTS TMCI 0.00% 52.83K $254.3K
2160 WILLIS LEASE FINANCE WLFC 0.00% 4.64K $253.9K
2161 3D SYSTEMS CORP DDD 0.00% 78.70K $253.6K
2162 VOYAGER TECHNOLOGIES CLASS A VOYG 0.00% 7.30K $252.1K
2163 N ABLE INC NABL 0.00% 67.09K $251.8K
2164 CONDUENT CNDT 0.00% 153.97K $251.2K
2165 GRAY MEDIA INC GTN 0.00% 49.85K $250.5K
2166 BILLIONTOONE CLASS A BLLN 0.00% 2.50K $250.4K
2167 YORK WATER YORW 0.00% 7.25K $248.9K
2168 ADVANSIX ASIX 0.00% 15.19K $248.6K
2169 ANAVEX LIFE SCIENCES CORP AVXL 0.00% 69.76K $248.5K
2170 MEDIAALPHA CLASS A MAX 0.00% 19.32K $248.5K
2171 HYLIION HOLDINGS CORP HYLN 0.00% 75.69K $245.4K
2172 TERRESTRIAL ENERGY INC IMSR 0.00% 43.81K $244.6K
2173 INTERNATIONAL MONEY EXPRESS INC IMXI 0.00% 17.36K $244.6K
2174 NANO NUCLEAR ENERGY NNE 0.00% 12.65K $243.7K
2175 XEROX HOLDINGS CORP XRX 0.00% 82.11K $242.4K
2176 NRC HEALTH NRC 0.00% 11.00K $242.4K
2177 BOBS DISCOUNT FURNITURE INC BOBS 0.00% 13.96K $241.7K
2178 ORTHOFIX MEDICAL OFIX 0.00% 24.94K $240.6K
2179 COMMUNITY HEALTHCARE TRUST INC CHCT 0.00% 16.00K $240.5K
2180 MONRO MNRO 0.00% 17.18K $240.0K
2181 SANDRIDGE ENERGY INC SD 0.00% 17.24K $239.9K
2182 WATERSTONE FINANCIAL INC WSBF 0.00% 11.31K $238.1K
2183 SOLID POWER CLASS A SLDP 0.00% 100.97K $236.5K
2184 ONTERRIS ONT 0.00% 14.77K $236.5K
2185 ORCHESTRA BIOMED HOLDINGS INC OBIO 0.00% 44.06K $236.3K
2186 WEALTHFRONT WLTH 0.00% 25.00K $235.9K
2187 RILEY EXPLORATION PERMIAN INC REPX 0.00% 6.26K $234.1K
2188 EYEPOINT INC EYPT 0.00% 46.61K $233.5K
2189 TEJON RANCH TRC 0.00% 14.39K $233.0K
2190 USANA HEALTH SCIENCES INC USNA 0.00% 16.68K $230.0K
2191 TITAN INTERNATIONAL INC TWI 0.00% 31.73K $228.3K
2192 VANDA PHARMACEUTICALS INC VNDA 0.00% 41.24K $224.5K
2193 ORION SA OEC 0.00% 37.52K $224.2K
2194 ACCO BRANDS CORP ACCO 0.00% 53.04K $223.5K
2195 AKEBIA THERAPEUTICS INC AKBA 0.00% 232.96K $223.4K
2196 GENESCO INC GCO 0.00% 6.61K $222.4K
2197 SINCLAIR CLASS A SBGI 0.00% 15.10K $222.1K
2198 WABASH NATIONAL WNC 0.00% 17.74K $220.4K
2199 HAVERTY FURNITURE COMPANIES INC HVT 0.00% 8.04K $219.3K
2200 JOHNSON OUTDOORS INC CLASS A JOUT 0.00% 4.79K $218.8K
2201 LUMEXA IMAGING HOLDINGS LMRI 0.00% 18.09K $218.6K
2202 KESTRA MEDICAL TECHNOLOGIES KMTS 0.00% 8.00K $215.5K
2203 SENSEONICS HOLDINGS INC SENS 0.00% 22.53K $214.7K
2204 STITCH FIX CLASS A SFIX 0.00% 67.59K $214.4K
2205 TITAN MACHINERY INC TITN 0.00% 11.15K $213.4K
2206 KKR REAL ESTATE FINANCE INC TRUST KREF 0.00% 28.00K $213.0K
2207 ABACUS GLOBAL MANAGEMENT INC CLASS ABX 0.00% 21.50K $212.6K
2208 POWERFLEET AIOT 0.00% 72.23K $212.5K
2209 BANK OF MARIN BANCORP BMRC 0.00% 7.91K $212.3K
2210 RACKSPACE TECHNOLOGY INC RXT 0.00% 62.32K $212.0K
2211 PERSPECTIVE THERAPEUTICS INC CATX 0.00% 64.36K $211.9K
2212 COMMUNITY HEALTH SYSTEMS INC CYH 0.00% 71.16K $211.5K
2213 THREDUP CLASS A TDUP 0.00% 76.32K $210.8K
2214 SHUTTERSTOCK SSTK 0.00% 37.91K $210.2K
2215 TIPTREE INC TIPT 0.00% 11.41K $210.1K
2216 ALECTOR ALEC 0.00% 88.80K $209.7K
2217 PROTHENA PLC PRTA 0.00% 22.20K $209.3K
2218 I3 VERTICALS CLASS A IIIV 0.00% 12.24K $208.3K
2219 ARKO ARKO 0.00% 44.41K $207.5K
2220 ASPEN AEROGELS ASPN 0.00% 39.34K $205.9K
2221 JANUS INTERNATIONAL GROUP JBI 0.00% 40.07K $202.5K
2222 DISTRIBUTION SOLUTIONS GROUP DSGR 0.00% 5.81K $202.4K
2223 COGENT COMMUNICATIONS HOLDINGS INC CCOI 0.00% 20.43K $202.0K
2224 CLEARFIELD INC CLFD 0.00% 6.80K $200.4K
2225 8X8 INC EGHT 0.00% 101.50K $198.1K
2226 VITAL FARMS INC VITL 0.00% 17.81K $198.1K
2227 FTAI INFRASTRUCTURE FIP 0.00% 52.06K $196.4K
2228 ROCKET PHARMACEUTICALS RCKT 0.00% 51.76K $195.8K
2229 EIKON THERAPEUTICS INC EIKN 0.00% 15.56K $195.4K
2230 ORASURE TECHNOLOGIES INC OSUR 0.00% 51.58K $195.1K
2231 SIMULATIONS PLUS SLP 0.00% 10.59K $194.9K
2232 TRUEBLUE INC TBI 0.00% 18.00K $193.5K
2233 ZIPRECRUITER INC CLASS A ZIP 0.00% 44.40K $193.3K
2234 LEGACY HOUSING CORP LEGH 0.00% 6.68K $193.3K
2235 VERRA MOBILITY CLASS A VRRM 0.00% 43.59K $193.2K
2236 VIRGIN GALACTIC HOLDINGS INC SHS C SPCE 0.00% 64.81K $192.6K
2237 ATN INTERNATIONAL INC ATNI 0.00% 6.20K $190.6K
2238 EL POLLO LOCO INC LOCO 0.00% 12.04K $189.0K
2239 CLARITEV CORP CLASS A CTEV 0.00% 5.00K $188.3K
2240 KURA SUSHI USA KRUS 0.00% 4.00K $188.1K
2241 FUBOTV CLASS A FUBO 0.00% 16.95K $185.8K
2242 CLEARWATER PAPER CORP CLW 0.00% 8.50K $185.2K
2243 ELMET GROUP ELMT 0.00% 10.42K $185.1K
2244 IHEARTMEDIA CLASS A IHRT 0.00% 68.95K $184.9K
2245 CITIZENS FINANCIAL SERVICES INC CZFS 0.00% 2.27K $183.1K
2246 MCGRAW HILL MH 0.00% 14.00K $182.7K
2247 RCI HOSPITALITY HOLDINGS INC RICK 0.00% 6.00K $182.1K
2248 ANIKA THERAPEUTICS INC ANIK 0.00% 8.50K $182.0K
2249 B AND G FOODS INC BGS 0.00% 51.42K $181.1K
2250 DONEGAL GROUP INC CLASS A DGICA 0.00% 9.44K $180.7K
2251 LATHAM GROUP INC SWIM 0.00% 25.27K $180.6K
2252 CONTINEUM THERAPEUTICS CLASS A CTNM 0.00% 10.50K $179.2K
2253 WESTROCK COFFEE WEST 0.00% 22.00K $179.0K
2254 NATURAL GROCERS BY VITAMIN COTTAGE NGVC 0.00% 6.29K $177.8K
2255 NEWTEKONE NEWT 0.00% 14.26K $177.7K
2256 RMR GROUP CLASS A RMR 0.00% 9.00K $177.2K
2257 BRC GROUP HOLDINGS INC RILY 0.00% 24.43K $176.5K
2258 ONCE UPON A FARM PBC OFRM 0.00% 10.44K $175.9K
2259 MYRIAD GENETICS MYGN 0.00% 54.66K $174.5K
2260 HEALTH CATALYST HCAT 0.00% 110.32K $174.4K
2261 EMERGENT BIOSOLUTIONS EBS 0.00% 30.70K $173.3K
2262 908 DEVICES MASS 0.00% 15.50K $170.6K
2263 ARDENT HEALTH INC ARDT 0.00% 15.00K $169.6K
2264 SIGHT SCIENCES SGHT 0.00% 20.00K $166.5K
2265 LENZ THERAPEUTICS LENZ 0.00% 35.34K $165.2K
2266 CLEAN ENERGY FUELS CLNE 0.00% 105.02K $165.0K
2267 BIOAGE LABS BIOA 0.00% 16.11K $163.0K
2268 HERTZ GLOBAL HLDGS INC HTZ 0.00% 72.70K $162.2K
2269 GRANITE RIDGE RESOURCES GRNT 0.00% 31.97K $161.6K
2270 FRP HOLDINGS INC FRPH 0.00% 7.08K $161.5K
2271 XPERI INC XPER 0.00% 25.56K $161.2K
2272 BOOST RUN INC CLASS A BRUN 0.00% 8.54K $159.8K
2273 FUNKO CLASS A FNKO 0.00% 23.00K $154.9K
2274 THRYV HOLDINGS INC THRY 0.00% 79.72K $154.0K
2275 ENANTA PHARMACEUTICALS INC ENTA 0.00% 10.88K $153.3K
2276 JEFFERSON CAPITAL INC JCAP 0.00% 7.00K $153.1K
2277 BIGLARI HOLDINGS INCINARY CLASS B BH 0.00% 400 $152.0K
2278 SPYGLASS PHARMA SHS SGP 0.00% 5.70K $151.7K
2279 ZUMIEZ ZUMZ 0.00% 8.19K $151.2K
2280 NEXPOINT DIVERSIFIED REAL ESTATE T NXDT 0.00% 26.76K $150.2K
2281 SHOE STATION GROUP INC SHOE 0.00% 10.46K $149.8K
2282 MBIA INC MBI 0.00% 30.48K $149.5K
2283 AIAI HOLDINGS CORP CLASS A AIAI 0.00% 34.53K $148.2K
2284 JELD WEN HOLDING INC JELD 0.00% 61.68K $148.1K
2285 NEIGHBORHOOD INTELLIGENCE NXH 0.00% 36.11K $146.7K
2286 SMARTRENT INC CLASS A SMRT 0.00% 101.73K $146.6K
2287 BIGCOMMERCE HOLDINGS SERIES CMRC 0.00% 60.73K $141.6K
2288 LYELL IMMUNOPHARMA LYEL 0.00% 9.10K $141.1K
2289 CARIBOU BIOSCIENCES CRBU 0.00% 79.84K $140.6K
2290 VELOCITY FINANCIAL INC VEL 0.00% 7.69K $139.6K
2291 INNOVAGE HOLDING CORP INNV 0.00% 12.68K $138.6K
2292 REPAY HOLDINGS CORP CLASS A RPAY 0.00% 35.98K $138.3K
2293 SEAPORT ENTERTAINMENT GROUP INC SEG 0.00% 4.94K $135.6K
2294 JAMES RIVER GROUP HOLDINGS INC JRVR 0.00% 32.76K $135.4K
2295 NU SKIN ENTERPRISES CLASS A NUS 0.00% 27.87K $135.3K
2296 SKINHEALTH SYSTEMS INC CLASS A SKIN 0.00% 206.37K $134.3K
2297 KYVERNA THERAPEUTICS KYTX 0.00% 15.00K $132.7K
2298 AMERICAN INTEGRITY INSURANCE GROUP AII 0.00% 5.00K $131.8K
2299 ENTRADA THERAPEUTICS TRDA 0.00% 17.26K $131.6K
2300 XPONENTIAL FITNESS CLASS A XPOF 0.00% 25.00K $131.1K
2301 MAPLIGHT THERAPEUTICS MPLT 0.00% 10.33K $129.6K
2302 KEROS THERAPEUTICS KROS 0.00% 11.04K $129.0K
2303 EW SCRIPPS CLASS A SSP 0.00% 38.98K $128.4K
2304 COHERUS ONCOLOGY INC CHRS 0.00% 92.96K $127.5K
2305 POWER SOLUTIONS INTERNATIONAL PSIX 0.00% 3.50K $126.9K
2306 RANPAK HOLDINGS CORP CLASS A PACK 0.00% 25.00K $126.6K
2307 EVE HOLDING EVEX 0.00% 51.01K $125.6K
2308 FRANKLIN COVEY FC 0.00% 6.00K $122.6K
2309 LUCKY STRIKE ENTERTAINMENT CORP CL LUCK 0.00% 18.10K $121.3K
2310 GYRE THERAPEUTICS GYRE 0.00% 18.00K $120.3K
2311 OMADA HEALTH OMDA 0.00% 5.00K $119.8K
2312 STANDARD BIOTOOLS LAB 0.00% 183.99K $119.7K
2313 FULCRUM THERAPEUTICS FULC 0.00% 30.80K $119.0K
2314 HIGHPEAK ENERGY INC HPK 0.00% 15.00K $118.1K
2315 YORK SPACE SYSTEMS INC YSS 0.00% 12.50K $116.6K
2316 BUMBLE CLASS A BMBL 0.00% 40.98K $116.5K
2317 OUTDOOR HOLDING POWW 0.00% 52.58K $116.3K
2318 CLAROS MORTGAGE TRUST INC CMTG 0.00% 67.68K $115.8K
2319 STONERIDGE INC SRI 0.00% 16.00K $115.3K
2320 ATRIUM THERAPEUTICS INC RNA 0.00% 8.23K $115.3K
2321 WHITEFIBER INC WYFI 0.00% 5.60K $114.3K
2322 PROKIDNEY CORP CLASS A PROK 0.00% 65.61K $113.6K
2323 TELOS CORPORATION CORP TLS 0.00% 25.85K $113.1K
2324 KRONOS WORLDWIDE KRO 0.00% 12.60K $112.4K
2325 DESIGNER BRANDS CLASS A DBI 0.00% 20.00K $110.5K
2326 HOLLEY HLLY 0.00% 37.78K $109.3K
2327 RIBBON COMMUNICATIONS RBBN 0.00% 52.74K $108.7K
2328 GBANK FINL HLDGS INC GBFH 0.00% 5.20K $106.8K
2329 SIGA TECHNOLOGIES INC SIGA 0.00% 34.91K $106.2K
2330 MERLIN INC CMN STK MRLN 0.00% 31.64K $106.1K
2331 ALTI GLOBAL INC CLASS A ALTI 0.00% 26.00K $104.6K
2332 PLAYTIKA HOLDING CORP PLTK 0.00% 40.83K $100.1K
2333 NORTHPOINTE BANCSHARES INC NPB 0.00% 5.90K $100.1K
2334 SITE CENTERS SITC 0.00% 32.38K $96.6K
2335 MONTAUK RENEWABLES INC MNTK 0.00% 52.95K $96.4K
2336 MEDIFAST INC MED 0.00% 7.87K $95.8K
2337 EVERCOMMERCE INC EVCM 0.00% 10.45K $93.7K
2338 OCTAVE SPECIALTY GROUP INC OSG 0.00% 20.00K $90.3K
2339 PRIORITY TECHNOLOGY HOLDINGS INC PRTH 0.00% 16.00K $90.0K
2340 ENHANCED GROUP CLASS A ENHA 0.00% 55.12K $89.9K
2341 SES AI CLASS A SES 0.00% 163.96K $89.5K
2342 LAND END LE 0.00% 7.42K $88.9K
2343 CHARGEPOINT HOLDINGS INC CLASS A CHPT 0.00% 15.00K $87.7K
2344 RESOURCES CONNECTION RGP 0.00% 20.00K $85.3K
2345 WEBTOON ENTERTAINMENT INC WBTN 0.00% 9.00K $85.1K
2346 FORRESTER RESEARCH INC FORR 0.00% 7.00K $84.3K
2347 EVOMMUNE EVMN 0.00% 6.00K $82.8K
2348 PROFICIENT AUTO LOGISTICS INC PAL 0.00% 15.00K $81.2K
2349 ORGANOGENESIS HOLDINGS CLASS A ORGO 0.00% 45.50K $79.2K
2350 KINDERCARE LEARNING COMPANIES INC KLC 0.00% 31.06K $78.9K
2351 NEUMORA THERAPEUTICS INC NMRA 0.00% 51.34K $77.1K
2352 NAKAMOTO INC NAKA 0.00% 10.13K $72.6K
2353 UNIVERSAL LOGISTICS HOLDINGS INC ULH 0.00% 3.74K $72.2K
2354 ACCENDRA HEALTH ACH 0.00% 62.11K $72.1K
2355 PHOENIX EDUCATION PARTNERS PXED 0.00% 2.50K $71.9K
2356 DMC GLOBAL INC BOOM 0.00% 10.37K $71.1K
2357 ORION PROPERTIES ONL 0.00% 24.02K $70.7K
2358 GETTY IMAGES HOLDINGS INC CLASS A GETY 0.00% 263.77K $70.3K
2359 DIGIMARC DMRC 0.00% 12.00K $69.8K
2360 TUCOWS INC TCX 0.00% 7.63K $68.8K
2361 MICROVISION INC MVIS 0.00% 37.50K $67.9K
2362 UNISYS UIS 0.00% 25.00K $67.3K
2363 1-800 FLOWERS.COM CLASS A FLWS 0.00% 16.00K $62.8K
2364 KALTURA INC KLTR 0.00% 40.71K $62.3K
2365 TECHTARGET INC TTGT 0.00% 14.19K $55.2K
2366 SERITAGE GROWTH PROPERTIES CLASS A SRG 0.00% 25.00K $52.8K
2367 HUMACYTE INC HUMA 0.00% 69.81K $49.0K
2368 SIONNA THERAPEUTICS SION 0.00% 7.39K $46.2K
2369 GOPRO INC CLASS A GPRO 0.00% 75.87K $46.2K
2370 AIRJOULE TECHNOLOGIES CLASS A AIRJ 0.00% 8.00K $38.8K
2371 GRANITE POINT MORTGAGE TRUST GPMT 0.00% 31.92K $33.9K
2372 INNVENTURE INC INV 0.00% 18.55K $28.4K
2373 AMERICAS CAR MART INC CRMT 0.00% 7.00K $16.5K
2374 BLAIZE HOLDINGS INC BZAI 0.00% 33.99K $16.1K
2375 RUSSELL 2000 EMINI CME SEP 26 0.00% 2.10K $0.00
2376 S&P500 EMINI SEP 26 0.00% 7.10K $0.00
2377 OMNIAB INC 0.00% 3.07K $0.00
2378 OMNIAB INC EARNOUT SHARES 0.00% 3.07K $0.00
2379 THIRD HARMONIC BIO INC THRD 0.00% 12.35K $0.00

Click a ticker to see every ETF that owns it.

Esposizione settoriale

Tecnologia 36.19%
Servizi Finanziari 12.40%
Sanità 10.05%
Beni di Consumo Ciclici 9.20%
Industria 8.87%
Servizi di Comunicazione 8.71%
Beni di Consumo Difensivi 4.30%
Energia 3.72%
Immobiliare 2.30%
Materiali di Base 2.26%
Servizi di Pubblica Utilità 1.99%

Esposizione Geografica

United States (developed) 97.35%
Ireland (developed) 1.14%
United Kingdom (developed) 0.48%
Switzerland (developed) 0.33%
Singapore (developed) 0.26%
Bermuda 0.15%
Netherlands (developed) 0.12%
Cayman Islands 0.07%

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)1.02% Distribuito (ultimi 12 mesi)$0.3009
FrequenzaQuarterly Rendimento SECNon fornito dalla nostra fonte dati — consulta la pagina dell'emittente
Ultima ex-dataJun 24, 2026 Ultimo pagamento$0.0753 (Jun 29, 2026)
Crescita 1A-28.80% Crescita 3A / 5A (ann.)-26.52% / -26.86%
Ex-dateRecordData di pagamentoImporto
Jun 24, 2026Jun 24, 2026 Jun 29, 2026$0.0753
Mar 25, 2026Mar 25, 2026 Mar 30, 2026$0.0692
Dec 10, 2025Dec 10, 2025 Dec 15, 2025$0.0821
Sep 24, 2025Sep 24, 2025 Sep 29, 2025$0.0743
Jun 25, 2025Jun 25, 2025 Jun 30, 2025$0.0703
Mar 26, 2025Mar 26, 2025 Mar 31, 2025$0.0649
Dec 11, 2024Dec 11, 2024 Dec 16, 2024$0.0830
Sep 25, 2024Sep 25, 2024 Sep 30, 2024$0.2044
Jun 26, 2024Jun 26, 2024 Jul 01, 2024$0.2033
Mar 20, 2024Mar 21, 2024 Mar 25, 2024$0.1867
Dec 06, 2023Dec 07, 2023 Dec 11, 2023$0.2221
Sep 20, 2023Sep 21, 2023 Sep 25, 2023$0.1902

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 / 3A13.03% / 15.22% Sharpe 1A / 3A1.35 / 1.28
Drawdown massimo 1A / 3A-8.91% / -19.33% Sortino 1A1.97
Beta vs S&P 500 (3Y)0.987 Correlation vs S&P 500 (1Y)0.995
Downside deviation 1Y8.91% 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 odierno1.57M Average volume8.19M
AUM$44.58B Premio/Sconto+0.56%
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 $138.9M +0.31% $44.44B → $44.58B
1 Week -$238.1M -0.53% $44.60B → $44.58B

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 SCHB

All news for SCHB →

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