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Idioma de la interfaz

SPDW State Street SPDR Portfolio Developed World ex-US ETF

52.08 -0.22 (-0.42%)

Cotización a fecha de Aug 26, 2026 20:00 UTC · Market data delayed approximately 15–20 minutes unless otherwise indicated.

Cierre anterior52.30 Rango diario52.04 – 52.34
Rango de 52 semanas41.09 – 52.43 Volumen2.08M
Volumen prom.3.06M AUM$42.23B (Aug 27, 2026)
Ratio de gastos0.03% Rendimiento (TTM)2.91%
NAV52.10 Prima/Descuento-0.04% indicativo
InicioApr 20, 2007 Posiciones2433
EmisorSPDR BolsaAMEX
CategoríaDeveloped Markets Índice replicadoNo indicado en los datos de origen
CUSIP78463X889 ISINUS78463X8891
GestiónNo indicado en los datos de origen

Sobre este ETF

This State Street SPDR Portfolio ETF is designed to mirror the total return performance of the S&P Developed Ex-U.S. BMI Index, before accounting for its fees and expenses. As a cost-effective foundational offering in the SPDR Portfolio series, it serves as a building block for broad, diversified exposure across core asset classes. The fund offers comprehensive access to developed international equity markets, specifically excluding the United States, which can help in diversifying and potentially reducing country-specific investment risks.

Descripción proporcionada por el proveedor de datos del fondo · perfil a fecha de Aug 27, 2026.

Gráfico de precios

Precios de cierre diarios (rentabilidad por precio, no rentabilidad total). Las líneas de comparación se normalizan al cambio porcentual desde el inicio del período. Fuente: Financial Modeling Prep.

Rentabilidad

1M3M6MYTD1Y3Y*5Y*10Y*Inicio*
Rentabilidad por precio +5.02% +2.42% +4.43% +17.27% +24.53% +18.06% +6.83% +7.15% +2.44%
Rentabilidad total +5.02% +3.87% +5.90% +18.93% +28.56% +21.68% +10.23% +10.28% +5.28%

* Anualizado. La rentabilidad total utiliza la serie de precios ajustada por dividendos (distribuciones reinvertidas); la rentabilidad por precio utiliza cierres sin ajustar. Rentabilidad a Aug 26, 2026. La rentabilidad pasada no garantiza resultados futuros.

Comisiones

Expense ratio neto0.03% Coste anual de una inversión de 10.000 $$3.00

Cálculo meramente ilustrativo: expense ratio × 10.000 $. No incluye costes de negociación, diferenciales compra/venta, impuestos ni variaciones en el valor de la inversión. Los detalles de gastos brutos y netos, así como cualquier exención de comisiones, figuran en el folleto.

Posiciones

Posiciones a fecha de Aug 26, 2026 — fecha de reporte de cartera del proveedor de datos; las posiciones no son en tiempo real. 2457 filas en la base de datos.

#PosiciónTickerPesoAccionesValor de mercado
1 SAMSUNG ELECTR GDR REG S SMSN 2.49% 223.66K $1.04B
2 ASML HOLDING NV ASML 1.96% 470.80K $819.8M
3 SK HYNIX INC A000660 1.90% 661.22K $795.9M
4 HSBC HOLDINGS PLC HSBA 1.02% 20.81M $427.8M
5 ROCHE HOLDING AG ROP.SW 0.94% 852.10K $394.4M
6 NOVARTIS AG REG NOVN.SW 0.85% 2.23M $354.6M
7 ROYAL BANK OF CANADA RY.TO 0.83% 1.70M $349.5M
8 MITSUBISHI UFJ FINANCIAL GRO 8306.T 0.78% 14.78M $325.7M
9 SHELL PLC SHEL 0.77% 7.06M $324.1M
10 ASTRAZENECA PLC AZN 0.76% 1.88M $318.4M
11 NESTLE SA REG NESN.SW 0.74% 3.15M $311.7M
12 BHP GROUP LTD BHP.AX 0.71% 6.20M $298.3M
13 SIEMENS AG REG SIE 0.71% 890.89K $295.1M
14 TOYOTA MOTOR CORP 7203.T 0.68% 14.72M $283.2M
15 SAP SE SAP 0.64% 1.24M $266.1M
16 BANCO SANTANDER SA SAN 0.62% 17.81M $259.9M
17 TORONTO DOMINION BANK TD.TO 0.57% 2.02M $238.7M
18 ALLIANZ SE REG ALV 0.57% 455.91K $238.0M
19 SCHNEIDER ELECTRIC SE SU 0.56% 679.88K $233.7M
20 COMMONWEALTH BANK OF AUSTRAL CBA.AX 0.54% 2.04M $228.0M
21 SHOPIFY INC CLASS A SHOP.TO 0.54% 1.49M $227.7M
22 ROLLS ROYCE HOLDINGS PLC RR. 0.54% 10.82M $224.4M
23 TOTALENERGIES SE TTE 0.51% 2.44M $214.2M
24 UBS GROUP AG REG UBSG.SW 0.49% 3.87M $207.0M
25 ADVANTEST CORP 6857.T 0.49% 947.00K $203.6M
26 BANCO BILBAO VIZCAYA ARGENTA BBVA 0.48% 7.07M $202.6M
27 TOKYO ELECTRON LTD 8035.T 0.48% 578.37K $200.0M
28 SUMITOMO MITSUI FINANCIAL GR 8316.T 0.47% 4.72M $195.4M
29 ABB LTD REG ABBN.SW 0.46% 1.96M $193.5M
30 UNICREDIT SPA UCG 0.46% 1.97M $193.1M
31 RECRUIT HOLDINGS CO LTD 6098.T 0.45% 1.80M $186.5M
32 NOVO NORDISK A/S B NOVOB 0.44% 3.86M $184.5M
33 SONY GROUP CORP 6758.T 0.44% 7.71M $184.4M
34 HITACHI LTD 6501.T 0.44% 5.57M $184.1M
35 IBERDROLA SA IBE 0.43% 7.62M $177.9M
36 AIRBUS SE AIR 0.42% 749.12K $177.8M
37 UNILEVER PLC ULVR 0.42% 2.71M $175.0M
38 SAFRAN SA SAF 0.39% 408.78K $163.0M
39 LVMH MOET HENNESSY LOUIS VUI MC 0.38% 308.18K $161.1M
40 INTESA SANPAOLO ISP 0.37% 19.75M $156.7M
41 SOFTBANK GROUP CORP 9984.T 0.37% 4.86M $154.4M
42 MIZUHO FINANCIAL GROUP INC 8411.T 0.37% 3.00M $153.9M
43 SIEMENS ENERGY AG ENR 0.37% 866.09K $153.5M
44 DBS GROUP HOLDINGS LTD D05.SI 0.36% 2.53M $151.5M
45 CIE FINANCIERE RICHEMO A REG CFR.SW 0.36% 651.99K $151.0M
46 AIR LIQUIDE SA AI 0.36% 772.66K $150.4M
47 BANK OF MONTREAL BMO.TO 0.36% 870.31K $150.0M
48 BNP PARIBAS BNP 0.36% 1.23M $149.6M
49 BP PLC BP. 0.35% 20.55M $147.2M
50 MITSUBISHI CORP 8058.T 0.35% 4.92M $146.5M
51 AGNICO EAGLE MINES LTD AEM.TO 0.35% 649.19K $144.6M
52 BANK OF NOVA SCOTIA BNS.TO 0.34% 1.56M $144.4M
53 DEUTSCHE TELEKOM AG REG DTE 0.34% 4.17M $140.8M
54 RIO TINTO PLC RIO 0.33% 1.32M $138.4M
55 ZURICH INSURANCE GROUP AG ZURN.SW 0.32% 184.39K $135.9M
56 SAMSUNG ELECTRONICS PREF A005935 0.32% 962.94K $134.4M
57 BRITISH AMERICAN TOBACCO PLC BATS 0.32% 2.39M $134.0M
58 CAN IMPERIAL BK OF COMMERCE CM.TO 0.32% 1.13M $133.4M
59 AIA GROUP LTD 1299.HK 0.31% 13.87M $130.8M
60 ENBRIDGE INC ENB.TO 0.31% 2.61M $129.2M
61 ING GROEP NV INGA 0.31% 3.66M $128.2M
62 GSK PLC GSK 0.30% 4.90M $126.5M
63 L OREAL OR 0.30% 276.77K $124.7M
64 CANADIAN NATURAL RESOURCES CNQ.TO 0.30% 2.52M $124.2M
65 KEYENCE CORP 6861.T 0.30% 241.80K $124.1M
66 LLOYDS BANKING GROUP PLC LLOY 0.29% 81.13M $122.6M
67 SANOFI SAN 0.29% 1.33M $121.3M
68 OVERSEA CHINESE BANKING CORP O39.SI 0.28% 4.77M $117.5M
69 MITSUI + CO LTD 8031.T 0.27% 3.71M $114.6M
70 BARCLAYS PLC BARC 0.27% 16.92M $113.8M
71 ITOCHU CORP 8001.T 0.27% 8.59M $113.6M
72 FAST RETAILING CO LTD 9983.T 0.27% 250.30K $113.3M
73 BROOKFIELD CORP BN.TO 0.27% 2.70M $112.7M
74 TOKIO MARINE HOLDINGS INC 8766.T 0.27% 2.43M $112.3M
75 MURATA MANUFACTURING CO LTD 6981.T 0.26% 2.44M $108.6M
76 CANADIAN PACIFIC KANSAS CITY CP.TO 0.26% 1.14M $107.1M
77 BAE SYSTEMS PLC BA. 0.26% 3.76M $107.0M
78 AXA SA CS 0.25% 2.10M $106.6M
79 GLENCORE PLC GLEN 0.25% 12.73M $103.9M
80 NATIONAL AUSTRALIA BANK LTD NAB.AX 0.25% 3.79M $103.2M
81 ENEL SPA ENEL 0.25% 9.28M $102.9M
82 SPOTIFY TECHNOLOGY SA SPOT 0.24% 182.65K $100.3M
83 MITSUBISHI HEAVY INDUSTRIES 7011.T 0.24% 4.07M $100.3M
84 INFINEON TECHNOLOGIES AG IFX 0.24% 1.57M $100.0M
85 WESTPAC BANKING CORP WBC.AX 0.24% 4.12M $99.8M
86 BARRICK MINING CORP ABX.TO 0.24% 2.04M $99.1M
87 NATIONAL GRID PLC NG. 0.23% 6.09M $97.8M
88 INVESTOR AB B SHS 0.23% 2.23M $97.1M
89 CANADIAN NATL RAILWAY CO CNR.TO 0.23% 760.44K $96.0M
90 MUENCHENER RUECKVER AG REG MUV2 0.23% 159.91K $95.9M
91 ANZ GROUP HOLDINGS LTD ANZ.AX 0.23% 3.62M $95.4M
92 ANHEUSER BUSCH INBEV SA/NV ABI 0.23% 1.20M $94.2M
93 DEUTSCHE BANK AG REGISTERED DBK 0.22% 2.43M $93.7M
94 SUNCOR ENERGY INC SU.TO 0.22% 1.43M $93.1M
95 SHIN ETSU CHEMICAL CO LTD 4063.T 0.22% 2.47M $92.7M
96 INDUSTRIA DE DISENO TEXTIL ITX 0.22% 1.36M $92.1M
97 NATWEST GROUP PLC NWG 0.22% 9.85M $92.1M
98 MITSUBISHI ELECTRIC CORP 6503.T 0.22% 2.57M $90.2M
99 WHEATON PRECIOUS METALS CORP WPM.TO 0.21% 540.18K $87.8M
100 VINCI SA DG 0.20% 617.60K $85.7M
101 MANULIFE FINANCIAL CORP MFC.TO 0.20% 1.98M $85.2M
102 ANGLO AMERICAN PLC AAL 0.20% 1.49M $84.8M
103 NORDEA BANK ABP 0.20% 4.08M $82.6M
104 WESFARMERS LTD WES.AX 0.20% 1.39M $81.7M
105 SK SQUARE CO LTD A402340 0.19% 107.13K $81.5M
106 NINTENDO CO LTD 7974.T 0.19% 1.47M $81.1M
107 HONG KONG EXCHANGES + CLEAR 0388.HK 0.19% 1.51M $80.2M
108 PANASONIC HOLDINGS CORP 6752.T 0.19% 2.95M $79.3M
109 MACQUARIE GROUP LTD MQG.AX 0.19% 441.80K $79.2M
110 TC ENERGY CORP TRP.TO 0.19% 1.26M $77.5M
111 SOCIETE GENERALE SA GLE 0.18% 884.40K $77.0M
112 ENI SPA ENI 0.18% 2.83M $76.4M
113 ARGENX SE ARGX 0.18% 74.75K $76.2M
114 DEUTSCHE BOERSE AG DB1 0.18% 227.50K $75.9M
115 NOKIA OYJ NOKIA 0.18% 7.30M $75.4M
116 NATIONAL BANK OF CANADA NA.TO 0.18% 471.63K $75.4M
117 HERMES INTERNATIONAL RMS 0.18% 41.05K $74.1M
118 DHL GROUP DHL 0.18% 1.11M $73.4M
119 CSL LTD CSL.AX 0.17% 590.25K $72.9M
120 RHEINMETALL AG RHM 0.17% 55.45K $71.9M
121 HOYA CORP 7741.T 0.17% 458.91K $71.6M
122 TAKEDA PHARMACEUTICAL CO LTD 4502.T 0.17% 1.97M $71.5M
123 CAIXABANK SA CABK 0.17% 4.64M $71.1M
124 SUMITOMO CORP 8053.T 0.17% 6.44M $71.1M
125 KIOXIA HOLDINGS CORP 285A.T 0.17% 220.60K $70.6M
126 PROSUS NV PRX 0.17% 1.58M $69.9M
127 CAMECO CORP CCO.TO 0.17% 652.07K $69.3M
128 VOLVO AB B SHS 0.16% 1.85M $68.1M
129 FUJIKURA LTD 5803.T 0.16% 2.03M $67.1M
130 BAYER AG REG BAYN 0.16% 1.15M $65.9M
131 KOMATSU LTD 6301.T 0.16% 1.42M $65.8M
132 GENERALI G 0.16% 1.30M $65.7M
133 LONDON STOCK EXCHANGE GROUP LSEG 0.16% 547.22K $65.3M
134 SAMSUNG ELECTRO MECHANICS CO A009150 0.16% 66.78K $65.2M
135 SANDVIK AB SAND.ST 0.16% 1.57M $65.0M
136 ESSILORLUXOTTICA EL 0.15% 347.82K $64.2M
137 ENGIE ENGI 0.15% 2.17M $63.9M
138 STANDARD CHARTERED PLC STAN 0.15% 2.20M $63.7M
139 ATLAS COPCO AB A SHS 0.15% 2.97M $63.5M
140 KDDI CORP 9433.T 0.15% 3.50M $63.5M
141 BASF SE BAS 0.15% 1.05M $63.1M
142 KB FINANCIAL GROUP INC A105560 0.15% 523.25K $62.5M
143 LONZA GROUP AG REG LONN.SW 0.15% 84.64K $62.2M
144 FRANCO NEVADA CORP FNV.TO 0.15% 230.57K $62.2M
145 DAIICHI LIFE GROUP INC 8750.T 0.15% 5.51M $62.0M
146 ALIMENTATION COUCHE TARD INC ATD.TO 0.15% 1.01M $61.9M
147 SWISS RE AG SR9 0.15% 354.99K $61.8M
148 JAPAN TOBACCO INC 2914.T 0.15% 1.42M $61.7M
149 MARUBENI CORP 8002.T 0.15% 1.99M $61.6M
150 COMPASS GROUP PLC CPG 0.15% 2.01M $61.6M
151 ORIX CORP 8591.T 0.15% 1.57M $61.5M
152 SSI US GOV MONEY MARKET CLASS 0.15% 61.77M $61.4M
153 DIAGEO PLC DGE 0.15% 2.59M $61.0M
154 ERSTE GROUP BANK AG EBS 0.15% 425.43K $61.0M
155 FERRARI NV RACE 0.14% 143.10K $60.1M
156 RIO TINTO LTD RIO.AX 0.14% 469.78K $59.9M
157 COMMERZBANK AG CBK 0.14% 1.29M $59.4M
158 OTSUKA HOLDINGS CO LTD 4578.T 0.14% 780.90K $58.9M
159 DANONE BN 0.14% 775.37K $58.9M
160 SAMSUNG ELECTRONICS CO LTD A005930 0.14% 317.99K $58.6M
161 RECKITT BENCKISER GROUP PLC RKT 0.14% 820.18K $57.2M
162 SOMPO HOLDINGS INC 8630.T 0.13% 1.33M $56.3M
163 MS+AD INSURANCE GROUP HOLDIN 8725.T 0.13% 1.77M $56.1M
164 COMPAGNIE DE SAINT GOBAIN SGO 0.13% 592.49K $55.9M
165 UNITED OVERSEAS BANK LTD U11.SI 0.13% 1.72M $55.4M
166 HALEON PLC HLN 0.13% 11.03M $55.3M
167 EQUINOR ASA EQNR 0.13% 1.32M $55.0M
168 RWE AG RWE 0.13% 808.00K $54.5M
169 HOLCIM LTD HOLN.SW 0.13% 612.84K $54.0M
170 ASM INTERNATIONAL NV ASM 0.13% 55.83K $53.6M
171 WOODSIDE ENERGY GROUP LTD WDS.AX 0.13% 2.28M $53.5M
172 SEA LTD ADR SE 0.13% 434.83K $53.2M
173 RELX PLC REL 0.13% 1.50M $53.2M
174 SUN LIFE FINANCIAL INC SLF.TO 0.13% 674.32K $53.1M
175 DOLLARAMA INC DOL.TO 0.13% 402.28K $53.0M
176 DANSKE BANK A/S DANSKE.CO 0.13% 912.04K $52.7M
177 E.ON SE EOAN 0.13% 2.58M $52.7M
178 SSE PLC SSE 0.13% 1.61M $52.6M
179 EXPERIAN PLC EXPN 0.13% 1.29M $52.6M
180 SUMITOMO ELECTRIC INDUSTRIES 5802.T 0.13% 3.82M $52.4M
181 TESCO PLC TSCO 0.13% 8.32M $52.4M
182 CONSTELLATION SOFTWARE INC CSU.TO 0.12% 23.58K $52.2M
183 HONDA MOTOR CO LTD 7267.T 0.12% 4.91M $52.0M
184 TEVA PHARMACEUTICAL SP ADR TEVA 0.12% 1.37M $51.9M
185 DSV A/S DSV.CO 0.12% 237.86K $51.7M
186 VODAFONE GROUP PLC VOD 0.12% 32.18M $51.6M
187 LEGRAND SA LR 0.12% 324.76K $51.4M
188 SANDOZ GROUP AG SDZ.SW 0.12% 559.25K $50.9M
189 WASTE CONNECTIONS INC WCN.TO 0.12% 307.94K $50.9M
190 FANUC CORP 6954.T 0.12% 1.34M $50.6M
191 SOFTBANK CORP 9434.T 0.12% 33.85M $50.6M
192 RENESAS ELECTRONICS CORP 6723.T 0.12% 2.37M $50.3M
193 POWER CORP OF CANADA POW.TO 0.12% 760.94K $50.1M
194 CENOVUS ENERGY INC CVE.TO 0.12% 1.63M $50.0M
195 HYUNDAI MOTOR CO A005380 0.12% 164.39K $49.6M
196 GOODMAN GROUP GMG.AX 0.12% 2.50M $49.4M
197 FUJITSU LIMITED 6702.T 0.12% 2.11M $49.2M
198 TDK CORP 6762.T 0.12% 2.58M $49.1M
199 UCB SA UCB 0.12% 187.39K $48.7M
200 PRYSMIAN SPA PRY 0.12% 346.73K $48.7M
201 ADYEN NV ADYEN 0.12% 38.66K $48.4M
202 SKANDINAVISKA ENSKILDA BAN A 0.12% 2.09M $48.3M
203 MERCEDES BENZ GROUP AG MBG 0.12% 926.63K $48.3M
204 SIKA AG REG SIKA.SW 0.12% 204.75K $48.3M
205 BANK LEUMI LE ISRAEL LUMI 0.11% 1.90M $48.1M
206 JAPANESE YEN 0.11% 7.69B $48.0M
207 NUTRIEN LTD NTR.TO 0.11% 662.29K $47.9M
208 NEC CORP 6701.T 0.11% 1.64M $47.6M
209 KBC GROUP NV KBC 0.11% 306.64K $47.3M
210 KINROSS GOLD CORP K.TO 0.11% 1.42M $47.0M
211 GALDERMA GROUP AG GALD.SW 0.11% 221.37K $47.0M
212 DAIKIN INDUSTRIES LTD 6367.T 0.11% 358.31K $46.6M
213 REPSOL SA REP 0.11% 1.49M $46.5M
214 ARCELORMITTAL MT 0.11% 631.60K $45.8M
215 3I GROUP PLC III 0.11% 1.16M $45.5M
216 ALCON INC ALC.SW 0.11% 620.09K $45.1M
217 TECK RESOURCES LTD CLS B TECK.B 0.11% 631.54K $44.9M
218 SWISS LIFE HOLDING AG REG SLW 0.11% 39.23K $44.7M
219 SHINHAN FINANCIAL GROUP LTD A055550 0.11% 585.03K $44.7M
220 JAPAN POST BANK CO LTD 7182.T 0.11% 2.24M $44.7M
221 STMICROELECTRONICS NV STMMI 0.11% 898.04K $44.4M
222 ASSA ABLOY AB B ASSAB 0.11% 1.19M $44.3M
223 DISCO CORP 6146.T 0.10% 115.40K $43.7M
224 CANON INC 7751.T 0.10% 1.52M $43.7M
225 BANK HAPOALIM BM POLI 0.10% 1.68M $43.3M
226 PRUDENTIAL PLC PRU 0.10% 3.04M $42.7M
227 ARM HOLDINGS PLC ADR ARM 0.10% 174.71K $42.0M
228 RESONA HOLDINGS INC 8308.T 0.10% 2.77M $41.8M
229 IBIDEN CO LTD 4062.T 0.10% 334.50K $41.7M
230 CELESTICA INC CLS.TO 0.10% 136.83K $41.6M
231 DAIICHI SANKYO CO LTD 4568.T 0.10% 2.35M $41.5M
232 VESTAS WIND SYSTEMS A/S VWS.CO 0.10% 1.27M $41.5M
233 INTACT FINANCIAL CORP IFC.TO 0.10% 211.69K $40.8M
234 GIVAUDAN REG GIVN.SW 0.10% 9.91K $40.8M
235 ORANGE ORA 0.10% 2.19M $40.6M
236 SWEDBANK AB A SHARES 0.10% 1.05M $40.6M
237 FAIRFAX FINANCIAL HLDGS LTD FFH.TO 0.10% 24.63K $40.3M
238 ARISTOCRAT LEISURE LTD ALL.AX 0.10% 912.09K $40.2M
239 WOOLWORTHS GROUP LTD WOW.AX 0.10% 1.45M $40.1M
240 ERICSSON LM B SHS ERICB 0.09% 3.87M $39.6M
241 LOBLAW COMPANIES LTD L.TO 0.09% 889.08K $39.1M
242 IMPERIAL OIL LTD IMO.TO 0.09% 298.04K $38.9M
243 KONINKLIJKE AHOLD DELHAIZE N AD 0.09% 1.07M $38.8M
244 TOYOTA TSUSHO CORP 8015.T 0.09% 830.60K $38.8M
245 ASTELLAS PHARMA INC 4503.T 0.09% 2.54M $38.3M
246 FERROVIAL NV FER 0.09% 610.44K $38.3M
247 TRANSURBAN GROUP TCL.AX 0.09% 3.83M $38.1M
248 NTT INC 9432.T 0.09% 35.83M $37.8M
249 VEOLIA ENVIRONNEMENT VIE 0.09% 955.53K $37.7M
250 AJINOMOTO CO INC 2802.T 0.09% 1.10M $37.7M
251 KYOCERA CORP 6971.T 0.09% 1.68M $37.7M
252 IMPERIAL BRANDS PLC IMB 0.09% 1.10M $37.7M
253 SEVEN + I HOLDINGS CO LTD 3382.T 0.09% 2.96M $37.6M
254 CHUGAI PHARMACEUTICAL CO LTD 4519.T 0.09% 864.94K $37.5M
255 SUMITOMO MITSUI TRUST GROUP 8309.T 0.09% 3.45M $37.4M
256 BRIDGESTONE CORP 5108.T 0.09% 1.45M $37.4M
257 NOMURA HOLDINGS INC 8604.T 0.09% 3.80M $37.3M
258 CREDIT AGRICOLE SA ACA 0.09% 1.68M $37.0M
259 DNB BANK ASA DNB 0.09% 1.10M $36.8M
260 INTERCONTINENTAL HOTELS GROU IHG 0.09% 227.07K $36.8M
261 AVIVA PLC 0.09% 3.71M $36.8M
262 MITSUBISHI ESTATE CO LTD 8802.T 0.09% 1.57M $36.4M
263 ADIDAS AG ADS 0.09% 204.99K $36.3M
264 KONINKLIJKE PHILIPS NV PHIA 0.09% 1.33M $36.2M
265 AMADEUS IT GROUP SA AMS 0.09% 539.15K $36.0M
266 BANCO BPM SPA BAMI 0.09% 1.91M $35.9M
267 JAPAN POST HOLDINGS CO LTD 6178.T 0.09% 2.41M $35.8M
268 MICHELIN (CGDE) ML 0.09% 886.57K $35.8M
269 LEONARDO SPA LDO 0.08% 561.77K $35.5M
270 ATLAS COPCO AB B SHS 0.08% 1.89M $35.4M
271 FUJIFILM HOLDINGS CORP 4901.T 0.08% 1.74M $35.3M
272 DAIMLER TRUCK HOLDING AG DTG 0.08% 646.56K $35.2M
273 DAIWA SECURITIES GROUP INC 8601.T 0.08% 3.11M $35.2M
274 AIB GROUP PLC A5G 0.08% 2.73M $35.0M
275 BANCA MONTE DEI PASCHI SIENA BMPS 0.08% 2.57M $34.8M
276 THALES SA HO 0.08% 119.75K $34.7M
277 SAMPO OYJ A SHS SAMPO 0.08% 3.04M $34.7M
278 EAST JAPAN RAILWAY CO 9020.T 0.08% 1.51M $34.1M
279 GEBERIT AG REG GEBN.SW 0.08% 47.07K $34.0M
280 KAO CORP 4452.T 0.08% 1.50M $34.0M
281 CENTRAL JAPAN RAILWAY CO 9022.T 0.08% 1.36M $33.8M
282 DSM FIRMENICH AG DSFIR 0.08% 315.45K $33.6M
283 EURO CURRENCY 0.08% 28.48M $33.0M
284 PEMBINA PIPELINE CORP PPL.TO 0.08% 689.48K $33.0M
285 FORTIS INC FTS.TO 0.08% 601.16K $32.9M
286 PUBLICIS GROUPE PUB 0.08% 273.19K $32.8M
287 JULIUS BAER GROUP LTD BAER.SW 0.08% 351.95K $32.5M
288 ABN AMRO BANK NV CVA ABN 0.08% 684.40K $32.5M
289 HEIDELBERG MATERIALS AG HEI 0.08% 171.86K $32.3M
290 ENEOS HOLDINGS INC 5020.T 0.08% 3.85M $32.3M
291 AERCAP HOLDINGS NV AER 0.08% 218.94K $32.1M
292 SAAB AB B 0.08% 472.38K $31.6M
293 SUZUKI MOTOR CORP 7269.T 0.07% 2.37M $31.4M
294 RESTAURANT BRANDS INTERN QSR.TO 0.07% 383.65K $31.1M
295 SMC CORP 6273.T 0.07% 69.00K $31.1M
296 NORTHERN STAR RESOURCES LTD NST.AX 0.07% 1.77M $31.0M
297 HANA FINANCIAL GROUP A086790 0.07% 327.49K $30.7M
298 NOVONESIS (NOVOZYMES) B 0.07% 441.27K $30.7M
299 DENSO CORP 6902.T 0.07% 2.56M $30.6M
300 BANCA POPOL EMILIA ROMAGNA BPE 0.07% 1.86M $30.6M
301 NIPPON YUSEN KK 9101.T 0.07% 686.16K $30.6M
302 MITSUI FUDOSAN CO LTD 8801.T 0.07% 3.23M $30.5M
303 ASICS CORP 7936.T 0.07% 1.04M $30.4M
304 COCA COLA EUROPACIFIC PARTNE CCEP 0.07% 277.19K $30.3M
305 HANWHA AEROSPACE CO LTD A012450 0.07% 38.27K $30.3M
306 SINGAPORE TELECOMMUNICATIONS Z74.SI 0.07% 8.54M $30.0M
307 KIA CORP A000270 0.07% 308.66K $29.9M
308 QBE INSURANCE GROUP LTD QBE.AX 0.07% 1.90M $29.8M
309 HEINEKEN NV HEIA 0.07% 350.37K $29.4M
310 BANDAI NAMCO HOLDINGS INC 7832.T 0.07% 844.30K $29.4M
311 AEON CO LTD 8267.T 0.07% 3.37M $29.4M
312 DOOSAN ENERBILITY CO LTD A034020 0.07% 506.42K $29.3M
313 BT GROUP PLC BT.A 0.07% 10.39M $29.1M
314 TELEFONICA SA TEF 0.07% 6.79M $29.0M
315 SUN HUNG KAI PROPERTIES 0016.HK 0.07% 1.83M $29.0M
316 ACS ACTIVIDADES CONS Y SERV ACS 0.07% 239.66K $29.0M
317 COLES GROUP LTD COL.AX 0.07% 1.70M $28.8M
318 TECHTRONIC INDUSTRIES CO LTD 0669.HK 0.07% 1.62M $28.8M
319 BAYERISCHE MOTOREN WERKE AG BMW 0.07% 427.43K $28.8M
320 EVOLUTION MINING LTD EVN.AX 0.07% 2.53M $28.6M
321 TERUMO CORP 4543.T 0.07% 1.75M $28.3M
322 KONE OYJ B KNEBV 0.07% 460.16K $28.0M
323 CELLTRION INC A068270 0.07% 204.63K $27.8M
324 KUBOTA CORP 6326.T 0.07% 1.59M $27.7M
325 LEGAL + GENERAL GROUP PLC LGEN 0.07% 7.05M $27.6M
326 MERCK KGAA MRK 0.07% 170.37K $27.5M
327 BOC HONG KONG HOLDINGS LTD 2388.HK 0.07% 4.31M $27.5M
328 NAVER CORP A035420 0.07% 173.05K $27.4M
329 SVENSKA HANDELSBANKEN A SHS 0.07% 1.79M $27.3M
330 SAMSUNG SDI CO LTD A006400 0.07% 73.11K $27.2M
331 CANADIAN DOLLAR 0.06% 37.80M $27.2M
332 AENA SME SA AENA 0.06% 846.05K $27.1M
333 NIPPON STEEL CORP 5401.T 0.06% 6.45M $27.1M
334 ORIENTAL LAND CO LTD 4661.T 0.06% 1.44M $26.9M
335 NEXT PLC NXT 0.06% 126.60K $26.8M
336 AGEAS AGS 0.06% 309.01K $26.6M
337 GENMAB A/S GMAB.CO 0.06% 78.03K $26.6M
338 INPEX CORP 1605.T 0.06% 1.10M $26.6M
339 HYUNDAI MOBIS CO LTD A012330 0.06% 73.89K $26.4M
340 MAGNA INTERNATIONAL INC MG.TO 0.06% 401.44K $26.3M
341 BOMBARDIER INC B BBD.B 0.06% 115.80K $26.3M
342 CK HUTCHISON HOLDINGS LTD 0001.HK 0.06% 2.96M $26.2M
343 KONINKLIJKE KPN NV KPN 0.06% 5.49M $26.2M
344 FIRST QUANTUM MINERALS LTD FM.TO 0.06% 749.45K $26.2M
345 WOLTERS KLUWER WKL 0.06% 325.07K $26.2M
346 TOWER SEMICONDUCTOR LTD TSEM 0.06% 125.22K $26.2M
347 LUNDIN MINING CORP LUN.TO 0.06% 943.87K $26.1M
348 FORTESCUE LTD FMG.AX 0.06% 2.07M $26.0M
349 MTU AERO ENGINES AG MTX 0.06% 62.74K $26.0M
350 AP MOLLER MAERSK A/S B 0.06% 7.57K $26.0M
351 SAMSUNG C+T CORP A028260 0.06% 98.58K $26.0M
352 FRESENIUS SE + CO KGAA FRE 0.06% 487.32K $25.9M
353 T+D HOLDINGS INC 8795.T 0.06% 867.60K $25.8M
354 HELVETIA BALOISE HOLDING AG HBAN.SW 0.06% 96.78K $25.8M
355 PAN AMERICAN SILVER CORP PAAS.TO 0.06% 479.36K $25.8M
356 NN GROUP NV NN 0.06% 285.78K $25.7M
357 RELX PLC REN 0.06% 713.55K $25.4M
358 SECOM CO LTD 9735.T 0.06% 632.90K $25.4M
359 KERING KER 0.06% 88.46K $25.4M
360 SGS SA REG SGSN.SW 0.06% 218.97K $25.3M
361 OMV AG OMV 0.06% 319.12K $25.1M
362 POSCO HOLDINGS INC SPON ADR PKX 0.06% 424.94K $25.1M
363 NIDEC CORP 6594.T 0.06% 1.53M $25.0M
364 SWISSCOM AG REG SCMN.SW 0.06% 31.37K $24.9M
365 CLP HOLDINGS LTD 0002.HK 0.06% 2.48M $24.8M
366 SAMSUNG LIFE INSURANCE CO LT A032830 0.06% 119.71K $24.5M
367 EDP SA EDP 0.06% 4.46M $24.2M
368 SUMITOMO REALTY + DEVELOPMEN 8830.T 0.06% 1.14M $24.1M
369 VAT GROUP AG VACN.SW 0.06% 31.92K $24.1M
370 NORSK HYDRO ASA NHY 0.06% 2.42M $24.1M
371 BANK OF IRELAND GROUP PLC BIRG 0.06% 1.08M $24.1M
372 POUND STERLING 0.06% 17.64M $23.9M
373 ASAHI GROUP HOLDINGS LTD 2502.T 0.06% 2.26M $23.8M
374 CAPGEMINI SE CAP 0.06% 187.70K $23.8M
375 HENNES + MAURITZ AB B SHS 0.06% 1.23M $23.8M
376 BANCO DE SABADELL SA SAB 0.06% 5.53M $23.7M
377 ANTOFAGASTA PLC ANTO 0.06% 435.27K $23.7M
378 EVOLUTION AB EVO.ST 0.06% 267.65K $23.6M
379 BROOKFIELD ASSET MGMT A BAM.TO 0.06% 450.99K $23.5M
380 PARTNERS GROUP HOLDING AG PGHN.SW 0.06% 26.14K $23.5M
381 TORAY INDUSTRIES INC 3402.T 0.06% 2.95M $23.4M
382 GREAT WEST LIFECO INC GWO.TO 0.06% 363.25K $23.3M
383 SANTOS LTD STO.AX 0.06% 4.01M $23.3M
384 TELECOM ITALIA SPA TIT 0.06% 2.59M $23.2M
385 HEXAGON AB B SHS 0.06% 2.19M $23.2M
386 KUEHNE NAGEL INTL AG REG KNIN.SW 0.06% 84.55K $23.1M
387 DAIWA HOUSE INDUSTRY CO LTD 1925.T 0.06% 786.60K $23.1M
388 ACCOR SA AC 0.05% 424.05K $23.0M
389 ORIGIN ENERGY LTD ORG.AX 0.05% 2.71M $22.9M
390 SUMITOMO METAL MINING CO LTD 5713.T 0.05% 323.90K $22.7M
391 HYOSUNG HEAVY INDUSTRIES COR A298040 0.05% 11.50K $22.7M
392 FISHER + PAYKEL HEALTHCARE C FPH 0.05% 850.38K $22.7M
393 JAMES HARDIE INDUSTRIES CDI JHX.AX 0.05% 747.77K $22.7M
394 VONOVIA SE VNA 0.05% 979.67K $22.6M
395 BRAMBLES LTD BXB.AX 0.05% 1.63M $22.6M
396 BLUESCOPE STEEL LTD BSL.AX 0.05% 1.02M $22.5M
397 UNIVERSAL MUSIC GROUP NV UMG 0.05% 1.30M $22.5M
398 TOKYO GAS CO LTD 9531.T 0.05% 590.50K $22.5M
399 KANSAI ELECTRIC POWER CO INC 9503.T 0.05% 1.38M $22.4M
400 IAMGOLD CORP IMG.TO 0.05% 1.01M $22.3M
401 RESONAC HOLDINGS CORP 4004.T 0.05% 219.50K $22.2M
402 JAPAN EXCHANGE GROUP INC 8697.T 0.05% 1.57M $22.2M
403 SMITHS GROUP PLC SMIN 0.05% 623.76K $22.1M
404 BE SEMICONDUCTOR INDUSTRIES BESI 0.05% 95.71K $22.1M
405 HALMA PLC HLMA 0.05% 456.27K $22.1M
406 EPIROC AB A 0.05% 770.43K $21.7M
407 IHI CORP 7013.T 0.05% 1.29M $21.7M
408 EURONEXT NV ENX 0.05% 113.02K $21.7M
409 UNIBAIL RODAMCO WESTFIELD URW 0.05% 180.76K $21.6M
410 ELBIT SYSTEMS LTD ESLT 0.05% 29.87K $21.6M
411 METSO CORP METSO 0.05% 1.03M $21.6M
412 MITSUI OSK LINES LTD 9104.T 0.05% 478.56K $21.6M
413 NITTO DENKO CORP 6988.T 0.05% 1.02M $21.4M
414 DOOSAN CO LTD A000150 0.05% 27.13K $21.4M
415 CELLNEX TELECOM SA CLNX 0.05% 678.80K $21.4M
416 VOLKSWAGEN AG PREF VOW3 0.05% 250.38K $21.3M
417 ALFA LAVAL AB ALFA.ST 0.05% 352.54K $21.3M
418 OLYMPUS CORP 7733.T 0.05% 1.57M $21.3M
419 PEARSON PLC PSON 0.05% 1.29M $21.3M
420 LASERTEC CORP 6920.T 0.05% 97.30K $21.2M
421 FURUKAWA ELECTRIC CO LTD 5801.T 0.05% 849.15K $21.2M
422 WSP GLOBAL INC WSP.TO 0.05% 155.02K $21.1M
423 ESSITY AKTIEBOLAG B 0.05% 715.37K $21.1M
424 RYANAIR HOLDINGS PLC SP ADR RYAAY 0.05% 369.51K $21.0M
425 EQT AB EQT.ST 0.05% 594.35K $21.0M
426 INSURANCE AUSTRALIA GROUP IAG.AX 0.05% 3.74M $20.9M
427 HANNOVER RUECK SE HNR1 0.05% 70.76K $20.8M
428 SEGRO PLC SGRO 0.05% 1.59M $20.8M
429 SBM OFFSHORE NV SBMO 0.05% 520.84K $20.8M
430 BOLIDEN AB BOL.ST 0.05% 342.28K $20.7M
431 OSAKA GAS CO LTD 9532.T 0.05% 587.70K $20.6M
432 FINECOBANK SPA FBK 0.05% 742.59K $20.5M
433 FLSMIDTH + CO A/S FLS.CO 0.05% 220.38K $20.4M
434 KINGSPAN GROUP PLC KSP 0.05% 171.87K $20.4M
435 DASSAULT SYSTEMES SE DSY 0.05% 775.27K $20.4M
436 HONGKONG LAND HOLDINGS LTD H78 0.05% 2.44M $20.3M
437 DAIFUKU CO LTD 6383.T 0.05% 552.70K $20.2M
438 SAGE GROUP PLC/THE SGE 0.05% 1.34M $20.0M
439 NOMURA RESEARCH INSTITUTE LT 4307.T 0.05% 622.90K $19.9M
440 LOGITECH INTERNATIONAL REG LOGN.SW 0.05% 203.36K $19.8M
441 SONOVA HOLDING AG REG SOON.SW 0.05% 65.16K $19.8M
442 CGI INC GIB.A 0.05% 266.92K $19.7M
443 BAWAG GROUP AG BG 0.05% 95.29K $19.7M
444 POSTE ITALIANE SPA PST 0.05% 614.63K $19.6M
445 AUSTRALIAN DOLLAR 0.05% 27.52M $19.6M
446 PERNOD RICARD SA RI 0.05% 251.02K $19.6M
447 CHECK POINT SOFTWARE TECH CHKP 0.05% 151.04K $19.4M
448 TERNA RETE ELETTRICA NAZIONA TRN 0.05% 1.69M $19.4M
449 KAJIMA CORP 1812.T 0.05% 641.34K $19.4M
450 RYOHIN KEIKAKU CO LTD 7453.T 0.05% 722.40K $19.3M
451 JX ADVANCED METALS CORP 5016.T 0.05% 809.40K $19.3M
452 LG ELECTRONICS INC A066570 0.05% 134.09K $19.3M
453 VOESTALPINE AG VOE 0.05% 376.80K $19.3M
454 SINGAPORE EXCHANGE LTD S68.SI 0.05% 966.30K $19.2M
455 NEXANS SA NEX 0.05% 117.59K $19.2M
456 LINK REIT 0823.HK 0.05% 3.85M $19.2M
457 KIRIN HOLDINGS CO LTD 2503.T 0.05% 987.80K $19.0M
458 ALAMOS GOLD INC CLASS A AGI.TO 0.05% 490.50K $19.0M
459 PANDORA A/S PNDORA.CO 0.05% 148.88K $19.0M
460 METRO INC/CN MRU.TO 0.05% 293.20K $19.0M
461 WARTSILA OYJ ABP WRT1V 0.05% 538.72K $18.9M
462 BANKINTER SA BKT 0.05% 968.87K $18.9M
463 APA GROUP APA.AX 0.05% 2.47M $18.8M
464 EBARA CORP 6361.T 0.04% 611.00K $18.8M
465 YOKOHAMA FINANCIAL GROUP INC 7186.T 0.04% 1.57M $18.7M
466 SCREEN HOLDINGS CO LTD 7735.T 0.04% 224.40K $18.6M
467 ARITZIA INC SUBORDINATE VOTI ATZ.TO 0.04% 197.70K $18.6M
468 WHITECAP RESOURCES INC WCP.TO 0.04% 1.48M $18.6M
469 TELE2 AB B SHS TEL2B 0.04% 1.03M $18.5M
470 SHIONOGI + CO LTD 4507.T 0.04% 1.01M $18.3M
471 WESTON (GEORGE) LTD WN.TO 0.04% 258.54K $18.3M
472 COMPUTERSHARE LTD CPU.AX 0.04% 650.12K $18.2M
473 KINGFISHER PLC KGF 0.04% 4.15M $18.1M
474 TOURMALINE OIL CORP TOU.TO 0.04% 408.81K $18.1M
475 LY CORP 4689.T 0.04% 5.36M $18.1M
476 ENDESA SA ELE 0.04% 369.37K $18.0M
477 SCHINDLER HOLDING PART CERT SCHP.SW 0.04% 54.90K $18.0M
478 KERRY GROUP PLC A KRZ 0.04% 182.32K $18.0M
479 ORKLA ASA ORK 0.04% 1.75M $18.0M
480 MARKS + SPENCER GROUP PLC MKS 0.04% 3.36M $17.8M
481 PAN PACIFIC INTERNATIONAL HO 7532.T 0.04% 3.49M $17.7M
482 EMERA INC EMA.TO 0.04% 353.65K $17.7M
483 YAMAHA MOTOR CO LTD 7272.T 0.04% 1.45M $17.7M
484 SINGAPORE TECH ENGINEERING S63.SI 0.04% 2.11M $17.7M
485 SUNCORP GROUP LTD SUN.AX 0.04% 1.28M $17.7M
486 INTL CONSOLIDATED AIRLINE DI IAG 0.04% 2.95M $17.6M
487 SNAM SPA SRG 0.04% 2.58M $17.6M
488 INFORMA PLC INF 0.04% 1.43M $17.4M
489 SK INC A034730 0.04% 43.51K $17.4M
490 STRAUMANN HOLDING AG REG STMN.SW 0.04% 152.87K $17.3M
491 CENTRICA PLC CNA 0.04% 8.22M $17.3M
492 WOORI FINANCIAL GROUP INC A316140 0.04% 737.13K $17.2M
493 IREN LTD IREN 0.04% 408.87K $17.2M
494 KONGSBERG GRUPPEN ASA KOG 0.04% 509.91K $17.1M
495 SAMSUNG FIRE + MARINE INS A000810 0.04% 36.84K $17.1M
496 KAWASAKI KISEN KAISHA LTD 9107.T 0.04% 801.80K $17.1M
497 CARLSBERG AS B 0.04% 125.45K $17.1M
498 UPM KYMMENE OYJ UPM 0.04% 618.25K $17.1M
499 TELSTRA GROUP LTD TLS.AX 0.04% 5.23M $17.1M
500 KAWASAKI HEAVY INDUSTRIES 7012.T 0.04% 1.04M $17.0M
501 SHIZUOKA FINANCIAL GROUP INC 5831.T 0.04% 773.20K $17.0M
502 TOPPAN HOLDINGS INC 7911.T 0.04% 549.60K $17.0M
503 SEKISUI HOUSE LTD 1928.T 0.04% 784.80K $17.0M
504 AEGON LTD AGN 0.04% 1.84M $16.9M
505 UNICAJA BANCO SA UNI 0.04% 4.06M $16.9M
506 BOUYGUES SA EN 0.04% 314.47K $16.9M
507 NESTE OYJ NESTE 0.04% 455.24K $16.8M
508 ROGERS COMMUNICATIONS INC B RCI.B 0.04% 460.84K $16.8M
509 SCENTRE GROUP SCG.AX 0.04% 6.56M $16.7M
510 PHOENIX FINANCIAL LTD PHOE 0.04% 270.15K $16.7M
511 ANSELL LTD ANN.AX 0.04% 567.06K $16.7M
512 GEA GROUP AG G1A 0.04% 211.91K $16.6M
513 CHUBU ELECTRIC POWER CO INC 9502.T 0.04% 910.07K $16.5M
514 ORSTED A/S ORSTED.CO 0.04% 762.26K $16.5M
515 SMITH + NEPHEW PLC SN. 0.04% 1.14M $16.5M
516 THOMSON REUTERS CORP TRI.TO 0.04% 159.14K $16.5M
517 UNITED UTILITIES GROUP PLC UU. 0.04% 846.23K $16.5M
518 FUJI ELECTRIC CO LTD 6504.T 0.04% 188.30K $16.5M
519 CK ASSET HOLDINGS LTD 1113.HK 0.04% 2.76M $16.4M
520 ARC RESOURCES LTD ARX.TO 0.04% 680.10K $16.4M
521 EQUINOX GOLD CORP EQX.TO 0.04% 1.18M $16.4M
522 SINO LAND CO 0083.HK 0.04% 12.00M $16.4M
523 STRAUSS GROUP LTD STRS 0.04% 423.99K $16.3M
524 ICON PLC ICLR 0.04% 96.72K $16.2M
525 ADMIRAL GROUP PLC ADM 0.04% 293.56K $16.2M
526 INTERTEK GROUP PLC ITRK 0.04% 202.33K $16.0M
527 IA FINANCIAL CORP INC IAG.TO 0.04% 111.75K $16.0M
528 ASAHI KASEI CORP 3407.T 0.04% 1.57M $16.0M
529 SAMSUNG BIOLOGICS CO LTD A207940 0.04% 14.03K $16.0M
530 COCA COLA HBC AG DI CCH 0.04% 255.05K $15.9M
531 SYMRISE AG SY1 0.04% 148.90K $15.9M
532 TAISEI CORP 1801.T 0.04% 194.49K $15.5M
533 ALTAGAS LTD ALA.TO 0.04% 408.78K $15.4M
534 GLOBAL SHIP LEASE INC CL A GSL 0.04% 342.30K $15.4M
535 ISRAEL DISCOUNT BANK A DSCT 0.04% 1.36M $15.4M
536 KONAMI GROUP CORP 9766.T 0.04% 110.90K $15.4M
537 ASCENDIS PHARMA A/S ASND 0.04% 61.07K $15.4M
538 CARREFOUR SA CA 0.04% 830.45K $15.3M
539 KOREA ZINC CO LTD A010130 0.04% 14.91K $15.3M
540 EXCHANGE INCOME CORP EIF.TO 0.04% 171.86K $15.2M
541 BUNZL PLC BNZL 0.04% 400.30K $15.2M
542 GILDAN ACTIVEWEAR INC GIL.TO 0.04% 277.33K $15.0M
543 KT+G CORP A033780 0.04% 119.35K $15.0M
544 SOUTH32 LTD S32.AX 0.04% 4.10M $15.0M
545 REXEL SA RXL 0.04% 353.38K $14.9M
546 SWEDISH ORPHAN BIOVITRUM AB 0.04% 302.01K $14.9M
547 INDUSTRIVARDEN AB A SHS 0.04% 261.62K $14.9M
548 JARDINE MATHESON HOLDINGS J36 0.04% 245.41K $14.8M
549 SIEMENS HEALTHINEERS AG SHL 0.04% 321.60K $14.8M
550 ABERDEEN GROUP PLC ABDN 0.04% 4.42M $14.8M
551 OBAYASHI CORP 1802.T 0.04% 786.95K $14.8M
552 OBIC CO LTD 4684.T 0.04% 495.90K $14.8M
553 TELIA CO AB TELIA.ST 0.04% 3.19M $14.8M
554 CAPCOM CO LTD 9697.T 0.04% 551.90K $14.7M
555 PLS GROUP LTD PLS.AX 0.03% 4.00M $14.6M
556 ROCHE HOLDING AG BR RO.SW 0.03% 31.14K $14.6M
557 NATURGY ENERGY GROUP SA NTGY 0.03% 419.42K $14.6M
558 MITSUI KINZOKU CO LTD 5706.T 0.03% 82.10K $14.5M
559 YARA INTERNATIONAL ASA YAR 0.03% 299.98K $14.5M
560 MONCLER SPA MONC 0.03% 265.16K $14.5M
561 TELENOR ASA TEL 0.03% 997.51K $14.5M
562 ATKINSREALIS GROUP INC ATRL.TO 0.03% 238.02K $14.4M
563 LOTTERY CORP LTD/THE TLC.AX 0.03% 4.05M $14.4M
564 TFI INTERNATIONAL INC TFII.TO 0.03% 107.75K $14.4M
565 M+G PLC MNG 0.03% 3.04M $14.4M
566 UNIPOL ASSICURAZIONI SPA UNI 0.03% 433.39K $14.3M
567 MEDIPAL HOLDINGS CORP 7459.T 0.03% 787.40K $14.3M
568 JUSUNG ENGINEERING CO LTD A036930 0.03% 111.38K $14.3M
569 KEPPEL LTD BN4.SI 0.03% 1.59M $14.3M
570 CHOCOLADEFABRIKEN LINDT REG LISN.SW 0.03% 124 $14.2M
571 HYDRO ONE LTD H.TO 0.03% 369.45K $14.2M
572 AKER BP ASA AKRBP 0.03% 381.46K $14.2M
573 EDENRED EDEN 0.03% 405.33K $14.2M
574 HD KOREA SHIPBUILDING + OFFS A009540 0.03% 54.46K $14.2M
575 HENKEL AG + CO KGAA VOR PREF HEN3 0.03% 160.26K $14.1M
576 ASR NEDERLAND NV ASRNL 0.03% 174.61K $14.1M
577 DIPLOMA PLC DPLM 0.03% 143.17K $14.0M
578 ENDEAVOUR MINING PLC EDV 0.03% 215.59K $14.0M
579 MATSUYA CO LTD 8237.T 0.03% 783.00K $14.0M
580 BELIMO HOLDING AG REG BEAN.SW 0.03% 13.57K $14.0M
581 CANADIAN TIRE CORP CLASS A CTC.A 0.03% 101.91K $13.9M
582 AKZO NOBEL N.V. AKZA 0.03% 197.04K $13.9M
583 CAR GROUP LTD CAR.AX 0.03% 662.19K $13.8M
584 SBI HOLDINGS INC 8473.T 0.03% 683.30K $13.8M
585 SKANSKA AB B SHS 0.03% 481.50K $13.8M
586 AEDIFICA AED 0.03% 171.05K $13.8M
587 TOROMONT INDUSTRIES LTD TIH.TO 0.03% 94.08K $13.7M
588 SWISS PRIME SITE REG SPSN.SW 0.03% 86.23K $13.7M
589 TRELLEBORG AB B SHS 0.03% 292.68K $13.6M
590 SARTORIUS AG VORZUG SRT3 0.03% 47.44K $13.6M
591 RENTOKIL INITIAL PLC RTO 0.03% 2.87M $13.5M
592 NOVA LTD NVMI 0.03% 37.09K $13.5M
593 SHISEIDO CO LTD 4911.T 0.03% 585.10K $13.5M
594 ISUZU MOTORS LTD 7202.T 0.03% 972.60K $13.4M
595 CHIBA BANK LTD/THE 8331.T 0.03% 768.75K $13.4M
596 BUREAU VERITAS SA BVI 0.03% 416.39K $13.4M
597 REPLY SPA REY 0.03% 94.73K $13.4M
598 TMX GROUP LTD X.TO 0.03% 345.94K $13.4M
599 SIGMA HEALTHCARE LTD SIG.AX 0.03% 6.58M $13.4M
600 DPM METALS INC DPM.TO 0.03% 266.66K $13.4M
601 NEXON CO LTD 3659.T 0.03% 687.10K $13.4M
602 SAINSBURY (J) PLC SBRY 0.03% 2.94M $13.4M
603 CAPITALAND INVESTMENT LTD/SI 9CI.SI 0.03% 6.37M $13.3M
604 JFROG LTD FROG 0.03% 149.55K $13.3M
605 MIZRAHI TEFAHOT BANK LTD MZTF 0.03% 171.63K $13.3M
606 ROHM CO LTD 6963.T 0.03% 450.40K $13.3M
607 BILFINGER SE GBF 0.03% 148.68K $13.3M
608 HD HYUNDAI ELECTRIC CO LTD A267260 0.03% 25.64K $13.2M
609 BRENNTAG SE BNR 0.03% 187.56K $13.2M
610 STELLANTIS NV STLAM 0.03% 2.54M $13.2M
611 GFL ENVIRONMENTAL INC SUB VT GFL.TO 0.03% 323.58K $13.1M
612 LS ELECTRIC CO LTD A010120 0.03% 93.25K $13.1M
613 SHIMANO INC 7309.T 0.03% 104.10K $13.0M
614 NORDIC SEMICONDUCTOR ASA NOD 0.03% 740.18K $13.0M
615 EISAI CO LTD 4523.T 0.03% 429.45K $13.0M
616 BANCO COMERCIAL PORTUGUES R BCP 0.03% 10.04M $12.9M
617 STOREBRAND ASA STB 0.03% 583.64K $12.8M
618 SUBARU CORP 7270.T 0.03% 785.30K $12.8M
619 LG INNOTEK CO LTD A011070 0.03% 29.57K $12.8M
620 HUDBAY MINERALS INC HBM.TO 0.03% 417.44K $12.8M
621 LAND SECURITIES GROUP PLC LAND 0.03% 1.35M $12.7M
622 ISETAN MITSUKOSHI HOLDINGS L 3099.T 0.03% 579.50K $12.7M
623 FORTUM OYJ FORTUM 0.03% 538.71K $12.7M
624 HACHIJUNI NAGANO BANK LTD 8359.T 0.03% 777.50K $12.7M
625 CHOCOLADEFABRIKEN LINDT PC LISP.SW 0.03% 1.12K $12.6M
626 ENLIGHT RENEWABLE ENERGY LTD ENLT 0.03% 157.12K $12.6M
627 SKF AB B SHARES 0.03% 440.97K $12.6M
628 MITSUBISHI CHEMICAL GROUP CO 4188.T 0.03% 1.77M $12.6M
629 HANMI SEMICONDUCTOR CO LTD A042700 0.03% 80.55K $12.6M
630 INFRATIL LTD IFT 0.03% 1.42M $12.5M
631 MAN GROUP PLC/JERSEY EMG 0.03% 3.02M $12.5M
632 HONG KONG + CHINA GAS 0003.HK 0.03% 13.13M $12.4M
633 CAPITALAND INTEGRATED COMMER C38U.SI 0.03% 6.60M $12.4M
634 GALP ENERGIA SGPS SA GALP 0.03% 502.16K $12.4M
635 YAKULT HONSHA CO LTD 2267.T 0.03% 679.00K $12.4M
636 IDEMITSU KOSAN CO LTD 5019.T 0.03% 1.43M $12.3M
637 SUMCO CORP 3436.T 0.03% 556.30K $12.3M
638 AUCKLAND INTL AIRPORT LTD AIA 0.03% 2.40M $12.3M
639 MITSUBISHI HC CAPITAL INC 8593.T 0.03% 1.40M $12.2M
640 NANTO BANK LTD/THE 8367.T 0.03% 1.05M $12.2M
641 KIKKOMAN CORP 2801.T 0.03% 1.07M $12.2M
642 BRITISH LAND CO PLC BLND 0.03% 2.08M $12.2M
643 LYNAS RARE EARTHS LTD LYC.AX 0.03% 1.03M $12.2M
644 SEVERN TRENT PLC SVT 0.03% 284.82K $12.2M
645 BANK OF IWATE LTD/THE 8345.T 0.03% 826.62K $12.2M
646 TENARIS SA TEN 0.03% 449.07K $12.1M
647 WEIR PLC WEIR 0.03% 307.55K $12.1M
648 FRESENIUS MEDICAL CARE AG FME 0.03% 259.03K $12.1M
649 MINEBEA MITSUMI INC 6479.T 0.03% 579.50K $12.1M
650 MAGNUM ICE CREAM CO NV/THE MICC 0.03% 604.18K $12.1M
651 FUKUOKA FINANCIAL GROUP INC 8354.T 0.03% 253.23K $12.1M
652 AISIN CORP 7259.T 0.03% 861.00K $12.1M
653 IVANHOE MINES LTD CL A IVN.TO 0.03% 1.34M $12.0M
654 NIPPON PAINT HOLDINGS CO LTD 4612.T 0.03% 1.62M $12.0M
655 ASSOCIATED BRITISH FOODS PLC ABF 0.03% 430.20K $12.0M
656 ONO PHARMACEUTICAL CO LTD 4528.T 0.03% 780.10K $12.0M
657 EIFFAGE FGR 0.03% 86.88K $12.0M
658 SANRIO CO LTD 8136.T 0.03% 1.57M $11.9M
659 LG ENERGY SOLUTION A373220 0.03% 47.42K $11.9M
660 SK TELECOM A017670 0.03% 167.09K $11.9M
661 SAMSUNG HEAVY INDUSTRIES A010140 0.03% 806.87K $11.8M
662 DAI NIPPON PRINTING CO LTD 7912.T 0.03% 603.00K $11.8M
663 FIRST MAJESTIC SILVER CORP AG.TO 0.03% 556.71K $11.7M
664 SHIMIZU CORP 1803.T 0.03% 783.51K $11.7M
665 NKT A/S NKT.CO 0.03% 80.76K $11.7M
666 IMI PLC IMI 0.03% 277.19K $11.7M
667 POWER ASSETS HOLDINGS LTD 0006.HK 0.03% 1.52M $11.6M
668 ALSTOM ALO 0.03% 618.56K $11.6M
669 WASHINGTON H SOUL PATTINSON SOL.AX 0.03% 362.28K $11.6M
670 THYSSENKRUPP AG TKA 0.03% 727.64K $11.6M
671 RAIFFEISEN BANK INTERNATIONA RBI 0.03% 158.82K $11.6M
672 BEIERSDORF AG BEI 0.03% 123.72K $11.5M
673 CASIO COMPUTER CO LTD 6952.T 0.03% 789.10K $11.5M
674 CCL INDUSTRIES INC CL B CCL.B 0.03% 171.74K $11.5M
675 WILMAR INTERNATIONAL LTD F34.SI 0.03% 3.92M $11.5M
676 MELROSE INDUSTRIES PLC MRO 0.03% 1.66M $11.5M
677 RECORDATI INDUSTRIA CHIMICA REC 0.03% 187.57K $11.5M
678 ADECCO GROUP AG REG ADEN.SW 0.03% 382.57K $11.5M
679 KEYERA CORP KEY.TO 0.03% 269.75K $11.4M
680 GOLAR LNG LTD GLNG 0.03% 220.91K $11.4M
681 GROUPE BRUXELLES LAMBERT NV GBLB 0.03% 133.72K $11.4M
682 MEDIBANK PRIVATE LTD MPL.AX 0.03% 3.32M $11.4M
683 TRYG A/S TRYG.CO 0.03% 471.65K $11.4M
684 EPIROC AB B 0.03% 472.45K $11.3M
685 SEIKO EPSON CORP 6724.T 0.03% 580.60K $11.3M
686 HD HYUNDAI HEAVY INDUSTRIES A329180 0.03% 33.70K $11.2M
687 ACCELLERON INDUSTRIES AG ACLN.SW 0.03% 119.72K $11.2M
688 STOCKLAND SGP.AX 0.03% 3.38M $11.2M
689 ORION OYJ CLASS B ORNBV 0.03% 119.69K $11.2M
690 OCEANAGOLD CORP OGC.TO 0.03% 359.88K $11.2M
691 BEAZLEY PLC BEZ 0.03% 634.43K $11.2M
692 INDUSTRIVARDEN AB C SHS 00INDU.SZ 0.03% 197.72K $11.1M
693 AGC INC 5201.T 0.03% 312.00K $11.1M
694 ALTEOGEN INC A196170 0.03% 50.60K $11.1M
695 FOSTER ELECTRIC CO LTD 6794.T 0.03% 575.10K $11.1M
696 YASKAWA ELECTRIC CORP 6506.T 0.03% 356.50K $11.1M
697 WISE GROUP PLC CL A WISE 0.03% 846.88K $11.0M
698 BIONTECH SE ADR BNTX 0.03% 97.26K $11.0M
699 AMUNDI SA AMUN 0.03% 100.67K $11.0M
700 TEMENOS AG REG TEMN.SW 0.03% 117.58K $11.0M
701 GETLINK SE GET 0.03% 487.74K $10.9M
702 TALANX AG TLX 0.03% 76.94K $10.9M
703 GALAXY ENTERTAINMENT GROUP L 0027.HK 0.03% 2.48M $10.9M
704 WEST JAPAN RAILWAY CO 9021.T 0.03% 585.10K $10.9M
705 FOOD + LIFE COMPANIES LTD 3563.T 0.03% 306.40K $10.9M
706 REIT 1 LTD RIT1 0.03% 1.48M $10.9M
707 MIRAE ASSET SECURITIES CO LT A006800 0.03% 421.56K $10.8M
708 ADDTECH AB B SHARES 0.03% 300.66K $10.8M
709 SUBSEA 7 SA SUBC 0.03% 300.00K $10.8M
710 MTR CORP 0066.HK 0.03% 2.58M $10.8M
711 FINNING INTERNATIONAL INC FTT.TO 0.03% 166.65K $10.8M
712 NIPPON SANSO HOLDINGS CORP 4091.T 0.03% 305.50K $10.8M
713 SONIC HEALTHCARE LTD SHL.AX 0.03% 738.01K $10.7M
714 SUMITOMO CHEMICAL CO LTD 4005.T 0.03% 3.10M $10.7M
715 GAZTRANSPORT ET TECHNIGA SA GTT 0.03% 44.63K $10.7M
716 GRAB HOLDINGS LTD CL A GRAB 0.03% 3.00M $10.7M
717 MUSASHINO BANK LTD/THE 8336.T 0.03% 632.47K $10.7M
718 LOTTOMATICA GROUP SPA LTMC 0.03% 363.13K $10.6M
719 QIAGEN N.V. QIA 0.03% 248.33K $10.6M
720 KYOTO FINANCIAL GROUP INC 5844.T 0.02% 345.60K $10.4M
721 HANKYU HANSHIN HOLDINGS INC 9042.T 0.02% 348.50K $10.4M
722 IREN SPA IRE 0.02% 3.56M $10.3M
723 INTERPUMP GROUP SPA IP 0.02% 235.58K $10.3M
724 KLEPIERRE LI 0.02% 227.56K $10.3M
725 RAKUTEN GROUP INC 4755.T 0.02% 2.15M $10.3M
726 NITERRA CO LTD 5334.T 0.02% 189.50K $10.3M
727 LG CORP A003550 0.02% 127.16K $10.3M
728 WHITBREAD PLC WTB 0.02% 305.35K $10.2M
729 BAYCURRENT INC 6532.T 0.02% 210.10K $10.2M
730 FRESNILLO PLC FRES 0.02% 237.87K $10.2M
731 MEBUKI FINANCIAL GROUP INC 7167.T 0.02% 986.80K $10.2M
732 TOHO CO LTD 9602.T 0.02% 1.04M $10.2M
733 XERO LTD XRO.AX 0.02% 160.75K $10.2M
734 CONTINENTAL AG CON 0.02% 125.30K $10.1M
735 ASX LTD ASX.AX 0.02% 250.71K $10.1M
736 EUROFINS SCIENTIFIC ERF 0.02% 117.49K $10.1M
737 FUTU HOLDINGS LTD ADR FUTU 0.02% 80.83K $10.1M
738 NIPPON EXPRESS HOLDINGS INC 9147.T 0.02% 282.10K $10.1M
739 MAKITA CORP 6586.T 0.02% 302.90K $10.0M
740 NGK CORP 5333.T 0.02% 297.10K $10.0M
741 KOREA ELEC POWER CORP SP ADR KEP 0.02% 854.00K $10.0M
742 ST JAMES S PLACE PLC STJ 0.02% 623.38K $10.0M
743 GUNMA BANK LTD/THE 8334.T 0.02% 582.00K $10.0M
744 BARRATT REDROW PLC BTRW 0.02% 2.29M $9.9M
745 LG CHEM LTD A051910 0.02% 52.14K $9.8M
746 HENKEL AG + CO KGAA HEN 0.02% 120.40K $9.8M
747 A2 MILK CO LTD ATM 0.02% 1.96M $9.8M
748 CAPITALAND ASCENDAS REIT A17U.SI 0.02% 5.08M $9.8M
749 GAMES WORKSHOP GROUP PLC GAW 0.02% 38.83K $9.8M
750 KOH YOUNG TECHNOLOGY INC A098460 0.02% 461.76K $9.8M
751 ISS A/S ISS.CO 0.02% 214.55K $9.7M
752 AMPOL LTD ALD.AX 0.02% 323.99K $9.7M
753 ICG PLC ICG 0.02% 354.73K $9.7M
754 OKINAWA FINANCIAL GROUP INC 7350.T 0.02% 205.00K $9.7M
755 BURBERRY GROUP PLC BRBY 0.02% 659.75K $9.7M
756 HOKUHOKU FINANCIAL GROUP INC 8377.T 0.02% 192.70K $9.7M
757 NIKON CORP 7731.T 0.02% 784.80K $9.7M
758 SULZER AG SUN.SW 0.02% 49.19K $9.6M
759 MISUMI GROUP INC 9962.T 0.02% 419.90K $9.6M
760 UNICHARM CORP 8113.T 0.02% 1.53M $9.6M
761 JYSKE BANK REG JYSK.CO 0.02% 56.95K $9.5M
762 SEKISUI CHEMICAL CO LTD 4204.T 0.02% 579.40K $9.5M
763 YOKOGAWA ELECTRIC CORP 6841.T 0.02% 294.00K $9.4M
764 STANTEC INC STN.TO 0.02% 129.21K $9.4M
765 ELDORADO GOLD CORP ELD.TO 0.02% 196.60K $9.4M
766 DB INSURANCE CO LTD A005830 0.02% 71.71K $9.4M
767 KNORR BREMSE AG KBX 0.02% 77.41K $9.3M
768 AMADA CO LTD 6113.T 0.02% 578.20K $9.3M
769 ALS LTD ALQ.AX 0.02% 584.88K $9.3M
770 HENSOLDT AG HAG 0.02% 92.34K $9.3M
771 ICHIGO OFFICE REIT INVESTMEN 8975.T 0.02% 15.70K $9.3M
772 DAITO TRUST CONSTRUCT CO LTD 1878.T 0.02% 447.27K $9.3M
773 APR CORP/KOREA A278470 0.02% 29.42K $9.3M
774 MINERAL RESOURCES LTD MIN.AX 0.02% 195.88K $9.3M
775 KESKO OYJ B SHS KESKOB 0.02% 359.77K $9.3M
776 REDEIA CORP SA RED 0.02% 522.83K $9.3M
777 SECURITAS AB B SHS 0.02% 596.14K $9.2M
778 BABCOCK INTL GROUP PLC BAB 0.02% 622.72K $9.2M
779 MATSUKIYOCOCOKARA + CO 3088.T 0.02% 567.98K $9.2M
780 SAPUTO INC SAP.TO 0.02% 314.30K $9.2M
781 SOUTH BOW CORP SOBO.TO 0.02% 251.83K $9.2M
782 MOWI ASA MOWI 0.02% 412.89K $9.2M
783 CAPITAL POWER CORP CPX.TO 0.02% 195.12K $9.2M
784 MONDI PLC MNDI 0.02% 790.45K $9.1M
785 RENAULT SA RNO 0.02% 287.70K $9.1M
786 ELEMENT FLEET MANAGEMENT COR EFN.TO 0.02% 462.30K $9.1M
787 TAIYO YUDEN CO LTD 6976.T 0.02% 157.80K $9.1M
788 YOKOHAMA RUBBER CO LTD 5101.T 0.02% 195.80K $9.1M
789 HAMAMATSU PHOTONICS KK 6965.T 0.02% 621.40K $9.1M
790 VOLVO AB A SHS 0.02% 246.94K $9.1M
791 EXOR NV EXO 0.02% 109.28K $9.1M
792 KOKUSAI ELECTRIC CORP 6525.T 0.02% 171.30K $9.1M
793 MYCRONIC AB MYCR.ST 0.02% 267.60K $9.0M
794 XENON PHARMACEUTICALS INC XENE 0.02% 150.46K $9.0M
795 HKT TRUST AND HKT LTD SS 6823.HK 0.02% 5.82M $9.0M
796 JFE HOLDINGS INC 5411.T 0.02% 785.11K $9.0M
797 ELIA GROUP SA/NV ELI 0.02% 60.95K $9.0M
798 DELIVERY HERO SE DHER 0.02% 208.30K $8.9M
799 ORICA LTD ORI.AX 0.02% 559.90K $8.9M
800 HANWHA SYSTEMS CO LTD A272210 0.02% 169.97K $8.9M
801 QUEBECOR INC CL B QBR.B 0.02% 197.75K $8.8M
802 HEINEKEN HOLDING NV HEIO 0.02% 112.00K $8.8M
803 NOS SGPS NOS 0.02% 1.54M $8.8M
804 KAKAO CORP A035720 0.02% 341.23K $8.8M
805 BROTHER INDUSTRIES LTD 6448.T 0.02% 303.20K $8.8M
806 NITORI HOLDINGS CO LTD 9843.T 0.02% 459.50K $8.8M
807 HOCHTIEF AG HOT 0.02% 17.78K $8.8M
808 KURITA WATER INDUSTRIES LTD 6370.T 0.02% 174.31K $8.8M
809 DCC ENERGY PLC DCC 0.02% 102.11K $8.8M
810 BALFOUR BEATTY PLC BBY 0.02% 731.41K $8.8M
811 RINGKJOEBING LANDBOBANK A/S RILBA.CO 0.02% 31.76K $8.8M
812 ON HOLDING AG CLASS A ONON 0.02% 305.39K $8.8M
813 HISCOX LTD HSX 0.02% 353.14K $8.7M
814 REA GROUP LTD REA.AX 0.02% 68.55K $8.7M
815 FEED ONE CO LTD 2060.T 0.02% 994.18K $8.7M
816 SANDFIRE RESOURCES LTD SFR.AX 0.02% 536.70K $8.7M
817 SWATCH GROUP AG/THE BR UHR.SW 0.02% 37.32K $8.7M
818 SSAB AB B SHARES 0.02% 814.59K $8.7M
819 SOJITZ CORP 2768.T 0.02% 243.80K $8.7M
820 PRO MEDICUS LTD PME.AX 0.02% 63.84K $8.7M
821 GETINGE AB B SHS 0.02% 337.37K $8.6M
822 VICINITY CENTRES VCX.AX 0.02% 4.80M $8.6M
823 CAE INC CAE.TO 0.02% 345.76K $8.6M
824 UROGEN PHARMA LTD URGN 0.02% 186.43K $8.6M
825 NIBE INDUSTRIER AB B SHS 0.02% 1.92M $8.6M
826 ROTORK PLC ROR 0.02% 1.30M $8.6M
827 SCOR SE SCR 0.02% 219.60K $8.6M
828 SPIE SA SPIE 0.02% 164.50K $8.6M
829 B2GOLD CORP BTO.TO 0.02% 1.47M $8.5M
830 PAREX RESOURCES INC PXT.TO 0.02% 436.76K $8.5M
831 PSP SWISS PROPERTY AG REG PSPN.SW 0.02% 47.10K $8.5M
832 TEIJIN LTD 3401.T 0.02% 785.91K $8.5M
833 STANDARD LIFE PLC SDLF 0.02% 669.78K $8.5M
834 WPP PLC WPP 0.02% 1.60M $8.5M
835 RIGHTMOVE PLC RMV 0.02% 1.22M $8.5M
836 NISSAN CHEMICAL CORP 4021.T 0.02% 165.90K $8.5M
837 SINGAPORE AIRLINES LTD C6L.SI 0.02% 1.56M $8.5M
838 MEIJI HOLDINGS CO LTD 2269.T 0.02% 306.70K $8.4M
839 KOREA INVESTMENT HOLDINGS CO A071050 0.02% 61.44K $8.4M
840 DASSAULT AVIATION SA AM 0.02% 24.71K $8.4M
841 TOKYU CORP 9005.T 0.02% 801.98K $8.4M
842 SPIRAX GROUP PLC SPX 0.02% 86.39K $8.4M
843 COCHLEAR LTD COH.AX 0.02% 85.48K $8.4M
844 HANWHA OCEAN CO LTD A042660 0.02% 134.46K $8.4M
845 CASTELLUM AB CAST.ST 0.02% 594.29K $8.3M
846 JAPAN PETROLEUM EXPLORATION 1662.T 0.02% 709.90K $8.3M
847 KONECRANES OYJ KCR 0.02% 241.88K $8.3M
848 NEXTDC LTD NXT.AX 0.02% 854.22K $8.3M
849 GENESIS MINERALS LTD GMD.AX 0.02% 1.34M $8.3M
850 OMRON CORP 6645.T 0.02% 203.70K $8.2M
851 BANCA MEDIOLANUM SPA BMED 0.02% 293.37K $8.2M
852 SHIMADZU CORP 7701.T 0.02% 319.20K $8.2M
853 HULIC CO LTD 3003.T 0.02% 729.00K $8.2M
854 INDUTRADE AB INDT.ST 0.02% 314.93K $8.2M
855 RICOH CO LTD 7752.T 0.02% 783.40K $8.2M
856 SCHINDLER HOLDING AG REG SCHN.SW 0.02% 25.67K $8.2M
857 IYOGIN HOLDINGS INC 5830.T 0.02% 337.90K $8.2M
858 LIFCO AB B SHS 0.02% 245.20K $8.2M
859 SYSMEX CORP 6869.T 0.02% 663.50K $8.2M
860 SYENSQO SA SYENS 0.02% 88.40K $8.1M
861 HAREL INSURANCE INVESTMENTS HARL 0.02% 133.13K $8.1M
862 ONEX CORPORATION ONEX.TO 0.02% 96.27K $8.1M
863 KRAFTON INC A259960 0.02% 50.40K $8.1M
864 GENTING SINGAPORE LTD G13.SI 0.02% 15.83M $8.1M
865 QANTAS AIRWAYS LTD QAN.AX 0.02% 1.22M $8.0M
866 IG GROUP HOLDINGS PLC IGG 0.02% 433.97K $8.0M
867 WORLEY LTD WOR.AX 0.02% 1.01M $8.0M
868 TAKASHIMAYA CO LTD 8233.T 0.02% 521.80K $8.0M
869 TOYO SUISAN KAISHA LTD 2875.T 0.02% 120.00K $8.0M
870 TELIX PHARMACEUTICALS LTD TLX.AX 0.02% 692.04K $8.0M
871 USS CO LTD 4732.T 0.02% 644.72K $8.0M
872 DAISHI HOKUETSU FINANCIAL GR 7327.T 0.02% 509.80K $8.0M
873 IPSEN IPN 0.02% 41.29K $8.0M
874 SIG GROUP AG SIGN.SW 0.02% 464.29K $7.9M
875 SODEXO SA SW 0.02% 119.69K $7.9M
876 AVANZA BANK HOLDING AB AZA.ST 0.02% 187.42K $7.9M
877 NIPPON BUILDING FUND INC 8951.T 0.02% 9.83K $7.9M
878 G MINING VENTURE CORP GMIN.TO 0.02% 194.63K $7.9M
879 SSR MINING INC SSRM.TO 0.02% 202.39K $7.9M
880 M3 INC 2413.T 0.02% 719.60K $7.9M
881 YAMADA HOLDINGS CO LTD 9831.T 0.02% 1.78M $7.8M
882 SONY FINANCIAL GROUP INC 8729.T 0.02% 7.71M $7.8M
883 MERITZ FINANCIAL GROUP INC A138040 0.02% 89.99K $7.8M
884 AVON TECHNOLOGIES PLC AVON 0.02% 317.85K $7.8M
885 ACCIONA SA ANA 0.02% 31.41K $7.8M
886 SOUTH32 LTD S32 0.02% 2.12M $7.8M
887 CRODA INTERNATIONAL PLC CRDA 0.02% 165.77K $7.8M
888 HD HYUNDAI A267250 0.02% 50.19K $7.8M
889 STORA ENSO OYJ R SHS STERV 0.02% 674.38K $7.8M
890 HOWDEN JOINERY GROUP PLC HWDN 0.02% 713.76K $7.7M
891 TECHNOLOGY ONE LTD TNE.AX 0.02% 327.63K $7.7M
892 CHARTER HALL GROUP CHC.AX 0.02% 529.31K $7.7M
893 ELISA OYJ ELISA 0.02% 182.40K $7.7M
894 WISETECH GLOBAL LTD WTC.AX 0.02% 237.83K $7.7M
895 AMP LTD AMP.AX 0.02% 4.49M $7.7M
896 ACKERMANS + VAN HAAREN ACKB 0.02% 25.60K $7.7M
897 CAPSTONE COPPER CORP CS.TO 0.02% 643.09K $7.6M
898 DEFINITY FINANCIAL CORP DFY.TO 0.02% 144.23K $7.6M
899 SERCO GROUP PLC SRP 0.02% 2.16M $7.6M
900 CLARKSON PLC CKN 0.02% 112.29K $7.6M
901 NICE LTD NICE 0.02% 76.76K $7.6M
902 DEUTSCHE LUFTHANSA REG LHA 0.02% 817.91K $7.6M
903 TOTO LTD 5332.T 0.02% 187.80K $7.6M
904 LONDONMETRIC PROPERTY PLC LMP 0.02% 2.86M $7.5M
905 EMS CHEMIE HOLDING AG REG EMSN.SW 0.02% 7.86K $7.5M
906 WHITEHAVEN COAL LTD WHC.AX 0.02% 1.29M $7.5M
907 VALEO FR 0.02% 457.71K $7.5M
908 COLOPLAST B 0.02% 103.97K $7.5M
909 KOREA AEROSPACE INDUSTRIES A047810 0.02% 79.44K $7.5M
910 ECOPRO CO LTD A086520 0.02% 121.79K $7.4M
911 BROOKFIELD RENEWABLE CORP BEPC.TO 0.02% 224.41K $7.4M
912 NICHIREI CORP 2871.T 0.02% 547.80K $7.4M
913 SWISSQUOTE GROUP HOLDING REG SQN.SW 0.02% 142.93K $7.4M
914 SALZGITTER AG SZG 0.02% 119.83K $7.4M
915 DESCARTES SYSTEMS GRP/THE DSG.TO 0.02% 96.03K $7.4M
916 J FRONT RETAILING CO LTD 3086.T 0.02% 382.60K $7.4M
917 LUNDIN GOLD INC LUG.TO 0.02% 95.22K $7.3M
918 FRONTLINE PLC FRO 0.02% 171.19K $7.3M
919 KOBE STEEL LTD 5406.T 0.02% 578.20K $7.3M
920 SG HOLDINGS CO LTD 9143.T 0.02% 753.80K $7.3M
921 JB HI FI LTD JBH.AX 0.02% 147.16K $7.3M
922 SINGAPORE DOLLAR 0.02% 9.31M $7.3M
923 LAGERCRANTZ GROUP AB B SHS 0.02% 306.44K $7.3M
924 ABIVAX SA ABVX 0.02% 60.84K $7.2M
925 BCE INC BCE.TO 0.02% 307.92K $7.2M
926 ZENSHO HOLDINGS CO LTD 7550.T 0.02% 98.60K $7.2M
927 HYUNDAI GLOVIS CO LTD A086280 0.02% 46.90K $7.2M
928 TOKYO OHKA KOGYO CO LTD 4186.T 0.02% 131.60K $7.2M
929 SK INNOVATION CO LTD A096770 0.02% 79.51K $7.1M
930 GPT GROUP GPT.AX 0.02% 2.13M $7.1M
931 AURIZON HOLDINGS LTD AZJ.AX 0.02% 2.65M $7.1M
932 ABCELLERA BIOLOGICS INC ABCL 0.02% 569.72K $7.1M
933 KYUSHU ELECTRIC POWER CO INC 9508.T 0.02% 580.30K $7.1M
934 SECTRA AB B SHS 0.02% 243.70K $7.1M
935 INFRONEER HOLDINGS INC 5076.T 0.02% 407.71K $7.0M
936 PERSEUS MINING LTD PRU.AX 0.02% 1.61M $7.0M
937 D/S NORDEN DNORD.CO 0.02% 126.36K $7.0M
938 TECHNOPROBE SPA TPRO 0.02% 219.76K $7.0M
939 SVENSKA CELLULOSA AB SCA B 0.02% 594.38K $7.0M
940 TATE + LYLE PLC TATE 0.02% 930.39K $7.0M
941 DENTSU GROUP INC 4324.T 0.02% 306.80K $7.0M
942 HORIBA LTD 6856.T 0.02% 47.80K $7.0M
943 OR ROYALTIES INC OR.TO 0.02% 179.57K $6.9M
944 IMCD NV IMCD 0.02% 62.61K $6.9M
945 ROCK FIELD CO LTD 2910.T 0.02% 782.20K $6.9M
946 KINDEN CORP 1944.T 0.02% 160.80K $6.9M
947 SOFINA SOF 0.02% 24.23K $6.9M
948 BROOKFIELD INFRASTRUCTURE A BIPC.TO 0.02% 174.43K $6.9M
949 TELUS CORP T.TO 0.02% 704.94K $6.9M
950 AP MOLLER MAERSK A/S A 0.02% 2.08K $6.9M
951 AURUBIS AG NDA 0.02% 33.43K $6.8M
952 SCOUT24 SE G24 0.02% 72.82K $6.8M
953 VALMET OYJ VALMT 0.02% 206.39K $6.8M
954 YAMAHA CORP 7951.T 0.02% 828.60K $6.8M
955 SANTEN PHARMACEUTICAL CO LTD 4536.T 0.02% 580.30K $6.8M
956 LIG DEFENSE+AEROSPACE CO LTD A079550 0.02% 13.17K $6.8M
957 TREASURY WINE ESTATES LTD TWE.AX 0.02% 1.67M $6.8M
958 HIROSE ELECTRIC CO LTD 6806.T 0.02% 42.24K $6.8M
959 FIRSTSERVICE CORP FSV.TO 0.02% 47.18K $6.7M
960 PORSCHE AUTOMOBIL HLDG PRF PAH3 0.02% 210.94K $6.7M
961 EMPIRE CO LTD A EMP.A 0.02% 194.48K $6.7M
962 FLUGHAFEN ZURICH AG REG FHZN.SW 0.02% 23.48K $6.7M
963 ALK ABELLO A/S 0.02% 207.15K $6.7M
964 GRENERGY RENOVABLES GRE 0.02% 61.55K $6.7M
965 JAPAN POST INSURANCE CO LTD 7181.T 0.02% 644.90K $6.7M
966 AIXTRON SE AIXA 0.02% 154.88K $6.7M
967 BANCA GENERALI SPA BGN 0.02% 86.38K $6.7M
968 AUTOTRADER GROUP PLC AUTO 0.02% 896.46K $6.7M
969 SAMSUNG SECURITIES CO LTD A016360 0.02% 105.18K $6.7M
970 RS GROUP PLC RS1 0.02% 661.41K $6.7M
971 HYUNDAI ENGINEERING + CONST A000720 0.02% 76.58K $6.7M
972 HYUNDAI ROTEM COMPANY A064350 0.02% 69.52K $6.7M
973 BAYTEX ENERGY CORP BTE.TO 0.02% 1.45M $6.7M
974 SARTORIUS STEDIM BIOTECH DIM 0.02% 29.50K $6.6M
975 GJENSIDIGE FORSIKRING ASA GJF 0.02% 220.59K $6.6M
976 MIRVAC GROUP MGR.AX 0.02% 4.97M $6.6M
977 ACERINOX SA ACX 0.02% 329.94K $6.6M
978 GS HOLDINGS A078930 0.02% 75.21K $6.6M
979 ASAHI INTECC CO LTD 7747.T 0.02% 260.50K $6.5M
980 BEZEQ THE ISRAELI TELECOM CO BEZQ 0.02% 2.54M $6.5M
981 VERBUND AG VER 0.02% 95.97K $6.5M
982 ELIS SA ELIS 0.02% 230.70K $6.5M
983 CLAL INSURANCE ENTERPR HLDGS CLIS 0.02% 77.09K $6.5M
984 AIR CANADA AC.TO 0.02% 315.94K $6.5M
985 HMM CO LTD A011200 0.02% 400.69K $6.5M
986 RAMELIUS RESOURCES LTD RMS.AX 0.02% 2.30M $6.5M
987 SHIGA BANK LTD/THE 8366.T 0.02% 384.55K $6.5M
988 ODAKYU ELECTRIC RAILWAY CO 9007.T 0.02% 578.60K $6.5M
989 CAPRICORN METALS LTD CMM.AX 0.02% 511.02K $6.5M
990 KURARAY CO LTD 3405.T 0.02% 577.80K $6.5M
991 RAMSAY HEALTH CARE LTD RHC.AX 0.02% 203.68K $6.4M
992 UMICORE UMI 0.02% 236.99K $6.4M
993 TOHOKU ELECTRIC POWER CO INC 9506.T 0.02% 782.80K $6.4M
994 NIKKON HOLDINGS CO LTD 9072.T 0.02% 189.20K $6.4M
995 DR ING HC F PORSCHE AG P911 0.02% 125.45K $6.4M
996 ZALANDO SE ZAL 0.02% 235.31K $6.4M
997 LS CORP A006260 0.02% 30.25K $6.4M
998 JAPAN REAL ESTATE INVESTMENT 8952.T 0.02% 8.61K $6.4M
999 SAMSUNG SDS CO LTD A018260 0.02% 39.22K $6.4M
1000 PRAIRIESKY ROYALTY LTD PSK.TO 0.02% 245.93K $6.4M
1001 KAKAOBANK CORP A323410 0.02% 410.66K $6.4M
1002 BUZZI SPA BZU 0.02% 134.84K $6.3M
1003 SCHRODERS PLC SDR 0.02% 801.37K $6.3M
1004 OPEN TEXT CORP OTEX.TO 0.02% 261.57K $6.3M
1005 NISSAN MOTOR CO LTD 7201.T 0.02% 3.13M $6.3M
1006 INTAGE HOLDINGS INC 4326.T 0.02% 528.90K $6.3M
1007 QUILTER PLC QLT 0.02% 2.41M $6.3M
1008 RAINBOW ROBOTICS A277810 0.02% 19.32K $6.3M
1009 HENDERSON LAND DEVELOPMENT 0012.HK 0.02% 1.68M $6.3M
1010 TRITAX BIG BOX REIT PLC BBOX 0.01% 2.89M $6.3M
1011 SUMITOMO HEAVY INDUSTRIES 6302.T 0.01% 171.50K $6.3M
1012 KDX REALTY INVESTMENT CORP 8972.T 0.01% 6.62K $6.3M
1013 SEATRIUM LTD 5E2.SI 0.01% 3.68M $6.2M
1014 BREMBO N.V. BRE 0.01% 528.61K $6.2M
1015 PLUS500 LTD PLUS 0.01% 123.65K $6.2M
1016 MERLIN PROPERTIES SOCIMI SA MRL 0.01% 378.94K $6.1M
1017 SQUARE ENIX HOLDINGS CO LTD 9684.T 0.01% 332.70K $6.1M
1018 JERONIMO MARTINS JMT 0.01% 290.20K $6.1M
1019 HIKARI TSUSHIN INC 9435.T 0.01% 24.40K $6.1M
1020 BARRY CALLEBAUT AG REG BARN.SW 0.01% 4.30K $6.1M
1021 TUI AG TUI1 0.01% 743.68K $6.1M
1022 SUMITOMO FORESTRY CO LTD 1911.T 0.01% 728.60K $6.1M
1023 S+P/TSX 60 IX FUT SEP26 PTU6 0.01% 75.80K $6.1M
1024 SAMSUNG E+A CO LTD A028050 0.01% 184.85K $6.1M
1025 IGM FINANCIAL INC IGM.TO 0.01% 95.04K $6.1M
1026 BLACKBERRY LTD BB.TO 0.01% 775.41K $6.0M
1027 ICL GROUP LTD ICL 0.01% 1.08M $6.0M
1028 NORDIC AMERICAN TANKERS LTD NAT 0.01% 873.05K $6.0M
1029 MAPFRE SA MAP 0.01% 1.16M $6.0M
1030 OPC ENERGY LTD OPCE 0.01% 188.51K $5.9M
1031 ZEALAND PHARMA A/S ZEAL.CO 0.01% 117.20K $5.9M
1032 RENK GROUP AG R3NK 0.01% 109.67K $5.9M
1033 TISI INC 3626.T 0.01% 246.00K $5.9M
1034 MAZDA MOTOR CORP 7261.T 0.01% 785.60K $5.9M
1035 SEIBU HOLDINGS INC 9024.T 0.01% 277.20K $5.9M
1036 GALENICA AG GALE.SW 0.01% 56.95K $5.9M
1037 INFOMART CORP 2492.T 0.01% 1.56M $5.9M
1038 CYBERAGENT INC 4751.T 0.01% 699.60K $5.9M
1039 AALBERTS NV AALB 0.01% 117.52K $5.9M
1040 UOL GROUP LTD U14.SI 0.01% 783.95K $5.9M
1041 SUNRISE COMMUNICATIONS AG A SUNN.SW 0.01% 109.50K $5.9M
1042 HIAB OYJ HIAB 0.01% 78.79K $5.8M
1043 COVIVIO COV 0.01% 97.11K $5.8M
1044 JAPAN METROPOLITAN FUND INVE 8953.T 0.01% 8.08K $5.8M
1045 INVESTEC PLC INVP 0.01% 678.41K $5.8M
1046 PERPETUAL LTD PPT.AX 0.01% 416.75K $5.8M
1047 BENDIGO AND ADELAIDE BANK BEN.AX 0.01% 755.35K $5.8M
1048 HONG KONG DOLLAR 0.01% 45.85M $5.8M
1049 HYUNDAI MOTOR CO LTD 2ND PRF A005387 0.01% 40.13K $5.8M
1050 TELEPERFORMANCE TEP 0.01% 70.56K $5.8M
1051 CONVATEC GROUP PLC CTEC 0.01% 1.87M $5.8M
1052 KEISEI ELECTRIC RAILWAY CO 9009.T 0.01% 694.00K $5.8M
1053 AZRIELI GROUP LTD AZRG 0.01% 43.69K $5.8M
1054 ZEGONA COMMUNICATIONS PLC ZEG 0.01% 261.13K $5.8M
1055 METHANEX CORP MX.TO 0.01% 101.91K $5.8M
1056 77 BANK LTD/THE 8341.T 0.01% 244.20K $5.8M
1057 GRIFOLS SA GRF 0.01% 495.36K $5.8M
1058 CENTERRA GOLD INC CG.TO 0.01% 240.14K $5.8M
1059 VAR ENERGI ASA VAR 0.01% 1.11M $5.8M
1060 MICRONICS JAPAN CO LTD 6871.T 0.01% 66.60K $5.8M
1061 RENGO CO LTD 3941.T 0.01% 585.10K $5.7M
1062 TECHNIP ENERGIES NV TE 0.01% 165.02K $5.7M
1063 TECNICAS REUNIDAS SA TRE 0.01% 182.54K $5.7M
1064 SANDS CHINA LTD 1928.HK 0.01% 3.12M $5.7M
1065 HD CONSTRUCTION EQUIPMENT CO A267270 0.01% 59.05K $5.7M
1066 PERSOL HOLDINGS CO LTD 2181.T 0.01% 3.06M $5.7M
1067 MCDONALD S HOLDINGS CO JAPAN 2702.T 0.01% 111.60K $5.7M
1068 LOGISTA INTEGRAL SA LOG 0.01% 137.45K $5.7M
1069 EDP RENEWABLES SA EDPR 0.01% 356.12K $5.7M
1070 INGENIA COMMUNITIES GROUP INA.AX 0.01% 1.88M $5.7M
1071 AZIMUT HOLDING SPA AZM 0.01% 127.31K $5.7M
1072 KANDENKO CO LTD 1942.T 0.01% 168.20K $5.7M
1073 SAM CHUN DANG PHARM CO LTD A000250 0.01% 46.12K $5.6M
1074 RATIONAL AG RAA 0.01% 7.66K $5.6M
1075 TAMARACK VALLEY ENERGY LTD TVE.TO 0.01% 583.34K $5.6M
1076 AZBIL CORP 6845.T 0.01% 591.40K $5.6M
1077 AMER SPORTS INC AS 0.01% 178.24K $5.6M
1078 TOYO SEIKAN GROUP HOLDINGS L 5901.T 0.01% 201.60K $5.6M
1079 SAPPORO BREWERIES LTD 2501.T 0.01% 462.40K $5.6M
1080 AYVENS SA AYV 0.01% 414.47K $5.6M
1081 KONICA MINOLTA INC 4902.T 0.01% 1.37M $5.6M
1082 IGO LTD IGO.AX 0.01% 935.89K $5.6M
1083 BERKELEY GROUP HOLDINGS/THE BKG 0.01% 113.41K $5.5M
1084 INCHCAPE PLC INCH 0.01% 498.06K $5.5M
1085 ENQUEST PLC ENQ 0.01% 16.05M $5.5M
1086 PHARMA MAR SA PHM 0.01% 56.79K $5.5M
1087 NEXGEN ENERGY LTD NXE.TO 0.01% 495.82K $5.5M
1088 BILIA AB A SHS BILIA 0.01% 363.06K $5.5M
1089 CHALLENGER LTD CGF.AX 0.01% 801.96K $5.5M
1090 REGIS RESOURCES LTD RRL.AX 0.01% 909.91K $5.5M
1091 DYNO NOBEL LTD DNL.AX 0.01% 2.04M $5.5M
1092 FISCHER (GEORG) REG GF.SW 0.01% 79.24K $5.5M
1093 MERIDIAN ENERGY LTD MEL 0.01% 1.64M $5.5M
1094 NOMURA REAL ESTATE MASTER FU 3462.T 0.01% 5.80K $5.5M
1095 ELECTROLUX AB B 0.01% 1.75M $5.4M
1096 MITSUBISHI MATERIALS CORP 5711.T 0.01% 154.20K $5.4M
1097 WHARF REAL ESTATE INVESTMENT 1997.HK 0.01% 1.35M $5.4M
1098 JOHNSON MATTHEY PLC JMAT 0.01% 178.10K $5.4M
1099 BOC AVIATION LTD 2588.HK 0.01% 579.60K $5.4M
1100 NORDEX SE NDX1 0.01% 119.51K $5.4M
1101 SUNTORY BEVERAGE + FOOD LTD 2587.T 0.01% 186.90K $5.4M
1102 ENAGAS SA ENG 0.01% 273.74K $5.4M
1103 INDRA SISTEMAS SA IDR 0.01% 75.44K $5.3M
1104 SWIRE PACIFIC LTD CL A 0019.HK 0.01% 399.00K $5.3M
1105 SAMYANG FOODS CO LTD A003230 0.01% 5.19K $5.3M
1106 CANADIAN UTILITIES LTD A CU.TO 0.01% 141.13K $5.3M
1107 HUB24 LTD HUB.AX 0.01% 95.28K $5.3M
1108 NISSIN FOODS HOLDINGS CO LTD 2897.T 0.01% 280.10K $5.3M
1109 TOREX GOLD RESOURCES INC TXG.TO 0.01% 101.85K $5.3M
1110 SGH LTD SGH.AX 0.01% 182.38K $5.2M
1111 TOKYO SEIMITSU CO LTD 7729.T 0.01% 46.60K $5.2M
1112 AGL ENERGY LTD AGL.AX 0.01% 856.25K $5.2M
1113 HITACHI CONSTRUCTION MACHINE 6305.T 0.01% 140.50K $5.2M
1114 THK CO LTD 6481.T 0.01% 121.80K $5.2M
1115 LUNDBERGS AB B SHS 0.01% 86.42K $5.2M
1116 NAGASE + CO LTD 8012.T 0.01% 709.20K $5.2M
1117 ARIS MINING CORP ARIS.TO 0.01% 247.01K $5.2M
1118 AVOLTA AG AVOL.SW 0.01% 89.36K $5.2M
1119 MTY FOOD GROUP INC MTY.TO 0.01% 198.16K $5.2M
1120 BEKAERT NV BEKB 0.01% 117.72K $5.2M
1121 PACIFIC BASIN SHIPPING LTD 2343.HK 0.01% 9.73M $5.2M
1122 HYUNDAI ELEVATOR CO A017800 0.01% 96.27K $5.1M
1123 SAIPEM SPA SPM 0.01% 984.54K $5.1M
1124 CITY DEVELOPMENTS LTD C09.SI 0.01% 779.40K $5.1M
1125 ADP ADP 0.01% 39.21K $5.1M
1126 WAREHOUSES DE PAUW SCA WDP 0.01% 204.62K $5.1M
1127 K92 MINING KNT.TO 0.01% 229.53K $5.1M
1128 SPAREBANK 1 SOR NORGE ASA SB1NO 0.01% 214.29K $5.1M
1129 KOREAN AIR LINES CO LTD A003490 0.01% 269.96K $5.1M
1130 KINTETSU GROUP HOLDINGS CO L 9041.T 0.01% 227.21K $5.1M
1131 D IETEREN GROUP DIE 0.01% 24.87K $5.1M
1132 TOKYO ELECTRIC POWER COMPANY 9501.T 0.01% 1.57M $5.1M
1133 ZIM INTEGRATED SHIPPING SERV ZIM 0.01% 181.80K $5.1M
1134 SKEENA RESOURCES LTD SKE.TO 0.01% 145.72K $5.1M
1135 SAGAX AB B 0.01% 283.92K $5.1M
1136 KYUSHU RAILWAY COMPANY 9142.T 0.01% 227.90K $5.0M
1137 GLP J REIT 3281.T 0.01% 5.78K $5.0M
1138 TOSOH CORP 4042.T 0.01% 304.90K $5.0M
1139 AMBU A/S B 0.01% 409.85K $5.0M
1140 CES ENERGY SOLUTIONS CORP CEU.TO 0.01% 376.74K $5.0M
1141 WESTGOLD RESOURCES LTD WGX.AX 0.01% 1.07M $5.0M
1142 KION GROUP AG KGX 0.01% 101.18K $5.0M
1143 COCA COLA BOTTLERS JAPAN HOL 2579.T 0.01% 201.80K $5.0M
1144 ITALGAS SPA IG 0.01% 482.62K $4.9M
1145 WIX.COM LTD WIX 0.01% 57.81K $4.9M
1146 RAKUTEN BANK LTD 5838.T 0.01% 122.30K $4.9M
1147 PALADIN ENERGY LTD PDN.AX 0.01% 577.60K $4.9M
1148 CONTACT ENERGY LTD CEN 0.01% 923.91K $4.9M
1149 ELECTRIC POWER DEVELOPMENT C 9513.T 0.01% 196.20K $4.9M
1150 HANKYU HANSHIN REIT INC 8977.T 0.01% 5.79K $4.9M
1151 SWIRE PROPERTIES LTD 1972.HK 0.01% 1.55M $4.9M
1152 MITSUBISHI GAS CHEMICAL CO 4182.T 0.01% 204.10K $4.9M
1153 NOF CORP 4403.T 0.01% 281.80K $4.9M
1154 TOKYU FUDOSAN HOLDINGS CORP 3289.T 0.01% 580.90K $4.9M
1155 RUBIS RUI 0.01% 124.67K $4.9M
1156 KYUSHU FINANCIAL GROUP INC 7180.T 0.01% 509.30K $4.9M
1157 STEADFAST GROUP LTD SDF.AX 0.01% 1.17M $4.8M
1158 ASMPT LTD 0522.HK 0.01% 234.80K $4.8M
1159 POSCO FUTURE M CO LTD A003670 0.01% 40.19K $4.8M
1160 DEMANT A/S DEMANT.CO 0.01% 109.52K $4.8M
1161 TOYO TIRE CORP 5105.T 0.01% 202.60K $4.8M
1162 MODEC INC 6269.T 0.01% 78.50K $4.8M
1163 KELLER GROUP PLC KLR 0.01% 119.67K $4.8M
1164 LEG IMMOBILIEN SE LEG 0.01% 83.14K $4.8M
1165 ENTAIN PLC ENT 0.01% 657.58K $4.8M
1166 FIRST INTL BANK ISRAEL FIBI 0.01% 61.18K $4.8M
1167 NEMETSCHEK SE NEM 0.01% 62.70K $4.8M
1168 LOOMIS AB LOOMIS.ST 0.01% 86.31K $4.8M
1169 CRANSWICK PLC CWK 0.01% 65.22K $4.8M
1170 MERCARI INC 4385.T 0.01% 171.90K $4.8M
1171 INDUSTRIAL + INFRASTRUCTURE 3249.T 0.01% 5.59K $4.8M
1172 ATCO LTD CLASS I ACO.X 0.01% 88.40K $4.8M
1173 CREDIT SAISON CO LTD 8253.T 0.01% 161.70K $4.8M
1174 DOWA HOLDINGS CO LTD 5714.T 0.01% 75.80K $4.8M
1175 SIMMTECH CO LTD A222800 0.01% 56.74K $4.8M
1176 AUTO1 GROUP SE AG1 0.01% 188.91K $4.8M
1177 DRAX GROUP PLC DRX 0.01% 462.03K $4.7M
1178 WEST FRASER TIMBER CO LTD WFG.TO 0.01% 69.00K $4.7M
1179 K S AG REG SDF 0.01% 253.54K $4.7M
1180 AYA GOLD + SILVER INC AYA.TO 0.01% 172.57K $4.7M
1181 KAKAKU.COM INC 2371.T 0.01% 206.30K $4.7M
1182 ISUPETASYS CO LTD A007660 0.01% 61.38K $4.7M
1183 FASTIGHETS AB BALDER B SHRS BALDB 0.01% 838.41K $4.7M
1184 A2A SPA A2A 0.01% 1.75M $4.7M
1185 FRAPORT AG FRANKFURT AIRPORT FRA 0.01% 62.78K $4.7M
1186 BADGER INFRASTRUCTURE SOLUTI BDGI.TO 0.01% 78.54K $4.7M
1187 GS YUASA CORP 6674.T 0.01% 139.90K $4.7M
1188 OUTOKUMPU OYJ OUT1V 0.01% 723.00K $4.7M
1189 YAMAZAKI BAKING CO LTD 2212.T 0.01% 203.60K $4.7M
1190 SEMBCORP INDUSTRIES LTD U96.SI 0.01% 979.30K $4.6M
1191 SANWA HOLDINGS CORP 5929.T 0.01% 202.90K $4.6M
1192 SHUFERSAL LTD SAE 0.01% 327.10K $4.6M
1193 OTSUKA CORP 4768.T 0.01% 208.60K $4.6M
1194 SSAB AB A SHARES 0.01% 434.98K $4.6M
1195 KNOW IT AB KNOW.ST 0.01% 461.92K $4.6M
1196 GIBSON ENERGY INC GEI.TO 0.01% 206.07K $4.6M
1197 EASYJET PLC EZJ 0.01% 499.71K $4.6M
1198 LOTUS BAKERIES LOTB 0.01% 300 $4.6M
1199 BEIJER REF AB CL B 0.01% 329.04K $4.6M
1200 ZIP CO LTD ZIP.AX 0.01% 2.40M $4.5M
1201 KOKUYO CO LTD 7984.T 0.01% 812.00K $4.5M
1202 KBC ANCORA KBCA 0.01% 41.44K $4.5M
1203 VEND MARKETPLACES ASA CL VEND 0.01% 161.16K $4.5M
1204 ECOPRO BM CO LTD A247540 0.01% 55.73K $4.5M
1205 CLARIANT AG REG CLN.SW 0.01% 345.30K $4.5M
1206 S OIL CORP A010950 0.01% 44.58K $4.5M
1207 NISHI NIPPON FINANCIAL HOLDI 7189.T 0.01% 153.80K $4.5M
1208 TREND MICRO INC 4704.T 0.01% 128.80K $4.5M
1209 MAREX GROUP LTD MRX 0.01% 63.11K $4.4M
1210 CT REAL ESTATE INVESTMENT TR CRT.UN 0.01% 347.89K $4.4M
1211 SHAFTESBURY CAPITAL PLC SHC 0.01% 2.14M $4.4M
1212 FREENET AG FNTN 0.01% 156.68K $4.4M
1213 MITSUI CHEMICALS INC 4183.T 0.01% 334.42K $4.4M
1214 SACYR SA SCYR 0.01% 880.18K $4.4M
1215 CLEANAWAY WASTE MANAGEMENT L CWY.AX 0.01% 2.40M $4.4M
1216 NHK SPRING CO LTD 5991.T 0.01% 204.70K $4.4M
1217 STANLEY ELECTRIC CO LTD 6923.T 0.01% 195.77K $4.4M
1218 NISSUI CORP 1332.T 0.01% 545.20K $4.4M
1219 TP ICAP GROUP PLC TCAP 0.01% 975.74K $4.4M
1220 ZIJIN GOLD INTERNATIONAL CO 2259.HK 0.01% 217.40K $4.4M
1221 BIG SHOPPING CENTERS 2004 LT BIG 0.01% 19.54K $4.4M
1222 SEEK LTD SEK.AX 0.01% 426.17K $4.4M
1223 NEXT VISION STABILIZED SYSTE NXSN 0.01% 64.09K $4.4M
1224 NEW HOPE CORP LTD NHC.AX 0.01% 1.04M $4.4M
1225 OJI HOLDINGS CORP 3861.T 0.01% 801.60K $4.3M
1226 COLLIERS INTL GR SUBORD VOT CIGI.TO 0.01% 41.44K $4.3M
1227 FLATEXDEGIRO SE FTK 0.01% 103.24K $4.3M
1228 CHUGIN FINANCIAL GROUP INC 5832.T 0.01% 202.20K $4.3M
1229 TOKYO TATEMONO CO LTD 8804.T 0.01% 202.70K $4.3M
1230 HYUNDAI MARINE + FIRE INS CO A001450 0.01% 118.51K $4.3M
1231 INDUSTRIAL BANK OF KOREA A024110 0.01% 296.72K $4.3M
1232 ITV PLC ITV 0.01% 4.37M $4.3M
1233 BIOMERIEUX BIM 0.01% 49.06K $4.3M
1234 KIWOOM SECURITIES CO LTD A039490 0.01% 21.69K $4.3M
1235 COWAY CO LTD A021240 0.01% 60.52K $4.3M
1236 VAULT MINERALS LTD VAU.AX 0.01% 863.03K $4.3M
1237 MEGAPORT LTD MP1.AX 0.01% 342.04K $4.3M
1238 NORDNET AB PUBL SAVE.ST 0.01% 110.95K $4.3M
1239 SANKYU INC 9065.T 0.01% 80.90K $4.3M
1240 AIR FRANCE KLM AF 0.01% 303.33K $4.2M
1241 NH FOODS LTD 2282.T 0.01% 106.00K $4.2M
1242 KADOKAWA CORP 9468.T 0.01% 184.20K $4.2M
1243 TOHO GAS CO LTD 9533.T 0.01% 554.80K $4.2M
1244 DAVIDE CAMPARI MILANO NV CPR 0.01% 617.30K $4.2M
1245 AAK AB 0.01% 204.77K $4.2M
1246 NANOBIOTIX NANO 0.01% 101.78K $4.2M
1247 CONSTRUCC Y AUX DE FERROCARR CAF 0.01% 53.46K $4.2M
1248 VENTIA SERVICES GROUP PTY LT VNT.AX 0.01% 1.00M $4.2M
1249 SKYLARK HOLDINGS CO LTD 3197.T 0.01% 197.40K $4.2M
1250 HANKOOK TIRE + TECHNOLOGY CO A161390 0.01% 87.09K $4.2M
1251 KEPPEL DC REIT AJBU.SI 0.01% 2.38M $4.2M
1252 AIRTEL AFRICA PLC AAF 0.01% 920.05K $4.2M
1253 MITSUI E+S CO LTD 7003.T 0.01% 157.60K $4.2M
1254 HUHTAMAKI OYJ HUH1V 0.01% 111.41K $4.2M
1255 HANWHA SOLUTIONS CORP A009830 0.01% 178.93K $4.2M
1256 JEJU SEMICONDUCTOR CORP A080220 0.01% 75.24K $4.2M
1257 AXFOOD AB AXFO.ST 0.01% 159.93K $4.1M
1258 EXEO GROUP INC 1951.T 0.01% 255.00K $4.1M
1259 DE LONGHI SPA DLG 0.01% 87.22K $4.1M
1260 NOMURA REAL ESTATE HOLDINGS 3231.T 0.01% 707.10K $4.1M
1261 GECINA SA GFC 0.01% 49.28K $4.1M
1262 BIG YELLOW GROUP PLC BYG 0.01% 336.51K $4.1M
1263 PRIMARY HEALTH PROPERTIES PHP 0.01% 3.12M $4.1M
1264 AL SYDBANK ALSYDB.CO 0.01% 40.34K $4.1M
1265 ALGONQUIN POWER + UTILITIES AQN.TO 0.01% 719.19K $4.1M
1266 MEGA OR HOLDINGS LTD MGOR 0.01% 27.32K $4.1M
1267 PINNACLE INVESTMENT MANAGEME PNI.AX 0.01% 315.39K $4.1M
1268 OPEN HOUSE GROUP CO LTD 3288.T 0.01% 81.20K $4.1M
1269 TRANSALTA CORP TA.TO 0.01% 331.62K $4.0M
1270 LINAMAR CORP LNR.TO 0.01% 57.10K $4.0M
1271 BRUNELLO CUCINELLI SPA BC 0.01% 39.61K $4.0M
1272 NSK LTD 6471.T 0.01% 580.20K $4.0M
1273 ALLFUNDS GROUP PLC ALLFG 0.01% 381.76K $4.0M
1274 NABTESCO CORP 6268.T 0.01% 140.90K $4.0M
1275 KEWPIE CORP 2809.T 0.01% 135.00K $4.0M
1276 DELEK GROUP LTD DLEKG 0.01% 141.97K $4.0M
1277 YAMATO KOGYO CO LTD 5444.T 0.01% 51.30K $4.0M
1278 HOLMEN AB B SHARES HOLMB 0.01% 117.62K $4.0M
1279 BANCA IFIS SPA IF 0.01% 230.02K $4.0M
1280 COMSYS HOLDINGS CORP 1721.T 0.01% 118.90K $4.0M
1281 NITTO BOSEKI CO LTD 3110.T 0.01% 213.00K $4.0M
1282 FUJI CORP/AICHI 6134.T 0.01% 87.60K $3.9M
1283 AIMS APAC REIT O5RU.SI 0.01% 3.41M $3.9M
1284 NIPPON ELECTRIC GLASS CO LTD 5214.T 0.01% 132.50K $3.9M
1285 ESPRINET SPA PRT 0.01% 479.79K $3.9M
1286 NIPPON PROLOGIS REIT INC 3283.T 0.01% 7.29K $3.9M
1287 GLANBIA PLC GL9 0.01% 148.92K $3.9M
1288 HERA SPA HER 0.01% 864.63K $3.9M
1289 MAPLETREE INDUSTRIAL TRUST ME8U.SI 0.01% 2.57M $3.9M
1290 ANDRITZ AG ANDR 0.01% 41.33K $3.9M
1291 MANDATUM OYJ MANTA 0.01% 528.30K $3.9M
1292 MEIKO NETWORK JAPAN CO LTD 4668.T 0.01% 782.90K $3.9M
1293 MSCI EAFE SEP26 MFSU6 0.01% 33.50K $3.9M
1294 COMET HOLDING AG REG COTN.SW 0.01% 8.89K $3.9M
1295 BECHTLE AG BC8 0.01% 94.30K $3.9M
1296 TKMS AG+ CO KGAA TKMS 0.01% 36.72K $3.9M
1297 IVECO GROUP NV IVG 0.01% 238.39K $3.9M
1298 INFICON HOLDING AG REG IFCN.SW 0.01% 18.51K $3.9M
1299 MARUI GROUP CO LTD 8252.T 0.01% 204.50K $3.9M
1300 ROUND ONE CORP 4680.T 0.01% 458.00K $3.9M
1301 REECE LTD REH.AX 0.01% 323.90K $3.8M
1302 HANALL BIOPHARMA CO LTD A009420 0.01% 87.90K $3.8M
1303 HILL + SMITH PLC HILS 0.01% 96.55K $3.8M
1304 VISCOFAN SA VIS 0.01% 57.37K $3.8M
1305 ENDEAVOUR GROUP LTD/AUSTRALI EDV.AX 0.01% 1.70M $3.8M
1306 WHARF HOLDINGS LTD 0004.HK 0.01% 1.47M $3.8M
1307 CTS EVENTIM AG + CO KGAA EVD 0.01% 55.04K $3.8M
1308 ZIGNAGO VETRO SPA ZV 0.01% 469.63K $3.8M
1309 DERWENT LONDON PLC DLN 0.01% 135.30K $3.8M
1310 JAPAN STEEL WORKS LTD 5631.T 0.01% 78.70K $3.8M
1311 DOWNER EDI LTD DOW.AX 0.01% 788.48K $3.8M
1312 MARUWA CO LTD 5344.T 0.01% 11.20K $3.8M
1313 NETWEALTH GROUP LTD NWL.AX 0.01% 238.09K $3.8M
1314 MONDAY.COM LTD MNDY 0.01% 40.59K $3.8M
1315 PENTA OCEAN CONSTRUCTION CO 1893.T 0.01% 420.40K $3.8M
1316 DISCOVERY MINING LTD DSV.TO 0.01% 412.72K $3.8M
1317 WARABEYA NICHIYO HOLDINGS CO 2918.T 0.01% 208.80K $3.7M
1318 HANWHA CORPORATION A000880 0.01% 43.98K $3.7M
1319 KANSAI PAINT CO LTD 4613.T 0.01% 206.30K $3.7M
1320 YUHAN CORP A000100 0.01% 62.32K $3.7M
1321 FUCHS SE PREF FPE3 0.01% 80.67K $3.7M
1322 TOBU RAILWAY CO LTD 9001.T 0.01% 195.30K $3.7M
1323 HIKMA PHARMACEUTICALS PLC HIK 0.01% 166.69K $3.7M
1324 HASEKO CORP 1808.T 0.01% 207.00K $3.7M
1325 SURUGA BANK LTD 8358.T 0.01% 203.30K $3.7M
1326 SOUTH KOREAN WON 0.01% 5.15B $3.7M
1327 TOYODA GOSEI CO LTD 7282.T 0.01% 111.10K $3.7M
1328 WESDOME GOLD MINES LTD WDO.TO 0.01% 142.46K $3.7M
1329 BANK OF QUEENSLAND LTD BOQ.AX 0.01% 808.53K $3.7M
1330 BACHEM HOLDING AG BANB.SW 0.01% 38.52K $3.7M
1331 METCASH LTD MTS.AX 0.01% 1.74M $3.7M
1332 GRAFTON GROUP PLC UTS CDI GFTU 0.01% 261.34K $3.7M
1333 RUSSEL METALS INC RUS.TO 0.01% 70.69K $3.7M
1334 SALMAR ASA SALM 0.01% 63.15K $3.7M
1335 MDA SPACE LTD MDA.TO 0.01% 125.16K $3.7M
1336 PIRELLI + C SPA PIRC 0.01% 466.89K $3.7M
1337 HD HYUNDAI MARINE SOLUTION C A443060 0.01% 24.37K $3.6M
1338 TAIHEIYO CEMENT CORP 5233.T 0.01% 138.80K $3.6M
1339 PEAB AB CLASS B 0.01% 360.33K $3.6M
1340 DAIWA HOUSE REIT INVESTMENT 8984.T 0.01% 4.81K $3.6M
1341 RANDSTAD NV RAND 0.01% 78.42K $3.6M
1342 MIGDAL INSURANCE + FINANCIAL MGDL 0.01% 568.32K $3.6M
1343 BANK OF EAST ASIA LTD 0023.HK 0.01% 1.64M $3.6M
1344 SHIMAMURA CO LTD 8227.T 0.01% 174.00K $3.6M
1345 ZOZO INC 3092.T 0.01% 503.10K $3.6M
1346 KRAFTIA CORP 1959.T 0.01% 70.10K $3.6M
1347 KORNIT DIGITAL LTD KRNT 0.01% 216.38K $3.6M
1348 BKW AG BKW.SW 0.01% 23.41K $3.6M
1349 SEGA SAMMY HOLDINGS INC 6460.T 0.01% 190.80K $3.6M
1350 BNK FINANCIAL GROUP INC A138930 0.01% 337.78K $3.6M
1351 EURAZEO SE RF 0.01% 61.21K $3.6M
1352 INTERNET INITIATIVE JAPAN 3774.T 0.01% 170.20K $3.6M
1353 HEXPOL AB 0.01% 376.95K $3.6M
1354 MEIDENSHA CORP 6508.T 0.01% 49.40K $3.6M
1355 VONTOBEL HOLDING AG REG VONN.SW 0.01% 31.79K $3.6M
1356 KALMAR OYJ B SHARE KALMAR 0.01% 78.79K $3.6M
1357 JAPAN PRIME REALTY INVESTMEN 8955.T 0.01% 5.84K $3.6M
1358 SEKISUI HOUSE REIT INC 3309.T 0.01% 7.71K $3.6M
1359 SEINO HOLDINGS CO LTD 9076.T 0.01% 203.60K $3.6M
1360 SWCC CORP 5805.T 0.01% 40.00K $3.5M
1361 BELLWAY PLC BWY 0.01% 119.82K $3.5M
1362 ROHTO PHARMACEUTICAL CO LTD 4527.T 0.01% 190.50K $3.5M
1363 SINCH AB SINCH.ST 0.01% 737.97K $3.5M
1364 SANIL ELECTRIC CO LTD A062040 0.01% 29.05K $3.5M
1365 STELLA JONES INC SJ.TO 0.01% 71.07K $3.5M
1366 SFS GROUP AG SFSN.SW 0.01% 21.54K $3.5M
1367 HAPAG LLOYD AG HLAG 0.01% 22.03K $3.5M
1368 WEST AFRICAN RESOURCES LTD WAF.AX 0.01% 1.30M $3.5M
1369 ALLREAL HOLDING AG REG ALLN.SW 0.01% 14.31K $3.5M
1370 MOTA ENGIL SGPS SA EGL 0.01% 649.45K $3.5M
1371 ALSOK CO LTD 2331.T 0.01% 470.50K $3.5M
1372 GLOBAL E ONLINE LTD GLBE 0.01% 89.24K $3.5M
1373 HLB CO LTD A028300 0.01% 127.10K $3.5M
1374 NAMURA SHIPBUILDING CO LTD 7014.T 0.01% 122.80K $3.5M
1375 PENNON GROUP PLC PNN 0.01% 542.29K $3.5M
1376 CITIZEN WATCH CO LTD 7762.T 0.01% 205.10K $3.5M
1377 FDJ UNITED FDJU 0.01% 133.28K $3.5M
1378 CEMBRA MONEY BANK AG CMBN.SW 0.01% 31.71K $3.4M
1379 EAGERS AUTOMOTIVE LTD APE.AX 0.01% 214.34K $3.4M
1380 NICHIAS CORP 5393.T 0.01% 163.80K $3.4M
1381 SUPERMARKET INCOME REIT PLC SUPR 0.01% 2.97M $3.4M
1382 YAMAGUCHI FINANCIAL GROUP IN 8418.T 0.01% 175.80K $3.4M
1383 KIYO BANK LTD/THE 8370.T 0.01% 111.00K $3.4M
1384 NORWEGIAN KRONE 0.01% 32.04M $3.4M
1385 HANJIN KAL CORP A180640 0.01% 38.81K $3.4M
1386 DWS GROUP GMBH + CO KGAA DWS 0.01% 39.47K $3.4M
1387 LABORATORIOS FARMACEUTICOS R ROVI 0.01% 48.14K $3.4M
1388 TAYLOR WIMPEY PLC 0.01% 2.94M $3.4M
1389 WENDEL MF 0.01% 33.44K $3.4M
1390 MACNICA HOLDINGS INC 3132.T 0.01% 156.90K $3.4M
1391 BANQUE CANTONALE VAUDOIS REG BCVN.SW 0.01% 21.46K $3.4M
1392 DENKA CO LTD 4061.T 0.01% 157.00K $3.3M
1393 YANCOAL AUSTRALIA LTD YAL.AX 0.01% 787.65K $3.3M
1394 BRAVIDA HOLDING AB BRAV.ST 0.01% 235.62K $3.3M
1395 EUGENE TECHNOLOGY CO LTD A084370 0.01% 33.65K $3.3M
1396 ARKEMA AKE 0.01% 49.26K $3.3M
1397 ROBOTIS CO LTD A108490 0.01% 18.22K $3.3M
1398 SPARK NEW ZEALAND LTD SPK 0.01% 2.58M $3.3M
1399 JD SPORTS FASHION PLC JD. 0.01% 2.88M $3.3M
1400 D ALBA GLOBAL CO LTD A483650 0.01% 19.88K $3.3M
1401 ILUKA RESOURCES LTD ILU.AX 0.01% 649.47K $3.3M
1402 GOODMAN NEW ZEALAND LTD + GO GNZ 0.01% 2.78M $3.3M
1403 MOBIMO HOLDING AG REG MOBN.SW 0.01% 7.82K $3.3M
1404 COLRUYT GROUP N.V COLR 0.01% 72.81K $3.3M
1405 VIENNA INSURANCE GROUP AG VIG 0.01% 40.13K $3.3M
1406 TAKASAGO THERMAL ENGINEERING 1969.T 0.01% 122.80K $3.3M
1407 BURE EQUITY AB BURE.ST 0.01% 99.89K $3.3M
1408 AMOREPACIFIC CORP A090430 0.01% 32.10K $3.3M
1409 ISTYLE INC 3660.T 0.01% 1.01M $3.3M
1410 NORTHLAND POWER INC NPI.TO 0.01% 215.73K $3.3M
1411 ROYAL UNIBREW RBREW.CO 0.01% 48.71K $3.3M
1412 KYOWA KIRIN CO LTD 4151.T 0.01% 204.10K $3.3M
1413 ZENKOKU HOSHO CO LTD 7164.T 0.01% 163.80K $3.3M
1414 HMS NETWORKS AB HMS.ST 0.01% 62.50K $3.3M
1415 KINAXIS INC KXS.TO 0.01% 25.84K $3.3M
1416 VALIANT HOLDING AG REG VATN.SW 0.01% 17.51K $3.3M
1417 MELISRON MLSR 0.01% 23.74K $3.2M
1418 TOKUYAMA CORP 4043.T 0.01% 129.10K $3.2M
1419 PEPTRON INC A087010 0.01% 24.65K $3.2M
1420 VOLKSWAGEN AG VOW 0.01% 37.30K $3.2M
1421 SWATCH GROUP AG/THE REG UHRN.SW 0.01% 70.67K $3.2M
1422 SAN IN GODO BANK LTD/THE 8381.T 0.01% 202.65K $3.2M
1423 HYUNDAI MOTOR CO LTD PRF A005385 0.01% 22.20K $3.2M
1424 TSURUHA HOLDINGS INC 3391.T 0.01% 213.95K $3.2M
1425 OXFORD NANOPORE TECHNOLOGIES ONT 0.01% 1.29M $3.2M
1426 MUNTERS GROUP AB MTRS.ST 0.01% 175.29K $3.2M
1427 PRECISION DRILLING CORP PD.TO 0.01% 36.95K $3.2M
1428 PUMA SE PUM 0.01% 110.31K $3.2M
1429 PLAYTECH PLC PTEC 0.01% 583.04K $3.2M
1430 DENA CO LTD 2432.T 0.01% 202.80K $3.2M
1431 NCC AB B SHS 0.01% 171.44K $3.2M
1432 ULVAC INC 6728.T 0.01% 67.10K $3.2M
1433 NORTH PACIFIC BANK LTD 8524.T 0.01% 406.80K $3.2M
1434 TOPAZ ENERGY CORP TPZ.TO 0.01% 138.39K $3.2M
1435 FRASERS CENTREPOINT TRUST J69U.SI 0.01% 1.83M $3.2M
1436 AIR WATER INC 4088.T 0.01% 202.20K $3.2M
1437 ORIX JREIT INC 8954.T 0.01% 5.00K $3.2M
1438 NIFCO INC 7988.T 0.01% 100.10K $3.1M
1439 MENORA MIVTACHIM HOLDINGS LT MMHD 0.01% 19.02K $3.1M
1440 DONGWON INDUSTRIES CO LTD A006040 0.01% 112.88K $3.1M
1441 ELECTRO OPTIC SYSTEMS HOLDIN EOS.AX 0.01% 416.98K $3.1M
1442 COSMO ENERGY HOLDINGS CO LTD 5021.T 0.01% 119.00K $3.1M
1443 HANWHA LIFE INSURANCE CO LTD A088350 0.01% 810.38K $3.1M
1444 MITSUBISHI LOGISTICS CORP 9301.T 0.01% 327.50K $3.1M
1445 B+M EUROPEAN VALUE RETAIL PL BME 0.01% 932.00K $3.1M
1446 TECHNOGYM SPA TGYM 0.01% 206.62K $3.1M
1447 HOTEL SHILLA CO LTD A008770 0.01% 103.38K $3.1M
1448 EVONIK INDUSTRIES AG EVK 0.01% 143.36K $3.1M
1449 TUBACEX SA TUB 0.01% 909.72K $3.1M
1450 FERROTEC CORP 6890.T 0.01% 56.10K $3.1M
1451 BODYCOTE PLC BOY 0.01% 251.87K $3.1M
1452 ANRITSU CORP 6754.T 0.01% 144.00K $3.1M
1453 TAG IMMOBILIEN AG TEG 0.01% 205.14K $3.1M
1454 ROCKWOOL A/S B SHS 0.01% 94.57K $3.1M
1455 SIGNIFY NV LIGHT 0.01% 174.63K $3.1M
1456 KONGSBERG MARITIME AS KMAR 0.01% 509.91K $3.1M
1457 MODERN TIMES GROUP B SHS 0.01% 219.63K $3.1M
1458 ATHABASCA OIL CORP ATH.TO 0.01% 409.11K $3.1M
1459 HOSHIZAKI CORP 6465.T 0.01% 86.10K $3.1M
1460 GYM GROUP PLC GYM 0.01% 1.13M $3.1M
1461 SUNTEC REIT T82U.SI 0.01% 2.54M $3.1M
1462 CATHAY PACIFIC AIRWAYS 0293.HK 0.01% 1.66M $3.1M
1463 CAMTEK LTD CAMT 0.01% 21.19K $3.1M
1464 BUCHER INDUSTRIES AG REG BUCN.SW 0.01% 7.84K $3.1M
1465 JARDINE CYCLE + CARRIAGE LTD C07.SI 0.01% 143.13K $3.1M
1466 HAMBORNER REIT AG HABA 0.01% 606.36K $3.0M
1467 DEXERIALS CORP 4980.T 0.01% 161.70K $3.0M
1468 FLIGHT CENTRE TRAVEL GROUP L FLT.AX 0.01% 330.56K $3.0M
1469 DKSH HOLDING AG DKSH.SW 0.01% 37.65K $3.0M
1470 SANKYO CO LTD 6417.T 0.01% 246.30K $3.0M
1471 MODETOUR NETWORK INC A080160 0.01% 460.85K $3.0M
1472 DEXUS/AU DXS.AX 0.01% 722.66K $3.0M
1473 TEL AVIV STOCK EXCHANGE LTD TASE 0.01% 74.60K $3.0M
1474 TOMRA SYSTEMS ASA TOM 0.01% 258.10K $3.0M
1475 BEFESA SA BFSA 0.01% 72.37K $3.0M
1476 INVESTMENT AB LATOUR B SHS 0.01% 143.66K $3.0M
1477 NIPPON PARKING DEVELOPMENT C 2353.T 0.01% 1.78M $3.0M
1478 SUGI HOLDINGS CO LTD 7649.T 0.01% 175.30K $3.0M
1479 KANEKA CORP 4118.T 0.01% 78.60K $3.0M
1480 S.O.I.T.E.C. SOI 0.01% 23.75K $3.0M
1481 NH INVESTMENT + SECURITIES C A005940 0.01% 157.09K $3.0M
1482 PRADA S.P.A. 1913.HK 0.01% 576.10K $3.0M
1483 SATS LTD S58.SI 0.01% 936.15K $3.0M
1484 ENERGY FUELS INC EFR.TO 0.01% 187.79K $3.0M
1485 PERSIMMON PLC PSN 0.01% 185.00K $3.0M
1486 AROUNDTOWN SA AT1 0.01% 1.26M $3.0M
1487 KOITO MANUFACTURING CO LTD 7276.T 0.01% 176.50K $3.0M
1488 ALFRESA HOLDINGS CORP 2784.T 0.01% 204.00K $3.0M
1489 RINNAI CORP 5947.T 0.01% 132.40K $3.0M
1490 DAIDO STEEL CO LTD 5471.T 0.01% 207.70K $3.0M
1491 BONESUPPORT HOLDING AB BONEX.ST 0.01% 125.08K $2.9M
1492 KEPPEL INFRASTRUCTURE TRUST A7RU.SI 0.01% 7.30M $2.9M
1493 IMMOBILIARE GRANDE DISTRIBUZ IGD 0.01% 630.20K $2.9M
1494 APERAM APAM 0.01% 55.62K $2.9M
1495 JAPAN HOTEL REIT INVESTMENT 8985.T 0.01% 5.78K $2.9M
1496 SUMITOMO RUBBER INDUSTRIES 5110.T 0.01% 204.20K $2.9M
1497 MITIE GROUP PLC MTO 0.01% 1.03M $2.9M
1498 RORZE CORP 6323.T 0.01% 115.00K $2.9M
1499 INVINCIBLE INVESTMENT CORP 8963.T 0.01% 7.62K $2.9M
1500 MIVNE REAL ESTATE KD LTD MVNE 0.01% 678.76K $2.9M
1501 SUPER RETAIL GROUP LTD SUL.AX 0.01% 307.86K $2.9M
1502 VERISURE PLC VSURE 0.01% 272.79K $2.9M
1503 ALTEN SA ATE 0.01% 33.18K $2.9M
1504 HK ELECTRIC INVESTMENTS SS 2638.HK 0.01% 3.59M $2.9M
1505 HANA MICRON INC A067310 0.01% 107.38K $2.9M
1506 DB HITEK CO LTD A000990 0.01% 43.51K $2.9M
1507 BOLLORE SE BOL 0.01% 646.83K $2.9M
1508 PIZZA PIZZA ROYALTY CORP PZA.TO 0.01% 323.93K $2.9M
1509 BOYD GROUP SERVICES INC BYD.TO 0.01% 34.02K $2.9M
1510 KCC CORP A002380 0.01% 8.85K $2.9M
1511 VALLOUREC SA VK 0.01% 136.50K $2.9M
1512 LG DISPLAY CO LTD ADR LPL 0.01% 856.85K $2.9M
1513 FIRSTGROUP PLC FGP 0.01% 1.19M $2.9M
1514 SUZUKEN CO LTD 9987.T 0.01% 90.90K $2.9M
1515 RIOCAN REAL ESTATE INVST TR REI.UN 0.01% 187.65K $2.9M
1516 JGC HOLDINGS CORP 1963.T 0.01% 203.90K $2.9M
1517 ZEON CORP 4205.T 0.01% 191.40K $2.9M
1518 HANG LUNG GROUP LTD 0010.HK 0.01% 1.79M $2.9M
1519 WONIK IPS CO LTD A240810 0.01% 35.52K $2.9M
1520 MORINAGA MILK INDUSTRY CO 2264.T 0.01% 386.40K $2.9M
1521 EO TECHNICS CO LTD A039030 0.01% 9.92K $2.9M
1522 HYAKUGO BANK LTD/THE 8368.T 0.01% 202.55K $2.9M
1523 IWATANI CORP 8088.T 0.01% 210.40K $2.9M
1524 SOLARIA ENERGIA Y MEDIO AMBI SLR 0.01% 143.71K $2.9M
1525 HIROGIN HOLDINGS INC 7337.T 0.01% 197.00K $2.8M
1526 MIURA CO LTD 6005.T 0.01% 141.10K $2.8M
1527 PAZ RETAIL AND ENERGY LTD PAZ 0.01% 9.75K $2.8M
1528 ASHDOD REFINERY LTD ARF 0.01% 71.84K $2.8M
1529 PEYTO EXPLORATION + DEV CORP PEY.TO 0.01% 158.81K $2.8M
1530 MONY GROUP PLC MONY 0.01% 993.37K $2.8M
1531 HANMI PHARM CO LTD A128940 0.01% 7.79K $2.8M
1532 TABCORP HOLDINGS LTD TAH.AX 0.01% 4.34M $2.8M
1533 ADVANCE RESIDENCE INVESTMENT 3269.T 0.01% 3.05K $2.8M
1534 FLUIDRA SA FDR 0.01% 123.82K $2.8M
1535 L+F CO LTD A066970 0.01% 32.26K $2.8M
1536 BIRKENSTOCK HOLDING PLC BIRK 0.01% 79.34K $2.8M
1537 LOUIS HACHETTE GROUP ALHG 0.01% 1.32M $2.8M
1538 DIGITAL CORE REIT MANAGEMENT DCRU 0.01% 5.46M $2.8M
1539 MEZZION PHARMA CO LTD A140410 0.01% 59.38K $2.8M
1540 ALTRA FASTIGHETER AB ALTRA.ST 0.01% 336.94K $2.8M
1541 ALPS ALPINE CO LTD 6770.T 0.01% 203.00K $2.8M
1542 AOZORA BANK LTD 8304.T 0.01% 131.70K $2.8M
1543 IIDA GROUP HOLDINGS CO LTD 3291.T 0.01% 188.60K $2.8M
1544 SMS CO LTD 2175.T 0.01% 185.20K $2.8M
1545 COSMOS PHARMACEUTICAL CORP 3349.T 0.01% 66.60K $2.8M
1546 RELIANCE WORLDWIDE CORP LTD RWC.AX 0.01% 927.95K $2.8M
1547 METAPLANET INC 3350.T 0.01% 1.34M $2.8M
1548 JENOPTIK AG JEN 0.01% 61.04K $2.7M
1549 MAPLETREE LOGISTICS TRUST M44U.SI 0.01% 2.99M $2.7M
1550 NS SOLUTIONS CORP 2327.T 0.01% 112.30K $2.7M
1551 NC CORP A036570 0.01% 16.91K $2.7M
1552 DAEWOO ENGINEERING + CONSTR A047040 0.01% 215.53K $2.7M
1553 DMG MORI CO LTD 6141.T 0.01% 143.60K $2.7M
1554 JAPAN AIRLINES CO LTD 9201.T 0.01% 144.10K $2.7M
1555 ORORA LTD ORA.AX 0.01% 2.52M $2.7M
1556 HUFVUDSTADEN AB A SHS 0.01% 213.48K $2.7M
1557 MEIKO ELECTRONICS CO LTD 6787.T 0.01% 24.00K $2.7M
1558 BAUSCH HEALTH COS INC BHC.TO 0.01% 402.55K $2.7M
1559 BAVARIAN NORDIC A/S BAVA.CO 0.01% 79.51K $2.7M
1560 UNIQA INSURANCE GROUP AG UQA 0.01% 131.88K $2.7M
1561 SHINSEGAE INC A004170 0.01% 9.49K $2.7M
1562 KAMIGUMI CO LTD 9364.T 0.01% 88.40K $2.7M
1563 HYBE CO LTD A352820 0.01% 21.71K $2.7M
1564 DFI RETAIL GRP HLD SING REG D01 0.01% 740.90K $2.7M
1565 PARKWAYLIFE REAL ESTATE C2PU.SI 0.01% 818.40K $2.7M
1566 NISSHIN SEIFUN GROUP INC 2002.T 0.01% 205.60K $2.7M
1567 ADEKA CORP 4401.T 0.01% 92.40K $2.6M
1568 HYUNDAI AUTOEVER CORP A307950 0.01% 8.08K $2.6M
1569 LG UPLUS CORP A032640 0.01% 246.34K $2.6M
1570 TOKYO CENTURY CORP 8439.T 0.01% 162.80K $2.6M
1571 JTEKT CORP 6473.T 0.01% 204.90K $2.6M
1572 VIVA ENERGY GROUP LTD VEA.AX 0.01% 1.34M $2.6M
1573 SOLVAY SA SOLB 0.01% 88.40K $2.6M
1574 SIMS LTD SGM.AX 0.01% 151.44K $2.6M
1575 FIRST CAPITAL REAL ESTATE IN FCR.UN 0.01% 159.45K $2.6M
1576 AUMOVIO SE AMV0 0.01% 62.49K $2.6M
1577 DIASORIN SPA DIA 0.01% 29.44K $2.6M
1578 HANWHA VISION CO LTD A489790 0.01% 68.96K $2.6M
1579 CONSTELLIUM SE CSTM 0.01% 96.27K $2.6M
1580 CAMURUS AB CAMX.ST 0.01% 40.08K $2.6M
1581 FUCHS SE FPE 0.01% 64.38K $2.6M
1582 SILVERCORP METALS INC SVM.TO 0.01% 201.90K $2.6M
1583 FABEGE AB FABG.ST 0.01% 329.82K $2.6M
1584 NOKIAN RENKAAT OYJ TYRES 0.01% 133.42K $2.6M
1585 BREVILLE GROUP LTD BRG.AX 0.01% 109.81K $2.6M
1586 CALBEE INC 2229.T 0.01% 133.00K $2.6M
1587 NIB HOLDINGS LTD NHF.AX 0.01% 527.89K $2.6M
1588 TRUSTPILOT GROUP PLC TRST 0.01% 654.30K $2.6M
1589 CHOW TAI FOOK JEWELLERY GROU 1929.HK 0.01% 1.48M $2.6M
1590 VENTURE CORP LTD V03.SI 0.01% 194.90K $2.6M
1591 VIVENDI SE VIV 0.01% 1.32M $2.6M
1592 WIHLBORGS FASTIGHETER AB WIHL.ST 0.01% 309.49K $2.6M
1593 YAMATO HOLDINGS CO LTD 9064.T 0.01% 209.40K $2.5M
1594 TAKARA HOLDINGS INC 2531.T 0.01% 186.00K $2.5M
1595 AUB GROUP LTD AUB.AX 0.01% 117.62K $2.5M
1596 WOORI TECHNOLOGY INC A032820 0.01% 287.10K $2.5M
1597 GN STORE NORD A/S GN.CO 0.01% 172.37K $2.5M
1598 PIGEON CORP 7956.T 0.01% 188.30K $2.5M
1599 TOMY COMPANY LTD 7867.T 0.01% 109.40K $2.5M
1600 ISC CO LTD A095340 0.01% 21.27K $2.5M
1601 NISSHINBO HOLDINGS INC 3105.T 0.01% 190.10K $2.5M
1602 ORGANO CORP 6368.T 0.01% 30.00K $2.5M
1603 HAMMERSON PLC HMSO 0.01% 487.39K $2.5M
1604 K S HOLDINGS CORP 8282.T 0.01% 202.60K $2.5M
1605 CAPITALAND ASCOTT TRUST HMN.SI 0.01% 3.71M $2.5M
1606 FIRST PACIFIC CO 0142.HK 0.01% 3.78M $2.5M
1607 DANISH KRONE 0.01% 15.96M $2.5M
1608 HUBER SUHNER AG REG HUBN.SW 0.01% 12.14K $2.5M
1609 LIONTOWN LTD LTR.AX 0.01% 2.86M $2.5M
1610 GRIFOLS SA ADR GRFS 0.01% 305.96K $2.5M
1611 WACKER CHEMIE AG WCH 0.01% 23.48K $2.5M
1612 CURRYS PLC CURY 0.01% 1.22M $2.4M
1613 SINFONIA TECHNOLOGY CO LTD 6507.T 0.01% 31.90K $2.4M
1614 NEW ISRAELI SHEQEL 0.01% 7.31M $2.4M
1615 SOCIONEXT INC 6526.T 0.01% 199.00K $2.4M
1616 KEIHAN HOLDINGS CO LTD 9045.T 0.01% 119.30K $2.4M
1617 HARMONIC DRIVE SYSTEMS INC 6324.T 0.01% 67.50K $2.4M
1618 SOCIETE BIC SA BB 0.01% 31.45K $2.4M
1619 SHIKOKU ELECTRIC POWER CO 9507.T 0.01% 203.70K $2.4M
1620 SEOJIN SYSTEM CO LTD A178320 0.01% 87.94K $2.4M
1621 SOULBRAIN CO LTD/NEW A357780 0.01% 10.09K $2.4M
1622 KRONES AG KRN 0.01% 17.71K $2.4M
1623 CK INFRASTRUCTURE HOLDINGS L 1038.HK 0.01% 287.50K $2.4M
1624 KINNEVIK AB B KINVB 0.01% 387.09K $2.4M
1625 GENUS PLC GNS 0.01% 77.02K $2.4M
1626 IMMUNOCORE HOLDINGS PLC ADR IMCR 0.01% 64.35K $2.4M
1627 KEMIRA OYJ KEMIRA 0.01% 118.23K $2.4M
1628 BIPROGY INC 8056.T 0.01% 82.70K $2.4M
1629 ACOM CO LTD 8572.T 0.01% 779.40K $2.4M
1630 LION CORP 4912.T 0.01% 202.40K $2.4M
1631 COMFORTDELGRO CORP LTD C52.SI 0.01% 2.36M $2.4M
1632 ATOM CORP 7412.T 0.01% 996.70K $2.4M
1633 DRONESHIELD LTD DRO.AX 0.01% 1.71M $2.4M
1634 UNITE GROUP PLC/THE UTG 0.01% 331.91K $2.4M
1635 DOOSAN BOBCAT INC A241560 0.01% 54.01K $2.4M
1636 TAIHAN CABLE + SOLUTION CO L A001440 0.01% 119.94K $2.4M
1637 MAPLETREE PAN ASIA COM TRUST MCT 0.01% 2.36M $2.4M
1638 THULE GROUP AB/THE THULE.ST 0.01% 108.51K $2.4M
1639 ILJIN ELECTRIC CO LTD A103590 0.01% 49.55K $2.4M
1640 ALMIRALL SA ALM 0.01% 194.01K $2.3M
1641 JAPAN AIRPORT TERMINAL CO 9706.T 0.01% 63.90K $2.3M
1642 IM FINANCIAL GROUP CO LTD A139130 0.01% 184.81K $2.3M
1643 JUPITER FUND MANAGEMENT JUP 0.01% 1.00M $2.3M
1644 HARVEY NORMAN HOLDINGS LTD HVN.AX 0.01% 705.84K $2.3M
1645 SKC CO LTD A011790 0.01% 37.72K $2.3M
1646 TGS ASA TGS 0.01% 160.89K $2.3M
1647 SHAPIR ENGINEERING AND INDUS SPEN 0.01% 163.27K $2.3M
1648 TOKYO METRO CO LTD 9023.T 0.01% 250.00K $2.3M
1649 PEXIP HOLDING ASA PEXIP 0.01% 277.58K $2.3M
1650 GS ENGINEERING + CONSTRUCT A006360 0.01% 91.88K $2.3M
1651 CATENA AB CATE.ST 0.01% 56.08K $2.3M
1652 OLIX PHARMACEUTICALS INC A226950 0.01% 31.60K $2.3M
1653 KOSAIDO HOLDINGS CO LTD 7868.T 0.01% 656.80K $2.3M
1654 ORUM THERAPEUTICS INC A475830 0.01% 44.83K $2.3M
1655 SES SESG 0.01% 402.69K $2.3M
1656 SEB SA SK 0.01% 33.21K $2.3M
1657 NAGOYA RAILROAD CO LTD 9048.T 0.01% 190.40K $2.3M
1658 MITSUI FUDOSAN LOGISTICS PAR 3471.T 0.01% 3.41K $2.3M
1659 MITSUBISHI MOTORS CORP 7211.T 0.01% 993.50K $2.3M
1660 KOBE BUSSAN CO LTD 3038.T 0.01% 127.00K $2.3M
1661 COLONIAL SFL SOCIMI SA COL 0.01% 353.26K $2.3M
1662 LIXIL CORP 5938.T 0.01% 204.20K $2.3M
1663 SILTRONIC AG WAF 0.01% 23.59K $2.2M
1664 S 1 CORPORATION A012750 0.01% 39.12K $2.2M
1665 TOKAI CARBON KOREA CO LTD A064760 0.01% 12.92K $2.2M
1666 ISU SPECIALTY CHEMICAL A457190 0.01% 48.79K $2.2M
1667 ST PHARM CO LTD A237690 0.01% 29.19K $2.2M
1668 REGION GROUP RGN.AX 0.01% 1.39M $2.2M
1669 SWISS FRANC 0.01% 1.80M $2.2M
1670 SIEGFRIED HOLDING AG REG SFZN.SW 0.01% 24.11K $2.2M
1671 DEEP YELLOW LTD DYL.AX 0.01% 1.75M $2.2M
1672 HANA TOUR SERVICE INC A039130 0.01% 96.11K $2.2M
1673 LEENO INDUSTRIAL INC A058470 0.01% 45.78K $2.2M
1674 PLUXEE NV PLX 0.01% 119.69K $2.2M
1675 ZYMEWORKS INC ZYME 0.01% 80.56K $2.2M
1676 OCADO GROUP PLC OCDO 0.01% 651.77K $2.2M
1677 ENERFLEX LTD EFX.TO 0.01% 111.06K $2.2M
1678 STROEER SE + CO KGAA SAX 0.01% 47.57K $2.2M
1679 SEIKO GROUP CORP 8050.T 0.01% 32.00K $2.2M
1680 FAES FARMA SA FAE 0.01% 411.23K $2.2M
1681 PHARMARESEARCH CO LTD A214450 0.01% 7.30K $2.2M
1682 ANA HOLDINGS INC 9202.T 0.01% 113.80K $2.2M
1683 FINANCIAL PARTNERS GROUP 7148.T 0.01% 207.20K $2.2M
1684 LG H+H A051900 0.01% 9.50K $2.2M
1685 CAN APARTMENT PROP REAL ESTA CAR.UN 0.01% 88.48K $2.2M
1686 MARUICHI STEEL TUBE LTD 5463.T 0.01% 196.50K $2.2M
1687 CANON MARKETING JAPAN INC 8060.T 0.01% 97.80K $2.1M
1688 UNITED INTERNET AG REG SHARE UTDI 0.01% 72.82K $2.1M
1689 WALLENSTAM AB B SHS WALLB 0.01% 493.60K $2.1M
1690 SSP GROUP PLC SSPG 0.01% 777.40K $2.1M
1691 LIGACHEM BIOSCIENCES INC A141080 0.01% 29.52K $2.1M
1692 DAIHEN CORP 6622.T 0.01% 26.10K $2.1M
1693 FRASERS GROUP PLC FRAS 0.01% 187.60K $2.1M
1694 AURINIA PHARMACEUTICALS INC AUPH 0.01% 125.86K $2.1M
1695 POSCO INTERNATIONAL CORP A047050 0.01% 54.18K $2.1M
1696 UNITED URBAN INVESTMENT CORP 8960.T 0.00% 2.07K $2.1M
1697 TOKAI CARBON CO LTD 5301.T 0.00% 203.50K $2.1M
1698 NOLATO AB B SHS 0.00% 383.29K $2.1M
1699 LG DISPLAY CO LTD A034220 0.00% 303.65K $2.1M
1700 EDREAMS ODIGEO SL EDR 0.00% 326.78K $2.1M
1701 SKY PERFECT JSAT CORP 9412.T 0.00% 150.00K $2.1M
1702 NOMAD FOODS LTD NOMD 0.00% 174.82K $2.1M
1703 LOTTE WELLFOOD CO LTD A280360 0.00% 21.28K $2.1M
1704 KEIO CORP 9008.T 0.00% 419.00K $2.1M
1705 DORAL GROUP RENEWABLE ENERGY DORL 0.00% 90.84K $2.1M
1706 KEIKYU CORP 9006.T 0.00% 208.00K $2.1M
1707 BILLERUD AB BILL.ST 0.00% 255.40K $2.1M
1708 DAI DAN CO LTD 1980.T 0.00% 120.00K $2.0M
1709 MONOTARO CO LTD 3064.T 0.00% 176.00K $2.0M
1710 CTF SERVICES LTD 0659.HK 0.00% 1.97M $2.0M
1711 AMPER SA AMP 0.00% 373.88K $2.0M
1712 OSAKA TITANIUM TECHNOLOGIES 5726.T 0.00% 113.80K $2.0M
1713 GRANITE REAL ESTATE INVESTME GRT.UN 0.00% 31.31K $2.0M
1714 NEUREN PHARMACEUTICALS LTD NEU.AX 0.00% 125.81K $2.0M
1715 HANG LUNG PROPERTIES LTD 0101.HK 0.00% 2.18M $2.0M
1716 CHOICE PROPERTIES REIT CHP.UN 0.00% 179.87K $2.0M
1717 COSMAX INC A192820 0.00% 9.69K $2.0M
1718 KOLON INDUSTRIES INC A120110 0.00% 50.66K $2.0M
1719 INTERNATIONAL WORKPLACE GROU IWG 0.00% 820.43K $2.0M
1720 INFRASTRUTTURE WIRELESS ITAL INW 0.00% 274.86K $2.0M
1721 L+C BIO CO LTD A290650 0.00% 53.13K $2.0M
1722 LG CNS CO LTD A064400 0.00% 38.00K $2.0M
1723 MESOBLAST LTD MSB.AX 0.00% 1.19M $2.0M
1724 DETERRA ROYALTIES LTD DRR.AX 0.00% 652.29K $2.0M
1725 ORACLE CORP JAPAN 4716.T 0.00% 34.20K $2.0M
1726 CJ CHEILJEDANG CORP A097950 0.00% 14.71K $2.0M
1727 MITSUI FUDOSAN ACCOMMODATION 3226.T 0.00% 2.60K $2.0M
1728 SAMSUNG EPISHOLDINGS CO LTD 0126Z0.KS 0.00% 7.50K $2.0M
1729 ELECTROLUX PROFESSIONAL AB B 0.00% 393.93K $2.0M
1730 LANCASHIRE HOLDINGS LTD LRE 0.00% 237.53K $2.0M
1731 CKD CORP 6407.T 0.00% 56.70K $2.0M
1732 HYUNDAI STEEL CO A004020 0.00% 90.64K $2.0M
1733 NIPPON KAYAKU CO LTD 4272.T 0.00% 151.40K $2.0M
1734 HUSQVARNA AB B SHS 0.00% 496.28K $2.0M
1735 ASMODEE GROUP AB B ASMDEE 0.00% 120.87K $1.9M
1736 CELLEBRITE DI LTD CLBT 0.00% 173.60K $1.9M
1737 NEINOR HOMES SA HOME 0.00% 104.30K $1.9M
1738 HAZAMA ANDO CORP 1719.T 0.00% 162.50K $1.9M
1739 CIE AUTOMOTIVE SA CIE 0.00% 64.69K $1.9M
1740 BIC CAMERA INC 3048.T 0.00% 170.50K $1.9M
1741 HANWHA ENGINE CO LTD A082740 0.00% 56.09K $1.9M
1742 PREMIUM BRANDS HOLDINGS CORP PBH.TO 0.00% 33.35K $1.9M
1743 KANEMATSU CORP 8020.T 0.00% 140.00K $1.9M
1744 MABUCHI MOTOR CO LTD 6592.T 0.00% 171.60K $1.9M
1745 DEUTZ AG DEZ 0.00% 141.98K $1.9M
1746 FAGRON FAGR 0.00% 72.73K $1.9M
1747 HANCOM INC A030520 0.00% 149.39K $1.9M
1748 LG CHEM LTD PREFERENCE A051915 0.00% 22.24K $1.9M
1749 SHIBAURA MECHATRONICS CORP 6590.T 0.00% 73.80K $1.9M
1750 FOSUN INTERNATIONAL LTD 0656.HK 0.00% 2.79M $1.9M
1751 KERRY PROPERTIES LTD 0683.HK 0.00% 764.50K $1.9M
1752 DAICEL CORP 4202.T 0.00% 206.10K $1.9M
1753 GMO PAYMENT GATEWAY INC 3769.T 0.00% 31.60K $1.9M
1754 TELEKOM AUSTRIA AG TKA 0.00% 159.08K $1.9M
1755 POSTNL NV PNL 0.00% 1.82M $1.9M
1756 HPSP CO LTD A403870 0.00% 53.51K $1.9M
1757 AFRY AB AFRY.ST 0.00% 171.81K $1.9M
1758 TEKSCEND PHOTOMASK CORP 429A.T 0.00% 79.60K $1.9M
1759 HARIM CO LTD A136480 0.00% 969.96K $1.9M
1760 VISTRY GROUP PLC VTY 0.00% 438.23K $1.9M
1761 GREENCORE GROUP PLC GNC 0.00% 511.48K $1.9M
1762 ELEKTA AB B SHS 0.00% 314.13K $1.8M
1763 GREGGS PLC GRG 0.00% 72.25K $1.8M
1764 KOLMAR KOREA CO LTD A161890 0.00% 17.12K $1.8M
1765 REDCARE PHARMACY NV RDC 0.00% 25.45K $1.8M
1766 DNO ASA DNO 0.00% 955.78K $1.8M
1767 TODA CORP 1860.T 0.00% 191.00K $1.8M
1768 NONGSHIM CO LTD A004370 0.00% 5.57K $1.8M
1769 TECAN GROUP AG REG TECN.SW 0.00% 7.53K $1.8M
1770 NETMARBLE CORP A251270 0.00% 67.67K $1.8M
1771 H H INTERNATIONAL A/S B HH.CO 0.00% 109.99K $1.8M
1772 BRIGHTSTAR LOTTERY PLC BRSL 0.00% 155.51K $1.8M
1773 RISO KYOIKU GROUP CORP 4714.T 0.00% 1.38M $1.8M
1774 KUMHO PETROCHEMICAL CO LTD A011780 0.00% 20.75K $1.8M
1775 LANXESS AG LXS 0.00% 109.89K $1.8M
1776 CAPITALAND INDIA TRUST CY6U.SI 0.00% 2.32M $1.8M
1777 NTN CORP 6472.T 0.00% 766.90K $1.8M
1778 NIPRO CORP 8086.T 0.00% 181.30K $1.8M
1779 IMMATICS NV IMTX 0.00% 194.15K $1.8M
1780 ALSO HOLDING AG REG ALSN.SW 0.00% 7.73K $1.8M
1781 TMC THE METALS CO INC TMC 0.00% 361.63K $1.8M
1782 TAIYO HOLDINGS CO LTD 4626.T 0.00% 60.00K $1.8M
1783 OTOKI CORP A007310 0.00% 7.48K $1.8M
1784 JAPAN EXCELLENT INC 8987.T 0.00% 2.03K $1.8M
1785 DENISON MINES CORP DML.TO 0.00% 481.38K $1.8M
1786 UACJ CORP 5741.T 0.00% 120.00K $1.8M
1787 SUMITOMO WAREHOUSE CO LTD 9303.T 0.00% 68.00K $1.8M
1788 NEWRIVER REIT PLC NRR 0.00% 1.58M $1.8M
1789 OCI HOLDINGS CO LTD A010060 0.00% 8.93K $1.8M
1790 TAESUNG CO LTD A323280 0.00% 49.40K $1.8M
1791 VISIONAL INC 4194.T 0.00% 30.00K $1.8M
1792 RELO GROUP INC 8876.T 0.00% 128.20K $1.8M
1793 MIPS AB MIPS.ST 0.00% 45.52K $1.8M
1794 SWIRE PACIFIC LTD CL B 0087.HK 0.00% 892.50K $1.7M
1795 CHARTER HALL LONG WALE REIT CLW.AX 0.00% 690.00K $1.7M
1796 HOKKAIDO ELECTRIC POWER CO 9509.T 0.00% 258.90K $1.7M
1797 CJ CGV CO LTD A079160 0.00% 461.27K $1.7M
1798 RIGAKU HOLDINGS CORP 268A.T 0.00% 164.90K $1.7M
1799 HAKUHODO DY HOLDINGS INC 2433.T 0.00% 206.60K $1.7M
1800 SCHAEFFLER AG SHA0 0.00% 196.54K $1.7M
1801 ENAV SPA ENAV 0.00% 291.36K $1.7M
1802 NIHON KOHDEN CORP 6849.T 0.00% 182.40K $1.7M
1803 BOSS ENERGY LTD BOE.AX 0.00% 1.37M $1.7M
1804 HAYS PLC HAS 0.00% 1.66M $1.7M
1805 BWP PROPERTY GROUP LTD BWP.AX 0.00% 649.51K $1.7M
1806 IINO KAIUN KAISHA LTD 9119.T 0.00% 158.00K $1.7M
1807 SUMITOMO PHARMA CO LTD 4506.T 0.00% 189.90K $1.7M
1808 MAPLE LEAF FOODS INC MFI.TO 0.00% 88.39K $1.7M
1809 KEPCO ENGINEERING + CONSTRUC A052690 0.00% 21.91K $1.7M
1810 ABLBIO INC A298380 0.00% 31.70K $1.7M
1811 FNAC DARTY SA FNAC 0.00% 41.96K $1.7M
1812 MELEXIS NV MELE 0.00% 22.22K $1.7M
1813 ATRESMEDIA CORP DE MEDIOS DE A3M 0.00% 274.80K $1.7M
1814 BALLARD POWER SYSTEMS INC BLDP.TO 0.00% 723.36K $1.7M
1815 DAEJOO ELECTRONIC MATERIALS A078600 0.00% 26.29K $1.7M
1816 SEVEN BANK LTD 8410.T 0.00% 788.30K $1.7M
1817 JUROKU FINANCIAL GROUP INC 7380.T 0.00% 105.00K $1.6M
1818 HULIC REIT INC 3295.T 0.00% 1.70K $1.6M
1819 GIMV NV GIMB 0.00% 31.92K $1.6M
1820 ESR REIT 9A4U.SI 0.00% 901.35K $1.6M
1821 JUMIA TECHNOLOGIES AG ADR JMIA 0.00% 239.09K $1.6M
1822 ENCE ENERGIA Y CELULOSA SA ENC 0.00% 551.65K $1.6M
1823 ALONY HETZ PROPERTIES + INV ALHE 0.00% 157.19K $1.6M
1824 VERMILION ENERGY INC VET.TO 0.00% 133.43K $1.6M
1825 MISTO HOLDINGS CORP A081660 0.00% 53.97K $1.6M
1826 MUSASHI SEIMITSU INDUSTRY CO 7220.T 0.00% 80.70K $1.6M
1827 OBRASCON HUARTE LAIN S.A. OHLA 0.00% 3.38M $1.6M
1828 YUE YUEN INDUSTRIAL HLDG 0551.HK 0.00% 921.50K $1.6M
1829 ERG SPA ERG 0.00% 63.12K $1.6M
1830 SHIKUN + BINUI LTD SKBN 0.00% 288.80K $1.6M
1831 PANDOX AB 0.00% 88.18K $1.6M
1832 EUGLENA CO LTD 2931.T 0.00% 718.70K $1.6M
1833 SMARTCENTRES REAL ESTATE INV SRU.UN 0.00% 80.09K $1.6M
1834 GS RETAIL CO LTD A007070 0.00% 84.11K $1.6M
1835 GREAT PORTLAND ESTATES PLC GPE 0.00% 338.87K $1.6M
1836 JUNGHEINRICH PRFD JUN3 0.00% 55.04K $1.6M
1837 INSTALCO AB INSTAL.ST 0.00% 410.08K $1.6M
1838 RAMI LEVY CHAIN STORES HASHI RMLI 0.00% 13.68K $1.6M
1839 DORMAKABA HOLDING AG DOKA.SW 0.00% 22.01K $1.6M
1840 DL E+C CO LTD A375500 0.00% 31.40K $1.6M
1841 AEON FINANCIAL SERVICE CO LT 8570.T 0.00% 147.00K $1.6M
1842 BLUE ZONES HOLDINGS CO LTD 417A.T 0.00% 135.50K $1.6M
1843 ST GALLER KANTONALBANK A REG SGKN.SW 0.00% 1.96K $1.6M
1844 SWEDISH KRONA 0.00% 15.04M $1.6M
1845 PROTECTOR FORSIKRING ASA PROT 0.00% 30.27K $1.6M
1846 YOULCHON CHEMICAL CO LTD A008730 0.00% 141.13K $1.6M
1847 CANCOM SE COK 0.00% 63.27K $1.6M
1848 MFE MEDIAFOREUROPE NV CL A MFEA 0.00% 513.90K $1.6M
1849 EZAKI GLICO CO LTD 2206.T 0.00% 48.50K $1.6M
1850 DOOSAN FUEL CELL CO LTD A336260 0.00% 51.54K $1.6M
1851 VORONOI INC A310210 0.00% 12.97K $1.6M
1852 LEROY SEAFOOD GROUP ASA LSG 0.00% 329.42K $1.6M
1853 GRAND CITY PROPERTIES GYC 0.00% 143.04K $1.6M
1854 FUGRO NV FUR 0.00% 148.39K $1.5M
1855 NEXON GAMES CO LTD A225570 0.00% 201.41K $1.5M
1856 QT GROUP OYJ QTCOM 0.00% 37.66K $1.5M
1857 MELIA HOTELS INTERNATIONAL MEL 0.00% 127.94K $1.5M
1858 CARL ZEISS MEDITEC AG BR AFX 0.00% 41.32K $1.5M
1859 LINEA DIRECTA ASEGURADORA SA LDA 0.00% 985.81K $1.5M
1860 ORION CORP/REPUBLIC OF KOREA A271560 0.00% 16.82K $1.5M
1861 FORVIA FRVIA 0.00% 150.75K $1.5M
1862 CIBUS REAL ESTATE AB PUBL CIBUS.ST 0.00% 101.47K $1.5M
1863 TOKYO KIRABOSHI FINANCIAL GR 7173.T 0.00% 144.00K $1.5M
1864 TRAVIS PERKINS PLC TPK 0.00% 170.95K $1.5M
1865 WIZZ AIR HOLDINGS PLC WIZZ 0.00% 101.68K $1.5M
1866 TAKEUCHI MFG CO LTD 6432.T 0.00% 31.70K $1.5M
1867 ARB CORP LTD ARB.AX 0.00% 97.25K $1.5M
1868 NEXI SPA NEXI 0.00% 288.35K $1.5M
1869 HUONS CO LTD A243070 0.00% 83.19K $1.5M
1870 RFHIC CORP A218410 0.00% 44.01K $1.5M
1871 HEXATRONIC GROUP AB HTRO.ST 0.00% 359.75K $1.5M
1872 PFEIFFER VACUUM TECHNOLOGY PFV 0.00% 7.77K $1.5M
1873 GERRESHEIMER AG GXI 0.00% 49.17K $1.5M
1874 LAKEFRONT BIOTHERAPEUTICS LKFT 0.00% 49.25K $1.5M
1875 GNI GROUP LTD 2160.T 0.00% 85.30K $1.5M
1876 PROSEGUR CASH SA CASH 0.00% 1.90M $1.4M
1877 CJ CORP A001040 0.00% 15.70K $1.4M
1878 NOJIMA CORP 7419.T 0.00% 180.00K $1.4M
1879 SILICON2 CO LTD A257720 0.00% 38.44K $1.4M
1880 HANMI SCIENCE CO LTD A008930 0.00% 43.01K $1.4M
1881 FIELMANN GROUP AG FIE 0.00% 31.33K $1.4M
1882 LENDLEASE GROUP LLC.AX 0.00% 680.46K $1.4M
1883 INABA DENKI SANGYO CO LTD 9934.T 0.00% 75.80K $1.4M
1884 LEONTEQ AG LEON.SW 0.00% 54.99K $1.4M
1885 SUMITOMO BAKELITE CO LTD 4203.T 0.00% 30.60K $1.4M
1886 OC OERLIKON CORP AG REG OERL.SW 0.00% 223.19K $1.4M
1887 LOTTE CORP A004990 0.00% 83.57K $1.4M
1888 HANSSEM CO LTD A009240 0.00% 49.80K $1.4M
1889 WORKSPACE GROUP PLC WKP 0.00% 282.41K $1.4M
1890 HUGEL INC A145020 0.00% 7.76K $1.4M
1891 AMOT INVESTMENTS LTD AMOT 0.00% 211.27K $1.4M
1892 MELCO RESORTS + ENTERT ADR MLCO 0.00% 253.11K $1.4M
1893 SUNDRUG CO LTD 9989.T 0.00% 58.60K $1.4M
1894 SOTETSU HOLDINGS INC 9003.T 0.00% 83.20K $1.4M
1895 HAN KUK CARBON CO LTD A017960 0.00% 82.45K $1.4M
1896 HL MANDO CO LTD A204320 0.00% 37.07K $1.4M
1897 METALS X LTD MLX.AX 0.00% 1.01M $1.4M
1898 OESTERREICHISCHE POST AG POST 0.00% 37.69K $1.4M
1899 INTEGRAFIN HOLDINGS PLC IHP 0.00% 251.87K $1.4M
1900 DAETWYLER HOLDING AG BR DAE.SW 0.00% 8.10K $1.3M
1901 TECHWING INC A089030 0.00% 36.96K $1.3M
1902 SK BIOPHARMACEUTICALS CO LTD A326030 0.00% 22.16K $1.3M
1903 KEPPEL REIT K71U.SI 0.00% 1.92M $1.3M
1904 PCCW LTD 0008.HK 0.00% 1.98M $1.3M
1905 TOWA CORP 6315.T 0.00% 91.50K $1.3M
1906 HANSOL CHEMICAL CO LTD A014680 0.00% 9.03K $1.3M
1907 AMPLIFON SPA AMP 0.00% 96.40K $1.3M
1908 ASIANA AIRLINES A020560 0.00% 260.16K $1.3M
1909 LIGHTSPEED COMMERCE INC LSPD.TO 0.00% 124.78K $1.3M
1910 TOHO HOLDINGS CO LTD 8129.T 0.00% 53.50K $1.3M
1911 POLYNOVO LTD PNV.AX 0.00% 1.75M $1.3M
1912 IMERYS SA NK 0.00% 46.95K $1.3M
1913 RADWARE LTD RDWR 0.00% 47.01K $1.3M
1914 TOA CORP 1885.T 0.00% 100.00K $1.3M
1915 GOLDWIN INC 8111.T 0.00% 94.80K $1.3M
1916 POSCO DX CO LTD A022100 0.00% 86.18K $1.3M
1917 MAGELLAN FINANCIAL GROUP LTD MFG.AX 0.00% 167.23K $1.3M
1918 OSAKA SODA CO LTD 4046.T 0.00% 100.00K $1.3M
1919 NEW ZEALAND DOLLAR 0.00% 2.15M $1.3M
1920 1+1 AG 1U1 0.00% 49.24K $1.3M
1921 LIFENET INSURANCE CO 7157.T 0.00% 135.00K $1.3M
1922 BOOZT AB BOOZT.ST 0.00% 78.67K $1.3M
1923 TRUSCO NAKAYAMA CORP 9830.T 0.00% 85.80K $1.3M
1924 JM AB JM.ST 0.00% 96.37K $1.3M
1925 VTECH HOLDINGS LTD 0303.HK 0.00% 198.90K $1.3M
1926 BFF BANK SPA BFF 0.00% 345.99K $1.3M
1927 VICTREX PLC VCT 0.00% 111.91K $1.3M
1928 PROXIMUS PROX 0.00% 171.90K $1.3M
1929 HOKURIKU ELECTRIC POWER CO 9505.T 0.00% 204.60K $1.3M
1930 OPMOBILITY OPM 0.00% 86.37K $1.3M
1931 SIXT SE PRFD SIX3 0.00% 17.79K $1.3M
1932 YONEX CO LTD 7906.T 0.00% 70.00K $1.3M
1933 CCI GROUP INC 7381.T 0.00% 165.55K $1.3M
1934 BUDWEISER BREWING CO APAC LT 1876.HK 0.00% 1.54M $1.2M
1935 MITSUI SOKO HOLDINGS CO LTD 9302.T 0.00% 60.00K $1.2M
1936 CHUGOKU ELECTRIC POWER CO 9504.T 0.00% 202.70K $1.2M
1937 AIRPORT CITY LTD ARPT 0.00% 72.75K $1.2M
1938 NINETY ONE PLC N91 0.00% 432.94K $1.2M
1939 DOOSAN ROBOTICS INC A454910 0.00% 24.41K $1.2M
1940 GAV YAM LANDS CORP LTD GVYM 0.00% 102.78K $1.2M
1941 DAH SING BANKING GROUP LTD 2356.HK 0.00% 658.12K $1.2M
1942 ICADE ICAD 0.00% 55.19K $1.2M
1943 POLYPEPTIDE GROUP AG PPGN.SW 0.00% 22.30K $1.2M
1944 CANADIAN SOLAR INC CSIQ 0.00% 85.39K $1.2M
1945 UBISOFT ENTERTAINMENT UBI 0.00% 187.30K $1.2M
1946 PAN OCEAN CO LTD A028670 0.00% 261.90K $1.2M
1947 MONEY FORWARD INC 3994.T 0.00% 31.20K $1.2M
1948 VITROLIFE AB VITR.ST 0.00% 119.63K $1.2M
1949 WEB TRAVEL GROUP LTD WEB.AX 0.00% 451.22K $1.2M
1950 SANBIO CO LTD 4592.T 0.00% 187.50K $1.2M
1951 DONGJIN SEMICHEM CO LTD A005290 0.00% 38.02K $1.2M
1952 BEACH ENERGY LTD BPT.AX 0.00% 1.89M $1.2M
1953 SOURCENEXT CORP 4344.T 0.00% 1.61M $1.2M
1954 SIXT SE SIX2 0.00% 14.09K $1.2M
1955 CELLTRION PHARM INC A068760 0.00% 39.37K $1.2M
1956 FLETCHER BUILDING LTD FBU 0.00% 512.06K $1.2M
1957 TOKMANNI GROUP CORP TOKMAN 0.00% 139.40K $1.2M
1958 SUEDZUCKER AG SZU 0.00% 80.57K $1.2M
1959 DIC CORP 4631.T 0.00% 36.70K $1.2M
1960 TEMPLE + WEBSTER GROUP LTD TPW.AX 0.00% 331.49K $1.2M
1961 NETCOMPANY GROUP AS NETC.CO 0.00% 23.83K $1.2M
1962 POONGSAN CORP A103140 0.00% 18.49K $1.2M
1963 ELECTRA LTD ELTR 0.00% 32.32K $1.2M
1964 H+R REAL ESTATE INV REIT UTS HR.UN 0.00% 159.45K $1.2M
1965 EREX CO LTD 9517.T 0.00% 212.70K $1.2M
1966 CORE LITHIUM LTD CXO.AX 0.00% 4.27M $1.2M
1967 TELEVISION FRANCAISE (T.F.1) TFI 0.00% 141.28K $1.1M
1968 TSUMURA + CO 4540.T 0.00% 48.50K $1.1M
1969 DOMINO S PIZZA ENTERPRISES L DMP.AX 0.00% 80.02K $1.1M
1970 SM ENTERTAINMENT CO LTD A041510 0.00% 21.91K $1.1M
1971 CHEMOMETEC A/S CHEMM.CO 0.00% 14.55K $1.1M
1972 MIRAE ASSET SECURITIES 2P A00680K 0.00% 135.67K $1.1M
1973 DUERR AG DUE 0.00% 55.08K $1.1M
1974 NORDEA BANK ABP 0.00% 54.43K $1.1M
1975 BHI CO LTD A083650 0.00% 24.08K $1.1M
1976 NORMA GROUP SE NOEJ 0.00% 47.06K $1.1M
1977 HANWA CO LTD 8078.T 0.00% 93.50K $1.1M
1978 CHEIL WORLDWIDE INC A030000 0.00% 79.21K $1.1M
1979 SILVER MINES LTD SVL.AX 0.00% 8.97M $1.1M
1980 TSUBURAYA FIELDS HOLDINGS IN 2767.T 0.00% 68.20K $1.1M
1981 VSTECS HOLDINGS LTD 0856.HK 0.00% 882.00K $1.1M
1982 LOTTE SHOPPING CO A023530 0.00% 14.83K $1.1M
1983 MEDLEY INC 4480.T 0.00% 61.50K $1.1M
1984 CLOSE BROTHERS GROUP PLC CBG 0.00% 179.94K $1.0M
1985 CHOW SANG SANG HLDG 0116.HK 0.00% 508.00K $1.0M
1986 RYMAN HEALTHCARE LTD RYM 0.00% 854.97K $1.0M
1987 PHARMICELL CO LTD A005690 0.00% 133.39K $1.0M
1988 FINDEX INC 3649.T 0.00% 188.90K $1.0M
1989 JADE GROUP INC 3558.T 0.00% 90.60K $1.0M
1990 FORTUNE REIT 0778.HK 0.00% 1.78M $1.0M
1991 DONGSUH COMPANIES INC A026960 0.00% 54.62K $1.0M
1992 F+F CO LTD / NEW A383220 0.00% 22.53K $1.0M
1993 JAPAN ELEVATOR SERVICE HOLDI 6544.T 0.00% 102.40K $1.0M
1994 KANADEVIA CORP 7004.T 0.00% 134.10K $1.0M
1995 NOK CORP 7240.T 0.00% 53.70K $1.0M
1996 HANON SYSTEMS A018880 0.00% 396.71K $1.0M
1997 COMPUGEN LTD CGEN 0.00% 349.46K $997.1K
1998 GENUIT GROUP PLC GEN 0.00% 251.87K $995.4K
1999 SOLUM CO LTD A248070 0.00% 104.81K $993.3K
2000 BASE INC 4477.T 0.00% 511.10K $992.0K
2001 IRESS LTD IRE.AX 0.00% 222.50K $987.8K
2002 COSCO SHIPPING INTERNATIONAL F83.SI 0.00% 11.16M $987.0K
2003 PREMIER INVESTMENTS LTD PMV.AX 0.00% 116.75K $983.6K
2004 GODO STEEL LTD 5410.T 0.00% 52.00K $976.9K
2005 CARGOJET INC CJT.TO 0.00% 15.79K $974.4K
2006 INMODE LTD INMD 0.00% 65.00K $971.0K
2007 SEEGENE INC A096530 0.00% 42.95K $968.9K
2008 BGF RETAIL CO LTD A282330 0.00% 9.28K $967.3K
2009 TRUECALLER AB B 0.00% 440.29K $961.8K
2010 EMBRACER GROUP AB 0.00% 123.01K $959.7K
2011 INVISIO AB IVSO.ST 0.00% 39.49K $958.9K
2012 AUTOSTORE HOLDINGS LTD AUTO 0.00% 557.89K $953.8K
2013 DEUTSCHE PFANDBRIEFBANK AG PBB 0.00% 246.00K $949.6K
2014 STRATASYS LTD SSYS 0.00% 120.58K $947.9K
2015 CHRISTIAN DIOR SE CDI 0.00% 2.01K $946.7K
2016 MEDMIX AG MEDX.SW 0.00% 88.19K $941.2K
2017 KANGWON LAND INC A035250 0.00% 90.55K $939.1K
2018 ATRIUM LJUNGBERG AB B SHS ATRLJB 0.00% 346.50K $934.5K
2019 CHINA TOBACCO INTERNATIONAL 6055.HK 0.00% 288.00K $934.1K
2020 ITOHAM YONEKYU HOLDINGS INC 2296.T 0.00% 29.10K $932.0K
2021 HYUNDAI BIOSCIENCE CO LTD A048410 0.00% 197.60K $928.6K
2022 CECONOMY AG NEW CECV 0.00% 195.49K $925.3K
2023 OSG CORP 6136.T 0.00% 39.50K $919.4K
2024 DAIWABO HOLDINGS CO LTD 3107.T 0.00% 40.00K $919.0K
2025 KAKEN PHARMACEUTICAL CO LTD 4521.T 0.00% 36.90K $917.7K
2026 AUDAX RENOVABLES SA ADX 0.00% 654.81K $916.0K
2027 METSA BOARD OYJ B METSB 0.00% 230.09K $909.3K
2028 TRAINLINE PLC TRN 0.00% 337.36K $899.2K
2029 PEARL ABYSS CORP A263750 0.00% 37.68K $895.9K
2030 TEAMVIEWER SE TMV 0.00% 116.27K $892.1K
2031 BROOKFIELD WEALTH SOLUTIONS BNT.TO 0.00% 21.18K $890.4K
2032 VGP VGP 0.00% 9.38K $890.0K
2033 MIRAIT ONE CORP 1417.T 0.00% 39.70K $890.0K
2034 PAX GLOBAL TECHNOLOGY LTD 0327.HK 0.00% 1.66M $882.5K
2035 E MART INC A139480 0.00% 16.89K $882.5K
2036 LINK MOBILITY GROUP HOLDING LINK 0.00% 321.56K $882.0K
2037 LITHIUM AMERICAS CORP LAC.TO 0.00% 272.12K $877.8K
2038 AKITA BANK LTD/THE 8343.T 0.00% 16.55K $877.4K
2039 SALVATORE FERRAGAMO SPA SFER 0.00% 80.50K $874.5K
2040 RESORTTRUST INC 4681.T 0.00% 74.20K $864.4K
2041 HUTCHMED CHINA ADR HCM 0.00% 70.75K $862.3K
2042 KNT CT HOLDINGS CO LTD 9726.T 0.00% 71.30K $862.3K
2043 KOREA GAS CORPORATION A036460 0.00% 32.59K $860.2K
2044 LUNIT INC A328130 0.00% 130.49K $859.4K
2045 HEMNET GROUP AB HEM.ST 0.00% 79.60K $857.3K
2046 KOLON TISSUEGENE INC KDR A950160 0.00% 60.36K $855.6K
2047 JYP ENTERTAINMENT CORP A035900 0.00% 30.30K $855.2K
2048 NISHIMATSU CONSTRUCTION CO 1820.T 0.00% 24.60K $850.1K
2049 TELECOM PLUS PLC TEP 0.00% 72.78K $848.5K
2050 PEPTIDREAM INC 4587.T 0.00% 121.80K $847.2K
2051 CS WIND CORP A112610 0.00% 24.50K $844.3K
2052 HELLOFRESH SE HFG 0.00% 259.76K $843.0K
2053 KEPCO PLANT SERVICE + ENGINE A051600 0.00% 25.31K $839.6K
2054 SHURGARD SELF STORAGE LTD SHUR 0.00% 30.23K $832.9K
2055 DOMETIC GROUP AB DOM.ST 0.00% 347.65K $832.1K
2056 ARE HOLDINGS INC 5857.T 0.00% 33.20K $831.2K
2057 FUYO GENERAL LEASE CO LTD 8424.T 0.00% 30.00K $829.6K
2058 MGM CHINA HOLDINGS LTD 2282.HK 0.00% 639.20K $823.7K
2059 OGAKI KYORITSU BANK LTD/THE 8361.T 0.00% 16.55K $820.3K
2060 HUONS GLOBAL CO LTD A084110 0.00% 49.84K $817.0K
2061 KOTOBUKI SPIRITS CO LTD 2222.T 0.00% 48.00K $816.5K
2062 MARSHALLS PLC MSLH 0.00% 368.98K $816.5K
2063 S+S TECH CORP A101490 0.00% 26.29K $815.7K
2064 VIRIDIEN VIRI 0.00% 8.20K $815.7K
2065 OSCOTEC INC A039200 0.00% 30.43K $814.0K
2066 IDORSIA LTD IDIA.SW 0.00% 117.79K $812.3K
2067 COSMOAM+T CO LTD A005070 0.00% 28.65K $810.7K
2068 ADVANCED NANO PRODUCTS CO LT A121600 0.00% 23.43K $809.8K
2069 NIPPON GAS CO LTD 8174.T 0.00% 43.50K $808.1K
2070 C+C GROUP PLC CCR 0.00% 618.72K $806.0K
2071 SENKO GROUP HOLDINGS CO LTD 9069.T 0.00% 56.60K $804.8K
2072 NIPPON SHOKUBAI CO LTD 4114.T 0.00% 48.80K $804.0K
2073 PATRIZIA SE PAT 0.00% 92.59K $801.4K
2074 STORSKOGEN GROUP AB B 0.00% 709.96K $800.6K
2075 MEDY TOX INC A086900 0.00% 16.36K $795.6K
2076 ECOPRO MATERIALS CO LTD A450080 0.00% 30.69K $793.5K
2077 HYSAN DEVELOPMENT CO 0014.HK 0.00% 377.84K $792.6K
2078 MODERN DENTAL GROUP LTD 3600.HK 0.00% 753.97K $792.2K
2079 HD HYUNDAI MARINE ENGINE A071970 0.00% 21.17K $791.4K
2080 ELEVRA LITHIUM LTD ELV.AX 0.00% 121.96K $787.2K
2081 BARCO N.V. BAR 0.00% 87.54K $784.6K
2082 TOWNGAS SMART ENERGY CO LTD 1083.HK 0.00% 2.00M $778.8K
2083 HANSA BIOPHARMA AB HNSA.ST 0.00% 170.82K $776.2K
2084 TPG TELECOM LTD TPG.AX 0.00% 282.99K $775.0K
2085 UBE CORP 4208.T 0.00% 35.10K $773.3K
2086 CHALICE MINING LTD CHN.AX 0.00% 747.43K $768.3K
2087 AKER SOLUTIONS ASA AKSO 0.00% 166.65K $765.7K
2088 TESSENDERLO GROUP TESB 0.00% 31.03K $748.5K
2089 MITSUI HIGH TEC INC 6966.T 0.00% 127.50K $746.4K
2090 USHIO INC 6925.T 0.00% 30.60K $744.8K
2091 ODDITY TECH LTD CL A ODD 0.00% 52.65K $743.1K
2092 WORLDLINE SA WLN 0.00% 51.26K $743.1K
2093 HYUNDAI WIA CORP A011210 0.00% 16.59K $730.9K
2094 MFE MEDIAFOREUROPE NV CL B MFEB 0.00% 172.89K $729.6K
2095 CAPITA PLC CPI 0.00% 186.20K $728.0K
2096 REPROCELL INC 4978.T 0.00% 786.40K $726.7K
2097 TOEI ANIMATION CO LTD 4816.T 0.00% 38.50K $724.6K
2098 OKUMA CORP 6103.T 0.00% 23.60K $722.5K
2099 WH SMITH PLC SMWH 0.00% 127.57K $717.5K
2100 TERRASKY CO LTD 3915.T 0.00% 49.40K $701.9K
2101 GESTAMP AUTOMOCION SA GEST 0.00% 203.49K $697.7K
2102 FIVERR INTERNATIONAL LTD FVRR 0.00% 73.09K $696.1K
2103 JEOL LTD 6951.T 0.00% 15.30K $681.8K
2104 WACOAL HOLDINGS CORP 3591.T 0.00% 25.30K $676.3K
2105 KUREHA CORP 4023.T 0.00% 24.00K $675.5K
2106 MORINAGA + CO LTD 2201.T 0.00% 41.80K $675.5K
2107 SHARP CORP 6753.T 0.00% 173.70K $675.1K
2108 GMO INTERNET GROUP INC 9449.T 0.00% 26.40K $670.4K
2109 CINEPLEX INC CGX.TO 0.00% 72.81K $667.5K
2110 MEITEC GROUP HOLDINGS INC 9744.T 0.00% 31.50K $662.1K
2111 NAKANISHI INC 7716.T 0.00% 32.70K $654.1K
2112 LOTTE CHEMICAL CORP A011170 0.00% 16.60K $653.7K
2113 PHARMA FOODS INTERNATIONAL 2929.T 0.00% 167.90K $649.9K
2114 TOEI CO LTD 9605.T 0.00% 17.00K $647.4K
2115 ARYZTA AG ARYN.SW 0.00% 12.57K $645.3K
2116 NHN CORP A181710 0.00% 13.57K $642.3K
2117 HEIWA REAL ESTATE REIT INC 8966.T 0.00% 772 $641.9K
2118 FERROGLOBE PLC GSM 0.00% 161.04K $641.9K
2119 TOAGOSEI CO LTD 4045.T 0.00% 55.10K $640.2K
2120 TAKUMA CO LTD 6013.T 0.00% 33.40K $640.2K
2121 GC BIOPHARMA CORP A006280 0.00% 7.06K $639.8K
2122 ETERNAL HOSPITALITY GROUP CO 3193.T 0.00% 69.60K $635.6K
2123 PARK24 CO LTD 4666.T 0.00% 50.10K $631.8K
2124 PRIMARIS REIT PMZ.UN 0.00% 39.72K $620.9K
2125 PHARMING GROUP NV PHARM 0.00% 530.36K $618.8K
2126 LENZING AG LNZ 0.00% 22.88K $607.9K
2127 CLASSYS INC A214150 0.00% 26.01K $606.2K
2128 FUNAI SOKEN HOLDINGS INC 9757.T 0.00% 82.80K $605.8K
2129 WYNN MACAU LTD 1128.HK 0.00% 817.20K $605.4K
2130 TULLOW OIL PLC TLW 0.00% 2.16M $605.0K
2131 VITEC SOFTWARE GROUP AB B SH 0.00% 22.09K $604.5K
2132 SHIFT INC 3697.T 0.00% 102.00K $600.3K
2133 CBRAIN A/S CBRAIN.CO 0.00% 48.13K $599.1K
2134 AMOREPACIFIC HOLDINGS CORP A002790 0.00% 31.00K $597.0K
2135 JAFCO GROUP CO LTD 8595.T 0.00% 41.10K $597.0K
2136 SK BIOSCIENCE CO LTD A302440 0.00% 22.04K $593.6K
2137 CHINA TRADITIONAL CHINESE ME 0570.HK 0.00% 3.30M $583.1K
2138 ENGHOUSE SYSTEMS LTD ENGH.TO 0.00% 47.18K $581.0K
2139 KAKAOPAY CORP A377300 0.00% 17.49K $578.5K
2140 FUJI OIL CO LTD /OSAKA 2607.T 0.00% 20.00K $577.2K
2141 YIT OYJ YIT 0.00% 149.81K $576.8K
2142 PILOT CORP 7846.T 0.00% 45.60K $576.4K
2143 ASTON MARTIN LAGONDA GLOBAL AML 0.00% 1.22M $572.6K
2144 HYPOPORT SE HYQ 0.00% 5.98K $572.2K
2145 CHINA RUYI HOLDINGS LTD 0136.HK 0.00% 3.06M $571.8K
2146 LITHIUM ARGENTINA AG LAR.TO 0.00% 85.04K $568.4K
2147 NEW WORLD DEVELOPMENT 0017.HK 0.00% 631.13K $566.8K
2148 AMANO CORP 6436.T 0.00% 23.00K $565.9K
2149 GRADIANT CORP A035080 0.00% 65.45K $564.2K
2150 VALNEVA SE VLA 0.00% 167.51K $562.6K
2151 FUTURE PLC FUTR 0.00% 134.27K $562.1K
2152 SHO BOND HOLDINGS CO LTD 1414.T 0.00% 70.40K $559.6K
2153 REALORD TECHNOLOGY CO LTD 1196.HK 0.00% 550.00K $558.4K
2154 KLN LOGISTICS GROUP LTD 0636.HK 0.00% 752.00K $556.7K
2155 SERIA CO LTD 2782.T 0.00% 20.10K $556.3K
2156 HMC CAPITAL LTD HMC.AX 0.00% 266.17K $555.0K
2157 NANKAI CO LTD 9044.T 0.00% 29.10K $554.2K
2158 KUSURI NO AOKI HOLDINGS CO L 3549.T 0.00% 21.00K $552.1K
2159 GS P+L CO LTD A499790 0.00% 19.31K $548.7K
2160 YOSHINOYA HOLDINGS CO LTD 9861.T 0.00% 22.60K $544.1K
2161 LOTTE FINE CHEMICAL CO LTD A004000 0.00% 16.52K $543.2K
2162 NIHON M+A CENTER HOLDINGS IN 2127.T 0.00% 125.30K $536.5K
2163 DUSKIN CO LTD 4665.T 0.00% 18.30K $534.8K
2164 NSD CO LTD 9759.T 0.00% 29.70K $534.0K
2165 ADVANCED PROCESS SYSTEMS COR A265520 0.00% 38.24K $534.0K
2166 EVOTEC SE EVT 0.00% 141.08K $532.7K
2167 SWEDENCARE AB SECARE.ST 0.00% 227.53K $532.7K
2168 KOGAN.COM LTD KGN.AX 0.00% 192.97K $525.6K
2169 NANO DIMENSION LTD ADR NNDM 0.00% 343.15K $525.2K
2170 DAISEKI CO LTD 9793.T 0.00% 21.72K $522.7K
2171 JMDC INC 4483.T 0.00% 24.40K $521.8K
2172 LOTTE ENERGY MATERIALS CORP A020150 0.00% 22.71K $520.6K
2173 SANKEN ELECTRIC CO LTD 6707.T 0.00% 11.10K $512.6K
2174 HANWHA MACHINERY + SERVICE H 0220W0 0.00% 70.84K $508.8K
2175 KOBAYASHI PHARMACEUTICAL CO 4967.T 0.00% 14.30K $507.1K
2176 ARCS CO LTD 9948.T 0.00% 21.60K $506.3K
2177 WICKES GROUP PLC WIX 0.00% 190.25K $505.0K
2178 STABILUS SE STM 0.00% 25.70K $505.0K
2179 DOCEBO INC DCBO.TO 0.00% 20.48K $504.6K
2180 TOYOTA BOSHOKU CORP 3116.T 0.00% 36.10K $503.4K
2181 LINDAB INTERNATIONAL AB LIAB.ST 0.00% 37.93K $502.9K
2182 NAGAWA CO LTD 9663.T 0.00% 15.70K $500.8K
2183 ABC MART INC 2670.T 0.00% 28.50K $499.2K
2184 BETTER COLLECTIVE A/S BETCO.ST 0.00% 39.65K $497.9K
2185 BHG GROUP AB BHG.ST 0.00% 243.30K $497.5K
2186 DCM HOLDINGS CO LTD 3050.T 0.00% 49.20K $495.8K
2187 CHAMPION REIT 2778.HK 0.00% 1.70M $487.8K
2188 DOCMORRIS AG DOCM.SW 0.00% 38.35K $487.0K
2189 DL HOLDINGS CO LTD A000210 0.00% 14.01K $484.1K
2190 AO WORLD PLC AO. 0.00% 376.06K $478.2K
2191 NXERA PHARMA CO LTD 4565.T 0.00% 68.70K $475.2K
2192 CJ LOGISTICS A000120 0.00% 8.95K $471.9K
2193 KATITAS CO LTD 8919.T 0.00% 20.30K $468.9K
2194 MILBON CO LTD 4919.T 0.00% 22.60K $466.4K
2195 FREEE KK 4478.T 0.00% 19.20K $464.3K
2196 VIMIAN GROUP AB VIMIAN.ST 0.00% 124.41K $461.8K
2197 H.U. GROUP HOLDINGS INC 4544.T 0.00% 20.00K $460.5K
2198 FIXSTARS CORP 3687.T 0.00% 33.90K $459.7K
2199 NORION BANK AB NORION.ST 0.00% 64.47K $455.9K
2200 GLORY LTD 6457.T 0.00% 15.00K $455.9K
2201 XVIVO PERFUSION AB XVIVO.ST 0.00% 15.56K $455.5K
2202 SK CHEMICALS CO LTD A285130 0.00% 12.67K $454.2K
2203 SYSTENA CORP 2317.T 0.00% 162.40K $450.0K
2204 KOEI TECMO HOLDINGS CO LTD 3635.T 0.00% 42.12K $448.4K
2205 TOKYU REIT INC 8957.T 0.00% 379 $440.8K
2206 NIHON PARKERIZING CO LTD 4095.T 0.00% 40.60K $440.4K
2207 ALCONIX CORP 3036.T 0.00% 20.30K $438.3K
2208 MITSUI FUDOSAN RETAIL FUND I 8964.T 0.00% 885 $437.4K
2209 SANSAN INC 4443.T 0.00% 32.40K $435.4K
2210 ACTIVIA PROPERTIES INC 3279.T 0.00% 507 $434.9K
2211 EUTELSAT COMMUNICATIONS ETL 0.00% 200.34K $433.7K
2212 SUNLIGHT REAL ESTATE INVEST 0435.HK 0.00% 1.54M $432.0K
2213 RAKUS CO LTD 3923.T 0.00% 62.60K $430.3K
2214 INTERROLL HOLDING AG REG INRN.SW 0.00% 220 $428.2K
2215 GLOBAL DOMINION ACCESS SA DOM 0.00% 133.36K $420.7K
2216 STILLFRONT GROUP AB SF.ST 0.00% 597.56K $420.2K
2217 TS TECH CO LTD 7313.T 0.00% 36.40K $419.4K
2218 THG PLC THG 0.00% 881.49K $416.5K
2219 FORBO HOLDING AG REG FORN.SW 0.00% 357 $414.8K
2220 STORAGE KING GROUP SKG.AX 0.00% 504.89K $413.1K
2221 SNDL INC SNDL 0.00% 301.64K $411.0K
2222 AEON REIT INVESTMENT CORP 3292.T 0.00% 545 $408.9K
2223 HITE JINRO CO LTD A000080 0.00% 36.98K $407.6K
2224 NIPPON SHINYAKU CO LTD 4516.T 0.00% 18.50K $407.6K
2225 LUK FOOK HOLDINGS INTL LTD 0590.HK 0.00% 132.00K $404.3K
2226 GRENKE AG GLJ 0.00% 31.33K $402.6K
2227 NINE ENTERTAINMENT CO HOLDIN NEC.AX 0.00% 578.57K $401.3K
2228 NISSEI ASB MACHINE CO LTD 6284.T 0.00% 7.30K $401.3K
2229 KMW CO LTD A032500 0.00% 38.44K $400.9K
2230 YG ENTERTAINMENT INC A122870 0.00% 14.13K $398.4K
2231 HECLA MINING CO HL 0.00% 18.77K $390.4K
2232 VALOR HOLDINGS CO LTD 9956.T 0.00% 18.90K $390.4K
2233 CJ ENM CO LTD A035760 0.00% 16.64K $389.2K
2234 MORI HILLS REIT INVESTMENT C 3234.T 0.00% 482 $389.2K
2235 MEDICOVER AB B SHARE 0.00% 15.19K $388.3K
2236 HYOSUNG TNC CORP A298020 0.00% 1.67K $388.3K
2237 GOGOLD RESOURCES INC GGD.TO 0.00% 119.68K $384.6K
2238 KOSE HOLDINGS CORP 4922.T 0.00% 10.30K $382.9K
2239 DIP CORP 2379.T 0.00% 32.30K $381.2K
2240 CYBER SECURITY CLOUD INC 4493.T 0.00% 31.30K $373.2K
2241 DAIWA OFFICE INVESTMENT CORP 8976.T 0.00% 184 $372.8K
2242 SAWAI GROUP HOLDINGS CO LTD 4887.T 0.00% 36.90K $372.4K
2243 AIR NEW ZEALAND LTD AIR 0.00% 1.50M $364.8K
2244 SEDANA MEDICAL AB SEDANA.ST 0.00% 288.59K $364.0K
2245 IDP EDUCATION LTD IEL.AX 0.00% 283.09K $363.6K
2246 FUJI SEAL INTERNATIONAL INC 7864.T 0.00% 17.50K $363.6K
2247 FUKUYAMA TRANSPORTING CO LTD 9075.T 0.00% 9.00K $359.4K
2248 SAKATA SEED CORP 1377.T 0.00% 12.70K $355.6K
2249 LX SEMICON CO LTD A108320 0.00% 13.28K $355.2K
2250 TCC STEEL A002710 0.00% 46.23K $354.7K
2251 DAIICHIKOSHO CO LTD 7458.T 0.00% 30.00K $354.3K
2252 ELIOR GROUP ELIOR 0.00% 141.90K $352.6K
2253 EN INC/JAPAN 4849.T 0.00% 33.70K $351.4K
2254 NATURECELL CO LTD A007390 0.00% 19.64K $350.1K
2255 ENCORE ENERGY CORP EU 0.00% 255.92K $349.7K
2256 MAN WAH HOLDINGS LTD 1999.HK 0.00% 834.00K $346.8K
2257 BNC KOREA INC A256840 0.00% 199.67K $345.1K
2258 ARCHION CORP 543A.T 0.00% 203.70K $344.7K
2259 H I S CO LTD 9603.T 0.00% 46.70K $343.8K
2260 INNOVIZ TECHNOLOGIES LTD INVZ 0.00% 1.02M $343.0K
2261 AICA KOGYO CO LTD 4206.T 0.00% 13.30K $341.7K
2262 DAIWA SECURITIES LIVING INVE 8986.T 0.00% 570 $340.5K
2263 LX HOLDINGS CORP A383800 0.00% 57.57K $337.5K
2264 WEMADE CO LTD A112040 0.00% 30.24K $337.1K
2265 TALGO SA TLGO 0.00% 107.44K $335.9K
2266 JUSTSYSTEMS CORP 4686.T 0.00% 13.10K $335.4K
2267 AMS OSRAM AG AMS.SW 0.00% 15.06K $333.3K
2268 MONEX GROUP INC 8698.T 0.00% 72.30K $332.9K
2269 SAMHALLSBYGGNADSBOLAGET I NO 0.00% 982.93K $329.6K
2270 CHANGE HOLDINGS INC 3962.T 0.00% 51.60K $324.9K
2271 MITSUBISHI ESTATE LOGISTICS 3481.T 0.00% 417 $312.3K
2272 NISHI NIPPON RAILROAD CO LTD 9031.T 0.00% 16.00K $310.2K
2273 WACOM CO LTD 6727.T 0.00% 62.60K $310.2K
2274 SUMITOMO OSAKA CEMENT CO LTD 5232.T 0.00% 8.80K $308.6K
2275 AS ONE CORP 7476.T 0.00% 20.00K $307.3K
2276 OCI CO LTD A456040 0.00% 5.29K $306.5K
2277 NET INSIGHT AB B 0.00% 987.49K $304.4K
2278 BRAINCHIP HOLDINGS LTD BRN.AX 0.00% 3.04M $302.7K
2279 HOSHINO RESORTS REIT INC 3287.T 0.00% 196 $295.6K
2280 H.S. INDUSTRIES CO LTD A006060 0.00% 157.31K $286.7K
2281 ENCHEM CO LTD A348370 0.00% 21.60K $286.7K
2282 SHIP HEALTHCARE HOLDINGS INC 3360.T 0.00% 19.20K $286.7K
2283 US DOLLAR 0.00% 285.13K $283.4K
2284 DAH SING FINANCIAL HOLDINGS 0440.HK 0.00% 46.88K $283.0K
2285 HOUSE FOODS GROUP INC 2810.T 0.00% 12.00K $280.9K
2286 JOHNSON ELECTRIC HOLDINGS 0179.HK 0.00% 112.54K $280.9K
2287 NEXTONE INC 7094.T 0.00% 25.80K $280.0K
2288 IGG INC 0799.HK 0.00% 668.00K $278.3K
2289 LASALLE LOGIPORT REIT 3466.T 0.00% 298 $277.9K
2290 ABACUS GROUP ABG.AX 0.00% 429.64K $276.7K
2291 GC CORP A005250 0.00% 38.33K $276.2K
2292 GIFTEE GROUP INC 590A.T 0.00% 33.50K $275.8K
2293 BICO GROUP AB BICO.ST 0.00% 131.38K $274.6K
2294 POLA ORBIS HOLDINGS INC 4927.T 0.00% 30.80K $269.1K
2295 VOLVO CAR AB B VOLCARB 0.00% 133.84K $268.7K
2296 SHANGRI LA ASIA LTD 0069.HK 0.00% 514.00K $267.4K
2297 ARJO AB B SHARES 0.00% 88.39K $263.2K
2298 ENDAVA PLC SPON ADR DAVA 0.00% 80.78K $261.1K
2299 KAKAO GAMES CORP A293490 0.00% 42.80K $260.7K
2300 ASCOM HOLDING AG REG ASCN.SW 0.00% 38.72K $257.3K
2301 VICORE PHARMA HOLDING AB VICO.ST 0.00% 227.64K $256.5K
2302 DAIO PAPER CORP 3880.T 0.00% 41.70K $256.1K
2303 GAKUJO CO LTD 2301.T 0.00% 23.70K $255.7K
2304 UMIOS CORP 1333.T 0.00% 30.60K $249.0K
2305 MOCHIDA PHARMACEUTICAL CO 4534.T 0.00% 12.00K $248.1K
2306 SK IE TECHNOLOGY CO LTD A361610 0.00% 22.48K $247.7K
2307 DEVSISTERS CO LTD A194480 0.00% 21.88K $244.3K
2308 MOBICO GROUP PLC MCG 0.00% 757.10K $243.9K
2309 MENICON CO LTD 7780.T 0.00% 20.20K $240.6K
2310 COMFORIA RESIDENTIAL REIT IN 3282.T 0.00% 381 $239.3K
2311 DONGKUK STEEL MILL CO LTD/NE A460860 0.00% 34.30K $238.5K
2312 AMARIN CORP PLC ADR AMRN 0.00% 16.80K $236.4K
2313 SHOCHIKU CO LTD 9601.T 0.00% 3.40K $234.7K
2314 NTT UD REIT INVESTMENT CORP 8956.T 0.00% 285 $233.8K
2315 AIN HOLDINGS INC 9627.T 0.00% 6.00K $231.3K
2316 ISRACARD LTD ISCD 0.00% 62.28K $229.2K
2317 COFFEE STAIN GROUP AB B 0.00% 123.01K $229.2K
2318 TILRAY BRANDS INC TLRY.TO 0.00% 47.12K $228.4K
2319 AGF MANAGEMENT LTD CLASS B AGF.B 0.00% 14.10K $228.0K
2320 DIO CORP A039840 0.00% 27.61K $225.9K
2321 MORI TRUST REIT INC 8961.T 0.00% 474 $221.2K
2322 NEOPHARM CO LTD A092730 0.00% 12.97K $220.4K
2323 WORKMAN CO LTD 7564.T 0.00% 5.60K $220.0K
2324 RVRC HOLDING AB RVRC.ST 0.00% 38.27K $215.4K
2325 NEXTEER AUTOMOTIVE GROUP LTD 1316.HK 0.00% 320.00K $214.1K
2326 INSPUR DIGITAL ENTERPRISE TE 0596.HK 0.00% 746.00K $214.1K
2327 FORVIA 1FRVIA 0.00% 21.06K $213.3K
2328 PACIFIC TEXTILES HOLDINGS 1382.HK 0.00% 1.76M $212.0K
2329 MANI INC 7730.T 0.00% 21.00K $211.6K
2330 CANADA PACKERS INC CPKR.TO 0.00% 17.50K $211.2K
2331 ORRON ENERGY AB ORRON.ST 0.00% 274.68K $208.6K
2332 BIONEER CORP A064550 0.00% 34.79K $207.8K
2333 KEY COFFEE INC 2594.T 0.00% 16.10K $204.9K
2334 COM2US CORP A078340 0.00% 9.09K $203.6K
2335 AUSTRIA TECHNOLOGIE + SYSTEM ATS 0.00% 1.29K $201.9K
2336 FP CORP 7947.T 0.00% 11.60K $201.1K
2337 NIPPON REIT INVESTMENT CORP 3296.T 0.00% 388 $200.3K
2338 FUJI KYUKO CO LTD 9010.T 0.00% 11.50K $199.4K
2339 KAGOME CO LTD 2811.T 0.00% 11.70K $198.2K
2340 HS HYOSUNG ADVANCED MATERIAL A298050 0.00% 1.62K $194.8K
2341 VITASOY INTL HOLDINGS LTD 0345.HK 0.00% 230.00K $191.9K
2342 BUKWANG PHARMACEUTICAL CO A003000 0.00% 63.56K $189.3K
2343 REMIXPOINT INC 3825.T 0.00% 124.30K $186.4K
2344 INTERNATIONAL PETROLEUM CORP IPCO.ST 0.00% 7.39K $186.0K
2345 DIGITAL GARAGE INC 4819.T 0.00% 12.50K $180.1K
2346 SOLUS ADVANCED MATERIALS CO A336370 0.00% 32.81K $174.2K
2347 BOE VARITRONIX LTD 0710.HK 0.00% 361.00K $170.9K
2348 SHIN POONG PHARMACEUTICAL CO A019170 0.00% 25.35K $167.9K
2349 NANO X IMAGING LTD NNOX 0.00% 195.84K $167.9K
2350 EM SYSTEMS CO LTD 4820.T 0.00% 45.00K $167.5K
2351 KUM YANG CO LTD A001570 0.00% 46.83K $166.2K
2352 WELL HEALTH TECHNOLOGIES COR WELL.TO 0.00% 52.66K $164.1K
2353 HANWHA GALLERIA CO LTD A452260 0.00% 111.32K $157.4K
2354 ITO EN LTD 2593.T 0.00% 8.20K $155.8K
2355 GATECHNOLOGIES CO LTD 3491.T 0.00% 15.30K $149.9K
2356 CHUNBO CO LTD A278280 0.00% 5.76K $149.9K
2357 ACCESS BIO INC KDR A950130 0.00% 87.37K $148.2K
2358 SD BIOSENSOR INC A137310 0.00% 32.71K $146.5K
2359 VANQUIS BANKING GROUP PLC VANQ 0.00% 133.26K $144.0K
2360 S4 CAPITAL PLC SFOR 0.00% 212.75K $141.9K
2361 FOCUS SYSTEMS CORP 4662.T 0.00% 13.30K $141.1K
2362 KG ECO SOLUTION CO LTD A151860 0.00% 35.20K $140.6K
2363 MANULIFE US REAL ESTATE INV BTOU 0.00% 3.21M $140.2K
2364 GRAVITY CO LTD SPONSORED ADR GRVY 0.00% 1.92K $139.8K
2365 SCHWEITER TECHNOLOGIES AG SWTQ.SW 0.00% 317 $138.1K
2366 GEMDALE PROPERTIES AND INVES 0535.HK 0.00% 11.14M $137.3K
2367 SOFTWAREONE HOLDING AG SWON 0.00% 12.86K $137.3K
2368 POWERCELL SWEDEN AB PCELL.ST 0.00% 62.71K $134.3K
2369 AWA BANK LTD/THE 8388.T 0.00% 2.31K $133.9K
2370 CLINUVEL PHARMACEUTICALS LTD CUV.AX 0.00% 17.27K $130.1K
2371 WEBJET GROUP LTD WJL 0.00% 453.72K $129.3K
2372 MYER HOLDINGS LTD MYR.AX 0.00% 836.43K $128.0K
2373 CELLAVISION AB CEVI.ST 0.00% 7.43K $128.0K
2374 LG H+H PRF A051905 0.00% 1.60K $125.9K
2375 IZUMI CO LTD 8273.T 0.00% 18.30K $123.8K
2376 M UP HOLDINGS INC 3661.T 0.00% 22.80K $123.0K
2377 GUNGHO ONLINE ENTERTAINMENT 3765.T 0.00% 8.10K $123.0K
2378 CAN DO CO LTD 2698.T 0.00% 5.30K $120.5K
2379 MAGNUM ICE CREAM CO NV/THE MICC 0.00% 5.94K $118.8K
2380 LABGENOMICS CO LTD A084650 0.00% 254.68K $110.0K
2381 HONG KONG TECHNOLOGY VENTURE 1137.HK 0.00% 841.64K $108.7K
2382 VALUE PARTNERS GROUP LTD 0806.HK 0.00% 402.00K $102.9K
2383 S ENJOY SERVICE GROUP CO LTD 1755.HK 0.00% 282.00K $100.3K
2384 HLB GLOBAL CO LTD A003580 0.00% 84.66K $95.3K
2385 MELCO INTERNATIONAL DEVELOP. 0200.HK 0.00% 229.00K $94.9K
2386 SUN CORP 6736.T 0.00% 1.80K $94.5K
2387 EUBIOLOGICS CO LTD A206650 0.00% 14.68K $94.0K
2388 CAFE DE CORAL HOLDINGS LTD 0341.HK 0.00% 140.00K $93.6K
2389 RENOVA INC 9519.T 0.00% 15.50K $91.5K
2390 CREEK + RIVER CO LTD 4763.T 0.00% 9.60K $91.5K
2391 ZHONGYU ENERGY HOLDINGS LTD 3633.HK 0.00% 277.00K $86.9K
2392 BIESSE SPA BSS 0.00% 13.67K $86.1K
2393 GENEONE LIFE SCIENCE INC A011000 0.00% 217.53K $83.1K
2394 GLOBAL ATOMIC CORP GLO.TO 0.00% 178.77K $79.8K
2395 JCR PHARMACEUTICALS CO LTD 4552.T 0.00% 24.40K $79.3K
2396 IRISO ELECTRONICS CO LTD 6908.T 0.00% 4.40K $76.4K
2397 ITMEDIA INC 2148.T 0.00% 9.10K $71.8K
2398 DONGKUK CM CO LTD 460850 0.00% 18.82K $70.9K
2399 CMG PHARMACEUTICAL CO LTD A058820 0.00% 174.45K $67.2K
2400 JAPAN LOGISTICS FUND INC 8967.T 0.00% 111 $66.3K
2401 NEL ASA NEL 0.00% 283.26K $64.2K
2402 YOUZAN TECHNOLOGY LTD 6051.HK 0.00% 408.40K $64.2K
2403 YUNGJIN PHARMACEUTICAL CO A003520 0.00% 76.30K $63.4K
2404 MATERIALISE NV ADR MTLS 0.00% 9.86K $63.4K
2405 EUROAPI SASU EAPI 0.00% 57.20K $63.0K
2406 LIKE INC 2462.T 0.00% 6.20K $60.0K
2407 MEDPACTO INC A235980 0.00% 30.93K $59.6K
2408 STARTS PROCEED INVESTMENT CO 8979.T 0.00% 51 $59.6K
2409 HUMASIS CO LTD A205470 0.00% 27.72K $57.5K
2410 GENEXINE CO LTD A095700 0.00% 26.02K $53.3K
2411 NACHI FUJIKOSHI CORP 6474.T 0.00% 1.50K $53.3K
2412 KYORITSU MAINTENANCE CO LTD 9616.T 0.00% 2.40K $51.6K
2413 TILRAY BRANDS INC TLRY 0.00% 10.63K $51.6K
2414 SUN FRONTIER FUDOUSAN CO LTD 8934.T 0.00% 3.10K $48.7K
2415 RHI MAGNESITA NV RHIM 0.00% 1.27K $48.3K
2416 FRONTEO INC 2158.T 0.00% 12.00K $48.3K
2417 MIXI INC 2121.T 0.00% 2.10K $46.6K
2418 OISIX INC 3182.T 0.00% 4.20K $46.2K
2419 TADANO LTD 6395.T 0.00% 5.20K $44.5K
2420 ADVANCED MEDIA INC 3773.T 0.00% 6.80K $43.7K
2421 NORMA GROUP SE NOEA 0.00% 46.93K $39.9K
2422 NIPPON TELEVISION HOLDINGS 9404.T 0.00% 2.00K $37.8K
2423 AURORA CANNABIS INC ACB.TO 0.00% 9.39K $37.4K
2424 UNILEVER PLC UNA 0.00% 528 $34.0K
2425 CDL HOSPITALITY TRUSTS J85.SI 0.00% 56.79K $34.0K
2426 YUEXIU REAL ESTATE INVESTMEN 0405.HK 0.00% 421.00K $34.0K
2427 FIREFINCH LTD. 0.00% 764.68K $33.6K
2428 COLOWIDE CO LTD 7616.T 0.00% 2.40K $31.5K
2429 AOYAMA TRADING CO LTD 8219.T 0.00% 6.30K $30.6K
2430 KCC GLASS CORP 344820.KS 0.00% 1.41K $25.2K
2431 CANOPY GROWTH CORP WEED.TO 0.00% 21.62K $22.7K
2432 PENINSULA ENERGY LTD PEN.AX 0.00% 88.77K $19.7K
2433 DYE + DURHAM LTD DND.TO 0.00% 32.92K $18.1K
2434 L.K. TECHNOLOGY HOLDINGS LTD 0558.HK 0.00% 92.50K $17.2K
2435 PAN AMERICAN SILVER CORP 0.00% 32.41K $16.0K
2436 EONE DIAGNOMICS GENOME CENTE A245620 0.00% 45.42K $13.4K
2437 SJM HOLDINGS LTD 0880.HK 0.00% 71.25K $13.0K
2438 OCI NV OCI 0.00% 2.53K $11.8K
2439 GROUPE BRUXELLES LAMBERT NV GBLB 0.00% 108 $9.2K
2440 KONTRON AG KTN 0.00% 147 $3.8K
2441 VICTORIA GOLD CORP VGCX.TO 0.00% 6.34K $2.1K
2442 RYZON MATERIALS LIMITED UNL 0.00% 1.31M $419.00
2443 JENAX INC A065620 0.00% 19.55K $0.00
2444 TELLA INC 2191.T 0.00% 600 $0.00
2445 SUSE S.A 0.00% 46 $0.00
2446 PENINSULA ENERGY LTD 0.00% 711 $0.00
2447 UNTRADE.LONG WELL INTL 0.00% 3.42M $0.00
2448 DIGITECH SYSTEMS CO LTD A091690 0.00% 19.09K $0.00
2449 AMCO ASSET MANAGEMENT CO B 0.00% 21 $0.00
2450 GREEN HYDROGEN SYSTEMS A/S GREENH.CO 0.00% 145.41K $0.00
2451 CONSTELLATION SOFTWARE INC 2299955D 0.00% 15.02K $0.00
2452 ACTINOGEN MEDICAL LTD ACW.AX 0.00% 16 $0.00
2453 LET S GOWEX S.A GOW 0.00% 4.02K $0.00
2454 PETROFAC LTD PFC 0.00% 304.33K $0.00
2455 DUBBER CORP LTD DUB.AX 0.00% 20 $0.00
2456 ABERTIS INFRAESTRUCTURAS SA ABE 0.00% 1.26K $0.00
2457 NEW NOBLE 0.00% 1.61K $0.00

Haz clic en un ticker para ver todos los ETFs que lo incluyen.

Exposición sectorial

Servicios Financieros 24.61%
Industria 18.10%
Tecnología 14.70%
Salud 8.01%
Consumo Cíclico 7.90%
Materiales Básicos 6.71%
Consumo Defensivo 5.74%
Energía 5.07%
Servicios de Comunicación 3.74%
Servicios Públicos 3.04%
Inmobiliario 2.37%

Exposición Geográfica

Other 32.15%
Japan (developed) 21.37%
Canada (developed) 11.65%
United States (developed) 7.00%
Switzerland (developed) 6.62%
Australia (developed) 5.45%
United Kingdom (developed) 3.02%
Netherlands (developed) 2.31%
Hong Kong (developed) 1.56%
Spain (developed) 1.54%
Singapore (developed) 1.45%
Sweden (developed) 1.44%
France (developed) 0.95%
Germany (developed) 0.83%
Denmark (developed) 0.78%
Israel (developed) 0.46%
Ireland (developed) 0.27%
Italy (developed) 0.26%
Bermuda 0.20%
China (emerging) 0.15%

Ponderaciones por país según lo informado por el proveedor de datos. Las categorías desarrollado/emergente/frontera siguen la clasificación de la página de Metodología. Con cobertura cambiaria: No se indica cobertura de divisa en el nombre del fondo.

Distribuciones

Rendimiento (TTM)2.91% Pagado (últimos 12 meses)$1.5160
FrecuenciaSemi-Annual Rendimiento SECNo proporcionado por nuestra fuente de datos — consulte la página del emisor
Última fecha ex-dividendoJun 22, 2026 Último pago$0.7220 (Jun 26, 2026)
Crecimiento 1A+32.59% Crecimiento 3A / 5A (anual.)+17.86% / +12.67%
Fecha ex-dividendoRegistroFecha de pagoImporte
Jun 22, 2026Jun 22, 2026 Jun 26, 2026$0.7220
Dec 22, 2025Dec 22, 2025 Dec 29, 2025$0.7940
Jun 23, 2025Jun 23, 2025 Jun 27, 2025$0.6718
Dec 23, 2024Dec 23, 2024 Dec 30, 2024$0.4717
Jun 24, 2024Jun 24, 2024 Jun 28, 2024$0.6182
Dec 18, 2023Dec 19, 2023 Dec 27, 2023$0.3504
Jun 20, 2023Jun 21, 2023 Jun 27, 2023$0.5840
Dec 20, 2022Dec 21, 2022 Dec 29, 2022$0.3420
Jun 21, 2022Jun 22, 2022 Jun 28, 2022$0.5850
Dec 20, 2021Dec 21, 2021 Dec 28, 2021$0.5980
Jun 21, 2021Jun 22, 2021 Jun 28, 2021$0.5100
Dec 21, 2020Dec 22, 2020 Dec 29, 2020$0.3250

Rentabilidad por distribución acumulada = últimos 12 meses de efectivo distribuido ÷ precio actual. NO es la rentabilidad SEC a 30 días y no se garantiza la continuidad de las distribuciones. La diferencia explicada →

Estadísticas de riesgo

Volatilidad 1A / 3A17.11% / 15.65% Sharpe 1A / 3A1.57 / 1.25
Máxima caída 1A / 3A-11.55% / -13.51% Sortino 1A2.35
Beta vs. S&P 500 (3A)0.786 Correlación con el S&P 500 (1 año)0.801
Desviación a la baja 1A11.42% Tasa libre de riesgo utilizada3.71% (3M T-bill, FRED)

Calculado por ETF Explorer calculado a partir de cierres diarios ajustados por dividendos; la volatilidad y el drawdown son cifras anualizadas/del período; la exposición al S&P 500 se aproxima mediante SPY. A fecha de Aug 27, 2026. Fórmulas →

Liquidez

Volumen hoy2.08M Volumen promedio3.06M
AUM$42.23B Prima/Descuento-0.04%
Diferencial bid/askNo proporcionado por nuestra fuente de datos. Consulte la pantalla de cotizaciones de su bróker; los spreads son más amplios en la apertura y el cierre.

La prima/descuento compara el precio de mercado diferido con el último NAV publicado — es un dato indicativo, no la prima/descuento oficial de cierre. Cómo funciona la liquidez de los ETFs →

Flujos de Fondos (estimados)

PeríodoFlujo neto estimado% del AUM inicialAUM inicio → fin
1 día $248.6M +0.59% $41.98B → $42.23B
1 semana -$293.6M -0.70% $42.14B → $42.23B

Estimación de ETF Explorer: variación en el AUM reportado menos el efecto del movimiento de mercado, calculada a partir de nuestras propias instantáneas diarias. No son datos oficiales de creaciones/reembolsos de la gestora.

Recursos oficiales del fondo

Los enlaces externos abren el sitio de la gestora o SEC EDGAR en una nueva pestaña. El folleto y los documentos oficiales son siempre la fuente autorizada — consúltalos antes de invertir.

Últimas noticias de SPDW

Ningún artículo menciona este fondo directamente en los últimos 7 días — mostrando cobertura general de ETF.

Alcohol became a flashpoint in the US-Canada trade war. Now both sides say they're losing. ↗ The US-Canada trade war escalated on Saturday with new 50% tariffs on Canadian alcohol. American booze was pulled from Canadian shelves last year and… Business Insider · Aug 27, 04:11 UTC Stock Market: Will S&P 500 Open Up or Down Today? ↗ U.S. stock futures are trending higher early Thursday as Wall Street processes Nvidia Corp.‘s (NASDAQ:NVDA) highly anticipated earnings, strong… Benzinga · Aug 27, 02:45 UTC More Sudanese oil available for marine fuel blending as China demand eases ↗ More barrels of South Sudan's Dar Blend crude oil returned to the marine fuel blending pool in Singapore and Malaysia this month as demand from… Reuters · Aug 27, 01:30 UTC Gold (XAU/USD) & Silver Price Forecast: Sticky PCE Puts Warsh and Fed in Focus ↗ Gold and silver remain balanced as sticky PCE revives Fed tightening risk, while Warsh, Middle East tensions and fiscal concerns support volatility. FXEmpire · Aug 27, 01:14 UTC Natural Gas and Oil Forecast: Diesel Stocks Tighten as Hormuz Flows Slowly Recover ↗ Hormuz talks ease some oil supply fears, but tight diesel stocks keep fuel markets constrained as WTI and Brent remain technically vulnerable. FXEmpire · Aug 27, 01:09 UTC Kospi Index on edge as SK Hynix stock jumps after strong Nvidia guidance ↗ The Kospi Index wavered on Thursday after the Bank of Korea (BoK) delivered a second interest rates hike as it battles with the relatively elevated… Invezz · Aug 27, 00:22 UTC
Todas las noticias de SPDW →

Ayuda guiada: el AUM es el tamaño del fondo. El expense ratio es el coste anual que ya está descontado de los rendimientos. El NAV es el valor de lo que posee el fondo por acción; el precio de mercado puede situarse ligeramente por encima (prima) o por debajo (descuento) de este. El rendimiento total asume que las distribuciones fueron reinvertidas. Cada conjunto de datos muestra su propia fecha de referencia, ya que las posiciones, los activos y las cotizaciones se actualizan en calendarios distintos.

Materia Prima

Materias primas (diversificadas)OroPetróleo y gasPlata

Activos digitales

CriptomonedasBitcoin

Renta Fija

Bonos (todos)Bonos internacionalesDeuda PúblicaBonos del TesoroBonos corporativosBonos de alto rendimientoBonos municipalesTIPS / Protegidos contra la inflación

Ingresos

DividendoCall cubierta / Ingresos por opcionesAcciones preferentes

Región

InternacionalGlobalMercados desarrolladosMercados EmergentesSmall cap internacionalMercados Frontera

Sector y temática

FinancieroTecnologíaEnergíaInmobiliario / REITsSaludMaterialesIndustriaEnergía limpiaInfraestructuras

Estrategia

Buffer / Resultado definidoESG / SostenibleCon cobertura cambiariaMomentumPonderación igualBaja volatilidad

Estructura

ETFs activosInversoApalancado

Estilo y tamaño

CrecimientoLarge Cap de EE. UU.ValueSmall Cap de EE. UU.Mid Cap de EE. UU.Mercado Total