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Тёмная тема

🧭 Режим с подсказками
Новичок на рынках — цены, доходности, YTD, рыночная капитализация? Мы объясняем каждый термин в процессе просмотра, простым языком. Те же данные — со встроенной справкой.

⚡ Экспертный режим
Вы уже знаете рынок. Только данные — чистые, быстрые и компактные, без лишних пояснений. Это режим по умолчанию.

Язык интерфейса

VB Vanguard Morningstar Small-Cap ETF

303.96 0.95 (+0.31%)

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

Предыдущее закрытие303.01 Дневной диапазон302.31 – 304.88
Диапазон за 52 недели241.17 – 309.51 Объём торгов350.85K
Средний объём546.11K AUM$183.40B (Aug 27, 2026)
Коэффициент расходов (expense ratio)0.03% Доходность (TTM)1.19%
NAV303.86 Премия/дисконт+0.03% индикативный
Дата запускаJan 26, 2004 Состав портфеля1357
ЭмитентVanguard БиржаAMEX
КатегорияUs Small Cap Отслеживаемый индексВ исходных данных не указано
CUSIP922908751 ISINUS9229087518
УправлениеПассивный / следующий за индексом (по описанию эмитента)

Об этом ETF

This ETF aims to replicate the investment returns of small-capitalization companies, as gauged by the CRSP US Small Cap Index. It offers investors a straightforward path to gain broad exposure to the returns of numerous small companies. This fund is passively managed and employs a full-replication strategy, investing directly in all the index's underlying securities.

Описание от поставщика данных фонда · профиль по состоянию на Aug 27, 2026.

График цены

Цены закрытия торгов (доходность по цене, без учёта дивидендов). Линии сравнения нормированы к процентному изменению от начала выбранного периода. Источник: Financial Modeling Prep.

Доходность

1M3M6MYTD1Y3Y*5Y*10Y*Нач.*
Ценовая доходность +2.38% +3.90% +9.30% +17.84% +20.88% +15.83% +5.99% +9.56% +8.42%
Совокупная доходность +2.38% +4.21% +10.04% +18.63% +22.52% +17.52% +7.58% +11.19% +9.98%

* Аннуализировано. Совокупная доходность рассчитывается по скорректированной на дивиденды ценовой серии (с реинвестированием выплат); ценовая доходность — по нескорректированным ценам закрытия. Доходность по состоянию на Aug 26, 2026. Прошлые результаты не гарантируют будущих.

Комиссии

Чистый коэффициент расходов0.03% Годовые расходы при инвестиции $10 000$3.00

Только иллюстративный расчёт: коэффициент расходов × $10 000. Не включает торговые издержки, спреды bid/ask, налоги и изменение стоимости инвестиций. Подробности о валовых и чистых расходах, а также о возможных льготах по комиссиям — в проспекте эмиссии.

Состав портфеля

Состав портфеля на Aug 26, 2026 — дата формирования портфеля по данным провайдера; холдинги не отражают текущие позиции. 1314 строк в базе данных.

#ПозицияТикерВесАкцииРыночная стоимость
1 SLCMT1142 0.91% 16.88M $1.69B
2 Revolution Medicines Inc RVMD 0.47% 4.64M $870.5M
3 Natera Inc NTRA 0.45% 3.13M $837.3M
4 EMCOR Group Inc EME 0.44% 1.02M $814.5M
5 Credo Technology Group Holding Ltd CRDO 0.43% 3.82M $789.8M
6 Jabil Inc JBL 0.41% 2.43M $764.0M
7 Casey's General Stores Inc CASY 0.40% 849.51K $739.9M
8 Tapestry Inc TPR 0.38% 4.64M $707.5M
9 Twilio Inc TWLO 0.37% 3.49M $688.5M
10 Illumina Inc ILMN 0.37% 3.30M $677.6M
11 Atmos Energy Corp ATO 0.36% 3.84M $663.0M
12 TechnipFMC PLC FTI 0.35% 9.17M $656.8M
13 NRG Energy Inc NRG 0.35% 4.85M $651.3M
14 Williams-Sonoma Inc WSM 0.33% 2.71M $618.8M
15 Curtiss-Wright Corp CW 0.33% 849.02K $614.7M
16 ATI Inc ATI 0.32% 3.14M $588.0M
17 nVent Electric PLC NVT 0.31% 3.72M $571.7M
18 Carpenter Technology Corp CRS 0.30% 1.08M $563.8M
19 Everpure Inc P 0.30% 7.25M $559.6M
20 Smurfit Westrock PLC SW 0.30% 12.05M $554.1M
21 Astera Labs Inc ALAB 0.30% 1.77M $551.9M
22 Okta Inc OKTA 0.30% 3.86M $548.4M
23 F5 Inc FFIV 0.28% 1.30M $522.1M
24 Expand Energy Corp EXE 0.28% 5.50M $517.1M
25 Omnicom Group Inc OMC 0.28% 6.55M $515.5M
26 XPO Inc XPO 0.28% 2.56M $515.3M
27 US Foods Holding Corp USFD 0.28% 5.06M $509.1M
28 United Therapeutics Corp UTHR 0.27% 975.81K $505.2M
29 Tenet Healthcare Corp THC 0.27% 1.98M $504.5M
30 Woodward Inc WWD 0.27% 1.37M $494.1M
31 FTAI Aviation Ltd FTAI 0.26% 2.36M $485.8M
32 SoFi Technologies Inc SOFI 0.26% 29.47M $480.7M
33 Liberty Media Corp-Liberty Formula One FWONK 0.26% 4.89M $479.9M
34 Flex Ltd FLEX 0.26% 4.21M $478.8M
35 Reliance Inc RS 0.26% 1.17M $476.5M
36 JB Hunt Transport Services Inc JBHT 0.25% 1.73M $471.1M
37 Viatris Inc VTRS 0.25% 26.77M $470.1M
38 RB Global Inc RBA 0.25% 4.28M $470.0M
39 Guardant Health Inc GH 0.25% 2.90M $469.1M
40 Incyte Corp INCY 0.25% 3.90M $466.6M
41 MKS Inc MKSI 0.25% 1.55M $461.7M
42 Moderna Inc MRNA 0.24% 8.21M $450.0M
43 CF Industries Holdings Inc CF 0.24% 3.53M $442.1M
44 Roku Inc ROKU 0.24% 3.01M $437.2M
45 Affirm Holdings Inc AFRM 0.24% 6.09M $435.4M
46 CDW Corp/DE CDW 0.23% 2.94M $434.0M
47 DuPont de Nemours Inc DD 0.23% 3.14M $430.2M
48 TD SYNNEX Corp SNX 0.23% 1.66M $425.3M
49 Essex Property Trust Inc ESS 0.23% 1.48M $419.8M
50 Entegris Inc ENTG 0.23% 3.51M $417.3M
51 Evergy Inc EVRG 0.22% 5.02M $416.4M
52 Weyerhaeuser Co WY 0.22% 16.57M $414.9M
53 East West Bancorp Inc EWBC 0.22% 3.15M $412.6M
54 Invitation Homes Inc INVH 0.22% 13.66M $405.8M
55 Ovintiv Inc OVV 0.22% 6.46M $403.4M
56 ITT Inc ITT 0.22% 2.06M $402.8M
57 RBC Bearings Inc RBC 0.22% 727.26K $400.9M
58 Sterling Infrastructure Inc STRL 0.22% 669.75K $399.7M
59 Ball Corp BALL 0.21% 6.12M $397.2M
60 Best Buy Co Inc BBY 0.21% 4.60M $396.9M
61 MACOM Technology Solutions Holdings Inc MTSI 0.21% 1.58M $396.9M
62 Host Hotels & Resorts Inc HST 0.21% 15.74M $395.6M
63 Steel Dynamics Inc STLD 0.21% 1.57M $395.6M
64 Kimco Realty Corp KIM 0.21% 15.50M $394.9M
65 Genuine Parts Co GPC 0.21% 3.16M $393.5M
66 Roivant Sciences Ltd ROIV 0.21% 11.57M $392.4M
67 Performance Food Group Co PFGC 0.21% 3.43M $392.4M
68 IDEX Corp IEX 0.21% 1.70M $392.1M
69 Lattice Semiconductor Corp LSCC 0.21% 3.15M $391.3M
70 Permian Resources Corp PR 0.21% 18.28M $389.6M
71 Royal Gold Inc RGLD 0.21% 1.95M $386.9M
72 Neurocrine Biosciences Inc NBIX 0.21% 2.31M $385.5M
73 Akamai Technologies Inc AKAM 0.21% 3.34M $384.9M
74 WESCO International Inc WCC 0.21% 1.12M $384.5M
75 EQT Corp EQT 0.21% 7.19M $383.1M
76 Annaly Capital Management Inc NLY 0.21% 16.84M $382.7M
77 MasTec Inc MTZ 0.21% 1.45M $382.1M
78 CH Robinson Worldwide Inc CHRW 0.21% 2.57M $380.2M
79 Bunge Global SA BG 0.20% 3.57M $379.0M
80 Jones Lang LaSalle Inc JLL 0.20% 1.07M $378.6M
81 WP Carey Inc WPC 0.20% 5.12M $376.9M
82 First Citizens BancShares Inc/NC FCNCA 0.20% 170.26K $372.3M
83 Jacobs Solutions Inc J 0.20% 2.71M $366.3M
84 PTC Inc PTC 0.20% 2.65M $364.2M
85 Toast Inc TOST 0.20% 11.27M $363.7M
86 Nordson Corp NDSN 0.20% 1.22M $362.4M
87 Fabrinet FN 0.19% 823.36K $358.5M
88 Reinsurance Group of America Inc RGA 0.19% 1.51M $356.7M
89 API Group Corp APG 0.19% 8.96M $355.6M
90 BWX Technologies Inc BWXT 0.19% 2.11M $355.2M
91 Mid-America Apartment Communities Inc MAA 0.19% 2.68M $354.0M
92 Centene Corp CNC 0.19% 5.68M $353.1M
93 Rivian Automotive Inc RIVN 0.19% 23.04M $350.7M
94 Sun Communities Inc SUI 0.19% 2.83M $349.9M
95 Talen Energy Corp TLN 0.19% 1.04M $348.5M
96 TransUnion TRU 0.19% 4.43M $348.4M
97 Pinnacle Financial Partners Inc PNFP 0.19% 3.30M $347.2M
98 Fedex Freight Holding Co Inc FDXF 0.19% 2.47M $346.8M
99 Omega Healthcare Investors Inc OHI 0.19% 6.85M $346.6M
100 Jazz Pharmaceuticals PLC JAZZ 0.19% 1.37M $346.5M
101 Healthpeak Properties Inc DOC 0.19% 15.85M $345.9M
102 Aramark ARMK 0.19% 6.04M $344.4M
103 Gen Digital Inc GEN 0.18% 12.46M $342.2M
104 Clean Harbors Inc CLH 0.18% 1.09M $342.0M
105 Nutanix Inc NTNX 0.18% 5.79M $341.9M
106 Textron Inc TXT 0.18% 4.00M $340.8M
107 Everest Group Ltd EG 0.18% 909.32K $340.2M
108 Regency Centers Corp REG 0.18% 4.21M $337.9M
109 Stanley Black & Decker Inc SWK 0.18% 3.57M $337.9M
110 Mueller Industries Inc MLI 0.18% 5.08M $337.6M
111 Carlisle Cos Inc CSL 0.18% 930.10K $334.8M
112 Leidos Holdings Inc LDOS 0.18% 2.89M $334.2M
113 Masco Corp MAS 0.18% 4.64M $331.5M
114 Lincoln Electric Holdings Inc LECO 0.18% 1.26M $329.1M
115 Globe Life Inc GL 0.18% 1.78M $325.3M
116 Bridgebio Pharma Inc BBIO 0.18% 4.05M $324.4M
117 Cooper Cos Inc/The COO 0.18% 4.48M $324.3M
118 DT Midstream Inc DTM 0.17% 2.34M $323.6M
119 HF Sinclair Corp DINO 0.17% 3.52M $322.1M
120 Zebra Technologies Corp ZBRA 0.17% 1.09M $321.6M
121 Lamar Advertising Co LAMR 0.17% 2.00M $320.1M
122 Coeur Mining Inc CDE 0.17% 21.39M $319.0M
123 Albemarle Corp ALB 0.17% 2.71M $318.8M
124 Assurant Inc AIZ 0.17% 1.14M $318.0M
125 Toll Brothers Inc TOL 0.17% 2.18M $317.6M
126 Qnity Electronics Inc Q 0.17% 2.41M $315.5M
127 RPM International Inc RPM 0.17% 2.93M $314.1M
128 Regal Rexnord Corp RRX 0.17% 1.53M $314.0M
129 RenaissanceRe Holdings Ltd RNR 0.17% 980.03K $313.6M
130 Ralph Lauren Corp RL 0.17% 821.79K $312.6M
131 Allegion plc ALLE 0.17% 1.98M $310.9M
132 Texas Roadhouse Inc TXRH 0.17% 1.51M $310.4M
133 Baxter International Inc BAX 0.17% 11.86M $310.3M
134 Deckers Outdoor Corp DECK 0.17% 3.19M $309.2M
135 Equitable Holdings Inc EQH 0.17% 6.47M $308.4M
136 Hasbro Inc HAS 0.17% 3.25M $305.5M
137 Trimble Inc TRMB 0.16% 5.36M $303.2M
138 Fidelity National Financial Inc FNF 0.16% 5.88M $303.2M
139 Apa Corp APA 0.16% 8.12M $303.1M
140 Medpace Holdings Inc MEDP 0.16% 525.16K $303.1M
141 Graco Inc GGG 0.16% 3.81M $302.8M
142 Crown Holdings Inc CCK 0.16% 2.57M $302.7M
143 Elanco Animal Health Inc ELAN 0.16% 11.48M $302.6M
144 QXO Inc QXO 0.16% 22.63M $300.9M
145 BorgWarner Inc BWA 0.16% 4.71M $300.5M
146 Unum Group UNM 0.16% 3.49M $300.4M
147 Tyler Technologies Inc TYL 0.16% 969.27K $300.1M
148 Somnigroup International Inc SGI 0.16% 4.59M $300.0M
149 Lennox International Inc LII 0.16% 719.97K $299.4M
150 Avery Dennison Corp AVY 0.16% 1.76M $298.4M
151 Dynatrace Inc DT 0.16% 6.70M $296.9M
152 Huntington Ingalls Industries Inc HII 0.16% 906.03K $295.8M
153 Guidewire Software Inc GWRE 0.16% 1.95M $295.7M
154 Onto Innovation Inc ONTO 0.16% 1.14M $295.5M
155 Nextpower Inc NXT 0.16% 3.28M $294.8M
156 Applied Industrial Technologies Inc AIT 0.16% 849.52K $293.3M
157 Exelixis Inc EXEL 0.16% 5.49M $291.0M
158 Equity LifeStyle Properties Inc ELS 0.16% 4.46M $290.1M
159 Solventum Corp SOLV 0.16% 3.38M $289.0M
160 Revvity Inc RVTY 0.16% 2.56M $288.5M
161 Webster Financial Corp WBS 0.16% 3.72M $287.6M
162 BJ's Wholesale Club Holdings Inc BJ 0.16% 2.93M $287.0M
163 Hubbell Inc HUBB 0.16% 607.21K $286.9M
164 Invesco Ltd IVZ 0.15% 9.68M $286.4M
165 Unity Software Inc U 0.15% 9.03M $286.3M
166 Samsara Inc IOT 0.15% 7.68M $286.1M
167 UDR Inc UDR 0.15% 7.47M $285.0M
168 Dick's Sporting Goods Inc DKS 0.15% 1.44M $281.8M
169 Pinnacle West Capital Corp PNW 0.15% 2.79M $281.3M
170 AGNC Investment Corp AGNC 0.15% 26.39M $281.3M
171 First Horizon Corp FHN 0.15% 10.91M $279.7M
172 IonQ Inc IONQ 0.15% 7.67M $279.5M
173 Stifel Financial Corp SF 0.15% 3.35M $277.8M
174 J M Smucker Co/The SJM 0.15% 2.33M $277.7M
175 Gaming and Leisure Properties Inc GLPI 0.15% 6.18M $277.0M
176 Dycom Industries Inc DY 0.15% 690.19K $276.8M
177 SiTime Corp SITM 0.15% 515.60K $275.9M
178 Five Below Inc FIVE 0.15% 1.27M $275.9M
179 Penumbra Inc PEN 0.15% 858.83K $275.8M
180 TTM Technologies Inc TTMI 0.15% 2.39M $275.5M
181 Ally Financial Inc ALLY 0.15% 6.34M $274.8M
182 Aptiv PLC APTV 0.15% 4.86M $274.6M
183 Alcoa Corp AA 0.15% 6.06M $274.5M
184 Texas Pacific Land Corp TPL 0.15% 673.69K $271.2M
185 Evercore Inc EVR 0.15% 844.64K $270.8M
186 Generac Holdings Inc GNRC 0.14% 1.35M $266.8M
187 American Healthcare REIT Inc AHR 0.14% 4.80M $266.6M
188 Carlyle Group Inc/The CG 0.14% 5.79M $266.6M
189 BioMarin Pharmaceutical Inc BMRN 0.14% 4.44M $266.6M
190 Burlington Stores Inc BURL 0.14% 723.28K $266.5M
191 Domino's Pizza Inc DPZ 0.14% 764.45K $265.6M
192 Clorox Co/The CLX 0.14% 2.78M $265.5M
193 HubSpot Inc HUBS 0.14% 1.12M $265.4M
194 Align Technology Inc ALGN 0.14% 1.56M $264.5M
195 Insulet Corp PODD 0.14% 1.59M $263.3M
196 Arrowhead Pharmaceuticals Inc ARWR 0.14% 3.08M $260.3M
197 EchoStar Corp ECHO 0.14% 3.10M $260.3M
198 Manhattan Associates Inc MANH 0.14% 1.36M $260.3M
199 Service Corp International/US SCI 0.14% 3.02M $260.0M
200 Essential Utilities Inc WTRG 0.14% 6.52M $259.9M
201 Bio-Techne Corp TECH 0.14% 3.60M $259.4M
202 EastGroup Properties Inc EGP 0.14% 1.24M $258.2M
203 Charles River Laboratories International Inc CRL 0.14% 1.11M $257.5M
204 Owens Corning OC 0.14% 1.85M $257.1M
205 BXP Inc BXP 0.14% 3.67M $257.0M
206 Littelfuse Inc LFUS 0.14% 581.09K $256.9M
207 SEI Investments Co SEIC 0.14% 2.49M $256.3M
208 Camden Property Trust CPT 0.14% 2.31M $256.0M
209 Moog Inc MOG-A 0.14% 653.60K $254.8M
210 Arrow Electronics Inc ARW 0.14% 1.18M $254.5M
211 DraftKings Inc DKNG 0.14% 10.83M $254.3M
212 Encompass Health Corp EHC 0.14% 2.28M $253.2M
213 Advanced Energy Industries Inc AEIS 0.14% 873.75K $253.0M
214 CACI International Inc CACI 0.14% 507.86K $252.8M
215 SPX Technologies Inc SPXC 0.14% 1.15M $252.7M
216 Semtech Corp SMTC 0.14% 2.14M $252.2M
217 GoDaddy Inc GDDY 0.14% 3.04M $251.8M
218 Jack Henry & Associates Inc JKHY 0.14% 1.63M $251.6M
219 Donaldson Co Inc DCI 0.14% 2.66M $250.8M
220 Dow Inc DOW 0.14% 8.28M $250.8M
221 Hut 8 Corp HUT 0.14% 2.33M $250.8M
222 Cognex Corp CGNX 0.13% 3.83M $249.7M
223 Watsco Inc WSO 0.13% 804.44K $248.8M
224 American Homes 4 Rent AMH 0.13% 7.44M $248.8M
225 Rubrik Inc RBRK 0.13% 3.44M $248.8M
226 International Paper Co IP 0.13% 6.08M $248.4M
227 First Solar Inc FSLR 0.13% 1.17M $247.5M
228 Wintrust Financial Corp WTFC 0.13% 1.55M $247.3M
229 Popular Inc BPOP 0.13% 1.41M $246.9M
230 Knight-Swift Transportation Holdings Inc KNX 0.13% 3.55M $246.7M
231 Federal Realty Investment Trust FRT 0.13% 1.99M $246.4M
232 Insmed Inc INSM 0.13% 2.49M $245.5M
233 Aurora Innovation Inc AUR 0.13% 38.02M $245.2M
234 NiSource Inc NI 0.13% 5.51M $244.8M
235 Docusign Inc DOCU 0.13% 4.46M $244.8M
236 Antero Resources Corp AR 0.13% 6.76M $244.4M
237 Modine Manufacturing Co MOD 0.13% 1.21M $244.2M
238 Coca-Cola Consolidated Inc COKE 0.13% 1.30M $244.1M
239 Advanced Drainage Systems Inc WMS 0.13% 1.76M $243.8M
240 Pentair PLC PNR 0.13% 3.71M $243.0M
241 Franklin Resources Inc BEN 0.13% 7.16M $242.6M
242 Crane Co CR 0.13% 1.13M $240.8M
243 AES Corp/The AES 0.13% 16.39M $240.6M
244 Cytokinetics Inc CYTK 0.13% 3.12M $240.6M
245 Corcept Therapeutics Inc CORT 0.13% 2.10M $240.2M
246 Pinterest Inc PINS 0.13% 9.97M $239.3M
247 Ensign Group Inc/The ENSG 0.13% 1.34M $239.3M
248 SOUTHSTATE BANK CORP SSB 0.13% 2.24M $235.9M
249 New York Times Co/The NYT 0.13% 3.15M $235.7M
250 Zions Bancorp NA ZION 0.13% 3.38M $235.6M
251 Molina Healthcare Inc MOH 0.13% 1.20M $234.2M
252 Murphy USA Inc MUSA 0.13% 382.03K $232.2M
253 American Airlines Group Inc AAL 0.13% 15.20M $232.1M
254 Primerica Inc PRI 0.12% 721.48K $230.8M
255 News Corp NWSA 0.12% 8.32M $229.3M
256 UMB Financial Corp UMBF 0.12% 1.57M $229.0M
257 Acuity Inc AYI 0.12% 697.08K $228.9M
258 Viasat Inc VSAT 0.12% 2.97M $228.1M
259 Cullen/Frost Bankers Inc CFR 0.12% 1.37M $228.1M
260 CareTrust REIT Inc CTRE 0.12% 5.43M $227.7M
261 BitMine Immersion Technologies Inc BMNR 0.12% 13.10M $226.3M
262 Rambus Inc RMBS 0.12% 2.48M $226.2M
263 DigitalOcean Holdings Inc DOCN 0.12% 1.92M $225.6M
264 BrightSpring Health Services Inc BTSG 0.12% 3.77M $225.0M
265 Halozyme Therapeutics Inc HALO 0.12% 2.73M $225.0M
266 OGE Energy Corp OGE 0.12% 4.74M $224.6M
267 Flowserve Corp FLS 0.12% 2.94M $223.2M
268 Brixmor Property Group Inc BRX 0.12% 7.05M $222.2M
269 Darling Ingredients Inc DAR 0.12% 3.65M $221.6M
270 Gartner Inc IT 0.12% 1.46M $220.8M
271 International Flavors & Fragrances Inc IFF 0.12% 2.79M $220.8M
272 FactSet Research Systems Inc FDS 0.12% 837.66K $220.5M
273 Solstice Advanced Materials Inc SOLS 0.12% 3.65M $219.7M
274 Krystal Biotech Inc KRYS 0.12% 643.58K $219.5M
275 General Mills Inc GIS 0.12% 6.13M $219.3M
276 Axsome Therapeutics Inc AXSM 0.12% 1.00M $219.1M
277 Watts Water Technologies Inc WTS 0.12% 631.38K $218.3M
278 Allison Transmission Holdings Inc ALSN 0.12% 1.91M $218.3M
279 Hecla Mining Co HL 0.12% 15.41M $217.6M
280 Range Resources Corp RRC 0.12% 5.42M $217.5M
281 Sanmina Corp SANM 0.12% 1.17M $217.3M
282 Old Republic International Corp ORI 0.12% 5.02M $217.0M
283 Ryder System Inc R 0.12% 844.71K $216.6M
284 American Financial Group Inc/OH AFG 0.12% 1.53M $216.5M
285 Avantor Inc AVTR 0.12% 15.69M $216.3M
286 CubeSmart CUBE 0.12% 5.21M $215.8M
287 Skyworks Solutions Inc SWKS 0.12% 3.46M $215.4M
288 Agree Realty Corp ADC 0.12% 2.76M $214.7M
289 AECOM ACM 0.12% 2.96M $213.9M
290 Glaukos Corp GKOS 0.12% 1.28M $213.9M
291 Saia Inc SAIA 0.12% 612.73K $213.0M
292 Old National Bancorp/IN ONB 0.12% 7.99M $212.9M
293 Affiliated Managers Group Inc AMG 0.11% 576.56K $211.4M
294 Match Group Inc MTCH 0.11% 5.36M $211.3M
295 Brinker International Inc EAT 0.11% 986.21K $210.8M
296 Alliant Energy Corp LNT 0.11% 2.97M $210.1M
297 Zimmer Biomet Holdings Inc ZBH 0.11% 2.22M $208.8M
298 Columbia Banking System Inc COLB 0.11% 6.66M $208.3M
299 Viavi Solutions Inc VIAV 0.11% 5.63M $208.0M
300 NNN REIT Inc NNN 0.11% 4.37M $207.8M
301 Dutch Bros Inc BROS 0.11% 3.15M $207.7M
302 Fortive Corp FTV 0.11% 3.50M $207.4M
303 Voya Financial Inc VOYA 0.11% 2.08M $207.3M
304 Alexandria Real Estate Equities Inc ARE 0.11% 4.01M $206.2M
305 Globus Medical Inc GMED 0.11% 2.60M $205.0M
306 Broadridge Financial Solutions Inc BR 0.11% 1.33M $204.7M
307 Toro Co/The TTC 0.11% 2.23M $204.7M
308 Valmont Industries Inc VMI 0.11% 423.79K $204.1M
309 Oshkosh Corp OSK 0.11% 1.43M $204.0M
310 Wayfair Inc W 0.11% 2.39M $203.2M
311 Crinetics Pharmaceuticals Inc CRNX 0.11% 2.42M $202.5M
312 Protagonist Therapeutics Inc PTGX 0.11% 1.48M $202.1M
313 Lithia Motors Inc LAD 0.11% 524.04K $202.0M
314 GameStop Corp GME 0.11% 9.28M $201.5M
315 Kratos Defense & Security Solutions Inc KTOS 0.11% 4.31M $200.9M
316 First Industrial Realty Trust Inc FR 0.11% 3.05M $200.6M
317 Lincoln National Corp LNC 0.11% 4.40M $200.5M
318 Cipher Digital Inc CIFR 0.11% 8.94M $199.4M
319 Madrigal Pharmaceuticals Inc MDGL 0.11% 424.12K $198.2M
320 Tetra Tech Inc TTEK 0.11% 5.97M $197.9M
321 Timken Co/The TKR 0.11% 1.44M $197.6M
322 Praxis Precision Medicines Inc PRAX 0.11% 640.58K $197.2M
323 AptarGroup Inc ATR 0.11% 1.47M $196.6M
324 Prosperity Bancshares Inc PB 0.11% 2.62M $196.5M
325 Rexford Industrial Realty Inc REXR 0.11% 5.19M $196.0M
326 Jackson Financial Inc JXN 0.11% 1.60M $196.0M
327 Universal Health Services Inc UHS 0.11% 1.16M $195.9M
328 Compass Inc COMP 0.11% 17.18M $195.7M
329 Norwegian Cruise Line Holdings Ltd NCLH 0.11% 10.56M $195.6M
330 Element Solutions Inc ESI 0.11% 5.32M $195.2M
331 AST SpaceMobile Inc ASTS 0.10% 3.26M $192.5M
332 Western Alliance Bancorp WAL 0.10% 2.39M $192.0M
333 Booz Allen Hamilton Holding Corp BAH 0.10% 2.75M $191.9M
334 Henry Schein Inc HSIC 0.10% 2.23M $191.6M
335 FormFactor Inc FORM 0.10% 1.79M $190.4M
336 Core & Main Inc CNM 0.10% 4.32M $190.1M
337 CNH Industrial NV CNH 0.10% 18.52M $189.8M
338 Viper Energy Inc VNOM 0.10% 4.24M $189.2M
339 JFrog Ltd FROG 0.10% 2.37M $188.9M
340 Commerce Bancshares Inc/MO CBSH 0.10% 3.18M $188.7M
341 Sprouts Farmers Market Inc SFM 0.10% 2.16M $188.5M
342 StoneX Group Inc SNEX 0.10% 2.46M $188.2M
343 Alkermes PLC ALKS 0.10% 3.83M $187.8M
344 ESCO Technologies Inc ESE 0.10% 595.27K $187.7M
345 Ionis Pharmaceuticals Inc IONS 0.10% 3.61M $186.9M
346 CarMax Inc KMX 0.10% 3.26M $186.7M
347 Tractor Supply Co TSCO 0.10% 6.03M $185.5M
348 Amkor Technology Inc AMKR 0.10% 3.70M $184.6M
349 LyondellBasell Industries NV LYB 0.10% 2.97M $184.3M
350 Ryman Hospitality Properties Inc RHP 0.10% 1.38M $184.1M
351 Zurn Elkay Water Solutions Corp ZWS 0.10% 3.64M $184.0M
352 Eastman Chemical Co EMN 0.10% 2.63M $183.7M
353 HealthEquity Inc HQY 0.10% 1.83M $183.7M
354 MGM Resorts International MGM 0.10% 4.12M $183.4M
355 Circle Internet Group Inc CRCL 0.10% 2.91M $182.0M
356 IDACORP Inc IDA 0.10% 1.27M $181.9M
357 Chord Energy Corp CHRD 0.10% 1.29M $181.7M
358 SS&C Technologies Holdings Inc SSNC 0.10% 2.35M $181.3M
359 Brown-Forman Corp BF-B 0.10% 6.31M $181.3M
360 NVR Inc NVR 0.10% 29.48K $181.2M
361 InterDigital Inc IDCC 0.10% 594.14K $181.1M
362 Maplebear Inc CART 0.10% 4.05M $180.8M
363 Corebridge Financial Inc CRBG 0.10% 5.77M $180.1M
364 National Fuel Gas Co NFG 0.10% 2.18M $179.8M
365 Jefferies Financial Group Inc JEF 0.10% 3.29M $179.7M
366 Vaxcyte Inc PCVX 0.10% 3.32M $179.6M
367 Kinsale Capital Group Inc KNSL 0.10% 503.74K $179.5M
368 SM Energy Co SM 0.10% 5.51M $179.3M
369 Hexcel Corp HXL 0.10% 1.73M $178.5M
370 UGI Corp UGI 0.10% 4.93M $177.9M
371 Simpson Manufacturing Co Inc SSD 0.10% 945.27K $177.5M
372 Trade Desk Inc/The TTD 0.10% 9.82M $177.1M
373 DaVita Inc DVA 0.10% 737.58K $177.1M
374 Axalta Coating Systems Ltd AXTA 0.10% 4.92M $176.1M
375 Commercial Metals Co CMC 0.09% 2.55M $175.2M
376 Terreno Realty Corp TRNO 0.09% 2.44M $175.2M
377 FirstCash Holdings Inc FCFS 0.09% 856.78K $174.8M
378 Hormel Foods Corp HRL 0.09% 6.96M $174.0M
379 Argan Inc AGX 0.09% 304.99K $174.0M
380 Repligen Corp RGEN 0.09% 1.23M $173.7M
381 Oscar Health Inc OSCR 0.09% 5.50M $171.8M
382 OneMain Holdings Inc OMF 0.09% 2.74M $171.3M
383 Armstrong World Industries Inc AWI 0.09% 980.57K $171.3M
384 Axis Capital Holdings Ltd AXS 0.09% 1.61M $169.5M
385 Etsy Inc ETSY 0.09% 2.07M $169.3M
386 MSA Safety Inc MSA 0.09% 887.55K $168.9M
387 Hanover Insurance Group Inc/The THG 0.09% 723.46K $168.3M
388 Ralliant Corp RAL 0.09% 2.57M $168.2M
389 STAG Industrial Inc STAG 0.09% 4.40M $168.2M
390 StandardAero Inc SARO 0.09% 5.73M $168.0M
391 Antero Midstream Corp AM 0.09% 7.65M $168.0M
392 Avnet Inc AVT 0.09% 1.89M $167.6M
393 Healthcare Realty Trust Inc HR 0.09% 7.97M $167.4M
394 Flutter Entertainment PLC FLUT 0.09% 1.60M $167.2M
395 First American Financial Corp FAF 0.09% 2.23M $166.9M
396 Macerich Co/The MAC 0.09% 6.45M $166.7M
397 Federal Signal Corp FSS 0.09% 1.33M $166.5M
398 JBT Marel Corp JBTM 0.09% 1.20M $165.8M
399 Wynn Resorts Ltd WYNN 0.09% 1.67M $165.8M
400 Silicon Laboratories Inc SLAB 0.09% 758.47K $165.0M
401 Qorvo Inc QRVO 0.09% 1.82M $165.0M
402 TG Therapeutics Inc TGTX 0.09% 3.17M $164.8M
403 Chemed Corp CHE 0.09% 308.43K $164.2M
404 Arcosa Inc ACA 0.09% 1.13M $163.9M
405 UL Solutions Inc ULS 0.09% 1.79M $163.9M
406 Gates Industrial Corp Ltd GTES 0.09% 5.84M $163.4M
407 Applied Digital Corp APLD 0.09% 5.91M $162.0M
408 Victoria's Secret & Co VSXY 0.09% 1.82M $161.8M
409 Mosaic Co/The MOS 0.09% 7.31M $161.7M
410 Kirby Corp KEX 0.09% 1.23M $161.3M
411 Fluor Corp FLR 0.09% 3.21M $161.1M
412 Terawulf Inc WULF 0.09% 9.12M $161.0M
413 NOV Inc NOV 0.09% 8.25M $160.3M
414 Conagra Brands Inc CAG 0.09% 11.00M $159.6M
415 Madison Square Garden Sports Corp MSGS 0.09% 404.15K $159.1M
416 Lamb Weston Holdings Inc LW 0.09% 3.02M $158.5M
417 Riot Platforms Inc RIOT 0.09% 7.83M $157.8M
418 PBF Energy Inc PBF 0.08% 2.18M $157.3M
419 Terex Corp TEX 0.08% 2.49M $156.8M
420 Houlihan Lokey Inc HLI 0.08% 1.25M $156.6M
421 Kymera Therapeutics Inc KYMR 0.08% 1.51M $156.5M
422 Rhythm Pharmaceuticals Inc RYTM 0.08% 1.58M $156.4M
423 Builders FirstSource Inc BLDR 0.08% 2.35M $156.1M
424 EnerSys ENS 0.08% 838.93K $156.1M
425 Hyatt Hotels Corp H 0.08% 895.02K $155.8M
426 Essential Properties Realty Trust Inc EPRT 0.08% 4.97M $155.6M
427 AutoNation Inc AN 0.08% 730.32K $155.1M
428 Sensata Technologies Holding PLC ST 0.08% 3.34M $154.8M
429 A O Smith Corp AOS 0.08% 2.57M $154.7M
430 Valley National Bancorp VLY 0.08% 10.82M $154.7M
431 Plexus Corp PLXS 0.08% 615.27K $154.6M
432 FNB Corp/PA FNB 0.08% 8.17M $154.5M
433 Bruker Corp BRKR 0.08% 2.45M $153.9M
434 IES Holdings Inc IESC 0.08% 206.17K $153.5M
435 United Bankshares Inc/WV UBSI 0.08% 3.17M $153.4M
436 Vornado Realty Trust VNO 0.08% 3.89M $153.3M
437 NewMarket Corp NEU 0.08% 179.79K $152.8M
438 Paycom Software Inc PAYC 0.08% 930.28K $152.5M
439 Enpro Inc NPO 0.08% 485.81K $152.5M
440 MP Materials Corp MP 0.08% 3.68M $152.4M
441 Blue Owl Capital Inc OWL 0.08% 14.76M $152.0M
442 Procore Technologies Inc PCOR 0.08% 2.77M $151.9M
443 Cleveland-Cliffs Inc CLF 0.08% 13.12M $151.1M
444 Molson Coors Beverage Co TAP 0.08% 3.63M $150.7M
445 Rayonier Inc RYN 0.08% 6.92M $150.6M
446 Lear Corp LEA 0.08% 1.15M $150.5M
447 Cirrus Logic Inc CRUS 0.08% 1.16M $150.4M
448 Life Time Group Holdings Inc LTH 0.08% 3.33M $150.1M
449 Figma Inc FIG 0.08% 6.15M $149.5M
450 Lantheus Holdings Inc LNTH 0.08% 1.50M $149.2M
451 McCormick & Co Inc/MD MKC 0.08% 2.92M $148.6M
452 Cava Group Inc CAVA 0.08% 2.28M $148.5M
453 Pool Corp POOL 0.08% 796.03K $147.8M
454 Glacier Bancorp Inc GBCI 0.08% 2.99M $147.5M
455 TXNM Energy Inc TXNM 0.08% 2.54M $147.3M
456 Everus Construction Group Inc ECG 0.08% 1.17M $147.2M
457 MKTLIQ 12/31/2049 0.08% 1.47M $146.7M
458 TPG Inc TPG 0.08% 3.36M $146.7M
459 MGIC Investment Corp MTG 0.08% 4.86M $146.1M
460 GATX Corp GATX 0.08% 816.15K $146.0M
461 Eagle Materials Inc EXP 0.08% 711.64K $145.8M
462 Cogent Biosciences Inc COGT 0.08% 3.73M $145.3M
463 Weatherford International PLC WFRD 0.08% 1.65M $145.2M
464 D-Wave Quantum Inc QBTS 0.08% 8.01M $144.8M
465 AGCO Corp AGCO 0.08% 1.41M $144.5M
466 Ingredion Inc INGR 0.08% 1.45M $144.2M
467 Core Scientific Inc CORZ 0.08% 6.94M $143.9M
468 Hancock Whitney Corp HWC 0.08% 1.87M $143.7M
469 Floor & Decor Holdings Inc FND 0.08% 2.49M $143.1M
470 Lululemon Athletica Inc LULU 0.08% 1.20M $142.8M
471 AAON Inc AAON 0.08% 1.60M $142.6M
472 WEX Inc WEX 0.08% 757.31K $141.6M
473 Erie Indemnity Co ERIE 0.08% 584.06K $141.4M
474 Southwest Gas Holdings Inc SWX 0.08% 1.58M $141.2M
475 SentinelOne Inc S 0.08% 7.35M $140.1M
476 Powell Industries Inc POWL 0.08% 670.26K $139.9M
477 Atlantic Union Bankshares Corp AUB 0.08% 3.29M $139.7M
478 U-Haul Holding Co UHALB 0.08% 2.23M $139.6M
479 Teleflex Inc TFX 0.08% 1.02M $139.2M
480 Crocs Inc CROX 0.08% 1.09M $139.0M
481 Chime Financial Inc CHYM 0.07% 6.02M $138.3M
482 Bio-Rad Laboratories Inc BIO 0.07% 424.17K $138.1M
483 Mohawk Industries Inc MHK 0.07% 1.12M $138.0M
484 Genpact Ltd G 0.07% 3.90M $137.0M
485 Archrock Inc AROC 0.07% 3.82M $136.8M
486 Magnolia Oil & Gas Corp MGY 0.07% 5.32M $136.7M
487 Home BancShares Inc/AR HOMB 0.07% 4.40M $136.6M
488 Landstar System Inc LSTR 0.07% 780.20K $136.4M
489 Lumen Technologies Inc LUMN 0.07% 21.32M $136.0M
490 Paylocity Holding Corp PCTY 0.07% 984.02K $135.7M
491 Macy's Inc M 0.07% 5.46M $135.5M
492 Hims & Hers Health Inc HIMS 0.07% 4.87M $135.3M
493 CoStar Group Inc CSGP 0.07% 4.70M $135.0M
494 Mobility Global Inc MBGL 0.07% 6.62M $135.0M
495 Forgent Power Solutions Inc FPS 0.07% 4.05M $134.7M
496 New Jersey Resources Corp NJR 0.07% 2.32M $134.2M
497 ACI Worldwide Inc ACIW 0.07% 2.34M $134.1M
498 Matson Inc MATX 0.07% 661.18K $133.9M
499 Kite Realty Group Trust KRG 0.07% 4.67M $133.7M
500 Planet Labs PBC PL 0.07% 6.51M $133.3M
501 Charter Communications Inc CHTR 0.07% 919.04K $133.2M
502 Elastic NV ESTC 0.07% 2.02M $133.0M
503 Essent Group Ltd ESNT 0.07% 2.01M $132.7M
504 GXO Logistics Inc GXO 0.07% 2.65M $132.7M
505 Caesars Entertainment Inc CZR 0.07% 4.45M $132.4M
506 Oklo Inc OKLO 0.07% 3.40M $132.0M
507 Lyft Inc LYFT 0.07% 8.29M $131.5M
508 LKQ Corp LKQ 0.07% 5.86M $131.5M
509 Portland General Electric Co POR 0.07% 2.66M $131.3M
510 Bentley Systems Inc BSY 0.07% 3.70M $131.1M
511 Ormat Technologies Inc ORA 0.07% 1.34M $131.0M
512 MaxLinear Inc MXL 0.07% 1.96M $130.7M
513 Selective Insurance Group Inc SIGI 0.07% 1.38M $130.5M
514 AeroVironment Inc AVAV 0.07% 872.66K $130.3M
515 PTC Therapeutics Inc PTCT 0.07% 1.91M $129.7M
516 Starwood Property Trust Inc STWD 0.07% 8.10M $129.5M
517 RLI Corp RLI 0.07% 2.11M $129.5M
518 Casella Waste Systems Inc CWST 0.07% 1.44M $129.2M
519 VF Corp VFC 0.07% 9.01M $129.0M
520 Celsius Holdings Inc CELH 0.07% 4.41M $128.8M
521 Fortune Brands Innovations Inc FBIN 0.07% 2.61M $128.4M
522 Churchill Downs Inc CHDN 0.07% 1.52M $128.3M
523 H&R Block Inc HRB 0.07% 2.91M $128.3M
524 Ameris Bancorp ABCB 0.07% 1.47M $128.2M
525 Matador Resources Co MTDR 0.07% 2.57M $128.2M
526 Sonoco Products Co SON 0.07% 2.27M $128.1M
527 Nexstar Media Group Inc NXST 0.07% 667.00K $127.1M
528 Zillow Group Inc Z 0.07% 3.72M $126.9M
529 Rithm Capital Corp RITM 0.07% 12.83M $126.8M
530 MSC Industrial Direct Co Inc MSM 0.07% 1.03M $126.6M
531 Mirum Pharmaceuticals Inc MIRM 0.07% 1.19M $126.3M
532 Sirius XM Holdings Inc SIRI 0.07% 4.26M $126.1M
533 Axos Financial Inc AX 0.07% 1.24M $126.0M
534 MarketAxess Holdings Inc MKTX 0.07% 776.00K $125.9M
535 Ligand Pharmaceuticals Inc LGND 0.07% 437.81K $125.9M
536 TKO Group Holdings Inc TKO 0.07% 689.44K $125.3M
537 Bank OZK OZK 0.07% 2.44M $125.3M
538 Middleby Corp/The MIDD 0.07% 935.74K $125.0M
539 Karman Holdings Inc KRMN 0.07% 2.59M $124.7M
540 Black Hills Corp BKH 0.07% 1.75M $124.7M
541 Twist Bioscience Corp TWST 0.07% 1.36M $124.5M
542 Noble Corp PLC NE 0.07% 2.93M $124.4M
543 Murphy Oil Corp MUR 0.07% 3.13M $124.4M
544 Balchem Corp BCPC 0.07% 738.84K $123.8M
545 Primo Brands Corp PRMB 0.07% 5.42M $123.1M
546 Phillips Edison & Co Inc PECO 0.07% 2.90M $123.1M
547 Transocean Ltd RIG 0.07% 23.11M $122.9M
548 Sabra Health Care REIT Inc SBRA 0.07% 5.80M $122.7M
549 CG oncology Inc CGON 0.07% 1.72M $122.7M
550 Outfront Media Inc OUT 0.07% 3.85M $122.6M
551 Wyndham Hotels & Resorts Inc WH 0.07% 1.64M $122.4M
552 Vail Resorts Inc MTN 0.07% 819.28K $122.4M
553 Granite Construction Inc GVA 0.07% 1.01M $121.7M
554 AAR Corp AIR 0.07% 868.08K $121.6M
555 Alaska Air Group Inc ALK 0.07% 2.56M $121.5M
556 Clear Secure Inc YOU 0.07% 2.20M $121.4M
557 Vicor Corp VICR 0.07% 584.05K $121.1M
558 Sensient Technologies Corp SXT 0.07% 978.81K $121.0M
559 10X Genomics Inc TXG 0.07% 2.55M $120.7M
560 Mercury Systems Inc MRCY 0.07% 1.24M $120.5M
561 EPAM Systems Inc EPAM 0.07% 1.14M $120.4M
562 UiPath Inc PATH 0.06% 9.42M $120.3M
563 CSW Industrials Inc CSW 0.06% 375.23K $119.7M
564 Cousins Properties Inc CUZ 0.06% 3.78M $119.3M
565 Radian Group Inc RDN 0.06% 3.06M $119.3M
566 ServiceTitan Inc TTAN 0.06% 1.43M $118.6M
567 Duolingo Inc DUOL 0.06% 878.82K $118.5M
568 Ryan Specialty Holdings Inc RYAN 0.06% 2.68M $118.3M
569 Brunswick Corp/DE BC 0.06% 1.49M $118.0M
570 Piper Sandler Cos PIPR 0.06% 1.55M $117.6M
571 Zeta Global Holdings Corp ZETA 0.06% 5.44M $117.6M
572 Installed Building Products Inc IBP 0.06% 526.50K $117.4M
573 Frontdoor Inc FTDR 0.06% 1.61M $117.3M
574 Qualys Inc QLYS 0.06% 809.92K $117.2M
575 PriceSmart Inc PSMT 0.06% 603.95K $117.1M
576 Versant Media Group Inc VSNT 0.06% 3.24M $116.8M
577 Novanta Inc NOVT 0.06% 818.78K $116.7M
578 Science Applications International Corp SAIC 0.06% 991.13K $116.1M
579 Allegro MicroSystems Inc ALGM 0.06% 2.78M $115.5M
580 Herc Holdings Inc HRI 0.06% 767.85K $115.3M
581 Esab Corp ESAB 0.06% 1.33M $115.1M
582 Chewy Inc CHWY 0.06% 5.08M $114.8M
583 Moelis & Co MC 0.06% 1.71M $114.7M
584 Tempus AI Inc TEM 0.06% 2.61M $114.4M
585 Gentex Corp GNTX 0.06% 4.90M $114.4M
586 White Mountains Insurance Group Ltd WTM 0.06% 54.10K $113.5M
587 Snap Inc SNAP 0.06% 24.18M $113.4M
588 ExlService Holdings Inc EXLS 0.06% 3.34M $113.2M
589 Gitlab Inc GTLB 0.06% 3.28M $113.2M
590 Celanese Corp CE 0.06% 2.52M $112.8M
591 UFP Industries Inc UFPI 0.06% 1.30M $112.6M
592 Valvoline Inc VVV 0.06% 2.93M $112.6M
593 CNO Financial Group Inc CNO 0.06% 2.04M $112.3M
594 Indivior Pharmaceuticals Inc INDV 0.06% 2.80M $112.2M
595 Brink's Co/The BCO 0.06% 946.81K $112.1M
596 ONE Gas Inc OGS 0.06% 1.44M $112.0M
597 Oceaneering International Inc OII 0.06% 2.29M $111.9M
598 HA Sustainable Infrastructure Capital Inc HASI 0.06% 2.95M $111.8M
599 Commvault Systems Inc CVLT 0.06% 948.48K $111.7M
600 Virtu Financial Inc VIRT 0.06% 1.90M $111.7M
601 Rush Enterprises Inc RUSHA 0.06% 1.40M $111.6M
602 Sotera Health Co SHC 0.06% 6.23M $111.2M
603 Belden Inc BDC 0.06% 895.61K $111.1M
604 Merit Medical Systems Inc MMSI 0.06% 1.30M $110.8M
605 CNX Resources Corp CNX 0.06% 3.09M $110.6M
606 FTI Consulting Inc FCN 0.06% 692.70K $110.4M
607 Eastern Bankshares Inc EBC 0.06% 4.78M $109.8M
608 Gap Inc/The GAP 0.06% 5.46M $109.7M
609 Vishay Intertechnology Inc VSH 0.06% 3.20M $109.4M
610 EPR Properties EPR 0.06% 1.76M $109.2M
611 Lazard Inc LAZ 0.06% 2.57M $108.8M
612 Liberty Live Holdings Inc LLYVK 0.06% 1.10M $108.7M
613 Rigetti Computing Inc RGTI 0.06% 7.26M $108.5M
614 Uranium Energy Corp UEC 0.06% 11.27M $108.2M
615 Enphase Energy Inc ENPH 0.06% 2.88M $108.1M
616 elf Beauty Inc ELF 0.06% 1.30M $107.6M
617 Resideo Technologies Inc REZI 0.06% 3.13M $107.5M
618 SLM Corp SLM 0.06% 4.12M $107.1M
619 Fulton Financial Corp FULT 0.06% 4.39M $106.9M
620 ServisFirst Bancshares Inc SFBS 0.06% 1.19M $106.9M
621 KBR Inc KBR 0.06% 2.92M $106.8M
622 Dropbox Inc DBX 0.06% 3.27M $106.5M
623 Kontoor Brands Inc KTB 0.06% 1.27M $106.4M
624 Campbell's Company/The CPB 0.06% 4.80M $105.4M
625 Laureate Education Inc LAUR 0.06% 2.74M $104.8M
626 Louisiana-Pacific Corp LPX 0.06% 1.45M $104.7M
627 Cabot Corp CBT 0.06% 1.19M $104.5M
628 Cheesecake Factory Inc/The CAKE 0.06% 1.03M $104.2M
629 Vontier Corp VNT 0.06% 3.24M $104.0M
630 Boot Barn Holdings Inc BOOT 0.06% 697.71K $104.0M
631 RadNet Inc RDNT 0.06% 1.63M $103.8M
632 Kilroy Realty Corp KRC 0.06% 2.67M $103.8M
633 Cactus Inc. Class A WHD 0.06% 1.60M $103.7M
634 Travel + Leisure Co TNL 0.06% 1.36M $103.6M
635 Trex Co Inc TREX 0.06% 2.39M $103.6M
636 ADT Inc ADT 0.06% 13.55M $103.5M
637 Spire Inc SR 0.06% 1.29M $103.1M
638 First BanCorp/Puerto Rico FBP 0.06% 3.56M $102.9M
639 Construction Partners Inc ROAD 0.06% 993.01K $102.6M
640 Ollie's Bargain Outlet Holdings Inc OLLI 0.06% 1.40M $102.5M
641 Abercrombie & Fitch Co ANF 0.06% 1.03M $102.4M
642 Meritage Homes Corp MTH 0.06% 1.46M $102.3M
643 Urban Outfitters Inc URBN 0.06% 1.38M $102.2M
644 Envista Holdings Corp NVST 0.06% 3.74M $102.2M
645 California Resources Corp CRC 0.06% 1.94M $102.0M
646 Tanger Inc SKT 0.06% 2.51M $102.0M
647 Planet Fitness Inc PLNT 0.05% 1.82M $101.7M
648 Itron Inc ITRI 0.05% 1.02M $101.7M
649 Boyd Gaming Corp BYD 0.05% 1.19M $101.6M
650 Valaris Ltd VAL 0.05% 1.27M $100.9M
651 Materion Corp MTRN 0.05% 478.35K $100.9M
652 Mattel Inc MAT 0.05% 6.68M $100.8M
653 Impinj Inc PI 0.05% 665.29K $100.7M
654 Champion Homes Inc SKY 0.05% 1.26M $100.5M
655 Associated Banc-Corp ASB 0.05% 3.24M $100.2M
656 Varonis Systems Inc VRNS 0.05% 2.51M $100.1M
657 Primoris Services Corp PRIM 0.05% 1.19M $100.0M
658 Federated Hermes Inc FHI 0.05% 1.66M $99.4M
659 Texas Capital Bancshares Inc TCBI 0.05% 1.00M $99.2M
660 Asbury Automotive Group Inc ABG 0.05% 428.24K $99.2M
661 MILLROSE PROPERTIES MRP 0.05% 3.55M $99.2M
662 COPT Defense Properties CDP 0.05% 2.61M $99.0M
663 Globalstar Inc GSAT 0.05% 1.18M $98.8M
664 International Bancshares Corp IBOC 0.05% 1.29M $98.5M
665 First Financial Bankshares Inc FFIN 0.05% 2.80M $98.4M
666 Korn Ferry KFY 0.05% 1.19M $98.1M
667 BGC Group Inc BGC 0.05% 8.50M $97.9M
668 UniFirst Corp/MA UNF 0.05% 334.12K $97.9M
669 Iridium Communications Inc IRDM 0.05% 2.07M $97.8M
670 United Community Banks Inc/GA UCB 0.05% 2.75M $97.5M
671 SkyWest Inc SKYW 0.05% 911.69K $97.5M
672 Northwestern Energy Group Inc NWE 0.05% 1.41M $97.2M
673 Joby Aviation Inc JOBY 0.05% 13.57M $97.0M
674 Atmus Filtration Technologies Inc ATMU 0.05% 1.88M $97.0M
675 ICU Medical Inc ICUI 0.05% 574.96K $96.9M
676 OPENLANE Inc OPLN 0.05% 2.44M $96.9M
677 Warrior Met Coal Inc HCC 0.05% 1.21M $96.4M
678 SiteOne Landscape Supply Inc SITE 0.05% 1.02M $96.2M
679 WillScot Holdings Corp WSC 0.05% 3.95M $96.0M
680 MDU Resources Group Inc MDU 0.05% 4.81M $95.9M
681 Life360 Inc LIF 0.05% 1.77M $95.7M
682 Knife River Corp KNF 0.05% 1.30M $95.5M
683 Box Inc BOX 0.05% 3.03M $95.5M
684 Bread Financial Holdings Inc BFH 0.05% 882.37K $95.4M
685 PJT Partners Inc PJT 0.05% 564.27K $95.0M
686 AZZ Inc AZZ 0.05% 655.73K $94.9M
687 RingCentral Inc RNG 0.05% 1.70M $94.6M
688 Integer Holdings Corp ITGR 0.05% 780.52K $94.6M
689 Appfolio Inc APPF 0.05% 524.10K $94.4M
690 Broadstone Net Lease Inc BNL 0.05% 4.41M $94.4M
691 MARA Holdings Inc MARA 0.05% 8.33M $94.3M
692 Remitly Global Inc RELY 0.05% 4.12M $93.7M
693 Bath & Body Works Inc BBWI 0.05% 4.63M $93.2M
694 Independent Bank Corp INDB 0.05% 1.11M $93.1M
695 BILL Holdings Inc BILL 0.05% 2.06M $93.1M
696 Covista Inc CVSA 0.05% 743.32K $92.8M
697 Cathay General Bancorp CATY 0.05% 1.46M $92.5M
698 Liberty Broadband Corp LBRDK 0.05% 2.72M $92.5M
699 Americold Realty Trust Inc COLD 0.05% 6.56M $92.4M
700 Renasant Corp RNST 0.05% 2.12M $92.4M
701 Miami International Holdings Inc MIAX 0.05% 1.96M $92.3M
702 Albertsons Cos Inc ACI 0.05% 7.96M $92.2M
703 Axcelis Technologies Inc ACLS 0.05% 706.65K $92.1M
704 PVH Corp PVH 0.05% 1.06M $91.8M
705 WesBanco Inc WSBC 0.05% 2.21M $91.6M
706 Patterson-UTI Energy Inc PTEN 0.05% 8.73M $91.5M
707 WSFS Financial Corp WSFS 0.05% 1.14M $91.2M
708 Delek US Holdings Inc DK 0.05% 1.34M $90.9M
709 Mueller Water Products Inc MWA 0.05% 3.60M $90.8M
710 Apogee Therapeutics Inc APGE 0.05% 676.20K $90.7M
711 Synaptics Inc SYNA 0.05% 843.93K $90.6M
712 Franklin Electric Co Inc FELE 0.05% 863.25K $90.4M
713 GEO Group Inc/The GEO 0.05% 2.92M $90.2M
714 Badger Meter Inc BMI 0.05% 671.12K $90.2M
715 Bright Horizons Family Solutions Inc BFAM 0.05% 1.21M $90.1M
716 Independence Realty Trust Inc IRT 0.05% 5.42M $90.1M
717 Xometry Inc XMTR 0.05% 1.05M $90.1M
718 Brady Corp BRC 0.05% 951.66K $89.7M
719 Insight Enterprises Inc NSIT 0.05% 694.85K $89.6M
720 Haemonetics Corp HAE 0.05% 1.04M $89.4M
721 Grand Canyon Education Inc LOPE 0.05% 609.81K $88.6M
722 Flagstar Bank NA FLG 0.05% 6.23M $88.6M
723 Clearway Energy Inc CWEN 0.05% 2.79M $88.4M
724 Cinemark Holdings Inc CNK 0.05% 2.42M $88.4M
725 Spyre Therapeutics Inc SYRE 0.05% 898.64K $88.4M
726 News Corp NWS 0.05% 2.82M $88.1M
727 Core Natural Resources Inc CNR 0.05% 1.10M $87.9M
728 Galaxy Digital Inc GLXY 0.05% 4.18M $87.9M
729 Graham Holdings Co GHC 0.05% 73.02K $87.9M
730 IRhythm Holdings Inc IRTC 0.05% 743.36K $87.1M
731 SL Green Realty Corp SLG 0.05% 1.64M $86.6M
732 Griffon Corp GFF 0.05% 1.00M $86.3M
733 CVB Financial Corp CVBF 0.05% 3.86M $86.3M
734 Thor Industries Inc THO 0.05% 1.15M $86.2M
735 Sphere Entertainment Co SPHR 0.05% 598.68K $85.8M
736 Otter Tail Corp OTTR 0.05% 965.16K $85.3M
737 YETI Holdings Inc YETI 0.05% 1.74M $85.1M
738 Veracyte Inc VCYT 0.05% 1.83M $85.0M
739 Legence Corp LGN 0.05% 1.33M $84.8M
740 Leonardo DRS Inc DRS 0.05% 1.84M $84.7M
741 Signet Jewelers Ltd SIG 0.05% 911.62K $84.7M
742 Robert Half Inc RHI 0.05% 2.23M $84.4M
743 Morningstar Inc MORN 0.05% 437.05K $84.2M
744 Highwoods Properties Inc HIW 0.05% 2.53M $83.9M
745 Concentra Group Holdings Parent Inc CON 0.05% 2.65M $83.8M
746 Kadant Inc KAI 0.05% 271.45K $83.5M
747 Q2 Holdings Inc QTWO 0.04% 1.37M $83.3M
748 Polaris Inc PII 0.04% 1.24M $83.3M
749 Option Care Health Inc OPCH 0.04% 3.61M $83.1M
750 Cal-Maine Foods Inc CALM 0.04% 947.00K $83.1M
751 Warner Music Group Corp WMG 0.04% 3.20M $82.9M
752 Tenable Holdings Inc TENB 0.04% 2.53M $82.7M
753 Applied Optoelectronics Inc AAOI 0.04% 876.48K $82.7M
754 Diodes Inc DIOD 0.04% 1.00M $82.6M
755 Standex International Corp SXI 0.04% 278.56K $82.6M
756 Silgan Holdings Inc SLGN 0.04% 2.07M $82.6M
757 Ambarella Inc AMBA 0.04% 957.90K $82.4M
758 Dorman Products Inc DORM 0.04% 618.62K $82.4M
759 Genworth Financial Inc GNW 0.04% 8.37M $82.2M
760 Penske Automotive Group Inc PAG 0.04% 378.00K $82.1M
761 Universal Display Corp OLED 0.04% 1.02M $81.8M
762 Organon & Co OGN 0.04% 6.04M $81.8M
763 Brighthouse Financial Inc BHF 0.04% 1.32M $81.8M
764 Dolby Laboratories Inc DLB 0.04% 1.39M $81.5M
765 StepStone Group Inc STEP 0.04% 1.85M $81.3M
766 Wingstop Inc WING 0.04% 626.16K $81.1M
767 National Health Investors Inc NHI 0.04% 1.06M $81.1M
768 Post Holdings Inc POST 0.04% 885.16K $80.9M
769 Apple Hospitality REIT Inc APLE 0.04% 4.88M $80.6M
770 Viking Therapeutics Inc VKTX 0.04% 2.54M $80.5M
771 Hamilton Lane Inc HLNE 0.04% 903.77K $80.4M
772 Assured Guaranty Ltd AGO 0.04% 967.06K $80.0M
773 Mirion Technologies Inc MIR 0.04% 5.34M $80.0M
774 Hinge Health Inc HNGE 0.04% 1.07M $79.8M
775 NCR Atleos Corp NATL 0.04% 1.69M $79.7M
776 OSI Systems Inc OSIS 0.04% 359.69K $79.6M
777 Simmons First National Corp SFNC 0.04% 3.33M $78.6M
778 Community Financial System Inc CBU 0.04% 1.21M $78.3M
779 BankUnited Inc BKU 0.04% 1.67M $78.0M
780 CCC Intelligent Solutions Holdings Inc CCC 0.04% 12.81M $78.0M
781 Red Rock Resorts Inc RRR 0.04% 1.21M $78.0M
782 LXP Industrial Trust LXP 0.04% 1.29M $77.9M
783 Park National Corp PRK 0.04% 374.24K $77.9M
784 First Hawaiian Inc FHB 0.04% 2.80M $77.8M
785 Power Integrations Inc POWI 0.04% 1.28M $77.8M
786 First Financial Bancorp FFBC 0.04% 2.29M $77.5M
787 Steven Madden Ltd SHOO 0.04% 1.68M $77.4M
788 American States Water Co AWR 0.04% 900.09K $77.1M
789 Advance Auto Parts Inc AAP 0.04% 1.39M $77.0M
790 Avista Corp AVA 0.04% 1.90M $76.8M
791 Lemonade Inc LMND 0.04% 1.59M $76.8M
792 RXO Inc RXO 0.04% 3.79M $76.8M
793 Avient Corp AVNT 0.04% 2.11M $76.6M
794 Towne Bank/Portsmouth VA TOWN 0.04% 2.02M $76.4M
795 Ashland Inc ASH 0.04% 1.05M $76.4M
796 ACADIA Pharmaceuticals Inc ACAD 0.04% 2.95M $76.4M
797 Brookdale Senior Living Inc BKD 0.04% 5.22M $76.2M
798 KB Home KBH 0.04% 1.37M $75.2M
799 Amentum Holdings Inc AMTM 0.04% 3.37M $74.8M
800 Stride Inc LRN 0.04% 929.36K $74.6M
801 HNI Corp HNI 0.04% 1.65M $74.5M
802 Group 1 Automotive Inc GPI 0.04% 259.65K $74.5M
803 Exponent Inc EXPO 0.04% 1.11M $74.4M
804 Crescent Energy Co CRGY 0.04% 6.45M $74.0M
805 Amneal Pharmaceuticals Inc AMRX 0.04% 4.03M $73.9M
806 ArcBest Corp ARCB 0.04% 511.93K $73.9M
807 Loar Holdings Inc LOAR 0.04% 1.08M $73.7M
808 Fastly Inc FSLY 0.04% 3.24M $73.4M
809 Graphic Packaging Holding Co GPK 0.04% 6.80M $73.0M
810 Tidewater Inc TDW 0.04% 971.75K $72.9M
811 Immunovant Inc IMVT 0.04% 1.89M $72.9M
812 Bank of Hawaii Corp BOH 0.04% 910.67K $72.8M
813 Maximus Inc MMS 0.04% 1.21M $72.7M
814 Billiontoone Inc BLLN 0.04% 524.08K $72.6M
815 First Interstate BancSystem Inc FIBK 0.04% 1.90M $72.2M
816 Hayward Holdings Inc HAYW 0.04% 4.74M $71.7M
817 Helmerich & Payne Inc HP 0.04% 2.07M $71.5M
818 Cushman & Wakefield Ltd CWK 0.04% 5.32M $71.4M
819 Denali Therapeutics Inc DNLI 0.04% 3.10M $71.4M
820 Century Aluminum Co CENX 0.04% 1.59M $71.3M
821 Kiniksa Pharmaceuticals International Plc KNSA 0.04% 958.16K $71.2M
822 Academy Sports & Outdoors Inc ASO 0.04% 1.48M $70.4M
823 Provident Financial Services Inc PFS 0.04% 2.85M $70.2M
824 WD-40 Co WDFC 0.04% 309.04K $70.2M
825 Kyndryl Holdings Inc KD 0.04% 5.18M $70.2M
826 Telephone and Data Systems Inc TDS 0.04% 2.08M $69.7M
827 Paramount Skydance Corp PSKY 0.04% 8.76M $69.7M
828 Marriott Vacations Worldwide Corp VAC 0.04% 710.56K $69.3M
829 HB Fuller Co FUL 0.04% 1.25M $69.3M
830 California Water Service Group CWT 0.04% 1.38M $69.1M
831 MGE Energy Inc MGEE 0.04% 867.30K $69.0M
832 Acadia Realty Trust AKR 0.04% 3.07M $69.0M
833 Archer Aviation Inc ACHR 0.04% 14.84M $68.9M
834 Workiva Inc. Class A WK 0.04% 1.15M $68.5M
835 Knowles Corp KN 0.04% 1.87M $68.4M
836 Madison Square Garden Entertainment Corp MSGE 0.04% 883.31K $68.2M
837 Mercury General Corp MCY 0.04% 636.91K $68.2M
838 Shift4 Payments Inc FOUR 0.04% 1.28M $67.6M
839 United Natural Foods Inc UNFI 0.04% 1.33M $67.5M
840 Versigent PLC VGNT 0.04% 1.63M $67.4M
841 Freshpet Inc FRPT 0.04% 1.13M $67.3M
842 Kodiak Gas Services Inc KGS 0.04% 1.14M $67.1M
843 Hilton Grand Vacations Inc HGV 0.04% 1.45M $67.0M
844 Dana Inc DAN 0.04% 2.49M $67.0M
845 NuScale Power Corp SMR 0.04% 7.96M $67.0M
846 Opendoor Technologies Inc OPEN 0.04% 17.75M $66.9M
847 Curbline Properties Corp CURB 0.04% 2.18M $66.9M
848 Liberty Energy Inc LBRT 0.04% 3.57M $66.7M
849 Veeco Instruments Inc VECO 0.04% 1.33M $66.7M
850 DigitalBridge Group Inc DBRG 0.04% 4.19M $66.6M
851 Lineage Inc LINE 0.04% 1.57M $66.5M
852 Park Hotels & Resorts Inc PK 0.04% 4.40M $66.2M
853 Plug Power Inc PLUG 0.04% 32.08M $66.1M
854 Scotts Miracle-Gro Co/The SMG 0.04% 1.00M $65.9M
855 Urban Edge Properties UE 0.04% 2.90M $65.6M
856 McGrath RentCorp MGRC 0.04% 564.67K $65.0M
857 National HealthCare Corp NHC 0.04% 287.34K $64.9M
858 CoreCivic Inc CXW 0.03% 2.16M $64.6M
859 CBIZ Inc CBZ 0.03% 1.17M $64.6M
860 Pegasystems Inc PEGA 0.03% 2.11M $64.5M
861 ABM Industries Inc ABM 0.03% 1.35M $64.4M
862 Adeia Inc ADEA 0.03% 2.41M $64.2M
863 Kinetik Holdings Inc KNTK 0.03% 1.27M $64.2M
864 Visteon Corp VC 0.03% 613.59K $64.1M
865 Choice Hotels International Inc CHH 0.03% 575.28K $64.1M
866 Columbia Financial Inc CLBK 0.03% 5.91M $63.9M
867 Teradata Corp TDC 0.03% 2.06M $63.8M
868 Alignment Healthcare Inc ALHC 0.03% 4.28M $63.5M
869 NetScout Systems Inc NTCT 0.03% 1.56M $63.5M
870 InvenTrust Properties Corp IVT 0.03% 1.79M $63.4M
871 Doximity Inc DOCS 0.03% 3.03M $63.4M
872 Penn Entertainment Inc PENN 0.03% 3.08M $63.2M
873 VSE Corp VSEC 0.03% 322.50K $62.7M
874 Freshworks Inc FRSH 0.03% 5.52M $62.7M
875 Benchmark Electronics Inc BHE 0.03% 783.61K $62.5M
876 WaFd Inc WAFD 0.03% 1.70M $62.5M
877 Warby Parker Inc WRBY 0.03% 2.34M $62.4M
878 DiamondRock Hospitality Co DRH 0.03% 4.70M $62.2M
879 Lionsgate Studios Corp LION 0.03% 4.68M $62.1M
880 Boise Cascade Co BCC 0.03% 808.86K $61.8M
881 Privia Health Group Inc PRVA 0.03% 2.61M $61.7M
882 DENTSPLY SIRONA Inc XRAY 0.03% 4.60M $61.6M
883 Acushnet Holdings Corp GOLF 0.03% 605.79K $61.3M
884 WisdomTree Inc WT 0.03% 3.16M $61.3M
885 Peloton Interactive Inc PTON 0.03% 9.59M $61.3M
886 Rush Street Interactive Inc RSI 0.03% 2.27M $61.0M
887 Artisan Partners Asset Management Inc APAM 0.03% 1.55M $60.9M
888 Trustmark Corp TRMK 0.03% 1.28M $60.7M
889 Beacon Financial Corp BBT 0.03% 1.93M $60.7M
890 ImmunityBio Inc IBRX 0.03% 8.43M $60.4M
891 Beam Therapeutics Inc BEAM 0.03% 2.37M $60.4M
892 Magnite Inc MGNI 0.03% 3.13M $60.4M
893 Neogen Corp NEOG 0.03% 5.00M $60.2M
894 Cargurus Inc CARG 0.03% 1.66M $60.1M
895 NBT Bancorp Inc NBTB 0.03% 1.14M $59.8M
896 Peabody Energy Corp BTU 0.03% 2.80M $59.7M
897 MYR Group Inc MYRG 0.03% 179.05K $59.7M
898 American Eagle Outfitters Inc AEO 0.03% 3.47M $59.6M
899 Kennametal Inc KMT 0.03% 1.75M $59.5M
900 Acadia Healthcare Co Inc ACHC 0.03% 2.01M $59.5M
901 Phinia Inc PHIN 0.03% 808.46K $59.5M
902 First Merchants Corp FRME 0.03% 1.38M $59.4M
903 Harley-Davidson Inc HOG 0.03% 2.42M $59.4M
904 DNOW Inc DNOW 0.03% 4.20M $59.3M
905 Helios Technologies Inc HLIO 0.03% 759.82K $59.2M
906 Alarm.com Holdings Inc ALRM 0.03% 1.08M $59.2M
907 BOK Financial Corp BOKF 0.03% 418.47K $59.1M
908 People Inc PPLI 0.03% 1.42M $59.0M
909 SPS Commerce Inc SPSC 0.03% 799.63K $58.7M
910 Ingevity Corp NGVT 0.03% 799.50K $58.5M
911 Crane NXT Co CXT 0.03% 1.12M $58.4M
912 Hub Group Inc HUBG 0.03% 1.25M $58.3M
913 TransMedics Group Inc TMDX 0.03% 754.81K $57.8M
914 RH RH 0.03% 347.62K $57.5M
915 Figure Technology Solutions Inc FIGR 0.03% 2.31M $57.5M
916 SIRIUSPOINT LTD SPNT 0.03% 2.43M $57.5M
917 St Joe Co/The JOE 0.03% 923.74K $57.5M
918 Chemours Co/The CC 0.03% 3.46M $57.4M
919 Trinity Industries Inc TRN 0.03% 1.83M $57.1M
920 Kaiser Aluminum Corp KALU 0.03% 356.96K $57.0M
921 Victory Capital Holdings Inc VCTR 0.03% 575.02K $56.9M
922 Atkore Inc ATKR 0.03% 776.16K $56.6M
923 BancFirst Corp BANF 0.03% 501.73K $56.6M
924 Supernus Pharmaceuticals Inc SUPN 0.03% 1.27M $56.6M
925 SoundHound AI Inc SOUN 0.03% 9.20M $56.4M
926 Euronet Worldwide Inc EEFT 0.03% 786.81K $56.1M
927 ManpowerGroup Inc MAN 0.03% 1.07M $56.0M
928 Whirlpool Corp WHR 0.03% 1.49M $55.9M
929 Avis Budget Group Inc CAR 0.03% 406.13K $55.8M
930 Waystar Holding Corp WAY 0.03% 2.64M $55.8M
931 QuantumScape Corp QS 0.03% 10.64M $55.5M
932 Shake Shack Inc SHAK 0.03% 881.30K $55.3M
933 Madison Air Solutions Corp MAIR 0.03% 1.89M $55.0M
934 Centuri Holdings Inc CTRI 0.03% 1.97M $54.9M
935 Klaviyo Inc KVYO 0.03% 3.07M $54.8M
936 International Seaways Inc INSW 0.03% 569.18K $54.7M
937 Credit Acceptance Corp CACC 0.03% 96.17K $54.7M
938 Newell Brands Inc NWL 0.03% 9.77M $54.7M
939 Prestige Consumer Healthcare Inc PBH 0.03% 1.09M $54.7M
940 Allegiant Travel Co ALGT 0.03% 556.06K $54.5M
941 Parsons Corp PSN 0.03% 1.23M $54.4M
942 Minerals Technologies Inc MTX 0.03% 713.01K $54.4M
943 LCI Industries LCII 0.03% 530.27K $54.3M
944 Uniti Group Inc UNIT 0.03% 5.58M $54.3M
945 Huron Consulting Group Inc HURN 0.03% 354.52K $53.8M
946 Blackstone Mortgage Trust Inc BXMT 0.03% 3.68M $53.6M
947 Cohen & Steers Inc CNS 0.03% 650.06K $53.5M
948 Ultragenyx Pharmaceutical Inc RARE 0.03% 2.14M $53.4M
949 Callaway Golf Co CALY 0.03% 2.89M $53.4M
950 Northwest Bancshares Inc NWBI 0.03% 3.36M $52.9M
951 Andersons Inc/The ANDE 0.03% 744.01K $52.7M
952 Levi Strauss & Co LEVI 0.03% 2.14M $52.6M
953 Banner Corp BANR 0.03% 741.64K $52.2M
954 Westlake Corp WLK 0.03% 736.44K $51.9M
955 Arxis Inc ARXS 0.03% 951.69K $51.7M
956 Werner Enterprises Inc WERN 0.03% 1.38M $51.6M
957 LifeStance Health Group Inc LFST 0.03% 4.91M $51.4M
958 OFG Bancorp OFG 0.03% 971.39K $51.3M
959 Upstart Holdings Inc UPST 0.03% 1.87M $51.3M
960 Quaker Chemical Corp KWR 0.03% 319.37K $51.3M
961 Sunrun Inc RUN 0.03% 5.21M $51.1M
962 Medical Properties Trust Inc MPT 0.03% 11.00M $50.9M
963 Navan Inc NAVN 0.03% 1.91M $50.8M
964 Rogers Corp ROG 0.03% 410.31K $50.7M
965 Interparfums Inc IPAR 0.03% 405.23K $50.5M
966 Progyny Inc PGNY 0.03% 1.62M $50.5M
967 Sunstone Hotel Investors Inc SHO 0.03% 4.28M $50.4M
968 Janus Living Inc JAN 0.03% 1.66M $50.1M
969 Pediatrix Medical Group Inc MD 0.03% 1.89M $50.1M
970 IPG Photonics Corp IPGP 0.03% 585.41K $49.8M
971 LiveRamp Holdings Inc RAMP 0.03% 1.31M $49.7M
972 ACM Research Inc ACMR 0.03% 632.55K $49.6M
973 PennyMac Financial Services Inc PFSI 0.03% 656.36K $49.5M
974 Pitney Bowes Inc PBI 0.03% 2.80M $49.1M
975 Liberty Media Corp-Liberty Formula One FWONA 0.03% 544.04K $48.9M
976 Northern Oil & Gas Inc NOG 0.03% 2.31M $48.8M
977 Hawaiian Electric Industries Inc HE 0.03% 3.77M $48.7M
978 Innospec Inc IOSP 0.03% 566.12K $48.7M
979 Albany International Corp AIN 0.03% 652.95K $48.7M
980 Newmark Group Inc NMRK 0.03% 3.23M $48.5M
981 Olin Corp OLN 0.03% 2.62M $48.5M
982 Horace Mann Educators Corp HMN 0.03% 927.84K $48.3M
983 Braze Inc BRZE 0.03% 1.94M $48.3M
984 Cavco Industries Inc CVCO 0.03% 88.35K $48.3M
985 Happen Inc HAPN 0.03% 2.52M $48.2M
986 Netskope Inc NTSK 0.03% 3.82M $48.2M
987 Dyne Therapeutics Inc DYN 0.03% 1.90M $47.8M
988 First Commonwealth Financial Corp FCF 0.03% 2.22M $47.8M
989 Getty Realty Corp GTY 0.03% 1.39M $47.4M
990 Calix Inc CALX 0.03% 1.32M $47.4M
991 LTC Properties Inc LTC 0.03% 1.18M $47.3M
992 Northwest Natural Holding Co NWN 0.03% 967.18K $47.3M
993 Pebblebrook Hotel Trust PEB 0.03% 2.48M $47.3M
994 Marzetti Company/The MZTI 0.03% 441.37K $47.2M
995 ARMOUR Residential REIT Inc ARR 0.03% 2.85M $47.0M
996 Kohl's Corp KSS 0.03% 2.45M $47.0M
997 Greif Inc GEF 0.03% 540.49K $46.8M
998 Five9 Inc FIVN 0.02% 1.67M $45.9M
999 Caris Life Sciences Inc CAI 0.02% 2.92M $45.8M
1000 NeoGenomics Inc NEO 0.02% 3.00M $45.8M
1001 Western Union Co/The WU 0.02% 7.18M $45.6M
1002 Blackbaud Inc BLKB 0.02% 1.05M $45.0M
1003 HeartFlow Inc HTFL 0.02% 1.79M $45.0M
1004 Spectrum Brands Holdings Inc SPB 0.02% 506.59K $45.0M
1005 Ziff Davis Inc ZD 0.02% 846.49K $44.9M
1006 Midera Food Processing Inc MFP 0.02% 936.10K $44.9M
1007 City Holding Co CHCO 0.02% 308.51K $44.8M
1008 World Kinect Corp WKC 0.02% 1.12M $44.7M
1009 Paymentus Holdings Inc PAY 0.02% 1.30M $44.3M
1010 AvePoint Inc AVPT 0.02% 3.40M $44.3M
1011 Payoneer Global Inc PAYO 0.02% 6.16M $44.2M
1012 Encore Capital Group Inc ECPG 0.02% 468.53K $44.1M
1013 JetBlue Airways Corp JBLU 0.02% 7.28M $43.9M
1014 Howard Hughes Holdings Inc HHH 0.02% 684.79K $43.8M
1015 Xenia Hotels & Resorts Inc XHR 0.02% 2.12M $43.7M
1016 Goodyear Tire & Rubber Co/The GT 0.02% 6.28M $43.7M
1017 Baldwin Insurance Group Inc/The BWIN 0.02% 1.57M $43.5M
1018 John Wiley & Sons Inc WLY 0.02% 832.60K $43.5M
1019 Douglas Emmett Inc DEI 0.02% 3.66M $43.2M
1020 AXT Inc AXTI 0.02% 714.86K $43.2M
1021 S&T Bancorp Inc STBA 0.02% 826.63K $43.1M
1022 EVERTEC Inc EVTC 0.02% 1.41M $43.1M
1023 Extreme Networks Inc EXTR 0.02% 1.43M $43.1M
1024 Ondas Inc ONDS 0.02% 5.70M $42.7M
1025 Global Net Lease Inc GNL 0.02% 4.87M $42.5M
1026 Enerpac Tool Group Corp EPAC 0.02% 1.19M $42.4M
1027 Central Garden & Pet Co CENTA 0.02% 1.12M $42.3M
1028 National Bank Holdings Corp NBHC 0.02% 978.13K $42.2M
1029 Capri Holdings Ltd CPRI 0.02% 2.65M $42.2M
1030 PACS Group Inc PACS 0.02% 910.09K $41.9M
1031 AtriCure Inc ATRC 0.02% 1.11M $41.8M
1032 Liberty Live Holdings Inc LLYVA 0.02% 440.63K $41.7M
1033 nCino Inc NCNO 0.02% 2.26M $41.7M
1034 US Dollar 0.02% 41.53M $41.5M
1035 Proto Labs Inc PRLB 0.02% 547.03K $41.1M
1036 Agios Pharmaceuticals Inc AGIO 0.02% 1.37M $41.0M
1037 M/I Homes Inc MHO 0.02% 279.43K $40.8M
1038 Palomar Holdings Inc PLMR 0.02% 304.82K $40.8M
1039 Flywire Corp FLYW 0.02% 2.51M $40.2M
1040 DXC Technology Co DXC 0.02% 3.56M $40.1M
1041 Insperity Inc NSP 0.02% 790.78K $40.0M
1042 Harmony Biosciences Holdings Inc HRMY 0.02% 1.13M $39.9M
1043 Venture Global Inc VG 0.02% 2.97M $39.7M
1044 Nelnet Inc NNI 0.02% 291.30K $39.6M
1045 Adaptive Biotechnologies Corp ADPT 0.02% 1.75M $39.5M
1046 Gorman-Rupp Co/The GRC 0.02% 485.83K $39.4M
1047 Dillard's Inc DDS 0.02% 66.94K $39.4M
1048 Progress Software Corp PRGS 0.02% 968.85K $39.3M
1049 Hope Bancorp Inc HOPE 0.02% 2.79M $39.1M
1050 Innovative Industrial Properties Inc IIPR 0.02% 661.80K $38.9M
1051 National Vision Holdings Inc EYE 0.02% 1.75M $38.6M
1052 PROG Holdings Inc PRG 0.02% 875.79K $38.6M
1053 RLJ Lodging Trust RLJ 0.02% 3.15M $38.5M
1054 Cimpress PLC CMPR 0.02% 390.37K $38.5M
1055 CorVel Corp CRVL 0.02% 641.39K $38.5M
1056 Kemper Corp KMPR 0.02% 1.35M $38.4M
1057 Firefly Aerospace Inc FLY 0.02% 1.89M $38.4M
1058 Strategic Education Inc STRA 0.02% 467.55K $38.3M
1059 Worthington Enterprises Inc WOR 0.02% 679.77K $38.2M
1060 TriNet Group Inc TNET 0.02% 580.01K $38.2M
1061 Sonos Inc SONO 0.02% 2.60M $38.1M
1062 BlackLine Inc BL 0.02% 1.21M $38.0M
1063 TripAdvisor Inc TRIP 0.02% 2.68M $37.9M
1064 Novocure Ltd NVCR 0.02% 2.53M $37.6M
1065 Intapp Inc INTA 0.02% 1.15M $37.6M
1066 Expro Ltd XPRO 0.02% 2.35M $37.4M
1067 Walker & Dunlop Inc WD 0.02% 750.60K $37.3M
1068 Wolverine World Wide Inc WWW 0.02% 1.89M $37.1M
1069 Huntsman Corp HUN 0.02% 3.80M $37.1M
1070 La-Z-Boy Inc LZB 0.02% 941.89K $37.1M
1071 Marqeta Inc MQ 0.02% 2.13M $37.0M
1072 Healthcare Services Group Inc HCSG 0.02% 1.58M $36.8M
1073 Six Flags Entertainment Corp FUN 0.02% 2.12M $36.7M
1074 Enovis Corp ENOV 0.02% 1.26M $36.6M
1075 Astrana Health Inc ASTH 0.02% 1.02M $36.4M
1076 Fervo Energy Co FRVO 0.02% 1.59M $35.8M
1077 Hillman Solutions Corp HLMN 0.02% 4.52M $35.5M
1078 MillerKnoll Inc MLKN 0.02% 1.57M $35.5M
1079 First Advantage Corp FA 0.02% 1.77M $35.2M
1080 Omnicell Inc OMCL 0.02% 993.66K $35.1M
1081 Safety Insurance Group Inc SAFT 0.02% 337.40K $34.9M
1082 Summit Therapeutics Inc SMMT 0.02% 2.68M $34.9M
1083 Trump Media & Technology Group Corp DJT 0.02% 3.50M $34.5M
1084 Hilltop Holdings Inc HTH 0.02% 873.91K $34.5M
1085 Recursion Pharmaceuticals Inc RXRX 0.02% 11.42M $34.3M
1086 Sarepta Therapeutics Inc SRPT 0.02% 2.31M $34.3M
1087 Schneider National Inc SNDR 0.02% 953.58K $34.1M
1088 Global Business Travel Group I GBTG 0.02% 3.60M $33.9M
1089 Innoviva Inc INVA 0.02% 1.61M $33.8M
1090 DoubleVerify Holdings Inc DV 0.02% 3.00M $33.7M
1091 Greenbrier Cos Inc/The GBX 0.02% 676.63K $33.3M
1092 Inspire Medical Systems Inc INSP 0.02% 663.58K $33.3M
1093 Intellia Therapeutics Inc NTLA 0.02% 3.12M $33.3M
1094 BellRing Brands Inc BRBR 0.02% 2.67M $33.1M
1095 Quantinuum Inc QNT 0.02% 642.49K $33.0M
1096 Tennant Co TNC 0.02% 392.10K $32.9M
1097 Sally Beauty Holdings Inc SBH 0.02% 2.19M $32.8M
1098 Symbotic Inc SYM 0.02% 760.61K $32.7M
1099 USA Rare Earth Inc USAR 0.02% 2.18M $32.6M
1100 Westamerica BanCorp WABC 0.02% 539.55K $32.5M
1101 Perrigo Co PLC PRGO 0.02% 3.19M $32.2M
1102 Alpha Metallurgical Resources Inc AMR 0.02% 234.14K $32.1M
1103 Goosehead Insurance Inc GSHD 0.02% 516.77K $32.0M
1104 CONMED Corp CNMD 0.02% 691.71K $32.0M
1105 Stepan Co SCL 0.02% 495.79K $31.8M
1106 Yelp Inc YELP 0.02% 1.20M $31.7M
1107 Boston Beer Co Inc/The SAM 0.02% 172.99K $31.7M
1108 Worthington Steel Inc WS 0.02% 877.46K $31.6M
1109 Coursera Inc COUR 0.02% 5.93M $31.5M
1110 Energy Fuels Inc/Canada UUUU 0.02% 2.73M $31.2M
1111 Buckle Inc/The BKE 0.02% 711.84K $31.2M
1112 Carter's Inc CRI 0.02% 806.17K $31.1M
1113 BJ's Restaurants Inc BJRI 0.02% 459.81K $31.1M
1114 Flowers Foods Inc FLO 0.02% 4.39M $30.8M
1115 FMC Corp FMC 0.02% 2.87M $30.8M
1116 Stubhub Holdings Inc STUB 0.02% 3.63M $30.6M
1117 Tandem Diabetes Care Inc TNDM 0.02% 1.57M $30.6M
1118 Enact Holdings Inc ACT 0.02% 643.45K $30.4M
1119 Ecovyst Inc ECVT 0.02% 2.52M $30.4M
1120 Vir Biotechnology Inc VIR 0.02% 3.49M $30.3M
1121 Reynolds Consumer Products Inc REYN 0.02% 1.21M $30.2M
1122 Universal Corp/VA UVV 0.02% 571.91K $30.1M
1123 Alliance Laundry Holdings Inc ALH 0.02% 1.14M $30.1M
1124 G-III Apparel Group Ltd GIII 0.02% 824.32K $30.0M
1125 Ingram Micro Holding Corp INGM 0.02% 1.06M $29.9M
1126 Pilgrim's Pride Corp PPC 0.02% 1.09M $29.9M
1127 Lucid Group Inc LCID 0.02% 4.03M $29.7M
1128 Energizer Holdings Inc ENR 0.02% 1.42M $29.7M
1129 Tompkins Financial Corp TMP 0.02% 297.29K $29.7M
1130 TriMas Corp TRS 0.02% 742.39K $29.6M
1131 Concentrix Corp CNXC 0.02% 1.19M $29.3M
1132 Leggett & Platt Inc LEG 0.02% 2.98M $29.2M
1133 Brown-Forman Corp BF-A 0.02% 999.44K $29.2M
1134 Two Harbors Investment Corp TWO 0.02% 2.41M $29.2M
1135 Slide Insurance Holdings Inc SLDE 0.02% 1.45M $28.9M
1136 Innovex International Inc INVX 0.02% 1.03M $28.8M
1137 Edgewell Personal Care Co EPC 0.02% 1.06M $28.8M
1138 Voyager Technologies Inc VOYG 0.02% 1.17M $28.7M
1139 Under Armour Inc UAA 0.02% 4.31M $28.6M
1140 ACV Auctions Inc ACVA 0.02% 3.81M $28.5M
1141 C3.ai Inc AI 0.02% 3.11M $28.5M
1142 Arcus Biosciences Inc RCUS 0.02% 1.01M $28.5M
1143 Herbalife Ltd HLF 0.02% 2.27M $28.2M
1144 Columbia Sportswear Co COLM 0.02% 470.14K $27.9M
1145 Teladoc Health Inc TDOC 0.02% 4.16M $27.9M
1146 Legalzoom.com Inc LZ 0.02% 3.54M $27.9M
1147 Surgery Partners Inc SGRY 0.02% 1.81M $27.8M
1148 Piedmont Realty Trust Inc PDM 0.02% 2.87M $27.8M
1149 Novavax Inc NVAX 0.01% 3.79M $27.7M
1150 Parabilis Medicines Inc PBLS 0.01% 809.17K $27.5M
1151 Gentherm Inc THRM 0.01% 668.00K $27.1M
1152 AdaptHealth Corp AHCO 0.01% 2.51M $27.1M
1153 Astec Industries Inc ASTE 0.01% 529.39K $26.8M
1154 Azenta Inc AZTA 0.01% 948.81K $26.7M
1155 GPGI Inc GPGI 0.01% 2.00M $26.4M
1156 Lindsay Corp LNN 0.01% 238.38K $26.4M
1157 BioCryst Pharmaceuticals Inc BCRX 0.01% 2.93M $26.3M
1158 QuidelOrtho Corp QDEL 0.01% 1.57M $26.3M
1159 PureCycle Technologies Inc PCT 0.01% 4.12M $26.2M
1160 NCR Voyix Corp VYX 0.01% 3.16M $26.1M
1161 Del Monte Corp DMC 0.01% 872.66K $25.9M
1162 Deluxe Corp DLX 0.01% 997.21K $25.8M
1163 Wendy's Co/The WEN 0.01% 3.50M $25.8M
1164 Navitas Semiconductor Corp NVTS 0.01% 2.35M $25.6M
1165 Fluence Energy Inc FLNC 0.01% 1.83M $25.5M
1166 Everforth Inc EFOR 0.01% 893.73K $25.4M
1167 Integra LifeSciences Holdings Corp IART 0.01% 1.52M $25.3M
1168 ScanSource Inc SCSC 0.01% 442.74K $25.1M
1169 Coty Inc COTY 0.01% 9.09M $25.0M
1170 American Assets Trust Inc AAT 0.01% 1.06M $24.9M
1171 LGI Homes Inc LGIH 0.01% 453.07K $24.7M
1172 J & J Snack Foods Corp JJSF 0.01% 322.55K $24.7M
1173 Upwork Inc UPWK 0.01% 2.69M $24.7M
1174 Sonic Automotive Inc SAH 0.01% 269.32K $24.7M
1175 CVR Energy Inc CVI 0.01% 691.33K $24.6M
1176 Alkami Technology Inc ALKT 0.01% 1.35M $24.5M
1177 Seaboard Corp SEB 0.01% 5.52K $24.3M
1178 Neptune Insurance Holdings Inc NP 0.01% 761.91K $24.2M
1179 Weis Markets Inc WMK 0.01% 312.64K $24.1M
1180 Solv Energy Inc MWH 0.01% 843.99K $24.0M
1181 O-I Glass Inc OI 0.01% 3.35M $23.9M
1182 Zillow Group Inc ZG 0.01% 689.26K $23.9M
1183 Revolve Group Inc RVLV 0.01% 949.28K $23.8M
1184 Ladder Capital Corp LADR 0.01% 2.49M $23.8M
1185 TFS Financial Corp TFSL 0.01% 1.29M $23.7M
1186 Upbound Group Inc UPBD 0.01% 1.21M $23.4M
1187 Capitol Federal Financial Inc CFFN 0.01% 2.62M $23.2M
1188 Virtus Investment Partners Inc VRTS 0.01% 144.94K $23.1M
1189 Procept Biorobotics Corp PRCT 0.01% 1.24M $23.1M
1190 Utz Brands Inc UTZ 0.01% 1.63M $23.0M
1191 Chimera Investment Corp CIM 0.01% 1.82M $22.8M
1192 NIQ Global Intelligence Plc NIQ 0.01% 2.03M $22.7M
1193 Papa John's International Inc PZZA 0.01% 758.48K $22.7M
1194 Pacira BioSciences Inc PCRX 0.01% 858.33K $22.7M
1195 Comstock Resources Inc CRK 0.01% 1.68M $22.3M
1196 Appian Corp APPN 0.01% 824.20K $22.2M
1197 Keel Infrastructure Corp KEEL 0.01% 5.54M $22.0M
1198 SailPoint Inc SAIL 0.01% 1.31M $21.9M
1199 Schrodinger Inc/United States SDGR 0.01% 1.44M $21.8M
1200 F&G Annuities & Life Inc FG 0.01% 761.08K $21.7M
1201 Interface Inc TILE 0.01% 633.23K $21.7M
1202 Certara Inc CERT 0.01% 2.68M $21.7M
1203 Figs Inc FIGS 0.01% 2.01M $21.5M
1204 ADMA Biologics Inc ADMA 0.01% 2.53M $21.4M
1205 Vertex Inc VERX 0.01% 1.66M $21.4M
1206 Csquare Inc CSQR 0.01% 1.07M $21.3M
1207 MFA Financial Inc MFA 0.01% 2.33M $21.2M
1208 Centerspace CSR 0.01% 385.16K $21.1M
1209 BrightView Holdings Inc BV 0.01% 1.61M $21.0M
1210 Fortrea Holdings Inc FTRE 0.01% 1.09M $20.8M
1211 Pattern Group Inc PTRN 0.01% 891.57K $20.5M
1212 Intuitive Machines Inc LUNR 0.01% 1.65M $20.4M
1213 Atlas Energy Solutions Inc AESI 0.01% 1.87M $20.2M
1214 Apollo Commercial Real Estate Finance Inc ARI 0.01% 3.05M $20.2M
1215 Excelerate Energy Inc EE 0.01% 512.15K $20.1M
1216 Safehold Inc SAFE 0.01% 1.23M $20.0M
1217 Iovance Biotherapeutics Inc IOVA 0.01% 4.88M $19.8M
1218 AMC Entertainment Holdings Inc AMC 0.01% 7.03M $19.8M
1219 Grocery Outlet Holding Corp GO 0.01% 2.15M $19.8M
1220 Triumph Financial Inc TFIN 0.01% 258.48K $19.6M
1221 United Parks & Resorts Inc PRKS 0.01% 433.03K $19.3M
1222 Beta Technologies Inc BETA 0.01% 1.02M $19.3M
1223 Simply Good Foods Co/The SMPL 0.01% 1.87M $19.0M
1224 Driven Brands Holdings Inc DRVN 0.01% 1.32M $18.9M
1225 PennyMac Mortgage Investment Trust PMT 0.01% 2.00M $18.8M
1226 JBG SMITH Properties JBGS 0.01% 1.33M $18.7M
1227 Vestis Corp VSTS 0.01% 1.29M $18.7M
1228 Arbor Realty Trust Inc ABR 0.01% 3.72M $18.6M
1229 Array Technologies Inc ARRY 0.01% 3.55M $18.5M
1230 Trupanion Inc TRUP 0.01% 749.95K $18.4M
1231 Live Oak Bancshares Inc LOB 0.01% 424.53K $18.2M
1232 Via Transportation Inc VIA 0.01% 888.53K $18.1M
1233 Amplitude Inc AMPL 0.01% 2.02M $18.0M
1234 Liberty Capital Corp GLIBK 0.01% 773.64K $17.9M
1235 Flowco Holdings Inc FLOC 0.01% 862.22K $17.6M
1236 Enovix Corp ENVX 0.01% 4.28M $17.5M
1237 Under Armour Inc UA 0.01% 2.64M $17.1M
1238 National Beverage Corp FIZZ 0.01% 536.21K $17.0M
1239 Asana Inc ASAN 0.01% 2.03M $16.9M
1240 Shoals Technologies Group Inc SHLS 0.01% 1.93M $16.9M
1241 ZoomInfo Technologies Inc GTM 0.01% 5.07M $16.7M
1242 STAAR Surgical Co STAA 0.01% 686.50K $16.7M
1243 GCM Grosvenor Inc GCMG 0.01% 1.32M $16.4M
1244 Marcus & Millichap Inc MMI 0.01% 520.84K $16.0M
1245 Empire State Realty Trust Inc ESRT 0.01% 3.14M $15.9M
1246 Tootsie Roll Industries Inc TR 0.01% 394.75K $15.4M
1247 Helix Energy Solutions Group Inc HLX 0.01% 1.60M $15.3M
1248 Rush Enterprises Inc RUSHB 0.01% 196.22K $15.3M
1249 X-Energy Inc XE 0.01% 915.03K $14.9M
1250 Applied Aerospace & Defense Inc AADX 0.01% 784.80K $14.7M
1251 Sprinklr Inc CXM 0.01% 2.28M $14.5M
1252 U-Haul Holding Co UHAL 0.01% 204.25K $14.5M
1253 Kailera Therapeutics Inc KLRA 0.01% 852.28K $14.4M
1254 Gibraltar Industries Inc ROCK 0.01% 340.03K $14.4M
1255 RPC Inc RES 0.01% 2.54M $14.2M
1256 Cogent Communications Holdings Inc CCOI 0.01% 1.04M $14.0M
1257 Accelerant Holdings ARX 0.01% 1.17M $13.8M
1258 EquipmentShare.com Inc EQPT 0.01% 736.76K $13.8M
1259 Greif Inc GEF-B 0.01% 122.55K $13.3M
1260 Liberty Broadband Corp LBRDA 0.01% 388.88K $13.2M
1261 Forestar Group Inc FOR 0.01% 468.21K $13.2M
1262 Array Digital Infrastructure Inc AD 0.01% 367.45K $12.8M
1263 Fermi Inc FRMI 0.01% 2.20M $12.5M
1264 Frontier Group Holdings Inc ULCC 0.01% 1.85M $12.5M
1265 Ridgepost Capital Inc RPC 0.01% 1.44M $12.4M
1266 Sinclair Inc SBGI 0.01% 888.68K $12.2M
1267 Hagerty Inc HGTY 0.01% 1.05M $12.1M
1268 UWM Holdings Corp UWMC 0.01% 6.60M $12.0M
1269 Alexander's Inc ALX 0.01% 46.88K $12.0M
1270 RUM Group Inc RUM 0.01% 1.98M $11.6M
1271 Synthetic Cash - CMS USD 0.01% 10.52M $10.5M
1272 Employers Holdings Inc EIG 0.01% 198.99K $10.1M
1273 Aevex Corp AVEX 0.01% 584.00K $9.7M
1274 Infleqtion Inc INFQ 0.01% 987.23K $9.7M
1275 Saul Centers Inc BFS 0.01% 281.28K $9.6M
1276 Matthews International Corp MATW 0.01% 340.06K $9.4M
1277 Quanex Building Products Corp NX 0.01% 526.68K $9.4M
1278 Apogee Enterprises Inc APOG 0.00% 232.73K $9.2M
1279 OPKO Health Inc OPK 0.00% 6.93M $9.1M
1280 Savers Value Village Inc SVV 0.00% 881.40K $9.0M
1281 Arhaus Inc ARHS 0.00% 1.19M $8.8M
1282 Verra Mobility Corp VRRM 0.00% 1.66M $8.8M
1283 Liftoff Mobile Inc LFTO 0.00% 382.15K $8.5M
1284 Ameresco Inc AMRC 0.00% 381.18K $8.0M
1285 Dream Finders Homes Inc DFH 0.00% 620.46K $7.9M
1286 Janus International Group Inc JBI 0.00% 1.49M $7.6M
1287 Central Garden & Pet Co CENT 0.00% 174.59K $7.5M
1288 Bob's Discount Furniture Inc BOBS 0.00% 449.11K $7.5M
1289 McGraw Hill Inc MH 0.00% 656.93K $7.2M
1290 Sweetgreen Inc SG 0.00% 1.10M $7.1M
1291 ERock Inc EROC 0.00% 663.56K $6.8M
1292 Hawkeye 360 Inc HAWK 0.00% 320.36K $6.8M
1293 York Space Systems Inc YSS 0.00% 439.26K $6.5M
1294 Navient Corp NAVI 0.00% 702.07K $5.9M
1295 Vitesse Energy Inc VTS 0.00% 358.80K $5.6M
1296 Cricut Inc CRCT 0.00% 1.07M $5.0M
1297 AGNT Inc AGNT 0.00% 1.13M $4.6M
1298 Hertz Global Holdings Inc HTZ 0.00% 2.89M $4.6M
1299 Camping World Holdings Inc CWH 0.00% 692.23K $4.3M
1300 Synthetic Cash - BBAM USD 0.00% 4.14M $4.1M
1301 N-able Inc/US NABL 0.00% 864.37K $4.0M
1302 Synthetic Cash - ZVGI USD 0.00% 4.03M $4.0M
1303 GoodRx Holdings Inc GDRX 0.00% 1.02M $3.1M
1304 Petco Health & Wellness Co Inc WOOF 0.00% 994.35K $2.8M
1305 EVgo Inc EVGO 0.00% 1.54M $2.4M
1306 Jersey Mike's Subs Inc JMKE 0.00% 89.12K $2.0M
1307 Liberty Capital Corp GLIBA 0.00% 82.46K $1.9M
1308 Synthetic Cash - QMS USD 0.00% 1.77M $1.8M
1309 TaskUS Inc TASK 0.00% 209.59K $1.3M
1310 PFIZER INC - CVR (NOV 25) PFE.BA 0.00% 59 $289.10
1311 OMNIAB INC - 15 EARNOUT 0.00% 156.69K $1.57
1312 ARCELLX INC CVR (APRIL 2026) 0.00% 44 $3.08
1313 Canadian Dollar 0.00% 0 $0.02
1314 OMNIAB INC - 12.5 EARNOUT 0.00% 156.69K $1.57

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Отраслевая экспозиция

Промышленность 16.98%
Технологии 16.56%
Финансовые услуги 12.89%
Здравоохранение 12.77%
Потребительский цикличный 11.16%
Недвижимость 8.17%
Базовые материалы 6.04%
Энергоносители 4.75%
Потребительский защитный 3.45%
Коммунальные услуги 3.17%
Услуги связи 3.04%
Денежные средства и прочее 1.02%

Географическая экспозиция

United States (developed) 94.86%
United Kingdom (developed) 1.17%
Other 1.02%
Bermuda 0.83%
Ireland (developed) 0.79%
Cayman Islands 0.64%
Switzerland (developed) 0.27%
Netherlands (developed) 0.17%
Puerto Rico 0.16%
Canada (developed) 0.08%

Веса стран по данным поставщика данных. Категории «развитые/развивающиеся/пограничные рынки» соответствуют классификации на странице Методологии. С валютным хеджированием: В названии фонда хеджирование не указано.

Выплаты

Доходность (TTM)1.19% Выплачено (за последние 12 месяцев)$3.6052
ПериодичностьQuarterly Доходность по методологии SECНе предоставлено нашим источником данных — см. страницу эмитента
Последняя дата закрытия реестраJun 26, 2026 Последняя выплата$0.8920 (Jun 30, 2026)
Рост за 1 год+8.76% Рост за 3 / 5 лет (годовых)+3.31% / +7.12%
Дата экс-дивидендаДата фиксации реестраДата выплатыСумма
Jun 26, 2026Jun 26, 2026 Jun 30, 2026$0.8920
Mar 27, 2026Mar 27, 2026 Mar 31, 2026$0.9812
Dec 22, 2025Dec 22, 2025 Dec 24, 2025$0.9268
Sep 29, 2025Sep 29, 2025 Oct 01, 2025$0.8052
Jun 30, 2025Jun 30, 2025 Jul 02, 2025$0.7878
Mar 27, 2025Mar 27, 2025 Mar 31, 2025$0.9188
Dec 23, 2024Dec 23, 2024 Dec 26, 2024$0.9036
Sep 27, 2024Sep 27, 2024 Oct 01, 2024$0.7047
Jun 28, 2024Jun 28, 2024 Jul 02, 2024$0.8466
Mar 22, 2024Mar 25, 2024 Mar 27, 2024$0.6769
Dec 21, 2023Dec 22, 2023 Dec 27, 2023$1.0769
Sep 21, 2023Sep 22, 2023 Sep 26, 2023$0.7353

Скользящая доходность распределений = выплаты за последние 12 месяцев ÷ текущая цена. Это НЕ доходность по методике SEC за 30 дней, и продолжение выплат не гарантировано. Объяснение разницы →

Статистика риска

Волатильность за 1 год / 3 года16.09% / 18.90% Шарп 1Л / 3Л1.27 / 0.849
Макс. просадка 1Г / 3Г-8.98% / -25.36% Сортино 1Л1.92
Бета к S&P 500 (3 года)1.05 Корреляция с S&P 500 (1 год)0.831
Отклонение вниз за 1 год10.68% Использованная безрисковая ставка3.71% (3M T-bill, FRED)

Рассчитано по данным ETF Explorer на основе ежедневных скорректированных на дивиденды цен закрытия; волатильность и просадка приведены в годовом выражении/за период; экспозиция на S&P 500 проксируется через SPY. По состоянию на Aug 27, 2026. Формулы →

Ликвидность

Объём за сегодня350.85K Средний объём546.11K
AUM$183.40B Премия/дисконт+0.03%
Спред bid/askНе предоставлено нашим источником данных. Проверьте котировки у брокера; спреды наиболее широки в начале и конце торговой сессии.

Премия/дисконт сравнивает отложенную рыночную цену с последним опубликованным NAV — это ориентировочный показатель, а не официальная премия/дисконт на момент закрытия. Как работает ликвидность ETF →

Потоки средств (оценка)

ПериодРасч. чистый поток% от начального AUMAUM: начало → конец
1 день $0.00 0.00% $183.40B → $183.40B
1 неделя -$684.4M -0.37% $183.40B → $183.40B

Оценка ETF Explorer: изменение reported AUM за вычетом эффекта рыночного движения, на основе наших ежедневных снимков. Не официальные данные эмитента о создании/погашении паёв.

Официальные материалы фонда

Внешние ссылки открывают сайт эмитента или SEC EDGAR в новой вкладке. Проспект и официальные документы всегда являются авторитетным источником — ознакомьтесь с ними перед инвестированием.

Последние новости по VB

Все новости по VB →

Справка: AUM — это размер фонда. Коэффициент расходов — ежегодные издержки, уже учтённые в доходности. NAV — стоимость активов фонда на одну акцию; рыночная цена может быть немного выше (премия) или ниже (дисконт) этого значения. Совокупная доходность рассчитывается с учётом реинвестирования выплат. Каждый набор данных имеет собственную дату актуальности, поскольку состав портфеля, активы и котировки обновляются по разным расписаниям.

Товар

Сырьевые товары (широкий охват)ЗолотоНефть и газСеребро

Цифровые активы

КриптовалютаБиткоин

Инструменты с фиксированным доходом

Облигации (все)Международные облигацииГосударственные облигацииКазначейские облигацииКорпоративные облигацииВысокодоходные облигацииМуниципальные облигацииTIPS / Защита от инфляции

Доход

ДивидендПокрытые коллы / Доход от опционовПривилегированные акции

Регион

МеждународныеГлобальныеРазвитые рынкиРазвивающиеся рынкиМеждународные компании малой капитализацииПограничные рынки

Сектор и тема

Финансовый секторТехнологииЭнергоносителиНедвижимость / REITЗдравоохранениеМатериалыПромышленностьЧистая энергетикаИнфраструктура

Стратегия

Буфер / Заранее определённый результатESG / Устойчивое инвестированиеС валютным хеджированиемМоментумРавновзвешенныйНизкая волатильность

Структура

Активные ETFИнверсныеС кредитным плечом

Стиль и размер

РостКрупная капитализация СШАСтоимостныеМалая капитализация СШАСредняя капитализация СШАВесь рынок