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VFVA Vanguard U.S. Value Factor ETF

162.07 0.2382 (+0.15%)

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

Fechamento Anterior161.83 Intervalo Diário161.17 – 162.19
Faixa de 52 Semanas122.55 – 163.33 Volume4.64K
Volume Médio13.15K AUM$912.5M (Aug 27, 2026)
Taxa de Administração0.13% Yield (TTM)1.72%
NAV161.79 Prêmio/Desconto+0.17% indicativo
InícioFeb 13, 2018 Posições637
EmissorVanguard BolsaCBOE
CategoriaFinancials Índice AcompanhadoNão informado nos dados de origem
CUSIP921935805 ISINUS9219358051
GestãoNão informado nos dados de origem

Sobre este ETF

The fund's manager employs a systematic, data-driven approach to evaluate U.S. common stocks, specifically targeting those with comparatively low market valuations when assessed against their underlying financial fundamentals. Its holdings are broadly diversified, encompassing companies of varying market capitalizations—large, mid, and small—as well as numerous economic sectors and distinct industry groups. The primary objective is to achieve long-term capital appreciation. Typically, a minimum of 80% of the fund's assets will be invested in securities issued by American companies. This "Value factor" is precisely measured using criteria such as book value-to-price ratio, forward earnings-to-price ratio, and (for non-financial entities only) operating cash flows-to-price ratio.

Descrição fornecida pelo fornecedor de dados do fundo · perfil em Aug 27, 2026.

Gráfico de Preço

Preços de fecho diários (retorno de preço, não retorno total). As linhas de comparação são normalizadas para variação percentual desde o início do período. Fonte: Financial Modeling Prep.

Desempenho

1M3M6MYTD1Y3Y*5Y*10Y*Início*
Retorno de preço +3.70% +11.52% +14.40% +21.88% +27.28% +16.78% +9.78% +9.12%
Retorno total +3.70% +12.07% +15.55% +23.10% +29.93% +19.54% +12.39% +11.57%

* Anualizado. O retorno total usa a série de preços ajustada por dividendos (distribuições reinvestidas); o retorno de preço usa fechamentos não ajustados. Desempenho até Aug 26, 2026. Desempenho passado não garante resultados futuros.

Taxas

Taxa de administração líquida0.13% Custo anual de um investimento de $10.000$13.00

Cálculo meramente ilustrativo: expense ratio × 10.000 $. Não inclui custos de negociação, spreads bid/ask, impostos nem variações no valor do investimento. Os detalhes de expense ratio bruto vs. líquido e eventuais isenções de taxa constam do prospeto.

Posições

Posições em Aug 26, 2026 — data de reporte da carteira fornecida pelo provedor de dados; as posições não são em tempo real. 669 linhas na base de dados.

#PosiçãoTickerPesoAçõesValor de Mercado
1 CVS Health Corp CVS 0.95% 77.89K $8.1M
2 EOG Resources Inc EOG 0.84% 54.80K $7.1M
3 Bristol-Myers Squibb Co BMY 0.84% 122.98K $7.1M
4 Cigna Group/The CI 0.80% 24.66K $6.8M
5 Salesforce Inc CRM 0.77% 41.73K $6.5M
6 General Motors Co GM 0.77% 84.55K $6.5M
7 Intuit Inc INTU 0.75% 24.24K $6.3M
8 Verizon Communications Inc VZ 0.73% 146.61K $6.2M
9 US Bancorp USB 0.73% 102.59K $6.2M
10 Elevance Health Inc ELV 0.73% 15.90K $6.1M
11 Merck & Co Inc MRK 0.69% 45.44K $5.8M
12 Truist Financial Corp TFC 0.68% 115.66K $5.8M
13 AT&T Inc T 0.63% 258.28K $5.3M
14 Booking Holdings Inc BKNG 0.63% 29.80K $5.3M
15 Altria Group Inc MO 0.62% 72.67K $5.2M
16 Pfizer Inc PFE 0.61% 215.33K $5.2M
17 Chubb Ltd CB 0.61% 15.06K $5.1M
18 Comcast Corp CMCSA 0.60% 205.97K $5.1M
19 Marathon Petroleum Corp MPC 0.59% 19.64K $5.0M
20 FedEx Corp FDX 0.57% 15.37K $4.8M
21 HCA Healthcare Inc HCA 0.55% 11.88K $4.6M
22 Accenture PLC ACN 0.54% 36.60K $4.6M
23 AbbVie Inc ABBV 0.54% 18.02K $4.5M
24 Medtronic PLC MDT 0.54% 57.78K $4.5M
25 Capital One Financial Corp COF 0.51% 21.51K $4.3M
26 Walt Disney Co/The DIS 0.51% 44.34K $4.3M
27 Regeneron Pharmaceuticals Inc REGN 0.50% 6.83K $4.3M
28 Travelers Cos Inc/The TRV 0.50% 12.74K $4.2M
29 PNC Financial Services Group Inc/The PNC 0.50% 17.01K $4.2M
30 ConocoPhillips COP 0.47% 38.17K $4.0M
31 UnitedHealth Group Inc UNH 0.47% 9.45K $3.9M
32 Boston Scientific Corp BSX 0.46% 91.85K $3.9M
33 Phillips 66 PSX 0.45% 22.35K $3.8M
34 Abbott Laboratories ABT 0.44% 41.35K $3.8M
35 Chevron Corp CVX 0.42% 21.29K $3.5M
36 T-Mobile US Inc TMUS 0.40% 20.13K $3.4M
37 KKR & Co Inc KKR 0.39% 36.35K $3.3M
38 United Airlines Holdings Inc UAL 0.39% 24.19K $3.3M
39 Wells Fargo & Co WFC 0.39% 39.44K $3.3M
40 Arthur J Gallagher & Co AJG 0.38% 14.00K $3.2M
41 BorgWarner Inc BWA 0.38% 47.91K $3.2M
42 Adobe Inc ADBE 0.36% 14.79K $3.0M
43 MetLife Inc MET 0.35% 35.20K $3.0M
44 Bank of New York Mellon Corp/The BNY 0.35% 20.46K $3.0M
45 Jackson Financial Inc JXN 0.34% 28.28K $2.9M
46 Kinder Morgan Inc KMI 0.34% 90.23K $2.9M
47 Becton Dickinson & Co BDX 0.33% 18.65K $2.8M
48 American International Group Inc AIG 0.33% 37.30K $2.8M
49 Aflac Inc AFL 0.33% 23.70K $2.8M
50 Kyndryl Holdings Inc KD 0.33% 244.38K $2.8M
51 CRH PLC CRH 0.33% 25.69K $2.7M
52 Jazz Pharmaceuticals PLC JAZZ 0.32% 11.36K $2.7M
53 SLB Ltd SLB 0.32% 58.67K $2.7M
54 PACCAR Inc PCAR 0.32% 22.58K $2.7M
55 ExxonMobil Holdings Corp 7DZ.DE 0.32% 19.72K $2.7M
56 Centene Corp CNC 0.32% 41.66K $2.7M
57 Columbia Banking System Inc COLB 0.32% 83.11K $2.7M
58 Bread Financial Holdings Inc BFH 0.31% 24.34K $2.6M
59 Lear Corp LEA 0.31% 19.51K $2.6M
60 PepsiCo Inc PEP 0.30% 18.92K $2.6M
61 Docusign Inc DOCU 0.30% 57.50K $2.6M
62 Newmont Corp NEM 0.29% 26.54K $2.5M
63 Arrow Electronics Inc ARW 0.29% 11.45K $2.4M
64 Berkshire Hathaway Inc BRK-B 0.29% 4.86K $2.4M
65 Zoetis Inc ZTS 0.29% 33.79K $2.4M
66 Ovintiv Inc OVV 0.29% 46.03K $2.4M
67 Viatris Inc VTRS 0.28% 150.96K $2.4M
68 Progressive Corp/The PGR 0.28% 10.91K $2.4M
69 CarMax Inc KMX 0.28% 44.12K $2.3M
70 Apollo Global Management Inc APO 0.28% 19.69K $2.3M
71 Avantor Inc AVTR 0.27% 233.60K $2.3M
72 First Financial Bancorp FFBC 0.27% 68.03K $2.3M
73 Diamondback Energy Inc FANG 0.26% 12.67K $2.2M
74 H&R Block Inc HRB 0.26% 58.42K $2.2M
75 FNB Corp/PA FNB 0.26% 116.54K $2.2M
76 McKesson Corp MCK 0.26% 2.92K $2.2M
77 Chord Energy Corp CHRD 0.26% 19.29K $2.2M
78 Graphic Packaging Holding Co GPK 0.26% 207.13K $2.2M
79 Mohawk Industries Inc MHK 0.26% 18.02K $2.2M
80 Valero Energy Corp VLO 0.26% 8.38K $2.2M
81 Citigroup Inc C 0.26% 15.55K $2.2M
82 Avnet Inc AVT 0.26% 24.31K $2.2M
83 EverQuote Inc EVER 0.25% 90.02K $2.1M
84 Danaher Corp DHR 0.25% 11.24K $2.1M
85 Apa Corp APA 0.25% 65.70K $2.1M
86 Biogen Inc BIIB 0.25% 9.74K $2.1M
87 Lowe's Cos Inc LOW 0.25% 9.52K $2.1M
88 Helen of Troy Ltd HELE 0.25% 72.17K $2.1M
89 BellRing Brands Inc BRBR 0.25% 161.49K $2.1M
90 Valley National Bancorp VLY 0.24% 141.06K $2.1M
91 S&T Bancorp Inc STBA 0.24% 41.90K $2.1M
92 Uber Technologies Inc UBER 0.24% 28.32K $2.0M
93 Travel + Leisure Co TNL 0.24% 26.59K $2.0M
94 Prudential Financial Inc PRU 0.24% 18.82K $2.0M
95 Sensata Technologies Holding PLC ST 0.24% 41.76K $2.0M
96 Matador Resources Co MTDR 0.24% 40.00K $2.0M
97 Antero Resources Corp AR 0.23% 56.42K $2.0M
98 Asbury Automotive Group Inc ABG 0.23% 9.76K $2.0M
99 Delta Air Lines Inc DAL 0.23% 20.85K $2.0M
100 HubSpot Inc HUBS 0.23% 10.69K $2.0M
101 Axis Capital Holdings Ltd AXS 0.23% 18.09K $1.9M
102 Expand Energy Corp EXE 0.23% 21.25K $1.9M
103 Newell Brands Inc NWL 0.23% 315.24K $1.9M
104 Amgen Inc AMGN 0.23% 5.33K $1.9M
105 MKTLIQ 12/31/2049 0.23% 1.93M $1.9M
106 LKQ Corp LKQ 0.23% 73.33K $1.9M
107 Allstate Corp/The ALL 0.23% 8.10K $1.9M
108 Bank OZK OZK 0.23% 36.75K $1.9M
109 AutoZone Inc AZO 0.22% 592 $1.9M
110 Pinterest Inc PINS 0.22% 89.70K $1.9M
111 Invesco Ltd IVZ 0.22% 71.45K $1.9M
112 Best Buy Co Inc BBY 0.22% 24.67K $1.9M
113 Carter's Inc CRI 0.22% 45.37K $1.9M
114 Commercial Metals Co CMC 0.22% 29.68K $1.9M
115 Smurfit Westrock PLC SW 0.22% 40.23K $1.9M
116 PagerDuty Inc PD 0.22% 192.36K $1.9M
117 NOV Inc NOV 0.22% 100.06K $1.9M
118 Owens Corning OC 0.22% 11.68K $1.9M
119 DXC Technology Co DXC 0.22% 209.51K $1.9M
120 Hewlett Packard Enterprise Co HPE 0.22% 41.00K $1.8M
121 Genuine Parts Co GPC 0.22% 15.62K $1.8M
122 Koppers Holdings Inc KOP 0.22% 41.00K $1.8M
123 CNX Resources Corp CNX 0.22% 53.98K $1.8M
124 Franklin Resources Inc BEN 0.21% 54.20K $1.8M
125 Dropbox Inc DBX 0.21% 65.58K $1.8M
126 RenaissanceRe Holdings Ltd RNR 0.21% 5.68K $1.8M
127 Caleres Inc CAL 0.21% 143.77K $1.8M
128 UFP Industries Inc UFPI 0.21% 19.57K $1.8M
129 Jefferies Financial Group Inc JEF 0.21% 35.40K $1.8M
130 Cognizant Technology Solutions Corp CTSH 0.21% 45.57K $1.8M
131 KBR Inc KBR 0.21% 51.02K $1.8M
132 Ingles Markets Inc IMKTA 0.21% 19.86K $1.8M
133 Kroger Co/The KR 0.21% 31.46K $1.7M
134 Aptiv PLC APTV 0.21% 28.42K $1.7M
135 Permian Resources Corp PR 0.21% 94.68K $1.7M
136 Old National Bancorp/IN ONB 0.21% 67.12K $1.7M
137 Post Holdings Inc POST 0.21% 19.66K $1.7M
138 Bank of America Corp BAC 0.20% 30.31K $1.7M
139 Herbalife Ltd HLF 0.20% 130.11K $1.7M
140 Cable One Inc CABO 0.20% 32.11K $1.7M
141 Fortune Brands Innovations Inc FBIN 0.20% 31.04K $1.7M
142 Arch Capital Group Ltd ACGL 0.20% 17.48K $1.7M
143 Associated Banc-Corp ASB 0.20% 54.81K $1.7M
144 Gap Inc/The GAP 0.20% 89.70K $1.7M
145 Enterprise Financial Services Corp EFSC 0.20% 25.38K $1.7M
146 ICF International Inc ICFI 0.20% 22.83K $1.7M
147 Ford Motor Co F 0.20% 119.61K $1.7M
148 Trade Desk Inc/The TTD 0.20% 91.76K $1.7M
149 Waystar Holding Corp WAY 0.20% 80.72K $1.7M
150 Pilgrim's Pride Corp PPC 0.19% 58.49K $1.6M
151 ManpowerGroup Inc MAN 0.19% 48.65K $1.6M
152 Atlassian Corp TEAM 0.19% 21.09K $1.6M
153 Certara Inc CERT 0.19% 249.21K $1.6M
154 Zions Bancorp NA ZION 0.19% 23.59K $1.6M
155 Everest Group Ltd EG 0.19% 4.54K $1.6M
156 Upbound Group Inc UPBD 0.19% 76.13K $1.6M
157 Maximus Inc MMS 0.19% 29.97K $1.6M
158 Western Alliance Bancorp WAL 0.19% 19.57K $1.6M
159 NIKE Inc NKE 0.19% 38.86K $1.6M
160 WaFd Inc WAFD 0.19% 41.47K $1.6M
161 Century Communities Inc CCS 0.19% 22.14K $1.6M
162 Ally Financial Inc ALLY 0.19% 34.51K $1.6M
163 Devon Energy Corp DVN 0.19% 38.34K $1.6M
164 Genpact Ltd G 0.19% 57.45K $1.6M
165 Molson Coors Beverage Co TAP 0.19% 40.50K $1.6M
166 Hamilton Insurance Group Ltd HG 0.19% 46.42K $1.6M
167 Progress Software Corp PRGS 0.19% 46.80K $1.6M
168 Mondelez International Inc MDLZ 0.19% 27.16K $1.6M
169 Amdocs Ltd DOX 0.18% 30.88K $1.6M
170 Evolent Health Inc EVH 0.18% 287.52K $1.6M
171 ZoomInfo Technologies Inc GTM 0.18% 531.17K $1.6M
172 NetScout Systems Inc NTCT 0.18% 35.50K $1.5M
173 Albertsons Cos Inc ACI 0.18% 113.77K $1.5M
174 Reinsurance Group of America Inc RGA 0.18% 7.22K $1.5M
175 PVH Corp PVH 0.18% 20.66K $1.5M
176 Darling Ingredients Inc DAR 0.18% 28.01K $1.5M
177 Xperi Inc XPER 0.18% 185.89K $1.5M
178 Archer-Daniels-Midland Co ADM 0.18% 20.00K $1.5M
179 SLM Corp SLM 0.18% 58.68K $1.5M
180 Peapack-Gladstone Financial Corp PGC 0.18% 32.13K $1.5M
181 Match Group Inc MTCH 0.18% 39.83K $1.5M
182 Simmons First National Corp SFNC 0.18% 66.68K $1.5M
183 Group 1 Automotive Inc GPI 0.18% 5.14K $1.5M
184 American Eagle Outfitters Inc AEO 0.18% 87.03K $1.5M
185 Sprout Social Inc SPT 0.18% 197.63K $1.5M
186 Essent Group Ltd ESNT 0.18% 23.07K $1.5M
187 Phinia Inc PHIN 0.17% 17.94K $1.5M
188 Boyd Gaming Corp BYD 0.17% 16.66K $1.5M
189 Deluxe Corp DLX 0.17% 61.58K $1.5M
190 Playtika Holding Corp PLTK 0.17% 395.13K $1.5M
191 RingCentral Inc RNG 0.17% 37.56K $1.5M
192 Accendra Health Inc ACH 0.17% 426.79K $1.5M
193 Angi Inc ANGI 0.17% 244.26K $1.5M
194 Humana Inc HUM 0.17% 3.65K $1.4M
195 Mattel Inc MAT 0.17% 104.24K $1.4M
196 Weis Markets Inc WMK 0.17% 18.33K $1.4M
197 Builders FirstSource Inc BLDR 0.17% 15.98K $1.4M
198 Banc of California Inc BANC 0.17% 69.91K $1.4M
199 Peoples Bancorp Inc/OH PEBO 0.17% 37.05K $1.4M
200 Central Garden & Pet Co CENTA 0.17% 36.69K $1.4M
201 Citizens Financial Group Inc CFG 0.17% 20.24K $1.4M
202 G-III Apparel Group Ltd GIII 0.17% 41.85K $1.4M
203 Royal Caribbean Cruises Ltd RCL 0.17% 4.42K $1.4M
204 O-I Glass Inc OI 0.17% 145.86K $1.4M
205 Northern Oil & Gas Inc NOG 0.17% 77.31K $1.4M
206 Meritage Homes Corp MTH 0.17% 16.70K $1.4M
207 La-Z-Boy Inc LZB 0.17% 34.89K $1.4M
208 Regions Financial Corp RF 0.17% 46.29K $1.4M
209 Incyte Corp INCY 0.17% 12.31K $1.4M
210 ADT Inc ADT 0.16% 213.16K $1.4M
211 EQT Corp EQT 0.16% 26.05K $1.4M
212 Radian Group Inc RDN 0.16% 36.74K $1.4M
213 Hancock Whitney Corp HWC 0.16% 18.49K $1.4M
214 Autodesk Inc ADSK 0.16% 7.10K $1.4M
215 DoubleVerify Holdings Inc DV 0.16% 126.87K $1.4M
216 Integra LifeSciences Holdings Corp IART 0.16% 76.36K $1.4M
217 Etsy Inc ETSY 0.16% 18.18K $1.4M
218 CCC Intelligent Solutions Holdings Inc CCC 0.16% 264.96K $1.4M
219 Coty Inc COTY 0.16% 632.25K $1.4M
220 Celanese Corp CE 0.16% 29.54K $1.4M
221 Range Resources Corp RRC 0.16% 36.52K $1.4M
222 Smithfield Foods Inc SFD 0.16% 55.61K $1.3M
223 Meta Platforms Inc META 0.16% 2.39K $1.3M
224 First American Financial Corp FAF 0.16% 19.59K $1.3M
225 Signet Jewelers Ltd SIG 0.16% 15.51K $1.3M
226 Repay Holdings Corp RPAY 0.16% 316.51K $1.3M
227 Nexstar Media Group Inc NXST 0.16% 7.43K $1.3M
228 Prosperity Bancshares Inc PB 0.16% 18.12K $1.3M
229 Eastman Chemical Co EMN 0.16% 19.69K $1.3M
230 Five9 Inc FIVN 0.16% 61.72K $1.3M
231 Globe Life Inc GL 0.15% 7.32K $1.3M
232 Encore Capital Group Inc ECPG 0.15% 14.02K $1.3M
233 UMB Financial Corp UMBF 0.15% 9.15K $1.3M
234 Zimmer Biomet Holdings Inc ZBH 0.15% 15.02K $1.3M
235 Cerence Inc CRNC 0.15% 114.09K $1.3M
236 First Busey Corp BUSE 0.15% 43.74K $1.3M
237 LendingTree Inc TREE 0.15% 29.07K $1.3M
238 Macy's Inc M 0.15% 54.64K $1.3M
239 Kelly Services Inc KELYA 0.15% 104.63K $1.3M
240 DENTSPLY SIRONA Inc XRAY 0.15% 120.91K $1.3M
241 Lululemon Athletica Inc LULU 0.15% 11.17K $1.3M
242 Spectrum Brands Holdings Inc SPB 0.15% 14.87K $1.3M
243 Fox Corp FOX 0.15% 27.21K $1.3M
244 Dole PLC DOLE 0.15% 92.33K $1.3M
245 Universal Health Services Inc UHS 0.15% 8.47K $1.3M
246 Bath & Body Works Inc BBWI 0.15% 54.37K $1.3M
247 Edgewell Personal Care Co EPC 0.15% 46.63K $1.3M
248 M&T Bank Corp MTB 0.15% 5.26K $1.3M
249 World Kinect Corp WKC 0.15% 37.89K $1.2M
250 CF Industries Holdings Inc CF 0.15% 11.48K $1.2M
251 TD SYNNEX Corp SNX 0.15% 4.64K $1.2M
252 Commerce.com Inc CMRC 0.15% 418.83K $1.2M
253 Genesco Inc GCO 0.15% 36.70K $1.2M
254 Camping World Holdings Inc CWH 0.15% 162.30K $1.2M
255 HF Sinclair Corp DINO 0.15% 17.77K $1.2M
256 Pelagos Insurance Capital Ltd PLGO 0.15% 50.80K $1.2M
257 Maplebear Inc CART 0.15% 26.04K $1.2M
258 Southwest Airlines Co LUV 0.15% 23.98K $1.2M
259 Tyson Foods Inc TSN 0.15% 21.51K $1.2M
260 International Business Machines Corp IBM 0.15% 4.38K $1.2M
261 Bloomin' Brands Inc BLMN 0.14% 133.99K $1.2M
262 QUALCOMM Inc QCOM 0.14% 6.61K $1.2M
263 Amerant Bancorp Inc AMTB 0.14% 47.72K $1.2M
264 Coeur Mining Inc CDE 0.14% 74.55K $1.2M
265 Synchrony Financial SYF 0.14% 15.89K $1.2M
266 Gilead Sciences Inc GILD 0.14% 9.53K $1.2M
267 BioMarin Pharmaceutical Inc BMRN 0.14% 20.99K $1.2M
268 Janus International Group Inc JBI 0.14% 216.15K $1.2M
269 WesBanco Inc WSBC 0.14% 30.59K $1.2M
270 Costamare Inc CMRE 0.14% 84.99K $1.2M
271 Beacon Financial Corp BBT 0.14% 38.93K $1.2M
272 Dime Commercial Bancshares Inc DCOM 0.14% 29.13K $1.2M
273 Enact Holdings Inc ACT 0.14% 25.90K $1.2M
274 J M Smucker Co/The SJM 0.14% 10.46K $1.2M
275 AMN Healthcare Services Inc AMN 0.14% 35.94K $1.2M
276 Sarepta Therapeutics Inc SRPT 0.14% 64.61K $1.2M
277 Penn Entertainment Inc PENN 0.14% 54.12K $1.2M
278 OneSpan Inc OSPN 0.14% 80.31K $1.2M
279 DR Horton Inc DHI 0.14% 7.07K $1.2M
280 OceanFirst Financial Corp OCFC 0.14% 58.88K $1.1M
281 Greenbrier Cos Inc/The GBX 0.14% 23.38K $1.1M
282 Everforth Inc EFOR 0.14% 63.98K $1.1M
283 Renasant Corp RNST 0.13% 26.81K $1.1M
284 SOUTHSTATE BANK CORP SSB 0.13% 11.36K $1.1M
285 Ironwood Pharmaceuticals Inc IRWD 0.13% 267.29K $1.1M
286 Northwest Bancshares Inc NWBI 0.13% 74.20K $1.1M
287 Blackbaud Inc BLKB 0.13% 37.93K $1.1M
288 Regal Rexnord Corp RRX 0.13% 4.71K $1.1M
289 Urban Outfitters Inc URBN 0.13% 15.74K $1.1M
290 MGIC Investment Corp MTG 0.13% 39.36K $1.1M
291 Standard Motor Products Inc SMP 0.13% 28.40K $1.1M
292 Consensus Cloud Solutions Inc CCSI 0.13% 28.89K $1.1M
293 Kraft Heinz Co/The KHC 0.13% 46.66K $1.1M
294 Hovnanian Enterprises Inc HOV 0.13% 7.74K $1.1M
295 United Parcel Service Inc UPS 0.13% 10.21K $1.1M
296 AutoNation Inc AN 0.13% 5.90K $1.1M
297 PennyMac Financial Services Inc PFSI 0.13% 12.57K $1.1M
298 Adient PLC ADNT 0.13% 59.52K $1.1M
299 Customers Bancorp Inc CUBI 0.13% 13.83K $1.1M
300 Pinnacle Financial Partners Inc PNFP 0.13% 10.83K $1.1M
301 Seaboard Corp SEB 0.13% 244 $1.1M
302 First Commonwealth Financial Corp FCF 0.13% 53.46K $1.1M
303 Capitol Federal Financial Inc CFFN 0.13% 127.69K $1.1M
304 Stanley Black & Decker Inc SWK 0.13% 11.54K $1.1M
305 Pacira BioSciences Inc PCRX 0.13% 42.79K $1.1M
306 International Flavors & Fragrances Inc IFF 0.13% 13.70K $1.1M
307 Crescent Energy Co CRGY 0.13% 110.28K $1.1M
308 Hope Bancorp Inc HOPE 0.13% 78.97K $1.1M
309 Dollar General Corp DG 0.13% 9.38K $1.1M
310 Fulton Financial Corp FULT 0.13% 44.27K $1.1M
311 Lincoln National Corp LNC 0.13% 30.24K $1.1M
312 Amphastar Pharmaceuticals Inc AMPH 0.13% 52.37K $1.1M
313 Haverty Furniture Cos Inc HVT 0.12% 41.34K $1.1M
314 Assured Guaranty Ltd AGO 0.12% 13.08K $1.0M
315 ConnectOne Bancorp Inc CNOB 0.12% 31.18K $1.0M
316 Provident Financial Services Inc PFS 0.12% 43.92K $1.0M
317 Perrigo Co PLC PRGO 0.12% 99.89K $1.0M
318 Textron Inc TXT 0.12% 11.30K $1.0M
319 PRA Group Inc PRAA 0.12% 54.29K $1.0M
320 Freshworks Inc FRSH 0.12% 101.64K $1.0M
321 Envista Holdings Corp NVST 0.12% 39.02K $1.0M
322 Yext Inc YEXT 0.12% 219.88K $1.0M
323 United Bankshares Inc/WV UBSI 0.12% 22.36K $1.0M
324 Thryv Holdings Inc THRY 0.12% 259.93K $1.0M
325 Ingredion Inc INGR 0.12% 10.81K $1.0M
326 QIAGEN NV QGEN 0.12% 26.16K $1.0M
327 Abercrombie & Fitch Co ANF 0.12% 11.35K $1.0M
328 Cathay General Bancorp CATY 0.12% 16.44K $1.0M
329 ServiceNow Inc NOW 0.12% 10.25K $1.0M
330 Quanex Building Products Corp NX 0.12% 54.26K $1.0M
331 Roper Technologies Inc ROP 0.12% 2.97K $1.0M
332 GATX Corp GATX 0.12% 5.63K $997.8K
333 Columbus McKinnon Corp/NY CMCO 0.12% 65.76K $994.9K
334 Sprinklr Inc CXM 0.12% 191.62K $988.8K
335 Pegasystems Inc PEGA 0.12% 32.86K $984.8K
336 Target Corp TGT 0.12% 7.53K $983.9K
337 FMC Corp FMC 0.12% 85.46K $982.8K
338 United Natural Foods Inc UNFI 0.12% 21.44K $979.3K
339 ScanSource Inc SCSC 0.12% 18.77K $978.0K
340 Crocs Inc CROX 0.11% 8.05K $971.2K
341 Exelixis Inc EXEL 0.11% 17.73K $964.5K
342 USANA Health Sciences Inc USNA 0.11% 45.05K $961.7K
343 Sally Beauty Holdings Inc SBH 0.11% 67.87K $959.7K
344 Millerknoll Inc MLKN 0.11% 46.66K $954.7K
345 Capri Holdings Ltd CPRI 0.11% 51.04K $947.8K
346 MarineMax Inc HZO 0.11% 25.88K $947.8K
347 Rapid7 Inc RPD 0.11% 116.56K $944.1K
348 Metropolitan Bank Holding Corp MCB 0.11% 9.54K $942.1K
349 Home BancShares Inc/AR HOMB 0.11% 32.99K $941.9K
350 Forestar Group Inc FOR 0.11% 29.72K $940.7K
351 Orrstown Financial Services Inc ORRF 0.11% 22.73K $927.9K
352 Charles Schwab Corp/The SCHW 0.11% 10.04K $925.9K
353 Gray Media Inc GTN 0.11% 230.45K $914.9K
354 Financial Institutions Inc FISI 0.11% 23.45K $913.9K
355 Amentum Holdings Inc AMTM 0.11% 44.01K $909.6K
356 General Dynamics Corp GD 0.11% 2.56K $908.6K
357 Trustmark Corp TRMK 0.11% 19.65K $904.1K
358 Cardinal Health Inc CAH 0.11% 3.80K $902.0K
359 Simply Good Foods Co/The SMPL 0.11% 67.62K $897.9K
360 Universal Corp/VA UVV 0.10% 16.92K $882.8K
361 Fidelity National Information Services Inc FIS 0.10% 22.69K $882.1K
362 Byline Bancorp Inc BY 0.10% 23.41K $881.7K
363 N-able Inc/US NABL 0.10% 239.46K $878.8K
364 Happen Inc HAPN 0.10% 42.31K $877.6K
365 Enovis Corp ENOV 0.10% 42.36K $876.9K
366 Marriott Vacations Worldwide Corp VAC 0.10% 8.59K $875.5K
367 PayPal Holdings Inc PYPL 0.10% 19.93K $860.5K
368 Unum Group UNM 0.10% 9.58K $856.5K
369 Conagra Brands Inc CAG 0.10% 63.56K $855.6K
370 Kearny Financial Corp/MD KRNY 0.10% 90.36K $854.8K
371 Mosaic Co/The MOS 0.10% 40.33K $854.6K
372 M/I Homes Inc MHO 0.10% 5.27K $847.8K
373 Block Inc XYZ 0.10% 11.11K $844.6K
374 HNI Corp HNI 0.10% 20.75K $838.6K
375 KB Home KBH 0.10% 13.32K $833.9K
376 Methode Electronics Inc MEI 0.10% 43.88K $832.4K
377 Arhaus Inc ARHS 0.10% 98.71K $831.1K
378 Wintrust Financial Corp WTFC 0.10% 5.17K $831.1K
379 Eastern Bankshares Inc EBC 0.10% 37.16K $826.5K
380 Paylocity Holding Corp PCTY 0.10% 7.87K $822.4K
381 Seneca Foods Corp SENEA 0.10% 4.73K $822.0K
382 Virtus Investment Partners Inc VRTS 0.10% 5.70K $817.4K
383 John Wiley & Sons Inc WLY 0.10% 16.79K $814.2K
384 Brown & Brown Inc BRO 0.10% 12.68K $813.2K
385 Alight Inc ALIT 0.10% 1.45M $811.2K
386 Independent Bank Corp INDB 0.10% 9.59K $803.0K
387 Legalzoom.com Inc LZ 0.09% 130.44K $799.6K
388 Orion SA OEC 0.09% 120.34K $797.9K
389 Mativ Holdings Inc MATV 0.09% 105.31K $797.2K
390 Atlantic Union Bankshares Corp AUB 0.09% 18.66K $789.4K
391 Embecta Corp EMBC 0.09% 240.86K $785.2K
392 Diversified Energy Co DEC 0.09% 56.57K $784.1K
393 First Merchants Corp FRME 0.09% 17.89K $781.6K
394 Old Republic International Corp ORI 0.09% 18.96K $776.0K
395 Verra Mobility Corp VRRM 0.09% 182.38K $775.1K
396 Phreesia Inc PHR 0.09% 74.75K $769.1K
397 Movado Group Inc MOV 0.09% 19.38K $761.7K
398 Bright Horizons Family Solutions Inc BFAM 0.09% 10.71K $759.0K
399 Origin Bancorp Inc OBK 0.09% 14.57K $745.4K
400 Science Applications International Corp SAIC 0.09% 6.71K $740.6K
401 Voya Financial Inc VOYA 0.09% 8.13K $736.2K
402 Bristow Group Inc VTOL 0.09% 17.73K $732.5K
403 VF Corp VFC 0.09% 43.87K $731.7K
404 Align Technology Inc ALGN 0.09% 4.34K $731.3K
405 Tenable Holdings Inc TENB 0.09% 19.79K $729.9K
406 SM Energy Co SM 0.09% 27.93K $728.9K
407 Oportun Financial Corp OPRT 0.09% 127.63K $728.8K
408 Sylvamo Corp SLVM 0.09% 19.18K $725.2K
409 Occidental Petroleum Corp OXY 0.09% 14.91K $724.4K
410 SandRidge Energy Inc SD 0.08% 52.31K $716.7K
411 ACCO Brands Corp ACCO 0.08% 171.76K $714.5K
412 White Mountains Insurance Group Ltd WTM 0.08% 344 $713.2K
413 GoDaddy Inc GDDY 0.08% 8.39K $711.8K
414 Oshkosh Corp OSK 0.08% 4.63K $710.9K
415 Dick's Sporting Goods Inc DKS 0.08% 3.12K $707.9K
416 LyondellBasell Industries NV LYB 0.08% 13.44K $707.4K
417 Cushman & Wakefield Ltd CWK 0.08% 52.39K $701.5K
418 Royalty Pharma PLC RPRX 0.08% 12.46K $698.4K
419 Domo Inc DOMO 0.08% 222.51K $696.5K
420 Titan International Inc TWI 0.08% 90.29K $696.1K
421 Washington Trust Bancorp Inc WASH 0.08% 18.94K $691.0K
422 Old Second Bancorp Inc OSBC 0.08% 29.53K $688.6K
423 Teradata Corp TDC 0.08% 19.84K $687.5K
424 QuinStreet Inc QNST 0.08% 46.92K $687.4K
425 Cencora Inc COR 0.08% 2.43K $687.4K
426 Hanmi Financial Corp HAFC 0.08% 20.67K $669.6K
427 XP Inc XP 0.08% 41.15K $669.1K
428 Tenet Healthcare Corp THC 0.08% 3.57K $667.3K
429 Equity Bancshares Inc EQBK 0.08% 13.60K $666.3K
430 CNH Industrial NV CNH 0.08% 59.24K $665.2K
431 Harmony Biosciences Holdings Inc HRMY 0.08% 18.24K $664.1K
432 CONMED Corp CNMD 0.08% 20.21K $661.5K
433 Expedia Group Inc EXPE 0.08% 2.58K $661.4K
434 International Paper Co IP 0.08% 17.33K $660.4K
435 Bank of NT Butterfield & Son Ltd/The NTB 0.08% 11.03K $656.5K
436 Heritage Financial Corp/WA HFWA 0.08% 22.12K $655.1K
437 Aviat Networks Inc AVNW 0.08% 29.48K $654.4K
438 Nu Skin Enterprises Inc NUS 0.08% 123.63K $652.8K
439 Goodyear Tire & Rubber Co/The GT 0.08% 98.44K $649.7K
440 Preferred Bank/Los Angeles CA PFBC 0.08% 6.03K $640.4K
441 TriNet Group Inc TNET 0.08% 12.94K $640.2K
442 Southside Bancshares Inc SBSI 0.08% 18.07K $635.7K
443 Nutanix Inc NTNX 0.08% 12.46K $635.2K
444 Univest Financial Corp UVSP 0.08% 14.50K $634.2K
445 Pagseguro Digital Ltd PAGS 0.08% 70.02K $633.7K
446 NB Bancorp Inc NBBK 0.07% 29.97K $633.2K
447 Del Monte Corp DMC 0.07% 22.67K $632.7K
448 Principal Financial Group Inc PFG 0.07% 5.86K $631.4K
449 Heritage Insurance Holdings Inc HRTG 0.07% 24.15K $629.8K
450 Eagle Bancorp Inc EGBN 0.07% 22.16K $629.0K
451 Live Oak Bancshares Inc LOB 0.07% 15.38K $628.0K
452 Granite Ridge Resources Inc GRNT 0.07% 142.18K $627.0K
453 Hanover Insurance Group Inc/The THG 0.07% 2.92K $625.9K
454 Ingram Micro Holding Corp INGM 0.07% 22.71K $622.8K
455 Bladex Inc BLX 0.07% 10.04K $617.1K
456 F&G Annuities & Life Inc FG 0.07% 23.20K $616.8K
457 Funko Inc FNKO 0.07% 104.65K $615.4K
458 BrightView Holdings Inc BV 0.07% 43.20K $612.1K
459 NMI Holdings Inc NMIH 0.07% 14.89K $611.8K
460 Fox Factory Holding Corp FOXF 0.07% 36.06K $611.1K
461 Marsh & McLennan Cos Inc MRSH 0.07% 3.67K $610.8K
462 OneMain Holdings Inc OMF 0.07% 10.01K $610.1K
463 Ethan Allen Interiors Inc ETD 0.07% 27.24K $608.6K
464 Minerals Technologies Inc MTX 0.07% 8.20K $606.4K
465 National Bank Holdings Corp NBHC 0.07% 13.64K $606.2K
466 JPMorgan Chase & Co JPM 0.07% 1.85K $605.9K
467 Zebra Technologies Corp ZBRA 0.07% 2.30K $605.8K
468 Solventum Corp SOLV 0.07% 7.83K $604.2K
469 Henry Schein Inc HSIC 0.07% 7.21K $602.5K
470 Johnson & Johnson JNJ 0.07% 2.37K $601.4K
471 Affiliated Managers Group Inc AMG 0.07% 1.77K $600.7K
472 Sonoco Products Co SON 0.07% 10.58K $596.2K
473 Cooper-Standard Holdings Inc CPS 0.07% 21.99K $594.9K
474 Elastic NV ESTC 0.07% 10.39K $592.7K
475 Zumiez Inc ZUMZ 0.07% 33.26K $592.0K
476 Pitney Bowes Inc PBI 0.07% 33.60K $588.7K
477 Vontier Corp VNT 0.07% 20.23K $586.8K
478 Selective Insurance Group Inc SIGI 0.07% 6.05K $586.5K
479 Carnival Corp Ltd CCL 0.07% 20.52K $586.3K
480 Okta Inc OKTA 0.07% 4.29K $585.4K
481 National Vision Holdings Inc EYE 0.07% 30.73K $584.3K
482 Performance Food Group Co PFGC 0.07% 5.19K $580.3K
483 NerdWallet Inc NRDS 0.07% 62.52K $578.3K
484 Stitch Fix Inc SFIX 0.07% 140.55K $577.7K
485 Qualys Inc QLYS 0.07% 4.19K $575.8K
486 AdaptHealth Corp AHCO 0.07% 54.81K $571.1K
487 Insight Enterprises Inc NSIT 0.07% 4.68K $570.0K
488 Gulfport Energy Corp GPOR 0.07% 3.34K $567.1K
489 Apogee Enterprises Inc APOG 0.07% 12.39K $566.6K
490 Inspire Medical Systems Inc INSP 0.07% 12.69K $566.1K
491 Carlyle Group Inc/The CG 0.07% 13.31K $560.5K
492 Gibraltar Industries Inc ROCK 0.07% 12.42K $560.1K
493 Walker & Dunlop Inc WD 0.07% 10.18K $556.6K
494 WEX Inc WEX 0.06% 3.85K $543.2K
495 TriCo Bancshares TCBK 0.06% 10.04K $540.6K
496 BlueLinx Holdings Inc BXC 0.06% 8.72K $539.8K
497 Riley Exploration Permian Inc REPX 0.06% 16.21K $534.2K
498 NewtekOne Inc NEWT 0.06% 36.04K $533.8K
499 8x8 Inc EGHT 0.06% 308.41K $527.4K
500 Banner Corp BANR 0.06% 7.92K $526.3K
501 Popular Inc BPOP 0.06% 3.19K $524.2K
502 US Dollar 0.06% 519.26K $519.3K
503 SunCoke Energy Inc SXC 0.06% 63.85K $514.0K
504 Northeast Bank NBN 0.06% 3.88K $513.6K
505 Gogo Inc GOGO 0.06% 165.53K $513.1K
506 Cooper Cos Inc/The COO 0.06% 7.15K $512.6K
507 Flutter Entertainment PLC FLUT 0.06% 4.92K $502.7K
508 Strategy Inc MSTR 0.06% 5.77K $501.2K
509 WSFS Financial Corp WSFS 0.06% 6.53K $501.2K
510 Burke & Herbert Financial Services Corp BHRB 0.06% 6.95K $499.3K
511 Constellation Brands Inc STZ 0.06% 3.57K $496.4K
512 Myriad Genetics Inc MYGN 0.06% 86.92K $496.3K
513 Teekay Corp Ltd TK 0.06% 49.51K $495.1K
514 Strategic Education Inc STRA 0.06% 6.44K $493.6K
515 Lamb Weston Holdings Inc LW 0.06% 11.33K $489.2K
516 Stepan Co SCL 0.06% 8.73K $486.7K
517 Zoom Communications Inc ZM 0.06% 5.62K $485.2K
518 Northrim BanCorp Inc NRIM 0.06% 17.42K $483.3K
519 Gen Digital Inc GEN 0.06% 19.35K $481.6K
520 Sinclair Inc SBGI 0.06% 33.55K $478.1K
521 Midland States Bancorp Inc MSBI 0.06% 15.21K $473.5K
522 Dow Inc DOW 0.06% 17.15K $469.2K
523 PROG Holdings Inc PRG 0.06% 10.03K $467.7K
524 McCormick & Co Inc/MD MKC 0.06% 9.24K $466.0K
525 Mid Penn Bancorp Inc MPB 0.06% 13.35K $465.1K
526 Utz Brands Inc UTZ 0.06% 60.34K $464.7K
527 OFG Bancorp OFG 0.05% 9.45K $463.6K
528 Amazon.com Inc AMZN 0.05% 1.95K $463.6K
529 Toll Brothers Inc TOL 0.05% 2.78K $458.5K
530 IBEX Holdings Ltd IBEX 0.05% 14.90K $452.7K
531 Wolverine World Wide Inc WWW 0.05% 27.09K $447.8K
532 Doximity Inc DOCS 0.05% 21.46K $445.2K
533 Oil States International Inc OIS 0.05% 55.32K $443.1K
534 Commerce Bancshares Inc/MO CBSH 0.05% 7.66K $442.1K
535 Hartford Insurance Group Inc/The HIG 0.05% 3.31K $438.4K
536 First Financial Corp THFF 0.05% 5.63K $436.1K
537 Magnera Corp MAGN 0.05% 36.97K $434.4K
538 SS&C Technologies Holdings Inc SSNC 0.05% 6.95K $431.1K
539 Varex Imaging Corp VREX 0.05% 41.06K $428.3K
540 Federal Agricultural Mortgage Corp AGM 0.05% 2.14K $425.6K
541 Independent Bank Corp/MI IBCP 0.05% 11.74K $423.5K
542 Ameris Bancorp ABCB 0.05% 4.69K $423.4K
543 CNB Financial Corp/PA CCNE 0.05% 12.52K $422.2K
544 Camden National Corp CAC 0.05% 7.78K $421.7K
545 Tompkins Financial Corp TMP 0.05% 4.44K $419.8K
546 Business First Bancshares Inc BFST 0.05% 13.66K $419.7K
547 SIRIUSPOINT LTD SPNT 0.05% 17.47K $419.3K
548 Magnite Inc MGNI 0.05% 22.09K $419.2K
549 United Community Banks Inc/GA UCB 0.05% 11.83K $415.0K
550 AdvanSix Inc ASIX 0.05% 20.70K $411.6K
551 Greif Inc GEF 0.05% 5.49K $408.6K
552 PrimeEnergy Resources Corp PNRG 0.05% 2.45K $408.5K
553 Manitowoc Co Inc/The MTW 0.05% 29.25K $406.3K
554 MGP Ingredients Inc MGPI 0.05% 22.71K $397.8K
555 Fidelity National Financial Inc FNF 0.05% 8.35K $393.9K
556 AGCO Corp AGCO 0.05% 3.27K $391.3K
557 Horizon Bancorp Inc/IN HBNC 0.05% 19.58K $391.2K
558 Ziff Davis Inc ZD 0.05% 7.45K $389.9K
559 Liberty Global Ltd LBTYA 0.05% 34.16K $388.4K
560 Shoe Station Group Inc SHOE 0.05% 25.82K $383.0K
561 Bunge Global SA BG 0.04% 3.42K $364.5K
562 Mitek Systems Inc MITK 0.04% 18.10K $364.3K
563 Cullen/Frost Bankers Inc CFR 0.04% 2.35K $363.0K
564 First Horizon Corp FHN 0.04% 14.15K $362.9K
565 Ardagh Metal Packaging SA AMBP 0.04% 76.50K $362.6K
566 Newmark Group Inc NMRK 0.04% 23.98K $362.3K
567 East West Bancorp Inc EWBC 0.04% 2.77K $358.0K
568 Navient Corp NAVI 0.04% 41.91K $356.7K
569 United Fire Group Inc UFCS 0.04% 6.79K $356.3K
570 QCR Holdings Inc QCRH 0.04% 3.61K $351.2K
571 Pediatrix Medical Group Inc MD 0.04% 13.75K $348.2K
572 Dauch Corp DCH 0.04% 63.81K $345.9K
573 BILL Holdings Inc BILL 0.04% 9.55K $345.3K
574 Intercontinental Exchange Inc ICE 0.04% 2.80K $345.2K
575 PBF Energy Inc PBF 0.04% 7.57K $344.7K
576 GE HealthCare Technologies Inc GEHC 0.04% 5.33K $340.9K
577 Euronet Worldwide Inc EEFT 0.04% 4.56K $333.7K
578 Stifel Financial Corp SF 0.04% 4.73K $330.0K
579 PulteGroup Inc PHM 0.04% 2.40K $328.6K
580 Flagstar Bank NA FLG 0.04% 21.95K $327.9K
581 NBT Bancorp Inc NBTB 0.04% 6.62K $327.1K
582 Fortrea Holdings Inc FTRE 0.04% 18.59K $323.5K
583 Genworth Financial Inc GNW 0.04% 34.15K $323.4K
584 Corsair Gaming Inc CRSR 0.04% 33.28K $321.8K
585 Global Payments Inc GPN 0.04% 4.37K $317.3K
586 Bioventus Inc BVS 0.04% 32.77K $309.3K
587 Glacier Bancorp Inc GBCI 0.04% 5.94K $306.4K
588 Zillow Group Inc Z 0.04% 9.68K $305.0K
589 MiMedx Group Inc MDXG 0.04% 78.61K $302.6K
590 Morgan Stanley MS 0.04% 1.44K $300.0K
591 State Street Corp STT 0.04% 1.76K $298.3K
592 Brookfield Business Corp BBUC 0.04% 9.99K $298.2K
593 Ribbon Communications Inc RBBN 0.04% 127.18K $297.6K
594 Leidos Holdings Inc LDOS 0.04% 2.88K $296.6K
595 Eastman Kodak Co KODK 0.03% 31.90K $295.0K
596 Thermo Fisher Scientific Inc TMO 0.03% 578 $289.8K
597 Keurig Dr Pepper Inc KDP 0.03% 8.76K $286.8K
598 Farmers National Banc Corp FMNB 0.03% 19.58K $285.9K
599 Third Coast Bancshares Inc TCBX 0.03% 7.07K $285.7K
600 Hyster-Yale Inc HY 0.03% 8.13K $285.2K
601 Towne Bank/Portsmouth VA TOWN 0.03% 7.82K $283.3K
602 Octave Specialty Group Inc OSG 0.03% 44.46K $277.4K
603 EW Scripps Co/The SSP 0.03% 100.14K $277.4K
604 Community Trust Bancorp Inc CTBI 0.03% 3.82K $276.4K
605 Collegium Pharmaceutical Inc COLL 0.03% 7.58K $274.5K
606 Winnebago Industries Inc WGO 0.03% 8.78K $274.2K
607 JELD-WEN Holding Inc JELD 0.03% 178.95K $268.4K
608 JBT Marel Corp JBTM 0.03% 1.84K $266.9K
609 First Mid Bancshares Inc FMBH 0.03% 5.54K $266.2K
610 Dollar Tree Inc DLTR 0.03% 2.16K $261.7K
611 Diebold Nixdorf Inc DBD 0.03% 3.06K $260.4K
612 Liberty Global Ltd LBTYK 0.03% 23.61K $259.7K
613 Citi Trends Inc CTRN 0.03% 4.47K $258.7K
614 Teekay Tankers Ltd TNK 0.03% 3.98K $257.9K
615 MGM Resorts International MGM 0.03% 5.39K $257.7K
616 Strattec Security Corp STRT 0.03% 3.16K $257.2K
617 Tractor Supply Co TSCO 0.03% 7.95K $251.4K
618 Option Care Health Inc OPCH 0.03% 11.88K $249.1K
619 Beazer Homes USA Inc BZH 0.03% 8.88K $249.0K
620 Gentherm Inc THRM 0.03% 7.24K $247.0K
621 Box Inc BOX 0.03% 9.30K $246.9K
622 Titan Machinery Inc TITN 0.03% 11.65K $246.1K
623 Teleflex Inc TFX 0.03% 1.93K $244.5K
624 NetApp Inc NTAP 0.03% 1.57K $243.7K
625 Universal Insurance Holdings Inc UVE 0.03% 5.84K $241.7K
626 Sonic Automotive Inc SAH 0.03% 2.85K $241.7K
627 Southern Missouri Bancorp Inc SMBC 0.03% 3.13K $238.5K
628 American Airlines Group Inc AAL 0.03% 13.15K $237.6K
629 Orthofix Medical Inc OFIX 0.03% 25.94K $237.1K
630 Malibu Boats Inc MBUU 0.03% 8.64K $237.0K
631 Nextdoor Holdings Inc NXDR 0.03% 103.99K $236.0K
632 Scorpio Tankers Inc STNG 0.03% 3.39K $235.1K
633 ABM Industries Inc ABM 0.03% 5.23K $231.4K
634 Innoviva Inc INVA 0.03% 10.12K $229.7K
635 Dorian LPG Ltd LPG 0.03% 6.60K $229.5K
636 First Bancorp/Southern Pines NC FBNC 0.03% 3.38K $215.9K
637 Onterris Inc ONT 0.03% 10.53K $212.8K
638 Ardmore Shipping Corp ASC 0.02% 15.00K $210.1K
639 Kemper Corp KMPR 0.02% 7.59K $204.6K
640 Shore Bancshares Inc SHBI 0.02% 8.90K $204.2K
641 California BanCorp BCAL 0.02% 9.79K $204.0K
642 Great Southern Bancorp Inc GSBC 0.02% 2.54K $199.1K
643 Gentex Corp GNTX 0.02% 7.87K $198.9K
644 Crown Holdings Inc CCK 0.02% 1.73K $193.3K
645 Organogenesis Holdings Inc ORGO 0.02% 79.31K $192.7K
646 Tandem Diabetes Care Inc TNDM 0.02% 12.69K $191.5K
647 SkyWest Inc SKYW 0.02% 1.92K $190.6K
648 Central Pacific Financial Corp CPF 0.02% 4.96K $189.4K
649 A O Smith Corp AOS 0.02% 2.97K $186.1K
650 Keros Therapeutics Inc KROS 0.02% 17.30K $185.1K
651 Blackrock Inc BLK 0.02% 192 $184.6K
652 Omnicell Inc OMCL 0.02% 4.40K $182.9K
653 Natural Grocers by Vitamin Cottage Inc NGVC 0.02% 5.89K $182.7K
654 Axos Financial Inc AX 0.02% 1.87K $181.7K
655 Ryerson Holding Corp RYZ 0.02% 7.28K $179.1K
656 PPG Industries Inc PPG 0.02% 1.46K $176.5K
657 Hormel Foods Corp HRL 0.02% 7.07K $175.6K
658 1st Source Corp SRCE 0.02% 2.15K $175.2K
659 Peabody Energy Corp BTU 0.02% 7.57K $175.0K
660 Coursera Inc COUR 0.02% 30.98K $174.7K
661 nCino Inc NCNO 0.02% 10.60K $173.3K
662 BlackLine Inc BL 0.02% 6.13K $172.0K
663 Navigator Holdings Ltd NVGS 0.02% 9.00K $167.6K
664 Ferroglobe PLC GSM 0.02% 49.97K $158.9K
665 Murphy Oil Corp MUR 0.02% 4.66K $151.6K
666 Pangaea Logistics Solutions Ltd PANL 0.02% 22.32K $145.1K
667 Ardent Health Inc ARDT 0.02% 12.89K $126.8K
668 Starz Entertainment Corp STRZ 0.01% 3.56K $102.9K
669 SLBBH1142 0.00% 414 $41.4K

Clique em um ticker para ver todos os ETFs que o detêm.

Exposição Setorial

Serviços Financeiros 26.37%
Saúde 16.04%
Consumo Cíclico 13.70%
Tecnologia 12.84%
Energia 8.53%
Consumo Não Cíclico 6.91%
Indústria 6.81%
Serviços de Comunicação 5.67%
Materiais Básicos 2.70%
Imobiliário 0.43%

Exposição Geográfica

United States (developed) 92.54%
Ireland (developed) 2.35%
Bermuda 2.25%
Switzerland (developed) 0.81%
Other 0.30%
Netherlands (developed) 0.27%
United Kingdom (developed) 0.23%
Australia (developed) 0.19%
Israel (developed) 0.17%
Monaco 0.17%
Cayman Islands 0.15%
Canada (developed) 0.15%
Luxembourg (developed) 0.14%
Puerto Rico 0.12%
Brazil (emerging) 0.08%
Panama 0.07%

Ponderações por país conforme reportadas pelo fornecedor de dados. As classificações desenvolvido/emergente/fronteira seguem a metodologia descrita na página de Metodologia. Com cobertura cambial: Nenhuma cobertura de risco indicada no nome do fundo.

Distribuições

Yield (TTM)1.72% Pago (últimos 12 meses)$2.7858
FrequênciaQuarterly SEC yieldNão fornecido pela nossa fonte de dados — consulte a página do emissor
Último ex-dividendoJun 24, 2026 Último pagamento$0.7087 (Jun 26, 2026)
Crescimento 1A-2.99% Crescimento 3A / 5A (a.a.)+1.43% / +11.95%
Data ex-dividendoData de RegistroData de pagamentoValor
Jun 24, 2026Jun 24, 2026 Jun 26, 2026$0.7087
Mar 24, 2026Mar 24, 2026 Mar 26, 2026$0.6863
Dec 23, 2025Dec 23, 2025 Dec 26, 2025$0.7751
Sep 24, 2025Sep 24, 2025 Sep 26, 2025$0.6157
Jun 20, 2025Jun 20, 2025 Jun 24, 2025$0.7451
Mar 25, 2025Mar 25, 2025 Mar 27, 2025$0.6967
Dec 23, 2024Dec 23, 2024 Dec 26, 2024$0.7542
Sep 26, 2024Sep 26, 2024 Sep 30, 2024$0.6757
Jun 27, 2024Jun 27, 2024 Jul 01, 2024$0.7857
Mar 21, 2024Mar 22, 2024 Mar 26, 2024$0.6257
Dec 19, 2023Dec 20, 2023 Dec 22, 2023$0.7462
Sep 21, 2023Sep 22, 2023 Sep 26, 2023$0.5903

Yield de distribuição acumulado = últimos 12 meses de caixa distribuído ÷ preço atual. NÃO é o yield SEC de 30 dias e a continuidade das distribuições não é garantida. A diferença explicada →

Estatísticas de Risco

Volatilidade 1A / 3A14.22% / 18.31% Sharpe 1A / 3A1.95 / 0.982
Drawdown máximo 1A / 3A-8.55% / -24.07% Sortino 1A3.07
Beta vs S&P 500 (3A)0.876 Correlação com o S&P 500 (1A)0.554
Desvio negativo 1A9.01% Taxa livre de risco utilizada3.71% (3M T-bill, FRED)

Calculado por ETF Explorer com base em fechos diários ajustados de dividendos; a volatilidade e o drawdown são valores anualizados/do período; a exposição ao S&P 500 é representada pelo SPY. Em Aug 27, 2026. Fórmulas →

Liquidez

Volume hoje4.64K Volume médio13.15K
AUM$912.5M Prêmio/Desconto+0.17%
Spread bid/askNão fornecido pela nossa fonte de dados. Verifique a tela de cotações do seu corretora; os spreads são mais amplos na abertura e no fechamento do mercado.

O prêmio/desconto compara o preço de mercado defasado com o último NAV divulgado — trata-se de um valor indicativo, não do prêmio/desconto oficial de fechamento. Como funciona a liquidez dos ETFs →

Fluxos de Fundos (estimados)

PeríodoFluxo líquido est.% do AUM inicialAUM início → fim
1 Dia $0.00 0.00% $912.5M → $912.5M
1 Semana -$7.4M -0.82% $912.5M → $912.5M

Estimativa do ETF Explorer: variação do AUM reportado menos o efeito do movimento de mercado, a partir dos nossos próprios snapshots diários. Não são dados oficiais de criação/resgate da emissora.

Recursos Oficiais do Fundo

Links externos abrem o site da emissora ou o SEC EDGAR em uma nova aba. O prospecto e os documentos oficiais são sempre a fonte autoritativa — consulte-os antes de investir.

Últimas Notícias sobre VFVA

Nenhum artigo menciona este fundo diretamente nos últimos 7 dias — exibindo cobertura geral de ETFs.

Todas as notícias de VFVA →

Ajuda guiada: AUM é o tamanho do fundo. O expense ratio é o custo anual embutido nos retornos. O NAV é o valor dos ativos do fundo por cota; o preço de mercado pode ficar ligeiramente acima (prêmio) ou abaixo (desconto) dele. O retorno total pressupõe que as distribuições foram reinvestidas. Cada conjunto de dados exibe sua própria data de referência, pois carteiras, ativos e cotações são atualizados em cronogramas diferentes.

Commodity

Commodities (amplas)OuroPetróleo & GásPrata

Ativos Digitais

CriptomoedasBitcoin

Renda Fixa

Títulos (todos)Obrigações InternacionaisTítulos PúblicosTítulos do TesouroTítulos CorporativosTítulos de High YieldTítulos MunicipaisTIPS / Proteção contra inflação

Rendimento

DividendoCovered Call / Rendimento com OpçõesAções Preferenciais

Região

InternacionalGlobalMercados DesenvolvidosMercados EmergentesSmall Cap InternacionalMercados de Fronteira

Setor & Tema

FinanceiroTecnologiaEnergiaImóveis / REITsSaúdeMateriaisIndústriaEnergia LimpaInfraestruturas

Estratégia

Buffer / Resultado DefinidoESG / SustentávelCom Cobertura CambialMomentoPeso IgualBaixa Volatilidade

Estrutura

ETFs ativosInversoAlavancado

Estilo e porte

CrescimentoGrande Capitalização EUAValuePequena Capitalização EUAMédia Capitalização EUAMercado Total