13F

Investor

Creative Planning

CIK 0001540235 · filed 2026-02-17 · SEC filing

13F book

$139.7B

Positions

3874

Largest name

11.3%

Ishares Tr

Est. mark

—

Need a prior quarter to estimate
NameTickerSharesValueWeightEst. markChange
Ishares Tr—23M$15.7B11.3%—Held
Vanguard Bd Index Fds—117.8M$8.72B6.2%—Held
Vanguard Tax-Managed Fds—124.2M$7.76B5.6%—Held
Spdr Index Shs Fds—125.1M$5.56B4.0%—Held
Spdr Series Trust—92.7M$5.37B3.8%—Held
Ishares Inc—76.3M$5.13B3.7%—Held
Vanguard Index Fds—12.2M$3.85B2.8%—Held
Apple Inc.AAPL11.3M$3.07B2.2%—Held
Spdr Series Trust—32.8M$2.63B1.9%—Held
Vanguard Index Fds—8.42M$2.44B1.7%—Held
Nvidia CorpNVDA12.5M$2.34B1.7%—Held
Schwab Strategic Tr—83.8M$2.26B1.6%—Held
Vanguard Scottsdale Fds—26.6M$2.23B1.6%—Held
American Centy Etf Tr—22.6M$2.12B1.5%—Held
Vanguard Bd Index Fds—26.1M$2.06B1.5%—Held
Spdr S&P 500 Etf Tr—3.01M$2.06B1.5%—Held
Vanguard Index Fds—6.07M$2.03B1.5%—Held
American Centy Etf Tr—18.8M$1.92B1.4%—Held
Select Sector Spdr Tr—44.5M$1.8B1.3%—Held
Dimensional Etf Trust—24.8M$1.73B1.2%—Held
Microsoft CorpMSFT3.52M$1.7B1.2%—Held
Spdr Series Trust—50.9M$1.54B1.1%—Held
Ishares Tr—13.6M$1.45B1.0%—Held
Ishares Tr—17.6M$1.45B1.0%—Held
Berkshire Hathaway Inc Del—2.86M$1.44B1.0%—Held
Vanguard Mun Bd Fds—25M$1.26B0.9%—Held
Vanguard Index Fds—12.9M$1.14B0.8%—Held
Vanguard Scottsdale Fds—17.9M$1.07B0.8%—Held
Ishares Tr—10.6M$1.06B0.8%—Held
Spdr Index Shs Fds—22M$1.03B0.7%—Held
Schwab Strategic Tr—41.9M$1.01B0.7%—Held
Vanguard Intl Equity Index F—18.4M$988.1M0.7%—Held
Vanguard Index Fds—1.51M$949M0.7%—Held
Amazon Com IncAMZN4.07M$938.4M0.7%—Held
Schwab Strategic Tr—30.4M$915.2M0.7%—Held
Alphabet Inc—2.71M$849M0.6%—Held
Dimensional Etf Trust—13.7M$816.2M0.6%—Held
Schwab Strategic Tr—18.9M$619.2M0.4%—Held
Broadcom Inc.AVGO1.7M$588.8M0.4%—Held
Meta Platforms, Inc.META890.3K$587.7M0.4%—Held
Alphabet Inc—1.77M$556.7M0.4%—Held
Vanguard Index Fds—2.13M$548.3M0.4%—Held
Vanguard Whitehall Fds—3.62M$519.4M0.4%—Held
Jpmorgan Chase & Co.—1.5M$483.1M0.3%—Held
Tesla, Inc.TSLA988.5K$444.5M0.3%—Held
Schwab Strategic Tr—21.1M$440.9M0.3%—Held
Invesco Qqq Tr—707K$434.3M0.3%—Held
Eli Lilly & CoLLY382.8K$411.4M0.3%—Held
Ishares Tr—4.76M$314.2M0.2%—Held
Ishares Tr—4M$310.2M0.2%—Held
Ishares Tr—2.08M$310M0.2%—Held
Ishares Tr—2.81M$300.2M0.2%—Held
Spdr Series Trust—8.06M$272.4M0.2%—Held
Walmart Inc.WMT2.43M$270.4M0.2%—Held
Visa Inc.V766.3K$268.7M0.2%—Held
Spdr Series Trust—3.21M$264.6M0.2%—Held
Wisdomtree Tr—4.52M$258.5M0.2%—Held
Johnson & JohnsonJNJ1.25M$258M0.2%—Held
Dimensional Etf Trust—3.43M$254.1M0.2%—Held
Vanguard Specialized Funds—1.13M$247.6M0.2%—Held
Ishares Tr—657.3K$245.5M0.2%—Held
Exxon Mobil Corp—2.02M$243.6M0.2%—Held
Ishares Tr—2.68M$240.1M0.2%—Held
AbbVie Inc.ABBV1.04M$238.5M0.2%—Held
Dimensional Etf Trust—5.04M$234.8M0.2%—Held
Costco Whsl Corp New—266.2K$229.6M0.2%—Held
Ishares Tr—478.8K$226.6M0.2%—Held
Procter And Gamble CoPG1.54M$221M0.2%—Held
Oracle Corp—1.09M$212M0.2%—Held
Caterpillar IncCAT356K$204M0.1%—Held
Bank America Corp—3.7M$203.4M0.1%—Held
Home Depot, Inc.HD587.6K$202.2M0.1%—Held
Ishares Tr—2.07M$198.7M0.1%—Held
Schwab Strategic Tr—6.79M$193.3M0.1%—Held
Vanguard Growth Etf—379.3K$185M0.1%—Held
Taiwan Semiconductor Mfg Ltd—605.7K$184.1M0.1%—Held
Vanguard Index Fds—938.3K$179.2M0.1%—Held
Wisdomtree Tr—2.66M$175.4M0.1%—Held
Dimensional Etf Trust—3.43M$171.2M0.1%—Held
Spdr S&P Midcap 400 Etf Tr—276.6K$166.8M0.1%—Held
Berkshire Hathaway Inc Del—220$166M0.1%—Held
Vanguard World Fd—1.34M$162.6M0.1%—Held
Applied Matls Inc—606.1K$155.8M0.1%—Held
Mastercard IncMA267.3K$152.6M0.1%—Held
Netflix IncNFLX1.61M$151.3M0.1%—Held
Ishares Tr—1.26M$151M0.1%—Held
Ishares Tr—605.6K$149.1M0.1%—Held
Ishares Tr—1.25M$148.8M0.1%—Held
Coca Cola CoKO2.1M$146.7M0.1%—Held
Advanced Micro Devices IncAMD671.4K$143.8M0.1%—Held
International Business Machs—483K$143.1M0.1%—Held
Abbott LabsABT1.1M$138.1M0.1%—Held
Schwab Strategic Tr—4.21M$137.5M0.1%—Held
Merck & Co., Inc.MRK1.25M$131.2M0.1%—Held
Spdr Series Trust—2.79M$130.9M0.1%—Held
Spdr Series Trust—1.4M$127.5M0.1%—Held
Cisco Sys Inc—1.64M$126.4M0.1%—Held
Wisdomtree Tr—1.39M$122.1M0.1%—Held
Spdr Index Shs Fds—1.85M$121.4M0.1%—Held
Mcdonalds CorpMCD396.5K$121.2M0.1%—Held
Schwab Strategic Tr—4.29M$117.7M0.1%—Held
Wells Fargo Co New—1.26M$117.6M0.1%—Held
Arista Networks, Inc.ANET890K$116.6M0.1%—Held
Pepsico IncPEP808.4K$116M0.1%—Held
Vanguard Intl Equity Index F—1.38M$115.5M0.1%—Held
Lam Research CorpLRCX672K$115M0.1%—Held
Ishares Tr—539.5K$113.5M0.1%—Held
Palantir Technologies Inc.PLTR638.2K$113.4M0.1%—Held
RTX CorpRTX616.7K$113.1M0.1%—Held
Goldman Sachs Group Inc—127.3K$111.9M0.1%—Held
Chevron Corp NewCVX733.4K$111.8M0.1%—Held
Vanguard World Fd—147.4K$111.1M0.1%—Held
American Centy Etf Tr—984.9K$110.1M0.1%—Held
Alps Etf Tr—2.25M$106M0.1%—Held
Vanguard Index Fds—496.1K$103.7M0.1%—Held
Vanguard Intl Equity Index F—1.4M$103.1M0.1%—Held
Schwab Strategic Tr—3.13M$102.8M0.1%—Held
Vanguard World Fd—1.4M$100.2M0.1%—Held
Schwab Strategic Tr—3.81M$99.9M0.1%—Held
Wisdomtree Tr—2.12M$99M0.1%—Held
Vanguard Intl Equity Index F—690.4K$99M0.1%—Held
Vanguard Scottsdale Fds—1.23M$97.9M0.1%—Held
Unitedhealth Group IncUNH290.5K$95.9M0.1%—Held
Dimensional Etf Trust—2.42M$95.7M0.1%—Held
Qualcomm Inc—547.7K$93.7M0.1%—Held
Union Pac Corp—398.5K$92.2M0.1%—Held
Ge Aerospace—297.6K$91.7M0.1%—Held
Ishares Tr—939.6K$90.5M0.1%—Held
Global X Fds—1.87M$90.4M0.1%—Held
Schwab Strategic Tr—3.03M$89.7M0.1%—Held
Micron Technology IncMU311.7K$89M0.1%—Held
Ishares Inc—1.96M$86.7M0.1%—Held
Spdr Gold Tr—218.6K$86.6M0.1%—Held
Salesforce, Inc.CRM327.1K$86.6M0.1%—Held
Vanguard Scottsdale Fds—1.47M$86.3M0.1%—Held
American Express CoAXP229.1K$84.8M0.1%—Held
Amphenol Corp New—619.4K$83.7M0.1%—Held
Vanguard Bd Index Fds—1.05M$81.9M0.1%—Held
Disney Walt Co—714.2K$81.3M0.1%—Held
Morgan Stanley—455.3K$80.8M0.1%—Held
Accenture Plc Ireland—300.6K$80.6M0.1%—Held
Ishares Tr—653.4K$80.5M0.1%—Held
Dimensional Etf Trust—2.42M$79.6M0.1%—Held
Nextera Energy Inc—981.5K$78.8M0.1%—Held
Crowdstrike Hldgs Inc—167.6K$78.6M0.1%—Held
Wisdomtree Tr—1.52M$78.4M0.1%—Held
Philip Morris Intl Inc—485.8K$77.9M0.1%—Held
Spdr Series Trust—724.7K$77.3M0.1%—Held
Boeing Co—355.3K$77.1M0.1%—Held
Select Sector Spdr Tr—535.9K$77.1M0.1%—Held
Vanguard Index Fds—434.4K$77M0.1%—Held
Lockheed Martin CorpLMT158.8K$76.8M0.1%—Held
Tjx Cos Inc New—497.6K$76.4M0.1%—Held
American Centy Etf Tr—974.3K$75M0.1%—Held
Amgen IncAMGN223.5K$73.1M0.1%—Held
Thermo Fisher Scientific Inc.TMO124.3K$72M0.1%—Held
Ishares Tr—1.55M$71.1M0.1%—Held
Eaton Corp PlcETN217.8K$69.4M0.1%—Held
Dimensional Etf Trust—2.09M$68.7M0.0%—Held
Schwab Charles Corp—679.2K$67.9M0.0%—Held
Schwab Us Tips Etf—2.52M$66.7M0.0%—Held
Vanguard Index Fds—312K$66.1M0.0%—Held
Shopify Inc.SHOP409.4K$65.9M0.0%—Held
Ishares Gold Tr—790.8K$64.2M0.0%—Held
Intuitive Surgical IncISRG112.3K$63.6M0.0%—Held
Lowes Cos Inc—263.1K$63.4M0.0%—Held
Kla CorpKLAC52K$63.1M0.0%—Held
ServiceNow, Inc.NOW409.9K$62.8M0.0%—Held
Snowflake Inc.SNOW285.5K$62.6M0.0%—Held
Applovin CorpAPP92.2K$62.1M0.0%—Held
Spdr Series Trust—442.2K$61.5M0.0%—Held
Vanguard Whitehall Fds—683.5K$61.5M0.0%—Held
Novartis Ag—439K$60.5M0.0%—Held
Chubb Limited—193.8K$60.5M0.0%—Held
Blackstone Inc.BX387.1K$59.7M0.0%—Held
Ishares Tr—1.43M$59.6M0.0%—Held
Ishares Tr—184K$59.4M0.0%—Held
Mckesson CorpMCK72.3K$59.3M0.0%—Held
GE Vernova Inc.GEV90.3K$59M0.0%—Held
Schwab Strategic Tr—2.12M$57.7M0.0%—Held
Honeywell Intl Inc—295.7K$57.7M0.0%—Held
Ishares Tr—420.8K$57.6M0.0%—Held
Ishares Inc—790.5K$57.5M0.0%—Held
Marriott Intl Inc New—184.5K$57.2M0.0%—Held
Schwab Strategic Tr—1.25M$57.1M0.0%—Held
Vanguard Star Fds—751.7K$56.7M0.0%—Held
Ishares Tr—510.7K$56.3M0.0%—Held
Vanguard World Fd—136K$56.1M0.0%—Held
Prologis Inc.—425.6K$54.3M0.0%—Held
Booking Holdings Inc.BKNG10.1K$54.2M0.0%—Held
Intel CorpINTC1.46M$53.7M0.0%—Held
S&P Global Inc.SPGI102.1K$53.4M0.0%—Held
American Centy Etf Tr—647.8K$53.3M0.0%—Held
Ishares Tr—559.9K$53.2M0.0%—Held
Spdr Dow Jones Indl Average—109.6K$52.7M0.0%—Held
Vanguard Intl Equity Index F—368.8K$52M0.0%—Held
At&T Inc—2.09M$52M0.0%—Held
Capital One Finl Corp—211.5K$51.3M0.0%—Held
Asml Holding N V—47.5K$50.8M0.0%—Held
Dover CorpDOV258.4K$50.5M0.0%—Held
Invesco Exchange Traded Fd T—262.1K$50.2M0.0%—Held
Palo Alto Networks IncPANW270.9K$49.9M0.0%—Held
Intuit Inc.INTU74.9K$49.6M0.0%—Held
Verizon Communications IncVZ1.22M$49.6M0.0%—Held
Royal Bk Cda—285.3K$48.6M0.0%—Held
Dimensional Etf Trust—1.49M$48.6M0.0%—Held
Genesis Energy L P—3.11M$48.4M0.0%—Held
Comcast Corp New—1.61M$48.1M0.0%—Held
World Gold Tr—557.3K$47.6M0.0%—Held
Wisdomtree Tr—973.1K$47.3M0.0%—Held
Citigroup Inc—401.3K$46.8M0.0%—Held
Ishares Tr—309.7K$46.1M0.0%—Held
Pfizer IncPFE1.85M$46.1M0.0%—Held
Caci Intl Inc—86.2K$45.9M0.0%—Held
Sony Group Corp—1.79M$45.8M0.0%—Held
Wisdomtree Tr—1.36M$45.6M0.0%—Held
Vertex Pharmaceuticals Inc—100.5K$45.6M0.0%—Held
Adobe Inc.ADBE127.8K$44.7M0.0%—Held
Altria Group, Inc.MO769.7K$44.4M0.0%—Held
Deere & CoDE95.2K$44.3M0.0%—Held
Ishares 0-3 Month—438.8K$44M0.0%—Held
Ishares Tr—308.6K$43.6M0.0%—Held
Carlyle Secured Lending, Inc.CGBD3.47M$43.3M0.0%—Held
Duke Energy Corp New—367.9K$43.1M0.0%—Held
Uber Technologies, IncUBER524K$42.8M0.0%—Held
Starbucks CorpSBUX505.1K$42.5M0.0%—Held
Us Bancorp Del—795.9K$42.5M0.0%—Held
Southern Co—481K$41.9M0.0%—Held
Oreilly Automotive Inc—457.8K$41.8M0.0%—Held
Spdr Series Trust—458.2K$41.7M0.0%—Held
American Elec Pwr Co Inc—357.6K$41.2M0.0%—Held
Northrop Grumman Corp—72K$41.1M0.0%—Held
Analog Devices IncADI151.1K$41M0.0%—Held
Constellation Energy CorpCEG115.5K$40.8M0.0%—Held
Gilead Sciences, Inc.GILD329.4K$40.4M0.0%—Held
Bristol-Myers Squibb Co—748.8K$40.4M0.0%—Held
American Centy Etf Tr—532.4K$40.3M0.0%—Held
NIKE, Inc.NKE632.8K$40.3M0.0%—Held
Fidelity Merrimack Str Tr—856.5K$39.4M0.0%—Held
Spdr Series Trust—691.8K$39.3M0.0%—Held
Welltower Inc.WELL211.6K$39.3M0.0%—Held
Texas Instrs Inc—223.9K$38.8M0.0%—Held
Waste Mgmt Inc Del—176.6K$38.8M0.0%—Held
Cummins IncCMI75.9K$38.7M0.0%—Held
Vanguard Index Fds—138.6K$38.7M0.0%—Held
General Dynamics CorpGD114.4K$38.5M0.0%—Held
HCA Healthcare, Inc.HCA82K$38.3M0.0%—Held
Parker-Hannifin CorpPH42.8K$37.7M0.0%—Held
Ishares Tr—687.4K$37.6M0.0%—Held
Blackstone Secd Lending Fd—1.42M$37.4M0.0%—Held
American Centy Etf Tr—634.8K$37.3M0.0%—Held
Vanguard Index Fds—122.2K$36.9M0.0%—Held
Rio Tinto Plc—458.9K$36.7M0.0%—Held
Alibaba Group Hldg Ltd—249.2K$36.5M0.0%—Held
Phillips 66PSX280.6K$36.2M0.0%—Held
3M COMMM225.3K$36.1M0.0%—Held
Brookfield Corp—784.8K$36M0.0%—Held
Danaher Corporation—156.6K$35.9M0.0%—Held
Trane Technologies PlcTT91.3K$35.5M0.0%—Held
Edwards Lifesciences CorpEW409.8K$34.9M0.0%—Held
Fedex CorpFDX120.8K$34.9M0.0%—Held
Digital Rlty Tr Inc—224.7K$34.8M0.0%—Held
Travelers Companies, Inc.TRV118.2K$34.3M0.0%—Held
Ishares Inc—1.09M$34.1M0.0%—Held
Ishares Tr—160.5K$34M0.0%—Held
Vanguard Intl Equity Index F—740.8K$34M0.0%—Held
Ishares Tr—392.9K$33.9M0.0%—Held
AstraZeneca PLCAZN363.6K$33.4M0.0%—Held
Automatic Data Processing In—129.6K$33.3M0.0%—Held
Zscaler, Inc.ZS147.5K$33.2M0.0%—Held
Dimensional Etf Trust—869.6K$33M0.0%—Held
Synopsys IncSNPS70.2K$33M0.0%—Held
Dimensional Etf Trust—696.1K$32.6M0.0%—Held
Csx CorpCSX896.6K$32.5M0.0%—Held
Bentley Sys Inc—849.3K$32.4M0.0%—Held
Intercontinental Exchange In—199.6K$32.3M0.0%—Held
ConocophillipsCOP343.4K$32.1M0.0%—Held
Ishares Tr—159.9K$31.9M0.0%—Held
Target CorpTGT322.8K$31.6M0.0%—Held
United Parcel Service IncUPS317.3K$31.5M0.0%—Held
Medtronic PlcMDT326.5K$31.4M0.0%—Held
Emerson Elec Co—235.1K$31.2M0.0%—Held
Shell Plc—422.8K$31.1M0.0%—Held
Sap Se—127.3K$30.9M0.0%—Held
Coursera, Inc.COUR4.2M$30.9M0.0%—Held
Fortinet, Inc.FTNT387.1K$30.7M0.0%—Held
Spdr Series Trust—1.19M$30.7M0.0%—Held
Linde PlcLIN71.7K$30.6M0.0%—Held
Stryker CorpSYK86.4K$30.4M0.0%—Held
Boston Scientific CorpBSX318.4K$30.4M0.0%—Held
Ishares Tr—292.2K$29.9M0.0%—Held
T-Mobile Us Inc—146.5K$29.7M0.0%—Held
Fastenal CoFAST733.1K$29.4M0.0%—Held
Ishares Tr—219.2K$28.8M0.0%—Held
Ishares Tr—1.23M$28.8M0.0%—Held
American Tower Corp New—161.9K$28.4M0.0%—Held
Select Sector Spdr Tr—518.3K$28.4M0.0%—Held
Marathon Pete Corp—173.5K$28.2M0.0%—Held
Spdr Series Trust—245.3K$27.9M0.0%—Held
Enterprise Prods Partners L—866.4K$27.8M0.0%—Held
Aflac IncAFL250.8K$27.7M0.0%—Held
BlackRock, Inc.BLK25.7K$27.5M0.0%—Held
Unilever Plc—415.4K$27.2M0.0%—Held
Schwab Strategic Tr—1.07M$27M0.0%—Held
Progressive Corp—117.7K$26.8M0.0%—Held
Dimensional Etf Trust—701.8K$26.7M0.0%—Held
Ishares Tr—385.1K$26.7M0.0%—Held
Colgate Palmolive CoCL338.1K$26.7M0.0%—Held
First Tr Exchange Traded Fd—269.1K$26.1M0.0%—Held
Dell Technologies Inc.DELL203.1K$25.6M0.0%—Held
Corning Inc—288.8K$25.3M0.0%—Held
Xcel Energy Inc—340.3K$25.1M0.0%—Held
Dominion Energy, IncD428K$25.1M0.0%—Held
Hsbc Hldgs Plc—318.2K$25M0.0%—Held
Cencora, Inc.COR74.1K$25M0.0%—Held
Spdr Series Trust—1.1M$24.8M0.0%—Held
Toyota Motor Corp—115.2K$24.7M0.0%—Held
Comfort Sys Usa Inc—26.4K$24.6M0.0%—Held
Newmont Corp—246.4K$24.6M0.0%—Held
Ishares Tr—202.5K$24.6M0.0%—Held
Idexx Labs Inc—36.2K$24.5M0.0%—Held
Nrg Energy, Inc.NRG151.3K$24.1M0.0%—Held
Select Sector Spdr Tr—153.1K$23.8M0.0%—Held
Ishares Tr—250.3K$23.6M0.0%—Held
General Mtrs Co—288.5K$23.5M0.0%—Held
Mercadolibre IncMELI11.6K$23.4M0.0%—Held
Simon Ppty Group Inc New—126.6K$23.4M0.0%—Held
Ishares Tr—242.7K$23.3M0.0%—Held
Cme Group Inc.CME85.3K$23.3M0.0%—Held
Regeneron Pharmaceuticals, Inc.REGN30.1K$23.3M0.0%—Held
Toronto Dominion Bk Ont—246.2K$23.2M0.0%—Held
Oneok Inc /New/OKE314.7K$23.1M0.0%—Held
CARRIER GLOBAL CorpCARR436.9K$23.1M0.0%—Held
Ross Stores, Inc.ROST128.1K$23.1M0.0%—Held
Cadence Design System Inc—73.8K$23.1M0.0%—Held
Cintas CorpCTAS122.6K$23.1M0.0%—Held
Williams Cos Inc—383.6K$23.1M0.0%—Held
Banco Santander Sa—1.97M$23.1M0.0%—Held
Ishares Tr—437.8K$23M0.0%—Held
Vanguard World Fd—80K$23M0.0%—Held
Ishares Tr—177.9K$22.9M0.0%—Held
Infosys LtdINFY1.28M$22.8M0.0%—Held
Sherwin Williams CoSHW70.4K$22.8M0.0%—Held
Norfolk Southn Corp—77.9K$22.5M0.0%—Held
Sysco CorpSYY304.7K$22.5M0.0%—Held
Ishares Tr—523.5K$22.4M0.0%—Held
Ishares Bitcoin Trust EtfIBIT451.6K$22.4M0.0%—Held
Vertiv Holdings CoVRT138.3K$22.4M0.0%—Held
Marsh & Mclennan Cos Inc—120.5K$22.4M0.0%—Held
Schwab Strategic Tr—494.3K$22.3M0.0%—Held
Gallagher Arthur J & Co—86.3K$22.3M0.0%—Held
Schwab Us Aggregate Bond—953.1K$22.3M0.0%—Held
Vaneck Etf Trust—214.6K$22.2M0.0%—Held
Ssga Active Etf Tr—536.9K$22.2M0.0%—Held
Ase Technology Hldg Co Ltd—1.37M$22.1M0.0%—Held
Pnc Finl Svcs Group Inc—105.6K$22M0.0%—Held
American Centy Etf Tr—524.4K$22M0.0%—Held
Realty Income CorpO388.1K$21.9M0.0%—Held
West Pharmaceutical Svsc Inc—79.5K$21.9M0.0%—Held
Eog Res Inc—207.5K$21.8M0.0%—Held
Paypal Hldgs Inc—368.9K$21.5M0.0%—Held
Invesco Exch Trd Slf Idx Fd—352.2K$21.5M0.0%—Held
Vaneck Etf Trust—844.5K$21.5M0.0%—Held
Invesco Exch Traded Fd Tr Ii—631.9K$21.4M0.0%—Held
Illinois Tool Wks Inc—86.9K$21.4M0.0%—Held
Bhp Group Ltd—354.3K$21.4M0.0%—Held
Invesco Exch Traded Fd Tr Ii—84.4K$21.3M0.0%—Held
L3harris Technologies Inc—72.7K$21.3M0.0%—Held
Pimco Etf Tr—211.9K$21.3M0.0%—Held
Vulcan Matls Co—74.5K$21.3M0.0%—Held
Select Sector Spdr Tr—136.9K$21.2M0.0%—Held
Nucor CorpNUE129.8K$21.2M0.0%—Held
Delta Air Lines Inc DelDAL304K$21.1M0.0%—Held
Yum Brands IncYUM138.4K$20.9M0.0%—Held
Hasbro, Inc.HAS253.6K$20.8M0.0%—Held
Ishares Tr—104.2K$20.7M0.0%—Held
Ferrari N.V.RACE55.6K$20.5M0.0%—Held
Otis Worldwide CorpOTIS235K$20.5M0.0%—Held
Freeport-Mcmoran IncFCX402.4K$20.4M0.0%—Held
Becton Dickinson & CoBDX103.6K$20.1M0.0%—Held
Novo-Nordisk A S—393.3K$20M0.0%—Held
Allstate Corp—96.1K$20M0.0%—Held
Coinbase Global, Inc.COIN87.8K$19.9M0.0%—Held
Vanguard Charlotte Fds—409.4K$19.8M0.0%—Held
Woori Finl Group Inc—334.2K$19.6M0.0%—Held
Consolidated Edison IncED197.7K$19.6M0.0%—Held
Mondelez Intl Inc—364.6K$19.6M0.0%—Held
Ishares Tr—139.1K$19.6M0.0%—Held
American Centy Etf Tr—416.4K$19.6M0.0%—Held
Air Prods & Chems Inc—79.4K$19.6M0.0%—Held
Dimensional Etf Trust—571.1K$19.5M0.0%—Held
Howmet Aerospace Inc.HWM95.1K$19.5M0.0%—Held
Wisdomtree Tr—217.7K$19.5M0.0%—Held
Ishares Tr—385.8K$19.5M0.0%—Held
Global X Fds—1.03M$19.4M0.0%—Held
Vanguard Intl Equity Index F—214.4K$19.4M0.0%—Held
Hartford Insurance Group Inc—140.2K$19.3M0.0%—Held
Cvs Health CorpCVS242.7K$19.3M0.0%—Held
Citizens Finl Group Inc—329.4K$19.2M0.0%—Held
Bank New York Mellon Corp—165.7K$19.2M0.0%—Held
Centene Corp Del—467.2K$19.2M0.0%—Held
Johnson Ctls Intl Plc—159.8K$19.1M0.0%—Held
Select Sector Spdr Tr—427.3K$19.1M0.0%—Held
Cigna GroupCI68.6K$18.9M0.0%—Held
Ishares Tr—154K$18.7M0.0%—Held
Gsk Plc—381.6K$18.7M0.0%—Held
Cincinnati Finl Corp—114.1K$18.6M0.0%—Held
Mitsubishi Ufj Finl Group In—1.17M$18.5M0.0%—Held
Banco Bilbao Vizcaya Argenta—793.3K$18.5M0.0%—Held
Western Digital CorpWDC106.9K$18.4M0.0%—Held
Invesco Exchange Traded Fd T—160.9K$18.3M0.0%—Held
Valero Energy Corp—112.2K$18.3M0.0%—Held
Ishares Tr—188K$18.2M0.0%—Held
Quanta Svcs Inc—43.1K$18.2M0.0%—Held
Moodys Corp—35.3K$18.1M0.0%—Held
Corteva, Inc.CTVA268.7K$18M0.0%—Held
Enbridge Inc—376.4K$18M0.0%—Held
Dimensional Etf Trust—522.1K$18M0.0%—Held
Ishares Tr—299.4K$17.9M0.0%—Held
DoorDash, Inc.DASH78.8K$17.8M0.0%—Held
Cardinal Health IncCAH86.8K$17.8M0.0%—Held
Ishares Tr—210K$17.8M0.0%—Held
Marvell Technology, Inc.MRVL208.5K$17.7M0.0%—Held
Royal Caribbean Group—63K$17.6M0.0%—Held
Kinder Morgan Inc Del—633K$17.4M0.0%—Held
Ishares Tr—152.4K$17.3M0.0%—Held
Ishares Tr—152K$17.3M0.0%—Held
Reliance, Inc.RS59.7K$17.2M0.0%—Held
Wipro LtdWIT6.06M$17.2M0.0%—Held
Ishares Tr—324.5K$17.2M0.0%—Held
Henry Jack & Assoc Inc—93.9K$17.1M0.0%—Held
United Microelectronics CorpUMC2.16M$17M0.0%—Held
Vanguard World Fd—67.4K$16.9M0.0%—Held
Paychex IncPAYX149.5K$16.8M0.0%—Held
ServisFirst Bancshares, Inc.SFBS232.2K$16.7M0.0%—Held
Evergy, Inc.EVRG229.1K$16.6M0.0%—Held
Chipotle Mexican Grill IncCMG448.1K$16.6M0.0%—Held
Autodesk, Inc.ADSK56K$16.6M0.0%—Held
UBS Group AGUBS357.1K$16.5M0.0%—Held
Dimensional Etf Trust—498.2K$16.5M0.0%—Held
Truist Finl Corp—334K$16.4M0.0%—Held
Dr Reddys Labs Ltd—1.16M$16.3M0.0%—Held
Spotify Technology S.A.SPOT28.1K$16.3M0.0%—Held
Robinhood Mkts Inc—144.1K$16.3M0.0%—Held
Old Dominion Freight Line In—103.9K$16.3M0.0%—Held
Dollar Gen Corp New—122.7K$16.3M0.0%—Held
Ishares Tr—65K$16.3M0.0%—Held
Seagate Technology Hldngs Pl—58.8K$16.2M0.0%—Held
Invesco Exchange Traded Fd T—346.4K$16.2M0.0%—Held
Edison Intl—269.2K$16.2M0.0%—Held
United Airls Hldgs Inc—144.4K$16.1M0.0%—Held
Ishares Tr—41.7K$16.1M0.0%—Held
Ameriprise Finl Inc—32.7K$16M0.0%—Held
Zoom Communications, Inc.ZM185.7K$16M0.0%—Held
Ishares Tr—46.6K$16M0.0%—Held
Airbnb, Inc.ABNB117.2K$15.9M0.0%—Held
Leidos Holdings, Inc.LDOS88K$15.9M0.0%—Held
Monolithic Pwr Sys Inc—17.5K$15.9M0.0%—Held
Ishares Tr—87.5K$15.9M0.0%—Held
Biogen Inc.BIIB90K$15.8M0.0%—Held
Rocket Lab CorpRKLB227K$15.8M0.0%—Held
Ecolab Inc.ECL60K$15.7M0.0%—Held
Motorola Solutions, Inc.MSI41K$15.7M0.0%—Held
Ishares Tr—218K$15.6M0.0%—Held
Graco IncGGG189.6K$15.5M0.0%—Held
Ishares Silver Tr—241K$15.5M0.0%—Held
Southwest Airls Co—374.7K$15.5M0.0%—Held
Roblox CorpRBLX190.1K$15.4M0.0%—Held
Wec Energy Group, Inc.WEC145.5K$15.3M0.0%—Held
Commerce Bancshares Inc—293.1K$15.3M0.0%—Held
Datadog, Inc.DDOG112.5K$15.3M0.0%—Held
Kroger CoKR243.7K$15.2M0.0%—Held
Rockwell Automation, IncROK39.1K$15.2M0.0%—Held
Monster Beverage Corp New—198.1K$15.2M0.0%—Held
Expedia Group, Inc.EXPE53.4K$15.1M0.0%—Held
Metlife Inc—191.2K$15.1M0.0%—Held
Autozone IncAZO4.43K$15M0.0%—Held
Warner Bros. Discovery, Inc.WBD521.1K$15M0.0%—Held
Markel Group Inc.MKL6.95K$14.9M0.0%—Held
Vaneck Etf Trust—41.3K$14.9M0.0%—Held
Ford Mtr Co—1.13M$14.8M0.0%—Held
Energy Transfer L P—898.9K$14.8M0.0%—Held
Vanguard Scottsdale Fds—121.6K$14.8M0.0%—Held
Fair Isaac CorpFICO8.73K$14.8M0.0%—Held
Chunghwa Telecom Co LtdCHT352.8K$14.7M0.0%—Held
Fiserv IncFISV219.1K$14.7M0.0%—Held
Ww Grainger Inc—14.6K$14.7M0.0%—Held
Hilton Worldwide Hldgs Inc—50.9K$14.6M0.0%—Held
Pg&E Corp—906.1K$14.6M0.0%—Held
British Amern Tob Plc—256.9K$14.5M0.0%—Held
Ishares Tr—102.8K$14.5M0.0%—Held
Vistra Corp.VST89.9K$14.5M0.0%—Held
United Rentals, Inc.URI17.9K$14.5M0.0%—Held
Transdigm Group IncTDG10.9K$14.4M0.0%—Held
Vanguard World Fd—102.1K$14.4M0.0%—Held
Totalenergies SeTTE220.2K$14.4M0.0%—Held
Martin Marietta Matls Inc—23.1K$14.4M0.0%—Held
Select Sector Spdr Tr—120K$14.3M0.0%—Held
Agnico Eagle Mines LtdAEM83.9K$14.2M0.0%—Held
Aon plcAON40K$14.1M0.0%—Held
Cheniere Energy, Inc.LNG71.8K$14M0.0%—Held
Credo Technology Group Holdi—96.3K$13.9M0.0%—Held
Cloudflare, Inc.NET70.3K$13.9M0.0%—Held
Ishares Tr—194.7K$13.8M0.0%—Held
Fifth Third Bancorp—291.7K$13.7M0.0%—Held
Ishares Tr—133.1K$13.6M0.0%—Held
Mueller Inds Inc—118.8K$13.6M0.0%—Held
Ishares Tr—496.9K$13.6M0.0%—Held
Canadian Pacific Kansas City—184K$13.5M0.0%—Held
Axon Enterprise, Inc.AXON23.7K$13.5M0.0%—Held
Flowers Foods IncFLO1.24M$13.4M0.0%—Held
Iqvia Hldgs Inc—59.4K$13.4M0.0%—Held
J P Morgan Exchange Traded F—232.7K$13.3M0.0%—Held
Southern Copper Corp/SCCO92.7K$13.3M0.0%—Held
Sempra—150.7K$13.3M0.0%—Held
Ishares Tr—120.2K$13.2M0.0%—Held
FabrinetFN28.8K$13.1M0.0%—Held
Slb Limited/NvSLB338.4K$13M0.0%—Held
D R Horton Inc—90.1K$13M0.0%—Held
Barclays Plc—508.3K$12.9M0.0%—Held
Ishares Tr—155.8K$12.9M0.0%—Held
Hershey CoHSY70.8K$12.9M0.0%—Held
Kkr & Co Inc—100.8K$12.8M0.0%—Held
Ishares Tr—76.4K$12.8M0.0%—Held
Atlassian CorpTEAM79K$12.8M0.0%—Held
Sumitomo Mitsui Finl Group I—662.8K$12.8M0.0%—Held
Cognizant Technology Solutio—153K$12.7M0.0%—Held
Ishares Tr—219.8K$12.6M0.0%—Held
Manulife Finl Corp—347.4K$12.6M0.0%—Held
Reddit, Inc.RDDT54.8K$12.6M0.0%—Held
Select Sector Spdr Tr—161.8K$12.6M0.0%—Held
Public Svc Enterprise Grp In—156.2K$12.5M0.0%—Held
Hunt J B Trans Svcs Inc—64K$12.4M0.0%—Held
Invesco Exchange Traded Fd T—264.9K$12.4M0.0%—Held
Workday, Inc.WDAY57.6K$12.4M0.0%—Held
Shinhan Financial Group Co L—230.6K$12.4M0.0%—Held
Ameren CorpAEE123.7K$12.4M0.0%—Held
Kb Finl Group Inc—143.6K$12.4M0.0%—Held
Dimensional Etf Trust—375.6K$12.3M0.0%—Held
Exelon CorpEXC281.8K$12.3M0.0%—Held
Insmed IncINSM70.5K$12.3M0.0%—Held
Baidu Inc—93.7K$12.2M0.0%—Held
Te Connectivity PlcTEL53.8K$12.2M0.0%—Held
Entergy Corp New—132.3K$12.2M0.0%—Held
Ishares Tr—110.2K$12.1M0.0%—Held
Nasdaq, Inc.NDAQ124.3K$12.1M0.0%—Held
General Mls IncGIS259.2K$12.1M0.0%—Held
Devon Energy Corp New—328.2K$12M0.0%—Held
Sk Telecom Co LtdSKM585.2K$12M0.0%—Held
Agree Rlty Corp—166.5K$12M0.0%—Held
Microchip Technology Inc.—186.6K$11.9M0.0%—Held
Republic Svcs Inc—56K$11.9M0.0%—Held
Electronic Arts Inc.EA57.6K$11.8M0.0%—Held
Teradyne, IncTER60.4K$11.7M0.0%—Held
Carvana Co.CVNA27.6K$11.6M0.0%—Held
Spdr Index Shs Fds—284.3K$11.6M0.0%—Held
Nvr IncNVR1.59K$11.6M0.0%—Held
Schwab Strategic Tr—367.1K$11.6M0.0%—Held
Ventas, Inc.VTR149.5K$11.6M0.0%—Held
Sanmina CorpSANM77.1K$11.6M0.0%—Held
Vanguard Malvern Fds—233.8K$11.6M0.0%—Held
Fidelity Wise Origin Bitcoin—151.7K$11.6M0.0%—Held
Bloom Energy CorpBE132.4K$11.5M0.0%—Held
Strategy Inc—75.7K$11.5M0.0%—Held
Ishares Tr—67.6K$11.4M0.0%—Held
Constellation Brands, Inc.STZ82.5K$11.4M0.0%—Held
Nu Hldgs Ltd—679.5K$11.4M0.0%—Held
Atmos Energy CorpATO67.6K$11.3M0.0%—Held
Posco Holdings Inc.PKX212.6K$11.3M0.0%—Held
Agilent Technologies, Inc.A82.9K$11.3M0.0%—Held
Celestica IncCLS38.1K$11.2M0.0%—Held
Ametek Inc/AME54.6K$11.2M0.0%—Held
Ishares Tr—117.6K$11.2M0.0%—Held
Take-Two Interactive Softwar—43.6K$11.2M0.0%—Held
Keysight Technologies, Inc.KEYS54.8K$11.1M0.0%—Held
Bp Plc—319.6K$11.1M0.0%—Held
Flex Ltd.FLEX183.1K$11.1M0.0%—Held
Sanofi Sa—226.1K$11M0.0%—Held
Mizuho Financial Group Inc—1.5M$11M0.0%—Held
Halliburton CoHAL387.2K$10.9M0.0%—Held
Figma, Inc.FIG292.2K$10.9M0.0%—Held
EMCOR Group, Inc.EME17.8K$10.9M0.0%—Held
Roper Technologies IncROP24.4K$10.9M0.0%—Held
Apollo Global Mgmt Inc—75K$10.9M0.0%—Held
Tyler Technologies IncTYL23.9K$10.8M0.0%—Held
Ing Groep N.V.—385.7K$10.8M0.0%—Held
Ciena CorpCIEN46K$10.8M0.0%—Held
Ishares Tr—214.5K$10.7M0.0%—Held
Verisk Analytics, Inc.VRSK47.9K$10.7M0.0%—Held
Ensign Group, IncENSG61.5K$10.7M0.0%—Held
Kimberly Clark CorpKMB106K$10.7M0.0%—Held
Fortis Inc—205.7K$10.7M0.0%—Held
Elevance Health Inc Formerly—30.4K$10.6M0.0%—Held
National Grid Plc—136.8K$10.6M0.0%—Held
Deutsche Bank A G—273.8K$10.6M0.0%—Held
Arch Cap Group Ltd—110K$10.6M0.0%—Held
Keurig Dr Pepper Inc.KDP376.6K$10.5M0.0%—Held
Goldman Sachs Etf Tr—79.4K$10.5M0.0%—Held
Jabil IncJBL45.9K$10.5M0.0%—Held
Nushares Etf Tr—234.3K$10.5M0.0%—Held
Iron Mtn Inc Del—126.1K$10.5M0.0%—Held
STERIS plcSTE41.2K$10.5M0.0%—Held
Fox Corp—143K$10.4M0.0%—Held
First Tr Exchange-Traded Fd—45.3K$10.4M0.0%—Held
Schwab Strategic Tr—427.8K$10.4M0.0%—Held
State Str Corp—80.8K$10.4M0.0%—Held
Dte Energy Co—80.8K$10.4M0.0%—Held
lululemon athletica inc.LULU50K$10.4M0.0%—Held
Hci Group Inc—54.1K$10.4M0.0%—Held
Vanguard Admiral Fds Inc—23.3K$10.4M0.0%—Held
Garmin LtdGRMN51.1K$10.4M0.0%—Held
Diamondback Energy, Inc.FANG68.8K$10.3M0.0%—Held
Omnicom Group Inc.OMC127.7K$10.3M0.0%—Held
Ishares Inc—160.1K$10.3M0.0%—Held
Ishares Tr—152.4K$10.2M0.0%—Held
Blue Owl Capital Corporation—821.5K$10.2M0.0%—Held
Janus Henderson Group Plc—214.4K$10.2M0.0%—Held
Cbre Group, Inc.CBRE63.3K$10.2M0.0%—Held
Vanguard World Fd—75.8K$10.1M0.0%—Held
Ebay IncEBAY115.6K$10.1M0.0%—Held
Paccar IncPCAR91.3K$10M0.0%—Held
Huntington Ingalls Inds Inc—29.3K$9.96M0.0%—Held
Barrick Mng Corp—228.8K$9.96M0.0%—Held
Nextpower Inc.NXT113.8K$9.92M0.0%—Held
Rocket Cos Inc—510.2K$9.88M0.0%—Held
Suncor Energy Inc New—222.5K$9.87M0.0%—Held
Spdr Series Trust—100.2K$9.85M0.0%—Held
American Wtr Wks Co Inc New—75.4K$9.84M0.0%—Held
Medpace Hldgs Inc—17.5K$9.83M0.0%—Held
MSCI Inc.MSCI17.1K$9.81M0.0%—Held
Conagra Brands Inc.CAG566.1K$9.8M0.0%—Held
Okta, Inc.OKTA113K$9.77M0.0%—Held
Alliant Energy CorpLNT149.8K$9.74M0.0%—Held
Proshares Tr—93K$9.68M0.0%—Held
Echostar CorpECHO88.9K$9.66M0.0%—Held
Umb Finl Corp—84K$9.66M0.0%—Held
Ishares Tr—218.9K$9.63M0.0%—Held
Exelixis, Inc.EXEL219.3K$9.61M0.0%—Held
M & T Bk Corp—47.5K$9.57M0.0%—Held
Appfolio IncAPPF41K$9.54M0.0%—Held
Targa Res Corp—51.4K$9.48M0.0%—Held
Alnylam Pharmaceuticals, Inc.ALNY23.8K$9.47M0.0%—Held
Mid-Amer Apt Cmntys Inc—68.2K$9.47M0.0%—Held
Textron IncTXT108.2K$9.43M0.0%—Held
Invesco Exch Traded Fd Tr Ii—132K$9.43M0.0%—Held
Occidental Pete Corp—229K$9.42M0.0%—Held
Texas Pacific Land Corporati—32.7K$9.4M0.0%—Held
Zoetis Inc.ZTS74.6K$9.38M0.0%—Held
NXP Semiconductors N.V.NXPI43K$9.34M0.0%—Held
Proshares Tr—132.2K$9.31M0.0%—Held
Grayscale Bitcoin Trust EtfGBTC136K$9.3M0.0%—Held
Cyberark Software Ltd—20.8K$9.29M0.0%—Held
Magna Intl Inc—174.3K$9.29M0.0%—Held
Canadian Imperial Bank Of Co—101.9K$9.23M0.0%—Held
Illumina, Inc.ILMN70.2K$9.21M0.0%—Held
Stifel Finl Corp—73.4K$9.2M0.0%—Held
Jd.Com Inc—320.3K$9.19M0.0%—Held
Raymond James Finl Inc—57.2K$9.18M0.0%—Held
Advanced Energy Inds—43.8K$9.18M0.0%—Held
Camden Ppty Tr—83.1K$9.15M0.0%—Held
Equinix IncEQIX11.8K$9.08M0.0%—Held
Pacer Fds Tr—162.9K$9.06M0.0%—Held
Sei Invts Co—110K$9.03M0.0%—Held
Prosperity Bancshares IncPB130.5K$9.02M0.0%—Held
Select Sector Spdr Tr—210.9K$9M0.0%—Held
Piper Sandler CompaniesPIPR26.4K$8.96M0.0%—Held
Wp Carey Inc—138.7K$8.92M0.0%—Held
Hewlett Packard Enterprise C—369.7K$8.88M0.0%—Held
Vanguard World Fd—70.2K$8.84M0.0%—Held
Invesco Exchange Traded Fd T—117.8K$8.84M0.0%—Held
Ulta Beauty, Inc.ULTA14.5K$8.74M0.0%—Held
Pinnacle West Cap Corp—98.5K$8.73M0.0%—Held
Best Buy Co IncBBY130.3K$8.72M0.0%—Held
Tractor Supply Co—174.3K$8.72M0.0%—Held
Eversource EnergyES129.4K$8.71M0.0%—Held
Jones Lang Lasalle IncJLL25.9K$8.7M0.0%—Held
Onemain Hldgs Inc—128.6K$8.69M0.0%—Held
Copart IncCPRT221.3K$8.67M0.0%—Held
Wheaton Precious Metals Corp.WPM73.6K$8.65M0.0%—Held
Regions Financial Corp New—319.1K$8.65M0.0%—Held
Vanguard Scottsdale Fds—28K$8.65M0.0%—Held
Factset Resh Sys Inc—29.5K$8.57M0.0%—Held
Guardant Health, Inc.GH83.8K$8.56M0.0%—Held
Resmed Inc—35.5K$8.56M0.0%—Held
Ishares Tr—178K$8.53M0.0%—Held
DT Midstream, Inc.DTM71.1K$8.51M0.0%—Held
Select Sector Spdr Tr—72.1K$8.49M0.0%—Held
Bank Montreal Que—65.3K$8.47M0.0%—Held
Commercial Metals CoCMC122.4K$8.47M0.0%—Held
BridgeBio Pharma, Inc.BBIO110.6K$8.46M0.0%—Held
Anheuser Busch Inbev Sa/Nv—131.9K$8.45M0.0%—Held
Ishares Tr—347.4K$8.44M0.0%—Held
Ishares Tr—180.5K$8.4M0.0%—Held
Rambus Inc Del—91.3K$8.39M0.0%—Held
Ishares Tr—53.1K$8.37M0.0%—Held
Texas Roadhouse, Inc.TXRH50.3K$8.35M0.0%—Held
Ishares Tr—128.3K$8.34M0.0%—Held
Relx Plc—205.9K$8.32M0.0%—Held
On Semiconductor CorpON153.7K$8.32M0.0%—Held
Equifax IncEFX38.2K$8.28M0.0%—Held
Snap-on IncSNA24K$8.26M0.0%—Held
First Tr Exchange Traded Fd—49K$8.25M0.0%—Held
Humana IncHUM32.2K$8.25M0.0%—Held
American Centy Etf Tr—108.8K$8.24M0.0%—Held
Nnn Reit, Inc.NNN207.8K$8.23M0.0%—Held
Natera, Inc.NTRA35.9K$8.22M0.0%—Held
Vanguard Scottsdale Fds—82.2K$8.18M0.0%—Held
Kratos Defense & Sec Solutio—107.4K$8.16M0.0%—Held
Amplify Etf Tr—101.4K$8.15M0.0%—Held
Samsara Inc.IOT229.9K$8.15M0.0%—Held
Proshares Tr—154.3K$8.13M0.0%—Held
Tortoise Capital Series Trus—229.5K$8.1M0.0%—Held
Unum Group—104.2K$8.08M0.0%—Held
Ishares Tr—37.6K$8.07M0.0%—Held
Murphy Oil CorpMUR258K$8.06M0.0%—Held
Lauder Estee Cos Inc—76.9K$8.05M0.0%—Held
Fidelity Covington Trust—35.7K$8.03M0.0%—Held
Avalonbay Cmntys Inc—44.2K$8.02M0.0%—Held
Vaneck Etf Trust—93.4K$8.01M0.0%—Held
Ppg Inds Inc—78K$7.99M0.0%—Held
Las Vegas Sands CorpLVS122.2K$7.96M0.0%—Held
Canadian Nat Res Ltd—234.9K$7.95M0.0%—Held
Brown & Brown, Inc.BRO99.5K$7.93M0.0%—Held
Ingersoll Rand Inc.IR100K$7.92M0.0%—Held
Lloyds Banking Group Plc—1.49M$7.91M0.0%—Held
Old Rep Intl Corp—172.9K$7.89M0.0%—Held
Brookfield Asset Managmt Ltd—149.5K$7.83M0.0%—Held
Incyte CorpINCY79K$7.8M0.0%—Held
Ionq Inc—173.6K$7.79M0.0%—Held
Sunrun Inc.RUN422.9K$7.78M0.0%—Held
First Solar, Inc.FSLR29.7K$7.75M0.0%—Held
Ishares Tr—158.9K$7.75M0.0%—Held
United Therapeutics Corp Del—15.9K$7.74M0.0%—Held
Cenovus Energy Inc.CVE456.8K$7.73M0.0%—Held
Berkley W R Corp—109K$7.64M0.0%—Held
T Rowe Price Etf Inc—153.2K$7.64M0.0%—Held
Ishares Tr—141.2K$7.61M0.0%—Held
Federal Rlty Invt Tr New—75.4K$7.6M0.0%—Held
Northern Tr Corp—55.4K$7.57M0.0%—Held
Carnival Corp Ltd.CCL247.5K$7.56M0.0%—Held
Neurocrine Biosciences IncNBIX53.3K$7.55M0.0%—Held
MongoDB, Inc.MDB18K$7.54M0.0%—Held
Blackrock Etf Trust—123.9K$7.53M0.0%—Held
Hologic Inc—101K$7.52M0.0%—Held
First Tr Exchange Traded Fd—105.1K$7.51M0.0%—Held
Cameco CorpCCJ82K$7.5M0.0%—Held
Carpenter Technology CorpCRS23.8K$7.49M0.0%—Held
Eqt CorpEQT139.7K$7.49M0.0%—Held
Verisign Inc—30.8K$7.48M0.0%—Held
Mgic Invt Corp Wis—255.9K$7.48M0.0%—Held
Prudential Finl Inc—66.1K$7.46M0.0%—Held
J&J Snack Foods CorpJJSF82.5K$7.46M0.0%—Held
Ge Healthcare Technologies I—90.4K$7.42M0.0%—Held
Viatris IncVTRS595.7K$7.42M0.0%—Held
J P Morgan Exchange Traded F—127.6K$7.42M0.0%—Held
Broadstone Net Lease, Inc.BNL426.7K$7.41M0.0%—Held
Fidelity Covington Trust—102.5K$7.41M0.0%—Held
Essential Utils Inc—192.3K$7.38M0.0%—Held
Hp IncHPQ330.8K$7.37M0.0%—Held
Eastgroup Pptys Inc—41.3K$7.36M0.0%—Held
Argenx SEARGX8.71K$7.32M0.0%—Held
Ishares Tr—144.7K$7.32M0.0%—Held
Goldman Sachs Etf Tr—85.9K$7.31M0.0%—Held
New York Times CoNYT104.8K$7.28M0.0%—Held
Prudential Plc—233.3K$7.26M0.0%—Held
Norwegian Cruise Line Hldg L—324.6K$7.25M0.0%—Held
Crown Hldgs Inc—70.3K$7.24M0.0%—Held
DuPont de Nemours, Inc.DD179.5K$7.22M0.0%—Held
Polaris Inc.PII113.6K$7.19M0.0%—Held
Ishares Tr—126K$7.18M0.0%—Held
Gartner IncIT28.4K$7.17M0.0%—Held
Sprott Asset Management Lp—216.7K$7.16M0.0%—Held
Bank First CorpBFC58.7K$7.15M0.0%—Held
First Tr Exchange-Traded Fd—77.3K$7.15M0.0%—Held
Broadridge Finl Solutions In—32K$7.14M0.0%—Held
White Mtns Ins Group Ltd—3.42K$7.1M0.0%—Held
J P Morgan Exchange Traded F—57.4K$7.08M0.0%—Held
Abercrombie & Fitch Co—56.2K$7.08M0.0%—Held
TechnipFMC PLCFTI158.4K$7.06M0.0%—Held
First Tr Exchange-Traded Fd—159.1K$7.06M0.0%—Held
Knife River CorpKNF100.3K$7.05M0.0%—Held
Ishares Tr—306.2K$7.05M0.0%—Held
Archer-Daniels-Midland CoADM122.6K$7.05M0.0%—Held
Xylem Inc.XYL51.7K$7.04M0.0%—Held
Ferguson Enterprises Inc—31.6K$7.02M0.0%—Held
Invesco Exchange Traded Fd T—153K$7.02M0.0%—Held
Ares Capital CorpARCC345.7K$6.99M0.0%—Held
Equity ResidentialEQR110.8K$6.98M0.0%—Held
Williams Sonoma IncWSM39K$6.97M0.0%—Held
Twilio IncTWLO48.9K$6.96M0.0%—Held
Kenvue Inc.KVUE403.1K$6.95M0.0%—Held
Rli CorpRLI108.6K$6.95M0.0%—Held
Sandisk CorpSNDK29.2K$6.94M0.0%—Held
American Intl Group Inc—81K$6.93M0.0%—Held
Crown Castle Inc.CCI78K$6.93M0.0%—Held
Veeva Sys Inc—30.8K$6.88M0.0%—Held
Wabtec—32.2K$6.88M0.0%—Held
Schwab Strategic Tr—154.1K$6.87M0.0%—Held
Bank Nova Scotia Halifax—93.1K$6.86M0.0%—Held
NetApp, Inc.NTAP64K$6.85M0.0%—Held
Extra Space Storage Inc.EXR52.6K$6.85M0.0%—Held
Ishares Tr—48.4K$6.85M0.0%—Held
Invesco Actively Managed Exc—136.3K$6.85M0.0%—Held
Deckers Outdoor CorpDECK66K$6.84M0.0%—Held
Mks IncMKSI42.8K$6.84M0.0%—Held
Vanguard Scottsdale Fds—73.9K$6.82M0.0%—Held
Sea LtdSE53.5K$6.82M0.0%—Held
Akamai Technologies IncAKAM78.1K$6.81M0.0%—Held
Fortive CorpFTV122.7K$6.77M0.0%—Held
First Tr Exchange-Traded Fd—25.1K$6.76M0.0%—Held
FirstCash Holdings, Inc.FCFS42.3K$6.75M0.0%—Held
Ishares Tr—48.3K$6.73M0.0%—Held
Corpay, Inc.CPAY22.3K$6.72M0.0%—Held
Gaming & Leisure Pptys Inc—150.3K$6.72M0.0%—Held
American Eagle Outfitters In—254.6K$6.71M0.0%—Held
Mettler Toledo International Inc/MTD4.81K$6.71M0.0%—Held
BorgWarner IncBWA148.6K$6.69M0.0%—Held
Arm Holdings Plc—61.2K$6.69M0.0%—Held
Eastman Chem Co—104.8K$6.69M0.0%—Held
C. H. Robinson Worldwide, Inc.CHRW41.6K$6.69M0.0%—Held
Align Technology IncALGN42.8K$6.69M0.0%—Held
Genpact Limited—142.9K$6.69M0.0%—Held
Huntington Bancshares Inc—385.3K$6.69M0.0%—Held
Ingredion IncINGR60.1K$6.63M0.0%—Held
Webster Finl Corp—105K$6.61M0.0%—Held
Globe Life Inc—47.3K$6.61M0.0%—Held
Goldman Sachs Etf Tr—68.3K$6.6M0.0%—Held
Knowles CorpKN307.3K$6.59M0.0%—Held
Vici Pptys Inc—233.4K$6.56M0.0%—Held
Ishares Tr—21.8K$6.55M0.0%—Held
Essent Group Ltd.ESNT100.6K$6.54M0.0%—Held
Lennar Corp—63.2K$6.5M0.0%—Held
Selective Ins Group Inc—77.6K$6.49M0.0%—Held
Madrigal Pharmaceuticals, Inc.MDGL11.1K$6.49M0.0%—Held
Bce Inc—271.5K$6.47M0.0%—Held
Everus Constr Group—75.3K$6.44M0.0%—Held
Steel Dynamics IncSTLD38K$6.44M0.0%—Held
Morningstar, Inc.MORN29.6K$6.43M0.0%—Held
Wisdomtree Tr—90.4K$6.4M0.0%—Held
Principal Financial Group In—72.5K$6.39M0.0%—Held
Live Nation Entertainment In—44.8K$6.39M0.0%—Held
Sterling Infrastructure, Inc.STRL20.8K$6.37M0.0%—Held
Cna Finl Corp—133.3K$6.36M0.0%—Held
Ishares Aaa A Rated Cor—132.2K$6.36M0.0%—Held
Aercap Holdings Nv—44.1K$6.34M0.0%—Held
Ryder Sys Inc—33K$6.32M0.0%—Held
Profesionally Managed Portfo—96.5K$6.32M0.0%—Held
Draftkings Inc New—182.9K$6.3M0.0%—Held
SPX Technologies, Inc.SPXC31.5K$6.3M0.0%—Held
Tetra Tech Inc New—187.3K$6.28M0.0%—Held
Canadian Natl Ry Co—63.4K$6.27M0.0%—Held
Reinsurance Grp Of America I—30.7K$6.25M0.0%—Held
Dycom Inds Inc—18.5K$6.25M0.0%—Held
Crh Plc—50K$6.23M0.0%—Held
Tapestry, Inc.TPR48.7K$6.22M0.0%—Held
Church & Dwight Co Inc—74.2K$6.22M0.0%—Held
Curtiss Wright CorpCW11.3K$6.21M0.0%—Held
Fidelity Natl Information Sv—93.4K$6.21M0.0%—Held
Lear CorpLEA54.1K$6.2M0.0%—Held
Coeur Mng Inc—347.5K$6.2M0.0%—Held
Public Storage Oper Co—23.9K$6.19M0.0%—Held
Takeda Pharmaceutical Co Ltd—395.4K$6.16M0.0%—Held
CoreWeave, Inc.CRWV86K$6.16M0.0%—Held
Casella Waste Sys Inc—62.9K$6.16M0.0%—Held
Cytokinetics IncCYTK96.9K$6.16M0.0%—Held
Ishares Tr—164.4K$6.15M0.0%—Held
Ttm Technologies IncTTMI89.1K$6.15M0.0%—Held
Spdr Series Trust—213.1K$6.15M0.0%—Held
Skywest IncSKYW61.1K$6.14M0.0%—Held
InterDigital, Inc.IDCC19.3K$6.13M0.0%—Held
Darden Restaurants IncDRI33.3K$6.12M0.0%—Held
Ennis, Inc.EBF339.8K$6.12M0.0%—Held
Ishares Tr—36.8K$6.1M0.0%—Held
Universal Hlth Svcs Inc—28K$6.1M0.0%—Held
Kinross Gold Corp—216.3K$6.09M0.0%—Held
Ishares Tr—154.3K$6.09M0.0%—Held
Hecla Mng Co—315.1K$6.05M0.0%—Held
Marex Group LtdMRX157.6K$6.05M0.0%—Held
Fidelity Covington Trust—224.4K$6.03M0.0%—Held
Caseys Gen Stores Inc—10.9K$6.02M0.0%—Held
Genuine Parts CoGPC49K$6.02M0.0%—Held
Schwab Strategic Tr—166.9K$6.02M0.0%—Held
Netease Inc—43.7K$6.02M0.0%—Held
Exponent IncEXPO86.1K$5.98M0.0%—Held
Alcon IncALC75.7K$5.96M0.0%—Held
Argan IncAGX19K$5.94M0.0%—Held
Invesco Exch Traded Fd Tr Ii—49.8K$5.94M0.0%—Held
Vanguard Calif Tax Free Fds—59.2K$5.93M0.0%—Held
Rpm Intl Inc—56.9K$5.92M0.0%—Held
Synovus Finl Corp—118.1K$5.91M0.0%—Held
Pinnacle Finl Partners Inc—61.9K$5.91M0.0%—Held
Axcelis Technologies IncACLS73.5K$5.9M0.0%—Held
Expeditors Intl Wash Inc—39.6K$5.9M0.0%—Held
Eni S P A—155.2K$5.89M0.0%—Held
Itt Inc.ITT33.9K$5.88M0.0%—Held
Ishares Tr—235.4K$5.87M0.0%—Held
Gold Fields Ltd—134.3K$5.86M0.0%—Held
Hormel Foods Corp—247.2K$5.86M0.0%—Held
Alaska Air Group, Inc.ALK116.4K$5.86M0.0%—Held
Permian Resources CorpPR415.4K$5.83M0.0%—Held
Invesco Exch Traded Fd Tr Ii—517K$5.81M0.0%—Held
SoFi Technologies, Inc.SOFI221.8K$5.81M0.0%—Held
Graham Hldgs Co—5.28K$5.8M0.0%—Held
Spdr Series Trust—64.9K$5.79M0.0%—Held
Elastic N.V.ESTC76.7K$5.79M0.0%—Held
Tenet Healthcare CorpTHC29K$5.76M0.0%—Held
Check Point Software Tech Lt—31K$5.76M0.0%—Held
Dow Inc.DOW246.1K$5.75M0.0%—Held
Ppl Corp—164.3K$5.75M0.0%—Held
Elbit Sys Ltd—9.93K$5.73M0.0%—Held
Amicus Therapeutics Inc—402.4K$5.73M0.0%—Held
Kforce IncKFRC184.9K$5.72M0.0%—Held
Robert Half Inc.RHI210.2K$5.71M0.0%—Held
Gentex CorpGNTX244.5K$5.69M0.0%—Held
EXPAND ENERGY CorpEXE51.6K$5.69M0.0%—Held
Mdu Res Group Inc—291.2K$5.68M0.0%—Held
Ishares Tr—105.1K$5.68M0.0%—Held
First Busey Corp—238.4K$5.67M0.0%—Held
Brinker Intl Inc—39.5K$5.66M0.0%—Held
Dexcom IncDXCM85.3K$5.66M0.0%—Held
Hanover Ins Group Inc—30.9K$5.65M0.0%—Held
Janus Detroit Str Tr—111.6K$5.65M0.0%—Held
Veralto CorpVLTO56.6K$5.64M0.0%—Held
Vanguard World Fd—30.4K$5.63M0.0%—Held
Ares Management Corporation—34.8K$5.63M0.0%—Held
Ishares Tr—57.6K$5.62M0.0%—Held
Onto Innovation Inc.ONTO35.6K$5.62M0.0%—Held
Cno Finl Group Inc—132.1K$5.61M0.0%—Held
Fidelity Covington Trust—102.2K$5.61M0.0%—Held
Roku, IncROKU51.5K$5.59M0.0%—Held
Omega Healthcare Invs Inc—125.9K$5.58M0.0%—Held
Maximus, Inc.MMS64.5K$5.57M0.0%—Held
Cms Energy Corp—79.5K$5.56M0.0%—Held
Flexshares Tr—182.6K$5.55M0.0%—Held
Global Pmts Inc—71.7K$5.55M0.0%—Held
Hubbell IncHUBB12.4K$5.49M0.0%—Held
Invesco Exchange Traded Fd T—45.7K$5.49M0.0%—Held
Jacobs Solutions Inc.J41.4K$5.49M0.0%—Held
Unity Software Inc.U124.2K$5.49M0.0%—Held
J P Morgan Exchange Traded F—118.2K$5.47M0.0%—Held
Gatx CorpGATX32.2K$5.47M0.0%—Held
Healthequity, Inc.HQY59.6K$5.46M0.0%—Held
Ftai Aviation Ltd—27.7K$5.45M0.0%—Held
Applied Indl Technologies In—21.2K$5.45M0.0%—Held
American Finl Group Inc Ohio—39.8K$5.44M0.0%—Held
Natwest Group Plc—310.4K$5.43M0.0%—Held
Federal Signal Corp—49.9K$5.42M0.0%—Held
CGI IncGIB58.7K$5.42M0.0%—Held
Transocean Ltd.RIG1.31M$5.41M0.0%—Held
Jefferies Finl Group Inc—87.3K$5.41M0.0%—Held
Watts Water Technologies IncWTS19.6K$5.4M0.0%—Held
APA CorpAPA220.7K$5.4M0.0%—Held
Spdr Series Trust—57.2K$5.39M0.0%—Held
Smith A O CorpAOS80.4K$5.38M0.0%—Held
F N B Corp—314.5K$5.38M0.0%—Held
Arcelormittal Sa Luxembourg—118K$5.38M0.0%—Held
Dolby Laboratories, Inc.DLB83.7K$5.38M0.0%—Held
Stellantis N.V.STLA493.4K$5.37M0.0%—Held
Spdr Series Trust—22.3K$5.37M0.0%—Held
Rogers Communications Inc—142.3K$5.37M0.0%—Held
Exact Sciences Corp—52.9K$5.37M0.0%—Held
Mgm Resorts InternationalMGM146.6K$5.35M0.0%—Held
Haleon Plc—528.6K$5.34M0.0%—Held
Invesco Exch Traded Fd Tr Ii—81.5K$5.34M0.0%—Held
Nvent Electric PlcNVT52.4K$5.34M0.0%—Held
Heico Corp New—16.5K$5.34M0.0%—Held
Avery Dennison CorpAVY29.3K$5.32M0.0%—Held
Vanguard World Fd—25.6K$5.32M0.0%—Held
Ufp Industries IncUFPI58.2K$5.3M0.0%—Held
Mccormick & Co Inc—77.7K$5.29M0.0%—Held
Dollar Tree, Inc.DLTR43K$5.29M0.0%—Held
Oge Energy Corp.OGE123.9K$5.29M0.0%—Held
Sandridge Energy IncSD366K$5.28M0.0%—Held
Fidelity Comwlth Tr—57.7K$5.28M0.0%—Held
Columbia Bkg Sys Inc—188.1K$5.26M0.0%—Held
Chord Energy CorpCHRD56.7K$5.25M0.0%—Held
International Flavors&Fragra—77.9K$5.25M0.0%—Held
Idex Corp—29.5K$5.25M0.0%—Held
Pldt Inc—241.2K$5.24M0.0%—Held
Dimensnl Ultrashrt Fixed—103.4K$5.24M0.0%—Held
Molson Coors Beverage Co—112.1K$5.23M0.0%—Held
Bluerock Pvt Real Estate Fd—348.4K$5.23M0.0%—Held
Sun Life Financial Inc.—83.6K$5.22M0.0%—Held
Lumentum Hldgs Inc—14.1K$5.2M0.0%—Held
Cboe Global Mkts Inc—20.7K$5.19M0.0%—Held
Invitation Homes Inc.INVH186.8K$5.19M0.0%—Held
Rbb Fd Inc—103.7K$5.17M0.0%—Held
News Corp New—197.4K$5.16M0.0%—Held
Globus Med Inc—58.8K$5.13M0.0%—Held
Arcosa, Inc.ACA48.3K$5.13M0.0%—Held
Invesco Exch Trd Slf Idx Fd—57K$5.13M0.0%—Held
Lincoln Elec Hldgs Inc—21.3K$5.11M0.0%—Held
Ralph Lauren CorpRL14.4K$5.1M0.0%—Held
Old Natl Bancorp Ind—227.7K$5.08M0.0%—Held
J P Morgan Exchange Traded F—80.2K$5.06M0.0%—Held
PDD Holdings Inc.PDD44.6K$5.06M0.0%—Held
Stmicroelectronics N V—194.7K$5.05M0.0%—Held
Keycorp—244.5K$5.05M0.0%—Held
Pure Storage IncP75.2K$5.04M0.0%—Held
Madden Steven Ltd—120.9K$5.04M0.0%—Held
Idacorp IncIDA39.8K$5.03M0.0%—Held
Invesco Db Commdy Indx Trck—224.3K$5.01M0.0%—Held
Equity Bancshares IncEQBK112.1K$5M0.0%—Held
Coca Cola Cons Inc—32.6K$5M0.0%—Held
Vodafone Group Plc New—377.5K$4.99M0.0%—Held
Avidity Biosciences Inc—69.1K$4.99M0.0%—Held
Ishares Tr—205.4K$4.98M0.0%—Held
Spdr Series Trust—196.5K$4.98M0.0%—Held
Clorox Co Del—49.3K$4.97M0.0%—Held
Tyson Foods, Inc.TSN84.7K$4.97M0.0%—Held
Victory Portfolios Ii—67.1K$4.96M0.0%—Held
Arrowhead Pharmaceuticals In—74.4K$4.94M0.0%—Held
P T Telekomunikasi Indonesia—234.7K$4.94M0.0%—Held
Gentherm IncTHRM135.7K$4.93M0.0%—Held
Ishares Tr—38.2K$4.93M0.0%—Held
Coca-Cola Europacific Partne—54.3K$4.93M0.0%—Held
Evercore Inc.EVR14.5K$4.92M0.0%—Held
Firstenergy CorpFE109.9K$4.92M0.0%—Held
Coherent Corp.COHR26.6K$4.91M0.0%—Held
Nutrien Ltd.NTR78.9K$4.87M0.0%—Held
Armstrong World Inds Inc New—25.5K$4.87M0.0%—Held
Woodside Energy Group Ltd—312.2K$4.87M0.0%—Held
Janus Detroit Str Tr—99K$4.87M0.0%—Held
Plexus CorpPLXS33.1K$4.86M0.0%—Held
Air Lease Corp—75.4K$4.85M0.0%—Held
Cabot CorpCBT73K$4.84M0.0%—Held
Vanguard World Fd—22.9K$4.84M0.0%—Held
Eastern Bankshares, Inc.EBC262K$4.83M0.0%—Held
Invesco Ltd.IVZ183.4K$4.82M0.0%—Held
American Homes 4 Rent—150K$4.82M0.0%—Held
Adient plcADNT251.2K$4.82M0.0%—Held
Qnity Electronics, Inc.Q58.9K$4.81M0.0%—Held
Ishares Tr—188.9K$4.81M0.0%—Held
Moog Inc—19.7K$4.8M0.0%—Held
Everest Group, Ltd.EG14.1K$4.79M0.0%—Held
Baker Hughes Company—105K$4.78M0.0%—Held
Honda Motor Ltd—161.8K$4.77M0.0%—Held
Kraft Heinz CoKHC196K$4.75M0.0%—Held
Vaxcyte, Inc.PCVX102.7K$4.74M0.0%—Held
Clearwater Analytics Hldgs I—196.2K$4.73M0.0%—Held
Nomura Hldgs Inc—563.8K$4.73M0.0%—Held
Loews CorpL44.9K$4.73M0.0%—Held
Reynolds Consumer Prods Inc—205.9K$4.72M0.0%—Held
Fidelity National Financial, Inc.FNF86.3K$4.71M0.0%—Held
Intercontinental Hotels Grou—33.4K$4.71M0.0%—Held
IDEAYA Biosciences, Inc.IDYA136.1K$4.7M0.0%—Held
Fluor Corp NewFLR118.7K$4.7M0.0%—Held
Charter Communications Inc N—22.5K$4.7M0.0%—Held
Rb Global Inc.RBA45.6K$4.69M0.0%—Held
Tradeweb Mkts Inc—43.6K$4.68M0.0%—Held
Fti Consulting, IncFCN27.4K$4.68M0.0%—Held
Main Str Cap Corp—77.5K$4.68M0.0%—Held
Diageo Plc—54.2K$4.67M0.0%—Held
Trade Desk, Inc.TTD123.1K$4.67M0.0%—Held
Block Inc—71.7K$4.67M0.0%—Held
Rollins IncROL77.7K$4.66M0.0%—Held
Hubspot IncHUBS11.6K$4.66M0.0%—Held
Alcoa CorpAA87.8K$4.66M0.0%—Held
Sba Communications Corp NewSBAC24K$4.65M0.0%—Held
Direxion Shs Etf Tr—45.4K$4.64M0.0%—Held
Confluent Inc—153.5K$4.64M0.0%—Held
Ally Finl Inc—102.3K$4.63M0.0%—Held
Willis Towers Watson PlcWTW14.1K$4.63M0.0%—Held
Invesco Exchange Traded Fd T—65.7K$4.63M0.0%—Held
Ishares Tr—149.3K$4.62M0.0%—Held
American Airls Group IncAAL300.8K$4.61M0.0%—Held
Nisource Inc.NI109.9K$4.59M0.0%—Held
Littelfuse Inc—18.1K$4.59M0.0%—Held
Seadrill LtdSDRL131.8K$4.56M0.0%—Held
Imperial Oil LtdIMO52.8K$4.55M0.0%—Held
Valmont Inds Inc—11.3K$4.55M0.0%—Held
Vipshop Hldgs Ltd—256.8K$4.54M0.0%—Held
Franklin Resources IncBEN190.2K$4.54M0.0%—Held
Toro CoTTC57.7K$4.54M0.0%—Held
Host Hotels & Resorts, Inc.HST254.9K$4.52M0.0%—Held
Cousins Pptys Inc—175.2K$4.52M0.0%—Held
Hdfc Bank LtdHDB123.5K$4.51M0.0%—Held
Teck Resources Ltd—94.2K$4.51M0.0%—Held
Axsome Therapeutics, Inc.AXSM24.6K$4.5M0.0%—Held
Teledyne Technologies IncTDY8.79K$4.49M0.0%—Held
Vanguard Whitehall Fds—48.9K$4.47M0.0%—Held
H World Group Ltd—95K$4.47M0.0%—Held
Zurn Elkay Water Solns Corp—95.9K$4.46M0.0%—Held
Crane Company—24.1K$4.45M0.0%—Held
Regency Ctrs Corp—64.5K$4.45M0.0%—Held
Woodward, Inc.WWD14.7K$4.45M0.0%—Held
Wd 40 CoWDFC22.6K$4.44M0.0%—Held
Packaging Corp Amer—21.5K$4.43M0.0%—Held
Vanguard World Fd—14.8K$4.41M0.0%—Held
First Tr Exchng Traded Fd Vi—128.7K$4.41M0.0%—Held
Heico Corp New—17.5K$4.41M0.0%—Held
Vanguard Admiral Fds Inc—39.7K$4.41M0.0%—Held
Dimensional Etf Trust—130.5K$4.4M0.0%—Held
Chart Inds Inc—21.3K$4.4M0.0%—Held
Seaboard Corp Del—989$4.4M0.0%—Held
Skyworks Solutions, Inc.SWKS69.3K$4.39M0.0%—Held
Noble Corp Plc—155.4K$4.39M0.0%—Held
Amrize LtdAMRZ81K$4.38M0.0%—Held
Vanguard World Fd—11.1K$4.38M0.0%—Held
Valley Natl Bancorp—374.5K$4.37M0.0%—Held
Ishares Tr—41.6K$4.37M0.0%—Held
Proshares Tr—37.6K$4.35M0.0%—Held
Pulte Group Inc—37.1K$4.35M0.0%—Held
Logitech Intl S A—43.4K$4.35M0.0%—Held
Five Below, IncFIVE23K$4.34M0.0%—Held
Wendys Co—520.7K$4.34M0.0%—Held
Ionis Pharmaceuticals IncIONS54.8K$4.33M0.0%—Held
Qualys, Inc.QLYS32.6K$4.33M0.0%—Held
Urban Outfitters IncURBN57.5K$4.33M0.0%—Held
Global X Fds—85K$4.32M0.0%—Held
Acuity Inc—12K$4.32M0.0%—Held
Spdr Series Trust—99.8K$4.32M0.0%—Held
Esco Technologies IncESE22.1K$4.31M0.0%—Held
Ishares Tr—58.8K$4.31M0.0%—Held
NOV Inc.NOV275.5K$4.31M0.0%—Held
First Financial Corporation—70.9K$4.28M0.0%—Held
D-Wave Quantum Inc.QBTS163.9K$4.28M0.0%—Held
Circle Internet Group, Inc.CRCL53.8K$4.27M0.0%—Held
Ishares Tr—88.5K$4.26M0.0%—Held
Lantheus Hldgs Inc—64K$4.26M0.0%—Held
Magnolia Oil & Gas CorpMGY194.6K$4.26M0.0%—Held
First Tr Exchange-Traded Fd—92.2K$4.25M0.0%—Held
Teleflex IncTFX34.8K$4.25M0.0%—Held
Franco Nev Corp—20.5K$4.24M0.0%—Held
Hf Sinclair CorpDINO92K$4.24M0.0%—Held
Waters Corp—11.2K$4.24M0.0%—Held
Block H & R Inc—97.2K$4.24M0.0%—Held
Royal Gold IncRGLD19.1K$4.23M0.0%—Held
Southstate Bk Corp—44.9K$4.22M0.0%—Held
Encompass Health CorpEHC39.7K$4.22M0.0%—Held
First Ctzns Bancshares Inc D—1.96K$4.21M0.0%—Held
Generac Hldgs Inc—30.9K$4.21M0.0%—Held
Houlihan Lokey, Inc.HLI24.1K$4.21M0.0%—Held
Invesco Currencyshares Euro—38.8K$4.21M0.0%—Held
Merit Med Sys Inc—47.7K$4.2M0.0%—Held
Marten Trans Ltd—369.3K$4.2M0.0%—Held
Ishares Tr—39.6K$4.19M0.0%—Held
Macom Tech Solutions Hldgs I—24.4K$4.19M0.0%—Held
First Tr Exchange Traded Fd—66.5K$4.18M0.0%—Held
Guidewire Software, Inc.GWRE20.8K$4.18M0.0%—Held
Science Applications Intl Co—41.5K$4.17M0.0%—Held
Lyft, Inc.LYFT214.7K$4.16M0.0%—Held
Chemed Corp New—9.71K$4.16M0.0%—Held
Restaurant Brands Intl Inc—60.6K$4.14M0.0%—Held
Ishares Tr—39.8K$4.14M0.0%—Held
Trimble Inc.TRMB52.7K$4.13M0.0%—Held
Match Group Inc New—127.8K$4.13M0.0%—Held
Agnc Invt Corp—383.9K$4.12M0.0%—Held
Pembina Pipeline Corp—108K$4.11M0.0%—Held
First Tr Exchange-Traded Alp—25.4K$4.11M0.0%—Held
Henry Schein IncHSIC54.3K$4.11M0.0%—Held
DONALDSON Co INCDCI45.8K$4.06M0.0%—Held
Gap IncGAP158.5K$4.06M0.0%—Held
Fidelis Insurance Holdings L—207.1K$4.05M0.0%—Held
Option Care Health, Inc.OPCH127.1K$4.05M0.0%—Held
Belden Inc.BDC34.7K$4.05M0.0%—Held
Caris Life Sciences, Inc.CAI149.9K$4.04M0.0%—Held
Kb HomeKBH71.6K$4.04M0.0%—Held
ICL Group Ltd.ICL703.9K$4.04M0.0%—Held
Joby Aviation Inc—305.9K$4.04M0.0%—Held
Balchem CorpBCPC26.3K$4.04M0.0%—Held
Biomarin Pharmaceutical IncBMRN67.8K$4.03M0.0%—Held
Peabody Energy CorpBTU135.4K$4.02M0.0%—Held
Genmab A/S—130.6K$4.02M0.0%—Held
Wesbanco Inc—120.7K$4.01M0.0%—Held
Invesco Exch Traded Fd Tr Ii—83.2K$3.99M0.0%—Held
PENTAIR plcPNR38.3K$3.99M0.0%—Held
Labcorp Holdings Inc.LH15.9K$3.99M0.0%—Held
Rexford Indl Rlty Inc—102.4K$3.96M0.0%—Held
First Tr Exchange Traded Fd—57K$3.96M0.0%—Held
Nordson CorpNDSN16.4K$3.94M0.0%—Held
Liberty Media Corp Del—44.1K$3.94M0.0%—Held
Nushares Etf Tr—100.6K$3.94M0.0%—Held
Proshares Tr—67.9K$3.93M0.0%—Held
Viavi Solutions Inc.VIAV220.6K$3.93M0.0%—Held
Sprouts Fmrs Mkt Inc—49.3K$3.93M0.0%—Held
AST SpaceMobile, Inc.ASTS53.9K$3.92M0.0%—Held
Buckle IncBKE73.3K$3.91M0.0%—Held
Dicks Sporting Goods Inc—19.7K$3.9M0.0%—Held
East West Bancorp IncEWBC34.7K$3.9M0.0%—Held
Sitime CorpSITM11K$3.9M0.0%—Held
Select Sector Spdr Tr—85.9K$3.9M0.0%—Held
Hancock Whitney Corporation—61.1K$3.89M0.0%—Held
Invesco Exchange Traded Fd T—170.5K$3.89M0.0%—Held
Aegon Ltd—504.7K$3.89M0.0%—Held
Csw Industrials, Inc.CSW13.2K$3.88M0.0%—Held
Ishares Tr—48.6K$3.88M0.0%—Held
Nokia Corp—599.2K$3.88M0.0%—Held
Quantumscape CorpQS371.9K$3.88M0.0%—Held
Waste Connections, Inc.WCN22K$3.86M0.0%—Held
Spdr Series Trust—41.8K$3.86M0.0%—Held
Global X Fds—106.5K$3.86M0.0%—Held
Modine Mfg Co—28.8K$3.85M0.0%—Held
Warrior Met Coal, Inc.HCC43.6K$3.85M0.0%—Held
Victory Cap Hldgs Inc—60.9K$3.84M0.0%—Held
Equity Lifestyle Pptys IncELS63.4K$3.84M0.0%—Held
CarGurus, Inc.CARG100K$3.84M0.0%—Held
Fuller H B CoFUL64.4K$3.83M0.0%—Held
Primoris Svcs Corp—30.8K$3.83M0.0%—Held
Synchrony Financial—45.8K$3.82M0.0%—Held
Pinterest, Inc.PINS147.5K$3.82M0.0%—Held
Turkcell Iletisim Hizmetleri—697.6K$3.82M0.0%—Held
Rigetti Computing Inc—171.4K$3.8M0.0%—Held
First Intst Bancsystem Inc—109.7K$3.79M0.0%—Held
Safety Ins Group Inc—48.7K$3.79M0.0%—Held
Trex Co IncTREX107.5K$3.77M0.0%—Held
Matador Res Co—88.8K$3.77M0.0%—Held
Lumen Technologies, Inc.LUMN485.2K$3.77M0.0%—Held
Ishares Inc—46.6K$3.76M0.0%—Held
Ishares Tr—70.3K$3.76M0.0%—Held
Invesco Exchange Traded Fd T—82.5K$3.76M0.0%—Held
Zimmer Biomet Holdings, Inc.ZBH41.7K$3.75M0.0%—Held
Amcor Plc—449.2K$3.75M0.0%—Held
Timken CoTKR44.5K$3.75M0.0%—Held
Ishares Tr—57.7K$3.73M0.0%—Held
Global X Fds—167.8K$3.73M0.0%—Held
Ati IncATI32.5K$3.73M0.0%—Held
Rpc IncRES683.5K$3.72M0.0%—Held
Nushares Etf Tr—77.5K$3.7M0.0%—Held
Ishares Tr—81.4K$3.7M0.0%—Held
Nmi Hldgs Inc—90.4K$3.69M0.0%—Held
Columbia Sportswear CoCOLM66.9K$3.68M0.0%—Held
Manhattan Associates IncMANH21.2K$3.68M0.0%—Held
Dnp Select Income Fd Inc—368.2K$3.68M0.0%—Held
Oklo Inc.OKLO51.1K$3.67M0.0%—Held
Kt CorpKT193.4K$3.67M0.0%—Held
Costar Group, Inc.CSGP54.5K$3.66M0.0%—Held
Equinor Asa—154.9K$3.66M0.0%—Held
Ishares Tr—44.4K$3.66M0.0%—Held
Trico Bancshares /TCBK77.2K$3.66M0.0%—Held
GoDaddy Inc.GDDY29.5K$3.66M0.0%—Held
Constellium SeCSTM193.7K$3.65M0.0%—Held
International Paper Co—92.6K$3.65M0.0%—Held
Essex Ppty Tr Inc—13.9K$3.64M0.0%—Held
Installed Bldg Prods Inc—14K$3.63M0.0%—Held
First Tr Exchng Traded Fd Vi—128.3K$3.62M0.0%—Held
Murphy USA Inc.MUSA8.93K$3.61M0.0%—Held
Protagonist Therapeutics, IncPTGX41.3K$3.6M0.0%—Held
Mirion Technologies, Inc.MIR153.7K$3.6M0.0%—Held
Bowhead Specialty Hldgs Inc—126.1K$3.6M0.0%—Held
Centerpoint Energy IncCNP93.7K$3.59M0.0%—Held
Glaukos CorpGKOS31.8K$3.59M0.0%—Held
Solstice Advanced Matls Inc—73.8K$3.59M0.0%—Held
JBT MAREL CorpJBTM23.8K$3.59M0.0%—Held
Vale S.A.VALE275K$3.58M0.0%—Held
Topbuild Corp—8.58K$3.58M0.0%—Held
Zacks Trust—102.8K$3.57M0.0%—Held
Byline Bancorp, Inc.BY122.5K$3.57M0.0%—Held
Lyondellbasell Industries N—82.2K$3.56M0.0%—Held
Axis Cap Hldgs Ltd—33.2K$3.56M0.0%—Held
Ovintiv Inc.OVV90.7K$3.56M0.0%—Held
Assurant Inc—14.8K$3.56M0.0%—Held
Ishares Tr—74.3K$3.55M0.0%—Held
Sylvamo CorpSLVM73.6K$3.54M0.0%—Held
Simply Good Foods CoSMPL176.2K$3.54M0.0%—Held
Revolution Medicines Inc—44.1K$3.52M0.0%—Held
ExlService Holdings, Inc.EXLS82.8K$3.51M0.0%—Held
CubesmartCUBE97.3K$3.51M0.0%—Held
PJT Partners Inc.PJT21K$3.51M0.0%—Held
Renaissancere Hldgs Ltd—12.4K$3.49M0.0%—Held
Interactive Brokers Group In—54.3K$3.49M0.0%—Held
Trust For Professional Manag—127.6K$3.49M0.0%—Held
Global X Fds—73K$3.49M0.0%—Held
Sensient Technologies CorpSXT37.1K$3.49M0.0%—Held
Sibanye Stillwater Ltd—243.8K$3.47M0.0%—Held
Kimco Rlty Corp—171.4K$3.47M0.0%—Held
Masco Corp—54.7K$3.47M0.0%—Held
Resideo Technologies, Inc.REZI98.8K$3.47M0.0%—Held
Enova Intl Inc—22.1K$3.47M0.0%—Held
Adt Inc Del—429.5K$3.47M0.0%—Held
Ishares Tr—80K$3.46M0.0%—Held
National Fuel Gas CoNFG43.3K$3.46M0.0%—Held
Badger Meter IncBMI19.9K$3.46M0.0%—Held
Sanfilippo John B & Son IncJBSS48.9K$3.45M0.0%—Held
Dominos Pizza IncDPZ8.27K$3.44M0.0%—Held
Home Bancshares IncHOMB123.7K$3.44M0.0%—Held
Crexendo, Inc.CXDO530.8K$3.43M0.0%—Held
Comerica Inc—39.5K$3.43M0.0%—Held
Halozyme Therapeutics, Inc.HALO51K$3.43M0.0%—Held
Molina Healthcare, Inc.MOH19.8K$3.43M0.0%—Held
Pricesmart IncPSMT28K$3.43M0.0%—Held
First Tr Exchange-Traded Alp—39.8K$3.43M0.0%—Held
Spdr Series Trust—111.5K$3.43M0.0%—Held
Krystal Biotech, Inc.KRYS13.9K$3.42M0.0%—Held
Innospec Inc.IOSP44.7K$3.42M0.0%—Held
Spdr Series Trust—124.6K$3.42M0.0%—Held
Yum China Hldgs Inc—71.5K$3.41M0.0%—Held
Td Synnex CorpSNX22.7K$3.41M0.0%—Held
Hub Group, Inc.HUBG79.9K$3.41M0.0%—Held
Knight-Swift Transn Hldgs In—65.1K$3.4M0.0%—Held
Vanguard Admiral Fds Inc—30.4K$3.4M0.0%—Held
Vanguard Instl Index Fd—45K$3.4M0.0%—Held
Lpl Finl Hldgs Inc—9.5K$3.39M0.0%—Held
Glacier Bancorp Inc New—77K$3.39M0.0%—Held
EnersysENS23.1K$3.38M0.0%—Held
Columbia Etf Tr Ii—88.1K$3.38M0.0%—Held
Vanguard Scottsdale Fds—71.8K$3.38M0.0%—Held
Tri Pointe Homes Inc—107.4K$3.38M0.0%—Held
Qiagen Nv—75.1K$3.38M0.0%—Held
Amkor Technology, Inc.AMKR85.3K$3.37M0.0%—Held
Visteon CorpVC35.3K$3.36M0.0%—Held
Brookfield Business CorpBBUC93.5K$3.36M0.0%—Held
Matson, Inc.MATX27.1K$3.35M0.0%—Held
Bitwise Bitcoin Etf Tr—70.3K$3.35M0.0%—Held
Ss&C Technologies Hldgs Inc—38.3K$3.35M0.0%—Held
Impinj IncPI19.2K$3.34M0.0%—Held
Toll Brothers, Inc.TOL24.5K$3.32M0.0%—Held
Black Hills Corp—47.8K$3.31M0.0%—Held
Atlanta Braves Hldgs Inc—84K$3.31M0.0%—Held
Morgan Stanley Etf Trust—39.3K$3.31M0.0%—Held
Proshares Tr—48.2K$3.3M0.0%—Held
Brown Forman Corp—126.8K$3.3M0.0%—Held
Nushares Etf Tr—91.2K$3.3M0.0%—Held
Astera Labs, Inc.ALAB19.8K$3.3M0.0%—Held
Quest Diagnostics IncDGX18.9K$3.29M0.0%—Held
Wayfair Inc.W32.7K$3.28M0.0%—Held
Valaris Ltd—65.1K$3.28M0.0%—Held
Boot Barn Hldgs Inc—18.6K$3.28M0.0%—Held
Ishares Tr—50.3K$3.27M0.0%—Held
Global X Fds—185.2K$3.27M0.0%—Held
Rogers CorpROG35.7K$3.27M0.0%—Held
CareTrust REIT, Inc.CTRE90.1K$3.26M0.0%—Held
BXP, Inc.BXP48.2K$3.25M0.0%—Held
Vanguard Bd Index Fds—65.2K$3.25M0.0%—Held
Taylor Morrison Home Corp—55.2K$3.25M0.0%—Held
Invesco Exchange Traded Fd T—102K$3.25M0.0%—Held
Q2 Hldgs Inc—45K$3.24M0.0%—Held
Etfs Gold Tr—79K$3.24M0.0%—Held
Coterra Energy Inc—122.9K$3.23M0.0%—Held
Docusign, Inc.DOCU47.3K$3.23M0.0%—Held
Semtech CorpSMTC43.9K$3.23M0.0%—Held
Amdocs LtdDOX40.1K$3.23M0.0%—Held
Donegal Group Inc—161.5K$3.23M0.0%—Held
Amer Sports, Inc.AS86.4K$3.23M0.0%—Held
Hims & Hers Health, Inc.HIMS99.3K$3.22M0.0%—Held
Owens Corning New—28.8K$3.22M0.0%—Held
StepStone Group Inc.STEP50.1K$3.22M0.0%—Held
Ishares Tr—11.6K$3.21M0.0%—Held
Ea Series Trust—72.8K$3.21M0.0%—Held
First Horizon Corporation—133.8K$3.2M0.0%—Held
Wisdomtree Tr—39.5K$3.2M0.0%—Held
Praxis Precision Medicines I—10.8K$3.2M0.0%—Held
Cogent Biosciences, Inc.COGT89.9K$3.19M0.0%—Held
Uranium Energy CorpUEC273.3K$3.19M0.0%—Held
Kimball Electronics, Inc.KE114.6K$3.19M0.0%—Held
PROG Holdings, Inc.PRG107.9K$3.18M0.0%—Held
Ishares Inc—53K$3.18M0.0%—Held
Atlantic Un Bankshares Corp—89.9K$3.17M0.0%—Held
Grupo Cibest Sa—49.8K$3.17M0.0%—Held
Kulicke & Soffa Inds Inc—69.5K$3.16M0.0%—Held
TKO Group Holdings, Inc.TKO15.1K$3.16M0.0%—Held
Carlisle Cos Inc—9.86K$3.15M0.0%—Held
Annaly Capital Management In—141K$3.15M0.0%—Held
Pool CorpPOOL13.8K$3.15M0.0%—Held
Cirrus Logic, Inc.CRUS26.6K$3.15M0.0%—Held
Werner Enterprises IncWERN104.8K$3.15M0.0%—Held
Brinks CoBCO26.9K$3.15M0.0%—Held
Harmony Gold Mining Co Ltd—157.9K$3.14M0.0%—Held
Meritage Homes CorpMTH47.7K$3.14M0.0%—Held
Vanguard Scottsdale Fds—13.2K$3.13M0.0%—Held
SM Energy CoSM167K$3.12M0.0%—Held
Avis Budget Group, Inc.CAR24.1K$3.1M0.0%—Held
Greif Inc—45.7K$3.09M0.0%—Held
Spdr Series Trust—25.3K$3.09M0.0%—Held
ONE Gas, Inc.OGS40K$3.09M0.0%—Held
Core Natural Resources, Inc.CNR34.9K$3.09M0.0%—Held
Aerovironment IncAVAV12.7K$3.07M0.0%—Held
Academy Sports & Outdoors In—61.4K$3.07M0.0%—Held
Healthcare Rlty Tr—180.7K$3.06M0.0%—Held
Ishares Tr—17.9K$3.05M0.0%—Held
Epam Sys Inc—14.9K$3.04M0.0%—Held
Monro, Inc.MNRO151.6K$3.04M0.0%—Held
Flexshares Tr—126.1K$3.03M0.0%—Held
Ptc Inc.PTC17.4K$3.03M0.0%—Held
Seacoast Bkg Corp Fla—96K$3.01M0.0%—Held
Nuvalent Inc—29.9K$3.01M0.0%—Held
Lamar Advertising Co/NewLAMR23.8K$3.01M0.0%—Held
Abrdn Precious Metals Basket—14.6K$2.99M0.0%—Held
Americold Realty TrustCOLD232.8K$2.99M0.0%—Held
Tc Energy Corp—54.3K$2.99M0.0%—Held
First Merchants Corp—79.4K$2.98M0.0%—Held
Invesco Exch Traded Fd Tr Ii—115.3K$2.98M0.0%—Held
Veeco Instrs Inc Del—104.1K$2.98M0.0%—Held
Ishares Tr—30.5K$2.97M0.0%—Held
Watsco Inc—8.8K$2.97M0.0%—Held
UDR, Inc.UDR80.8K$2.96M0.0%—Held
Api Group CorpAPG77.4K$2.96M0.0%—Held
Hertz Global Hldgs Inc—574.7K$2.95M0.0%—Held
National Beverage CorpFIZZ92.4K$2.95M0.0%—Held
Hamilton Lane IncHLNE21.9K$2.95M0.0%—Held
Benchmark Electrs Inc—68.8K$2.94M0.0%—Held
Flowserve CorpFLS42.4K$2.94M0.0%—Held
F5, Inc.FFIV11.5K$2.94M0.0%—Held
Cooper Cos Inc—35.8K$2.94M0.0%—Held
Dimensional Etf Trust—77.1K$2.93M0.0%—Held
Ark Etf Tr—38K$2.92M0.0%—Held
Brunswick Corp—39.2K$2.91M0.0%—Held
Churchill Downs IncCHDN25.6K$2.91M0.0%—Held
Landstar Sys Inc—20.1K$2.89M0.0%—Held
Northern Oil & Gas, Inc.NOG134.8K$2.89M0.0%—Held
Wisdomtree Tr—34.1K$2.89M0.0%—Held
Frontier Group Hldgs Inc—614.4K$2.89M0.0%—Held
Scorpio Tankers Inc.STNG56.8K$2.89M0.0%—Held
Advanced Drain Sys Inc Del—19.9K$2.89M0.0%—Held
Columbia Finl Inc—185.3K$2.88M0.0%—Held
Eagle Matls Inc—13.9K$2.88M0.0%—Held
American Centy Etf Tr—49.3K$2.88M0.0%—Held
Bio-Techne CorpTECH48.8K$2.87M0.0%—Held
Ptc Therapeutics, Inc.PTCT37.8K$2.87M0.0%—Held
Super Micro Computer Inc—98K$2.87M0.0%—Held
Century Cmntys IncCCS48.3K$2.87M0.0%—Held
PBF Energy Inc.PBF105.5K$2.86M0.0%—Held
Southern Mo Bancorp Inc—48.3K$2.86M0.0%—Held
Onespaworld Holdings Limited—137.6K$2.85M0.0%—Held
Ishares Tr—56.1K$2.85M0.0%—Held
Solventum CorpSOLV36K$2.85M0.0%—Held
Bright Horizons Fam Sol In D—28.1K$2.85M0.0%—Held
Axalta Coating Sys Ltd—88.2K$2.85M0.0%—Held
Ishares Inc—42.2K$2.85M0.0%—Held
Avnet IncAVT59.1K$2.84M0.0%—Held
Ishares Tr—19.2K$2.84M0.0%—Held
Affiliated Managers Group In—9.83K$2.83M0.0%—Held
Zebra Technologies Corporati—11.7K$2.83M0.0%—Held
Integer Hldgs Corp—36.1K$2.83M0.0%—Held
Radian Group IncRDN78.5K$2.83M0.0%—Held
First Mid Ill Bancshares IncFMBH72.4K$2.82M0.0%—Held
Ishares Tr—46K$2.82M0.0%—Held
Shore Bancshares IncSHBI159.4K$2.82M0.0%—Held
Beone Medicines Ltd—9.27K$2.82M0.0%—Held
Ishares Tr—32.3K$2.81M0.0%—Held
Granite Constr Inc—24.3K$2.81M0.0%—Held
Renasant CorpRNST79.6K$2.8M0.0%—Held
Paylocity Hldg Corp—18.4K$2.8M0.0%—Held
Workiva IncWK32.4K$2.8M0.0%—Held
Helmerich & Payne, Inc.HP97.3K$2.79M0.0%—Held
Osi Systems IncOSIS10.9K$2.79M0.0%—Held
Pimco Etf Tr—53.1K$2.78M0.0%—Held
Eplus IncPLUS31.7K$2.78M0.0%—Held
Thomson Reuters Corp—21.1K$2.78M0.0%—Held
Antero Resources CorpAR80.7K$2.78M0.0%—Held
Liberty Energy Inc.LBRT150.5K$2.78M0.0%—Held
Wesco Intl Inc—11.3K$2.78M0.0%—Held
Marketaxess Hldgs Inc—15.3K$2.77M0.0%—Held
Vaneck Merk Gold EtfOUNZ66.7K$2.77M0.0%—Held
First Tr Exch Traded Fd Iii—151.7K$2.76M0.0%—Held
Ugi Corp New—73.8K$2.76M0.0%—Held
Compass, Inc.COMP261.3K$2.76M0.0%—Held
Cognex CorpCGNX76.7K$2.76M0.0%—Held
Vanguard World Fd—14.2K$2.75M0.0%—Held
Principal Exchange Traded Fd—143.7K$2.74M0.0%—Held
Construction Partners, Inc.ROAD25.2K$2.74M0.0%—Held
Albertsons Cos IncACI159.5K$2.74M0.0%—Held
Weyerhaeuser Co Mtn BeWY115.6K$2.74M0.0%—Held
Diodes Inc—55.2K$2.72M0.0%—Held
Enterprise Finl Svcs Corp—50.4K$2.72M0.0%—Held
Heritage Comm Corp—226.4K$2.72M0.0%—Held
Bjs Whsl Club Hldgs Inc—30.2K$2.72M0.0%—Held
Schneider National, Inc.SNDR102.4K$2.72M0.0%—Held
Korn FerryKFY41.1K$2.71M0.0%—Held
Global X Fds—33K$2.71M0.0%—Held
Fidelity Covington Trust—36.4K$2.71M0.0%—Held
Sasol Ltd—414.5K$2.7M0.0%—Held
Rhythm Pharmaceuticals, Inc.RYTM25.2K$2.7M0.0%—Held
Netscout Sys Inc—99.6K$2.7M0.0%—Held
Macerich CoMAC145.9K$2.69M0.0%—Held
Insulet CorpPODD9.47K$2.69M0.0%—Held
Mohawk Inds Inc—24.6K$2.69M0.0%—Held
Macys Inc—121.3K$2.68M0.0%—Held
Origin Bancorp, Inc.OBK71K$2.67M0.0%—Held
Mastec IncMTZ12.3K$2.67M0.0%—Held
Builders FirstSource, Inc.BLDR25.9K$2.67M0.0%—Held
Lionsgate Studios Corp.LION291.1K$2.66M0.0%—Held
Cnx Res Corp—72.2K$2.66M0.0%—Held
Portland Gen Elec Co—55.3K$2.65M0.0%—Held
Globant S.A.GLOB40.5K$2.65M0.0%—Held
Allegion plcALLE16.6K$2.65M0.0%—Held
Pearson Plc—188.4K$2.65M0.0%—Held
Wintrust Finl Corp—18.9K$2.64M0.0%—Held
Hyatt Hotels CorpH16.5K$2.64M0.0%—Held
Viking Holdings LtdVIK36.9K$2.63M0.0%—Held
TransMedics Group, Inc.TMDX21.6K$2.63M0.0%—Held
Weis Mkts Inc—41K$2.63M0.0%—Held
Franklin Elec Inc—27.5K$2.63M0.0%—Held
Commvault Sys Inc—21K$2.63M0.0%—Held
Smith & Nephew Plc—80K$2.63M0.0%—Held
Telefonica Brasil Sa—221K$2.62M0.0%—Held
Associated Banc Corp—101.7K$2.62M0.0%—Held
Nlight, Inc.LASR69.8K$2.62M0.0%—Held
Grand Canyon Ed Inc—15.7K$2.62M0.0%—Held
Albemarle Corp—18.5K$2.62M0.0%—Held
Sonoco Prods Co—59.9K$2.61M0.0%—Held
Spdr Series Trust—30.9K$2.61M0.0%—Held
Rithm Capital Corp—239.7K$2.61M0.0%—Held
Alexandria Real Estate Eq In—53.4K$2.61M0.0%—Held
America Movil Sab De Cv—126.2K$2.61M0.0%—Held
Unifirst Corp Mass—13.5K$2.61M0.0%—Held
Qorvo, Inc.QRVO30.8K$2.6M0.0%—Held
Aci Worldwide, Inc.ACIW54.4K$2.6M0.0%—Held
Invesco Exchange Traded Fd T—19.3K$2.6M0.0%—Held
Ishares Tr—37.8K$2.6M0.0%—Held
RadNet, Inc.RDNT36.3K$2.59M0.0%—Held
Charles Riv Labs Intl Inc—13K$2.59M0.0%—Held
Huron Consulting Group Inc.HURN14.9K$2.58M0.0%—Held
Palomar Hldgs Inc—19.1K$2.57M0.0%—Held
Us Foods Hldg Corp—34.1K$2.57M0.0%—Held
Civitas Resources Inc—94.7K$2.57M0.0%—Held
Monarch Casino & Resort IncMCRI26.8K$2.56M0.0%—Held
Novanta Inc—21.5K$2.56M0.0%—Held
Diamond Hill Invt Group Inc—15.1K$2.56M0.0%—Held
Myr Group Inc DelMYRG11.7K$2.56M0.0%—Held
Ishares Tr—28.5K$2.56M0.0%—Held
Kennametal IncKMT89.9K$2.55M0.0%—Held
Tencent Music Entmt Group—145.7K$2.55M0.0%—Held
Columbus Mckinnon Corp N Y—148K$2.55M0.0%—Held
Sps Comm Inc—28.6K$2.55M0.0%—Held
Rivian Automotive Inc—129.4K$2.55M0.0%—Held
Ishares Tr—67.5K$2.55M0.0%—Held
Fb Finl Corp—45.7K$2.55M0.0%—Held
Bel Fuse Inc—15K$2.55M0.0%—Held
Greenlight Capital Re, Ltd.GLRE174.7K$2.55M0.0%—Held
International Seaways, Inc.INSW52.4K$2.54M0.0%—Held
Spdr Series Trust—45.3K$2.54M0.0%—Held
Lineage, Inc.LINE72.7K$2.54M0.0%—Held
Graphic Packaging Hldg Co—168.8K$2.54M0.0%—Held
Mp Materials Corp—50.3K$2.54M0.0%—Held
V F CorpVFC140.5K$2.54M0.0%—Held
Aptiv PlcAPTV33.4K$2.54M0.0%—Held
Invesco Exchange Traded Fd T—24.8K$2.54M0.0%—Held
Fidelity Covington Trust—60.7K$2.53M0.0%—Held
Ingles Mkts Inc—36.9K$2.53M0.0%—Held
Virtus Dividend Interest & P—195.5K$2.52M0.0%—Held
Dimensional Etf Trust—59.1K$2.51M0.0%—Held
Mplx Lp—47.1K$2.51M0.0%—Held
Irhythm Technologies IncIRTC14.2K$2.51M0.0%—Held
Ishares Tr—40.3K$2.5M0.0%—Held
Ishares Ethereum Tr—111.6K$2.5M0.0%—Held
Boise Cascade Co Del—34K$2.5M0.0%—Held
TransunionTRU29.2K$2.5M0.0%—Held
Erie Indty Co—8.72K$2.5M0.0%—Held
Hackett Group, Inc.HCKT127.1K$2.5M0.0%—Held
Royalty Pharma PLCRPRX64.5K$2.49M0.0%—Held
Vaneck Etf Trust—21.9K$2.49M0.0%—Held
Mirum Pharmaceuticals, Inc.MIRM31.5K$2.49M0.0%—Held
Maplebear Inc.CART55.3K$2.49M0.0%—Held
Booz Allen Hamilton Hldg Cor—29.5K$2.49M0.0%—Held
Universal Corp /Va/UVV47.1K$2.48M0.0%—Held
Group 1 Automotive IncGPI6.31K$2.48M0.0%—Held
Pimco Etf Tr—26.6K$2.48M0.0%—Held
Terex Corp New—46.4K$2.48M0.0%—Held
Autonation, Inc.AN12K$2.48M0.0%—Held
The Campbells Company—88.8K$2.48M0.0%—Held
Aptargroup, Inc.ATR20.3K$2.48M0.0%—Held
Asgn IncEFOR51.4K$2.47M0.0%—Held
Msc Indl Direct Inc—29.4K$2.47M0.0%—Held
Univest Financial Corporatio—75.5K$2.47M0.0%—Held
Hexcel Corp New—33.4K$2.47M0.0%—Held
Manpowergroup Inc Wis—83K$2.47M0.0%—Held
Carmax IncKMX63.8K$2.47M0.0%—Held
Laureate Education, Inc.LAUR73.2K$2.47M0.0%—Held
Formfactor IncFORM44.2K$2.46M0.0%—Held
AramarkARMK66.5K$2.45M0.0%—Held
Service Corp Intl—31.4K$2.45M0.0%—Held
Cavco Inds Inc Del—4.15K$2.45M0.0%—Held
Smucker J M Co—25K$2.45M0.0%—Held
Pan Amern Silver Corp—47.2K$2.45M0.0%—Held
Usana Health Sciences IncUSNA124.5K$2.44M0.0%—Held
Price T Rowe Group IncTROW23.9K$2.44M0.0%—Held
Toast, Inc.TOST68.7K$2.44M0.0%—Held
UiPath, Inc.PATH148.6K$2.44M0.0%—Held
Phillips Edison & Co Inc—68.4K$2.43M0.0%—Held
Applied Digital Corp.APLD99.3K$2.43M0.0%—Held
Digitalocean Hldgs Inc—50.6K$2.43M0.0%—Held
Affirm Hldgs Inc—32.6K$2.43M0.0%—Held
Flexshares Tr—30K$2.43M0.0%—Held
Frontier Communications Pare—63.8K$2.43M0.0%—Held
Horizon Bancorp Inc—143K$2.43M0.0%—Held
Advisors Inner Circle Fd Iii—56.8K$2.42M0.0%—Held
Kyndryl Hldgs Inc—91.1K$2.42M0.0%—Held
Stepan CoSCL51K$2.42M0.0%—Held
Bank Ozk Little Rock Ark—52.4K$2.41M0.0%—Held
Arrow Electrs Inc—21.9K$2.41M0.0%—Held
Nice Ltd—21.3K$2.41M0.0%—Held
Dine Brands Global, Inc.DIN74.4K$2.39M0.0%—Held
Hni CorpHNI56.8K$2.39M0.0%—Held
Pennymac Finl Svcs Inc New—18.1K$2.39M0.0%—Held
First Hawaiian, Inc.FHB94.4K$2.39M0.0%—Held
Starwood Ppty Tr Inc—132.6K$2.39M0.0%—Held
First Finl Bancorp Oh—95.2K$2.38M0.0%—Held
Dbx Etf Tr—49.4K$2.38M0.0%—Held
Lennox Intl Inc—4.89K$2.37M0.0%—Held
Global X Fds—33.1K$2.37M0.0%—Held
Goldman Sachs Physical Gold—55.7K$2.37M0.0%—Held
Moderna, Inc.MRNA80.3K$2.37M0.0%—Held
Ziff Davis, Inc.ZD67.1K$2.36M0.0%—Held
Invesco Exchange Traded Fd T—107K$2.35M0.0%—Held
Vanguard Scottsdale Fds—30.9K$2.34M0.0%—Held
Enpro Inc.NPO10.9K$2.34M0.0%—Held
Spdr Series Trust—11.1K$2.33M0.0%—Held
Siriusxm Holdings Inc—116.7K$2.33M0.0%—Held
Nutanix, Inc.NTNX45.1K$2.33M0.0%—Held
American Centy Etf Tr—32.7K$2.33M0.0%—Held
Winmark CorpWINA5.76K$2.33M0.0%—Held
Healthpeak Properties, Inc.DOC144.6K$2.33M0.0%—Held
Herc Hldgs Inc—15.7K$2.32M0.0%—Held
StoneX Group Inc.SNEX24.4K$2.32M0.0%—Held
Boston Beer Co IncSAM11.9K$2.32M0.0%—Held
Cf Inds Hldgs Inc—30K$2.32M0.0%—Held
Lamb Weston Hldgs Inc—55.4K$2.32M0.0%—Held
Lkq CorpLKQ76.7K$2.32M0.0%—Held
Qfin Holdings Inc—119.9K$2.31M0.0%—Held
Elanco Animal Health IncELAN102.1K$2.31M0.0%—Held
BWX Technologies, Inc.BWXT13.4K$2.31M0.0%—Held
Kearny Finl Corp Md—311.7K$2.31M0.0%—Held
Mosaic Co NewMOS95.9K$2.31M0.0%—Held
Brookfield Infrast Partners—66.3K$2.3M0.0%—Held
Synaptics IncSYNA31.1K$2.3M0.0%—Held
Antero Midstream CorpAM129.3K$2.3M0.0%—Held
Ubiquiti Inc.UI4.14K$2.29M0.0%—Held
Ishares Inc—87.3K$2.29M0.0%—Held
J P Morgan Exchange Traded F—45.2K$2.29M0.0%—Held
Crescent Energy Company—272.4K$2.29M0.0%—Held
Oshkosh CorpOSK18.2K$2.28M0.0%—Held
Capital Group Dividend Value—52.3K$2.28M0.0%—Held
Stag Indl IncSTAG62K$2.28M0.0%—Held
J P Morgan Exchange Traded F—48.2K$2.28M0.0%—Held
Wisdomtree Tr—42.9K$2.28M0.0%—Held
Yelp IncYELP74.8K$2.27M0.0%—Held
Stanley Black & Decker, Inc.SWK30.6K$2.27M0.0%—Held
G Iii Apparel Group Ltd—78.4K$2.27M0.0%—Held
Fomento Economico Mexicano S—22.4K$2.27M0.0%—Held
Blue Owl Capital Inc—151.6K$2.26M0.0%—Held
Eaton Vance Limited Duration—228.4K$2.26M0.0%—Held
Stantec IncSTN23.9K$2.26M0.0%—Held
Boyd Gaming CorpBYD26.4K$2.25M0.0%—Held
Dayforce Inc—32.6K$2.25M0.0%—Held
Paycom Software, Inc.PAYC14K$2.24M0.0%—Held
Epr Pptys—44.8K$2.24M0.0%—Held
Fresh Del Monte Produce IncDMC62.7K$2.23M0.0%—Held
Northwestern Energy Group In—34.6K$2.23M0.0%—Held
Popular Inc—17.9K$2.23M0.0%—Held
Masimo Corp—17.1K$2.23M0.0%—Held
Tenaris S A—57.8K$2.22M0.0%—Held
Ishares Tr—16.2K$2.22M0.0%—Held
Pacer Fds Tr—42.5K$2.22M0.0%—Held
Simpson Mfg Inc—13.7K$2.22M0.0%—Held
Invesco Actvely Mngd Etc Fd—167.3K$2.22M0.0%—Held
Burlington Stores, Inc.BURL7.67K$2.21M0.0%—Held
United Bankshares Inc West V—57.6K$2.21M0.0%—Held
Petroleo Brasileiro Sa Petro—186K$2.2M0.0%—Held
Crinetics Pharmaceuticals In—47.3K$2.2M0.0%—Held
Pacer Fds Tr—36.6K$2.2M0.0%—Held
Sprott Asset Management Lp—48K$2.2M0.0%—Held
Descartes Sys Group Inc—25.1K$2.2M0.0%—Held
Cemex Sab De Cv—191K$2.19M0.0%—Held
Federated Hermes, Inc.FHI42.1K$2.19M0.0%—Held
Gen Digital Inc—80.6K$2.19M0.0%—Held
Alignment Healthcare, Inc.ALHC110.5K$2.18M0.0%—Held
Jetblue Awys CorpJBLU479.4K$2.18M0.0%—Held
Leggett & Platt IncLEG198.1K$2.18M0.0%—Held
La-Z-Boy IncLZB58.4K$2.18M0.0%—Held
First Tr Exchange Traded Fd—22.1K$2.18M0.0%—Held
Quaker Houghton—15.9K$2.18M0.0%—Held
Griffon CorpGFF29.5K$2.17M0.0%—Held
Marzetti Company—13.2K$2.17M0.0%—Held
Signet Jewelers Limited—26.2K$2.17M0.0%—Held
Aes CorpAES151.2K$2.17M0.0%—Held
Futu Hldgs Ltd—13.2K$2.17M0.0%—Held
Strategic Ed Inc—27K$2.16M0.0%—Held
Alliance Resource Partners L—93.1K$2.16M0.0%—Held
Kilroy Rlty CorpKRC57.8K$2.16M0.0%—Held
Gitlab Inc.GTLB57.5K$2.16M0.0%—Held
Red Rock Resorts, Inc.RRR34.8K$2.16M0.0%—Held
Haemonetics Corp Mass—26.9K$2.15M0.0%—Held
Kontoor Brands, Inc.KTB35.2K$2.15M0.0%—Held
Yeti Hldgs Inc—48.7K$2.15M0.0%—Held
Nicolet Bankshares IncNIC17.7K$2.15M0.0%—Held
Oil Dri Corp Amer—43.9K$2.15M0.0%—Held
Mercury Sys Inc—29.4K$2.15M0.0%—Held
PagSeguro Digital Ltd.PAGS222.3K$2.14M0.0%—Held
Midwestone Finl Group Inc Ne—55.6K$2.14M0.0%—Held
State Srt Spdr Prtfl Hgh—90.5K$2.14M0.0%—Held
Ishares Tr—16.6K$2.14M0.0%—Held
Silicon Laboratories Inc.SLAB16.4K$2.14M0.0%—Held
StoneCo Ltd.STNE144.4K$2.14M0.0%—Held
Invesco Exch Trd Slf Idx Fd—109K$2.13M0.0%—Held
Cipher Mining IncCIFR144.4K$2.13M0.0%—Held
First Tr Exch Traded Fd Iii—41.6K$2.13M0.0%—Held
Brixmor Ppty Group Inc—81K$2.12M0.0%—Held
Phinia Inc.PHIN33.9K$2.12M0.0%—Held
Invesco Exch Trd Slf Idx Fd—107.2K$2.12M0.0%—Held
Par Pac Holdings Inc—60.2K$2.11M0.0%—Held
Ishares Tr—22.8K$2.11M0.0%—Held
Universal Display Corp—18K$2.1M0.0%—Held
Euronet Worldwide, Inc.EEFT27.6K$2.1M0.0%—Held
Insperity, Inc.NSP54.2K$2.1M0.0%—Held
Baxter Intl Inc—109.5K$2.09M0.0%—Held
Celcuity Inc.CELC21K$2.09M0.0%—Held
Rush Enterprises Inc—38.7K$2.09M0.0%—Held
Teradata Corp Del—68.6K$2.09M0.0%—Held
Direxion Shs Etf Tr—17.8K$2.09M0.0%—Held
Kohls CorpKSS102.2K$2.09M0.0%—Held
Trip Com Group Ltd—28.9K$2.08M0.0%—Held
Rapid7, Inc.RPD136.7K$2.08M0.0%—Held
Vontier CorpVNT55.8K$2.07M0.0%—Held
Enact Hldgs Inc—52.3K$2.07M0.0%—Held
Nushares Etf Tr—58.1K$2.07M0.0%—Held
Kura Oncology, Inc.KURA198.8K$2.07M0.0%—Held
Encore Cap Group Inc—38K$2.06M0.0%—Held
Nebius Group N.V.NBIS24.6K$2.06M0.0%—Held
Wisdomtree Tr—20.2K$2.06M0.0%—Held
Nabors Industries LtdNBR37.9K$2.06M0.0%—Held
Celsius Hldgs Inc—44.8K$2.05M0.0%—Held
Sarepta Therapeutics, Inc.SRPT95.2K$2.05M0.0%—Held
Cactus, Inc.WHD44.8K$2.05M0.0%—Held
Proshares Tr—27.4K$2.05M0.0%—Held
Chewy, Inc.CHWY61.8K$2.04M0.0%—Held
First Finl Bankshares Inc—68.4K$2.04M0.0%—Held
Spdr Series Trust—81.9K$2.04M0.0%—Held
California Res Corp—45.6K$2.04M0.0%—Held
Ishares Tr—21.1K$2.03M0.0%—Held
Ishares Tr—53.4K$2.03M0.0%—Held
Capital Group Growth Etf—45.6K$2.03M0.0%—Held
Critical Metals Corp—292.4K$2.03M0.0%—Held
Qcr Holdings IncQCRH24.3K$2.03M0.0%—Held
Southside Bancshares IncSBSI66.7K$2.03M0.0%—Held
Bank Of Nt Butterfield&Son L—40.7K$2.03M0.0%—Held
Gabelli Equity Tr Inc—327.6K$2.02M0.0%—Held
Brighthouse Finl Inc—31.2K$2.02M0.0%—Held
Ishares Tr—8.74K$2.02M0.0%—Held
Champion Homes, Inc.SKY23.8K$2.01M0.0%—Held
Dxc Technology CoDXC137.3K$2.01M0.0%—Held
Sunoco Lp/Sunoco Fin Corp—38.3K$2.01M0.0%—Held
Amer States Wtr Co—27.5K$1.99M0.0%—Held
Coca-Cola Femsa Sab De Cv—21K$1.99M0.0%—Held
Upstart Hldgs Inc—45.4K$1.98M0.0%—Held
Livanova PlcLIVN32.1K$1.98M0.0%—Held
Frontdoor, Inc.FTDR34.1K$1.97M0.0%—Held
Etf Ser Solutions—17.9K$1.97M0.0%—Held
Teva Pharmaceutical Inds Ltd—62.8K$1.96M0.0%—Held
National Healthcare CorpNHC14.3K$1.96M0.0%—Held
Ishares Tr—85.6K$1.96M0.0%—Held
Gildan Activewear Inc.GIL31.3K$1.95M0.0%—Held
Privia Health Group, Inc.PRVA82.2K$1.95M0.0%—Held
Asbury Automotive Group IncABG8.37K$1.95M0.0%—Held
Amerisafe IncAMSF50.7K$1.95M0.0%—Held
Ishares Tr—118.5K$1.95M0.0%—Held
Cullen Frost Bankers Inc—15.4K$1.95M0.0%—Held
Dole PlcDOLE128.8K$1.93M0.0%—Held
Cvb Finl Corp—103.6K$1.93M0.0%—Held
Proshares Tr—18.6K$1.93M0.0%—Held
Archrock, Inc.AROC74K$1.93M0.0%—Held
Clearway Energy, Inc.CWEN57.8K$1.92M0.0%—Held
Goldman Sachs BDC, Inc.GSBD206.1K$1.91M0.0%—Held
Somnigroup International Inc.SGI21.4K$1.91M0.0%—Held
Lemonade, Inc.LMND26.8K$1.91M0.0%—Held
American Healthcare REIT, Inc.AHR40.5K$1.91M0.0%—Held
Amplify Etf Tr—42.8K$1.9M0.0%—Held
Camden Natl Corp—43.9K$1.9M0.0%—Held
Huntsman CorpHUN190.1K$1.9M0.0%—Held
Wisdomtree Tr—27.6K$1.9M0.0%—Held
Lindsay CorpLNN16.1K$1.9M0.0%—Held
Five9, Inc.FIVN94.6K$1.9M0.0%—Held
Flex LNG Ltd.FLNG76K$1.9M0.0%—Held
Jamf Hldg Corp—145K$1.89M0.0%—Held
Tegna Inc—97K$1.88M0.0%—Held
Flexshares Tr—41.1K$1.88M0.0%—Held
Independence Rlty Tr Inc—107.7K$1.88M0.0%—Held
Vaneck Etf Trust—106.6K$1.88M0.0%—Held
Cohen & Steers, Inc.CNS29.9K$1.88M0.0%—Held
Tg Therapeutics, Inc.TGTX62.9K$1.87M0.0%—Held
Vanguard Admiral Fds Inc—9.14K$1.87M0.0%—Held
Amalgamated Financial Corp.AMAL58.2K$1.86M0.0%—Held
Stellar Bancorp Inc—60.2K$1.86M0.0%—Held
Medical Pptys Trust IncMPT372.7K$1.86M0.0%—Held
Gds Hldgs Ltd—53.3K$1.86M0.0%—Held
Cts CorpCTS43.4K$1.86M0.0%—Held
Helios Technologies, Inc.HLIO34.7K$1.86M0.0%—Held
Nuveen Amt Free Mun Cr Inc F—146.7K$1.86M0.0%—Held
Schwab Strategic Tr—80.8K$1.86M0.0%—Held
Dropbox, Inc.DBX66.6K$1.85M0.0%—Held
Capitol Fed Finl Inc—271K$1.85M0.0%—Held
Texas Cap Bancshares Inc—20.4K$1.85M0.0%—Held
Freshworks Inc.FRSH150.3K$1.84M0.0%—Held
Patria Investments Limited—115.9K$1.84M0.0%—Held
Ishares Tr—35.5K$1.84M0.0%—Held
Rbc Bearings IncRBC4.1K$1.84M0.0%—Held
LifeStance Health Group, Inc.LFST260.8K$1.84M0.0%—Held
Revvity, Inc.RVTY19K$1.83M0.0%—Held
Lci Inds—15.1K$1.83M0.0%—Held
Blue Bird CorpBLBD38.9K$1.83M0.0%—Held
Peoples Bancorp IncPEBO60.9K$1.83M0.0%—Held
Great Southn Bancorp Inc—29.7K$1.83M0.0%—Held
Koninklijke Philips N V—67.3K$1.82M0.0%—Held
Cohu IncCOHU78.3K$1.82M0.0%—Held
Madison Square Grdn Sprt Cor—7.04K$1.82M0.0%—Held
New York Life Invts Active E—74.8K$1.82M0.0%—Held
Ambarella IncAMBA25.7K$1.82M0.0%—Held
Ishares Tr—14.3K$1.82M0.0%—Held
Rubrik, Inc.RBRK23.8K$1.82M0.0%—Held
N-able, Inc.NABL242.8K$1.82M0.0%—Held
Tim S.A.TIMB93.3K$1.81M0.0%—Held
Frp Hldgs Inc—79.6K$1.81M0.0%—Held
First Tr Exchange-Traded Alp—15.2K$1.81M0.0%—Held
Oceanfirst Finl Corp—100.7K$1.81M0.0%—Held
Dillards Inc—2.97K$1.8M0.0%—Held
Business First Bancshares In—68.9K$1.8M0.0%—Held
Cnh Indl N V—195.3K$1.8M0.0%—Held
Ishares Tr—48.4K$1.79M0.0%—Held
Dimensional Etf Trust—78.3K$1.79M0.0%—Held
Commscope Hldg Co IncVISN98.8K$1.79M0.0%—Held
Invesco Exch Trd Slf Idx Fd—86.8K$1.79M0.0%—Held
Pilgrims Pride CorpPPC45.8K$1.79M0.0%—Held
Fidelity D & D Bancorp IncFDBC41K$1.79M0.0%—Held
Proshares Tr—25.6K$1.78M0.0%—Held
Cal-Maine Foods IncCALM22.4K$1.78M0.0%—Held
Dynatrace, Inc.DT41.1K$1.78M0.0%—Held
Pegasystems IncPEGA29.8K$1.78M0.0%—Held
Dimensional Etf Trust—67.4K$1.78M0.0%—Held
Zions Bancorporation N A—30.4K$1.78M0.0%—Held
Invesco Exch Traded Fd Tr Ii—15.2K$1.78M0.0%—Held
Capital Group Gbl Growth Eqt—51.2K$1.77M0.0%—Held
Blackrock Etf Trust Ii—33.5K$1.77M0.0%—Held
Penske Automotive Grp Inc—11.2K$1.77M0.0%—Held
Advent Conv & Income Fd—140.7K$1.76M0.0%—Held
Lazard, Inc.LAZ36.2K$1.76M0.0%—Held
Braze, Inc.BRZE51.3K$1.76M0.0%—Held
Itau Unibanco Hldg S A—245.4K$1.76M0.0%—Held
First Tr Enhanced Equity Inc—79.8K$1.76M0.0%—Held
Perimeter Solutions, Inc.PRM63.5K$1.75M0.0%—Held
Nelnet IncNNI13.1K$1.75M0.0%—Held
Ea Series Trust—31.7K$1.75M0.0%—Held
Ball CorpBALL33K$1.75M0.0%—Held
Vaneck Etf Trust—14K$1.74M0.0%—Held
Wpp Plc New—77.4K$1.74M0.0%—Held
Tutor Perini CorpTPC25.8K$1.73M0.0%—Held
Invesco Exchange Traded Fd T—29.2K$1.73M0.0%—Held
Deluxe CorpDLX77.3K$1.73M0.0%—Held
Entegris IncENTG20.5K$1.73M0.0%—Held
Archer Aviation Inc—228.8K$1.72M0.0%—Held
Himalaya Shipping Ltd.HSHP188.9K$1.72M0.0%—Held
Ormat Technologies, Inc.ORA15.5K$1.72M0.0%—Held
Etsy IncETSY31K$1.72M0.0%—Held
WEX Inc.WEX11.5K$1.71M0.0%—Held
Fresenius Medical Care Ag—71.7K$1.71M0.0%—Held
Crocs, Inc.CROX20K$1.71M0.0%—Held
Fidelity Covington Trust—44.6K$1.7M0.0%—Held
Alkermes plc.ALKS60.8K$1.7M0.0%—Held
St Joe CoJOE28.6K$1.7M0.0%—Held
First Cmnty Bankshares Inc V—50.3K$1.7M0.0%—Held
Sun Ctry Airls Hldgs Inc—117.8K$1.7M0.0%—Held
Golden Entmt Inc—62.3K$1.69M0.0%—Held
Ishares Tr—32.1K$1.69M0.0%—Held
Trimas CorpTRS47.7K$1.69M0.0%—Held
Primerica, Inc.PRI6.55K$1.69M0.0%—Held
Patterson Uti Energy IncPTEN276.3K$1.69M0.0%—Held
Federal Agric Mtg Corp—9.61K$1.69M0.0%—Held
Solaris Energy Infras Inc—36.7K$1.69M0.0%—Held
Treehouse Foods Inc—71.5K$1.69M0.0%—Held
Newmarket CorpNEU2.44K$1.68M0.0%—Held
CDW CorpCDW12.3K$1.67M0.0%—Held
Performance Food Group CoPFGC18.6K$1.67M0.0%—Held
Floor & Decor Hldgs Inc—27.5K$1.67M0.0%—Held
Azz IncAZZ15.6K$1.67M0.0%—Held
Zillow Group Inc—24.4K$1.67M0.0%—Held
Spdr Series Trust—25.2K$1.67M0.0%—Held
J P Morgan Exchange Traded F—32.7K$1.67M0.0%—Held
Roivant Sciences Ltd.ROIV76.6K$1.66M0.0%—Held
Firstservice Corp New—10.7K$1.66M0.0%—Held
Txnm Energy IncTXNM28.2K$1.66M0.0%—Held
Lendingclub CorpHAPN87.7K$1.66M0.0%—Held
Dutch Bros Inc.BROS27.1K$1.66M0.0%—Held
Corvel CorpCRVL24.5K$1.66M0.0%—Held
Mercantile Bk Corp—34.4K$1.66M0.0%—Held
Itron, Inc.ITRI17.8K$1.65M0.0%—Held
Tidal Trust I—81.5K$1.65M0.0%—Held
Bellring Brands, Inc.BRBR61.6K$1.65M0.0%—Held
Kirby CorpKEX14.9K$1.65M0.0%—Held
Perrigo Co PlcPRGO118.2K$1.64M0.0%—Held
Dbx Etf Tr—53.1K$1.64M0.0%—Held
Artisan Partners Asset Mgmt—40.3K$1.64M0.0%—Held
Wsfs Finl Corp—29.7K$1.64M0.0%—Held
First Tr Exchange Traded Fd—12.6K$1.64M0.0%—Held
Tidewater Inc New—32.4K$1.63M0.0%—Held
Catalyst Pharmaceuticals Inc—69.9K$1.63M0.0%—Held
Super Group Sghc Limited—136.6K$1.63M0.0%—Held
Ishares Tr—21.8K$1.62M0.0%—Held
Newmark Group, Inc.NMRK93.5K$1.62M0.0%—Held
Calix, IncCALX30.6K$1.62M0.0%—Held
Fs Kkr Cap Corp—109.3K$1.62M0.0%—Held
Ishares Tr—38.6K$1.62M0.0%—Held
Olema Pharmaceuticals, Inc.OLMA64.7K$1.62M0.0%—Held
Bank Marin BancorpBMRC62K$1.61M0.0%—Held
XPO, Inc.XPO11.9K$1.61M0.0%—Held
Remitly Global, Inc.RELY116.8K$1.61M0.0%—Held
Soundhound Ai Inc—161.5K$1.61M0.0%—Held
German Amern Bancorp Inc—41.1K$1.61M0.0%—Held
Tfi Intl IncTFII15.6K$1.61M0.0%—Held
Ishares Tr—19.4K$1.61M0.0%—Held
Ishares Tr—68.7K$1.61M0.0%—Held
Spdr Index Shs Fds—44.7K$1.61M0.0%—Held
Heritage Insurance Hldgs Inc—54.8K$1.6M0.0%—Held
Sonos IncSONO91.2K$1.6M0.0%—Held
Intapp, Inc.INTA34.9K$1.6M0.0%—Held
Anglogold Ashanti PlcAU18.7K$1.6M0.0%—Held
Open Text CorpOTEX48.9K$1.59M0.0%—Held
Regal Rexnord CorpRRX11.3K$1.59M0.0%—Held
Cleveland-Cliffs Inc New—119.3K$1.58M0.0%—Held
Virtus Invt Partners Inc—9.7K$1.58M0.0%—Held
Wisdomtree Tr—34.2K$1.58M0.0%—Held
M/I Homes, Inc.MHO12.4K$1.58M0.0%—Held
Western Alliance Bancorp—18.8K$1.58M0.0%—Held
Grayscale Bitcoin Mini Tr Et—40.8K$1.58M0.0%—Held
Ishares Tr—32.8K$1.57M0.0%—Held
Abm Inds Inc—37.2K$1.57M0.0%—Held
Icu Med Inc—11K$1.57M0.0%—Held
Procore Technologies, Inc.PCOR21.6K$1.57M0.0%—Held
Ark 21shares Bitcoin EtfARKB54K$1.57M0.0%—Held
Kennedy-Wilson Holdings Inc—161.9K$1.57M0.0%—Held
Ishares Tr—76.2K$1.56M0.0%—Held
First Tr Exchange-Traded Alp—12.4K$1.56M0.0%—Held
Washington Tr Bancorp Inc—52.8K$1.56M0.0%—Held
National Storage Affiliates—55.3K$1.56M0.0%—Held
Eaton Vance Risk-Managed Div—176.4K$1.56M0.0%—Held
Viasat IncVSAT45.2K$1.56M0.0%—Held
Skyward Specialty Ins Group—30.4K$1.55M0.0%—Held
Rbb Fd Inc—21.6K$1.55M0.0%—Held
Central Garden & Pet Co—48.2K$1.55M0.0%—Held
Park Natl Corp—10.1K$1.54M0.0%—Held
Edgewell Pers Care CoEPC90.5K$1.54M0.0%—Held
Rentokil Initial Plc—52.2K$1.54M0.0%—Held
Proshares Tr—33.6K$1.54M0.0%—Held
J P Morgan Exchange Traded F—16.5K$1.53M0.0%—Held
Winnebago Inds Inc—37.8K$1.53M0.0%—Held
Ishares Tr—22.1K$1.53M0.0%—Held
Invesco Exchange Traded Fd T—9.78K$1.53M0.0%—Held
Qxo Inc—79.4K$1.53M0.0%—Held
Ies Hldgs IncIESC3.93K$1.53M0.0%—Held
Mgp Ingredients Inc New—62.9K$1.53M0.0%—Held
Strategy Shs—69.4K$1.53M0.0%—Held
EVERTEC, Inc.EVTC52.5K$1.53M0.0%—Held
Greenbrier Cos Inc—32.7K$1.53M0.0%—Held
Travere Therapeutics, Inc.TVTX39.9K$1.53M0.0%—Held
Vishay Intertechnology IncVSH104.7K$1.52M0.0%—Held
Fortrea Hldgs Inc—87.9K$1.52M0.0%—Held
Riot Platforms, Inc.RIOT119.6K$1.52M0.0%—Held
Western Midstream Partners L—38.3K$1.51M0.0%—Held
Tennant CoTNC20.5K$1.51M0.0%—Held
Photronics IncPLAB47.2K$1.51M0.0%—Held
Paramount Skydance CorpPSKY112.6K$1.51M0.0%—Held
Hilltop Holdings Inc.HTH44.4K$1.51M0.0%—Held
B & G Foods Inc NewBGS349.8K$1.5M0.0%—Held
Marqeta, Inc.MQ316.3K$1.5M0.0%—Held
Telus CorpTU114K$1.5M0.0%—Held
Ssr Mining In—68.5K$1.5M0.0%—Held
Kadant IncKAI5.26K$1.5M0.0%—Held
Goldman Sachs Etf Tr—34.9K$1.5M0.0%—Held
Brady CorpBRC19.1K$1.5M0.0%—Held
Nexstar Media Group, Inc.NXST7.36K$1.49M0.0%—Held
First Tr Exchange-Traded Fd—56.8K$1.49M0.0%—Held
Cornerstone Strategic Invest—178.1K$1.49M0.0%—Held
Doximity, Inc.DOCS33.5K$1.48M0.0%—Held
Webtoon Entmt Inc—113.8K$1.48M0.0%—Held
GFL Environmental Inc.GFL34.5K$1.48M0.0%—Held
SiteOne Landscape Supply, Inc.SITE11.9K$1.48M0.0%—Held
Patrick Inds Inc—13.6K$1.48M0.0%—Held
Nerdwallet, Inc.NRDS109K$1.48M0.0%—Held
Insight Enterprises IncNSIT18.1K$1.48M0.0%—Held
Bjs Restaurants IncBJRI37.4K$1.47M0.0%—Held
Mueller Wtr Prods Inc—61.8K$1.47M0.0%—Held
Wisdomtree Tr—25.9K$1.47M0.0%—Held
Procept Biorobotics CorpPRCT46.8K$1.47M0.0%—Held
Highwoods Pptys Inc—56.8K$1.47M0.0%—Held
Digi Intl Inc—33.8K$1.46M0.0%—Held
Assured Guaranty LtdAGO16.2K$1.46M0.0%—Held
BGC Group, Inc.BGC163.2K$1.46M0.0%—Held
Timberland Bancorp IncTSBK40.6K$1.45M0.0%—Held
Invesco Exch Traded Fd Tr Ii—29.8K$1.45M0.0%—Held
Southwest Gas Hldgs Inc—18.1K$1.45M0.0%—Held
Cleanspark Inc—143.4K$1.45M0.0%—Held
Icf Intl Inc—17K$1.45M0.0%—Held
Stride, Inc.LRN22.3K$1.45M0.0%—Held
Bunge Global SaBG16.3K$1.45M0.0%—Held
Ascendis Pharma A/SASND6.79K$1.45M0.0%—Held
Allient IncALNT26.9K$1.45M0.0%—Held
Sprout Social, Inc.SPT128.2K$1.44M0.0%—Held
Travel Plus Leisure Co—20.5K$1.44M0.0%—Held
Astronics Corp—26.6K$1.44M0.0%—Held
WisdomTree, Inc.WT117.7K$1.43M0.0%—Held
Weatherford Intl Plc—18.2K$1.43M0.0%—Held
Kinsale Cap Group Inc—3.65K$1.43M0.0%—Held
John Hancock Exchange Traded—33.9K$1.42M0.0%—Held
Middleby CorpMIDD9.56K$1.42M0.0%—Held
Erasca, Inc.ERAS381.7K$1.42M0.0%—Held
Northfield Bancorp Inc Del—124.1K$1.42M0.0%—Held
Magnum Ice Cream Co Nv—89.5K$1.42M0.0%—Held
Vaneck Etf Trust—5.68K$1.42M0.0%—Held
Jakks Pac Inc—83.8K$1.42M0.0%—Held
City Hldg Co—11.9K$1.42M0.0%—Held
Village Super Mkt Inc—40K$1.41M0.0%—Held
Red River Bancshares IncRRBI19.8K$1.41M0.0%—Held
Wix.com Ltd.WIX13.6K$1.41M0.0%—Held
UWM Holdings CorpUWMC322.3K$1.41M0.0%—Held
Fulgent Genetics, Inc.FLGT53.7K$1.41M0.0%—Held
Ishares Gold TrIAUM32.8K$1.41M0.0%—Held
Crispr Therapeutics AgCRSP26.9K$1.41M0.0%—Held
Spdr Series Trust—29.3K$1.41M0.0%—Held
Leonardo DRS, Inc.DRS41.2K$1.4M0.0%—Held
Zeta Global Holdings Corp.ZETA68.9K$1.4M0.0%—Held
Innoviva, Inc.INVA70.1K$1.4M0.0%—Held
Five Star BancorpFSBC39.2K$1.4M0.0%—Held
Community Tr Bancorp Inc—24.8K$1.4M0.0%—Held
Sally Beauty Hldgs Inc—98.1K$1.4M0.0%—Held
Ishares Tr—14.5K$1.4M0.0%—Held
CBIZ, Inc.CBZ27.7K$1.4M0.0%—Held
Ha Sustainable Infra Cap Inc—44.3K$1.39M0.0%—Held
Clean Harbors IncCLH5.93K$1.39M0.0%—Held
Box Inc—46.5K$1.39M0.0%—Held
New Jersey Res Corp—30.1K$1.39M0.0%—Held
Coastal Finl Corp Wa—12.1K$1.39M0.0%—Held
Amphastar Pharmaceuticals In—51.7K$1.38M0.0%—Held
Planet Labs PbcPL70.1K$1.38M0.0%—Held
Post Hldgs Inc—13.9K$1.38M0.0%—Held
Adaptive Biotechnologies Cor—84.9K$1.38M0.0%—Held
Tpg Inc—21.6K$1.38M0.0%—Held
Gulfport Energy CorpGPOR6.62K$1.38M0.0%—Held
Fortune Brands Innovations I—27.5K$1.38M0.0%—Held
Blackrock Res & Commodities—125.3K$1.38M0.0%—Held
Montrose Environmental GroupONT55.3K$1.37M0.0%—Held
Vaalco Energy Inc—376.2K$1.37M0.0%—Held
Healthstream IncHSTM59.3K$1.37M0.0%—Held
Enviri CorpNVRI76.2K$1.37M0.0%—Held
Autohome Inc.ATHM61.3K$1.36M0.0%—Held
NCR Atleos CorpNATL35.8K$1.36M0.0%—Held
Connectone Bancorp Inc—52K$1.36M0.0%—Held
Energizer Hldgs Inc New—68.5K$1.36M0.0%—Held
Virtus Etf Tr Ii—58.3K$1.36M0.0%—Held
Sun Cmntys Inc—11K$1.36M0.0%—Held
Brookfield Renewable CorpBEPC35.5K$1.36M0.0%—Held
Global X Fds—16.3K$1.36M0.0%—Held
Ashland Inc.ASH23.2K$1.36M0.0%—Held
Tower Semiconductor LtdTSEM11.6K$1.36M0.0%—Held
Bancfirst Corp—12.8K$1.35M0.0%—Held
Schwab Strategic Tr—45.3K$1.35M0.0%—Held
Tfs Finl Corp—101K$1.35M0.0%—Held
Ligand Pharmaceuticals Inc—7.14K$1.35M0.0%—Held
Tcw Etf Trust—16.8K$1.35M0.0%—Held
Lithia Mtrs Inc—4.05K$1.35M0.0%—Held
Worthington Enterprises, Inc.WOR26.1K$1.35M0.0%—Held
Ishares Tr—13K$1.34M0.0%—Held
Range Res Corp—38K$1.34M0.0%—Held
Sabra Health Care REIT, Inc.SBRA70.8K$1.34M0.0%—Held
Phathom Pharmaceuticals, Inc.PHAT80.8K$1.34M0.0%—Held
Ambev Sa—540.5K$1.34M0.0%—Held
SentinelOne, Inc.S88.9K$1.33M0.0%—Held
Element Solutions IncESI53.3K$1.33M0.0%—Held
Ishares Tr—28K$1.33M0.0%—Held
Napco Sec Technologies Inc—31.8K$1.33M0.0%—Held
Ultrapar Participacoes Sa—351.4K$1.32M0.0%—Held
Millrose Pptys Inc—44.3K$1.32M0.0%—Held
Stoke Therapeutics, Inc.STOK41.7K$1.32M0.0%—Held
Rbb Fd Inc—43.8K$1.32M0.0%—Held
Envista Holdings CorpNVST60.8K$1.32M0.0%—Held
C3.ai, Inc.AI97.5K$1.31M0.0%—Held
Dbx Etf Tr—22.2K$1.31M0.0%—Held
First Amern Finl Corp—21.3K$1.31M0.0%—Held
Saia IncSAIA4.01K$1.31M0.0%—Held
Ryanair Holdings Plc—18.1K$1.31M0.0%—Held
Stock Yds Bancorp Inc—20.1K$1.31M0.0%—Held
J P Morgan Exchange Traded F—19.8K$1.31M0.0%—Held
Minerals Technologies IncMTX21.4K$1.3M0.0%—Held
Wisdomtree Tr—25.9K$1.3M0.0%—Held
Schwab Strategic Tr—52.3K$1.3M0.0%—Held
Hilton Grand Vacations Inc.HGV29.1K$1.3M0.0%—Held
Kinetik Holdings Inc.KNTK36.1K$1.3M0.0%—Held
Amentum Holdings, Inc.AMTM44.8K$1.3M0.0%—Held
Csg Sys Intl Inc—16.9K$1.3M0.0%—Held
Shoe Carnival Inc—76.9K$1.3M0.0%—Held
Bath & Body Works, Inc.BBWI64.5K$1.29M0.0%—Held
Spdr Index Shs Fds—20.8K$1.29M0.0%—Held
Ralliant CorpRAL25.4K$1.29M0.0%—Held
Wynn Resorts LtdWYNN10.7K$1.29M0.0%—Held
Tompkins Finl Corp—17.8K$1.29M0.0%—Held
Listed Fds Tr—19.5K$1.29M0.0%—Held
Cohen & Steers Infrastructur—53.3K$1.29M0.0%—Held
Geo Group Inc NewGEO79.5K$1.28M0.0%—Held
MasterBrand, Inc.MBC115.8K$1.28M0.0%—Held
Ishares Tr—17K$1.28M0.0%—Held
Vanguard Admiral Fds Inc—10.6K$1.28M0.0%—Held
Enel Chile S.A.ENIC316.7K$1.27M0.0%—Held
Duolingo, Inc.DUOL7.24K$1.27M0.0%—Held
Allegiant Travel CoALGT14.9K$1.27M0.0%—Held
Progress Software Corp—29.5K$1.27M0.0%—Held
Caleres IncCAL104.2K$1.27M0.0%—Held
Embraer S.A.EMBJ19.7K$1.27M0.0%—Held
Companhia Paranaense De Ener—133K$1.26M0.0%—Held
Zillow Group Inc—18.5K$1.26M0.0%—Held
Icici Bank Limited—42.4K$1.26M0.0%—Held
Trinet Group, Inc.TNET21.3K$1.26M0.0%—Held
Sociedad Quimica Y Minera De—18.3K$1.26M0.0%—Held
Vanguard Admiral Fds Inc—12.5K$1.26M0.0%—Held
Lattice Semiconductor CorpLSCC17.1K$1.26M0.0%—Held
Direxion Shs Etf Tr—29.9K$1.26M0.0%—Held
Live Oak Bancshares Inc—36.6K$1.26M0.0%—Held
Grab Holdings Limited—251.1K$1.25M0.0%—Held
Fidelity Covington Trust—16.1K$1.25M0.0%—Held
Newell Brands Inc.NWL335.4K$1.25M0.0%—Held
Varonis Sys Inc—38K$1.25M0.0%—Held
Rayonier IncRYN57.5K$1.25M0.0%—Held
Chipmos Technologies IncIMOS41.9K$1.24M0.0%—Held
Penumbra IncPEN3.98K$1.24M0.0%—Held
Schwab Strategic Tr—46.5K$1.24M0.0%—Held
Liquidia CorpLQDA35.8K$1.24M0.0%—Held
Howard Hughes Holdings Inc.HHH15.5K$1.23M0.0%—Held
Donnelley Finl Solutions Inc—26.4K$1.23M0.0%—Held
Ishares Tr—25K$1.23M0.0%—Held
Sprott Asset Management Lp—52.1K$1.23M0.0%—Held
Dynavax Technologies Corp—80K$1.23M0.0%—Held
Bitmine Immersion Tecnologie—45.2K$1.23M0.0%—Held
Collegium Pharmaceutical, IncCOLL26.5K$1.23M0.0%—Held
Jackson Financial Inc—11.5K$1.22M0.0%—Held
A10 Networks, Inc.ATEN68.9K$1.22M0.0%—Held
Jack In The Box IncJACK64.3K$1.22M0.0%—Held
Interparfums IncIPAR14.4K$1.22M0.0%—Held
Vornado Rlty Tr—36.5K$1.22M0.0%—Held
Madison Square Garden Entmt—22.6K$1.22M0.0%—Held
Harrow, Inc.HROW24.8K$1.22M0.0%—Held
Sabine Rty Tr—17.7K$1.21M0.0%—Held
Allison Transmission Hldgs I—12.4K$1.21M0.0%—Held
AvePoint, Inc.AVPT87.4K$1.21M0.0%—Held
Borr Drilling LtdBORR301K$1.21M0.0%—Held
Thor Inds Inc—11.8K$1.21M0.0%—Held
Brookfield Infrastructure CorpBIPC26.7K$1.21M0.0%—Held
Terns Pharmaceuticals Inc—29.9K$1.21M0.0%—Held
Shutterstock, Inc.SSTK63.3K$1.21M0.0%—Held
First Tr Exchange Traded Fd—39.9K$1.21M0.0%—Held
Pc Connection IncCNXN20.9K$1.21M0.0%—Held
AecomACM12.7K$1.21M0.0%—Held
Rev Group Inc—19.8K$1.21M0.0%—Held
Delek Us Hldgs Inc New—40.7K$1.21M0.0%—Held
Beazer Homes Usa IncBZH59.4K$1.2M0.0%—Held
Cnb Finl Corp Pa—46K$1.2M0.0%—Held
Imax CorpIMAX32.5K$1.2M0.0%—Held
Ishares Tr—12.8K$1.2M0.0%—Held
Aaon, Inc.AAON15.7K$1.2M0.0%—Held
Scholar Rock Hldg Corp—27.1K$1.2M0.0%—Held
Spdr Series Trust—18.4K$1.19M0.0%—Held
Alpha Metallurgical Resour I—5.97K$1.19M0.0%—Held
Planet Fitness, Inc.PLNT11K$1.19M0.0%—Held
American Centy Etf Tr—27.4K$1.19M0.0%—Held
Carters IncCRI36.7K$1.19M0.0%—Held
Wisdomtree Tr—8.25K$1.19M0.0%—Held
James Hardie Inds Plc—57.3K$1.19M0.0%—Held
Hercules Capital Inc—63K$1.19M0.0%—Held
Credicorp LtdBAP4.13K$1.19M0.0%—Held
Flexshares Tr—14.6K$1.18M0.0%—Held
Vanguard Scottsdale Fds—3.94K$1.18M0.0%—Held
Invesco Exchange Traded Fd T—11.4K$1.18M0.0%—Held
Alamo Group IncALG7.05K$1.18M0.0%—Held
Velocity Finl Inc—57K$1.18M0.0%—Held
Arcbest Corp—15.9K$1.18M0.0%—Held
Worthington Stl Inc—34.1K$1.18M0.0%—Held
AdvanSix Inc.ASIX68.2K$1.18M0.0%—Held
Ishares Tr—21.3K$1.18M0.0%—Held
Victorias Secret And Co—21.8K$1.18M0.0%—Held
Acadia Pharmaceuticals IncACAD44K$1.18M0.0%—Held
Bok Finl Corp—9.9K$1.17M0.0%—Held
Nbt Bancorp IncNBTB28.2K$1.17M0.0%—Held
Acadian Asset Management Inc.AAMI24.8K$1.17M0.0%—Held
Dorman Prods Inc—9.42K$1.16M0.0%—Held
Hope Bancorp IncHOPE105.7K$1.16M0.0%—Held
Ishares Tr—51.4K$1.16M0.0%—Held
Tenable Hldgs Inc—48.8K$1.15M0.0%—Held
Tarsus Pharmaceuticals, Inc.TARS14K$1.15M0.0%—Held
Capital Group Core Equity Et—28.5K$1.15M0.0%—Held
Invesco Exch Traded Fd Tr Ii—27.1K$1.14M0.0%—Held
Ipg Photonics CorpIPGP15.9K$1.14M0.0%—Held
Adma Biologics, Inc.ADMA62.5K$1.14M0.0%—Held
XP Inc.XP69.7K$1.14M0.0%—Held
Viper Energy, Inc.VNOM29.4K$1.14M0.0%—Held
Ishares U S Etf Tr—22.6K$1.14M0.0%—Held
Diversified Healthcare Tr—234K$1.13M0.0%—Held
Cass Information Sys Inc—27.3K$1.13M0.0%—Held
Whirlpool Corp—15.7K$1.13M0.0%—Held
Corcept Therapeutics IncCORT32.5K$1.13M0.0%—Held
Louisiana Pac Corp—14K$1.13M0.0%—Held
RHRH6.28K$1.12M0.0%—Held
Plains All Amern Pipeline L—62.6K$1.12M0.0%—Held
Seneca Foods Corp New—10.2K$1.12M0.0%—Held
RxSight, Inc.RXST107.8K$1.12M0.0%—Held
Zacks Trust—30.2K$1.12M0.0%—Held
Shake Shack Inc.SHAK13.7K$1.12M0.0%—Held
GLOBALFOUNDRIES Inc.GFS31.9K$1.11M0.0%—Held
Carlyle Group Inc—18.8K$1.11M0.0%—Held
Cadence Bank—26K$1.11M0.0%—Held
Alamos Gold Inc NewAGI28.8K$1.11M0.0%—Held
Green Dot CorpGDOT86.6K$1.11M0.0%—Held
First Tr Exchange-Traded Fd—6.78K$1.11M0.0%—Held
Nuveen Amt Free Qlty Mun Inc—95K$1.1M0.0%—Held
Dave Inc—4.97K$1.1M0.0%—Held
Capital City Bk Group Inc—25.9K$1.1M0.0%—Held
Fidelity Covington Trust—19.4K$1.1M0.0%—Held
e.l.f. Beauty, Inc.ELF14.5K$1.1M0.0%—Held
Revolve Group, Inc.RVLV36.4K$1.1M0.0%—Held
Schwab Strategic Tr—42.6K$1.1M0.0%—Held
Graham CorpGHM17.1K$1.1M0.0%—Held
monday.com Ltd.MNDY7.42K$1.09M0.0%—Held
Daily Journal CorpDJCO2.24K$1.09M0.0%—Held
Metropolitan Bk Hldg Corp—14.3K$1.09M0.0%—Held
Sotera Health CoSHC61.9K$1.09M0.0%—Held
Cheesecake Factory IncCAKE21.6K$1.09M0.0%—Held
Spdr Series Trust—3.37K$1.09M0.0%—Held
Fundx Invt Tr—13.5K$1.08M0.0%—Held
Viking Therapeutics, Inc.VKTX30.7K$1.08M0.0%—Held
Sensata Technologies Hldg Pl—32.5K$1.08M0.0%—Held
First Fndtn Inc—175.4K$1.08M0.0%—Held
Voya Financial Inc—14.5K$1.08M0.0%—Held
Fulton Finl Corp Pa—55.7K$1.08M0.0%—Held
Pdf Solutions IncPDFS37.6K$1.07M0.0%—Held
Mercury Genl Corp New—11.4K$1.07M0.0%—Held
Kymera Therapeutics, Inc.KYMR13.8K$1.07M0.0%—Held
U Haul Holding Company—21.2K$1.07M0.0%—Held
Forestar Group Inc.FOR43.4K$1.07M0.0%—Held
Addus Homecare CorpADUS9.93K$1.07M0.0%—Held
Ark Etf Tr—9.3K$1.07M0.0%—Held
Acushnet Hldgs Corp—13.3K$1.06M0.0%—Held
Celanese Corp Del—25.1K$1.06M0.0%—Held
Darling Ingredients Inc.DAR29.5K$1.06M0.0%—Held
MBX Biosciences, Inc.MBX33.7K$1.06M0.0%—Held
Cava Group, Inc.CAVA18.1K$1.06M0.0%—Held
Genco Shipping & Trading LtdGNK57.5K$1.06M0.0%—Held
Morgan Stanley Etf Trust—14.8K$1.06M0.0%—Held
Centrus Energy CorpLEU4.36K$1.06M0.0%—Held
Abrdn Etfs—54.1K$1.06M0.0%—Held
Fidelity Covington Trust—14.4K$1.06M0.0%—Held
Ishares Inc—11.2K$1.06M0.0%—Held
Liberty Live Holdings Inc—12.9K$1.06M0.0%—Held
Immunovant, Inc.IMVT41.5K$1.05M0.0%—Held
Wyndham Hotels & Resorts, Inc.WH14K$1.05M0.0%—Held
Inventrust Pptys Corp—37.2K$1.05M0.0%—Held
Ea Series Trust—20.4K$1.05M0.0%—Held
Invesco Exch Trd Slf Idx Fd—55.5K$1.05M0.0%—Held
Invesco Exch Traded Fd Tr Ii—45.1K$1.05M0.0%—Held
Bio Rad Labs Inc—3.45K$1.05M0.0%—Held
Verra Mobility CorpVRRM46.6K$1.04M0.0%—Held
Ishares Inc—8.79K$1.04M0.0%—Held
NB Bancorp, Inc.NBBK52.5K$1.04M0.0%—Held
Spdr Series Trust—10.1K$1.04M0.0%—Held
Ethan Allen Interiors IncETD45.4K$1.04M0.0%—Held
Talos Energy Inc.TALO94K$1.04M0.0%—Held
Granite Ridge Resources, Inc.GRNT220.2K$1.03M0.0%—Held
Fidelity Covington Trust—29.8K$1.03M0.0%—Held
First Indl Rlty Tr Inc—18K$1.03M0.0%—Held
Hayward Hldgs Inc—66.8K$1.03M0.0%—Held
Albany Intl Corp—20.4K$1.03M0.0%—Held
American Axle & Mfg Hldgs InDCH160.8K$1.03M0.0%—Held
Goldman Sachs Etf Tr—19.4K$1.03M0.0%—Held
Scholastic CorpSCHL34.7K$1.03M0.0%—Held
Davita Inc.DVA9.02K$1.02M0.0%—Held
Upwork, IncUPWK51.7K$1.02M0.0%—Held
Cable One, Inc.CABO9.07K$1.02M0.0%—Held
Global X Fds—48.5K$1.02M0.0%—Held
Doubleverify Hldgs Inc—89.4K$1.02M0.0%—Held
Liveramp Hldgs Inc—34.8K$1.02M0.0%—Held
Core Scientific Inc New—70K$1.02M0.0%—Held
Ishares Tr—17.6K$1.02M0.0%—Held
Ouster, Inc.OUST46.9K$1.01M0.0%—Held
Banco De Chile—26.7K$1.01M0.0%—Held
Idt CorpIDT19.8K$1.01M0.0%—Held
Gabelli Divid & Income Tr—36.4K$1.01M0.0%—Held
Fmc CorpFMC72.8K$1.01M0.0%—Held
Abrdn Silver Etf TrustSIVR14.9K$1.01M0.0%—Held
Etf Ser Solutions—15.8K$1.01M0.0%—Held
Supernus Pharmaceuticals, Inc.SUPN20.3K$1.01M0.0%—Held
CIMPRESS plcCMPR15.1K$1.01M0.0%—Held
Mattel Inc—50.6K$1M0.0%—Held
Liberty Broadband Corp—20.8K$1M0.0%—Held
Denali Therapeutics Inc.DNLI60.8K$1M0.0%—Held
Organon & Co.OGN139.8K$1M0.0%—Held
Energy Fuels IncUUUU68.9K$1M0.0%—Held
Core Laboratories Inc—62.4K$1M0.0%—Held
Spdr Index Shs Fds—7.21K$1M0.0%—Held
Wisdomtree Tr—24.1K$1M0.0%—Held
OPENLANE, Inc.OPLN33.5K$998.7K0.0%—Held
Atkore Inc.ATKR15.8K$998.2K0.0%—Held
Terawulf Inc.WULF86.7K$996.3K0.0%—Held
Oscar Health, Inc.OSCR69.3K$995.8K0.0%—Held
Power Integrations IncPOWI28K$995.2K0.0%—Held
Midland States Bancorp Inc—47K$994.8K0.0%—Held
Chesapeake Utils Corp—7.96K$993.5K0.0%—Held
Dana IncDAN41.8K$992.9K0.0%—Held
Companhia De Saneamento Basi—41.5K$989.4K0.0%—Held
Nuveen Ca Qualty Mun Income—83.7K$988.4K0.0%—Held
Interface IncTILE35.4K$987.5K0.0%—Held
Ishares Tr—46.6K$986.5K0.0%—Held
Vicor CorpVICR8.97K$983.4K0.0%—Held
Nu Skin Enterprises, Inc.NUS102.1K$982.5K0.0%—Held
Invesco Exch Traded Fd Tr Ii—8.58K$982.4K0.0%—Held
Autoliv IncALV8.27K$981.7K0.0%—Held
Direxion Shs Etf Tr—4.44K$979.6K0.0%—Held
Upbound Group, Inc.UPBD55.6K$977.2K0.0%—Held
Global Industrial Company—33.4K$976.9K0.0%—Held
Mesa Labs Inc—12.4K$976.3K0.0%—Held
Banco Santander Chile New—31.4K$975.4K0.0%—Held
Talen Energy CorpTLN2.6K$974.6K0.0%—Held
Vse Corp—5.64K$974.4K0.0%—Held
Mannkind CorpMNKD171.8K$973.9K0.0%—Held
Avista CorpAVA25.2K$972.4K0.0%—Held
Pacific Biosciences Calif In—519.7K$971.9K0.0%—Held
Townebank Portsmouth Va—29.1K$971.5K0.0%—Held
Gerdau Sa—263.1K$970.9K0.0%—Held
Park Hotels & Resorts Inc.PK92.6K$968.3K0.0%—Held
Ishares Tr—20.3K$965.5K0.0%—Held
Nuvation Bio Inc.NUVB107.7K$965.1K0.0%—Held
Ncr Voyix Corporation—94.4K$962.8K0.0%—Held
Vaneck Etf Trust—67.6K$958.6K0.0%—Held
PACS Group, Inc.PACS25K$958.3K0.0%—Held
Mister Car Wash Inc—172.3K$958.1K0.0%—Held
10x Genomics, Inc.TXG58.7K$957.7K0.0%—Held
Flagstar Bank National Assoc—75.7K$953.3K0.0%—Held
Wingstop Inc.WING3.98K$950.2K0.0%—Held
Aquestive Therapeutics, Inc.AQST147K$949.4K0.0%—Held
GRAIL, Inc.GRAL11.1K$948.3K0.0%—Held
Navitas Semiconductor CorpNVTS132.4K$945.4K0.0%—Held
Pennant Group, Inc.PNTG33.5K$942.5K0.0%—Held
Sphere Entertainment Co.SPHR9.91K$942.2K0.0%—Held
Invesco Exch Traded Fd Tr Ii—17.9K$940.1K0.0%—Held
Flywire CorpFLYW66.4K$939.8K0.0%—Held
Msa Safety Inc—5.85K$937.3K0.0%—Held
T Rowe Price Etf Inc—24.4K$933.9K0.0%—Held
Repligen CorpRGEN5.68K$931.4K0.0%—Held
Kodiak Gas Svcs Inc—24.9K$931.1K0.0%—Held
Sezzle Inc.SEZL14.7K$930.6K0.0%—Held
Ishares Inc—14.5K$930.2K0.0%—Held
Ivanhoe Electric Inc.IE58.2K$929.7K0.0%—Held
Customers Bancorp Inc—12.7K$928.6K0.0%—Held
Invesco Exchange Traded Fd T—7.97K$928.1K0.0%—Held
American Woodmark Corporatio—17.2K$928K0.0%—Held
Ishares Inc—17.2K$926.4K0.0%—Held
Ark Etf Tr—19.4K$925.7K0.0%—Held
Ishares Inc—18.3K$925.6K0.0%—Held
FIGS, Inc.FIGS81.4K$924.8K0.0%—Held
Orix Corp—31.5K$920.8K0.0%—Held
Old Second Bancorp Inc Ill—47.2K$920.6K0.0%—Held
Goosehead Ins Inc—12.5K$920.4K0.0%—Held
Parsons Corp Del—14.9K$917.9K0.0%—Held
National Health Invs Inc—12K$916.5K0.0%—Held
Ishares Tr—23.9K$915.6K0.0%—Held
Powell Inds Inc—2.87K$914.9K0.0%—Held
Xeris Biopharma Holdings, Inc.XERS116.5K$914.8K0.0%—Held
Vail Resorts IncMTN6.89K$914.7K0.0%—Held
Spire Inc—11.1K$914.1K0.0%—Held
Blackbaud IncBLKB14.4K$914K0.0%—Held
Spdr Index Shs Fds—20.3K$913.9K0.0%—Held
MetroCity Bankshares, Inc.MCBS34.4K$912.6K0.0%—Held
Pimco Etf Tr—17K$911.5K0.0%—Held
Tejon Ranch CoTRC57.7K$909.4K0.0%—Held
Olin CorpOLN43.6K$908.8K0.0%—Held
Dimensional Etf Trust—28.6K$906.8K0.0%—Held
York Wtr Co—28.4K$905.5K0.0%—Held
Reaves Util Income Fd—24.7K$904.6K0.0%—Held
Lifezone Metals Limited—211.6K$903.3K0.0%—Held
Liberty Global Ltd—81.7K$901.7K0.0%—Held
Hawkins IncHWKN6.34K$900.2K0.0%—Held
Apogee Enterprises, Inc.APOG24.7K$898.9K0.0%—Held
Alphatec Hldgs Inc—42.7K$898.8K0.0%—Held
Grid Dynamics Hldgs Inc—99.5K$898.5K0.0%—Held
Aim Etf Products Trust—32.4K$898.2K0.0%—Held
Seabridge Gold IncSA30.3K$896K0.0%—Held
Grayscale Ethereum Trust Etf—36.7K$895.3K0.0%—Held
Ishares Tr—21.6K$894.5K0.0%—Held
Loar Holdings Inc.LOAR13.1K$893.8K0.0%—Held
Enphase Energy, Inc.ENPH27.9K$893.5K0.0%—Held
Provident Finl Svcs Inc—45.2K$892.9K0.0%—Held
Postal Realty Trust, Inc.PSTL55.3K$892K0.0%—Held
Pacira BioSciences, Inc.PCRX34.5K$891.9K0.0%—Held
Jpmorgan Chase Finl Co Llc—29.8K$891.8K0.0%—Held
Lincoln Natl Corp Ind—20K$891.2K0.0%—Held
On Hldg Ag—19.2K$891.2K0.0%—Held
John Hancock Exchange Traded—13.6K$890.9K0.0%—Held
Progyny, Inc.PGNY34.6K$887.5K0.0%—Held
Invesco Sr Income Tr—270.9K$885.9K0.0%—Held
Spdr Series Trust—8.54K$885.3K0.0%—Held
Fidelity Covington Trust—24.2K$884.3K0.0%—Held
Global X Fds—20.7K$882.6K0.0%—Held
FS Credit Opportunities Corp.FSCO139.5K$879K0.0%—Held
Independent Bk Corp Mich—27K$878.1K0.0%—Held
Smartfinancial Inc.SMBK23.7K$877.4K0.0%—Held
Wisdomtree Tr—26.9K$872.7K0.0%—Held
Invesco Exchange Traded Fd T—6.86K$871.6K0.0%—Held
Rush Street Interactive, Inc.RSI44.8K$871K0.0%—Held
South Plains Financial, Inc.SPFI22.4K$870.4K0.0%—Held
Hut 8 Corp.HUT18.9K$869.8K0.0%—Held
Calumet Inc—43.7K$869.1K0.0%—Held
Grupo Aeroportuario Del Sure—2.68K$866.7K0.0%—Held
Choice Hotels Intl Inc—9.1K$866.4K0.0%—Held
Ishares Tr—12.4K$866.4K0.0%—Held
Ermenegildo Zegna N.V.ZGN84.4K$864.7K0.0%—Held
DENTSPLY SIRONA Inc.XRAY75.6K$863.7K0.0%—Held
Xenon Pharmaceuticals Inc.XENE19.2K$860.5K0.0%—Held
Tetra Technologies Inc Del—91.8K$860.3K0.0%—Held
First Tr Exchange-Traded Fd—14.4K$860.2K0.0%—Held
Cars.com Inc.CARS70.5K$859.8K0.0%—Held
Cra Intl Inc—4.28K$859.4K0.0%—Held
Pediatrix Medical Group, Inc.MD40.1K$858.2K0.0%—Held
Proshares Tr—19.3K$858.2K0.0%—Held
Ishares Inc—16.7K$855.6K0.0%—Held
Neos Etf Trust—16.3K$854.6K0.0%—Held
Sixth Street Specialty Lendi—39.3K$854.4K0.0%—Held
First Tr Exchange-Traded Alp—5.34K$853.6K0.0%—Held
Celldex Therapeutics Inc New—31.4K$852.9K0.0%—Held
Caesars Entertainment Inc Ne—36.5K$852.6K0.0%—Held
Ishares Tr—14.1K$849.9K0.0%—Held
Tidal Trust I—34.3K$848.8K0.0%—Held
Nutex Health Inc.NUTX5.15K$848K0.0%—Held
National Resh CorpNRC45.1K$846.6K0.0%—Held
Prestige Consmr Healthcare I—13.7K$844.7K0.0%—Held
Kite Rlty Group TrKRG35.2K$844.4K0.0%—Held
Tri Contl Corp—25.8K$842.5K0.0%—Held
Covenant Logistics Group, Inc.CVLG38.2K$841.6K0.0%—Held
Pvh Corporation—12.5K$841K0.0%—Held
Barrett Business Svcs Inc—23.2K$840.1K0.0%—Held
Ishares Tr—32.5K$838.2K0.0%—Held
First Tr Exchange Traded Fd—13.8K$835.8K0.0%—Held
J P Morgan Exchange Traded F—11.6K$835.5K0.0%—Held
Digitalbridge Group Inc—54.3K$833.3K0.0%—Held
Materion CorpMTRN6.7K$833.3K0.0%—Held
Rex American Res Corp—25.7K$831.3K0.0%—Held
Primo Brands CorpPRMB50.8K$830.8K0.0%—Held
Nuveen Municipal Credit Inc—66K$830.7K0.0%—Held
Tronox Holdings PlcTROX199.1K$830.4K0.0%—Held
United Sts Lime & Minerals I—6.93K$830.4K0.0%—Held
Universal Ins Hldgs Inc—24.6K$830.1K0.0%—Held
Harmony Biosciences Hldgs In—22.1K$828.9K0.0%—Held
J P Morgan Exchange Traded F—16.2K$828.6K0.0%—Held
First Tr Exchng Traded Fd Vi—18.7K$828.4K0.0%—Held
Spdr Series Trust—18.1K$827.3K0.0%—Held
Ssga Active Tr—29.1K$826.7K0.0%—Held
Telephone & Data Sys Inc—20.2K$826.5K0.0%—Held
Nio Inc—161.8K$825.4K0.0%—Held
Liberty Media Corp Del—8.37K$824.5K0.0%—Held
Atmus Filtration Technologie—15.9K$824K0.0%—Held
Blackline, Inc.BL14.9K$823.2K0.0%—Held
Adtalem Global Ed IncCVSA7.95K$822.9K0.0%—Held
Grupo Aeroportuario Del Cent—7.56K$822.6K0.0%—Held
EverQuote, Inc.EVER30.5K$822.2K0.0%—Held
International Bancshares Cor—12.4K$822.1K0.0%—Held
Exchange Traded Concepts Tru—11.8K$820.6K0.0%—Held
Four Corners Ppty Tr Inc—35.5K$818.8K0.0%—Held
American Centy Etf Tr—9.53K$818.4K0.0%—Held
Freshpet, Inc.FRPT13.4K$817.7K0.0%—Held
Corebridge Finl Inc—27K$815.6K0.0%—Held
Amplitude, Inc.AMPL70.4K$815.2K0.0%—Held
Amplify Etf Tr—14.3K$814.1K0.0%—Held
LGI Homes, Inc.LGIH18.9K$812.1K0.0%—Held
Lennar Corp—8.52K$810.1K0.0%—Held
Hawaiian Elec Industries—65.6K$806.9K0.0%—Held
HomeTrust Bancshares, Inc.HTB18.7K$802.9K0.0%—Held
MARRIOTT VACATIONS WORLDWIDE CorpVAC13.9K$801.8K0.0%—Held
Bankfinancial Corp—66.8K$801.8K0.0%—Held
O-I Glass Inc—54.3K$801.4K0.0%—Held
Playtika Hldg Corp—202.8K$801.3K0.0%—Held
Kbr, Inc.KBR19.9K$800K0.0%—Held
indie Semiconductor, Inc.INDI226.2K$798.6K0.0%—Held
Farmers National Banc Corp—59.9K$798K0.0%—Held
Icon PlcICLR4.38K$797.8K0.0%—Held
Wisdomtree Tr—24.1K$797.3K0.0%—Held
Community Healthcare Tr Inc—48.5K$795.8K0.0%—Held
Ssga Active Etf Tr—16.1K$795.7K0.0%—Held
Penguin Solutions, Inc.PENG40.7K$795.4K0.0%—Held
Shenandoah Telecommunication—68.8K$795.1K0.0%—Held
Suzano S.A.SUZ84.8K$791.8K0.0%—Held
Carter Bankshares, Inc.CARE40.2K$790.8K0.0%—Held
Xpeng Inc—39K$789.9K0.0%—Held
Arcutis Biotherapeutics, Inc.ARQT27.2K$788.9K0.0%—Held
SharkNinja, Inc.SN7.04K$788K0.0%—Held
Century Alum Co—20.1K$786.5K0.0%—Held
Cinemark Hldgs Inc—33.8K$785.9K0.0%—Held
Jbs N.V.JBS54.2K$781.9K0.0%—Held
Ready Capital Corp—357.6K$779.6K0.0%—Held
Bruker Corp—16.5K$778.3K0.0%—Held
Flexshares Tr—10.3K$778.2K0.0%—Held
Iren Limited—20.6K$778K0.0%—Held
First Tr Exchange-Traded Fd—3.75K$775.4K0.0%—Held
Piedmont Realty Trust, Inc.PDM93K$775.3K0.0%—Held
Ryman Hospitality Pptys Inc—8.12K$768.4K0.0%—Held
El Pollo Loco Hldgs Inc—73.3K$766.9K0.0%—Held
Mineralys Therapeutics, Inc.MLYS21.1K$765.8K0.0%—Held
Ishares Tr—8.11K$765.7K0.0%—Held
Eaton Vance Tax-Advantaged G—25.2K$764.9K0.0%—Held
Oceaneering Intl Inc—31.8K$764.5K0.0%—Held
ESAB CorpESAB6.84K$764.3K0.0%—Held
Proshares Tr—9.06K$763.5K0.0%—Held
California Bancorp—40.9K$763.2K0.0%—Held
Omnicell, Inc.OMCL16.8K$761.5K0.0%—Held
Ishares Tr—15.8K$758.2K0.0%—Held
First Tr Exchange Traded Fd—12.5K$756.3K0.0%—Held
Ea Series Trust—32.4K$755.9K0.0%—Held
Spdr Series Trust—7.77K$755.2K0.0%—Held
Inspire Med Sys Inc—8.17K$753.6K0.0%—Held
Wisdomtree Tr—17.1K$753.2K0.0%—Held
Scotts Miracle-Gro CoSMG12.9K$752.5K0.0%—Held
Scansource, Inc.SCSC19.2K$751.4K0.0%—Held
South Bow CorpSOBO27.3K$750.8K0.0%—Held
SunCoke Energy, Inc.SXC104.1K$749.3K0.0%—Held
Alight Inc—383.7K$748.2K0.0%—Held
Arcus Biosciences, Inc.RCUS31.4K$747.6K0.0%—Held
Global X Fds—12.3K$746.9K0.0%—Held
ZoomInfo Technologies Inc.GTM73.3K$745.5K0.0%—Held
Morgan Stanley Etf Trust—11.6K$745.1K0.0%—Held
Zymeworks Inc.ZYME28.3K$745K0.0%—Held
Utz Brands, Inc.UTZ71.6K$743K0.0%—Held
Intuitive Machines, Inc.LUNR45.6K$740.6K0.0%—Held
World Accep Corporation—5.27K$740.3K0.0%—Held
XPEL, Inc.XPEL14.8K$740.1K0.0%—Held
Chemours CoCC62.8K$739.9K0.0%—Held
Neogen CorpNEOG105.8K$739.7K0.0%—Held
Anaptysbio, IncANAB15.3K$739.5K0.0%—Held
Mcgrath RentcorpMGRC7.05K$739.3K0.0%—Held
Extreme Networks IncEXTR44.4K$739.2K0.0%—Held
Apple Hospitality REIT, Inc.APLE62.4K$739.2K0.0%—Held
Cathay Gen Bancorp—15.3K$738.5K0.0%—Held
Suburban Propane Partners L—39.8K$738K0.0%—Held
Ultra Clean Hldgs Inc—29.1K$738K0.0%—Held
Under Armour Inc—148.1K$736K0.0%—Held
First Business Finl Svcs Inc—13.5K$734.6K0.0%—Held
Ishares Tr—27.4K$731.3K0.0%—Held
National Vision Hldgs Inc—28.3K$731K0.0%—Held
Innodata IncINOD14.3K$729.9K0.0%—Held
Maravai Lifesciences Hldgs I—224.4K$729.2K0.0%—Held
Avanos Med Inc—64.9K$728.6K0.0%—Held
Ishares Tr—15.1K$727.6K0.0%—Held
F&G Annuities & Life Inc—23.6K$727.4K0.0%—Held
Miniso Group Hldg Ltd—38.8K$726.8K0.0%—Held
Hallador Energy Company—38.2K$726.7K0.0%—Held
Relay Therapeutics, Inc.RLAY85.8K$726.2K0.0%—Held
Avient CorpAVNT23.2K$725.8K0.0%—Held
Proshares Tr—59.7K$725.7K0.0%—Held
Nuscale Pwr Corp—51.2K$725.2K0.0%—Held
Perella Weinberg PartnersPWP41.9K$725.2K0.0%—Held
Oxford Inds Inc—21.2K$724.5K0.0%—Held
Ssga Active Etf Tr—18K$724.1K0.0%—Held
Invesco Exchange Traded Fd T—9.21K$723.3K0.0%—Held
Banc Of California Inc—37.5K$723K0.0%—Held
Etf Opportunities Trust—86.8K$721.3K0.0%—Held
Nushares Etf Tr—7.36K$720K0.0%—Held
U S Physical Therapy Inc /NvUSPH9.22K$719.8K0.0%—Held
Ishares Tr—10.7K$719K0.0%—Held
Ishares Tr—31K$715.1K0.0%—Held
Ke Hldgs Inc—45.3K$714.5K0.0%—Held
Ooma IncOOMA60.9K$714.5K0.0%—Held
Oil Sts Intl Inc—105.3K$713.2K0.0%—Held
Precigen, Inc.PGEN170.6K$713.2K0.0%—Held
Iridium Communications Inc.IRDM41K$712.7K0.0%—Held
Kalvista Pharmaceuticals Inc—44.1K$711.9K0.0%—Held
Invesco Exchange Traded Fd T—10.7K$710.8K0.0%—Held
Zumiez IncZUMZ27.2K$709.4K0.0%—Held
Precision Drilling CorpPDS9.87K$709.2K0.0%—Held
SkyWater Technology, LLCSKYT39K$708.4K0.0%—Held
Metallus Inc.MTUS41.2K$707.3K0.0%—Held
Proshares Tr—7.5K$707.3K0.0%—Held
Gray Media Inc—145.8K$705.5K0.0%—Held
Kaiser Aluminum CorpKALU6.13K$704.6K0.0%—Held
Ea Series Trust—14.3K$703.4K0.0%—Held
P10 Inc—71.5K$701.2K0.0%—Held
Audioeye IncAEYE70.2K$700.8K0.0%—Held
Danaos CorpDAC7.43K$699.5K0.0%—Held
International Mny Express InIMXI45.5K$699K0.0%—Held
Grupo Aeropuerto Del Pacific—2.65K$698.6K0.0%—Held
Dime Cmnty Bancshares Inc—23.2K$698.3K0.0%—Held
Equitable Hldgs Inc—14.6K$697.8K0.0%—Held
GXO Logistics, Inc.GXO13.2K$697.3K0.0%—Held
Victory Portfolios Ii—13.7K$696.4K0.0%—Held
1st Source CorpSRCE11.1K$694.6K0.0%—Held
Fs Specialty Lending Fd—49.1K$694.3K0.0%—Held
Invesco Exch Traded Fd Tr Ii—34.8K$691.7K0.0%—Held
Ryan Specialty Holdings, Inc.RYAN13.4K$690.8K0.0%—Held
Coupang, Inc.CPNG29.3K$690.1K0.0%—Held
Agco Corp—6.6K$688.7K0.0%—Held
Eaton Vance Tax-Managed Buy-—47.8K$686.3K0.0%—Held
Appian CorpAPPN19.3K$684.5K0.0%—Held
Nova Ltd.NVMI2.08K$683.1K0.0%—Held
First Bancorp N C—13.4K$682.1K0.0%—Held
Spdr Series Trust—2.45K$681.6K0.0%—Held
Eaton Vance Tax-Managed Dive—44.4K$681K0.0%—Held
Great Lakes Dredge & Dock Co—51.9K$680.5K0.0%—Held
Oaktree Specialty Lending CorpOCSL53.2K$677.4K0.0%—Held
Standex Intl Corp—3.11K$676.4K0.0%—Held
Mfs Mun Income Tr—124.5K$675.8K0.0%—Held
Arvinas, Inc.ARVN56.9K$675.2K0.0%—Held
Wisdomtree Tr—23.2K$674.6K0.0%—Held
Veracyte, Inc.VCYT16K$674.3K0.0%—Held
Wisdomtree Tr—13.6K$673.5K0.0%—Held
Peapack-Gladstone Finl Corp—24.1K$672.5K0.0%—Held
Apogee Therapeutics, Inc.APGE8.9K$672.1K0.0%—Held
Anterix Inc.ATEX30.8K$671.9K0.0%—Held
Global Partners Lp—16.1K$671.8K0.0%—Held
Tidal Trust Ii—11.4K$671.6K0.0%—Held
Flutter Entmt Plc—3.12K$670.5K0.0%—Held
Allegro Microsystems, Inc.ALGM25.4K$670.2K0.0%—Held
Navient Corporation—51.5K$669.5K0.0%—Held
Fidelity Covington Trust—6.55K$668.9K0.0%—Held
Eaton Vance Tax Advt Div Inc—26.5K$667.2K0.0%—Held
Red Violet, Inc.RDVT11.7K$667.1K0.0%—Held
Evolent Health, Inc.EVH166.2K$664.9K0.0%—Held
Vanguard Scottsdale Fds—11.9K$664.7K0.0%—Held
Ishares Tr—8.87K$664.6K0.0%—Held
The Baldwin Insurance Grp In—27.6K$664.2K0.0%—Held
Amneal Pharmaceuticals, Inc.AMRX52.7K$664.2K0.0%—Held
Liberty Global Ltd—59.6K$663.9K0.0%—Held
Willdan Group, Inc.WLDN6.39K$662.9K0.0%—Held
Fidelity Covington Trust—10.8K$660.4K0.0%—Held
Dorian Lpg Ltd.LPG27.1K$659.4K0.0%—Held
Solaredge Technologies, Inc.SEDG22.9K$659.4K0.0%—Held
Fidelity Covington Trust—9.84K$657K0.0%—Held
Goodyear Tire & Rubr Co—74.9K$655.7K0.0%—Held
Terreno Rlty Corp—11.1K$654.4K0.0%—Held
Lxp Industrial Trust—13.2K$654.1K0.0%—Held
Mge Energy IncMGEE8.34K$654.1K0.0%—Held
Litman Gregory Fds Tr—23.2K$651.6K0.0%—Held
Avantor, Inc.AVTR56.8K$650.8K0.0%—Held
United Sts Oil Fd Lp—9.4K$650.4K0.0%—Held
MARA Holdings, Inc.MARA72.4K$650.1K0.0%—Held
Axt IncAXTI39.7K$649K0.0%—Held
Drdgold Limited—20.9K$648.8K0.0%—Held
Hingham Instn Svgs Mass—2.28K$648.3K0.0%—Held
Sweetgreen, Inc.SG95.7K$647.1K0.0%—Held
Transalta Corp—51.2K$647.1K0.0%—Held
J P Morgan Exchange Traded F—8.63K$645.8K0.0%—Held
Fastly, Inc.FSLY63.3K$644.2K0.0%—Held
Bank Hawaii Corp—9.41K$643.5K0.0%—Held
Invesco Exchange Traded Fd T—11.9K$641.7K0.0%—Held
Jazz Pharmaceuticals PlcJAZZ3.77K$641.1K0.0%—Held
Ishares Tr—7.95K$640.7K0.0%—Held
Ishares Tr—25.1K$640.4K0.0%—Held
Pimco Etf Tr—6.74K$639.4K0.0%—Held
Neogenomics IncNEO54K$634.6K0.0%—Held
Bristow Group Inc.VTOL17.3K$634.5K0.0%—Held
Crane NXT, Co.CXT13.4K$632.5K0.0%—Held
Ameris BancorpABCB8.51K$632.4K0.0%—Held
Castle Biosciences IncCSTL16.1K$627.9K0.0%—Held
Nuveen Mun Value Fd Inc—69.1K$626.3K0.0%—Held
Life Time Group Holdings, Inc.LTH23.5K$625.7K0.0%—Held
Kemper Corp—15.4K$624.8K0.0%—Held
Ingram Micro Hldg Corp—29.2K$623.9K0.0%—Held
Zacks Trust—23.5K$623.7K0.0%—Held
Anywhere Real Estate Inc—44K$622.9K0.0%—Held
USA TODAY Co., Inc.TDAY120.8K$622.1K0.0%—Held
Hudbay Minerals Inc.HBM31.3K$621.2K0.0%—Held
Eagle Bancorp Inc Md—28.9K$619.8K0.0%—Held
Alerus Finl Corp—27.5K$619.1K0.0%—Held
Netgear, Inc.NTGR25.2K$617.6K0.0%—Held
Fidelity Covington Trust—24.8K$615.3K0.0%—Held
Taseko Mines Ltd—108.6K$614.8K0.0%—Held
Brookdale Sr Living Inc—56.9K$614.2K0.0%—Held
Orrstown Finl Svcs Inc—17.3K$613.8K0.0%—Held
Invesco Exch Traded Fd Tr Ii—25.4K$613.5K0.0%—Held
Propetro Hldg Corp—64.5K$613.2K0.0%—Held
Republic Bancorp Inc /Ky/RBCAA8.89K$613K0.0%—Held
Victory Portfolios Ii—9.3K$613K0.0%—Held
Fidelity Covington Trust—12.5K$612.9K0.0%—Held
Ishares Tr—8.19K$612.9K0.0%—Held
Cytek Biosciences, Inc.CTKB121.2K$612.1K0.0%—Held
Liberty Broadband Corp—12.6K$612K0.0%—Held
Conmed CorpCNMD15.1K$611.9K0.0%—Held
Blackrock Debt Strategies Fd—60.1K$611.5K0.0%—Held
Etf Opportunities Trust—12.3K$609.1K0.0%—Held
Power Solutions Intl Inc—10.7K$609K0.0%—Held
Clear Secure, Inc.YOU17.3K$608.3K0.0%—Held
Ishares Tr—8.69K$607.4K0.0%—Held
Centrais Elet Bras Sa—66.3K$607.2K0.0%—Held
Edgewise Therapeutics, Inc.EWTX24.5K$607.2K0.0%—Held
PENN Entertainment, Inc.PENN41.1K$606K0.0%—Held
B2gold CorpBTG134.3K$605.6K0.0%—Held
Pimco Dynamic Income Fd—34.1K$604.5K0.0%—Held
Flushing Finl Corp—39.8K$604.2K0.0%—Held
Ishares Tr—5.94K$604.2K0.0%—Held
Pgim High Yield Bond Fund In—41.7K$603.5K0.0%—Held
Ishares Tr—8.01K$602.8K0.0%—Held
Spinnaker Etf Series—14.3K$602.7K0.0%—Held
Krispy Kreme, Inc.DNUT149.9K$602.4K0.0%—Held
SFL Corp Ltd.SFL77K$601.7K0.0%—Held
Fifth Dist Bancorp Inc—40K$600K0.0%—Held
Warby Parker Inc.WRBY27.5K$599.5K0.0%—Held
Proshares Tr—13.5K$599.1K0.0%—Held
Telefonica S A—147.5K$597.5K0.0%—Held
Direxion Shs Etf Tr—5.07K$596.5K0.0%—Held
Unitil CorpUTL12.2K$593.3K0.0%—Held
Prothena Corp Plc—62K$591.8K0.0%—Held
Millerknoll, Inc.MLKN32.4K$591.6K0.0%—Held
Umh Pptys Inc—37.1K$589.6K0.0%—Held
Capri Holdings Limited—24.1K$588.4K0.0%—Held
Concentra Group Holdings Par—29.9K$588.1K0.0%—Held
Myers Inds Inc—31.4K$587.4K0.0%—Held
Fidelity Covington Trust—16.1K$587.2K0.0%—Held
Quidelortho CorpQDEL20.6K$587.2K0.0%—Held
Rocket Pharmaceuticals Inc—167K$586.3K0.0%—Held
Flowco Hldgs Inc—31.3K$585.7K0.0%—Held
Silgan Hldgs Inc—14.5K$585.7K0.0%—Held
Nextdoor Holdings, Inc.NXDR278.5K$584.8K0.0%—Held
Pra Group IncPRAA33K$583.8K0.0%—Held
Janus Detroit Str Tr—12.8K$582.9K0.0%—Held
NSTS Bancorp, Inc.NSTS45K$582.8K0.0%—Held
Invesco Exch Trd Slf Idx Fd—34.4K$582.7K0.0%—Held
Invesco Exchange Traded Fd T—4.56K$582.5K0.0%—Held
Compass Therapeutics, Inc.CMPX108.1K$580.7K0.0%—Held
Compass Minerals Intl Inc—29.6K$580.4K0.0%—Held
Spdr Index Shs Fds—13.6K$579.2K0.0%—Held
Neos Etf Trust—10.7K$578.9K0.0%—Held
Essential Pptys Rlty Tr Inc—19.5K$578.8K0.0%—Held
Global Ship Lease Inc New—16.5K$577.9K0.0%—Held
Helen Of Troy LtdHELE27.1K$575.6K0.0%—Held
Alliancebernstein Natl Mun I—53.1K$574.6K0.0%—Held
J P Morgan Exchange Traded F—7.83K$573.8K0.0%—Held
Invesco Exchange Traded Fd T—28.1K$572K0.0%—Held
Expro Group Holdings Nv—42.8K$571.7K0.0%—Held
Financial Instns Inc—18.3K$571.5K0.0%—Held
Ishares Tr—10.4K$571.1K0.0%—Held
Vertex, Inc.VERX28.6K$570.8K0.0%—Held
EyePoint, Inc.EYPT31.2K$570.4K0.0%—Held
Aar CorpAIR6.88K$570K0.0%—Held
First Tr Exchange Traded Fd—8.79K$569.7K0.0%—Held
First Tr Exchange-Traded Alp—6.25K$569.5K0.0%—Held
Ishares Tr—6.76K$569.2K0.0%—Held
Spdr Index Shs Fds—6.27K$568.5K0.0%—Held
Saul Ctrs Inc—18K$568.5K0.0%—Held
Westlake CorpWLK7.68K$568.2K0.0%—Held
Spdr Series Trust—21.8K$566.6K0.0%—Held
Ishares Tr—12.7K$565.9K0.0%—Held
Wabash Natl Corp—65.4K$565.9K0.0%—Held
Liberty Live Holdings Inc—6.8K$565.8K0.0%—Held
Ishares U S Etf Tr—5.56K$565.3K0.0%—Held
Northwest Nat Hldg Co—12.1K$565K0.0%—Held
Topgolf Callaway Brands CorpCALY48.4K$564.8K0.0%—Held
Immersion CorpIMMR82.8K$563.3K0.0%—Held
Axogen, Inc.AXGN17.2K$562.9K0.0%—Held
California Wtr Svc Group—13K$561.6K0.0%—Held
Natural Gas Svcs Group Inc—16.7K$561.1K0.0%—Held
Ishares Tr—25K$559.2K0.0%—Held
Ishares Tr—6.59K$558.6K0.0%—Held
Vanguard Whitehall Fds—8.27K$557.5K0.0%—Held
CareDx, Inc.CDNA29.6K$557.3K0.0%—Held
Standard Mtr Prods Inc—15.1K$557.1K0.0%—Held
Alkami Technology, Inc.ALKT24.1K$557K0.0%—Held
Vanguard Wellington Fd—3.63K$556.3K0.0%—Held
Plug Power IncPLUG281.9K$555.3K0.0%—Held
Nextnav Inc—33.3K$554.6K0.0%—Held
Iradimed CorpIRMD5.7K$554.6K0.0%—Held
Fidus Invt Corp—28.7K$554.2K0.0%—Held
NPK International Inc.NPKI46.5K$554.1K0.0%—Held
Invesco Exch Traded Fd Tr Ii—9.78K$553.7K0.0%—Held
United Sts Commodity Index F—7.12K$552.9K0.0%—Held
Gates Indl Corp Plc—25.7K$552.6K0.0%—Held
Embecta Corp.EMBC46.4K$550.8K0.0%—Held
Ishares Tr—6.16K$550.1K0.0%—Held
Amerant Bancorp Inc.AMTB28.2K$549.7K0.0%—Held
Petroleo Brasileiro Sa Petro—48.8K$549.5K0.0%—Held
RingCentral, Inc.RNG19K$549.3K0.0%—Held
Vanguard Admiral Fds Inc—5.61K$548.6K0.0%—Held
Newamsterdam Pharma Company—15.6K$548.5K0.0%—Held
Wolverine World Wide Inc—30.2K$548.4K0.0%—Held
OneSpan Inc.OSPN42.7K$548.3K0.0%—Held
Forward Air CorpFWRD21.9K$546.5K0.0%—Held
Wisdomtree Tr—8.18K$546.3K0.0%—Held
Ironwood Pharmaceuticals IncIRWD162.1K$546.2K0.0%—Held
Fluence Energy, Inc.FLNC27.6K$546K0.0%—Held
Bar Hbr Bankshares—17.5K$544.6K0.0%—Held
Ishares Tr—24.7K$544.4K0.0%—Held
Array Technologies, Inc.ARRY59K$543.9K0.0%—Held
Proshares Tr—9.56K$543.7K0.0%—Held
Northwest Bancshares Inc MdNWBI45.2K$543K0.0%—Held
Spectrum Brands Hldgs Inc NeSPB9.16K$541K0.0%—Held
Eaton Vance Tax-Managed Glob—56.8K$540.9K0.0%—Held
Shift4 Pmts Inc—8.59K$540.6K0.0%—Held
Trump Media & Technology Gro—40.8K$540.4K0.0%—Held
Hillenbrand Inc—17K$540.2K0.0%—Held
nCino, Inc.NCNO21.1K$539.7K0.0%—Held
Walker & Dunlop, Inc.WD8.96K$539K0.0%—Held
Ecopetrol S.A.EC53.7K$538.1K0.0%—Held
Vaneck Etf Trust—8.91K$535.8K0.0%—Held
Ollies Bargain Outlet Hldgs—4.87K$533.5K0.0%—Held
Octave Specialty Group IncOSG68.5K$533.2K0.0%—Held
Astec Inds Inc—12.3K$532.4K0.0%—Held
Cohen & Steers Quality Incom—46.6K$532K0.0%—Held
Ishares Tr—4.9K$531.2K0.0%—Held
Artivion, Inc.AORT11.6K$530.6K0.0%—Held
Spdr Series Trust—8.88K$530.3K0.0%—Held
Invesco Exchange Traded Fd T—10.3K$530K0.0%—Held
Cogent Communications Hldgs—24.6K$529.9K0.0%—Held
ADTRAN Holdings, Inc.ADTN60.9K$529.6K0.0%—Held
Franklin Templeton Etf Tr—13.7K$529.4K0.0%—Held
U Haul Holding Company—11.3K$529.1K0.0%—Held
United Fire Group IncUFCS14.5K$528.4K0.0%—Held
Ishares U S Etf Tr—10.3K$528.3K0.0%—Held
TripAdvisor, Inc.TRIP36.3K$528.2K0.0%—Held
Eos Energy Enterprises Inc—46K$527.4K0.0%—Held
Preformed Line Prods Co—2.55K$527.1K0.0%—Held
Moelis & CoMC7.65K$525.8K0.0%—Held
Vaneck Etf Trust—21.6K$525.1K0.0%—Held
GeneDx Holdings Corp.WGS4.03K$523.8K0.0%—Held
Gladstone Ld Corp—57.2K$523.7K0.0%—Held
Costamare Inc—33.1K$523.1K0.0%—Held
Alps Etf Tr—8.63K$522.1K0.0%—Held
Invesco Exchange Traded Fd T—9.14K$522K0.0%—Held
Blackrock Etf Trust Ii—23.4K$520.5K0.0%—Held
Mativ Holdings, Inc.MATV42.8K$520.4K0.0%—Held
Vanguard Scottsdale Fds—6.7K$520.4K0.0%—Held
Eaton Vance Enhanced Equity—22.2K$520K0.0%—Held
Invesco Exchange Traded Fd T—4.37K$519.7K0.0%—Held
Syndax Pharmaceuticals IncSNDX24.7K$519.2K0.0%—Held
National Energy Services Reu—33.1K$518.1K0.0%—Held
Nve Corp—8.72K$517.5K0.0%—Held
Ishares Tr—23.2K$517.1K0.0%—Held
J P Morgan Exchange Traded F—5.57K$516.7K0.0%—Held
Ltc Pptys Inc—15K$515.6K0.0%—Held
Tyra Biosciences, Inc.TYRA19.6K$515.4K0.0%—Held
Global X Fds—7.93K$514.2K0.0%—Held
Herbalife Ltd.HLF39.9K$513.9K0.0%—Held
Ark Etf Tr—17.7K$513.7K0.0%—Held
Invesco Exch Traded Fd Tr Ii—13.9K$513.3K0.0%—Held
GCM Grosvenor Inc.GCMG45.3K$513.2K0.0%—Held
Bilibili Inc—20.8K$511.1K0.0%—Held
Ishares Inc—16K$509.5K0.0%—Held
First Tr Exchange-Traded Alp—4.5K$509.5K0.0%—Held
Ishares Inc—5.24K$509.4K0.0%—Held
Driven Brands Hldgs Inc—34.4K$509.4K0.0%—Held
Daktronics Inc—25.7K$508.8K0.0%—Held
Quanex Bldg Prods Corp—33.1K$508.4K0.0%—Held
Prospect Cap Corp—196.1K$507.8K0.0%—Held
Virtus Etf Tr Ii—12.1K$506.8K0.0%—Held
Willscot Hldgs Corp—26.9K$506.6K0.0%—Held
First Tr Exchange-Traded Fd—4.66K$506.1K0.0%—Held
Select Med Hldgs Corp—34.1K$506K0.0%—Held
Klaviyo, Inc.KVYO15.6K$505K0.0%—Held
Haverty Furniture Cos Inc—21.6K$504.4K0.0%—Held
Brightspring Health Svcs Inc—13.5K$504.4K0.0%—Held
Trevi Therapeutics, Inc.TRVI40.2K$503.6K0.0%—Held
Ishares Tr—4.16K$503K0.0%—Held
United Nat Foods Inc—14.9K$503K0.0%—Held
Ishares Tr—19.7K$502.1K0.0%—Held
Waystar Hldg Corp—15.3K$502K0.0%—Held
Vishay Precision Group, Inc.VPG13K$500.9K0.0%—Held
ARKO Corp.ARKO110.3K$500.6K0.0%—Held
Simmons 1st Natl Corp—26.6K$500.5K0.0%—Held
Wisdomtree Tr—12.1K$500.1K0.0%—Held
Slm Corp—18.5K$500K0.0%—Held
Magnite, Inc.MGNI30.7K$498.8K0.0%—Held
Ishares Tr—19.6K$498.8K0.0%—Held
Bigbear Ai Hldgs Inc—311.6K$498.6K0.0%—Held
Quinstreet, IncQNST34.7K$498.5K0.0%—Held
Innovex International, Inc.INVX22.8K$497.9K0.0%—Held
Spdr Series Trust—23.3K$497.7K0.0%—Held
Copt Defense PropertiesCDP17.9K$497.4K0.0%—Held
AtriCure, Inc.ATRC12.5K$496.3K0.0%—Held
Tortoise Capital Series Trus—54.9K$496K0.0%—Held
Advance Auto Parts IncAAP12.6K$495.3K0.0%—Held
Core & Main, Inc.CNM9.53K$495.1K0.0%—Held
Tanger Inc.SKT14.8K$494.5K0.0%—Held
Blackrock Energy & Res Tr—36.4K$493.4K0.0%—Held
Spdr Index Shs Fds—7.66K$493.1K0.0%—Held
Newtekone Inc—43.4K$493.1K0.0%—Held
Tempus AI, Inc.TEM8.34K$492.5K0.0%—Held
Agilysys IncAGYS4.13K$491.3K0.0%—Held
Equinox Gold Corp.EQX34.9K$489.9K0.0%—Held
Esquire Finl Hldgs Inc—4.79K$489.2K0.0%—Held
Nordic American Tankers Limi—142.2K$489.1K0.0%—Held
Otter Tail CorpOTTR6.05K$488.8K0.0%—Held
Vaneck Etf Trust—10.4K$488.4K0.0%—Held
Invesco Exchange Traded Fd T—6.19K$488.3K0.0%—Held
Bigbear Ai Hldgs Inc—90.3K$487.5K0.0%—Held
Ishares Tr—5.02K$485.5K0.0%—Held
Integra Lifesciences Hldgs C—39.1K$485.3K0.0%—Held
Graniteshares Gold Tr—11.4K$484K0.0%—Held
Heartland Express IncHTLD53.6K$483.9K0.0%—Held
First Tr Exchange Traded Fd—4.25K$483.6K0.0%—Held
Ferrovial Se—7.48K$483.4K0.0%—Held
Andersons, Inc.ANDE9.04K$480.9K0.0%—Held
Global-E Online Ltd.GLBE12.2K$480.6K0.0%—Held
Vir Biotechnology, Inc.VIR79.7K$480.6K0.0%—Held
Invesco Exch Traded Fd Tr Ii—7.62K$480K0.0%—Held
Veris Residential Inc—32.2K$479.2K0.0%—Held
Arcellx Inc—7.32K$477.2K0.0%—Held
H2o AmericaHTO9.73K$476.8K0.0%—Held
Fidelity Covington Trust—10.8K$476.5K0.0%—Held
REGENXBIO Inc.RGNX33K$475.5K0.0%—Held
Service Pptys Tr—257.9K$474.6K0.0%—Held
Liberty All Star Equity Fd—75.5K$474.2K0.0%—Held
Kiniksa Pharmaceuticals Intl—11.5K$473.6K0.0%—Held
J P Morgan Exchange Traded F—8.41K$473.3K0.0%—Held
Garrett Motion Inc.GTX27.1K$473.1K0.0%—Held
Riley Exploration Permian In—17.9K$473K0.0%—Held
Vera Therapeutics, Inc.VERA9.32K$472K0.0%—Held
Holley Inc.HLLY114.2K$471.5K0.0%—Held
Keros Therapeutics, Inc.KROS23.1K$470.9K0.0%—Held
Legalzoom.Com, Inc.LZ47.4K$470.8K0.0%—Held
Valvoline IncVVV16.2K$470.6K0.0%—Held
Green Brick Partners Inc—7.5K$469.9K0.0%—Held
Global X Fds—15.9K$469.4K0.0%—Held
Energy Vault Holdings, Inc.NRGV101.8K$469.2K0.0%—Held
Brightview Hldgs Inc—37K$469.1K0.0%—Held
Fidelity Covington Trust—15.3K$469K0.0%—Held
Snap IncSNAP58.1K$468.9K0.0%—Held
Gibraltar Inds Inc—9.48K$468.6K0.0%—Held
DiaMedica Therapeutics Inc.DMAC58.9K$468.5K0.0%—Held
Dynex Cap Inc—33.4K$468.5K0.0%—Held
Grayscale Ethereum Mini Tr E—16.7K$467.8K0.0%—Held
First Tr Exchange-Traded Fd—9.35K$467.2K0.0%—Held
Proto Labs IncPRLB9.19K$465.1K0.0%—Held
Invesco Exchange Traded Fd T—3.35K$464.5K0.0%—Held
FS Bancorp, Inc.FSBW11.3K$464.4K0.0%—Held
Newsmax Inc.NMAX60.1K$464.4K0.0%—Held
Blackstone Mtg Tr Inc—24.3K$464.3K0.0%—Held
Community Health Sys Inc New—148.7K$464.1K0.0%—Held
Ibex LtdIBEX12.1K$463.3K0.0%—Held
Birkenstock Holding PlcBIRK11.3K$462.9K0.0%—Held
Renew Energy Global Plc—81.7K$461.6K0.0%—Held
Alliancebernstein Hldg L P—12K$461.5K0.0%—Held
J P Morgan Exchange Traded F—9.13K$461.2K0.0%—Held
Portillos Inc—101.5K$460.7K0.0%—Held
Vitesse Energy, Inc.VTS23.8K$459.3K0.0%—Held
JOYY Inc.JOYY7.08K$458.3K0.0%—Held
Blackrock Etf Trust—13.8K$458.2K0.0%—Held
Invesco Currencyshares Swiss—4.09K$456.8K0.0%—Held
Wells Fargo Co New—375$454.5K0.0%—Held
Myriad Genetics IncMYGN73.7K$453.5K0.0%—Held
Byrna Technologies Inc.BYRN27K$453.5K0.0%—Held
Strategy Shs—9.29K$453.1K0.0%—Held
Healthcare Svcs Group Inc—23.7K$453K0.0%—Held
Universal Health Rlty Income—11.6K$453K0.0%—Held
Ishares Tr—17.6K$451K0.0%—Held
Inhibrx Biosciences, Inc.INBX5.71K$450.9K0.0%—Held
Mainstreet Bancshares Inc—22.1K$450K0.0%—Held
Ellington Financial Inc—33.1K$449.2K0.0%—Held
Immunome Inc.IMNM20.9K$448.5K0.0%—Held
First Tr Exchange Traded Fd—2.93K$448.3K0.0%—Held
Rigel Pharmaceuticals IncRIGL10.4K$446.8K0.0%—Held
Chefs Whse Inc—7.16K$446.5K0.0%—Held
Silicon Motion Technology CORPSIMO4.81K$446K0.0%—Held
Zenas BioPharma, Inc.ZBIO12.3K$445.6K0.0%—Held
Gigacloud Technology IncGCT11.3K$442.8K0.0%—Held
Spdr Series Trust—3.5K$441.8K0.0%—Held
Siga Technologies IncSIGA72.3K$441.6K0.0%—Held
Koppers Holdings Inc.KOP16.3K$440.3K0.0%—Held
Algonquin Pwr Utils Corp—71.6K$440.1K0.0%—Held
Capricor Therapeutics, Inc.CAPR15.2K$439.6K0.0%—Held
Bowman Consulting Group Ltd.BWMN13.3K$439K0.0%—Held
Replimune Group, Inc.REPL45.2K$439K0.0%—Held
Staar Surgical CoSTAA19K$438.1K0.0%—Held
Ishares Tr—10.7K$438K0.0%—Held
Capital Group Core Balanced—12.4K$437.8K0.0%—Held
OUTFRONT Media Inc.OUT18.2K$437.6K0.0%—Held
Gorman Rupp CoGRC9.15K$436.9K0.0%—Held
Lindblad Expeditions Hldgs I—30.3K$436.3K0.0%—Held
Zto Express Cayman Inc—20.8K$435.5K0.0%—Held
CAE IncCAE14.3K$434.4K0.0%—Held
Avadel Pharmaceuticals Plc—20.2K$434.3K0.0%—Held
Esperion Therapeutics Inc Ne—117.4K$434.3K0.0%—Held
Goldman Sachs Etf Tr—10.4K$433.5K0.0%—Held
Camtek LtdCAMT4.07K$433.3K0.0%—Held
Iovance Biotherapeutics, Inc.IOVA158.7K$433.1K0.0%—Held
Franklin Templeton Etf Tr—12.6K$432.6K0.0%—Held
Ishares Tr—17.1K$432.1K0.0%—Held
Cbl & Assoc Pptys Inc—11.7K$432K0.0%—Held
Marcus & Millichap, Inc.MMI15.8K$431.6K0.0%—Held
J P Morgan Exchange Traded F—8.24K$431.1K0.0%—Held
First Majestic Silver CorpAG25.8K$430.4K0.0%—Held
DNOW Inc.DNOW32.4K$429.9K0.0%—Held
Vaneck Etf Trust—16.6K$429.2K0.0%—Held
One Liberty Pptys Inc—21.1K$428.7K0.0%—Held
Invesco Exch Traded Fd Tr Ii—6.87K$428.6K0.0%—Held
CorMedix Inc.CRMD36.7K$427.3K0.0%—Held
Ssga Active Tr—6.84K$426.5K0.0%—Held
Victory Portfolios Ii—4.68K$425.6K0.0%—Held
Goldman Sachs Etf Tr—8.41K$424.7K0.0%—Held
Cidara Therapeutics Inc—1.92K$424.3K0.0%—Held
Ishares Inc—5.76K$424.2K0.0%—Held
Maxlinear, IncMXL24.3K$424.2K0.0%—Held
American Pub Ed Inc—11.2K$423.4K0.0%—Held
Zacks Trust—14.2K$422.7K0.0%—Held
Blackrock Etf Trust—13.3K$422.7K0.0%—Held
Tidal Trust Iii—22.5K$422.2K0.0%—Held
Real Brokerage IncREAX115.6K$422.1K0.0%—Held
Novavax IncNVAX62.7K$421.5K0.0%—Held
Kronos Worldwide IncKRO95.3K$421.4K0.0%—Held
Atlanticus Holdings Corp—6.29K$421.2K0.0%—Held
Etf Ser Solutions—15K$421.2K0.0%—Held
Spdr Series Trust—14.3K$420.2K0.0%—Held
Spdr Series Trust—2.24K$419.6K0.0%—Held
NETSTREIT Corp.NTST23.8K$419.4K0.0%—Held
Ishares Tr—8.35K$419.3K0.0%—Held
Sp Funds Trust—15.3K$419K0.0%—Held
Ishares Tr—4.49K$418.3K0.0%—Held
Aurora Innovation Inc—108.5K$416.8K0.0%—Held
Grayscale Coindesk Crypto—10.1K$416.4K0.0%—Held
Fidelity Ethereum Fd—14.1K$416.3K0.0%—Held
Ea Series Trust—3.62K$416.1K0.0%—Held
Weave Communications, Inc.WEAV54.7K$414.9K0.0%—Held
Wisdomtree Tr—12.7K$414.8K0.0%—Held
Alps Etf Tr—7.18K$414.2K0.0%—Held
Bitwise 10 Crypto Index EtfBITW7.04K$414K0.0%—Held
Flexshares Tr—1.66K$413.3K0.0%—Held
Axos Financial, Inc.AX4.8K$413.3K0.0%—Held
Biohaven Ltd.BHVN36.6K$413.3K0.0%—Held
Apellis Pharmaceuticals Inc—16.4K$412.9K0.0%—Held
Cullinan Therapeutics, Inc.CGEM39.9K$412.9K0.0%—Held
National Bk Hldgs Corp—10.8K$411.9K0.0%—Held
Innovator Etfs Trust—15.7K$411.6K0.0%—Held
Cracker Barrel Old Ctry Stor—16.2K$411.6K0.0%—Held
Applied Optoelectronics, Inc.AAOI11.8K$411.5K0.0%—Held
J P Morgan Exchange Traded F—7.88K$411.4K0.0%—Held
Plymouth Indl Reit Inc—18.8K$411.1K0.0%—Held
J P Morgan Exchange Traded F—6.17K$409.7K0.0%—Held
CoreCivic, Inc.CXW21.4K$408.1K0.0%—Held
Clarivate PlcCLVT122K$407.4K0.0%—Held
DIEBOLD NIXDORF, IncDBD6K$407.3K0.0%—Held
Dxp Enterprises IncDXPE3.71K$407.3K0.0%—Held
Ishares Tr—4.3K$405.7K0.0%—Held
Rbb Fd Inc—17.3K$405.3K0.0%—Held
Ishares Tr—15.5K$404.2K0.0%—Held
Wisdomtree Tr—3.51K$403.2K0.0%—Held
Viridian Therapeutics Inc—12.9K$402.7K0.0%—Held
First Tr Exchange-Traded Fd—9K$401.4K0.0%—Held
Concentrix CorpCNXC9.65K$401.3K0.0%—Held
Exchange Traded Concepts Tru—6.31K$401K0.0%—Held
Listed Fds Tr—21.3K$400.1K0.0%—Held
Perpetua Resources Corp.PPTA16.5K$399.9K0.0%—Held
Ark Etf Tr—2.71K$399.9K0.0%—Held
Adc Therapeutics SaADCT113.2K$399.8K0.0%—Held
Ducommun Inc Del—4.2K$399.7K0.0%—Held
Shoals Technologies Group In—47K$399.6K0.0%—Held
Dimensional World Equity—5.4K$399.5K0.0%—Held
Pacer Fds Tr—8.99K$398.9K0.0%—Held
Ccc Intelligent Solutions Hl—50.1K$398.4K0.0%—Held
Eastman Kodak CoKODK46.9K$397.2K0.0%—Held
Invesco Exch Traded Fd Tr Ii—7.15K$397.2K0.0%—Held
Simulations Plus, Inc.SLP21.8K$396.7K0.0%—Held
Aurinia Pharmaceuticals Inc.AUPH24.8K$396.2K0.0%—Held
Ishares Tr—17.1K$395.2K0.0%—Held
Asana, Inc.ASAN28.8K$395K0.0%—Held
StandardAero, Inc.SARO13.7K$393K0.0%—Held
Stewart Information Svcs Cor—5.59K$392.9K0.0%—Held
Ishares Tr—5.76K$392.3K0.0%—Held
Natures Sunshine Prods Inc—18.1K$389.6K0.0%—Held
Journey Med Corp—50.5K$389.4K0.0%—Held
Bit Digital, IncBTBT205.8K$388.9K0.0%—Held
Legend Biotech CorpLEGN17.9K$388.7K0.0%—Held
Udemy Inc—66.4K$388.6K0.0%—Held
Biocryst Pharmaceuticals IncBCRX49.8K$388.3K0.0%—Held
Ishares Inc—7.14K$387.8K0.0%—Held
Dyne Therapeutics, Inc.DYN19.8K$386.7K0.0%—Held
Aim Etf Products Trust—11.4K$386.2K0.0%—Held
Spdr Index Shs Fds—8.79K$386.1K0.0%—Held
Fidelity Covington Trust—4.67K$385.5K0.0%—Held
Gladstone Commercial Corp—36.1K$385.1K0.0%—Held
Hamilton Insurance Group, Ltd.HG13.8K$384.9K0.0%—Held
Nuveen California Amt Qlt Mu—30.8K$383.5K0.0%—Held
J P Morgan Exchange Traded F—5.63K$383.3K0.0%—Held
Easterly Govt Pptys Inc—18.1K$383K0.0%—Held
Blackrock Enhanced Large Cap—16.4K$382.4K0.0%—Held
Tactile Sys Technology Inc—13.2K$382.3K0.0%—Held
BILL Holdings, Inc.BILL7.01K$382.2K0.0%—Held
Lands End Inc New—26.3K$382.2K0.0%—Held
Diamondrock Hospitality CoDRH42.5K$381.1K0.0%—Held
Lendingtree Inc NewTREE7.18K$381.1K0.0%—Held
J P Morgan Exchange Traded F—5.31K$380.8K0.0%—Held
Commerce.com, Inc.CMRC92.3K$380.3K0.0%—Held
Armour Residential Reit Inc—21.5K$379.8K0.0%—Held
Invesco Exch Traded Fd Tr Ii—18.1K$379.5K0.0%—Held
Clearfield, Inc.CLFD13K$379.4K0.0%—Held
Triumph Financial Inc—6.05K$378.8K0.0%—Held
Proshares Tr—4.12K$378.4K0.0%—Held
Ladder Cap Corp—34.4K$378.1K0.0%—Held
Compania De Minas Buenaventu—13.6K$377.9K0.0%—Held
Hello Group Inc.MOMO57.6K$377.6K0.0%—Held
Acco Brands CorpACCO101.2K$377.5K0.0%—Held
Northrim Bancorp IncNRIM14.2K$377.4K0.0%—Held
Ishares Tr—14K$377.2K0.0%—Held
Fiverr Intl Ltd—19.1K$377.1K0.0%—Held
Direxion Shs Etf Tr—2.24K$376.9K0.0%—Held
Delcath Sys Inc—37.3K$376.4K0.0%—Held
Arhaus, Inc.ARHS33.4K$374.8K0.0%—Held
Allogene Therapeutics, Inc.ALLO273.4K$374.5K0.0%—Held
Invesco Exch Traded Fd Tr Ii—3.86K$373.8K0.0%—Held
Bitwise Funds Trust—5.28K$373.5K0.0%—Held
Clearbridge Energy Midstrm O—8.35K$372.9K0.0%—Held
Ceco Environmental CorpCECO6.22K$372.4K0.0%—Held
Guess Inc—22.2K$372.3K0.0%—Held
Alumis Inc.ALMS38.1K$372K0.0%—Held
Global X Fds—8.01K$371.6K0.0%—Held
Tango Therapeutics, Inc.TNGX41.9K$371.3K0.0%—Held
Rapport Therapeutics, Inc.RAPP12.2K$370.5K0.0%—Held
Xenia Hotels & Resorts, Inc.XHR26.2K$370.2K0.0%—Held
Array Digital Infrastructure—6.9K$369.8K0.0%—Held
Smartstop Self Storag Reit I—11.9K$369.5K0.0%—Held
Getty Rlty Corp New—13.5K$368.3K0.0%—Held
Bitdeer Technologies GroupBTDR32.8K$368.2K0.0%—Held
Bicara Therapeutics Inc.BCAX21.8K$367.5K0.0%—Held
National CineMedia, Inc.NCMI94.5K$367.5K0.0%—Held
Cohen & Steers Reit & Pfd &—18.5K$367.5K0.0%—Held
Tidal Trust I—7.19K$367.3K0.0%—Held
Monte Rosa Therapeutics, Inc.GLUE23.4K$367K0.0%—Held
Acm Resh Inc—9.3K$366.8K0.0%—Held
First Tr Exchange-Traded Fd—2.58K$366.7K0.0%—Held
Ishares Tr—14.3K$366.4K0.0%—Held
Ishares Tr—7.58K$362K0.0%—Held
J P Morgan Exchange Traded F—4.02K$361.8K0.0%—Held
DHT Holdings, Inc.DHT29.6K$361.1K0.0%—Held
Ishares Tr—13.9K$361K0.0%—Held
Burford Cap Ltd—40.4K$360.8K0.0%—Held
Vanguard Wellington Fd—1.89K$360.7K0.0%—Held
Lincoln Edl Svcs Corp—14.9K$360.4K0.0%—Held
Abrdn Asia Pacific Income Fu—23.5K$360.2K0.0%—Held
Pursuit Attractions And Hosp—10.7K$359.9K0.0%—Held
Kraneshares Trust—10.5K$359.2K0.0%—Held
Destiny Tech100 Inc.DXYZ11.7K$358.7K0.0%—Held
Eaton Vance Tax-Managed Glob—38.7K$358.4K0.0%—Held
Third Coast Bancshares, Inc.TCBX9.43K$358.4K0.0%—Held
Intellia Therapeutics, Inc.NTLA39.8K$357.7K0.0%—Held
Rumble Inc—56.6K$357.6K0.0%—Held
Bny Mellon Strategic Muns In—56.2K$357.4K0.0%—Held
Calavo Growers Inc—16.4K$356.2K0.0%—Held
Sila Realty Trust Inc—15.3K$356K0.0%—Held
Global Net Lease Inc—41.3K$355.3K0.0%—Held
Orion Group Hldgs Inc—35.7K$355K0.0%—Held
Investors Title Co Nc—1.42K$354.7K0.0%—Held
American Assets Tr Inc—18.7K$354.7K0.0%—Held
Ishares Tr—8.52K$353.3K0.0%—Held
Emergent BioSolutions Inc.EBS28.5K$352.9K0.0%—Held
The Realreal Inc—22.3K$351.7K0.0%—Held
Pimco Etf Tr—3.57K$351.5K0.0%—Held
Zentalis Pharmaceuticals, Inc.ZNTL260K$351K0.0%—Held
Innovator Etfs Trust—8.85K$350.5K0.0%—Held
Elme CommunitiesELME20.1K$350.4K0.0%—Held
Millicom Intl Cellular S A—6.32K$350.2K0.0%—Held
Karat Packaging Inc.KRT15.5K$349.7K0.0%—Held
Hoyne Bancorp, Inc.HYNE24.1K$349K0.0%—Held
Spdr Series Trust—3.52K$348.9K0.0%—Held
Spdr Index Shs Fds—6.9K$348.1K0.0%—Held
Taysha Gene Therapies, Inc.TSHA63.2K$347.8K0.0%—Held
Mamas Creations Inc—25.8K$347.7K0.0%—Held
Dimensional Etf Trust—6.71K$347.5K0.0%—Held
Cto Rlty Growth Inc New—18.9K$347.2K0.0%—Held
Global X Fds—8.54K$347.1K0.0%—Held
Carnival Corp Ltd.CCL11.4K$346.7K0.0%—Held
Global X Fds—5.34K$346K0.0%—Held
Gabelli Util Tr—57.3K$345.7K0.0%—Held
Trustmark CorpTRMK8.85K$344.7K0.0%—Held
Lemaitre Vascular IncLMAT4.25K$344.5K0.0%—Held
Trinity Inds Inc—13K$343.6K0.0%—Held
Site Ctrs Corp—53.5K$343.5K0.0%—Held
Nurix Therapeutics, Inc.NRIX18.1K$343.4K0.0%—Held
Spdr Series Trust—5.65K$342.8K0.0%—Held
Ishares Tr—4.13K$341.7K0.0%—Held
First Tr Exchange-Traded Fd—9.01K$341.1K0.0%—Held
Tootsie Roll Inds Inc—9.28K$340K0.0%—Held
Pimco Etf Tr—5.29K$340K0.0%—Held
Lsi Inds Inc Ohio—18.6K$339.9K0.0%—Held
Ishares Tr—4.96K$339.7K0.0%—Held
Willis Lease Fin Corp—2.5K$339.5K0.0%—Held
CG Oncology, Inc.CGON8.16K$339K0.0%—Held
Comstock Res Inc—14.6K$337.8K0.0%—Held
Adeia Inc.ADEA19.5K$337.1K0.0%—Held
Inter & Co, Inc.INTR39.7K$336.8K0.0%—Held
Savara IncSVRA55.7K$336K0.0%—Held
Nuveen Minn Quality Mun Inm—28.6K$335.7K0.0%—Held
Nushares Etf Tr—7.44K$335.3K0.0%—Held
Morgan Stanley Etf Trust—6.76K$334.5K0.0%—Held
First Tr Exchange Traded Fd—4.89K$334.3K0.0%—Held
Legg Mason Etf Invt—4.05K$333.7K0.0%—Held
Limbach Hldgs Inc—4.29K$333.6K0.0%—Held
Matrix Svc Co—28.4K$332.6K0.0%—Held
Urban Edge Pptys—17.3K$332K0.0%—Held
Dimensional Etf Trust—6.92K$331.6K0.0%—Held
4d Molecular Therapeutics In—44.2K$331.5K0.0%—Held
Ishares Inc—3.01K$331K0.0%—Held
Ameresco, Inc.AMRC11.3K$329.5K0.0%—Held
Invesco Exchange Traded Fd T—5.53K$328.7K0.0%—Held
Dave & Busters Entmt Inc—20.2K$328K0.0%—Held
Vaneck Etf Trust—4.43K$327.7K0.0%—Held
Atlas Energy Solutions Inc.AESI34.8K$327.7K0.0%—Held
MediaAlpha, Inc.MAX25.3K$327.3K0.0%—Held
Forum Energy Technologies In—8.82K$326K0.0%—Held
Harmonic Inc.HLIT32.9K$325.6K0.0%—Held
Plains Gp Hldgs L P—17K$325.5K0.0%—Held
Ab Active Etfs Inc—7.63K$324.9K0.0%—Held
Smith & Wesson Brands, Inc.SWBI32.9K$324.6K0.0%—Held
Twist Bioscience CorpTWST10.2K$323.9K0.0%—Held
Jumia Technologies AgJMIA25.8K$322.3K0.0%—Held
Ea Series Trust—8.96K$322K0.0%—Held
Aim Etf Products Trust—11.1K$321.9K0.0%—Held
Franklin Templeton Etf Tr—8K$321K0.0%—Held
Dbx Etf Tr—13.8K$320.9K0.0%—Held
Proshares Tr—8.9K$320.8K0.0%—Held
First Tr Exchange-Traded Fd—8.36K$320.4K0.0%—Held
Hess Midstream LpHESM9.29K$320.4K0.0%—Held
Upstream Bio, Inc.UPB11.7K$319K0.0%—Held
Capital Bancorp Inc Md—11.3K$318.9K0.0%—Held
Gamestop Corp New—15.8K$318.2K0.0%—Held
Pimco Corporate & Incm Strg—24.9K$317.8K0.0%—Held
Wisdomtree Tr—5.41K$317.3K0.0%—Held
Acadia Healthcare Company In—22.4K$317.2K0.0%—Held
Vanguard Scottsdale Fds—4.61K$317.1K0.0%—Held
Build-A-Bear Workshop IncBBW5.17K$316.9K0.0%—Held
Occidental Pete Corp—16.4K$315.3K0.0%—Held
Pimco Corporate & Income Opp—24.3K$314K0.0%—Held
Blackrock Munihldgs Nj Qlty—26.4K$313.6K0.0%—Held
J P Morgan Exchange Traded F—4.86K$312.8K0.0%—Held
Vox Royalty Corp.VOXR66K$312.8K0.0%—Held
Independent Bk Corp Mass—4.26K$311.4K0.0%—Held
Tortoise Capital Series Trus—15.3K$310.9K0.0%—Held
Spdr Series Trust—10.6K$310.7K0.0%—Held
Palvella Therapeutics Inc Ne—2.96K$310.1K0.0%—Held
Taboola.com Ltd.TBLA67.3K$310.1K0.0%—Held
Enovix CorpENVX42.4K$310.1K0.0%—Held
Silvercorp Metals IncSVM37.1K$309.5K0.0%—Held
Ark Etf Tr—10.7K$309K0.0%—Held
Opendoor Technologies Inc—53K$308.8K0.0%—Held
Ishares Tr—11.8K$308.1K0.0%—Held
Wave Life Sciences Ltd.WVE18.1K$308.1K0.0%—Held
Spdr Index Shs Fds—7.87K$307.9K0.0%—Held
Disc Medicine, Inc.IRON3.86K$306.8K0.0%—Held
Msc Income Fund, Inc.MSIF23.3K$306.8K0.0%—Held
Iac IncPPLI7.84K$306.6K0.0%—Held
Fidelity Covington Trust—4.05K$306.5K0.0%—Held
ACV Auctions Inc.ACVA38.1K$305.8K0.0%—Held
Ecovyst Inc.ECVT31.4K$305.6K0.0%—Held
Ea Series Trust—9.12K$303.5K0.0%—Held
Mid Penn Bancorp IncMPB9.75K$302.5K0.0%—Held
Idaho Strategic Resources, Inc.IDR7.49K$301.9K0.0%—Held
Select Water Solutions, Inc.WTTR28.7K$301.7K0.0%—Held
Corvus Pharmaceuticals, Inc.CRVS39.2K$301.7K0.0%—Held
Kodiak Sciences Inc.KOD10.8K$301.6K0.0%—Held
Capital Group Conservative E—9.89K$301.5K0.0%—Held
Proshares Tr—6.08K$300.9K0.0%—Held
Par Technology CorpPAR8.29K$300.8K0.0%—Held
Fundx Invt Tr—6.54K$300.7K0.0%—Held
Chimera Invt Corp—24.2K$300.5K0.0%—Held
Eaton Vance Tax Mnged Buy Wr—19.6K$299.2K0.0%—Held
Tidal Trust Ii—7.58K$298.4K0.0%—Held
Mission Produce, Inc.AVO25.7K$298.3K0.0%—Held
Astria Therapeutics Inc—22.8K$298.3K0.0%—Held
Magnera CorpMAGN19.7K$298.2K0.0%—Held
San Juan Basin Rty Tr—52.9K$297.1K0.0%—Held
Globalstar, Inc.GSAT4.87K$297K0.0%—Held
iQIYI, Inc.IQ154.3K$296.2K0.0%—Held
Ocular Therapeutix, IncOCUL24.3K$295.2K0.0%—Held
ARS Pharmaceuticals, Inc.SPRY25.3K$295.1K0.0%—Held
Nuveen Nasdaq 100 Dynamic Ov—10.3K$294.9K0.0%—Held
Invesco Db Us Dlr Index Tr—16.2K$294.9K0.0%—Held
Ishares Tr—2.75K$294.8K0.0%—Held
Industrial Logistics Pptys T—53.2K$294.8K0.0%—Held
Ishares Tr—3.75K$294.6K0.0%—Held
UL Solutions Inc.ULS3.73K$294.4K0.0%—Held
Ishares Tr—6.9K$293.7K0.0%—Held
Karman Hldgs Inc—4.01K$293.2K0.0%—Held
Virtu Finl Inc—8.79K$292.9K0.0%—Held
Resolute Hldgs Mgmt Inc—1.42K$292.9K0.0%—Held
Malibu Boats, Inc.MBUU10.4K$292.5K0.0%—Held
Listed Fds Tr—6.56K$291.6K0.0%—Held
Invesco Currencyshares Japan—4.96K$291.1K0.0%—Held
Blackrock Health Sciences Te—19.3K$291.1K0.0%—Held
Ishares U S Etf Tr—11.7K$290.5K0.0%—Held
Omeros CorpOMER16.9K$290.5K0.0%—Held
Mobileye Global Inc.MBLY27.8K$289.9K0.0%—Held
Choiceone Finl Svcs Inc—9.81K$289.6K0.0%—Held
Azenta, Inc.AZTA8.71K$289.5K0.0%—Held
Vaneck Etf Trust—2.81K$289.5K0.0%—Held
Pimco Dynamic Income Oprnts—20.9K$289K0.0%—Held
Capital Group Dividend Growe—8.11K$288.9K0.0%—Held
Fox Factory Hldg Corp—16.9K$288.7K0.0%—Held
Ishares Tr—2.11K$287.1K0.0%—Held
Blackrock Muniyild Qult Fd I—25.4K$286.8K0.0%—Held
Ishares Tr—4.71K$286.7K0.0%—Held
Wiley John & Sons Inc—9.32K$285.5K0.0%—Held
Dimensional Etf Trust—5.92K$285.2K0.0%—Held
Western Un Co—30.6K$284.9K0.0%—Held
Smurfit Westrock PlcSW7.35K$284.3K0.0%—Held
Cryoport, Inc.CYRX29.6K$284.2K0.0%—Held
Schwab Strategic Tr—11.1K$283.9K0.0%—Held
Vanguard Malvern Fds—3.63K$283.8K0.0%—Held
First Tr Exchange-Traded Alp—3.18K$283.7K0.0%—Held
Spdr Series Trust—10.7K$283.3K0.0%—Held
Franklin Bsp Rlty Tr Inc—28.2K$283.2K0.0%—Held
Spdr Index Shs Fds—3.68K$282.4K0.0%—Held
Agios Pharmaceuticals, Inc.AGIO10.4K$282.3K0.0%—Held
BankUnited, Inc.BKU6.32K$281.8K0.0%—Held
Vanguard Admiral Fds Inc—2.32K$281.8K0.0%—Held
Rbb Fd Inc—8.09K$281.6K0.0%—Held
Accel Entertainment, Inc.ACEL24.7K$281.3K0.0%—Held
Jfrog LtdFROG4.5K$280.8K0.0%—Held
The Oncology Institute Inc—78.6K$279.9K0.0%—Held
InMode Ltd.INMD19K$279.8K0.0%—Held
Hawthorn Bancshares, Inc.HWBK8.02K$279.7K0.0%—Held
Invesco Exchange Traded Fd T—3.88K$279.1K0.0%—Held
Farmland Partners Inc.FPI28.7K$278.5K0.0%—Held
Putnam Premier Income Tr—78.6K$278.1K0.0%—Held
Invesco Exchange Traded Fd T—2.51K$278.1K0.0%—Held
Bank America Corp—222$277.9K0.0%—Held
Mitek Sys Inc—26.3K$277.2K0.0%—Held
Costamare Bulkers Hldgs Ltd—18K$277.1K0.0%—Held
Pacer Fds Tr—7.14K$276K0.0%—Held
Simplify Exchange Traded Fun—10.1K$275.4K0.0%—Held
Ponce Financial Group, Inc.PDLB16.8K$275.2K0.0%—Held
Bloomin' Brands, Inc.BLMN44.6K$275K0.0%—Held
Highland Opps & Income Fd—46K$275K0.0%—Held
Kosmos Energy Ltd.KOS302.6K$274.5K0.0%—Held
Kayne Anderson Energy Infrst—22.2K$274.3K0.0%—Held
USA Rare Earth, Inc.USAR23K$274.1K0.0%—Held
Luxfer Hldgs Plc—20.2K$273.6K0.0%—Held
Citi Trends IncCTRN6.58K$273.4K0.0%—Held
Vita Coco Co Inc—5.16K$273.4K0.0%—Held
Indivior Plc—7.61K$273K0.0%—Held
First Tr Exchange Trad Fd Vi—11.7K$272.8K0.0%—Held
Amplify Etf Tr—4.18K$272.8K0.0%—Held
Green Plains Inc.GPRE27.8K$272.7K0.0%—Held
Adams Diversified Equity Fd—11.7K$272.6K0.0%—Held
Potlatchdeltic Corporation—6.85K$272.6K0.0%—Held
Tortoise Energy Infra Corp—6.66K$272.5K0.0%—Held
Nano Nuclear Energy Inc.NNE11.3K$272.4K0.0%—Held
Xencor IncXNCR17.8K$272.4K0.0%—Held
Symbotic Inc.SYM4.58K$272.3K0.0%—Held
Beacon Financial CorpBBT10.3K$271.6K0.0%—Held
Amn Healthcare Svcs Inc—17.2K$271.6K0.0%—Held
Wisdomtree Tr—5.21K$270.9K0.0%—Held
Geron CorpGERN203.8K$269.1K0.0%—Held
Theravance Biopharma, Inc.TBPH14.4K$268.9K0.0%—Held
Spdr Series Trust—3K$268.7K0.0%—Held
Intrepid Potash, Inc.IPI9.69K$268.6K0.0%—Held
Victory Portfolios Ii—6.81K$268K0.0%—Held
Peloton Interactive, Inc.PTON43.5K$267.7K0.0%—Held
Arlo Technologies, Inc.ARLO19.1K$267.1K0.0%—Held
Invesco Exchange Traded Fd T—2.55K$266.9K0.0%—Held
Vestis CorpVSTS40K$266.8K0.0%—Held
Spdr Series Trust—8.38K$265.7K0.0%—Held
Invesco Exch Traded Fd Tr Ii—3.13K$264.2K0.0%—Held
Spdr Series Trust—2K$263.9K0.0%—Held
Vaneck Etf Trust—1.39K$263.6K0.0%—Held
Trupanion, Inc.TRUP7.03K$262.6K0.0%—Held
Pacer Fds Tr—6.35K$261.7K0.0%—Held
First Advantage Corp New—18K$261.2K0.0%—Held
Ishares Tr—2.84K$260.6K0.0%—Held
Invesco Calif Value Mun Inco—23.4K$260.5K0.0%—Held
Genworth Finl Inc—28.8K$259.8K0.0%—Held
Ultragenyx Pharmaceutical In—11.3K$259.1K0.0%—Held
Gabelli Hlthcare & Wellness—26.9K$259.1K0.0%—Held
Anavex Life Sciences Corp.AVXL72.7K$259K0.0%—Held
Armada Hoffler Pptys Inc—39.1K$258.8K0.0%—Held
Iamgold CorpIAG15.7K$258.5K0.0%—Held
Niagen Bioscience, Inc.NAGE40.6K$258.4K0.0%—Held
Global X Fds—8.6K$258.4K0.0%—Held
Chatham Lodging Tr—37.9K$258.3K0.0%—Held
Opus Genetics, Inc.IRD128.4K$258K0.0%—Held
Vanguard Bd Index Fds—3.71K$257.9K0.0%—Held
Dimensional Etf Trust—5.94K$257.8K0.0%—Held
Vaneck Etf Trust—5.04K$257.7K0.0%—Held
Novagold Res IncNG27.6K$257.7K0.0%—Held
Dbx Etf Tr—6.99K$257.5K0.0%—Held
Lithium Amers Corp New—58.9K$257K0.0%—Held
American Centy Etf Tr—5.55K$256.8K0.0%—Held
Absci CorpABSI73.6K$256.7K0.0%—Held
Ishares Tr—3.92K$255.1K0.0%—Held
Invesco Exchange Traded Fd T—3.1K$255.1K0.0%—Held
Himax Technologies, Inc.HIMX31.1K$255K0.0%—Held
Flexshares Tr—5.19K$255K0.0%—Held
Invesco Db Multi-Sector Comm—9.86K$251.7K0.0%—Held
Clearway Energy, Inc.CWEN8.01K$251.7K0.0%—Held
Obsidian Energy Ltd.OBE41K$251.3K0.0%—Held
Curbline Pptys Corp—10.8K$251.2K0.0%—Held
Rmr Group Inc.RMR16.8K$251K0.0%—Held
Franklin Templeton Etf Tr—10.1K$250.2K0.0%—Held
Global X Fds—7.22K$250.2K0.0%—Held
Fulcrum Therapeutics, Inc.FULC22.1K$250K0.0%—Held
Arbutus Biopharma CorpABUS51.9K$249.7K0.0%—Held
Tpg Re Fin Tr Inc—29K$249.7K0.0%—Held
Ishares Inc—7.28K$249.3K0.0%—Held
Barings BDC, Inc.BBDC27.1K$249K0.0%—Held
Acadia Rlty Tr—12.1K$248.8K0.0%—Held
Telefonaktiebolaget Lm Erics—25.7K$248.2K0.0%—Held
Pebblebrook Hotel Tr—21.9K$248.1K0.0%—Held
Sana Biotechnology, Inc.SANA60.9K$247.9K0.0%—Held
UroGen Pharma Ltd.URGN10.6K$247.7K0.0%—Held
Palmer Square Capital Bdc In—20.3K$247.7K0.0%—Held
Korea Elec Pwr Corp—15K$247.6K0.0%—Held
Fidelity Covington Trust—4.48K$247.5K0.0%—Held
Kura Sushi Usa, Inc.KRUS4.73K$247.4K0.0%—Held
Hillman Solutions Corp.HLMN28.4K$246.3K0.0%—Held
Ceva IncCEVA11.4K$246.3K0.0%—Held
Bluelinx Hldgs Inc—4K$245.7K0.0%—Held
Niq Global Intelligence PlcNIQ14.9K$245.4K0.0%—Held
Sprinklr, Inc.CXM31.5K$245.1K0.0%—Held
Hyster-Yale, Inc.HY8.24K$244.9K0.0%—Held
Blackrock Muni Income Tr Ii—23.4K$244.1K0.0%—Held
Coty Inc.COTY79.2K$244K0.0%—Held
Centuri Holdings, Inc.CTRI9.66K$243.8K0.0%—Held
Fox Corp—3.75K$243.5K0.0%—Held
Westamerica BancorporationWABC5.09K$243.4K0.0%—Held
National Presto Inds Inc—2.28K$243.3K0.0%—Held
First Tr Exch Trd Alphdx Fd—3.06K$243K0.0%—Held
Bread Financial Holdings Inc—3.28K$243K0.0%—Held
Lsb Inds Inc—28.5K$242.6K0.0%—Held
Tidal Trust I—1.83K$241.9K0.0%—Held
Carriage Svcs Inc—5.71K$241.7K0.0%—Held
Cohen & Steers Ltd Duration—11.4K$241.3K0.0%—Held
Permian Basin Rty Tr—14.2K$241.2K0.0%—Held
Ishares Tr—6.35K$240.9K0.0%—Held
Makemytrip Limited Mauritius—2.93K$240.5K0.0%—Held
Blackrock Enhanced Equity Di—25.4K$240.4K0.0%—Held
SelectQuote, Inc.SLQT170.1K$239.9K0.0%—Held
Nuveen Pfd & Income Opportun—29.6K$239.8K0.0%—Held
Thermon Group Hldgs Inc—6.44K$239.2K0.0%—Held
Aim Etf Products Trust—7.13K$239.1K0.0%—Held
Alexanders IncALX1.1K$239K0.0%—Held
Invesco Exch Traded Fd Tr Ii—4.58K$238.4K0.0%—Held
Neos Etf Trust—4.26K$238.3K0.0%—Held
United States Antimony CorpUAMY47.4K$238.1K0.0%—Held
Teekay Corp LtdTK26.3K$237.3K0.0%—Held
RXO, Inc.RXO18.7K$236.9K0.0%—Held
Pulse Biosciences, Inc.PLSE17.2K$236.7K0.0%—Held
Akebia Therapeutics, Inc.AKBA146.7K$236.2K0.0%—Held
American Coastal Ins Corp—18.7K$236.1K0.0%—Held
Or Royalties Inc.OR6.66K$235.9K0.0%—Held
Day One Biopharmaceuticals I—25.3K$235.7K0.0%—Held
Ezcorp IncEZPW12.1K$235.7K0.0%—Held
Etf Ser Solutions—12K$235.1K0.0%—Held
Marcus Corp Del—15.2K$235K0.0%—Held
Amplify Etf Tr—8.49K$235K0.0%—Held
First Tr Exchange Traded Fd—3.97K$234.8K0.0%—Held
Grocery Outlet Hldg Corp—23.2K$234.5K0.0%—Held
Dimensional Etf Trust—4.33K$234K0.0%—Held
Gamco Nat Res Gold & Income—31.3K$233.5K0.0%—Held
Oruka Therapeutics, Inc.ORKA7.7K$233.3K0.0%—Held
Strattec Sec Corp—3.06K$232.9K0.0%—Held
Dakota Gold Corp.DC41K$232.7K0.0%—Held
Regional Mgmt Corp—5.98K$231.9K0.0%—Held
Scripps E W Co Ohio—58.1K$231.8K0.0%—Held
World Kinect CorpWKC9.88K$231.6K0.0%—Held
Hancock John Finl Opptys Fd—6.6K$231.5K0.0%—Held
Enhabit Inc—25.1K$231.2K0.0%—Held
CenterspaceCSR3.46K$231.1K0.0%—Held
Ngl Energy Partners Lp—23.1K$231.1K0.0%—Held
Dbx Etf Tr—4.81K$231K0.0%—Held
Ceribell, Inc.CBLL10.5K$230.4K0.0%—Held
Mesoblast Ltd—12.8K$230.2K0.0%—Held
Ardmore Shipping CorpASC21.7K$230K0.0%—Held
Ishares Inc—5.69K$229.9K0.0%—Held
Corsair Gaming, Inc.CRSR38.7K$229.8K0.0%—Held
Nuveen S&P 500 Buy-Write Inc—15.6K$229.8K0.0%—Held
Invesco Exch Trd Slf Idx Fd—9.84K$229.6K0.0%—Held
Orchid Is Cap Inc—31.8K$229K0.0%—Held
Blackrock Science & Technolo—5.64K$228.8K0.0%—Held
Callan Jmb Inc.CJMB205.7K$228.3K0.0%—Held
Invesco Exchange Traded Fd T—7.87K$228.3K0.0%—Held
Olympic Steel Inc—5.31K$227.1K0.0%—Held
Entrada Therapeutics, Inc.TRDA22.1K$227K0.0%—Held
Finvolution Group—43.4K$226.8K0.0%—Held
Manitowoc Co IncMTW18.9K$226.5K0.0%—Held
Harley-Davidson, Inc.HOG11K$226.2K0.0%—Held
Etfis Ser Tr I—10.5K$226.1K0.0%—Held
Aim Etf Products Trust—8.03K$225.9K0.0%—Held
Rgc Res Inc—10.6K$225.9K0.0%—Held
Climb Global Solutions, Inc.CLMB2.2K$225.7K0.0%—Held
New Gold Inc Cda—25.9K$225.6K0.0%—Held
Global X Fds—7.66K$225.5K0.0%—Held
Summit Therapeutics Inc.SMMT12.8K$224.1K0.0%—Held
Vaneck Etf Trust—785$223.5K0.0%—Held
First Tr Exchng Traded Fd Vi—4.17K$223K0.0%—Held
Civista Bancshares, Inc.CIVB10K$222.8K0.0%—Held
Dbx Etf Tr—2.35K$222K0.0%—Held
Liquidity Svcs Inc—7.32K$221.9K0.0%—Held
Soleno Therapeutics Inc—4.79K$221.7K0.0%—Held
Diversified Energy CoDEC15.3K$221.7K0.0%—Held
Ishares Tr—2.68K$221.4K0.0%—Held
Ubs Ag London Branch—8.75K$221.3K0.0%—Held
Royce Small-Cap Trust, Inc.RVT13.7K$221.1K0.0%—Held
Vaneck Etf Trust—3.03K$220.8K0.0%—Held
Invesco Exchange Traded Fd T—4.52K$220.8K0.0%—Held
Trustco Bk Corp N Y—5.33K$220.1K0.0%—Held
Calamos Etf Tr—8.09K$220.1K0.0%—Held
Unity Bancorp Inc—4.25K$220.1K0.0%—Held
Listed Fds Tr—4.12K$219.3K0.0%—Held
Johnson Outdoors IncJOUT5.15K$218.8K0.0%—Held
Under Armour Inc—45.5K$218.5K0.0%—Held
Dennys Corp—35K$217.8K0.0%—Held
Pimco Etf Tr—2.22K$217.2K0.0%—Held
Dorchester Minerals LpDMLP9.71K$217.2K0.0%—Held
Mechanics BancorpMCHB14.8K$216.9K0.0%—Held
EVgo Inc.EVGO74.5K$216.8K0.0%—Held
Nushares Etf Tr—9.68K$216.4K0.0%—Held
Douglas Dynamics, IncPLOW6.62K$216K0.0%—Held
Alps Etf Tr—4.44K$215.7K0.0%—Held
Invesco Exch Trd Slf Idx Fd—9.51K$215.2K0.0%—Held
Golub Cap Bdc Inc—15.8K$214.8K0.0%—Held
loanDepot, Inc.LDI103.4K$214.1K0.0%—Held
Dimensional Etf Trust—5.15K$213.7K0.0%—Held
Global X Fds—12.3K$213.6K0.0%—Held
Innovator Etfs Trust—4.88K$213.4K0.0%—Held
Victory Portfolios Ii—7.56K$212.9K0.0%—Held
Life360 Inc—3.32K$212.9K0.0%—Held
Fidelity Covington Trust—5.21K$212.3K0.0%—Held
First Tr Exchange-Traded Fd—10.3K$211.8K0.0%—Held
Ishares Inc—2.05K$211.6K0.0%—Held
Conduent IncCNDT110.1K$211.4K0.0%—Held
Ingevity CorpNGVT3.57K$211.3K0.0%—Held
First Bancorp P R—10.2K$210.8K0.0%—Held
Dws Mun Income Tr New—23.1K$210.2K0.0%—Held
Ondas Hldgs IncONDS21.5K$210K0.0%—Held
Aim Etf Products Trust—6.19K$209.5K0.0%—Held
Ishares Tr—8.26K$208.4K0.0%—Held
Tandem Diabetes Care IncTNDM9.48K$208.3K0.0%—Held
Blackrock Mun Target Term Tr—9.13K$208.3K0.0%—Held
Sable Offshore Corp.SOC23.1K$208K0.0%—Held
Tidal Trust Ii—5.57K$207.9K0.0%—Held
FuboTV Inc.FUBO82.5K$207.8K0.0%—Held
Bitfarms Ltd—88.4K$207.8K0.0%—Held
Soho House & Co Inc—23.2K$207.6K0.0%—Held
Landmark Bancorp IncLARK7.92K$207.6K0.0%—Held
Arteris, Inc.AIP13.4K$207.4K0.0%—Held
Ishares Inc—2.99K$207.4K0.0%—Held
Phibro Animal Health CorpPAHC5.53K$206.7K0.0%—Held
Innovator Etfs Trust—3.85K$206.6K0.0%—Held
Blackrock Cap Allocation Ter—14.6K$206.5K0.0%—Held
Colony Bankcorp IncCBAN11.6K$206.3K0.0%—Held
Cheniere Energy Partners LpCQP3.86K$206.3K0.0%—Held
Ishares Inc—3.25K$206.2K0.0%—Held
Eaton Vance Tx Adv Glbl Div—8.93K$206.2K0.0%—Held
Astrana Health, Inc.ASTH8.31K$206.1K0.0%—Held
Neos Etf Trust—6.86K$205.9K0.0%—Held
Evolv Technologies Hldngs In—28.7K$205.7K0.0%—Held
Bank Montreal Medium—3.02K$205.6K0.0%—Held
Cvr Partners, LpUAN2K$205.1K0.0%—Held
Cia Energetica De Minas Gera—102.5K$205K0.0%—Held
Ranger Energy Svcs Inc—14.7K$204.9K0.0%—Held
Invesco Exchange Traded Fd T—3.58K$204.4K0.0%—Held
Ishares Tr—2.08K$204.4K0.0%—Held
Innovator Etfs Trust—5.22K$204.1K0.0%—Held
Beta Bionics, Inc.BBNX6.7K$204.1K0.0%—Held
Blackrock Science & Technolo—9.02K$204K0.0%—Held
Contango Ore IncCTGO7.71K$203.7K0.0%—Held
Consensus Cloud Solutions In—9.32K$203.4K0.0%—Held
Dbx Etf Tr—6.19K$203.3K0.0%—Held
Ishares Tr—5.98K$203.2K0.0%—Held
Recursion Pharmaceuticals In—49.5K$202.6K0.0%—Held
Pimco Etf Tr—7.59K$202.6K0.0%—Held
Rbb Fd Inc—3.99K$202.5K0.0%—Held
Cross Ctry Healthcare Inc—25K$202.4K0.0%—Held
Invesco Exchange Traded Fd T—3.86K$202.3K0.0%—Held
Cion Invt Corp—20.9K$202.3K0.0%—Held
HireQuest, Inc.HQI19.2K$202.2K0.0%—Held
Vaneck Etf Trust—6.87K$201.6K0.0%—Held
Blackrock Esg Cap Allc Term—13.1K$200.8K0.0%—Held
Novocure LtdNVCR15.5K$200.7K0.0%—Held
Douglas Emmett IncDEI18.2K$200.2K0.0%—Held
PagerDuty, Inc.PD15.3K$200.2K0.0%—Held
Innovator Etfs Trust—4.06K$200.1K0.0%—Held
Mfa Finl Inc—21.5K$200K0.0%—Held
Ramaco Res Inc—11.1K$199.4K0.0%—Held
Ferroglobe PlcGSM43K$199.4K0.0%—Held
Vaneck Etf Trust—10.4K$199.1K0.0%—Held
Lexinfintech Hldgs Ltd—60K$196.2K0.0%—Held
Amprius Technologies Inc—24.8K$195.4K0.0%—Held
Chaince Digital Holdings Inc.CD39.1K$194.5K0.0%—Held
CareCloud, Inc.CCLD66.3K$193.7K0.0%—Held
Grifols S A—20.7K$193.4K0.0%—Held
Apollo Coml Real Est Fin Inc—19.9K$193K0.0%—Held
Orthofix Med Inc—12.7K$192.9K0.0%—Held
Curevac N V—42.7K$192.9K0.0%—Held
Eaton Vance Natl Mun Opport—11.4K$192.5K0.0%—Held
Spdr Series Trust—10.1K$191.9K0.0%—Held
Abrdn Healthcare InvestorsHQH10.1K$191.6K0.0%—Held
GENELUX CorpGNLX43.8K$191K0.0%—Held
Li Auto Inc—11.3K$190.5K0.0%—Held
Serve Robotics Inc—18.3K$190.2K0.0%—Held
Ni Hldgs Inc—14.2K$189.4K0.0%—Held
Redwire CorpRDW24.8K$188.2K0.0%—Held
First Bk Williamstown New Je—11.4K$187.4K0.0%—Held
Pitney Bowes Inc—17.7K$187.2K0.0%—Held
Sinclair, Inc.SBGI12.2K$186K0.0%—Held
Helix Energy Solutions Grp I—29.4K$184.6K0.0%—Held
Blackrock Corpor Hi Yld Fd I—20.7K$184.5K0.0%—Held
Organogenesis Hldgs Inc—35.6K$184.3K0.0%—Held
Putnam Etf Trust—25.1K$183.5K0.0%—Held
Global Business Travel Group, Inc.GBTG23.9K$182.8K0.0%—Held
Putnam Etf Trust—15.7K$181.7K0.0%—Held
Quantum Computing Inc.QUBT17.7K$181.2K0.0%—Held
Tic Solutions Inc—17.9K$180.5K0.0%—Held
Whitestone Reit—12.9K$179.9K0.0%—Held
Ardagh Metal Packaging S A—43.6K$178.9K0.0%—Held
Aldeyra Therapeutics, Inc.ALDX34.5K$178.8K0.0%—Held
enCore Energy Corp.EU71.4K$177.1K0.0%—Held
Nuveen Mun High Income Oppor—17.3K$176.6K0.0%—Held
Guggenheim Strategic Opportu—13.7K$176.1K0.0%—Held
Boston Omaha CorpBOC14.2K$175.9K0.0%—Held
Nuveen Quality Muncp Income—14.6K$175.3K0.0%—Held
Wolfspeed, Inc.WOLF10.1K$175.1K0.0%—Held
Blackrock Munihldngs Cali Ql—16.5K$174.8K0.0%—Held
Cmb.Tech NvCMBT18.1K$174.3K0.0%—Held
Sunopta Inc—45.8K$173.9K0.0%—Held
TechTarget, Inc.TTGT31.9K$172.4K0.0%—Held
Altimmune, Inc.ALT46.9K$169.3K0.0%—Held
Digimarc Corp New—25.8K$169.2K0.0%—Held
PubMatic, Inc.PUBM19.1K$169.1K0.0%—Held
ClearPoint Neuro, Inc.CLPT12.2K$167.2K0.0%—Held
Nuveen California Muni Vlu F—18.7K$167K0.0%—Held
Stagwell IncSTGW34.1K$166.8K0.0%—Held
Endeavour Silver CorpEXK17.7K$166.4K0.0%—Held
Arbor Realty Trust Inc—21.4K$166.2K0.0%—Held
Ardelyx, Inc.ARDX28.4K$165.8K0.0%—Held
Clear Channel Outdoor Hldgs—74.1K$163.7K0.0%—Held
Purecycle Technologies Inc—19K$163.4K0.0%—Held
Bain Cap Specialty Fin Inc—11.7K$162.9K0.0%—Held
AdaptHealth Corp.AHCO16.3K$162.6K0.0%—Held
Black Stone Minerals, L.P.BSM12.2K$162.3K0.0%—Held
Midcap Financial Invstmnt Co—14.1K$161.8K0.0%—Held
Peakstone Realty Trust—11.3K$161.6K0.0%—Held
Pennantpark Invt Corp—27K$161K0.0%—Held
Neuberger Next Generation—11.1K$160.6K0.0%—Held
Stitch Fix, Inc.SFIX30.6K$160.6K0.0%—Held
BlackBerry LtdBB42.2K$160.1K0.0%—Held
Evolus, Inc.EOLS24.1K$160K0.0%—Held
Summit St Bk Santa Rosa Cali—13.8K$159.9K0.0%—Held
Bandwidth Inc.BAND10.3K$159.1K0.0%—Held
Baytex Energy Corp.BTE49K$158.3K0.0%—Held
RLX Technology Inc.RLX67.8K$158.1K0.0%—Held
Xerox Holdings Corp—66.3K$157.1K0.0%—Held
Sunstone Hotel Invs Inc New—17.5K$156.9K0.0%—Held
Varex Imaging CorpVREX13.4K$156.4K0.0%—Held
Fossil Group, Inc.FOSL41.3K$155.4K0.0%—Held
Centrais Elet Bras Sa—17.9K$154.1K0.0%—Held
Aclaris Therapeutics, Inc.ACRS51.2K$154K0.0%—Held
Nextdecade CorpNEXT29.2K$154K0.0%—Held
Paysafe Limited—18.9K$152.9K0.0%—Held
Virtus Total Return Fd Inc—24.2K$152.5K0.0%—Held
Talkspace, Inc.TALK42K$152.4K0.0%—Held
Abacus Global Mgmt Inc—17.6K$150.9K0.0%—Held
Gogo Inc.GOGO32.1K$149.8K0.0%—Held
Titan Intl Inc Ill—18.9K$148K0.0%—Held
Hancock John Prem Divid Fd—11.5K$145.5K0.0%—Held
TravelzooTZOO20.4K$144.9K0.0%—Held
Noah Hldgs Ltd—14.4K$144.5K0.0%—Held
Blackrock Invt Quality Mun T—12.8K$143.3K0.0%—Held
AbCellera Biologics Inc.ABCL41.8K$143.1K0.0%—Held
Credit Suisse High Yield Cre—71.4K$142.8K0.0%—Held
Teladoc Health, Inc.TDOC20.2K$141.7K0.0%—Held
Gossamer Bio, Inc.GOSS45.6K$141.4K0.0%—Held
Cantaloupe Inc—13.3K$141.2K0.0%—Held
Melco Resorts And Entmnt Ltd—18.6K$140.7K0.0%—Held
Solid Biosciences Inc.SLDB24.9K$140.4K0.0%—Held
Braskem S ABAK47.5K$140K0.0%—Held
Safehold Inc.SAFE10.2K$139.5K0.0%—Held
Tilray Brands, Inc.TLRY15.4K$138.8K0.0%—Held
Lucid Group, Inc.LCID13.1K$138.1K0.0%—Held
Butterfly Network, Inc.BFLY36.2K$137.4K0.0%—Held
Eventbrite Inc—30.8K$136.9K0.0%—Held
Niocorp Devs Ltd—25.7K$136K0.0%—Held
Larimar Therapeutics, Inc.LRMR35.6K$135.7K0.0%—Held
BrightSpire Capital, Inc.BRSP24.2K$135.4K0.0%—Held
Adamas Trust Inc.—18.6K$135.4K0.0%—Held
Kelly Svcs Inc—15.4K$135.1K0.0%—Held
Aveanna Healthcare Hldgs Inc—16.5K$134.6K0.0%—Held
ImmunityBio, Inc.IBRX67.6K$133.9K0.0%—Held
Grupo Televisa S A B—45.9K$133.7K0.0%—Held
Olaplex Hldgs Inc—99.6K$133.5K0.0%—Held
Aebi Schmidt Hldg Ag—10.5K$133.1K0.0%—Held
Pangaea Logistics Solution L—19.1K$131.3K0.0%—Held
Kimbell Rty Partners Lp—11.1K$130.6K0.0%—Held
Bausch Health Cos Inc—18.6K$129.4K0.0%—Held
Tidal Trust Ii—12.9K$128.6K0.0%—Held
Rlj Lodging Tr—17.2K$128.5K0.0%—Held
HighPeak Energy, Inc.HPK26.9K$127.5K0.0%—Held
New Mtn Fin Corp—13.8K$126.8K0.0%—Held
Profrac Hldg Corp—32.5K$126.3K0.0%—Held
Invesco Mortgage Capital Inc—15K$126.2K0.0%—Held
Digital Turbine, Inc.APPS25.2K$126.2K0.0%—Held
Bumble Inc.BMBL35.3K$125.9K0.0%—Held
Personalis, Inc.PSNL15.8K$125.5K0.0%—Held
Tmc The Metals Company Inc—20.2K$124.6K0.0%—Held
Clean Energy Fuels Corp.CLNE59K$123.9K0.0%—Held
Meiragtx Hldgs Plc—15.4K$122.8K0.0%—Held
Cerence Inc.CRNC11.4K$121.4K0.0%—Held
Summit Hotel Pptys Inc—24.9K$121.1K0.0%—Held
Oric Pharmaceuticals, Inc.ORIC14.8K$120.9K0.0%—Held
Annexon, Inc.ANNX24K$120.5K0.0%—Held
Priority Technology Hldgs In—21.5K$117.3K0.0%—Held
Advisorshares Tr—24.9K$117.3K0.0%—Held
Verastem, Inc.VSTM15K$116K0.0%—Held
Calamos Conv Opportunities &—11K$115.3K0.0%—Held
Medallion Finl Corp—11.1K$114.6K0.0%—Held
Nuveen New York Amt Qlt Muni—11.3K$113.8K0.0%—Held
Exp World Hldgs IncAGNT12.5K$113.1K0.0%—Held
Red Cat Hldgs Inc—14.2K$112.8K0.0%—Held
Alliancebernstein Global Hig—10.5K$112.2K0.0%—Held
Iheartmedia Inc—26.8K$111.3K0.0%—Held
Perspective Therapeutics, Inc.CATX40.4K$111.1K0.0%—Held
Osisko Development Corp—31.7K$110.5K0.0%—Held
Uniti Group Inc.UNIT15.7K$110.1K0.0%—Held
Empire St Rlty Op L P—17.5K$110K0.0%—Held
Petco Health & Wellness Co I—39.1K$109.8K0.0%—Held
Blackrock Muniyield Quality—10K$108.9K0.0%—Held
Fermi Inc.FRMI13.5K$107.7K0.0%—Held
Invesco Advantage Mun Income—11.8K$107.6K0.0%—Held
Weibo Corp—10.5K$107.4K0.0%—Held
Yext, Inc.YEXT13.2K$106K0.0%—Held
Atai Beckley Nv—25.8K$105.4K0.0%—Held
Cardiff Oncology, Inc.CRDF37.5K$105.2K0.0%—Held
Greystone Housing Impact Inv—15.2K$104.9K0.0%—Held
ChargePoint Holdings, Inc.CHPT15.7K$104.2K0.0%—Held
Xunlei LtdXNET14.7K$104K0.0%—Held
Gamco Global Gold Nat Res &—20.1K$103.9K0.0%—Held
Avino Silver & Gold Mines Lt—16.7K$103.9K0.0%—Held
Zevra Therapeutics, Inc.ZVRA11.5K$103.4K0.0%—Held
Abrdn Total Dynamic Dividend—10.6K$103.1K0.0%—Held
Lexeo Therapeutics, Inc.LXEO10.4K$102.9K0.0%—Held
Putnam Etf Trust—13.1K$102.4K0.0%—Held
Mbia IncMBI14.3K$102.4K0.0%—Held
Empire St Rlty Tr Inc—15.5K$100.8K0.0%—Held
Honest Co Inc—38.9K$100.4K0.0%—Held
VNET Group, Inc.VNET11.5K$97.6K0.0%—Held
Elevation Series Trust—11.9K$97.3K0.0%—Held
Strata Critical Medical, Inc.SRTA20K$96.4K0.0%—Held
Latham Group, Inc.SWIM15K$95.2K0.0%—Held
8x8 Inc New—48.1K$94.7K0.0%—Held
Kopin CorpKOPN40.3K$94.2K0.0%—Held
Certara, Inc.CERT10.6K$93.8K0.0%—Held
Repay Hldgs Corp—25.2K$91.9K0.0%—Held
FTAI Infrastructure Inc.FIP19.9K$91.7K0.0%—Held
Airship Ai Hldgs Inc—31.6K$91.4K0.0%—Held
Domo, Inc.DOMO10.8K$91.4K0.0%—Held
Mimedx Group, Inc.MDXG13.3K$90.3K0.0%—Held
Safe Bulkers Inc—18.5K$89.1K0.0%—Held
Solid Power Inc—20.7K$87.8K0.0%—Held
New Pac Metals Corp—24.9K$87.4K0.0%—Held
Atea Pharmaceuticals, Inc.AVIR24.1K$86K0.0%—Held
Sight Sciences, Inc.SGHT10.8K$85.6K0.0%—Held
Eagle Point Credit Company I—14.3K$82.2K0.0%—Held
Abrdn Emerging Markets Ex Ch—11.7K$82.1K0.0%—Held
Cbre Gbl Real Estate Inc Fd—18.7K$82.1K0.0%—Held
Ihs Holding Limited—10.9K$81.2K0.0%—Held
Kindercare Learning Companie—18.8K$81.1K0.0%—Held
Health Catalyst, Inc.HCAT33.8K$80.7K0.0%—Held
Bioventus Inc.BVS10.7K$79.8K0.0%—Held
I-80 Gold Corp—54.4K$79.5K0.0%—Held
New Fortress Energy Inc.NFE69.6K$79.4K0.0%—Held
Quad/Graphics, Inc.QUAD12.6K$78.8K0.0%—Held
Webull Corp—10K$77.7K0.0%—Held
LG Display Co., Ltd.LPL18.4K$77.5K0.0%—Held
Laird Superfood, Inc.LSF34.6K$76.9K0.0%—Held
American Res Corp—30.7K$76.1K0.0%—Held
Clearsign Technologies CorpCLIR136.1K$75.7K0.0%—Held
Apartment Invt & Mgmt Co—12.7K$75.3K0.0%—Held
Datavault AI Inc.DVLT114.2K$74.5K0.0%—Held
agilon health, inc.AGL108K$74.4K0.0%—Held
Pimco Strategic Income Fd—13.2K$73.4K0.0%—Held
Cerus CorpCERS35.5K$73.2K0.0%—Held
Opko Health, Inc.OPK58.1K$73.2K0.0%—Held
Westrock Coffee CoWEST18K$73.2K0.0%—Held
Blackrock Enhanced Intl Div—12.4K$72.8K0.0%—Held
Microvast Holdings, Inc.MVST25.5K$71.4K0.0%—Held
Gold Royalty Corp—17.5K$70.9K0.0%—Held
Ziprecruiter, Inc.ZIP18.1K$70.8K0.0%—Held
Riverview Bancorp IncRVSB14K$70.4K0.0%—Held
Brandywine Rlty Tr—23.6K$68.8K0.0%—Held
Noodles & CoNDLS96.7K$68.3K0.0%—Held
Eve Hldg Inc—17K$68K0.0%—Held
T1 Energy Inc.TE10.1K$67.8K0.0%—Held
Orchestra Biomed Hldgs Inc—16.3K$67.6K0.0%—Held
Ur-Energy IncURG48.3K$67.2K0.0%—Held
Powerfleet, Inc.AIOT12.6K$66.9K0.0%—Held
Redwood Trust Inc—12K$66.3K0.0%—Held
Claros Mtg Tr Inc—21.6K$66.2K0.0%—Held
PodcastOne, Inc.PODC26.7K$65.9K0.0%—Held
Orion S.A.OEC12.5K$65.9K0.0%—Held
X4 Pharmaceuticals, IncXFOR16.4K$65.7K0.0%—Held
Northern Dynasty Minerals Lt—33K$65.1K0.0%—Held
James Riv Group Holdings Inc—10.2K$65.1K0.0%—Held
AMERICAN BATTERY TECHNOLOGY CoABAT19.3K$64.3K0.0%—Held
GoldMining Inc.GLDG50.4K$63K0.0%—Held
Prime Medicine, Inc.PRME17.9K$62.1K0.0%—Held
BlackRock TCP Capital Corp.TCPC11.3K$61.6K0.0%—Held
Aura Biosciences, Inc.AURA11.3K$61.6K0.0%—Held
Compass Diversified—12.7K$60.7K0.0%—Held
Optimum Communications, Inc.OPTU36.8K$60.7K0.0%—Held
Blend Labs, Inc.BLND19.8K$60.2K0.0%—Held
Clover Health Investments Co—25.6K$60.2K0.0%—Held
High Templar Technology Ltd—16.9K$60K0.0%—Held
Apyx Medical CorpAPYX16.9K$59.1K0.0%—Held
Beeline Holdings, Inc.BLNE34.4K$59.1K0.0%—Held
Standard Biotools Inc.LAB46K$58.9K0.0%—Held
Intensity Therapeutics, Inc.INTS143.1K$58.7K0.0%—Held
Ranpak Holdings Corp.PACK10.6K$57.2K0.0%—Held
Goodrx Hldgs Inc—21.1K$57.2K0.0%—Held
Cosan S.A.CSAN14.4K$56.9K0.0%—Held
Gevo, Inc.GEVO28.1K$56.2K0.0%—Held
ASP Isotopes Inc.ASPI10.4K$55.8K0.0%—Held
Blaize Hldgs Inc—134.7K$53.9K0.0%—Held
Humacyte Inc—55.9K$53.7K0.0%—Held
Atlas Lithium CorpATLX12.5K$53K0.0%—Held
Rekor Systems, Inc.REKR36.7K$50.7K0.0%—Held
W&T Offshore IncWTI31.1K$50.7K0.0%—Held
Amplify Energy Corp New—10.9K$49.9K0.0%—Held
Village Farms Intl Inc—13.5K$49.4K0.0%—Held
Hyliion Holdings Corp.HYLN26.6K$48.9K0.0%—Held
3-D Sys Corp Del—27K$47.7K0.0%—Held
Willamette Vy Vineyard Inc—15.6K$47.6K0.0%—Held
Sabre CorpSABR34.9K$47.5K0.0%—Held
Milestone Pharmaceuticals In—23.4K$47.3K0.0%—Held
Galectin Therapeutics IncGALT11.3K$46.9K0.0%—Held
Genasys Inc.GNSS21.8K$46.7K0.0%—Held
Inventiva Sa—10K$46.5K0.0%—Held
Banco Bradesco S A—13.6K$45.4K0.0%—Held
Shattuck Labs, Inc.STTK12.3K$45K0.0%—Held
MAIA Biotechnology, Inc.MAIA28.8K$44.1K0.0%—Held
Pulmonx CorpLUNG19K$42.1K0.0%—Held
Transact Technologies IncTACT10.5K$42.1K0.0%—Held
Hive Digital Technologies Lt—15.9K$41K0.0%—Held
Cognition Therapeutics IncCGTX30K$40.5K0.0%—Held
American Bitcoin Corp.ABTC22.7K$38.6K0.0%—Held
Fractyl Health, Inc.GUTS17.5K$38.5K0.0%—Held
Unisys CorpUIS13.5K$37.2K0.0%—Held
Amc Entmt Hldgs Inc—23.3K$36.4K0.0%—Held
InspireMD, Inc.NSPR19.7K$35.1K0.0%—Held
Mfs Govt Mkts Income Tr—11.6K$35K0.0%—Held
Richtech Robotics Inc.RR10.8K$35K0.0%—Held
Mira Pharmaceuticals, Inc.MIRA22.6K$34.1K0.0%—Held
Neuberger Real Estate—10.7K$32.6K0.0%—Held
Nano Dimension Ltd.NNDM21K$32.4K0.0%—Held
3d Sys Corp Del—34K$30.7K0.0%—Held
Lineage Cell Therapeutics In—18.2K$30.4K0.0%—Held
Ocugen, Inc.OCGN22K$29.6K0.0%—Held
Caribou Biosciences, Inc.CRBU18.5K$29.4K0.0%—Held
Douglas Elliman Inc.DOUG12.4K$29.3K0.0%—Held
Getty Images Holdings, Inc.GETY20.2K$27.1K0.0%—Held
Marker Therapeutics, Inc.MRKR17.3K$25.8K0.0%—Held
BRC Inc.BRCC23K$25.5K0.0%—Held
Two Harbors Inventment Corpo—25K$25K0.0%—Held
Fate Therapeutics IncFATE23.9K$23.5K0.0%—Held
Mammoth Energy Svcs Inc—12.1K$22.4K0.0%—Held
Rumble Inc—11.5K$22.3K0.0%—Held
The Beauty Health CompanySKIN15.8K$22K0.0%—Held
Fury Gold Mines Limited—36.9K$21.8K0.0%—Held
Cardlytics, Inc.CDLX18.5K$21.3K0.0%—Held
International Tower Hill Min—10.5K$19.6K0.0%—Held
Neumora Therapeutics, Inc.NMRA10.9K$19.5K0.0%—Held
Zentek Ltd.ZTEK30.2K$19.3K0.0%—Held
Zeo Energy Corp—17.3K$18.8K0.0%—Held
Immunic, Inc.IMUX35K$18.7K0.0%—Held
Ses Ai Corporation—10.1K$18.2K0.0%—Held
Castellum, Inc.CTM20K$18.1K0.0%—Held
Solitario Resources Corp.XPL25K$17.4K0.0%—Held
Aemetis, IncAMTX11.7K$16.2K0.0%—Held
Strive Inc—21.9K$16.2K0.0%—Held
Pagaya Technologies Ltd—50K$16K0.0%—Held
Biomea Fusion, Inc.BMEA12K$14.9K0.0%—Held
Cytosorbents CorpCTSO21.3K$13.6K0.0%—Held
Defi Technologies, Inc.DEFT17.5K$13.2K0.0%—Held
Westwater Res Inc—17.4K$13.1K0.0%—Held
Lucid Diagnostics Inc.LUCD11.9K$12.9K0.0%—Held
Strata Skin Sciences Inc—10K$12.6K0.0%—Held
Airship Ai Hldgs Inc—15K$12K0.0%—Held
Hain Celestial Group IncHAIN10.9K$11.7K0.0%—Held
Oncolytics Biotech IncONCY13.3K$11.7K0.0%—Held
Affirm Hldgs Inc—12K$11.5K0.0%—Held
Myomo, Inc.MYO11.8K$10.8K0.0%—Held
Neurosense Therapeutics Ltd—11.9K$9.16K0.0%—Held
Reviva Pharmaceutcls Hldgs I—32.1K$8.96K0.0%—Held
Airwa Inc.YYAI11K$8.58K0.0%—Held
Scynexis IncSCYX12.6K$7.99K0.0%—Held
enVVeno Medical CorpNVNO20.9K$6.71K0.0%—Held
Sangamo Therapeutics, IncSGMOQ12.8K$5.4K0.0%—Held
Arbe Robotics Ltd—50K$4K0.0%—Held
Ocean Pwr Technologies Inc—11.9K$3.56K0.0%—Held
Volitionrx LtdVNRX12.8K$3.28K0.0%—Held
Sharps Technology Inc—100K$2.83K0.0%—Held
Psq Holdings Inc—10K$9500.0%—Held
Alphatime Acquisition Corp—10.1K$7050.0%—Held
Auddia Inc.AUUD14.8K$3410.0%—Held

Positions as of Q4 2025. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.