13F

Investor

Integrated Wealth Concepts LLC

CIK 0001737109 · filed 2026-05-15 · SEC filing

13F book

$12.5B

Positions

2276

729 new · 51 sold

Largest name

2.9%

Bny Mellon Etf Trust

Est. mark

−$167.9M

Price effect on 1547 names still held. Flow $4.29B.
NameTickerSharesValueWeightEst. markChange
Bny Mellon Etf Trust—2.89M$360.7M2.9%−$14.5MAdded$43.8M
Etf Ser Solutions—7.86M$329.7M2.6%−$10.6MAdded$64.1M
Apple Inc.AAPL1.01M$257.3M2.1%−$10.2MAdded$104.5M
Ishares Tr—357.6K$233.6M1.9%−$8.49MAdded$50.4M
Nvidia CorpNVDA1.23M$214.9M1.7%−$7.35MAdded$101.6M
Etf Ser Solutions—7.39M$202.1M1.6%−$6.8MAdded$32.2M
J P Morgan Exchange Traded F—2.32M$169.3M1.4%$1.61MAdded$23.6M
Ishares Tr—785K$150.6M1.2%−$3.57MAdded$46.4M
Spdr S&P 500 Etf Tr—228.9K$148.9M1.2%−$3.33MAdded$76.9M
Microsoft CorpMSFT360.8K$133.6M1.1%−$24.8MAdded$27.8M
Dimensional Etf Trust—3.14M$122.1M1.0%−$1.87MAdded$20.8M
Vanguard Index Fds—191.2K$114.3M0.9%−$2.33MAdded$64.9M
Invesco Qqq Tr—196.4K$113.4M0.9%−$4.56MAdded$37.9M
Etf Ser Solutions—4.52M$111.5M0.9%$1.08MAdded$34.5M
Spdr Series Trust—1.45M$111.1M0.9%−$4.16MAdded$20.5M
Amazon Com IncAMZN526.6K$109.7M0.9%−$6.46MAdded$43.6M
Spdr Series Trust—1.07M$105.1M0.8%−$6.95MAdded$20.7M
Vanguard Bd Index Fds—1.43M$105M0.8%−$496.2KAdded$19.5M
Blackrock Etf Trust—1.77M$102.7M0.8%−$4.47MAdded−$665.2K
Goldman Sachs Etf Tr—1.2M$101.6M0.8%−$551.8KCut−$1.48M
Etf Ser Solutions—2.56M$92.2M0.7%−$3.34MAdded$14.1M
Etf Ser Solutions—2.31M$91.2M0.7%$4.78MAdded$17.8M
Schwab Strategic Tr—3.49M$89.4M0.7%−$4MAdded$4.61M
Spdr Series Trust—1.48M$83.9M0.7%−$280.7KAdded$14.6M
Ishares Inc—1.11M$77.2M0.6%$2.17MAdded$19.6M
Invesco Exch Traded Fd Tr Ii—317.6K$75.5M0.6%−$4.41MAdded$2.55M
Blackrock Etf Trust Ii—1.36M$70.5M0.6%−$924.7KAdded$12.4M
Select Sector Spdr Tr—496.6K$66M0.5%−$2.89MAdded$28.4M
J P Morgan Exchange Traded F—561.1K$65.8M0.5%−$575.1KAdded$54.2M
Alphabet Inc—227.3K$65.4M0.5%−$3.76MAdded$19.1M
Vanguard Mun Bd Fds—1.27M$63.5M0.5%−$383.1KAdded$15.4M
Ishares Tr—701.7K$63.5M0.5%$686.5KAdded$6.13M
Capital Group Dividend Value—1.45M$61.7M0.5%−$1.47MAdded$3.28M
Alphabet Inc—211K$60.5M0.5%−$2.86MAdded$27.2M
Ishares Tr—1.31M$60.4M0.5%−$395.2KAdded$7.86M
Vanguard Index Fds—185.7K$59.6M0.5%−$1.84MAdded$17M
First Tr Exchange Traded Fd—855.5K$58.4M0.5%−$544KAdded$26.7M
Jpmorgan Chase & Co.—197.6K$58.1M0.5%−$3.32MAdded$20M
J P Morgan Exchange Traded F—1.13M$57.2M0.5%$11KAdded$29.3M
Fidelity Merrimack Str Tr—1.24M$56.6M0.5%−$472.1KAdded$4.85M
Spdr Gold Tr—130.4K$56.1M0.4%$1.39MAdded$39.9M
Spdr Index Shs Fds—1.18M$53.9M0.4%$1.17MAdded$12.2M
Vanguard Intl Equity Index F—985.3K$53.3M0.4%$225.7KAdded$11.4M
Bny Mellon Etf Trust—546.2K$51M0.4%$337.6KAdded$15.1M
Tesla, Inc.TSLA136.8K$50.9M0.4%−$6.92MAdded$11M
J P Morgan Exchange Traded F—1M$50.2M0.4%−$315.2KAdded$19M
Schwab Strategic Tr—1.63M$47.4M0.4%−$4.23MAdded$7.88M
Exxon Mobil Corp—278.3K$47.2M0.4%$7.98MAdded$27.7M
Meta Platforms, Inc.META82.4K$47.1M0.4%−$4MAdded$17.1M
Schwab Us Tips Etf—1.76M$46.7M0.4%$173KAdded$8.52M
Mgp Ingredients Inc New—2.53M$46.6M0.4%—New
Ab Active Etfs Inc—427.4K$46.4M0.4%$1.46MAdded$9.55M
Berkshire Hathaway Inc Del—94.3K$45.2M0.4%−$1.41MAdded$15.1M
Invesco Exchange Traded Fd T—234.4K$45M0.4%$69.4KAdded$8.15M
Ishares Inc—567.4K$44.6M0.4%$2.22MAdded$17.7M
Ishares Tr—676K$44.6M0.4%−$730.4KAdded$29.8M
First Tr Exchng Traded Fd Vi—1.23M$41.5M0.3%−$518.5KAdded$5.26M
Strategy Shs—884.2K$41.3M0.3%−$1.83MCut−$4.93M
Broadcom Inc.AVGO129.4K$40M0.3%−$3.04MAdded$11.3M
Ishares Tr—426.4K$39.5M0.3%−$401.1KAdded$12.9M
Pimco Etf Tr—1.48M$38.9M0.3%−$491.3KAdded$11.6M
Ishares Tr—161.3K$38.7M0.3%−$1.26MAdded$8.04M
Walmart Inc.WMT310.1K$38.5M0.3%$2.82MAdded$14.1M
Ishares Tr—352K$37.4M0.3%−$261.7KAdded$8.16M
Spdr Index Shs Fds—790.8K$37.1M0.3%$70.7KAdded$3.99M
Ishares Tr—112.5K$37M0.3%$249.3KAdded$34.2M
Dimensional Etf Trust—759K$36.8M0.3%$1.23MAdded$6.12M
Ishares Tr—1.6M$36.6M0.3%$58.7KAdded$2.98M
Bny Mellon Etf Trust—862.8K$36.4M0.3%−$131KAdded$6.05M
Ishares Tr—114.1K$36.3M0.3%−$2.84MCut−$6.03M
Eli Lilly & CoLLY39.2K$36M0.3%−$4.23MAdded$6.7M
Vanguard Index Fds—180.1K$35.3M0.3%$419.3KAdded$20M
Ishares Tr—522.3K$35.3M0.3%$798.7KAdded$818.7K
Vanguard Whitehall Fds—232.3K$34.4M0.3%$809.9KAdded$9.02M
Visa Inc.V113.3K$34.2M0.3%−$3.42MAdded$9.46M
Schwab Strategic Tr—1.1M$33.8M0.3%$1.17MAdded$23.9M
Ishares U S Etf Tr—658K$33.1M0.3%$13KAdded$302.6K
Ishares Tr—220.1K$31.4M0.3%−$1.23MAdded$2.18M
J P Morgan Exchange Traded F—613.1K$31.3M0.2%$16.6KAdded$10.2M
Victory Portfolios Ii—694.6K$31M0.2%—New
Rbb Fd Inc—619.2K$30.9M0.2%−$3.58KAdded$22M
Vanguard Tax-Managed Fds—474.7K$30.4M0.2%$491.5KAdded$11.3M
J P Morgan Exchange Traded F—534.3K$30.3M0.2%−$196.3KAdded$10.2M
J P Morgan Exchange Traded F—358K$30.3M0.2%−$953KAdded$19.6M
Vanguard Growth Etf—68.3K$29.9M0.2%−$2.99MAdded$1.31M
Ishares Tr—1.31M$29.5M0.2%−$46KAdded$3.6M
Vanguard Index Fds—112K$29.3M0.2%$291.6KAdded$10.4M
Johnson & JohnsonJNJ118.5K$29M0.2%$2.17MAdded$17M
Tidal Trust Ii—1.06M$28.8M0.2%−$962.3KCut−$4.76M
Proshares Tr—599.6K$28.8M0.2%—New
Chevron Corp NewCVX138.3K$28.6M0.2%$2.67MAdded$21.1M
Blackrock Etf Trust—865.9K$28.5M0.2%−$272.2KAdded$2.64M
Vanguard Index Fds—98.7K$28.3M0.2%−$232KAdded$6.2M
Ishares Tr—250K$28.3M0.2%−$1.94MAdded$4.75M
Spdr Series Trust—303.6K$27.8M0.2%$64KAdded$5.34M
Ishares Gold Tr—315.1K$27.8M0.2%$2.2MCut−$999K
Blackrock Etf Trust—859.2K$27.6M0.2%—New
Dimensional Etf Trust—697.5K$27.5M0.2%$915KAdded$3.37M
Select Sector Spdr Tr—555.1K$27.4M0.2%−$1.94MAdded$7.77M
Qualcomm Inc—212.3K$27.3M0.2%−$867.7KAdded$23.8M
Procter And Gamble CoPG189.3K$27.3M0.2%$114.7KAdded$12.8M
First Tr Exchange-Traded Fd—653.4K$25.8M0.2%$575.5KAdded$5.9M
Costco Whsl Corp New—25.6K$25.5M0.2%$1.89MAdded$13.4M
J P Morgan Exchange Traded F—332.8K$25.2M0.2%$53.8KAdded$20.5M
Spdr Series Trust—944.6K$24.8M0.2%−$157.2KAdded$349.9K
Dimensional Etf Trust—697.3K$24.8M0.2%$684.1KAdded$2.74M
Ishares Tr—633.3K$24.7M0.2%$43.8KAdded$23.3M
Dimensional Etf Trust—340.7K$24.6M0.2%−$525.6KAdded−$411.3K
Palantir Technologies Inc.PLTR166.1K$24.3M0.2%−$4.01MAdded$1.65M
Vaneck Etf Trust—246.5K$23.8M0.2%−$32.2KAdded$23.3M
Home Depot, Inc.HD71.8K$23.6M0.2%−$419KAdded$14.1M
Ishares Tr—65.3K$23.3M0.2%−$727KAdded$7.19M
Ishares Tr—267K$23.1M0.2%$484.6KAdded$2.63M
Spdr Dow Jones Indl Average—49.2K$22.8M0.2%−$730.3KAdded$2.59M
Vaneck Etf Trust—787K$22.6M0.2%−$17.3KAdded$21.8M
Sprott Asset Management Lp—637.5K$22.6M0.2%$1.26MAdded$5.42M
Blackrock Etf Trust—620.6K$22.5M0.2%−$1.2MAdded$2.74M
Ishares Tr—179.7K$22.3M0.2%$699.3KAdded$1.99M
First Tr Exchange-Traded Fd—447.1K$22.3M0.2%−$57.9KAdded$6.19M
First Tr Exchng Traded Fd Vi—898.6K$22.3M0.2%−$109.2KAdded$15.4M
Ishares Tr—212.2K$21.9M0.2%$171.4KAdded$5.08M
Ishares Tr—308.3K$21.6M0.2%$202.4KAdded$3.15M
Ishares Tr—285.9K$21.3M0.2%$840.6KCut$330.5K
Spdr Series Trust—213.1K$21.2M0.2%$35.1KAdded$5.37M
Ishares Tr—189.3K$21.1M0.2%−$365.5KAdded$4.75M
Ishares Silver Tr—308.4K$21M0.2%$521.1KAdded$12M
Ishares Tr—211K$21M0.2%−$116.4KAdded$1.89M
Ishares Tr—132.1K$20.5M0.2%−$1.63MAdded−$843.1K
Neuberger Berman Etf Trust—387.9K$19.7M0.2%−$4.24KAdded$19.2M
Dimensional Etf Trust—531.6K$19.5M0.2%−$490.8KAdded$4.84M
Ishares Tr—107.4K$19.5M0.2%−$1.83MAdded−$476.2K
Spdr Series Trust—402K$19.4M0.2%$470.6KAdded$4.32M
J P Morgan Exchange Traded F—263.3K$18.9M0.2%$129Added$18.6M
Select Sector Spdr Tr—303.4K$18.6M0.1%$2.02MAdded$13.1M
Bank America Corp—379.9K$18.5M0.1%−$1.15MAdded$8.41M
First Tr Exchange-Traded Alp—198.5K$18.3M0.1%$63.6KAdded$17.4M
Ishares Tr—217.9K$18.2M0.1%$63.7KAdded$13.4M
Ishares Tr—809.9K$18M0.1%−$48.2KAdded$4.89M
Vanguard Star Fds—234K$18M0.1%$359.3KAdded$1.81M
Ishares Tr—71.3K$17.7M0.1%$95.7KAdded$4.88M
Ea Series Trust—323.4K$17.7M0.1%$429.6KAdded$11.2M
Netflix IncNFLX183.1K$17.6M0.1%$199KAdded$9.8M
ServiceNow, Inc.NOW167.3K$17.5M0.1%−$3.61MAdded$6.13M
Bny Mellon Etf Trust Ii—587.6K$17.4M0.1%$92.2KAdded$13.2M
Caterpillar IncCAT24.3K$17.2M0.1%$1.76MAdded$9.79M
Vanguard World Fd—24.7K$17.2M0.1%−$945.6KAdded$4.5M
Ishares Tr—120.9K$17.1M0.1%−$691.2KAdded$3.48M
Principal Exchange Traded Fd—258.4K$16.6M0.1%−$1000KAdded$76.5K
International Business Machs—68.4K$16.6M0.1%−$1.6MAdded$7.81M
J P Morgan Exchange Traded F—358.8K$16.5M0.1%—New
Fidelity Covington Trust—298.9K$16.5M0.1%−$408.3KAdded$546.1K
Etf Ser Solutions—745.2K$16.5M0.1%−$22.3KAdded$6.6M
Ishares Tr—414.6K$16.5M0.1%$647.5KAdded$1.34M
Quanta Svcs Inc—29.9K$16.4M0.1%$3.31MAdded$5.42M
Ishares Tr—77.7K$16.4M0.1%−$57.9KAdded$3.06M
Citigroup Inc—144K$16.3M0.1%−$303.3KAdded$5.54M
Advanced Micro Devices IncAMD79.6K$16.2M0.1%−$270.7KAdded$10.8M
Ishares Tr—113.6K$16.2M0.1%$358.8KAdded$7.17M
Ishares Tr—169.3K$16.1M0.1%−$45.7KCut−$11M
Tidal Trust I—672.3K$16M0.1%—New
Ishares Tr—156.9K$15.8M0.1%$7.83KAdded$15.6M
J P Morgan Exchange Traded F—330.6K$15.6M0.1%—New
American Centy Etf Tr—140.6K$15.5M0.1%$749KAdded$6.54M
Dimensional Etf Trust—287.7K$15.5M0.1%−$22.5KAdded$342.2K
Mfs Active Exchange Traded F—519.7K$15.4M0.1%−$16.7KAdded$14.8M
Vanguard Scottsdale Fds—163.8K$15.4M0.1%$113.5KAdded$8.07M
Dimensional Etf Trust—290.7K$15.3M0.1%$764KAdded$2.11M
Select Sector Spdr Tr—103.9K$15.2M0.1%−$426KAdded$7.18M
GE Vernova Inc.GEV17.3K$15.1M0.1%$2.03MAdded$9.03M
Ge Aerospace—52.9K$15M0.1%−$720KAdded$5.88M
Micron Technology IncMU44.4K$15M0.1%$967.2KAdded$9.73M
Ishares Tr—653.2K$15M0.1%−$62.1KAdded$2.53M
Select Sector Spdr Tr—182.4K$15M0.1%$203.3KAdded$11.3M
Global X Fds—210.1K$14.9M0.1%$1.07MAdded$3.43M
Vanguard Index Fds—49.7K$14.9M0.1%−$669.1KAdded$1.65M
First Tr Exchange-Traded Fd—579.6K$14.8M0.1%−$250.7KAdded$5.28M
Diamondback Energy, Inc.FANG74.6K$14.8M0.1%$2.7MAdded$6.22M
Invesco Exch Trd Slf Idx Fd—245.3K$14.7M0.1%−$247.7KCut−$472.5K
Pepsico IncPEP94.7K$14.7M0.1%$490.3KAdded$8.73M
Lam Research CorpLRCX68.8K$14.7M0.1%$828.8KAdded$11.4M
Spdr Series Trust—507.2K$14.5M0.1%−$64.3KAdded$4.24M
Taiwan Semiconductor Mfg Ltd—42.5K$14.4M0.1%$419.2KAdded$10.6M
Capital Group Gbl Growth Eqt—428.9K$14.3M0.1%−$442.6KAdded$2.33M
Vanguard Scottsdale Fds—244K$14.3M0.1%−$44.8KAdded$455.3K
Mcdonalds CorpMCD45.9K$14.3M0.1%$102.6KAdded$8.18M
Lockheed Martin CorpLMT23.5K$14.2M0.1%$1.77MAdded$7.11M
Wisdomtree Tr—217K$14.2M0.1%−$171.3KAdded$2.29M
Vanguard Specialized Funds—65.1K$14M0.1%−$152.6KAdded$6.9M
Cisco Sys Inc—179.7K$13.9M0.1%$49.5KAdded$7.13M
Merck & Co., Inc.MRK114.2K$13.7M0.1%$908.5KAdded$7.38M
Verizon Communications IncVZ272.4K$13.7M0.1%$1.22MAdded$8.42M
Pfizer IncPFE486.7K$13.7M0.1%$839.8KAdded$7.09M
Dimensional Etf Trust—284.5K$13.6M0.1%−$18.7KAdded$781.3K
Amphenol Corp New—107.7K$13.6M0.1%−$534.4KAdded$5.4M
AbbVie Inc.ABBV61.9K$13.5M0.1%−$377.3KAdded$5.63M
J P Morgan Exchange Traded F—203.5K$13.3M0.1%−$26.6KAdded$12.5M
RTX CorpRTX68.5K$13.2M0.1%$407.1KAdded$5.35M
Dimensional Etf Trust—312.7K$13.2M0.1%−$103.6KAdded$228.2K
Vanguard World Fd—48.4K$13.2M0.1%−$235.1KAdded$8.82M
John Hancock Exchange Traded—194.3K$13M0.1%$305.5KAdded$842.5K
Cambria Etf Tr—314.1K$13M0.1%$646.4KAdded$4.96M
Progressive Corp—65.5K$13M0.1%−$1.2MAdded$3.75M
First Tr Exchange Traded Fd—650.4K$13M0.1%−$156.1KAdded$9.34M
Invesco Exchange Traded Fd T—237.2K$12.9M0.1%−$1.12MCut−$8.84M
J P Morgan Exchange Traded F—238.7K$12.8M0.1%−$33.6KAdded$6.79M
Applied Matls Inc—37.5K$12.8M0.1%$1.01MAdded$9.75M
Blackrock Etf Trust Ii—264.2K$12.7M0.1%−$146.5KAdded$2.48M
Ishares Bitcoin Trust EtfIBIT327.6K$12.6M0.1%−$1.18MAdded$7.38M
Allspring Exchange Traded Fu—500K$12.5M0.1%−$22.6KHeld
Ishares Tr—58K$12.4M0.1%$150.5KAdded$2.88M
Ishares Tr—129.6K$12.4M0.1%−$67.6KAdded$3.34M
American Tower Corp New—71.2K$12.3M0.1%−$146.5KAdded$3.69M
Rbb Fund Trust—260.7K$12.3M0.1%—New
Ishares Tr—28.7K$12.2M0.1%−$772.9KAdded$4.43M
Ishares Tr—147.4K$12.2M0.1%−$36.3KAdded$156.6K
Dimensional Etf Trust—269.8K$12.2M0.1%−$38.9KAdded$11.1M
Goldman Sachs Group Inc—14.4K$12.2M0.1%−$238.9KAdded$5.79M
Invesco Exchange Traded Fd T—83.4K$12.1M0.1%$136.2KAdded$9.22M
Oracle Corp—81.6K$12M0.1%−$2.68MAdded$1.06M
Ishares Tr—238.5K$11.9M0.1%$6.17KAdded$1.73M
Goldman Sachs Etf Tr—272.2K$11.7M0.1%$28.8KAdded$5.22M
Copart IncCPRT350.1K$11.6M0.1%−$1.2MAdded$3.75M
Select Sector Spdr Tr—71.8K$11.6M0.1%$285.7KAdded$4.9M
Vaneck Etf Trust—30.2K$11.6M0.1%$495.9KAdded$3.92M
Simplify Exchange Traded Fun—293K$11.6M0.1%−$959KCut−$2.28M
Dimensional Etf Trust—338K$11.5M0.1%$419.2KCut$413.4K
Ishrs 10 Yr Invest Grade—231.1K$11.5M0.1%−$123.2KAdded$3.89M
Select Sector Spdr Tr—228.6K$11.4M0.1%$60.5KAdded$10.8M
Bristol-Myers Squibb Co—186.7K$11.3M0.1%$505.2KAdded$7.26M
Spdr Series Trust—173.3K$11.3M0.1%$4.57KAdded$10.4M
Coca Cola CoKO146.2K$11.1M0.1%$508KAdded$5.34M
Ishares Tr—72.6K$11M0.1%$596.3KAdded$2.79M
Broadridge Finl Solutions In—67.3K$10.9M0.1%−$2.11MAdded$3.17M
Ishares Tr—106.4K$10.9M0.1%−$30KAdded$249.7K
Pimco Etf Tr—218.9K$10.9M0.1%−$20.8KCut−$1.01M
Vanguard Bd Index Fds—138.3K$10.8M0.1%−$17.8KAdded$7.33M
Ishares Tr—108.1K$10.8M0.1%−$543.8KCut−$1.37M
Capital Grp Fixed Incm Etf T—395.5K$10.8M0.1%−$144.6KAdded$529.7K
First Tr Exchange-Traded Fd—493.1K$10.6M0.1%−$128.2KCut−$3.67M
J P Morgan Exchange Traded F—172.9K$10.6M0.1%−$45.6KAdded$9.05M
First Tr Exchng Traded Fd Vi—297.6K$10.5M0.1%−$148.2KAdded$296.3K
Capital Group Dividend Growe—291.5K$10.5M0.1%$57.8KAdded$2.55M
Victory Portfolios Ii—206.5K$10.4M0.1%−$36.2KAdded$3.37M
J P Morgan Exchange Traded F—187.5K$10.4M0.1%−$269.5KAdded$4.39M
J P Morgan Exchange Traded F—162.5K$10.4M0.1%−$409.4KCut−$2.75M
Ishares Tr—135.9K$10.3M0.1%$5.05KAdded$9.64M
Spdr Series Trust—106K$10.2M0.1%$185.6KAdded$3.05M
Vanguard Scottsdale Fds—170.8K$10.2M0.1%—New
Philip Morris Intl Inc—61.3K$10.1M0.1%$141.6KAdded$5.54M
Spdr Series Trust—166.5K$9.86M0.1%$113.3KAdded$4.85M
Dimensional Etf Trust—204.7K$9.81M0.1%−$45.7KAdded$627.1K
Ishares Tr—97.3K$9.8M0.1%−$70KAdded$2.3M
Mastercard IncMA19.4K$9.71M0.1%−$948.9KAdded$2.1M
Select Sector Spdr Tr—210.5K$9.66M0.1%$331.6KAdded$5.24M
Chemed Corp New—25.3K$9.56M0.1%−$882.3KAdded$2.03M
Palo Alto Networks IncPANW59.1K$9.48M0.1%−$670KAdded$4.31M
Ishares Tr—88.3K$9.4M0.1%−$6.56KAdded$5.88M
Ishares Tr—366.5K$9.39M0.1%−$2.55KCut−$266.6K
Dimensional Etf Trust—268.8K$9.29M0.1%$394.5KAdded$411.5K
Vanguard Scottsdale Fds—111.6K$9.23M0.1%−$101.9KAdded$698.5K
At&T Inc—318.4K$9.23M0.1%$577KAdded$5.78M
Ssga Active Etf Tr—228.9K$9.19M0.1%−$246.2KAdded$193.1K
Dimensional Etf Trust—169.1K$9.15M0.1%−$17.1KAdded$135.4K
First Tr Exchange-Traded Fd—268.9K$9.15M0.1%−$350.9KCut−$4.3M
Ishares Tr—215.5K$9.12M0.1%−$36.1KAdded$6.36M
Schwab Strategic Tr—312.8K$9.1M0.1%$89KAdded$4.87M
Capital One Finl Corp—49.8K$9.09M0.1%−$792.6KAdded$5.89M
Wells Fargo Co New—112.8K$8.98M0.1%−$652KAdded$4.51M
Ishares Tr—75.6K$8.95M0.1%$347.2KAdded$606.3K
Federated Hermes Etf Trust—290.3K$8.94M0.1%$180.8KAdded$6.58M
Vanguard Malvern Fds—176.5K$8.82M0.1%$86.5KCut−$178.7K
Spdr Series Trust—300.5K$8.77M0.1%−$19.2KAdded$3.15M
Blackrock Etf Trust—353.7K$8.6M0.1%−$48.6KAdded$7.64M
Hartford Fds Exchange Traded—254K$8.57M0.1%−$5.51KAdded$8.11M
American Express CoAXP28K$8.48M0.1%−$1.06MAdded$2.68M
Klaviyo, Inc.KVYO429.8K$8.36M0.1%−$854KAdded$6.23M
Amgen IncAMGN23.6K$8.32M0.1%$380.3KAdded$3.25M
First Tr Exchng Traded Fd Vi—189.3K$8.25M0.1%−$30.6KAdded$6.4M
Ishares Inc—134.7K$8.14M0.1%$50.5KAdded$7.01M
Altria Group, Inc.MO123.3K$8.14M0.1%$467.1KAdded$4.9M
Ishares Tr—103.3K$8.1M0.1%$87.2KAdded$414.2K
First Tr Exchange Traded Fd—73.8K$8.08M0.1%−$153.7KAdded$7.11M
Tjx Cos Inc New—50.2K$8.01M0.1%$147.3KAdded$4.3M
Unitedhealth Group IncUNH29.6K$8.01M0.1%−$961.1KAdded$2.68M
Touchstone Etf Trust—314K$7.95M0.1%−$109Added$7.75M
Crowdstrike Hldgs Inc—20.4K$7.95M0.1%−$1.54MAdded−$1.28M
Pgim Etf Tr—190.4K$7.91M0.1%−$100KAdded−$24.7K
Ishares Tr—81.2K$7.88M0.1%$30.8KAdded$5.19M
Victory Portfolios Ii—110.1K$7.86M0.1%$595.2KAdded$783.5K
Ishares Tr—115.4K$7.84M0.1%−$76.2KCut−$1.8M
Schwab Strategic Tr—257K$7.84M0.1%$174.8KAdded$2.02M
Asml Holding N V—5.92K$7.82M0.1%$477.5KAdded$5.79M
Invesco Exch Traded Fd Tr Ii—69.6K$7.8M0.1%−$348.3KAdded$2.04M
Axon Enterprise, Inc.AXON18.4K$7.8M0.1%−$147.5KAdded$7.21M
Capital Group Core Balanced—226.5K$7.79M0.1%−$179.4KAdded$906.3K
Franklin Templeton Etf Tr—195.7K$7.79M0.1%—New
Ishares Tr—82K$7.7M0.1%−$167.6KAdded$837.7K
Ishares Tr—146.1K$7.68M0.1%−$25.2KAdded$3.52M
Southern Co—78.9K$7.62M0.1%$219.3KAdded$5.57M
Victory Portfolios Ii—101.7K$7.54M0.1%$31.3KCut−$31.2K
Spdr Series Trust—29.6K$7.52M0.1%$337.7KAdded$1.13M
Cigna GroupCI28.2K$7.52M0.1%−$60KAdded$5.57M
Ishares Tr—343.9K$7.51M0.1%−$15.8KAdded$4.11M
First Tr Exchange Traded Fd—123.9K$7.49M0.1%−$307.6KCut−$2.48M
Ishares Tr—61.5K$7.44M0.1%−$318.7KAdded$356.6K
Vanguard Scottsdale Fds—67.6K$7.41M0.1%−$146KAdded$5.94M
Schwab Us Aggregate Bond—319.1K$7.41M0.1%−$35KAdded$1.96M
Samsara Inc.IOT233.7K$7.41M0.1%−$855.6KAdded−$660.7K
Ishares Tr—318.5K$7.31M0.1%−$41.4KCut−$226.9K
Boeing Co—36.6K$7.28M0.1%−$427.8KAdded$2.14M
Comfort Sys Usa Inc—5.26K$7.26M0.1%$1.65MAdded$3.8M
Blackstone Inc.BX63K$7.24M0.1%−$1.09MAdded$2.97M
Salesforce, Inc.CRM38.7K$7.23M0.1%−$1.37MAdded$2.6M
Fedex CorpFDX20.2K$7.2M0.1%$539.8KAdded$4.88M
Ishares Tr—296.8K$7.2M0.1%$2.36KAdded$1.46M
Vanguard Intl Equity Index F—51.7K$7.15M0.1%−$121.9KAdded$870.4K
Tidal Trust Ii—378.4K$7.13M0.1%$351.9KCut−$369.1K
Nextera Energy Inc—75.9K$7.05M0.1%$556KAdded$3.5M
Intel CorpINTC159.4K$7.03M0.1%$785.3KAdded$3.03M
First Tr Exchange-Traded Fd—144.3K$7.03M0.1%−$63.5KCut−$1.13M
Ishares 0-3 Month—69.8K$7.03M0.1%$12.8KAdded$2.46M
Uber Technologies, IncUBER97.5K$7.01M0.1%−$569.1KAdded$2.26M
Archer-Daniels-Midland CoADM96.3K$7M0.1%$1.43MAdded$1.6M
Schwab Strategic Tr—282.1K$6.98M0.1%$146.3KAdded$2.03M
Victory Portfolios Ii—147.8K$6.95M0.1%−$38.6KAdded$1.54M
Capital Group Growth Etf—172.7K$6.94M0.1%−$583.6KAdded$878.9K
Neos Etf Trust—139K$6.92M0.1%$6.95KCut−$152.9K
Capital Group Core Equity Et—178.6K$6.86M0.1%−$292.1KAdded$370K
Ishares Tr—270.1K$6.84M0.1%−$27KAdded$1.34M
Waste Mgmt Inc Del—29.7K$6.83M0.1%$204.3KAdded$2.38M
First Tr Exchange-Traded Fd—73.1K$6.78M0.1%$15.9KAdded$863.3K
Spdr Series Trust—273.3K$6.78M0.1%−$31.8KAdded$1.12M
Disney Walt Co—70.3K$6.78M0.1%−$707.4KAdded$2.15M
First Tr Exchng Traded Fd Vi—166.2K$6.78M0.1%−$92.1KHeld
General Dynamics CorpGD19.7K$6.77M0.1%$88.2KAdded$2.24M
Pimco Etf Tr—66.8K$6.71M0.1%$3.93KAdded$4.98M
Pimco Etf Tr—132.8K$6.7M0.1%$529Added$5.36M
Principal Exchange Traded Fd—349.6K$6.63M0.1%−$15.7KCut−$1.35M
Select Sector Spdr Tr—59.6K$6.61M0.1%−$402KAdded−$292.3K
Ishares Tr—59.7K$6.59M0.1%$10.9KAdded$1.6M
Ishares Tr—41K$6.58M0.1%−$386.8KAdded$78.4K
First Tr Exchange-Traded Fd—129.2K$6.56M0.1%$326KAdded$4.33M
Ishares Tr—269.5K$6.53M0.1%−$8.06KAdded$1.63M
Fidelity Covington Trust—173.8K$6.52M0.1%−$673.9KAdded−$158.3K
First Tr Exchng Traded Fd Vi—167.4K$6.46M0.1%−$16.3KAdded$5.25M
Ishares Tr—74.5K$6.45M0.1%−$12.5KAdded$4.13M
Pimco Etf Tr—69.8K$6.44M0.1%−$53.7KAdded$195.2K
Honeywell Intl Inc—28.5K$6.44M0.1%$499.7KAdded$3.29M
Chubb Limited—19.7K$6.43M0.1%$156KAdded$2.91M
Return Stacked Us Stk—227.2K$6.43M0.1%−$15.9KCut−$1.2M
First Tr Exchng Traded Fd Vi—229.4K$6.42M0.1%−$42.5KAdded$1.42M
Idexx Labs Inc—11.3K$6.37M0.1%−$43KAdded$6.12M
Pimco Etf Tr—121.4K$6.34M0.1%−$23.5KAdded$752.5K
Schwab Strategic Tr—258.4K$6.27M0.1%−$14.1KAdded$2.83M
Deere & CoDE11K$6.19M0.0%$505.2KAdded$3.78M
Wheaton Precious Metals Corp.WPM47.1K$6.18M0.0%$609.2KAdded$868.6K
Global X Fds—83K$6.13M0.0%—New
Western Digital CorpWDC22.6K$6.12M0.0%$831.3KAdded$4.66M
ConocophillipsCOP46.4K$6.12M0.0%$1.3MAdded$2.96M
Rbb Fd Inc—122K$6.1M0.0%−$4.92KCut−$584.5K
Linde PlcLIN12.3K$6.08M0.0%$424.1KAdded$3.48M
Ishares Tr—27.8K$6.08M0.0%$113KCut−$1.74M
Newmont Corp—56.2K$6.08M0.0%$279.8KAdded$2.76M
Goldman Sachs Etf Tr—48.4K$6.06M0.0%−$225.7KAdded$1.94M
Spdr Series Trust—180.3K$6.05M0.0%−$41.9KAdded$797.1K
First Tr Exchng Traded Fd Vi—184.2K$6.05M0.0%—New
Etf Ser Solutions—240.2K$6.03M0.0%—New
Invesco Exch Traded Fd Tr Ii—260.7K$5.99M0.0%−$46.5KAdded$853.6K
Mckesson CorpMCK6.9K$5.97M0.0%$203.8KAdded$2.27M
Ishares U S Etf Tr—67K$5.92M0.0%—New
Kinross Gold Corp—193.9K$5.92M0.0%$114.3KAdded$4.55M
Royal Gold IncRGLD23.2K$5.9M0.0%$443.9KAdded$2.84M
Arista Networks, Inc.ANET48K$5.89M0.0%−$216.5KAdded$2.46M
Alcoa CorpAA88.7K$5.88M0.0%$1.12MAdded$1.36M
Dimensional Etf Trust—173.5K$5.87M0.0%$88.8KAdded$3.63M
Vanguard Index Fds—66.1K$5.86M0.0%$10.6KAdded$1.4M
First Tr Exchange-Traded Fd—29.2K$5.86M0.0%−$6.58KAdded$5.62M
Zoom Communications, Inc.ZM72.8K$5.85M0.0%−$379.5KAdded$302.3K
Cummins IncCMI10.9K$5.85M0.0%$214.4KAdded$1.88M
Us Bancorp Del—112.3K$5.84M0.0%−$44.5KAdded$4.08M
Slb Limited/NvSLB113K$5.81M0.0%$608.6KAdded$4.01M
Franklin Etf Tr—64K$5.81M0.0%−$579Added$5.59M
Vanguard World Fd—48K$5.8M0.0%−$538.1KAdded$137.6K
J P Morgan Exchange Traded F—113.7K$5.8M0.0%−$6.83KCut−$46K
Spdr Series Trust—90.1K$5.68M0.0%−$257.1KAdded$142.7K
Vanguard Index Fds—30.4K$5.6M0.0%$114.3KAdded$2.66M
Shopify Inc.SHOP46.8K$5.56M0.0%−$1.21MAdded$953.2K
Freeport-Mcmoran IncFCX94.5K$5.55M0.0%$290.8KAdded$3.7M
Morgan Stanley—33.7K$5.54M0.0%−$277.9KAdded$1.74M
Invesco Exchange Traded Fd T—48.1K$5.54M0.0%—New
Corning Inc—40.6K$5.52M0.0%$431.2KAdded$4.74M
T Rowe Price Etf Inc—159.2K$5.5M0.0%$4.3KAdded$1.76M
Barrick Mng Corp—134.1K$5.47M0.0%−$327.6KAdded$301.6K
Main Str Cap Corp—103.1K$5.46M0.0%−$734.3KAdded−$505.9K
Ishares Tr—179.2K$5.43M0.0%−$9.61KAdded$4.97M
Ishares Tr—49.7K$5.42M0.0%−$16.8KAdded$3.88M
First Tr Exchange Traded Fd—86.3K$5.41M0.0%−$518.4KAdded$1.19M
Invesco Exch Trd Slf Idx Fd—277K$5.41M0.0%−$10.2KAdded$989.4K
T Rowe Price Etf Inc—151.8K$5.4M0.0%−$399.4KCut−$652.1K
Vanguard Index Fds—24.8K$5.39M0.0%$93.9KAdded$1.75M
Ab Active Etfs Inc—214.1K$5.39M0.0%—New
First Tr Exch Traded Fd Iii—303.3K$5.38M0.0%−$76.5KAdded$2.42M
Spdr Series Trust—55.9K$5.35M0.0%−$62.5KAdded$1.27M
Federated Hermes Etf Trust—211.8K$5.33M0.0%—New
Bluerock Pvt Real Estate Fd—318.8K$5.3M0.0%$513.2KCut−$740K
Valero Energy Corp—21.4K$5.28M0.0%$985.3KAdded$3.37M
Invesco Actively Managed Exc—112.6K$5.27M0.0%−$55.9KAdded$778.9K
Ishares Tr—207.1K$5.27M0.0%$10.2KAdded$92K
Edison Intl—71.6K$5.24M0.0%$501.8KAdded$2.95M
Schwab Strategic Tr—208.5K$5.23M0.0%−$121.4KAdded$2.41M
Vertiv Holdings CoVRT20.8K$5.22M0.0%$453.8KAdded$4.39M
Union Pac Corp—21.4K$5.19M0.0%$148.9KAdded$2.14M
Invesco Exch Trd Slf Idx Fd—263K$5.16M0.0%−$27.1KAdded$511.9K
S&P Global Inc.SPGI12.1K$5.14M0.0%−$438.7KAdded$2.78M
Mueller Inds Inc—46.3K$5.14M0.0%−$161.8KAdded$489.2K
Vanguard World Fd—25.9K$5.13M0.0%$291.7KAdded$1.01M
Ea Series Trust—43.8K$5.09M0.0%$47.2KAdded$527.7K
First Tr Exchange-Traded Fd—23.6K$5.09M0.0%−$335.2KCut−$1.77M
Consolidated Edison IncED44.8K$5.07M0.0%$322.2KAdded$2.76M
First Tr Exchange-Traded Fd—107.7K$5.07M0.0%$102.3KCut−$1.33M
American Elec Pwr Co Inc—38.5K$5.05M0.0%$325.7KAdded$2.67M
Franco Nev Corp—20.4K$5.04M0.0%$798.8KAdded$880.8K
3M COMMM34.7K$5.04M0.0%−$190KAdded$3M
Arch Cap Group Ltd—52.5K$5.04M0.0%$3.13KAdded$852.5K
Adobe Inc.ADBE20.7K$5.04M0.0%−$578.2KAdded$3.15M
Berkshire Hathaway Inc Del—7$5.03M0.0%−$183.3KAdded$1.25M
Gilead Sciences, Inc.GILD36K$5.01M0.0%$264.8KAdded$3.06M
Sempra—51.5K$5.01M0.0%$66.7KAdded$4.34M
Constellation Energy CorpCEG17.7K$4.95M0.0%−$601.8KAdded$2.08M
Goldman Sachs Etf Tr—54.9K$4.92M0.0%−$261.9KAdded−$220.1K
Ishares Tr—52.5K$4.87M0.0%$40.9KAdded$226.9K
Doubleline Etf Trust—98K$4.84M0.0%−$24.8KAdded$362.8K
Fidelity Covington Trust—129.9K$4.83M0.0%$80.5KCut−$560.1K
Biomarin Pharmaceutical IncBMRN85.4K$4.83M0.0%−$40.1KAdded$4.02M
Starbucks CorpSBUX53.8K$4.82M0.0%$131.3KAdded$2.77M
First Tr Exchange-Traded Alp—49.5K$4.8M0.0%$41.1KAdded$213.1K
Ishares Tr—71.6K$4.8M0.0%$327.6KAdded$1.23M
Pg&E Corp—271.7K$4.77M0.0%$198.1KAdded$2.65M
Ishares Tr—41.7K$4.74M0.0%−$319.8KCut−$457.2K
Select Sector Spdr Tr—43.4K$4.73M0.0%−$229.3KAdded$2.11M
Allspring Exchange Traded Fu—190.2K$4.73M0.0%−$69.6KAdded$128.9K
Intuitive Surgical IncISRG10.2K$4.71M0.0%−$616.3KAdded$1.4M
Enterprise Prods Partners L—124.3K$4.71M0.0%$451.1KAdded$2.2M
Bank New York Mellon Corp—39.6K$4.7M0.0%$78.8KAdded$1.1M
Chord Energy CorpCHRD32.9K$4.68M0.0%$1.63MCut$974.3K
Sprott Asset Management Lp—190.9K$4.66M0.0%$15.2KAdded$4.17M
Dollar Gen Corp New—39.2K$4.65M0.0%−$397.4KAdded$896.9K
Invesco Exch Trd Slf Idx Fd—196.5K$4.65M0.0%−$1.94KAdded$573.8K
Spdr Series Trust—206.1K$4.61M0.0%−$4.16KAdded$891.8K
Ishares Tr—37.8K$4.58M0.0%−$120.8KAdded$2.54M
Axis Cap Hldgs Ltd—45.1K$4.57M0.0%−$220.9KAdded$403.9K
Ishares Tr—33.6K$4.57M0.0%$373.6KAdded$1.35M
Janus Detroit Str Tr—90.5K$4.56M0.0%−$16KAdded$696.8K
Invesco Exch Trd Slf Idx Fd—192.9K$4.56M0.0%−$3.72KAdded$152.2K
Sprott Asset Management Lp—95K$4.53M0.0%$19.4KAdded$4.07M
Invesco Exch Traded Fd Tr Ii—413.5K$4.5M0.0%−$137.2KAdded$214.7K
Pnc Finl Svcs Group Inc—21.6K$4.49M0.0%−$7.22KAdded$2.09M
Blackrock Etf Trust—136.6K$4.47M0.0%—New
Invesco Exch Trd Slf Idx Fd—217.9K$4.45M0.0%−$31.9KAdded$743.3K
Snap-on IncSNA12.2K$4.44M0.0%—New
Occidental Pete Corp—68.3K$4.44M0.0%$784.7KAdded$3.09M
Spdr Series Trust—56.1K$4.44M0.0%−$107.4KAdded$1.86M
First Tr Exchange-Traded Fd—210.6K$4.41M0.0%−$45.8KAdded$810.9K
Onto Innovation Inc.ONTO21.4K$4.39M0.0%$1.01MCut$66.7K
Phillips 66PSX24.1K$4.39M0.0%$504.5KAdded$3.16M
Alibaba Group Hldg Ltd—35K$4.39M0.0%−$107.1KAdded$3.64M
Booking Holdings Inc.BKNG1.04K$4.38M0.0%−$438.7KAdded$2.32M
J P Morgan Exchange Traded F—87.6K$4.36M0.0%−$53.7KAdded$65.5K
Invesco Exch Traded Fd Tr Ii—37.9K$4.35M0.0%$8.25KAdded$2.03M
Profesionally Managed Portfo—141.7K$4.35M0.0%−$111.5KAdded$477.2K
Eaton Corp PlcETN12.1K$4.34M0.0%$305.7KAdded$1.86M
T Rowe Price Etf Inc—87.3K$4.34M0.0%—New
Ishares Aaa A Rated Cor—91K$4.33M0.0%−$45.6KCut−$87.7K
Dimensional Etf Trust—110.7K$4.31M0.0%$12.1KAdded$3.77M
United Parcel Service IncUPS43.8K$4.31M0.0%−$25.5KAdded$1.18M
Blackrock Etf Trust—60.9K$4.27M0.0%−$131.7KAdded$1.8M
Vanguard Malvern Fds—56K$4.27M0.0%—New
Duke Energy Corp New—32.5K$4.25M0.0%$181.6KAdded$2.7M
Ishares Tr—29.4K$4.25M0.0%$92.1KAdded$584K
First Tr Exchange Trad Fd Vi—147.8K$4.24M0.0%—New
Dimensional Etf Trust—59.7K$4.24M0.0%−$172.4KAdded$313K
Aon plcAON13.1K$4.23M0.0%−$122.7KAdded$2.79M
Lowes Cos Inc—17.9K$4.22M0.0%−$77.8KAdded$389.6K
Sandisk CorpSNDK6.62K$4.21M0.0%$1.89MAdded$3.08M
Bny Mellon Etf Trust—53.1K$4.2M0.0%$218KAdded$464.7K
First Tr Exchange Traded Fd—37.7K$4.18M0.0%$410.9KAdded$935.3K
Ishares Tr—42.8K$4.17M0.0%$16KAdded$2.56M
Invesco Exchange Traded Fd T—69.5K$4.15M0.0%$180.8KCut−$507K
Ishares Tr—96.9K$4.12M0.0%$157.1KAdded$2.13M
General Mtrs Co—54.9K$4.09M0.0%−$195.6KAdded$1.76M
Invesco Exchange Traded Fd T—38K$4.09M0.0%$140.7KAdded$476.5K
Gold Fields Ltd—89.8K$4.08M0.0%$156.3KCut−$298.8K
Global X Fds—237.1K$4.07M0.0%—New
Everest Group, Ltd.EG12.4K$4.05M0.0%−$154.7KCut−$318.9K
Vanguard World Fd—11K$4.03M0.0%−$382.8KAdded$543.9K
Monolithic Pwr Sys Inc—3.69K$4.03M0.0%—New
Ishares Inc—47.6K$4.02M0.0%$154.2KAdded$655.2K
Blackrock Etf Trust—162.8K$4.01M0.0%−$2.48KAdded$3.61M
Vanguard Scottsdale Fds—84.7K$3.98M0.0%−$1.74KAdded$3.34M
Abbott LabsABT38.6K$3.96M0.0%−$346.1KAdded$2.04M
Texas Pacific Land Corporati—8.34K$3.96M0.0%$1.54MAdded$1.6M
Kinder Morgan Inc Del—117.3K$3.93M0.0%$409KAdded$2.07M
Victory Portfolios Ii—99.6K$3.93M0.0%$6.76KAdded$1.27M
TechnipFMC PLCFTI56.5K$3.9M0.0%$663.3KAdded$2.7M
Cincinnati Finl Corp—24.7K$3.89M0.0%—New
EMCOR Group, Inc.EME5.24K$3.87M0.0%$269.3KAdded$2.57M
Ishares Tr—151.5K$3.87M0.0%−$5.97KAdded$476.6K
Aflac IncAFL35.2K$3.87M0.0%−$11.7KAdded$1.56M
First Tr Exchange-Traded Fd—37.5K$3.87M0.0%−$153KAdded$849K
Innoviva, Inc.INVA165.2K$3.85M0.0%$546.9KCut$177.2K
Ishares Ethereum Tr—239.2K$3.79M0.0%−$62KAdded$3.58M
Pimco Etf Tr—38.9K$3.76M0.0%−$38.6KAdded$172.4K
Lumentum Hldgs Inc—5.35K$3.76M0.0%—New
Vanguard Intl Equity Index F—50K$3.75M0.0%$65.7KAdded$614.6K
Colgate Palmolive CoCL44K$3.75M0.0%—New
Ishares Tr—161.1K$3.75M0.0%−$7.58KAdded$2.52M
Wisdomtree Tr—170K$3.74M0.0%−$83.1KAdded$147.1K
Etf Ser Solutions—140.6K$3.74M0.0%−$12.1KAdded$836.5K
Essent Group Ltd.ESNT63.8K$3.73M0.0%−$377.4KAdded−$4.22K
First Tr Exchange Traded Fd—80.6K$3.72M0.0%−$353.9KAdded$505.9K
Shell Plc—40K$3.72M0.0%$633.6KAdded$1.33M
Oshkosh CorpOSK25.2K$3.71M0.0%—New
Wisdomtree Tr—73.7K$3.71M0.0%$516Added$2.39M
Vaneck Fds—74K$3.71M0.0%—New
Lennar Corp—42.6K$3.7M0.0%−$573.1KAdded$7.73K
Danaher Corporation—19.5K$3.7M0.0%−$407.6KAdded$1.32M
First Tr Exchange-Traded Fd—195.1K$3.7M0.0%—New
Litman Gregory Fds Tr—121.6K$3.67M0.0%$60.5KAdded$2.85M
Rockwell Automation, IncROK10.2K$3.65M0.0%−$202.6KAdded$1.04M
Invesco Exch Trd Slf Idx Fd—156K$3.65M0.0%−$14.8KAdded$327.8K
Matson, Inc.MATX22.2K$3.65M0.0%$898.4KCut−$2.75K
Airbnb, Inc.ABNB28.8K$3.64M0.0%−$104.4KAdded$2.14M
S&T Bancorp IncSTBA87K$3.64M0.0%$215.7KCut$199.6K
Invesco Actvely Mngd Etc Fd—207.8K$3.6M0.0%$845.7KCut$737.3K
Hamilton Insurance Group, Ltd.HG120.5K$3.59M0.0%$232.5KCut−$92.8K
Seagate Technology Hldngs Pl—9.13K$3.57M0.0%$367.9KAdded$2.7M
American Centy Etf Tr—49.6K$3.57M0.0%$75.4KAdded$987.1K
Cencora, Inc.COR11.3K$3.55M0.0%−$155.7KAdded$1.33M
Dimensional Etf Trust—149.3K$3.53M0.0%$85.2KAdded$927.3K
Medtronic PlcMDT40.7K$3.53M0.0%−$143.7KAdded$2.06M
Ishares Tr—18.6K$3.52M0.0%$58.2KAdded$2.26M
Vanguard Charlotte Fds—73.1K$3.51M0.0%−$14.1KAdded$989.7K
Realty Income CorpO57.4K$3.51M0.0%—New
G Iii Apparel Group Ltd—126.6K$3.51M0.0%−$147KAdded$127.5K
Ishares Tr—24K$3.5M0.0%$34.5KAdded$2.47M
Fortinet, Inc.FTNT42.8K$3.5M0.0%$38.6KAdded$2.17M
Innovex International, Inc.INVX142.9K$3.49M0.0%$360.1KCut−$227.9K
Xcel Energy Inc—43.8K$3.48M0.0%—New
Ishares Tr—62.8K$3.47M0.0%−$54KAdded$2.16M
Novartis Ag—22.6K$3.46M0.0%$151.8KAdded$2.05M
First Tr Exchange Traded Fd—150.3K$3.45M0.0%−$88.4KAdded$331.6K
Stryker CorpSYK10.5K$3.45M0.0%−$85KAdded$2.14M
Halliburton CoHAL88.3K$3.44M0.0%$892.3KAdded$1.09M
Vanguard Whitehall Fds—36.5K$3.44M0.0%$73.9KAdded$1.87M
Illinois Tool Wks Inc—13.2K$3.42M0.0%$54.7KAdded$2.46M
Ishares Tr—59.8K$3.42M0.0%$267.7KAdded$347K
Capital Group Global Equity—111.8K$3.41M0.0%−$94.5KAdded$765.1K
Capital Grp Fixed Incm Etf T—129.8K$3.41M0.0%−$27.1KAdded$641.3K
Williams Cos Inc—46.8K$3.4M0.0%$132.1KAdded$2.78M
Teradyne, IncTER11.5K$3.4M0.0%$445.8KAdded$2.56M
Ishares Tr—38.2K$3.4M0.0%−$26.5KAdded$259.6K
BlackRock, Inc.BLK3.53K$3.39M0.0%−$228.4KAdded$1.14M
Travelers Companies, Inc.TRV11.6K$3.39M0.0%$9.05KAdded$1.74M
Cal-Maine Foods IncCALM42.8K$3.39M0.0%−$17.7KAdded$26.8K
Exelixis, Inc.EXEL78.9K$3.38M0.0%−$18.8KAdded$2.51M
Schwab Strategic Tr—106.4K$3.37M0.0%$195.7KCut$119K
Analog Devices IncADI10.6K$3.36M0.0%$192.4KAdded$2.25M
Ishares Tr—36.7K$3.35M0.0%$175.6KAdded$396.2K
Wisdomtree Tr—21.1K$3.35M0.0%$273.6KAdded$618.2K
Advisorshares Tr—41K$3.35M0.0%—New
Blackrock Etf Trust—81.2K$3.33M0.0%—New
Spdr Series Trust—22.7K$3.32M0.0%$46.9KAdded$2.35M
Vanguard Whitehall Fds—37.3K$3.3M0.0%−$15.5KAdded$2.83M
Direxion Shs Etf Tr—27.8K$3.29M0.0%—New
Dow Inc.DOW78.3K$3.26M0.0%$389.8KAdded$2.76M
Pacer Fds Tr—52K$3.25M0.0%$114.1KAdded$380K
Regeneron Pharmaceuticals, Inc.REGN4.2K$3.25M0.0%$1.42KAdded$1.72M
Dimensional Etf Trust—92.6K$3.25M0.0%—New
Vanguard Index Fds—12.5K$3.23M0.0%−$241.3KAdded$138.2K
Meritage Homes CorpMTH52.1K$3.22M0.0%−$203.2KAdded−$154.2K
Ishares Tr—8.67K$3.21M0.0%−$68.4KAdded$1.58M
Blackstone Strategic Cred 20—288K$3.21M0.0%−$181.4KCut−$702.4K
Accenture Plc Ireland—16.1K$3.2M0.0%−$1.05MAdded−$840.3K
Invesco Exchange Traded Fd T—27K$3.2M0.0%−$41KAdded$426.3K
Schwab Strategic Tr—67.8K$3.17M0.0%$82.1KCut−$83.3K
Rio Tinto Plc—33.9K$3.16M0.0%$130.4KAdded$2.37M
Marathon Pete Corp—12.9K$3.15M0.0%$240.1KAdded$2.68M
Spdr Series Trust—24.6K$3.14M0.0%$126KAdded$487.5K
Victory Portfolios Ii—42K$3.13M0.0%$196.7KAdded$739.4K
Invesco Exch Trd Slf Idx Fd—135.4K$3.12M0.0%−$14.3KAdded$502.6K
Dimensional Etf Trust—91.6K$3.1M0.0%$88.3KAdded$1.25M
Dominion Energy, IncD50K$3.09M0.0%$63.9KAdded$1.93M
Ea Series Trust—85.8K$3.07M0.0%—New
Invesco Exch Trd Slf Idx Fd—132.5K$3.07M0.0%−$21.9KCut−$641.2K
First Tr Exch Traded Fd Iii—43.5K$3.06M0.0%−$25.1KAdded$234.9K
Blackrock Etf Trust Ii—60.9K$3.05M0.0%−$35.6KCut−$206.7K
Bny Mellon Etf Trust—64.1K$3.04M0.0%−$40.7KAdded$74.5K
Thermo Fisher Scientific Inc.TMO6.16K$3.03M0.0%−$343.1KAdded$767.3K
Ishares Tr—37.8K$3.03M0.0%−$213KAdded$2.15M
Vanguard Scottsdale Fds—10.3K$3.03M0.0%−$46.7KAdded$1.99M
Ishares Tr—17.9K$3.02M0.0%$1.49KCut−$141.6K
Guggenheim Strategic Opportu—273.8K$3.02M0.0%−$447.4KAdded−$80.4K
Energy Transfer L P—156.3K$3.02M0.0%$253.1KAdded$1.53M
Marsh & Mclennan Cos Inc—17.4K$3.02M0.0%−$42.2KAdded$2.37M
Robinhood Mkts Inc—43.5K$3.01M0.0%−$814.7KAdded$911K
Tidal Trust Ii—127.9K$3M0.0%−$258.4KHeld
Caseys Gen Stores Inc—4.11K$2.99M0.0%$598.7KAdded$1.1M
Dimensional Etf Trust—47.9K$2.99M0.0%$88.6KAdded$1.18M
American Centy Etf Tr—28.4K$2.98M0.0%−$118.7KAdded$1.55M
Curtiss Wright CorpCW4.36K$2.97M0.0%$181.5KAdded$2.2M
Direxion Shs Etf Tr—61.9K$2.97M0.0%—New
Citizens Finl Group Inc—49.5K$2.97M0.0%$51.7KAdded$1.03M
Ishares Tr—24.9K$2.95M0.0%−$18.7KCut−$4.79M
Vanguard World Fd—9.39K$2.93M0.0%$129.8KCut−$683.3K
Invesco Exch Traded Fd Tr Ii—143.2K$2.92M0.0%−$67.7KAdded$514K
Ford Mtr Co—253.1K$2.92M0.0%−$234.1KAdded$977.6K
Ishares Tr—115.1K$2.92M0.0%−$8.32KAdded$272.5K
Spdr Series Trust—93.8K$2.92M0.0%—New
Texas Instrs Inc—14.9K$2.9M0.0%$131.6KAdded$1.8M
Comcast Corp New—100.8K$2.89M0.0%−$65.9KAdded$1.22M
Ark Etf Tr—42.7K$2.89M0.0%−$125.5KAdded$1.85M
Alps Etf Tr—44.2K$2.88M0.0%$26.2KAdded$2.53M
Target CorpTGT23.7K$2.88M0.0%$353.2KAdded$1.4M
Devon Energy Corp New—57.1K$2.87M0.0%$604.2KAdded$1.26M
Ishares Tr—56.2K$2.86M0.0%$4.62KAdded$240.9K
Centene Corp Del—87.4K$2.86M0.0%−$404.1KAdded$884.4K
Dell Technologies Inc.DELL17.4K$2.86M0.0%$475.1KAdded$1.29M
First Tr Exchange-Traded Fd—111.4K$2.84M0.0%$31.1KAdded$1.35M
Oneok Inc /New/OKE31.4K$2.84M0.0%$252.7KAdded$1.74M
First Tr Exchng Traded Fd Vi—59.8K$2.83M0.0%−$21KHeld
J P Morgan Exchange Traded F—54K$2.83M0.0%$127.2KCut−$23.9K
Snowflake Inc.SNOW18.8K$2.83M0.0%−$812.6KAdded$229.8K
First Tr Exchng Traded Fd Vi—105K$2.82M0.0%−$69.3KCut−$92.7K
Northern Lts Fd Tr Iii—132.5K$2.82M0.0%—New
Ross Stores, Inc.ROST13K$2.82M0.0%$230.9KAdded$1.68M
First Tr Exchange Traded Fd—87.4K$2.79M0.0%$135.3KAdded$322.9K
Bondbloxx Etf Trust—55.1K$2.79M0.0%−$7.66KAdded$419.9K
Vanguard Bd Index Fds—55.9K$2.78M0.0%−$3.05KCut−$113K
Invesco Exchange Traded Fd T—22K$2.77M0.0%−$20.5KAdded$563.6K
Tyson Foods, Inc.TSN43.1K$2.76M0.0%$142.8KAdded$1.23M
Enbridge Inc—50.9K$2.75M0.0%$112.6KAdded$1.9M
Ameriprise Finl Inc—6.18K$2.75M0.0%−$129.1KAdded$1.37M
Spdr Series Trust—15K$2.73M0.0%—New
UBS Group AGUBS69.3K$2.71M0.0%−$34.9KAdded$2.48M
Invesco Actively Managed Exc—53.8K$2.7M0.0%−$4.44KAdded$972.5K
Fidelity Covington Trust—74.6K$2.68M0.0%−$30.1KAdded$71.2K
Trane Technologies PlcTT6.42K$2.68M0.0%$17.5KAdded$2.43M
Motorola Solutions, Inc.MSI6.15K$2.67M0.0%$178.2KAdded$1.32M
Blackrock Etf Trust Ii—52.9K$2.67M0.0%—New
Carpenter Technology CorpCRS6.75K$2.66M0.0%$64.6KAdded$2.4M
Vanguard Bd Index Fds—34.4K$2.66M0.0%−$22.5KAdded$152.5K
Expedia Group, Inc.EXPE11.5K$2.66M0.0%−$350.9KAdded$760.6K
First Tr Exchng Traded Fd Vi—49.6K$2.65M0.0%−$71.2KHeld
Adams Diversified Equity Fd—121K$2.65M0.0%−$173KCut−$221.2K
Spdr Series Trust—28K$2.65M0.0%$99.3KAdded$140.8K
Mfs Active Exchange Traded F—105.6K$2.63M0.0%—New
General Mls IncGIS70.5K$2.62M0.0%−$245.8KAdded$1.39M
Invesco Exch Traded Fd Tr Ii—47.8K$2.62M0.0%−$34.9KCut−$145.6K
Spdr Series Trust—57.5K$2.62M0.0%$37.6KAdded$1.9M
Delta Air Lines Inc DelDAL39.1K$2.6M0.0%−$60.6KAdded$1.16M
Schwab Charles Corp—27.6K$2.6M0.0%−$95.1KAdded$992.8K
Ishares Inc—112.4K$2.59M0.0%$94.2KAdded$1.51M
British Amern Tob Plc—44.3K$2.59M0.0%$46.2KAdded$1.18M
Invesco Exchange Traded Fd T—33.8K$2.57M0.0%$135.3KCut$107.5K
Neos Etf Trust—51.9K$2.56M0.0%−$47.9KAdded$1.77M
Dimensional Etf Trust—51.4K$2.56M0.0%—New
Invesco Exch Trd Slf Idx Fd—136.8K$2.55M0.0%−$15.9KAdded$835.3K
Vanguard Intl Equity Index F—17.5K$2.55M0.0%$9.71KAdded$1.99M
Baker Hughes Company—41.7K$2.54M0.0%—New
Ishares Tr—32.2K$2.54M0.0%−$3.4KAdded$2.28M
Emerson Elec Co—19.3K$2.53M0.0%−$14.6KAdded$1.39M
2023 Etf Series Trust—61.3K$2.53M0.0%—New
Vanguard Index Fds—8.33K$2.52M0.0%$561Added$1.26M
Automatic Data Processing In—12.3K$2.5M0.0%−$328.6KAdded$940.7K
Hunt J B Trans Svcs Inc—11.8K$2.5M0.0%$92.3KAdded$1.48M
Ishares Tr—35.6K$2.5M0.0%−$4.44KAdded$2.06M
Astrazeneca Plc OrdAZN12.7K$2.5M0.0%—New
First Tr Exchange-Traded Fd—19.6K$2.49M0.0%−$297.6KCut−$397.3K
Vanguard World Fd—6.93K$2.49M0.0%−$157.7KAdded$706.5K
Howmet Aerospace Inc.HWM10.8K$2.49M0.0%$138.8KAdded$1.37M
Ishares Inc—35K$2.48M0.0%$155.9KAdded$1.14M
Abrdn Precious Metals Basket—11.3K$2.47M0.0%$146.1KAdded$184.6K
Ishares Tr—25.7K$2.46M0.0%$4.67KAdded$1.62M
Eversource EnergyES35.4K$2.46M0.0%$38.7KAdded$1.12M
Kla CorpKLAC1.66K$2.45M0.0%$185.5KAdded$1.58M
Schwab Strategic Tr—87.4K$2.43M0.0%$25.4KAdded$1.35M
Fidelity Covington Trust—34.5K$2.43M0.0%−$128.4KAdded−$4.98K
Invesco Exch Traded Fd Tr Ii—90.1K$2.42M0.0%$95.3KAdded$189K
Invesco Actively Managed Exc—94.4K$2.41M0.0%—New
Monster Beverage Corp New—33.1K$2.4M0.0%−$70.6KAdded$1.11M
Dimensional Etf Trust—67.1K$2.4M0.0%$116.8KAdded$468.1K
Wisdomtree Tr—25.3K$2.39M0.0%$19.7KAdded$1.11M
Invesco Exch Traded Fd Tr Ii—99.8K$2.38M0.0%−$11KAdded$1.47M
Etf Ser Solutions—22.2K$2.38M0.0%−$10.7KAdded$1.88M
Harbor Etf Trust—53K$2.38M0.0%—New
Schwab Strategic Tr—48.5K$2.38M0.0%$41KAdded$1.88M
Draftkings Inc New—109.6K$2.37M0.0%−$250.8KAdded$1.7M
Northrop Grumman Corp—3.44K$2.35M0.0%$226.4KAdded$1.2M
Ishares Tr—100.8K$2.35M0.0%−$30.3KAdded$283.6K
Ishares Tr—49.3K$2.35M0.0%−$7.02KAdded$1.23M
Ishares Tr—41.3K$2.34M0.0%$70.9KAdded$481K
Vanguard World Fd—13K$2.34M0.0%−$179.1KAdded−$175.4K
Ametek Inc/AME10.9K$2.33M0.0%$27.9KAdded$1.7M
Ishares Inc—19K$2.33M0.0%$298.2KAdded$1.21M
Mondelez Intl Inc—40.4K$2.33M0.0%—New
Ishares Tr—40.8K$2.32M0.0%−$11KAdded$1.27M
Wec Energy Group, Inc.WEC19.9K$2.31M0.0%$29.1KAdded$2.01M
Kimberly Clark CorpKMB23.9K$2.3M0.0%−$28.8KAdded$1.64M
Cvs Health CorpCVS32K$2.3M0.0%−$137.8KAdded$845.8K
Johnson Ctls Intl Plc—17.4K$2.28M0.0%$57.2KAdded$1.67M
Capital Group New Geography—72K$2.27M0.0%−$11.3KAdded$1.27M
Ciena CorpCIEN5.82K$2.26M0.0%$516.2KAdded$1.48M
Truist Finl Corp—48.8K$2.24M0.0%−$133.6KAdded$215.2K
Proshares Tr—21.1K$2.24M0.0%$36.7KAdded$272.8K
Pgim Etf Tr—45.2K$2.24M0.0%−$4.07KCut−$4.64M
First Tr Exchng Traded Fd Vi—85.1K$2.23M0.0%−$20.2KAdded$176.1K
Proshares Tr—51.5K$2.23M0.0%−$117.5KCut−$169.1K
Quest Diagnostics IncDGX11.4K$2.23M0.0%$46.4KAdded$1.87M
Pacer Fds Tr—55.5K$2.23M0.0%−$126.5KAdded−$69.4K
Sprott Focus Tr Inc—233.2K$2.22M0.0%$200.5KCut$51.9K
Incyte CorpINCY23.1K$2.17M0.0%−$57.6KAdded$946.5K
Toro CoTTC23.2K$2.17M0.0%$131.9KAdded$1.46M
Fidelity Covington Trust—56.6K$2.15M0.0%$2.15KAdded$1.78M
Bp Plc—45.6K$2.14M0.0%$314.8KAdded$1.25M
Spdr Series Trust—46.7K$2.12M0.0%−$6.65KAdded$1.3M
Mercadolibre IncMELI1.22K$2.12M0.0%−$124.6KAdded$1.24M
Toronto Dominion Bk Ont—22.5K$2.1M0.0%−$7.45KAdded$1.3M
Welltower Inc.WELL10.6K$2.09M0.0%$64.9KAdded$1.09M
Ishares Tr—92.5K$2.09M0.0%−$4.46KAdded$66.3K
Vertex Pharmaceuticals Inc—4.67K$2.08M0.0%−$31.8KCut−$55.9K
Liberty All Star Equity Fd—372.9K$2.07M0.0%−$272.2KCut−$289.4K
J P Morgan Exchange Traded F—33.1K$2.06M0.0%$16KAdded$1.36M
Hewlett Packard Enterprise C—85.9K$2.05M0.0%−$11.3KAdded$757.7K
Hershey CoHSY9.82K$2.04M0.0%—New
Dimensional Etf Trust—63.3K$2.04M0.0%$3.9KAdded$1.82M
First Tr Exchange-Traded Fd—100.4K$2.04M0.0%−$18.9KAdded$75.2K
Tapestry, Inc.TPR14.4K$2.03M0.0%$79.3KAdded$1.27M
Intuit Inc.INTU4.69K$2.03M0.0%−$635KAdded$198.3K
T-Mobile Us Inc—9.64K$2.02M0.0%$18.3KAdded$1.49M
First Tr Exchange Traded Fd—40.6K$2.01M0.0%—New
Global X Fds—42.9K$2M0.0%−$32.8KAdded$1.6M
Spotify Technology S.A.SPOT4.11K$1.99M0.0%−$153.3KAdded$1.07M
Morgan Stanley Etf Trust—37.7K$1.98M0.0%—New
Ishares Tr—100.4K$1.98M0.0%−$7.57KAdded$778.8K
United Airls Hldgs Inc—21.5K$1.98M0.0%−$188.2KAdded$912.3K
Vanguard Wellington Fd—19.5K$1.98M0.0%—New
Pimco Etf Tr—19.6K$1.98M0.0%$3.92KAdded$18.8K
New York Life Invts Active E—77K$1.98M0.0%—New
Vaneck Etf Trust—4.88K$1.97M0.0%—New
Marriott Intl Inc New—6.02K$1.97M0.0%$60.1KAdded$858.8K
Mastec IncMTZ6.12K$1.97M0.0%$194.2KAdded$1.56M
J P Morgan Exchange Traded F—41.7K$1.96M0.0%−$1.27KAdded$1.74M
Ishares Tr—38.5K$1.95M0.0%$6.43KAdded$40.1K
Grayscale Coindesk Crypto—62.5K$1.95M0.0%—New
First Tr Exchange-Traded Fd—8.31K$1.95M0.0%−$280.4KAdded−$201.7K
Ally Finl Inc—49.6K$1.94M0.0%—New
Tidal Trust Iii—77.7K$1.94M0.0%—New
Evolv Technologies Hldngs In—321.3K$1.94M0.0%—New
J P Morgan Exchange Traded F—40.1K$1.94M0.0%$6.5KAdded$289.7K
Eog Res Inc—13.4K$1.93M0.0%$141.3KAdded$1.55M
Southern Copper Corp/SCCO11.2K$1.93M0.0%—New
Ww Grainger Inc—1.77K$1.93M0.0%—New
Ulta Beauty, Inc.ULTA3.68K$1.92M0.0%−$33.1KAdded$1.68M
CoreWeave, Inc.CRWV24.8K$1.92M0.0%$66.7KAdded$1.11M
APA CorpAPA45.2K$1.92M0.0%$503.3KAdded$1.24M
Corteva, Inc.CTVA22.9K$1.92M0.0%$269.9KAdded$835.5K
Prologis Inc.—14.5K$1.92M0.0%$47.5KAdded$575.3K
Ishares Tr—25.4K$1.91M0.0%$1.58KAdded$1.5M
Denali Therapeutics Inc.DNLI99.6K$1.91M0.0%$254.4KAdded$349.9K
Boston Scientific CorpBSX30.4K$1.91M0.0%−$395.5KAdded$751.8K
Amkor Technology, Inc.AMKR42.3K$1.91M0.0%—New
Vanguard Admiral Fds Inc—4.67K$1.9M0.0%−$83.2KAdded$898.9K
First Tr Exchange-Traded Fd—31.8K$1.9M0.0%−$1.99KAdded$1.1M
Ishares Tr—14.4K$1.9M0.0%−$104.3KCut−$121.2K
Invesco Db Commdy Indx Trck—65.3K$1.89M0.0%—New
Arm Holdings Plc—12.5K$1.88M0.0%$274.7KAdded$1.17M
Unity Software Inc.U85.6K$1.88M0.0%−$1.9MCut−$1.93M
Vanguard World Fd—13K$1.88M0.0%$11KAdded$1.47M
Wabtec—7.5K$1.88M0.0%$62.1KAdded$1.51M
Ishares Tr—39.9K$1.87M0.0%−$287.6KCut−$394.5K
Gabelli Divid & Income Tr—69.1K$1.86M0.0%−$57.9KAdded−$50.9K
Alps Etf Tr—35.3K$1.86M0.0%$108.9KAdded$947.2K
Ishares Inc—24.6K$1.85M0.0%$144.9KCut$22.8K
Pacer Fds Tr—35.2K$1.85M0.0%−$109.8KCut−$214.8K
Invesco Exch Traded Fd Tr Ii—67.5K$1.84M0.0%−$18.3KCut−$4.2M
Simon Ppty Group Inc New—9.87K$1.84M0.0%$10.7KAdded$457.3K
Morgan Stanley Etf Trust—36.7K$1.84M0.0%—New
Totalenergies SeTTE20.1K$1.83M0.0%$272.5KAdded$1.13M
Global X Fds—35.9K$1.83M0.0%$16.5KAdded$1.57M
Kraneshares Trust—64.2K$1.83M0.0%—New
Pimco Etf Tr—35.9K$1.82M0.0%−$28.9KAdded$46.5K
Ventas, Inc.VTR22.2K$1.82M0.0%$71.9KAdded$552.8K
J P Morgan Exchange Traded F—37.2K$1.82M0.0%−$6.63KAdded$337.9K
Ishares Tr—15.8K$1.81M0.0%−$95.8KAdded−$14K
Tidal Trust Ii—52.6K$1.81M0.0%−$147.6KAdded$698.2K
Neurocrine Biosciences IncNBIX13.7K$1.81M0.0%−$67.2KAdded$866.2K
Sysco CorpSYY25.3K$1.81M0.0%−$32.8KAdded$783K
Franklin Templeton Etf Tr—51.9K$1.8M0.0%—New
Textron IncTXT20.6K$1.8M0.0%$4.84KAdded$720K
Entergy Corp New—16K$1.8M0.0%$112.7KAdded$1.28M
Rocket Lab CorpRKLB27.9K$1.79M0.0%−$66.9KAdded$948.8K
Carnival Corp Ltd.CCL69K$1.79M0.0%−$134KAdded$908K
Grayscale Bitcoin Trust EtfGBTC33.8K$1.78M0.0%−$371.7KAdded$153.4K
Victory Portfolios Ii—19.5K$1.78M0.0%$9.06KAdded$34.7K
Spdr Series Trust—69.5K$1.78M0.0%—New
Alnylam Pharmaceuticals, Inc.ALNY5.37K$1.78M0.0%−$283.2KAdded$92K
Dimensional Etf Trust—24.9K$1.77M0.0%$33.8KAdded$163.1K
Oreilly Automotive Inc—19.2K$1.77M0.0%$14.4KAdded$582.8K
Calamos Global Total Return—158.6K$1.77M0.0%−$38.1KHeld
New York Times CoNYT21.1K$1.77M0.0%$130.9KAdded$1.13M
Coherent Corp.COHR7.41K$1.76M0.0%$71.1KAdded$1.52M
Banco Bilbao Vizcaya Argenta—81.3K$1.76M0.0%−$92.9KAdded$448.2K
Ishares Inc—38.7K$1.76M0.0%$18.7KAdded$1.13M
Wisdomtree Tr—35.6K$1.76M0.0%—New
Public Storage Oper Co—6.47K$1.75M0.0%$10.7KAdded$1.51M
Franklin Templeton Etf Tr—35.8K$1.75M0.0%$13.6KAdded$721.2K
Public Svc Enterprise Grp In—21.6K$1.75M0.0%$8.75KAdded$665.5K
Ishares Tr—22K$1.75M0.0%−$14KAdded$689.7K
Natera, Inc.NTRA8.71K$1.74M0.0%−$168.4KAdded$415.1K
Rbc Bearings IncRBC3.2K$1.74M0.0%$134.9KAdded$1.1M
Equinix IncEQIX1.77K$1.74M0.0%$142.1KAdded$1.23M
Etf Ser Solutions—35.1K$1.74M0.0%−$57.6KAdded$163.4K
Vici Pptys Inc—63.4K$1.73M0.0%−$32.4KAdded$593.8K
Pacer Fds Tr—38.4K$1.72M0.0%$19KAdded$37.1K
Atlas Energy Solutions Inc.AESI131.2K$1.72M0.0%$236.9KAdded$1.12M
Las Vegas Sands CorpLVS31.8K$1.71M0.0%−$173.4KAdded$707.4K
Allspring Exchange Traded Fu—69.4K$1.71M0.0%−$20.2KAdded−$14.4K
Fidelity Wise Origin Bitcoin—28.8K$1.7M0.0%−$495.6KCut−$687.4K
Templeton Emerging Mkts Fd—97.2K$1.7M0.0%$44.7KCut−$123.7K
Viking Holdings LtdVIK23.1K$1.7M0.0%$31KAdded$626.8K
NXP Semiconductors N.V.NXPI8.59K$1.69M0.0%−$131.9KAdded$271.8K
Parker-Hannifin CorpPH1.88K$1.68M0.0%—New
Planet Labs PbcPL59.9K$1.68M0.0%$493.4KCut$391.7K
Caci Intl Inc—3.08K$1.68M0.0%$6.97KAdded$1.34M
Ecolab Inc.ECL6.29K$1.67M0.0%$10.4KAdded$899.7K
Iron Mtn Inc Del—16.4K$1.67M0.0%$125.4KAdded$1.13M
Fiserv IncFISV29.9K$1.67M0.0%−$173.3KAdded$646.9K
Gartner IncIT10.4K$1.65M0.0%−$333.1KAdded$759.9K
Amplify Etf Tr—36.9K$1.65M0.0%$8.05KAdded$630.8K
Cadence Design System Inc—5.95K$1.65M0.0%−$101.4KAdded$740.6K
Cme Group Inc.CME5.59K$1.65M0.0%—New
Ameren CorpAEE15K$1.65M0.0%$27.3KAdded$1.37M
Csx CorpCSX39.9K$1.64M0.0%$147.9KAdded$520.4K
Flexshares Tr—6.78K$1.64M0.0%−$49.7KCut−$77.5K
Wisdomtree Tr—31.1K$1.63M0.0%—New
Burlington Stores, Inc.BURL5.02K$1.63M0.0%—New
Ishares Tr—6.56K$1.63M0.0%−$31.1KAdded$1.32M
Prudential Finl Inc—16.7K$1.63M0.0%−$137.8KAdded$605.1K
Cameco CorpCCJ15K$1.63M0.0%$180.6KAdded$663.8K
Marvell Technology, Inc.MRVL16.4K$1.62M0.0%$200.7KAdded$409.2K
Invesco Exchange Traded Fd T—9.77K$1.62M0.0%$88.6KCut−$312.5K
Ishares Tr—73.1K$1.62M0.0%−$13.7KAdded$9.12K
Nushares Etf Tr—62.6K$1.61M0.0%−$26.4KAdded−$3.19K
T Rowe Price Etf Inc—53.3K$1.61M0.0%—New
Ishares Tr—25.1K$1.61M0.0%−$16.6KCut−$33K
Schwab Strategic Tr—52K$1.61M0.0%—New
Air Prods & Chems Inc—5.54K$1.61M0.0%—New
Pimco Etf Tr—16.7K$1.6M0.0%−$1.94KAdded$77.1K
Keysight Technologies, Inc.KEYS5.64K$1.59M0.0%$215.9KAdded$1.04M
Stifel Finl Corp—21.5K$1.59M0.0%−$238.3KAdded$1M
Vaneck Etf Trust—17.3K$1.59M0.0%$93.9KAdded$244K
Pure Storage IncP26.9K$1.59M0.0%−$65.6KAdded$1.03M
Illumina, Inc.ILMN12.8K$1.58M0.0%−$56.2KAdded$645.7K
Yum Brands IncYUM10.1K$1.58M0.0%$10.6KAdded$1.2M
Telix Pharmaceutical Ltd—164.4K$1.57M0.0%—New
J P Morgan Exchange Traded F—31.6K$1.57M0.0%—New
Cardinal Health IncCAH7.44K$1.57M0.0%$7.56KAdded$1.3M
Omnicom Group Inc.OMC20.8K$1.57M0.0%−$89KAdded$245.9K
Huntington Bancshares Inc—100K$1.57M0.0%−$120.1KAdded$340K
Texas Roadhouse, Inc.TXRH9.48K$1.57M0.0%−$3.26KAdded$938.4K
Virtus Dividend Interest & P—124.1K$1.56M0.0%−$34.8KCut−$141.2K
Ishares Inc—24.1K$1.56M0.0%$16.6KAdded$18K
Ishares Inc—56.2K$1.56M0.0%—New
Trust For Professional Manag—55.4K$1.56M0.0%—New
State Str Corp—12.3K$1.56M0.0%−$21.8KAdded$411.6K
Etf Opportunities Trust—67.3K$1.56M0.0%−$137.7KAdded$62.7K
Verisign Inc—6.27K$1.56M0.0%$9.77KAdded$1.12M
Albemarle Corp—8.65K$1.55M0.0%$147.3KAdded$1.01M
Invesco Exchange Traded Fd T—26.8K$1.55M0.0%—New
Spdr Series Trust—69.7K$1.55M0.0%−$19.8KAdded$308.3K
Medpace Hldgs Inc—3.22K$1.55M0.0%−$194KAdded$209.8K
Hsbc Hldgs Plc—18.7K$1.54M0.0%$63.5KAdded$231.7K
Invesco Exchange Traded Fd T—32.3K$1.53M0.0%$6.66KAdded$1.02M
Rocket Cos Inc—107.6K$1.53M0.0%−$56.3KAdded$1.32M
Ishares Tr—58.4K$1.53M0.0%−$19.5KAdded$199.2K
Kroger CoKR21.1K$1.52M0.0%$146.1KAdded$599.7K
Ishares Tr—32.9K$1.52M0.0%$25.7KCut−$837
Central Secs Corp—30.6K$1.52M0.0%−$32.1KCut−$45.4K
First Tr Exchng Traded Fd Vi—29.3K$1.52M0.0%−$34.1KHeld
Ishares Tr—65.3K$1.51M0.0%−$8.85KAdded$673.8K
Paychex IncPAYX16.4K$1.51M0.0%−$152.6KAdded$657.1K
Becton Dickinson & CoBDX9.57K$1.51M0.0%−$158.1KAdded$672.4K
Clorox Co Del—14.5K$1.5M0.0%$7.07KAdded$1.25M
First Tr Enhanced Equity Inc—73.4K$1.5M0.0%−$113.6KAdded−$46.5K
M & T Bk Corp—7.25K$1.5M0.0%$17.2KAdded$836.9K
First Tr Exchng Traded Fd Vi—66.9K$1.5M0.0%$8.49KAdded$150.5K
Roper Technologies IncROP4.2K$1.49M0.0%−$122KAdded$891.8K
Roku, IncROKU15.7K$1.49M0.0%−$79.3KAdded$866.8K
Ishares Tr—32.6K$1.49M0.0%$51.5KCut−$28.9K
Atmos Energy CorpATO8.03K$1.48M0.0%$40KAdded$1.09M
Western Asset Emerging Mkts—151K$1.48M0.0%−$122.3KCut−$187.1K
Brookfield Corp—36.6K$1.48M0.0%−$98.8KAdded$643.2K
Host Hotels & Resorts, Inc.HST77K$1.47M0.0%$39.6KAdded$983.3K
D R Horton Inc—10.7K$1.47M0.0%−$67.6KAdded$41.8K
First Tr Exch Traded Fd Iii—30.9K$1.47M0.0%−$12.1KAdded−$6.36K
Global X Fds—14.6K$1.47M0.0%—New
V F CorpVFC86.2K$1.46M0.0%−$46.7KAdded$689.3K
Keurig Dr Pepper Inc.KDP55.5K$1.46M0.0%−$13.8KAdded$1.23M
Ishares Tr—11.4K$1.46M0.0%−$89.8KAdded$63.3K
Carmax IncKMX34.9K$1.45M0.0%$36.9KAdded$964.1K
Cheniere Energy, Inc.LNG5.1K$1.45M0.0%$180.9KAdded$1.05M
L3harris Technologies Inc—4.16K$1.44M0.0%$61.2KAdded$1.09M
C. H. Robinson Worldwide, Inc.CHRW8.65K$1.44M0.0%$6.63KAdded$1.23M
Fifth Third Bancorp—30.9K$1.43M0.0%−$8.12KAdded$347.6K
Synopsys IncSNPS3.61K$1.43M0.0%—New
Constellation Brands, Inc.STZ9.54K$1.43M0.0%$52.8KAdded$824.8K
CARRIER GLOBAL CorpCARR25.4K$1.43M0.0%$57.8KAdded$547.7K
Tc Energy Corp—22.7K$1.42M0.0%—New
Stride, Inc.LRN16.1K$1.42M0.0%—New
Veeva Sys Inc—8.08K$1.42M0.0%—New
Northern Tr Corp—10.2K$1.42M0.0%$9.4KAdded$983.8K
Strategy Inc—11.3K$1.42M0.0%−$85.9KAdded$935.1K
HCA Healthcare, Inc.HCA2.99K$1.42M0.0%$10.2KAdded$669.6K
Invesco India Exchange-Trade—68.5K$1.41M0.0%−$226.3KAdded−$48.5K
First Tr Exchange Traded Fd—8.59K$1.41M0.0%$90.6KCut−$248.4K
Spdr Series Trust—29.4K$1.4M0.0%−$2.03KAdded$798.7K
Gitlab Inc.GTLB64.8K$1.4M0.0%−$442.6KAdded$357K
Agnico Eagle Mines LtdAEM6.89K$1.4M0.0%$127.1KAdded$755.7K
Western Asst Infltn Lkd Inm—173.2K$1.4M0.0%−$32.9KCut−$114.9K
Ishares Tr—12.7K$1.4M0.0%$3.95KAdded$427.8K
Biogen Inc.BIIB7.62K$1.4M0.0%$20KAdded$916.5K
Simplify Exchange Traded Fun—46.2K$1.4M0.0%$93KAdded$539.4K
Goldman Sachs Etf Tr—33.8K$1.4M0.0%−$6.52KAdded$41.9K
Schwab Strategic Tr—42.3K$1.39M0.0%$2.31KAdded$1.02M
National Grid Plc—16.5K$1.39M0.0%$84.2KAdded$494.6K
Five Below, IncFIVE6.09K$1.39M0.0%$47.7KAdded$1.17M
Ishares Inc—36.2K$1.39M0.0%$213.7KAdded$365.9K
Invesco Exchange Traded Fd T—18.5K$1.39M0.0%$2.16KAdded$241K
Frequency Electrs Inc—31.3K$1.38M0.0%—New
lululemon athletica inc.LULU9.01K$1.38M0.0%—New
Blackrock Cap Allocation Ter—97.4K$1.38M0.0%−$2.74KAdded$78.5K
Ishares Tr—54K$1.37M0.0%−$18.5KAdded$178.1K
Coupang, Inc.CPNG72.3K$1.37M0.0%−$146.8KAdded$630.8K
Ishares Tr—31.3K$1.37M0.0%$9KCut$5.62K
Canadian Imperial Bank Of Co—14.4K$1.36M0.0%—New
Goldman Sachs Etf Tr—31.5K$1.36M0.0%$27.3KAdded$639.8K
Vanguard Wellington Fd—9.08K$1.35M0.0%−$32.2KAdded$169.5K
First Tr Exchng Traded Fd Vi—58.6K$1.35M0.0%$11.4KAdded$166.4K
Ssga Active Tr—28.6K$1.35M0.0%−$4.25KAdded$19.5K
On Semiconductor CorpON21.8K$1.35M0.0%—New
Ishares Tr—57.3K$1.35M0.0%−$11.8KCut−$60K
Ishares Tr—23.3K$1.34M0.0%$365.2KCut$241.8K
Spdr Series Trust—53.5K$1.34M0.0%−$7.77KAdded$760K
Autozone IncAZO395$1.34M0.0%−$1.62KAdded$478.4K
Autodesk, Inc.ADSK5.58K$1.33M0.0%−$47.5KAdded$1.09M
Roblox CorpRBLX23.6K$1.33M0.0%−$180.6KAdded$734.4K
Molina Healthcare, Inc.MOH9.99K$1.33M0.0%—New
Lantheus Hldgs Inc—17.5K$1.33M0.0%—New
Blackstone Seni Fltn Rat 202—102.6K$1.33M0.0%−$56.5KCut−$308.2K
Invesco Exch Traded Fd Tr Ii—10.3K$1.32M0.0%$18.2KAdded$43.6K
Eqt CorpEQT20.7K$1.31M0.0%$117.4KAdded$688.4K
Morgan Stanley Etf Trust—41.1K$1.31M0.0%−$25.2KCut−$601.7K
Gsk Plc—23.7K$1.31M0.0%$102.9KAdded$489.3K
Agilent Technologies, Inc.A11.5K$1.31M0.0%−$41.3KAdded$1.05M
John Hancock Exchange Traded—30.8K$1.3M0.0%$25.9KCut−$23.2K
FirstCash Holdings, Inc.FCFS6.94K$1.3M0.0%—New
Pacer Fds Tr—40.7K$1.3M0.0%—New
Canadian Nat Res Ltd—26.7K$1.3M0.0%$102.7KAdded$1.07M
BorgWarner IncBWA24K$1.3M0.0%$133.7KAdded$646.4K
Ishares Tr—36.2K$1.3M0.0%−$27KAdded$867.6K
EXPAND ENERGY CorpEXE11.8K$1.3M0.0%—New
Mosaic Co NewMOS50.9K$1.3M0.0%$63.3KAdded$216.8K
First Tr Exchange-Traded Fd—40.3K$1.3M0.0%$230.4KCut$185.1K
First Tr Exch Trd Alphdx Fd—28.4K$1.29M0.0%$51.6KAdded$665.4K
Marketaxess Hldgs Inc—7.8K$1.29M0.0%−$126.9KCut−$156.7K
Ishares Tr—12.6K$1.29M0.0%$32.4KAdded$313K
Petroleo Brasileiro Sa Petro—61.8K$1.28M0.0%$509.1KAdded$605.3K
World Gold Tr—13.8K$1.28M0.0%$101.3KCut−$71.2K
First Tr Exchange-Traded Alp—8.31K$1.28M0.0%−$47.7KCut−$175.3K
Stellar Bancorp Inc—35K$1.28M0.0%$196.4KAdded$209.1K
Insulet CorpPODD6.1K$1.28M0.0%−$146.3KAdded$721.4K
Republic Svcs Inc—5.84K$1.28M0.0%$23.4KAdded$577.9K
Capital Group Conservative E—42.7K$1.27M0.0%−$21KAdded$330.1K
Cooper Cos Inc—17.8K$1.27M0.0%—New
Crh Plc—12.1K$1.27M0.0%−$107.5KAdded$591K
Cintas CorpCTAS7.51K$1.27M0.0%−$71.7KAdded$558.2K
Ge Healthcare Technologies I—17.8K$1.27M0.0%−$147.1KAdded$157.2K
Nvent Electric PlcNVT10.7K$1.27M0.0%$46.2KAdded$981.2K
Global X Fds—17.1K$1.27M0.0%$160.9KAdded$168.7K
First Tr Exchange-Traded Alp—10.4K$1.27M0.0%$25.2KAdded$362.1K
Ishares Tr—47.3K$1.26M0.0%−$27.5KCut−$1.35M
Davis Fundamental Etf Tr—24.9K$1.26M0.0%−$4.21KAdded$713.9K
Itt Inc.ITT6.62K$1.26M0.0%$20.3KAdded$1.05M
United Therapeutics Corp Del—2.13K$1.26M0.0%$224.9KCut−$3.58M
Rithm Capital Corp—132.7K$1.26M0.0%−$27.8KAdded$1.04M
Api Group CorpAPG31K$1.26M0.0%—New
Waste Connections, Inc.WCN7.72K$1.25M0.0%−$99.8KCut−$134.3K
Invesco Exchange Traded Fd T—13.3K$1.25M0.0%—New
Sherwin Williams CoSHW3.9K$1.25M0.0%—New
NIKE, Inc.NKE23.7K$1.25M0.0%—New
Vanguard Mun Bd Fds—16.5K$1.24M0.0%—New
Toyota Motor Corp—6.01K$1.24M0.0%−$40.8KAdded$142.6K
Allstate Corp—5.93K$1.23M0.0%−$1.98KAdded$718.8K
Datadog, Inc.DDOG10.4K$1.23M0.0%−$138.2KAdded$179.6K
Antero Resources CorpAR28.9K$1.23M0.0%$93.6KAdded$822.8K
Invesco Exch Traded Fd Tr Ii—16.8K$1.23M0.0%$16.2KAdded$552.8K
Tradeweb Mkts Inc—10.4K$1.23M0.0%$49.7KAdded$696.6K
Vale S.A.VALE77K$1.22M0.0%$165.9KAdded$474K
Ralph Lauren CorpRL3.54K$1.22M0.0%−$9.35KAdded$875.1K
Innovator Etfs Trust—34.3K$1.21M0.0%—New
Kkr & Co Inc—13.1K$1.21M0.0%−$101.9KAdded$836.3K
Nuveen S&P 500 Dynamic Overw—75K$1.2M0.0%—New
Healthequity, Inc.HQY14.4K$1.2M0.0%—New
Ishares Inc—21.9K$1.2M0.0%$18.9KCut−$82.3K
Invesco Exch Trd Slf Idx Fd—53.6K$1.2M0.0%−$13.4KCut−$14.7K
Primerica, Inc.PRI4.78K$1.2M0.0%−$22.6KAdded$456.9K
Ishares Tr—12.6K$1.19M0.0%$3.18KAdded$747K
Ishares Tr—28.1K$1.19M0.0%$26.5KAdded$227.9K
Vanguard Intl Equity Index F—14.5K$1.19M0.0%−$13.9KAdded$211.8K
Ishares Tr—58.4K$1.19M0.0%−$3.27KAdded$660.4K
Paypal Hldgs Inc—26.3K$1.19M0.0%−$251.4KAdded$75.1K
Mitsubishi Ufj Finl Group In—69.5K$1.18M0.0%$23.6KAdded$841.4K
Barclays Plc—55.4K$1.17M0.0%−$154.4KAdded$257.4K
Nucor CorpNUE6.93K$1.17M0.0%$24.1KAdded$514.1K
Ishares Tr—23.1K$1.17M0.0%−$4.56KAdded$58.1K
Hartford Insurance Group Inc—8.61K$1.16M0.0%−$8.24KAdded$724.2K
Mohawk Inds Inc—11.8K$1.16M0.0%−$39.4KAdded$764.3K
Ball CorpBALL19.6K$1.16M0.0%—New
Royce Global Trust, Inc.RGT86.7K$1.16M0.0%$21.5KAdded$40.2K
Moodys Corp—2.64K$1.15M0.0%−$60.7KAdded$735.1K
Ishares Tr—13K$1.15M0.0%−$4.64KAdded$760.1K
Hubbell IncHUBB2.33K$1.15M0.0%$109.2KCut−$210.9K
Wisdomtree Tr—28.6K$1.15M0.0%$26.6KAdded$184.3K
Dimensional Etf Trust—43K$1.14M0.0%$6.66KAdded$42.7K
Royal Caribbean Group—4.15K$1.14M0.0%−$4.53KAdded$805K
First Tr Exchange Traded Fd—12.2K$1.14M0.0%−$38.7KCut−$810.9K
Ishares Tr—11.9K$1.13M0.0%−$73.8KAdded$234.8K
Invesco Exch Traded Fd Tr Ii—47.1K$1.13M0.0%−$14KAdded$153K
Canadian Pacific Kansas City—14.3K$1.13M0.0%—New
Ishares Tr—23.8K$1.13M0.0%−$6.11KAdded$318.3K
Qnity Electronics, Inc.Q9.76K$1.13M0.0%$204.2KAdded$631.5K
Nordson CorpNDSN4.23K$1.13M0.0%—New
Putnam Etf Trust—153.6K$1.12M0.0%−$3.46KAdded$484.5K
T Rowe Price Etf Inc—30.4K$1.12M0.0%$16.2KAdded$358.8K
Invesco Exch Trd Slf Idx Fd—66.6K$1.11M0.0%−$9.34KAdded$327.4K
Synchrony Financial—16.4K$1.11M0.0%−$123.8KAdded$442.6K
Invesco Exchange Traded Fd T—8.47K$1.11M0.0%—New
Twilio IncTWLO8.83K$1.11M0.0%−$99.8KAdded$246.3K
Genpact Limited—29.8K$1.11M0.0%−$159.8KAdded$326.5K
Hubspot IncHUBS4.55K$1.11M0.0%−$357.8KAdded$197.5K
Equifax IncEFX6.17K$1.11M0.0%—New
Capital Grp Fixed Incm Etf T—40.9K$1.11M0.0%−$7.32KAdded$237.1K
Mplx Lp—19.4K$1.11M0.0%$39.6KAdded$538.2K
Edwards Lifesciences CorpEW13.8K$1.11M0.0%−$43.1KAdded$398.4K
American Centy Etf Tr—13K$1.1M0.0%—New
Exelon CorpEXC22.4K$1.1M0.0%—New
Wisdomtree Tr—12.4K$1.09M0.0%—New
Sprouts Fmrs Mkt Inc—14.1K$1.08M0.0%—New
Digital Rlty Tr Inc—6K$1.08M0.0%$80.7KAdded$591.7K
Amplify Etf Tr—14.4K$1.08M0.0%−$58.9KAdded$184.1K
Vistra Corp.VST7.18K$1.08M0.0%—New
Ishares Tr—10.1K$1.08M0.0%−$6.37KAdded$67.2K
Solstice Advanced Matls Inc—14.1K$1.08M0.0%$138.9KAdded$831.4K
Ishares Inc—13.6K$1.08M0.0%$19.7KAdded$803.8K
Best Buy Co IncBBY16.7K$1.08M0.0%−$45.8KCut−$83.1K
Church & Dwight Co Inc—11.5K$1.08M0.0%—New
Spdr S&P Midcap 400 Etf Tr—1.74K$1.07M0.0%$13KAdded$494K
Chipotle Mexican Grill IncCMG33.5K$1.07M0.0%−$70.2KAdded$553.1K
First Tr Exchange-Traded Fd—62.6K$1.07M0.0%$1.24KAdded$365.8K
Graco IncGGG12.7K$1.07M0.0%—New
Targa Res Corp—4.27K$1.07M0.0%$116KAdded$747.9K
Viatris IncVTRS79.2K$1.07M0.0%$41.2KAdded$586.6K
Lyondellbasell Industries N—13.3K$1.07M0.0%$234.8KAdded$795.8K
American Centy Etf Tr—13.3K$1.07M0.0%$13.3KAdded$781.5K
First Tr Exchange-Traded Fd—49.2K$1.07M0.0%$33.6KAdded$317.3K
Hilton Worldwide Hldgs Inc—3.5K$1.07M0.0%$24.7KAdded$645.3K
Woodward, Inc.WWD2.97K$1.06M0.0%$62.6KAdded$721.9K
Cloudflare, Inc.NET5.15K$1.06M0.0%$40.3KAdded$197.1K
MongoDB, Inc.MDB4.33K$1.06M0.0%−$287.4KAdded$370.3K
First Tr High Yield Opprt 20—78.3K$1.06M0.0%−$42.3KCut−$272.9K
Ares Capital CorpARCC58.5K$1.05M0.0%−$82.7KAdded$297.9K
Invesco Exch Trd Slf Idx Fd—48.3K$1.05M0.0%−$10KAdded$6.88K
First Tr Exch Traded Fd Iii—48.5K$1.05M0.0%$6.36KAdded$484.6K
Price T Rowe Group IncTROW11.6K$1.05M0.0%−$115KAdded$87.4K
First Tr Exch Traded Fd Iii—20.7K$1.05M0.0%−$7.34KAdded$258.3K
Suncor Energy Inc New—15.9K$1.05M0.0%$330.6KAdded$373.9K
Regions Financial Corp New—40K$1.04M0.0%−$30.6KAdded$197.3K
Nushares Etf Tr—22.9K$1.04M0.0%$7.51KAdded$288.2K
Bhp Group Ltd—14.3K$1.04M0.0%$91.9KAdded$589K
Pulte Group Inc—8.82K$1.04M0.0%$797Added$786.3K
Deckers Outdoor CorpDECK10.4K$1.04M0.0%−$21.6KAdded$411.3K
Voya Glbl Adv & Prem Opp Fd—108.3K$1.04M0.0%−$17.3KCut−$119.7K
Applovin CorpAPP2.59K$1.03M0.0%−$562.4KAdded−$343.1K
Nutanix, Inc.NTNX27.1K$1.03M0.0%−$67.2KAdded$776.8K
Wisdomtree Tr—11.5K$1.03M0.0%$3.46KAdded$780.4K
Etf Ser Solutions—41.7K$1.03M0.0%−$38.4KAdded$713.6K
Blackrock Etf Trust—33.2K$1.02M0.0%−$20.8KAdded$268K
Hasbro, Inc.HAS10.9K$1.02M0.0%$86.4KAdded$412K
Ishares Tr—40.4K$1.02M0.0%—New
The Alger Etf Trust—32.5K$1.02M0.0%−$113.7KCut−$140.2K
Simpson Mfg Inc—5.93K$1.02M0.0%$37KAdded$429K
Spdr Series Trust—5.41K$1.02M0.0%—New
Nasdaq, Inc.NDAQ12K$1.02M0.0%−$132.6KAdded−$36.1K
Vanguard Index Fds—4.93K$1.01M0.0%−$15.5KAdded$32.6K
Manulife Finl Corp—29.4K$1.01M0.0%−$19KAdded$639.2K
Garmin LtdGRMN4.35K$1.01M0.0%$77KAdded$474.9K
NB Bancorp, Inc.NBBK47.9K$1.01M0.0%$59.5KAdded$66.5K
Lincoln Elec Hldgs Inc—4.05K$1.01M0.0%$14.8KAdded$633.3K
Wp Carey Inc—14.8K$1.01M0.0%$20.8KAdded$636.1K
Match Group Inc New—32.8K$1.01M0.0%−$29.1KAdded$412.2K
Janus Henderson Group Plc—19.6K$1M0.0%$62.9KAdded$217.5K
SoFi Technologies, Inc.SOFI63.2K$1M0.0%−$240.6KAdded$392.8K
Virtus Equity & Conv Incm Fd—43K$1M0.0%−$67KCut−$149.9K
Sasol Ltd—77.3K$1M0.0%$451.5KAdded$546.1K
Take-Two Interactive Softwar—5.07K$1M0.0%−$55.7KAdded$758.2K
American Centy Etf Tr—9K$1M0.0%—New
Te Connectivity PlcTEL4.78K$999.4K0.0%—New
Pinnacle Finl Partners Inc Com—11.6K$996.8K0.0%—New
Eaton Vance Tax-Managed Glob—115.1K$996.4K0.0%−$92.3KAdded−$14.1K
First Tr Exchng Traded Fd Vi—25.3K$995.5K0.0%−$4.54KCut−$8.9K
First Tr Exchange-Traded Fd—55.7K$992.3K0.0%$17.3KCut−$515.9K
Sea LtdSE12K$992.1K0.0%−$97.3KAdded$714.8K
Fastenal CoFAST21.3K$989K0.0%—New
Federal Rlty Invt Tr New—9.3K$988.1K0.0%$28.6KAdded$454.1K
Coca Cola Cons Inc—5.15K$986.7K0.0%$118.7KAdded$513.3K
Teledyne Technologies IncTDY1.63K$984.8K0.0%$40.4KAdded$766.8K
First Tr Exchng Traded Fd Vi—17.6K$983.2K0.0%−$11.8KAdded$118K
Invesco Ltd.IVZ40.3K$979.6K0.0%−$48.6KAdded$334.8K
Vanguard Bd Index Fds—14.2K$978.3K0.0%−$7.62KAdded$263.6K
Vanguard World Fd—4.34K$977.2K0.0%$40.2KAdded$510.1K
Proshares Tr—23.4K$977K0.0%−$65.3KCut−$88.1K
Spdr Series Trust—8.38K$974.8K0.0%—New
Dover CorpDOV4.67K$972.6K0.0%$44.2KAdded$318.7K
Rpm Intl Inc—9.78K$972.5K0.0%−$29.7KAdded$300.2K
Applied Indl Technologies In—3.66K$971.9K0.0%—New
Baidu Inc—8.72K$971.7K0.0%—New
Ishares Inc—14K$971.6K0.0%$23.7KAdded$32.8K
Flex Ltd.FLEX14.8K$971K0.0%$33.6KAdded$568.5K
DuPont de Nemours, Inc.DD21K$961.5K0.0%$76.9KAdded$409.5K
Spdr Series Trust—8.88K$959.4K0.0%$8.94KAdded$750.1K
Invesco Exch Traded Fd Tr Ii—9.08K$958.6K0.0%−$887Cut−$242.1K
Royal Bk Cda—5.92K$958.6K0.0%−$46.9KAdded$39.7K
Coinbase Global, Inc.COIN5.49K$957.8K0.0%−$75.8KAdded$624.8K
Hancock John Invt Tr Ii—74.1K$956.5K0.0%−$56.3KAdded−$56.3K
Evergy, Inc.EVRG11.7K$956K0.0%—New
Pegasystems IncPEGA22.4K$955.4K0.0%−$217.9KAdded$196.9K
First Tr Exchange-Traded Fd—36K$955.2K0.0%−$26.1KAdded$341K
Evercore Inc.EVR3.19K$950.6K0.0%—New
J P Morgan Exchange Traded F—14K$948.6K0.0%—New
Berkley W R Corp—14.3K$944.5K0.0%—New
Elevance Health Inc Formerly—3.22K$941.9K0.0%−$133.1KAdded$133.9K
Itau Unibanco Hldg S A—112.3K$941K0.0%$65KAdded$559.4K
J P Morgan Exchange Traded F—20.5K$939.8K0.0%−$11.6KAdded$132K
Ishares Tr—19.4K$938.9K0.0%—New
Ishares Tr—51.2K$937K0.0%$80.3KAdded$227.9K
Century Alum Co—16K$936.8K0.0%—New
Bny Mellon Etf Trust—21K$933.4K0.0%$58.6KAdded$370.1K
Lloyds Banking Group Plc—184.8K$929.7K0.0%−$31.3KAdded$314.7K
STERIS plcSTE4.19K$926.6K0.0%−$135.7KCut−$209K
WEX Inc.WEX6.05K$925.9K0.0%$10.3KAdded$547.5K
Jefferies Finl Group Inc—22.4K$924K0.0%−$183.1KAdded$375.7K
Pimco Etf Tr—14.4K$923.9K0.0%−$3.28KAdded$41K
AramarkARMK22.8K$923.2K0.0%$58.9KAdded$333.5K
Invesco Exch Trd Slf Idx Fd—44.1K$921.8K0.0%−$8.79KAdded$192.2K
Unilever Plc—16.2K$920.4K0.0%−$55.6KAdded$489K
Atlassian CorpTEAM13.4K$916.1K0.0%−$1.26MCut−$1.36M
Darden Restaurants IncDRI4.67K$915.9K0.0%$19.7KAdded$615.1K
Commerce Bancshares Inc—18.6K$915.2K0.0%−$44.8KAdded$168.4K
Ishares Inc—7.64K$913.5K0.0%$4.85KAdded$155.8K
Magna Intl Inc—16.4K$912.6K0.0%$24.8KAdded$385.4K
Kraft Heinz CoKHC40.5K$911.2K0.0%−$27.2KAdded$537.1K
Interactive Brokers Group In—13.6K$911.1K0.0%$30.5KAdded$202.4K
Pacira BioSciences, Inc.PCRX40.3K$910.4K0.0%—New
Dte Energy Co—6.22K$910.2K0.0%$75KAdded$348.5K
Alaska Air Group, Inc.ALK24.7K$910K0.0%−$255.4KAdded−$40K
Fidelity Natl Information Sv—19.4K$909.9K0.0%—New
Allison Transmission Hldgs I—7.77K$909.8K0.0%—New
Bright Horizons Fam Sol In D—11K$907.4K0.0%−$60.3KAdded$590.3K
Invesco Exchange Traded Fd T—13.5K$905.2K0.0%−$43KAdded$52.4K
Vse Corp—4.87K$898.8K0.0%—New
American Centy Etf Tr—8.98K$897.3K0.0%$37.4KAdded$300.4K
National Fuel Gas CoNFG9.53K$895.1K0.0%—New
Norfolk Southn Corp—3.12K$894.3K0.0%−$1.44KAdded$660.1K
Novo-Nordisk A S—24.3K$894.3K0.0%−$215.1KAdded$119.7K
Prestige Consmr Healthcare I—15.1K$894.1K0.0%—New
Credo Technology Group Holdi—9.47K$889.2K0.0%−$268.6KAdded$116.7K
Zoetis Inc.ZTS7.52K$888.6K0.0%−$34.6KAdded$315.9K
Pgim Rock Etf Tr—30.6K$888.1K0.0%—New
Bny Mellon Etf Trust—7.79K$887.1K0.0%$10.4KAdded$65K
Huntington Ingalls Inds Inc—2.33K$886.1K0.0%$51.6KAdded$445.3K
Imperial Oil LtdIMO6.75K$883.2K0.0%—New
Ishares Tr—10.5K$881.2K0.0%$10.6KCut$6.41K
Ishares Tr—40.2K$879K0.0%−$7.23KCut−$59.4K
Invesco Exch Traded Fd Tr Ii—17.7K$878K0.0%—New
Liberty Energy Inc.LBRT30.5K$877.8K0.0%—New
Landstar Sys Inc—5.47K$876.3K0.0%—New
Leidos Holdings, Inc.LDOS5.62K$874.2K0.0%−$139.9KCut−$1.15M
BWX Technologies, Inc.BWXT4.25K$869.2K0.0%—New
Annaly Capital Management In—41.1K$868.4K0.0%−$12.3KAdded$641.9K
Franklin Unvl Tr—108.1K$865.9K0.0%$1.08KCut−$131.1K
MSCI Inc.MSCI1.61K$865.4K0.0%−$35.7KAdded$281.7K
Crown Hldgs Inc—8.63K$864.8K0.0%−$13.1KAdded$369.7K
Iqvia Hldgs Inc—5.07K$864.5K0.0%−$278.1KCut−$341K
Woodside Energy Group Ltd—36.2K$863.8K0.0%$190.4KAdded$505.6K
SiteOne Landscape Supply, Inc.SITE6.48K$862.7K0.0%—New
Spdr Series Trust—4.84K$862.2K0.0%$10.2KAdded$155.5K
Chewy, Inc.CHWY31.9K$860K0.0%−$60.5KAdded$529.5K
Franklin Templeton Etf Tr—34.7K$859.1K0.0%−$1.83KAdded$290.8K
Nisource Inc.NI18.3K$855.8K0.0%$35KAdded$557.9K
Sprott Fds Tr—18.8K$852.3K0.0%—New
Watts Water Technologies IncWTS2.94K$852K0.0%$20.7KAdded$454.7K
Ishares Tr—13.8K$851.6K0.0%−$32.4KAdded$242.8K
Ferguson Enterprises Inc—3.65K$851.4K0.0%$14.2KAdded$554.4K
Vaneck Etf Trust—33.9K$851K0.0%−$13.5KAdded$359.8K
Legg Mason Etf Invt—19.9K$848.7K0.0%$52.2KAdded$71.5K
Hp IncHPQ43.9K$843.2K0.0%−$134.7KCut−$143.6K
Wisdomtree Tr—23.4K$841.4K0.0%—New
Metlife Inc—11.9K$840.6K0.0%−$73KAdded$139.6K
First Tr Exchange-Traded Alp—7.01K$837K0.0%$43.5KCut−$660.9K
Globe Life Inc—6K$835.7K0.0%−$1.92KAdded$445.9K
Fs Kkr Cap Corp—82K$834.4K0.0%−$302.6KAdded−$133.6K
Ab Active Etfs Inc—23.5K$833.5K0.0%—New
Manhattan Associates IncMANH6.24K$831.1K0.0%−$78.1KAdded$494.2K
Vaneck Etf Trust—6.23K$830K0.0%$37.9KAdded$306.7K
Schwab Strategic Tr—33.2K$828K0.0%−$4.01KAdded$234.7K
Invesco Exch Trd Slf Idx Fd—38.2K$827.7K0.0%−$11.2KAdded$46.3K
State Srt Spdr Prtfl Hgh—35.5K$826.8K0.0%—New
Warner Bros. Discovery, Inc.WBD30K$824.4K0.0%−$19.3KAdded$415.7K
Block Inc—13.7K$823.7K0.0%—New
Resmed Inc—3.67K$823.7K0.0%—New
Stanley Black & Decker, Inc.SWK11.6K$823.3K0.0%−$11.2KAdded$565.2K
Flexshares Tr—8.76K$822.9K0.0%$10.7KAdded$34.4K
Jones Lang Lasalle IncJLL2.7K$822.3K0.0%−$84.3KAdded−$60.3K
Lamb Weston Hldgs Inc—19.4K$821K0.0%—New
Global X Fds—16.9K$817.7K0.0%$70.4KAdded$289.4K
Mgm Resorts InternationalMGM22.1K$817K0.0%$11.5KCut−$70.2K
Aaon, Inc.AAON9.87K$817K0.0%—New
Intercontinental Exchange In—5.19K$817K0.0%−$14.2KAdded$325K
Etf Ser Solutions—14.1K$814.4K0.0%—New
First Tr Exchng Traded Fd Vi—15.4K$813.6K0.0%−$10KCut−$68.6K
Onemain Hldgs Inc—15.2K$813K0.0%−$145.6KAdded$113.7K
Simplify Exchange Traded Fun—34.5K$811K0.0%—New
Amplitech Group Inc—424.8K$807.1K0.0%—New
Vanguard World Fd—3.41K$806.3K0.0%−$39.7KAdded$131K
Owens Corning New—7.43K$803.7K0.0%−$7.22KAdded$583.5K
Gap IncGAP33.2K$803.2K0.0%−$22.2KAdded$397.4K
Ioneer Ltd—188.6K$802.3K0.0%—New
Victory Portfolios Ii—14.7K$802.1K0.0%$17.3KAdded$271.3K
First Tr Exchange Traded Fd—14.3K$800.8K0.0%−$57.9KAdded−$39.3K
ExlService Holdings, Inc.EXLS26.3K$800.3K0.0%−$189.7KAdded$129K
Vanguard Scottsdale Fds—7.97K$798.2K0.0%$4.11KAdded$166K
Ati IncATI5.46K$794.9K0.0%$75.8KAdded$511.7K
Tenet Healthcare CorpTHC4.2K$793K0.0%−$29.4KAdded$208.5K
Nokia Corp—98.6K$792.7K0.0%$25.8KAdded$686.4K
Vaneck Etf Trust—61.9K$791.8K0.0%−$53.7KAdded$239.7K
Ishares Tr—2.52K$789.1K0.0%−$23.3KCut−$1.11M
Alliancebernstein Natl Mun I—73.2K$782.1K0.0%−$9.51KCut−$10.1K
Axalta Coating Sys Ltd—28.2K$781.7K0.0%−$62.2KAdded$345.6K
Gaming & Leisure Pptys Inc—17.6K$780.7K0.0%−$3.06KAdded$352K
Expeditors Intl Wash Inc—5.43K$778K0.0%—New
American Wtr Wks Co Inc New—5.71K$777.1K0.0%—New
Fidelity National Financial, Inc.FNF16.7K$776.3K0.0%−$77.5KAdded$261.2K
Unum Group—10.6K$776.2K0.0%−$28.9KAdded$274.5K
Ishares Tr—11.3K$774.6K0.0%$6.08KAdded$468.7K
Capital Grp Fixed Incm Etf T—30K$774.5K0.0%−$4.67KAdded$223.4K
Msc Indl Direct Inc—8.38K$772.9K0.0%$43.8KAdded$322.3K
Abrdn Silver Etf TrustSIVR10.8K$772.9K0.0%$42.9KCut−$677.1K
First Tr Exchng Traded Fd Vi—31.1K$770.8K0.0%$6.13KAdded$35.5K
Otis Worldwide CorpOTIS9.94K$766K0.0%−$77.5KAdded$107.1K
Hf Sinclair CorpDINO12.2K$763.7K0.0%$78.2KAdded$542.6K
Ishares Tr—19.4K$763.2K0.0%—New
Vaneck Etf Trust—44.1K$762.6K0.0%−$1.99KAdded$448.5K
Listed Fds Tr—13.2K$762.3K0.0%—New
Astera Labs, Inc.ALAB6.95K$762.2K0.0%—New
Bank Nova Scotia Halifax—11K$760.1K0.0%−$30.2KAdded$252.2K
Prosperity Bancshares IncPB11.3K$759K0.0%−$6.11KAdded$540.3K
Celestica IncCLS2.69K$757.9K0.0%−$19KAdded$353.9K
Nextpower Inc.NXT6.28K$757.5K0.0%$184.3KAdded$277.5K
Align Technology IncALGN4.42K$757.4K0.0%—New
Rollins IncROL14.1K$755.1K0.0%−$23.7KAdded$539.9K
Ishares Tr—14.9K$754.9K0.0%—New
Td Synnex CorpSNX4.47K$754.9K0.0%—New
J P Morgan Exchange Traded F—16.2K$750.1K0.0%−$2.52KAdded$299.7K
Paccar IncPCAR6.47K$747.4K0.0%$19.1KAdded$397.3K
Mid-Amer Apt Cmntys Inc—6.12K$747.1K0.0%−$60.5KAdded$246.5K
Amplify Etf Tr—17.2K$742.9K0.0%−$32.5KAdded−$23.6K
Murphy USA Inc.MUSA1.5K$742.4K0.0%$87.3KAdded$353K
Darling Ingredients Inc.DAR12K$740.5K0.0%—New
Nrg Energy, Inc.NRG5.06K$739.1K0.0%—New
Cava Group, Inc.CAVA9.09K$735.6K0.0%—New
Neos Etf Trust—14.8K$735.5K0.0%−$24.3KAdded$421.7K
Vanguard World Fd—4.25K$735K0.0%$127.9KAdded$393.5K
J P Morgan Exchange Traded F—14.6K$734.4K0.0%—New
Teck Resources Ltd—14.1K$731.8K0.0%—New
Spdr Series Trust—24.3K$731.1K0.0%−$2.72KAdded$101.8K
Dbx Etf Tr—14.8K$730.8K0.0%$11.6KAdded$297.6K
First Tr Exch Trd Alphdx Fd—24.4K$730.1K0.0%$58.6KAdded$114.6K
Lyft, Inc.LYFT54.7K$727.4K0.0%−$327.2KAdded−$316.8K
Asa Gold And Precious Mtls L—11.7K$725.8K0.0%$27.6KCut−$82.2K
Goldman Sachs Etf Tr—15.8K$724.7K0.0%−$4.66KAdded$246.3K
Tg Therapeutics, Inc.TGTX21.8K$724.2K0.0%—New
Winchester Bancorp Inc—57K$723.9K0.0%$128.3KHeld
Toll Brothers, Inc.TOL5.3K$723.3K0.0%$2.06KAdded$499.2K
Amplify Etf Tr—24.3K$723K0.0%$49.9KCut−$24K
Lattice Semiconductor CorpLSCC7.79K$722.8K0.0%—New
NetApp, Inc.NTAP7.06K$722.8K0.0%−$26.3KAdded$124.8K
Vaneck Etf Trust—14.4K$722.4K0.0%−$14.1KCut−$216K
Ishares U S Etf Tr—14.2K$722K0.0%—New
Sei Invts Co—9.19K$721.2K0.0%−$30.9KAdded$6.82K
Janus Detroit Str Tr—14.7K$720.2K0.0%−$1.61KAdded$440.1K
Procore Technologies, Inc.PCOR12.6K$719K0.0%—New
Stag Indl IncSTAG19.9K$718.4K0.0%—New
Ishares Tr—10.5K$718K0.0%−$16.8KCut−$189.6K
Old Dominion Freight Line In—3.67K$716.9K0.0%—New
Harbor Etf Trust—23.1K$715.4K0.0%—New
Crane Company—4.17K$712.3K0.0%−$36.4KAdded$212.8K
Coterra Energy Inc—20.2K$710.2K0.0%—New
Popular Inc—5.29K$710.2K0.0%$29.6KAdded$328.4K
Masco Corp—11.7K$708.9K0.0%—New
Sonoco Prods Co—13.1K$707.5K0.0%—New
Super Micro Computer Inc—31K$706.8K0.0%—New
Pimco Calif Mun Income Fd—82.1K$704.7K0.0%—New
Waters Corp—2.36K$704K0.0%—New
Acushnet Hldgs Corp—7.53K$703.8K0.0%$51.1KAdded$405.3K
Dominos Pizza IncDPZ1.96K$703.8K0.0%—New
Ishares Tr—13K$703.6K0.0%$3.88KAdded$445.1K
Ishares Tr—30.7K$703.2K0.0%−$2.98KAdded$229.7K
Frontline PlcFRO20.2K$702.7K0.0%$237.4KAdded$305.5K
Uranium Energy CorpUEC52K$701.7K0.0%$20.4KAdded$570.6K
Bitmine Immersion Tecnologie—35.4K$699.6K0.0%—New
Ishares Tr—15K$698.9K0.0%−$13KAdded$320K
Keycorp—34.9K$698.9K0.0%−$14.4KAdded$196K
Vanguard World Fd—9.74K$698.7K0.0%$655Added$278.8K
Lamar Advertising Co/NewLAMR5.51K$698.3K0.0%$181Added$344.9K
Vulcan Matls Co—2.56K$697.2K0.0%−$13.1KAdded$409.9K
Talen Energy CorpTLN2.18K$696.3K0.0%−$90.2KAdded$88.3K
Ishares Tr—8.05K$695.5K0.0%−$5.79KAdded$40K
Capital Grp Fixed Incm Etf T—27.4K$694.7K0.0%−$3.53KAdded$134.2K
Clean Harbors IncCLH2.41K$690.7K0.0%—New
Brookfield Infrastructure CorpBIPC17.5K$690.1K0.0%—New
Remitly Global, Inc.RELY44K$689.7K0.0%—New
Schwab Strategic Tr—21.9K$688.8K0.0%—New
Vanguard Scottsdale Fds—9.2K$687.2K0.0%—New
Select Sector Spdr Tr—16.8K$686.4K0.0%$5.37KAdded$234.6K
Ishares Tr—4.96K$686K0.0%—New
Calamos Etf Tr—27.3K$685.7K0.0%—New
Cenovus Energy Inc.CVE25.8K$685K0.0%$215.5KAdded$305.6K
Willis Towers Watson PlcWTW2.35K$684.1K0.0%—New
Liberty All-Star Growth Fd I—143.8K$683.1K0.0%−$79.1KCut−$140.3K
Ishares Tr—16.3K$682.3K0.0%$5.06KCut$43
Fidelity Covington Trust—7.87K$681.3K0.0%—New
Equinor Asa—16.1K$680.7K0.0%$269.2KAdded$338K
Spdr Index Shs Fds—10.3K$678.7K0.0%$4.22KAdded$82K
Reddit, Inc.RDDT5.04K$678.4K0.0%−$163.5KAdded$283.7K
Okta, Inc.OKTA8.62K$678.3K0.0%—New
SentinelOne, Inc.S52.6K$677.8K0.0%—New
Vaneck Etf Trust—26.6K$676.9K0.0%—New
Vanguard Scottsdale Fds—8.53K$676.2K0.0%−$2.21KAdded$289.9K
Ing Groep N.V.—25.9K$675.4K0.0%−$45.4KAdded$24.3K
Fair Isaac CorpFICO632$674.7K0.0%−$262.3KAdded−$37.1K
Microchip Technology Inc.—10.4K$674.2K0.0%$3.51KAdded$421.7K
Paylocity Hldg Corp—6.23K$673.1K0.0%−$84.7KAdded$382.4K
Strategic Trust—20.9K$672.8K0.0%−$21.9KAdded$26.2K
Ishares Tr—14.7K$668.2K0.0%$6.56KAdded$261.9K
Docusign, Inc.DOCU14.1K$667.6K0.0%—New
Pimco Etf Tr—7.14K$666.4K0.0%—New
Heico Corp New—3.16K$666.2K0.0%—New
Siriusxm Holdings Inc—28.8K$665.6K0.0%—New
Vanguard Mun Bd Fds—8.71K$664.9K0.0%—New
Ishares Tr—13K$664.9K0.0%−$7.02KCut−$71.2K
Viking Therapeutics, Inc.VKTX20.4K$663.9K0.0%—New
Invesco Exch Trd Slf Idx Fd—26.6K$662.3K0.0%−$6.44KAdded$31.8K
First Tr Exchng Traded Fd Vi—15.2K$661.8K0.0%—New
Pimco Dynamic Income Fd—38.6K$660.9K0.0%—New
Franklin Templeton Etf Tr—24.3K$659.9K0.0%—New
Capital Grp Fixed Incm Etf T—29.5K$659.6K0.0%−$7.34KAdded$105K
Pan Amern Silver Corp—12.1K$659K0.0%$13.6KAdded$408.6K
Bath & Body Works, Inc.BBWI35.1K$656.1K0.0%−$30KAdded$229.2K
Nuveen California Amt Qlt Mu—55K$655K0.0%—New
Fidelity Covington Trust—8.16K$653.7K0.0%—New
Akamai Technologies IncAKAM5.69K$653.6K0.0%$121.8KAdded$268.6K
Ferrari N.V.RACE1.93K$653.3K0.0%−$21.1KAdded$402K
DONALDSON Co INCDCI7.69K$652.7K0.0%—New
Terawulf Inc.WULF45.2K$651.7K0.0%$89.8KAdded$300.7K
Spdr Series Trust—10.9K$651.4K0.0%—New
Innovator Etfs Trust—14.1K$651.1K0.0%−$12.6KCut−$4.3M
Antero Midstream CorpAM28.5K$650.3K0.0%$115.3KAdded$240.8K
Nu Hldgs Ltd—45.2K$649.9K0.0%−$50KAdded$297K
Invesco Exch Trd Slf Idx Fd—39.5K$649.5K0.0%−$7.14KAdded$141.4K
Lpl Finl Hldgs Inc—2.16K$648.9K0.0%—New
Ishares Tr—31K$647.8K0.0%−$6.8KCut−$240.9K
Cleveland-Cliffs Inc New—76.6K$646.9K0.0%—New
Teva Pharmaceutical Inds Ltd—21.5K$646.6K0.0%—New
Royalty Pharma PLCRPRX13.5K$646.5K0.0%—New
Blackrock Mun Target Term Tr—28.4K$644.9K0.0%−$3.4KAdded−$1.74K
Bitwise 10 Crypto Index EtfBITW14.4K$643.9K0.0%−$75.8KAdded$329.3K
Invesco Exch Trd Slf Idx Fd—11.1K$640K0.0%—New
Ishares Tr—12K$639.4K0.0%−$7.66KAdded$17.2K
Fti Consulting, IncFCN3.62K$639K0.0%$10.7KAdded$330K
Goldman Sachs Etf Tr—9.13K$638.1K0.0%—New
Southwest Airls Co—17K$637.9K0.0%−$42KAdded$175.7K
Blue Owl Capital Inc—69.5K$634.6K0.0%−$69.7KAdded$455.3K
Packaging Corp Amer—2.98K$632.3K0.0%—New
Qorvo, Inc.QRVO8.15K$631.2K0.0%—New
Principal Financial Group In—7K$630.7K0.0%$7.66KAdded$273.4K
Knight-Swift Transn Hldgs In—11K$630.6K0.0%—New
Collaborative Investmnt Ser—27.3K$630.3K0.0%−$21KAdded$45.4K
Thornburg Etf Tr—19.6K$629.8K0.0%$16.4KCut$3.11K
Jacobs Solutions Inc.J4.94K$628.3K0.0%−$11.2KAdded$342.2K
Transdigm Group IncTDG541$627.3K0.0%—New
Permian Resources CorpPR29.1K$620.5K0.0%—New
Cognizant Technology Solutio—10.1K$619.8K0.0%—New
Etf Ser Solutions—33.7K$617.3K0.0%—New
New Jersey Res Corp—11.2K$617.2K0.0%—New
Webster Finl Corp—8.88K$616.3K0.0%$30.9KAdded$316.6K
Ebay IncEBAY6.77K$616K0.0%—New
Kenvue Inc.KVUE35.7K$615.6K0.0%−$142Added$381K
Norwegian Cruise Line Hldg L—32.9K$615.2K0.0%−$49KAdded$312.7K
Trex Co IncTREX16.8K$613.6K0.0%$10.1KAdded$350.3K
Vanguard Instl Index Fd—8.1K$612.6K0.0%—New
Labcorp Holdings Inc.LH2.3K$612.5K0.0%—New
American Homes 4 Rent—21.9K$612.4K0.0%−$68.9KAdded$83K
Ishares Tr—16.6K$612.1K0.0%−$7.43KAdded$110.8K
Davita Inc.DVA3.98K$611.8K0.0%$124.2KAdded$259.6K
Vaneck Etf Trust—5.09K$611.5K0.0%$31.9KCut−$32.1K
Natural Resource Partners LNRP5.04K$610.4K0.0%$77.7KAdded$122K
Schwab Strategic Tr—28.3K$608K0.0%$5.89KAdded$403.3K
Spdr Index Shs Fds—8.1K$605.1K0.0%$61.8KAdded$298.7K
Mp Materials Corp—12.5K$602.3K0.0%−$10.5KAdded$368.5K
Ecopetrol S.A.EC40.2K$602.2K0.0%$178.1KAdded$243.2K
Guardant Health, Inc.GH6.51K$601.4K0.0%—New
AST SpaceMobile, Inc.ASTS7.25K$600.7K0.0%$40.7KAdded$312.3K
AecomACM7.07K$599.7K0.0%—New
Reinsurance Grp Of America I—2.92K$596.5K0.0%$998Added$322.5K
Goldman Sachs Etf Tr—7.99K$595.3K0.0%−$5.03KAdded$244K
Arrow Electrs Inc—4.15K$594.9K0.0%—New
Vornado Rlty Tr—22.8K$593.7K0.0%−$119.8KAdded$46.5K
East West Bancorp IncEWBC5.54K$591.9K0.0%—New
Nebius Group N.V.NBIS5.69K$590.1K0.0%$59.2KAdded$343K
Performance Food Group CoPFGC6.89K$589.9K0.0%—New
Xylem Inc.XYL4.92K$588.6K0.0%−$45.8KAdded$214K
Genuine Parts CoGPC5.56K$588.4K0.0%—New
Cboe Global Mkts Inc—2.08K$585.5K0.0%—New
Aercap Holdings Nv—4.27K$585.2K0.0%−$10.8KAdded$349.6K
Proshares Tr—6.91K$585.2K0.0%—New
Sanofi Sa—12.1K$584.6K0.0%—New
Western Asset Premier Bd Fd—55.2K$583.9K0.0%−$24.8KCut−$27K
Brown & Brown, Inc.BRO8.94K$582.8K0.0%—New
Arcos Dorados Holdings Inc.ARCO70.5K$581.9K0.0%—New
Ugi Corp New—16K$581.6K0.0%—New
Ingredion IncINGR5.15K$579.7K0.0%—New
Electronic Arts Inc.EA2.84K$578.2K0.0%−$690Added$245.4K
Natwest Group Plc—38.7K$576.8K0.0%−$92.8KAdded−$47.8K
Verisk Analytics, Inc.VRSK3.04K$576.5K0.0%—New
Goldman Sachs Etf Tr—9.9K$573.8K0.0%−$52.1KAdded−$10.6K
Factset Resh Sys Inc—2.64K$573.1K0.0%−$193.3KCut−$307.6K
Centerpoint Energy IncCNP13.3K$572.8K0.0%$25.8KAdded$367.8K
Pinnacle West Cap Corp—5.68K$572.5K0.0%—New
Embraer S.A.EMBJ9.63K$571.7K0.0%—New
Dexcom IncDXCM9.1K$571.4K0.0%−$26.7KAdded$75.5K
Sap Se—3.33K$570.5K0.0%−$169.4KAdded−$3.32K
Ishares Core 30 70 Con—14.3K$569.9K0.0%−$3.45KCut−$229.9K
Pacer Fds Tr—18.2K$567.8K0.0%$46.9KCut$5.33K
Arteris, Inc.AIP34.5K$566.8K0.0%—New
Henry Jack & Assoc Inc—3.58K$565.4K0.0%−$27.7KAdded$358.9K
Gallagher Arthur J & Co—2.6K$563.4K0.0%—New
Argenx SEARGX771$563.1K0.0%—New
Rli CorpRLI9.87K$562.7K0.0%—New
Cnh Indl N V—51K$561K0.0%$53.5KAdded$283.7K
Nnn Reit, Inc.NNN13.3K$561K0.0%$20.5KAdded$221.4K
Tecogen Inc New—218.4K$559.1K0.0%—New
Ishares Tr—22.2K$556.5K0.0%−$3.42KAdded$63.7K
Kb Finl Group Inc—5.56K$554.1K0.0%$63.5KAdded$154.7K
Spdr Series Trust—6.04K$553.1K0.0%$11.5KAdded$107.3K
Apollo Global Mgmt Inc—4.96K$553.1K0.0%—New
Martin Marietta Matls Inc—939$552.5K0.0%−$21KAdded$172K
Solventum CorpSOLV8.46K$552.1K0.0%−$47.3KAdded$283.3K
Fidelity Covington Trust—2.65K$551.8K0.0%−$27KAdded$185.2K
Watsco Inc—1.51K$550.5K0.0%—New
Jackson Financial Inc—5.19K$548.5K0.0%−$4.23KAdded$58.9K
Allegro Microsystems, Inc.ALGM17.4K$548.3K0.0%$89.6KCut$74.1K
Fidelity Covington Trust—9.31K$547.5K0.0%−$20.3KAdded−$12.3K
Masimo Corp—3.08K$547.3K0.0%—New
Bitwise Bitcoin Etf Tr—14.8K$544.9K0.0%−$49.6KAdded$325.5K
Wisdomtree Tr—8K$543.9K0.0%—New
Ss&C Technologies Hldgs Inc—8.04K$543.1K0.0%—New
Morgan Stanley Etf Trust—10.7K$542.9K0.0%−$7.69KAdded$14.9K
Essential Utils Inc—13.5K$542.5K0.0%—New
Invesco Exch Traded Fd Tr Ii—4.68K$542.2K0.0%—New
Ishares Tr—6.47K$539.8K0.0%$4.49KAdded$5.24K
SharkNinja, Inc.SN5.09K$539.6K0.0%—New
Penske Automotive Grp Inc—3.61K$539.1K0.0%—New
Vanguard Calif Tax Free Fds—5.44K$538.6K0.0%—New
Grayscale Bitcoin Mini Tr Et—17.9K$538.2K0.0%−$156.9KCut−$255.6K
Equity ResidentialEQR9.1K$538K0.0%—New
Moelis & CoMC9.43K$537.6K0.0%−$52.8KAdded$228.5K
Northern Lts Fd Tr Iii—9.43K$536.8K0.0%—New
Jabil IncJBL2.02K$536.6K0.0%—New
American Intl Group Inc—7.13K$536.6K0.0%−$35.6KAdded$241.1K
Hut 8 Corp.HUT11.4K$536.4K0.0%$9.71KAdded$75.7K
Townebank Portsmouth Va—15.9K$535.3K0.0%$4.45KAdded$40.5K
Mgic Invt Corp Wis—20.4K$535.1K0.0%−$57.8KAdded−$33.2K
Shinhan Financial Group Co L—8.72K$534.9K0.0%$59KAdded$123.3K
Banco Bradesco S A—146.5K$534.6K0.0%$41.5KAdded$102.6K
Fox Corp—9.15K$534.1K0.0%−$104.6KAdded$13.4K
Sony Group Corp—25.7K$532.5K0.0%−$95.4KAdded$34.1K
Rbb Fund Trust—10.5K$531K0.0%$21.5KAdded$34.7K
Anfield Energy Inc.AEC95.1K$530.7K0.0%—New
First Tr Exchng Traded Fd Vi—13.7K$530.4K0.0%—New
Ishares Tr—8.19K$530.4K0.0%—New
Ishares Tr—10.8K$529.9K0.0%—New
Epam Sys Inc—3.91K$529.8K0.0%−$271.9KCut−$2.67M
Bank Montreal Que—3.91K$529.6K0.0%—New
Fidelity Covington Trust—8.19K$528.8K0.0%−$17.6KAdded−$16.6K
Aehr Test Sys—14.2K$526.4K0.0%—New
International Flavors&Fragra—7.22K$524K0.0%—New
Bjs Whsl Club Hldgs Inc—5.3K$522.1K0.0%—New
Cbre Group, Inc.CBRE3.85K$521.3K0.0%−$40.7KAdded$263.5K
First Solar, Inc.FSLR2.64K$520.6K0.0%−$96.6KAdded$126K
Listed Fds Tr—21K$518.6K0.0%−$7.39KAdded$153.3K
J P Morgan Exchange Traded F—7.22K$518.3K0.0%—New
Spdr Series Trust—4.05K$518.2K0.0%−$13KAdded$113.6K
Profesionally Managed Portfo—9.8K$518.2K0.0%−$118.9KAdded−$96.8K
Ishares Tr—5.53K$517.6K0.0%−$21.3KCut−$54.2K
Thomson Reuters Corp—5.71K$514.1K0.0%—New
Insmed IncINSM3.14K$513.8K0.0%—New
Zscaler, Inc.ZS3.66K$513.5K0.0%−$279.1KAdded−$228.4K
Organon & Co.OGN85.7K$513.1K0.0%−$92.6KAdded−$49.3K
Reaves Util Income Fd—13K$510.9K0.0%$23.3KAdded$195.2K
Capital Grp Fixed Incm Etf T—19.4K$510.8K0.0%−$915Added$116.1K
Firstenergy CorpFE10.1K$510.3K0.0%—New
Alliant Energy CorpLNT7.11K$509.9K0.0%—New
Cognex CorpCGNX10.4K$509.4K0.0%—New
Fidelity Ethereum Fd—24.4K$509.1K0.0%−$212.8KCut−$503.6K
Vanguard Admiral Fds Inc—2.49K$507.3K0.0%—New
Smith A O CorpAOS7.67K$505.8K0.0%−$3.41KAdded$263.1K
Robert Half Inc.RHI19.9K$505.5K0.0%−$21.4KAdded$176K
Steel Dynamics IncSTLD2.8K$504.4K0.0%$19.8KAdded$186.3K
Conagra Brands Inc.CAG32.1K$503.9K0.0%—New
MARA Holdings, Inc.MARA61.6K$502.4K0.0%—New
Calamos Strategic Total Retu—29.3K$502.4K0.0%—New
Alliancebernstein Global Hig—49.3K$501K0.0%−$22.3KAdded$42.5K
The Alger Etf Trust—16.1K$500.5K0.0%−$45.4KAdded$21.8K
Global X Fds—6.4K$500.2K0.0%—New
Vaneck Etf Trust—20.8K$499.4K0.0%−$4.27KAdded$221.9K
Crown Castle Inc.CCI6.14K$499.3K0.0%—New
Ollies Bargain Outlet Hldgs—5.42K$498.5K0.0%−$57.7KAdded$138.6K
Hecla Mng Co—26.8K$498.3K0.0%—New
Wintrust Finl Corp—3.59K$498.2K0.0%−$1.51KAdded$249.7K
Vanguard Ultra Short—6.55K$495.4K0.0%—New
Cf Inds Hldgs Inc—3.81K$494.9K0.0%—New
Arrowhead Pharmaceuticals In—7.88K$494.4K0.0%—New
Etf Opportunities Trust—10.4K$493.8K0.0%—New
Tidal Trust Iii—27.3K$492.7K0.0%−$19.3KAdded−$10.5K
Transocean Ltd.RIG74.2K$491.6K0.0%—New
Ishares Inc—12.3K$489.7K0.0%−$34.9KCut−$104.1K
Sumitomo Mitsui Finl Group I—24.8K$489.3K0.0%$4.67KAdded$274.2K
Equitable Hldgs Inc—13.2K$488.5K0.0%−$81.5KAdded$120K
Veralto CorpVLTO5.52K$488.4K0.0%−$62.8KCut−$136.2K
Blackrock Enhanced Large Cap—23.2K$488.2K0.0%−$49.5KAdded−$4.31K
Wisdomtree Tr—9.78K$485.8K0.0%—New
Wisdomtree Tr—11.1K$482.2K0.0%—New
Leonardo DRS, Inc.DRS10.8K$480.8K0.0%—New
Ishares Tr—4.06K$480.7K0.0%−$26.5KAdded$159.5K
Nuveen Amt Free Mun Cr Inc F—38.9K$480.2K0.0%−$12.8KAdded−$12.1K
Dutch Bros Inc.BROS9.48K$480.2K0.0%—New
Oge Energy Corp.OGE9.94K$476.8K0.0%—New
Ab Active Etfs Inc—9.44K$476.5K0.0%−$28Added$84.1K
Dbx Etf Tr—14.7K$476K0.0%—New
Goldman Sachs Physical Gold—10.3K$474.2K0.0%$37.4KCut−$416
Dimensional Etf Trust—9.01K$472.6K0.0%−$1.63KAdded$6.23K
Mks IncMKSI2.05K$472K0.0%—New
Fidelity Comwlth Tr—5.54K$470K0.0%−$17.8KAdded$219.5K
Ishares Tr—18.6K$467.9K0.0%$3.57KAdded$20.7K
Pimco Mun Income Fd Ii—61.7K$467.2K0.0%$1.82KAdded$9.39K
United Rentals, Inc.URI641$466.9K0.0%—New
Abrdn Income Credit Strategi—91.5K$466.8K0.0%−$28.4KHeld
Flowserve CorpFLS6.34K$466.4K0.0%$12.6KAdded$255.6K
Liberty Live Holdings Inc—5.08K$466K0.0%—New
Dollar Tree, Inc.DLTR4.25K$465.5K0.0%−$57.4KCut−$360.8K
Scorpio Tankers Inc.STNG6.24K$465.5K0.0%—New
Pimco Equity Ser—7.95K$464.1K0.0%—New
Marzetti Company—3.35K$463K0.0%—New
DT Midstream, Inc.DTM3.44K$462.8K0.0%—New
Globus Med Inc—5.37K$462.8K0.0%−$2.86KAdded$246.1K
Pacer Fds Tr—7.42K$461.8K0.0%—New
Versant Media Group, Inc.VSNT12.5K$461.7K0.0%—New
Old Rep Intl Corp—11.5K$460.4K0.0%−$66.2KCut−$3.63M
Cms Energy Corp—5.92K$459.6K0.0%—New
Bank America Corp—385$458.8K0.0%−$22.1KAdded$1.77K
Brookfield Asset Managmt Ltd—10.3K$458.4K0.0%−$31.8KAdded$248.2K
Charter Communications Inc N—2.11K$456.2K0.0%$11.9KAdded$108.8K
First Tr Exchange Traded Fd—25.6K$456.1K0.0%—New
First Horizon Corporation—20K$455.5K0.0%—New
Weyerhaeuser Co Mtn BeWY18.6K$453.4K0.0%$7.73KAdded$205.8K
Houlihan Lokey, Inc.HLI3.16K$453.3K0.0%—New
Wisdomtree Tr—4.15K$452.8K0.0%—New
Star Bulk Carriers Corp.SBLK19.7K$452.4K0.0%$73.9KCut$70K
Ishares Tr—3.97K$452.4K0.0%−$26.9KHeld
Spdr Series Trust—3.75K$450.6K0.0%$24.3KCut−$4.08K
T Rowe Price Etf Inc—20.1K$450.2K0.0%−$16.1KAdded$138.9K
Fluor Corp NewFLR9.65K$450.1K0.0%$37.7KAdded$237.1K
Nuveen Ca Qualty Mun Income—38.6K$450K0.0%—New
Bloom Energy CorpBE3.32K$449.6K0.0%—New
Fidelity Covington Trust—8.76K$449.4K0.0%—New
Spdr Series Trust—8.46K$448.7K0.0%−$26.7KHeld
Acuity Inc—1.6K$447.8K0.0%−$45.3KAdded$243.3K
Armstrong World Inds Inc New—2.72K$447.6K0.0%−$29.1KAdded$236.4K
Schwab Strategic Tr—16.3K$444.4K0.0%—New
Elbit Sys Ltd—523$444.1K0.0%—New
Ingersoll Rand Inc.IR5.54K$443.8K0.0%—New
First Tr Exchng Traded Fd Vi—9.47K$442.8K0.0%−$3.74KAdded$228.7K
Ishares Tr—2.77K$442.4K0.0%$2.55KAdded$228.5K
Diageo Plc—5.92K$441K0.0%−$70KCut−$349.3K
Spdr Index Shs Fds—11.2K$440.3K0.0%$1.96KAdded$209.2K
Spdr Index Shs Fds—9.65K$440.2K0.0%$16.1KAdded$16.7K
Pool CorpPOOL2.17K$439.6K0.0%—New
Compania De Minas Buenaventu—12.2K$439.2K0.0%—New
Pimco Access Income FundPAXS30.5K$439.1K0.0%—New
First Tr Exch Traded Fd Iii—23.1K$438.9K0.0%—New
Markel Group Inc.MKL228$437.3K0.0%−$30.9KAdded$159K
Kyndryl Hldgs Inc—33.2K$436K0.0%—New
GLOBALFOUNDRIES Inc.GFS9.8K$435.8K0.0%$70.4KAdded$178.4K
Gerdau Sa—120.7K$435.7K0.0%−$8.35KAdded$50.4K
Travel Plus Leisure Co—6.28K$434.8K0.0%−$8.4KCut−$394.1K
Wynn Resorts LtdWYNN4.28K$434.6K0.0%—New
Fidelity Covington Trust—12.4K$434.1K0.0%$2.12KAdded$140.1K
Ishares Tr—5.11K$433K0.0%$12.4KCut−$37.8K
Omega Healthcare Invs Inc—9.85K$431.8K0.0%−$3.86KAdded$101.4K
Vanguard World Fd—3.85K$431.6K0.0%−$22.2KAdded$123.6K
Nushares Etf Tr—9.58K$431.5K0.0%$2.45KAdded$166.8K
Invesco Exchange Traded Fd T—3.82K$430.6K0.0%—New
Morningstar, Inc.MORN2.54K$429.9K0.0%−$52.2KAdded$195K
Global X Fds—22K$429.8K0.0%−$66.5KAdded−$52.4K
Franklin Templeton Etf Tr—8.3K$428.4K0.0%—New
Trimble Inc.TRMB6.56K$428K0.0%−$86.1KCut−$3.26M
Galaxy Digital Inc.GLXY23.2K$427.5K0.0%—New
Or Royalties Inc.OR11.2K$426.7K0.0%—New
Ishares Tr—3.22K$426.7K0.0%$2.78KAdded$25K
Loews CorpL4K$426.7K0.0%$4KAdded$126.7K
Advent Conv & Income Fd—38.2K$425.9K0.0%—New
Tractor Supply Co—9.37K$424.3K0.0%—New
Zim Integrated Shipping Serv—16K$422.6K0.0%$82.1KCut$32.8K
Smucker J M Co—4.38K$422.4K0.0%−$3.88KAdded$148.3K
Proshares Tr—4.88K$422.1K0.0%—New
Northern Lts Fd Tr Iv—6.98K$421.6K0.0%−$28.9KCut−$35.9M
Argan IncAGX773$421K0.0%—New
Goldman Sachs Etf Tr—8.5K$420.7K0.0%—New
Finance Of America Compan—25.3K$419.8K0.0%—New
Adt Inc Del—63.8K$418.9K0.0%−$90.9KAdded−$69.9K
Wisdomtree Tr—4.82K$416.4K0.0%—New
InterDigital, Inc.IDCC1.38K$416.3K0.0%—New
Rivian Automotive Inc—27.5K$414.5K0.0%−$55.5KAdded$179.6K
Honda Motor Ltd—17K$414.1K0.0%−$79.8KAdded−$40.7K
Corpay, Inc.CPAY1.42K$413.1K0.0%—New
Ppg Inds Inc—3.86K$412.9K0.0%$17.1KCut−$289.2K
Vanguard Malvern Fds—5.32K$411.6K0.0%—New
Ishares Tr—8.24K$411.5K0.0%—New
Cirrus Logic, Inc.CRUS2.85K$411.4K0.0%—New
Autonation, Inc.AN2.1K$411K0.0%—New
Vanguard Scottsdale Fds—5.33K$409.6K0.0%−$4.31KCut−$95.1K
Day One Biopharmaceuticals I—19.1K$409.2K0.0%—New
Series Portfolios Tr—16K$409.1K0.0%−$13.2KHeld
Phillips Edison & Co Inc—10.9K$408.8K0.0%—New
Etfis Ser Tr I—20.1K$408.4K0.0%−$17KAdded$100.1K
Tic Solutions Inc—62.1K$408.3K0.0%—New
Innovator Etfs Trust—10.2K$407.5K0.0%—New
Invesco Exch Traded Fd Tr Ii—5.15K$407.3K0.0%−$26.6KCut−$81.6K
PENTAIR plcPNR4.66K$406K0.0%−$43.6KAdded$139.7K
Alps Etf Tr—7.29K$405.7K0.0%−$13KAdded$35.3K
Putnam Premier Income Tr—114.2K$405.3K0.0%$1.13KAdded$5.56K
Etsy IncETSY8.1K$404.9K0.0%−$38.1KAdded$18.3K
Alcon IncALC5.37K$404.9K0.0%−$17.5KAdded$5.61K
Clearbridge Energy Midstrm O—7.66K$404.7K0.0%—New
Penumbra IncPEN1.23K$404.6K0.0%—New
Dbx Etf Tr—11.2K$404.4K0.0%—New
Vanguard World Fd—1.8K$404.3K0.0%$18.7KAdded$109.4K
Goldman Sachs Etf Tr—8.16K$402.8K0.0%—New
First Hawaiian, Inc.FHB16.3K$402.1K0.0%—New
Entegris IncENTG3.43K$401.9K0.0%—New
Tetra Tech Inc New—13.3K$401.5K0.0%−$24.8KAdded$158.7K
Corebridge Finl Inc—16.8K$400K0.0%−$105.8KCut−$286.4K
Agnc Invt Corp—39.9K$399.9K0.0%—New
Carlyle Group Inc—8.26K$399.8K0.0%−$36.7KAdded$197.7K
Amplify Etf Tr—8.02K$399.3K0.0%—New
T Rowe Price Etf Inc—9.75K$398.8K0.0%—New
Mccormick & Co Inc—7.88K$397.5K0.0%−$63.7KAdded$151.9K
Idex Corp—2.1K$397.1K0.0%$16.2KAdded$148.9K
Invesco Exchange Traded Fd T—3.63K$396.8K0.0%—New
Ishares Tr—12.5K$396.3K0.0%—New
Elastic N.V.ESTC7.9K$395K0.0%−$201.1KCut−$529.2K
FS Credit Opportunities Corp.FSCO77.4K$394.8K0.0%−$92.9KCut−$120.8K
Calamos Etf Tr—14K$394.8K0.0%—New
Invesco Exchange Traded Fd T—4.86K$394.5K0.0%—New
Coty Inc.COTY196.1K$394.2K0.0%—New
Air Lease Corp—6.07K$394.2K0.0%$3.65KAdded$59.6K
Blackrock Muniyield Quality—37.4K$393.4K0.0%—New
Valley Natl Bancorp—32K$392.9K0.0%$6.85KAdded$259.7K
Tenaris S A—6.75K$392.7K0.0%$133.2KCut−$333.3K
Infosys LtdINFY29K$392.5K0.0%—New
Churchill Downs IncCHDN4.36K$391.7K0.0%—New
Vodafone Group Plc New—26K$390.4K0.0%$47.1KCut−$26.5K
Ishares Tr—11.5K$388.3K0.0%—New
Innovator Etfs Trust—8.7K$388K0.0%—New
Sibanye Stillwater Ltd—31.5K$387.5K0.0%—New
CubesmartCUBE10.6K$387.4K0.0%—New
Nushares Etf Tr—4.25K$386.9K0.0%−$18.3KAdded$126.4K
Kadant IncKAI1.32K$386.8K0.0%—New
Ishares Tr—3.29K$386.6K0.0%−$33.6KAdded$1.79K
First Tr Exchng Traded Fd Vi—11.6K$385.5K0.0%−$830Held
Blackrock Etf Trust—6.96K$385K0.0%$2.46KAdded$170.3K
Peabody Energy CorpBTU11.6K$383.8K0.0%$26.6KAdded$141K
Tidal Trust Iii—22K$382K0.0%−$1.95KAdded$100.3K
Icici Bank Limited—14.7K$381.6K0.0%—New
Venture Global, Inc.VG24.2K$381.3K0.0%—New
Legacy Ed Inc—30.4K$380.3K0.0%$70.8KHeld
Fmc CorpFMC22.1K$380.1K0.0%—New
Corvel CorpCRVL6.95K$379.8K0.0%−$40.3KAdded$170.2K
Science Applications Intl Co—4K$379.3K0.0%—New
Vaneck Etf Trust—21.6K$376.5K0.0%—New
Invesco Exch Traded Fd Tr Ii—6.75K$376.1K0.0%$40.1KAdded$77K
Rbb Fd Inc—7.5K$375.6K0.0%$3.05KAdded$12.9K
Rubrik, Inc.RBRK7.62K$373K0.0%−$72.7KAdded$170.9K
Post Hldgs Inc—3.76K$371.4K0.0%—New
Ubiquiti Inc.UI470$371.3K0.0%—New
Harmony Gold Mining Co Ltd—24.1K$370.9K0.0%—New
Lennox Intl Inc—798$370.4K0.0%—New
Ishares Tr—5.78K$370K0.0%—New
Ishares Tr—8.45K$367.7K0.0%−$2.37KAdded$114.1K
Vanguard Scottsdale Fds—6.63K$367.1K0.0%−$1.8KAdded$137K
Invesco Exchange Traded Fd T—3.55K$366.9K0.0%$2.07KAdded$140.9K
Schwab Strategic Tr—7.9K$366.2K0.0%$14.2KAdded$16.3K
Independence Rlty Tr Inc—24.5K$365.2K0.0%−$60.5KAdded−$42.7K
Ishares Tr—1.96K$364.5K0.0%−$35.3KAdded−$20.8K
Invesco Exch Trd Slf Idx Fd—17.3K$362.9K0.0%−$6.98KAdded$47.4K
First Tr Inter Duratn Pfd &—20.6K$362.7K0.0%−$18KAdded$31.2K
Oklo Inc.OKLO7.31K$362.4K0.0%−$76KAdded$116.3K
Purecycle Technologies Inc—69.8K$362.4K0.0%−$92.5KAdded$128.8K
China Yuchai Intl Ltd—9.4K$362.1K0.0%—New
Global X Fds—15.1K$360.8K0.0%—New
Riley Exploration Permian In—9.88K$360.3K0.0%—New
Alexandria Real Estate Eq In—7.75K$359.8K0.0%—New
Spdr Index Shs Fds—8.85K$359.7K0.0%−$12.4KAdded$122.5K
Zto Express Cayman Inc—14.3K$359.2K0.0%$61.1KCut−$376.5K
Sunrun Inc.RUN26.5K$358.7K0.0%—New
Wisdomtree Tr—5.96K$358.1K0.0%—New
Tortoise Energy Infra Corp—7.18K$357.9K0.0%—New
Ishares Tr—14.7K$357.6K0.0%—New
J P Morgan Exchange Traded F—4.17K$357.5K0.0%$20.7KAdded$47.9K
Nexstar Media Group, Inc.NXST1.98K$357.4K0.0%−$43.8KCut−$458.7K
Hexcel Corp New—4.41K$357K0.0%—New
Dbx Etf Tr—6.05K$357K0.0%—New
Amdocs LtdDOX5.46K$356.4K0.0%—New
Universal Hlth Svcs Inc—1.99K$356.2K0.0%−$63.2KAdded$3.4K
Invitation Homes Inc.INVH14.3K$355.8K0.0%—New
West Pharmaceutical Svsc Inc—1.42K$355.1K0.0%—New
Invesco Exch Trd Slf Idx Fd—17.2K$354.3K0.0%−$4.87KAdded−$831
Capital City Bk Group Inc—8.13K$353.1K0.0%$7.2KAdded$8.41K
Lear CorpLEA2.91K$352.6K0.0%—New
Legg Mason Etf Invt—8.7K$352.6K0.0%—New
Ppl Corp—9.23K$352.6K0.0%—New
International Paper Co—9.84K$351.4K0.0%—New
Liberty Media Corp Del—4.48K$349.9K0.0%—New
Invesco Exchange Traded Fd T—4.05K$349.6K0.0%—New
Resolute Hldgs Mgmt Inc—2.15K$349.1K0.0%—New
News Corp New—14K$348.4K0.0%—New
Schwab Strategic Tr—11.1K$348.2K0.0%−$9.4KAdded$138K
American Airls Group IncAAL32.4K$348.1K0.0%−$148.8KCut−$593.4K
Blackrock Munihldngs Cali Ql—33.4K$347.5K0.0%—New
Nxg Nextgen Infrastr Incm Fd—6.31K$346.5K0.0%$27.1KAdded$37.4K
Atlantic Un Bankshares Corp—9.66K$345.2K0.0%$3.62KAdded$54.4K
Sixth Street Specialty Lendi—18.7K$344.4K0.0%—New
Healthcare Rlty Tr—20.2K$343.3K0.0%—New
Banco Santander Sa—30.4K$342.9K0.0%−$13.7KCut−$28.9K
MNTN, Inc.MNTN38.9K$342.7K0.0%—New
10x Genomics, Inc.TXG16.1K$340.7K0.0%—New
Ishares Tr—13.4K$340.4K0.0%—New
Ishares Invest Grd Sys—7.55K$340.2K0.0%—New
Enovix CorpENVX65.7K$340.1K0.0%−$136.4KAdded−$128K
Molson Coors Beverage Co—7.87K$338.9K0.0%—New
Direxion Shs Etf Tr—3.43K$338.2K0.0%—New
Etfs Gold Tr—7.57K$337.6K0.0%—New
Circle Internet Group, Inc.CRCL3.53K$336.7K0.0%—New
DoorDash, Inc.DASH2.23K$335.2K0.0%—New
TKO Group Holdings, Inc.TKO1.66K$334.5K0.0%—New
Wisdomtree Tr—9.19K$334.4K0.0%—New
Invesco Exch Traded Fd Tr Ii—16K$334.3K0.0%—New
Costar Group, Inc.CSGP8.28K$334.1K0.0%−$97.1KAdded$91.5K
Invesco Exch Traded Fd Tr Ii—6.61K$333.7K0.0%$10.5KAdded$42.3K
Westlake CorpWLK2.86K$333.6K0.0%—New
Vanguard Wellington Fd—2.48K$333.1K0.0%$3.93KAdded$45.4K
Doximity, Inc.DOCS14.3K$332.2K0.0%−$252.5KAdded−$200.6K
Moderna, Inc.MRNA6.54K$332.2K0.0%—New
Grayscale Ethereum Trust Etf—19.5K$332K0.0%—New
Innovator Etfs Trust—7.21K$331.4K0.0%—New
Raymond James Finl Inc—2.28K$330.6K0.0%—New
Spdr Series Trust—1.29K$329.4K0.0%−$26KAdded$8.24K
Extra Space Storage Inc.EXR2.5K$327.8K0.0%—New
Nervgen Pharma Corp.NGEN86.8K$327.3K0.0%—New
Joby Aviation Inc—39.6K$326.8K0.0%−$78.4KAdded$117.3K
Ares Management Corporation—2.99K$326.1K0.0%−$157KCut−$661.1K
Amer States Wtr Co—4.3K$325.4K0.0%—New
Abrdn Platinum Etf TrustPPLT1.82K$324.2K0.0%−$14.1KAdded$3.91K
Advanced Drain Sys Inc Del—2.36K$324.2K0.0%—New
Jfrog LtdFROG6.9K$323.8K0.0%—New
Ishares Tr—2.79K$323.7K0.0%—New
Spdr Index Shs Fds—2.26K$323.7K0.0%−$241Added$22.1K
Graphic Packaging Hldg Co—32.5K$323.2K0.0%−$110.9KAdded−$3.13K
Canadian Natl Ry Co—3.13K$322K0.0%$10.6KAdded$54.9K
Global X Fds—9.68K$321.6K0.0%−$27.4KAdded−$8.71K
Littelfuse Inc—947$321.4K0.0%—New
Sarepta Therapeutics, Inc.SRPT14.7K$320.6K0.0%$3.54KCut−$14.8K
Sterling Infrastructure, Inc.STRL787$320.5K0.0%—New
Proshares Tr—7.69K$320.5K0.0%—New
Sprott Inc.SII2.24K$320K0.0%$95.1KAdded$113K
First Tr Exchange-Traded Fd—16.6K$319.7K0.0%−$6.04KAdded$91.8K
Independent Bk Corp Mich—9.6K$319.6K0.0%$6.92KAdded$27.4K
Compass, Inc.COMP43.7K$319.4K0.0%—New
Innovator Etfs Trust—7.39K$318.7K0.0%—New
Healthpeak Properties, Inc.DOC19.4K$318.4K0.0%$4.7KAdded$103.1K
Block H & R Inc—10K$317.5K0.0%−$118.4KCut−$379K
Dream Finders Homes, Inc.DFH22.8K$317.2K0.0%−$68.1KAdded−$49.3K
Wisdomtree Tr—6.08K$317.2K0.0%—New
Ishares Tr—12.5K$316.2K0.0%−$3.27KCut−$235.7K
Bancfirst Corp—2.91K$316.1K0.0%—New
Telefonica Brasil Sa—19.9K$315.9K0.0%—New
The Alger Etf Trust—9.56K$315.9K0.0%−$29.4KCut−$60.8K
Brown Forman Corp—11.9K$315.7K0.0%—New
Ishares Inc—3.29K$315.4K0.0%$5.68KCut$4.83K
Invesco Exchange Traded Fd T—6.74K$315.2K0.0%$301Added$78K
Ark Etf Tr—2.8K$315K0.0%—New
Spdr Series Trust—1.86K$314.8K0.0%—New
Invesco Db Us Dlr Index Tr—11.3K$314.7K0.0%$8.23KAdded$17.3K
Proshares Tr—7.9K$314.4K0.0%$518Added$60.9K
First Tr Exchange-Traded Fd—7.75K$314.3K0.0%−$7.84KAdded$60.3K
Tri Contl Corp—9.94K$314K0.0%—New
Core & Main, Inc.CNM6.33K$312.9K0.0%—New
Wisdomtree Tr—5.85K$312.5K0.0%−$19.4KAdded$95.4K
Wesco Intl Inc—1.14K$311.5K0.0%—New
CareTrust REIT, Inc.CTRE8.49K$311.2K0.0%—New
United States Antimony CorpUAMY35.6K$310.5K0.0%$77.6KAdded$205.4K
Stellantis N.V.STLA43.6K$309.4K0.0%−$135.7KAdded−$79.5K
Ovintiv Inc.OVV5.2K$308.7K0.0%—New
Sonida Senior Living, Inc.SNDA9.57K$308.6K0.0%—New
Inventrust Pptys Corp—10.1K$308.4K0.0%—New
Wisdomtree Tr—4.53K$308.2K0.0%—New
Cullen Frost Bankers Inc—2.25K$307.9K0.0%—New
Independent Bk Corp Mass—4.09K$307.8K0.0%$7.38KAdded$54.6K
Ishares Tr—5.19K$307.3K0.0%$9.52KAdded$63.9K
Brookfield Infrast Partners—8.51K$307.2K0.0%—New
Goldman Sachs Etf Tr—6.05K$306.1K0.0%—New
First Tr Exchange-Traded Fd—15.6K$305.6K0.0%−$6.75KAdded$54.1K
Goldman Sachs Etf Tr—6.08K$304.2K0.0%—New
Aptiv PlcAPTV4.38K$304.2K0.0%−$24.5KAdded$24.2K
Pinterest, Inc.PINS16.6K$303.5K0.0%−$125KCut−$760.8K
Ashland Inc.ASH5.44K$302.5K0.0%—New
Spdr Series Trust—3.54K$301.2K0.0%—New
Federated Hermes Etf Trust—10.1K$301.1K0.0%—New
Spdr Series Trust—1.75K$299.7K0.0%—New
First Tr Exchng Traded Fd Vi—13.3K$299.3K0.0%—New
First Tr Exchange-Traded Fd—6.75K$299.2K0.0%—New
Ishares Tr—5.32K$299K0.0%−$20.7KCut−$671.8K
Spdr Series Trust—1.39K$298.3K0.0%—New
Better Home & Finance Holdin—8.35K$297.5K0.0%—New
Bondbloxx Etf Trust—6.49K$297.5K0.0%—New
CDW CorpCDW2.45K$297K0.0%—New
Ishares Inc—2.55K$296.3K0.0%—New
Black Hills Corp—4.24K$294.4K0.0%−$38Added$89.5K
Avery Dennison CorpAVY1.7K$293.7K0.0%—New
Sprott Etf Trust—3.89K$293.5K0.0%$17.8KAdded$82K
Allegion plcALLE2.02K$293.2K0.0%—New
Davis Fundamental Etf Tr—6.69K$293.1K0.0%−$18.9KCut−$19.2K
Doubleline Income Solutions—27.1K$293.1K0.0%−$11.7KAdded−$5.66K
Millicom Intl Cellular S A—3.9K$292.2K0.0%—New
First Tr Exchng Traded Fd Vi—5.88K$292.1K0.0%−$8.59KHeld
Spdr Series Trust—893$291.2K0.0%—New
Flex LNG Ltd.FLNG9.79K$290.8K0.0%—New
First Tr Exchng Traded Fd Vi—6.07K$290.7K0.0%−$5.66KHeld
Blackrock Tax Municpal Bd Tr—18K$290.6K0.0%—New
Nuveen Quality Muncp Income—25.2K$290.3K0.0%−$12.8KAdded−$6.75K
Abivax Sa—2.6K$289K0.0%—New
Rayonier IncRYN14K$288.8K0.0%—New
Nuveen Taxable Municpal Inm—18.4K$288.7K0.0%—New
Ishares Tr—11.2K$288.6K0.0%—New
Goldman Sachs Etf Tr—1.98K$288.2K0.0%—New
Viasat IncVSAT6.29K$288.1K0.0%—New
Eastman Chem Co—3.77K$288K0.0%$47.1KCut$34.2K
Plains All Amern Pipeline L—12.9K$287.3K0.0%—New
J P Morgan Exchange Traded F—3.87K$287.1K0.0%$3.5KCut$2.03K
Installed Bldg Prods Inc—1.08K$287.1K0.0%—New
Ark Etf Tr—7.52K$286K0.0%−$72.4KCut−$75.3K
Western Alliance Bancorp—4.03K$285.6K0.0%—New
Invesco Exchange Traded Fd T—5.21K$285.3K0.0%—New
Rexford Indl Rlty Inc—8.71K$284.9K0.0%—New
Capital Group Equity Etf Tr—9.7K$284.9K0.0%—New
Heico Corp New—1.04K$284.3K0.0%—New
Blackrock Muniholdings Fd In—25.2K$283.9K0.0%—New
Wisdomtree Tr—6.93K$282.8K0.0%—New
Tidal Trust Ii—4.56K$282.1K0.0%$10.6KAdded$66K
Columbia Etf Tr I—13.7K$281.7K0.0%—New
Nuscale Pwr Corp—25.9K$280.4K0.0%—New
Affirm Hldgs Inc—6.11K$280.1K0.0%—New
Cemex Sab De Cv—24.4K$278.9K0.0%—New
Ishares Tr—2.67K$278.5K0.0%—New
Wingstop Inc.WING1.8K$278.4K0.0%—New
Vanguard Whitehall Fds—4.24K$278.3K0.0%—New
Isabella Bk Corp—6.09K$278.2K0.0%−$26.3KCut−$27.3K
Ishares Tr—4.49K$277.8K0.0%—New
Pacer Fds Tr—5.14K$277.7K0.0%—New
Brunswick Corp—3.78K$275K0.0%—New
First Tr Exchange-Traded Fd—6.12K$274.2K0.0%−$6.61KCut−$178.8K
Fidelity Covington Trust—5.64K$273.7K0.0%−$4.28KAdded$7.32K
Americold Realty TrustCOLD23.8K$272.7K0.0%—New
F N B Corp—16.3K$272.5K0.0%−$4.6KAdded$66.2K
Impinj IncPI2.65K$272.4K0.0%—New
Vanguard Intl Equity Index F—2.79K$272.2K0.0%—New
Avista CorpAVA6.77K$271.7K0.0%—New
Ryanair Holdings Plc—4.7K$271.7K0.0%—New
Cheniere Energy Partners LpCQP4.2K$271.4K0.0%—New
Schwab Strategic Tr—11K$271.4K0.0%−$1.59KAdded$45.5K
Sotera Health CoSHC18.9K$270.8K0.0%−$35.9KAdded$78.7K
VNET Group, Inc.VNET32.3K$270.6K0.0%—New
Kraneshares Trust—10.5K$270.4K0.0%—New
First Indl Rlty Tr Inc—4.67K$270.4K0.0%—New
Nuveen Multi Asset Income Fu—21.8K$270.1K0.0%−$11.6KAdded$33.6K
First Tr Exchng Traded Fd Vi—6.43K$268.2K0.0%$4.83KHeld
Rigetti Computing Inc—19.1K$268K0.0%—New
Invesco Exch Traded Fd Tr Ii—3.79K$264.9K0.0%$14.8KAdded$42.2K
Bellring Brands, Inc.BRBR16.4K$264.7K0.0%−$104.4KAdded$2.5K
J P Morgan Exchange Traded F—5.09K$264.6K0.0%—New
FabrinetFN507$264.4K0.0%—New
Eaton Vance Mun Income 2028—14.4K$264.2K0.0%−$4.86KAdded−$2.73K
Sba Communications Corp NewSBAC1.53K$264.1K0.0%—New
Aptargroup, Inc.ATR2.09K$263.7K0.0%—New
Grayscale Ethereum Mini Tr E—13.2K$262.9K0.0%−$106.5KAdded−$101.4K
Boston Beer Co IncSAM1.14K$262.7K0.0%—New
Ensign Group, IncENSG1.3K$262.6K0.0%—New
National Bankshares Inc Va—7.21K$262.4K0.0%$20.8KCut−$45.5K
Jazz Pharmaceuticals PlcJAZZ1.39K$261.8K0.0%—New
Us Foods Hldg Corp—2.84K$261.8K0.0%—New
Brightstar Lottery PLCBRSL20.5K$261.1K0.0%−$38.5KAdded$43.6K
Seabridge Gold IncSA9.21K$261K0.0%—New
Doubleverify Hldgs Inc—27.4K$260.6K0.0%−$24.9KAdded$114K
Spdr Series Trust—4.45K$260.2K0.0%−$5.6KCut−$5.84K
First Tr Exchange-Traded Alp—2.03K$260K0.0%—New
Capital Group Intl Focus Eqt—8.8K$259.6K0.0%—New
Blackrock Enhanced Equity Di—30.1K$259.3K0.0%−$24.1KAdded−$6.48K
Managed Portfolio Series—6.92K$258.1K0.0%—New
Global Ship Lease Inc New—6.92K$257.7K0.0%—New
J P Morgan Exchange Traded F—6.56K$257.6K0.0%—New
Doubleline Etf Trust—7.93K$257.6K0.0%—New
California Wtr Svc Group—5.67K$257K0.0%—New
Eni S P A—4.52K$256.1K0.0%—New
Global X Fds—6.94K$256K0.0%—New
Western Midstream Partners L—6.21K$255.4K0.0%—New
Columbia Etf Tr I—6.55K$255.4K0.0%−$9.63KAdded$44K
Iridium Communications Inc.IRDM9.19K$254.9K0.0%—New
Hormel Foods Corp—11.2K$254.6K0.0%−$11.8KCut−$172.3K
Radiant Logistics, IncRLGT36.1K$254.5K0.0%$26KCut$7.04K
Hayward Hldgs Inc—18.9K$253.2K0.0%−$28.8KAdded$38.4K
Hamilton Lane IncHLNE2.54K$252.8K0.0%—New
Park Hotels & Resorts Inc.PK23.9K$251.5K0.0%$1.07KAdded$91K
Lineage, Inc.LINE7.65K$250.7K0.0%—New
Bce Inc—9.93K$250.6K0.0%—New
Franklin Templeton Etf Tr—6.89K$250.4K0.0%—New
Rbb Fd Inc—5K$250.4K0.0%−$600Held
Wisdomtree Tr—7.84K$250.2K0.0%—New
Invesco Exchange Traded Fd T—4.43K$250.2K0.0%−$36.6KAdded$17.4K
Avalonbay Cmntys Inc—1.53K$250.2K0.0%—New
Global X Fds—6.36K$248.7K0.0%—New
Roundhill Etf Trust—8.79K$247.8K0.0%—New
Skyworks Solutions, Inc.SWKS4.63K$247.7K0.0%—New
NOV Inc.NOV13.2K$247.4K0.0%$41.8KCut−$3.02M
Northwestern Energy Group In—3.73K$246.2K0.0%—New
Fs Specialty Lending Fd—19.7K$246.2K0.0%−$23.7KAdded$40.3K
Toast, Inc.TOST9.24K$244.9K0.0%—New
Columbia Sportswear CoCOLM4.44K$243.4K0.0%—New
Ishares Tr—2.69K$242K0.0%−$12.2KCut−$49.5K
Portland Gen Elec Co—4.57K$241.1K0.0%—New
First Tr Exchange-Traded Fd—7.61K$241.1K0.0%—New
Mettler Toledo International Inc/MTD191$240.9K0.0%—New
Crispr Therapeutics AgCRSP5.05K$240.4K0.0%—New
Artisan Partners Asset Mgmt—6.61K$240.3K0.0%—New
Innovator Etfs Trust—6.01K$240.2K0.0%—New
Modine Mfg Co—1.11K$239.7K0.0%—New
Tyler Technologies IncTYL699$239.3K0.0%−$50.1KAdded$35.5K
First Tr Exchng Traded Fd Vi—4.74K$239.1K0.0%−$6.35KHeld
Global X Fds—5.52K$239K0.0%−$64.3KAdded−$59K
Constellium SeCSTM9.71K$238.6K0.0%—New
Nuveen Floating Rate Income—31.7K$238.4K0.0%−$9.58KAdded−$3.48K
Lincoln Natl Corp Ind—6.71K$238K0.0%—New
Ishares Tr—2.83K$237.9K0.0%−$743Cut−$27.2K
Planet Fitness, Inc.PLNT3.2K$237.9K0.0%—New
Vaneck Etf Trust—5.12K$237.8K0.0%—New
Madrigal Pharmaceuticals, Inc.MDGL454$237.7K0.0%—New
Spdr Index Shs Fds—6.49K$237.5K0.0%$4.35KHeld
Soundhound Ai Inc—34.6K$237.4K0.0%−$43.6KAdded$97.3K
Hercules Capital Inc—16.1K$237.2K0.0%—New
J P Morgan Exchange Traded F—3.27K$237.1K0.0%—New
Eaton Vance Tax Mnged Buy Wr—16.4K$237.1K0.0%—New
Ishares Tr—3.1K$236.9K0.0%—New
Terex Corp New—4.01K$236.8K0.0%—New
Lauder Estee Cos Inc—3.3K$236.8K0.0%—New
Direxion Shs Etf Tr—19.5K$236.4K0.0%—New
Hanover Ins Group Inc—1.36K$235.1K0.0%—New
On Hldg Ag—6.88K$234K0.0%—New
Fidelity Covington Trust—3.37K$233.8K0.0%—New
Loar Holdings Inc.LOAR4.08K$233.7K0.0%—New
PBF Energy Inc.PBF4.9K$233.5K0.0%—New
Halozyme Therapeutics, Inc.HALO3.61K$233.5K0.0%−$9.51KAdded−$6.28K
Ishares Tr—5.34K$233.1K0.0%—New
Natures Sunshine Prods Inc—9.71K$233K0.0%$23.4KCut−$85.2K
American Assets Tr Inc—12.6K$232.7K0.0%—New
Korea Elec Pwr Corp—16.3K$232.6K0.0%—New
Dbx Etf Tr—4.39K$232.4K0.0%—New
Tower Semiconductor LtdTSEM1.32K$231.8K0.0%—New
Invesco Exchange Traded Fd T—4.53K$231.7K0.0%—New
Idacorp IncIDA1.61K$229.7K0.0%—New
Ufp Industries IncUFPI2.49K$229.6K0.0%—New
Community West Bancshares Ne—9.85K$229.4K0.0%—New
Globant S.A.GLOB4.96K$228.9K0.0%—New
Fidelity Covington Trust—3.87K$228.6K0.0%—New
Ishares Aaa Clo Active—4.4K$228.2K0.0%—New
IDEAYA Biosciences, Inc.IDYA6.83K$227.6K0.0%—New
Celsius Hldgs Inc—6.41K$227.3K0.0%−$47.8KAdded$14K
UroGen Pharma Ltd.URGN12.6K$227.3K0.0%—New
Polaris Inc.PII4.17K$227.1K0.0%—New
Global Pmts Inc—3.37K$227K0.0%—New
Proshares Tr—4.38K$227K0.0%—New
Addus Homecare CorpADUS2.42K$226.9K0.0%—New
Ishares Inc—5.22K$226.5K0.0%−$8.4KCut−$933.9K
Vaneck Etf Trust—5.54K$225.7K0.0%—New
Eastern Bankshares, Inc.EBC11.5K$225.5K0.0%—New
Fortive CorpFTV4.07K$225.2K0.0%—New
Flexshares Tr—4.08K$225K0.0%—New
Check Point Software Tech Lt—1.57K$224.9K0.0%—New
Builders FirstSource, Inc.BLDR2.73K$224.6K0.0%—New
American Healthcare REIT, Inc.AHR4.76K$224.5K0.0%—New
Asbury Automotive Group IncABG1.15K$224.5K0.0%−$38.4KAdded−$16.1K
Yum China Hldgs Inc—4.6K$224.3K0.0%—New
Axcelis Technologies IncACLS2.41K$224K0.0%—New
First Tr Exchng Traded Fd Vi—8.46K$222.7K0.0%$2.9KHeld
Franklin Resources IncBEN9.43K$222.6K0.0%—New
First Tr Exchange-Traded Fd—5.49K$222.6K0.0%−$3.88KAdded$1.8K
American Eagle Outfitters In—13.3K$222.3K0.0%—New
Eagle Matls Inc—1.17K$221.9K0.0%—New
Invesco Value Mun Income Tr—18.2K$221.3K0.0%−$2.43KAdded$34K
Schwab Strategic Tr—6.82K$221.3K0.0%—New
Dbv Technologies S A—10.6K$221.1K0.0%—New
Cohen & Steers Tax Advan Pfd—11.8K$220.9K0.0%−$6.59KAdded−$1.79K
Vanguard Scottsdale Fds—1.32K$220.4K0.0%—New
Nyli Cbre Gbl Infr Megtrnds—15K$220.3K0.0%—New
Ishares Inc—7.81K$220.3K0.0%—New
Blackstone Secd Lending Fd—9.3K$220.3K0.0%—New
Pgim Etf Tr—4.28K$219.3K0.0%−$343Held
Ishares Tr—1.48K$218.8K0.0%—New
Workday, Inc.WDAY1.68K$218.6K0.0%−$79.9KAdded$16.5K
Blackrock Etf Trust Ii—9.93K$218.6K0.0%—New
Hologic Inc—2.89K$218.5K0.0%—New
First Majestic Silver CorpAG10.2K$218.2K0.0%—New
Futu Hldgs Ltd—1.59K$217.9K0.0%—New
TransMedics Group, Inc.TMDX2.19K$217.8K0.0%—New
Bentley Sys Inc—6.2K$217.6K0.0%—New
Roivant Sciences Ltd.ROIV7.84K$217.2K0.0%—New
Staar Surgical CoSTAA11.6K$216.8K0.0%—New
Nushares Etf Tr—5.9K$216.7K0.0%—New
Rhythm Pharmaceuticals, Inc.RYTM2.48K$215.7K0.0%—New
Capital Group International—6.51K$215.6K0.0%$3.8KAdded$13.1K
Alignment Healthcare, Inc.ALHC12.2K$215.2K0.0%−$23.8KAdded−$5.73K
Janus Detroit Str Tr—4.17K$215K0.0%—New
Icon PlcICLR1.94K$214.6K0.0%−$138.7KCut−$3.55M
Fidelity Covington Trust—4.37K$214.6K0.0%—New
Ionq Inc—7.42K$213.9K0.0%—New
USA Rare Earth, Inc.USAR14.1K$213.2K0.0%$45.6KCut−$52.3K
Ishares Inc—3.4K$213.2K0.0%—New
Bigbear Ai Hldgs Inc—60.3K$212.4K0.0%—New
Nuveen Massachusets Qlt Mun—17.2K$211.7K0.0%$16.9KHeld
Ishares Tr—1.99K$211.6K0.0%—New
Restaurant Brands Intl Inc—2.86K$211.2K0.0%—New
Ssga Active Tr—3.65K$211K0.0%−$16.7KHeld
Wisdomtree Tr—5.22K$210.7K0.0%—New
Netscout Sys Inc—6.62K$210.4K0.0%—New
Ishares Tr—4.52K$210.4K0.0%—New
EnersysENS1.21K$210K0.0%—New
Exchange Traded Concepts Tru—3.06K$209.7K0.0%—New
United Sts Oil Fd Lp—1.65K$209.5K0.0%—New
D-Wave Quantum Inc.QBTS14.5K$209.2K0.0%−$126.5KAdded−$73K
TransunionTRU3.02K$208.9K0.0%—New
Exponent IncEXPO3.2K$208.9K0.0%—New
Spdr Series Trust—10.1K$208.3K0.0%—New
Ipg Photonics CorpIPGP1.82K$208.1K0.0%$78.1KCut−$135.2K
United Sts Brent Oil Fd Lp—4K$208K0.0%—New
Dws Mun Income Tr New—22.9K$208K0.0%$226Added$5.11K
Assured Guaranty LtdAGO2.54K$207.1K0.0%—New
Ishares Tr—4.39K$206.7K0.0%—New
Texas Cap Bancshares Inc—2.18K$206.5K0.0%—New
Laureate Education, Inc.LAUR5.92K$206.4K0.0%—New
Goldman Sachs Etf Tr—4.61K$205.6K0.0%—New
Exchange Traded Concepts Tru—3.48K$205.2K0.0%−$15.6KHeld
Grand Canyon Ed Inc—1.21K$205.1K0.0%$4.49KCut−$24.1K
Ionis Pharmaceuticals IncIONS2.72K$204.5K0.0%—New
Csp Inc—23.6K$203.8K0.0%−$90.5KAdded−$90.1K
Vaneck Etf Trust—1.08K$203.5K0.0%—New
Bny Mellon Strategic Mun Bd—33.8K$203.2K0.0%—New
Concentrix CorpCNXC7.41K$202.8K0.0%—New
Carvana Co.CVNA644$202.4K0.0%—New
Granite Constr Inc—1.69K$202.4K0.0%—New
First Tr Exchng Traded Fd Vi—6.74K$202.1K0.0%−$2.9KAdded−$2.04K
Ishares Inc—3.43K$201.9K0.0%−$3.94KCut−$1.13M
Archer Aviation Inc—39K$201.8K0.0%−$71.8KAdded−$28K
Cna Finl Corp—4.39K$201.6K0.0%—New
ZoomInfo Technologies Inc.GTM33.7K$201.6K0.0%—New
Dicks Sporting Goods Inc—1.02K$201.5K0.0%—New
Medical Pptys Trust IncMPT43.5K$201.4K0.0%−$12.5KAdded$32K
Companhia De Saneamento Basi—6.6K$201.3K0.0%—New
Trade Desk, Inc.TTD8.87K$201.3K0.0%−$81.2KAdded−$497
J P Morgan Exchange Traded F—3.03K$200.6K0.0%—New
Newell Brands Inc.NWL58.5K$200.6K0.0%−$9.92KAdded$73.4K
Service Corp Intl—2.43K$200.3K0.0%—New
Blue Owl Capital Corporation—17.9K$198.2K0.0%−$21.9KAdded−$243
Vista Gold CorpVGZ100K$196K0.0%−$1KHeld
Canary Xrp Etf—13.7K$195.7K0.0%—New
Cohen & Steers Select Pfd &—10K$193.9K0.0%−$8.9KHeld
Calamos Gbl Dyn Income Fund—26.5K$192.6K0.0%−$3.98KHeld
Tcw Strategic Income Fd Inc—42.3K$190.1K0.0%−$19.1KCut−$194K
Journey Med Corp—40.4K$189.3K0.0%−$121.9KCut−$150.1K
Fortrea Hldgs Inc—19.7K$185.6K0.0%−$116.3KAdded−$70.5K
Controladora Vuela Comp De A—25.1K$181.4K0.0%—New
Eaton Vance Tax-Managed Buy-—12.8K$174.6K0.0%—New
Telefonaktiebolaget Lm Erics—15.4K$174K0.0%$20.2KAdded$53.9K
Zeta Global Holdings Corp.ZETA10.8K$171.8K0.0%—New
Blackrock Multi Sector Inc T—13.6K$170.3K0.0%−$5.76KAdded$31K
Blackrock Cr Allocation Inco—16.4K$166K0.0%−$12KAdded−$11.9K
Nuveen Amt Free Qlty Mun Inc—14.8K$165.7K0.0%−$5.9KCut−$802.6K
Crescent Energy Company—12.3K$165.6K0.0%—New
Blackrock Enhanced Global Di—15.1K$165.3K0.0%−$11.3KCut−$11.7K
Wendys Co—23.7K$164.4K0.0%−$32.6KCut−$76.5K
Freshworks Inc.FRSH20.4K$163.6K0.0%—New
Huntsman CorpHUN12.1K$161.3K0.0%—New
First Seacoast Bancorp, Inc.FSEA12.5K$157.5K0.0%−$8.02KHeld
Ccc Intelligent Solutions Hl—26.2K$157.3K0.0%—New
Eos Energy Enterprises Inc—31.2K$154.8K0.0%—New
Modiv Industrial Inc—10.8K$154.4K0.0%—New
Nio Inc—25.3K$152.3K0.0%$22.1KAdded$31.4K
Diamondrock Hospitality CoDRH15.5K$145.7K0.0%—New
T1 Energy Inc.TE33.1K$145.4K0.0%—New
Neuberger Engy Infrstr & Inc—13.7K$144.1K0.0%—New
Aes CorpAES10.2K$144.1K0.0%−$2.56KCut−$533.1K
Blue Owl Technology Fin Corp—11.4K$140.8K0.0%—New
Allspring Utilities And High—11.3K$137.1K0.0%$3.18KCut$493
Riot Platforms, Inc.RIOT11K$135.6K0.0%—New
Capitol Fed Finl Inc—18.9K$134.7K0.0%$3.37KAdded$62.9K
Liberty Global Ltd—11.1K$134.4K0.0%—New
Tss Inc Del—10.3K$133.7K0.0%—New
C3.ai, Inc.AI15.5K$130.9K0.0%—New
Nuveen New York Qlt Mun Inc—11.4K$127.2K0.0%−$1.16KAdded$8.28K
Fortress Biotech Inc—45.2K$126.1K0.0%−$39.3KCut−$60.6K
Cerence Inc.CRNC19.7K$124.1K0.0%—New
Vizsla Silver Corp.VZLA36.6K$120.9K0.0%−$77.3KAdded−$73.8K
Abrdn Total Dynamic Dividend—12.9K$118.7K0.0%−$6.96KCut−$102.2K
Palladyne Ai Corp—19.4K$118K0.0%—New
Haleon Plc—11.5K$115.5K0.0%—New
Blackrock Muniassets Fd Inc—10.5K$111.8K0.0%−$1.05KHeld
Ondas Hldgs IncONDS12.4K$111.7K0.0%—New
Mizuho Financial Group Inc—14K$111K0.0%$8.13KAdded$15K
Arbor Realty Trust Inc—14.3K$110.4K0.0%—New
Fortuna Mng Corp—11.1K$109.8K0.0%—New
Templeton Emerging Mkts Inco—18.2K$109.2K0.0%−$7.99KCut−$30.1K
Invesco Tr Invt Grade Muns—11K$108.7K0.0%—New
Mobileye Global Inc.MBLY15.7K$107.8K0.0%—New
Webull Corp—22.3K$106.8K0.0%—New
Nuvation Bio Inc.NUVB24.9K$106.6K0.0%−$99.2KAdded−$83.7K
Quantumscape CorpQS16.5K$105.3K0.0%—New
Tetra Technologies Inc Del—12.4K$105.2K0.0%—New
Nuveen Pfd & Income Opportun—13.6K$102.6K0.0%−$7.76KCut−$687.5K
Ironwood Pharmaceuticals IncIRWD28.6K$100.3K0.0%$1.6KAdded$61.7K
Eaton Vance Tax-Managed Glob—11.3K$99.4K0.0%−$4.62KAdded$2.58K
Lumen Technologies, Inc.LUMN14.2K$98.6K0.0%−$8.79KAdded$15.3K
Biohaven Ltd.BHVN11.5K$97K0.0%—New
Ardelyx, Inc.ARDX16.2K$96.8K0.0%$1.93KAdded$26.5K
Taseko Mines Ltd—15K$96.8K0.0%—New
Cornerstone Strategic Invest—12.9K$94K0.0%—New
Invesco Advantage Mun Income—10.6K$91.4K0.0%−$4.85KHeld
Icahn Enterprises Lp—12.1K$91.2K0.0%$0Added$3.77K
Cion Invt Corp—13K$88.9K0.0%—New
Invesco Mortgage Capital Inc—11K$88.7K0.0%−$3.52KAdded−$955
Bumble Inc.BMBL27.2K$88.6K0.0%—New
Mfs Mun Income Tr—16.4K$88.3K0.0%−$631Added$2.6K
Optimizerx CorpOPRX14.1K$88.3K0.0%—New
ImmunityBio, Inc.IBRX11.4K$87.4K0.0%—New
Inogen IncINGN14.1K$87.4K0.0%−$6.32KAdded$8.79K
Eupraxia Pharmaceuticals Inc.EPRX12K$86.9K0.0%—New
W&T Offshore IncWTI25.4K$86.8K0.0%$35.6KAdded$54.2K
Phreesia, Inc.PHR10.3K$86.3K0.0%—New
Franklin Str Pptys Corp—122.4K$81.3K0.0%−$33.8KAdded−$32.4K
Ambev Sa—26.4K$77.2K0.0%$7.3KAdded$37.1K
Heron Therapeutics Inc—95.5K$76.4K0.0%−$47.6KAdded−$47.3K
Peloton Interactive, Inc.PTON17.4K$74.5K0.0%—New
Genasys Inc.GNSS40.8K$74.3K0.0%—New
Gemini Space Sta Inc—16.7K$73.8K0.0%—New
Melco Resorts And Entmnt Ltd—12.5K$71K0.0%—New
Cornerstone Total Return Fd—10.2K$70.7K0.0%—New
Coursera, Inc.COUR11.9K$69K0.0%—New
Rocket Pharmaceuticals Inc—19.1K$68.4K0.0%—New
Teladoc Health, Inc.TDOC11.8K$64.3K0.0%—New
AbCellera Biologics Inc.ABCL17.9K$62.4K0.0%—New
Poet Technologies Inc.POET10.4K$61.6K0.0%—New
Denison Mines Corp.DNN17.1K$60.3K0.0%—New
Eaton Vance Sr Income Tr—11.9K$59.2K0.0%−$3.32KHeld
Payoneer Global Inc.PAYO12K$58K0.0%—New
Annexon, Inc.ANNX10.2K$56.7K0.0%—New
Alight Inc—96K$56K0.0%—New
UWM Holdings CorpUWMC15.2K$55.1K0.0%−$10.2KAdded−$3.73K
Western Asset High Income Op—15.2K$55.1K0.0%—New
B & G Foods Inc NewBGS11.3K$54.3K0.0%—New
Stitch Fix, Inc.SFIX16.1K$53.3K0.0%—New
Butterfly Network, Inc.BFLY12.1K$48.9K0.0%—New
Osisko Development Corp—15K$48.8K0.0%−$3.6KCut−$21.1K
Anavex Life Sciences Corp.AVXL15.5K$47.7K0.0%−$6.37KAdded$1.41K
Aurora Innovation Inc—11.5K$47.5K0.0%—New
Plug Power IncPLUG19.4K$43.8K0.0%$5.22KAdded$8.3K
Playtika Hldg Corp—15.7K$43.5K0.0%—New
Fuel Tech, Inc.FTEK35K$42.7K0.0%—New
Credit Suisse High Yield Cre—22.4K$42.6K0.0%−$2.24KHeld
Coffee Hldg Co Inc—10K$42.5K0.0%—New
Sellas Life Sciences Group I—10K$42.3K0.0%—New
Mfs High Yield Mun Tr—11.7K$41.9K0.0%$819Held
Ring Energy, Inc.REI27.1K$41.5K0.0%—New
TRX GOLD CorpTRX26.9K$40.4K0.0%$12.6KAdded$20.3K
Goodrx Hldgs Inc—19.8K$38.8K0.0%—New
Altisource Portfolio Solutio—101.5K$38.6K0.0%—New
Mfs Inter Income Tr—15.3K$38.5K0.0%—New
Allogene Therapeutics, Inc.ALLO15.7K$38.4K0.0%—New
Cia Energetica De Minas Gera—15.2K$36.3K0.0%—New
Repay Hldgs Corp—12.9K$33.5K0.0%—New
Kosmos Energy Ltd.KOS12K$33.3K0.0%—New
Bit Digital, IncBTBT25.4K$33.3K0.0%—New
Western Copper & Gold CorpWRN13K$32.9K0.0%−$1.82KHeld
8x8 Inc New—19.3K$32K0.0%—New
American Bitcoin Corp.ABTC34.2K$31.6K0.0%−$9.32KAdded$11.2K
Natural Alternatives Intl In—12K$31.6K0.0%−$11.4KHeld
Blue Gold Ltd—25.9K$31.4K0.0%—New
Airship Ai Hldgs Inc—13.8K$31.1K0.0%—New
Beyond Meat, Inc.BYND44K$30.9K0.0%—New
Editas Medicine, Inc.EDIT12.3K$30.3K0.0%—New
Procap Finl Inc—14K$29.5K0.0%—New
Galectin Therapeutics IncGALT10K$27.9K0.0%—New
Veru Inc.VERU11.8K$26K0.0%$789Added$1.87K
Cerus CorpCERS14.2K$25.8K0.0%—New
Altisource Portfolio Solutio—127K$25.4K0.0%—New
Aldeyra Therapeutics, Inc.ALDX15K$25.3K0.0%—New
Wipro LtdWIT11.4K$24.1K0.0%—New
Acumen Pharmaceuticals, Inc.ABOS10.2K$24K0.0%—New
Clover Health Investments Co—12.6K$22.1K0.0%—New
Sabre CorpSABR14.8K$21.4K0.0%—New
Nextdoor Holdings, Inc.NXDR14.1K$19.8K0.0%—New
Ziprecruiter, Inc.ZIP10.7K$19.8K0.0%—New
3-D Sys Corp Del—10.1K$19.1K0.0%—New
New Fortress Energy Inc.NFE31.9K$18.8K0.0%−$8.22KAdded$1.79K
Rackspace Technology, Inc.RXT18.6K$18.3K0.0%—New
Fate Therapeutics IncFATE14.9K$17.9K0.0%—New
Omniab Inc—10.7K$16.7K0.0%—New
Tenaya Therapeutics, Inc.TNYA23.9K$16.6K0.0%−$419Added$966
Conduent IncCNDT12.8K$16.4K0.0%—New
Defi Technologies, Inc.DEFT29.3K$16.2K0.0%−$4.5KAdded−$636
Amc Entmt Hldgs Inc—15.4K$15.1K0.0%—New
XWELL, Inc.XWEL10.4K$11.9K0.0%$7.13KAdded$7.14K
Quantum-Si IncQSI14.5K$11.2K0.0%—New
Canaan Inc.CAN24K$10.4K0.0%—New
Humacyte Inc—16.2K$9.85K0.0%—New
Inflarx Nv—10K$8.94K0.0%−$1.16KHeld
GT Biopharma, Inc.GTBP20K$8.16K0.0%−$7.54KHeld
Fury Gold Mines Limited—10K$6.09K0.0%—New
Gossamer Bio, Inc.GOSS14.4K$4.74K0.0%—New
Volitionrx LtdVNRX10K$2.02K0.0%—New
Gct Semiconductor Hldg Inc—10.4K$1.88K0.0%—New

Positions as of Q1 2026. 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.