VB holdings

All 1,317 positions of Vanguard Morningstar Small-Cap ETF.

Positions
1,317
Top 10 weight
4.3%
Effective holdings
688.6
1 / sum of squared weights
In stocks
99.8%
In bonds
0.0%
Outside the US
0.0%

Asset mix

  • Equity99.8%
  • Cash1.7%

Sectors

100% of stocks classified
  • Industrials21.2%
  • Technology16.9%
  • Financials12.6%
  • Health Care11.4%
  • Consumer Discretionary9.7%
  • Materials7.8%
  • Real Estate7.8%
  • Utilities4.0%
  • Consumer Staples2.8%
  • Energy2.5%
  • Communication Services2.5%

Countries

  • United States99.8%

Holdings

#HoldingTypeWeightValueShares / parCountry
1Vanguard Cmt Funds-Vanguard Market Liquidity FundCash1.50%$2.8B28,316,298US
2CRDOCredo Technology Group Holding Ltd Ordinary SharesEquity0.55%$1.0B3,806,729US
3JBLJabil Inc.Equity0.49%$933M2,419,503US
4RVMDRevolution Medicines, Inc. Common StockEquity0.46%$867M4,631,150US
5ALABAstera Labs, Inc. Common StockEquity0.45%$854M1,768,769US
6NTRANatera, Inc. Common StockEquity0.45%$847M3,119,416US
7EMEEMCOR Group, Inc.Equity0.45%$846M1,018,933US
8TWLOTwilio Inc.Equity0.38%$718M3,481,013US
9NRGNRG Energy, Inc.Equity0.37%$707M4,838,685US
10MKSIMKS Inc. Common StockEquity0.37%$689M1,548,875US
11FLEXFlex Ltd. Ordinary SharesEquity0.36%$681M4,201,181US
12TPRTapestry, Inc. Common StockEquity0.36%$678M4,632,648US
13CASYCasey's General Stores IncEquity0.36%$674M847,409US
14CRSCarpenter Technology CorpEquity0.35%$668M1,082,581US
15ATOAtmos Energy CorporationEquity0.35%$659M3,827,551US
16CWCurtiss-Wright Corp.Equity0.34%$642M847,197US
17FTAIFTAI Aviation Ltd. Common StockEquity0.34%$637M2,352,809US
18WSMWilliams-Sonoma, Inc.Equity0.33%$629M2,700,379US
19ENTGEntegris IncEquity0.33%$629M3,497,162US
20NVTnVent Electric plc Ordinary SharesEquity0.33%$629M3,707,925US
21ATIATI Inc.Equity0.33%$617M3,129,836US
22FTITechnipFMC plc Ordinary ShareEquity0.32%$606M9,144,042US
23MTZMasTec, Inc.Equity0.32%$603M1,449,727US
24MTSIMACOM Technology Solutions Holdings, IncEquity0.32%$599M1,574,806US
25WWDWoodward, Inc.Equity0.31%$581M1,366,514US
26ILMNIllumina IncEquity0.31%$580M3,296,618US
27MRNAModerna, Inc. Common StockEquity0.30%$574M8,190,072US
28PEverpure, Inc.Equity0.30%$570M7,235,234US
29STRLSterling Infrastructure, Inc. Common StockEquity0.30%$561M668,565US
30SWSmurfit Westrock plcEquity0.29%$556M12,027,141US
31FFIVF5, Inc. Common StockEquity0.29%$538M1,293,959US
32UTHRUnited Therapeutics CorpEquity0.28%$527M973,490US
33SOFISoFi Technologies, Inc. Common StockEquity0.28%$527M29,415,426US
34OKTAOkta, Inc. Class A Common StockEquity0.28%$526M3,855,147US
35XPOXPO, Inc.Equity0.28%$525M2,557,901US
36USFDUS Foods Holding Corp.Equity0.27%$516M5,050,516US
37JBHTJB Hunt Transport Services IncEquity0.27%$501M1,729,858US
38EXEExpand Energy Corporation Common StockEquity0.27%$500M5,486,380US
39RBARB Global, Inc.Equity0.26%$498M4,272,638US
40AFRMAffirm Holdings, Inc. Class A Common StockEquity0.26%$495M6,075,396US
41CHRWC.H. Robinson Worldwide, Inc.Equity0.26%$484M2,567,418US
42LSCCLattice Semiconductor CorpEquity0.25%$481M3,141,793US
43OMCOmnicom Group Inc.Equity0.25%$476M6,535,979US
44RBCRBC Bearings IncorporatedEquity0.25%$467M725,504US
45FWONKLiberty Media Corporation Series C Common StockEquity0.25%$464M4,873,917US
46FNFabrinetEquity0.24%$462M821,692US
47TTMITTM Technologies IncEquity0.24%$445M2,381,659US
48SNXTD SYNNEX CorporationEquity0.24%$444M1,659,295US
49INCYIncyte Genomics IncEquity0.23%$441M3,894,319US
50RSReliance, Inc.Equity0.23%$437M1,170,685US
51GHGuardant Health, Inc. Common StockEquity0.23%$433M2,888,524US
52EVRGEvergy, Inc.Equity0.23%$433M5,004,654US
53ONTOOnto Innovation Inc.Equity0.23%$432M1,140,626US
54ESSEssex Property Trust, IncEquity0.23%$430M1,473,625US
55Vanguard Cmt Funds-Vanguard Market Liquidity FundCash0.23%$425M4,251,930US
56DDDuPont de Nemours, Inc. Common StockEquity0.23%$425M3,132,642US
57VTRSViatris Inc. Common StockEquity0.22%$424M26,707,759US
58ROKURoku, Inc. Class A Common StockEquity0.22%$416M3,008,354US
59CDWCDW CorporationEquity0.22%$412M2,929,350US
60LIILennox International Inc.Equity0.22%$412M718,215US
61INVHInvitation Homes Inc. Common StockEquity0.22%$411M13,618,623US
62BWXTBWX Technologies, Inc.Equity0.22%$409M2,099,626US
63ROIVRoivant Sciences Ltd. Common SharesEquity0.22%$409M11,546,280US
64ITTITT Inc.Equity0.21%$405M2,050,001US
65EWBCEast-West Bancorp IncEquity0.21%$405M3,139,361US
66TLNTalen Energy Corporation Common StockEquity0.21%$400M1,040,563US
67WYWeyerhaeuser CompanyEquity0.21%$396M16,534,612US
68GNRCGENERAC HOLDINGS INCEquity0.21%$395M1,349,804US
69AKAMAkamai Technologies IncEquity0.21%$394M3,333,984US
70KIMKimco Realty Corp.Equity0.21%$392M15,464,644US
71QQnity Electronics, Inc.Equity0.21%$392M2,399,702US
72NXTNextpower Inc. Common StockEquity0.21%$390M3,273,308US
73NBIXNeurocrine Biosciences IncEquity0.21%$388M2,304,996US
74RGLDRoyal Gold IncEquity0.21%$388M1,945,543US
75WCCWesco International Inc.Equity0.20%$386M1,116,820US
76IEXIDEX CorporationEquity0.20%$385M1,697,164US
77SITMSiTime Corporation Common StockEquity0.20%$384M514,477US
78PFGCPerformance Food Group CompanyEquity0.20%$383M3,422,238US
79CFCF Industries Holding, Inc.Equity0.20%$381M3,522,278US
80EQTEQT CORPEquity0.20%$381M7,171,342US
81BALLBall CorporationEquity0.20%$381M6,105,203US
82BGBunge Global SAEquity0.20%$380M3,559,465US
83APGAPi Group CorporationEquity0.20%$379M8,941,431US
84MASMasco CorporationEquity0.20%$376M4,625,751US
85NLYAnnaly Capital Management. Inc.Equity0.20%$376M16,801,257US
86HSTHost Hotels & Resorts, Inc.Equity0.20%$372M15,703,991US
87GPCGenuine Parts CompanyEquity0.20%$372M3,152,909US
88FDXFFedEx Freight Holding Company, Inc.Equity0.20%$372M2,462,108US
89MAAMid-America Apartment Communities, Inc.Equity0.20%$371M2,668,744US
90THCTenet Healthcare Corporation NewEquity0.20%$370M1,975,296US
91NDSNNordson CorpEquity0.19%$366M1,213,804US
92TXTTextron, Inc.Equity0.19%$366M3,987,460US
93WPCW.P. Carey Inc. (REIT)Equity0.19%$365M5,107,534US
94ALBAlbemarle CorporationEquity0.19%$365M2,704,000US
95RRXRegal Rexnord CorporationEquity0.19%$364M1,526,136US
96CNCCentene CorporationEquity0.19%$363M5,661,113US
97STLDSteel Dynamics IncEquity0.19%$360M1,570,868US
98SGISomnigroup International Inc.Equity0.19%$359M4,581,981US
99TOLToll Brothers, Inc.Equity0.19%$358M2,170,959US
100IONQIonQ, Inc.Equity0.19%$354M6,652,727US
101FCNCAFirst Citizens BancShares IncEquity0.19%$353M169,849US
102RIVNRivian Automotive, Inc. Class A Common StockEquity0.19%$350M20,164,071US
103CDECoeur Mining, Inc.Equity0.18%$348M21,344,349US
104BBYBest Buy Company, Inc.Equity0.18%$348M4,588,151US
105DYDycom Industries, Inc.Equity0.18%$348M688,511US
106SMTCSemtech CorpEquity0.18%$346M2,135,775US
107DTMDT Midstream, Inc.Equity0.18%$343M2,339,207US
108ARMKARAMARKEquity0.18%$343M6,028,336US
109JJacobs Solutions Inc.Equity0.18%$341M2,707,641US
110OVVOvintiv Inc.Equity0.18%$339M6,441,397US
111SUISun Communities, IncEquity0.18%$339M2,825,670US
112DOCHealthpeak Properties, Inc.Equity0.18%$338M15,806,815US
113CSLCarlisle Companies, Inc.Equity0.18%$337M927,874US
114PRPermian Resources CorporationEquity0.18%$336M18,232,828US
115SWKStanley Black & Decker, Inc.Equity0.18%$335M3,563,673US
116REGRegency Centers CorporationEquity0.18%$335M4,197,949US
117WSOWatsco, Inc.Equity0.18%$334M802,543US
118LECOLincoln Electric Holdings IncEquity0.18%$334M1,256,331US
119PNFPPinnacle Financial Partners, Inc.Equity0.18%$332M3,290,769US
120JLLJones Lang LaSalle, Inc.Equity0.17%$330M1,063,384US
121JAZZJazz Pharmaceuticals, Inc.Equity0.17%$329M1,366,767US
122RMBSRambus IncEquity0.17%$329M2,479,300US
123RLRalph Lauren CorporationEquity0.17%$329M819,327US
124CLHClean Harbors, IncEquity0.17%$326M1,090,587US
125OHIOmega Healthcare Investors Inc.Equity0.17%$326M6,828,513US
126DKSDick's Sporting Goods, Inc.Equity0.17%$325M1,434,244US
127RPMRPM International, Inc.Equity0.17%$325M2,925,629US
128AEISAdvanced Energy Industries IncEquity0.17%$325M871,826US
129EGEverest Group, Ltd.Equity0.17%$324M907,347US
130MODModine Manufacturing CoEquity0.17%$323M1,211,046US
131SOLSSolstice Advanced Materials Inc. Common StockEquity0.17%$323M3,640,932US
132COOThe Cooper Companies, Inc. Common StockEquity0.17%$321M4,474,193US
133RGAReinsurance Group of America, IncorporatedEquity0.17%$319M1,502,190US
134TRUTransUnionEquity0.17%$319M4,418,584US
135AMKRAmkor Technology IncEquity0.17%$319M3,694,076US
136GLGlobe Life Inc.Equity0.17%$318M1,780,297US
137HUBBHubbell IncorporatedEquity0.17%$317M605,783US
138DECKDeckers Outdoor CorpEquity0.17%$316M3,184,748US
139AAAlcoa CorporationEquity0.17%$315M6,050,547US
140ECHOEchoStar CorporationEquity0.17%$313M3,088,341US
141TOSTToast, Inc.Equity0.17%$313M11,239,717US
142BWABorgWarner Inc.Equity0.17%$312M4,703,274US
143MLIMueller Industries, Inc.Equity0.17%$312M2,535,502US
144LAMRLamar Advertising CoEquity0.16%$311M1,996,084US
145UNMUnum GroupEquity0.16%$311M3,480,381US
146RNRRenaissanceRe Holdings Ltd.Equity0.16%$310M977,529US
147GENGen Digital Inc. Common StockEquity0.16%$309M12,427,038US
148AIZAssurant, Inc.Equity0.16%$305M1,136,032US
149BBIOBridgeBio Pharma, Inc. Common StockEquity0.16%$301M4,039,952US
150PTCPTC, INCEquity0.16%$301M2,647,921US
151DOCNDigitalOcean Holdings, Inc.Equity0.16%$301M1,914,324US
152EXELExelixis IncEquity0.16%$298M5,473,447US
153APTVAptiv PLCEquity0.16%$298M4,850,630US
154UDRUDR, Inc.Equity0.16%$297M7,448,773US
155PNWPinnacle West Capital CorporationEquity0.16%$297M2,778,667US
156LDOSLeidos Holdings, Inc.Equity0.16%$297M2,883,520US
157SANMSanmina CorpEquity0.16%$295M1,167,412US
158NTNXNutanix, Inc. Class A Common StockEquity0.16%$294M5,775,392US
159TPLTexas Pacific Land CorporationEquity0.16%$294M672,061US
160DTDynatrace, Inc.Equity0.16%$294M6,686,201US
161OCOwens CorningEquity0.16%$293M1,845,603US
162TXRHTexas Roadhouse, Inc.Equity0.15%$291M1,506,691US
163ALLYAlly Financial Inc.Equity0.15%$290M6,321,459US
164ASTSAST SpaceMobile, Inc. Class A Common StockEquity0.15%$289M3,253,155US
165GGGGraco IncEquity0.15%$288M3,805,392US
166EVREvercore Inc.Equity0.15%$288M842,207US
167ZBRAZebra Technologies CorporationEquity0.15%$287M1,091,894US
168AGNCAGNC Investment Corp. Common StockEquity0.15%$287M26,331,402US
169ELSEquity Lifestyle Properties, Inc.Equity0.15%$287M4,446,290US
170AITApplied Industrial Technologies, Inc.Equity0.15%$287M847,365US
171CCKCrown Holdings Inc.Equity0.15%$286M2,561,086US
172FORMFormFactor Inc.Equity0.15%$286M1,787,235US
173IONSIonis Pharmaceuticals, Inc. Common StockEquity0.15%$285M3,597,995US
174AVYAvery Dennison Corp.Equity0.15%$285M1,753,479US
175RVTYRevvity, Inc.Equity0.15%$285M2,557,796US
176PNRPentair plcEquity0.15%$284M3,703,220US
177WBSWebster Financial Corporation WaterburyEquity0.15%$284M3,712,327US
178EQHEquitable Holdings, Inc.Equity0.15%$283M6,449,628US
179TYLTyler Technologies, Inc.Equity0.15%$283M966,331US
180ELANElanco Animal Health Incorporated Common StockEquity0.15%$282M11,448,318US
181SPXCSPX Technologies, Inc.Equity0.15%$281M1,147,409US
182FHNFirst Horizon CorporationEquity0.15%$279M10,880,696US
183MEDPMedpace Holdings, Inc. Common StockEquity0.15%$277M523,659US
184ALLEAllegion Public Limited CompanyEquity0.15%$277M1,970,142US
185FNFFidelity National Financial, Inc.Equity0.15%$276M5,862,960US
186CGNXCognex CorpEquity0.15%$276M3,815,246US
187MOG.AMoog Inc.Equity0.15%$276M651,801US
188FSLRFirst Solar, Inc.Equity0.15%$276M1,170,291US
189KNXKnight-Swift Transportation Holdings Inc. Class A Common StockEquity0.15%$276M3,538,824US
190WMSADVANCED DRAINAGE SYSTEMS, INC.Equity0.15%$276M1,755,643US
191RBRKRubrik, Inc.Equity0.15%$275M3,430,515US
192GLPIGaming and Leisure Properties, Inc.Equity0.15%$275M6,168,869US
193AALAmerican Airlines Group Inc.Equity0.15%$274M15,170,922US
194TRMBTrimble Inc. Common StockEquity0.14%$273M5,342,320US
195MOHMolina Healthcare, Inc.Equity0.14%$273M1,194,366US
196DKNGDraftKings Inc. Class A Common StockEquity0.14%$273M10,803,311US
197QXOQXO, Inc.Equity0.14%$273M15,788,902US
198PENPenumbra, Inc.Equity0.14%$270M856,690US
199VIAVViavi Solutions Inc. Common StockEquity0.14%$268M5,617,706US
200HUTHut 8 Corp. Common StockEquity0.14%$268M2,323,426US
201HASHasbro, Inc.Equity0.14%$268M3,245,711US
202VSATViasat IncEquity0.14%$266M2,960,500US
203CYTKCytokinetics Inc.Equity0.14%$265M3,114,802US
204INSMInsmed, Inc.Equity0.14%$265M2,486,300US
205CLXClorox CompanyEquity0.14%$265M2,771,626US
206LFUSLittelfuse IncEquity0.14%$264M579,814US
207APAAPA Corporation Common StockEquity0.14%$264M8,103,131US
208CPTCamden Property TrustEquity0.14%$264M2,304,407US
209ALGNAlign Technology IncEquity0.14%$263M1,559,547US
210BTSGBrightSpring Health Services, Inc. Common StockEquity0.14%$262M3,759,269US
211AYIAcuity Inc.Equity0.14%$262M695,026US
212SJMThe J.M. Smucker CompanyEquity0.14%$261M2,323,029US
213NINiSource Inc.Equity0.14%$261M5,495,186US
214SOLVSolventum CorporationEquity0.14%$260M3,375,087US
215AURAurora Innovation, Inc. Class A Common StockEquity0.14%$259M37,905,449US
216GDDYGoDaddy IncEquity0.14%$258M3,035,321US
217SAIASaia, Inc.Equity0.14%$257M611,263US
218UUnity Software Inc.Equity0.14%$257M9,006,543US
219BJBJs Wholesale Club Holdings, Inc. Common StockEquity0.14%$255M2,926,340US
220IVZInvesco LTDEquity0.13%$255M9,652,150US
221BMRNBioMarin Pharmaceuticals IncEquity0.13%$254M4,434,241US
222ESIElement Solutions Inc.Equity0.13%$254M5,309,043US
223TECHBio-Techne Corp.Equity0.13%$253M3,586,562US
224HIIHuntington Ingalls Industries, Inc.Equity0.13%$253M902,747US
225BAXBaxter International Inc.Equity0.13%$252M11,833,128US
226CRCrane CompanyEquity0.13%$251M1,126,071US
227CRLCharles River Laboratories International, Inc.Equity0.13%$251M1,104,850US
228ARWArrow Electronics, Inc.Equity0.13%$250M1,172,346US
229ARWRArrowhead Research CorporationEquity0.13%$250M3,067,819US
230MXLMaxLinear, Inc. Common StockEquity0.13%$250M1,951,585US
231AHRAmerican Healthcare REIT, Inc.Equity0.13%$250M4,786,618US
232EGPEastGroup Properties Inc.Equity0.13%$250M1,232,367US
233WTRGEssential Utilities, Inc.Equity0.13%$249M6,503,935US
234AMHAMERICAN HOMES 4 RENTEquity0.13%$249M7,426,310US
235WTFCWintrust Financial CorpEquity0.13%$249M1,546,246US
236IOTSamsara Inc.Equity0.13%$248M7,659,677US
237COKECoca-Cola Consolidated, Inc. Common StockEquity0.13%$247M1,295,815US
238WTSWatts Water Technologies, Inc. Class AEquity0.13%$247M629,866US
239AXSMAxsome Therapeutics, IncEquity0.13%$246M1,003,488US
240DINOHF Sinclair CorporationEquity0.13%$245M3,512,959US
241FRTFederal Realty Investment TrustEquity0.13%$244M1,980,294US
242VMIValmont Industries, Inc.Equity0.13%$244M422,859US
243CGThe Carlyle Group Inc. Common StockEquity0.13%$243M5,780,713US
244AGXArgan, IncEquity0.13%$243M304,061US
245BXPBXP, Inc.Equity0.13%$242M3,654,865US
246PODDInsulet CorporationEquity0.13%$242M1,589,038US
247AESAES CorporationEquity0.13%$240M16,359,243US
248GWREGUIDEWIRE SOFTWARE, INC.Equity0.13%$239M1,940,758US
249KRYSKrystal Biotech, Inc. Common StockEquity0.13%$239M642,490US
250DCIDonaldson Company, Inc.Equity0.13%$238M2,655,281US
251BENFranklin Templeton, Inc.Equity0.13%$238M7,146,266US
252ARANTERO RESOURCES CORPORATIONEquity0.13%$237M6,752,318US
253HLHecla Mining CompanyEquity0.13%$237M15,376,308US
254CACICACI INTERNATIONAL CLAEquity0.12%$235M506,362US
255SWKSSkyworks Solutions IncEquity0.12%$234M3,447,779US
256ZIONZions Bancorporation N.A.Equity0.12%$233M3,371,924US
257SFStifel Financial Corp.Equity0.12%$233M3,342,994US
258IPInternational Paper Co.Equity0.12%$231M6,074,132US
259BPOPPopular IncEquity0.12%$231M1,405,532US
260OGEOGE Energy Corp.Equity0.12%$230M4,731,599US
261EHCEncompass Health Corporation Common StockEquity0.12%$230M2,275,892US
262GTLSChart Industries, Inc.Equity0.12%$229M1,097,271US
263CORCencora, Inc.Equity0.12%$229M646,466US
264BURLBURLINGTON STORES, INC.Equity0.12%$229M721,953US
265SCIService Corporation InternationalEquity0.12%$229M3,010,562US
266FIVEFive Below, Inc. Common StockEquity0.12%$228M1,268,499US
267MDGLMadrigal Pharmaceuticals, Inc. Common StockEquity0.12%$227M423,142US
268DOWDow Inc.Equity0.12%$226M8,267,178US
269BROSDutch Bros Inc.Equity0.12%$226M3,147,221US
270DPZDomino's Pizza Inc.Equity0.12%$226M762,967US
271LNTAlliant Energy Corporation Common StockEquity0.12%$226M2,959,836US
272JKHYHenry (Jack) & AssociatesEquity0.12%$225M1,629,909US
273WULFTeraWulf Inc. Common StockEquity0.12%$224M9,088,696US
274UMBFUMB Financial CorpEquity0.12%$224M1,567,528US
275SSBSouthState Bank CorporationEquity0.12%$224M2,238,986US
276RRyder System, Inc.Equity0.12%$222M843,225US
277NCLHNorwegian Cruise Line Holdings Ltd. Ordinary SharesEquity0.12%$222M10,532,035US
278BRXBRIXMOR PROPERTY GROUP INC.Equity0.12%$222M7,033,530US
279VICRVicor CorpEquity0.12%$221M582,656US
280WWayfair Inc.Equity0.12%$221M2,389,421US
281IFFInternational Flavors & Fragrances Inc.Equity0.12%$220M2,781,911US
282APLDApplied Digital Corporation Common StockEquity0.12%$220M5,896,519US
283NYTNew York Times Co.Equity0.12%$220M3,139,017US
284OSKOshkosh Corp.Equity0.12%$220M1,430,453US
285CTRECareTrust REIT, IncEquity0.12%$219M5,419,538US
286CIFRCipher Digital Inc. Common StockEquity0.12%$218M8,909,131US
287SEICSEI Investments CoEquity0.12%$218M2,483,119US
288FLSFlowserve CorporationEquity0.12%$217M2,932,036US
289TTCToro Company (The)Equity0.11%$216M2,222,146US
290PLPlanet Labs PBCEquity0.11%$215M6,491,568US
291ENSGThe Ensign Group, Inc.Equity0.11%$215M1,340,868US
292FROGJFrog Ltd. Ordinary SharesEquity0.11%$215M2,361,860US
293ALSNALLISON TRANSMISSION HOLDINGS, INC.Equity0.11%$215M1,902,636US
294KTOSKratos Defense & Security Solutions, Inc.Equity0.11%$214M4,301,997US
295PRAXPraxis Precision Medicines, Inc. Common StockEquity0.11%$214M639,578US
296RIOTRiot Platforms, Inc. Common StockEquity0.11%$214M7,807,791US
297FTVFortive CorporationEquity0.11%$213M3,494,373US
298AFGAmerican Financial Group, Inc.Equity0.11%$213M1,523,698US
299COLBColumbia Banking Systems IncEquity0.11%$213M6,647,727US
300HALOHalozyme Therapeutics, Inc.Equity0.11%$213M2,721,119US
301GISGeneral Mills, Inc.Equity0.11%$213M6,116,899US
302COMPCompass, Inc.Equity0.11%$211M17,140,347US
303CFRCullen/Frost Bankers Inc.Equity0.11%$211M1,367,388US
304AREAlexandria Real Estate Equities, Inc.Equity0.11%$211M3,993,269US
305BLDRBuilders FirstSource, Inc.Equity0.11%$210M2,342,470US
306PINSPinterest, Inc. Class A Common StockEquity0.11%$209M9,947,399US
307ADCAgree Realty CorporationEquity0.11%$209M2,755,137US
308TKRThe Timken CompanyEquity0.11%$209M1,434,882US
309CNMCore & Main, Inc.Equity0.11%$208M4,316,028US
310ESEESCO Technologies, Inc.Equity0.11%$208M594,346US
311CNHCNH INDUSTRIAL N.V.Equity0.11%$208M18,490,777US
312NWSANews Corporation Class A Common StockEquity0.11%$207M8,351,355US
313CUBECubeSmartEquity0.11%$207M5,194,191US
314ONBOld National BancorpEquity0.11%$206M7,971,017US
315MPMP Materials Corp.Equity0.11%$206M3,675,721US
316ACMAecomEquity0.11%$206M2,946,414US
317MUSAMURPHY USA INC.Equity0.11%$206M381,358US
318GMEDGLOBUS MEDICAL INCEquity0.11%$205M2,597,815US
319ORIOld Republic International CorporationEquity0.11%$205M5,010,090US
320PRIPRIMERICA, INC.Equity0.11%$205M720,253US
321GMEGameStop Corp. Class AEquity0.11%$205M9,264,114US
322HUBSHUBSPOT, INC.Equity0.11%$204M1,115,656US
323MTCHMatch Group, IncEquity0.11%$203M5,344,126US
324NNNNNN REIT, Inc.Equity0.11%$203M4,360,953US
325AAONAaon IncEquity0.11%$203M1,597,259US
326RRCRange Resources CorpEquity0.11%$201M5,405,072US
327ALKSAlkermes Inc. plcEquity0.11%$200M3,823,805US
328NVRNVR, Inc.Equity0.11%$200M29,365US
329DARDARLING INGREDIENTS INC.Equity0.11%$199M3,645,988US
330DOCUDocuSign, Inc. Common StockEquity0.10%$198M4,455,741US
331SSDSimpson Manufacturing Co., Inc.Equity0.10%$198M943,682US
332MGMMGM RESORTS INTERNATIONALEquity0.10%$196M4,108,359US
333ENSEnerSys, Inc.Equity0.10%$196M837,751US
334WALWestern Alliance BancorporationEquity0.10%$196M2,379,650US
335AMGAffiliated Managers GroupEquity0.10%$195M575,609US
336ECGEverus Construction Group, Inc.Equity0.10%$194M1,171,031US
337SNEXStoneX Group Inc. Common StockEquity0.10%$194M1,635,201US
338ALGMAllegro MicroSystems, Inc. Common StockEquity0.10%$193M2,777,063US
339PCVXVaxcyte, Inc. Common StockEquity0.10%$193M3,312,950US
340IDAIDACORP, Inc.Equity0.10%$192M1,271,119US
341FDSFactset Research SystemsEquity0.10%$192M835,442US
342QBTSD-Wave Quantum Inc. Common StockEquity0.10%$192M7,992,784US
343CARTMaplebear Inc. Common StockEquity0.10%$191M4,043,992US
344POWLPowell Industries IncEquity0.10%$191M668,628US
345ZBHZimmer Biomet Holdings, Inc.Equity0.10%$191M2,219,219US
346TSCOTractor Supply CoEquity0.10%$190M6,015,551US
347ITGartner, Inc.Equity0.10%$189M1,458,884US
348RALRalliant CorporationEquity0.10%$189M2,568,065US
349MANHManhattan Associates IncEquity0.10%$189M1,357,344US
350VOYAVOYA FINANCIAL, INC.Equity0.10%$188M2,080,144US
351FRFirst Industrial Realty Trust, Inc.Equity0.10%$186M3,041,210US
352HSICHenry Schein IncEquity0.10%$186M2,231,443US
353FCFSFirstCash Holdings, Inc. Common StockEquity0.10%$185M854,835US
354PLXSPlexus CorpEquity0.10%$185M613,857US
355ZWSZurn Elkay Water Solutions CorporationEquity0.10%$184M3,636,350US
356ATRAptarGroup, Inc.Equity0.10%$183M1,464,114US
357CBSHCommerce Bancshares IncEquity0.10%$183M3,174,021US
358NPOEnpro Inc.Equity0.10%$183M484,688US
359SFMSprouts Farmers Market, Inc.Equity0.10%$182M2,157,522US
360CORTCorcept Therapeutics Inc.Equity0.10%$182M2,093,441US
361ULSUL Solutions Inc.Equity0.10%$182M1,785,032US
362BRBroadridge Financial Solutions IncEquity0.10%$182M1,326,592US
363CRCLCircle Internet Group, Inc.Equity0.10%$182M2,900,275US
364PTGXProtagonist Therapeutics, IncEquity0.10%$181M1,475,422US
365TEXTerex CorporationEquity0.10%$180M2,489,047US
366VNOMViper Energy, Inc. Class A Common StockEquity0.10%$179M4,232,522US
367GKOSGlaukos CorporationEquity0.09%$179M1,280,092US
368CAVACAVA Group, Inc.Equity0.09%$178M2,271,180US
369OKLOOklo Inc.Equity0.09%$178M3,392,862US
370CORZCore Scientific, Inc. Common StockEquity0.09%$177M6,928,048US
371TTDThe Trade Desk, Inc.Equity0.09%$177M9,795,968US
372RHPRyman Hospitality Properties, IncEquity0.09%$177M1,375,385US
373EMNEastman Chemical CompanyEquity0.09%$176M2,623,240US
374RYTMRhythm Pharmaceuticals, Inc. Common StockEquity0.09%$175M1,572,293US
375BMNRBitMine Immersion Technologies, Inc.Equity0.09%$174M13,066,992US
376TGTXTG Therapeutics, Inc.Equity0.09%$174M3,160,785US
377AMAntero Midstream Corporation Common StockEquity0.09%$174M7,627,187US
378REXRREXFORD INDUSTRIAL REALTY, INC.Equity0.09%$173M5,177,613US
379HHyatt Hotels CorporationEquity0.09%$173M894,130US
380JBTMJBT Marel CorporationEquity0.09%$173M1,194,537US
381HXLHexcel CorporationEquity0.09%$173M1,730,388US
382KYMRKymera Therapeutics, Inc. Common StockEquity0.09%$173M1,509,757US
383UHSUniversal Health Services, Inc. Class BEquity0.09%$173M1,161,425US
384AXSAxis Capital Holders LimitedEquity0.09%$173M1,606,649US
385CRUSCirrus Logic IncEquity0.09%$172M1,160,445US
386HRLHormel Foods CorporationEquity0.09%$172M6,944,356US
387KMXCarMax Inc.Equity0.09%$172M3,253,600US
388TTEKTetra Tech IncEquity0.09%$172M5,954,009US
389SAROStandardAero, Inc.Equity0.09%$171M5,720,513US
390FSSFederal Signal Corp.Equity0.09%$171M1,329,554US
391POOLPool CorporationEquity0.09%$171M794,186US
392UGIUGI CorporationEquity0.09%$170M4,914,804US
393QRVOQorvo, Inc.Equity0.09%$169M1,817,175US
394AGCOAGCO CorporationEquity0.09%$169M1,412,037US
395HIMSHims & Hers Health, Inc.Equity0.09%$169M4,861,892US
396BF.BBrown-Forman Corporation Class BEquity0.09%$168M6,314,775US
397NFGNational Fuel Gas Co.Equity0.09%$168M2,178,548US
398AXTAAxalta Coating Systems Ltd.Equity0.09%$168M4,909,588US
399FLRFluor CorporationEquity0.09%$168M3,204,348US
400IDCCInterDigital, Inc.Equity0.09%$168M592,919US
401RGENRepligen CorpEquity0.09%$168M1,229,445US
402AVTAvnet, Inc.Equity0.09%$167M1,881,897US
403HLIHoulihan Lokey, Inc.Equity0.09%$167M1,245,098US
404STAGSTAG INDUSTRIAL, INC.Equity0.09%$167M4,386,598US
405KEXKirby CorporationEquity0.09%$167M1,227,290US
406BAHBooz Allen Hamilton Holding CorporationEquity0.09%$167M2,745,946US
407OMFOneMain Holdings, Inc.Equity0.09%$167M2,732,239US
408KNSLKinsale Capital Group, Inc.Equity0.09%$166M502,633US
409LNTHLantheus Holdings, IncEquity0.09%$166M1,493,665US
410SLABSilicon Laboratories IncEquity0.09%$165M756,620US
411EATBrinker International, Inc.Equity0.09%$165M983,856US
412CRBGCorebridge Financial, Inc.Equity0.09%$165M5,762,312US
413HQYHealthEquity, IncEquity0.09%$165M1,822,161US
414FPSForgent Power Solutions, Inc.Equity0.09%$164M2,940,890US
415JEFJefferies Financial Group Inc.Equity0.09%$164M3,282,982US
416DVADaVita Inc.Equity0.09%$164M736,440US
417ACAArcosa, Inc. Common StockEquity0.09%$164M1,126,437US
418JXNJackson Financial Inc.Equity0.09%$164M1,597,852US
419LUMNLumen Technologies, Inc. Common StockEquity0.09%$163M21,273,223US
420FLUTFlutter Entertainment plcEquity0.09%$163M1,596,368US
421GTESGates Industrial Corporation Ltd.Equity0.09%$163M5,827,728US
422MSGSMadison Square Garden Sports Corp.Equity0.09%$162M403,591US
423MACThe Macerich CompanyEquity0.09%$162M6,437,157US
424WYNNWynn Resorts LtdEquity0.09%$162M1,666,477US
425AOSA.O. Smith CorporationEquity0.09%$161M2,568,221US
426LSTRLandstar System IncEquity0.09%$161M778,346US
427MIDDMiddleby CorpEquity0.09%$161M933,585US
428PBProsperity Bancshares IncEquity0.08%$160M2,196,026US
429HRHealthcare Realty Trust IncorporatedEquity0.08%$160M7,949,986US
430EXPEagle Materials, Inc.Equity0.08%$160M709,942US
431CMCCommercial Metals CompanyEquity0.08%$160M2,544,034US
432STSensata Technologies Holding plcEquity0.08%$159M3,336,492US
433GVAGranite Construction Inc.Equity0.08%$159M1,003,651US
434VLYValley National BancorpEquity0.08%$158M10,794,741US
435TRNOTerreno Realty CorporationEquity0.08%$158M2,438,865US
436AWIArmstrong World Industries, Inc.Equity0.08%$157M978,971US
437OSCROscar Health, Inc.Equity0.08%$157M5,490,151US
438NUVLNuvalent, Inc. Class A Common StockEquity0.08%$156M1,265,753US
439LYBLyondellBasell Industries N.V. Class AEquity0.08%$156M2,961,900US
440ETSYEtsy, Inc.Equity0.08%$156M2,068,241US
441FNBF.N.B. CorpEquity0.08%$156M8,164,922US
442AROCArchrock IncEquity0.08%$155M3,819,668US
443PTCTPTC Therapeutics, Inc.Equity0.08%$155M1,902,975US
444AVTRAvantor, Inc.Equity0.08%$155M15,664,504US
445LNCLincoln National Corp.Equity0.08%$155M4,386,827US
446THGThe Hanover Insurance Group, Inc.Equity0.08%$155M722,314US
447MSAMine Safety IncorporatedEquity0.08%$155M885,657US
448MOSThe Mosaic CompanyEquity0.08%$155M7,291,898US
449LEALear CorporationEquity0.08%$154M1,149,247US
450GBCIGlacier Bancorp IncEquity0.08%$154M2,985,843US
451LKQLKQ CorporationEquity0.08%$154M5,845,285US
452VSHVishay Intertechnology, Inc.Equity0.08%$153M2,844,981US
453NOVNOV Inc.Equity0.08%$153M8,233,261US
454VNOVornado Realty TrustEquity0.08%$153M3,883,886US
455FAFFirst American Financial CorporationEquity0.08%$152M2,220,947US
456VSXYVictorias Secret & Co.Equity0.08%$152M1,822,110US
457LADLithia Motors, Inc.Equity0.08%$152M523,198US
458MRCYMercury Systems Inc.Equity0.08%$152M1,239,792US
459IESCIES Holdings, Inc. Common StockEquity0.08%$151M205,695US
460TEMTempus AI, Inc. Class A Common StockEquity0.08%$151M2,602,554US
461VFCV.F. CorporationEquity0.08%$150M8,988,594US
462EPRTEssential Properties Realty Trust, Inc.Equity0.08%$148M4,960,898US
463CAGConagra Brands, Inc.Equity0.08%$148M10,979,021US
464CHRDChord Energy Corporation Common StockEquity0.08%$148M1,291,535US
465FNDFloor & Decor Holdings, Inc.Equity0.08%$147M2,479,907US
466BRKRBruker CorporationEquity0.08%$147M2,444,714US
467MKCMcCormick & Company, Incorporated Non-VTG CSEquity0.08%$147M2,912,988US
468JHGJanus Henderson Group plc Ordinary SharesEquity0.08%$147M2,826,826US
469RYNRayonier Inc.Equity0.08%$147M6,900,056US
470TMHCTaylor Morrison Home Corporation Common StockEquity0.08%$146M2,035,907US
471ORAOrmat Technologies, Inc.Equity0.08%$146M1,339,215US
472SSNCSS&C Technologies IncEquity0.08%$146M2,347,958US
473UBSIUnited Bankshares IncEquity0.08%$145M3,158,273US
474GATXGATX CorporationEquity0.08%$144M814,920US
475TXNMTXNM Energy, Inc.Equity0.08%$144M2,539,343US
476COGTCogent Biosciences, Inc. Common StockEquity0.08%$144M3,724,033US
477AVAVAeroVironment, Inc.Equity0.08%$144M870,737US
478SMSM Energy CompanyEquity0.08%$144M5,500,094US
479CHEChemed CorporationEquity0.08%$143M307,739US
480FBINFortune Brands Innovations, Inc.Equity0.08%$143M2,600,360US
481MTRNMaterion CorporationEquity0.08%$142M477,240US
482NEUNewMarket CorporationEquity0.08%$142M179,348US
483ENPHEnphase Energy, Inc.Equity0.07%$141M2,872,468US
484TAPMolson Coors Beverage Company Class BEquity0.07%$141M3,619,040US
485RGTIRigetti Computing, Inc. Common StockEquity0.07%$140M7,244,420US
486SWXSouthwest Gas Holdings, Inc.Equity0.07%$140M1,576,766US
487ERIEErie Indemnity CoEquity0.07%$140M582,835US
488TWSTTwist Bioscience Corporation Common StockEquity0.07%$140M1,357,205US
489CWSTCasella Waste Systems IncEquity0.07%$139M1,436,720US
490MIRMMirum Pharmaceuticals, Inc. Common StockEquity0.07%$139M1,189,194US
491HWCHancock Whitney Corporation Common StockEquity0.07%$139M1,859,760US
492AUBAtlantic Union Bankshares CorporationEquity0.07%$139M3,283,561US
493TKOTKO Group Holdings, Inc.Equity0.07%$138M687,950US
494LGNDLigand Pharmaceuticals Inc.Equity0.07%$138M436,817US
495PORPortland General Electric CompanyEquity0.07%$138M2,655,227US
496WHWyndham Hotels & Resorts, Inc. Common StockEquity0.07%$137M1,631,341US
497INGRIngredion IncorporatedEquity0.07%$137M1,446,699US
498MTGMGIC Investment Corp.Equity0.07%$137M4,851,936US
499LULUlululemon athletica inc.Equity0.07%$137M1,198,276US
500CHDNChurchill Downs IncEquity0.07%$136M1,518,844US
501TPGTPG Inc. Class A Common StockEquity0.07%$136M3,353,204US
502MHKMohawk Industries, Inc.Equity0.07%$136M1,118,705US
503LTHLife Time Group Holdings, Inc.Equity0.07%$136M3,319,233US
504ANAutoNation, Inc.Equity0.07%$135M729,235US
505WFRDWeatherford International plc Ordinary SharesEquity0.07%$134M1,650,022US
506CVLTCommault Systems, Inc.Equity0.07%$134M946,364US
507CZRCaesars Entertainment, Inc. Common StockEquity0.07%$134M4,438,808US
508GXOGXO Logistics, Inc.Equity0.07%$134M2,639,584US
509ACLSAxcelis Technologies IncEquity0.07%$134M704,939US
510ALKAlaska Air Group, Inc.Equity0.07%$133M2,556,412US
511SIGISelective Insurance GroupEquity0.07%$133M1,373,590US
512CSGPCoStar Group IncEquity0.07%$133M4,683,646US
513NOVTNovanta Inc. Common StockEquity0.07%$133M817,033US
514STWDSTARWOOD PROPERTY TRUST, INC.Equity0.07%$132M8,081,250US
515ABCBAmeris BancorpEquity0.07%$132M1,466,404US
516PRMBPrimo Brands CorporationEquity0.07%$132M5,410,576US
517KRGKite Realty Group TrustEquity0.07%$132M4,658,059US
518ESABESAB CorporationEquity0.07%$131M1,326,965US
519CROXCrocs, Inc.Equity0.07%$131M1,082,828US
520CHTRCharter Comm Inc Del CL A NewEquity0.07%$130M916,969US
521BKHBlack Hills CorporationEquity0.07%$130M1,746,570US
522LWLamb Weston Holdings, Inc.Equity0.07%$130M3,009,092US
523NJRNew Jersey Resources CorpEquity0.07%$130M2,315,158US
524AAOIApplied Optoelectronics, Inc.Equity0.07%$130M874,426US
525ESNTEssent Group LTDEquity0.07%$129M2,008,560US
526KRMNKarman Holdings Inc.Equity0.07%$129M2,583,702US
527OWLBlue Owl Capital Inc.Equity0.07%$129M14,728,480US
528CELHCelsius Holdings, Inc. Common StockEquity0.07%$129M4,397,639US
529TFXTeleflex IncorporatedEquity0.07%$129M1,015,718US
530MMacy's Inc.Equity0.07%$128M5,446,413US
531UHAL.BU-Haul Holding CompanyEquity0.07%$128M2,220,853US
532SONSonoco Products CompanyEquity0.07%$128M2,268,240US
533MTDRMATADOR RESOURCES COMPANYEquity0.07%$128M2,563,875US
534OZKBank OZKEquity0.07%$127M2,435,409US
535MATXMatsons, Inc.Equity0.07%$127M659,498US
536OUTOUTFRONT Media Inc.Equity0.07%$126M3,837,144US
537BCBrunswick CorporationEquity0.07%$126M1,490,578US
538SIRISirius XM Holdings, IncEquity0.07%$125M4,247,125US
539HOMBHome BancShares, Inc.Equity0.07%$125M4,389,586US
540FTDRFrontdoor, Inc. Common StockEquity0.07%$125M1,611,278US
541RLIRLI Corp.Equity0.07%$125M2,109,359US
542SSentinelOne, Inc.Equity0.07%$125M7,341,286US
543BCPCBalchem CorporationEquity0.07%$125M737,004US
544BIOBio-Rad Laboratories, Inc.Class AEquity0.07%$124M423,193US
545AIRAAR Corp.Equity0.07%$124M866,692US
546GNTXGentex CorpEquity0.07%$123M4,885,492US
547CHYMChime Financial, Inc. Class A Common StockEquity0.07%$123M6,004,548US
548CLFCleveland-Cliffs Inc.Equity0.07%$123M13,086,840US
549CGONCG Oncology, Inc. Common stockEquity0.06%$122M1,720,068US
550YOUClear Secure, Inc.Equity0.06%$122M2,192,787US
551MSMMSC Industrial Direct Co., Inc. Class AEquity0.06%$122M1,024,654US
552MTHMeritage Homes CorporationEquity0.06%$122M1,452,903US
553LYFTLyft, Inc. Class A Common StockEquity0.06%$121M8,274,435US
554AXAxos Financial, Inc. Common StockEquity0.06%$121M1,239,833US
555IBPINSTALLED BUILDING PRODUCTS, INC.Equity0.06%$121M525,344US
556JOBYJoby Aviation, Inc.Equity0.06%$121M13,535,757US
557SXTSensient Technology CorporationEquity0.06%$120M976,567US
558PECOPhillips Edison & Company, Inc. Common StockEquity0.06%$120M2,890,560US
559RITMRithm Capital Corp.Equity0.06%$120M12,810,058US
560UECUranium Energy Corp.Equity0.06%$120M11,243,048US
561TREXTrex Company, Inc.Equity0.06%$119M2,383,529US
562NXSTNexstar Media Group, Inc. Common StockEquity0.06%$119M665,510US
563PSMTPricesmart IncEquity0.06%$118M602,518US
564ROADConstruction Partners, Inc. Class A Common StockEquity0.06%$118M990,699US
565UFPIUFP Industries, Inc. Common StockEquity0.06%$118M1,295,744US
566ZZillow Group, Inc. Class C Capital StockEquity0.06%$117M3,727,349US
567ACIWACI Worldwide, Inc.Equity0.06%$117M2,332,477US
568PRIMPrimoris Services CorporationEquity0.06%$117M1,182,499US
569PAYCPAYCOM SOFTWARE, INC.Equity0.06%$117M927,511US
570VSNTVersant Media Group, Inc. Class A Common StockEquity0.06%$117M3,237,004US
571SITESiteOne Landscape Supply, Inc.Equity0.06%$116M1,016,494US
572LLYVKLiberty Live Holdings, Inc. Series C Liberty Live Group Common StockEquity0.06%$116M1,098,699US
573CECelanese Corporation Common StockEquity0.06%$116M2,515,371US
574VVVValvoline Inc.Equity0.06%$116M2,925,927US
575MARAMARA Holdings, Inc. Common StockEquity0.06%$115M8,309,976US
576ESTCElastic N.V.Equity0.06%$115M2,018,224US
577HASIHA Sustainable Infrastructure Capital, Inc.Equity0.06%$115M2,946,522US
578RDNRadian Group Inc.Equity0.06%$115M3,051,193US
579INDVIndivior Pharmaceuticals, Inc. Common StockEquity0.06%$115M2,797,172US
580BOOTBoot Barn Holdings, Inc.Equity0.06%$114M696,217US
581GLXYGalaxy Digital Inc. Class A Common StockEquity0.06%$114M4,173,504US
582WSCWillScot Holdings Corporation Class A Common StockEquity0.06%$114M3,944,784US
583LPXLouisiana-Pacific Corp.Equity0.06%$113M1,442,431US
584CUZCousins Properties Inc.Equity0.06%$113M3,775,358US
585IRDMIridium Communications Inc.Equity0.06%$113M2,061,767US
586VIRTVirtu Financial, Inc. Class AEquity0.06%$113M1,896,628US
587SBRASabra Healthcare REIT, Inc.Equity0.06%$113M5,786,194US
588RIGTransocean LTD.Equity0.06%$113M23,057,232US
589LGNLegence Corp. Class A Common stockEquity0.06%$113M1,322,602US
590PCORProcore Technologies, Inc.Equity0.06%$112M2,769,400US
591PIPRPiper Sandler CompaniesEquity0.06%$112M1,548,328US
592WTMWhite Mountains Insurance Group Ltd.Equity0.06%$112M53,965US
593MCMOELIS & COMPANYEquity0.06%$112M1,706,260US
594MTNVail Resorts, Inc.Equity0.06%$111M817,540US
595QLYSQualys, Inc. Common StockEquity0.06%$111M807,964US
596OGSONE GAS, INC.Equity0.06%$111M1,440,205US
597SKYChampion Homes, Inc.Equity0.06%$111M1,259,353US
598FIGFigma, Inc.Equity0.06%$111M6,134,501US
599HRBH&R Block, Inc.Equity0.06%$111M2,907,976US
600SHCSotera Health Company Common StockEquity0.06%$110M6,215,762US
601BSYBentley Systems IncEquity0.06%$110M3,688,108US
602HRIHerc Holdings IncEquity0.06%$110M766,108US
603DIODDiodes IncEquity0.06%$110M1,001,262US
604NENoble Corp PLCEquity0.06%$109M2,927,886US
605SAICScience Applications International CorpEquity0.06%$109M988,926US
606KNFKnife River CorpEquity0.06%$109M1,302,055US
607MGYMagnolia Oil & Gas CorpEquity0.06%$109M4,242,492US
608WINGWingstop IncEquity0.06%$108M624,738US
609CBTCabot CorpEquity0.06%$108M1,184,225US
610VCYTVeracyte IncEquity0.06%$108M1,830,642US
611LAZLazard IncEquity0.06%$107M2,562,455US
612ACIAlbertsons Cos IncEquity0.06%$107M7,941,886US
613SNAPSnap IncEquity0.06%$107M24,140,862US
614BDCBelden IncEquity0.06%$107M893,519US
615POWIPower Integrations IncEquity0.06%$107M1,278,352US
616OLLIOllie's Bargain Outlet Holdings IncEquity0.06%$107M1,391,729US
617BBWIBath & Body Works IncEquity0.06%$107M4,625,434US
618GGenpact LtdEquity0.06%$107M3,888,847US
619ZETAZeta Global Holdings CorpEquity0.06%$107M5,432,497US
620SLMSLM CorpEquity0.06%$107M4,110,733US
621WEXWEX IncEquity0.06%$107M755,637US
622CPBCampbell's Company/TheEquity0.06%$106M4,780,423US
623MRPMillrose Properties IncEquity0.06%$106M3,538,468US
624EBCEastern Bankshares IncEquity0.06%$106M4,770,180US
625FULTFulton Financial CorpEquity0.06%$106M4,385,341US
626KTBKontoor Brands IncEquity0.06%$106M1,268,249US
627BYDBoyd Gaming CorpEquity0.06%$105M1,193,227US
628VRNSVaronis Systems IncEquity0.06%$105M2,503,587US
629CNXCNX Resources CorpEquity0.06%$105M3,083,255US
630SYNASynaptics IncEquity0.06%$105M842,044US
631RXORXO IncEquity0.06%$104M3,783,643US
632CSWCSW Industrials IncEquity0.06%$104M374,405US
633TNLTravel + Leisure CoEquity0.06%$104M1,360,177US
634CNOCNO Financial Group IncEquity0.05%$104M2,034,725US
635TCBITexas Capital Bancshares IncEquity0.05%$103M1,001,905US
636SFBSServisFirst Bancshares IncEquity0.05%$103M1,191,601US
637SPHRSphere Entertainment CoEquity0.05%$103M597,260US
638LMNDLemonade IncEquity0.05%$103M1,586,188US
639FCNFTI Consulting IncEquity0.05%$103M691,570US
640COLDAmericold Realty Trust IncEquity0.05%$103M6,546,118US
641PCTYPaylocity Holding CorpEquity0.05%$103M983,001US
642CRCCalifornia Resources CorpEquity0.05%$102M1,935,419US
643PATHUiPath IncEquity0.05%$102M9,412,316US
644RUSHARush Enterprises IncEquity0.05%$102M1,398,403US
645EPREPR PropertiesEquity0.05%$102M1,755,366US
646GAPGap Inc/TheEquity0.05%$102M5,447,805US
647MURMurphy Oil CorpEquity0.05%$102M3,124,432US
648MDUMDU Resources Group IncEquity0.05%$102M4,795,414US
649ALHCAlignment Healthcare IncEquity0.05%$102M4,268,708US
650AZZAZZ IncEquity0.05%$101M654,143US
651XMTRXometry IncEquity0.05%$101M1,048,535US
652NWENorthwestern Energy Group IncEquity0.05%$101M1,411,371US
653RYANRyan Specialty Holdings IncEquity0.05%$101M2,673,862US
654DUOLDuolingo IncEquity0.05%$101M876,921US
655VECOVeeco Instruments IncEquity0.05%$101M1,330,244US
656TTANServiceTitan IncEquity0.05%$101M1,423,693US
657SRSpire IncEquity0.05%$101M1,288,664US
658KBRKBR IncEquity0.05%$100M2,908,995US
659OPLNOPENLANE IncEquity0.05%$100M2,430,769US
660RDNTRadNet IncEquity0.05%$100M1,623,822US
661KRCKilroy Realty CorpEquity0.05%$100M2,668,240US
662GTLBGitlab IncEquity0.05%$100M3,272,283US
663CHWYChewy IncEquity0.05%$100M5,069,719US
664ASBAssociated Banc-CorpEquity0.05%$100M3,236,032US
665SXIStandex International CorpEquity0.05%$99M277,962US
666BMIBadger Meter IncEquity0.05%$99M669,606US
667LAURLaureate Education IncEquity0.05%$99M2,729,437US
668PBFPBF Energy IncEquity0.05%$99M2,171,371US
669SKTTanger IncEquity0.05%$99M2,503,800US
670VKTXViking Therapeutics IncEquity0.05%$99M2,528,235US
671NVSTEnvista Holdings CorpEquity0.05%$98M3,733,859US
672HCCWarrior Met Coal IncEquity0.05%$98M1,211,304US
673LIFLife360 IncEquity0.05%$98M1,765,955US
674TXG10X Genomics IncEquity0.05%$98M2,548,523US
675IBOCInternational Bancshares CorpEquity0.05%$98M1,284,229US
676GFFGriffon CorpEquity0.05%$97M999,628US
677URBNUrban Outfitters IncEquity0.05%$97M1,374,660US
678REZIResideo Technologies IncEquity0.05%$97M3,126,599US
679FFINFirst Financial Bankshares IncEquity0.05%$97M2,795,097US
680UCBUnited Community Banks Inc/GAEquity0.05%$96M2,746,742US
681GSATGlobalstar IncEquity0.05%$96M1,181,823US
682ELFelf Beauty IncEquity0.05%$96M1,295,764US
683SLGNSilgan Holdings IncEquity0.05%$96M2,062,102US
684MIRMirion Technologies IncEquity0.05%$96M5,332,549US
685ATMUAtmus Filtration Technologies IncEquity0.05%$96M1,873,805US
686BFHBread Financial Holdings IncEquity0.05%$95M880,268US
687PIImpinj IncEquity0.05%$95M663,862US
688CWENClearway Energy IncEquity0.05%$95M2,779,652US
689PLNTPlanet Fitness IncEquity0.05%$95M1,815,059US
690CDPCOPT Defense PropertiesEquity0.05%$95M2,602,089US
691VNTVontier CorpEquity0.05%$94M3,230,471US
692LBRTLiberty Energy IncEquity0.05%$93M3,556,719US
693TENBTenable Holdings IncEquity0.05%$93M2,525,513US
694INDBIndependent Bank CorpEquity0.05%$93M1,109,147US
695FLGFlagstar Bank NA/MichiganEquity0.05%$93M6,210,776US
696OIIOceaneering International IncEquity0.05%$93M2,289,398US
697MWAMueller Water Products IncEquity0.05%$93M3,590,753US
698MATMattel IncEquity0.05%$93M6,669,467US
699FBPFirst BanCorp/Puerto RicoEquity0.05%$93M3,549,245US
700CVSACovista IncEquity0.05%$92M741,666US
701FELEFranklin Electric Co IncEquity0.05%$92M861,894US
702ANFAbercrombie & Fitch CoEquity0.05%$92M1,026,355US
703VALValaris LtdEquity0.05%$92M1,271,017US
704RELYRemitly Global IncEquity0.05%$92M4,106,198US
705FHIFederated Hermes IncEquity0.05%$91M1,654,274US
706BNLBroadstone Net Lease IncEquity0.05%$91M4,400,029US
707BGCBGC Group IncEquity0.05%$91M8,479,566US
708CATYCathay General BancorpEquity0.05%$91M1,461,622US
709CRNXCrinetics Pharmaceuticals IncEquity0.05%$91M2,419,393US
710LBRDKLiberty Broadband CorpEquity0.05%$90M2,718,282US
711SKYWSkyWest IncEquity0.05%$90M909,898US
712EPAMEPAM Systems IncEquity0.05%$90M1,138,784US
713IRTIndependence Realty Trust IncEquity0.05%$90M5,409,912US
714RNSTRenasant CorpEquity0.05%$90M2,117,776US
715MMSIMerit Medical Systems IncEquity0.05%$90M1,299,239US
716DBXDropbox IncEquity0.05%$90M3,262,684US
717APGEApogee Therapeutics IncEquity0.05%$89M673,950US
718MYRGMYR Group IncEquity0.05%$89M178,620US
719BCOBrink's Co/TheEquity0.05%$89M944,855US
720HNGENew Issuer: BB Company ID:54419104Equity0.05%$88M1,065,901US
721OLEDUniversal Display CorpEquity0.05%$88M1,018,986US
722IRTCIRhythm Holdings IncEquity0.05%$88M741,498US
723UNFUniFirst Corp/MAEquity0.05%$88M333,403US
724ITRIItron IncEquity0.05%$88M1,017,334US
725CNRCONSOL Energy IncEquity0.05%$88M1,098,646US
726ADTADT IncEquity0.05%$88M13,520,216US
727MKTXMarketAxess Holdings IncEquity0.05%$88M773,354US
728LOPEGrand Canyon Education IncEquity0.05%$87M608,555US
729WSFSWSFS Financial CorpEquity0.05%$87M1,134,992US
730BRCBrady CorpEquity0.05%$87M950,207US
731CVBFCVB Financial CorpEquity0.05%$87M3,847,881US
732PLUGPlug Power IncEquity0.05%$87M32,014,597US
733OTTROtter Tail CorpEquity0.05%$87M963,651US
734LOARLoar Holdings IncEquity0.05%$87M1,074,015US
735WMGWarner Music Group CorpEquity0.05%$86M3,187,466US
736THOThor Industries IncEquity0.05%$86M1,146,999US
737WSBCWesBanco IncEquity0.05%$86M2,207,723US
738YETIYETI Holdings IncEquity0.05%$86M1,737,896US
739EXLSExlService Holdings IncEquity0.05%$86M3,330,129US
740PSKYParamount Skydance CorpEquity0.05%$86M8,733,452US
741AAPAdvance Auto Parts IncEquity0.05%$86M1,383,439US
742GEOGEO Group Inc/TheEquity0.05%$86M2,912,284US
743ABGAsbury Automotive Group IncEquity0.05%$86M426,732US
744KGSKodiak Gas Services IncEquity0.05%$86M1,139,385US
745BFAMBright Horizons Family Solutions IncEquity0.05%$85M1,205,649US
746KBHKB HomeEquity0.05%$85M1,364,886US
747KAIKadant IncEquity0.05%$85M270,941US
748PJTPJT Partners IncEquity0.05%$85M562,801US
749PIIPolaris IncEquity0.04%$85M1,239,874US
750SLGSL Green Realty CorpEquity0.04%$84M1,632,065US
751NSITInsight Enterprises IncEquity0.04%$84M691,910US
752DORMDorman Products IncEquity0.04%$84M617,408US
753ICUIICU Medical IncEquity0.04%$84M573,522US
754APPFAppfolio IncEquity0.04%$84M523,988US
755BKDBrookdale Senior Living IncEquity0.04%$84M5,208,274US
756BHFBrighthouse Financial IncEquity0.04%$83M1,316,099US
757GHCGraham Holdings CoEquity0.04%$83M72,781US
758AMBAAmbarella IncEquity0.04%$82M956,766US
759APLEApple Hospitality REIT IncEquity0.04%$82M4,872,755US
760FHBFirst Hawaiian IncEquity0.04%$82M2,792,524US
761HAYWHayward Holdings IncEquity0.04%$82M4,723,305US
762OPENOpendoor Technologies IncEquity0.04%$82M17,683,894US
763WHDCactus IncEquity0.04%$82M1,593,365US
764CAKECheesecake Factory Inc/TheEquity0.04%$82M1,025,739US
765OGNOrganon & CoEquity0.04%$82M6,024,699US
766BEAMBeam Therapeutics IncEquity0.04%$81M2,361,140US
767CBUCommunity Financial System IncEquity0.04%$81M1,206,557US
768BKUBankUnited IncEquity0.04%$81M1,666,875US
769NHINational Health Investors IncEquity0.04%$81M1,057,147US
770QSQuantumScape CorpEquity0.04%$80M10,614,763US
771ACMRACM Research IncEquity0.04%$80M631,605US
772BOXBox IncEquity0.04%$80M3,019,562US
773PTENPatterson-UTI Energy IncEquity0.04%$80M8,709,785US
774LRNStride IncEquity0.04%$80M926,767US
775DNLIDenali Therapeutics IncEquity0.04%$80M3,097,183US
776SMRNuScale Power CorpEquity0.04%$80M7,939,071US
777SYRESpyre Therapeutics IncEquity0.04%$80M896,559US
778KFYKorn FerryEquity0.04%$79M1,190,731US
779ADEAAdeia IncEquity0.04%$79M2,403,848US
780GNWGenworth Financial IncEquity0.04%$79M8,354,917US
781CONConcentra Group Holdings Parent IncEquity0.04%$79M2,643,860US
782OSISOSI Systems IncEquity0.04%$79M359,266US
783PVHPVH CorpEquity0.04%$79M1,057,513US
784RRRRed Rock Resorts IncEquity0.04%$78M1,205,757US
785SIGSignet Jewelers LtdEquity0.04%$78M909,768US
786DRSLeonardo DRS IncEquity0.04%$78M1,836,203US
787HAEHaemonetics CorpEquity0.04%$78M1,041,356US
788POSTPost Holdings IncEquity0.04%$78M882,811US
789AVNTAvient CorpEquity0.04%$78M2,105,265US
790AVAAvista CorpEquity0.04%$78M1,897,188US
791AGOAssured Guaranty LtdEquity0.04%$77M965,877US
792NWSNews CorpEquity0.04%$77M2,758,677US
793FFBCFirst Financial BancorpEquity0.04%$77M2,286,846US
794KNKnowles CorpEquity0.04%$77M1,863,190US
795BHEBenchmark Electronics IncEquity0.04%$77M781,437US
796TDSTelephone and Data Systems IncEquity0.04%$77M2,074,269US
797STEPStepStone Group IncEquity0.04%$77M1,851,760US
798CNKCinemark Holdings IncEquity0.04%$77M2,411,916US
799HIWHighwoods Properties IncEquity0.04%$76M2,531,572US
800CALMCal-Maine Foods IncEquity0.04%$76M945,856US
801HGVHilton Grand Vacations IncEquity0.04%$76M1,451,067US
802OPCHOption Care Health IncEquity0.04%$76M3,604,513US
803GPIGroup 1 Automotive IncEquity0.04%$76M259,475US
804SFNCSimmons First National CorpEquity0.04%$75M3,330,418US
805WDFCWD-40 CoEquity0.04%$75M308,898US
806NSANational Storage Affiliates TrustEquity0.04%$75M1,683,184US
807ACADACADIA Pharmaceuticals IncEquity0.04%$75M2,949,287US
808BILLBILL Holdings IncEquity0.04%$74M2,053,564US
809AWRAmerican States Water CoEquity0.04%$74M898,665US
810BOHBank of Hawaii CorpEquity0.04%$74M909,721US
811VSECVSE CorpEquity0.04%$74M322,037US
812NATLNCR Atleos CorpEquity0.04%$74M1,694,189US
813IBRXImmunityBio IncEquity0.04%$74M8,399,273US
814MAIRMadison Air Solutions CorpEquity0.04%$73M1,884,318US
815ARCBArcBest CorpEquity0.04%$73M511,156US
816CENXCentury Aluminum CoEquity0.04%$73M1,589,445US
817TOWNTowne Bank/Portsmouth VAEquity0.04%$73M2,015,313US
818FIBKFirst Interstate BancSystem IncEquity0.04%$73M1,893,660US
819FULHB Fuller CoEquity0.04%$73M1,250,625US
820DLBDolby Laboratories IncEquity0.04%$73M1,384,564US
821MIAXMiami International Holdings IncEquity0.04%$73M1,958,309US
822ITGRInteger Holdings CorpEquity0.04%$73M778,146US
823IMVTImmunovant IncEquity0.04%$73M1,881,798US
824VACMarriott Vacations Worldwide CorpEquity0.04%$72M709,704US
825GPKGraphic Packaging Holding CoEquity0.04%$72M6,793,283US
826RAREUltragenyx Pharmaceutical IncEquity0.04%$72M2,144,802US
827GOLFAcushnet Holdings CorpEquity0.04%$72M603,818US
828LIONLionsgate Studios CorpEquity0.04%$71M4,662,921US
829MSGEMadison Square Garden Entertainment CorpEquity0.04%$71M880,332US
830CWKCushman & Wakefield LtdEquity0.04%$71M5,317,913US
831HLNEHamilton Lane IncEquity0.04%$71M900,290US
832TDCTeradata CorpEquity0.04%$71M2,047,898US
833CCChemours Co/TheEquity0.04%$71M3,452,149US
834WRBYWarby Parker IncEquity0.04%$71M2,331,236US
835FIGRFigure Technology Solutions IncEquity0.04%$71M2,303,073US
836MGEEMGE Energy IncEquity0.04%$71M866,890US
837SHOOSteven Madden LtdEquity0.04%$71M1,677,804US
838ACHRArcher Aviation IncEquity0.04%$70M14,814,478US
839ASOAcademy Sports & Outdoors IncEquity0.04%$70M1,480,939US
840AMRXAmneal Pharmaceuticals IncEquity0.04%$70M4,029,125US
841KALUKaiser Aluminum CorpEquity0.04%$70M356,434US
842RUNSunrun IncEquity0.04%$70M5,202,976US
843AMTMAmentum Holdings IncEquity0.04%$70M3,363,425US
844LXPLXP Industrial TrustEquity0.04%$69M1,285,995US
845ASHAshland IncEquity0.04%$69M1,051,330US
846IPGPIPG Photonics CorpEquity0.04%$69M584,701US
847PRKPark National CorpEquity0.04%$68M374,149US
848RHIRobert Half IncEquity0.04%$68M2,229,893US
849VGNTVersigent PLCEquity0.04%$68M1,627,584US
850MGRCMcGrath RentCorpEquity0.04%$68M562,861US
851SMGScotts Miracle-Gro Co/TheEquity0.04%$68M998,782US
852MORNMorningstar IncEquity0.04%$68M435,370US
853NTCTNetScout Systems IncEquity0.04%$68M1,556,712US
854DKDelek US Holdings IncEquity0.04%$68M1,334,202US
855MCYMercury General CorpEquity0.04%$68M634,565US
856LINELineage IncEquity0.04%$68M1,564,024US
857HLIOHelios Technologies IncEquity0.04%$68M757,119US
858DANDana IncEquity0.04%$68M2,480,722US
859HPHelmerich & Payne IncEquity0.04%$67M2,060,982US
860PAGPenske Automotive Group IncEquity0.04%$67M376,630US
861PFSProvident Financial Services IncEquity0.04%$67M2,842,817US
862RSIRush Street Interactive IncEquity0.04%$67M2,259,647US
863ROGRogers CorpEquity0.04%$67M409,170US
864PRVAPrivia Health Group IncEquity0.04%$67M2,599,416US
865CWTCalifornia Water Service GroupEquity0.04%$67M1,372,578US
866FRPTFreshpet IncEquity0.04%$67M1,128,583US
867HNIHNI CorpEquity0.04%$67M1,647,281US
868PHINPhinia IncEquity0.04%$67M807,642US
869CURBCurbline Properties CorpEquity0.04%$66M2,181,255US
870UEUrban Edge PropertiesEquity0.04%$66M2,893,989US
871RNGRingCentral IncEquity0.04%$66M1,698,638US
872DBRGDigitalBridge Group IncEquity0.04%$66M4,185,911US
873UPSTUpstart Holdings IncEquity0.03%$66M1,863,062US
874CCCCCC Intelligent Solutions Holdings IncEquity0.03%$66M12,775,369US
875QTWOQ2 Holdings IncEquity0.03%$66M1,365,916US
876PENNPenn Entertainment IncEquity0.03%$66M3,073,505US
877PPLIPeople IncEquity0.03%$65M1,417,949US
878CXWCoreCivic IncEquity0.03%$65M2,151,134US
879EXPOExponent IncEquity0.03%$65M1,109,114US
880ALGTAllegiant Travel CoEquity0.03%$65M553,748US
881WAFDWaFd IncEquity0.03%$65M1,692,542US
882MMSMaximus IncEquity0.03%$65M1,206,393US
883TDWTidewater IncEquity0.03%$65M970,669US
884BTUPeabody Energy CorpEquity0.03%$65M2,796,607US
885PSNParsons CorpEquity0.03%$64M1,225,123US
886AKRAcadia Realty TrustEquity0.03%$64M3,065,979US
887UNITUniti Group IncEquity0.03%$64M5,575,782US
888IVTInvenTrust Properties CorpEquity0.03%$63M1,789,956US
889CHHChoice Hotels International IncEquity0.03%$63M574,594US
890CRGYCrescent Energy CoEquity0.03%$63M6,444,820US
891PEGAPegasystems IncEquity0.03%$63M2,108,747US
892TRNTrinity Industries IncEquity0.03%$63M1,825,924US
893DOCSDoximity IncEquity0.03%$63M3,031,092US
894BLLNBilliontoone IncEquity0.03%$63M522,864US
895BCCBoise Cascade CoEquity0.03%$63M806,500US
896PKPark Hotels & Resorts IncEquity0.03%$63M4,386,425US
897BXMTBlackstone Mortgage Trust IncEquity0.03%$62M3,680,313US
898FOURShift4 Payments IncEquity0.03%$62M1,270,419US
899KMTKennametal IncEquity0.03%$61M1,750,275US
900KNTKKinetik Holdings IncEquity0.03%$61M1,264,525US
901CACCCredit Acceptance CorpEquity0.03%$61M95,889US
902KNSAKiniksa Pharmaceuticals International PlcEquity0.03%$61M954,719US
903VCVisteon CorpEquity0.03%$61M610,962US
904UNFIUnited Natural Foods IncEquity0.03%$61M1,325,234US
905NHCNational HealthCare CorpEquity0.03%$61M286,336US
906FRMEFirst Merchants CorpEquity0.03%$60M1,375,470US
907CARAvis Budget Group IncEquity0.03%$60M405,201US
908NWLNewell Brands IncEquity0.03%$60M9,739,509US
909WERNWerner Enterprises IncEquity0.03%$60M1,370,939US
910CTRICenturi Holdings IncEquity0.03%$59M1,966,543US
911NGVTIngevity CorpEquity0.03%$59M795,806US
912AEOAmerican Eagle Outfitters IncEquity0.03%$59M3,454,357US
913ABMABM Industries IncEquity0.03%$59M1,341,961US
914SOUNSoundHound AI IncEquity0.03%$59M9,174,018US
915FSLYFastly IncEquity0.03%$59M3,227,842US
916MGNIMagnite IncEquity0.03%$59M3,116,881US
917ACHCAcadia Healthcare Co IncEquity0.03%$59M2,002,253US
918HOGHarley-Davidson IncEquity0.03%$59M2,412,140US
919ATKRAtkore IncEquity0.03%$59M775,446US
920TRMKTrustmark CorpEquity0.03%$59M1,279,022US
921SUPNSupernus Pharmaceuticals IncEquity0.03%$59M1,263,284US
922KDKyndryl Holdings IncEquity0.03%$59M5,178,744US
923WHRWhirlpool CorpEquity0.03%$59M1,484,664US
924BBTBeacon Financial CorpEquity0.03%$58M1,917,423US
925SPNTSiriusPoint LtdEquity0.03%$58M2,424,070US
926BOKFBOK Financial CorpEquity0.03%$58M417,669US
927JOESt Joe Co/TheEquity0.03%$58M920,732US
928EEFTEuronet Worldwide IncEquity0.03%$58M786,139US
929CXTCrane NXT CoEquity0.03%$57M1,120,478US
930DRHDiamondRock Hospitality CoEquity0.03%$57M4,697,194US
931RHRHEquity0.03%$57M346,498US
932PFSIPennyMac Financial Services IncEquity0.03%$57M654,413US
933PTONPeloton Interactive IncEquity0.03%$56M9,556,784US
934CARGCargurus IncEquity0.03%$56M1,653,945US
935NBTBNBT Bancorp IncEquity0.03%$56M1,135,285US
936LCIILCI IndustriesEquity0.03%$56M528,613US
937FRSHFreshworks IncEquity0.03%$56M5,500,363US
938BANFBancFirst CorpEquity0.03%$56M500,366US
939WKWorkiva IncEquity0.03%$55M1,143,332US
940FLYFirefly Aerospace IncEquity0.03%$55M1,886,227US
941WUWestern Union Co/TheEquity0.03%$55M7,158,175US
942HUBGHub Group IncEquity0.03%$55M1,249,192US
943CALYCallaway Golf CoEquity0.03%$54M2,883,496US
944DNOWDNOW IncEquity0.03%$54M4,176,978US
945WAYWaystar Holding CorpEquity0.03%$54M2,636,973US
946CVCOCavco Industries IncEquity0.03%$54M88,079US
947WLKWestlake CorpEquity0.03%$54M732,914US
948APAMArtisan Partners Asset Management IncEquity0.03%$53M1,549,302US
949WTWisdomTree IncEquity0.03%$53M3,149,597US
950LEVILevi Strauss & CoEquity0.03%$53M2,137,254US
951NTLAIntellia Therapeutics IncEquity0.03%$53M3,106,242US
952MTXMinerals Technologies IncEquity0.03%$53M710,420US
953LFSTLifeStance Health Group IncEquity0.03%$52M4,887,606US
954QNTQuantinuum IncEquity0.03%$52M639,816US
955HTFLHeartFlow IncEquity0.03%$52M1,781,440US
956CAICaris Life Sciences IncEquity0.03%$52M2,921,307US
957HAPNHappen IncEquity0.03%$52M2,508,214US
958OLNOlin CorpEquity0.03%$52M2,616,280US
959AXTIAXT IncEquity0.03%$51M713,698US
960PBHPrestige Consumer Healthcare IncEquity0.03%$51M1,085,728US
961HEHawaiian Electric Industries IncEquity0.03%$51M3,757,857US
962NWBINorthwest Bancshares IncEquity0.03%$51M3,352,673US
963MPTMedical Properties Trust IncEquity0.03%$51M10,994,230US
964ANDEAndersons Inc/TheEquity0.03%$51M741,211US
965KWRQuaker Chemical CorpEquity0.03%$51M318,358US
966AGIOAgios Pharmaceuticals IncEquity0.03%$51M1,362,732US
967ALRMAlarm.com Holdings IncEquity0.03%$50M1,076,347US
968MZTIMarzetti Company/TheEquity0.03%$50M439,878US
969TMDXTransMedics Group IncEquity0.03%$50M752,168US
970ARRARMOUR Residential REIT IncEquity0.03%$50M2,839,976US
971CNSCohen & Steers IncEquity0.03%$49M647,804US
972RAMPLiveRamp Holdings IncEquity0.03%$49M1,309,653US
973SHAKShake Shack IncEquity0.03%$49M877,914US
974CPRICapri Holdings LtdEquity0.03%$49M2,646,478US
975BANRBanner CorpEquity0.03%$49M739,573US
976CALXCalix IncEquity0.03%$49M1,315,270US
977SHOSunstone Hotel Investors IncEquity0.03%$49M4,281,034US
978PBIPitney Bowes IncEquity0.03%$49M2,793,633US
979HHHHoward Hughes Holdings IncEquity0.03%$49M683,611US
980XRAYDENTSPLY SIRONA IncEquity0.03%$49M4,590,207US
981NMRKNewmark Group IncEquity0.03%$49M3,222,737US
982AINAlbany International CorpEquity0.03%$48M650,776US
983VCTRVictory Capital Holdings IncEquity0.03%$48M573,004US
984FWONALiberty Media Corp-Liberty Formula OneEquity0.03%$48M548,438US
985PEBPebblebrook Hotel TrustEquity0.03%$48M2,467,782US
986HMNHorace Mann Educators CorpEquity0.03%$48M925,432US
987MDPediatrix Medical Group IncEquity0.03%$48M1,881,693US
988OFGOFG BancorpEquity0.03%$48M968,408US
989JANJanus Living IncEquity0.03%$47M1,651,855US
990ASTHAstrana Health IncEquity0.03%$47M1,021,229US
991NWNNorthwest Natural Holding CoEquity0.03%$47M963,995US
992USARUSA Rare Earth IncEquity0.02%$47M2,172,935US
993ONDSOndas IncEquity0.02%$47M5,680,835US
994STUBStubhub Holdings IncEquity0.02%$47M3,621,255US
995PGNYProgyny IncEquity0.02%$47M1,615,571US
996KVYOKlaviyo IncEquity0.02%$46M3,066,841US
997GTYGetty Realty CorpEquity0.02%$46M1,385,548US
998FRVOFervo Energy CoEquity0.02%$46M1,579,147US
999EXTRExtreme Networks IncEquity0.02%$46M1,423,209US
1000IOSPInnospec IncEquity0.02%$46M564,509US

The 1,000 largest of 1,317 positions; the CSV has all of them. Find which other funds hold a stock by opening it and choosing "ETFs holding".

Position changes between reports

ActionHoldingWeight beforeWeight afterShares vs flowsBetween reports
ExitCIENCiena Corp0.38%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitLITELumentum Holdings Inc0.35%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitFIXComfort Systems USA Inc0.34%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitCOHRCoherent Corp0.31%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitRKLBRocket Lab Corp0.26%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitBEBloom Energy Corp0.25%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitHOLXHologic Inc0.24%——Mar 31, 2026 → Jun 30, 2026 SEC
New positionFDXFFedex Freight Holding Co Inc—0.20%—Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseASTSAST SpaceMobile Inc0.30%0.15%−45.4%Mar 31, 2026 → Jun 30, 2026 SEC
New positionIPInternational Paper Co—0.12%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionLNTAlliant Energy Corp—0.12%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseESSEssex Property Trust Inc0.11%0.23%+99.3%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseINVHInvitation Homes Inc0.10%0.22%+105.1%Mar 31, 2026 → Jun 30, 2026 SEC
New positionIFFInternational Flavors & Fragrances Inc—0.12%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionFTVFortive Corp—0.11%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionGISGeneral Mills Inc—0.11%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseHUTHut 8 Corp0.03%0.14%+102.8%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseCDWCDW Corp/DE0.11%0.22%+98.0%Mar 31, 2026 → Jun 30, 2026 SEC
New positionNVRNVR Inc—0.11%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseEVRGEvergy Inc0.13%0.23%+99.9%Mar 31, 2026 → Jun 30, 2026 SEC
New positionZBHZimmer Biomet Holdings Inc—0.10%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionTSCOTractor Supply Co—0.10%—Mar 31, 2026 → Jun 30, 2026 SEC
ExitCWANClearwater Analytics Holdings Inc0.10%——Mar 31, 2026 → Jun 30, 2026 SEC
New positionBRBroadridge Financial Solutions Inc—0.10%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseGPCGenuine Parts Co0.10%0.20%+99.8%Mar 31, 2026 → Jun 30, 2026 SEC
ExitACLXArcellx Inc0.09%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitALAir Lease Corp0.09%——Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseAMKRAmkor Technology Inc0.08%0.17%+30.3%Mar 31, 2026 → Jun 30, 2026 SEC
ExitSEESealed Air Corp0.09%——Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseWYWeyerhaeuser Co0.12%0.21%+100.0%Mar 31, 2026 → Jun 30, 2026 SEC
New positionFLUTFlutter Entertainment PLC—0.09%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseAGXArgan Inc0.05%0.13%+101.0%Mar 31, 2026 → Jun 30, 2026 SEC
New positionMKCMcCormick & Co Inc/MD—0.08%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionSSNCSS&C Technologies Holdings Inc—0.08%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionLULULululemon Athletica Inc—0.07%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionCSGPCoStar Group Inc—0.07%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionCHTRCharter Communications Inc—0.07%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionAAOIApplied Optoelectronics Inc—0.07%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseVICRVicor Corp0.05%0.12%+10.2%Mar 31, 2026 → Jun 30, 2026 SEC
IncreasePOWLPowell Industries Inc0.04%0.10%+99.9%Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseNYTNew York Times Co/The0.18%0.12%−10.8%Mar 31, 2026 → Jun 30, 2026 SEC
ExitFOLDAmicus Therapeutics Inc0.06%——Mar 31, 2026 → Jun 30, 2026 SEC
ExitAPLSApellis Pharmaceuticals Inc0.06%——Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseGDDYGoDaddy Inc0.08%0.14%+98.5%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseBTSGBrightSpring Health Services Inc0.09%0.14%+14.1%Mar 31, 2026 → Jun 30, 2026 SEC
ExitTPHTri Pointe Homes Inc0.05%——Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseFPSForgent Power Solutions Inc0.03%0.09%+51.0%Mar 31, 2026 → Jun 30, 2026 SEC
IncreasePRAXPraxis Precision Medicines Inc0.06%0.11%+100.2%Mar 31, 2026 → Jun 30, 2026 SEC
New positionAPGEApogee Therapeutics Inc—0.05%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionMYRGMYR Group Inc—0.05%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseWULFTerawulf Inc0.07%0.12%+11.3%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseTYLTyler Technologies Inc0.10%0.15%+96.0%Mar 31, 2026 → Jun 30, 2026 SEC
New positionKGSKodiak Gas Services Inc—0.05%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionACMRACM Research Inc—0.04%—Mar 31, 2026 → Jun 30, 2026 SEC
New positionSYRESpyre Therapeutics Inc—0.04%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreasePINSPinterest Inc0.07%0.11%+55.9%Mar 31, 2026 → Jun 30, 2026 SEC
New positionMAIRMadison Air Solutions Corp—0.04%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseTRMBTrimble Inc0.11%0.14%+99.1%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseMIRMMirum Pharmaceuticals Inc0.04%0.07%+80.7%Mar 31, 2026 → Jun 30, 2026 SEC
New positionVGNTVersigent PLC—0.04%—Mar 31, 2026 → Jun 30, 2026 SEC

Share-count changes are measured after removing what creations and redemptions explain.

Fund data comes from each fund's SEC filings and issuer disclosures and is shown with the date it is as of. SEC portfolio and flow filings become public about 60 days after the period they cover. Nothing here is investment advice; see Terms.